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ANNUAL REPORT

COMPTROLLER OF THE CURRENCY

SECOND SESSION OF THE FORTY-FIFTH CONGRESS




UNITED STATES,

DECEMBER 3, 1877.

WASHINGTON:
GOVERNMENT PRINTING

1877

OFBICE.

W//.




/

REPORT
OF

THE COMPTROLLER OF THE CURRENCY.
TREASURY DEPARTMENT,
OFFICE OF THE COMPTROLLER OF THE CURRENCY,

Washington, Deceinber 3, 1877.

I have the honor to submit for the consideration of Congress, m compliance with section three hundred and thirty-three of the Revised Statutes of the United States, the fifteenth annual report of the Comptroller
of the Currency.
Carefully prepared tables accompany this report, among which are
those showiug the average amount of capital and deposits of national
banks, State banks, savings banks, and private banks of the country, by
States and geographical divisions, for two different periods in each of
the years 1876 and 1877 ; the items of the public debt of the United
States at the date of its maximum, August 31, 1865; the amounts and
kinds of circulating-notes of the United States and of the national banks,
yearly, from 1865 to 1877; the specie held by the banks, and the estimated amount in the country, on June 30,1877; the issue and retirement
of bank circulation, by States, under the operation of the acts of June 20,
1874, and January 14, 1875; the amounts and kinds of United States
bonds held as security for national-bank notes on November 1, 1877;
the number and denominations of legal-tender notes and national-bank
notes outstanding on the same date; a classification of the loans of
the national batiks in New York City, in October, for the last three
years; together with the average rate of interest in New York and
London for those years; the number and amount of national-bauk
notes issued, redeemed and destroyed, from 1863 to 1877; the amount
of circulation and deposits of the banks, and a classification of the
reserve required and held, at five different dates in each year, from 1871
to 1877; of the weekly movement of legal tender reserve in the New
York City national banks, in the month of October, from 1872 to 1877;
the operations of the clearing-house in New York City, for the last
twenty-four years; the capital, and amount and rate of taxation, of the
national banks, State banks and private bankers, for a series of years;
the amount of losses charged off by national banks in the several
States and Territories during the years 1876 and 1877; the capital, surplus, dividends and earnings of the national banks, by States and geographical divisions, semi-annually, from 1869 to 1877; the national
banks in voluntary liquidation, and insolvent national banks, with their
capital stock, claims proved and dividends paid, since the establishment
ot the national system. The report also contains statements of the State




IV

REPORT OF THE COMPTROLLER OP THE CURRENCY.

banks and savings banks organized under the laws of the different States,
so far as they could be obtained from official sources.
Tables are also given showing the aggregate resources and liabilities
of all the national banks at all the dates for which reports have been
made during the past fifteen years, and by States and reserve cities at
five different dates for the present year ; together with separate statements of the condition of every national bank in the Union, on the first
day of October of the present year.
The total number of national banks organized since the establishment
of the national banking system, on February 25,1863, is 2,372; of these,
two hundred and thirty-three have gone into voluntary liquidation, by
vote of shareholders owning two-thirds of their respective capitals, and
fifty-nine have been placed in the hands of receivers for the purpose of
closing up their affairs, leaving 2,080 in existence on November 1 of this
year. Included in the aggregate number organized are nine national
gold banks, located in the State of California, which redeem their circulating-notes at their places of issue, and in the city of San Francisco,
in gold coin. These have an aggregate capital of $4,300,000, and an
aggregate circulation of $1,432,120.
During the past \ear twenty-nine banks have been organized, with
an authorized capital of $2,580,000, to which $1,244,520 in circulatingnotes has been issued. Ten banks have failed within this period, having
an aggregate capital of $3,344,000* and twenty-six banks, with a total
capital of $2,589,500, have voluntarily discontinued business.
The following table exhibits the resources and liabilities of the national banks in operation at corresponding dates for the last eight years:
M-j>t. I2,| O c t . 2. O c t . 1, ! O c t . 2,
J -S73.
1874.
1875. | 1876.

O c l . 8. ! O f l 2 . I
l?-7(!. j l ^ 1. ;

2,087

~ :\!!ilio \x\Millk ti.\ Mill!mi. Million. Milli. mf<\MiUions\ Ifilliond Millions
954.
716. i | 831.
944. 2
931.3
891.9
.18*. 3 383. 3 ! 37(X3
337. 2
336. 8
23. 6
0 i 28. 1
27. 0
47.8
45. 0
8 j 33. 5
34. 4
34. 5
134. 8 ! 144.7
149.
14 V
146.9
129. 9
38. 1
32. 3
31.
.*>().
42.4
43.1
45.2
23. (
21.
19.
l :>. •
10.'2
8.1
21.4
22. 7
83. r
80.
76. 5
66.9
J 07. i
02.
102. 1
84.2
10. !
18.
18.5
12. I
15.6
H.:
10.
1."). 8
15.9
109.
loo.
87.9
liitf. "
nr..:
74.5
PI. I
125.0
100.0
20.
42.
48.8
33.4
(i. 7
29.2
20.
19.6
16.0
16.7
19. 1
28.7
19. 1

Loans
Bonds for circulation. . . .
Other TJ. S. bonds
Other stocks, bonds, &c .. Due from other banks ......
lieal estate
Specie
Legal-tender notes
National-bank notes
Clearing-house exchanges.
U. S. certificates of deposit
Due from U. S. Treasurer..
Other resources

6.-2. I
339
41.i

Totals
LIABILITIES.

!, 877. 2 I', 882. 2 II, 827. 2 \ 1, 741.1
\

Capital stock
Surplus fund .

j 42(1. 4

Due to other banks

.j 11 ?-'. f» : 130. 0 j 171. !•

U n d i v i d e d profits
Circulation
D u e to depositors
Other liabilities

Totals .

2,080 *

banks. banks, banks.

i)«nUs. - bank*, j banks.
KESOUItCES.

2 089

O c t . 1,
1877.

430. 4
94. l
40. 7
38. 0
29(5. 1 i -i-K.-t. 0
\ 5-J3. 0
515. 3

j

r>.:>

4:
i 101.1
\ 42. 0 !
| 317.4 |
| 031. 4 ,

e, 4 j

8. r>

47!). (i
110. 3
4(1. 0
335. 1
i!-28. f«

491. 0
120. 3
340. 3
040. 0

143. F
11.5

1,510.7 j 1,730. H 1, '

1, 830. H

493.
129.
51.
334.
683.
175.
9.

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

479. 5
122. 8
44.5
291. 9
630. 4
161.6
10.4

1,877.2 11, 882. 2 1,827.2 I 1,741.1

The following table exhibits the resources and liabilities of the banks
at the close of business on the first day of October, 1877—the date of their
last report; the returns from New York, from Boston, Philadelphia, and




REPORT OF THE COMPTROLLER OF THE CURRENCY.

V

Baltimore, from the other reserve cities, and from the remaining banks
of the country, being tabulated separately.
Bosf on, Phil-1i
j
a d e l p h i a , *Other reand Balti-, serve cities.:
more.
I
\

New York
City.

99 banks.

47 banks

Country
banks,

! 80 banks. I 1,845 banks.

Aggregate.

2,080 banks.

KESOUllCES.

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
TJ. S. bonds on hand
Other stocks and bonds
Due from reserve agents
Due from other national banks ..
Due from other banks and bankers
Real 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
IT. S. certificates of deposit
Fiveper-cent. redemption-fund ..
Due from U. S. Treasury
Totals

!

^ 3 , 448 i

! $465, 250,106

§1,213,512

$888, 243, 290

3, 044, 752
247, 445, 450
10, 272, 500
11, 204, 200
18, 804, 668
48,885,195
15, 996, 745

3, 677, 303
336, 810, 950
14, 903, 000
30, 088, 700
34, 435, 995
73, 284,133
45, 217, 247

$3 7,400 ;

18, 058, 413 : 8, 680, 788
48.376,633
661 I 2,958,481
4,319,014 I

7,054,807
15, 800, 540 10,588,072
95, 902, 756 134. 750, 212 70,148,447
108, 894
39,899
483,758
19, 058, 500 47, 719, 200 22, 587, 800
780, 000
600, 000 I 3, 250, 500
11,388,050
4,272,900 I 3, 223, 550
9, 218, 526
2, 636, 484
3,776,317
13, 195, 086 11, 203, 852
8, 850, 609
5, 468, 992
14, 900, 901
2, 421, 509
9, 389, 268
1, 048, 806
1, 722, 001
1,947,341
53, 844, 891
1, 469, 304
75, 933
12, 948, 406
15, 236, 845
19, 075, 000
797, 278
187, 807
344, 781, 651

969, 836 j 2, 060, 452
6,746,895 I
884,391 i
1,138,738 !
880,331 !
15,838,971 I
2,361,129 !
80,059 '
3, 984, 687
8, 476, 998
10, 015, 000
2, 045, 718
250,195

4, 993,129
895, 346
906, 283
720, 259
4, 841, 354
1, 973, 132
80, 026
1, 570, 097
12, 877, 483
3, 005, 000
944, 670
134, 789

5, 963, 964

11, 415, 761

24,100, 691
4, 087, 249
5, 452, 153
8,126, 657

45, 229, 983
6, 915, 792
9, 219,175
11,674,588
74, 525, 216
15, 531, 467
900, 806
22, 658, 820
66, 920, 684
33, 410, 000
14, 494, 634
1,527,119

9, 727, 902
664, 788
4,155, 630
30, 329, 358
1, 315, 000
10, 706, 968
954, 328

296, 737, 829 1173, 076, 879 | 926, 488, 304 j 1, 741, 084, 663

LIABILITIES.

Capital sto.^k
Surplus funu
Undivided profits
National-bank notes outstanding
State-bank notes outstanding...
Dividends unpaid
Individual deposits
TJ. S. deposits
Deposits of U. S. disbursing--officers
Due to national banks
Due to other banks and bankers
Notes and bills rediscounted
Bills payable
Totals

57,
16,
9,
15,

400,
566,
241,
395,
77,
221,
162, 400,
302,

000
887
772
257
279
241
317
986

129,775
61,459,374 |
21, 586, 763 |

80, 034, 985
21, 625, 952
4,176, 195
40, 445, 791
91, 513
1, 344, 090
112,321, 118
303, 080
11,186
27,634,739
7, 563, 677
1, 185, 503

344,781,651

43,625,500
11,504,514
3,941,766
19,560,060
13,536
179,702
63, 826, 186
1, 856, 615

!

298, 407, 286
73, 078, 768
!
27, 212, 946
i 2,6,473,128
!
299, 410
1, 878, 671
!
! 277, 856, 366
5, 510, 034
|
!

777, 921
14,126,715 I
11, 356, 835 I
440,679 |
1,866,850 I

1, 458,101
11,808,126
6. 070,164
3, 350, 540
3, 084, 764

479,
122,
44,
291,

467, 771
776, 121
572, 679
874, 236
481, 738
3, 623, 704
616, 403, 987
7, 972, 715
2,
115,
46,
3,
6,

376, 983
028, 954
577, 439
791, 219
137,117

296,737,829 173,076,879 j 926,488,304 i 1,741,084,663

Section 333 of the Revised Statutes of the United States requires
the Comptroller to present annually to Congress a statement of the condition of the banks and saviugs banks organized under State laws.
Returns of capital and deposits are made by these institutions and by
private bankers, semi-annually, to the Commissioner of Internal Revenue,
for purposes of taxation. The following statement, compiled in this
Office from these returns, exhibits in a concise form, by geograph cal
divisions, the total average bank capital and deposits of the whole
* The reserve cities, in addition to Isew York, Boston, Philadelphia, and Baltimore, are Albany
Pittsburgh, Washington, New Orleans, Louisville, Cincinnati, Cleveland, Chicago, Detroit, Milwaukee
Saint Louis, and San Francisco.




VI

REPORT OF THE COMPTROLLER OF THE CURRENCY.

country, exclusive of the national banks, for the six months ending May
31, 1877:
State banks and private bankers.

Geographical divisions.

Savings-bank s with Savings-banks
"without cap
capital
ital

I
Xo. Capital Depos- Xo. Capital.! ]
its.

Xew England States 117
1,202
Middle States
517
Southern States
Western States and
1,963
Territories
United States.. 3,799

Million* Millions
19. S>9
; 11.07
i 84. <^7 215.87
! 34. 58
46. 17

Xo.

MillionsMillions
I). 20
3. 94
0. 16 1
0. ,<«
0.42
0.52

1
o i
3 !

88.11

188. 51

20

4. 09

2L£. (33

470. 54

26 !

4. b7 |

i

439
200
4

Total.

Depos- Xo. Capital. Deposits.
its.
Millions'Millions
Millions
11.27
452. 6a
428. 69 557
85.03
585. 56
368. 81 1,404
524
35.00
48.81
2.12

32. 83

33

43.54 2,016

38.17

676

843.16 4,501

92.20

264. 88

223. 50 1, 351. 87

The capital of the 2,078 national banks in operation on June 22,1877,
was $481,044,771, and the average capital of 3,825 State banks, private
banks, and savings-banks having capital stock, was, for the six months
ending May 31, 1877, less than halt' that amount, being $223,503,172.
The net deposits of the national banks were 8708,245,746, and the average
deposits of the other banks above designated were $508,712,845. The
deposits of 670 savings-banks having no capital stock were, for the same
period, $843,154,804.
The table below, arranged in similar form, gives the average capital
and deposits of the same class of banks and bankers for the six months
ending November 30, 1876 :
State banks and pri- Savings-ban \"S with
vate bankers.
capita 1.

ital

Xo. Capital.

Xo.

Geographical divis-

Total.

wit!lout cap-

ions.

Million* Millions

Xew England States. 131 11.34 22. 7(1
1,213
88. 34 22(5. 40
Middle States
505
35. 40 42. 40
Southern States
Western States and
1,915
82. 14 192. 49
Territories
United States.. 3,764 217. 22 464. 05

Xo. Capital.

i,epo S .

Xo. Capital. ^ t s . 0 8 "

Millions Mill ion 3
Million* Millions
Millions
11.54
449. 90
0. 20
4. 15 438 422, 99 570
211 385. 82 1,426
88.50
612. 99
0.16
0.77
4
3
512
35.88
45.08
0.48
0.64
2.04
17

4.21

32. 38

35

44.68 1,967

24

5.05

37. 94

667

855. 53 4,475

86.35

269. 55

222. 27 L, 377. 52

If the number, capital and deposits of the national banks on June 22,
1877, be combined with the number, average capital and average deposits
of the State banks, private banks, savings-banks, and trust and loan
companies, as shown by the foregoing table, for the six months endingMay
31, 1877, it will give a total number of 6,579, a total banking capital of
$704,547,043, and total deposits of $2,120,113,396. A similar combination of the national banks for October 2, 1876, with the State banks,
savings-banks, &c, for the six months ending November 30, 1876, will
give for the latter date a total number of 6,564, a total banking capital
of $722,079,176, and total deposits of 82,082,735,984.
Tables similar to the above, for the two periods of six months each,
ending respectively on November 30, 1875, and May 31, 1876, together
with other tables giving the assets and liabilities of State institutions,
so far as they could be obtained from the official reports of the several
States, will be found in the Appendix,




REPORT OF THE COMPTROLLER OF THE CURRENCY.

VII

A table, arranged by States and principal cities, giving the numberf
capital and deposits, and the tax on capital and deposits, of banking
institutions other than national, for the six months ending May 31,1877,
will be found on page 48 of this report. A similar table for the six
months ending November 30, 187G, is printed in the Appendix.
THE BANKS AND RESUMPTION.

Section 3 of the act of Jauuary 14,1375, provides that "on and after the
first day of January, anno Domini eighteen hundred and seventy-nine,
the Secretary of the Treasury shall redeem, in coin, the United States
legal-tender notes then outstanding, on their presentation for redemption at the office of the assistant treasurer of the United States in the
city of New York in sums of not less than fifty dollars.77 This legislation is not without precedent, for Congress, on April 30, 1816, by resolution declared that " from and after the 20th day of February next, no
duties, taxes, debts or sums of money, accruing or becoming payable to
the United States, ought to be collected or received otherwise than in
the legal currency of the United States, or in Treasury-notes or notes of
the Bank of the United States, or in notes of banks which are payable
and paid, on demand, in the said legal currency of the United States.*7
The New York legislature took similar action at about the same time ;
and again on March 22, 1875, it passed an act providing that "all taxes
levied and confirmed in this State on and after January 1,1879, shall be
collected in gold, United States gold-certificates, or national-bank notes
which are redeemable in gold on demand/7 and that u every contract or
obligation made or implied after January 1,1879, and payable in dollars,
but not in a specified kind of dollars, shall be payable in United States
coins of the standard of weight and fineness established by the laws
of the United States 77 the time the contract or obligation shall have
at
been made or implied.
The banks in this country, with the exception of those in the New
England States, suspended specie payment in September, 1814. The
New Yrork banks resumed specie payment on February 20, 1817, but resumption was not general throughout the country until about the close
of the year 1819. There was also a general suspension in May, 1837;
but in May of the next year the New York and New England banks
again resumed specie payment. The banks in Pennsylvania finally
resumed, under the coercion of the State legislature, in March, 1842.
Banks in other portions of the country resumed at about the same date.
Ageneral suspension again occurred in October, 1857, the banks resuming
specie payment in the following year.
It would be instructive to compare the condition of the banks daring
previous periods of suspension and resumption with that at the present
time, but detailed statements of the assets and liabilities of the banks
during the first period of suspension, which continued for five years,
cannot be obtained. The published statistics of the State banks during
the later periods mentioned are not wholly satisfactory for the purpose
desired, for the reason that the bank reports were not of uniform date
in the several States, while the items of specie, circulation, and deposits
vary greatly in amount throughout the country at different dates in the
same year. The specie, as reported, was not separated from checks payable in coin, and it is known that, in some instances, the same specie was
more than once returned.
From such data as are now obtainable, the following table has been




VIII

REPORT OF THE

COMPTROLLER OF T H E

CURRENCY.

prepared, giving the items of circulation, deposits and bank balances
of all the State banks, and of the specie held by them, for a series of
eight years, covering both of the periods of suspension and resumption:

Tears.

Circulation.

Deposits and
b a n k balances.

Eatios of specie to—
Total.

Specie.

Circulation.

Circulation
and deposits.

$103,092 495
140,301,038
149,185, 890
116 138 910
135,170 995
106, 968, 572
107,290,214
83,734,011

1835
1836
1837
1838
1839
1840
1841
1842

Averages
1850
1851
1853
1854
1855
1856
1857
1858

.

.

Averages

$83 081 365
115, 104 440
130,148, 393
87 511 723
90 477,297
78, 716,288
64, 890,101
62,408,870

$186 773,860
255, 405, 478
279, 334, 283
203 650 633
225, 648, 292
185, 684, 860
172,180, 315
146,142,881

$43 937,625
40,019,594
37, 915, 340
35,184 112
45,132, 673
33,105 155
34, 813, 958
28,440,423

Per cent.
42.4
28.5
25.4
30.3
33.4
30.9
32.4
34.0

Per cent.
23.5
15.7
13.6
17.3
20.0
17.8
20.2
19.5

117,810,265

89, 042, 310

206, 852, 575

37,318,610

31.7

18.0

131, 366, 526
109, 586, 595
155 165 251
128 956,712
146 072,780 i 146 258, 880
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
185,932,049

240, 953, 121
284 121 963
292, 331, 660
392,877, 951
377, 352, £65 :
408 453, 612
445,130,174
341,140,393

45, 379, 345
48,671,048
47,138, 592
59, 410, 253
53, 944, 546
59 314,063
58, 349, 838
74, 412, 832

34.5
31.4
32. 3
29.0
28.9
30.3
27.2
47.9

18.8
17.1
16.1
15.1
14.3
14.5
13.1
21.8

173, 747, 638

347;795,180

55, 827, 565

32.1

16.1

174,047,542

The subjoined table gives similar information in reference to the
national banks for the last eight vears:

Years.

1870
1871
1872
1873 .
1874
1875
1876
1877

Averages

Ratios of legal-tender
funds to—

Deposits and
hank balances.

Total.

$296, 205, 446
318, 265. 481
336 28() 2^5
341,320 256
331,193, 159
314, 979, 451
292, 011, 575
291, 874, 236

8456, 586, 096
505, 647, 694
527 221 571
505 871, 420
616 513, 162
580, 685. 391
583, 430; 276
577,191, 727

$752,791,542
824,113, 175
863 510 856
847, 191, 676
947, 706, 321
895, 664, 842
875, 441, 851
869, 065, 963

315,267,361

544,168, 417

859, 435, 776

Circulation.

Legal-tender
funds.
Circulation.

Circulation
and deposits.

984, 869
659, 233
804 706
765 143
452,137
684, 380
920, 354
484,137

Per cent.
48.9
44.2
41.3
45.6
46.9
42.8
47.9
47.1

Per cent.
19.3
17. I
16.1
18.4
16.4
15.0
16.0
15.8

143, 469, 370

45.5

16. 7

§144,
140,
138
155
155,
134,
139,
137,

By reference to these tables it will be seen that from 1835 to 1842 the
average ratio of specie to circulation held by the State banks was 31.7
per cent., and to circulation and deposits 18 per cent.; and that from 1850
to 1858 it was 32.1 and 1G.1 per cent., respectively. The ratio of specie
and legal-tenders to circulation of the national banks, for the eight years
named, was 45.5, and to circulation and deposits 16.7 per cent.
The returns of the State banks in the New England States and in
the State of New York were more regular and reliable than those of the
banks in any other portion of the Union. A comparison between
these banks, ibr the periods named, with the national banks for the last
eight years, is given in the following tables, which, together with those




REPORT OF THE COMPTROLLER OF THE CURRENCY.

IX

preceding, are tabulated from reports of the condition of the banks at the
date nearest January 1 of each year given:
New England-Stales—State

banks.
Ratios of specie to—

Years.

Deposits and
bank balances.

Circulation.

$18,916,960
21,9'6. 140
20, 622, 755
17,808,061
19, 135, 845
17, 480, 893
18, 443, 269
1 15, 734, 189

1835
1836
1837
1838
1839
1840
1841
1842

Averages
1850
1851
1853
1854
1855
1856
1857
1858

j

i
j
j
1

Averages

|

Total.

#17,897,554
14, 780, 304
20, 28'\ 687
13,415,054
1 »,327, 155
10, 737, 493
11,300,814
9, 267, 044

$36,814,514
36,716,444
40, 912, 442
31,223, 115
30, 463, 000
28,218,386
29, 744, 083
25, 00 \ 233

$2, 599, 545
3,021,577
3, 315, 654
3, 982, 156
3,361,685
4, 53H, 104
4,451.889
3.901,595

Specie.
Circulation.

Circulation
and deposits.

Per cent.
13.7
13.8
16.1
22.4
17.6
26.0
24. I
24.8

Per cent.
7. I
8.2
8.1

12.8
11.0
16. 1
15.0
15.6

18, 759, 764

13 626, 888

32, 386, 6 >2

3, 646, 526

19.4

11.3

31,
39,
53,
52,
47,
53,
43,
37,

17, 140,321
22, 119, 3!)2
28, 937, (\?*
31,364, K>6
32, 629, 679
35,573, 158
i'8. 569, 013
42, 270, 053

48, 8 !9, 374
61,266, 924
82. 7*1, 898
84, 113,366
80, 372, 030
89,562,801
71,664,024
80, 238, 044

4, 627, 165
4, 558, 460
6, 738, 343
6, P8.">, 026
6, 920, 395
7, 31 8, 378
6,479,319
13, 849, 602

14.6
11.6
12.5
13.1
14.5
13. 5
15.0
36.5

9.5
7.4

17.3

45, 030, 544

29, H25, 514

74, 856, 058

7,170, 836

15.9

9.6

44.3
29.5

17.7
11.4
11.6
13.6
16.9
21.2
16.7
16.7

8. 1

8.2
8.6
8.2
9.0

New York Slate—State banks.
16,199, 505
21,127,927
24, 198, 000
12, 432, 478
19, 373, 149
10,629,514
15, 235, 056
14, 559, 993

Averages

24, 398, 621
33, 324, 930
32,513,748
17, 920, 976
19, 591,202
16, 985, 694
17, 366. 959
18, 213, 436

40, 598, 126
54, 452, 857
56,711, 748
30, 353, 454
38, 964, 351
27,615,208
32, 602, 015
32, 773, 429

7, 169, 949
6, 224, 646
6, 557, 020
4,139, 732
6, 602, 708
5, 864, 634
5, t29, 622
5,471,694

27. 1
33.3
34.1
55.2
35.6
37.6

16,719,453

22,539,445

39, 258. 89S

5,932,501

35.5

15.1

47, 950, 665
62, 0 26, 937
86, 976, 885
84, 2".2, 509
93, 577, 004
102, 232, 317
113,742,926
92, 584, 942

1835
1836
1837
1838
1839
1840
1841
1842

72, 585. 050
89, 953. 200
116,911,542
116, 825. 698
125, 084, 784
133, 572, 320
147, 762, 559
116,484,906

7,259,681
11,937,798
9, 9'3, 815
14, 169,905
13,rifil,5 5
10,910,330
12,898,771
29,313,421

29.5
42.7
33.4
43.5
43.4
34.8
37.9
122.7

10.0
13.3
8.5
12.1
10.9
8.2
8.7
25.2

85,418,023

114,897,507

13, 768, 161

46.7

12.0

1850
1851
1853
1854
1855
1856
1857
1858

Averages.......

New England States—National

Years.

Deposits and
bank balCirculation.
ances.

94, 337, 888
111,444,678
113, 98', 981
110.643.741
109,713,729




102,918,988

209, 950, 058

101,222,432

107, 031, 070

I Legal-tender
funds.

Ratios of legal-tender
funds to—
Circulation.

$193,178,620
198,379,049
208,945,357
203, 507, 546
218.491,337
224, 003, 799
216,072,241
217,022,516

|89, 956, 442
92,051,017

1S70...
1871...
1872...
1873...
1874...
1875...
1876...
1877...
Averages

Total.

banks.

$26,182, 858
23, 509, 033
24,230, 160
24,681,106
22, 364, 129
I 20, 364, 269
| 20, 399, 045
j 18, 920, 350

|
|
j

22,581,406

Per cent
25. 4
22. 1

22.5
22.6
20.
18
19
17

9
5
4
6

21. 1

Circulation
and deposits.
Per cent.
13.6
11.9
11.6
12.1
10.2
9.1
9.4
8.7

10.8

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Kew York State—National

$63, 229, 183
60, 325, 737
58 582 804
56 891 945
54, 036, 597
48, 224,259
42, 676,116
42, 784, 527

Averages

6206,414, 395
22-2, 372, S93
215 606 178
tOfi, 149 219
247,301, 840
222, 894 161
226, 265 901
219,047 103

53, 343, 896

1870
1871
1872
1873
1874
1875
1876
1877

Ratios of legal-tender
funds to—

Deposits and
bank balances.

Circi ilatiou.

Years.

220, 756, 474

banks.

Legal-tender
funds.

Total.

Circulation.

§2i!i), 643, 578 ! $05, 257, 663
282, 698, 730
64, 680, 473
274 188 982 1 58 494 502
263 041, 164 • 65 603 326
301,338,437 '
67, 625, 192
271, 118, 120 1
56,582,891
268, 942, 017 I 59, 748, 810
261,831,630 j 54,579,813
274, 100, 370 |

61 571,584

Circulation
and deposits.

Per cent.
103. 2
107.2
99.9
T5. 3
125. 1
117.3
140.0
127. 6

Per cent.
24.2
22. 9
21.3
24.9
22.4
20.9
22.2
20.9

115.4

22.5

In the above tables tbefiveper cent, redeinption-faiul required by the
act of June 20, 1874, and which consists of deposits with the Treasurer
for the purpose of redeeming circulation, is included in the legal-tender
fund.
The yearly average circulation of the banks of the State of New York
for the ten years from 1851 to 1800 was $29,698,094, and of deposits
$82,364,349. The average amount of specie held by those banks yearly
during the same period was $16,287,377, of which about one eighth only
was held by the banks outside of the city of New York, and the remaining seven eighths by the banks in that city. The average ratio of specie
to circulation for the ten years named was 54.8 per cent., while to circulation and deposits the ratio was only 14.5 per cent.
The following tables, the first of which has been prepared from information furnished by the manager of the New York cleai ing-house, show
the strength of the State banks of New York City for the six .years from
1855 to 1860, as compared with that of the national banks of the same city,
at nearly corresponding dates, for the last six years:
State banks of JSew York City.
Ratio 8 Of—
Dates.

Oct.
Oct.
Oct.
Oct.
Oct.
Oct.

Number of Circulation.
banks.

1,1855
1,1856
1,1857
1,1858
1, 1859
1,1860

48
50
50
46
47
50

Averages..

48

$7, 724,
8, 665,
7, 838,
7, 864,
8, 337,
9, 487,

Net
deposits.

Total liabil- Legal-tender
Legal-tender Legal - tender
ities.
funds.*
cirfunds to cir- funds to and
cnlati n
culation.
deposits.

970 $56, 736, 775 $64, 461, 745
194 63, 661, 171 72, 326, 365
308 56,918,863 61,757, 171
373 86,081,897 93, 94 6. 270
702 70, 812, 105 79, 149, 807
637 76, 383, 393 85,871,030

$9, 919,124
10, 873, 320
13, 327, 095
28, 625, 331
19, 259.126
20, 177, 086

128. 4
125. 5
170. 0
364. 0
231.0
212.7

15.4
15.0
20.6
30.5
24.3
23.5

76, 752, 004

17, 030, 164

204.7 :

22.2

105. 072 #45, 394. 83-2
193 186 46, 86J, 341
91 -2, 06!) &'). 835, H&X
2.0 5" 2 369 59,395,715
212 744, 410 59, 843, 95119o 328 412 47,261), 251

161. 7
170. 5
264. 3
321. 4
403. 5
307. 0

24.4
23. 3
29.1
26.9
28.1
24.8

•206 642 591

251.

26.3

8,319, 697

68,432,367

National banks of New York City.
Oct.
Sept.
Oct.
Oct.
Oct.
Oct.

50
48
48
48
47
47

A v erages.'.
k

I
034, « .
#28, 070, 951
27, 482, 342 17-2 710, 814
25/291, 781 * 204620, 288
18,3d9, 317 202
052
14,^32, 784 i 197 911, 6~>6
15, 395, 257 i 174 933, 155

48

3, 1872
12, 1^73
2,1874
1,1875
2, 1876
1,1877

21, 563, 739 j 185,078,852

2(K),

•2-29.

54, 265, 827

~ "Legal-tender iuuds," in the case of the State banks, represents specie;




REPORT OF THE COMPTROLLER OF THE CURRENCY.

XI

The national banks are required by section 5172 of the Revised Statutes of the United States to pay their circulating notes on demand, and
by section 3 of the act of June 20, 1874, to " keep and have on deposit
in the Treasury of the United States, in lawful money of the United
States, a sum equal ro five per centum of their circulation, to be held
and used for the redemption of such circulation." When the legaltender notes shall be redeemed in coin, the banks will also be required
to redeem in coin or in such notes. These notes will then become coincertificates, and will be more convenient and desirable for general use
than coin, for the reason that the cost of their transportation will be
less than that of specie.
The banks of New York City, during the month of December in the
last eight years, have held in lawful money an average of 224.4 per
cent, upon their circulation, and of 26.8 per cent, upon their circulation
and deposits combined. The average amount of lawful money held by the
banks in the other principal cities during the same periods has equaled
59.2 per cent, of their circulation, and, including the amount due from
their reserve agents, it has equaled 26.5 per cent, of both circulation
and deposits. The national banks of the whole country have held during the same periods an average of 43 per cent, of their circulation,
and including, as before, the amounts due from their agents, an average
of 23.2 per cent, upon deposits and circulation.
The ratios stated above are shown by the following table, which gives
the average circulation, deposits and reserve funds of the national banks
in JSTew York City, in the other principal cities, and in the remainder of
the country, separately, and the average of the whole for the last eight
vears:
|
Cities and States. jbanks tion.

Nct

! Ratios of legal-ten
|
|Due from
| Legal- j r ° s e " ' a e Total! der funds t o reserve;
,
lunas. | <iein prior
i fund.
! deposits.

1

Ratio of
reserve
funds to
cir. and
deposits.

\Millions\ Millions. \Millions Millions. Millions Per cent Per cent. Per
49 „ 4.03
$50. 00 $54. 43 224. 4
26. 8 I
$53.92
Xew York City
27.94
191. 43 41.34
69.28
59. 2
15. 8 !
Other reserve cities.. 181 69.81
56.92 97. 36
8. 2
States and Territories 1,724 221. 42 270. 62 40.43
18. 3
Averages

[1, 954 | 315.26 I 638.93 j 135.70

85.37

221. 08

43.0 I

cent.
27. 1
26. 5
19. 8

14.2 !

It will be seen from the various tables given, that the average strength
of the national banks for the last eight years is fully equal to that of
the State banks during periods of suspension and resumption in former times 5 and, if resumption is to take place upon a*ny fixed date, the
national banks will be certain, as a matter of precaution, to strengthen
their reserves beyond the averages here given. It cannot be doubted,
therefore, that the national banks will be prepared to redeem their circulating notes at any date of resumption which may be fixed upon.
But, while it is admitted that the banks may easily pay their circulating notes, it is said that it will be impossible for them to provide for their deposits. Those who take this view proceed on the
assumption that the banks will be called upon to pay their deposits
in specie. This was not true during any former period of specie
payment, and is less likely to be true under the national banking
system than it was under any previous system of banking. The banks
in this country, from their first organization, have, in times of resumption as well as of suspension, received from their dealers current banknotes and have paid out the same. This is true to-day in England, Scot-




XII

REPORT OF THE COMPTROLLER OF THE CURRENCY.

land, Germany and France, in all of which countries the bank-note is
preferred, as a rule, to either gold or silver. Only a small portion of
the bank circulation of the country, at any period prior to 1863, was
either safe or convertible, and the losses to the holders of bank-notes during such period is estimated to have been not less than five per cent, annually upon the whole amount of circulation outstanding. Yet even this circulation, poor and defective as it was, was freely received by the banks,
and was paid out by them to their depositors, so closely identified were
the interests of the one with the other. The notes which were returned
from the commercial centers for redemption were readily paid out and
circulated at home, and the demand for specie, wherever it existed, was
almost entirely owing either to an excess of currency or to a want of confidence in the institutions which issued it.
The people throughout the country now know what, prior to 1883,
they could not know—for it was not then true—that every bank-note is
safe beyond peradventure, and that if these notes are not paid at the
counters of the banks which issued them they will be paid at the Treasury Department, in lawful money, and that the securities held for their redemption are amply sufficient for that purpose. No reason, therefore,
exists why the people—who, in the last fourteen years, have not lost one
dollar through the use of bank-notes—should decline to receive such
notes in payment of their deposits. These notes are not only guaranteed
by the government, but they are received by it in payment of all taxes
and other dues except duties on imports, and are disbursed by it in payment of all demands except interest on the public debt, and in the redemption of national-bank notes.
The national banks hold eight hundred and eighty millions of loans
made to the people, and each bank is required, by section 5196 of the
Revised Statutes, u to take and receive at par, for any debt or liability
to it, any and all notes or bills issued by any lawfully organized national
banking association." There are, therefore, eight hundred and eighty
millions of liabilities of the people due to the national banks—a sum
largely exceeding the whole amount of deposits—which may be paid in
the notes of any or all of the national banks in the country. The national-bank notes are therefore very different in character from the heterogeneous bank-notes formerly issued by authority of the several States.
Moreover, the deposits of the banks are largely owned by their own shareholders and by their borrowers; and surely business men, who look to
the banks for accommodations, and stockholders, whose profits depend
upon their successful management, will be the last to conspire to injure
their credit.
Deposits consist chiefly of bank-credits, are derived largely from
the discount of commercial paper, and are paid mainly by transfers
upon the books—not with either coin or currency. Throughout the
country all large payments are made, not with money, but with checks.
In the principal cities these payments are accomplished through the operations of clearing-houses. During the last twenty-four years the exchanges of the New York clearing-house were 454 thousand millions,
while the balances paid in money were less than 19 thousand millions. The average daily exchanges during this whole period were more
than sixty-one millions, while the average daily balances paid in money
were but two and one-half millions, or but four and one-filth cents upon
the dollar, as will be seen by a table on another page.
Immediately after resumption in England, in 1821, there was but
little demand for gold, and the' same was true in France after resumption by the Hank of France in 1850, and in this country in 1838
and 1858. The Bank of France is at present in a state of suspension,




REPORT OF THE COMPTROLLER OF THE CURRENCY.

XIII

but its notes are preferred by the public to specie, and the bank has
tbund it difficult to reduce the volume of its circulating notes in exchange for coin. All thought of demanding actual payment in specie
will vanish as soon as resumption is assured, and those timid bankers
who fear that their dealers will demand coin for every dollar of their
deposits can reassure themselves by an agreement with their dealers
that their deposits shall be payable, as at the present time, "in current
funds,77 which will then consist of legal-tender notes and the notes of
specie-paying banks. There is no greater bugbear than the oft-repeated cry, that the Treasury and the banks must provide specie for the
payment of two thousand millions of deposits, before resumption can
take place.
The coinage act of 1873 provides for the issue of a gold dollar, which
shall be the unit of value ) but. since the suspension of specie payments,
the business transactions of the country have been based upon a false
and fluctuating measure of value. This will be seen from the following
table, which gives the value of the legal-tender paper dollar on July. 1
of each year, from 1863 to 1877, the last column of the table showing,
also, its value on November 1 of the present year:
1863. 1864.1865. 1866. 1867. 1868. 1869. 1870. 1871. 1872. 1873. 1874. | 1875. 1876. 1877. 1877.*
Cts. 1 Cts. Cts. Cts. Cts. Cts. Cts. Cts. Cts. Cts. Cts. Cts. \ Cts. Cts. Cts. Cts.
76. 6 j 38. 7 70.4 66.0 71.7 70.1 73.5 85.6 89.0 87.5 86.4 91. 0 87. 2 89.2 94.5 97.3

The coinage act also provides that the standard weight of this gold
dollar, which is the unit of value, shall be twenty-five and eight-tenths
grains; but the paper dollar in use since 1863 has represented a gold
coin fluctuating in wTeight, from less than ten grains to about twentyfive grains, as follows:
'
1877-*
1863. 1864. 1865. 1866. 1867. 1868. 1869. . 1870. ] 1871. J 1872. 1873. i 1874. | 1875. 1876. ; 1877.
!
'
i
•
I
i
'
:
Grs. Grs. Grs.
19. 8 9.9 18.1

Grs.
17.0

Grs.
18.4

Grs.
18.0

Grs. I Grs. i Grs. Grs. : Grs. Grs. ! Grs. i Grs. : Grs.
18. 9 ; 22. 0 ' 22. 9 22. 5 22. 2 23. 4 ; 22. 4 23. 0 25.13
24.

These tables by no means fully represent the fluctuations in the legal
standard of value during the last sixteen years. The variations cannot
be counted by the number of years, nor even by the number of days.
They have been numerous on each day since the date of suspension, and
can only be numbered bv tens of thousands. The importers, and other
wholesale dealers, have often found, during the last sixteen years, that
they could have realized more profit from the purchase and sale of gold
than of the commodities belonging to their legitimate trade. The tendency of such fluctuations is either to bankrupt or to demoralize all persons engaged in ordinary traffic; for, under such circumstances, business
of every kind becomes simply a game of chance, based upon the everchanging value or weight of a false but legalized standard, and persons
in every portion of the country abandon their legitimate business and
embark in speculations, bringing failure and disgrace upon themselves
and losses upon those who confide in them.




* November 1 of this year.

XIV

REPORT OF THE COMPTROLLER OF THE CURRENCY.

If the weight of all the produce which has been purchased in the
last sixteen years had been determined by a standard pound which
varied in weight from six to sixteen ounces, or if the measure of all
fabrics had been ascertained by a yard-stick, the length of which at
different times ranged all the way from fourteen to thirty-six inches, the
^vil resulting from the use of such false and varying standards of weight
and. measure could not have been greater than that which has followed
the use, during the same period, of so false a standard of value as the
paper dollar has been.
Not many years ago it required one hundred large and heavy weights
to balance one hundred bushels of wheat. To day, by the advance in
mechanical science, a five-pound weight will balance a much larger
amount of produce, while the actual use of the pound weight is confined
to the small transactions of the retail trade. It would now be impracticable to weigh the products of the country with the old-fashioned balances ; but, by the aid of the modern i)latform-scales,the weight of carloads of coal and of canal-boats of grain are quickly and accurately
determined in pounds, every one of which is exactly sixteen ounces
avoirdupois. There is not sufficient gold or silver coin in the country
with which to pay for the one-twentieth part of the products of the
present year; but the machinery of the bank, with its system of checks,
and bills of exchange, and clearing-houses, can pay for it all in dollars,
every one of which will be an equivalent of the true standard dollar of
twenty-five and eight-tenths grains of gold, nine-tenths tine.
Resumption does not mean the actual use and handling of the gold
dollar in every transaction. Coin and currency are but the small change
used in trade. Bank-checks and bills of exchange are the instruments
employed in all large transactions. A single check pays for a whole
invoice of goods, for car-loads of coal, and for houses and lands. Resumption means only that the dollar represented by the check shall
be equivalent to twenty-five and eight-tenths grains of gold, as the
pound represented upon the beam of the platform-scale shall be equivalent to sixteen ounces avoirdupois. It means that the millions and
billions of business transactions of a single year shall each be measured
by a fixed and true, and not by a fluctuating and false, standard of
value.
Congress, on March 18, 1869, passed an act in which " the United
States pledges its faith to make provision at the earliest practicable
period for the redemption of United States notes in coin f and on January 14,1875, a day was fixed for that purpose. The paper dollar is now
worth 97f cents in gold, and represents a weight of about twenty-five
grains of that metal. It has increased in its representative value and
weight forty per cent, during the last ten years, more than ten per cent,
during the past two years, and nearly five per cent, within the last six
months; and there is no apparent good reason why it should not soon
become of the full standard value, when both the paper and the gold
dollar will be an equal measure of value, for the rich and poor alike.
The government, and the banks of the country also, suspended specie
payment on December 28, 1861; and it is believed that the national
banks will cordially unite with the government in restoring the true
standard of value whenever the acts of Congress referred to shall be
carried into effect.
NATIONAL-BANK CIRCULATION.

The following table exhibits, by States and geographical divisions,
the number of banks organized and in operation, with their capital,




REPORT OF THE COMPTROLLER OF THE CURRENCY.

XV

bonds on deposit, and circulation issued, redeemed and outstanding, on
the 1st day of November, 1877:
States and Territories.
Maine
New Hampshire
Vermont
Massachusetts
Rhode Island
Connecticut

Capital. ; Bonds.
Circulation.
Banks.
Organ- Inliqui- In oper- Capital Bonds on |
Outstanding.
| ized. dation. afcion. j paid in. deposit. j Issued. Redeemed.
i
j
'
|
j
j

Totals, Eastern
States
]STew York....
New Jersey...
Pennsylvania.
Delaware
Maryland

72i#10, 660, 000
46 5,740,000
46 8, 768, 70.0
237 97, 147, 0U0
61 20,079,800
81 25,548,120

74!
47!
49!
240
62
85
557:

14

543 167, 943, 620 126, 205, 700 278, 066, 480 165, 388,144112, 678, 336

335!
70
253
13 .
34

53
1
21

282
69
232
13
32

Totals, Middle j
States
j
District of Columbia!
Virginia
j
West Virginia
j
North Carolina
j
South Carolina
|
Georgia
I
Florida
j
Alabama
!
Mississippi
\
Louisiana
Texas
'
Arkansas
j
Kentucky
j
Tennessee
j
Missouri
|
j_
Totals, Southern !
and Southwest- j
ern States
!
Ohio

Indiana
Illinois
Michigan ..
Wisconsin.
Iowa
Minnesota .
Kansas
Nebraska..
Totals, Western
States
Nevada
Oregon
Colorado
Utah
Idaho
Montana
"Wyoming....
New Mexico.
Dakota

$8, 669, 889
5,202, 817
7, 200, 590
61, 419, 467
12, 817, 840
17, 367, 733

$9, 459, 250 $19, 239, 520 $10, 569, 631
5, 769, 000 11, 401, 455 6,198,638
7, 635, 500 17, 350, 960 10,150, 370
69, 556, 850 153, 671, 580 92, 252, 113
14,053,900 32,447,825 19,629,985
19,731,200 43,955,140 26,587,407

95,199,691 54, 619, 950 156, 836, 355 107,103, 027J 49,733,328
14,178,350: 12,549,350 27,288,720 16,061,668 11,227,052
56, 014, 340 44, 954, 300 101,154, 415 59, 664, 955i 41, 489, 460
1, 663, 985i 1, 484, 200 3,149, 315 1, 784, 115J 1, 365, 200
13,298,685 8, 145, 000 21, 118, 700! 13,161, 270! 7,957,430

628 180, 355, 051121, 752, 800 309, 547, 505197, 775, 035 111, 772, 470
29!
20'
15;.
1-2 .
17
2
II
12 .
3
53
32
43

4
10
5

61
19!
15
15
12
12
I
10

3, 900, 000
1,125, 000
205, 000
9, 986, 500
3, 080, 300
7, 735, 000

1
7
7
13

298, 300 ; 2,258,857! 1, 039, 443
889, 990 : 4, 373, 967: 2,516,023
743, 240 3,115, 568 1, 627, 672
409, 550 i 1, 914, 760 1, 494, 790
367, 185 1, 968, 835 1,398,350
451, 260 2, 611,125 1, 840, 135
44, 400
52, 400
8, 000
2, 736, 750 1, 271, 267 1, 465, 483
64, 479
1,521
66, 000
5, 664, 760 4,120, 698 1, 544, 062
568, 943
1,608,430: 1, 039, 487
220, 765
252, 935
473. 700j
16, 618, 055 8, 341, 797 8, 276, 258
5, 930, 520 3, 430, 066 2, 500, 454
10,607,405 7, 889, 811! 2, 717, 594

1,432,000 1,038,000
3,485,000
2,719,850
1, 846, 000 1, 548, 250
2,601,000; 1,399,000
2,870,700: 1,470,000
J»f 141, 0001 1,899, 0U0:
50,000
50,000
1,658,000. 1,521,000
920,
684,
205,
8, 357,
2, 624,
2, 270,

3,
6,
4,
3,
3,
4,

000
000
000
350
500
000

272

60

212 42,115,500 26,705,950 69,917,545 42,629,482 27,288,063

195 ;
114
163
89
56
99i
38!
27^
12

31
15
19
8!
16!
21!

164 28, 471, 900
99 16,180,500
144 18,461,000.
81! 9,844,500
40| 3,500,000
78i 6, 137, 000
31 4,628,700;
15! 1,065,0001
10 1,000,000

12:
2;

!

793;

23, 627, 250
13,281,700!
10,413,000
6,267,100
2,295,500J
4, 475, 500,
2,694,400!
940,000!
824,000|

!

I

53, 122, 830
32,253,385!
31,895,265!
14,990,120,
6,777,140!
11, 447, 880;
6,638,580;
2, 676,260i
1,746,860J

!

30, 9»9, 539
19, 695, 761
21,236,462
9,117, 897i
4, 382, 428;
7,148, 096
3, 960, 462
1, 637, 988
955, 900

i

89,288,600! 64,818,450 161,548,320 99,071,533 62,476,787

ll.
17
4
1 .
6
2.
2 .
l!.

1
250, 000
13: 1, 235, 000
1
200,000
1
100, 000
5
350, 000.
2
125, 000
2
300, 000!
11
50, 000

250, 000!
732, 0001
50, 000!
100, 000!
236,000
60, 000
300, 000!
50, 000:

35

26; 2,610,000

l,778,000J

131, 700:
460, 400
1, 417, 6201
602, 230!
186, 040;
464, 420
103,200
543, 260!
90, 930

127, 877!
235, 400
729,137
519,162
103, 339
249,351

47, 060
275,210
46, 930

3, 823
225, 000
688, 483
83, 068
82, 701
215, 069
56,140
268. 050
44, 000

Totals, Pacific
States a n d j
Dae banks for mutilated notes retired.

jGrand totals
j !,362
10
Add for gold banks
Totals of currency
and gold banks..'.. 2, 372

3,999,800' 2,333,466

1,666,334
!

291j
1!

893,121

2, 071482, 312, 771 341, 260, 900^823, 079, 650507,197, 660 316, 775, 111
9. 4,300,000 1,788,000! 2,961,000; 1,528,880 1,432,120

292 2, 080!486, 612, 771 343, 048, 9001826, 040, 650,508, 726, 540 318, 207, 231

The act of February 25, 1863, and the subsequent act o/ June 3,
1864, authorized the issue of three hundred millions of dollars of national




XVI

REPORT OF THE COMPTROLLER OF THE CURRENCY.

bank circulation, which was increased by the act of July 12, 1870,
to three hundred and fifty-four millions. 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 not less than $9,000, and to withdraw a
proportionate amount of the bonds held fis security for such notes;
and the act of January 14, 1875, repealed all provisions restricting
the aggregate amount of national-bank circulation, and required the
Secretary of the Treasury to retire legal-tender notes to an amount
equal to eighty per cent, of the national-bank notes thereafter issued,
until the amount of such legal-tender notes outstanding should be $300,000,000, and no more.
Nearly all of the $300,000,000 of national-bank circulation originally
authorized was issued during the first six years subsequent to the establishment of the system, the amount outstanding on November 1, 1868,
having been $299,887,675-—or within $112,325 of the authorized limit.
The additional fifty-four millions authorized by the act of July 12,1870,
was never wholly issued—the greatest amount of circulation outstanding
at auy time having been on December 1,1874, when it was $352,394,346,
or $1,605,654 less than then authorized by law.
Since the passage of the acts of June 20, 1874, and of January 14,
1875, authorizing the retirement and reissue of national-bank notes at
the pleasure of the banks, the circulation has been steadily decreasing
in amount. This will be seen from the following table, which exhibits the
total outstanding circulation, not including mutilated notes in transit,
upon the 1st day of January for the last ten years, and also upon November 1 of the present year :
Jan. 1, 1868
Jan. 1, 1869
Jan. 1, 1870
Jan. 1, 1871
Jan. 1, 1872
Jan. 1, 1873

8209,846,206 I Jan. 1, 1874 .
299,747,569 I Jan. 1, 1875 .
299. 629, 322 I J a n . 1, 1876

•

304, 956, 849 Jan. 1, 1877 .
327, 727, 306 Nov. 1, 1877
j 342,541,452

$348, 516, 478
347, 959, 471
341, 653, 672
313, 356, 754
315, 881, 990

ft

The amount of legal-tender notes on deposit for the purpose of retir
ing national-bank circulation was, on November 1, 1875, $20,238,642 ;
on November 1, 1876, $20,910,946; and on November 1, 1877, $13,111,371; and deducting these amounts respectively from the amount of
circulation outstanding at the dates named, the remainder, on November 1, 1875, was $322,944,586; on November 1, 1876, $298,965,250; and
on November 1, 1877, $302,770,619—-or only $2,770,619 more than the
three hundred millions originally authorized.
Since the passage of the act of June 20, 1874, $72,407,545 of legaltender notes have been deposited in the Treasury for the purpose of
retiring circulation, and $63,109,849 of bank-notes have been redeemed,
destroyed and retired. Since the passage of the act of January 14,
1875, $34,386,385 of additional circulation has been issued, and legaltender notes equal to eighty per cent, thereof, or $27,509,108, have been
retired, leaving $354,490,892 of the latter notes outstanding November 17
1877. The amount of additional circulation issued for the year ending
November 1, 1877, was $16,306,030, of which $1,244,520 was issued to
twenty-nine banks organized during the year, having capital amounting
to $2,589,000; and within the same period $20,681,637 of circulation
was retired, without reissue; the actual decrease for the year being
$4,375,607, and the total decrease since January 14, 1875, $35,086,339.
During the year ending November 1, 1877, lawful money to the amount




KEPOET OF THE COMPTROLLER OF THE CURREKCY.

XVII

of $10,405,756 was deposited with the Treasurer to redeem circulation,
of which amount $2,29.1,200 was deposited by banks in liquidation.
The amonnt previously deposited, under the act of June 20, 1874, was
$52,853,500, and by banks in liquidation $0,088,221); to which is to be
added a balance of $3,813,075 remaining from deposits made by liquidating banksprior to the passage of that act. Deducting from the total of
the sums named ($70,221,220) the amount of circulating notes redeemed
and destroyed, and for which no reissue has been made, ($03,109,849,)
there remained in the hands of the Treasurer on November 1, 1877,
$13,111,371 of lawful money for the redemption and retirement of circulation.
The following table exhibits by States the issue and retirement of
circulation during the year ending November 1, 1877, and the total
amount issued and retired since June 20, 1874:
States and Territories.

Circulation retired.
Circulation
issued. I Under act of j Of liquidatj June20, 1874. I ing banks.

Maine ....
New Hasn
Vermont .

1361,940
215,990 !
3, 660, 370 ;
139,300 !

Rhode Island
Connecticut
New York
New Jersey
Pennsylvania
Delaware
Maryland
District of Columbia .
Virginia
"West Virginia,
North Carolina
South Carolina
Georgia
Florida
Alabama
jiasippi .
Louisiana

Texas

372,200 ;
6,214, 140 !
484,300 i
], 543, 120 I
075 I
84,200 i
(59, 700 '•
201, 000 ;
9,000 ;
48, 600 ;
21, 000 j
59, 520 !

Kentucky
Tennessee
"Missouri
Ohio
.
In dian %
Illinois
Michigan
"Wisconsin
Iowa
.
Minnesota

.. . . . . .. ...

. .._
.

. . . .

. . . .

Nebraska
Nevada
Oregon
Colorado
_..Utah
Idaho
Montana
Surrendered to this office and retired

427,890 i
136,375 i
297, 005 j
40,700 I
272,750
211.280
94,930
16,100

84,
3,
29,
10,

658
303
050
350

11 457
335 472
4 600
2 0 P 07i
24.
33,
133,
108,

050
150
953
950

63, 080
100
300
85, 300

8175, 458
13, 103
279, 269
1, 338, 512
204,145
382, 122
3, 865, 730
392,491
2,160, 725
451, 940
169,525
430, 958
! 49, 650
272, 750
211,280
158, 010

90, 000
54. 000
'M), 000
344, 500
54 000
45. 200
414 860
454, 400
270, 970
96, 800
111,000
175 940
292, 200
27, 000
157, 500

547, 860
60, 427
33,118
345, 958
96, 038
517, 135
665 000
820,527
1, 363, 984
402, 822
158, 745
295, 769
360, 914
37 350
55, 550
45. 500
10, 525

200
148, 812
68 350
134, 809
281 257
153, 563
305, 368
36, 550
89, 652
153 (573
70, 550
113 007
* 12,350
800

16, 200
300
633,160
60, 427
33.31c
494, 770
164 388
651, 944
946 257
974, 090
' 1, 669, 352
499, 372
248, 397
449 442
431, 464
150 357
67, 900
800

29, 100
30, 850

74, 600
41, 375

1,750

18, 000

». . . . . . . . . . . . . . .

$170, 800
9, 800
250,219
1, 328, 162
204,145
370, 665
. 3, 5:iO, 258
387, 891
1, 952, 655

Total.

1 750
2, 416, 306

Totals for ths year ending November
1,1877

Add totals from June 20, 1874, to NoV' mber 1,1876
Surrendered to this office between same
dates
Total issues and retirement from June
20,1874, to November 1 1877

II C C




16, 306, 030

15, 578, 847

2, 686, 484

20, 681, 637

22, 814, 855

37,122, 069

7, 722, 449

U, 844, 518
6, 713, 801

39,120, 885

52, 700, 916

10, 408, 933

72, 239, 956

XVIII REPORT OF THE COMPTROLLER OF THE CURRENCY.

The following table exhibits the issue and retirement of national-bank
notes, and the deposit and retirement of legal-tender notes, monthly, from
the passage of the act of January 14, 1875, to December 1 of this year:
National-bank circulation.

Legal-tender notes.

Months.
Issued.
Jan., 1875, (last 17 days).
Feb., "
Mar., "
Apr., "
May, "
June, "
July, "
A g, "
Sept.,
Oct.,
Nov.,
Pec,
Jan., 1876.
Feb.,
Mar.,
Apr.,
May,
June,
July,
Aug.,
Sept.,
Oct.,
!Nov.,
Dec
Jan., 1677
Feb.,
Mar.,
Apr.,
May,
June,
July,
Aug.,
Sep
ept.,

8537,;
l,O(52,<
1, 390,
1, 237,
1. 725,

1, 151. 140
026, 900
.-20, 05i>
100
010
82 I, 220
702, 370
385
380
470, 5 CO
4.-'5, 1,70
144, 8!«'O !
100
1, OAb, 510
1, lily, 780
780, 895
:
1, 0(i'J. 895
<

Oct.,

National-bank notes surrendered to this office
and retired
Totals

\

1,

840 :
931, ooo :
1,1)79,100 '<
1, 452, 250
1, 352, 2.-0
810,310:
837, 040
1, 397, 570
1, :VJ(3. 540
3. 030, 0,10
3, 938, 255

Retired.
$255,
1, 139,
583,
1, 014,
1, 532,
1, 734,
,
,
2. 150,
1, 847,
1, 803,
0
1, 903,
907
898,
1,986
1,949,
1, 853,
1,622
2,087,
4, 744,
2. 8" 1
4, 032
2, 330,
2,201
1, 900
1,410,
1. 447,
2, 250,
1, 319'
1, 435
1, 739
2, 121
1,123,
1,444,
595,
1, 476,
1, 385

Deposited.

$1, 323, 214
3, 283,100
2, 875, 448
2,261,463
1, 637, 309
3, 099, 626
1,886,910
943, 246
2,167, 406
3,241,885
1, 284, 079
2, 006, 950
2, 629, 900
3, 856, 237
5, 304, 0-27
3, 001, <i00
2, 085, 692
2,612,645
1, 232, 831
1,137, 630
1, 776, 085
1, 251, 609
432, 600
870, 975
703, 240
818,247
737, 755
675, 265
682, 240
1, 732, 690
1,610,079
1, 263, 940
787, 3-25
151, 400
261, 600

Retired.

$2, 773,100
1, 175, 140
987, 760
1, 292, 420
1,016,472
509, 400
304, 584
704, 880
764, 472
644, 552
554, 080
329, 748
188, 144
227, 372
404, 208
351, 3«4
153, 056
284, 624
839, 864
959, 024
624,716
855, 916
1, 070, 272
745, 328
1, 583, 260
1, 161, 800
1, 081, 824
648, 248
670,112
1,118,056
1, 061, 232
2, 424, 040
3, 150, 604

9, 238,107
\

38, 32 1, 040

70,966,491

30, 659, 712

The table below gives similar information by fiscal years :
The amount of legal-tender notes, deposited to retire nanational-bank notes, under act of June 20, 1874, is as
follows:
From June 20, 1874, to June 30, 1875
$25. 523, 059
For the fiscal year ending, June 30, Ib76
31, 020, 576
For the fiscal year ending, June 30, 1877
12, 051,107
From June 30, 1877, to December 1, 18^7
4, 074, 343
On deposit June 20, 1874, to retire notes of closed banks...

72, 6fi9,145
3, 813, 675

The amount of national-bank notes retired was as follows:
From June 20, 1874, to January 14, 1875
2,767, 232
From January 14, 1875, to June 30, 1875
15,193,181
For the fiscal year ending June 30, 1876
23,820,909
For the fiscal year ending June 30, 1877
25, 021, 698
From June 30, 1877, to December 1, 1877
6,930,703
Total national-bank notes retired
Less amount surrendered to this office and retired.
Amount redeemed by Treasurer United States
Total legal-tender notes on deposit at date




$76, 482, 820

73, 733, 723
9,238,107
64, 495,616
11,987,204

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Additional national-bank notes have been issued, as follows :
From January 14, 1875, to June 30, 1875
$7,919,825
For the fiscal year ending June 30, 1876
7,411, 260
For the fiscal year ending June 30, 1877
12, 463, 500
From June 30, 1877, to December 1, 1877
10, 530, 055
Of which amount 80 per cent, in legal-tender notes has been
retired, as follows :
From January 14,1875, to June 30,1875
$6, 228, 420
For the fiscaf year ending June 30,1876
5, 999, 296
For the fiscal year ending Jnne 30, 1877
10, 007, 952
From June 30,'lb77, to December 1. 18;7
8,424, 044

XIX

$38,324, 640

30, 659,712

The following summany exhibits concisely the operations of the acts
of June 20, 1874, and of January 14, 1875, down to December 1, 1877 :
National-bank notes outstanding, June 20,1874
$349, 894,182
Amount of same issued from June 20,1874, to January 14, 1875. $4, 734, 500
Amount redeemed and retired between same dates
2, 767, 232
Increase from June 20,1874, to January 14, 1875

1, 967, 268

Total amount outstanding January 14,1875
351, 861, 450
Amount redeemed and retired from January 14, 1875, to date.$61, 728, 384
Amount*suirendered between same dates
9, 238,107
Total redeemed and surrendered
A mount issued between same dates

70, 966, 41)1
„

38, 324, 640

Decrease from January 14,1875, to date
National-bank notes outstanding at date
Greenbacks on deposit June 20,1874, to retire notes of closed banks . . . . . .
Deposited from June 20, 1874, to date, to retire national-bank notes
Total deposits
Circulation redeemed by Treasurer between same dates without reissue..
Greenbacks on deposit at date
Greenbacks retired under act of January 14, 1875
Greenbacks outstanding at date
^
NATIONAL GOLD BANKS.

32. 641, 851
319, 219, 599*
$3, 813, 6 75
72, 669,1 45
76,482,820
64, 495, 616
$11, 987,204
$30, 659,71*2
351, 340, 288

National gold banks were authorized to be organized under the act
of July 12, 4870. The largest amount of outstanding circulation of
these banks was on August 49, 1875, when it amounted to $2,640,000?
upon a capital of $4,630,000. Nine national gold banks were in operation on November 4, 4877, all located in the State of California, with a
capital of $4,300,000, and with circulation amounting to $l,432,120o
These banks are subject to the same restrictions as other national
banking associations. The amount of circulation issued upon bonds deposited is, however, but eighty per cent., and they are required to keep
on hand twenty-five per cent, of their circulation in gold and silver coin,
the notes of the bank being redeemed in gold coin alone. A bill passed
the House of Bepresentatives during the last session, authorizing the
issue of ninety per cent, of circulation upon the amount of bonds deposited
with the Treasurer, and also requiring such banks to keep on deposit
with the assistant treasurer in San Francisco five per cent, of their circulation in gold coin, in lieu of the twenty-five per cent, now required to
be kept on hand, and to redeem their circulating notes at their own




REPORT OF THE COMPTROLLER OF THE CURRENCY.

counter and at the office of tbe assistant treasurer. This bill was
passed too late in the session to be acted upon by the Senate, and its
passage is now recommended.
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, 1877, to secure
the redemption of the circulating-notes of national banks:
Class of bonds.
Loan of February, 1801, (81s)
Loan of July nm\ August, leGl, (6Ls)
Loan of lBO:?, (;«ls)
Five-i weutirs of 1865
Consols of 18(M
Consols of 18H7
Consols of 1808
Ten-fortivs of 1?G4
Funded loan of. 1881
Funded loan of 1891
Funded loan of 1907
Paciiic Railway bonds
Total

Authorizing act.

Rate of interest.

February 8, 1861
6 per cent
July 17 and Augusts, 1861
do
March 3, 1863
do ,
March 3, 1865
j
no
do
i
do
do

I

do

do
I
do
March 3, 1861
\ 5 per cent
1 July 14,1870, and January
do
20,1871.
" !
l
!
do
4k per cent
\
do
4 per cent
July 1,1862, and July 2,1864. 6 per cent

Amount.
$2, 581, 000
36, 145, 800
20, 635, 700
7,000
4, 792, 150
7, 824, 900

1, 962, 000
76, 071, 950
124, 018, 550
45, 089, 700
15, 884,150
• 7,836,000
343, 048, 900

On October 1, 18G5, the total amount of bonds held for this purpose
was $270,250,550, of which $199,397,950 was in six per cents., and
$76,852,600 in five per cents. On October 1,1870, the amount held was
$342,833,850, of which only $95,942,550 were five per cents.; from which
it appears that there has been, during the last seven years, an increase
of $104,147,950 in the five per cents., and a decrease of $164,906,750 in
the six per cent, bonds. During the two years ending November 1,
instant, there has been a decrease of $46,518,662 in six per cents., and
of $38,955,700 in five per cent, bonds; while in the same period
$45,089,700 of four and one-half per cents., and within the last six
months $15,884,150 of four per cent, bonds, have been deposited.
From the above table it will be seen that the amount of bonds pledged
by the national banks as security for their circulating-notes is $343,048,900. This amount consists of $81,984,550 of six per cent, bonds, including $7,836,000 issued to Pacific Railroads, $200,090,500 of five per
cent., $45,089,700 of four and one half per cent., and $15,884,150 of four
per cent, bonds. If that portion of these securities bearing a higher rate
of interest were exchanged for the latest issues of United States bonds,
bearing interest at the rate of four per cent, per annum, the income of
the banks from this source would thereby be reduced $3,865,194.50. The
tax upon circulation paid to the government for the last fiscal year was
about $2,900,000, which is $965,194.50 less than the loss of income to the
banks, if the bqnds held as security for circulation were all exchanged for
the four per cents. That is to say, if circulating notes, free from tax, were
authorized to be issued upon four per cent, bonds deposited as security
therefor, and such bonds should be substituted for the others now on
deposit, the income of the national banks would thus be reduced
$965,194.50. The government would, however, be largely the gainer;
for the purchase by the banks of $327,004,750 of four per cent, bonds
would place the Treasury Department in funds with which to purchase
and retire the same amount of six per cents which have now matured.
The government would thereby save $6,540,095 annually in interest,




REPORT OF THE COMPTROLLER OF THE CURRENCY.

XXI

while it would lose the present tax upon circulation, (82,900,000,) thus
leaving a net annual gain of $3,0 i0,09 5.
The government has now outstanding more than nine hundred millions of six per cent, bonds, which are to be retired before the five per
cents can be called in. When the six per cents shall have been retired, the
banks may still hold the five per cents, of which more than $700,000,000
are now outstanding. If the six per cents held by them should be exchanged for fives, the income to the banks would then be $3,015,000—or
$115,000 more than the amount of taxes paid upon circulation during the
last fiscal year. When the banks shall become the owners of $300,000,000
of the four per cents, it may be fairly presumed that the borrowing-power
of the government will befixedat not above that rate; so that the funding
of the remaining five and six per cent, bonds of the government will be
promoted and hastened. It is also to be presumed that, under the stimulus of renewed prosperity in trade and commerce, and the gradual reduction of the greenbacks, an additional amount of bank currency will be
issued, which will furnish renewed demands from the banks for the four
per cent, issues. It is not probable that during the next ten years the
government debt will all be reduced to a rate of interest below five per
cent.; and it is clearly for the interest of the government, until this can
be accomplished, to receive the four per cents from the banks, free of any
tax upon circulation.
The proposition for the repeal of the tax upon circulation has not
been urged by the national-bank interest; but, if the four per cent,
bonds were authorized to be received as a basis for circulation which
shall be free from tax, it would seem that all of the six per cent, bonds
now outstanding could soon be exchanged for what would then be
rightfully designated the four per cent, consols of the United States.
RESERVE.

It is estimated by the best authorities that the Scotch banks, which
have long enjoyed the reputation of being well managed, and the Jointstock and other incorporated banks of England (not including the Bank
of England) hold not exceeding five per cent, of their liabilities in ready
money. The remainder of their reserves are largely invested in the
English consols, bearing interest at the rate of three per cent, per annum, the average price of which, since 1850, has been about ninety-two
cents to the dollar.
The French Government issues small coupon bonds, or rentes, in
denominations as low as one hundred francs, or about twenty dollars, for
the convenience of those who desire to invest their savings in the public
funds. The recent failures of savings-banks throughout this country,
having on depositlarge amounts of the people's earnings, have suggested
the propriety and policy of the issue by the Government of four per cent,
bonds of a denomination less than fifty dollars. There is but little doubt
that the savings of the people would be largely invested in such bonds,
provided they could be readily negotiated by the holders, when desired,
without material loss.
The national banks in the reserve cities are required to keep a reserve
of twenty-five per cent, upon deposits, one-half of which maybe on deposit
with their reserve agents in the city of New York. The country
banks are required to hold a reserve of fifteen per cent, upon deposits,
three-fifths of which may consist of balances with their correspondents
in the reserve cities. An amount equal to more than one-sixth of
the capital of the national banks, or about $87,000,000, is thus con-




XXII

REPORT OF THE COMPTROLLER OF THE CURRENCY.

tinnally kept on deposit with the banks in the reserve cities. A considerable portion, probably one-half of this amount, is sent by the
banks to their correspondents, not for the purpose of legitimate business, but in order to obtain interest upon idle funds which cannot be
invested by them in available loaus. If authority were given to the
national banks to hold, in four per cent, bondsof a denomination less than
fifty dollars, such portion of their reserve on deposit with their agents as
they might think proper, it would result in a large investment by them in
these securities ; and the savings-bank depositor, if he should so desire,
would then find no difficulty in disposing of these small bonds among
the twenty-one hundred national banks, one, at least, of which is located
in almost every village in the country. This policy would also have the
effect of strengthening the available resources of the banks, and of retaining in their hands a considerable portion of those idle funds which are
now sent to their correspondents in the central cities, and are loaned
by the latter, upon call, to dealers in speculative securities.
It is estimated that an amount, varying from 200 to 600 millions of
dollars, is held in English consols, as a reserve fund, by the banks
of the United Kingdom; and there does not seem to be any good
reason why the four per cent, consols of the United States should not be
employed for a similar purpose in this country; and the Comptroller
recommends that the banks outside of the city of New York be allowed
to hold that portion of their reserves, not required to be kept on hand
in cash, in the small four per cent, bonds which may be issued for the use
of that class of persons now depositing in savings-banks.
The following tables exhibit the amount of circulation, net deposits
and reserve held by the national banks in the States and Territories,
(exclusive of reserve cities,) in New York City, and in the other principal cities, together with the total amount held by all the banks, at
three periods in each year, from 1872 to the present time.
STATES AXD TERRITORIES, EXCLUSIVE OF RESERVE CITIES.

DattS.

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....
M a y 1,1875
J u n e 30,1875
October 1, 1875....
May 12,1876
J u n e 30,1876
October 2, 1876....
April 14, 1877
J u n e 22,1877
October 1, 1877




Reserve held. Classification of reserve.
Liabilities 3.
NumReserve
ber of
Other
Due
banks. Circula- Net de- Total. req'red. Amount toRatio Specie. lawful from
liabiltion.
posits.
money. agents.
ities.

1,616
1, 626
1,689
I, 732
•

L, 737
L, 747

]L,
•

751
L, 755
1,774

]L,

815
L, 845
L, 851

1,853
1, 855
1,853
1, 839
1,844
1,845

Millions
Millions Millions Millions Millions Millions Per cent Millions Millions
2.6
220.1
267.3
487.4
73.1
98.0
20.2
43.2
52.2
1.9
222. 0 268.8
490.8
73.6
101.8
20.7
42.1
57.8
2.0
227. 3 282.1
509.4
76.4
97.8
19.2
43.3
52.5
45.1
105. 7
20.2
1.6
59.0
522. 6
78.4
231. 9 290.7
232. 8 294.9
527. 7
79. 2 108. 9
20.6
1. 7
44.9
62.3
2.1
233.1
303.8
536.9
80.6
110.5
20.6
44.5
63.9
50.1
235. 8 286.2
522. 0
112.6
21.6
2.4
60. 1
78.4
21.3
47.3
62.0
235. 4 287.4
78.5
111.5
2.2
522. 8
2.4
234.1
293. 4 527.*5
79. 2 100.6
19.1
45.5
52.7
47.1
52.1
305. 2 536.7
100.7
18.8
1.5
231.5
80.5
1.6
229. 8 311.5
541.3
81.2
105.2
19.4
45.2
58.4
1.6
230. 7 306.7
537.4
80.7
100.1
18.6
45.2
53.3
56.7
1.9
521.1
78.2
104.5
20.1
45.9
222. 4 298.7
218*1 8
2.5
298. 7 517. 5
77.6
103 8
20.1
44.1
57.2
2.8
218.6
291. 2 509.8
76. 5 100.0
19.6
41.8
55.4
55.9
103.9
20.3
4.2
217.7
293.4
511.1
76.7
43.8
4.2
214.5
290. 9 505. 4
75.9
101.9
20.2
42.7
55.0
4.2
216.5
289. 4 505.9
76.0
95.4
18.9
42.3
48.9

REPORT OF THE COMPTROLLER OF THE CURRENCY.

XXIII

N E W YORK CITY.

Dates.

April 19,1872
June 10,1872
October 3,1872
April 25,1873
June 13,1873
September 12,1873
May 1 1874
June 26 1874
October 2,1874
May 1 1^75
June 30, 1875
October 1, 1875
May 12 1876
June 30, 1876
October 2 1876
Anril 14 1877
June 22, 1877
October 1,1877

Reserve held. Classification of reserve.
Liabilities.
XumReserve
ber of
Eatio
Other
Due
banks. Circula- Xet de- Total. reared. Amount to liabil- Specie. lawful from
tion. posits.
ities.
money. agents.
51
51
50
49
49
48
48
48
48
48
48

48
47
47
47
47
47
47

Millio7is Millions Millions Millions' Millions Per cent Millions Millions Millions
50.1
28. 6 172. 0 200. 6
11.9
41.5
53. 4
26.6
15.2
65. 6
50.4
28. 3 196. 9 225. 2
56. 3
29.1
6.4
46.5
26.1
158. 0 186.1
39.0
45.4
24.4
47.3
163. 6 191. 6
47.9
24.7
28.0
34.2
13.1
53.6
27, 7 186. 5 214. 2
64. 4
23. 6
40. 8
30. 1
46. 9
50.0
14.6
23. 4
172. 7
32. 3
20U. 2
27.5
234. 8
27. 2 207. 6
71.3
25. 0
46.3
58. 7
30.4
2 3 9 {]
15 5
30 9
26 °
206 4
71 8
56 3
58 1
68.3
14. 4
25. 3 204. 6
53. 9
29. 7
229. 9
26 4
67
57 8
54 6
21 0 197 5 218 5
51 1
76. 6
59. 4
13.7
62. 9
32. 2
19. 2 218, 4
2-J7. 6
r~ -t
18. 3 202. 3 220. 6
60. 5
5. 0
55 5
27! 4
49 9
53. 4
196 6
16.1
16.0
37 4
27.2
180 5
30. 8
65. 1
18. 1
52. 8
15. 6 195. 8
47.0
211. 4
•)[•>
i
53.2
14. 8 197. 9
60. 7
14. 6
46. 1
28. 5
191 9
°0S 1
5-> 0
54 9
15 8
39 1
26 4
16 2
23. 6
259. 6
61.3
15. 9 243. 7
11. 7
49. 6
61. 9
47. 6
48. 1
13.0
35.1
25.2
15.4
174.9
190. 3

OTHEP EESE1tVE

April 19, 1872
June 10, 1872 . . . .
October 3, 1872....
April 25, 1873
June 13, 1873
September 12,1873
May 1, 1874
June 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....
April 14, 1877
J u n e 22, 1877
October 1, 1877

176
176
180
181
182
181
179
180
182
183
183
188
189
189
189
187
187
188

CITIES.

Millions Millions Millions Millions Million* Per cent Millions Millions Millions
65. 1
5.1
76. 6 183. 9 2tiO. 5
27.4
71.4
36. 4
29. 9
68.7
2.8
76.8
28.8
79. 1
42.6
198. 1 274. 9
33.7
64.4
257. 7
1.9
78.1
25.9
66.8
36.7
179.6
28.2
26.4
68. 6
72.4
2. 2
78.2
40.4
196. 0 274. 2
29.8
72 2
2.7
78. 2 210. 5 2*8. 7
28.0
80.8
43.2
34. 9
68. 8
3.2
77.8
26. 1
71.8
36.3
197. 5 275. 3
32.3
72.1
84.2
288. 2
29.2
5.1
210.9
77.3
45.4
33.7
74.0
4.5
296. 0
76. 9 219.1
29. 5
47.4
87.4
35.5
73. 3
4.5
73.1
25.9
40.4
219. 9 293. 0
76.0
31.1
25.0
72.0
72. 2
2.4
41.1
217.9
288. 7
70.8
28.5
73.7
3.7
26.4
69. 1 225. 5 294. 6
43.0
78.0
31.3
73.1
25. 5
69.4
1. 5
40.7
222. 9 292. 3
74.5
32.3
68.9
30.0
213. 9 275. 6
72 7
61.7
30.1
3.8
38.8
69. 8
4.7
279. 0
27. 9
60.0
42.4
219.0
77! 8
30.7
68.7
4.0
274. 7
27.7
5i. 4 216.3
40. 1
76.1
32.0
26.7
7.1
67.6
270. 3
72.3
60. 8 209.5
36.1
29.1
73. 3
5.4
26.3
59.6
44.7
233. 7 293. 3
77.2
27.1
65. 9
5.6
25.5
60.0
37.3
203.4
263. 4
67.3
24.4
SUMMARY.

April 19, 1872
June 10, 1872
October 3, 1872....
April 25, 1«73
J u n e 13, 1873
September 12,1873
M a y l 1874
June 26, 1874
October 2,1874 . . . .
May 1, 1875
J u n e 30, 1875
October 1, 1875
May 12,1876
June 30,1876
October 2, 1876
April 14, 1877
J u n e 22, 1877
October 1, 1877....




1,843
1, 853
1,919
1,962
1 968
1, 976
1,978
1, 983
2,004
2,046
2, 076
2,087
2,089
2,091
2, 089
2, 073
2, 078
2,080

Millions i Mill ions Million* Millions Millions Per cent Millions Million* Millions
S3. 5
188.4
121. 2
19.6
325. 3 623. 2 948. 5
222. 9
82.1
990. 9
24.9
198.6
134.9
20.0
327.1
663.8
246.5
91.6
22.1
187.4
119.0
10.2
333.5
619. 8 953.3
209. 9
80.7
194.9
225 4
22.8
650. 3 988.4
16.9
119.7
338.1
88.8
24.7
204.9
129. 0
254! 1
28.0
338.8
691. 9 1,030.7
97.1
22.6
19. 9 113.1
338.4
674.0 1, 012. 4 199. 5 229.1
96.1
25. 7
340.3
704.7 t, 045. 0
32. 5 141.8
209. I 268.1
93.8
25.7
150.9
270. 7
22.3
338. 5 713.0 I, 051. 5 210.6
97.5
1,050.4
23.3
210.0
244.9
21.3
139.8
332. 5 717. 9
83.8
22.1
10.6
139.3
323. 3 720. 6 1, 043. 9 207.3 230. 5
80.6
151.1
318. 1 755. 4 1, 073. 5 214. 3 259. 8 • 24.2
19.0
89.7
8.1
22.3
141.4
318.4
731.9 I, 050. 3 208. 9 235.1
85.6
23.2
122.1
300.2
21.7
693.1 993. 3 196.3 230.6
86.8
24.5
294.4
713.5 I, 007. 9
200. 2 246.7
25.3
133. 5
87.9
997. 2
23.7
291. 8 705.4
198. 4 236.8
21.4
128.0
87.4
23.4
196.3 231.1
119.0
294. 7 694. 8 989.5
27.1
85.0
22.7
290. 0 768. 3 1, 058. 3 214.1
240. 4
21.3
137. 0
82.1
959. 6
189. 5 210.8
22.0
291. 9 667.7
22.8
114.7
73.3

XXIV

REPORT OF THE COMPTROLLER OF THE CURRENCY,

Previous to the passage of the act of June 20, 1874, the national banks
were rquired to hold a reserve upon circulation and deposits. By that
act the provisions requiring a reserve to be kept upon circulation were
repealed; but the banks were required to deposit with the Treasurer of
the United States lawful money, equal in amount to five per centum of
their circulation, as a redemption fund, which fund was authorized to be
counted as a part of the reserve upon deposits, In the table above given
this redemption fund, on and after June 20, 1874, is included in the
item of u other lawful money/7 and the ratio of reserve, as given, is upon
both circulation and deposits.
The following table exhibits the amount of net deposits, and the reserve
required thereon by the act of June 20, 1874, together with the amount
and classification of reserve held, at ten different dates, from October 2,
1874, to October 1, 1877, the date of the latest returns from the banks.
S T A T E S A X D 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 .

Reserve held.
XumDates.

Amount

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
April 14 1877
J u n e 22 1877
October 1 1877

Classification of res< rve.

Xet de- R e s e r v e
Spec,.

Other
Due
Redemplawful from
tion
money. agents. fund.

Millions Millions Millions Percent. Millions Millions Millions Millions
44. 1. 100. 6
34 3
2 4
293. 4
33.6
11. 9
52 7
100.7
32.9
1.5
1,815
306. 2
46.0
35.2
11.9
52.1
105 1
1 845
312. 6
33. 6
33. 5
11.6
47.0
1. 6
58.4
100.1
1, 851
307. 9
46.3
32.5
33. 7
53.3
11.5
1.6
909 4
45. 0
1 853
104.5
34.9
1. 9
34. 9
56.7
11.0
1 SH
299 5
103. 8
34.7
33. 2
57.2
10.9
4'). 0
99. 9
291. 7
34.3
31.0
55. 4
10.8
1, £53
2! 7
43.8
103. 9
1 839
294 2
44. 2
35. 3
•4. 2
33 1
55.9
10.7
43 8
35. 0
] £44
101. 9
4 °
32 1
55 0
2<>1 6
10 6
95. 4
10.7
290. 1
43.6
32. 9
4.2
31.6
48.9
1, b!5
1 774

XETV YORK C I T Y .

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.
April 14, 1877..
J u n e 22,1877...
October 1,1877.

Millions Millions Millions\Per cent. Millions Millions
52.4
51.2
08. 3
33. 4
14.4
49.4
29.2
. 6.7
49,9
197. 5
35.1
13.7
61.8
218. 4
54. 6 [ 76. 6
29.9
5.0
54. 4
202. 3
60.5
50. 6
29. 6
36.5
180.5
45.1
53. 4
16.0
47
33. 2
18.1
46. 2
195. 8
49.0 j
47
30.7
14.6
45.3
197. 9
49.5 1 60.7
47
38. 2
54. 9
28.6
47
191.9
48.0 ;
15. 8
48,7
243. 7
60. 9
61.3
25.1
47
11.7
174.9
43. 7
48. 1
34.3
13.0
47

Millioni Millions

1.5
1.2
1.1
1.1
0.9
0.8
0.8
0.9
0.9
0.8

48
48
48

OTHER RESERVE CITIES.

October 2, 1874.
May 1,1875 .

Millions Millions Millions Per cent jMillions\Millions\Millions Millions
3.7
34. 3
182 i 221.4
55.3 I 76.0
34.3
4.5 j 36.7
31.1
2.4
37.4
28.6
3.6
72.1
32. 9
183 I 219.3
54.8 |
39.3
31.3
3.6
3.7
34. 4
l-'3 I 226. 9
56. 7 \ 77.9
37.1
32.3
3.6
74.5
33. 3
1.5
1-8 I 223.9 I 56. 0 j

J u n e 30,1875
October 1, 1875
May 12, 1876
J u n e 30,1876
October 2,1876

18%[ 214.6
1*4'! 219.6
189 j 217.0

53.6 j
54.9 !
54.2 !

April 14,1877...
J u n e 22,1877
October 1,1877

187 ! 210.2
187 ; 234.3
188 I 204.1

58. 6
51.0




33. 9
35. 4
35. 1
77.2
67. 3

3.8
4. 7
4.0

35. 7
39.4
37.1

30.1
30.7
32.0

3.2
3.0
3.0

34. 4
32. 9
33. 0

7.1
5.4
5.6

33.1
41.6
34.3

29.1
27.1
24.4

3.0
3.1
3.0

RETORT OF THE COMPTROLLER OF THE CURRENCY.

XXV

SUMMAHY.
Classification of reserve.

I Reserve held.
Num-

N e t de^.\VO»IU.

DiU.es.

| Other Due Redemp| lawful from : tion
| money. agents. ; fund.

MiV

°%mOmt^<>

Millions Millions Millions Percent.
2,004 ! 719.4
244.9 ; 34.0
150. 6
2. 046 | 723. 0 | 150.2
230. 6
31.9
259. 6
2,076
757. 9 j 158.3
34. 3
23o! 1
32.0
\ 2,087
734.1 j 152.9
694,5
143.7
2,089
230.7
33.2
246.1
714. 9
148. 9
34. 5
2, 091
2,089
70G. 6
147. 5
236.7 ! 33. 5
2, 073
69G. 3
144. 7
231.1 |
33.2
770. 6
103. 3
2. 078
240.4 !
31. 2
669.1
138. 3
31. 5
2,080
210.8

October 2, 1874
May 1,1875
J u n e 30,1875
October 1,1875
M a y 12,1876
J u n e 30,1876
October 2,1876
A p r i l 14,1877
J u n e 22,1877
October 1,1877

Millions'Millions Millions Millions
I 21.3 j 122. 7 j 83.8 j
122.7
17.1
10.6
122. 5
80.7 !
3 0. 7
134. 6
89.7 '•
19.0
HJ. 3
85.6 i
125. 2
8.1
10. 2
15.1
107. 1
86. 8 \
1 21.7
14. 7
|
118. 8
87.9 l
25. 3
21.3
113. 4
87.4 !
14. G
|
•iBfl
85.0 '
104. 4
27.1
14.6
21.3
122. 4
82.1
14. 6
22.8
100! 2
73.3
14.5

la the above table, as will be seen, the redemption fund is given separate from the lawful money reserve on hand, and from the amount due
from reserve agents.
The following table, compiled from weekly returns to the 'Bew York
clearinghouse, exhibits the average liabilities, (consisting of circulation
and net deposits,) and the reserve held, together with the average
amount of legal-tender notes and specie, and the ratio of each to liabilities, of the New York City national banks, in October of each year,
from 1870 to 1877.
Reserve held.
Dates.

Ratio to liabilities.

Liabilities.
Legal-tenders.

Specie.

Legaltenders.

Total

Specie.

Total.

Per cent. Per cent. Per tent.

October
October

October
October
October
October
OctoberOctober

1870
1871
1872
1873
1874
1875
1876
1877

$194,
209,
194,
157,
222,
212,
204,
180,




034 979
421, 950
103, 050
171, 475
510, 980
787, 180
033, 625
508, 750

$46
45
42
7
51
49
42
35

603, 058 ; #10,702.843
799, 550
8, 769, 000
954, 675 !
9, 607, 900
417, 075
10, 707, 700
594. 320
12, 873, 060
834, 040
C, 278, 840
901, 875
15, 876, 325
204,175
14, 672, 125

£57 365 901
54 568
5-2 562,
18 124
64 467
56 112
!<8 778,
49 876,

550
575
775
380
880
200
300

24.0
21.9
22.2
4. 7
23. 2
23. 4
21.0
18. 9

5.6
4.2
4.9
6.8
5. 8
3.0
7.8
7. 8

29 6
26 1
1
11 5
29 0
26 4
28 8
26 7

XXVI REPORT OF THE COMPTROLLER OF THE CURRENCY.

The following table exhibits the movements of lawful-money reserve,
consisting of specie and legal-tender notes, of the New York City national banks, weekly, during the month of October, for the last six years :
AVeek ending'—

October 5, 1872
October 12, 1872
October 19, 1872
October 26, 1872
October 4, 187:5
October 11,1873
October 18, 1873
October 25, 1873
October 3, 1874 .
October 10,1871 .
October 17, 1874 .
October 24,1874 .
October 81, 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
October 6,1877
October 13,1877
October 20,1877
October 27,1877

Specie.

;
j
j

!
!

i
|

$8, 469, 700
10, 070, 200
10, 657,400
!). 234, 300
9, 240, 300
3 0, 506,900
11, 650, 100
11, 433,500
15, 373,400
14, 517,700
12,691, 400
11, 457,900
10, 324.900
5,438, 900
200
5, 710,
500
5. 528,
000
5, 735,
8, 975,600
17,682, 600
600
16, 233,
15,577, 500
14, 011,600
14,665, 600
14, 726.500
14, 087,400
000
15, 209,

Legal-tenders j

$37, 998, 500
40, 675, 100
46, 260, 100
46, 885, 000
9,251,900
8, 049, 300
5, 179, 800
7, 187, 300
53, 297, 600
52, 152, 000
51, 855, 100
49, 893, 900
50, 773, 000
56, 181, 500
51, 342, 300
48, 582, 700
47,300,9.0
45, 762, 800
45, 535, 600
43, 004, 600
41, 421, 700
41,645, 600
36,168, 300
35, 178, 900
35, 101, 700
34, 367, 800

Total.

Ratio to
liabilities.

$46, 468, 200
50, 745, 300
56,917,500
56, 119,300
18,492,200 I
18,556,200 I
16, 829, 900
18,6-20,800
68,671,000
66, 669, 700
64, 546, 500
61, 351,800
CO, 097, 900
61, 620, 400
57, 058, 500
54, 111,200
53, 035, 900
54, 738, 400
63, 218, 200
59,238,200 \
56,999,200
55,657,200
50,833,900 I
49, 905, 400
49, 189, 100
49, 576, 800

24.9
26.8
28.6
27.8
11.6
11.6
10.7
12. 2
30. 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
27.0
26. 7
26. 5
26.8

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. Tables will also be found in the Appendix, showing the state of the lawful money reserve of the national banks,
as shown by their reports, from October 8, 1870, to October 1, 1877,
together with a similar table showing the reserves, by States and principal cities, for October 1, 1877.




REPORT OF THE COMPTROLLER OF THE CURRENCY. XXVII
SPECIE IN BANK, AND ESTIMATED SPECIE IN THE COUNTRY.

The table below exhibits the amount of specie held by the national
banks at the dates of their reports, for the last nine 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 Xew York City.
Dates.
Coin.

| TJ. S. coin- CheckvS payaI certificates,
ble in coin.

623 24 $6,390,140 $1,536, 353 66
Oct. 5,1868..
Jan. 4, 1869.. 1, 902,769 48 18, 038, 520 2, 348,140 49
3, 720, 040 1,469, 826 64
Apr. 17, 1869.. 1, 652,575 21
975, 015 82
J u n e 12,1869.. 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,
2, 190,644 74
036 29 28,501,460
Mar. 24, 1870.. 2, 647,908 39 21, 872, 480 1,069, 094 30
June 9, 1870.. 2, 942,400 24 i 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 I 14,063,540
3, 748,126 87
Mar. 18, 1871.. 2, P82,1;;5 61 13,099,720
3, 829,88.1 64
Apr. 29, 1871.. 2, 047,930 71
9, 845, 080 4, 382,107 24
J u n e 10, 1871.. 2, 249,408 06
9,161,160
3, 680,854 92
Oct. 2,1871.. 1. 121,
628 44
7, 590, 260 1, 163,
80D 40
Dec. 16, 1871.. 1, 454,930 73 I 17,354,740
4, 255,631 39
Feb. 27, 1872.. 1, 490,4L7 70 I 12,341,060
3, 117,100 90
Apr. 19, 1872.. 1, 828,659 74 10,10-2,400
4, 715,364 25
June 10, 1872.. 3, 782,909 64 ! 11,412,160
4,219, 419 52
Oct. 3, 1872.
920 767 37 i 5. 454, 580
Dec. 27, 1872.. 1, 306,091 05 [ 1'2, 471, 940
Feb. 28, 1873.. 1, 958,769 m 11,539,780
Apr. 25, 1873.. 1,344,
I 11,743,3-20
J u n e 13, 1873.. 1, 442 950 93 I 22, ! 39, 080
Sept. 12, 1873.. 1, 063,097 71 I 13,522,600
210 55
Dec. 26, 1873.. 1, 376,
j 18,3-25,760
Feb. 27, 1874.. 1, 167,170 50 ! 23,518,640
May 1, 1874.. 1, 530,820 09 23, 454, 6(50
J u n e 26, 1874.. 1, 842,282 10 13, 671.6fiO
Oct. 2,1874.. 1,291, 525 00
Dec. 31, 1874.. 1, 443,786 56 13, 114, 480
Mar. 1, 1875.. 1, 084,215 42 14, 410. 940
555 54 10, 622! 160
May 1, 1875..
930, 105 76
5, 7531 220
June 30, 1875..
Oct. 1, 1875.. 1,023. 015 86 12, 642, ISO
4,201,720
753! 904 90
Dec. 17, 1875..
869' 436 72 12,532,810
Mar. 10, 1876..
3, 261,131 36 19,086, 9-20
May 12, 1876..
15, 183, 760 !
June 30, 1876..
1, 214,522 92 | 16, 872, 780 !
Oct. 2, 1876.
Dec. 22, 1876.. 1, 129,814 34 ! 13, 446, 760 !
Jan. 20, 1877.. 1, 434,701 83 21, 602,900 |
Apr. 14, 1877.. 1, 669,284 94 33,629,660 |
J u n e 22. 1877.. j! 1,9/0, 725 59 13, 899, 180 I
Oct. 1,1877.. 1,423, 258 17 10,324.320 !
i 1,538, 486 47 11,409,920 j

Total.

I Held by other
jl
national
ij b a n k s .
•'

$9, 625,116 90
22, 2«9, 429 97
6, 842, 441 85
15,471,229 78
19, 704, 589 45
36, 888, 141 03
25, 589, 482 69
22, 767, 226 12
13,135, 649 33
20, 080, 248 83
19,911,757 25
16, 275, 117 95
15, 091, 422 98
9, 875, 757 84
23, 065, 302 12
16, 948, 578 60
16, 646, 423 99
19, 414, 489 16
6, 375, 347 37
131 778, 031 05
13, 498, 549 86
13, 088, 250 93
23, 581,177 71
14.585,810 55
19. 701, 930 50
24, 686, 460 09
24. 984, 942 10
15^514,185 00
14. 406, 266 56
15, 854, 155 42
11,706,715 54
6, 683, 325 76
13, 665,195 86
4, 955, 624 90
13. 402, 246 72
22, 348, 051 36
16. 016, 073 70
18. 087, 302 92
14, 576, 574 34
23. 037, 601 83
35, 298, 944 94
151 829, 905 59
111 747, 578 17
121 948, 406 47

Aggregate.

$3,378,596 49 $13,003,713 39
7, 337, 320 29 I 29, 626, 750 26
3,102, 090 30
9,944,532 15
2, 983, 860 70 ! 18, 455, 090 48
3,297,816 37 I 23, 002, 405 83
11,457,242 69 48, 345, 383 72
11,507,060 75 37, 096, 543 44
8,332,211 66 31, 099, 437 78
5, 324. 362 14 18,460,011 47
6, 227, 002 76 26, 307, 251 59
5, 857, 409 39 • 25,769.166 64
!
6, 456, 90!) 07 22,732,027 02
\
4, 833, 532 18'i 19,924,955 16
j
!
3, 377, 240 33 ! 13,252,998 17
l
6, 529, 997 44! 29,595,299 56
8, 559, 246 72 I 25, 507, 825 32
7, 7rt7, 475 47! 24,433,899 46
|
4, 842, 154 98 24,256,644 14
3, 854, 409 42l 10,229,756 79
i
5, 269, 305 40 I 19,047,336 45
1
4, 279,123 67 17, 777, 673 53
3, 780, 557 81 16, 868, 808 74
4,368, 909 01 i 27,950,086 72
!
5, 282, 658 90 ' 19,868,469 45
7, 205, 107 08 26, 907, 037 58
8, 679, 403 49 33, 365, 863 58
it 585, 027 16 32, 569, 969 26
6, 812, 0-22 27| 22,326,207 27
6, 834, 678 67 ! 21,240,945 23
6, 582, 605 62j| 22,436,761 04
4, 960, 390 63 16,667,106 17
3, 937, 035 88 1 10,620,361 64
5, 294, 386 44 ' 18,959,582 30
3, 094, 704 83
8, 050, 329 73
3, 668, 659 18 | 17, 070, 905 90
6, 729, 294 49 29, 077, 345 85
5, 698, 520 66 ! 21,714,594 36
7, 131, 167 00 I 25, 218, 469 92
6, 785. 079 69 ! 21, 361, 654 03
9, 9621 046 06 32, 999, 647 89
14,410,322 61 ! 49,709,267 55
11, 2 H), 132 19 27,070,037 78
9, 588, 417 89 21, 335, 996 06
9, 710, 413 84 22, 658, 820 31

The amount of silver coin held by the national banks ou June 30 and
October 2, 1S7G, was $1,627,566 "and $2,5o7,599, respectively. The
amount held on October 1, 1877, was $3,700,703. The amount of specie
held by the State banks in the New England States, in New York, New
Jersey. Pennsylvania, Maryland, Ohio and Wisconsin, as shown by
their official reports for 1877, was $2,213,978, of which the banks in New
York City held $2,029,160. In the returns from California the amount
of coin is not given separately. The amount of " coin and bank-notes77
returned July 1, 1877, was $20,081,300.
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, 1876, was $181,678,000, of which
$30,113,000 was silver. Assuming this estimate to have been substantially correct, the movement of coin and bullion for the year ending
June 30, 1877, and the amount in the country at the latter date, is
shown from further estimates of the Director of the Mint to have been as
follows:




XXVIII REPORT OF THE COMPTROLLER OF THE CURRENCY.,
Estimated amount of co'n and bullion in the country Juce 30, 1876
Estimated prod net of the mines for the year
Importations for the year
Total
Deduct exportations
Amount used in the arts and mannfactuivs

$181,678,000
82, 000, 000
40, 732, 595

$56, 054, 737
5, 500, 000

304,410,595
61,554,737

Total estimated amount of coin and bullion in the country on June
30, 1S77
".
• 242,855,858

Of this amount, $192,720,230 was in gold coin and bullion, and
$50,135,6^8 in silver coin and bullion. The increase for the fiscal year
was $61,177,858, of which 841,155,230 was in gold coin and bullion, and
$20,022,628 in silver coin and bullion. The Director estimates the
amount of gold coin and bullion in the country on October 31, 1877, at
about $185,000,000, and of silver coin and bullion at about $50,000,000.
PUBLIC DEBT AT TS MAXIMUM—CURRENCY AND ITS COIN VALUE.

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, $684,138,950 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, 1877, and the amounts
outstanding December 1, 1877, are shown by the following table, together with the currency price of gold and the gold price of currency at
each date:
United States issues.

D ate

Legal-tender
notes.

Old demand
notes.

Fractional
currency.

K o t e s of national b a n k s ,
including
gold notes.

Aggregate.

Aug. 31, 1865.
J a n . 1, 1866
Jan. 1, 1867.
Jan. 1, 1868.
J a n . 1, 1869.
J a n . 1, 1870
Jan. 1, 1871.
J a n . 1, 1872
J a n . 1, 1873
Tan. 1, 1874.
J a n . 1, 1875.
J a n . 1, 1876
Jan. 1, 1877.
Dec. 1, 1877.

$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
366, 055, 084
351, 340, 288

§402, 965 £26, 344, 742
392, 070 26, 000, 420
221, 682 28, 732, 8 L2
159, 127 31,597,583
128, 098 34,215,715
113, 098 39, 762, 664
101, 066 39, 995, 089
92, 801 40, 767, 877
84, 387 45, 722, 061
79, 637 48, 544, 792
72,317 46, 390, 598
69, 642 44,147, 072
65, 462 26, 348, 206
63, 702 18, 043, 020

$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
321,595,606
320, 631, 719

#635, 719, 266
750, 820, 228
70y, 076, 860
687, 504, 279
689, 866,110
695, 779, 791
702, 403, 847
726, 826, 109
748, 947,167
777, 874, 367
782, 591,165
762, 523, 690
714, 064, 358
690, 078, 729




Currei icy- Gold-price
price of of $ 1 0 0
iioog old. currency.
$144
144
133
133
135
120

no

109
112
110
112
112
107
102

25
50
00
25
00
00
75
50
00
25
50
75
00
87

$69
69
75
75
74
83
90
91
89
90
88
88
93
97

32
20
18
04
07
33
29
32
28
70
89
69
46
21

REPORT OF THE COMPTROLLER OF THE CURRENCY.

XXIX

TRANSACTIONS OF THE NEW YORK CLEARING-HOUSE.

The exchanges at the clearing house in New York City for the year
ending October 1? 1877, were nearly twenty-one thousand millions, and
the balances paid in money were about one thousand millions. The
average daily exchanges were about sixty-eight and a hall millions, and
the average daily balances paid in money were but about three and onethird millions, or only 4.9 per cent, of the amount of the settlements.
The New York clearing house was organized in 1853, and the following
table exhibits its transactions, and the amount and ratio of currency required for the payment of daily balances, yearly, for the last twenty-four
years:
No. of
banks.

Years.

1854
1855
1856
1857
1858
1859
1860
1*61
1862.....
1863
1864
18i>5
18H6
1H67
1868
1869
1870
1871
1872
1873
1874
1875
1876
1877

.

50
48
50
50
46
47
50
50
50
50
49
55
58
58
59
59
61
62
61
59
59
59
59
58

*Capital.

$47, 044, 9 i0
48, HS4,180
52, 883, 700
64, 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
81,731,200
71, 085, 200

Exchanges.

$5, 750, 455, 987
5, 30 i 912, 038
,
6, 906, 213, 328
8, 333, 226, 718
4, 756, 6li4, 386
6, 448, 005, 956
7,231,143, 0.V7
5, 915, 742, 758
6,871,443,591
14,867,597,849
24, 097, 196, 656
26, 032, 384, 342
28, 717, 146, «14
28, 675,159, 472
28, 4*4, 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
19, 874, 815, 361
20, 676, 555, 937

t73, 052, 302 ^454, 216, 238, 290

Average
Balances paid j Average daily daily balin money. j exchanges. ances paid
in money.

Ratios.

Pr. ct.
5.2
5.4
4.8
4.4
6.6
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
5.1
4.9

$297,411,494
$19,104, 505
289, 694,137
17,412,052
334, 714, 489 | 22, 278, 108
26, 968, 371
365,313,902
15, 393, 736
314,238,911
20. 867, 333
363, 984, 683
23,401,757
380, 693, 438
353,383,944 ' 19, 269, 520
22, 237, 682
415,530,331
48, 428, 658
677, 626, 483
77, 984, 455
885,719,205
84, 796, 040
1,035,765.108
93,541, 195
93,101, 167
9-1 182, 164
121,451,393
90, 274, 479
95, 133, 074
105, 964, 277
111, 022,137
68, 139,434
75,301,558
64, 738, 812
68, 447, 724

:18, 883, 186, 659 | t61, 559, 987 t2, 559, 532

4.2

LOANS AND RATES OF INTEREST OF NEW YORK CITY NATIONAL BANKS.

The following table contains a classification of the loans of the national
banks in New York City, at the dates of their reports in October, for the
last four years:
October 2,
1874.

October 1,
1875.

October 2,
1876.

October 1,
1877.

48 banks.

48 banks.

47 banks.

47 banks.

Loans and discounts.

paper with two or more names
$ lljj, 719, 349 $120,189, 537
18,555,100
19, 959, 609
single-name pnp^r, without other security.
4, 934, 671
4, 721, 638
United States bonds on demand
50, 179,384
51, 453, 68-2
other stocks, bonds, & c , on demand
868, 160
278, 081
reil-estate security
3, 454, 276
5, 735,138
Payable in gold .
3, 908, 602
2, 909, 557
Ali other loans.
Totals.

2)1,777,054 j 202,089,733

$95, 510, 311
16, 634 532
6, 277, 4!>2
58, 749, 574
536, P02
4, 681, 570
1,852,944

$92, 618, 776
15, 80*1, 540
4, 763, 448
48, 376, 633
497, 524
4,319,014
2, 786, 456

184, 243, 225

169,162, 391

* The capital stock is stated at various dates, the amount at a unifoim date in each year not being
attainable.
Yearly averages f jr twenty-four years.
\ Totals for twenty-four years.




XXX

REPORT OF THE COMPTROLLER OF THE CURRENCY.

By reference to this table it will be seen that the total amount of loans
of the national banks in the city of New York on October 1, 1877, was
$169,162,391,which is much less than at the date of any report for the last
seven years. On January 22, 1870, the loans were $168,314,034:, and on
October 8, of the same year, $168,082,085.
The average rate of interest in New York City for each of the fiscal
years from 1874 to 1877, as ascertained from data derived from the
Journal of Commerce and the Financial Chronicle of that city, was as
follows:
1874,
1875,
1876,
1877,

call loans, 3.8 per
call loans, 3.0 per
call loans, 3.3 per
call loans, 3.0 per

cent.;
cent.;
cent.;
cent.;

commercial paper, 6.4 per cent.
commercial paper, 5.6 per cent.
commercial paper, 5.3 per cent.
commercial paper, 5.2 per cent.

The average rate of interest of the Bank of England for the same years
was as follows :
During
During
During
During

the
the
the
the

calendar year ending December 31, 1874, 3.69 per cent.
calendar year ending December 31, 1875, 3.23 per cent.
calendar year ending December 31, 1876, 2.61 per cent.
fiscal year ending June 30, 1877, 2.16 per cent.

The rate of interest in the city of New York, on November 30 of the
present year, as quoted in the Daily Bulletin, was, on call loans, from five
to seven per cent., and on commercial paper of the best grade, from five
and one-half to seven per cent. The rate of interest of the Bank of England was increased to five per cent, on October 11, and was reduced to
4 per cent, on November 29.
TAXATION.

The following table exhibits the amount of taxes paid by the national banks to the United States, yearly, from the establishment of the
system to July 1, 1877, the rate of taxation being one per cent, annually
upon the average amount of notes in circulation, one-half of one per
cent, annually upon the average amount of deposits, and a like rate
upon the average amount of capital stock not invested in United States
bonds:
Years.
1864
1865
1866
1867
1868
1869
1870
1871
1872
1873
1874
1875

,

1876.
1877.
Aggregates..




On 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
2, 899,037 09

On deposits.

On capital.

$18, 402 23
133,251 15
406, 947 74
321, 881 36 !
j
306,781 67 I
j
312,918 68 I
i
375, 962 26 !
{
385, 292 1 3
j
389, 356
454, 891 2 7 I
469. 048 51 |
507,417 02 !
632, 396 76 !
654, 636 16
96
30, 827, 770 27 j 37, 055, 144 58
5, 369, 183 90
395, 811 25
1, 0«7,5?0 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. 19(5,569 29
3, 209,967 72
3,514, 310 39
3, 505, 129 64
3, 445,252 74

Totals.

#167, 310
1, 954,029
5, 146,835
5, 840,ms
5,817, 268
5, 884,888
5, 940,474
6, 175,154
6, 703,
9>0
7,004, 646
7, 083,4iH
7, 305, 134
7, 229,321
6, 998,926

45
0
81

2i
18
99
00
67
67
93
85
04
56
79

79, 252, 098 75

REPORT OF THE COMPTROLLER OF THE CURRENCY.

XXXI

The amounts collected by the Commissioner of Internal Revenue from
State banks and private bankers, during the same period, were as follows :
Tears.
1864
1865
1866
1867
1868
1869
1870
1871
1872
1873
1874
1875
1876
1877

;

"

•

;

On circulation

*

;

;

;

;

;

•

"

§2, 056, 996 30
1 993 661 84
990,278 11
214, 298 75
28, 669 88
It) 565 05
15, 419 94
22. 781 92
8,919 82
24, 778 62
16, 738 26
22, 746 27
17 947 67
5. 430 16

Aggregates.

On capital.
$780, '23
2, 043,841
2, 099,635
1, 355,395
1, 438,512
1, 734,417
2, 177,576
2, 702,196
3, 643,251
3, 009,302
2, 453,544
2, 972,260
2, 999,530
2, 896,637

52
08
83
98
77
63
46
84
71
79
26
27
75
93

;
i
j
I
!
!

!
!
!

32, 306, 827 82 ;

Totals.

$903, 367
374, 074
476, 867
399, 562
445, 071
827, 087
919, 262
976, 057
736, 950
916, 878
1,102, 241
989, 219
927 661

$2, 837,719
4, 940,870
3, 463,988
2, 046,562
1, 866,745
2,196, 054
3, 020,083
3, 644,241
4, 628,229
3, 771,031
3, 387,160
4, 097,248
4, 006,698
3, 829,729

98
11
73
90
49
21
77
61
05
15
58
61
24

I
|
i
!
:
•

9, 994, 302 43 j

82
90
05
46
55
17
61
53
14
4(i
67
12
03
33

47, 736, 362 84

The number and value of two-cent check stamps sold by the Commissioner of Internal Revenue, yearly, cannot be ascertained. The value of
such starups ordered from contractors during thefiscalyears designated
was as follows: In 1874, $1,502,549 ; 1875, $1,949,166 ; 1876, §1,882.941;
and in 1877, $1,889,334.
From the above tables it will be seen that the total amount collected
from the national banks, State bunks and private bankers, during the last
year, was $10,828,656.12, and from the date of the imposition of the
tax to the present time, not including the tax on bank-checks, it was
$126,988,461.59. The total amount of tax paid upon circulation by the
national banks to July 1, 1877, was $36,827,770.27; while the whole expense of this office from its organization to the same date, has been
$4,298,270.34, which, under section 5173 of the Eevised Statutes, is
payable out of the proceeds of this tax. The tax upon the national
banks has been, from the beginning, collected without expense to the
government.
The Comptroller, in August last, issued a circular requesting the national banks to report the amount of State taxes paid by thi.Mii for the
year 1876, and in reply received returns from all the banks continuously in operation throughout the year, 2?046 in number, having an aggregate capital of $488,272,782. From these reports, and the returns made
to the Treasurer, the following table has been prepared, giving the
amount of United States and State taxes paid by the national banks in
each of the States, Territories and principal cities, together with the rates
of taxation upon capital, for the year 1876:
Amount of taxes.
States and Territories.

Capital.*

United
States.

State.

Katios to capital.
Total.

U. S.

State.

Total,

Per ct. Per ct. Per ct.
Maine
$10, 635, 819
$237, 792
$353, 064
1.1
2.2
3.3
$115, 272
New Hampshire
5, 615, 000
97, 255
159, 882
1.1
1.7
62, 627
2. 8
Vermont
8, 722, 369
179, 876
271,653
1.1
3.2
91, 777
2.1
Massachusetts
44, 299, 557
825, 685
1, 322, 913
1.1
1.9
3.0
497, 228
Boston
52, 200, 000
855, 446
1, 560,101
1.4
3.0
1.6
704, 655
Bhode Island
20, 579, 800
480, 185
279, 765
1.0
1.3
2.3
200, 420
Connecticut
26, 015, 834
438, 989
714, 980
1.0
1.7
275, 991
27
New York
35, 326, 077
826, 929
1, 339,162
1.5
3.9
512, 233
2. 4
New York City
65,607,325
3, 476, 637
1.9
3.5
5.4
1, 27<, 956 2,197,681
Albany
|
2, 000, 000
131, 622
67, 972
3.2
3.4
6.6
63, 650
New J ersey
14, 238, 634
496, 536
292, 024
1.4
2.1
3.5
204, 512
Pennsylvania
29, 354, 981
182, 003
599, 327
1.4
0.6
2.0
417,324
Philadelphia
17, 189, 489
119,655
475, 859
2.1
0.7
2.8
356, 204
Pittsburgh
10, 531, 592
56, 620
198, 852
1.4
0.5
1.9
142, 232
* The capital of the banks that paid State, county and muni' ipal taxes on stock and real estate
is $488,272, 782.




XXXII REPORT OF THE COMPTROLLER OF THE CURRENCY.
Table of national and State

taxes—Continued.

Amount of taxes.
Capital.

States and Territories.

Delaware
Maryland
Baltimore
District of Columbia
Washington
Virginia
West Virginia
Xorth 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
Nebraska
Oregon
California*
San Francisco*
New Mexico
Colorado
Utah
,
Idaho
Montana
Wyoming
Dakota .

j
[
j
|
j
|
!
j
•
'
j
;
;
|
\
I
i
j
j
•
'

State.

822,030 I
31.280 !
142, 102 |
4,478 ;
15,246 !
51,297 !
21,783 |
31,021 !
31,793 !
26,265 :
941
19,184
53, 388
14,518
2,055
79,609 '
42,676 :
49,251 '<
274,814
74, 720 <
49,454 i
210,769 I
173, 495
154.246 !
100,414 !
31,078 I
43, 783 i
14,207
91, 667 ;
60,336 !
35, S24 :
73,344 i
20, 722 !
21,839 ;
6,319 ;
17,4*4
23,526 !
3, 976
18 276
o 840
1, 278
(5, 811
1, 976
8!U

$1,571,730
2, 299, 960
11, 491, 985
252, 000
1. 300, 000
3, 339, 307
1, 746, 000
2, 499, 499
3, 172, 500
2, 504, 317
50, 000
1, 690, 412
3, 436, 7e6
1, 038, 782
205, 000
7, 259, 611
3, 095, 500
3, 401, 449
20, 757, 903
4, 373, 680
4, 550, 000
17, 781, 910
11,728,823
6, 950, 123
8, 238, 899
1, 900, 000
2, 527, 322
650, 000
6, 430, 308
4, 455, 478
2, 574, 000
5, 742, 5m
1. 369, 1(>7
' 975, 000

1, 700, 000
2, 675, 000
300, 000
824,0-25
250. 000
100, 00;)
350, 000
125, 000
50, 000

501,788,079

Totals.

United
States.

Total.
$28, 930
59, 326
371, 586
8,384
29, 342
123, 124
50, 661
70, 954
116,656
6^, 029
1,889
36, 072
59, 922
33, 575
4,885
112, 196
57, 252
119, 730
834, 312
202, 807
163, 526
635, 673
405,188
355, 112
228, 860
59, 711
97, 282
32, 813
214,186
147, 259
89, 404
149, 415
55, 240
45. 113
ft| 869
20, 947
24, 231
7, 489
741
35,465
3, 648
16, 372
15, 343
1, 527

£6, 900
28, 046
229, 484
3, 906
14, 096
71. 827
28, 878
39, 933
84, 863
41,764
948
16, 888
6, 534
19, 057
2, 830
3>. 587
14, 576
10, 4T9
55l> 498
128, 087
114,072
424, 904
231, 693
200, 8t>G
128, 446
28, (533
53, 499
18, 606
1-22, 519
8li, 923
53, 580
76, 071
34,518
23. 274
2, 550
3, 463
705
3, 513 !
1«, 465
625 !
2, 370
9' o*51
3,' 367
636

7,076,0d7 , 9,701,732

Ratios to capital.

16,777,819

U. S.

State.

Total

Per ct.
1.4
1.4
1.2
1.8
1.2
1.5
1.2
1.2
1.0
1.0
1.9
1.1
1.6
1.4
1.0
1.1
1.4
1.4
1.3
1.7
1.1
1.2
1.5
2. 2
1.2
1.6
1.5
2.2
1.4
1.4
1.4
1.3
1.5
2. 2
2. 7
1.0
0. 8
1.3
2.2
1.1
1.3
1.9
1.6
1.8

Per ct.

1.2
2. 2
1.3
2.4
2. 7
2! 7
1.3

Per ct.
1.8
2.7
3.2
3.0
2.3
3.6
2 9
2! 8
3.7
3.0
3.8
2.1
1.8
3.3
2.4
1.6
1. 9
3.5
4. 1
4.6
3.6
3.7
3.5
5.2
2.8
3.1
3.4
5.1
3.4
3.4
3.6
3.9
4. 5
4.7
3.7
1.2
0. 6
2. 5
4.4
2.4
3.7
4.6
4.3
3.1

1.4

2.0

3.4

0.4
1.3
2.0
1.2
1.1
2.1
1.7
1.6
2.7
2.0
1.9
1.0
0.2
1.9
1.4
0.5
0.5
2.1
2.8
2.9
2.5
2.5
2.0
3.0
1.6
1.5
1.9
2.9
2.0
2.0
2 2
2^6
3.0
2 5
1.0
0.2

Similar tables for the years 18G7, 1869, 1874 and 1875 will be found
in the Appendix. Statements of the amount of State and municipal
taxes paid by the national banks for the year 1866 were also received,
but were not tabulated by States. From the data for the years named,
estimates have been made for 1868, 1870, 1871, 1872 and 1873, and a
table has been prepared, showing the amount of national and State taxes
paid yearly by the national banks, for the last eleven years, as follows:
Ratio of tax to capital.

Amount of t a x e 3.

Years.

1866
1867
1868
1869
1870
1871
1872
1873
1874
1875
1876

Capital st)ck

$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, 751, 679
503, 687, 911
501, 788, 079

United States.
§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
7, 076, 087

State.

Total. •

U. S.

State. Total.

Per ct Per ct. Per ct.
$8,
8,
8,
7,
7,
7,
8,
8,
9,
10,
9,

069, 938
813, 127
757, 656
297. 096
465, 675
860, 078
343, 772
499, 748
620, 326
058, 122
701, 732

$16,
18,
18,
17,
17,
18,
15,
15,
16,
17,
16,

019,
338,
223,
378,
656,
509,
047,
504,
876,
375,
777,

389
734
308
340
357
973
682
394
409
653
819

1.9
2.2
2.2
2.4
2.4
2.4
1.4
1.4
1.5
1.5
1.4

2.0
2.1
2.1
1.7
1.7
1.7
1.8
1.8
2.0 •
2.0
2.0

•California banks pay no State taxes on capital, except such as is invested in real estate.




3.9
4.3
4.3
4.1
4.1
4.1
3.2
3.2
3.5
3.5
3.4

REPORT OF THE COMPTROLLER OF THE CURRENCY. XXXIII

The rates of taxation—national, State and total, upon national-bank
capital, in those States in which the rate of taxation has been highest
for the last three years, are as follows:
1874.

1876.

Lr.75.

States.

u. s.

.2. 9
2. 1
2 2
2.6
2. 2
2. 3
3. 3
3. 3
3. 6
2. 2

1.9
1.5
1.4
1.2
1.8
1.8
1.5
2.0
1.1
1.5

New York
New Jersey . . .
Ohio
Indiana
Illinois
Wisconsin.....
Kansas
Nebraska
South Carolina
Tennessee

Total, j XL S. | State. | Total. j U. S. ! State. | Total.

State

4.8 i
3.6 !
3.6 ;
3.8 I
4.0
4. 1
4. 8
5.3
4.7
3.7

1.8
1.5 j
1.4 I

2.9
2.1
2.4 i
2.6 i
2.4
2.1 I
3.2
2.3 :

i. 2 ;
1.8 !
1.7 ;
1.4 !
2.2 !
1.1 i
1.4 |

i

3.4

2.3 I

4. 7
3.6
3.8
3.8
4.2
3.8
4.6
4. 5
4.5
3.7

1.8
1.4
1.3
12
1.8
1.7
1.5
2.2
1.0
1.4

4.9
3.5
4.0
3.7
4.2
3.8
4.5
4.7
3.7
3.5

3.1
2.1 !
2.7 j
2.5 j
2. 4 ;
2.1 :
3.0 i
2.5 j
2.7 |
o 1 l

The unequal taxation imposed upon national-bank capital in the
principal cities of the country is shown in the following table, which
gives the rates of national and State taxation in the cities named, for
the years 1875 and 1876:
Rates of taxation.
Cities.

1876.
United
States.

Boston
New York
Albany
Philadelphia
Pittsburgh
Baltimore

..

• ..

State.

1.4
2.0
3.0
2.0
1.4
1.3
1.4
1. 6

1.9
3.1
3.6
0.8
0.5
2.0
0.3
0.3

.....

.

...... ......

New Orleans

1.3

.. ...

Saint Paul

3.3
5.1
6.6
2.8
1.9
3.3
1.7
1.9

0.5

20
1.1
2.3
1.8

3.0
2.8

1.8

1.4
1.9
3.2
2-1
L. 4
L.2
L. 2
fi
4
L. 7
1

State.

2. 2

Total.

1.6
3.5
3.4
0.7
0.5
2.0
1.1
0.2

3.0
5.4
6.6
2.8
1.9
3.2
2.3
1.8

0.5

1.9

4.6
3.4
4.8
3.1
5.3

2.6
2.3
2.5
1 3

2.3
1.2
1.3

Cincinnati
Cleveland
Giiicago
Detroit

Total. United
States.

2.2
1.6
2.2

2.9
25
3.0
1.5
2.9

4.0
3.5

1.3
1.2

2.6
1.8

4.6
3.6
5.2
3.1
5.1
3.9
3.0

The following table gives, by geographical divisions, the amount, with
the ratio to capital, of State and national taxation, for the years 1874,
1875 and 1876:
1874.
Amount of taxes.
Geographical divisions.

Ratios to capital.

Capital.*
U.S.

State.

Total.

New England States. . . . . 6160, 517,266 61, 896, 533 $2, 980, 484 $4, 877, 017
190,162,129
3, 325, 425
7, 236, 796
Middle States
3, 911, 371
33, 558, 483
436, 540
954, 332
Southern States
517, 792
Western States and Terr't 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. v 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

* The capital of the banks which reported State taxes in 1874 was $476,836,031, in 1875 $493,738,408,
and in 1876 #488,272,782.
Ill C C




XXXIV REPORT OF THE COMPTROLLER OF THE CURRENCY.
1875.
A m o u n t of taxes.

i

Geographical divisions. !

Capital.

6164
New England States
193
Middle States
Southern States
i 3^
"Western States and Terr's : in

United States

Stat 3.

US •

316. 333
585. 507
485, 483
300, 588

; 503 687,911

61. 937, 016 ' 63,
3 300. 4D8 , 4,
445,048 1
1 634,969
2,

016, 537
062. 459
476, 236
502 890

7 317, o i l \ 10, 058, 122

Ratios to capital.
Total.

U.S.

State. Total.
Per ct.
3.0
3. 8
2.7
3.9

Per ct.
1.2
1.7
1.3
1.5

Per ct
1.8
2.1
1.4
2.4

17 ,375 653

1.5

2.0

3.5

|4, 862, 773
7, 215, 563
854, 945
3, 844, 533

i

1 7

1 •i
1 4

1 .3
3

2.3
3 9
2. 6
3.7

16, 777, 319

1 4

2

0

3.4

$4 ,953
,36v>
921
4 ,137

553
957
284
859

1876.

New England States
Middle States
j
Southern States
'
Western States and Terr's
United States ., , .

8168,068,379 I $1, 947, 970 $2, 914. 808
192 163 773
3 190,247 ' 4, 025, 316
431. 164
33 439, 193
423, 781 !
103,116, 734 | 1,514,039 : 2, 330, 444
501,788,079

7,076,087

9, 701, 732

In my report for 1870, a table, arranged by States and principal
cities, was given, exhibiting the losses charged off by the national banks
during the two dividend periods, of six months each, ending respectively on March 1 and September 1, 1376, the information having been
derived from the dividend reports made to this office under section
5212 of the Kevised Statutes. A similar table is herewith presented,
showing tlie losses charged off, as above stated, during the years 187(3 and
1877 :
M a r c h 1,1^77.

States and cities.

Maine
New Hampshire
Vermont
Massachusetts
Boston
Ithode Island
Connecticut
New York
New York City.
Albany
.'..
New Jersey
Pennsylvania
Philadelphia ....
Pittsburgh
Delaware
Maryland
Baltimore
Washington
Virginia
"West Virginia
North Carolina
South Carolina
Georgia
Florida
Alabama
New Orleans ...
Texas
Arkansas
Kentucky
Louisville
Tennessee
Ohio
Cincinnati
Cleveland
Indiana




September 1,1877.
Total.

No. of
banks.
31
16
IT
100
41
25
53
110
37
6
32
81
17
10
1
6
11
3
lu
4

Xo. of |
banks, j
6158, 844 01 j! $295. 016 96
8136,172 95 !
23
53, 780 83
68, 516 37
14,735 54 !
21
54, 646 25 j
74, 295 72
1!). 649 47 [i
716,831 23 | 1,354,476 5L
037. 645 2> ' 109
1, 095, 448 97 i 48 1, 096, 604 84 i 2, 192, 053 81
36 1, 374, 813 91 I 1, 547, 027 66
172. 213 75
50 1, 369, 519 49 j 1, 758, 981 16
360. 461 67
133
707, 660 09 I 1, 083, 489 96
375. 829 87
41 2,189, 869 37 ! 4, 247, 941 66
2, 058, 072 29
4
34, 990 49 I
60, 744 79
25, 754 30
33
166, 944 03
338, 658 32
171,714 29
83
438, 809 22
770, 505 87
3:ii, 696 65
22
205, 457 38 I 333,248 47
127. 791 09
14
156. 430 41 | 289, 466 59
133. 036 18
3
6, 587 20 |
8, 851 43
2, 264 28
8
17, 447 45 i
31,879 35
14, 431 90
9
36,892 80 I 200, 597 74
1&3, 704 94
3
4, 717 15 i
43,105 44
38, 388 29
14
49, 914 89 i
95, 950 72
46. 035 83
5
2, 373 02 j
8, 288 73
5, 915 71
33, 552 11 I
41,483 75
7,931 64
42,597 73 j
74. 063 63
31. 465 90
28, 379 36
138, 551 68 I 166^931 04
239 99
239 99
3, 075 04 |
9,218 39
6,143 35
286,259 47
81, 085 33
205,174 14
48,390 02
27,266 85
21,123 17
11.799 75
2, 399 65
9, 400 10
98, 214 42
60, 355 02
37,859 40
35, 843 06
11, 111 38
24,731 68
51, 976 50
61, 433 66
113.410 16
255, 509 92
657, 242 34
912, 752 26
71,231 68
135, 595 64
206, 827 32
41, 088 86
2 !
8, 253 60
32, 835 26
371,906 85
40 i 272, 132 51
99, 774 34

REPORT OF THE COMPTROLLER OF THE CURRENCY. XXXV
Table of losses charged off— Continued.
March 1, 1877.

| September 1,1877.

States and cities.

I j^nks1 i
Illinois
Chicago
Michigan
Detroit
"Wisconsin
Milwaukee
Iowa
Minnesota
Missouri
Saint Louis ...
Kansas
Nebraska
Oregon
California
San Francisco .
Colorado
New Mexico
Utah
Wyoming
Idaho ..."
Montana

44
13
37

11. I
3
19
20
12

I
!
i
i

Al

"°"ut- | £nkf |

&105, 791
413, 591
166, 494
604
645
18. 313
90. 962
101! 875
31.
35. 216
18. 738
4, 008
13. 197
3 520
197, 781
34, 7-29

loj

Totals.
Totals for 1876.

-

9
2
1

70
81
99
16
00
34
10
06
77
30
33
18

$228, 669 81
250, 005 31
271.468 55
14, 988 63
26, 904 73
4, 816 00
89, 461 14
100, 643 16
19. 494 17
2G1, 734 61
S. 636 43
6. 807 93
5; 387 32
8. 728 83
21,128 79
(36, 429 50
13, 890 75
1, 305 98

o

12
78
57
54
29
59
65
32

sm 4i

060
811
100
915
127

980

63
12
44
•2
16
2
31
17
9
6
6
5
1
5

Total.

Am0UQt

1,194 06

<•)

$334, 460 93
663, 597 09
437, 983 12
23, 593 17
42, 550 02
23,129 59
180, 423 79
202, 518 48
51, 354 58
296. 951 31
27^ 375 24
10. 816 92
18, 584 48
12,248 83
218, 910 13
101,158 60
14, 950 81
2, 117 75
41,100 30
1. 915 33
6, 321 24

8, 17."), 960 56 1 1, 108 ill, 757, 627 43 \ 19, 933, 587 99
6, 501, 169 ;

1, 034 [13, 217, 850 60 ! 19, 719, 026 42

The table shows that the losses for the first six months of the year
were $8,175,960.56, and for the last six months $11,757,627.43 ; total,
$19,933,587.99. The losses for the preceding year were, for the first six
months, $6,501,169.82, and for the last six months $13,217,856.60;
total, $19,719,026.42, showing an increase in the total losses for the current year over those of the preceding year of $214,561.57. The amount
of losses charged oft' by the banks in the principal cities was as follows:
Cities,
New York
Boston
Philadelphia
Pittsburgh
Baltimore
New Orleans

i

,

1876.

j

187'

| |6. 873, 759- 97 i
| 1, 598, 722 68
!
152, 976 14
!
333, 851 56 I
1
876, 207 32 |
.!
519,701 41 \

14,247,941 66
2, 192, 053 81
333,248 47
289, 466 59
200, 597 74
286, 259 47

The number of banks which made no dividends in the last four periods
of six months each, together with the amount of their capital, is shown
n the following table, by geographical divisions:
Six months endinn—
Geographical divisions.

March 1, 1876.

September 1,1876.

March 1, 1877.

September 1,1877.

i

No.

New England States ..
I 26
1
Middle States
56
1
29
Southern States
,| 113
Western States
Pacific States and Territories
Totals




"I "

Capital.
$3, 777, 000
10, 700, 020
4. 135. 000
14, 778, 300

No.
32
04
34
129

Capital.
$7, 700, 000
16.135, 725
4. 399, 000
13, 873, 000

No.
o73
27
106

Capital.
$8,150, 000
12, 742, 000
3, 720, 000
14, 090, 000

No.
35
92
30
118

900, 000

14

1, 950, 000

14

1, 750, 000

13

1 235 34, 290, 320

273

44, 057, 725

245

40, 452, 000

288

Capital.
$9, 085, 000
15, 573, 200
4,236, 000
10, 737, 000
1, 535, 000
41,166, 200

XXXVI REPORT OF THE COMPTROLLER OF THE CURRENCY.

The internal-revenue law of July 1,1862, imposed taxes upon almost
the entire property and products of the country. The amount of internal revenue collected during the fiscal year ending June 30, 1866.,
was nearly $310,000,000. The act of July 13 of that year largely reduced this amount, and a still further reduction was effected by the
legislation of the two following years, which exempted from taxation
all manufactures and products except gas, spirits, tobacco and fermented liquors. The entire internal revenue is now derived from taxes
upon the three last-mentioned articles, upon such articles as require
the use of proprietary stamps, and upon bank deposits, capital, circulation and checks. It is difficult to understand why the tax upon bank
deposits, which tax, like the others, was essentially a war-tax, was
not repealed at the same time, unless because of an unjust prejudice
against banks which is peculiar to this country, and which is traceable
to the large losses heretofore sustained by the people upon bank currency issued under the authority of injudicious laws of many of the
States.
The London Bankers7 Magazine, for April, 1S77, in commenting upon
this subject says: " It is easy to understand how, in the midst of that
terrible struggle for existence which racked for a time every joint and
sinew o f national life almost past endurance, the Government of the
*
United States felt compelled to seize hold of every and any available
basis for taxation, and hence fixed on the easily-reached resources of
the banks as a most valuable source of supply. But now that those
dangers are happily passed, no adequate reason can be given for such
an impost. There is nothing which conduces more to the prosperity of
a country than a sound system of banking, and besides good management, which is of course understood, nothing is more essential to sound
banking than sufficient and ample capital—capital large enough to
enable depositors to feel they may rest on it in safety; and any measure
which imperils the growth of banking capital for the sake of the taxes
which may be levied on it is indeed short-sighted."
The deposits of the banks, which at present amount to more than
$2,000,000,000, as may be seen by reference to another page, are considerably more than twice the whole amount of the paper currency and
coin in the country. They are not money, but merely represent commodities which, to a great extent, are not subjected to national taxation. The wheat and flour which, are shipped from St. Paul to Chicago
are taxed in the banks at St. Paul, if their avails are represented by a
bill of exchange. If the same commodities are reshippedfrom Chicago
to the East, a tax is again imposed in Chicago upon their representative bill of exchange, and again in the seaboard city when they are
exported to a foreign market. The same is true of the avails of cotton
shipped from the South, and of manufactures sent from the New England and other States.
According to the Treasury regulations, deductions of amounts redeposited are not allowable in estimating the taxable deposits. The total
individual and bank deposits of each bank must therefore be returned
without allowance of such moneys as are deposited by it with its correspondents. A temporary resident in Florida draws his^check against
his deposit in Boston, which is already subjected to taxation in that city.
The bank at Jacksonville transmits the check to its correspondent at
Savannah, the Savannah bank transmits it to Philadelphia, the Philadelphia banker to New York, and the New York banker to Boston, where
the check is collected. According to the regulations of the Department,




REPORT OF THE COMPTROLLER OF THE CURRENCY. XXXVII

this check,which is not money, but which represents the amount on
deposit in Boston, is subject to tax five different times while in transit.
The State laws generally authorize the indebtedness of individuals to
be deducted from personal property returned for the purposes of taxation ; but the tax on deposits is, on the contrary, a tax upon the indebtedness of the banks, and not only upon their indebtedness to private individuals and corporations, but, in the case of disbursing-officers of the
United States, to the government itself. The law requires that the
banks shall keep on hand, as a permanent reserve fund, from fifteen to
twenty-five per cent, of their deposits; and these reserves, which are
held without profit to the banks, and solely for the security of their bililiolders and depositors, are also subjected to a tax. The injustice of all
this would seem to be apparent.
The losses of the banks have been unprecedentedly large since the
panic of 1373. Many banks have paid no dividends, and others have
frequently been paid from surplus, which fund the law contemplates
shall be held as a reserve fund for the protection of depositors and
dealers.
The banks are not a monopoly, nor is their stock very largely held by
the rich men of the country. It is distributed quite generally among
people of moderate means, who need for their support regular dividends upon the small amounts of stock which represent their accumulated earnings. This fact will be seen by reference to the carefully-prepared tables on this subject given in my last annual report, where it
appears that the number of shareholders of the national banks was
then 208,486, and that the average amount of stock held by each shareholder was but about $3,100. More than one-half of these shareholders
held but ten shares or less, each, (not to exceed $1,000,) while the Entire
number holding more than one hundred shares each was but 10,851, or
only about one-twentieth part of the whole number, and, of these, but
767 held more than five hundred shares each.
The resources of the banks are reported regularly to the Comptroller
in sworn statements, and are published in the newspapers of nearly
every village in the country. They are also presented annually in the
reports of the Comptroller, and are, therefore, accessible to the assessors
of every town ; so that the banks cannot evade taxation, or deceive the
authorities, or resort to any of the devices which other corporations
and many private individuals practice with great success. The banks
thus pay a large percentage of the taxation which should, in justice, be
imposed upon other capital, but which they cannot evade unless they
diminish their capital or surrender their business. The State taxes have
increased to such an extent in recent years that, in many of the cities,
they alone are equal to two and sometimes even three per cent, of the
capital of the banks; and instances are known where these institutions
pay four-fifths of the personal taxes of the communities in which they
are located.
The only plausible reason given for continuing the tax upon the banks
is that they enjoy special privileges. But the only real privilege which
they possess is that of issuing circulation, and even that is not a restricted privilege, but is one open to all who see fit to engage in the
business of banking. Moreover, the profit upon circulation does not,
under the most favorable circumstances, exceed two and one-half per
cent., and, if issued upon four per cent, bonds, does not exceed one and
one-half per cent, of its amount. That it is not a great source of income
is evidenced by the fact that the banks have, since the passage of




XXXVIII REPORT OF THE COMPTROLLER OF THE CURRENCY.

the act of January 14, 1S757 voluntarily reduced their circulation more
than forty-four millions of dollars.
The State taxation upon national banks, as will be seen by reference
to the tables accompanying this report, is also oppressive because of
the unjust system of valuation which prevails in almost every State.
For instance, the State assessors of New York, in their report for 1873,
say:—"We are satisfied that less than fifteen per cent, of the personal
property of the State, liable to taxation, finds a place on the rolls of the
assessor, and of mortgages not even five per cent. * * * The amount
of personal property assessed, in some of the counties, is less than the
banking capital, and the same is true of thirty towns and cities, among
which are some of the most prosperous in the State."
In the report of the assessors for 187G, the total personal estate in the
State of New York was returned at 6370,488,140, and of the city of New
York at $218,026,178. The bank assessment in that city for the same
year was $85,145,116. The banks of the city, therefore, paid nearly onefourth of the whole personal tax of the State, and nearly forty per cent,
of the personal tax of the city. The Supreme Court of the United States,
in the case of the GaUatin National Bank vs. The Commissioners of Taxes,

decided that the shares of national banks should be assessed at their full
and true value, without regard to their par value. The New York
assessors had said that shares of bank stock in that State were then
assessed to a greater extent than any other kind of personal propertyj
but, under the Supreme Court decision, the assessment for 1876 of the
banks in New York City was increased $11,754,127. The assessment for
that year of the personal property in the whole State was also subsequently increased, but the entire increase, exclusive of the more than
eleven millions added to the assessment of New York City bank stock,
was but $9,758,758: and it is probable that even this amount was very
largely composed of increased assessments on the stock of the banks
outside of New York City.
The commissioners of taxes and assessments for the city of New York,
in their report of June 30,1877, say :—;i It is unnecessary to reassert at
any length the fact, so often stated in previous reports, that the personal
property actually assessed in the city and State of New York is small,
compared with the actual possessions of their citizens, and that the assessments represent rather the meager provisions of the law than the
wealth of the State. * * * The practical effect of the present law is
to exempt foreign banking capital used here, and to tax domestic banking capital." They report the total assessments on personal property in
the city of New York for the year 1875 at $217,300,154, of which
$73,390,989 was upon bank stock. Total assessments for 1876r
$218,626,179, of which 885,145,117 was upon bank stock. Total assessments for 1877, $206,028,160, of which $73,614,274 was upon bank
stock. The number of persons assessed in 1875, other than bank shareholders, was 8,920; in 1876,9,233; in 1877,10,519. The number of shareholders of banks assessed upon their stock was, in 1875, 25,236; in 1876,
25,698; in 1877, 24,649. The reduction of the number of shareholders
and of the assessment upon banks in 1877 was due to the reduction of
capital and surplus, caused by excessive taxation.
The actual capital and surplus of fire and marine insurance companies
in New York was, in 1874, $58,670,000, but they were assessed at less than
$7,000,000. The total capital of incorporated companies and associations was estimated in 1871, by a commission appointed by the governor, at $856,500,000, exclusive of surplus and undivided profits. The
total assessment of these associations in 1874, was only $130,000,000,




REPORT OF THE COMPTROLLER OF THE CURRENCY. XXXIX

of which the banks in New York City alone paid seventy-three per cent.
If the capital of other associations were assessed like bank stock, at its
true value, the proportional assessment of the banks would be but eleven
per cent, of the whole, instead of seventy-three per cent., as at present.
By a decision of the Court of Appeals of the State of New York, foreign capital transmitted to that State, to be loaned and employed in
business, is exempt from taxation. A national bank with a capital of
$4,000,000 paid taxes in 1876, amounting to $200,000—or at the rate of
five per cent, on its capital, while a foreign agency, employing an equal
amount of capital, paid nothing, Ten banks in one of the cities in the
State of New York having a population of 46,000 persons, pay taxes
upon $2,750,000, which is more than their aggregate capital; while the
aggregate personal property of all other corporations and individuals in
the same city, the true value of which is estimated at $15,000,000, is
assessed at but $990,000. The bank shareholders of that city, numbering 924, of whom more than one third are women, hold, each, an average
of $3,000 of stock. It is estimated that at least 3,000 other persons in
that city possess personal property amounting to $3,000 each. These
persons either escape taxation altogether, or are taxed upon a valuation
not exceeding $300 each. The holders of bank stock in that city, therefore, pay a tax at least ten times as great as that paid by the holders of
stock in other corporations. The banks in other cities and States are
subjected to similar injustice. Even were the United States taxes to be
repealed, the banks would still be subject to a tax at least twice as
great as that imposed previous to the year 1862. The elaborate tables
which are herewith presented furnish convincing evidence in favor of
the repeal of the law imposing the tax upon capital and deposits.
The prayer for the repeal of bank-taxes proceeds not alone from officers and shareholders of the banks. The most urgent appeals to Congress are from chambers of commerce and boards of trade in the principal cities of the Union. The following extract from the petition of the
Chamber of Commerce of the city of New York, which represents not
only the commercial and business interests of that city, but also to a
large extent the public sentiment of the business men of the country,
declares "that war-taxes, both heavy and unequal in their burden, are
imposed on the national banks, State banks, savings-banks and private
bankers of this country, wThich taxes have been for several years productive of great commercial injury ; that in no other country are such
taxes incurred by the business of banking; that, the exigency having
passed away, the war-taxes can be taken off without any sacrifice to the
Treasury at all commensurate with the benefits which will result to the
agricultural, financial, commercial and industrial pursuits of the country ; that the continuance of this onerous and discriminating taxation
on banking capital is rapidly withdrawing it from that business, leaving
the commerce and industries of the country illy prepared to meet a longhoped for returning tide of prosperity; and that a persistence in this
unequal and special tax can lead to but one result-, and that is to prolong
the present period of depression and inactivity."
The London Economist^ a high and impartial authority, in discussing
the last report of the Comptroller, says :—" Now there may be some difference of opinion among economists as to the expediency and equity of
a tax upon the circulation of the banks, the right of note-issue being a
privilege conferred by the State, from which the banks derive a profit;
but there can be no question whatever as to the injustice and injurious
nature of the other forms of government taxation. The Comptroller
points out that the amount of tax to which the national banks are sub-




XL

KEPORT OF THE COMPTROLLER OF THE CURRENCY.

ject is much greater than that imposed on any other capital in the country; and it is precisely in such a case as this, where taxes are imposed
upon the accumulated savings of the country, gathered together into
stores available and necessary for the conduct and development of its
commerce, that the taxing of capital engaged in trade assumes its most
pernicious aspect.'7
DIVIDENDS.

The law provides, not only that each national bank shall, before the
declaration of every dividend, carry one-tenth part of its net profits of the
preceding half year to its surplus fund, until the same shall amount to
twenty per cent, of its capital, but that no association or any member
thereofshall, during the timeit shall continue its banking operations, withdraw, or permit to be withdrawn, either in the form of dividends or otherwise, any portion of its capital, and that losses and bad debts shall be deducted irom its net profits before any dividend shall be declared. The
Comptroller has endeavored to carry out the provisions of this law, and
the correspondence of the Office shows that in many instances he has
prevented the declaration of illegal dividends. If a t>auk suffers a loss
greater than its accumulated earnings, there are but two courses open
to it, so far as dividends are concerned : one is, to pass the dividend,
and the other, to pay an illegal dividend from the capital stock.
The London Economist, in commenting upon the proper policy to be
pursued in the case of a bank which has suffered loss, says:—"One
(course) is at once to estimate the whole loss, to largely reduce the present dividend, and to write the necessary sum off the reserve fund; the
other, to estimate the possible loss low, to writeoff but little, and, above
all things, to declare as high a dividend as possible. In all companies
the rules of morality prescribe the former. It is wrong not to provide
for plain losses, and wrong to pay unreal dividends. But in the case
of a bank, it is not only wrong but dangerous. Perfect explicitness in
such cases is the only means of safety. The credit of a bank is its life,
and that credit can only be maintained by deserving the confidence of
the public, by telling the ivhole truth, though it is not favorable, and by

acting consistently upon real facts, though they are not pleasant. It
the largest of our joint-stock banks—the bank of which it used to be
said that it never was known to lose largely, or to be concerned in
any but good business—writes so large a sum off its reserve fund, and
lessens its dividend by one-half, no other bank need fear to tell the
whole truth and nothing but the truth. Credit will never be good as long
as people believe that anything is kept back. IS"o doubt it needs manliness and fortitude to tell the truth, when the truth is not pleasant;
but it is only by manliness and fortitude that confidence can be obtained
in common life, or that credit can be preserved in the difficult and trying
transactions of business."
During the past six months, 288 banks, with a capital of $41,166,200,
have paid no dividends, and many others have largely reduced the
amount of their usual dividends. Associations of high character and
standing always refuse to impair their capital stock under such circumstances ; and the attention of those banks which are conducted
upon the theory that a dividend is always necessary for the maintenance
of the credit of their associations is called to the excellent advice of
the leading financial journal of England, above quoted.
The subjoined table exhibits the aggregate capital and surplus, total
dividends and total net earnings of the national banks, with the rates




REPORT OF THE COMPTROLLER OF THE CURRENCY.

XLI

of dividends to capital, and to capital and surplus, for each half year
from March 1, 1809, to September 1, 1S77 :
Period of six Xo. of
months end- banks.
ing—

Capital.

Total divi- Total net
dends.
earnings.

Surplus.

l

Sept.
Mar.
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
L, 1873
1, 1873
I, 1874
1,1874
1,1875
L, 1875
L, 1876
L, 1876
L, 1877
1,1877

1,431 $401, 650, 802
1, 571 416,366,991
1,601 425, 317,104
1, 605 428, 699,165
1, 693 445, 999, 264
1,750
450, 693, 706
1, 852 465, 676, 023
1, 912 475, 918, 683
1, 955 488,100, 951
1,967
489, 510, 323
1,971 489, 938, 284
2,007
493, 568, 831
2.047
497, 864, 833
2,076
504, 209, 491
2. 061 500, 482, 271
2, 080 496, 651, 560
2, 072 486, 324, 860

$62,105, 648
86, 116.210
91, 630, 620
94, 672. 401
98, 266, 591
99,431,243
105, 161, 942
114 257, 268
118, 113,848
123. 469. 659
126, 364, 039
131, 560, 637
134, 123, 649
134, 467, 595
132, 251, 076
130, 672,165
124, 349, 254

Dividendsto
capital.

£21, 767, 831 629, 221. 1*4
21, 470, 095 26, 996. 934
21, 060, 343 26,613, t65
22, 205,150 27,243, 162
22, 125, 279 27,315, 311
22, 859, 826 27, 502, 539
23, 627, 289 ; 30,572, 891
24, 826. 061 31.926,476
24, 823, 029 i 33, 122, 000
23, 529, 998 ! 29,544, 120
24, 929, 307 30,036, 611
24,750.816 : 29,136, 007
24, 317, 785 26,800,217
24,811,581 23, 097, 921
22, 563, 629 20,540, 231
21, 803, 969 19,592, 962
22,117,116 15,274, 026

Per ct.
5.42
5.16
4.96
5.18
4.96
5.07
5.12
5.22
5.09
4.61
5.09
5.01
4.68
4.92
4.50
4.39
4.54

Divid'nds
to capital
and surplus.
Per ct.
4.50
4.27
4.08
4.24
4.07
4.16
4.17
4.21
4.09
3.84
4.03
3.96
3.85
3. 66
3.57
3.47
3.62

Earnings
to capital
and surplus.
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
3.12
2.50

From the above table it will be seen that the average annual dividends upon capital during the past year were 8.93 per cent., while the
ratio of dividends to capital and surplus in the same period was but
7.09 per cent. The ratio of earnings to capital and surplus during the
six months ending March 1, 1877, was 3.12 per cent.; during the six
months ending September 1,1877, it was but 2.5 per cent. The ratio of
earnings to capital and surplus for the year was but 5.62 per cent., from
which it is evident that a large portion of the dividends for such year
has been made irom surplus, or from the earnings of former years.
The following table exhibits similar ratios, by geographical divisions,
for the years 1875, 1876 and 1877:

DiviGeographical I
divisions. j Divi- dends to
dends to capital
capital. and surplus.
New England
States
j
Middle States -|
Sou them Statesj
Western States j
and Territo- j
ries
j
United States . |

Perct.




Per ct.

I i t
Earnings
capital i t0 c a P i t : a l

capital; a°XuJ. | - { - •
plus.
Per ct. ! Per ct.

9.6
9.8
6.7

7.6
7.6
7. 7

8. t i
8.2 i
9.8

8.4
9.6
8.6

10.7
9.9

8.6

11. 6 1
9.3 i

10. 3
9. 4 !

Per ct.

Per ct

Per ct.

Per ct. I Per ct.

6.7
7.7
7. 6

6.5
5.5
9.6

7.6
8.5
6.3

6.0
6.6
7.1

4.7
5. 4
7. 1

8.1 !

9.9
6.9

12 2
8.9

9.6
7.1

7. 2
5, 6

SLII

REPORT OF THE COMPTROLLER OF THE CURRENCY.

A tabular statement is subjoined, showing, by geographical divisions,
the ratios of dividends to capital, and to capital and surplus, for the last
sis years, and the average ratios for the whole period :
Ratio of dividends to capital for six months endiilg—

i

Geographical
divisions.

18 72

74.

IS 73.

1875.

,

1876.

1877.
C
S

iMar. Se] t. Mar. Sept. Mar.
! 1 .
1
1.
1.
1.

Sept. Mar. Sept. Mar. Sept. Mar.
1.
1.
1.
1.
1.

Sept
1.

t>

Perct Per ct. Perct Perct Perct. Perct. Perct Perct. Perct. Perct. Perct. Per ct. Perct,
Xew
England
4. D
5.1
5.1
4.9
4.9
4.9
4.8
4.4
4.0
3.9
3.7
4.6
:• 5. o
States
5. 0
5.0
4. It
4.6
4.4
4.1
4. 8
5.0
4.8
5.2
J 5.1
5. 1
4.8
Middle States
4.3
4.8
4.4
0. 3
5. 2
4. 6
4.3
4.5
4.3
4.3
4.0
4. d
Southern States . . .: 5.0
Western S t a t e s
5. 0 " 5. 5
5. 5
5. 0 , 5. 6
5. 4
5.3
5. 2
5.3
6.9
5.5
5.1
and Territories. .1 5.3
D. 1
O. J.
5. 2
5.1
4.8
5.0
4.9
4.9
4.5
4.4
4.5
4.9
United States . . . .: 5.1
i
Ratio of dividends to capital and surplus.
New
England
.
States
.;
Middle States
Southern States . ..;
Western S t a t e s
and Territories. .
.!
United States

4.1
4.0
4. 7

4 0
3 9
4. 9

4.1
4. 0
4.7

3. =
4.1
3. 9 : 3.7
4.2 \ 3.9

4.4
4. 2

4. ()
4.

4. 5
4.2

4.5 : 4.1 i 4. 5
4.1 i 3 . >
4. 0

;

3. <

4.3

3. ? ' 3.8
3. 0
3.7
3. > ! 3 . 9

3.5
4. 1
3. 9

3.2
3.6
3.7

3.1
3.4
3.7

29
3.2
3.4

3.7
3.8
4.0

4.4 i 4 . 2

4.1
3.9

4.0
3.6

4.1
3.5

o. o
3.6

4. 4
3.9

4. 0 i 3 . 9
i

A table, exhibiting in a concise form the ratios of dividends to capital, and to capital and surplus, and of net earnings to capital and surplus, of the national banks iu every State in the Union and in the
principal cities, semi-annually, from March 1, 1S73, to September 1,
1877, will be found in tbe Appendix.
REDEMPTION.

The following table exhibits the amount of national-bank notes received monthly by the Comptroller, for the year ending November 1,
1877, and the amounts received for the same period at the redemptionagency of the Treasury, together with the total amount received since
the passage of the act of June 20, 1874 :
Received by the Comptroller.

Months.

o , 1876.
Dec,
Jan., 1877.
Feb.,
Mar.,
Apr.,
May,
dune,
July,
Sept.,
Oct.,
Total....
Received from J u n e 20,1874.
to Xovember 1,1876
Grand total

From naFrom
X o t e s o f n a i -rj -.
, |
t i o n a l b a n k s redemption- tional banks j r . j \Lon i
for reissue agenev for in liquida-i
V,.,'
gy
or surrender, reissue.
tion.

Total

Received
at redemp*
tionagency.

577,172
525, 715
534,154
629,811
046, 273
218. 986
718. 938
803. 821
049, 949
711, 382
745, 479
649,167

138. 337
056, 280
520, 484
428, 380
800, 337
718, 915
333, 398
781,930
811,764
634. 067
892, 887
346, 217

684, 853
942, 99Y
979, 045
534, 732
369,189
976, 029
129, 055
829,179
905, 054
127,285
438. 232
392, 857

15,210,847

78,462,996

229,308,507

663,715 65,231,900
317.7.-5
4,027,400
85, 630
4, 732, 800
29,419 . 4,534,700 :
13. 320
4, 505,100
29. 962 : 5, 239, 800
6, 721. 700
574. 110
6,427,300
213. 645
84, 765
7. 498, P00 ;
3, 726, 100
10. 165
,
29.100
2, 942. 400
113,000
3, 486, 600
1.564,616 59,074,600

2,612,933

9. 409. 672 214, 596, 255

7. 671, 008 i 37, 594, 369 J269, 271, 304 \ 435, 486, 046

10,974,288 273,670,855

8265. 550
1?5, 380
167, 900
234, 450
235, 044
230.167
318, 650
337, 164
178, 250
186, 420
175, 908
97, 450

10.283,941 I 52,805.216 347,734,300

664.794,553

During the year ending November 1, 1877, there was received at the
redemption-agency of the Treasury $229,308,507 of national-bank notes,




REPORT OF THE COMPTROLLER OF THE CURRENCY. XLIII

of which amount $71,025,000, or about thirty-one per cent., was received
from the banks in £Tew York City, and $82,659,000, or about thirty-six
per cent., from Boston. The amount received from Philadelphia was
$14,859,000; from Baltimore, $1,461,000; Pittsburgh, $1,146,000; Cincinnati, $1,603,000; Chicago, $3,492,000; Saint Louis, $1,024,000; Providence, $5,496,000. The amount of circulating notes, fit for circulation,
returned by the agency to the banks during the year, was $158,626,000.
The total amount received by the Comptroller from the redemption-agency,
for destruction, and from the national banks, direct, was $75,850,063. Of
this amount, $6,811,790 were issues of the banks in the city of New York,
$6,176,437 of Boston, $2,469,455 of Philadelphia, $1,592,920 of Baltimore,
$1,462,517 of Pittsburgh, $603,900 of Cincinnati, $814,252 of Chicago,
$446,280 of Saint Louts, $575,107 of Xew Orleans, §494,050 of Albanyr
and $494,600 of Cleveland.
There were, on November 1,6255,580,790 of national-bank notes
outstanding upon which the charter-number had been printed, and
$60,301,200 not 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 1,1877 :
Number.

Amount.

Denominations.
Issued.
Ones
Twos
Fives
Tens
Twenties
Fifties
.;
One hundreds...
Five huudreds ..
Thousands

I Redeemed, j Outstanding. !

Issued.

j Eedeemed. j Outstanding.

20.616,024 i
6, 696. 96* :
56, 816. 848 ;
22.266.064
6. 776, 253
1,079,781
767,317
20,02^5 !
5.668 :

16, 915, 568 I
5, 755, 526 !
38, 115, 868 ;
12, 434, 779 i
3,503,528 I
634.679 !
479,317 i
17,615 I
5, 411

3, 800, 456
1, 141, 442
18. 700. 980
9,831,2*5
3, 272, 725
445,102

$20, 616, 024
13. 793. 936
284, 084, 240
222, 660, 640
135. 525. 060
53, 989, 050
76, 731, 700
10,011,000
5, 668, 000

$16. 815, 568
11, 511, 052
190, 579. 340
124, 347, 790
70. 070, 560
3i; 733, 950
47, 931, 700
8, 807, 500
5, 411, 000
* - 1 0 , 800

| 3 , 800, 456
2, 282, 884
93, 504, 900
98, 312, 850
65, 454, 500
22. 255,100
28, 800, 000
1, 203, 500
257, 00G

115, -244, 945 i

77,762,291 i

37,482,654 j 823,079,650

507,197,660

315, 881, 990

000
2, 407

2sS,

*+10,800

A table showing the number and denominations of national-bank:
notes issued and redeemed, and the number of each denomination outstanding, on November 1 for the last ten years, will be found in the
Appendix.
The following table shows the amount of national-bank notes received
at this Office and destroyed, yearly, since the establishment of the
system:
Prior to November 1,1865
During the year ending October 31, 1866
During the year ending October 31, 1667
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 year ending October 31,1876
During the year ending October 31, 1677
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
137,697,69(5
98,672,716
76,918,963
20, 840, 068
507,197,660

"Add and subtract for portions ot notes lost or destroyed.

XLIV

REPORT OF THE COMPTROLLER OF THE CURRENCY.

NATIONAL-BANK AND LEGAL-TENDER NOTES, BY DENOMINATIONS.

The subjoined table exhibits, by denominations, the amount of nationalbank and legal-tender notes outstanding on November 1, 1877.
1 Amount of
national-bank
notes.

Ones
Twos
Fives
Tens
Twenties
Fifties
Oue hundreds
Five hundreds
One thousands

.

.

- '
'

.
!
1

;
i

A m o u n t of
legal-tenders.

Total.

$3 800 456
2 282 884
93 504 POO
98, 312, 850
65 454 500
22 255 100
28. 800 000
1 203 500
257 000
^10,800

$24, 806, 459
24, 600, 544
52, 932,148
63,146, 861
60, 836, 495
30,108, 715
30,176, 670
34, 752, 500
34, 123, 500
11, 000, 000

$28, 606,
26, 883,
146, 437,
161, 459,
126, 290,
52, 363,
58, 976,
35, 956,
34, 380,
1, 010,

315,881,990

Denominations.

356, 483, 892

672, 365, 882

915
428
048
711
995
815
670
000
500
800

Section 5175 of the Eevised Statutes provides " that not more than onesixth part of the notes furnished to any association shall be of a less
denomination than five dollars, and that after specie payments are resumed, no association vshall be furnished with notes of a less denomination than five dollars; and section 5185 prohibits the issue to gold-banks
of circulating notes of a less denomination than five dollars. The amount
of such notes issued to national banking associations has always been
greatly below this limitation. The whole amount of one and two dollar
notes in circulation at the present time is but $6,083,340, which is less
than one-eighth of the proportion to which they are legally entitled.
The small amount of these issues is attributable in part to the legal limitation; but more especially to the time and labor involved in signing them,
as well as to the further fact that legal-tender notes of these denominations
can be readily obtained at the Treasury. The amount of such legaltender notes now outstanding is 849,407,003. The amount of tens and
twenties of national-bank notes outstanding is $191,817,750, and the
amount of outstanding legal-tender notes of the latter denominations is
$123,9833356. The amount of national-bank notes of the denomination
of fifty dollars, and over, is $52,515,600. and of legal-tender notes,
$129,161,385.
Of the entire amount of legal-tender and national-bank notes outstanding more than eight per cent, are of the denominations of ones and
twos, nearly twenty-two per cent, of fives, twenty-four per cent, of tens,
and nineteen per cent, of twenties. Of 'these entire issues, less than
twenty-five per cent, in amount are of the denomination of fifty dollars
and upward.
Section 5182 ot the Eevised Statutes requires that the circulating notes
of national banks shall be u signed by the president or vice-president
and cashier thereof." The signature of at least one bank officer is necessary, as a check between this Office and the issuing bank; for, if the
question of an overissue of notes should arise, the signature of such officer would determine the genuineness of the note. A number of banks,
however, issue their notes with printed signatures, and, in some cases,
with lithographic ones, which are frequently so badly executed as to
excite suspicion as to the genuineness of the notes. The Comptroller
recommends an amendment of section 5182 of the Eevised Statutes,
* Fractions of notes not presented or destroyed.
tLegal-tender notes destroyed in Chicago fire; denominations unknown.




REPORT OF THE COMPTROLLER OF THE CURRENCY.

XLV

imposing a penalty of twenty dollars for every note issued without the
written signature of at least one of the officers of the bank.
INSOLVENT BANKS.

Since my last report receivers have been appointed for ten banks, as
follows:
First National Bank of Greenfield, Ohio
National Bank of Fishkill, N. Y
First National Bank of Franklin, Ind
Northumberland County National Bank, Shamokin, Pa
First National Bank of Winchester, 111
'.
National Exchange Bank of Minneapolis, Minn
National Bank of the State of Missouri, Saint Louis, Mo
First National Bank of Delphi, Ind
First National Bank of Georgetown, Colo
Lock Haven National Bank, Lock Haven, Pa.

Capital.

„

$50, 000
200,000
132, 000
67, 000
50,000
100, 000
2. 500, 000
' 50,000
75, 000
120,000
3,344,000

Dividends have been paid to the creditors of seven of these banks, as
follows:
National Bank of Fishkill, N. Y
First National Bank of Franklin, Ind
Northumberland County National Bank Shamokin, Pa
First National Bank of Winchester, 111
National Exchange Bank of Minneapolis, Minn
National Bank of the State of Missouri, Saint Louis, Mo
First National Bank of Delphi, Ind

45 per
25 per
25 per
20 per
50 per
25 per
25 per

cent.
cent.
cent.
cent.
cent.
cent.
cent.

The aggregate amount of these dividends is $759,799.09, the average
rate being 27.6 per cent. Dividends have also been paid during the
year to creditors of banks which failed previous to November 1,1876, as
follows:
First National Bank of Nevada, Austin, Nev
Ocean National Bank, New York, N. Y
New Orleans National Banking Association, La
Cook County National Bank, Chicago, 111
First National Bank of Tiffin, Ohio
Charlottesville National Bank, Va
Miners' National Bank, Georgetown, Colo
Fourth National Bank of Chicago, 111
First National Bank of Duluth, Minn
City National Bank of Chicago, 111
Watkins National Bank of Watkins, N. Y
First National Bank of Wichita, Kans

10 per cent.
20 percent.
15 per cent.
3 per cent.
7 per cent.
10 per cent.
10 per cent.
40 per cent.
20 percent.
10 per cent.
37| per cent.
35 per cent.

total, 90 per cent*
total, 90 per cent,
total, 30 per centtotal, 8 per cent,
total, 27 per cent,
total, 20 per cent,
total, 10 per cent,
total, 40 per cent,
total, 45 per cent,
total, 35 per cent,
total, 87f per cent,
total, 35 per cent*

A dividend of seven and five-tenths per cent, has also been paid to the
shareholders of the Waverly National Bank, Waverly, N. Y., making, iii
all, one hundred per cent, to depositors and 32.5 per cent, to stockholders,
and finally closing the bank. Also a dividend of fifteen per cent, to the
shareholders of the National Bank of the Commonwealth, in New York
City, making, in all, one hundred per cent, to depositors and thirty-five
per cent, to stockholders.
The total amount of dividends disbursed by the Comptroller to creditors and shareholders during the year ending November 1, 1877, was
$1,631,867. The total amount of dividends paid since the organization
of the system is $11,153,462.




XLVI

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Dividends have also been declared since November 1, 1877, in favor
of the creditors of the foliowing banks, viz :
Crescent City National Bank, New Orleans, La
First National Bank of Wichita, Kans
Lock Haven National Bank, Lock Haven, Pa
Miners' National Bank of Georgetown, Colo
First National Bank of Norfolk, Ya
City National Bank of Chicago, 111

15 per cent. ; total, 75 per cent.
10 per cent. total, 45 per cent,
10 per cent. first dividend,
25 per cent. total, 35 per cent,
10 per cent. total, 45 per cent,
10 per cent. total, 45 per cent.

Assessments have been made upon the shareholders of twenty-six
insolvent national banks, for the purpose of enforcing their individual
liability, the amount of such assessments being $5,108,500, of which
$824,032.89 has been collected. The amount of assessments made during
the past year was 81,502,400.
From the date of the establishment of the national banking system
to June 1,1877,fifty-fivebanks had failed, with an aggregate capital of
$10,875,100. The amount of creditors' claims proved was $17,899,886,
and that of dividends paid was $10,029,045. The total loss to the creditors of these banks is estimated at $5,525,000. There has been no loss
whatever upon their circulation.
The most fruitful cause of the failure of national banks has been the
unlawful use of the funds or credits of these associations by their officers
and directors. In most instances these persons have accomplished this
malfeasance or crime by obtaining, in their official capacity, the discount of notes in which the bank had no interest. The receivers of
six different banks, which have recently failed, have declined to allow
claims for discounted paper bearing the indorsement of the bank,
upon the ground that the claimant had good and sufficient notice that
such paper was discounted for the benefit of individuals and not of
the bank. The passage of an act prohibiting a bank from borrowing
money upon its own obligation, or from loaning its credit, is recommended; and it is also suggested that an act prohibiting any bank from
obtaining rediscounts upon its own bills receivable, unless authorized by
its board of directors, under the seal of the bank, would have the effect
to put other banks upon their guard, wheu applied to for such favors.
A table showing the national banks which have been placed in the
hands of receivers, the date of appointment of such receivers, tue amount
of capital and of claims proved, and the rates of dividends paid to
creditors, and also one showing the amount of circulation of such
banks, issued, redeemed and outstanding on November 1, 1877, will be
found in the Appendix.
STATE BANKS AND SAYINGS-BANKS.

Section 333 of the Revised Statutes requires the Comptroller to report
to Congress- "a statement exhibiting, under appropriate heads, the
resources and liabilities and condition of the banks, banking companies
and savings-banks organized under the laws of the several States and
Territories; such information to be obtained from the reports made by
such banks, banking companies and savings-banks to the legislatures
or officers of the different States and Territories, and where such reports
cannot be obtained, the deficiency to be supplied from such other
authentic sources as may be available."
The laws of the United States require returns of capital and deposits
to be made to the Commissioner of Internal Revenue, for purposes of
taxation, by all State banks, savings-banks and private bankers. These
returns have been procured from the Commissioner, and the following
table compiled therefrom in this Office, which exhibits the number of
State banks, savings-banks, trust companies and private bankers, and




REPORT OF THE COMPTROLLER OF THE CURRENCY. XLVII

their average capital and deposits, and the taxes thereon, by States, for
the six months ending May 31, 1877 :
Tax.

States and Territories.

Deposits,

j

On capital. | On deposits. |

Maine
Xew Hampshire
Yeiinont
Massachusetts
Boston
Rhode Island
Connecticut

$4, 412
6,000
4, 198
6,514
18,490
45,213
47, 952

New England States ..I
Kew York
New York City
Albany
New Jersey.
Pennsylvania
Philadelphia
Pitts bur
Delaware
Maryland
Baltimore
District of Columbia
Washington
Middle States

106,653
258,215
9. 362
26', 330
97,
OS, 671
24,481
2, 116
899
18, 051
18
S, 144

129, 493
327, 336
10, 075
30J 812
126, 035
73, 469
35, 886
3, 825
2, 095
26, 700
33
8, 506

.

Yirginia
West Yirginia
North Carolina
South Carolina
Georgia
Florida
Alabama
Mississippi
Louisiana
New Orleans
Texas
Arkansas
Kentucky
Louisville
Tennessee

24, 320
13,426
3,617
5,105
21, 698
770
6. 826
5, 806
200
22, 943
20,463
1, 500
34, 044
28, 476
11, 532

2 458 I
2, 274 i
135 |
8,040 i
8,235 |

Southern States
Ohio
Cincinnati
Cleveland
Indiana
Illinois
Chicago
Michigan
Detroit
Wisconsin
Milwaukee
Iowa
Minnesota
Missouri
Saint Louis
Kansas
Nebraska

Western States
Oregon
California
San Francisco
Colorado
Nevada
Utah
New Mexico
Wyoming.
Idaho
Dakota
Montana
Washington
Arizona.
Pacific States and Territories
Totals




40, 293
20.231
17.940
23,336
41.303
23,426
12,286
14, 676
9.414
15, 822

21, mi
6. 135
28, 058
56,281
7,791
2,962

1, 349.112
41.522,335
05, 865. 076
971.1 930
1, 545, 409
587, 894
3(i, 342
98, 987
16, 182
140,321
93,800
317. 6Ui]
5, 000

1.418 !
20, 113 I
61, 308 !
1.472 i
1,043 !
449 i
14 :
139 ;
141 !

54, 344
23, 607
19, 593
36. 387
53, 573
32, 994
18, 653
16, 926
12, 604
17, 228
34. 206
8, 892
3U. 506
73 228
11, 830
4,076

4.791
98; 700
184, 342
3, 902
4, 907
1, 919
105
386
181
436
492
1, 350
38

41,296,810 ; 112,550,090

223,503, 171 |l,351,867,650

468, 333 | 1, 416, 866

1, 885, 199

XLVIII REPORT OF THE COMPTROLLER OF THE CURRENCY.

A table, giving the number of State banks, savings-banks, trust companies and private ban'kers in the United States, with their average
capital and deposits, and the taxes thereon for the six months ending
November 30, 1876, will be found in the Appendix.
The returns tabulated above refer only to capital and deposits. The
Comptroller is required by law, as before stated, to report to Congress
the resources and liabilities of banks other than national banks, so
far as such information can be obtained by him. This requirement
was first made by act of February 19, 1873, and in compliance therewith the Comptroller has endeavored for the past four years to furnish
as complete statistics of the condition of these institutions as could
be obtained. Statements relative to the condition ot the State and
savings banks of New York, and of the New England States, are
readily obtained from their State authorities. A summary of these
statements, and of returns showing the condition of the State banks of
Pennsylvania, Maryland, Kentucky, Ohio, Indiana, Michigan, Wisconsin,
Iowa and Minnesota, are given in the Appendix. Complete returns are
also given, showing the condition of the savings-banks of New Jersey,
Ohio and Indiana, and partial returns of such banks are given for the
States of Pennsylvania and Maryland.
The Comptroller is indebted to the San Francisco Evening Bulletin for
returns from the State banks and savings-banks in California, which, by the
act of the legislature of April 1,1876, are required to be filed for record in
the office of the recorder of the county, and to be published by all banks
and private bankers in a newspaper published in the county where their
banking-offices are located. In the returns made by the California banks,
specie is not separated from United States and national-bank notes. In.
compiling these returns from the several States, all banks having cax>ital
stock are included under the head of State banks, while banks having
no capital stock are placed under the head of savings-banks.
It will be seen that complete returns of State banks have been received
from seventeen States only, of savings-banks from but ten, and of trust
and loan companies from only four States. The legislature of Missouri
recently passed a law requiring all banks in the State to make reports
in the month of December. There are ten States and eight Territories in
which no reports are required. With a view of rendering this system of
reports more complete and effective than at x>resent, the Comptroller has
prepared the form of a bill, which is herewith presented; and it is respectfully suggested to members of Congress and State officers that, if approved by them, they shall lend the weight of their influence to procure
the enatment of a law, similar in form, by the legislatures of their respective States. It may be mentioned that a bill, substantially the same
as that here presented, was passed by the legislature of Ohio last year.
A BILL to provide for obtaining and publishing reports of banks, savings institutions?
and trust companies organized under State laws.
Be it enacted, That each and every banking institution, organized under the laws of
this State, shall make a report to the auditor of state, showing the condition thereof
before the commencement of business on the first Monday in the months of January,
April, July, and October, of each year.
SEC. 2. That the auditor of state shall issue his requisition upon all banking institutions, for the reports required to be made by section 1 of this act, a convenient number of
days prior to the first day of January, April, July and October, in each year, and each
banking institution shall, upon receipt thereof, immediately forward to the auditor a
balanced report of its condition, verified by the oath or affirmation of one or more of
the officers of such institution, and shall also publish such report in full at its own expense, in a newspaper issued at the pl'ace where the institution is located, or, if there
be no newspaper in that place, then in the one nearest thereto ; and any banking insti-




REPORT OF THE COMPTROLLER OF THE CURRENCY. XLIX
tutioii neglecting to make and transmit to the auditor of state, and publish, such reports, shall, after the expiration of live days from the receipt of the requisition therefor, be subject to a penalty of thirty dollars for each day's delay, which penalty may
be collected by suit to be brought by the auditor of state, or by any creditor of the association, before any court of competent jurisdiction in the district wherein such banking institution is located ; and all sums of money collected for penalties under this
section shall be paid into the treasury of the State.
SEC. 3. That banks,, trust companies, savings-banks and other banking institutions,
having capital stock, shall report their resources and liabilities in the following form :
Report of the condition of The
-, in the State of •
-, at
ommencement of business on the first Monday of •

, before the
CR.

DR.

Resources.
1.
2.
3.
4.
5.
6.
7.
8.
9.
10.
11.
12.
13.

Liabilities.

Dollars. Cts.
1.
2.
3.
4.
5.
6.
7.
8.
9.

Loans on real estate
I
All other loans and discounts.
Overdrafts
United States bonds on band
State bonds
Other stocks, bonds, and mortgages.
Due from other banks and
bankers
Real estate
Furniture and fixtures
Current expenses
Premium on bonds
Cash items
Gold coin, $
; silver coin, •

14. National-bank notes .
15. United States notes..
Total.

Dollars. | Cts.

Capital stock paid in
Surplus fund
Undivided profits
State-bank notes outstanding.
Dividends unpaid
Individual deposits
Due to banks and bankers
Notes and bills rediscounted..
Bills payable

Total.

County of Sworn to and subscribed before me this
of
, 187—.
,

STATE OF •

• of The
do
solemnly swear that the above statement is true,
to the best of my knowledge and belief.
. I
'
, Cashier.

day

SEC. 4. Savings banks and other banking institutions having no capital stock shall
rej)ort their resources and liabilities in the following form:
Report of the condition of The
, at
, in the State of
, before the
commencement of business on the first Monday of187—.
CR.

DR.

Resources.

Dollars.

Cts.

Liabilities.
1.
2.
3.
4.

1. Loans on real estate
2. Loans on United States and
State stocks
3. Loans on other stocks and
bonds
4. All other loans
5. United States bonds on hand..
6. State bonds on hand
7. Other stocks and bonds
8. Real estate
9. Furniture and fixtures
10. Expenses
11. Due from banks and bankers..
12. Specie
13. National-bank and United
States currency
14. All other assets
Total .
-, County of Sworn to and subscribed before me this
of
, 187—.

STATE

of-

Dollars.

Cts.

Individual deposits
Due to banks and bankers .
Undivided profits
Other liabilities

Total.
do
I,
,
of The
day jj solemnly swear that the above statement is true,
l l
th
| to the best of my knowledge and belief.
.

I

tin o Ti taw

And such banks shall also furnish, with their reports, the following information : The
number of open accounts, and the rate per centum of dividends or interest on deposits
for the past year.
SEC. 5. That the auditor of state shall compile the reports received by him under
this act, and the tables so compiled shall be printed quarterly for distribution when
prepared, and shall be transmitted by him to the legislature at the beginning of each
session thereof.
IV C C




L

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIVIDUAL LIABILITY OF SHAREHOLDERS.

Previous to the year 1858 banking companies could not be organized
in England with limited liability, except by way of privilege under
special acts of Parliament, royal charters or letters patent. The Bank
of England, and three banks in Scotland, were thus privileged. In the
year 1858 an act was passed authorizing the formation and registration
of banking companies with limited liability—that is, limited to the total
amount of each share, whatever might be the amount actually paid up at
the time. In the Scotch banks, with the exception of the Bank of Scotland and two chartered banks with large capitals, the private fortune of
every stockholder is answerable for the debts of the bank.
The elaborate banking law of Sweden, (act of 1864,) which contains
severe restrictions, together with many excellent features, requires the
transfer of shares to be registered in court, and also advertised in the
newspapers at the time the transfer is consummated. The partners in
such banking companies must be Swedish subjects, in number at least
thirty, and "they are responsible, one for all and all for one, for the fulfillment of all the engagements of the banking company." These are
called " partners with joint responsibility.77 These partners may unite
with themselves shareholders whose responsibility for the engagements
of the company is limited to the full amount of their shares. These are
called u shareholders with limited liability,77 and such may not be received into the company for more than, at most, one-half of the amount
which the partners with joint responsibility put into the capital. The
board of directors is formed from those partners, only, who have a joint
responsibility. Similar provisions in reference to the liability of shareholders are in existence in other countries.
The safety-fund system of the State of New York, authorized in 1829,
contained no provision in reference to the individual liability of shareholders, nor did the free-banking act of 1838. An attempt was made
in the year 1828, and many times subsequently, to enact such, a provision, but it was always bitterly contested in the legislature, and defeated. The principle was, however, considered of so great importance
that a section was incorporated in the constitution of the State, in 1846,
providing that after the 1st day of January, 1850, the stockholders of all
banks issuing circulating notes " shall be individually responsible to
the amount of their respective share or shares of stock in any such corporation or association for all its debts and liabilities of every kind contracted after the said 1st day of January, 185O,77 and the constitution,
as amended in 1874, contains substantially the same provision. The
same principle was subsequently incorporated into the bank legislation
of Ohio and other States.
Section 5151 of the Eevised Statutes of the United States provides
that the shareholders of every national banking association shall be held
individually responsible, equally and ratably, and not one for another,
for all contracts, debts and engagements of such association, to the
extent of the amount of their stock therein, at the par value thereof, in
addition to the amount invested in such shares. Suits have been brought
against the shareholders of twenty-six banks for the enforcement of this
individual liability. Assessments have been made to the amount of
$5,108,500, of which $824,032.89 has been collected. The first suit
under this section was that of Kennedy vs. Gibson, brought7 to enforce
the individual liability of the shareholders of the Merchants National
Bank of Washington, which bank failed on May 8, 1866. This suit was
appealed to the Supreme Court of the United States, and in December,




REPORT OF THE COMPTROLLER OF THE CURRENCY.

LI

1869, an elaborate opinion was given by that court, from which the following quotation is made:
The receiver is the instrument of the Comptroller. He is appointed by the Comptroller, and the power of appointment curries with it the power of removal. It is for
the Comptroller to decide when it is necessary to institute proceedings against the
stockholders to enforce their personal liability, and whether the whole or a part, and,
if only a part, how much shall be collected,, These questions are referred to his judgment and discretion, and his determination is conclusive. The stockholders cannot
controvert it. It is not to be questioned in the litigation that may ensue. He may
make it at such tirrm as he may deem proper, and upon such data as shall be satisfactory to him. This action on his part is indispensable whenever the personal liability
of the stockholders is sought to be enforced, and must precede the institution of suit by
the receiver. The fact must be distinctly averred in all such cases, and if put in issue
must be proved.
The liability of the stockholders is several and not joint. The limit of their liability is the par of the stock held by each one. Where the whole amount is sought to
be recovered, the proceedings must be at law. Where less is required, the proceedings
may be in equity, and in such case an interlocutory decree may be taken for contribution, and the case may stand over for the further action of the court—if such action
should subsequently prove to be necessary—until the full amount of the liability is
exhausted. It would be attended with injurious consequences to forbid action against
the stockholders until the precise amount necessary to be collected shall be formally
ascertained. This would greatly protract the final settlement, and might be attended
with large losses by insolvency and otherwise in the mterveaiug time. The amount
must depend in part upon the solvency of the debtors and the validity of the claims.
Time will be consumed in the application of these tests, and the results in many cases
cannot be foreseen. The same remarks apply to the enforced collections from the stock;
holders. A speedy adjustment is necessary to the efficiency and utility of the lawthe interest of the creditors requires it, and it was the obvious policy and purpose of
Congress to give it. If too much be collected, it is provided by the statute that any
surplus which may remain after satisfy ing all demands against the association shall be
paid over to the stockholders. It is batter they should pay more than may prove to be
needed than that the evils of delay should be encountered. When contribution only
is sought, all the stockholders who can be reached by the process of the court may be
joined in the suit. It is no objection that there are others beyond the jurisdiction of
the court who cannot for that reason be made codefeudants.

At the last term of the Supreme Court it reaffirmed this decision
in the case of Casey\ receiver, vs. Galli, Italian vice-consul. In this
case the order was to collect the par value of the stock, and therefore
the suit was at law. The declaration on the part of the receiver demanded judgment for the par value of defendant's stock, as debt, and
interest from the date of said order, as damages. To this defendant
demurred specially, for four reasons, viz: First, that defendant was
bound to contribute ratably, aud that the proper amount could be ascertained only in equity; second, that defendant was bound to contribute
ratably to pay a large sum, that this sum was not stated in the declaration, and hence what would be ratable and proper did not appear; third,
that the obligation of defendant was to pay into the hands of the Comptroller a ratable portion of the debts of the association proved before
him, but the declaration did not show that any debt had been so proved;
fourth, that the declaration demanded a larger sum than defendant was
bound to pay, in that it claimed interest by way of damages.
The court in passing upon this demurrer said:—uIn regard to the first
three of these objections, it is sufficient to say that Kennedy vs. Gibson
is conclusive against them. Jt is there said that the amount to be paid
rests in the judgment and discretion of the Comptroller, that his determination cannot be controverted by the stockholders in suits against
them, and that when the order is to collect the full amount of the par
of the stock, the suit must be at law. It is unnecessary to reproduce
the reasoning of the court ill support of these proposition?/7
After the judgment of the court the counsel for the defendant filed




LII

REPORT OF THE COMPTROLLER OF THE CURRENCY.

two " special pleas in bar.*' 1. That the Comptroller had determined
to collect from the defendant, and other shareholders" who were solvent,
money sufficient to pay the debts of the bank, without collecting* from
those who were insolvent. 2. That the receiver or the Comptroller had
allowed, and determined to pay, a large amount of claims which the
bank was not liable for, because of the prohibitions contained in section
5202 of the Revised Statutes, and that, without these, the assets of the
bank were sufficient to pay all its debts. The court held that the first
plea was bad, not only for special reasons, but because the Comptroller
had ordered collections from all stockholders, which order was conclusive upon the defendant, as already decided in the case of Kennedy vs.
Gibson. The second plea was also held bad, the court saying that u the
same objection lies to this plea as to the preceding one, and the same
authority applies.77 So, also, in the same case, a plea in abatement,
alleging that there was no such corporation as the New Orleans National
Banking Association, because the owners of two-thirds of the capital
stock of said Bank of New Orleans did not authorize the bank to be
converted into a national association under the laws of the United
States, nor to accept an organization certificate as such banking association, was held bad on general demurrer. The court decided that the
Comptroller wras clothed with jurisdiction to decide as to the completeness of the organization, and that, for the purposes of this litigation, his
certificate is conclusive upon the subject. u It has the same effect, and
for the same reasons, as his determination and order with regard to the
amount to be collected from each shareholder in the event of the failure of an association." u No question can be raised in this collateral
way as to either.77 Upon this point the case of Timelier vs. West River
National Bank (19 Mich., 199) is cited and concurred in.
Subsequently, in the case of the Crescent City National Bank, Case, receiver, vs. Germania National Bank, et al, the Supreme Court recognized
the power of the Comptroller to make and repeat assessments, until the
limit of the par value of stock is reached.
Section 5151 of the Eevised Statutes is in the nature of a contract
between the shareholders and the depositors of a national bank, and
section 5210 of the Revised Statutes provides that u every national
banking association shall cause to be kept at all times a full and correct
list of the names and residences of all the shareholders in the association, and the number of shares held by each, in the office where its business is transacted, which list shall be subject to the inspection of all the
shareholders and creditors of the association; and that a copy of such
list, on the first Monday of July of each year, verified by the oath of the
president or cashier, shall be transmitted to the Comptroller of the Currency." The law thus provides that the depositors shall at all times
have the means of ascertaining the names of the shareholders of the
bank to whom they intrust their money, and it is right that these stockholders shall be held individually responsible for its prompt return; and
it has been held in a number of cases that, until there is a transfer of
shares on the books of the bank, the shareholder whose name there
appears is liable for the debts of the bank, and that an actual sale and
the signing of an ordinary power of attorney on the back of the certificate of stock will not relieve the seller from liability.
It has also been held by the Supreme Court that shareholders must pay
interest upon their assessments, from the date thereof. It is the duty
of the Comptroller speedily to collect and promptly to distribute these
assessments. The chief points in reference to the liability of shareholders have been presented and determined by the highest court. Nothing.




REPORT OF THE COMPTROLLER OP THE CURRENCY.

LIII

therefore, but delay and expense can result from the refusal of stockholders to pay their individual liability, when called upon for that purpose by the Comptroller.
Section 1010 of the Revised Statutes provides that "where, upon a
writ of error, judgment is affirmed in the Supreme Court or a circuit
court, the court shall adjudge to the respondents in error just damages
for his delay, and single or double costs, at its discretion." Yet parties
of high standing and well-known responsibility postpone the payment
of legal assessments by appeal to the courts, notwithstanding these
decisions. The Comptroller will endeavor to collect from such parties,
not only the principal and interest, but the penalty of such delay, as
provided by law.
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 my last annual
report by the Hon. Charles Case, late receiver of two national banks in the
city of Xew Orleans, now practicing his profession in this city. Mr. Case,
at my request, has revised that synopsis, adding not only the recent decisions of the Supreme Court, but many adjudications of other Federal
courts, and, in some instances, the rulings of State tribunals upon
points pertaining or applicable to national banks.„
ABATEMENT.

I. 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 SeJma vs. Colby, 21 Wallace, p. 609.)
II. Suit by the receiver of the New Orleans National Banking Association (formerly a

State organization called the Bank of New Orleans) against a shareholder to
enforce his personal liability. Plea in abatement that " at the date of the
appointment of said receiver there was not, nor has there since been, nor is
there now, any such corporation as said New Orleans National Association,
because said Bank of New Orleans had no power by its charter, nor authority
otherwise from the State of Louisiana, to change its organization to that of a
national association under the laws of the United States."
On general demurrer this plea was held bad, because no authority from the
State was necessary to enable the bank to make such change. The option to
do so was given by the forty-fourth section of the banking act of Congress, 13
Statutes, 112. "The power there conferred was ample, and its validity cannot be doubted."

{Casey, receiver, <§-c, vs. Galli, 4 Otto,p. 673.)

This plea was also held bad upon the additional ground that u where a shareholder of a corporation is called upon to respond to a liability as such, and where
a party has contracted with a corporation, and is sued on his contract, neither
is permitted to deny the existence, and legal validity of such corporation."
(Ibid.)
"To hold otherwise," says Mr. Justice Swayne, (p. 680,) " would be contrary
to the plainest principles of reason and good faith, and involve a mockery of
justice. Parties must take the consequences of the positions they assume,"
"They are estopped to deny the reality of the state of things which they have
made to appear to exist, ancl upon which others have been led to rely. Sound
ethics require that the apparent, in its effects and consequences, should be as
if it were real, and the law properly so regards it."
ACCOMMODATION INDORSE M EN IS.

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 gave 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 game to holders, for value, without notice. (Blair vs. First National




LIV

KEPORT OF THE COMPTROLLER OF THE CURRENCY.

ACCOMMODATION INDORSEMENTS—Continued.
Bank, Mansfield, Ohio. United States circuit court for Ohio, at Cleveland, November
term, 1875, Em mo us, 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.

ACTIONS.

I. A national bank may be sued in proper State court. (Banlc of Bethel vs. Pahquioque Bank, 14 Wall., 383,7?. 395.)

II. Such banks may sue in Federal courts. The word "by" was omitted in section
57 of act of 18(54 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 ; see, also, Casey, §c, vs. Galli,
supra.)
IV. But if contribution only is sought, the proceedings maybe in equity, joining
all the shareholders within the jurisdiction of the court. (Ibid., pp. 505-6.)
77
See, also, title " SHAREHOLDERS, INDIVIDUAL LIABILITIES OF,

VI, post. Judge

Swayne says " may," and Nelson, J.. says that " we may sue at law.11

ATTACHMENT OF ASSETS.

1. 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.)
Seealso title "JURISDICTION," II, post.
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, S 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. (Bullard vs. Xational Bank, cjx-..
18 Wallop. 581).)
See also case of Bank vs. Lanier. 11 Wall., p. 369, cited under "LOANJ ON
SHARES," post.

[NOTE.—In Young vs. Vaugli, 23 X J. Equity B.,p. 3*25, 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. (Xational
Bank o/ the Bepublic vs. Millard, 10 Wall., p. 152.)
II. The relation of banker and customer is that of debtor and creditor. Receiving 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.)
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 u money had and received.'' (Ibid.,pj). 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 Uuited States creditor do not vary the
rule. (Ibid., pp. 155-<>.)
V. Where a bank pays a check drawn on it, in favor of a party whose indorsement
thereon is forged, and the same has passed through several hands, only
reasonable diligence is required to be exercised in giving notice to prior
holders of the forgery, after its discovery, in order to hold them liable.
(Sehroeder VH. Harvey,

75 III.,}). 03^.)

VI. A clerk of plaintiffs' received from their debtors checks, payable to their (plaintiffs') order, in payment of sums due. The clerk, wrongfully and without
authority, indorsed the names of the plaintiffs on these checks and transferred




REPORT OF THE COMPTROLLER OF THE CURRENCY.

LV

CHECKS—Continued.

them to other persons, appropriating the proceeds to his own use. Subsequently these checks were deposited with a bank which in good faith collected them and paid over the proceeds to the depositors. In a suit by
plaintiffs against the bank, to recover the amount so collected by it: Held,
That the bank was liable. (Johnson vs. First National Bank, 13 N. Y. Suv.
Court,}). 121.)
VII. The act of Congress of March 3, 1869, making it unlawful for a national bank
to certify checks unless the drawer has at the time funds on deposit to an
amount equal to the amount specified in the check, does not invalidate a
conditional acceptance of a check by such bank, having no funds of the
drawer in its hands at the time, but engaging to pay the same when a draft
left with it for collection by the drawer shall have been paid. (Rational
Bank vs. National Bank, West Va. St., p. 544.)
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 1a State to the proper Federal court. (Chat-

ham National Bank vs. Merchants' National Bank, 4 Thorn]), cj- C, (Thompson fy
Cook,) N. Y. Sup. C, p. 19t>, and 1 Hunter, N. Y., p. 702 )

COLLECTIONS.

I. A collection agent who receives from his principal a bill of lading of merchandise, deliverable to order, and attached to it a time draft, may, in the absence
of special instructions, deliver the bill of lading to the drawee of the draft,
upon the latter's acceptance of the draft. It is not the duty of the agent to
hold the bill after such acceptance. (National Bank of Commerce vs. Mer1
chants National Bank, 1 Otto,})' 92.)

II. Woolen <§- Co., bankers at Indianapolis, sent to defendant, a bank at Buffalo, a
draft on one Bugbee, also bills of lading for sundry car-loads of lumber. The
remittance was by letter, which merely stated that the draft and bills were
sent to defendant for collection and remittance of proceeds ta plaintiffs,
Woolen 4'" Co. The draft was drawn by, and to the order of, Coder <f Co., indorsed by them, by May hew, and the plaintiffs. By the terms of draft the
drawer, indorsers, and acceptor waived presentment for payment and notice
of protest and non-payment. It was payable fifteen days after its date, and
it was admitted that by ordinary course of transit the lumber would reach its
destination eight days prior to the maturity of the draft. There had been
no business transactions between plaintiffs and defendants save one collection similar to this. Defendants presented the draft to Bugbee for acceptance, and, upon such acceptance, delivered to him the bills of lading. Bugbee
failed before the draft matured, and plaintiffs sued defendants for delivering
the bills of lading to Bugbee before payment of the draft. It was conceded
that the draft was drawn for the price or value of the lumber.
Held, per Wallace, J., that, the draft being on time, it must be presumed that it
was the intent of parties that Bugbee should realize from sale of the lumber
the funds to meet the draft at maturity. Therefore, upon his acceptance of
the draft, he was entitled to the bills of lading, and defendants were not liable
for thus delivering them, but if the draft had not been upon time, a different
rule might have prevailed. ( Woolen <§~ Webb vs. N. *Y. and Erie Bank, 12
Blatchf.,p. 359.)
III. The Corn Exchange National Bank of Chicago sent defendant, the Dawson Bank

at Wilmington, N. C, a draft drawn upon one Wiswall, living at Washington, N. C, for collection. Defendant by letter acknowledged the receipt of
the draft, stating that it had been credited to the Corn Exchange Bank, and
entered for collection. Thereupon defendant sent draft to Burbank cf Gallagher, backers at Washington, N. C, for collection. The latter house collected the draft, but failed and passed into bankruptcy before remitting.
In a suit brought by the assignee of the Corn Exchange National Bank
against the Dawson Bank to recover the proceeds of the draft, Held, per
Wallace, J., that the latter bank was liable for the amount. (Kent, Assignee,

tJ'C, vs. The Dawson Bank, 13 Blatchf., p. 237.J)

[NOTE.—The court concedes that the authorities are conflicting upon the
point involved in this case. In New York, Ohio, and in England, the decisions sustain the conclusion of Judge Wallace, while in Connecticut, Massachusetts, Illinois and Pennsylvania, precisely the contrary rule prevails. The
point was made in this case that the law of Illinois should control the rights
.of parties, but it was held otherwise.]




LVI

REPORT OF THE COMPTROLLER OF THE CURRENCY.

COLLECTIONS—Continued.

IV. In an action l»y G against a bank it appeared that a note was made to G's
order, indorsed by him and sent through the house of B, a banker, for collection, and by I> indorsed to the defendant bank, "for collection and credit/7
Held that B, by the indorsement, flirt not become the owner of the note, and
had no right 1o pledge it, or direct its proceeds to be credited to him in payment of his indebtedness to the defendant bank. (First National Bank vs.
Gregg, 79 Pa. St., p. :W4.J

V. In such case if the defendant bank hart rnnrto advances, or given new credit to
B on the faith of the note, it would have been entitled to retain the amount
out of the proceeds. (Ibid.)
VI. A bank holding a' customer's demand-note has a lien upon the proceeds of
drafts delivered to it for collection, after the giving of the note, though collected after the filing of a petition in bankruptcy, and can apply such proceeds upon the notes. (He Farnvworth, 5 Hiss., p. 223.)
COMPROMISES.

I. In adjusting and compromising contested claims against it, growing out of a
legitimate banking transaction, a national batik may pay a larger sum than
would have been exacted in satisfaction of them, so as to thereby obtain a
transfer of stocks of railroad and other corporations, in the honest belief that
by turning them into money under more favorable circumstances than then
existed, a loss, which it would otherwise suffer from the transaction, might
be averted or diminished. (First National Bank vs. National Exchange Bank, 2
Otto, p. 122.)
II. So, also, it may accept stocks in satisfaction of a doubtful debt, with a view to
their subsequent conversion into money, in order to make good or reduce an
anticipated loss. (Ibid.)
See also ESTATE, RI:AL, I,2>osi.
COMPTROLLER.

I. The Comptroller appoints the receiver, and can therefore remove him. (Kennedy
vs. Gibson, 8 Wall,p. 49?.)
II. The Comptroller's certificate, reciting the existence of the fcicts of which he is
required to be satisfied, to justify the appointment of a receiver, under section
50 of the national-bank act, is sufficient evidence of the validity of such appointment, in an action brought by such receiver. (Platt vs. Bebee, 57 N. Y.f
p. 339.)
III. The Comptroller must authorize aiy increase of the capi tal stock of a national
The
bank; and such increase must be certified by him as presc ribed by sec. 13 of
the act of Congress providing for the organization of national banks. (R. S.,
sec. 5142. Charleston vs. People's Nat11 Bank, 5 S. C, p. 103.)
IV. The 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, to 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 government 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 any wise affect their operation, except so far as Congress may see proper to permit. (Per Sivayne, J., in
Farmers and Mechanics7 National Bank vs. Bearing, 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 Bank of the United States.
The reasouing 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
corollary of the former. (Ibid., per Sivayne, J., pp. 33-34.)
DEBTORS OF NATIONAL BANKS.

I. Debtors of an insolvent national bank, when sued by the receiver, cannot object
that pleadings da not show a compliance with all the steps prescribed by statutes as preliminary to the appointment oi" such receiver. ( Cadle, Receiver, cfc,
vs. Baker tf Co., 20 Wall., p. (550.)

II. Such ordinary debtors may be sued by receiver without previous order of
the Comptroller. (Bank vs. Kennedy, 17 Wall., p. 19.)




REPORT OF THE COMPTROLLER OF THE CURRENCY.

LVII

DEPOSITS, GENERAL.

I. The relation between a bank and its depositors is that of debtor and creditor
only, and is not fiduciary. Tims, a note deposited for collection, if passed to
the credit of the depositor, in his general account, then overdrawn, becomes
the property of the bank, which becomes indebted to him for the proceeds.
Upon the bankruptcy of the bank, the proceeds are assets available to the general creditors. And the fact that the account was made good by oilier deposits, before collection of the note, makes no difference, (In re Bank of Madison, 5
Bissell, p> 515.)

II. A deposit is general, unless the depositor makes it special, or deposits it expressly in some particular capacity. And in case of a general deposit of
money with a banker, a previous demand by the depositor, or some other person by his order, is indispensable to the maintenance of an action for the deposit, unless circumstances are shown which amount to a legal excuse. (Brahm
vs. Adkins, 77 III, p. 26:3.)
DEPOSITS, CERTIFICATES OF.

I. A certificate of deposit was issued by a bank for a certain sum, subject to the
order of the depositor at a certain date, payable on the return of the certificate :
Meld, in an action on said certificate against the bank, brought by an assignee,
that there could be no recovery without proof of an actual demand and refusal of payment. (Brown vs. McElroy, 52 hid., p. 404.)
II. In a suit against the bank, upon a stolen certificate of deposit given by the defendant to the plaintiff, reciting that he had deposited in the bank a certain
number of dollars, payable to his order in current funds, on the return of the
certificate properly indorsed :
Held, first, that the instrument should be regarded as the promissory note of
the bank, assignable under the statute, (of Indiana,) but that it was not negotiable as an inland bill of exchange, being made payable, not in money, but
" in current funds f second, that "the payee could recover on said stolen
certificate without giving a bond against a subsequent claim thereunder by
another person. (National State Bank vs. Bingel, 51 Ind., p. 393.)
III, Where a bank issues a certificate of deposit, payable on its return properly
indorsed, it is liable thereon to a bona-fide holder, to whom it was transferred
seven years after it was issued, notwithstanding the payment thereof to the
original holder. Such certificate is not dishonored until presented. (National
Bank Fort Edward vs. Washington Co. National Bank, 5 IIun.,N. Y. Sup. Court,
p. 605.)
DEPOSITS, SPECIAL.

I. The taking of special deposits to keep, merely for the accommodation of the
depositor, is not within the authorized business of national banks; and the
cashiers of such banks have no power to bind them on any express contract
accompanying, or any implied contract arising out of, such taking. ( Wiley vs.
First National Bank, 47 Ft, p. 546.)

II. If a banking association, under the national-currency act, has power to assume
the duties and obligations of a naked bailee of property, either gratuitously or
for hire, (as to which point the court does not decide, though apparently inclined to deny such power,) it is clearly outside its ordinary business; and^it is
not within the scope of the general powers or general authority of its executive or ministerial offices to bind such corporation by a contract for such bailment. Therefore, in the absence of proof of special authority for that purpose, delegated by the board of directors, or evidence that such powers have
been exercised by their knowledge and sanction, or that such has been the
habit and custom of the bank, it is not responsible for property thus received
by its cashier.

(First National Bank Lyons vs. Ocean National Bank, 60 N. T.f

p. 278.)
Ill A circular issued by such corporation, inviting the correspondence of other
banks, and offering to buy and sell securities for them, is no evidence of a consent, on its part, to become a general bailee and depository of such securities
for its correspondence. (Ibid.)
IVj The corporations formed under the national-currency act are banks of deposit,
as well as circulation. They are authorized to issue their own notes, and receive from others their money and circulate it. Money so received is termed a
deposit, although it has none of the qualifications of a bailment, thus named.
There is no trust or promise to redeliver t he same money. By the deposit the
money becomes the property of the bank, and only the relation of debtor and
creditor is created. (Ibid., per Allen, J., p. 288.)
[NOTE.—In the last cited case the cashier of the Ocean National Bank had, at




LYIII REPORT OF THE COMPTROLLER OF THE CURRENCY.
DEPOSITS, SPECIAL—Continued.

sundry times, received United States bonds belonging to the Lyons bank. Some
of these bonds had been purchased by said cashier and the assistant cashier for the
Lyons bank. Two or three times, by the order of the latter bank, the coupons
of these bonds had been cut off by said cashier, and proceeds credited to the
Lyons bank. But there was no proof that these transactions were done, or
that said bonds were kept in the vault of said Ocean Bank, with the knowledge
of the directors. While said bonds were thus kept, burglars broke in and stole
them. The court held, and the opinion was unanimous, that there was no difference under the currency act between such a deposit of United States bonds
and a deposit of other valuable property, such as plate, diamonds, or jewelry,
for safe-keeping, gratuitously. It was a naked bailment of deposit, without rereward, and such an act of the cashier-as did not bind the bank.]
For definition of the bailment called " deposit," and the liabilities of such
a bailee, see Story on Bailments, section 4, and sections 61 to 135.

As to special deposits of money with a bank, see Story on Bailments, section
88 ; also, Smith vs. First National Ban!?, 99 JIass., p. 605. In this last case there
had been a special deposit of gold coin, to be returned when called for. The
cashier embezzled the funds : Held, that the bank was not liable, as there was
no gross negligence on the part of the corporation.
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. Hutton, 43 Barbs
N. Y. Sup. Court, p. 195; S. C, 18 All). Pr. II., 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 . 3-2.)
INTEREST.

I. Under section 30, act of 1864, a national bank in any State may take as .ligh
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 less rate. (Tiffany vs.
National Bank of Missouri, 18 Wall., p. 409.)

LNOTE.—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.
INTEREST ON CLAIMS OF CREDITORS.

I. Where a national bank is put in charge of a receiver, under section 50 of the
original Currency act, (R. S., sec. 5'234,) and a sufficient sum is realized from
its assets to pay all claims against it and leave a surplus, the Comptroller
ought to allow interest on the claims during the period of administration,
before appropriating the surplus to the stockholders of the bank. An action
of assumpsit by the holder of such a claim will not lie against the Comptroller,
nor against the receiver, but will lie against the bank. (Chemical National
Bank vs. Bailey, V> Blatchf.,p.

480.)

II. In such action interest is recoverable on all demands originating in contract
conditioned for the payment of interest, and on all demands for money due
and unpaid, by way of damages for non-payment after such demands became
due. And interest is recoverable on a balance due a depositor in such bank,
although he has made no formal demand of payment. (Ibid.) But, as to this
last point, see the ruling of the Supreme Court.

I I I . In the case of National Bank of the Commonwealth vs. Mechanics1 National Bank, 4

Otto, p. 4S7, the Supreme Court United States, at its last term, decided that a depositor in a national bank, when it suspends payment and a receiver is appointed, is entitled from the date of his demand to interest upon the deposit;
that the claims of depositors in such bank at date of suspension for the amount




REPORT OF THE COMPTROLLER OF THE CURRENCY.

LIX

INTEREST ON CLAIMS OF CREDITORS—Continued.

of their deposits are, when proved to the satisfaction of the Comptroller of the
Currency, placed upon the same footing as if reduced to judgments ; that is to
say, they draw interest from the time of such proof and allowance.
It was also decided that, such interest being a liquidated, sum at the time of
the payment of the deposit, an action lies to recover it, and interest thereon.
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.

Clifford, J.,p. 402.)

JURISDICTION.

I. A United States district court has jurisdiction to authorize a receiver of an insolvent national bank to compromise a debt. (Matter of Platt, 1 Ben., p. 534.)
II. A resident (citizen) of Kentucky 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 Bauk, 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 "want of jurisdiction" and other defenses. The
supreme court overruled his plea to the jurisdiction, rendered judgment
against tha receiver on the merits, and ordered satisfaction to be made from
the moneys attached. Thereupon the receiver tiled 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.
ffeld thatt by the provisions of the currency act, the State court was deprived of
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, 4'-c, 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, tjx\, vs. Lanier.
11 Wall.,p. 369.)
II. The placing of funds by 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., p. 369. See also Billiard vs. Bank, 18 Wall., p. 580 j
and "BY-LAWS," supra.)
LOANS IN EXCESS.

I. A loan by 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.
See also CHare vs. Second National Bank, 77 Pa. St., p. 96.)
In Samuel M. Shoemaker vs. The National Mechanics' Bank, and The Same vs. The

National Union Bank, application for injunction, &c, United States circuit
court, Baltimore, Md., Judge Giles held < * * * "As to the first charge in
this bill against the defendant, in reference to the amount loaned to Bayne &.
Co., in violation of the twenty-ninth section of the act of June 3, 1864, I would
only say that the Iran made under such circumstances is not void ; it can be
enforced as any other loan made by the bauk." *
*
*
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. {Manufacturer^ National Bank vs. Baaek, 8 Blatchf, p. 137.)




LX

REPORT OF THE COMPTROLLER OF THE CURRENCY.

OFFICERS.

I. It is the duty of directors of a bank to use ordinary diligence in acquiring knowledge of its business. They cannot be heard, when sued, to say that they were
not apprised of facts, the existence of which is shown by the books, accounts
and correspondence of the bank. They should control the subordinate officers
of the bank in all important transactions. Therefore, under the circumstances
proved in this particular case, they were held liable for the abstraction and
sale of special deposit by the latter. ( United Society, tf-c, vs. Underwood, 9 Bush,
Ky., p. (509.)
II. The cashier of a national bank, wlmhad executed no bond, embezzled its funds,
discovery whereof might have been effected by use of slight diligence on the
part of the directory. They, however, published, according to law, a statement of the condition of the bank, which showed that its affairs were being
prudently and honestly administered, and from which the public had a right
to believe that he was trustworthy. Afterward, persons who had seen this
report became sureties on the official bond of the cashier, and for his subsequent embezzlements were sought to be held liable thereon. Held, that such
sureties, being misled by the statement, were released. They had a right to
believe that the directors, before publishing it, investigated the condition of
the bank, (Graces vs. Lebanon .Xational Hank, 10 Hush, Ky.,p. 23.)
III. A guaranty against loss for signing as sureties, given by a bank president, without authority from the directors, to those whom he had solicited thus to sign
a note, given to the bank to retire a prior note held by it against their principal, is held to be the individual contract of the president, and not binding
upon the bank. (FirstNational Hank vs. Bennett, 33 Mich.,p. 520.)
IV. A cashier, who has made sale of corporate property, o.nd holds a balance in his
hands, is the agent of the board of director*, and not of the respective stockholders, and cannot be charged by an individual stockholder as holding such
balance for his beneiit. (Brown vs. Adams, 5 Biss., p. 181.)
V. A cashier, without special authority, cannot hind his bank by an official indorsement of his individual note, and the onus is on the payee to show such authority. ( West Saint Louis Savings Bank vs. Shawnee Co. Bank, 3 Bill, p. 403.
VI. Although the cashier of a bank may, in the ordinary course of business, without
the action of the directors, dispose of the negotiable securities of the bank,
be has not the power to pledge its assets for the payment of an antecedent
debt. (State of Tennessee vs. Davis, ."0 How. (X. Y.), p. 447.)
RECEIVERS.

I. The receiver of a national bank is the instrument of the Comptroller, and may
be removed by him. (Kenned)/ vs. Gibson, 8 Wall.,p. 505.)
II. Such receiver is the statutory assignee of the assets of the bank, and may sue
to collect the same in his own name, or in the name of the bank, for his use.
(Ibid., #.501).)
III. In such suit it is not necessary to make the bank or creditors parties. (Ibid.,
p. 506.)
IV. The rec
Che receiver of a national bank represents such bank and its creditors, out 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 airainst his bank, is not final. Claimant may still sue. (Bank of Bethel vs. Pahquioque Bank, 14 Wall.,})- 383.)
VI. The clause of section 50, act of 1864, which prescribes 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.
(Platt, receiver, tj'c., vs. Beach,'2 Ben., p. 303.)
[XOTE.—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 ^Y. Y.,
p. 458; In re Empire City Bank. 18 X Y., p. 199.)
[NOTE.—Though these cases were decided by a State tribunal, (New York




REPORT OF THE COMPTROLLER OF THE CURRENCY.

LXI

SET-OFF—Continued.
court of appeals,) and the rulings were based upon provisions of a State constitution and a State statute, yet the principle they enunciate is recognized and
fully affirmed in Sawyer vs. Jloay, 17 Wall., p. 010, and Scammon vs. Kimball,
2 Otto, p. 362.]
SHAREHOLDERS, INDIVIDUAL LIABILITY OF.

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.,}). 505.)
II. His decision as to this is conclusive. Shareholders cannot controvert it. (Ibid.,
P- 50r>0
III. In any suit* biought 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.)
IV. The liability of shareholders is several, and not joint. (Ibid., p. 505.)
V. The limit of such liabilities is the par value of the stock held by each one.
(Ibid., p. 505.)
VI. Where the whole amount is sought to be recovered, the proceeding must be at
Jaw ; where less is required the proceeding may be in equity, and, in such
case, an interlocutory decree may be taken for contribution, and the case may
stand over for the further action of the court, if such action should subsequently prove to be necessary, until the full amount of the liability is exhausted. (Ibid., p. 505.)
But in Bailey, Bec'vr, fyc, vs. First National Bank Duhith, U. S. circuit court
for Minnesota, Nelson, «/., held that even wheie less than the par value was
assessed the suit might be at law ; and this would seem to be the true theory.
Vide Bankers' Magazine, April, 1877, p. 793.
VII. In such equity suit, all shareholders within the jurisdiction of the court should
be made parties defendants; but it is no defense that those not within the
jurisdiction are not joined. (Ibid., p. 506.)
VIII. Suits to enforce personal liability of shareholders may properly be brought
before other assets are exhausted. (Ibid., pp. 505-6.)
SHAREHOLDER, LIABILITY OF TRANSFEREE.

1. 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 shareholder who transferred them. (Hah 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 tfae
same question.] (Adderly vs. Storm, 6 Mill, p. 624, and Worrall vs. Johnson, 5
Barb., p. 210.)
[In the Bankers' 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
snares 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," supra.)
In the case of Bowden vs. Farmers and Merchants' National Bank of Baltimore,
decided by Judge Giles in the United States circuit court, Maryland district,
April, 1877, it was held that the defendant was liable, though the shares had
originally been transferred to it as security for a loan, which loan had been
paid, and though, upon such payment, defendant delivered the certificate of
stock to the original owner, with a power of attorney authorizing him to retransfer the stock to himself.
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 other icise,
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../ . 369.)




LXII

KEPORT OF THE COMPTROLLER OF THE CURRENCY.

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. ( Fan Allen vs. Assessors, 3 Wall.,
p. 573.) (Chase, C. J., and other judges, dissented.)
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 tax-d, 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 reaffirmed in Bradley vs. People, 4
Wall, p. 459, 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 ta-xed u 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. (Hepburn vs. School Directors of the Borough of Carlisle)
23 Wall., p. 480.)

[NOTE.—In this case it appeared that Hepburn owned several thousand dollars y national-bank stock, the par value of which was $100 per share, and that
of
it w as 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 purj)oses.]
See also Saint Louis National Bank, National Bank of Missouri, Third National
Bank, Valley National Bank, and Merchants1 National Bank of Saint Louis vs.

Pap in, in United States circuit court, eastern district of Missouri, September
term, 1876.

Also, Gallaiin National Bank of New York vs. Commissioners of

Taxes, supreme court of 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 rive months of 1870 are taxable, as well as those declared
during the year 1871. (Blake vs. National Banks,, 23 Wall., p. 307.)
LICENSE TAX.

1. The District of Columbia imposed a license tax on all the national-banks in the
District, the rate being 50 cents annually on each $1,000 of the capital invested.
The Citizens' National Bank refused to pay this assessment, and a test case was
made in the district criminal court, Mr. Justice Mac Arthur presiding. This
court, after full argument, held the tax illegal and void, as being contrray to
the mode of taxation prescribed by Congress, which mode was held to be exclusive.
TRANSFERS OF ASSETS.

When binding. The receiver of a national bank cannot repudiate a pledge of its
assets made bythe bank for advances to it, either on the ground that the pledge-




REPORT OF THE COMPTROLLER OF THE CURRENCY. LXIII
TRANSFERS OF ASSETS—Continued.

was not formally executed, or that the transfer was void because not authorized by the charter of the bank, so long as he retains, as assets, the advances, to
secure repayment of which the.plulge was given. (Casey vs. Le Societe de Credit
Mobilier, 2 Woods, p. 77.)

A preference of one creditor to another, within the meaning of section 5242, Revised Statutes,, is a preference given by the bank to secure or pay a pre-existing
debt. Where a person, knowing that a national bank is embarrassed, makes to
it a loan, taking as security therefor a pledge of part of the assets of the bank,
this transfer does not give him the preference prohibited by the statute. (Ibid.)
II. When not binding. Under said section 5242, which declares void transfers of its
property by a national bank, made in contemplation of insolvency, and with a
view to give a preference to one creditor over another, or with a view to prevent the application of the assets of the bank in the mauner prescribed by law,
such a transfer is void if the insolvency is in the contemplation of the bank
making the transfer, although the party to whom it is made does not know or
contemplate the insolvency of the bank. (Case, receiver, vs. Citizens7 Bank, 2
Woods, p. 23.)

ULTRA TIRES, WHAT IS.

I. National banks cannot sell railroad bonds for third parties on commission, or
engage in business of that character. (Susan Welcker vs. First National Bank
of Hagerstown, Court of Appeals of Marylaud, 43 Md., p. 581.)
II. Iu an action of deceit against a national bank, for alleged false representations
of its teller in the sale to plaintiff of certain railroad bonds :
Held, That the selling of such bonds on commission was not within the authorized business of a national bank, and being thus beyond the scope of its corporate powers, the defense of ultra vires was open to it, and it was not responsible for the deceit of its teller. (Ibid.)
III. The national-bank act confers no power on a national bank to take a deed of
trust of real estate as security for a contemporaneous loan ; and such bank has
no power not conferred by Congress. A sale under such a deed enjoined.
(Matthews vs. Skinner, 62 Mo'.,JJ. 329. See also DEPOSITS, SPECIAL, I, II, ill, IV.)
ULTRA VIRES, WHAT IS NOT.

IV. A national bank took a lien upon real estate to secure a pre-existing debt. Afterward, the bank paid $500 to discharge a prior lien upon the land, taking a note
and mortgage on land in Kansas to secure this advance. Lien and mortgage
held valid, and warranted by law. (Orum vs. National Bank, 16 Kans.,p. 341.)
V. A chattel mortgage taken by a national bank to secure a pre-existing debt is valid,
and will be enforced.
USURY.

(Spofford vs. First National Bank, 37 Iowa,]). 181.)

I. State laws relative to usury do not apply to national banks. (Farmers and Me7
chanics National Bank vs. bearing, 1 Otto, p. 29.)

II. The only forfeiture declared by the 30th section of ther act of June 3, 1864, (Revised Statutes, section 519S,) is of the entire interest w hich 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.)
APPENDIX.

Special attention is called to the carefully prepared tables contained
in the report and appendix, a full list of 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 1 of this year appears at the end of the
volume.
In concluding this report the Comptroller takes pleasure in bearing
testimony to the industry and efficiency of the officers and clerks
associated with him in the discharge of official duties.
JOHN JAY K3TOX,
Comptroller of the Currency,
Hon. SAMUEL J. RANDALL,

Speaker of the House of Representatives,




TABLES CONTAINED IN EEPORT AND APPENDIX.

REPORT.
Page.
I. Table of the rasources and liabilities of the national banks in October of each
year, from 1869 to 1877
II. Table of the resources and liabilities of the national banks on October 1, 1877,
classified by reserve cities, &c
III. Table, by geographical divisions, of the number, capital, and deposits of the
State banks and private bankers, &c, for the six months ending May 31,
1877
IV. Table, similar to the one preceding, for the six months ending November 30,
1876
V. Table of the circulation, deposits and bank-balances, and specie of the banks
of the country, with the ratios of specie to circulation and to circulation and
deposits, from 1835 ,to 1842, and from 1850 to 1858
VI. Table of circulation, deposits and bank-balances, and legal-tender funds of the
national banks, with the ratios of legal-tender funds to circulation, and to
circulation and deposits, from 1870 to 1877
VII. Table showing the circulation, deposits and bank-balances, and specie of the
State banks in New England and New York, with the ratios of specie to circulation, and to circulation and deposits, from 1835 to 1842, and from 1850 to
1858, and also the circulation, deposits and bank-balances, and legal-tender
funds of the national banks in New England and New York, with the ratios
of legal-tender funds to circulation and to circulation and deposits, from
1870 to 1877
VIII. Table showing the number, circulation, deposits, and specie o£the State banks
in New York City, with the ratios of specie to circulation and to circulation
and deposits, from 1855 to 1860, and also the number, circulation, deposits and
legal-tender funds of the national banks in New York City, with the ratios
of legal-tender funds to circulation and to circulation and deposits, from 1872
to 1877
IX. Table showing the average number, circulation, deposits, and reserve-funds
of the national banks in New York City, other reserve cities, and the remainder of the country, with the ratios of legal-tender funds to circulation
and to circulation and deposits, and of reserve fuuds to circulation and deposits, 1870 to 1877
X. Table showing the value of the legal-tender paper dollar in each year, from
1863 to 1877
„
XI. Table showing the weight of the gold coin represented by the legal-tender paper dollar in each year, from 1863 to 1877
XII. Table, by States and geographical divisions, of the number of national banks
" organized, closed, and closing, and in operation, with their capital, bonds,
and circulation, November 1,1877
XIII. Table of the outstanding circulation of the national banks on January 1 of each
year from 1868 to 1877, and on November 1, 1877
XIV. Table showing, by States, the issue and retirement of circulation for the year
ending November 1,1877, and the total amount issued and retired since June
20, 1874
XV. Table showing the issue and retirement of national-bank notes and the deposit
and retirement of legal-tender notes, monthly, since the passage of the act of
January 14, 1875

V CO




IV
V

YI
VI

VIII

VIII

IX

X

XI
XIII
XIII

XV
XVI

XVII

XVIII

LXVI

REPORT OF THE COMPTROLLER OF THE CURRENCY.

XVI. Statement giving similar information by fiscal years
XVII. Statement showing concisely the operations of the acts of Juue 20, 18T4, and of
January 14,1875, to December 1, 1877
XVIII. Table of the amounts and kinds of United Spates bonds held as security for
national-bank circulation
XIX. Table of the liabilities of the national banks, and of the reserve required and
held, at three dates in each year from 1872 to 1877
XX. Table showing the liabilities and reserve of the national banks since June 20,
1874, at the dates given
XXI. Table showing the weekly movement of the legal-tender reserve of the New
York City national banks in the month of October, from 1870 to 1877
XXII. Table of the liabilities and reserve of the New York City national banks in
October of each year from 1872 to 1877
XXIII. Table of the amounts of specie held by the national banks at the dates of their
reports, from October, 18G8, to October, 1877
XXIV. Statement showing the movement of coin and bullion in the United States for
the fiscal year 1876-77, and the estimated amount in the country at the end
of that year
XXV. Statement of the public debt at its maximum
XXVI. Table of the amounts and kinds of outstanding United States and national-bank
issues, from 1865 to 1877, at the dates given
XXVII. Table showing the transactions of the Xew York clearing-house, yearly, from
1854 to 1877
XXVIII. Table showing the classes of loans of the national banks in New York City in
October of each year from 1874 to 1877
,
XXIX. Statement of the rates of interest in New York and London, 1874 to 1877
XXX. Table showing the United States taxation of national banks, yearly, from 1864
to 1877
XXXI. Statement of the amount of United States taxes collected from banks, other than
national, yearly, from 1864 to 1877
XXXII. Table, by States and reserve cities, of the capital and the amount and rate of taxation of the national banks for the year 1876
XXXIII. Table of the taxation of national banks, yearly, from 1866 to 1876
XXXIV. Table of the rates of taxation of the national banks in certain States for the
years 1874, 1875, and 1876
XXXV. Table of the rates of taxation of the national banks in certain cities for the years
1875and 1876
XXXVI. Table, by geographical divisions, of the capital, and the amount and rates of
taxation, of the national banks, for the years 1874, 1875, and 1876
XXXVII. Table, by States and reserve cities, of the amount of the losses charged off by
national banks during the year ending September 1, 1877
XXXVIII. Table of the amount of losses charged off by the national banks in the principal
cities in the years 1876 and 1877
XXXIX. Table, by geographical divisions, of the number and capital of the national banks
which made no dividends in 1876 and 1877
XL. Table showing the capital, surplus, dividends, and earnings of the national
banks, semi-annually, from 1869 to 1877
XLI. 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,
1876, and 1877.
XLII. Table, by geographical divisions, of the ratios to capital and to capital and surplus of the dividends of the national banks, semi-aunually, from 1872 to 1877.
XLIII. Table of the amounts of national-bank notes received by the Comptroller and at
the redemption agency of the Treasury, from June 20, 1874, to November 1,
1877
XLTV. Table, by denominations, of the number and amount of national-bank notes
issued and redeemed from 1863 to 1877, and the number and amount outstanding November 1, 1877
XLV. Statement of the amount of national-bank notes destroyed, yearly, from 1863 to
1877
XLVI. Table showing, by denominations, the amount of national-bank notes, and of
legal-tender notes, and the total outstanding on November 1, 1877
XLVII. Table, by States and reserve cities, and geographical divisions, of the number
of State banks, savings-banks, &c, with their average capital and deposits,
and the tax thereon, for the six mouths ending May 31, 1877
XLVIII. Synopsis of judicial decisions relative to national banks




Page.
XVIII
XIX
XX
XXII
XXIV
XXV
XXVI
XXVII

XXVIII
XXVIII
XXVIII
XXIX
XXIX
XXX
XXX
XXXI
XXXI
XXXII
XXXIII
XXXIII
XXXIII
XXXIV
XXXV
XXXV
XLI

XLI
XLII

XLII

XLIII
XLIII
XLIV

XLVII
LIII

REPORT OF THE COMPTROLLER OF THE CURRENCY. LXVII
A PPENDIX.
Page.
I. Names and compensation of officers and clerks in the office of Comptroller
of the Currency, and expenses of tlie office for fiscal year ending June 30,
1877
LXIX
II. Table showing, by States, the issue of circulation and the deposit of legaltender notes to retire circulation, from June 20,1874, to December 1, 1877, and
the amount remaining on deposit at the latter date
,
LXXI
III. Table, by States, of the taxation of the national banks for the year 1867
LXXII
IV. Table, similar to the one preceding, for the year 1869
LXXIII
V. Similar table for the year 1874
LXXIV
VI. Similar table for the year 1875
LXXV
VII. Table, by geographical divisions, of the dividends and earnings of the national
banks, semi-annually, from 1869 to 1877
".
LXXVI
VIII. 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,
1873, to September 1, 1877
LXXIII
IX. 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, 1876, to March 1, 1877
LXXX
X. 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, 1877, to September 1, 1877
LXXXI
XI. Table showing the liabilities and reserve of the national banks at the dates of
their reports, from October, 1871, to October, 1877
LXXXII
XII. Table showing, by States and reserve cities, the liabilities and reserve of the
national banks on October 1, 1877
LXXXIV
XIII. 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
eachyearfrom 1870 to 1877
LXXXVI
XIV. Statement showing the principal items of the resources and liabilities of the
national banks in New York City, in other redemption-cities, and in the
remainder of the country, together with a summary of the whole, on October
13 and November 1, 1873
LXXXVII
XV. Table showing by States, reserve cities and geographical divisions, the number
of State banks, savings-banks, &c, with their average capital and deposits,
and the tax thereon, for the six months ending November 30, 1876
LXXXVIII
XVI. 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 ending November 30, 1875
LXXXIX
XVII. Similar table for the six months ending May 31, 1876
. LXXXIX
XVIII. Table, by States, of the resources and liabilities of State banks, at dates named. LXXXIX
XIX. Table showing the aggregate resources and liabilities of State banks, from 1674
to 1877
XCI
XX. Table, by States, of the resources and liabilities of trust companies, at dates
named
XOIT
XXI. Table showing the aggregate resources and liabilities of trust companies, 1875,
1876 and 1877
XCI I
XXII. Table, by States, of the resources and liabilities of savings-banks, at dates
named
XCIII
XXIII. Table showing the aggregate resources and liabilities of savings-banks from
1874 to 1877
XCIV
XXIV. Table, by States, of the aggregate deposits of savings-banks, the number of
their depositors, and the average amount due to each, in 1876 and 1877
XCIV
XXV. Table showing the number and denominations of national-bank notes issued,
redeemed, and outstanding November 1 in each year, from 1868 to 1877
XC V
XXVI. List of national banks in voluntary liquidation, with their capital, circulation
issued and retired, and circulation outstanding November 1, 1877
XCYI
XXVII. List of insolvent national banks, with their capital, circulation issued and
retired, and circulation outstanding November 1,1877
C
XXVIII. List of insolvent national banks, with their capital stock, claims proved, and
dividends paid, and date of appointment of receivers
CI
XXIX. Aggregate resources and liabilities of the national banks at the dates of
their reports, from 1833 to 1877
CIII
XXX. Abstracts, by States, Territories, and reserve cities, of the reports made by the
national banks since October 2. 1876
CXV
XXXI. Report of the condition of each national bank on the first day of October, 1817.
X




APPENDIX.

Names and compensation of officers and clerics in the office of the Comptroller of the Currency.
Name.

Grade.

Salary.

John Jay Knox
John S. Langworthy.

Comptroller

$5, 000

Deputy comptroller...

L2, 800

J.Franklin Bates..
John W. Magruder
John D. Patten, jr..
Edward Wolcott

Chief of division
do
.do.
..do.

[ 2, 200
[ 2, 200
i 2, 200
12,200

Edward S. Peck
Watson W. Eldridge
Frank A. Miller
Theodore O. Ebaugh
F. A. Simkins
Fernando C. Cate
Nathaniel O. Chapman
William Elder
William B. Greene
John W. Griffin
George W. Martin
Charles H. Norton
William Sinclair
George H. Wood
Charles E. Brayton
James C. Brown
Charles H. Cherry
William H. Glascott
John A. Hebrew
John A. Kayser
George T. May
Washington K. McCoy
Edward Myers
Charles Scott
William D. Swan
Edgar C. Beaman
David B. Brenner
Isaac C. Miller
Edward W. Moore
Edmund E. Schreiner
Charles T. Stoddard
Walter Taylor
William H. Walton
Frederick Widdows
Noah Hayes
Edward McCauley
John J. Patton
Arthur M. Wheeler
Julia R. Donoho
Sarah F. Fitzgerald
Mary L. McCormick
Margaret L. Simpson..
James D. Burke
PhiloBurr
J. Eddie De Sanies
Charles McC. Taylor
Silas Holmes
William H. Romaine
Charles B. Hinckley
Thomas Jackson
R. Le Roy Livingston




„

Superintendent
Teller ,
Principal hook-keeper.
, Assistant book-keeper.
Stenographer
Fourth class
do
.do .
.do .
.do.
.do .
.do .
.do .
.do .

c

,
„
,
-

2,000
2, 000
2,000
2, 000
1,800
1, 800
1, 800
1, 800
1, 800
1,800
1, 800
1, 800
1, 800
1,800

Third class .
do
.do .
.do.
.do .
.do .
.do .
.do .
.do.
.do .
.do.
Second class .
.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

First clasi
do ..
.do .
.do.
.do .
.do .
.do .
.do .

1,200
1,200
1,200
1, 200
1, 200
1, 200
1,200
1,200

.do.
....j Watchman .
do .
Laborer .
.do .
.do .

1,400
1,400
1,400
1,400
1,400
1,400
1,400
1, 400
1,400

840
840
840
840
720
720
720
720
720

LXX

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Names and compensation of officers and clerks,

§c.—Continued.

Xame.
Eliza M. Barker
Eva C. Bates
Harriet M. Black
Margaret L. Browne
Mary L. Conrad
May Crosby
Louisa Campbell
Virginia Clarke
Cornelia M. Davidson
Margaret F. Dewar
Jane A. Dorr
Flora M. Fleming
Eliza H. Hyde
Elizabeth Hutchinson
Alice M. Kenn edy
Louisa W. Knowlton
Mary E. Kammerer
Emma Lafayette
Julia It. Marvin
Maggie B. Miller
Lillian D. Massey
Emma F. MorrilL
Mary E.Oliver
Carrie L. Pennock ...
EtbaE. Poole
Eliza Peters
Annie E. Itaney
Emily H. Keed'.
Maria Richardson ...
Fayette C. Sue ad
Amelia P. Stockdale .
Marie L. Sturgns
Sarah A. W. Tiffey...
Julia C. Townsend.
Eliza A. Saunders
Maria A. Summers.
Martha A. Walker

Salary.

Grade.

-

Female clerk
.do
.do
i
do
do
j
do
j
do
|
do
|
do .
j
do .
i
do .
j
do .
I
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

I

j

900
900
900
900
900
900
900
900
900
900
900
900
900
900
900
900
900
900
900
900
900
1)00
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 30,1877.
For special dies, plates, printing, Sec
$128, 654 82
For salaries
109, 391 93
Total
238,046 75
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
tor the different bureaus, the amount cannot be stated.




REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXI
Table showing, by States, the amount of national-bank circulation issued, the amount of legaltender notes deposited in the United, States Treasury to retire national-bank circulation, from
June 20, 1874, to December 1, 1877, and amount remaining on deposit at latter date.
Legal-tender notes deposited to retire nationalbank circulation since June 20,1874.
States and Territories.

Maine
."New Hampshire
Vermont
Massachusetts .
Hhode Island
Connecticut
New York
New Jersey
Pennsylvania
Delaware
Maryland
District of Columbia
Virginia
West Virginia
North Carolina
South Carolina
Georgia
Florida
Alabama
Mississippi
Louisiana
Texas
Arkansas
Kentucky
Tennessee
Missouri
Ohio
Indiana
Illinois
Michigan
Wisconsin
Iowa
Minnesota
Kansas
Nebraska
Nevada
Colorado
Utah
M^ontana
Legal-tender notes
deposited prior to
June 20, 1874, and
remaining at that
date
Totals




Additional circulation issued since For redempJune 20,1874.
tion of notes
of liquidating banks.
$1, 269, 880
494, 465
995, 970
9, 754, 855
308, 100
1,193, 610
11, 229, 685
1, 124, 935
4,951,630
84,175
195,010
315, 900.
408, 100
44, 370
371, 660
27, 700
239, 520
45, 000
198, 000
122,130
116,100
90, 000
2, 336,140
313, 200
160, 470
1, 211, 380
1, 919, 050
1,170, 325
428, 620
184, 100
783, 440
630, 520
30, 600
27, 000

To retire circulation under act of
June20,1874.

Legal tenders
on
deposit
with the II.
S. Treasurer
Dec. 1, 1877.
Total deposits.

$G00, 000
10, 800
458, 340
5, 444, 200
617, 385
1, 249, 490
16,391,900
973, 940
5, 398, 606

65, 350
972, 891
30, 060
808, 491
166, 600
393,164
706, 864
731, 060
287, 725

$641, 200
38, 200
593, 147
5 540, 600
' 617, 385
1,314,840
17, 364. 791
1, 004, 000
6, 207, 097

35, 208
1, 944, 236
88, 244
1, 312, 042

1, 210, 580
427, 500
778, 915
204, 300
809, 185
953, 380
347, 675

$41, 200
27, 400
134, 807
96, 400

1, 377,180
820, 664
1, 485, 779
935, 360
809, 185
953, 380
635, 400

222, 640
156, 244
210,132
166, 757
193, 780
119,150
125, 315
74, 813
1,421
688. 804
18, 313
1,665
569, 008
135, 666
771, 999
1, 221, 556
753, 258
i, 337, 934
241, 473
240, 287
358, 825
233,198
257, 467
103, 920
3,159
44,161
42, 068
2, 210

94, 500

283, 500

82, 783
161, 191

43, 059,140

11, 469, 496

2, 735, 000
229, 340
90, 000
1, 774, 500
724, 860
4, 005, 720
3, 360, 981
4, 306, 939
6, 916, 900
1, 903, 390
1, 151, 399
1, 964, 462
1, 438, 221
766, 471
233, 080

149, 400
196, 800
45, 000

575, 867
235, 901
512,145
1, 222, 356
749, 859
930, 474
204, 900
364, 999
508, 012
219, 676
558. 571
45, 000

94, 500

2, 099, 250
229, 340
90, 000
1,198, 633
488, 959
3, 493, 575
2,138, 625
3, 557, 080
5, 986, 426
1, 698, 490
786, 400
1, 456, 450
1,218,545
207, 900
188, 080

635, 750

232,183
357, 991
45, 000

61,199, 649

76, 482, 820

$91, 799
3,620
35,150
181, 682

3, 813, 675

1

11, 987, 204

LXXII REPORT OF THE COMPTROLLER OF THE CURRENCY.
Amount and rate of taxation ( United States and State) of the national oanhsfor the year 1867.
Bate of taxation.

A m o u n t of taxes.
States and Territories.

Capital stock.
United States.

State.

Total.

United State. Total.
States.
Per ct. Perct. Perct,

Maine
New Hampshire
Vermont
Massachusetts
Rhode Island
Connecticut
New York
New Jersey;
Pennsylvania
Delaware
Maryland
District of Columbia .
Virginia
"West Virginia
Not'th Carolina
Georgia
Alabama
Louisiana
Texas
Arkansas
Kentucky
Tennessee
Ohio
Indiana
Illinois
Michigan
Wisconsin
Iowa
Minnesota
Missouri
Kansas
Nebraska
Oregon*
Colorado
Utah
Idaho
Montana
Totals.




$9, 085, 000
4, 735, 000
6, 510, 012
79, 932 000
20, 364, 800
24, 584, 220
116, 494, 941
11, 333, 350
50, 277, 795
1, 428,185
12, 590, 203
1, 350, 000
2, 500, 000
2,216,400
583, 300
1,700 000
500, 000
1, 300, 000
576, 450
200, 000
2, 885, 000
2, 100,000
22, 404, 700
12, 867, 000
11,620,000
5,070,010
2, 935, 000
3, 992, 000
1, 660, 000
7, 559, 300
400, 000
250, 000
100, 000
350, 000
150, 000
100, 000
100, 000

$ 180,119
$141, 226
88, 773
93,179
122, 214
144,164
1, 616, 825 1, 562,128
324, 844
195, 355
434, 440
387,146
3, 022, 662 4, 058, 706
253, 359
223,106
1, 242, 037
278, 268
32, 621
1,261
260, 261
166, 054
15, 330
3, 286
48, 345
13, 926
46, 966
51, 457
9, 049
5,144
40, 845
6, 050
8, 763
3, 830
35, 894
20, 042
6, 865
2,149
1, 351
5,745
59, 816
17, 467
52, 460
27, 975
520, 951
514,681
200, 372
278, 798
231,917
321, 406
111, 790
68, 061
76, 583
62, 012
106, 349
88, 281
39, 132
29, 522
133,142
189, 248
10,229
7,801
10, 735
7,014
1, 624
9, 702
i, 615
1, 097
1,887
1,405
'479
560
837

$321, 345
181,952
266, 377
3,178, 953
520, 200
821, 587
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, 631
68, 655
322, 389
18, 030
17, 749
1, 624
11, 317
2,984
1,884
1,397

2, 804, 666

9, 525, 607 8, 813,126

18, 338, 734

2.0
1.5
1.9
1.9
1.9
2.2
2.0
2.0
1.5
1.0
1.7
1.6
2.6
3.5
2.2
2.0
2^5
0.5
2.3
0.1
2.1
1.3
1.3
0.3
1.9
0.6
2.1
2.3
1.5
0.9
2.5
0.4
1.7
1.0
2.8
1.5
1.2
0.4
2 9
0.7
2.1
0.6
2 7
1.4
2. 3 2.3
2.2
1.5
2.8
2.0
2.2
1.3
2.6
2.1
2.7
2.2
2.0
1.3
1,4
2.0
2.5
2.0
4.3
2.8
2.4
2.8 "6." 4~
0.7
1.3
1.4
0.5
0.6
0.8

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

4.3

2.1

REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXIII
Amount and rate of taxation (United States and State) of the national banks for the year
1869.
Amount of taxes.

States and Territories.

Rate of taxation.

(Capital 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




81,
20,
24,
112,
11,
49,
1,
12,
1,

419,619,860

$191, 779
97, 245
129, 059
1, 691, 620
344, 087
476, 244
2, 958, 089
279, 410
1,312,419
30, 907
277, 590
23, 814
59, 281
51, 979
15, 712
19, 763
45, 824
5, 926
27, 455
11,184
4, 284
62, 836
47,164
635, 935
298, 336
369, 742
143, 649
80, 963
122,162
45, 223
171, 198
17,443
14, 593
2,917
11,902
1, 179
1,731
10,081,244 |

Per ct. Perct Perct.
1.8
2.1
3.9
2.0
4.1
2.1
3.8
2.0
1.8
3.7
1.6
2.1
1.7
0.9
2.6
1.9
1.5
3.4
5.3
2.6
2.7
4.2
2.4
1.8
2.7
0.5
3.2
2. 4
2 2 0.2
3.3
2 2 1.1
2.4
0.2
3.1
0.4
4.0
2.3
1.7
2. 7
2.3
0.4
3.4
2.4
1.0
3.6
3.0
0.6
1.6
1.5
0.1
2.7
2.1
0.6
3.0
2 2 0.8
5.6
2.1 3.5
2.6
2. 2 0.4
2. 7
2.4
0.3
5. 5
2.9
2.6
4.1
2.4
1.7
4.8
3.0
1.8
3.2
2. 6 0.6
4.9
3. 0 1.9
4.7
1.4
3.3
4.2
2. 5 1.7
3.7
2.2
1. 5
8.4
4.4
4.0
6.4
3. 7 2.7
2.9
2.9
6.6
3.4
3.2
3.7
2.5
1.2
4.0
2. 3
1.7
2. 4 ! 1. 7

4.1

LXXIV

REPORT 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.

Kate of taxation.

Capital stock.
United States.

State.

Total.

United
State.
States.

Total.

Perct. Perct.
2.0
3.2
2.1
3.2
2.9
1.8
2.1
3.4
2.1
1.1
1.8
2. 9
2.9
4.8
3.6
1. 5 2.1
0.7
2 3
1.6
0.4
1.8
1.4
2.8
1.3
1.5
0.4
1.9
1.5
3.1
1.5
1.6
3.2
1.4
1.8
3.3
1.9
1.4
3.6
4.7
1.1
3.0
1.9
1.1
1.2
2. 9
1.7
1.4
1.5
i. 9
3.7
1.4 2.3
5.1
1.2 3.9
0.5
1.1
1.6
1.5
2.2
3.7
3. 6
2.2
1.4
3.8
2.6
1.2
4.0
2.2
1.8
2.8
1.5
1.3
4.1
2.3
1.8
2.1
3.7
1.6
3.5
2.0
1.5
1.2
2.1
3.3
1.5
3.3
4.8
3.3
5.3
2.0
3.7
2.3
1.4
1. 4
14
4.4
2.3
2.1
1.4
3.6
1.2
1.1
2.3
1.2
3.9
1.4
2.5
1.4
0.1
1.5
2.5
1.2
3.7
4.2
1.9
2.3

Per ct.

Maine
Xew Hampshire.
Vermont
Massachusetts ..
Ilhode 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
California
Colorado
Utah
New Mexico
Wyoming
Idaho
Dakota
Montana

Totals

i
I
i
!
i
j
I
!
j
!

!
]
j
!
|
j
i
j
!
j

654,019
317,037
862, 712
91, 754, 078
20, 504, 800
25, 424, 620
106, 599, 708
13, 830, 466
53, 178, 261
1, 523,185
13, 720,997 |
1, 309, 512
3, 580, 913
2, 375,216
2, 173, 338
3, 156, 250
843,
2, 634, 962
b83
1, 000, 000
4, 054, 897
1, 205, 000
9, 076,127
457, 897
3, 112, 642
29, 936, 404
17, 507, 963
20, 098,162
10, 704, 032
3, 048, 562
6, 268, 026
4, 308,198
9, 783, 235
1, 025, 000
1, 250, 000
358, 594
748, 581
439, 402
300, 000
125, 000
100, 000
50, 000
350, 000
*493, 751, 679

$111, 403
60, 002
88,152
1,163, 858
201,317
271, 801
2, 026, 960
205, 451
871,220
20,198
181, 249
19, 747
54. 957
33, 484
30, 837
34, 421
31,656
18,746
61, 642
14, 384

2, 4<<8
103, 635
50, 290
403, 697
214, 977
367,718
134, 052
67, 485
98, 421
03, 224
112,525
26,182
20, 883
5, 808
46, 044
16, 983
5, 387
3,718
1, 697
1, 393
614
6,777
7, 256, 083

$192, 290
106, 587
139, 297
1, 878, 368
224, 540
439, 402
3, 044, 565
2-2, 645
377, 546
6, 630
194, 697
5, 288 •
52, 207
34, 507
38, 601
111,654
53, 872
25, 289
52," 270
22, 863
8, 030
47, 655
70, 844
642, 054
429, 585
420, 461
149, 720
76,330
117,115
76, 876
190,140
41, 867
34, 282
3,488

1.2
1.1
1.1
1.3
1.0
1.1
1.9

1, 225
8,190

$303, 693
166,589
227, 449
3, 042, 226
425, 857
711, 203
5, 071, 525
488, 096
1, 248, 766
27, 428
375, 946
25, 035
107,164
67, 991
69, 438
146, 075
85, 528
44, 035
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

9, 620, 326

16, 876, 409

1.5

10, 750
4,137
3,150
1,180
129

2.0

3.5

* Including capital of banks from which returns of the amount of State taxation were not received.




KEPORT OF THE COMPTROLLER OF THE CURRENCY. LXXV
Amount and rate of taxation ( United Slates and State) of the national banJcsfor ike year 1875.
Rati 03 to car.ital.

A.mount of taxes.
States and Territories.

Capital.

United
States.

$9 790 104 *112,652
61, 006
5,482,514
New Hampshire . . .
. 89. 360
Vermont
- ........ ...
8, 2UJ 467
43, 063, 374 401, 157
Massachusetts
51 362 454
Boston
703,218
20 548 433 201 639
Rhode Island
25, 852 987 277. DM
Connecticut
529, 804
New York
. . 35,471,333
68 4(56 576 ,376,541
New York City
(;•> ->i5
2 088 462
Albany
14, 072, 520 208, 559
New Jersey
l^ennsylvRnia
...
. . . . . 2!), 655 994 410,928
17, 019, 239 346 950
Philadelphia
10, 059, 04! 141, 545
Pittsburgh
22, 025
1 523 185
30, 468
2 268 238
Maryland
150, 003
11 469 355
^Baltimore
4, 555
252, 000
District of Columbia
16 905
1 239 564
Washin °"ton
54 132
3 535 719
Virginia
1, 971, 000
West Virginia
31 406
2 232 150
34, 747
3 135 000
South Carolina
29, 023
2, 716, 974
Georgia
50 000
Florida
854
18 865
1 638 866
.Alabama
59 314
3 766 667
New Orleans
15 819
1 205 350
Texas
.
1, 983
205, 000'
Arkansas
*
47 341
3, 468 992
Tennessee
80, 777
Kentucky
7, 201, 765
45 012
Louisville
3 358 000
Ohio
21, 110, 393 292, 900
80,198
Cincinnati
4, 000, 000
51, 011
4 550 000
Indiana
IS' 588,' 189 229, 606
11 873 363 186 188
Chicago
7, 673, 757 173, 506
Michigan
8, 568, 270 105 676
Detroit
33, 331
1, 900, 000
Wisconsin
47, 584
2, 974, 651
Milwaukee
700, 000
16, 263
4,391,068
Minnesota
60, 781
6, 416. 607 104, 667
Iowa
2, 742,199
Missouri
36, 361
6, 360, 300
75, 135
Saint Louis
1 588 821
Kansas
22 901
Nebraska
994 758
22, 277
Oregon
250, 000
5, 654
California
1 552 62°
17 186
San Francisco
..
2 917 112
35 780
New Mexico
t
300, 000
4,228
Colorado .
923, 478
18, 997
Utah
3, 472
300, 000
Idaho
1, 429
100, 000
Montana.
7,047
350, 000
Wyoming
2,049
125, 000
Dakota
50, 000
Totals




State.

!

Total.

United State.
States.

Total.

Per cent. Per cent. Percent.
$215,981
103,949
16!) 044 !
865, 198 !
957 283
269,402 j
435, 680 1
9(52 9<-'2
2,093,143 !
71, 74()
300, 894
175. 059
128, 996
56, 246
7 95->
31,355
230 36^ !
262
3 462
70 710
30, 102
34, 584
106, 760
45, 790
1, 056
22 204
9 870
20, 844
3, 288
78, 427
36,311
16 290
507,231
105,199
104, 872
470, 836
271 636
188, 524
146, 993
24, 744'
55,156
19, 229
93, 736
126, 088
93, 467
177, 464
45 548
21, 6*9
3,037
3, 250
25, 714
2, 550
2, 367
9,137
3, 523
900

503, 687, 911 7, 317, 531 10, 058,122

$328,633
164, 955
2.> 404
1,356.355
1 660 501
4 i i . 041
713 664
1. -192. 786
3. 46!). 684
509, 453
5K:>, 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
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

17, 375, 653

1.2
1.1
1.1
1.1
1.4
1.0
1.1

1.5
2. 0
3.0
1. 5
1.4
2.0
1.4
1.5
1.3

1.3
1.8
1.4
1.5
1.3
1.4
1.1

1.1
1.7
1 2
1.6
1.3

1.0
1.4
1.1
1.3
1.4
2.0
1.1
1.2
1.6

23
1.2
1.8
1.6
2.3
1.4
1.6
1.3
1.2
1.4
2.2
2.3
1 i
12
1.4
2.1
1.2
1.4
2.0
1.6
1.5
1.5

1.9
2 2
2.0
1. 9
1.3

J. 7
2.7
3. 1
3.6

2.1
0.6
0.8
0.5
0.5

3.4
3. 0
3.3
3.1
3. 3
2. 3

4.2
5.1
6 6
3. (\
2.0
1.9
2.0

1.4

2. 0
0.1
03
2 0

3.3

1.7
1.6
3.4

3.0
3.0
4.5

1.6
2.1
14
03
1.7

1.6
2. 3
0.5
05
2 4
2.6
2.3
2.6
23
2.5
1.7
1.3
1.9
3.0
2.3
2.0
3.5
2.8
3.2
2.3
1.2

i. i
3.3
1.3
2.4
2.6
2.8
1.8
2.0

19
1.7

3. 5

3.8

2 6
1.9
3.0

2 6
3. 7
1. 6
1c
3. <
*
4. 6

3.4
3. 8
3. 9
4.H

2. 9
3.1

3. 5
5. 3
3.7

3.fi
4.8
4.0
4.6
4.5
3.5
2.5
5.4
2.5
3.8
4.6
4.4
3.3
3.5

LXXVI

REPOKT OF THE COMPTROLLER OF THE CURRENCY.

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

Ratios.
Capital.

Surplus.

S

Dividends. Net earnings.

Dividends to
capital and
surplus.
Earnings to
capital and
surplus.

Geographical divisions.

Number of banks.

Dividends and earnings of the national banks, arranged by geographical divisions, for semiannual periods from March 1, 1869, to September 1, 1877.

s

476 $142,
543 179,
70 12,
392 67,

062,
846,
498,
244,

062 $25, 567, 269
540 42, 031, 900
200
1, 264, 045
000 13, 242, 634

$7, 350, 939
9, 571, 428
727, 841
4,117, 623

$9, 880,104
12, 612, 834
969, 037
5, 759, 209

Perct Perct. Perct
5.2 4.4 5.9
5.3 4.3 5.7
5.8 5.3 7.3
6.1 5.1 7.2

1, 481 401, 650, 802

82,105, 848|

21, 767, 831

29, 221,184

5. 4

4.5

6.0

488 148, 466, 032
577 187, 741, 859
76 12, 850,100
430 67, 309, 000

27, 335, 824
43, 043, 795
1, 419, 995
14, 318, 596

7, 503, 307
9, 550, 034
804, 972
3, 620, 782

10,148, 574
12, 352, 534
1, 035, 938
5, 459, 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

1, 571 416, 366, 991

80, 118, 210

21, 479, 095

28, 996, 934

5. 2

4.3

5.8

208, 791
455, 429
586, 312
320, 088

7, 554, 081
9, 250, 780
809, 439
3, 466, 043

9, 609, 814
11, 244,110
1,153, 852
4, 806,109

4.9
4.9
5.6
4.9

4.1
4.0
5.0
4.1

5.3
4.8
7.2
5.6

491 152, 700, 033
584 188,131,868
81 14, 441, 203
444 70, 044, 000

29,
45,
1,
15,

Totals
Sept., 1870, to March, 1871:
New England States...
Middle States
Southern States
Western States

1,600 425, 317, 104.'

91, 630, 620

21,080,343

26, 813, 885

5. 0

4.1

5.2

492 153, 419, 032
585 189, 066, 559
83 15,221,574
445 70, 992, 000

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

Totals
March, 1871, to Sept., 1871:
New England States...
Middle States
Southern States
Western States

1, 605 428, 699,165

94, 672, 401

22, 205,150

27, 243,162|

5. 2

4.2

5.2

493 154,151, 032
591 190, 670, 869
113 22, 153, 463
496 79, 017, 900

31,938,761
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
1,317,419
5, 531, 685

4.9
4.9
5.2
5.2

4.1
3.9
4.8
4.3

5.0
4.7
5.5
5.8

Totals
Sept., 1871, to March, 1872:
New England States...
Middle States
Southern States
Western States

1, 693 445, 999, 264

98, 286, 591

22,125, 279

27, 315, 311:

5. 0

4.1

5.0

494 154, 869, 032
589 190, 985, 969
129 26, 182, 281
538 78, 656, 424

33,163, 949
48, 754, 556
2,118, 475
15, 394, 263

713, 428
674, 512
317, 525
154, 361

9,152, 734
10, 988, 549
1, 700, 643
5,660,613

5.0
5.1
5.0
5.3

4.1
4.0
4.7
4.4

4.9
4.6
6.0
6.0

27, 502, 539

5.1

4.2

5.0

9,
12,
1,
6,

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

Totals
March, 1872, to Sept., 1872:
New England States...
Middle States
Southern States
Western States
Totals
Sept., 1872, to March, 1873:
New England States...
Middle States
Southern States
....
Western States
Totals
March, 1873, to Sept., 1873:
New England States...
Middle States
Southern States
Western States
Totals




1,750

7,
9,
1,
4,

450,693,706

99, 431, 243

22, 859, 826

497 155, 220, 568
594 191, 776,118
141 29, 513, 235
620 89,166,102

34,113, 635
50, 328, 781
2, 353, 213
18, 386, 313

7, 625, 549
9, 432, 709
1,552,664
5, 216, 367

1, 852 465, 676, 023 105,181, 942

23, 827, 289

30, 572, 891

5.1

4.2

5.4

324
50?
788
673

7, 938, 341
9, 766, 087
1,612,680
5, 508, 953

10, 324, 340
11, 642, 716
2,170,179
7, 789, 243

5.1
5.1
5.1
5.5 -

4.1
4.0
4.7
4.5

5.4
4.7
6.3
6.4

1, 912 480, 518, 683 114,257,288

24,826,061

31,926,478

5.2

4.2

5.4

941, 687
575, 193
544, 046
762,103

10,103, 736
12, 565, 331
2, 246, 024
8, 206, 909

5.1
5.0
4.6
5.5

4.1
3.9
4.2
4.5

5.2
5.1
6.1
6.4

24, 823, 029

33, 122, 000

5.1

4.1

5.5

495 155, 659, 232
594 192, 845, 669
147 31, 328, 787
676 100, 684, 995

496 157, 014, 832
591 192, 234, C09
161 33, 259, 530
707 105, 592, 580

36,
53,
3,
20,

858,
303,
207,
887,

38, 303, 887
53, 431, 089
3, 600, 607
22, 778, 265

1, 955 488,100, 951 118, 113, 848

7,
9,
1,
5,

721,
099,
967,
784,

1—

REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXVII
Dividends and earnings of the national banks,

$c.—Continued,

1
o

Capital.

Surplus.

Dividends.

Net earnings.

$7,027,811
9, 104, 682
1,415,933
5, 321, 571

$9, 082, 704
10, 983, 048
1,750,914
7, 127, 454
29, 544,120

4.8

3.8

4.8

9,003,512
11, 2 L4, 753
1, 871, 562
7, 340, 984

4. 9
5.0
4.8
5.6

3.9
3.8
4.3
4.5

4.8
4.5
5.0
5. 5

©

1
Sept., 1873, to March, 1874 :
New England States...
Middle States
Southern States
Western States

503 $159,041 832 $39,714,859
588 190, 308, 009 55, !»31, 654
32, 605, 522 3.865, 491
159
717 107,494,300 23! 957, 855

Dividends to
capital.
Dividends to
capital and
surplus.
Earnings to
capital and
surplus.

Geographical divisions.

Ratios

Per ct. Per ct. Per ct.
4. 9
3.8
4.8
4 5
3.7
4.8
4. 8
3.9
4.3
5.4
4.0
4.9

Totals
March, 1874, to Sept., 1874 :
New England States..
Middle States
Southern States
Western States

1,907

489, 510, 323 123, 469, 859

23, 529, 997

500
580
159
720

159, 531, 832 41,978.153
189,385,019 57, 176, 298
33,138,800 4, 12 i. 405
107, 882, 033 25, 088i 183

7, 838. 007
9, 403, 707
1,594,208
0, 033, 384

Totals
Sept., 1874, to March, 1875 :
New England States...
Middle States
Southern States
Western States

1,971

489, 938, 284 128, 364, 039

24, 929, 300

30, 030, 811

5.1

4.0

4. 9

510
589
109
739

160,461,832 43, 020, 505
189,039,519 57, 749, 497
33,081,310 4, 640, 408
109, 786, 170 20,144, 107

7, 785, 100
9,537, 118
1,403, 170
5, 905, 302

9,031,409
10,301, 052
1, 801, 758
7, 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

Totals
2, 007
March, 1875, to Sept., 1875 :
New England States... 512
Middle States ,
003
So uthern States
175
Western States
757

493, 568, 831131, 560, 637

24, 750, 816

29, 136, 007

5.0

4.0

4.7

978
736
203
300

4.8
4.8
4.4
5. 3

3.8
3. 7
3.9
4.2

4.3
4.0
4.9
5.8

Totals
2, 047
Sept., 1875, to March, 1876 :
New England States ... 531
Middle States
O'>5
Southern States
174
Western States
740

497, 804, 833134, 123, 049

24, 317, 785

28, 800, 217

4.9

3.8

4.6

106, 390, 620 43, 739, 079
193, 834, 271 56, 319, 205
33, 390, 100 5, 348, 175
110,588,500 29, 061, 135

7, 371, 000
10,174, 055
1, 509, 125
5, 750, 741

7, 548, 855
5, 770, 198
2,211,357
7,567,511

4.4
5.2
4.5
5.2

4. 1
3.9
4.1

3.6
2.3
5.7
5.4

Totals
2, 070
March, 1876, to Sept., 1870 :
New England States... 539
Middle States
626
Southern States
179
Western States
737

504, 209, 491 134, 467, 594

24,811,581

23, 097, 921

4.9

3.9

3.6

902, 820 43, 319, 060
928, 351 54, 527, 758
392, 600 5. 480, 030
258, 500 28, 917, 030

0, 770, 149
8,818,572
1,432,194
5, 542, 914

6,098,601
0, 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

Totals
2,081
Sept., 1876, to March, 1877 :
New England States ... 542
Middle States
631
Southern States
175
Western States
732

500,482,271 132,251,078

22, 503, 829

20, 540, 232

4.5

3.6

3.3

168,178, 520 43, 109, 865
190, 272, 820 53, 430, 308
32, 120, 440 5, 078, 220
106, 079, 800 28, 053, 700

6, 501,179
8, 328, 7(51
1,387,478
5, 580, 551

6,128, 200
0, 787, 978
1, 470, 475
5, 200, 303

3.9
4.4
4.3
5.3

3.1
3.4
3.7
4.1

2.9
2.8
3.9
3.9

Totals
2,080
March, 1877, to Sept., 1877 :
New England States... 541
Middle States
031
Southern States
175
Western States
725

496, 651, 5801130, 872,165

21, 803, 909

19, 592, 902

4.4

3.5

3.1

3, 744, 799
0, 185,157
1, 207, 343
4,136, 729

3.7
4.1
4.0
6.9

2.9
3.2
3.4
5. 5

1.8
2.6
3.2
3.3

161,928,732 43, 563, 385
190, 775,-569 57, 820, 444
34, 040,100 4, 905, 170
110,520,432 27, 768, 650

167,
190,
33,
108,

167, 237, 820 41, 370, 408
185, 468, 951 51, 871, 038
32. 599, 989 5, 571, 302
101^ 018,100 25, 530, 440

7,
9,
1,
5,

0,
7,
1,
6,

758,
151,
539,
808,

400
053
234
438

147,573
686, 267
299, 476
983, 800

8,
9,
1,
8,

707,
985,
956,
090,

Totals

2,072 486, 324, 860 124, 349, 254

22, 117,110

15, 274, 028

4.5

3.6

25

General averages ..

1,806 468, 327, 833 113, 485, 002

23, 165, 782

26, 984, 510

5.0

4.0

4.6




LXXVIII REPORT OF THE COMPTROLLER OF THE CURRENCY.
Table, by Stales and reserve cities, of the ratios to capital, and to capital and surplus, of
Ratio of dividends to capital for six months ending—
j States, Territories and reserve • 1873.
cities.

1874.

1876.

1875.

Ratios of

1877.

73.

Mar. Sept Mar Sept Mar. Sept. Mar. Sept Mar !Sept Mar iSept
1
1
1.
1
1
1.
1.
1.
1
l.
1.
i

1
2
4

Maine
New Hampshire
Vermont
Massachusetts

•> •* 5.5
"4.3
4*7 5.3
5. 5 5.4

i New York
New York City
A lbany
11 New Jersey
Pennsylvania
Philadelphia
13
Pittsburgh
14
15
16 Marvland
Baltimore
.. .
17
18 District of Columbia .
9
10

19
20

22
23
24
25
°6
27
28
29

30
31
33
34
35
36
37
38
39

40
41
49
43
44
15

46
47
48
49

5.2
5.1
4.0
5.0

4.8
5.3
5.3
42

Virginia
West Virginia
North Carolina
South Carolina
Georgia
Florida
Alabama
New Orleans
Texas
Arkan sas
Kentucky
Louisville
Tennessee
Ohio
Cincinnati
Indiana
.
Illinois
Chicago
Detroit
Wisconsin
Milwaukee
Iowa
Saint Louis

Kansas

50
51
5-?
53
54

Nebi aska
Oregon
California
San Fran cisco
Colorado
New Mexico
Utah

56
57
58

Idaho
Montana
Dakota
Averages




43 4 6
; 5.2 5.2
4. 5 1 5. 0
.' 4.8 : 4.8
5. 0 5. 6
5.1 i 4.9
5.1 4. 9
5.7 5 7 I 5 8
5. 1 5. 4 ; 5.2
5.1 5. 1 5. 2
5.0 5.1 ' 5.2 ' 5. 5
5.0 4 9 ; 5.7 • 5.1
4.0 4 0 4.0 i 4.0
1
4.6 2.4
8 0 i 4. 7
4.1 4. 7 4.3 4.6
5.4 4 5 4.3 ! 5.0
5.5 4.6 1 4. 7 4.3
4. 8 4. 1 4. 3 4 8
5.2 5.4 5.3 : 5.1

' 4 4 4. 5
5.4 5.2
1 5.1 4.6
4.8 4. 7
5.4 4.9
5.3 5.4
5.0 5.2
5 8 5. 8
5.5 5.6
1 5.1 5.1

(5 Rhode Island
7 i Connecticut

5.3

4. 3
5.3

3.4
3.9
3.3

111.2

4. 7
4.5

4. 9
5.1
5.6
5. 7
4.9
4. 9
6.5
1 5.6

5.6
5. 5
4.7

6.9

5.5

4.1

.

-

5.7

5.2
6.2

5. 1

5. 9 5. 5
j 5.5 5.3
5.9
5.3
4.7

5.9
5.6
6.5
5.9

60
3.6 4.0
6. 7 4.9
6.8 9.8
e.o 6.0

5.0
5.8

4.5
70

0. 1 5. 4 5. 3
4.8 4.9 : 5.0
4. 7 4. 6 4. 7
5.1 • 5 . 2 : 5.2

3.0
5.0
2.8
6.5

| 15.0

4. 2
5.1
4.7
4.6
5.2
4.9
4. 8

5. 4 i 5. 0 4.8
4.9 4.6 4.3
4. 6 3.9 4.0

4.3
4.0

4.3

4.1

41
5.0
5.1
4.2
5.1
4.7
4.7

35
4.7
4.4
4.1
5.4
4.4
4.4

5.3

5.4

5.1
4.0

2.7

4.0

5.4
4.8
4.0

4.2
5.2
5.4
4.2
4.0

5.2

5.1

4.1

38

4.0
4.1

5.0
9.6

9.3

4. 9 4. 7 4.5

3.8

4.9

5*}

4.7
5.0

4.5

3.9
4.4
4.3
4.0
3.2
5.0
3.4

4.0

3.5

4. 7 9.0

5.5

39
3.6 4.2
4.6 4. 7
2.7 5.0
3. 8 3 8
4.8 4.6
4.0
2.9 4.0

5.1
4.9
5.0

5.4
4.9
5.4

4.9 5.5
4. 5 5.9
4. 0 5.3

5.3
5.9
4.0

5.1
2.9

5.5 4.9
5.7 5.8
9.4 31.0
5. 4 4.5

53

5. 2 6. 0
5.8 5.5 5.5
6.0 5.1 6.9
5.6 20,7 5.6
5.8
5.6
5.5

5.6
5.2
4.3

1.6
7.6
7.6
12. 0

3.5
1.7
5.5
12.0

6.7
4.8

5.7
3.3

12.2

6. 7

6.5
4.0

3.5
6.0

5.1
5.2
4.5

5.5
5.1

5.6
5.2
4.6
4.0

1.1 3.9
5.3 4.4
6.2 7.6
2.0 37.0
5.6
3.6
4.8
6.5
6.0

5.1
3.6
3.8
6.5
6.0

5.0 15.0
4. 1 5.7

5.0

4.5

5.1 | 4.8

4.2

4.0

4.6
3.2
1.3

3.7
8.5

5.0

4.9

4 6
3.7
4.4

33 39
4.0 4.3
4.3 4 2
3.7 3.7
5.0 3.7
4.3 4.2
4.1 4.0
5.4 5 0 4 1
4.0 4.0 4.3
4. 9 4.9 4.0
5. 4 4.8 4.4
4.4 4.1 4.2

4. 8
4.0
4. 7
3.7
4.2
3.5
5.0
3.5

20.0
12.0 i?3 0 20.0 20.0 20.0
15.0 i
3. 9
3 4 11.8 12.5 3.6 12.2 11.4
6.0

46
4.0
40

3.6

4. 8
4.1
5.3
4.0
4.4
4. 7
10.0
3.9 2.9

4.0

5.4

5.1
4.1
4.0

4.0
8.0

4. 7
4.6
5.1
4.2
4. 4
3.7

4.7 i'sVs" 4.2
9 5 3.6 2.9 4.1
5 8 9.3 '• 3 . 4 2.6
7.1
3.7 I 3.3
4. 6 4. 8 4.1 4. 5
3.7 5. 0 5.0 4.7
4. 7 i 5. 4 1 4 M 5.3
5.0 ! 5.3 5.3 5.5
4.9 5.5 ! 4.9 5.5
3.7 4. 9 ! 4.9 5.0
4 8 ' 5.6 5.0 5.3
5 7 ; 7.0 ; 5.8 6.0
4. 0 3. 7 3.5 4.4
5.5 4 8 i 5 6 5.4
5.8 5.5 ! 5.8 5.5
7. 1 5.0 6.9 6.1
4 6 4.9 4.9 5.3
5 3 6.9 : 5.5 5.9
6 4 5.8 6.2 3.8
3. 7 3 9 4 6 4.6
3.3 3.7 3.9 3.7
3. 2 5. 7 4. 1 4.5
4.8 17.2 5.1 7.6
6 0 6.0 6.0 6.0
5 6 6.6 6.5 6.3
6 4 6.6 6.6 6.5
9 8 17.9 13.1 7.2
6. 5 6.5 6.5 6.5
4.4

4.6

42
5.1
4.8
6.0
5. 6
4.7
4.7
5.5 ' 5. 4
4.8 i 4.4
5.2 5.2
45
5.4
4.6
4.5
4. 7
4.8
5.0

4.8

5.0

5.0

4.5

4.4

4.5

4.1
3.6

37
3.6
4.7
5.1
4.3 f
4.5 1
4.6
3.2

3.1 ;
3.0

4.7
4.1
4.3

5.2
4.5
3.2

5.1
4.3
4.5
4.5
4.4

4. 3
4.1
5.1
4.6
4.5
4.1
4.2
5,0
3.9
4.5

4.1
42

4.4
4.6
4 0 5.6
5.2 5.0

3.2
6.1
5.9
50
49
5.6

39
6.6

3.5
4.3
8.2
5.0

3.0
5.1

22
6.2

13.7
3.2
3,6

10,5
...

5.0

4.9

4.1

38
3.7 |
3.3 !
4.3 !
4.1 i
41
4.2 1
.
4.0
4 1

4.2

4. 1

REPORT OF THE COMPTROLLER OF THE CURRENCY.

LXXIX

the dividends and earnings of national hanks, from March 1, 1873, to September 1, 1877.
dividends to capital and surplus for six
months ending—
1874.

1875.

181 6.

\ Ratio of earnings to capital and surplus for six
j
months ending—

1877.

1873.

1 874.

1875.

1876.

18*

7.

i

Mar. Sept. Mar. Sept. ]Mar. Sept. Mar.: Sept.; Mar. Se\>t. Mar. Sept. |Ma r." Sept. Mar. Sept. iMar. Sept.
1.

1.

1.

1. j 1.

1

1.

1.
L

Pr. ct. Pr. ct. !
>r. ct.
j
4.4 !
5.. 1
1 4.4 ! 4.3 4 . 1 ! 4.2
4
4.1 4.1
3.9
3.9
3.8 I 3.8 3.7 I 3.'J
3.9
4.0 4.0 4.0 i 3.6
3.5
3.7 3.5 3.3 ! 3. 1
3.6
3.6 3.8 3.7 3.5
4.1 4.0 4.1 3.9
4.0
3.8 ' 3.7 4.1 3.7 ! 3.9
3.6 3.6 3.4 4.6
3.5
3.5
3.3 3.5 2.7 3.2
4.0 3.9 3.8 3.7
3.9
4.0 3.9 3.9 3.7
3.8
4.0
4.0 4.1 3.8 3.7
4.1 3.9 3.7 3.4
3.8
4.0
4.0 4.0 4.0 4.0
4.2 4.4 4.3 4.2
4.2
4.1
4.7 4.2 4.3 3.9
3.6
3.5 3.5 3.5 3.4
1.9
6.2 3.9 3.9 3.9
3.7 3.8 3.9 3 . 3
4.0
3.9
3.7 4.2 4.2 4.3
4.3
4.3 3.9 3 . 9 3 . 6
3.1
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52
53
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56
57

58

LXXX REPORT OF THE COMPTROLLER OF THE CURRENCY.
Abstract of dividends and earnings of national banks in the United States from September,
1876, to March, 1877.
Ratios.
Capital.

Location.

Surplus.

Dividends.

Net earnings,

2

\B^ 18 *
- §

HI J (a 72 § i § « 52
> » i > 08 3 I

71
Maine
45
New Hampshire ..
46
Vermont
182
Massachusetts
54
Boston
62
Rhode Island
82
Connecticut
225
New York
47
New York City.
Albany
68
New Jersey
Pennsylvania
182
31
Philadelphia
22
Pittsburgh
13
Delaware
17
Maryland
14
Baltimore
1
Dist. of Columbia.
4
"Washington
19
Virginia .T
15
"West Virginia
15
North Carolina . . .
South Carolina
I 12
Georgia
j 12
1
Florida
I
Alabama
| 10
7
New Orleans
j
Texas
j 10
Arkansas
!
2
Kentucky
;
39
Louisville
:
8
Tennessee
Ohio
Cincinnati
6
Cleveland
i
Indiana
| 99
132
Illinois
13
Chicago
76
Michigan
3
Detroit
37
"Wisconsin
3
Milwaukee
77
Iowa
'
33
Minnesota
25
Missouri
:
Saint Louis
'
Kansas
Nebraska
;
Oregon
[
California
!
San Francisco ..j
Colorado
New Mexico
Utah
"Wyoming
Idaho
Montana
Dakota

Totals

!

i




660, 000 00
615, 000 00
."69,200 00
492,200 00
200, 000 00
579, K)0 00
062, 320 00
772, 191 00
700, 000 00
000, 000 00
193, 350 00
183, 840 00
095,000 00
350, 000 00
652, 754 00
281,700 00
491, 985 00
252, 000 00
300, 000 00
386, 100 00
74(5, 000 00
556, 000 00
285, 000 00
290, 540 00
50, 000 00
693, 000 00
300. 000 00
025,000 00
205, 000 00
151, 000 00
095, 500 00
337, 300 00
703, 000 00
400,000 00
550, 000 00
208, 0(10 00
581,000 00
600, 000 00
072,200 00
900,000 00
750, 000 00
650, 000 00
240, 600 00
630, 000 00
535, 000 00
450, 000 00
210,000 00
950, 000 00
250, 000 00
700, 000 00
750, 000 00
825, 000 (10
300, 000 00
200, 000 00
125, 000 00
100, 000 00
350, 000 00
50, 000 00

$2, 398,063 00
| 1,019,047 00
903 00
! 2, 072,
!
13, 231,522 00
12, 687,643 00
| 4,339,325 00
7, 361,362 00
8,115, 050 00
17, 693,922 00
I 1,470, 000 00
I 3,914, 077 00
| 7,873, i0 00
151 00
| 7, 455,
3, 047,091 00
j 451. T34 00
| 660.200 00
2, 419,773 00
I 46,000 00
400
J 283, 00
: 796 900 00
035 00
I 447 970 00
' 273,
i 479,301 00
577 00
500 00
i! 693 00
183, 913 00
!
504,13!) 00
i 288,000 00
1
29, 169 00
1,302' 177 00
351 852 00
j 574, 589 00
4, 570,000 00
i 995, 691 00
! 733,465 OD
I 4, 752, 00
023
! 3, 883,
000 00
;
4,580, 497 00
\ 2, 079,
000 00
925, 460 00
760, 000 00
245, 877 00
1, 587, 126 00
939, 861 00
503, 583 00
914, 337 00
243, 300 00
174 000 00
50, 012 00
99,
119, 000 00
280, 500 00
41, 308 00
40, 000 00
24, 099 00
20, 916 00
81, 000 00
10, 000 00

8509, 275 00
244, 450 00
343, 115 00
1, 821,821 00
307 00
1, 632'
712, 557 00
1, 237,654 00
1. 521,912 03
2 672 075 00
000 00
' 108'
629, 650 00
1, 280,223 00
920, 300 00
418, 000 00
81, 222 00
122, 293 00
511, 006 00
10, 080 00
54, 000 00
130, 608 00
76, 095 00
110, 060 00
90, 500 00
73, 360 00

"309," 550*66
140, 775 00
183, 980 00
1. 018,915 00
000 00
' 398,
182 500 00
942! 032 00
065, 433 00
617, 500 00
432. 338 00
105, 000 00
190, 668 00
30, 500 00
319, 480 00
239, 300 00
115, 000 00
61, 500 00
63, 850 00
59 000 00
30,' 000 00
96, 000 00
100, 000 00
40, 000 00
19, 500 00
12, 000 00

$524, 954 00
314, 408 00
490,104 00
1, 802, 500 00
1, 221, 895 00
701, 344 00
1,073,001 00
1, 511, 842 00
1, 144, 072 00
136, 911 00
579, 548 00
1, 398, 644 00
896,573 00
408, 936 00
90,197 00
128, 809 00
448, 640 00
13, 942 00
29, 864 00
139, 728 00
81.150 00
119, 698 00
142, 893 00
68, 317 00
2, 042 00
65, 008 00
84, 760 00
71,633 00
8, 546 00
338, 357 00
158, 891 00
169, 452 00
1, 060, 624 00
193, 534 00
243, 202 00
881,253 00
800, 493 00
166,261 00
326, 533 00
133, 796 00
187, 810 00
24, 931 00
432, 636 00
284,189 00
106, 352 00
33, 420 00
56, 711 00
83, 472 00
32, 997 00
128, 464 00
51,629 00
13, 297 00
21,577 00
16, 514 00
15 00

25, 000 00
14, 535 00
2, 500 00

22, 095 00
31,424 00
2, 062 00

500 00

59,' 050 00
116, 500 00
94, 500 00

496, 651, 580 00 130,872,165 00 21, 803, 969 00 19, 592, 962 00

4.78
4. 3 5
.
4.00
4.09
3.13
3.46
4. 75
4.38
4.07
5.40
4.44
4.39
5.38
4.04
4.91
5.36
4.45

3. 90
3.68
3.22
3.16
2.52
2.86
3.70
3. 55
3.20
3.11
3.48
3.45
3. 75
\ 3.12
!3.86
' 4.16
!3.67
I 3.38
! 3.41

4.02
4.74
4.61
3.12
1.83
2.81
3.21
3. 52
1.37
3. 95
3. 20
3. 77
3.65
3.05
4. 29
4.38
3.22
4.00
4.68
4.15
1.89
3.34
3.86 j 3.12 I
4.36 ! 3.47 ! 3.70
4.31 ! 3.89 ! 4. 23
3.96 i 3.27 I 5.17
3.20 ! 2.68 I 3.23
5.00 I 4.85 I 3.96
3.49 I 3.15 ; 3.46
3.53 i 3.06 ! 2. 23
9.22 I 7.20 j 5.46
.j 3.65
4.00
4.33 3.66
4. 55 4.08 ! 4.61
5. 51 4.70 I 4.33
4. 92 # 4. 03 4.20
3.59
4.50 ! 3.67
4. 01 ! 3. 45 4.60
4.01
5.47 I 4.29
5. 75 I 4. 30 5.18
1.49
9.36 ! 5.52
3. 22
5.36 4.26
4.74
5.53 3.72
5. 35
6.93 5.43
2.79
5.62 4.08
5. 53
5.12 4.08
•5.10
5.17 4.30
3.50
4.54 3.78
1.13 0. 97
0. 53
5.28 4.39
3.90
5. 25
6.21
7.42
12.00 !io. 00 11.00
7.14
5.65 I 5.34
1.80
3.64 3.49
1. 20
4.85 3.62
6.32
6.50 j 5.71
6.00 I 5.00 6.88

17. 25
55.00 J20.68 18.27
4.15 ! 3.37 7.29
5.00 I 4.17 3.44
4.39 ! 3.47 i

3.12

REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXXI
Abstract of dividends and earnings of national banks in the United States from March, 1877r
to September, 1877.
Ratios.

2 ^ Lg'g

3
Capital.

Location.

Surplus.

Dividends.

Net earnings. £
a

^ as
'ft
o

Maine
i
New Hampshire.. |
Vermont
;
Massachusetts .. :
Boston
;
Rhode Island
!
Connecticut
I
New York
':
New York City. I
Albany
'. i
New Jersey
i
Pennsylvania
•
Philadelphia.... I
Pittsburgh
j
Delaware
i
Maryland
j
Baltimore
;
Dist, of Columbia I
Washington
|
Virginia
j
West Virginia
j
North Carolina . . . j
South Carolina
|
Georgia
j
Florida
I
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
New Mexico
Utah
Wyoming
Idaho
Montana
Dakota
Total.

YI C C




71
45
46
182
54
62
81
225
47
7
69
180
31
22
13
18
14
1
4
19
15
15
12
11
1
10
7
11
2
39
8
25
156
6
6
99
131
13
76
3
38
3
75
32
24
6
15
9
1
7
11
2
1
2
1
5

$10, 620, 000 00$2, 351, 435 06 i $.138, 544 75
5, 640, 000 00 1,0! 2, 571 94 | 234,244 19
8, 568, 700 00 I 2,117,310 72 ; 344, 865 00
44, 247, 000 00 1.5, 305, 798 42 j
1,773,195 80
52, 100, 000 00 12, 205, 505 91 I
1,551,500 00
20, 079, 800 00 | 3, 762. 708 26 j 653, 693 75
25, 982, 320 00 ! 6,615,077 92 j 051, 529 20
1,
I
33,789,691 00 i 7, 916, 951 95 1,469,241 96
62, 400, 000 00 16, 526, 887 21 ! 2, 285, 498 00
2, 000, 000 00 i 1, 470, 000 00 '•
100, 500 00
14, 303, 350 00 3,910,310 20 ! 619,214 50
28, 959, 340 00 7, 659, 045 98 !1,180, 820 70
16, 995, 000 00 7, 435, 630 92 j 856,900 00
10, 350, 000 00 3, 062,153 74 ! 415, 000 00
451,351 01 | 82, 383 45
1, 663, 985 00
666, 662 09 j 109, 975 00
2, 306, 700 00
11, 396, 885 00 2, 435, 645 23 I 472,653 15
252, 000 00
50, 400 00 i 10, 080 00
286.000 00
1, 052, 000 00
84, 000 00
829, 759 32
119, 350 00
3, 285, 000 00
460, 983 17
80, 520 00
1, 746, 000 00
286, 534 00
2, 556, 000 00
69, 750 00
450,382 61
2, 879, 200 00
108, 826 00
353,747 5 >
"
2, 066, 000 00
98,610 00
1, 660 0 )
2, 000 00
5ii,000 00
186,436 84
63, 400 00
2, 190, 000 00
515,898 82
150, 500 00
3, 300, 000 00
293,731 53 ! 34, 000 00
1, 075, 000 00
30, 375 00 I
205, 000 00
2, 750 00
7, 001, 000 00 1, 227, 375 98 | 288, 400 00
367, 022 77 I 117, 380 00
3, 095, 500 00
567,454,27 '' 163, 990 06
3, 151, 289 00
19, 906, 900 00 4, 203, 655 65 I 102,712 21
1,
866, 200 00 ! 260, 000 00
4, 400, 000 00
757, 935 65 | 230, 500 00
4, 350, 000 00
16, 626, 000 00 4, 628, 231 69 I 822, 465 00
11, 446, 000 00 3, 872, 051 80 ! 659, 958 00
2,
6, 600, 000 00 2, 70)0, 000 00 i 043, 750 00
7, 822, 200 00 2, 046, 567 31 i 34*, 710 00
1,900,000 00
925, 000 00 j 105,000 00
2, 800, 000 00
678, 339 06 > 141,600 00
650, 000 00
245, 000 00 j 36, 500 00
6, 057, 000 00 1, 549, 141 50 | 316,560 00
4, 530, 00!) 00 880,311 62 ; 211,900 00
2, 385, 000 00
491, 360 55 j 95, 750 00
564, 712 69 i 111,500 00
2, 850, 000 00
46, 350 00
251, 828 82
1, 060, 000 00
68, 000 00
173, 500 00
900, 000 00
92, 500 00
50, 0 0 00
250, OHO 00
86, 000 00
110,057 28
1, 700, 000 00
100, 000 00
115,081 77
2, 750, 000 00
154, 500 00
910, 000 00
35, 000 00
300, 000 00
19, 500 00
31, 090 78
200, 000 00
12, 000 00
40, 000 00
125, 000 00
25, 000 00
100, 000 00
20,917 82
15, 000 00
350, 000 00
85, 962 00
20, 045 00
10, 000 00
2, 500 00
50,000 0 )

•~ o

^ as ^

E
Q

;« o i

$405, 918 00 5.07 4. 15 3.13
3.69
245, 363 00 4.15 3.52
4.27
456, 652 42 4.02 3.23
2.92
1,682,936 00 4.01 3.08
911,629 18 2.98 2.41 i 1.42
84, 3.nO 00 3.26 2.74 ; 0.35
0.13
42, 049 00 4. 05
1,195,988 41 4.35 3. 52 I 2.87
1, 140, 778 32 3.66 2.90 j 1.45
86, 075 41 5. 03 2.90 i 2.48
661,713 00 4.33 3.40 ! 3.63
1, 027, 504 00 4.08 3.22 i 2.81
779, 842 00 5.04 3.51 ! 3.19
428, 256 00 4.01 3.09 j 3.19
85,169 11 4.95 3.89 I 4.03
130,231 00 4.77 3.70 ! 4.38
574,941 05 4. 15 3.42 j 4.16
14, 709 00 4.00 3.33 I 4.86
59, 951 28 7.98 6.28 j 4.48
133,803 41 3.63 2.90 | 3.25
51, 802 00 4.61 3.65 I 2.35
3.98
113, 220 20 2.73 2.45 i 2.87
95, 482 06 3.78
3.27
1.84
44, 557 81 4.77 4.08 | 3.17
1, 638 00 4.00 3.87
3.43
81, 490 00 2.89 2.67 ! 3.85
146, 923 00 4.56 3.94
3.70
50, 606 00 3.16 2.48
1.04
2, 436 76 1.34 1.17
3.86
317, 930 00 4. 12 3.50
3. 76
3.39
130, 073 29 3.79
3.53
4.41
131, 370 04 5.20
2. 14
4.57
517, 158 18 5.54
1.05
4.94
55,231 00 5.91
3.89
4.51
198, 828 00 5.30
3.48
738, 665 24 4.95 3.87
3.97
4.31
608, 693 36 5.77
2.25
210,443 37 10.97 21.83
3.86
380, 572 00 4.46 3. 53
5.39
152,191 11 5.53
3.72
5.28
183, 503 00 5. 06 4.07
4.21
37, 683 00 5.62 4.08
3.70
281,648 41 5.23
4. 16
2.95
159, 623 00 4.68 3. 92
4.45
127, 997 00 4.01 3.33
1.03
35, 300 39 3.91
3.27
4.47
58, 654 00 4. 37 3.53
5.71
61, 264 36 7.56
6. 33 11.09
33, 267 00 7.00 30. 83
5.88
106,371 00 5.06 4. 75
3.95
113,053 52 3.64 3.49
0.95
10,134 00 3. 85 3.29
0.14
470 12 6.50 5.89
5.54
13,293 00 6.00 5.00 10.06
15, 083 00
13.12
15, 864 00 5.00 2.41
4.05
17, 652 00 5.73 4.60
6.82
4, 089 16 5.00
4.17

2, 072 486, 324, 860 00 124.349,254 00 |22, 117,116 78 15, 274, 028 00 4.55

2.50

LXXXII REPORT OF THE COMPTROLLER OP THE CURRENCY.
Table of the state of the lawful-money reserve of the national banks,
STATES A N D
Reserve h eld.

Dates.

Circulation and Reserve redeposits.
banks.
quired.
No .of

Amount.

Oct. 2,1671
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. 27,1874
May 1, 1874
June 26,1874
Oct. 2,1874
Dec. 31,1874
I Mar. 1,1875
! May 1,1875
Ju:ie 30, 1875
Oct. 1,1875
2 2 j Dec 17, 1875
23 I Mar. 10,1876
" 24 May 12, 1876
25 June 30, 1876
26 Oct. 2, 1*76
27 Dec. 22, 1876
28 Jan. 20, 1877
29 Apr 14, 1877
30 June 22, 1877
3L Oct. 1,1877
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21

1, 537
I, 564
1, 586
1, 616
1, 626
1, 689
1, 707
1, 717
1, 732
1, 737
1, 747
1, 7^9
1, 748
1, 75 L
1, 755
1, 774
1, 797
1, 801
1, 815
1, 845
1, 851
1, 850
1 853
1, 853
1, 855
1, 853
1, 848
1, 849
1, 839
1, 844
1 845

$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
486, 180, 869
510, 946, 655
521, 953, 283
522, 874, 575
527, 506, 306
535, 679, 077
536, 289, 193
536,716,262
541,385,844
537, 418, 449
525, 303, 754
527, 361, 413
521,137, 335

517,605,821
509, 793, 743
506, 146, 248
516, 509, 339
511, 110,102

505,411,087
505, 863, 456

$70,142, 855
$698, 946,184
69, 892, 062
91,728,626
72, 629, 654
102, 275, 001
73, 109,142
98, 012, 845
73, 626, 235
101,821,660
76, 435, 968
97, 765, 876
75,535,321
102, 069, 282
78, 209, 233
108, 246, 881
78, 428, 804
105, 693, 322
79, 204, 426
108, 935, 374
80, 593, 659
110,456,096
72, 985, 967
101, 120, 726
' 76,700,872
115,577,200
78,351,858
112,637,640
43,173, 243
111,464,693
44, 077, 914
100,641,694
45, 487, 042
103, 592,165
46, 018, 207
106, 826, 053
46, 020, 096
100,691, 135
46, 996, 069
105, 154, 553
46,304,791
100,128, 907
44, 647, 985
97, 855, 940
45,535,811
108, 547, (92
44, 990, 757
104, 514, 789
44, 996, 205
103, 832, 286
43, 862, P07
99, 985, 627
43, 416, 361
101, 429, 533
44, 978, 935
108. 706, 493
44, 203, 308 i
103, 945, 584
43, 814, 051 i
101, 962, 783
43, 594, 978
95, 379, 331

Ratio to
liabilities.
Per cent.
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
38.8
34.3
34.2
34.9
32.9
33.6
32.5
32.9
35.8
34.9
34.7
34.3
35.1
36.3
35.3
35.0
32.9

NOTE.—Prior to June 20, 1874, the required reserve in States and Territories was 15 per

RESERVE
Oct. 2,1871..
Dec. 16,1871..
Feb. 27,1872..
Apr. 19,1872..
J u n e 10, 1872..
Oct. 3,1872..
Dec. 27,1872..
Feb. 28,1873..
Apr. 25,1873..
J u n e 13, «873..
Sept. 12,1873..
Dec. 26,1873..
Feb. 27, 1874.
May 1,1874..
J u n e 26,1874.
Oct. 2,1874..
Dec. 31,1874.
Mar. 1,1875.
May 1,1875.
J u n e 30,1875.
Oct. 1,1875.
Dec. 17,1875.
Mar. 10,1876.
May 12,1876.
J u n e 30,1876.
Oct. 2,1876..
Dec. 22,1876 .
J a n . 20,1877..
Apr. 14, 1877..
J u n e 22,1877..
Oct. 1,1877.




230
226
228
227
227
230
233
230
230
231
229
227
2*7
227
228
230
230
228
231
231
236
236
238
236
236
236
234
234
234
234
235

Per
$484, 634. 132 $121, 158, 532
$134,463,829 !
456,721, 899
114,180, 474
1-26,916,204
475, 032. 357 ' 118,758,089
126,440,065 j
461,111,331
115, 277, K32
124,840,245
500, 037, 031
125, 009, 257
144,672,289 !
443, 845, 78-2
110, 961, 445
112,152,056 |
462, 035, 037
115,508,759
123,136,887 |
478, 040, 388
119,510,097
122,710,760 j
465, 796, 482
116, 449, l'2O
119, 676, 330 !
502, 959. 230
125, 739, 807
145,209,534 I
475, 52li 91« • 118,880,480 | 118, 679, 153
453,081,026
113,270,257 I 127, 402, 586
518,57H,O14
129,642,504 \ 158,940,175
523, 075, 980
130, 768, 995
155, 563, 677
528, 619, 121
106, 380, 827
159, 275, 638
521,561,727
106,136,122
144, 307, 997
509,411,623
103,317,529
132, 348, 803
514, 896, 921
105,569,158
132, 217, 368
507, 208, 290
104,199, 595
li!9, 803, 941
532,175, 922
111,317,435
154, 560, 093
512, 848, 868
106, 542, 005
134, 976, 509
468, 689, 930
95,863,466 i 118,291,125
499, 853, 392
142, 753,190
104,535,425
412, 260, 505
126,179, -248
98.776,747 |
490, 357, 058
142, 906, 797
103,860,841 |
487, 415, 795
136, 821, 941
103, 721, 942
470, 362, 089
122, 279, 996
99,237,733
495,143,120
142,409, 114
105,461,297
478, 473,129
127, 205, 252
100,522,583
552,836,716
138, 499, 197
119,511,586
453, 740, 223
94,748,175 j 115,3-29,428

cent.
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
30.8
33.8
29.0
31.6
30.5

NOTE.—Prior to June 20, 1874, the required reserve in reserve cities was 25 per

REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXXIII
as shown- by their reports from October 2, lr?71, to October 1, 1877.
TERRITORIES.
Classification of reserve held.

Specie.

$1, 814, 927
2,043,411
2,816,771 i
2,600,614
1, 89 -, 232
1,950, 142 !
1,978,383
1,779,651
1,567,149 i
1,715,293 I
2,071,686 <
2,286,734
2, 475, 202 |
2, 431, 605
2,256,951
2,375,290
1,992,383 i
1,652,694 !
1,511,483
1,600,028
1,555,034
1,452,639
1,800,017
1,912,171 '
2,469,391 !
2, 763, 198
3, 427, 133
3, 941, 358
4, 166 989
4,208,317
4, 155, 631

Legal tende s.

$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
34,610,241
32, 783, 502
32, 073, 246
32, 141, 468
33,630,711
31,920,120
29, 723. ! 38
30, 714, 772
32, 707, 5115
31, 94*, 207
30, 879, 163
30, 3 i 6, 538

U. S. certifi- Clearing-honsei T h r e e p e r j Due f r o m
cates of de- certificates, i cent, certif- j r e s e r v e
icates.
|
agoi.ts.
posit.

$220.
350,
1, 485,
1, 895,
2, 125,
2, 250,
2,015,
2, 270,
2, 490,
2, 585,
775,
820,
84:
790,
890,
900,
805,
1, 180,
1, 285,
1, 280.
1, 280,
1, 2fO,
1, 24 \
1. 180,
1, 250,
1,315,

$1, 355, 000
1, 060, 000
810, 000
690, 000
605, 000
335, 000
185, 000
90, 000
10, 000
10, 000

Redemption
fund with
Treasurer.

$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
66, 814, 671
60,112,230
til, 978, 337
52, 714, 793
53, 935, 013
59, 021, 623

52, 061, 059
58,439,613
53, 3'22,152
52, 073, 208
02, 102, 613
56, 654, 668
57, 2H8, 334
5»\ 3C2, 4(;8
55,244,74 7
60,110,76*2
55, 9M4, 422
55, 012, 171
48, 885, 195

!
•i
I
•I
!

i
2
3
4

5

$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
10,762,881 | 27
10, 701, 848
10, 745, 584
10, 613, 132
10, 706, 697

centum of circulation and deposits; since that date, 15 per centum of deposits only.
CITIES.
110,226,741
$6(5, 848, 233
23,273,114
52, 633, <i89
19, 504, 567
55, 118,28)
17, 035, 006
60, 822, 823
18, 040, 032
78, 001, 259
8, 279, 613
59, 356, 810
17, 06s, 954 i 57, 358, 477
15,998,022
54,816, 110
15,301, 659
56, 732, 435
26, 234, 795
153, 205, 531
17, 796, 781
50, 067, 935
24, 620, 304
58, 943, 716
30, *90, 661
58, 620, 696
30,138, 364
54, 062, 598
58, 423, 307
20, 069, 256
47, 082, 343
18, 865, 654
47, 458, 251
20, 444, 378
44, 952, 897
15, 014, 411
49, 462, 643
9,108, 878
54, 756, 683
17, 359, 554
6, 495, 294
43, 583, 429
15,618,267
38, 563, 571
44, 603, 718
27, 277, 329
46,171, 398
19, 802, 423
58, 852, 046
22, 749, 078
54, 488, 445
18, 598, 456
35,466,510
29,57-2,511
45, 767, 909
39, 908, 797
22, 903, 049
40, 330, 831
17,127, 679
47, 072 388
18, 503,189
36, 544, 635

#6, 490, 000
12, 300, 000
16, 975, 000
16, 475, 000
20, 525, 000
18, 360,000
21,995,000
34, 965, 000
37, 645, 000
45,195, 000
42, 055, 000
38, 850, 000
36, 555, 000
37, 825, 000
46, 420, 000
47,910,000
30, 200, 000
29, 605, 000
26, 095, 000
26, 675, 000
27, 890, 000
24,815,000
24, 225, 000
30, 920, 000
43,180, 000
32, 095, 000

$20,322,070 :
$5, 825,000
$31, 241, 785
16, 633, 026 ! 5, 635,000
28, 741, 375
16, 195, 000
4, 930,000
30, 692, 217
13,909,000 :
3,190, 000
29, 883, 416
12,092,577 i
2, 805,000 I 33, 733, 421
8,632,000 I
1, 220,000 ' 28, 173, 633
5, 600, 000 i
775, 000
30, 074, 456
2,115,000 i
320, 000
32, 486, 648
1,370,000 !
29, 797, 236
385,000 i
34, 859, 208
175,000
32, 279, 437
21, 843, 566
34, 463, 818
33,717,715
35, 508, 075
31, 142,306
26,553,818
30, 967, 551
28, 559, 818
31,291,415
32, 322, 812
29, 389, 472
36, 965, 578
30,114,214
30, 719, 768
31,981,995
28, 544, 429
28, 587, 547
29, 038, 296
27,119,929
24, 398, 938

centum of circulation and deposits; since that date, 25 per centum of deposits only.




$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

3, 881, 546
3,919,861
4, 013, 076
3, 999,201
3, 787, 666

10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31

LXXXIV REPORT OF THE COMPTROLLER OF THE CURRENCY.
Lawfal money reserve of the national banks, as shown by the reports
STATES AND

States and Terrritories.

i No. of
I banks.

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
Florida
Alabama
Texas
Arkansas
Kentucky
Tennessee ..
Ohio
Indiana
Illinois
Michigan
Wisconsin
Iowa
;va.
Minnesota . . .
Missouri
Kansas
Nebraska
Oregon
Colorado
New Mexico.
Utah
Idaho
Montana
Wyoming
Dakota
Totals

California
Totals

71
46
46
183
62
81
227
69
179
13
18
1
19
15
15
12
12 i
1 I
10
12 !
2i
38
25
153
99
131
76
38
78
31
24
15
10
1
13
2
1
1
5
2
1
| 1, 838

\

7

;

1, 845

Reserve re-

$6,400,097
3,277,858 '
3, 874, 928
29, 783, 142 i
8,358,539 '
14,974,374
46,239,705
18,259,606 •
33,138, 120
2,233,817 !
2, 922, 702
438,098
5,802,223
1,309,569
2,390,644
1,827,329
l,«77,060
69,014 '
770,346 i
1, 673, 672
265,649 !
3,709,742
4,973,253
21,456,244
13, 772, 079
16, 130, 804 i
7,108,375 !
4,634,033
8,025,028 i
6,465,325
3,639,605 •
2,3ti2,915
2,988,496 I
1, 190,6*4
2,996,915 i
476,266 '
359,574
127,179 !
936,126 j
310,523
182,166 ,

287, 731, 824
*2, 404,224 j
290,136,048

$960,015
491, 679
581,239
4, 467, 471
1, 253, 781
2, 246,156
6, 935, 956
2, 738, 941
4, 970, 718
335, 073
438, 405
65, 715
870, 333
196, 435
358, 597
274, 099
281, 559
10, 352
115, 552
251, 051
39, 847
556, 461
745, 988
3, 218, 437
2, 065, 812
2, 419, 621
1, 066, 256
695,105
1, 203, 754
969, 799
545, 941
354, 437
448, 274
178, 603
449, 537
71, 440
53, 936
19, 0^7
140,419
46, 578
27, 325

43, 159, 774
t435, 205
43, 594, 979

NOTE.—Prior to June 20, 1874, the required reserve in States and Territories was 15 per centum of
gold-banks, outside of San Francisco, is 25 per
RESERVE
Boston
Albany
Philadelphia
Pittsburgh ...
Baltimore
Washington .
New Orleans
Louisville
Cincinnati
Cleveland
Chicago
Detroit
Milwaukee ...
Saint Louis ..,

$62, 290, 643
9, 372, 827
46,158, 870
12,884,329
15,068,962
1,480,361 ;
5,369,095 I
3,189,191
8, 038,152
3, 868, 672
22,170, 946
3, 770, 615
2, 844, 607
5, 643, 711

San Francisco ,




~~47~

202,150,981 !

50,537,745

174, 933,155

43, 733, 289

*1, 908, 564

186

New York.

$15, 572, 661
2, 343, 207
11, 539, 717
3, 221, 082
3, 767, 241
370, 090
1, 342, 274
797, 298
2, 009, 538
967,168
5, 542, 736
942, 653
711,152
1, 410, 928

477,141

* Includes
NOTE.—Prior to June 20, 1874. the required reserve in reserve cities was 25 per

REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXXV
of their condition at the close of business on October 1, 187
TERRITORIES.
Classification of reserve held.
Reserve held. Ratio of •
reserve, j

$2, 590, 039
1, 553, 722
1, 695, 508
10, 724, 638
2, 940, 407
5, 461, 390
13, 921, 294
7, 459, 745
9,651,686
783, 432
1, 057, M6
293, 670
I, 462, 772
462, 297
525, 825
353, 909
599, 0f,2
12,218
328, 364
645, 552
66,211
1, 335,106
1, 360, 209
6, 846, 245
5, 136, 800
5, 481, 479
2, 300, 122
1, 494, 829
2, 553, 279
1,715,074
874, 304
540, 931
678, 268
286, 010
929, 803
120, 487
197, 453
31,961
163, 347
88, 018
46, 288

Per cent.
40.5
47.4
43.8
36.0
35. 2
36.5
30.1
40.8
29.1
35.1
36.2
67.0
25.2
35.3
22.0
19. 4
31.9
17.7
42.6
38.6
24.9
36.0
27.4
31. 9
37.3
34.0
32.4
32. 3
31.8
26.5
24.0
22.9
22.7
24.0
31.0
25.3
54.9
25.1
17.5
28.3
25.4

Legal tend- United StatesI I Due from re- '
certificates of I serve agents. I
ers.
! deposit.

Specie.

$56,619 I
29,691 j
26,883 i
352,297 '
111,311
163, 441
370, 239
213,092 j
361,377 :
15,461 I
51,155 !|
5,532
67. 892 I
21J912 |
57,963 '
44,173 I
77, 052 |
968 ]

31,350
127,653
760
51, 833
117,899
231,317
196,551
209,410
154,256
64,179
114,884
36, 029
39, 505
15,435
38,098
144, 558
58, 262
14,201
19, 700
3,407
17, 684
15,031
1,274

!
!
j
!
i
|
i
|
i
j
!
!

$463, 902
175, 640
332,109
1,661,305
449,191
1, 284, 928
3,301,689
1 704,115
3, 733, 191
167, 354
326, 643

75, 000
690, 766
209,131
275, 420
187,145
392, 854
9,000
165, 891
342, 064
26, 325
432, 362
732, 628
3,156, 806
2, 135,375
2, 367, 695
946, 279
661, 078
1, 325, 883
726, 493
425, 929
257, 725
289,8-6
112, 850
3f 1,173
59,522
168,184
24,108
77, 400
48,011
13, 488

$5, 000 I $1,659,124 i
1,099,216 j
999,531 !
6, 626,143
315, 000
1,822,314
95, 000 i 3,061,624 !
405,000 j 8,541,182
110,000 I 4,876,013:
140,000 ! 4,294,106
493, 093
40,000 !
574, 746
10,000 :
151,888 :
50,000 I
594,408
162,772
130,717
64,116
41,983

15,000 |
10*000
90,000 j
20, 000

10, 000

65,998
146,273 :
29,902 !
576,866
395,950
2, 7(17, 526
2,149, 907
2,509,924
985, 966
677,897 i
919,777
837,911
324, 270
230, 786
318,654
17,352
463,008
33,264
7,319
57, 643
22,276
29, 276

Redemption
fund with
Treasurer.

$405, 394
249,175
336, 985
1, 769, 893
557, 591
856, 397
1, 303,184
556, 525
1,123, 012
67, 524
95, 272
11,250
109, 706
68, 482
61, 725
58, 475
87,163
2,250
65,125
29, 562
9,224
259, 045
113, 732
740, 596
564, 967
374, 450
213, 621
91, 675
192, 735
114,641
74, 600
36, 985
31, 630
11,250
27, 360
13, 500
2, 250
4,446
10, 620
2,700
2, 250
10, 706, 967

10, 706, 967

circulation and deposits; since that date, 15 per centum of deposits only. Reserve required in California
cent, on circulation and 15 per cent, on deposits.
CITIES.
$17,278,435 <
3, 012, 962 •
15,266,120
4, 661, 070
5,172,932
457,023
1,832,933
775 027 j
% 977, 104 i
1, 439, 059
9, 394, 608
1, 515, 635
1,146,229
1,694,035 ;

27.7
32. 2
33.1
36. 2
34.3
30.9
34.1
24. 3
37. 0
37. 2
42. 4
40. 2
40.3
30.0

$2, 423, 021
40, 418
1, 408, 708
95, 513
152, 957
13, 310
185, 973
14 409
49, 680
26, 047
403, 210
34, 262
24, 720
45, 828

$2, 950, 561
368, 093
4, 331, 275
2, 590, 782
1, 195,162
212, 233
1,207,091
411,116
651, 317
699, 000
4, 584, 000
539,191
578, 603
989, 366

$2, 660, 000
655, 000
4, 625, 000
100, 000
2, 730, 000
35, 000

$8, 055, 835
1, 870, 791
4, 334, 354
1, 616, 095
804, 896
162, 730
403, 869
* 239 343
1,194, 607
35,
585, 590
915, 000
1, 050, 000
3, 279, 248
884, 783
35, 000
496, 656
180, 000
458,141

66,623,172

33.0

4, 918, 056

21, 307, 790

13, 020, 000

48,057,529

27.5

12, 948, 406

15, 236, 845

19, 075, 000

648,727

34.0

636, 727

24, 386, 938

2, 990, 388
797, 278

12, 000

circulation.
centum of circulation and deposits ; since that date, 25 per centum of deposits only.




$1,189, 018
78, 660
566, 783
258, 680
289, 917
33, 750
36, 000
110 159
166, 500
93, 422
78,150
57, 399
11, 250
20, 700

LXXXVI REPORT OF THE COMPTROLLER OF THE CURRENCY.
Average iveekly 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 1877.
Liabilities.

Reserve.

Week euding-

Circulation. Net deposits.;

I
Total.

Specie.
j

Dollars.

Dollars.

Legal-tenders.

Total.

Ratio to
liabilities.

34, 760, 841
42, 938, 351
44, 040, 077
44, 773, 758
46, 321, 566
45, 149, 713
45, 618, 563
47, 193, 012
48, 732, 435

Percent
Dollars.
60, 831, 363
29. 67
59, 199, 210
29. 43
57, 544, 680
29.39
58, 484, 442
29.31
57, 749, 528
29.23
55, 808,115
29.11
55, 682, 588
29.05
57, 489, 831
29.75
60, 099, 444
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

Dollars.
Dollai s.
172, 315,902 ! 204, 98*, 777 | 26, 070, 522
168, 343,150
201, 176,473 ! 16, 260, 859
166, 312,076
198, 998,960 1 14, 444, 365
163,691,615 ! 196,360.8-22 | 12, 770, 922
163, 874, 962
196, 529,340 111, 427, 962
159, 205, 353
191, 734,748 ! 10, 658, 402
159, 194, 742
191, 652,791 110, 064, 025
160,794,105
193, 247,331 ' 10, 296, 819
164, 653,818
197, 010,684 i 11, 367, 009

Sept. 2,1871..
Sept. 9,1871..
Sept. 16,1871..
Sept. 23,1871.
SeDt. 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, 992,1-00
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

i 10, 196, 600
9,193, 400
! 9, 050, 100
8, 291, 7< 0
l l , 554 000
' 9 ! 153' 400
; 8, 025, 300
647, 600
j 9^ 249, 700

60, 957. 800
60,106! 800
56. 847, 200
53, 275, 600
49, 933, 900
49, 589, 300
45, 835, 200
44, 079, 000
43, 694, 700

71, 154, 400
69, 300, 2C0
65, 897, 300
61, 567, 300
HI, 487, 900
58, 742, 700
53, 860, 500
52, 726, 600
52, 944, 400

29. 36
28.21
27 27
26! 42
27.49
26. 7&
25. 23
26.03
26.19

Sept. 7, 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, 997,300
207, 346,400
199, 364,800
193, 411,300
186, 399,40')
189, 509,100
198,776,300
201, 727,400

l

43, 866, 500
42, 993! 300
39, 419, 300
39, 651. 700
37, 998, 500
40, 675,100
46, 260, 100
46, 885, 000

55, 486,100
54,124, 000
56, 270, 900
49, 697, 600
46, 468, 200
50, 745, 300
56,917,500
56,119, 300

26.30
26.10
28.22
25.18
24. 93
26.77
28. 63
27.82

Sept. 14,1872..
Sept, 21.1K72..
Sept. 28, 1872..
Oct. 5,1872..
Oct. 12, 1872 .
Oct. 19,1872..
Oct. 26,1872..

11, 619, 600
11, 130, 700
| 16, 851, 600
' 10, 045. 900
! 8, 469! 700
10, 070. 200
10, 657, 4<'-0
i 9, 234, 300

Dollars.

Sept. 6,1873..
Sept. 13,1873..
Sept. 20, 1873..
Sept. 27,1873..
Oct. 4, 1873..
Oct. 11,1873..
Oct. 18, 1873..
Oct. 25, 1873..
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..

27 3-23, 300
182, 775, 700
26, 351,200 . 177, 850, 500
27, 382, 000 1 168, 877,100
27, 295, 400 , 150, 171, 300
27, 393, 700
131, 855, 500
27, 419, 400 1 131, 958, 900
27, 421, 200 , 129, 575, 800
27, 390,100
125, 671, 300

210,099,000 !
204, 201,700
196, 259, 100 j
177, 366.700 i
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,
32,
30,
17,

993, 600
500, 800
083, 800
883, 300
9] 251, 900
8, 049, 300
5, 179, 8 0 0
?! 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, 630, 500 ; 202, 918,100
27, 70 i, 700
205, 166, 500
25 595, 700 ; 204, 285, 600
25 593, 900
187, 139, 700
25 387,700
202, 605, 300
25 083, 900 1 200, 054, 500
25, 028, 600
197, 261, 900
24 981, 600
193 514, 600
25 025,100
193, 611, 700

228, 548,600 i
232, 868, 200
229, 881,300
212, 733,600 I
227, 993,000 !
225, 138, 400
222 290, 500
218, 4<!6, 200
218, 636, tfOO

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, 324 900

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

71,7-5,600
72, 304, 900
72, 470, 500
70, 777, 400
68, 671, 000
66, 669, 700
64, 546, 500
61, 351, 800
61, 097, 900

25.6624. 5d
23.55
16.54
11.61
11.64
10.72
12.16
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
17 223, 200
17 902, 600
17 894, L O
O
17 820, 700
17 781,200
17 844, €00
17,900,100

210 397, 200
209, 802, 100
206 916, 800
205 483, 200
201 409, 700
197 555, 800
195,192, 400
191 468, 500
189 068, 800

228 490, 900
227, 527,100
224 640, 000
223 385, 800
219 303, 800
215 376, 500
212 973, 600
209,313.100
206 968, 900

58
57
57
56
56
51
48
47
45

600
300
600
400
500
300
700
900
800

67, 966, 300
66, 322, 800
64, 394, 800
62, 780, 800
61, 620, 400
57, 058, 500
54,111,200
53, 035, 900
54, 738, 400

29.75
29.15
28.67
28.10
28.10
26. 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, 697, 000
14,693,300
14 , 809, 200
15,059, 600

202,
200
196
195
190
190
183

197 99-4, 400
200 754, 700
734, 500
794, 800
590, 400
145, 700
699, 600
019, 900
810, 200

212
210
217
215
211
207
205
204
198

800
200
600
600
500
600

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

Sept . 1,1877.
Sept . 8,1877.
Sebt. 15,1877.
Sept 22,1877.
Sept. 29! 1877.
Oct. 6, 1877.
Oct. 13,1877.
Oct. 20,1877.
Oct. 27,1877.

15, 357, 900
15, 543, 000
15 , 551, 700
15, 570, 700
15, 699, 000
15 , 964, 900
16 , 055, 600
16 , 205, 000
16 ,600, 700

181 741, 500
182,949,400
181 584,100
180 633, 700
175 036, 800
172 106, 000
1 7 1, 058, 500
169, 670, 500
168, 373, 800

197 099, 400
198 492, 400
197 135, 800
196 204, 400
190 735, 800
188 070, 900
187 114,100
185, 875, 500
184 974, 500

13 993 800
17 811 000
17 451 000
16 945,100
14 682 , 1 0 0
14 665, 600
14 726, 500
14 , 0 8 7 , 4 0 0
15, 209, 0 0 0

41 460 ,400
39 019 ,800
38, 4-29,900
37 113,200
36 978 ,900
36 168, 300
35 178 ,900
35 101 ,700
34 ,367 ,800

55, 454, 200
56, 830, 800
55, 880, 900
54, 058, 300
51, 661, 000
50, 833, 900
49, 905, 400
49,189, 100
49, 576, 800

31.92
32. 79
31.96.
30. 45
29.49
30.53
28.84
27.83
27.99
28.14
28.63
28.35
27.55
27.09
27.03
26.67
26.46
26.80




:
I
i
'•
i

!
i
j
;
i
1

569.700
164,400
138, 000
195, 600
206,100
042, 700
392, 900
829,100
869, 800

9 155,
8 494
6 538
6 432
5, 438
5 716
5,528
5, 735
8,975
19
20
20
16
14
17
16
15
14

700

500
200
400
900
200
500
000
600

617 600
202 700
0fi8, 900

907
751
682
233
577
011

810,
828,
856,
348
181
342
582
300
762

REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXXVII
Statements showing the principal items of resources and liabilities of the national banks in the
city of New York, in other redemption cities, and in the remainder of the country, together
with a summary of the whole, on (ictolxr VJ, 1W73, the day on which the banks in the city of
New York held the smallest amount of legal-'ender notes during the panic of 1873, and on
November 1, 1878, the day on tvhich they resumed currency payments.
National banks in New York
City.
October 13,
48 banks.

November 1,
48 banks.

National banks not in redemption cities.
October 13,
1,746 banks

N o v e m b e r 1,
1,748 b a n k s .

Loans and discounts
#122,957,564 35 !$U7, 554, 502 34 #455,757,763 56
Demand loans
56, 177, 465 56 | 51, 610, 957 14
United States bonds on hand
3, 359, 750 00
3, 38fc, 900 00 ! 3, 977, 900 00
Other stocks, bonds, and mortgages..
5, 045, 638 46
4, 717, 651 37 j 15, 419, 961 86
Due from approved redeeming and
reserve agents
38,145,132 59
Due from all other banks and bankers
17, 265, 913 65
16, 640, 556 90
16, 825, 387 79
Exchanges for clearing-house
56, 735, 347 10
234 55
41, 365,
National bank notes
5, 460, 589 00
9, 812, 286 00
4, 080, 372 00
Fractional currency
296, 835 21
1,463,561 08
266, 952 37
Specie, coin
1, 353, 657 00
1, 287, 410 33
1, 739, 200 50
10, 145, 800 00
gold Treasury noted
8, 744, 060 00
147, 880 00
Legal-tender notes
6, 34" 250 00
14, 628, 452 00
46, 920, 787 00
United States certificates of deposits
1, 040, 000 00
1, 605, 000 00
170, 000 00
Clearing-house loan certificates
15, 860, 000 00
16, 220, 000 00

#442, 049, 040 86

282, 662, 254 52 | 300, 058, 604 81 j 591, 814, 860 38

576, 432, 689 40

Totals .

4,105, 500 00
15, 352, 822 94
35, 668, 022 38
18, 291, 459 52
8, 733, 851
1,459,671
1, 754, 321
152, 660
47, 250, 340
1, 615, 000

00
01
69
00
00
00

LIABILITIES.

Capital stock
Circulating notes outstanding
Deposits of all kinds
Due to all banks and bankers
Totals

70,
27,
131,
55,

235, 000 00
851, 206 00
030,182 54
430, 674 55

| 284, 547, 063 09

70, 235, 000 00 294, 270, 802 37 294, 615, 591 75
27, 835, 612 00 235,641,336 00 236, 294, 934 00
149, 299, 344 14 250,907,831 41 239, 205, 463 28
54,177, 476 26 18, 836, 275 04
15,299,096 11
785, 415, 085 14

301, 547, 432 40 799, 656, 244 82

National banks in other redemption cities.

National banks of the United
States.

RESOURCES.

October 13,
179 banks.

November 1,
179 banks.

October 13,
1,973 banks.

November 1,
1,975 banks.

$222,351,704 47 $218, 274, 649 64 $801, 067, 032 38 $777, 878, 192 84
Loans and disconnts
75, 593, 313 66
25, 182, 238 44 23, 982, 356 52 81, 359, 704 00
Demand loans
9, 033. 300 00 |
9, 220, 600 00
United States bonds on hand
...
1, 695, 650 00 1, 726, 200 00
5, 0«7, 284 53
25, 425, 314 58 i 25. 157, 758 84
Other stocks, bonds, and mortgages ..
4, 959, 714 26
i
Due from approved redeeming and
54, 263. 814 52 i 51, 452, 530 03
reserve agents
16, 118,681 93 | 15, 784,507 65
4G, 044, 292 65 j 49, 578,207 70
Due from all other banks and bankers
12, 578, 347 96 \ 14, 020,834 53
77, 533,392 47
Exchanges for clearing-house
20, 798,045 37
17, 066, 389 29
58, 431, 623 84
18, 770,952 00
4, 199,303 00
4, 576,512 00
National bank notes . .
18, 091, 961 00
2, 243,027 28
585, 016 61
486, 521 06
Fractional currency
2,315,530 06
5, 382,729 40
1,714,696 68
Specie, coin
2, 274,750 71
4,741,307 51 !
12,072, 560 00
1, 566, 240 00
1. 774,100 00
gold Treasury notes
...
10.458,180 00
Legal tender notes
28, 242, 165 00
32^ 168 429 00
81,510,202 0f» ! 94, 047,221 00
000 00
4, 020,000 00
United States certificates of deposits
3, 150. 000 00
4, 925, 000 00 I 6, 675,
27, 276, 135 59
Clearing-house loan certificates
9, 547, 477 27 11, 416.135 59
25, 767, 477 27

348, 957, 624 91

Totals

356, 390, 326 60 1,223,434,739 81 |1, 232, 881, 620 81

LIABILITIES.

Capital stock
Circulating notes outstanding.
Deposits of all kinds
Due to all banks and bankers .
Totals

126, 172, 565 00 126, 189,265 00 490,678,367 37 <
78, 090, 059 00
78,220,298 00 341,582,601 00 j
148,081,974 39
150,797,514 68 530,019,988 34 !
4d, 017, 750 49 49, 936, 547 70 120, 284, 700 08 '
398, 362, 348 88

405,143, 625 38

491,039,856 75
342,350,844 00
5-59,302,322 10
119, 413, 120 07

1,482,565,656 79 1,492,106,142 92

NOTE.—Special reports of the national banks arranged by States and redemption cities, similar to the
above, will be found on pages 73 to 83 in the report ot the Comptroller for 1873.




LXXXV1II REPORT OF THE COMPTROLLER OF THE CURRENCY.
Table showing the number of State banks, savings-banks, trust companies, and private bankers, their average capital and deposits, and the tax thereon, for the six months ending Novem~
ber 30, 1876.

t r c^

Maine
New Hampshire .
Vermont
Massachusetts ...
Boston
Rhode Island
Connecticut

Ou capital|On deposits.
$403
314
650
1, 569
4, 442
8, 482
5, 815

$5, 837
12, 757
4,348
6, 546
18, 732
45, 724
50, 228

$6, 240
13, 071
4,998
8, 115
23, 174
54, 206
56, 043

449,909,289

21,675 j

144,172

165, 847

340

325
475
500
120
573
021
193
596
885
837
000
102

151,986,519
278, 634,125
12, 754, 533
36,110, 777
41, 393, 026
47, 415, 908
13, 937,144
1, 684, *46
543, 171
24, 876, 590
28,452
3, 618, 467

23,044 j
78,635 |
452 !
5, 243 |
29,125 I
5,845 I
11,863
1,687 i
1,293 i
8,591 i
50 •
412 |

111,326
271, 833
10,177
28,120
102, 767
78, 369
24, 939
2,000
875
18, 217
71
7,973

134, 370
350, 468
10, 629
33, 363
131, 892
84, 214
36, 802
3,687
2,168
26, 808
121
8,385

1,426 | 88,503,627

612,983,558

166,240 |

656, 667

822, 907

8,723 I
3,553 ;
1,442 !
2,516
12,059
97 :
2,650 ;
2,423 i
135 |
9,029 !
7,559
561
18, 132 j
13,838 I
4,172 I

16, 925
9,849
2, 214
2, 341
8,264
602
3, 753
2,992
101
11, 796
10, 756
661
15, 216
14, 940
6, 938

86,889 i

107, 348

194, 237

38, 794
20, 312
16, 446
22, 287
41, 832
20, 172
12, 339
15, 372
9,112
15, 590
21, 846
6,306
24,
60, 801
7, 002
3,126

52, 975
23, 766
18, 309
35,134
54, 037
29, 710
18, 730
17, 664
12, 039
17, 005
33, 537
9,038
32, 402
79, 297
10, 889
4,137

1, 459, 249

1,933,340

;
67 j
344 I

66 I

43 !
10
17 j
40 j

Middle State

25
15
18

1!
.

is;
29

2 I

24 i
98 !

Si

3, 563, 878
1, 426, 858
576, 662
1, 006, 452
4, ^23, 597
3D, 000
1, 095, 900
1,251, 577
54, 000
3, 611, 584
3, 400, 041
225 167
7, 488, 271
5, 592, 382
1, 723, 291

7,18H, 428
3, 939, 744
885, 795
1, 008, 034
3, 3*3, 964
240, 821
1,501,305
1, 196, 752
40, 508
6, 290, 194
4, 302, 285
2(14, 300
6, 0*6. 657
5, 976, 005
2, 775, 023

512 ; 35,878,660

45,079,815

Ohio
Cincinnati...
Cleveland . . .
Indiana .
Illinois
( hicago
Michigan .
Detroit
Wisconsin
Milwaukee..
Iowa
Minnesota
Missoui i . . .
Sai..r, Louis .
Kansas
Nebraska
Western States
Oregon
California
San Francisco.
Colorado
Nevada
Utah
New Mexico
Wyoming
Idaho
Dakota "
Montana
Washington
Arizona
Pacific States and Territories
Totals




Total.

$27,017,950
30, 937, 358
f, 123, 983
163,436,720
84, 6^6, 258
52, 88*, 125
82, 818, 889

570 I 11,546,060

New England States

Southern States

Deposits

$177, 658
151, 000
302, 500
855, 000
3,108, 788
3, 923, 222
3, 027, 892

21
168
67
58
112

New York
New York City ..
Albany
New J e r s e y
Pennsylvania
Philadelphia
Pittsburgh.
Delaware
Maryland
Baltimore
District of Columbia
Washington.

Virginia
W e s t Virginia
N o r t h Carolina
South Carolina
Georgia
Florida
Alabama
Mississippi
Louisiana
New Orlear s
Texas
Arkansas .
Kentucky
Louisville
Tennessee

Tax.

1

States, &c.

j 1, 748

50, 705, 272

7
546,985
84 ! 9,917,377
49 23, 728, 485
29
549, 540
17
299, 438
6
151,000
3
2, 000
3
38, 372
3
57, 417
7
24, 000
6
97, 431
4
222, 947
1
8,333
219

35, 643, 325

25,
13,
3,
4,
20,

648
402
656
857
323
699
6,403
5,415
236
20, 825
18, 315
1, 222
33, 348
28, 778
11,110

150, 789, 217

i

, 209,
I, 928,
i, 733,
., 007,
., 690,
588,
33,
54,
25
131,
69,
272,
4,
118, 756, 472

86, 760

i 4, 475 222, 276, 944 1, 377, 518, 351

474, 091

REPORT OF THE COMPTROLLER OF THE CURRENCY. LXXX1X
Table, by geographical divisions, of the number, capital, and deposits of State banks and private bankers, savings-banks, and trust and loan companies, for the six months ending November 30, 1875.

Geographical
divisions.

Savings-bai ks with S«ivimi's-banks
wit! oat capcapita 1.
ital

State banks a nd private bauk ers.
No.

126
New England States
Middle States
I, 270
517
Southern States
Western States and
1, 853
Territories

Depos- No.
Capit 1. Depos- No. Capital. its.
its.
MilVns. Mill'IIS.
U. 6
24.0
90.8
232. 4
36.0
42.6

Depos- No.
its.
MilVns.

MilVns. MilVns.
2
3
3

0.2
0.4

5.2
0.8
0.5

0.3

Total

436
218
3

413. 9
564
382. 8 1,491
1. 9
523

Deposits.

Capital.

MilVns MilVns.
11. 9
443.1
91.0
616.0
36.4
45.0

70. 9

188.0

19

4.1

32.6

38

47.0 1,910

75.0

267. 6

209. 3

United States . .. 3,766

487. 0

27

5.0

39.1

695

845. 6 4,488

214.3

1,371.7

Table, by geographical divisions, of the number, capital, and deposits of State banks and private bankers, savings-banks, and trust and loan companies, for the six months ending May
31, 1876.

Geographical
divisions.

State banks and pri- j Savings banks with Savings-banks
without cap
vate bankers.
capital.
ital.
No. |Capital.| D ?£ os 'JNo. Capital.
its.

New England States 135
Midd! e States
1, 256
Southern States
516
Western States and
Territories
jl, 896

D

^°s-

MilVns. MilVns.
4.4
0.2
J. 2
0.3
0.4
0.6

MilVns. MilVns.
11.7
23.6
89.2
223. 4
35.7
44.9

1
3
3

188. 1

19

4.1

31.0

480. 0 ! 26

5.0

37.2

77.4

United States . . . 13,803 214.0
i
i

No. j

436 I
212 j
4 j

39 !
691

Depos-

Total.

No.

Capi- j Depostal. | its.

MilVns.
MilVns MilVns.
415. 1
572
11.9 !
443.1
382. 5 1,471
89.5
607.1
47. 5
2.0
523 36. i I
45.0 1,954
844.6 4,520

81.5

264.1

219.0 I 1,361.8

!

Resources and liabilities of State banks at the dates named.
New HampMaine,
shire, May, Vermont,
Nov., 1876.
July, 1877.
1877.

RESOURCES.

2 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

$165, 321
700
42, 498
4,000

1 bank.
$59, 473
4,000
4,875
1,854

5 banks.

15 banks.

4 banks.

$1, 211, 657 14,401,509
60,100
407, 655
120, 411
1, 500
35, 628
3,863

$2,403,477
4, 219

148, 722
233, 744
50,173
15, 210
8,360
14,106
185,144

27, 026

3,242

44, 434

239, 545

73,444

1,885,248

125, 000
3,512

Totals.

Rhode Isl- j Connecand, Nov., I ticut, Oct.,
1876.
|
1876.

50, 000
1,170

332, 500

381, 858
608, 692
117, 823
3,
86,
10,
81,

392
993
472
458

5,056,968 j 3,698,384

LIABILITIES.
Capital stock
Circulati on
Surplus fund
Undivided profits .
Dividends unpaid .
Deposits
Due to banks
Other liabilities . . .
Totals




31, 687
2,175
72, 290
3, 077
1,804
!

239, 545

I
37,106
13,887 [
442 I
2,996
1, 505, 897
4,949
9,745
73, 444

1, 885, 248

3,227,850 I
16,515 i

i
!
|

1, 450, 000
28, 661
175, 240
119, 840
3,788
1, 422, 612
463, 398
34, 845

5,056,968 i

3,698,384

237,550
15,870
1,358,993
156,789
43,401

j

XC

REPORT OF THE COMPTROLLER OP THE CURRENCY.
Resources and liabilities of State

RESOURCES.

! New York,
j Sept., 1877.

banks—Continued.

**

Cl

1877.

New Jersey,!
| Jan., 1877.1

Maryland,
July, 1877,

55 banks. I '26 banks. I 12 banks. ! 113 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 . . .

. I$22, 077, 605 #35, 829, 347
I
114,826 i
9,654
I 3, 326,126
I 3, 366, 006
682,069
37, 539
199, 062
426, 627
100, 939
880, 391

Totals

4, 645, 034
2, 782, 207
1, 592, 847
22,017
265, 989
8, 761, 999
2, 029,160
6, 235, 950

31, 211,190 j 62,174, 204
LIABILITIES.

$3,006,681 125,457,464
2,970
236, 642
785, 078 2, 795, 308
714, 315 3, 080,188
200,174
1, 595, 901
59, 488 2, 623, 538
29, 669
323, 039
2,664
13, 082
51,091
261, 737 2, 267, 220
5, 312, 500

15 banks.
65, 785, 242
1,760
231, 928
924, 886
532, 921
662,211
58, 881
14, 381
117, 376
17, 786
836, 866

38,193, 749 9,184, 238

j

Capital stock
Circulation
Surplus fund
Undivided profits
Dividends unpaid
Deposits
Due to banks
Other liabilities

| 9, 043, 900
29, 015
1, 023, 049
1, 734, 241
|
j 16, 214, 295
1, 772, 881
i 1, 393, 809

13,685,200
26, 043
1,392,209
3, 553, 101

23, 638, 355
764, 697
1, 348, 365

3, 668, 475
9,197
219, 682
320, 407
43, 382
4, 447, 021
238, 691
237, 383

Totals

; 31, 211,190

62,174, 204 J 5, 312, 500 I 38,193, 749

9,184, 238

I 1,464,250
|.
i
27, 072
I
126, 215
991
37,788,423 ! 3, 573, 660
4,771,951
120, 312
957, 277 !
j

Resources and liabilities of State

10,104, 869
500
1, 464, 368
872, 595

banks—Continued.

RESOURCES.

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

Capital stock
Circulation
Surplus fund
Undivided profits
Dividends unpaid
Deposits
Due to b a n k s . . .
Other liabilities
Totals.




12,037,493
268, 975
598, 651
1, 294, 796
233, 508
10, 825,141
815, 764
2, 089, 054

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Resources and liabilities of State

RESOURCES.

XCI

ba?ihs—Continued.

Michigan, Wisconsin,
Iowa,
Minnesota, Kansas,
California,
! July, 1877. July, 1877. Sept., 1877. Oct., 1877. July, 1877. July, 1877.
30 banks.

26 banks.

51 banks.

13 banks.

26 banks.

81 banks.

Loans and discounts
[ $7,172, 891 $5, 703, 060 $5, 090, 514 $1, 498, 302 $1, 495, 517 $117, 701,100
Overdrafts
35,167
14, 051
117, 497
12, 252
77, 754
United States bonds
135, 640
6,000
743, 693
Other stocks, bonds, &c
1, 396, 762
167, 8^2
187, 977
118, 947
5,146, 700
Due from banks
888, 439
2, 013, 632
601, 489
348, 544
269, 248
6, 790, 900
Real estate
265, 063
177, 565
158, 951
311,691
51, 998
5, 481,200
134, 562
Other investments
73,369
34, 815
2, 480, 000
Expenses
9,444
99, 048
27, 673
45, 206
59, 313
Cash items
269, 477
52, 539
9, 544
7,742
Specie
!
62, 549
5,023
658
612, 728
Legal-tenders,bank-notes, &cj 1,142, 813
436,165
235, 667
18,115, 700
i 10,307,379

10,322,971

7,090,797

2, 265,104

2, 682, 297

155, 715, 600

| 2, 396, 000
i

1, 288, 231
1,403

2, 416,153

44, 256, 800

Totals
LIABILITIES.

Capital stock
Circulation
Surplus fund
Undivided profits
Dividends unpaid
Deposits
Due to banks
Other liabilities
Totals

286, 222

i
| 7, 409, 673
i
I
215, 484

6, 662, 974
2, 370, 363

! 10, 307, 379 10, 322, 971

770, 579

947, 016

82, 097
57, 024
493, 396
65,118
21,812
120
3, 983, 395 1, 346, 896
57, 444
10, 490
36, 500
14, 877

74, 409
95, 976
1,876
1, 476, 560
43, 860
42, 600

"4,~539,00(>

7, 090, 797

2, 682, 297

155, 715, 60Q

2, 265,104

9, 004, 800
97,915,000

Aggregate resources and liabilities of State banks from 1874 to 1877.
1873-'74.

1874-'75.

1875-76.

1876-'77.

— banks.

551 banks

633 banks.

592 banks.

RESOURCES.

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 .

I $154,377,672
212, 772
1, 961, 447
16, 437, 815
19, 050, 046
5, 372,186
I
1,164, 999
1, 284, 344
10, 434, 018
1, 980, 083
25,126, 706

|178, 983, 496 $266, 585, 314
516, 565
348, 604
929, 260
869,144
23, 209, 670
19, 364, 450
25, 201, 782
23, 096, 812
12, 609,160
8,561,224
6, 442, 710
' 6, 863, 083
1,211,416
1, 559, 404
9, 816, 456
9, 059, 547
2, 319, 659
1, 926,100
34, 415, 712
27, 623, 988
272, 338, 996

278, 255, 852

383, 257, 704

69, 084, 980
177, 653
6, 797,167
9, 002,133
83, 722
165, 871, 439
10, 530, 844
10, 791, 058

237, 402, 088

80, 425, 634
388, 397
7, 027, 817
10, 457, 346
393, 419
157, 928, 658
13, 307, 398
8, 327,183

110,949,515
387, 661
5, 665, 854
18, 283, 567
335, 904
226, 654, 538
9, 412, 876
11, 567, 789

272, 338, 996

278, 255, 852

383, 257, 704

LIABILITIES.

Capital stock
Circulation
Surplus fund
Undivided profits.
Dividends unpaid.
Deposits
Due to banks
Other liabilities
Totals




! 237,402,088

XC1I

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Resources and liabilities of trust and loan conqianies at the dates named.
N. J.,
Penn.,
New York
Mass., ! 11. I.,
| Conn.,
Nov., 1876. Nov., 1876. Oct., 1876. Dec, 1876. Jan'y, 1877. Oct., 1877.
RESOURCES.

6 banks.

I 1 bank.

I 12 banks.

10 banks.

3 banks.

Loans and discounts
1,195,638 i $3,353,867 $3, 459, 428 •$38, 683, 866 j
Overdrafts
!
3, 291
10, 657
15, 279, 094
969, 389
600, 000
United States bonds
7, 591, 767
2,578,816
816, 200
848, 786
Other stocks, bonds, &c
114, 050
1, 150,641 3,073,603 I
1, 477, 667
Due from banks
1,143, 081
117, 704
284, 781
Heal estate
167, 231
577, 273
204, 981
Other investments
429, 464
700
Expenses
Cash items
56, 778
Specie
Legal-tenders, bank-notes, &c
115, 595
244, 449
105,147 " 94,597
Totals
10,165,393
7,040,806
6, 078, 063 66, 464, 279

7 banks.

$422, 489 $15, 831,102
89, 381
49, 613
28, 565
37, 009
15, 361

29, 785

2, 867, 821
6, 075, 078
2,183, 889
1,961,646
2, 015, 922
104, 457
2,615
22, 952
2,126, 273

672, 203

33,191, 755

LIABILITIES.

2, 229, 000

500,000! 2,450,000)

9,999,250

Capital stock
Circulation
Surplus fund
Undivided profits.
Dividends unpaid.
Deposits
Due to banks
Other liabilities...

"335,978'

125,000 ;
5,448,716
122,878 :
529,738 i
1,295
2,633 i
382,052
2,239,843 ! 2,891,346 I 48,479,854
113,997
204,346 !
3,937,793
1 2,154,407

Totals .

10,165, 393

7,040,806

7, 600, 415

296, 600
20, 604
354, 264
735

6,078,063 66,464,279

6, 872, 590
1, 590, 957
566, 319
1,784
22, 650,127
14, 111
1, 495, 867
33,191, 755

Aggregate resources and liabilities of trust and loan companies, 1875, 1876, and 1877.
1874-'75.

1875-'76.

1876-'77.

35 banks.

38 banks.

39 banks.

$65, 900,174
16, 883
2, 086, 842
37, 323 062
1, 837, 605
3, 733, 357
2, 880, 342
92, 894
5,186, 004
3, 833, 012

$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, 321
2, 709, 828

$67, 946, 390
13, 948
19, 805, 685
17, 960, 260
8, 028, 415
3, 544, 221
3, 410, 232
105,157
59, 393
22, 952
2, 715, 846

122, 890,175

127, 646,179

123, 612, 499

Capital stock

21, 854, 020

21,535,490

22, 347, 440

Surplus fund
Undivided profits
Dividends unpaid
Deposits .
.
Due to banks
Other liabilities
Totals

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, 209

7,164, 673
1, 239, 539
387, 764
84, 215, 849
333 189
7, 924, 045

122, 890,175

127, 646,179

123, 612, 499

RESOURCES.

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
LIABILITIES.




.

,. .. .

REPORT OF THE COMPTROLLER OF THE CURRENCY. XCIII
Resources and liabilities of savings-banks organized under State laivs at the dates named.
N.H.,
Vermont,
Maine,
Nov., 1876. May, 1877. July, 1877.

Mass.,
Nov., 1876.

R.I.,
Nov., 1876.

67 banks.

180 banks.

39 banks.

RESOURCES.

60 banks.

15 banks.

Loans on real estate
$8 156 545 $9,575 318 $3, 964, 180 $121 151,105 $29,416 757
Loans on personal and collateral security
47, 304, 329
3, 854, 902 7, 488, 413 " 975,389
9, 784,172
706, 792
602, 419
11, 940, 758
United States bonds
State, municipal, and other bonds and
stocks
9 005, 362 8 061,375
616, 464
16 695, 435
6 934 710
71,392
3, 371, 021 3, 987, 054
10, 088, 614
2, 291, 681
Railroad bonds and stocks
129,172
998, 749 1, 211, 568
25, 740, 734
2, 485, 343
Bank stock
85, 871
464,132
5, 087, 031
524,149
Real estate
193,810
613,947
1, 217, 216
1, 677, 694
76, 518
Other investments
4, 328
Expenses
286,191
6, 830,196
Due from banks
794, 932
121, 986
2, 519, 963
774, 059
751,687
Cash
27, 818, 764 32, 335, 876 7, 155, 575 249, 035, 859 52, 287, 389
Totals
LIABILITIES.

Deposits
Surplus fund
Undivided profits
Other liabilities

26, 662,150 30, 963, 047
395 285
1 372 829
655 472
105, 857

6, 815, 829
320, 216

243, 340, 643
5, 238, 410

50, 542, 272

19, 530

456, 806

1 721 944
23,173

Totals

27, 818, 764 32, 335, 876

7,155, 575

249, 035, 859

52, 287, 389

Resources and liabilities of

savings-banks—Continued.

Conn.,
Oct., 1876.

New York,
J u l y , 1877.

86 banks.

154 b a n k s .

Penn.,
N.J.,
Jan'y, 1877. Oct., 1877.

Maryland,
Oct.", 1877.

RESOURCES.

$55, 403, 988
Loans on real estate
.
.
Loans on personal and collateral se4,715,267
curitv
6, 067, 656
United States bonds
State, municipal, and other stocks and
7, 456, 213
bonds
873, 001
Railroad bonds and stocks
3 850 907
Bank stock
767, 219
Real estate
285, 950
Other investments
Expenses
1, 916, 430
Cash

Totals

-,

34 banks

4 banks.

7 banks.

$111, 739,147 $14, 356,168

$7, 388, 755

$3, 819, 321

3, 213, 332
80, 755, 000

2, 270, 298
5,241,395

982, 950
3, 285, 160

3, 353,162
5, 622, 924

114, 711, 693

7, 256, 957
13, 445

4, 037, 258
2,197,171

217
358
329
534
488

613,103
536, 242

453, 664

1,115, 043

1, 244, 842

4, 557, 092
1, 693,124
155, 058
123, 752
15, 311
102, 947
643, 008
377, 297

81, 336, 631

355,172, 098

31, 402, 651

19, 683, 755

20, 462, 996

78, 524,172

319, 716, 864
34, 810,100

29, 318, 543
1, 582, 008

17, 577, 468
1, 388, 691

11,160,
13, 498,
792,
14 936
4, 365,

93, 955

LIABILITIES.

Deposits
Surplus fund
Other liabilities
Totals




2 579, 024
233, 435

645,134

502,100

717, 596

19, 543, 967
36, 660
850, 722
31, 647

81, 336, 631

355,172, 098

31, 402, 651

19, 683, 755

20, 462, 996

XCIV

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Resources and liabilities of

savings-banks—Continued.

Ohio,
Oct.. 1877.

Indiana,
Oct , 1876.

5 banks.

Loans on real estate
Loans on personal and collateral security
United States bonds '.
State, municipal, and other stocks and bonds.
Railroad bonds and stocks
Bank stock
Real estate
Other investments
Expenses
Due from banks
Cash

California,
July, 1877.

10 banks.

j

Minnesota,
D e c , 1876
5 banks.

9 banks.

$4,218,277 |
967,345 i
I, 140, 333 I
3,398,339 |

$421, 856
1, 328, 622
27, 443
91,104

$28, 172, 800
1,294,600

127, 400
4,118
18,720
680, 002
54, 192

25, 688
8,409
16,146
132, 938
106, 706

813
13, 703
51, 871

1, 965, 600

10,608,726

2,158,912

289, 030

33, 046, 300

Deposits
Surplus fund
Undivided profits
Other liabilities

10,041,726 |

1, 986, 025
64, 515
108, 372

280, 146

31,185, 600

4,816
4,068

1,802,200
58, 500

Totals

10, 608, 726 j

2,158,912

* 289, 030

33, 046, 300

Totals

!

1, 605, 200
8,100

LIABILITIES.
!
105, 399 !
461,601 !

Aggregate resources and liabilities of savings-banks from 1874 to 1877.
1873-'74.

1874-'75.

1876-'77.

Resources.

- banks. ! 674 banks.
Loans on real estate
Loans 01 personal and collateral security
United States bonds
1
State, municipal, and other stocks and bonds
Railroad bonds and stocks
Bank stock
Real estate
Other investments
Expenses
Due from banks
Cash

$315,
168,
i 66,
148,
I 17,
| 29,
| 11,
i 8,
j
| 18,
15,

675 banks.

1*351, 336 551
| 181,143, 206
83, 206, 272
161, 334, 436
20, 690, 901
30, 508, 752
14, l;J6, 748
11, 354, 781
248, 688
1, 378, 937
23 858,182

$369, 770, 878
114,474, 163
115,389,880
1H4,116, 602
24, 586, 503
34,571,531
21,037,426
18,135, 673
1, 029, 238
23, 522, 572
16,160, 096

896, 197,454

922, 794, 562

17'

Liabilities.
759, 946, 632 849, 581, 633
12, 5yO, 196
16, 499, 565
26,6-23,850 I 29,072,493
•2, 071, 046
1, 043, 763

Deposits
Surplus fund
Undivided profits
Other liabilities
Totals

I 801,231,724

896, 197, 454

891, 459, 890
51, 321, 033
5, 497, 503
3, 075,118

866, 498,
43, 835,
9, 200,
3, 259,

452
885
778
447

951, 353, 544

922. 794, 562

Table, by States, of the aggregate deposits of savings-banks, with the number of their depositors and the average amount due to each, in 1876 and 1877.
1875-'76.

States.
Elaine
New Hampshire
Vermont
Massachusetts
Rhode Island
Connecticut
New York
New Jersey
Pennsylvania
Maryland
Ohio
Indiana
California
Totals




Number of
depositors.

Amount
of deposits.

Average
Number of j Amount
to each de- depositors, j of deposits.
positor.
00
01
50
06
85
69
00
92
79
34

90, 621
98, 683
*25, 671
739, 289
99, P65
203,514
861, 603
*84, 026
*67, 660
*50,197

72, 569, 103

789 36

26,037
*5, 548
*42, 600

892, 694, 714

369 69

2, 395, 314

101. 376
100,191
25, 060
720, 639
101, 635
208, 030
859, 738
*93, 000
*64, 000
*49, 000

$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

91, 933
2, 414, 602

$316
326
265
326
504
367
371
348
259
389

* Estimated.

$26, 662,150
30, 963, 047
6, 815, 829
243, 340, 643
50, 542, 272
78, 524,172
319,716,864
29, 318, 543
17, 577, 468
19,543,967
10, 041, 726
1, 986, 025
31,185, 600
866,218,306

Average
to each depositor.
$294
313
265
329
506
385
371
348
259
389
385
358
732

21
76
50
15
10
84
07
92
79
34
67
00
05

361 63

REPOKT OF THE COMPTROLLER OF THE CURRENCY, XCV
Number and denominations of national-bank notes issued and redeemed, and the number of each
denomination outstanding, on November 1 in each year from 1868 to 1877.

Ones.

1868.
Issued
Redeemed..

! Twos.

Fives.

Tens.

Twenties.

8, 896, 576 2, 978,160 23, 106, 728 7, 915, 914 2,219,322
142, 359
36,355;
254,754
73,176
482,132

Outstanding.
1869.
Issued.
Redeemed.

! One
Fifties, j hunI dreds.

355,181:267,350!
17,256; 15,583

3, 641, 82212, 904, 984 22, 624, 596 7, 773, 555 2,182, 967| 337, 925: 251, 767

Five
hundreds.

One
thousands.

13,48<
1,75!

4,746
1,846

11, 727

2,900

?, 589,160; 3, 209, 388 23, 676, 7 8, 094, 645 2, 269, 764i
904, 013! 232, 224J
985, 940 272, '""•
71,655!

Outstanding.

363, 523; 274, 799! 13, 6i
22,859! 25,968! 2,5:
585

4,769
2, 415

8, 685,147!2, 977,164J22, 690, 820 7, 821,150 2,198,109!

334,664! 248,831! 11,083

2,354

1870.
Issued
Redeemed

'. . . . 10, 729, 327|3, 590,157|24, (336, 72C 8, 413, 244 2,370,056 378,482! 284,460
484,135 129,185). 47,845| 43,599;
2,568,703! 667,733! 1,737,983

Outstanding.

8, 160, 624 2, 922, 424J22, 898, 73'

7, 929,109 2,240,871

330,637! 240, 8611

13,926
3,952

4,779
3,263

9,974

1, 516

1871.
Issued
Redeemed
Outstanding.

12,*537, 6574,195, 791J28,174, 940 9, 728, 375 2, 779, 392J
245,361
5, 276, 057 1, 493, 326J 3, 276, 374 933, 445 245361

433, 426i 321,163; 14, 642
"~ "~" ! """ ~~~! " """
!, 972! 76, 287! 6, 017

4,843
4, 005

7, 261, 600; 2, 702, 465|24, 898, 566 6,794,930 2,534,0311

350,4541 244,876:

8,625

14, 297, 36014, 782, 628|31, 935
133,34811,253,452 3,225,688
7, 919, 389;2, 408,389| 5, 960, 667 1,699.""" 438,8521
', 702
"" """

497,199! 367, 797
126,180! 110,989:
'"'" ~~

15,621
7,867

4, 933
4,315

6, 377, 971)2, 374, 239|25, 972, 681 9, 553, 750 2, 786, 836 371, 0191 256, 808

7, 754

618

16,496
9,65b

5,148
4,530

1872.
Issued
Redeemed
Outstanding.
1873.
Issued
Redeemed
Outstanding.

15, 524,189:5, 195, 111 34, 894, 456 12, 560,
9, 891, 606 3, 120,723; 9, 141,9631 2,573,

3,608,219|
653,0711

559,722! 416,590
168, 976 j 144,057

5, 632, 583|2, 074, 388J25, 752, 493J 9, 98', 329J2, 955,148;

390, 746i 272. 533

6, 838

618

16, 548, 259 5, 539,113139, 243,136 13, 337, 076 3, 962,109 666, 950! 492, 482
11,143, 6063, 755, 019J13, 041, 605 3, 912, " " " 971, 608 231,556 196,572
707 """' ~~~

17, 344
11,676

5,240
4, 683

1874.
Issued
Redeemed
Outstanding.

5, 404, 65311, 784, 094J26, 201, 531; 9, 424, 369 2, 990, 501

435, 394 295,910

5,668

18, 046, 176 6, 039, 752147, 055, 184 17, 410, 5075, 296, 064! 884,165 645, 838
14, 092, 126 4, 816, 623 24, 926, 7711 7, 608, 532 004, 464 381, 037 299,428
•2,

18, 476
14,471

5,530
5,048

4, 00J!

482

1875.
Issued
Redeemed
Outstanding.
1876.
Issued
Redeemed
Outstanding.

3, 954, 050; 1, 223,129 22,128, 413; 9, 801, 97;3, 291, 600J

503,126 346, 418!

18, 849, 264 6, 307, 448 51, 783, 528 20, 008, 652 6, 086, 492,1 985, 615| 710, 900 18, 721 5, 539
15, 556, 708 5, 324, 546i32,3e2,056;10, 369, 214 2, 852, 246 515,784!' 395,785 ' J16,217
""" " "
~ ""
5, 272
982, 902 19, 401, 472 9, 639, 438 234, 246 469,831 315,115
3,

2,504

267

20, 616, 024 6, 896, 968 56.816, 848:22, 266, C I, 776, 253 1, 079, 781 767,317
I,
16, 815, 568;5, 755, 526 38,11:5, b68 12, 434,1 3, 503, 528 634, 679 479, 317

20,02:
17, 61;

5, 668
5,411

2, 40'

257

3, 292, 556

1877.
Issued
Redeemed
Outstanding.




3, 800, 456J1,141, 442 18, 700, 980; 9, 831, 2853, 272, 725

445,102 288, 000

XCVI

EEPORT OF THE COMPTROLLER OF THE CURRENCY.

National banks that have gone into voluntary liquidation under the provisions of sections 5220
and 5221 of the Revised Statutes of the United States, ivith the dates of liquidation, the
amount of their capital, circulation issued and retired, and circulation outstanding November 1, 1877.

Name and location of bank.

Date of liquidation.

Circulation.
Capital.
Issued.

First National Bank, Penn Yau, N. Y* Apr. 6, 1864
First National Bank, Norwich, Conn.*t May 2, 1864
Second National Bank, Ottumwa, Iowa* May
1864
Second National Bank, Canton, Ohio* . Oct. 3, 1864
First National Bank, Lansing, Mich.*. Dec. 5, 1864
First National Bank,« olumbia, Mo .. Sept. 19, 1864 $100,000 i $90,000 I
First National Bank, Carondelet, Mo . Mar. 15, 1865
30, 000 !
25, 500 |
First National Bank, Utica, N. Y.* t - - J u n e 9, 1865
Pittston National Bank, Pittston, Pa. Sept. 16,1865
200, 000 |
Fourth National Bank, Indianapolis. Ind Nov. 30,1865
100,000 ! 100, 000
Berkshire National Bank, Adams, Mass Dec. i, 1865 100, 000 i
National Uni -n Bank, Rochester, N. Y Apr. 26, 1866
400,000 | 192, 500
First National Bank. Leonards ville,N.Y. J u l y 11, 1866
45, 000
50,000 I
Farmers' National Bank, Richmond, Va. Oct: 22,1866
100,000 i
85, 000
Farmers' National Bank, Waukesha, Wis Nov. 25,1866
100, 000 }
90, 000
National Bank of the Metropolis, Washington, I). C
200, 000
180, 000
Nov. 28,1866
First National Bank, Providence. Pa . Mar. 1,1867
100,000
90,000
First National Bank Newton, Newtonville, Mass
Mar. 5,1867
150,000 ! 130,000
National State Bank, Dubuque, Iowa. Mar. 9,1867
150,000 ! 127,000
National Bank of Crawford County,
Meadville, Pa
Apr. 19,1867
300,000 No issue
Kittanning National Bank, Kittanning,
Pa
Apr. 29,1867
200, 000 No issue
City National Bank, Savannah, Ga . May 28,1867
100, 000 No issue.
500, 000
Ohio National Bank, Cincinnati, Ohio* J u l y 3, 1867
450, 000
54, 000
First National Bank, New Ulm, Minn J u l y 16, 1867
60, 000
First National Bank, Kingston, N. Y.*. Sept. 26,1867
200, 000
180, 000
Sp
,186
45, 000
First National Bank, Bluffton, Ind
Dec. 5, 186
D
5 1867
50, 000
180, 000
National Exchange Bank, Richmond, Va Dec ,1867
200, 000
e
5,1867
40, 500
100, 000
First National Bank, Jackson, Miss
Dec. 26,, 1867
187
150, 000
135, 000
First National Bank, Skaneateles, N.Y J a n 2,1868
100, 000
90, 000
First National Bank, Downingtown, Pa. Jan. 14,1868
100, 000
86, 750
Jan. 15, 1868
First National Bank, Titusville, Pa
45, 000
ppton
J a .
,1868 50, 000
Appleton National Bank, A p p l e t o .
Appleton.Wis Jan. 21,1868

Retired.

$89*725 00
25, 293 75
97, 375 00
187, 978
43,195
81,103
88, 920

$275 00
206 25
2, 625 00

25
00
25
25

4,521 75
1, 805 00
3,896 75
1, 079 75

172,781 00
82, 540 00

7,219 00
7, 460 00

123, 504 00
123, 698 75

6,496
3, 301 25

435, 860 00
51, 925 00
169,171 00
43, 856 25
175, 460 00
39, 460 00
131, 737 20
85, 015 00
81, 986 00
43, 827 85
43,473 25

14,140 00
2,075 00
10, 829 00
1,143 75
4, 540 00
1,040 00
3,262 80
4, 985 00
4,764 00
1,172 15
1,026 75

44, 500
Nadonal Bank, Whitest own. N. Y
Feb. 14, 1868 120, 000
First National Bank, New Brunswick,
N. J.+
.
. Feb. 26, 1868
100,000 !
90,000
84, 227 00 I
5, 773 00 First National Bank, Cuyahoua Falls.
1,071 25
Ohio. . . .
..."
...
Mar. 4,1868
45,000
43, 928 75
50, 000
1, 548 00
First National Bank, Cedarburg. Wis.. Mar. 23 1868 100, 000
90,000
84, 452 00
Commercial National Bank, Liminnati.
,
Ohio
Apr. 28,1868 j 500, 000
345,950
337. 280 00 i
8, 670 00
Second National B:uik,Watertown, N.Y July 21. 1S68 I 100,000
90, 000 : 79, 360 00 ! 10, 640 00
First National Bank, South Worcester. \
157, 400 i 153, 931 25
3, 468 75
N. Y
! Aug. 4. 180-< I 175, 500
National Mechanics and Fanners" j
|
6, 884 75
314, 950 | 308, 065 25
Bank, Albany. N Y
| Aug. 4, l$ti&\ 350, 000
Second National Bank, Des Moines, j
j
908 00
.IT). 000 j
41, 592 00
Iowa;
' A u g . 5,186-'
42,500 ;
14, 888 00
First National Bank. Steubenvi]lc. Ohio j Aug. <*, 18li 150, 000
135,000 i 120,112 00
8, 078 00
First National Bank Plumer, lJa ;
Aug. 25, 186
100, 000 I 87,500 !
79, 422 00
1, 580 00
43, 420 00
50,000 ! 45.000
First National Bank, Danville. Va
Sep . 30,186
9, 374 00
150, 000
First National Bank. Dorchester, Mass; Nov. 23, 1868
132,500 ' 123,126 00
1, 485 15
First National Bank, Oskaloosa. Iowa Dec. 17,1868
67,500 j 66,011 85
75, 000
Merchants and Mechanics' National
3, 680 30
184,750 • 181, 069 70 i
300, 000
Bank, x i u y , N. Y . - Dec. 31, 1868
JJitun, Troy, i i . i
87, 825 00 1
2,175 00
90,000 !
100, 000
National Savings Bank, Wheeling, W. Va Jan. 7,1869
2, 529 65
125, 000
109,850 | 107, 320 35 !
First National Bank, Marion, Ohio .. Jan. 12,1869
83, 368 75 !
1, 631 25
200. 010
85,000 !
National Insurance Bank, Detroit, Mich. Feb. 26,1869
3,123 15
150, 000
Mar. 6, 1869
135,000 ; 131, 876 85 j
National Bauk, Lansingburg. N. Y
National Bank of North America, New
York, N . Y
. Apr. 15,1869 1, 000, 000 333,000 ! 326, 038 65 [ 6,961 35
53,350 j 52, 207 75 | 1,142 25
60, 000
First National Bank, Hallowell, Me .. Apr. 19,1869
3,600 00
40, 400 00 !
44,000
50, 000
First National Bank, Clyde, N. Y.; . Apr. 23,1869
2,787 75
134, 990
132, 202 25 ;
422, 700
Pacific National Bank, New York, N.Y. May 10, 1869
85, 250
84, 046 oo ! 1, 204 00
390, 000
Grocers' Nat onal Bank, New York. N.Y. J u n e 7, 1869
2,099 75
85, 000
82, 900 25 1
100, 000
Savannah National Bank, Savannah, Ga. J u n e 22, lrt<>9
922 25
45, 000
44, 077 75 !
50, 000
First National Bank. Frostburg, Md . J u l y 30, 1869
965 00
Aug. 30,1869
45, 000
44, 035 00
50, 000
First National Bank, La Salle, III
National Bank of Commerce, George100, 000
90, 000
87, 050 00 I
2, 950 00
town,"D7C" . . " .'...7..".....'."...
" .. Oct. 28,1869
* Banks-that never completed their organization,
t A new bank organized with same title,
t Consolidated with another bank.




REPORT OF THE COMPTROLLER OF THE CURRENCY, XCVII
Table of liquidating

tanks—Continued.
Circulation.

Date of liquidation.

Name and location of bank.

Capital.

Outstanding.

Issued.
Miners' National Bank, Salt Lake City,
Utah*
First National Bank, Vinton, Iowa . . .
First National Bank, Decatur, 111
National Exchange Bank, Philadelphia, Pa*
National Union Bank, Owego, N. Y*
First National Bank, Berlin, Wis..
Central National Bank, Cincinnati,Ohio
First National Bank, Dayton, Ohio . . .
National Bank of Chemung, Elmira,N. Y
Merchants' National Bank, Milwaukee,
Wis
First National Bank, Saint Louis, Mo..
Chemung Canal National Bank, Elmira,

Retired.

$135, 000
42, 500
85, 250

$131, 646 00
41, 778 75
83,555 60

$3, 354 00
721 25
1, 694 20

164, 875 00
80, 923 00
43,218 80
412, 885 00
131, 732 05
87, 983 25

10, 875 0ft
7, 327 00
781 20*
12,115 00
3, 267 95
2, 016 75
2, 924 50
4,216.95

Dec. 2,1869
Dec. 13,1369
Jan. 10,1870
Jan. 15,1870
Jan. 18,1870
Jan. 25,1870
Mar. 5,1870
Apr. 9,1870
June 10,1870

175,
88,
44,
425,
135,
90,

100, 000
200, 000

90, 000
179, 990

87, 075 50
175, 773 05

Aug. 3,1870
Sept. 23,1870
Oct. 12,1870
Oct. 13,1870
Oct. 24,1870

N.Y

300, 000
100, 000
50, 000
500,000
150, 000
100, 000

June 14,1870
July 16,1870

Central National Bank, Omaha, Nehr..
First National Bank, Burlington, Vt*..
First National Bank, Clarksville, Va ..
First National Bank, Lebanon, Ohio . . .
National Exchange Bank,Lansingburg,

|150, 000
50, 000
100, 000

100,
100,
300,
50,
100,

90, 000
N o issue.
270, 000
27, 000
85, 000

89, 487 00

513 00

248, 073 00
26, 085 00
82, 653 25

21, 927 GO
915 00
2, 346 25

000
000
000
000
000

750
250
000
000
000
000

'

Dec. 27,1870

86, 099 30

3,900 70

000
000
000
000

90, 000
45, 000
90, 000
90,000

86, 765 00
43, 770 00
88,612 70
87, 843 75

3, 235
1,230 0O
1,387 30
2,156 25

150,
100,
100,
200,

000
000
000
000

000
500
000
000

131,605 05
• 48, 478
25
87, 408 00
174, 956 00

3, 394 95
1, 021 75
2.592 00
5,044 00

Nov. 22,1871

100, 000

90, 000

87, 397 00

Dec. 26,1871
Jan. 6,1872
Jan. 9,1872

75, 000
300, 000
105, 500

67, 500
270, 000
91, 700

65,015 00
260, 512 00
88, 725 00

2,485 00
9,488 00
2,975

M a y 10,1872

Carroll County National Bank, Sandwich, N. H .
Second National Bank, Portland, Me*..
Atlantic National Bank, Brooklyn, N.Y
Merchants and Farmers' National
Bank, Quincy, 111
First National Bank, Rochester, N. Y..
Lawrenceburg National Bank, Lawrenceburg, Ind
Jewett City National Bank, Jewett
City, Conn
i
First National Bank, Knoxville, Term .
First National Bank, Goshen, Ind
Kidder National Gold Bank, Boston,
Mass.
Second National Bank, Zanesville,Ohio.
Orange Countv National Bank, Chelsea, Vt*
".
Second National Bank, Syracuse, N. Y.
Richmond National Bank, Richmond,
Indf
First National Bank, Adams, N. Y
Mechanics' National Bank, Syracuse,
N.Y
Farmers and Mechanics' National
Bank, Rochester. N. Y
Montana National Bank, Helena, Mont
First National Bank, Havana, N. Y*...
Merchants and Farmers' National
M h t
d F
'
N t i l
Bank, Ithaca, N. Y
National Bank, Cazenovia, N. Y
Merchants' National Bank, Memphis,
Tenn
Second National Bank, Chicago, 111
Manufacturers' National Bank, Chi
cago, 111
Merchants' National Bank, Dubuque,

90, 000

100,
50,
100,
100,

Mar. 28,1871
May 2,1871
June 24,1871
Aug. 11,1871

500, 000

450, 000

416, 963 50

33, 036 50

May 24,1872
Juiie 24,1872
July 15,1872

50,000
100, 000
200r 000

45, 000
81. 000
165, 000

40, 379 50
73, 418 50
158, 745 00

4, 620 50
7, 58i 5®
6,255 00

Aug. 8,1872
Aug. 9, 1872

N.Y.

100,000

Jan. 7,1871
Feb. 15,1871
Mar. 16,1871
Mar. 25,1871

Muskingum National Bank, Zanesville,
Ohio1 '"'
United National Bank, Winona, Minn
State National Bank, Saint Joseph, Mo.
First National Bank, DesMoines, Iowa.
Saratoga County National Bank, Waterford, N. Y
First National Bank, Fenton, Mich
First National Bank, Wellsburg, W.Va.
Clarke National Bank, Rochester, N. T*
Commercial National Bank, Oshkosh,
Wis
Fort Madison National Bank, Fort
Madison. Iowa
National Bank, Maysville, Ky
Fourth National Bank, Syracuse, N. Y.
American National Bank, New York,

150, 000
400, 000

135, 000
206,100

129, 870 00
198,619 50

5, 130 00*
7,480 50

135,
49,
90,
180,

oa

2,603

o
o
oo

Sept. 10,1872

200, 000

180, 000

172,152 50

7,847 50

Oct. 4,1872
Oct. 22,1872
Nov. 7,1872

60, 000
100, 000
115,000

48, 750
80, 910
103, 500

44 r 312 00
76, 081 00
97, 938 00

4,438 00
4, 829 00
5,562 00

Nov. 8,1872
Nov. 16,1872 |

300, 000
154, 700

120, 000
138, 140

120, 000 00
130, 875 00

7,265 OO

Jan. 14,1873
Feb. 18,1873

200, 000
100, 000

180, 000
90, 000

159, 210 00
85, 702 00

20, 790 00
4, 298 00

Feb. 28,1873
Mar. 7,1873

230r 000
75, 000

207, 000
66, 900

207, 000 00
60, 557 00

6, 343 00

Mar. 11,1873

140, 000

93, 800

88, 905 00

4,895 00

Apr. 5,1873
Apr. 15,1873
June 3,1873

100, 000
100, 000
50, 000

83, 250
31, 500
45, 000

78, 395 00
29, 290 00
39, 325 00

4,855
2, 210
5,675 00'

June 30,1873
July 18,1873

50, 000
150, 000

45, 000
116, 770

40, 436 00
108, 904 00

4,564 00'
7,866 00'

Aug. 30,1873
Sept. 25,1873

250, 000
100, 000

225, 000
97, 500

206, 393 00
84, 891 00

18, 607 00
12, 609 00

Sept. 25,1873

500, 000

450, 000

392, 014 00

57, 986 00

Sept. 30,1873

200, 000

180, 000

150, 695 00

29, 305 00

Iowa.

* Consolidated with another bank.

VII C C




oo
oo

t A new bank organized with same title

XCVIII

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Table of liquidating

haul's—Continued.
Circulation.

; ^ x l o n ? ^ " ^ C a l ) i t a l - !'

Name and location of bank.

Retired.

Beloit National Bank. Beloit, Wis
; Oct. 2, 1873
Union National Bank. Sain I Louis, Mo ; Oct. 22. 1873
City N.-itional R-mk, GrevAi B;jy, Wis ..-, Nov. 30, 1873
First National Bank, Shelbin.',' Mo
I Jan. 1, 1874
Second National Bank, Xas'i\iiie, Tenn Jan. 8, 1874
First National Bank, Wayntsimrg, Pa ' Jan. 13, 1874
First National Bank, One'id.t, N. Y
i Jan. 13, 1-874
Merchants' National Bank, Hastings,
! Feb.
Minn* .
I Mar.
National Bank, Teeuinseh, Hich
Gallatin National Bank, Shuwueetown.
; Mar. 7,1 £74
Ill
FIT si National Bank, P.rookvilio, Pa .. | Mar. 26, 1-74
Citizens' National Bunk, Sioux City,
! Apr. 14, 1871
Ioi
Criize
i
ti
ottcs. 27, 18
vilu \ i
Vpi . 28. 18
atioiiul Ban!
Farm
.ial Bank, M
First
r 6, It
er Nat ion a'
south
East. N.'
' 20,1.-:
Merchants
Virginia,
Central N;i tiriLJil iJ;
r
lo] !•:
lionai ii:
r 22, 18
Teutonia X;
•

)00
)00
)00
100
000
000
000

Sept.
Oct.
Nov.
Nov.
Dec.

I
|
;
I
I
I
j

$8, 235
21, 957
8, 435
15, 857
13, 720
8, 582
15, 159

00
00
50
50
00
00
00

90, 000
45, 000

74.186 00 ! 15, 814 00
38,695 00-1
6, 305 00

150, 000
.00. 000

225, 000
90, 000

182, 84 B 00 ! 42,154 00
76, 070 00 13, 930 00
36, 440 00 I S, 560 00

45, 000
>, 0..0
i. 000

90, 000 I
45,000 I
45, 000
175, 550

71, 646. 00 I

90, 000
270,
153,
90,
45;
90,
224,

74, 324 00 i
36, 722 50
40,061 00 i
156, 865 0 J i

15, 676 00
8, 277 50

4, 939 00
18, 685 00
3fil. 983 00 i 88, 017 00
148,509 00 i 31,491 00

450. 000
180, COJ

10, !.*7i
10,1*71
9, l.*"«4
10, 1874
4, 1^74

000
000
000
000
000
095

212, 490 00
120,421 50
71, 407 00
37, 459 00
69, 802 00
17 4,775 00

18. 354 00
57. 510
32, 578
18, 593
7, 541
20, 198
49, 320

00
50
00
00
00
00

j

No issue. J
144, 900
45, 000

...'.• D e

alii;
Mechanics' National Bank, Cir
Til.: De
Fii'Ht National Bank, Evuiwvilic, Wis. -! Jan. 9, 1875 j
First Narioirai l.^uk, Baxter ^oriHuvj, !
j
Kaus
V...! Jan. 12, 1875 •
Peoples1 ^ ;.titM,;a I3nnk, PreMo, Cal... | Jan. 12, 1675 |
National l'>-u=k of Commerce, Green i
Bny, Wis
i Jan. 12,1875
First National Hank, Millersbimr, Ohio! Jan. 12, 1875
First National Bank, Stiiunton, Ya* ...! Jan. 23, 1875
National City Bank, Milwaukee, Wis..| Feb. 24,1875
Irasbui'U' National Bank, Orleans, Iras- I
buro:, V t
I Mar. 17,1875 |
Merchants and Planters 1 National
Bank, Augusta, Ga
Mar. 22,1875
First National Bank, Pekin. Ill
Mar. 25, 1875 j
Monticello National Bank, Monticello, |
j
Iowa
Mar. 30,1875 j
owa City National Bank, Iowa City,
Iowa
"...'• Apr. 14,1875
First National Bank, Wheeling, YV. Va.l Apr. 22,1875
First National Bank, Mount Clemens,
Mich
iuiui
.'.j May 20, 1875
First National Back, Knobnoster, Mo.-I May 29, 1875
Fiist National Bank, Brodbead, W i s . . . jmie24, 1875
First National Bank, El Dorado, Ivans. June 30,1875
First National Bank, Junction City,
July 1,1875
Ivans
First National Bank, Chetopa, Ivans... July 19,1875
Auburn City National Bank, Auburn,
• XH . Y.- "
IN. X
July 27,1875
First National Bank, Golden, Colo
Aug. 25, 1875
National Bank, Jefferson, Wis
Aug. 26,1875
Green Lane National Bank, Green
Lane, Pa
Sept. 9,1875 |
State National Bank, Topeka, Kans... Sept. 15,1875
Farmers' National Bank, Marshall-

000
300
000
000
920
000
500

100,000
50. 000

1

La

City Nation;
.Tfiin
First Natioi il \l
First Natio? al B; ok, 01.-!ti
First Nation
1 O
nk, i
"Union N iti(
I (1
ar.k,
Anil tier NaBall

$45,
15(K
45,
90,
92,
72.
110,

I Outstaud-

$36, 765 00
128. 343 00
36, 564 50
74,142 50
79, 2 0 00
63.418 00
95, 341 00

Issued.

50, 000
50, 000
ICO,
100,
100,
100,

000
000
000
000

36, 000
• 27, 000
90,
72,
90,
76,

000
000
000
500

119,110 00 ; 25, 790 00
34, 965 00 10, 035 00
28, 724 Q0 i 7, 276 00
19, 714 00 ! 7,286 00
69, 555 00 20,445 00
56, 827 50 15, 172 50
69, 795 00 20,205 00
63,175 00
13, 325 00

75, 0C0

67, 500

54, 547 00

12, 953 00

200, 00C
100, 00t

180, 000
90, 000

132, 630 00
67, 319 00

100, 000

45, 000

29,676 00

47, 370 00
22, 681 00
15, 324 00

125, 000
250, 000

112, 500
225, 000

89. 592 00
163, 653 00

22, 908 00
61, 347 00
11,715 00
10, 751 00
15, 863 00
15, 467 00

000
000
200
000

45, 000
36, 000

15, 285 CO
34,249 00
29, 132 00
29, 533 00
30, 545 00
22, 633 00

141,300
27. 000
54, 000

103, 720 00
18, 345 00
31, 695 00

37, 580 00
8, 655 00
22, 305 00

100, 000
60,500

90, 000
30. 010

61, 419 00
16, 582 00

28, 581 00
13, 418 00

27, 000
315, 000
45, 000
90, 000
67, 500

15, 645 00
191,561 50
29, 045 00
64,189 00
39, 410 00

11, 355 00
123, 438 50
15,955 CO
25,811 00
28, 090 00

45, 000
Oct. iy, i«'<;)
umo
ucr. 12, 1875 |I 50, 000
45, 000
First National Bank. Ishpeming, Mich. Oct. 20,1875 j
50, 000
Consolidated with another bank

29. 491 00
26, 374 00

15, 509 00
18, 6.6 00




50,
50,
50,
50,

000
000
000
000

no, ooo
50,
200,
50,
60,

27,
45,
45,
45,

000
000
000
000

14,455 00
13,367 00

REPORT OF THE COMPTROLLER OF THE CURRENCY. XCIX
Table of liquidating

hanks—Continued.
Circulation.

Name and location of bank.

Fayette County National Batik of
Washington, Washington, Ohio
Merchants'
National Bank,
Fort
Wayne, Ind
Kansas City Nat'l B'nk,Kansas City,Mo
First National Bank. Schooleraft, Mich'
JlKhi.tiid National Bank Mansiield
Ohio
Fust 2satiou.il Bank, Curwenswlle, P<i
National M. nm Bank, S.iint Paul Minn
I list National Rink, Ro< hes'ei, Ind .
Fust National Bank, Loch, Ohio . . . .
lion National Bank, Poitsmouib, Ohio
I list National H.'iik, P.ivton 1 1
1
f list .National Bank, A^hL.nd. NMu .
H i s t National P, ink, Ulo.mifu'M lo < a
M.iin'tta \ ui.«' llliiik M.UHU.I, (Wii<
IMI-t Ni'lioi, );>.'!«., \ tlantic, low a .
f u s t Nation,d '5 u'k, rs})« n< -r Ind
]
N
Y k
N. V
V\
t N it o - a i U a . i k . L i ( J I P I , ^ , M O .
h a r 1 M ( * \ N a t i o n a l B a n L o * LT< .Ii,
- i' L i \ i < \ t \ X tal>
''Pu'ni.\tti»,ui!i:
us ' \ t \ c i n
.'
' 1*1 ><lti UlU J.lllu t* * " l l j 1 , ' ' l . N i t i d i n ' . v . i t , " i , 1 i» s M M I , i ^ Ln*\
i " s i \ <• i , i , i . i , . u n r o l l , M > .
I . i s 4 - N . t , , , i i ", , xV U i i s t o l ' L e n n . .
I ' . , t \ H i o . i > I l m ' v , L n i, K n v . »
....
AiiiK i ^ m
(.)u'iT» Is.tt.onal
BauV,
I M\ l< 1 ( < ' IM«i 1 ' " '

Date of
liquidation.

Capital.

Oct. 26, 1875

$100,000 1

Nov.
Nov.
Nnv.

H7:,
1-70

J.IM.

1

1875

M>

90 0 id
15'
10,
1 n
4"
b *,

M a r . 2 - i V> i
M a . :2i, l-7'>
!
>In- •! 1
*
M u H,
.>
M < > \ 2 » 1 <)
A T U ' J ' l-'i
,;.. u ' i l - l '
J u . \ 10 l w ", >
Juir
ll.l-i'i
j »'I^ 'J'», 1 -"iH

$90,000

1 ^ 000 !
90, 000
i'O 0d0

OfO
000
000
0 10
00)

i\ i).
M.i.
M u.

'-Matt N t.on.il B.tiik V t i k i i a . G a
A U J . Jl, H
S ^ i a c u s o N a t i o n a l B.uik, r\\iauisr»
N. Y
.'
Sept. 25,1876
First National Bank, Northumberland, Pa
Oct. 6, 1876
First National Bank, Lancaster, Mo . . . Nov. 14,1876
First National Bank, Council Grove,
Nov. 25,1876
Kans
National Bank of Commerce, Chicago,
Dec. 2,1876
ill.
First National Bank, Newton, Iowa
Dec. 22, 1876
National Southern Kentucky Bank,
Dec. 23,1876
Bowling Green, Ivy
Dec. 16, 1876
First National Bank, Palmyra, Mo
J a n . 1,1877
First National Bank, Monroe, Iowa
First National Bank, New London,Con n J a n . 9,1877
First National Bank, South CharlesF e b . 24,1877
ton, Ohio
First National Bank, Sidney, Ohio
F e b . 28,1877
Winona Deposit National
Bank,
Mar. 1,1877
Winona, Minn
Lake Ontario National Bank, Oswearo,
N.T
. . ; Mar. 10,1877
First National Bank, Alientown, Pa . . . • Mar. 12,1877
Chillicothe National Bank, Chillicothe, ]
Ohio
! Apr. 9,1877
First National Bank, Manhattan, Kans; Apr. 13,1877
National Bank, Monticel Io, Ky
j Apr. 23,1877
First National Bank, Kockvilie, Ind . . . ' Apr. 25,1877
Georgia National Bank, Atlanta, G a . . . ! M a y 31,1877
June 11,1877
First National Bank, Adrian, Mich
First National Bank, Napoleon, Ohio . . June 30,1877
First National Bank, Ashland, Nebr . . July 14, 1877
First National Bank, Lancaster. Ohio..: Aug. 1,1877
First National Bank,.Minerva, Ohio . . . ' Aug. 24,1877
Kinney National Bank, Portsmouth,
Ohio
i Aug. £8, 1877
First National Bank, Green Bav.Wis.. Oct. 19,1877
National Exchange Bank. Waketield,
Oct. 27,1877
ii. i
.:




150,
100
10'\
50.
100,

<io

1 %
>

f

Hh)
5»)0
0"0
00 1
U' 0
0

165,820 00 I $24,180 00
74,285 00 I
63, 948 00 !
27, 865 0J I

15,715 00
26, 052 00
17, 135 00

79, 796
51, 675
64, 688
25,081
49,601
54, 252
26, 859
22, 280
25, 225
93, 885
21, 949
28, 724

55, 204 00
38, 325 00
25, 312 00
19,919 00
40,399 00
35, 748 00
18,141 00
22, 720 00
24, 275 00
41,115 00
23,051 00
34,276-00

00
00
00
00
00
00
00
Of)
00
00
00
00

!
j
!
!
I
'
I
I
''
•
i
I

73,550 00 I
21,853 00 I

16,450 00
23,147 00

20, 500 00 i 69. 500 00
18. 350 00 ! 26J 650 00
45, 911 50 I 44. 028 50
().*, 505 00 ! 26, 495 00
Ii), 650 00 i 25, 350 00
19,250 00 ' 25,150 00
23, 455 00 ; 21, 545 00

0 0 0

5 -, \)n >
200 C )

1 0 'i0')
i, \ 000
. o, ooo
10'), OJ0

Outstanding.

Retired.

90, 000
90, 000
45. 000 I

J.Ul.

T T-T N Uiona. Uitik, \ < \ \ | > o i t Ind . . A . ' . , * l*7i>
•
1 irst N . i t i c n l B.uik Dc P d e , W n . . A u ^ 11.1-1''
Si ( end >.itioi,.il Bank L a ^ - ' ' P ' t , ICau* An^
' If ai ,
Conn IOU i il National Bank VeisailK

Totals

100, 000
100, 000
50, 000

Itfff.

Dec
Dec.
D-c.
Jau.

Issued,

4x00) '
1 > 000
,

18,
17,
13,
62,

950
403
150
250

00 ; 26, 050 00
Of) ! 27, 597 00
00 ; 18, 350 00
00 ! 27, 750 00

170, 000
20'», 000

r>], ooo I
135, 000

88, 093 00 ; 64,907 00
91, 855 00 ' 43, 145 00

200, 000

lnO, COO ,

111,639 00 !

68,361 00

100, 000
50, 000

90,000 !
27.000 j

59,744 00
1, 925 00

30,256 00
19, 075 00

7, 600 00 !
j
118, 985 00 I
10, 500 00 !

47, 515 00
34, 500 00

50, 000

26, 500

250, 000
50,000

166, 500
45, 000

50,
100,
60,
100,

000
000
000
000

27,
90,
45,
91,

100, 000
52, 000

000
000
000
000

90, 000
46, 200

8, 650
58, 560
18, 153
60, 600

00
00
00
00

21, 550 00
9, 500 00
40, 965 00 i

18, 900 00

18,350
31, 440
26, 847
30, 400

68, 450 00
36, 700 00
49, 035 00

100, 000

90, 000

275, 000
250, 000

238,150
225, 000

192, 406 00
126, 512 00

100, 000
50, 000
60, 000
200, 000
100,000
100, 000
50, 000
112,500
(JO, 000
50, 000

89, 990
44, 200
49, 500
173, 090
90, 000
88, 500
90, 000
200,500 !
54,000 I
45,000 I

48, 415 00 ; 41,575
7, 600 00 i 36, 600
3, 750 00 ! 45, 750
25, 050 00 ' 148, 040
35, 200
54, 800 00
40, 500
48, 000 00
40, 550
49, 450 00
67, 021
113,479 00
51, 750
2. 250 00
43,150
1, 850 00

100,000 j
50,000 j

I

70, 000 |

89,000 ;
45,000 |
34,650 !

2, 850 00

00
00
00
00

45, 744 00
98, 48= 00
00
00
00.
00
00
00
00
00
00
00

86 150 00
45, 000 00
34, 650 00

30,383,110 |23,138,145 18,958,340 20 4,179,195 80

C

REPORT OF THE COMPTROLLER OF THE CURRENCY.

National banks that have been placed in the hands of receivers, together with their capital, circulation issued, lawful money deposited with the Treasurer to redeem circulation, the amount
redeemed, and the amount outstanding November 1, 1877.

Name and location of bank.

Capital
stock.

$50, 000
First National Bank, Attica, N. Y
300, 000
Yenango National Bank, Franklin, Pa
Merchants' National Bank, "Washing200, 000
ton, D. C
50, 000
First National Bank, Medina, N. Y....
Tennessee National Bank, Memphis,
100, 000
Tenn
100,000
First National Bank, Selma, Ala
First National Bank, New Orleans, La. 500, 000
National Unadilla Bank, Unadilla,
N. Y
120, 000
Farmers and Citizens' National Bank,
Brooklyn, N. Y
300, 000
Croton National Bank, New York,
N.Y
200, 000
60, 000
First National Bank, Bethel, Conn
100, 000
First National Bank, Keokuk, Iowa
50, 000
National Bank of Vicksburg, Miss
50, 000
First National Bank, Rockford, 111
First National Bank of Nevada, Aus250, 000
tin, Nev
Ocean National Bank, New York, N. Y 1, 000, 000
Union Square National Bank, New
200, 000
York, N. Y
Eighth National Bank, New York, N.Y 250, 000
Fourth National Bank, Philadelphia, Pa 200, 000
Waverly National Bank, Waverly, N.Y 106,100
50, 000
First National Bank, Fort Smith, Ark
Scandinavian National Bank, Chicago,
250, 000
111
...
Wallkill National Bank, Middletown,
175, 000
N. Y
Crescent City National Bank, New
500, 000
Orleans, La
Atlantic National Bank, New York,
300, 000
N. Y
First National Bank, Washington, D. C 500, 000
National Bank of the Commonwealth,
750, 000
New York, N. Y
Merchants' National Bank, Peters400, 000
burg, " a
V
First National Bank, Petersburg, Ya .. 200, 000
First National Bank, Mansfield, Ohio.. 100, 000
New Orleans National Banking Asso600, 000
ciation, New Orleans, La
50, 000
First National Bank, Carlisle, Pa
50, 000
First National Bank, Anderson, Ind...
100, 000
First National Bank, Topeka, Kans
100, 000
First National Bank, Norfolk, Ya
Gibson County National Bank, Prince50, 000
ton, Ind
First National Bank of Utah, Salt Lake
150,000
City, Utah
Cook County National Bank, Chicago,
500, 000
111
100, 000
First National Bank, Tiffin, Ohio
Chariottesville National Bank, Char200, 000
lottesville, Ya
Miners' National Bank, Georgetown,
Colo
150, 000
'Fourth National Bank, Chicago, 111...
200, 000
First National Bank, Bedford, Iowa..
30, 000
50, 000
First National Bank, Osceola, Iowa...
First National Bank, Duluth, Minn
100, 000
50, 000
First National Bank, La Crosse, Wis..
City National Bank, Chicago, 111
,
250, 000
Watldns National Bank, Watkins,
N.Y
75, 000
First National Bank, Wichita, Kans..
60, 000
First National Bank, Greenfield, Ohio
50, 000
National Bank of Fishkill, N. Y
200, 000
132, 000
First National Bank, Franklin, Ind...
Northumberland County National
Bank, Shamokin. Pa
67, 000
First National Bank, Winchester, 111 ..
50, 000




Lawful
money deposited.

Circulation.
Issued.

Redeemed.

Outstanding.

$44,000 00
85, 000 00

$44, 000
85, 000

$43, 616 50
84, 478 50

$383 50
521 50

180, 000 00
40, 000 00

180, 000
40, 000

178,284 00
39,641 75

1,716 00
358 25

90, 000 00
85, 000 00
180, 000 00

90, 000
85, 000
180, 000

89, 233 75
84, 236 75
177, 660 50

766 25
763 25
2, 339 50

100, 000 00

100, 000

99, 259 50

740 50

253, 900 00

•253, 900

251, 317 25

2, 582 75

180,000 00
26, 300 00
90, 000 00
25, 500 00
45, 000 00
129, 700 00
800, 000 00

180, 000
26, 300
90, 000
25, 500
45, 000

178, 823 75
25, 928 50
89,164 00
25, 118 75
44, 258 00

1,176
371
836
381
742

129, 700
800, 000

50, 000
243, 393
179, 000
71, 000

50, 000
243, 393
179, 000
71, 000
45, 000

126, 541 50
774, 612 00
48, 683 00
235, 965 50
173,145 00
68,113 00
43, 535 00

3,158 50
25, 388 00
1, 317 00
7,427 50
5, 855 00
2, 887 00
1, 465 00

135, 000

129, 038 00

5, 962 00

118, 900

113,121 50

5, 778 50

450, 000

418, 525 00

31, 475 00

100, 000
450, 000

95, 419 50
399, 842 00

4,580 50
50, 158 00

00
00
00
00

45, 000 00
135, 000 00
118, 900 00
450,000 00
100,000 00
450, 000 00

25
50
00
25
00

208, 062 50

234,000

233,160 80

839 20

360, 000 00
179, 200 00
90, 000 00

360, 000
179, 200
90, 000

296,160 00
149, 695 00
77,224 50

63, 840 00
29, 505 CO
12, 775 50

329, 337
45, 000
45, 000
90, 000
95, 000

360, 000
45, 000
45,000
90, 000
95, 000

322, 500 00
38, 965 00
39,180 50
75, 011 00
79, 580 00

37, 500 00
6, 035 00
5, 819 50
14, 989 00
15, 420 00

50
00
00
00
00

43, 800 00

43, 800

31, 955 00

11, 845 00

134, 991 00

134, 991

115, 777 00

19, 214 00

254, 900 00
56, 850 00

253, 748 00
55, 500 00

62,152 00
13,350 00

112, 500 00

315, 900
68, 850
157, 500

146,185 00

11, 315 00

23, 857 75
180, 000 00
14,512 50
26, 537 50
77, 081 25
45, 000 00
225, 000 00

45, 000
180, 000
27, 000
45, 000
90, 000
45, 000
225, 000

43, 817
145, 819
10, 830
22, 980
74, 850
24, 300
159, 296

25
00
00
00
00
00
00

1,182 75
34, 181 00
16,170 00
22,020 00
15,150 00
20, 700 00
65, 704 00

00
00
00
00
00

67, 500
52, 200
50, 000
177, 200
130, 992

35, 450 00
24,600 00
28, 438 00
75, 500 00
61, 300 00

32, 050 00
27, 600 00
21,562 00
101, 700 00
69,692 00

21,000 00
15, 500 00

60, 300
45, 000

17, 915 00
10, 700 00

42, 385 00
34, 300 00

67, 500
52, 200
50, 000
79, 000
85,992

REPORT OF THE COMPTROLLER OF THE CURRENCY.

CI

National banks that have been placed in the hands of receivers, tyc.—Continued.

N a m e and location of bank.

N a t i o n a l E x c h a n g e Bank, Minneapolis,
Minn . . . . .

Capital
stock.

Lawful
money deposited.

$100,000

$20, 000 00

National Bank of the State of Missouri,
Saint Louis, Mo
2, 500, 000 1, 648, 800 00
First National Bank. Delphi, Ind
55, 000 00
50, 000
First National Bank, Georgetown, Colo
8, 000 00
75, 000
Lock Haven National Bank, Lock
Haven, Pa
120 000
Totals

13, 620,100 8, 936, 315 00

Circulation.
Issued.

Redeemed. Outstanding.

$90, 000

$17,200 00

$72, 800 00

1, 693, 660
90, 000
45, 000

1, 433, 317 00
48, 700 C
O
5, 250 00

260, 343 00
41,300 00
39, 750 00

71, 200

5, 200 00

66,000 00

8,197, 666 55

1, 448, 319 45

9, 645, 986

Insolvent national banks, with date of appointment of receivers, amount of cajntal stock and
claims proved, and rate of dividends paid to creditors.
Name and location of bank.

First National Bank of Attica, N. Y . . .
Venango National Bank, Franklin, Pa.
Merchants' National Bank of Washington, D. C
First National Bank of Medina, N. Y..
Tennessee National Bank, Memphis,
Tenn
First National Bank of Selma, Ala
First National Bank, New Orleans, La.
National Unadilla Bank, Unadilla, N.
Y
Farmers and Citizens' National Bank
of Brooklyn, N. Y
Croton National Bank, of New York,
N. Y
First National Bank of Bethel, Conn ..
First National Bank, Keokuk, Iowa...
National Bank of Vicksburg, Vicksburg, Miss
First National Bank of Rockford, 111..
First National Bank of Nevada, Austin, Nev
Ocean National Bank, New York, N. Y.
Union Square National Bank, New
York, N.Y
Eighth National Bank of New York,
N.Y
Fourth National Bank, Philadelphia,
Pa
:.....
Waverly National Bank, Waverly,

Receiver appointed.

Capital
stock.

Claims Diviproved. dends
paid.

A p r . 14,1865
May 1,1866

$50, 000
300, 000

$122, 089
340, 757

58
15

M a y 8,1866
Mar. 13,1867

200, 000
50, 000

668, 864
82, 338

10

Mar. 21,1867
Apr. 30,1867
May 20,1867

376, 932
100, 000
289, 467
100, 000
500, 000 1,119, 313

35
65

A u g . 29,1867

120,000

45.9 Finally closed.

Sept. 6,1867

300, 000 1,191, 500

96

Oct. 1,1867
Feb. 28,1868
Mar. 3,1868

200, 000
60, 000
100, 000

170, 752
68, 986
205, 256

88*
98
68*

Apr. 24,1868
Mar. 15,1869

50, 000
50,000

33, 562

Oct. 13,1869

250, 000

Perct.

Dec. 13,1871 1, 000, 000
Dec. 15,1871

200, 000

Dec. 15,1871

250, 000

Dec. 20,1871

200, 000

Apr. 23,1872

106,100

First National Bank of Fort Smith,
Ark
'. May 2,1872

50, 000

Scandinavian National Bank of Chicago, 111
Wallkill National Bank of Middletown.
N.Y
Crescent City National Bank, New
Orleans, La
Atlantic National Bank, New York,
N.Y
First National Bank, Washington, D. C.
National Bank of the Commonwealth,
New York, N.Y
Merchants' National Bank of Petersburg, Va
First National Bank, Petersburg, Va..
First National Bank, Mansfield, Ohio..
New Orleans National Banking Association, New Orleans, La




127, 801

69, 874
170, 012
1, 280, 328
157,120
378, 772
645, 558
79, 864

Remarks.

Finally closed.

Finally closed.
Finally closed.

Finally closed.
Finally closed.

35
41.9 Finally closed.
90
90
100
100

10 per cent, since last
report.
20 per cent, since last
report.
10 per cent, paid to
stockholders.
Finally closed.

100

Finally closed.

100

32£ per cent, paid to
stockholders, and
finally closed.
13 per cent, paid to
stockholders, and
finally closed.

15,142

100
40

Dec. 12,1872

250, 000

249,174

Dec. 31,1872

175, 000

157, 066

85

Mar. 18,1873

500, 000

641, 915

60

Apr. 28,1873
Sept. 19,1873

300, 000
500, 000

503, 590
., 619, 965

70
100

Sept. 22,1873

750, 000

796, 995

100

Sept. 25,1873
Sept. 25,1873
Oct. 18,1873

400, 000
200, 000
100, 000

992, 636
167, 285
175, 068

34
76
45

Oct. 23,1873

600, 000

869, 764

30

Finally closed.
35 per cent, paid to
stockholders.
Finally closed.
Finally closed.
15 per cent, since last
report.

CII

REPORT OF THE COMPTROLLER OF THE CURRENCY,
Insolvent national banks—Continued.
Name and location of bank.

First National Bank of Carlisle, Pa —
First National Bank of Anderson. Ind.
First National Bank of Topeka, Ivans.
First National Bank of Norfolk, Va . . .
Gibson County National Bank, Princeton, Ind
First National Bank of Utah, Salt
Lake City, Utah
Cook County National Bank, Chicago,
111
First National Bank of Tiffin, Ohio....
Charlottesville National Bank, Charlottesville, Va
Miners' National Bank of Georgetown,
Colo
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 Back of Chicago, 113
Wntkins National Bank, Watkins,
N. Y

Remarks.

Oct. 24,
Nov. 23,
Dec. 16,
June 3,
Finally closed.

Since last report.
7 per cent, since last
report.
10 per cent, since last
report.
Since last report.
Since last report.
20 per cent, since last
report.
10 per cent, since last
report.
37-^per cent, since last
report.
Since last report.

First National Bank of Wichita, Ivans
First National Bank of Greenfield,
Ohio
National Bank of Fishkill, Fishkill,
N. Y
First National Bank of Franklin, JvA..
Northumberland County National
Bank, Sharnokin, Pa
First National Bank, Winchester, TIL.
National Exchange Bank of Minneapolis, Minn
National Bank of the State of Missouri, Saint Louis. Mo
First National Bank of Delphi, Ind...
First National Bank of Georgetown,
Colo
Lock Haven National Bank, Lock
Haven, Pa
Totals




!

; 13,620,100 120,015,922 j

AGGREGATE RESOURCES AND LIABILITIES

THE NATIONAL BANKS
OCTOBER, 18G3, TO OCTOBER, 1877.

H. Ex. 3




A

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Aggregate resources and liabilities of the National
1863.
JANUARY.

APRIL.

OCTOBER 5.

JULY.

Resource^.
66 banks.
Loans anddiscounts
.
U S bonds and securities
Other items

$5,466, 088 33
5, 662, 600 00
106, 009 12

.. i
i

Due from nat'l and other banks.
Real estate furniture &c
Current expenses
Premiums puid . . . . . . .
....

2, 625, 597
177, 565
53,808
2, 503

05
69
92
69

Checks tmd 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

18G4.
JANUARY 4.

APRIL 4.
307 b a n k s .

139 banks.

JULY 4.
467 banks.

OCTOBER 3.
508 banks.

$10, 6f!6, (>95 60
15, 112,250 G
O
74.571 48

$31, 593, 943 43
41, 175, 150 C
O
432,059 95

Due from national banks
Due from other b'ks and bankers
Real estate, furniture, <fec
Current expenses

*4, 786, 124 58
381, i44 00
118,854 43

4, 6!'9, 479 56
8, 537, 908 94
755, 0<Mi 41
352. 720 77

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.^)51,916 ttfi
1,1)60, 1:00 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
44,801,497 48

37, 630, 691 58

114, 820, 287 6G i

252, 273, 803 75

297, 108, 195 30

Loans and discounts
U. S. bonds and securities
Other items

Total

$70,746,513 33
92, 530, 500 00
842,017 73
15,935,730
17, 337, 558
1, 694, 049
502,341

JANUARY 2.

17, 837, 496
14,275, i53
4 4S1, 937
72, 535, 504




f

$487, 170, 136 29
427,731,300 00
19,048,513 15

40, 9!i3, 243
2-2, 551, 63ii
6,525, IS8
2. 2158. 025
1.823.2iil

77
00
68
67

47
57
80
65 |
84

76,977,539
26,078, 028
11,231,257
2, 338, 775
2,243,210

59
01
28
56 !
3) i

29, 681,3!H
13,710,370
6, 659. 6(50
112. 999,320

30, 82--, ;75 44
19, 8o(>, 072 83
4, 083, 226 12
1, t:53, 725 34
i, 323. 023 56

Checks and other cash items... |
Bills of national and other banks.
Specie
!
Legal tender and fract'l cur'ney. |

47
31
20
02

1,513 banks.

$252, A[ 4, 208 07 ! $362,442,743 08
277, 619. 9 0 00 I 391,744,850 00
4,275.76!) 51
12,569. 120 38

j $106,448,718 00
j
H(5, 578, 750 00
'
3. 2(.)4, 883 27

j

19, 965, 720
14,051,396
2, 202, 3 8
1, 021, 569

1,294 banks.

Due from national banks
j
Due from other b'ktf and bankers;
Real estate, furniture, &c
I
Current expenses
I
Premiums paid

Total.

13
66
46
31

JULY 3.

638 banks.
Loans and discounts
U. S. bonds and securities
Other items

$93, 238, 657 92
108, 064, 400 00
1, 434, 739 76

13
00 I
47
59

41,314,904
21,651,826
9, 437. OtiO
168, 4^6, 166

50 I
00 j
40 |
55 :

89, 978, 980 55
17, 393. 232 25
14,703,281 77

4,539,525 11
2,585,50! 06
72,309,^54 44
16, 247. 24 i 00
18, 072^012 59
189, 988, 496 28

512,568,666 66 : 771,514,939 10 1,126,455.481 66 ! 1,359,768,074 49 1
i
* Including national banks.

i

!

i

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Banks from October, 1863, to October, 1877.
1803.
APRIL.

JANUARY.

OCTOBER 5.

JULY.

Liabilities.
66 birnks.

Capital stock

$7,188, 393 00
128, 030
8,497,681
981,178
2, 360

Individual mid other deposits
Due to nsvt'l and other banks*.
Other items
...... ......

Total

06
84
59
51

16, 797, 644 06

1804.
JULY 4.

139 banks.

307 banks.

467 banks.

$14, 740, 522 00

Surplus fund
Undivided profits.
National bank notes outstanding
Individual and other deposits...
Due to nutl and other banks*
Other items

Total.

$42, 204, 474 00

432, 827 81

Capital stock.

1, 625, 656 87

30,155 00
19,450,492 53
2,153, 779 38
822, 914 86

|

37, 630, 691. 58

9, 797, 975
51, 274, 914
6,814,930
3, 102, 337

00
01
40
36

508 banks.

$75, 213, 945 00 j

2,010,286 10
5, 982, 392 22

1,129, 910 22
3,094,330 U
j
I
I
I

114, 820, 287 66

25, 825, 665
119,414,239
27, 382, 006
213,708

$86, 782, 802 00

45,260,504
122, 16(1,536
34, 862, 384
43,269

00
03
37
02

252, 273, 803 75 i

00
40
81
77

297,108,195 30

1865.
JANUARY 2.

Al'HIL 3.

907 bunk*.

Surplus fund
Undivided profits.
National bank notes outstanding
Individual and other deposits... j
United States deposits
|
Due to national banks
Duo to other banks and bauk'rs*
O*ber items..




1,294 banks.

;

$135,618,874 00 j $215,326,023 00 j $325,834,558 00 !

Capital stock.

Total.

OCTOBER 2.

JULY 3,

8,663,311 22 !
12,283,812 65 I
6Q, 769, 375 00 i

r

17, 318, 04 2 t)5

31, 303, 565 64 j

17,809,307 14

30,619,175 57
37,104, 130 62

265, 620 87
512, 568, 666 68

$393,157,206 00
38,713,380 72
32,350,278 19

23,159,408 17 |

98, 896, 483 00
183,479,636 9H
37, 764, 729 77

1,513 banks.

171,321,903 00
131,452, 158 00 I

26-2,961.473 13 398, 357, 559 51)
58,032,720 G7
57. 630, 14! 01
41,301,031 16 | 78,261,045 «54
79,591,594 93
59, 692, 5c 1 64 j
462,871 02
578,951 37
771, 514, 939 10 1,126,455,481 66

* Including State bank, circulation outstanding.

500,910,873 22
48,170, 381 31
90, 044, 837 08
84, 155, 161 27
944, 053 70
1,359,768,074 49

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Aggregate resource* and liabilities of the National

JANUAKY 1.

Al'liTL 2.

JULY 2.

OCTOBER 1.

1,58;! bank*.

1,01.2 banks.

1,634 banks.

1,644 banks.

Resources.
Loans and discounts
j $500, 650,
U.S. bonds dep'd to secure circ'n.! 298. 376, 850
Other U. S. bonds and securities, j 14 2, 003, 500
17, 483, 753
Oth'r stocks, bonds, andmortg'K.I
Due from national batiks
254, 05i
Due from other b'ksund >ank'rs.
G58, 22U
Real estate, furniture, &c .
43;!,
1U3.
Current expenses
;
Premiums paid
Checks and other cash items ..
Bills of national and other banks.
20, 406,
Specie
19, 205,"
82
Legal tenders and fract'l cur'ney
167, 846,
Total

$528. i;tfl), 52i> 70 ; $550,353,094 17 $603,314,704 83
315, 850. 300 0l> i 326, 483, 350 00 331, 843, 200 00
125, 0i.\ 750 00 i 121, 152, 950 00
94,974, 650 00
17, 37:>, 738 92 :
17,565,911 46
15, 887, 490 06
87. :;6-i,30!» 71 |
96,696,482 66
13,682,315 12 j
13,982,613 23
15,895,564 46 i
16, 73), 923 62
4,9.-7,599 79
3.032,716 27
2, J..3,516 31 j
2,398,872 26
105,490,619 3(> !
90,077, 131 53
18, 279, 816 00
17. 866, 742 00
17,529,778 42
12,629,376 30
189,867,852 52 j 201,425,041 63

I 1, 404, 776, 619 29 I 1, 442, 407, 737 31

107,650,174 18
15,211, 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 83
205,793, 578 76

1, 476, 395, 208 13

1, 526, 962, 804 42

1.63G b a n k s .

1,642 banks.

1 § G
OCTOBER 7.
1,64-2 bi'nks.

1,648 bank-..

Loans and discounts
$608,771,799 til
$o«)7, 648, 286 53
$588, 45'), 396 12
339, 570, 7 [) 00
U.S. bonds .lep'd to secure circ'n.
338, 863, 650 00
337, 684, 2:0 00
36, 185,950 00 •
38, 308, 950 00
U.S.bonds dep'd to see're dep't*.
38. 455, 800 00 i
45, (333, 700 0d I
52,9415. 30i) o,i i
U.S.bonds and see'ties on hand ;
4(5,639,4O:i 00
21.452,615 43 j
15, 07.J! 737 -<•> I
Otlrr stocks, bonds, andmortg's.j
20, MH. 875 21 j
Due from national banks
9J, 552. "JOfi 2!» !
94. 121, 186 21 |
9:2,308,911 87 j
Due from other b'ks and bank'iv.;
12,996. 157 49 i
9, G63, 322 82
lo, 7;>7, :vjk2 9;> :
18,925,315 51 ;
Real estate, furniture. <fcc
\
19, 800, 9..5 8G
19. 625, 8'J.J 31 i
Current expenses
|
2, 822, 675 18 !
3,249. 153 31
5 , ( I : ) : J , 7 S 1 17 |
Premiums paid
j
2, 860, 398 85 !
3, 338, GOO 37
3, 4M. 325 5(5 j
j
Checks and oth< r cash items ..! 101,430,220 18 j
128,312, 177 79 I
87,951,405 13 I
Bills of national banks
|
19,263,718 00 I
16, 138,709 00 '
12. 873, 785 00 !
Bills of other banks
1, 176, 142 00 !
531. 267 00
8-25, 748 00
Specie
11, 128, G72 98
11,444,529 15
19, 726,043 20 j
Legal tenders and fract'l cur'ney
92.861,254 17
102,534,613 46
104,872,371 64 I
82, 047, 250 00
84, 0G5, 790 00
Compound interest notes
75, 488, 220 00
Total.

$609,675,214
333, 640, 150
37, 862, 100
42, 460, 800
21,507,881

61
00
00
00
42

95,217,610
8,389,226
20, 639, 708
5,297,494
2, 764, 186

14
47
23
13
35

134,61)3,231
11,841, 104
333,209
12, 798, 044
100, 550, 849
56, 888, 250

51
00
00
40
91
00

1, 494, 084, 52G 01

1,499, 469, 060 17

APRIL 6.

I, 511, 222, 985 40

JULY 6.

OCTOBER 5.

1,643 banks.

1,640 banks.

1,643 banks.

1, 465, 451, 105 84

I8G
JANUARY 6.

1,642 banks.
Loans and discounts
U. S. bonds dep'd to secure circ'n.
U.S.bonds dep'd to see're dep'ts.
U.S.bonds and see'ties on hand.
Oth'rstocks, bonds, and mortg's.
Due from national banks
Due from other b'ks aud bank'rs.
Real estate, furniture, &c
Current expenses
Premiums paid .
Checks and other cash items...
Bills of national banks
Bills of other banks
Fractional currency
Specie
Legal tender notes
Compound interest notes
Three per cent, certificates
Total




$616,603,479 89
339, 064, 2.:0 0:)
37,315,750 00
44,104, 500 00
19,365,864 77
99,311,446 60
8, 460, 199 74
21, 125, 665 68
2, 986, 893 86
2,4(4,536 96
109, 390, 266 37
16, 655. 572 00
a<;i,2G9 00
1,927,876 78
20,981,601 45
114,306,491 00
39, 997, 030 00
8,245,000 00
1, 502,647, 644 10

{

$628, 029, 347 65
339, 680, G50 00
37, 416, C D 00
O
45, 958, f.53 00
19, 874, 3d4 33
95, 900. 606 35
7, 074, 297 44
22, 062, 570 25
5, 428, 460 25
2, GGO, 106 09
114, 993, 036 23
12,573,514 00
196, 106 00
1,825,640 16
18, 373, 943 22
84, 390, 219 00
38,917,490 00
24, 255, 000 00
1, 499, 668,920 97

$655, 729,546 42
339,569,100 00
37,853,150 00
43,0U8, 350 00
20, 007, 327 42
114,434,097 93
8, 642, 456 72
22, 699, 829 70
2,938,519 04
2, 432,074 37
124, 076, 097 71
13,210, 179 00
342, 550 00
1,863,358 91
20, 755, 919 04
100,1G6, 100 00
19,473,420 00
44,905,000 00
1,572,167,076 26

$657, 668, 847 83
340,487, 050 00
37, 360,150 00
36, 817, G O 00
O
20, 693, 406 40
102,278, 547 77
7/848, 822 24
22, 747, 875 18
5,278,911 22
1,819,815 50
143,241,394 99
11,842,974 00
222, 668 00
2, 262, 791 97
13, 003, 713 39
92,453, 475 00
4, 513,730 00
59, 080, 000 00
1,559, 621,773 49

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Banks from October, 1863, to October, 1877-—Continued.
§60.

1
JANUARY 1.

APRIL 2.

JULY 2.

OCTOBER 1.

1,582 banks

1,612 banks.

1,634 banks.

1,644 banks.

Liabilities.

Capital stock

$403, 357, 346 00

$409,273,534 00

$414,270,^93 00

$415, 472, 369 00

„..

43, 000, 370 78
28, 972, 493 70

44,687,810 54
30, 964, 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 C
O
33, 800, 865 00

267, 798, 678 00
19, 996, 163 G
O

280,253,818 0U
9, 748, 025 00

Individual deposits
U. S. deposit?
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, 0(16, 892 22

564,636,777 64
30, 420, 819 80
2, 979, 955 7?

Due to national banks
Duo 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

1,476,395,208 13

1, 526,962, 804 42

Surplus fund
Undivided profits

Total

186

7.

JANUARY 7.

Capital stock

APRIL 1.

JULY 1.

OCTOBER 7.

1,648 banks.

1,642 banks.

1,636 banks.

1,642 banks.

$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

National bank uotesoutstanding.
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 06

Individual deposits
U. 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 66
2,650,981 39

539, 599, 076 10
29,838,391 53
3, 474,192 74

540, 797, 837 51
23,062,119 99
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 89
19, 644, 940 20

1,511,222,985 4C

1, 465, 451, 105 84

1,494, 084, 526 01

1,499,469,060 17

Surplus fund
Undivided profits

Total

1 8 6 8.
JANUARY 6.

JULY 6.

1,642 banks.
Capital stock.

APRIL 6.
1,643 banks.

1,640 banks.

$420, 260,790 00

$420, 676, 210 00

$420,105, Oil 00
75, 840,118 94 I
33, 543, 223 35 j

1,643 banks.
$420,634,511 00

70,586,125 70
31,399,877 57

72,349, 119 00
32,861,597 08

National bank notesoutstanding.
State bank notes outstanding.. -

294, 377, 390 00
3,792, 013 00

295, 336, 044 00
3,310, 177 00

294, 908, 264 00
3, 163, 771 00

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, M42 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 16

Due to national banks
Due to other banks and bankers.

98, 144,669 61
21,807,648 17

94,(73,631 25
21,323,636 60

Surplus fund
Undivided profits

Total.




1,502,647,644 10 I 1, 499, 668, 920 97

113,306,346 34
27,355,204 56

77,995,761 40
36,095,883 98

99, 414, 3!!7 28
23,720,8^9 18

1,572,167,076 26 ; 1,559,621,773 49

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Aggregate resources and liabilities of the National
69.

1 §
JANUARY 4.

APRIL 17.

JUNE 12.

OCTOBER 9.

1,628 banks.

1,620 banks.

1,619 banks.

1,617 banks.

Resources.
Loans and discounts
$644, 945. 039 53
U. S. bonds to secure circulat'n 3:8,539,950 00
U. S. bonds to secure deposits .. 34, 538, 350 00
U. S. bonds and sec'ties on hand.
35 010,600 00
Oth'r stocks, bonds, and inortg's
20,127,732 96
Due from redeeming agents . . .
65, 727, 070 80
Due from other national banks
36,067,316 84
Due from State b'ks and bank'rs
7,715,719 34
Real estate, furniture, and fixt's.
23, 289, 838 28
Current expenses
3, 265, 990 81
Premiums paid
1, 654, 352 70
Checks and other cash items...
142,605,984 92
Bills of other national banks ..
14,684,799 00
Fractional currency
2,280,471 06
Specie
29, 626, 750 26
Legal tender notes
88, 239, 300 00
Three per cent, certificates
52, 075, 000 00
Total

1, 540, 3i)4, 266 50

47
00
00
00
69

$686,347,755
338, 699, 750
27, 625. 350
27, 476, 650
20, 777, 560

57, 554, 382 55
30, 520, 527 89
8, 07,"), 595 60
23, 798, 1^8 13
5,641,195 01
1,716,210 13
154,137, 191 23
11,725,239 00
2,088,545 18
9,944,532 15
80, b75, 161 00
51,190, 000 00

62,912,636
35, 556, 504
9, 140,919
23,859,271
5, 820, 577
1, 809, 070

82'
53
24
L7
87
01

161,614,852
11,524,447
1, 804, 855
18, 455, 090
80, 934,119
49,815,000

$682, 883,106 97
339,480, 100 00
18,704,000 00
25, 903, 950 00
22,250,697 14
56, 669, 502 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

81
00
C
O
00
53

66
00
53
48
00
00

$662,084,813
338, 379, 250
29,721,350
30, 226, 550
20, 074, 435

1,517, 753, 167 03

1,564,174,410 60

1,497, 226,604 33

o.
JANUARY 22.

MARCH 24.

JUNE 9.

OCTOBER 8.

DECEMBER 28.

1,615 banks.

1,615 banks.

1,612 banks.

1,615 banks.

1,648 banks.

Loans and discounts .. $688,875,203 70 $710,848,609 39 $719,341, 186 06 $715,928,079 8i. $725, 515, 538 49
Bonds for circulation . 339, 350, 750 00 339,251,350 00 338,815,200 00 340, 857, 450 00 344, 104, 200 00
Bonds for deposits . . . 17.592,000 00
15,381,500 00
15, 189,500 00
16, h 2, 000 00
15,704,000 00
U. S. bonds on hand .. 24,677, 100 00
22, 323, 800 00
2b, 893, 300 00
27, 292, 150 00
28, 276, (500 0 )
Other stocks pnd b'ds 21,082,412 (,0 2 ', 524, 294 55 23,300,681 87
23,614,721 25
22, 686, 358 59
Due from red'g agents. 71,641,486 05 7 3,435, 117 98 74,635,405 61
64, 805, 062 88
66, 275, 668 92
Due from nat'l banks - 31,994,609 26 29, 5! 0, 688 11 36 128, 750 66 33, 948, 805 65 37, 478,166 49
Due from State banks
9, 319, 560 54
9,202,496 71
9, 824, 144 18
10,430,781 32
10,238,219 85
Real estate, &c
2(5,002,713 01
27, 470, 746 97
20, 593, 357 00
28, 021, 637 44
26,33 ',701 24
3, 409. 5f8 00
Current expenses
5,871,750 02
6, 324, 955 47
6, 905, 073 32
6,083. 189 54
2,439,51)1 41
2,491,222 11
Premiums paid
3, 076, 456 74
3,251,648 72
2, 66^, 882 39
Cash items
12,536,613 57
13, 229, 403 34
111,624,822 <J0
11,267,7(3 12
11,497,534 13
Clearing-house excb'gs
79, 089, 688 39
76, 208, 707 00
83,93(5, 515 64
7."), 317, 992 22
12, 512, 927 00
National banknotes .. 15, 840. 069 00
17,001,846 00
16,34-2,582 00
14,226,817 00
2,078, 178 05
2,150,522 89
Fractional currency ..
2, 184,714 39
2, 476, 960 75
2, 285, 499 02
18,460,011 47
26,307,251 59
31,099,437 78
Specie
48,345,383 72
37, 096, 543 44
79,324,577 00
80, 580, 715 00
94,573,751 00
Legal tender notes
87, 70e, 502 00
82, 485, 978 00
41, 845, 000 00
Three per cent, cert'fs. 43,820,000 00 43, 570, 000 00 43, 405, 000 00 43,345,000 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

1 8 7 1.
MARCH 18

APRIL 29

1,688 b a n k s .

Loans and discounts .. $767, 858, 490 59
Bonds for circulation . 351, 556, 700 00
15, 231, 500 00
Bonds for deposits
U. S. bonds on hand... 23, 911, 350 00
Other stocks and b'ds. 22, 763, 809 20
Due from red'g agents 83 8' iO 188 92
Due from nat'l banks. 30, 20l' 1 19 99
Due from State banks. 10 27! o i >r> 34
28 805 814 79
Real estate, &c
6 694 014 17
Current expenses
3 939 995 20
Premiums paid
Cash items
11 642 614 74
Clearing-house exch'gs 10 > 69:5 91 ? 54
National bank notes .. 13 137 OIK; oo
o li'3 298 16
Fractional currency ..
160 64
Specie
Legal tender notes . . . 91 072
Three per cent, cert'fs. 37 570 l 00 00
Total




, 1,627,03 2,031)

28

JUNK

1, 707 b a n k s .
$779, 321, 828
354, 127, 200
] 3 236, 500
o o ' 4H7, 950
22? 414, 659
85 061 016
38 332 ti/9
11 478. 174
29 242 7(i2
0 761 159
: 4 414 755
12 749 289
130 855 098
• 1 6 632 323
2 135 703
0 . ) 732 027
; ion 219 120
33 935 000

10.

1,723 b a n k s .

OCTOBER 2.

DECEMBER 16.

1,767 banks.

1,790 bank 8.

11 $789, 4! 6, 568 13 $831, 552, 210 00 $818, 996, 311 74
00 357, 388, 950 00 364, 475, 800 00 366,840,200 00
00
28, 087, 500 00
23,155,150 00
15, 250, 500 00
00
24, 200, 300 00
17, 753, 650 00
17,675,500 00
24, 517, 059 35
23, 061,184 20
05
23, 132, 871 05
77, 985, 600 53
&\ 878, 608 84
31
92, 369, 246 71
43' 525 302 05
43,313,344 78
74
39, 636, 579 35
71
12, 772 669 83
13, 069, 301 40
1 7 , 853, 308 60
79
29, 637, 999 30
30 089 783 85
30, 070, 330 57
6 153 370 29
7, 330, 424 12
73
6, 295, 099 46
5, 020, 385 97
5 500 890 17
5, 956, 073 74
40
14 058 2fi8 86
13, 784, 424 76
84
IS, 101, 497 95
15 102,09], 311 75 101 165 854 52 114,538,539 93
00
14 197 053 00
13, 085, 904 00
19,101, 389 00
0 095 485 79
09
2, 160, 713 22
2,061,600 89
02
10 l) }4 955 10
13
998 17
29, 595, 299 56
93, 912, 707 00
00 122'. 137', 660 00 109,414 735 00
00
25 075 0>0 00
21, 400, 000 00
3-t, 09". > OuO 00

1,0: 4,440,9k i 94 i,703.415,33;; 0 5

l,730,5t: 3,899 72

1,715,861,897 22

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Banks from October, 1863, to October, 1877—Continued.
18 6 9.
JANUARY 4.

!

APRIL 17.

JUNK 12.

OCTOBER 9.

Liabilities.
1,628 banks.
Capital stock

1,619 banks.

1,620 bank•».

1,617 banks.

$419, 040^931 00 \ $420, 818, 721 00

$422, 659, 260 00

81, 169,936 52
35, 318, 273 71

82, 653, 989 19
37, 489, 314 82

82, 218, 570 47
43, 8 L2, 898 70

86, ! 65, 334 32
40, 687. 300 92

National bank notes outstanding
State bank notes outstanding...

294, 476, 702 00
2, 734, 6(39 00

292, 437, 098 00
2, 615, 387 00

292, 753, 286 00
2,558,874 00

293, 593. 645 00
2, 454, 697 00

Individual deposits
U. B. deposits
Dep'tsof U. S. disbursing officers

568,530,934 11
13,211,850 19 |
3,472,884 90 I

547, 922, 174 91
10, 114, 328 32
3, 665, 131 61

574, 307, 382 77
10,301,907 71
2, 454, 048 99

511,400, 196 63
7,112,646 67
4,516,648 12

Due to national banks
Due to State banks and bankers.

95,453, 139 33
26, 984, 945 74

92, 662, 648 49
23, 018, 610 62

100,933,910 03
28,046,771 30

2, 464, 840 SI
1, 870, 913 26

2, 392, 205 61
I, 735, 289 07

3,839,357 10
2,140, 363 12

1, 540, 394,266 50 j 1, 517, 753, 167 03

1, 564, 174,410 65

1,497, 226, 604 38

Surplus fund
Undivided profits

Notes and bills re-discounted...
Bills payable
Total.

18 7
MARCH 24.

JUNE 9.

OCTOBER 8.

1,615 banks.

Surplus fund
Undivided profits

95,067, 892 83
23,849,371 62

o.

JANUARY 22.

Capital stock

$426, 399, 151 00

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

DECEMBER 28.
1,648 banks.
$435, 356, 004 00

90,174,281 14
34,3(10,430 80

90,229,954 59
43, L09, 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 bank 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 (JO

1,483,416 15

Dividends unpaid.. - -

2, 299, 296 27

1, 5L7, 595 18

2,462,591 31

2, 242, 556 49

Individual deposits
546.236,881 57 516, 058,085 26 542,261,503 18
6, 750, 139 19
U. S. deposits
6.424,421 25
10, 677, 873 92
2, 592, <-01 21
Dep'ts U.S. dis.offic'rs
4, 778,225 93
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

Due to national banks
Due to Sttt.te banks .
Notes re-discounted . . .
Bills payable
Total

108,351,300 33
28,904,849 14

109,667,715 95
29, 7G7, 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 83

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

I S ? 1.
MARCH 18.

JUNE 10.

OCTOBER 2.

1,688 banks.
Capital stock

APRIL 29.
1,707 banks.

1,723 banks.

1,767 banks.

$444,232,771 00 $446, 925, 493 00 $450,330,841 00 $458,255, 696 00

DECEMBER 16.
1,790 banks.
$460, 225,866 00

96,862,081 66
43,883,857 64

97, 620, 099 28
44,776,030 7L

98, 322, 203 80
45, 535, 227 79

101,112,671 91
42, 008, 714 38

101,573, 153 C)2
48, (530, 925 81

Nat'l bank circulation. 301,713,460 00
State bank circulation.
2,035,800 00

306, 131,393 00
1, 982, 580 00

307, 793, 880 00
1, 968, 058 00

315,519, 117 00
1,921,056 00

318, 205,481 00
1, 886, 538 00

4, 540,1!J4 61

1, 393, 427 98

Surplus fund
Undivided profits

1,263, 707 70

2,235, 248 46

1, 408, 628 25

561,190,830 41
[ndividual deposits
6,314,957 81
U.S. deposits....
4, 813, 0i(> 66
Dep't* U. S. dis. offie'i-h

611,025, 174 10
6,521,572 92
3, 757, 873 84

602,110,758 16
6, 2(55, 167 94
4, 893, 907 25

fiOO, 868, 486 55 51)6, 586, 487 54
14,829,525 65
20,511,935 98
5,399,108 34
5, 393, 598 89

Due to national banks. 118,904,865 84
37,311,519 13
Due to Stale banks

128, 037, 469 17
36,113, 290 67

135, 167,847 69
41, 219, 8u2 96

131,730.713 04
40,211,971 67

118,657,614 16
38,116, 950 67

3, 256, 806 42
5 °48 206 01

3, 573, 723 02
5 740 964 77

3,120,039 09
5,278 !>?;? V-i

3,961,552 57
4 52* 191 12

4, 922, 455 78
5, 374, 3b"2 67

Dividends unpaid

Notes re-discounted . . .
Bills payable
Total




1,627,032,030 28 1,694,440,912 94

1,703,415,335 05 1,730,566,89!) 72 1,715, 801,897 22

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Aggregate resources and liabilities of the National
18 7 2 .
FEBRUARY 27.

APRIL 19.

JUNE 10.

OCTOBER 3.

DECEMBER 27.

1,814 banks.

1,843 banks.

1,853 banks.

1,919 banks.

1,940 banks.

Resources.
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 C
O 374,428,450 00 377, 029, 700 00 382, 046, 400 00 384, 458, 500 00 i
16, 304, 750 00
15,479, 750 00
15,409, 950 00
15,169, 000 00
Bonds for deposits
15,870,000 00
10,306,100 00
12, 142, 550 00
16,458,250 00
19, 292,100 00
U. S.bonds on hand . . 21,323,150 00
23,160, 557 29
23,533, 151 73
22,270, 610 47
21,538,914 06
Other stocks and b'ds. 22, 838, 338 80
86, 401, 459 44
80,717,071 30
91,564,269 53
82,120, 017 24
Due from red'g agents 89, 548, 329 93
42,707,613 54
34,486, 593 87
39, 468, 323 39
36,697,592 81
Due from nat'l banks . 38, 282, 905 86
12,008,843 54
12, 976,878 01
13,014,265 26
12,299,716 94
Due from State banks 12, 269, 822 68
33, 014, 796 83
32,276,498 17
31, 123,843 21
30,809,274 98
Real estate, &c
30,637, 676 75
8, 454, 803 97
6,310,428 79
6,719,794 90
7,026,041 23
Current expenses
6,265,655 13
7, 097, 847 86
6,546,848 52
6,616,174 75
6, 544,279 29
Premiums paid
6,308,821 86
13, 696,723 85
14,916,784 34
13,458, 753 80
12,461, 171 40
Cash items
12,143, 403 12
90,145,482 72
88,592,8'J0 16 110,086,315 37
Clearing-house exch'gs 93,154,319 74 114, 195,966 36
19, 070, 322 00
15, 787,296 00
16, 253, 560 00
18, 492, 832 00
National bank notes . . 15, 552, 087 00
2,270,576 32
2,151, 747 88
2,069,464 12
2,143,249 29
Fractional currency . .
2,278,143 24
19,047,336 45
10,229, 750 79
24,256,644 14
24, 433, 899 46
Specie
25, 507,825 32
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, C O 00 12, 650,000 00
O
U. S. cert'fs of deposit.
4,185, C O 00
O
7,140, 000 00
Three per cent, cert'fs. 18,980, 000 00
12, 005, C00 00
15, 365, 000 00
Total

1,719,415,657 34 1,743,052,213 55 1,770,837,269 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 banks.

1,976 banks.

Loans and discounts.. $913,265,189 67 $912,064,267 31 $925, 557, 682 42 $944,220,116 34 $856,816,555 05
Bonds for circulation . 384, 675, 050 00 386, 763, 8AH) 00 388, 080, 300 00 388, 330, 400 00 389, 384, 400 00
14,815,200 00
16, 235, 000 00
15,935,00!) 00
14, 805, 000 00
Bonds for deposits.... 15. 035, 000 00
H, 630, 850 C
O
9,613.550 00
9, 789, 400 00
8, 824, 850 C
O
U. S.bonds on hand .. 10, 436, 950 00
24,358, 125 06 \
22,449, 346 04
22,912,415 63
23,709,031 53
Other stocks and b'ds. 2-~\ 093, 306 20
95,77:5,077 10
73, 032, 046 87
88,815,557 80
97, 143, 326 94
96, 134, 120 66
Due from red'g agents
39, 483, 700 09
40, 404, 757 97
38, 671, (-88 63
43, 328, 792 29
41,413,680 06
Due from nat'l banks
13,595,679 17
11, 185.253 0 !
&
12, 883, 353 37
14, 073, 287 77
12,023,873 41
Due from State banks
34, 023, 057 77
35, 556, 746 48
34,216,878 07
34, 820, 562 77
34,661,823 21
Real estate, &c.
6,977,831 35
8,678, 170 39
7,410,015 K7
7, 154,211 69
6, 985, 436 99
Current expenses
7, 205, 259 67
7,987,7.)7 14
7, 559, 987 67
7,890.962 14
7, 752, 843 87
Premiums paid
11,761,711 50
12, 3 n , 972 80
11,425,2 9 00
13,036,482 58
11,433,913 22
Cash items
62,881,342 i6
94, 132, 125 24
91,918,526 59
88, 926, 003 53
Clearing-house exch'gs 131,383,860 95
21,403,179 00
19,310,202 00
20, 394, 772 00
16, 103, 842 00
National bank notes . . 15, 998, 779 00
2,289,680 21
2,287,454 03
2, 198,973 37
2,197,559 84
2, 3fi2, 775 26
Fractional currency . .
17, 777, 673 53
26,907,037 58
16, 868, 808 74
27, 950, 086 72
19, 868, 469 45
Specie
97,141,909 00 100, 605, 287 00 106,381,491 00
92, 522, 663 00 108,719,506 00
Legal tender notes
24,010,000 00
18, 370, 000 00
22,365,000 00
20, 610, 000 00
U. S. cert'fs of deposit. 18, 460, 000 00
1,805,000 00
710. C O 00
O
3io, 000 00
Three per cent, cert'fs.

Total

1,839,152,715 21 1,800,303,280 11 1,851,234,860 33 1,830,627,845 53 1,729,380,303 61

18 7 4.
FEBRUARY 27.
1,975 banks.

MAY

1.

1,978 b a n k s .

UXE

26.

1,983 banks.

OCTOBER 2.

DECEMBER 31.

2,004 banks.

2,027 bunks.

Loans and discounts.. $897, 859, 600 46 $923, 317.030 79 $026, 195, 071. 70 $954, 394, 791 59 $955, 862, 580 51
Bonds for circulation . 389, 014,70) 0:i 389, 249, 100 00 390,281, 700 (JO 383,254, 800 0 0 382, 976, 200 00
14, 890, 200 0 0
14,691,700 00
14,7i4,0()0 00
14, 890, 200 00
14, 6U0, 200 00
Bonds for deposits
10. L5J, 0 0 0 00
043, 400 00
10, 456, 900 00
13,313,550 00
15,290,300 00
U. S. bonds on hand . .
25, 460, 460 20
27,010, 727 48
27, 807, 826 92
38,3)3,473 12
Other stocks and b'ds. 25, 305, 736 24
94, l)!7, 603 31
97,871, 517 06
83, 885, 126 94
80, 488, 831 45
Due from res've ag'ts 101, 502,861 58
45, 770, 715 59
39, 695, 309 47
48,100, 842 62
Due from nat'l banks - 36 C24.OO1 39
41, 291, 015 24
12, 374, 391 28
12, 469, 592 33
11,196,611 73
11,655,573 07
Due from State banks- H i 496,711 47
36 04:: 741 50
36 7 0 8 066 39
37 270, F76 51
38 112 926 <v>
39 190 683 04
Real estate &c
7, 547, 203 05
7,550,125 20
7, 658. 733 82
5, 510, 566 47
Current expenses
6, I)!).-*' 875 75
680, 370 81
8. 563, 262 27
8, 376, 659 07
8,626, 112 16
8, 741,028 77
Premiums paid
r
(JO!) 71
10 o«() 053 l )
11
10 496 '»"7 0 0
1° ''96 416 77
14 005 ^17 33
63. 896, 271 31
94 877, 796 52
97, 383, 687 11 112,995,317 55
Clearing-house exch'gs 62 763,1 i 9 19
20, 673, 452 00
23, 527, 991 0 0
18, 450, 013 00
22,532,336 00
National bank notes . . 20, 0^3,25! 00
• j 187, 186 69
2 3(9.919 73
2, 281. 898 92
2, 221,943 12
2, 392, 66S 74
Fractional currency . .
33 3G.">,863 o«
32 5W 969 •'6
92. 326, 2i '7 '.>7
21,240,945 23
22,436 761 04
Specie
80,021,946 00
82, 604, 791 00
Legal tender notes.... 102 717,565 0 0 101 692, 9 3 0 (i0 103, 108, 350 00
40 135 0 0 0 0 0
47, 780, 000 0 0
42, 825, 000 00
33, 670, 000 00
U.S. cert'fs of deposit. 37 235, 000 0 0
91, 250 00
20, 349, 950 15
21, 043, 084 36
Dep. with U.S. Treas.

u,

Total




1,808,500,529 16 1,867,802 796 28 1,851,840,913 64 1,877 180,942 44 1,902,409,638 46

REPORT OF THE COMPTROLLER OF THE CURRENCY.

9

Banks from October, 1863, to October, 1877—Continued.
1 § 72.
FEBRUARY 27.

Liabilities.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation
State bank circulation
Dividends unpaid

1,814 b a n k s .

JUNE 10.
1,843 b a n k s .

1.853 banks.

OCTOBER 3. I DECEMBER 27.
1,919 b a n k s .

$464,081,744 CO $467, 924, 318 00 $470, 543, 301 00 ;$479, 629,171 00

1,940 b a n k s .
$482, 606, 252 00

103, 787, 082 62
43, 310, 344 46

104,312,525 81
46, 428, 590 90

105, 181,943 28 110,257,516 45
50,231,298 32 46, ()2i, 784 50

321, 634, 675 00
1, 830,563 00

325, 305, 752 00
1,763, 885 0:)

327, 092, 752 00 333 495. 027 00 336, 289, 285 00
1,700,935 00
1, 567J 143 00
1,511,396 00

111,410,248 98
56,762,411 89

1, 454, 044 06 ! 3,149, 749 61

1, 451, 746 29

1,561,914 45

Individual deposits... 593,645,666 16
7,114, 893 47
U. S. deposits
Dep'ts U. S.dis. officers 5, 024, 699 44

620, 775, 265 78
6, 355, 722 95
3,416,371 10

618,801,619 49 ! 613, 290, 671 45 598,114,679 26
6,993,014 77' 7,653,772 41
7,863,894 93
5,463,953 48
4,563,833 79
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 02 110,047,347 67
39, 878, 82G 42 33, 789, 083 82

Notes re-discounted . . .
Bills payable
Total

3, 818, 686 91
6,062,896 11

4, 745, 178 22
5, 942, 479 34

4, 225, 622 04
5,821,551 76

5, 549, 431 88
6, 040, 562 66

1,356,934 48

124,218,392 83
34, 794, 963 37
6, 545, 059 78
6,946,416 17

1,719,415,657 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.

Surplus fund
Undivided profits

JUNE 13.

SEPTEMBER 12.

1,947 banks.

Capital stock

APRIL 25.
1,962 banks.

1,968 banks.

1,976 b a n k s .

$484, 551, 811 00 $487,891,251 00 $490,109,801 00 $491, 072, 616 00

DECEMBER 26.

1,976 banks.
$490,266,611 00

114,681,048 73
48,578,045 28

115, 805, 574 57
52, 415, 348 46

116,847,454 62
55,306,154 69

120,314, 499 20
54, 515,131 76

120, 961,267 91
58,375,169 43

Nat'l bank circulation. 336,292, 459 00
State bank circulation.
1,368,271 00

338,163, 864 00
1, 280,208 00

338,788,504 00
1,224,470 00

339, 081,799 00
1,188,853 00

341,320,256 00
1,130,585 00

Dividends unpaid

1,269, 474 74

1,465, 993 60

1, 462,336 77

1,400,491 90

1,402,547 89

Individual deposits
656,187,551 61
7, 044, 848 34
U.S. deposits
Dep'tsU. S. dis. officers 5, 835, 696 60

616,848, 358 25
7, 680, 057 73
4,425,750 14

641,121,775 27
8,691,001 95
6,416,275 x0

622, 685,563 29
7,829,327 73
8, 098,560 13

540,510, 602 78
7, 680,375 26
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

133,672, 732 94
39,298,148 14

114, 996, 666 54
36,598,076 29

5, 403, 043 38
7, 059,128 39

5, 515,900 67
7, 215,157 04

5,987,512 36
5, 480,554 09

.3, 811,487 89
7,754,137 41

1,839,152,715 21 1,800,303,280 11 1,851,234,860 38 1,830,627,845 53

1,729,380,303 61

Notes re-discounted...
Bills payable
Total

5,117,810 50
5, 672, 532 75

1 8 7 I.
FEBRUARY 27.

JUNE 26.

OCTOBER 2.

1,975 banks.

Capital stock

MAY 1.

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
Surplus fund
Other undivided profits 50, 236, 919 88

125,561,081 23
54, 331, 713 13

126, 239, 308 41
58, 332, 905 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 bunk circulation1, 078, 988 00

340,267, 649 00
1,049,286 00

338, 538,743 00
1, 009, 021 00

333, 225, 298 00
964.567 00

331,193,159 00
860,417 00

Dividends unpaid.....

1,291,055 63

2, 259,129 91

1, 242, 474 81

3, 516,276 99

6, 088,845 01

[iidividual 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 65
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

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, 305, 652 97
5, 398, 90J 83

Notes re-discounted. ..
Bills payable
Total




3, 448, 828 92
4, 275, dO2 5L
1,808,500,529 l o

1,867,802,796 28 1,851 ,840,913 64 1,877,180,942 44 1, 902, 4d9, 638 46

10

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Aggregate resources and liabilities of the National
1 § 7 5.
MAKC

Resources.

H

2,029 banks.

Loans and discounts.. $956, 485, 939
Bonds for circulation . 380, 682. 6 5 i »
Bonds for deposits.... 14, 492, 2 ! •<)
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'gs 81, 127, 796
Bills of other banks... 18, 909. 397
3, 008, 592
Fractional currency ..
16, 6(i7, 106
Specie
Legal tender notes . . . 78, 508, 170
37, 200, 000
U. S. cert'fs of deposit
Due from U. S. Treas . 21,007, 919
Total

JUNE 30.

OCTOBER I.

DECEMBER 17.

2,076 banks.

2,088 banks.

2,086 banks.

MAY 1.

1.

2.046 bank

35 $971, 835, 298 74 $972, 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
14, 097, 200 00
13,981,500 00
00
14,297,650 00
12.753,000 00
13, 989, 950 00
16,009,550 00
33, 505, 045 15
31,657.960 52
69
32,010.316 18
29, 102, 197 10
80, 620, 878 75
89, 788, 903 73
85,701,259 82
81,462,682 27
34
1 I
46, 039 597 57
48,513,388 86
47, 028, 769 18
44,831,891 48
97
12,044, 086 39
11. 625, 647 15
11, 963, 768 90
11,895,551 08
42, 366, 647 65
41,58 3,311 94
40,312,285 99
40, 969, 020 49
12
86
7, 706, 700 42
4, 992. 044 34
7,841,213 05
9, 218, 455 47
92
8, 434, 453 14
8. 742, 393 83
8, 670, 091 18
9, 442, 801 54
42
13, 122, 145 88
12,433, 100 43
12, 758, 872 03
11,238,720 72
88, 924, 025 93
75, 142, 863 45
67, 886, 967 04
116.970,819 05
39
00
19,504,640 00
24,261,961 00
18, 528, 837 00
17, 166, 190 00
2, 702, 326 44
2, 620, 504 26
2, 595, 631 78
2, 901, 023 10
12
17
10, 620, 361 64
18, 959, 582 30
8, 050, 329 73
17,070,905 90
76, 458, 734 00
70, 725, 077 00
87, 492, 895 00
00
84,015,928 00
00
48,810,000 00
31, 005, 000 00
38,615, (100 00
47,310,000 00
76
19,640,785 52
19, 686, 960 30
19,202,256 68
2i, 454, 422 29

1,869,819 753 22 1,909,847,891 40

18

,913,239,201 16 1,882,209,307 62 1,823.469,752 44

7 6 .
OCTOBER 2.

MAY 12

Resources.

I 2,091 banks.

; 2,089 banks.

| 2.091 banks,

530
Loans and discounts.. $950, 205,555 62 $939, 895, 085 34 l$933, 686,
Bonds for circulation .j 354, 547, 750 00 344,537,350 C
O 339, 141,750
14,328, 000
Bonds for deposits.
j
2:6, 300 00 i 14, 12*, 000 00
30, 842, 300
U. S. bonds on hand . . \
, 910. 650 00 I 26,577,00.1 00
32, 482, 805
30. 905, 195 82
O
Other stocks and b'ds jj 30, 425.430 43
87, 989, 900
86, 769, • 8-i 97
Due from res've ag'ts.j 99. 068, 360 35
47. 417, 029
341,542 67 | 44, 328, 609 46
Due from nat'l banks. I 42,
10,989, 507
Dne from State banks. | 11, 180,562 15 ; 11, 262. 193 96
42, 722, 415
Real estate, &c
j 41, 937, 617 25 i 42, 183, 958 78
5, 025.549
(^820, 573 35
Current expenses
j 8, 296, 207 85 !
10,621, 634
Premiums paid
10, 946,713 15 i 10,414,347 28
11,724, 592
Cash items
9, 517, 8ti8 Hfi • 9, 693, 186 37
75, 328, 878
Clearing-house exch'gs! 58, 8«3, !82 43 ' 50. 8(. ifi, 632 63
20, 398, 422
Bills of other b a n k s . . . | 18, 536, 502 00 ; 20,347,964 00
1,987, 897
215. 594 3')
2,771,886 26
Fractional currency . .
3,
25, 218, 469
21,714,594 3t)
Specie
29, 077, 345 8~)
76^, 446 O'l
79, 858, 66 L 00 90 V'Mi^76
Legal tender notes
| 76,
27, 955,000
2?' 3K>, 000 00
U. S. curt'fs of deposit i 30, 805, 00O 00
17,063, 407
Ifi, 9 ! l , < ) 8 0 2 0
Due from U. S. Treas. j 18, 479, 112 79
Total

j 2,089 banks.

45 I $ 9 3 1 , 304,714
00 ! 337, 170, 400
00
14, 698, 000
00
33, 142, 150
75 ! 34! 445, 157
90 ! 87, 326, 950
03 47, 525, 089
95 I 12- 061,283
27 i 4 3 , 121,942
38 I 6, 987. 644
03 I ] 0 , 715,251
67 12. 043, 139
84 87, 870,817
0M
910,315
44
4) 7, 203
92 I 91 360, 767
00
25i), 847
00
i70,000
65 16, 743, 695

i '?;

1,834,309,941 70 ' 1.793,306,002 78 j 1,825,760,967 28 j 1,827,265,367 61 1,787,407,093 76

2,073 banks.
Loans and discounts
Bonds for circulation
Bonds for deposit
U. S. boi ds on hand
Other stocks and bonds
Due from reserve agents
D u e from national banks
D u e from Slate banks
Real estate, <fcc
Current expenses
Premiums paid
Cast) iti-ms
Clearing-house exchanges
Bills of other banks
Fractional currency
Specie
Legal tender notes
,
U. S. certificates of deposit . . .
Due from U. S. Treasurer




2,082 banks.

06 $929, 066, 408 42
00 336, 705, 300 00
14,757, 000 00
00
31,937, 950 00
0!)
31,5()5. 914 50
16
83, 789, 174 65
48
44, Oil, 6ri4 97
98
12, 415, 841 97
08
43, 498, 445 49
01
9,818, 422 88
46
10,811, 300 66
16
10, 658, 709 26
68
68, 027, 016 40
06
17,521, 663 00
00
1, 146, 741 94
66
32, 999, 647 89
42
66, 221, 400 00
00
26, 095, 000 00
00
16, 359, 491 73
40

Resources.

Total

DECEMBER 22.

$9-:0,56!,O:8 65
337, f.!-) , 700 00
14, 7*2, 1 00 00
31. 9~*. 650 00
31,8.9, 9:50 20
<V8, 0!!8, ;j()!S 85
44, 814. til6 88
13. <iH->, 990 81
4< 7 1. 335 47
4, 131. 5!b" 48
10. 99 i, 714 50
10,295.4 4 19
8 1 . 117, r-89 04
18, 4i8. 727 00
!, 238, 228 08
49, 7o!>'2 7 f>5
72. t'89. 7:0 00
25. 471). COO C
O
i(). 4J!.5n«) (16
.j 1.818,171,517 68

$911, 946,
339. 658,
15, 084,
32. 964.
32, 554,
84. !'42,
42, 02/.
1 !.
44,

!

833 88
iOO 00
000 00
250 00
5i»4 44
71 8 41
778 81.
437 36
549 09
•>9t> 86
505 12
62* 87
422 74
•'>93 00
820 09
(.•37 78

, 000 00
,040 84

2,078 banks.
$901, 731, 416 03
337,754, 100 00
14,971,000 00
32, 344. 050 00
35, 653, 755 29
82, i 32, 099 96
44, 567. 303 63
11, 246, 349 79 !
44.818, 722 07
7, 910, 864 84
10,320, 674 34
10, 099, 988 46
57. 861.481 13
20, 182, 948 00
1,055, 123 61
21, 335, 996 06
78, 004, 3#> 00
44, 430, 000 00
17,932,574 60

1, 796, oV3, 275 29 j 1,774,352,832 81

REPORT OF THE COMPTROLLER OF THE CURRENCY.

11

Banks from October, 1863, to October, 1377—Continued.
18

7 5.

MARCH 1.

JUNE 30.

OCTOBER].

| DECEMBER 17.

2,029 banks.

Liabilities.

MAY 1.

2,C46 banks.

2,076 banks.

2,088 banks,

j 2,086 b a n k s .

496.272,901 00 $498, 717, 143 00 $501, 568, 563 50 $504, 829, 769 00 i $505, 485, 865 00

Capital stock . .

131, 249, 079 47
Surplus fund
51, 650, 243 62
Undivided profits
Nat'l bank circulation. 324, 525, 349 00
State bank circulation
824, 876 00
Dividends unpaid

|

1, 601, 255 48

131,604,608 66 133,169,094 79
55, 907, 619 95 ! 52,160, 104 68
I
323, 321, 230 00 i 318,148,406 00
786,844 00
815,229 00 I
I
6, 105, 519 34
2, 501, 742 39

134, 356, 076 41 !
52, 964, 953 50 ;

133, 085, 422 30
59, 204, 957 81

318, 350, 379 00
772, 348 00 \

314, 979, 451 00
752, 722 00

4, 003, 534 90

1, 353, 396 80

647, 735, 879 69
Individual deposits
7,971,932 75
United States deposits.
5,330,414 16
Dep'tsU. S. dis. officer*

695, 347, 677 70
6, 797, 972 00
2,766,387 41

686, 478, 630 48
6,714,328 70
3,459,061 80

618,517,245 74
664,579,619 3
6,507,531 59 i 6, 652, 556 67
4,271, 195 19 j 4, 232, 550 87

Due to national banks. 137,735,121 44
Due to State banks ... 55, 294, 663 84

127,280,034 02
53, 037, 582 89

138, 914, 828 39
55, 714, 055 18

129,810,681 60 ! 119,843,665 44
49, 918, 530 95 i 47, 048,174 56

4, 841, 600 20
4, 786, 436 57

5,671,031 44
6, 079, 632 94

4,261,464 45
5, 758, 299 85

5, 254, 453 66 ! 5, 257,160 61
6, 590, 234 43 j 7, 056, 583 64

Notes re-discounted...
Bills payable
Total

|1,869,819,753 22 1,909,847,891 40 1,913,239,201 16 1,882,209,307 62 1,823,469,752 44

MARCH 10.

Liabilities.

MAY 12.

OCTOBER 2.

JUNE 30.

DKCEMBER 22.

I 2,089 b a n k s .
2,082 banks.
|
$500, 982, 006 00 $500, 393, 796 00 ! $499, 802, 232 00 $497, 482, 016 00
$504, 818, 666 00
2,091 banks.

133,091,739 50
51,177,031 26

Capital stock
Surplus fund
Undivided profits

2,089 b a n k s .

131,795, 199 94
49, 039, 278 75

2,091 b a n k s .

131,897, 197 21 ! 132,202,282 00
46,609,341 51 ! 46, 445, 21") 59
!
294, 444, 678 00 j 291, 544, 020 00 j
658, 938 00
62$,, 847 00

Nat'l bank circulation. 307,476,155 00 300, 252, 085 00
State bank circulation
714,539 00
667, 060 00
Dividends unpaid

1, 405, 829 06

2,325,523 51 I

6,116,679 30

3, 848, 705 64 |
i

131,390,664 67
52, 327, 715 08
292,011,575 00
608, 548 00
1, 286, 540 28

Individual deposits
620,674,211 05
6, 606, 394 90
United States deposits.
Dep'ts U. S. dia. officers 4,313,915 45

612, 355, 096 59
8,493,878 18
2, 505, 273 30

641,432,886 08
7, (567, 722 97
3. 392, 939 48

651,385,210 19
7,256,801 42
3,746,781 58

619,350,22.106
6, 727, 155 14
4, 749, 615 39

Due to national banks. 139, 407, 880 06
Due to State banks . . . 54, 002,131 54

127, 880, 045 04
46, 706, 969 52

131,702, 164 87
51, 403, 995 59

131,535,969 04
48,250,111 63

122, 351, 818 09
48, 685, 392 14

4, 653, 460 08
5, 650,126 87

3, 867, 622 24
6, 173,006 03

4, 464, 407 31
6,154, 784 21

4, 553,158 76
5, 882, 672 15

j

Notes re-discounted. ..i
Bills payable
Total.

4, 631, 882 57
6, 049, 566 31

1,834,369,941 70 1,793,306,002 78 |l,825,760,967 28 1,827,265,367 61 1,787,407,093 76

18

7 7.

JANUARY 20.

Liabilities.
Capital stock

APRIL 14.

2,083 banks.

2,073 bank-.

I

JUNE 22.
2,078 batiks.

OCTOBER 1.
j

2,080 banks.

$493,634,611 00

$489, 684, 645 00

$461, 044, 771 00 j

$479, 467, 771 00

Surplus fund
Undivided profits

130,224, 169 02
37, 456, 530 32

127,793, 320 5-2
45, 609, 418 .27

124,714,072 93 i
50,508,351 70 j

122,776, 121 24
44, 572, 678 72

National bank circulation
State bank circulation
Dividends unpaid

292,851,351 00
581,242 00

294, 710, 313 00
535, 963 00

290, 002, 057 00
521,611 00 I

291, 874, 236 00
481,738 00

1,853,974 79

1,398, 101 52 j

3, 623, 703 43

Individual deposits
United States deposits
,
Deposits U. S. disbursing officer!

659, 891. 969 76
7, 234, 696 96
3, 1U8 316 55 S

641,772, 528 08
7, 564, 267 12
3, 076, 878 7U

636, 267, 529 20 j
7,187,431 67 |
3,710, 167 20

616,403,987 12
7, 972, 714 75
2, 376,983 02

Due to national banks
Due to State banks

130, 293, 566 36 •
49, 96C, 770 27 j

125, 422, 444 43
48, 6U4, 820 09

121,443 601 23
48, 352, 583 90

115, 028, 954 38
46, 577, 439 88

4, 000, 063 83 !
6, 483, 320 92 I

3, 985, 459 75
5, 969, 241 94

2, 953, 128 58
6, 249, 426 88

3. 791, 219 47
G, 137,116 83

1,818, 174,517 68 ! 1,796,603,275 29

1,774,352,833 81

Notes re-discounted
Billcj payable
Total .




2, 448, 909 70

1, 741, 084, 663 84

ABSTRACT

REPORTS OF THE CONDITION

THE NATIONAL BANKS
ON
DECEMBER 22, 1876, AND JANUARY 20, APRIL H, JUNE 22, AND OCTOBER 1, 1877.

A r r a n g e d by States, T e r r i t o r i e s , a n d Reserve Cities.

NOTE.—The abstract of each State is exclusive of any reserve city therein.




LIST OF STATUS, TERRITORIES, AND RESERVE CITIES.
STATES AND
States and Territories.

TERRITORIES.

Abstract. ' Reports, j;

'age.

States and Territories.

Page.

Abstract. : Report:

Alabama

32

48 i

Missouri

Page. !
44 !

Arkansas

34

492

Montana

52 '

46

California

48

757

Nebraska

Colorado

50

75 i

New Hainp-hire . .

Connecticut

20

215

New Jersey

16 !

Dakota

54

766

New Mexico

22
•0
5

Delaware

24

437

New York

20 '

District of Columbia . .

26

453

North Carolina . . .

Florida

32

480

Ohio

30
36

Georgia

30

476

Oregon

48 :

Idaho

52

762

Pennsylvania

Illinois

40

606

Rhode Island

22
18

Indiana

38

573

South Carolina . . .

30 :

Iowa

44

695

Tennessee

36 !

Kansas

46

742

Texas

34

Kentucky

34

493

Utah

32

485

Vermont

50 \
16 ;

Virginia

28 !

Louisiana

-

Maine

16

59

Maryland

26

442

West Virginia

28

Massachusetts

18

115

Wisconsin

Michigan

40

654

Wyoming

« !
52

Minnesota

44

Page.

732
763
747
83
336
760
242
467
518
756
359
194
472
509
488
761
99
455
462
681
765

721

RESERVE
Cities.




CITIES.

| Abstract. | Reports.
Page.

Albany . . .
Baltimoie .
Boston
Chicago...
Cincinnati.
Cleveland.
Detroit . . . ,
Louisville .

Cities.

Page.

Abstract. Reports.
Page.

242
26

I

Milwaukee

442

New Orleans . .
New York

18

118

40

613

Philadelphia . .

38

526

Pittsburgh

38

529

S;m Francisco .

42

659

St. Louis

36

498

Washington

NOTE.—For index of towns, *
•

oi volume.

42
32
20
24
24
48
46
28

Page.

689
485
288
398
40^
758
739
453

16

REPORT OF THE COMPTROLLER UF THE CURRENCY.

Abstrjct of reports -since October 2, 1870,
MAINE.
DKCO1ISKR 22. ! JANUARY 20.

Resources.
71 banks.

|—
j
7L banks.

JUNE 22.

APRIL 14.
71 banks.

71 banks.

Loans and discounts.. $14,902. 092 72 $14.C83,8H7 96 $14,267, 100 69
Bonds for circulation .
9, 118,25(1 00
9. 1 18. 250 00 9, 143,250 0 )
Bonds for d e p o s i t s . . . .
420 000 00
420, 000 00
432, 000 00
U. S. bonds on hand . .
186, 700 00
187,250 00
212, 900 00
Other stocks and b'ds.
458, 183 32 '
433,805 52
431,482 72
D u e from res've ng'ts
2, 1 19, 769 69 ! 2,018,857 60 ; 2,023,914 41
Due from nat'l banks
233, 137 28 \
270, 392 34
201,579 96
!
D u e fro m S t a te b an k s
5, 109 94 !
10,516 87
9, (28 38
30 ',075 18 !
Real estate, &c
;
326,336 46
326,836 13
57, 492 95 i
C u r r e n t expenses .
18, 91 7 05
51, 752 20
P r e m i u m s paid
144.468 9! i
133, 852 86
128.996 82
Cash items
...
343,975 75 ;
265,362 94 i
270, !3L 45
Clearing-house exch'gs'
415, 658 00 \
378, 430 00
Bills of other b a n k s . . ;
306,575 C
O
10,231 58 I
16,285 20 ,
Fractional currency . . :
14,256 55
59, 165 06 |
66, 308 34 I
72, 432 29
Specie
510, 194 00 |
462, 486 CO
512,038 00 !
Legal tender notes - . . i
5,0i'() 00 i
5. coo 00
5,000 00
U. S. cert'fs of deposit
429, 546 08 j
412.844 84
418,249 99
D u e from U. S. T r e a s '
Total

45 banks.

Total

66 $14,644,437 61
00 ! 9,340,250 00
00
220, 000 00 i
00 I
190,600
36 j
396, 088
08
1,659, 124
27
241,723
36 j
1,434
25 |
328,991
68
54, 775
8tf ;
115,668
38 I
405,035

312, 685 00 !
11,728 80 ;
72, 194 41 j
454,807 00
5,(00 00
421,314 72

29,719,050 46 i 2 ' , 283, 721 13 \ 28,772,667 44 | 28,705,940 86

NEW

Loans and discounts..
Bonds for circulation .
Bonds for deposits
U.S.bonds on hand . .
Other stocks and b'ds
D u e from res've ag'ts.
D u e from n i t ' i banks
Due from State banks
Real estate, &c
Current expenses
P r e m i u m s paid
Cash items
Clearing-house exch'gs
Bills of othtfr banks . .
Fractional currency . .
Specie
Legal tender notes
U. S. cert'fH of deposit
D u e from U. S. Treat).

$14,437,013
9, 143,250
432, 000
192,650
398, 413
1,717,262
190, 122
1(1,745
321, 115
58, 439
125,287
371, 9 L
L

i

298, 026 00
12, 850 88
56,618 75
463, 902 00
5, 000 00
469, 156 50
28, 9 3, 683 99

HAMPSHIRE.

4 5 ba ,ks.

4 i banks.

$6,719. 228 48
5, 630, 000 00
312, 00 I 00
29, 800 00
408, 866 72
818,929 4 9
28, 9 i 5 99
38, 774 47
217,569 49
55, 756 9L
65 238 on
104, 474 17

$6, 628. 502 12 !
5. 630, 000 00 |
312,000 00
27, 300 CO
410, 8 4 3 2 5
921, 2*2 89
32, 044 32 !
54, ' 6 3 07 !
2L7, 570 49 i
2 3 , 88:-{ 97
62 <){)•) 12
:v>\) 91 i

205, 766 00
7, 1 13 73
20,919 07
180, 090 00

222, 251 oo ;

251,979 12

8, 469 dO i
9 67X 15 i
170, 753 00 :
1
258, 698 56 !

15, 125,451 84

15, 108, 562 85 j

k)

45 banks.

$6, 475.290 2 3
5, 6 )5, 000 00
312,000 00
37, 250 00
465. 574 81
962. 670 08
31,987 66
41297 38
2! 9, 550 0 2
43, 695 3 3
66 424 37
80, 824 13

182,561
7, 166
39, 64H
238, 053

46 banks.

$6, 479. 000 9 2
5, 655, 000 00
312,000 00
71,850 00
483, 286 08
1,061,701 76
23, 065 69
59, 893 04
220, 463 39
50. 020 2 3
67 630
108 571 68

$6,661, 530 58
5, 755, 000 0 0
312,000 0 0
119,200 0 0
465, 601 06
1,099,216 29
49, 672 77
71.980 91
246, 544 86
47, 797 78
71 699
122 760 88

34
00

224, 469 00
6,789 34
33 937 01
157, 141 00

204, 391
7, 107
29 690
175, 640

261, 100 57

266, 125 57

281, 125 57

15 123,094 47

15,280,944 93

15, 720 959 12

CO

55

00
03
48

00

VERMONT.
46 banks.
Loans and discounts.. $11, U)6, 9HU 3 7
7 , 8 5 9 , 000 00
Bonds for circulation.
275. (i<)0 00
Bonds for deposits
374, 550 00
U. S. bonds on hand . .
389, 359 47
Other stocks and b'ds
895 045 93
Due from res've ag'ts.
117,413 75
Due from nat'l banks
518 61
Due from State banks.
308, 997 82
Real estate, &c
48, 133 32
Current expenses
56, 574 4 3
Premiums paid
116,342 88
Cash items
Clearing-house exch'gs
139, 567 00
Bills of other banks . .
8, 945 0 5
Fractional currency . 24,818 46
Specie
3L4, 961 00
Legal tender notes....
U. S. cert'fs of deposit.
343, 137 75
Due froinU. S. Treas
Total




22, 379, 928 v84

46 banks.

46 banks.
$L 0,891,420
7, 879, 000
275, 000
363, 55!)
397, 626
1,068,568
108, 571

61
00
00
CO

47
96

77

519 15
308, 767 43
8,811 3 3

46 b a n k s .

46 bankg. '

$10,916, 097 03
7, 799, 000 00
250, 000 00
382, 750 00
456, 054 47
910, 246 70
101,042 71

$11,223,027 55
7, 804, 000 00
250, 000 00
180,450 00
467, 054 47
870,691 73
97,819 29
94 75
300, 330 99
37,200 60
51,617 25
85 010 24

$11,212,488 78
7, 939, 000 00
200, C O 00
O
198,350 00
478, 537 50
999,531 25
81,600 13
40 00
308, 682 48
29,536 54
52, 662 76
95, 195 32

61 0 5
08

49, 404 08
123,381 87

295, 697
29,431
51,623
103,328

00
35
00
00

138, 944
6, 992
28, 275
319,409

165, 962
10, 075
44,971
311,013

86
CO
37

00
54
99
00

134, 773 00
6, 310 47
27 705 21
331,041 00

134,048 00 I
7,339 68
26, 882 57
332, 109 00

342;118 08

344, 672 86

351, 18L 50

343, 707 87

20*348,791 70

22, 133, 626 66

22, 218, 308 05

22,439,711 88

REPORT OF THE COMPTROLLER OF THE CURRENCY.

17

arranged by States and reserve cities.
MAINE.
DECEMBER 22.

JANUARY 20.

APRIL 14.

JUNE 22.

71 banks.

71 banks.

71 banks.

71 banks.

$10, 660, 000 00

$10, 660, 000 00

$10, 660, 000 00

$10, 660, 000 00

$10, 660, 000 00

2, 398, 531 02
1, 570, 078 77

2, 395, 618 83
1,206,795 41

2, 354, 292 51
1, 340,230 48

2, 353, 500 46
1, 497, 329 37

2, 364, 955 09
1, 303, 038 06

7, 777,120 00
4, 462 00

7,815,847 00
4,462 00

7, 858, 786 00
4, 462 00

7,805,931 00
4, 462 00

7, 885, 225 00
3,397 00

OCTOBER 1.

Liabilities.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation
Dividends unpaid

71 banks.

43, 635 13

85, 645 53

62, 111 02

42, 057 87

105, 715 14

Individual deposits
U. S. deposits
Dep'ts U. S. dis. officers

6, 528, 079 40
103. 999 67
192,193 36

6,428,001 51
123, 804 45
90, 129 16

5, 821, 302 03
107, 900 55
106, 436 20

5,710,294 25
113,370 57
142, 565 88

6,125, 988 40
95, 775 96
32,204 78

Due to national banksDue to State banks . . .

347, 001 31
26,411 20

390,752 54
34, 90^ 12

370,973 47
69,448 18

309,932 01
38, 061 59

209,604 97
73, 965 95

Notes re-discounted...
Bills payable

66,960 97
577 63

16, 225 00
500 00

27, 360 86
1, 075 00

43, 313 64
500 00

28, 772, 667 44

28, 705, 940 86

28, 903, 683 99

Total

9,9 719,050 46

47, 530 87
231 71
29,283,721 13

NEW

HAMP SHIRE

45 banks.

Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation.
Dividends unpaid

45 banks.

45 banks.

45 banks.

$5, 615, 000 00

$5, 615, 000 00

$5, 640, 000 00

$5, 640, 000 00

$5, 740, 000 00

1, 006, 072 16
605, 688 60

1, 015, 657 20
428, 350 82

1,001,266 75
533,936 57

1,001,516 75
628, 973 50

1, 005, 575 82
564,400 49

4, 936, 227 00
8, 922 00

4, 875, 577 00
8,917 00

4, 923, 730 00
8, 885 00

4, 902, 371 00
8, 879 00

4,985 228 00
8,874 00

46 banks.

18, 565 08

40, 028 86

20, 557 36

Individual deposits
U. S. deposits
Dep'ts U. S. dis. officers

2, 546, 699 25
1116,588 13
85, 057 51

2,812,721 94
116,975 66
40, 117 47

2, 693, 068 93
98,998 07
37, 130 18

Due to national banks.
Due to State banks

139, 779 43
31,026 04

90,466 79
32,123 47

102, 199 03
47,825 73

102, 233 50
18,216 10

129, 704 83
20, 966 33

Notes re- discounted . . .
Bills payable

13,329 79
12, 496 85

13, 329 79
19, 296 85

15, 496 85

8, 672 35
11,200 00

8,672 35
8,697 15

15, 125, 451 84

15, 108, 562 85

15, 123, 094 47

15, 280, 944 93

15, 720, 959 12

Total

18, 889 78
2, 777, 372 58
103, 2*58 90
59,411 47

24, 597 06
3, 047, 653 68
108, 837 39
67, 752 02

VERMO N T .
46 banks.

46 banks.

$8, 568, 700 00

$8, 568, 700 00

$8, 568, 700 00

$8, 568, 700 00

$8, 568, 700 00

Surplus fund
Undivided profits

2, 035, 015 52
740, 517 63

2, 074, 959 21
486, 851 27

2, 083, 993 01
638, 889 52

2,125, 993 01
766, 777 93

2,126, 378 42
624, 362 04

Nat'l bank circulation.
State bank circulation.

6,976,169 00
6, 200 00

6,942,461 00
6, 200 00

6, 884,187 00
6,195 00

6, 755, 492 00
6,195 00

6, 995, 451 00
6,195 00

Capital stock

Dividends unpaid
Individual deposits
U. S. deposits
Dep'ts U. S. dis. officers
Due to national banks.
Due to State banks
Notes re-di,«counted
Bills pavable
Total




46 banks.

46 banks.

6, 767 84

40,108 48

8,307 89

6, 425 89

14,165 19

3, 671,937 24
74, 773 27
68, 996 96

3,897,561 86
86, 513 59
43,468 77

3,587,829 87
53, 694 82
31,823 6S

3, 622,138 79
69, 476 95
43,964 63

3, 768, 797 91
82,981 40
8,983 74

40,383 86
358 35 !

31,292 35
548 06

64,340 84
960 75

65, 380 32
674 48

39, S58 01
82 40

10,309 17
179, 800 00 i

7, 161 67
162,965 44

204,704 28

44,839 05
142,250 00

43, 250 00
160,806 77

22,218,308 05

22,439,711 88

22, 379, 928 84

H. Ex. 3

46 banks.

B

22,348,791 70 j 22,133r 626 66

18

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Abstract of reports since October 2, 1876, arranged
MASSACHUSETTS.
DECEMBER 22.

JANUARY 20.

APRIL 14.

JUNE 22.

OCTOBER 1.

182 banks.

182 banks.

183 banks.

183 banks.

183 banks.

Resources.
Loans and discounts.. $64,584,061 26 $64, 208, 940 75 $63, 460, 128 42 $63, 775, 519 78 $65, 050, 519 29
38, 992, 300 00
Bonds for circulation . 38, 967, 300 00
39, 257, 300 00
39, 482, 300 00
39, 849, 300 00
1, 042, 000 00
Bonds for deposits
1, 042, 000 00
1, 042, 000 00
1,010,000 00
1, 010, 000 00
1, 799, 700 00
U. S. bonds on band . .
1,781,600 00
2,112, 750 00
2, 086,100 00
1, 814, 650 00
2,131,229 03
Other stocks and b'ds.
2,192, 300 74
2, 187,503 49
2, 184,114 23
2,132, 844 50
6,933,019 02
Due from res've ag'ts.
5,601,679 94
7,470,742 11
6,203,377 19
6,626,143 36
627, 782 30
Due from nat'l banks.
575, 577 48
621, 860 32
590, 559 77
693, 707 56
139, 333 73
Due from State banks.
84, 655 68
90,549 U
56, 900 35
103, 368 30
1,917,255 75
Real estate, &c
1, 922, 741 86
3,949,398 02
1, 995, 746 90
2, 026, 715 45
324, 659 85
Current expenses
489,813 15
159,278 92
240,894 59
220, 025 28
805,541 40
Premiums paid
809,190 25
714,996 22
815,543 80
643, 693 54
510, 806 29
Cash items
666, 514 32
578,181 63
670, 026 49
831, 392 55
Clearing-house exch'gs
1, 108,126 00
1, 097, 279 00
Bills of other banks . .
999,241 00
1,098,871 00
1,126, 631 00
86, 164 58
69, 389 40
Fractional currency..
86, 772 27
60,704 33
46, 809 84
580,718 44
396, 503 00
Specie
358, 438 24
352, 922 64
352, 296 54
1,621,653 00
1, 552, 725 00
Legal tender n o t e s . . . .
1,711,150 00
1, 662, 309 00
1, 661, 305 00
295,000 00
310,000 00
U. S. cert'fs of deposit.
365, 000 00
3(10, 000 00
315,000 00
1,960,517 25
1,872,448 43
Due from U. S. Treas .
1, 905, 071 85
1, 960, 223 35
1, 997,163 50
Total

124, 143, 108 04

125, 084, 747 39

CITY
54 banks.

124, 943, 033 07

124,546,113 42

126, 501, 565 71

54 banks.

54 banks.

OF B O S T O N .

54 banks.

54 banks.

Loans and discounts.. $103,599,158 25 $102,258, 750 49 $95,621,342 34 $100,418,393 99. $97,819,426 85
28, 086, 500 00
Bonds for circulation . 26,949, 500 00 27, 374, 500 00
28,181, 500 00 28, 436, 500 00
150, 000 00
150, 000 00
Bonds for deposits
150, 000 00
150, 000 00
150, 000 00
2, 200, 000 00
2, 358, 500 00
U. S. bonds on hand . .
2,419,51)0 00
2, 502, 200 00
2, 058, 200 00
987, 982 35
1,134,218 97
Other stocks and b'ds.
929,259 77
1,157,597 05
1, 083, 499 52
7,763,693 11 10, 252,149 89
Due from res've ag'ts.
7,142, 857 21
7, 809, 427 39
8, 055, 835 38
5, 246, 573 52
5, 956, 357 76
Due from nat'l banks.
4, 544, 572 86
6, 400, 219 19
5, 359,120 76
251, 512 03
280, 431 67
Due from State banks.
217,339 62
176, 242 87
310, 347 88
3,339,916 19
3,500,896 62
Real estate, &c
3, 235, 097 38
3,510,940 24
3,550,675 81
862, 468 80
84, 690 31
Current expenses
688,564 14
337, 809 78
97,463 17
728,112 73
721,774 07
Premiums paid
732, 542 23
721, 459 00
687.184 62
297, 977 76
353, 475 72
Cash items
370, 064 35
346, 663 06
421, 045 45
5, 426, 388 87
6, 531, 785 31
Clearing-house exch'gs
4,976,981 23
4,747,731 21
7, 058, 009 59
1,641,579 00
1, 683, 778 00
Bills of other banks . .
1, 928, 682 00
1, 667, 375 00
1, 099, 340 00
29, 054 06
23, 758 27
Fractional currency . 30,178 48
19,551 30
13, 831 98
5, 724, 792 34
2,770,180 19
Specie
3, 263, 914 80
1,788, 965 59
2,423,021 11
2,679,193 00
3,248,415 00
Legal tender notes
3, 439, 619 00
4,190,258 00
2,950,561 00
1, 635, 000 00
2, 035, 000 00
U. S. cert'fs of deposit.
2, 635, 000 00
2,415,000 00
2, 660, 000 00
1, 478, 675 00
1, 377, 063 95
Due from U. S. Treas .
1, 68J, 296 00
2, 025, 388 00
1, 383, 395 30
Total

168, 942,127 32 I 170, 076,169 25

166,170, 318 07 168,566,721 67

165,617,458 42

RHODE ISLAND.
62 banks.

62 banks.

62 banks.

62 banks.

62 banks.

Loans and discounts.- $27,985, 432 31 $27, 217, 760 21 $26, 766, 020 23 $24,760,921 59 $25, 531, 025 26
14, 288, 900 00
14,138, 900 00 14,138, 900 00 14,283, 900 00
Bonds for circulation. 14,351,900 00
200, 000 00
200, 000 00
150,000 00
150, 000 00
200, 00 } 00
Bonds for deposits
352, 000 00
352, 000 00
378, 000 00
358, 000 00
352, 000 00
U. S. bonds on hand . .
285,263 15
279,413 15
288, 622 65
305, 379 97
285,263 15
Other stocks and b'ds.
2, 348,138 56
2,182, 484 64
2, 528, 331 50
1, 822, 314 41
1,753,754 14
Due from res've ag'ts.
685, 498 05
375, 356 52
426, 606 35
477,061 66
538, 519 78
Due from nat'l banks.
156, 465 83
54, 040 14
104, 812 04
76,934 19
117,391 49
Due from State banks.
661,066 11
665,138 74
667, 809 77
670,361 23
660, 663 91
Real estate, &c
74,634 73
139,747 10
115,861 82
140, 732 69
153, 596 95
Current expenses
85,261 25
85.308 15
73,148 15
76, 579 03
86,181 88
Premiums paid
652,796 39
665, 655 94
734,904 19
885, 255 46
844, 718 37
Cash items
Clearing-house exch'gs
315, 560 00
317,919 00
315, 793 00
254, 408 00
Bills of other banks . .
293, 612 00
29, 245 95
21,319 10
18, 760 33
12, 596 56
Fractional currency . .
26,381 88
91, 984 01
101,509 20
111,310 76
111,485 84
Specie
118,654 15
525, 307 00
449,191 00
572,129 00
582, 572 00
Legal tender notes
539, 570 00
U. S. cert'fs of deposit.
636, 920 00
679, 270 00
637, 745 00
612, 325 54
Due from U. S. Treas .
711,332 00
Total




49, 018, 972 01

48, 663, 973 43 j 47, 497, 513 72

46, 075, 799 23

46, 217, 375 76
i

REPORT OF THE COMPTROLLER OF THE CURRENCY.

19

by States and reserve cities—Continued.
MASSACHUSETTS.
DECEMBER 22.

JANUARY 20.

APRIL 14.

JUNE 22.

OCTOBER 1.

Liabilities.
182 banks
Capital stock

182 banks.

183 banks.

183 banks

$44, 290, 300 00

$44, 247, 000 00

$44, 347, 000 00

$44, 597, 000 00

$44, 347, 000 00

183 banks.

Surplus fund
Undivided profits

13 125, 769 64
4, 245, 967 71

13,183, 739 73
4,114,721 92

13, 249, 517 85
3,410,462 81

13, 346,165 20
4,177,129 83

13, 294, 821 97
3, 142, 818 26

Nat'l bank circulation.
State bank circulation.

33, 690,123 00
9,519 00

33, 741, 375 00
9,519 00

34,070,911 00
9,519 00

33, 813, 328 00
9,516 00

34, 480, 452 00
9, 496 00

Dividends unpaid

118, 106 16

150, 834 67

334, 745 23

117,382 13

878, 803 83

26, 713, 675 91
535, 096 37
26, 454 71

25, 655, 528 96
509, 487 62
11,480 37

27, 968, 069 46
535, 636 47
11,225 42

1,431,088 76
98, 858 94

1, 039, 828 27
146, 653 98

198, 382 03
483, 642 24

241,314 69
537, 832 92

152, 826 13
493, 933 92

124,943,033 07

124, 546,113 42

126, 501, 565 71

Individual deposits
U. S. deposits
Dep'ts U. S. dis. officers

25 989, 253 02
571,292 82
5,878 04

26, 643,175 30
530,319 05
16, 570 51

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

1 338, 350 19
132,124 50

1, 571, 297 98
176,177 11

1,469, 620 91
94, 005 01

Notes re-discounted...
Bills pavable

393,423 96
233, 000 00

306, 676 87
393, 340 25

124 143,108 04

125, 084, 747 39

Total

CITY

OP BOSTON.

54 banks

54 banks.

54 banks.

54 banks

$52, 200, 000 00

$52, 200, 000 00

$52,100,000 00

$52,100, 000 00

$52, 100, 000 00

Surplus fund
Undivided profits

12,656, 670 76
2, 756, 586 99

12, 526, 670 76
3,421,992 39

12,195, 743 47
1,800,741 13

12, 085, 743 47
2, 726, 651 78

11,662,996 46
1, 731, 999 11

Nat'l bank circulation
State bank circulation

22, 602, 504 00

22, 902, 920 00

23, 967,419 00

23, 679,187 00

24, 003, 839 00

Capital stock

Dividends unpaid

54 banks.

58, 345 03

44, 075 03

215, 278 03

55, 288 03

1, 240, 006 28

Individual deposits
U. S. deposits
Dep'ts U. S. dis. officers

54,770,705 31
14, 725 65
22, 106 44

51, 746, 514 64
6, 477 79
18, 609 03

53, 909, 318 91
11,926 31
21,811 16

52, 842, 928 22
14,854 24
14, 302 65

51, 361, 762 81
12,229 72
11,185 93

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

17, 675, 066 74
4, 095, 032 39

18,102, 354 74
3,821,196 12

16, 306, 438 39
4, 062, 660 78

19, 432, 855 30
3,551, 031 15

17, 496, 224 41
4, 896, 711 70

Notes re-discounted . . .
Bills payable

99, 084 01
1, 991, 300 00

80, 358 75
2, 205, 000 00

23, 950 89
1, 555, 000 00

8,879 83
2, 055, 000 00

1,100, 503 00

168, 942, 127 32

170,076,169 25

166,170,318 07

168, 566, 721 67

165,617,458 42

Total

RHODE ISLAND.
62 banks.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation.
Dividends unpaid

62 banks

62 banks.

62 banks.

$20, 579, 800 00

$20, 579, 800 00

$20, 579,800 00

$20, 079, 800 00

$20, 079, 800 00

4, 339,177 98
1, 620,168 73

4, 337, 841 37
1,254, 262 21

4,204,143 42
1, 422, 057 71

3, 656, 585 89
1, 428, 284 81

3, 627, 816 71
1,292,825 65

12, 509, 407 00
20, 006 00

12, 501,151 00
17, 991 00

12, 330, 637 00
10,114 00

12,010, 386 00
9, 555 00

12,262. 843 00
9, 555 00

62 banks.

116,903 62

178, 044 56

154, 612 50

122,436 12

199,714 40

Individual deposits
U. S. deposits
Dep'ts U. S. dis. officers

7, 702, 564 87
72, 646 06
69, 055 13

7,424, 088 11
76, 686 99
56,194 81

6,762,748 21
65, 488 99
24, 896 23

6, 556, 913 33
61, 080 28
31, 696 92

7,183, 593 74
57, 931 20
21, 566 31

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

1, 443, 502 05
535, 740 57

1, 323, 120 30
900, 793 08

1, 036, T05 97
902, 009 69

1, 071, 397 09
1, 042, 663 79

940,566* 96
509,162 79

10, 000 00

5.000 00

5,000 00

5, 000 00

49, 018, 972 01

48, 663, 973 43

47, 497, 513 72

46, 075,799 23

32 000 00
Bills payable
Total




46, 217, 375 76

20

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Abstract of reports since October 2, 1876, arranged
CONNECTICUT.
DECEMBER 22.

JANUARY 20.

82 banks.

82 banks.

APRIL 14.

JUNE 22.

OCTOBER 1.

Resources.
81 banks.

81 banks.

81 banks.

Loans and discounts.. $35, 635, 075 22 $35, 056, 477 40 $33, 834, 408 99 $33, 060, 883 67 $33,003,181 94
19, 451, 000 00
19, 506, 000 00
19, 549, 600 00
19, 480,100 00
Bonds for circulation. 19, 461, 000 00
270, 000 00
270, 000 00
270, 000 00
270,000 00
270, 000 00
Bonds for deposits
819,500 00
874, 200 00
1,162, 050 00
1, 323, 400 00
1, 455, 600 00
U. S. bonds on hand . .
1,193, 13L 56
1,189,859 01
1, 211, 590 38
1,211,243 60
1,348,809 23
Other stocks and b'ds.
4,241,497 94
5,189, 175 43
5, 620, 532 53
5,217,487 44
3,061,623 72
Due from res've ag'ts .
1,317,765 16
2,204,084 62
2, 088, 916 90
1,272,272 61
1,972,447 14
Due from nat'l banks.
178, 248 73
223,144 2L
260, 935 32
193, 031 43
180,149 65
Due from State banks.
1,399,141 66
1, 402,146 21
1,419,043 05
1,361,931 80
1,389,544 93
Real estate, &c
275,479 52
81,340 33
259, 426 73
254,678 73
271,039 61
Current expenses
261,935 98
271, 625 43
290, 092 57
299,059 72
288, 352 59
Premiums paid
516, 573 35
629,149 15
709, 572 37
825, 093 82
737, 482 88
Cash items '.
Clearing-house exch'gs
900,165 00
658, 780 00
644, 323 00
657,131 00
601,848 00
Bills of other b a n k s . . .
31, 285 96
48,140 27
34,160 63
26, 578 44
42,591 99
Fractional currency..
170,267 39
184,339 31
165,761 24
163,441 32
178, 338 32
Specie
1,158, 531 00
1, 312,190 00
1,203, 280 00
J, 284, 928 00
1, 239, 517 00
Legal tender notes . . .
95, 000 00
95, 000 00
100,000 00
95, 000 00
60,000 00
U. S. cert'fs of deposit.
878,290 34
906, 678 54
908, 741 89
919, 141 67
902, 714 52
Due from U. S. Treas .
Total

69, 926, 905 19

68, 649, 641 95

NEW

69, 570, 666 2 >

68,270,341 63

66,391,744 12

YORK.
226 banks.

227 bank*

227 banks

Loans and discounts.. $67, 408, 293 73 $66, 041,136 42
Bonds for circulation.. 29, 248, 800 00
29, 253, 800 00
1, 095, 500 00
1,095,500 00
Bonds for deposits
U. S. bonds on hand . .
2, 238, 600 00
2, 278, 000 00
Other stocks and b'ds.
3, 013, 086 29
3, 134^810 32
Due from res've ag'ts .
7, 536, 284 97
9, 804, 959 50
1, 409, 593 19
1,588,311 17
Due from nat'l banks.
Due from State banks.
637, 792 26
702, 462 40
Real estate, &c
2, 932, 530 15
2, 959, 77 L 03
Current expenses
688, 671 69
277, 175 40
Premiums paid
573, 799 96
567, 347 97
Ca^h items
1,223,321 37
1, 239, 736 41
Cleariug-hou.se exch'gs
968,116 00
1, 067, 922 00
Bills of other b a n k s . . .
104, 090 99
Fractional currency . .
101,551 83
Specie . . . . . . . . . . . .
349,331 13
431,815 60
3, 520, 068 00
3, 350, 432 00
Legal tender notes
440, 000 00
430, 000 00
U. S. cert'fs of deposit.
1, 322, 428 78
1,354,821 14
Due from U. S. Treas.

$65,176, 338 36
29, 304, 850 00
1,095,500 00
2, 474,150 00
3, 030,139 27
9, 657, 966 02
1, 887, 429 98
742, 939 73
2, 999, 670 56
600, 322 45
580, 273 34
1,149, 295 21

$64,731,111 30
29, 209, 850 00
1, 095, 500 00
2, 525, 050 00
3,131,372 11
7, 900, 562 28
1, 557, 000 65
591,008 41
3, 034, 511 68
693,717 64
587, 484 06
1, 037, 593 21

$62, 930, 366 34
29, 526, 450 00
1, 095, 500 00
2, 628, 450 00
3, 352, 650 25
8, 541,182 18
1,897,634 54
551, 54 L 40
3, 046, 428 42
466, 528 16
545, 248 56
1,251,080 50

125,819,335 99

125, 536, 335 67

226 banks.

Total

124, 570, 525 71

CITY
47 banks.

226 banks.

909. 443
92, 346
432, 326
3, 668, 270
360, 000
1, 377, 055

00
22
17
00
00
36

1,094,018
88, 555
390, 494
3, 540, 899
375, 000
1, 355, 265

00
38
74
00
00
18

122, 938, 993 64
•

825, 894
82, 762
370,239
3, 301, 689
405, 000
1, 382, 880

00
24
12
00
00
34

122,201, 525 05

OF N E W Y O R K .
47, banks.

47 banks.

47 banks.

47 banks.

Loans and discounts.. $177,472,687 55 $177, 633, 876 66 $179, 984, 494 77 $174, 962, 811 43 $169, 271, 284 81
Bonds for circulation . 19, 802, 500 00
20, 102, 500 00
21,486,500 00
20, 235, 500 00
19,058,500 00
775, 000 00
775, 000 00
780, 000 00
775, 000 00
775, 000 00
Bonds for deposits
15,194,950 00
14, 939, 300 00
14, 283, 050 00
11,388,050 00
U. S. bonds on hand . . 14, 789, 400 00
7, 885, 496 77
7,313,359 85
7, 529, 108 69
9, 785, 757 84
9, 218, 525 90
Other stocks and b'ds.
Due from res've ag ts
14, 469, 561 10
10, 733, 788 83
14, 900, 900 77
13, 220, 580 63
Due from nat'l banks. 14,701,401 77
2,921,223 01
1,846,649 28
1,724, 120 37
2,421,509 00
2, 458, 233 99
Due from State banks.
8,801,965 76
9, 267, 651 15
9, 316, 336 93
9, 389, 267 76
8, S48, 762 45
Real estate, <fec
2,538,218 24
428, 377 71
1, 574, 047 47
1, 582, 358 91
1, 048, 806 33
Current expenses
Premiums paid
2, 456, 680 42
2, 773, 484 30
2, 436, 581 56
2, 287, 702 06
1, 722, 000 79
Cash items
1 467, 046 m
1, 201, 822 13
1, 558, 491 45
1, 464, 270 17
1,947,340 63
67, 737, 324 56
63, 624, 358 49
45,123, 092 13
53, 844, 891 47
Clearing-house exch'gs 52, 034, 803 42
1,517,985 00
2,061,337 00
1, 638, 536 00
2,183, 012 00
1, 469, 304 00
Bills of other b a n k s . . .
57
109, 450 88
75, 933 17
90, 532
81, 233 55
77, 268 67
Fractional currency . .
35, 298, 944 P4
15, 829, 905 59
12, 948, 406 47
23 037, ffOl83
11, 747, 578 17
Specie
17, 262, 152 00
15, 236, 845 00
18,849, 129 00
21,886,710 00
14,771,479 00
Legal lender notes
14, 8.")5, 000 00 20, 920, U00 00
26, 740, 000 00
19, 075, 000 00
U. S. cert'fs of deposit. 14, 630, U00 00
985, 271 00
1, 238, 959 00
1, 267, 528 50
2, 196, 960 00
985, 085 36
Due from I . S. Treas .
Total.. ""




359, 677, 699 38

387, 869, 048 67

377, 233, 980 50

359, 596, 074 19 ,344,781,651 46

REPORT OF THE COMPTROLLER OF THE CURRENCY.

21

by States and reserve cities—Continued.
CONNE CTICUT.
DECEMBER 22.

JANUARY 20.

APRIL 14.

JUxVE 2 2 .

82 banks.

82 banks.

81 banks.

81 banks.

$26, 059, 620 00

$26, 069, 620 00

$25, 979, 620 00

$25, 979, 620 00

Liabilities.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation.
Dividends unpaid

7,348,900 18
1,900,117 14
16, 936, 950 00
84, 898 00

7, 351, 205 70
1,007,183 11
17,017,830 00
72, 845 00

7, 006, 405 75
1, 486, 972 24

6,509,138 63
1, 706,244 02

16, 695, 749 00
56,403 00
89, 318 83

76, 563 42

158, 553 92

84, 638 92

65, 507 73

15, 889, 023 55
117, 653 86
37, 675 46

14, 962, 831 78
105, 675 27
31, 665 04

15, 328, 583 52
113, 306 29
41, 625 17

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

1, 521, 952 91
355, 747 27

1,594,917 77
377, 339 27

2, 313, 388 14
483, 482 53

Notes re-discounted . . .
Bills payable

83,176 26
155,483 49

71, 446 26
161,611 29

34,575 93
25,199 60

68, 649, 641 95

69,926,905 19

69,570, 666 20

226 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

$34, 747,191 00

1,433,208 81
370, 409 53
20, 075 93
25, 000 00
68,270,341 63

14, 763, 552 07
110,284 72
11,218 46
825, 945 26
270, 784 77
53, 874 56
95, 000 00
66, 391,744 12

YORK.

226 banks.

226 banks.

227 banks.

227 banks.

$34, 802,191 00 $34,137,191 00 $33, 839, 691 00 $33, 789, 691 00

8,061,080 17
5, 662, 563 60

8,102, 845 40
4,157,139 01

25,919,471 00
90, 680 00

25,821,295 00
90, 677 00

64, 032 39

173, 392 20

7, 953, 830 42
4, 964, 984 64

7,902,211 27
5, 531, 896 82

7, 896, 737 54
4,738,511 03

25, 893, 872 00 25, 542, 082 00
86, 562 00
82,656 00

25, 926,980 00
76, 888 00

6i,322 81

61, 987 61

82, 227 66

44, 399, 829 79 47, 424, 472 27 46,194, 955 01 44, 482,158 04
497,101 00
507, 277 §9
460,663 09
483, 426 58
187,734 94
125, 070 68
91,606 63
156,309 09

45, 238, 472 54
466,659 05
99, 785 03

2, 447, 649 53
1,119,241 71

1, 759, 360 09
1, 042, 377 09

432, 288 44
944, 861 50

341,882 57
741,953 45

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

2, 346, 503 42
1, 096, 188 13

2,128,571 92
1,131,275 67

Notes re-discounted . . .
Bills payable
,

511,091 28
987, 058 99

410,008 59
937, 732 26

Total.

6,402,005 79
1, 469, 487 66

16, 615, 715 00
61, 907 00

13, 972, 596 95
97, 047 80
56, 588 53

NEW

81 banks.
$25, 548,120 00

16, 994, 285 00
61, 926 00

[ndividual deposits
U. S. deposits
Dep'ts U. S. dis. officers

Total

OCTOBER 1.

3, 023, 505 28
1,077,248 08
533,747 85
975, 767 91

124,570,525 7L I 125,819,335 99 125, 538, 335 67 122, 938, 993 64 122,201,525 05

CITY

OF N E W Y O R K .

47 banks.

47 banks.

47 bunks.

47 banks.

$65, 900, 000 00

$62, 650, 000 CO

$62, 400, 000 00

$57, 400, 000 00

$57, 400, 000 00

Surplus fund .
Undivided profits

18, 122, 206 95
9, 942, 658 80

17,414,823 39
6, 851, 322 41

17, 480, 952 43
8, 744,174 56

17, 652, 575 31
9, 930, 788 34

16, 566, 887 21
9,241,771 75

Nat'l bank circulation.
State bank circulation.

15, 377, 465 00
77, 788 00

15, 698, 776 00
77, 764 OO

16, 238,173 0.")
77, 440 00

15, 888, 653 00
77, 404 00

15,395,257 00
77, 279 00

Capital stock

47 banks.

131, 328 28

307, 773 00

140, 831 03

181,750 38

221, 240 71

163,309,139 05
Individual deposits
312,807 92
IT. S. deposits
172, 097 93
Dep'ts U. S. dis. officers

190, 043, 457 29
273,127 97
141,324 52

183,260,403 46
279, 940 99
107,424 71

173, 738,374 06
433, 164 70
24, 581 01

162, 400, 317 04
302, 985 81
129, 775 33

63, 333, 380 51
22, 998, 826 94

70, 598,209 05
23, 782, 471 24

66, 605, 535 31
21, 853, 629 55

61, 532, 969 25
22, 735, 814 14

61, 459, 374 45
21, 586,763 16

359, 677, 699 38

387, 869,048 87

377, 233, 980 50

359, 596, 074 19

344,781,651 46

Dividends unpaid

Due to national banks.
Due to State banks . . .
Notes re-discounted - Bills payable




45, 475 43

22

REPORT OF THE COMPTROLLER OF THE CURRENCY
Abstract of reports since October 2, 1876, arranged
CITY
DECEMBER 22.

OF A L B A N Y .

JANUARY 20.

APRIL 14.

OCTOBER 1.

JUNE 22.

Resources.
7 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
4
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 banks.
$7,824,964 18
1,611.000 00
200; 000 00
1, 324, 000 00
298,114 88
2, 480, 237 47
635, 527 75
134,574 16
341,982 04

16, 239,198 26

16, 546, 902 67

253,134 07
113,961 00
135,250 30
84, 292 00
7, 796 26
42, 427 56
412,209 00
570, 000 00
77, 432 00

NEW
69 banks.

51,431,740

11

7 banks.

7 banks.

$6,162, 327 34
1,611,000 00
200, 000 00
1, 354, 000 00
273, 952 21
2, 426, 436 71
482,225 05
154, 699 36
341,995 04
3,824 97
248,607 43
119,357 7L
143, 165 42
62, 474 00
11,890 44
41,058 33
377,601 00
510,000 00
83, 732 00

$6,476,009 60
1,611,000 00
200, 000 00
1, 393, 000 00
274,929 71
3, 268, 974 72
845, 385 30
147, 484 20
341,995 04
6, 208 27
254,399 88
154,888 55
79,34L 68
103,171 00
4,369 68
42, 233 46
503,751 00
565, 000 00
75,821 40

$7, 034,259 29
1, 748, 000 00
200, 000 00
1, 566, 500 00
290, 599 21
1,870,791 14
634, 052 22
128,598 21
341,884 05
3, 824 98
26 L, 808 15
150, 057 28
107, 420 02
69,119 00
6,614 41
40,417 94
363, 093 00
655, 000 00
80, 665 80

14, 608, 347 01

16, 347, 963 49

15, 557, 704 70

JERSEY.

69 banks.

Loans and discounts.. $24, 828, 567 85
Bonds for circulation . 12, 597, 650 00
Bonds for deposits
250, 000 00
U. S. bonds on hand..
423, 450 00
530,618 00
Other stocks and b'ds.
4, 422, 424 69
Due from res've ag'ts.
1,421,619 49
D u e from nat'l banks.
Duefrom State banks.
251, 540 10
Real estate, &c
1, 922, 826 06
384,187 71
Current expenses
335, 307 38
Cash items
......
665, 823
Clearing-house exch'gs
638, 826 00
Bills of other banks . .
32, 136 05
Fractional currency..
Specie
.. 131 962 34
1,867,739 00
Legal tender notes . . .
120, 000 00
U. S. cert'fs of deposit.
Due from U. S. Treas.
607, 062 35
Total

7 banks.

$7, 810, 939 68
1,611,000 00
200, 000 00
1, 224, 000 00
303, 753 69
2, 362, 028 21
580, 583 55
147, 371 43
341,982 04
6, 208 29
274,156 53
102,519 45
101, 363 39
98,360 00
7, 999 46
43, 678 54
372, 722 00
570,000 00
80, 532 00

$24, 052, 263
12, 534, 650
250, 000
471, 250
557, 658
4,714,917
1, 087, 774
301, 000
1, 900, 800
149,093
331,409
864,987

69 banks.

522, 425 00
32, 720 76
141, 638 41
1, 754, 003 00
110, 000 00
618,259 95
50, 394, 854 53

577, 203
31, 736
150,215
1,751,182
110,000
595, 594

69 banks

69 banks.

28 $24, 174, 596 16
00
12, 549, 650 00
00
250,000 00
00
378, 000 00
89
610,816 27
76
4, 352, 388 88
69
1, 366,129 69
61
280, 016 04
65
1,910,953 37
66
180, 494 24
95
316,390 19
92
833,162 89
00
01
72
00
00
85

50,418,529 31

$24, 203, 576
12, 569, 650
250, 000
361,150
654, 600
4, 724, 607
1, 092, 672
253, 251
1, 944, 036"
274, 741
312,262
596, 846

11
00
00
00
92
30
52
80
40
60
62
35

$24,154, 222 43
12, 579, 350 00
250, 000 00
422, 350 00
590 992 20
4,876,013 41
1, 074, 522 85
311, 655 81
1, 944, 782 14
198, 651 55
278, 037 13
776, 863 26

675, 405
35,211
161,006
1 808,960
110, 000
600, 819

00
11
17
00
00
25

483,102 00
26, 680 12
213,091 72
1,704, 115 00
110,000 00
609, 371 35

50 628, 797 15

50, 603, 800 97

PENNSYLVANIA.
182 banks

182 banks.
Loans and discounts.. $49, 696, 664 23
Bonds for circulation . 26, 318, 000 00
Bonds for deposits
680, 000 00
576,100 00
XL S. bonds on hand . .
Other stocks and b'ds.
2, 528, 635 80
5, 164, 968 56
Due from res've ag'ts
1,435,606 2L
Due from nat'l banks.
790, 148 79
Due from State banks.
2, 737, 037 99
Real estate, &c
Current expenses
328, 899 06
Premiums paid
637, 787 44
Cash items
577, 425 27
Bills of other banks . .
Fractional c u r r e n c y . .
Specie
Legal tender notes . . .
U. S. cert'fs of deposit.
Due from U. S. Treas.
Total




826,019
96,521
178 487
3, 570, 537
110, 000
1,195,367

00
64
32
00
00
23

97, 448, 205 54

$49,185,184 29
26, 423, 000 00
680, 000 00
580, 800 00
2, 533, 252 53
5, 493, 504 94
1,477, 782 19
806, 312 01
2, 770, 729 57
248, 901 23
647, 354 70
624, 513 97
794, 598 00
103, 439 31
218 879
3, 739, 407 m
00
125, 000 00
1, 207, 864 51
97, 660, 523 94

180 banks.

180 banks.

$49, 957, 748 94 $48,503,854 23
26, 371, 000 00
25, 902, 500 00
680, 000 00
680, 000 00
521,200 00
734, 250 00
2, 676, 526 30
2, 783, 995 47
5,552,269 16
5, 995, 550 67
2,142, 793 08
1, 650,147 46
983,121 97
788, 572 14
2, 843, 862 55
2,851,282 60
597,513 82
353, 038 93
656, 850 23
629, 095 55
635, 777 38
557, 667 79
942, 519
99, 441
287 050
4, 254, 655
145, 000
1, 219, 984

00
01
35
00
00
08

100, 567, 312 87

1, 067, 517
102, 963
310 157
3, 880, 887
160, 000
1,173,224

00
77
02
00
00
72

98,124, 704 35

179 banks
$47, 531, 811
25, 944, 600
680, 000
1, 220, 300
2, 953, 809
4, 294,105
1, 839, 686
850, 300
2, 825, 205
532, 387
577, 961
587, 023

19
00 j
00 1
00
37
50
55
70
06
70
88
05

976,412 00
97, 067 53
361 377 'W
3,733,191 00
140, 000 00
1,182, 088 41
96, 327, 327 32 !

23

REPORT OP THE COMPTROLLER OF THE CURRENCY.
by States and reserve cities—Continued.
CITY
DECEMBER 22.

OF A L B A N Y .

JANUARY 20.

APRIL 14.

Liabilities.

JUNE 22.

OCTOBER 1.

7 banks.

7 banks.

7 banks.

$2, O O 000 00
C,

$2, 000, 000 00

$2, 000, 000 00

$2, 000, 000 00

$2, 000, 000 00

Surplus fund
Undivided profits

1, 470, 000 00
451, 876 33

1, 470, 000 00
331,109 77

1, 470, 000 00
357, 485 46

1,470, 000 00
388, 693 02

1, 470, 000 00
338, 999 25

Nat'l bank circulation.
State bank circulation.

1,379,180 00
17, 021 00

1, 384, 630 00
37,021 00

1, 380, 630 00
17,021 00

1, 337, 030 00
9,231 00

1, 462, 290 00
9,196 00

7 banks.
Capital stock

7 banks.

17, 415 50

4, 207 00

4, 553 50

1, 522 00

19,933 50

Individual deposits
U. S. deposits
Dep'ts U.S.dis.officers.

8,062,212 85
39, 179 59
162,110 67

8,400,122 81
56, 443 37
57,421 72

5,858, 653 05
61,390 21
57, 967 56

8, 234, 278 75
53, 688 85
26,457 38

7,147, 422 89
74, 898 92
12, 507 68

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

1,797,269 69
679, 230 94

1, 989,123 70
673,121 61

2, 087,109 13
1,158, 309 21

2, 010, 664 41
721, 557 33

2, 102,266 39
885, 868 33

Notes re-discounted...
Bills payable

163, 701 69

163, 701 69

155, 227 89

94, 840 75

34, 321 74

16,239,198 26

16,546,902 67

14, 608, 347 01

16, 347, 963 49

15,557,704 70

Dividends unpaid

Total

NEW JERSEY.
69 banks.

Surplus fund
Undivided profits

69 banks.

69 banks.

69 banks.

$14,301,435 00

Capital stock

$14,303, 350 00

$14,303, 350 00

$14, 303, 350 00

3, 878, 656 83
1,489,956 64

3, 879, 772 81
1, 863, 505 45

11,125,395 00
39, 545 00

11, 058, 535 00
39, 543 00

3, 898, 702 07
1, 925, 444 26

Nat'l bank circulation.
State bank circulation.

11,144,132 00
56,686 00

3,889,255 14
1,416,911 22
11, 067, 752 00
46, 834 00

69 banks.
$14, 203, 350 00
3,875,646 66
1, 593, 426 01
11,065,276 00
32, 871 00

30, 800 29

74, 678 36

73, 263 42

28, 984 77

87,431 11

Individual deposits
U. S. deposits
Dep'ts U.S.dis.officers.

17, 385,114 47
125,488 90
82, 859 70

17, 377, 886 45
134, 810 66
51, 470 86

17, 033, 922 61
128, 437 49
39, 823* 05

16, 837, 830 48
118,655 26
36,136 28

17, 796, 574 06
140,031 10
10, 099 87

Due to national banks
Due to State banks . . .

1,915,402 07
226,931 20

1, 608, 478 96
191, 958 01

1, 793, 946 64
223,641 30

1,946,456 21
234, 770 64

1, 429, 940 28
181, 708 23

Notes re-discounted...
Bills payable

161,244 15
177, 500 00

113,968 87
117, 500 00

111,091 33
177, 500 .00

158,257 25
123, 000 00

41,446 65
146, 000 00

51,431,740 11

50, 394, 854 53

50,418,529 31

50,628,797 15

50, 603, 800 97

Dividends unpaid

Total

PENNSYLVANIA.
182 banks.
Capital stock
Surplus fund
Undivided profits

$29, 203, 840 00

182 banks.

180 banks.

$29,103, 840 00 $28, 797, 340 00

180 banks.

179 banks.

$28, 776, 840 00

$28, 634, 340 00

.

8, 028. 647 86
1, 973; 834 85

8, 049,193 83
1,417,876 03

7, 867, 968 67
2,340,464 99

7, 638, 397 34
2,194, 245 03

7, 615, 417 08
2, 299, 608 53

Nat'l bank circulation.
State bank circulation.

23, 201, 701 00
75, 932 00

23,316,758 00
75, 863 00

23, 371, 082 00
61, 709 00

22, 730, 777 00
59, 835 00

22, 877, 407 00
47, 580 00

145, 096 56

228, 648 51

73, 085 49

142,209 18

90, 604 65

Individual deposits
U. S. deposits
Dep'ts U.S.dis.officers.

32, 013, 614 59
323,439 53
12, 340 64

32,698,661 06
341, 844 47
8, 656 48

34,661,324 99
376,599 08
3,461 33

33, 779, 210 04
357, 725 61
4,919 J4

32,720,591 03
318,682 09
8,242 49

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

1, 691, 646 42
439,094 80

1, 528, 640 99
458, 927 84

2,067,115 19
461,147 64

1,631,829 44
438, 374 81

1,194, 247 51
280, 551 80

Notes re-discounted...
Bills payable

296, 962 36
42, 054 93

314,141 62
117, 472 11

371,838 18
114,176 31

330,251 76
40, 090 00

101,965 14
138, 090 00

97, 448, 205 54

97, 660, 523 94

100, 567, 312 87

98,124,704 35

96, 327, 327 32

Dividends unpaid

Total




REPORT OF THE COMPTROLLER OF THE CURRENCY.
Abstract of reports since October 2, 1876, arranged
CITY

OF

PHILADELPHIA.

DECEMBER 22.

JANUARY 20.

31 banks.

31 banks.

APRIL 14.

JUNE 22.

OCTOBER 1.

31 banks.

31 banks.

31 banks.

Resources.

Loans and discounts.. $48, 360, 255 20
Bonds for circulation . 12, 494, 700 00
250, 000 00
Bonds for deposits
1,676,800 00
TJ. S. bonds on hand . .
2, 197,661 39
Other stocks and b'ds.
4,797,116 05
Due from res've ag'ts.
2, 626, 617 45
Due from nat'l banks.
601,981 65
Due from State banks.
2,517,754 12
Real estate, &c
207, 555 60
Current expenses
375, 499 40
Premiums paid
335, 350 58
Cash items
5,121,282 84
Clearing-house exch'gs
1,438,747 00
Bills of other banks . .
114,292 05
Fractional currency -.
1,090,312 60
Specie
4, 560, 988 00
Legal tender notes . . .
4, 040, 000 00
U. S. cert'fs of deposit.
669,738 15
Due from U. S. Treas.

$47,685,031 34
12, 494, 700 00
300, 000 00
1,589,300 00
2,188, 489 30
4,601,263 45
2, 425, 770 01
652,271 70
2,531,460 18
240,190 05
384,782 50
350,776 17
5,410,945 78
1,233,848 00
110, 195 66
2,081,186 17
4,451,815 00
4, 210, 000 00
681,318 15

93, 476, 652 08

93, 623, 343 46

Total

$46, 743, 250 66 $47, 549, 653 16 $46, 772, 990 19
12,867,700 00
12, 838, 700 00
12, 752,700 00
250, 000 00
250, 000 00
250 000 00
1, 299, 800 00
1, 384, 700 00
1, 379, 200 00
1, 870, 702 36
2, 047, 966 94
3, 089, 393 54
5,528,810 26
4,334,354 12
4, 508, 374 27
3,154, 987 29
2,808,984 63
2,833,379 14
617,298 54
542, 300 66
575, 257 46
2, 551, 996 79
2, 556, 947 73
2, 550, 986 61
596, 362 30
596,197 81
207,096 54
386, 298 20
415,694 36
406, 695 16
351,912 59
388,118 76
279, 638 68
5, 520, 730 00
6, 779, 703 50
3, 922, 506 85
1,156, 009 00
904, 379 00
1, 658, 073 00
94,491 49
61,159 64
79, 950 05
1,372,534 07
1, 408, 708 30
1, 389, 897 80
5,341,349 00
4,331,275 00
5. 663, 549 00
3, 880, 000 00
4, 625, 000 00
9, 065, 000 00
640, 590 15
628, 600 15
769, 790 15
94, 224, 822 70

98,931,141 41

93, 667, 780 79

CITY OF P I T T S B U R G H .
22 banks.

22 banks.

Loans and discounts.. $17, 560, 896 49
Bonds for circulation .
6, 244, 500 00
Bonds for deposits
200, 000 00
U. S. bonds on h a n d . . .
1, 047, 800 00
Other stocks and b'ds.
461,434 01
Due from res've ag'ts.
2, 439, 759 85
Due from nat'l banks.
932,718 92
Due from State banks.
211,810 26
Real estate, &c
1,186, 674 58
Current expenses
132, 454 20
Premiums paid
179,250 56
Cash items
169, 326 89
439, 429 79
Clearing-house exch'gs
Bills of other banks . .
448, 363 00
29, 394 58
Fractional currency . .
Specie.
....
63, 850 47
Legal tender notes
2, 759, 495 00
XL S. cert'fs of deposit.
100, 000 00
Due from U. S. Treas.
295, 066 70
Total

34, 902, 225 30

22 banks.

22 banks.

22 banks.

$17,751,449 12 $19,111,939 36 $19, 179, 490 90
6, 244, 500 00
6,154, 500 00
6, 280, 500 00
200, 000 00
200, 000 00
200, 000 00
946,400 00
909, 250 00
574, 000 00
467,114 01
438, 735 19
512,632 81
2,444,421 85
1.491,979 40
1,641,831 34
800,140 67
627,679 23
626, 478 26
243,921 08
233,155 62
201,905 99
1,194,078 59
1,249,014 41
1, 252, 374 37
60,418 41
155, 805 14
134, 892 67
180, 561 47
167,819 66
146, 727 59
166, 674 52
172, 670 67
162 083 25
567,471 07
564, 237 72
468, 278 83
284,137 00
204,011 00
339, 708 00
47, 920 73
37, 432 06
38, 483 01
65 360 43
83,187 45
100, 897 27
2, 707, 906 00
2, 205, 712 00
2, 452, 528 00
100, 000 00
100, 000 00
100, 000 00
314,705 25
314,667 30
332, 523 94

$18,159, 360 30
6, 054. 500 00
200, 000 00
561, 750 00
542, 009 39
1,616,094 52
747, 415 34
238, 508 93
1,297,716 38
169,150 53
153, 434 92
115, 275 29
638,784 09
389, 546 00
20, 696 79
95 513 42
2, 590, 782 00
100,000 00
291, 628 76

34, 744, 285 28

33, 982,166 66

34,774,509 13

34,435,518 23

DELAWARE.
13 banks.
Loans and discounts . .
Bonds for circulation .
Bonds for deposits
Lf. 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 excb'gs
Bills of other banks . .
Fractional currency..
Specie
Legal tender notes
U.S. cert'fs of deposit.
Due from U . S . Treas.
Total




13 banks

$2, 740, 223
1,541,200
60, 000
150
185,728
282, 723
92, 046
58,411
151,004
23, 332
28, 202
62, 074

42
00
00
00
03
92
84
3:?
29
10
00

61, 483
2,827
10 268
177, 853
40, 000
96, 738

00
71

OQ

7°
00
00
75

5,614,267 40

13 banks.

13 banks.

13 banks.

$2, 691,167
1,541,200
60, 000
150
184, 676
390, 746
88, 150
31,075
151,021
10,785
28, 102
71,317

25
00
00
00
13
78
62
30
79
42
00
01

$2, 804, 749 38
1,541,200 00
60, 000 00
150 00
185,141 18
• 280, 716 77
128, 558 07
41, 330 79
151,821 79
19, 055 84
27, 817 00
57,204 70

$2, 741, 815 74
1, 536, 200 00
60, 000 00
150 00
185,146 01
222, 453 78
67, 487 22
64,981 73
.156,924 04
21, 503 01
27, 044 50
70,895 20

96, 693
4, 102
10 430
186, 298
40, 000
68, 738

00
76
53
00
00
75

61,181 00
3, 057 39
16 541 9Q
174, 747 00
40, 000 00
69, 538 75

86, 748 00
3, 991 39
13 961 22
183, 735 00
40, 000 00
70,238 75

68, 305 00
4,704 82
15 461 15
167,354 00
40, 000 00
67, 523 75

5, 654, 655 34

5, 662, 811 65

5, 553, 275 59

6, 027, 717 70

$2, 867, 823
1, 534, 200
60, 000
14,150
204, 758
493, 092
167, 266
69, 812
157, 024
19,608
24, 940
51,691

88
00
00
00
51
92
46
69
04
55
52
41

REPORT OF THE COMPTROLLER OF THE CURRENCY.

25

by States and reserve cities—Continued.
CITY

OF P H I L A D E L P H I A .

DECEMBER 22.

Liabilities.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation.

31 banks.

APRIL 14.

31 banks.

$17, 095, 000 00 $17,095,000 00

JUNE 22.

31 banks.

JANUARY 20.

31 banks.

$17, 095, 000 00 $16, 995, 000 00

OCTOBER 1

31 banks.
$16,943,000 00

7, 453, 500 73
1, 227, 462 56

7, 459, 793 49
1,128,557 92

7, 432,138 83
1, 782, 340 41

7, 409, 468 06
1,156, 264 54

7, 426, 978 13
1, 765, 876 24

10, 481, 790 00
23, 546 00

10,616,075 00
23, 541 00

11,166,544 00
23, 526 00

10, 812, 273 00
23, 499 00

11,133,594 00
23,474 00

65, 616 75

70, 945 15

37, 760 25

59, 658 35

41,549 65

Individual deposits
U. S. deposits
Dep'ts U. S. dis. officers

47,163, 784 42
184,859 94

46,217, 809 59
184,797 18

46, 068, 323 33
210,140 56

52, 565, 212 44
188,133 52

46,114, 368 55
190, 779 85

Due to national banks Due to State banks

7, 697, 083 97
2, 024, 007 71

8,246,131 77
2, 520, 692 36

7, 897, 239 98
2, 451, 809 34

7, 459,124 89
2, 202, 507 61

7, 667, 076 77
2, 276, 083 60

60, 000 00

60, 000 00

60, 000 00

60, 000 00

85, 000 00

93, 476, 652 08

93, 623, 343 46

98, 931,141 41

93, 667, 780 79

Dividends unpaid

Notes re-discounted
Bills payable
Total

CITY

94,224,822 70

OF PITTSBURGH.

22 banks
Capital stock
Surplus fund . . . . .
Undivided profits
Nat'l bank circulation.
State bank circulationDividends unpaid

22 banks.

22 banks.

22 banks

$10 310 000 00

$10 310 000 00

$10 310 000 00

$10 350 000 00

$10 350 000 OP1

3, 057, 554 41
629, 688 00
5, 363, 504 00
4,396 00

3, 053, 371 82
373, 397 77

3, 048, 542 40
714, 518 51

3, 063, 378 92
691, 054 30

5, 355, 699 00
4,340 00

5, 344, 839 00
4,340 00

3, 056, 667 35
664, 396 00
5, 384, 221 00
4,340 00

22 banks.

5, 309, 246 00
4,340 00

43, 303 50

80, 9!2 75

38, 697 50

41, 353 25

66, 389 25

Individual deposits
U S deposits
Dep'ts U. S. dis. officers

12,455,711 47
20, 802 81
216,114 34

12, 785, 551 72
80, 071 50
132, 302 35

12, 029, 851 62
87, 016 18
89, 549 41

12, 205, 850 89
20, 854 14
100, 576 12

11, 668, 961 76
84, 335 56
122, 990 23

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

1, 055, 808 78
1, 668, 360 17

1, 276, 906 00
1, 252, 374 40

1, 257, 356 62
1, 446, 806 99

1,391,812 65
1, 471, 713 &8

1, 287, 531 09
1, 278, 829 26

Notes re-discounted. . .
Bills payable

16, 981 82
60, 000 00

9,581 82
60, 000 00

4,000 00
60, 000 00

2,500 00
50, 000 00

5,110 29
50, 000 00

34, 902, 225 30

34, 774, 509 13

34, 435, 518 23

34, 744,285 28

33, 982,166 66

Total

TOP

DEL AW ARE.
13 banks.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation.
Dividends unpaid

13 banks.

13 banks.

13 banks.

$1, 652, 905 00

$1, 658, 985 00

$1,658,985 00

$1, 663, 985 00

$1, 663, 985 00

448, 745 77
133, 875 06

452,273 12
59,144 76

446, 895 82
108, 062 18

446, 552 50
141, 460 09

450,151 01
110, 869 83

1, 366,140 00
6,792 00

1, 359, 645 00
6,658 00

1, 368, 340 00
6,658 00

1, 359, 730 00
6,658 00

1,338,760 00
6,658 00

13 banks.

8, 456 89

22, 002 20

10,310 45

8,129 23

10, 476 00

Individual deposits
U S. deposits
Dep'ts U. S. dis. officers

1, 706,155 92
23, 544 34
13, 823 13

1, 801, 589 15
42, 737 65
7,629 38

1, 663, 586 27
32,169 62
10, 220 50

1, 602, 898 61
39, 494 33
3,962 75

2,171,393 46
45, 875 89
6, 071 44

Due to national banksDue to State banks . . .

233, 833 68
9,995 61

217,149 77
16, 841 31

310, 587 73
36, 996 08

229, 723 39
13, 681 69

209, 027 82
14, 449 25

Notes re-discounted . .
Bills payable

10, 000 00

00

10, 000 00

37,000 00

5, 654, 655 34

5, 662, 811 65

5, 553, 275 59

Total




5, 614, 267 40

10, 666

6, 027, 717 70

26

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Abstract of reports since October 2, 1876, arranged
MARYLAND.
DECEMBER 22.

JANUARY 20.

APRIL 14.

JUNE 22.

OCTOBER 1.

Resources.
17 banks.
Loans and discounts. 1
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
Ourrent 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

$3,504,868 14
2, 098, 550 00
100, 000 00
177, 200 00
325, 948 26
414,842 15
346,243 95
27, 646 57
159,391 87
36,317 27
8,289 74
40, 021 06

18 banks.
$3, 492, 601 46
2,112,550 00
100, 000 00
172, 200 00
316,798 50
468,316 95
290, 008 26
52,168 94
166, 887 49
16,296 71
18, 375 18
44,713 96

18 banks.

18 banks.

$3,580,041 95
2,130, 550 00
100, 000 00
184,600 00
273, 560 32
450, 360 01
285,135 04
57,584 09
167, 524 28
38, 073 03
20, 726 90
37,337 67

18 banks.

$3,698,916 80
2,130, 550 00
100, O Q 00
O
196, 700 00
262,328 10
335, 325 50
198,579 43
44, 058 53
168, 460 07
40,551 62
20, 402 05
31, 510 72

$3, 749, 360 74
2, 130, 550 00
10 » 000 00
,
231,700 00
250, 426 85
574, 745 97
275,748 50
65,908 14
156,039 72
32, 382 07
19,527 03
36,185 28

36, 802 00
9, 946 48
36,193 87
282, 958 00
10, 000 00
94,619 78

69,399 00
11, 992 67
43, 132 26
332, 972 00
10,000 00
93, 384 78

135, 990 00
10,878 83
53, 285 83
324, 290 00
10, 000 00
98, 393 23

79, 358 00
9, 760 93
50,768 31
294,794 00
10, 000 00
93, 792 63

112, 107 00
7, 006 13
51,155 23
326, 643 00
10, 000 00
98, 434 56

7,709,839 14

7,811,798 76

7,958,331 18

7, 765, 856 69

8, 227, 920 22

CITY OF B A L T I M O R E .
14 banks.

14 banks.

14 banks.

14 banks.

Loans and discounts.. $19, 822, 945 90 $19, 429, 613 61 $19,560,424 21
Bonds for circulation .
6, 449, 000 00
6,449,000 00
6, 449, 000 00
Bonds for deposits
'200, 000 00
200, 000 00
200,000 00
U. S. bonds on hand . .
680,000 00
680, 000 00
632, 000 00
Other stocks and b'ds.
566,251 19
570, 668 28
652,617 20
Due from res've ag'ts.
2,144, 613 26
1, 355, 334 25
1, 887, 355 67
Due from nat'l banks.
701, 590 29
638, 517 41
630, 779 49
Due from State banks171,270 12
277,365 61
166,561 82
Real estate, &c
6-27,988 71
652, 988 71
652, 929 38
Current expenses
173, 855 23
32, 100 56
134, 659 51
Premiums paid
38, 572 86
35, 579 24
36, 200 86
Cash items
57, 857 27
50, 954 70
47, 631 93
Clearing-house exch'gs
1, 408, 576 59
1, 065, 700 72
2, 340j 118 50
Bills of other banks . .
330, 603 00
366, 786 00
441,089 00
14, 200 66
13, 772 21
10, 592 18
Fractional currency . .
Specie
366 373 16
438, 643 35
329, 382 71
Legal tender notes . . .
1,075] 311 00
956] 610 00
935,421 00
U. S. cert'fs of deposit.
1, 085, 000 00
1, 225, 000 00
1, 525, 000 00
Due from U. S. Treas .
297, 558 80
290, 842 00
302,142 00
Total

35, 548, 361 70

36, 856,246 32

35, 520, 342 13

$19,393,514
6, 444, 000
200, 000
730, 000
626, 377
1, 360, 978
728, 535
175, 498
639, 881
137, 276
36, 337
37, 374
1,146, 408
630, 671
10, 295
178,695
1,346,149
1, 570, 000
303,917

14 banks.
92
00
00
00
50
82
16
55
29
54
93
11
40
00
54
52
00
00
00

35, 695, 911 28

$20, 058, 352
6, 444, 000
200, 000
830, 000
644, 850
804, 896
682, 503
117,187
639, 271
190, 730
35, 859
71,166
2,001,257
357,410
5,067
152, 957
1,195,162
2, 730, 000
291,917

34
00
00
00
80
34
37
61
72
47
15
81
80
00
10
35
00
00
00

37, 452, 589 86

DISTRICT OP COLUMBIA.
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
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. T r e a s .
Total




1 bank.

1 bank.

1 bank.

1 bank.

$326, 175 25
250, 000 00

$304, 833 45
250, 000 00

$260, 099 82
250, 000 00

$218,953 06
250, 000 00

$265, 932 43
250, 000 00

130, 632 50
82,861 54
6, 010 32
50 00
17, 550 00
25 08
2,000 00
2 88L 49

130, 632 50
65, 018 35
10, 623 73
5,840 31
17, 550 00
352 62
2,000 00
2 737 48

130, 632
144, 503
5,122
5,827
17, 550
2, 997
2,000
12 793

50
89
83
47
00
37
00
75

130, 632
231,532
17, 532
104
17, 550
9
1, 000
2 203

50
51
54
11
00
80
00
56

126, 021
151,888
8,129
1,148
17,550
2,102
1,000
5 238

26
38
16
42
00
39
00
36

6,299 00
2, 328 00
5 245 65
97] 000 00

21, 405 00
2,224 00
4 076 15
100, 000 00

19, 350
523
4 168
112]500

00
00
6^
00

00
95
70
00
00
00

11, 284
5
5 532
•75,000
50, 000
11,250

00
25
10
00
(;0
00

11,250 00

11,250 00

11, 250 00

12,081
84
8 123
81, 500
50, 000
11, 250

940, 303 83

928, 543 59

979,319 23

1, 032, 557 73

932, 081 75

27

REPORT OF THE COMPTROLLER OF THE CURRENCY.
by States and reserve cities—Continued.
M AR YL AND.
DECEMBER 22.

JANUARY 20»

APRIL 14.

JUNE 22.

17 banks.

18 banks.

18 banks.

18 banks.

$2, 306, 700 00

OCTOBER 1.

Liabilities.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation.
Dividends unpaid

18 banks.

$2, 306, 700 00

$2, 306, 700 00

$2, 306, 700 00

654, 350 00
223, 529 92

659, 700 00
158, 4(58 01

660, 200 00
233,128 83

660, 862 09
245, 706 89

668, 282 09
222, 752 44

1, 840,113 00
4,578 00

1, 831,112 00
4, 562 00

1,869,628 00
4, 546 00

1,855,790 00
4,544 00

1, 885, 863 00
4,543 00

$2, 281, 700 00

32,410 36

33, 381 82

17, 728 91

29, 253 68

25, 819 02

Individual deposits
U. S. deposits
Dep'ts U. S. dis. officers

2, 320,151 81
33, 203 66
66, 447 58

2,511,797 39
34,044 61
32, 093 69

2, 567, 887 90
35, 757 54
23, 506 58

2, 330,147 13
65,880 26
11, 707 33

2, 803, 489 41
72,321 05
21, 072 54

Due to national banks.
Due to State banks

106, 228 95
33, 443 76

105, 632 74
20, 453 38

99, 646 11
28, 910 99

108,138 16
21, 590 56

69, 644 15
31, 942 52

Notes re-discounted
Bills payable

113,682 10

113,853 12

110, 690 32

10,640 40
114, 896 19

5,640 40
109, 650 60

7,709,839 14

7,811,798 76

7, 958, 331 18

7, 765, 856 69

8, 227, 920 22

Total

CITY OP BALTIMORE.
14 banks.

14 banks.

Capital stock . . . . . . $11 491 985 00 $11,491,985 00

$11, 491 985 00

$11, 491, 985 00

$10 991,985 00

14 banks.

14 banks.

14 banks.

Surplus fund
Undivided profits

2 404, 586 05
993, 017 99

2, 419, 806 05
441, 664 27

2, 419, 556 05
803, 204 01

2, 420, 767 44
905, 944 30

2, 535, 977 43
678, 319 53

Nat'l bank circulation.
State bank circulation.

5, 344, 633 00
68,704 00

5, 464, 733 00
68, 704 00

5, 463, 898 00
68, 220 00

5, 295,178 00
68, 099 00

5, 308, 358 00
68, 039 00

53, 341 37

134, 858 92

54, 260 97

6Q, 508 25

62, 534 36

Individual deposits
U S deposits
Dep'ts U. S dis officers

12 683,629 19
104,469 31

14, 837, 959 76
101,016 60

13,151,091 72
96, 561 31

13, 378, 478 54
100, 377 31

14, 844, 987 01
100, 070 00

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

1, 998, 645 35
405, 350 44

1,574,831 86
320, 686 86

1,607,516 07
364, 049 00

1, 699, 398 88
269,174 56

2,471,437 83
390, 8-1 70

35, 548,361 70

36, 856, 246 32

35, 520, 342 13

35, 695,9il 28

37, 452, 589 86

Dividends unpaid

Notes re-discounted
Bills p ay able
Total

DISTRICT OF COLUMBIA.
1 bank.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation.

$252, 000 00

1 bank.
$252,000 00

|

1 bank.
$252, 000 00

1 bank.
$252, 000 00

1 bank.
$252, 000 00

46, 000 00
17, 355 78

46, 000 00
19, 900 06

46, 000 00
32, 265 93

50, 400 00
17, 469 69

50, 400 00
29, 805 99

225, 000 00

220,200 00

220,100 00

207, 600 00

202, 500 00

Dividends unpaid

11,060 00

1,608 00

1, 032 00

11,104 00

1,376 00

Individual deposits

376,086 71

383,501 96

422, 220 66

485, 456 45

435, 437 74

7, 082 69
5, 723 65

4,895 18
438 39

4,420 29
1, 280 40

4,340 80
4,186 79

9, 508 34
1, 053 68

940, 308 83

928, 543 59

979, 319 28

1, 032, 557 73

982,081 75

Dep'ts U. S. dis. officers
Due to national banksDue to State banks - . .
Bills pavable
Total




28

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Abstract of reports since October 2, 1876, arranged
CITY OF W A S H I N G T O N .
DECEMBER 22.

JANUARY 20.

APRIL 14.

JUNE 22.

OCTOBER 1.

4 banks.

4 banks.

4 banks.

5 banks.

5 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

$1,710,503 24
680, O O 00
U
100, 000 00
83, 500 00
39,264 13
189, 353 24
51,518 41
22, 532 74
403,865 19
36, 215 03
13, 747 85
30,513 23

$1, 653,827 09
680,000 G
O
100,000 00
83, 500 00
37, 656 19
21:*, 350 42
42, 655 83
10,133 78
404,186 04
7, 493 08
9,258 96
29,170 27

$1,497, 182 68
680, 000 00
100, 000 00
109, 200 00
59, 805 42
340,417 02
50,192 59
19,051 51
411,303 27
22, 093 39
9,241 26
31,230 26

$1, 657, 517 37
750, 000 00
100, 000 00
140, 950 00
75, 799 80
219, 632 21
109,090 16
21, 254 49
558, 025 76
36, 372 62
17, 258 52
45, 900 55

32, 679 00
10,031 30
60,304 32
148,979 00
35, 000 00
30, 600 00

22, 585 00
12,224 97
68, 660 82
102,141 00
35, 000 00
30, 600 00

29, 547 00
8,663 67
63, 681 21
183,761 00
35, 000 00
30, 600 00

18, 184 00
7,478 59
46, 974 56
183,619 00
35, 000 00
32, 850 00

11,193 00
7,158 37
13, 309 68
212,233 00
35, 000 00
34, 750 00

4, 055, 907 63

3, 750,148 00

3, 678, 606 68

3, 542, 443 45

3, 680, 970 28

$1,541,667 30
750, 000 00
100,000 00
99, 600 00
61,591 56
162, 730 45
51, 649 50
10,611 83
571,485 38
31,878 37
14, 980 84
40, 308 72

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. cerffsof deposit.
Due from U. S. Treas.
Total

19 banks.

$6,206, 890 52
2, 466, 250 00
560, 000 00
142, 000 00
130,215 22
986,217 64
222, 027 50
162.315 17
422,671 60
135, 185 12
197, 050 98
184, 645 96
184, 690 00
10, 348 26
57, 856 55
611,232 00
111, 575 72
12,791,172 24

$6,194,226 40
2, 466, 250 00
535, 000 00
142, 000 00
159,531 60
819,339 17
240,372 94
238,309 86
422, 464 50
8, 493 04
195,069 95
227, 457 43
160, 930 00
13,132 71
67,020 19
642,166 00
111, 120 12
12, 642, 883 91

19 banks.

19 banks.

$6, 434, 970 51
2, 429, 000 00
585, 000 00
103, 000 00
135,231 36
430, 770 38
286, 234 22
191, 580 76
422, 226 85
73,714 13
178. 603 54
234, 620 93

$6, 528,304 74
2, 434, 000 00
585, 000 00
102,000 00
148,931 80
528, 996 98
249, 966 59
168,646 61
424, 295 00
112,984 99
161,518 97
204, 971 52

114,841 00
7, 151 85
43, 974 48
532, 230 00

259, 973 00
13, 080 07
57, 897 15
713, 938 00

114, 611 37
12,317,761 38

19 banks.
$6, 600, 685 80
2, 454, 000 00
635, 000 00
113, 600 00
156, 924 13
594,407 56
186, 633 26
157,004 35
420,142 69
86, 980 50
152, 607 31
225, 776 48
182,711 00
8, 835 26
67,891 91
690, 766 00

112,415 73

121 390 56

12,806,921 15

12, e55, 356 81

"WEST VIRGINIA.
15 banks.

15 banks.

15 banks.
$2, 546, 507 62
1, 576, 250 00

15 banks.

15 banks.

Loans and discounts..
Bonds for circulation.

$2, 446, 332 03
1, 569, 250 (JO

$2, 416,273 88
1,576,230 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 . . .
IJ S. cert'fs of deposit.
Due from U. S. Treas.

27, 550
28,861
151,917
123, 075
59, 972
175, 768
43,281
32, 238
12 876

00
13
02
62
81
92
71
97

28,150 00
28, 662 08
182, 022 87
159,798 91
43, 665 23
176, 518, 92
11,092 91
32, 637 97
11 331 84

42, 650 00
29, 029 58
176, 589 75
90, 089 93
32, 672 41
177,471 60
28, 246 20
34, 225 33
13 952 98

21, 900 00
29, 029 58
125, 045 40
95, 437 12
30,130 93
177,912 15
31, 557 23
33, 457 92
10 493 24

28, 450
34,816
162, 771
103, 405
49, 359
181,897
27, 251
29,191
15 303

47, 823
4,970
25 619
254, 444

00
94
1"
00

42,381 00
5,698 21
24 620 71
242,006 00

40,138 00
5,130 10
31,201 35
197, 920 00

41,381 00
5,248 67
49 161 20
184,684 00

48, 494 00
3,579 90
21 911
209,131 00

69,145 50

76, 097 91

5, 032, 651 28

5, 099, 577 20

Total




75, 780 11

83,680 11

75,496 06

5,079,761 51

5, 064,790 64

5,097,570 91

$2,551,817 34
1, 576, 250 00

$2, 528, 663 92
1, 579, 250 00
00
82
55
70
13
94
99
72
94

REPORT OF THE COMPTROLLER OF THE CURRENCY.

29

by States and reserve cities—Continued.
CITY OF WASHINGTON.
DECEMBER 22.

JANUARY 20.

APRIL 14.

JUNE 22.

OCTOBER 1.

Liabilities.
4 banks.
Capital stock

4 banks.

4 banks.

5 banks.

5 banks.

$1, 300, 000 00

$1, 300, 000 00

$1, 300, 000 00

Surplus fund
Undivided profits

280, 500 00
191, 359 09

281, 900 00
106,657 51

283, 400 00
127,874 04

285, 400 00
98, 688 94

288, 000 00
77,627 49

Nat'l bank circulation.
State bank circulation

610, 400 00

608,100 00

610, 300 00

634,100 00

656 800 00

Dividends unpaid

2,345 00

5, 215 00

1,841 00

Individual deposits
U. S. deposits
Dep'ts U S. dis officers

1,0-21,454 55
48, 754 96

1, 006, 534 94
44, 220 60

1,135,209 00
69, 396 22

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

2^2,187 01
14, 867 95

174,014 94
9, 895 94

123, 372 61
29,577 41

Notes re-discounted...
Bills payable

6, 738 12

3, 542, 443 45

1,409 00

5, 904 52

3, 678, 606 68

$1,180, 000 00

Total

1,670,431 26
40,812 18
121, 931 82
23,134 43

$1,180, 000 00

2, 980 00
1,352,770 47
30,529 09
128, 772 52
27, 569 90
5, 098 53

3, 680, 970 28

4, 055, 907 63

3, 750,148 00

VIRGINIA.
19 banks.
Capital stock

.

Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation.
Dividends unpaid

19 banks.

19 banks

19 b a n k s .

19 banks.

$3, 385, 000 00

$3, 385, 000 00

$3, 285, 000 00

$3, 285, 000 00

$3, 285, 000 00

768,200 00
506, 367 13

796, 900 00
219,571 48

806, 900 00
342,120 31

797,400 00
462, 988 87

829, 759 32
320, 712 32

2, 201,135 00

2,140, 335 00

2,145, 890 00

2,197,900 00

2,204, 535 00
1,369 00

7,776 50

3,570 00

2, 58*3 00

12, 822 00

Individual deposits
U S. deposits . . Dep'ts U. S. dis. officers

4, 815, 937, 65
430, 643 66
105, 633 47

4, 969, 568 79
384, 767 31
81, 859 83

4, 812, 878 78
407, 801 45
59,004 54

5,135, 934 64
398,195 07
55, 501 35

5, 282, 546 37
361, 897 74
57, 621 76

Due to national banks.
Due to State banks

280, 378 87
228,117 74

302, 280 60
240, 605 66

196,726 88
235,551 07

250, 081 22
239, 281 06

218,715 83
212,256 85

Notes re-discounted...
Bills payable

64, 989 72

53, 418 74

27, 473 35
400 00

33, 665 94
400 00

75, 724 62
400 00

12,791,172 24

12, 642, 883 9L

12, 317, 761 38

12, 806, 921 15

12, 855, 356 81

Total

'WEST VIRGINIA.
15 banks.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation.

15 banks.

15 banks.

15 banks.

$1, 746, 000 00

$1, 746, 000 00

$1, 746, 000 00

$1, 746, 000 00

442, 540 89
149, 750 79

447, 035 09
49, 740 40

398,853 06
116,043 81

396, 433 06
156,504 39

410,313 17
113,873 38

1, 388, 828 00

1, 394, 288 00

1, 407, 463 00

1, 394, 543 00

1,406,613 00

15 banks.
$1, 746, 000 00

6, 713 00

19,819 90

14, 939 50

10, 767 50

12, 783 50

1, 246, 652 04

1, 310, 517 37

1, 280, 438, 27

1,199, 012 C6

1, 296, 785 47

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

57, 388 48
32, 827 31

54, 466 31
33, 862 57

86,311 35
41,391 92

Notes re-discounted . . .
Bills payable

4, 061 00
5, 000 00

4, 061 00
5, 000 00

6,130 00

Dividends unpaid
Individual deposits
Dep'ts U. S. dis. officers

Total




5, 079, 761 51

5,061,790 64

5, 097, 570 91

87,581 65
31,959 02

66,167 24
41, 000 33

4,850 00
5, 000 00

6,041 11

5,032,651 28

5, 099, 577 20

30

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Abstract of reports since October 2, 1876, arranged
NORTH

CAROLINA.

DECEMBER 22.

JANUARY 20.

APRIL 14.

JUNE 22.

OCTOBER 1.

15 banks.

15 banks.

15 banks.

15 banks.

15 banks.

Resources.
Loans and discounts..
Bonds for circulation .
Bonds for deposits
TJ. 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

$3, 559, 918
1, 460, 000
150, 000
12, 900
308, 743
692, 838
189,313
115, 969
309,177
61,958
145,778
32,102

94
00
00
00
24
79
05
23
70
24
67
50

$3, 394, 365
1, 460, 000
150,000
42, 900
311,980
481,737
275, 557
122,410
320, 745
13,258
147,212
34,268

142,
8,
34,
396,

00
48
93
00

182, 260
12,801
43, 092
477, 310

769
500
020
093

162, 477
12, 559
60,612
490, 436

86
00
00
00
11
13
67
22
55
53
35
42
00
92
72
00

62, 905 00

64,005 00

66,105 00

7, 533, 903 71

7,340,161 48

12 banks.

Total

00
19
20
00

$3, 604, 659
1, 460, 000
150, 000
43, 400
311,595
188,787
152, 027
95, 943
323, 818
45, 057
147, 345
25, 336

7, 682, 988 77

SOUTH

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'fV of deposit.
Due from U. S. Treas.

29
00
00
00
92
22
04
24
46
14
43
58

101,924
7, 409
37,210
342, 098

00
37
39
00

90, 064 00
11, 607 05
48,219 13
380, 632 00
51,391 00

$3,873,251
1,414,000
150, 000
44, 000
326,230
130, 717
104, 576
98, 698
350,130
50, 882
131, 168
17, 528

39
00
00
00
81
43
72
19
70
33
79
63

68,917
10, 140
57, 962
275, 420

00
32
73
00

62, 267 05

7,150,658 88

7,165, 890 09

12 banks.

12 banks.

$3,144, 027 25
1, 385, 000 00
150,000 00
20, 000 00
672, 440 07
1,021,778 05
496, 088 01
127, 902 86
240, 086,18
17.967 29
69, 396 98
30, 944 23
233,
8,
38,
442,

24
00
00
00
48
37
03
78
20
94
15
51

12 banks.

CAROLINA.

12 banks.

$3, 386, 586 29
1, 385, 000 00
150, COO 00
20, 000 00
678,019 52
849,136 52
406,401 02
169, 666 13
240,286 18
105, 997 37
76, 682 82
69,401 79

$3, 679, 617
1, 414, 000
150, 000
103, 400
308,271
155, 630
103,001
76, 446
349, 058
59,144
146, 429
23, 746

847
237
456
450

00
29
99
00

$3,214,406 17
1, 385, 000 00
150, 000 00
70, 000 00
660, 597 90
365,294 17
239, 623 28
191,712 93
239, 372 17
83, 946 93
71, 753 05
23, 502 30
193,945
11,499
46, 485
562, 493

00
60
56
00

$3,258, 425
1,415,000
150,000
55, 000
626, 725
470, 461
204, 752
96,301
243, 380
119,965
68,149
13,161

36
00
00
00
00
27
08
82
27
18
15
05

$3, 880, 166
1, 415, 000
150, 000
55, 000
627, 082
64,115
92, 055
78, 747
242, 338
74, 507
58,176
28, 035

11
00
00
00
92
80
41
31
93
91
60
00

152,254
9, 829
47, 505
353, 010

00
74
91
00

83, 352
7, 052
44,173
187,145

00
75
04
00

65, 335 00

62, 093 76

65, 892 54

62, 594 69

60, 623 72

8,091,154 40

8,160, 715 96

7, 575, 524 60

7, 346, 515 52

7,147, 572 50

GE ORGI A.
12 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




12 banks.

12 banks.

11 banks.

12 banks.

$2,421,017 75 $2, 323,222 52 $2, 367, 782, 47 $2,292,139 96
$2,775,108 33
1,989,500 00
2, 014, 900 00 2, 014, 900 00
1,939, 500 00 1, 977, 000 00
125, 000 00
125, 000 00
125, 000 00
125, 000 00
125, 000 00
41, 900 00
25, 900 00
500 00
165, 210 37
158, 799 53
148, 864 26
147,754 26
143,650 01
601,257 29
495, 943 69
234, 732 64
130, 279 24
41,982 65
184,773 19
231,503 35
204, 469 41
154,932 44
80, 454 08
263,148 37
348,156 26
148,245 14
97, 390 06
225, 748 49
232, 088 32
230, 967 74
216, 588 79
233,189 57
238, 423 86
85, 255 07
21, 800 37
77, 559 76
48, 287 72
37, 592 78
105, 926 44
103, 7^8 45
90, 889 74
89,149 61
74, 432 82
110, 697 85
101, 045 96
21, 070 83
69,113 99
62, 495 57
326,714 00
9, 629 99
56,189 05
541, 279 00
9, 238 17
7,332,324 86

249, 684 00
11,937 05
70,971 43
771,764 00
92, 373 74
7, 351, 858 09

165,949 00
16. 571 57
73, 769 78
559, 840 00
88, 038 18
6, 687,140 98

207,344 00
14,157 87
77, 574 04
408, 060 00

152,114 00
10, 319 96
77, 052 35
392, 854 00

89, 776 16

88, 263 10

6,166, 772 23

6, 369, 399 28

31

REPORT OF THE COMPTROLLER OF THE CURRENCY.
by States and reserve cities—Continued.
NORTH

CAROLINA.

DECEMBER 22.

JANUARY 20.

APRIL 14.

JUNE 22.

OCTOBER 1.

15 banks.

15 banks.

15 banks.

15 banks.

15 banks.

Liabilities.
Capital stock
Surplus fund1
Undivided profits
Nat'l bank circulation.
State bank circulation.
Dividends unpaid
Individual deposits
U. S. deposits
Dep'tsU.S. dis. officers

$2, 556, 000 00

$2, 556, 000 C
O

$2, 556, 000 00

$2, 601, 000 00

257,281 44
388, 510 61

273, 511 87
227, 649 28

274, 070 20
306, 601 51

274, 070 20
373, 612 54

1,309,505 00

1,305, 020 00

1,296,515 00

1,264,235 00

$2, 601, 000 00
286,534 41
309, 583 65
1, 271, 515 00

4,120 00

13, 559 00

2, 363 00

2, 785, 457 75
112,336 70
56, 338 99

2, 893, 746 71
103,009 95
42,676 11

2,588,289 10
114, 498 82
32, 717 83

82,311 67
28, 271 27

92,719 15
16, 609 37

82, 697 39
23, 829 37

56, 942 86
15, 475 33

2, 037 00
2, 243, 874 61
92,299 51
30, 376 39

2, 453 75
2, 252, 615 09
120,103 05
15,472 05

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

46, 440 23
25,051 63

Notes re-discounted . . .
Bills payable

85, 446 42
56, 500 00

8,147 85

29, 772 50
30, 000 00

47, 626 87
115, 000 00

159,194 90
75,000 00

7, 682, 988 77

7, 533, 903 71

7, 340,161 48

7,150, 658 88

7,165, 890 09

Total

SOUTH

CAROLINA.

12 banks.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation.

12 banks

$3,185, 000 00

$3,185,000 00

$2, 879, 200 00

$2, 879,200 00

$2, 870, 700 00

462,174 58
347, 984 34

479,300 72
137, 640 43

475, 630 45
244,119 01

475, 630 45
336, 897 31

449, 942 89
241,867 00

1, 236, 345 00

1, 236, 845 00

1,190,550 00

1,122, 760 00

1,224,145 00

12 banks.

12 banks.

12 banks.

10, 650 50

22, 487 50

11,919 50

10, 781 50

15, 344 50

Individual deposits
U. S. deposits
Dep'tsU.S. dis. officers

2,168, 795 69
35,162 41
66,235 71

2, 384, 373 20
49, 976 21
46, 817 23

2,223, 529 12
85, 003 80
54, 940 21

2,129, 640 89
50, 496 42
89, 421 32

1, 622, 694 56
62, 383 68
53, 695 47

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

276, 031 74
151, 774 43

270, 478 28
212, 797 39

182, 972 80
147,659 71

97, 336 98
74, 350 65

186, 770 07
57, 243 82

Notes re-discounted . . .
Bills payable

76, 000 00
75, 000 00

60, 000 00
75, 000 00

30, 000 00
50, 000 00

30, 000 00
50, 000 00

177, 785 50
185, 000 00

8, 091,154 40

8, 160,715 96

7, 575, 524, 60

7,346,515 52

7,147,572 50

12 banks.

Dividends unpaid

Total

GEORGIA.
12 banks.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation
State bank circulation.

12 banks.

12 banks.

11 banks.

$2, 334, 540 00

$2, 290, 540 00

$2,165, 540 00

$2, 066, 000 00

$2,141, 000 00

460, 901 27
284,270 69

470, 577 33
172,180 35

470, 577 33
201,433 13

375,077 33
258, 617 96

353,147 55
163, 563 74

1,723, 515 00

1,72*3,369 00

1, 666, 877 00

1, 603, 988 00

1, 624,197 00

3, 021 00

11,320 00

7, 062 00

Individual deposits
U. S. deposits
Dep'tsU.S. dis. officers

2, 188, 666 97
70,160 55
81, 668 32

2, 344, 799 20
70, 081 62
63, 723 23

1, 929,188 98
51,715 81
59,260 70

1, 651,382 70
37,051 06
58, 493 64

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

60,719 27
108,171 87

76, 805 46
111, 058 38

81,160 02
32, 570 13

56, 328 43
52, 203 11

215, 630 48
] 27, 346 72

Notes re-discounted . . .
Bills payable

16, 689 92

17, 403 52

21, 755 88
3, 000 00

22, 087 24
10,500 C
O

6,166, 772 23

6, 369,399 28

Dividends unpaid

Total




7,332, 324 86

.

7, 351, 858 09

6, 687,140 98

4, 630 00

12, 798 00
1, 593, 697 93
86,891 61
18, 539 01

32

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Abstract of reports since October 2, 1876, arranged
FLORIDA.
DECEMBER 22.

JANUARY 20.

APRIL 14.

JUNE 22.

OCTOBER 1.

1 bank.

1 bank.

1 bank.

1 bank.

1 bank.

Loans and discounts..
Bonds for circulation.

$62, 768 48
50, 000 00

$66, 252 55
50, 000 00

$95, 040 09
50, 000 00

$79, 533 20
50, 000 00

$77,260 09
50,000 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 b a n k s . . .
Fractional currency . .
Specie
Legal tender notes
IT. S. cert'fs of deposit.
Due from U. S. Treas.

1,000 00
4, 000 00
13, 439 34
2,145 38
746 47
2, 667 00
2,704 56
4, 407 80
1,248 84

1,000 00
4, 000 00
3,316 80
322 98
3, 969 10
2, 678 90
3,754 96
4, 407 80
1, 456 81

1,500 00
6,311 44
16,541 71
190 36
1,515 00
2, 687 40
2,429 13
4, 444 05
3, 534 61

1, 500 00
6,131 66
6, 435 39
153 20
127 27
2, 687 40
4,141 73
4, 423 24
5, 018 04

2 30
70
11, 738 90
814 12
4, 357 61
2, 165 20

10, 754 00
79 32
770 08
10, 317 00

16, 491 00
312 50
500 00
9,515 00

2, 498 00
725 95
1,113 00
25, 516 00

2,103 00
727 58
1, 484 33
15,084 00

715 00
690 52
967 85
9, 000 00

2, 271 57

3, 211 82

29,250 00

2, 250 00

2, 262 41

243, 296 74

181,800 04

167,234 66

Resources.

Total

169,319 84

171,190 22

7, 259 96

AL AB AM A.
10 banks.

10 banks.

10 banks.

10 banks.

10 banks.

Loans and discounts..
Bonds for circulation..

$1,415,531 47
1, 606, 000 00

$1, 249, 895 20
1, 606, 000 (JO

$1, 317, 004 49
1, 601, 000 00

$1, 472, 223 23
1, 601, 000 00

$1,760,492 16
1,521,000 00

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 . .

89 150 no
120, 683 74
2b7, 584 11
111,461 85
29, 727 86
164, 559 12
49, 447 88
164, 447 57
130 628 ?1

79 150 00
133, 284 38
349,175 94
176, 679 24
41, 632 66
162, 664 82
11,821 85
156, 836 27
95, 241 50

140 100 00
101,741 41
202,174 4.S
98, 055 36
68, 896 09
162, 468 57
41,891 26
150,931 51
27 630 o^

130 500 00
99,614 43
163,928 78
123, 793 14
64, 944 26
162, 465 02
54,231 35
150, 500 20
42 574 84

114,815 02
65,998 22
78, 573 31
42, 298 47
159, 683 54
27, 675 39
107, 272 53
24 728 47

79, 447 00
7, 192 62
39 Of 5 *>]
213', 376 00

101, 341 00
6,665 85
32 846 50
257, 223 00

84, 500 00
8,144 76
39 818 Ofi
286, 561 00

35, 050 66
8, 275 91
42 093 45
168,179 00

61, 542
4,586
31 349
165,891

Legal tender notes
IT S cert'fs of depositDue from U. S. Treas.
Total

63, 520 01

70, 620 01

79, 361 40

71, 945 00

65, 440 00

4, 571, 783 05

4, 531, 078 31

4, 410, 279 57

4, 391, 518 62

4, 231, 346 09

CITY

OF NEW

7 banks.

f banks.

Loans and discounts..
Bonds for circulation..

$6,414,663 75
983, 500 00

$6, 056, 079 53
983, 500 00

XJ 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 banks...
Fractional currency . .
Specie
Legal tender notes . . .
XJ S cert'fs of deposit
Due from XJ. S. Treas.

301,321 33
1,013,199 82
435, 829 11
295, 952 07
522, 267 48
147,147 25
69, 782 90
9 468 46
1, 457, 310 06
121,226 00
14,441 19
297, 758 78
1,427,006 00

Total




00
38
60
00

ORLEANS.
7 banks.

7 banks.

7 banks.

$5, 942,115 59
1, 033, 500 00

$6,237, 051 97
1, 083, 500 00

$6. 596, 758 78
800, 000 00

1 914 291 00

300 000 00
292,710 99
1,577,069 12
255,138 57
393,841 89
481, 285 99
98, 605 91
94, 252 89
2 665 6?
906, 433 60
196, 251 00
16, 000 43
330, 388 34
1, 639, 405 00

296, 298 04
1, 850, 921 97
205, 622 45
257, 235 47
490, 633 18
142, 360 03
72, 980 72
1 785 60
508, 278 82
184, 054 00
21,021 08
287,164 03
1, 591, 051 00

290, 765 46
40:J, 869 42
242, 076 78
96, 008 00
531,535 22
88, 807 90
52, 282 37
24, 458 :w
695, 249 29
97, 740 00
7,077 58
185, 973
1,207, 091 00

48, 250 00

57 150 00

59, 000 00

52, 693 00

38,100 00

13, 559,124 20

13 598 396 50

13, 618, 664 95

13, 282, 651 45

11,357,793 39

294, 914
1, 119,517
258 267
510 925
478 449
16 956
64 954
e 979
1, 222 548

05
87
97
58
77
57
87
0-1
02
159, 071 00
10 212 68

442 577

6ri

.

33

REPORT OF THE COMPTROLLER OF THE CURRENCY.
by States and reserve cities—Continued.
FLORIDA.
DECEMBER 22.

JANUARY 20.

APRIL 14.

1 bank.

1 bank.

1 bank.

1 bank.

$50, 000 00

$50,000 00

$50, 000 00

$50, 000 00

$50, 000 00

1,025 75
6,275 22

1, 025 75
7, 128 45

1, 500 00
4,348 99

1, 500 00
6,771 67

1, 660 00
1,557 48

42, 880 00

42,180 00

39, 480 00

38, 200 C
O

45, 000 00

69,138 87

70, 856 02

147, 946 69

83, 900 02

48, 088 09

151 02
1,277 33

20, 929 09

21 06

243, 296 74

181, 800 04

167, 234 66

JUNE 22. *

OCTOBER 1.

Liabilities.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation
State bank circulation.

lbank. •

Dividends unpaid
Individual deposits
U. S. deposits
Dep'ts U. S dis. officers
Due to national banks
Due to State banks . .
Notes re-discounted
Bills payable
Total .

169,319 84

171,190 22

ALABAMA.
10 banks.

10 banks.

Nat'l bank circulation .
State bank circulation
Dividends unpaid

$1,693,000 00

$1, 608, 000 00

$1,668,000 00

$1, 668, 000 00

168, 160 16
116,258 42

Surplus fund
Undivided profits

10 banks.

$1, 693,000 00

Capital stock

183,692 68
33,899 77

177, 493 73
113,293 90

177, 493 73
153, 776 15

186, 436 84
76, 706 87

1, 442, 970 00

1, 440, 220 00

1,419,740 00

1, 394, 620 00

1, 348, 975 00

10 banks.

10 banks.

1,937 00

5, 225 00

2,187 00

2, 048 00

2, 560 00

Individual deposits
U. S. deposits
Dep'ts U. S. dis. officersDue to national banks
Due to State banks . . .

957,738 05

1, 061, 066 70

956, 753 58

958, 737 41

767, 785 57

50, 760 27
109, 544 47

56,156 38
54,817 78

30, 089 02
38, 722 34

8, 632 55
23,210 78

30, 949 58
20,691 74

Notes re-discounted . . .
Bills payable

31,414 68

3, 000 00

4,000 00

5, 000 00

108, 476 49
20,564 00

4,410,279 57

4,391,518 62

4,231,346 09

Total

4, 571, 783 05

4,531,078 31 |

CITY
7 banks.
Capital stock

I.

OF NEW
7 banks.

ORLEANS.
1

7 banks.

7 banks.

7 banks.

$3, 300, 000 00

$3,310,000 00

$3,300,000 00

$3, 300,000 00

$3,300,000 00

Surplus fund
Undivided profits

516,510 46
399,732 12

504, 763 28
153, 457 28

502, 636 04
305, 908 96

502, 636 04
450, 148 74

515,898 82
268, 785 87

Nat'l bank circulation.
State bank circulation.

884, 200 00

884, 000 00

883, 355 00

682, 849 00

712, 500 00

Dividends unpaid

14, 540 43

58, 658 91

15, 535 11

13, 797 44

19, 059 '21

Individual deposits
U S deposits
Dep'ts U.S. dis. officers

7,745,041 55

8, C88, 970 08

7, 988, 047 61

7, 418, 802 55

5, 237, 164 23

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

219,193 37
479, 916 27

155,105 10
453,441 85

152, 053 31
471,128 92

142,389 65
572,028 03"

401,763 63
745, 442 28

Notos re-discounted. . .
Bills payable

Total

57,179 35
1C0, 000 00
13,559, 124 20

H. Ex. 3-




13,598,396 50

13, 618, 664 95

13,282,651 45

11,357,793 39

34

EEPORT OF THE COMPTROLLER OF THE CURRENCY.
Abstract of reports since October 2, 1876, arranged
TEXAS.
DECEMBER 22.

JANUARY 20.

APRIL 14.

JUNE 22.

OCTOBER 1.

10 banks.

0

10 banks.

10 banks.

12 banks.

12 banks.

$1,519,876 20
624, 000 00
175, 000 00

$1,492,125 59
624, 000 00
175, 000 00

$1,601,492 79
624, 000 00
175,000 00

$1, 589, 973 69
684, 000 00
175, 0J0 00

$J, 706,353 89
684, 000 00
175,000 00

58,175 05
322, 058 03
183, 369 83
181,915 49
187, 785 30
37, 709 81
21, 202 07
20,155 21

63,513 91
201,471 06
93, 663 69
146,235 46
178, 129 01
17,531 19
21,842 39
8,117 54

53. 965 93
223,884 39
88,793 15
110,971 20
180, 438 09
22, 460 37
19,3(16 60
8, 659 46

34,177 26
271,843 76
110,684 14
202, 365 79
189,245 52
35,955 18
22, 657 44
25, 404 16

79,147 39
146,273 13
160,143 60
169, 697 79
164, 044 81
31,112 21
21,618 29
24,341 69

124, 943
16, 185
65, 888
306, 408

166, 836 00
15,546 84
107, 186 20
504, 222 00

123, 859
15,415
145,665
352,268

128, 316
14,764
145, 187
348, 410

123,381
15,813
127, 652
342,064

Resources.
Loans and discounts ..
Bonds for circulation..
Bonds for deposits
IT. S. bonds on hand ..
Other stocks and b'ds.
Due from res've ag'ts.
Due 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

00
66
59
00

00
79
52
00

00
13
87
00

00
26
91
00

28, 029 47

28, 956 77

35, 422 72

45,291 63

31, 882 61

3,872,701 71

3, 847, 377 65

3,781,603 01

4, 023, 276 57

4, 002, 5-26 58

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
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.

;

$255, 313 90
105,000 00
50, 000 00

$262,195 33 !
JOS, 000 00 i
5J, 000 00 |

39,590
49, 469
21, 862
1, 191
19,408
593
4,925
2,266

13
90
77
00
88
51
00
06

38,842 19
60, 840 83
5, 728 98
1,220 95
19,408 88
874 68
3, 925 00
4, 827 85

!
|

13,734
757
1,112
41.000

00
24
00
00

13, 256
1,221
747
40, 200

|
j
i
:

66
97
30
00

:
!
I

2 banks.

2 banks.

2 banks.

$263,514 62
205,000 00
50, 000 00

$222, 652 57
205, 000 00
50, 000 00

$238,770 40
205, 000 00
85,000 00

36,127 33
34, 802 79
19, 752 52
3,891 32
16,408 88

47, 699
29,902
14,839
2, 758
15, 619

13, 233 75
4, 753 98

47, 413 26
44, 938 83
13, 325 56
1,563 24
16,429 88
278 76
12,921 88
1,904 24

9, 183 66
1,051 77
7, 483 01
30, 500 00

7,189 00
529 84
4, 596 35
25, 100 00

6,112 00
641 86
760 00
26, 325 00

32
11
73
79
00

12,564 00
2,156 41

4,725 00

5,025 00 ;

8,012 38

9,537 89

9,886 28

610,949 39

613,314 96 1

703,715 35

669,381 30

698, 034 90

KENTUCKY.
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




39 banks.

39 banks.

$8, 759, 977 54
5, 749, 850 00
110,000 00
10, 050 00
57, 995 72
1,251,758 27
637, 589 90
2-22, 441 82
432, 574 21
90, 130 9L
354,101 54
28, 258 59

$8, 698, 873 72
5, 774, 850 00
110,000 00
10,000 00
63, 883 50
1,114,070 56
594, 525 71
243, 943 45
437, 794 6?
26, 762 27
346, 863 38
25, 483 67

$9, 045, 920 78
6, 026, 850 00
110,000 00
10, 400 00
67, 370 15
618,477 74
459,010 86
214,100 72
438, 282 42
78, 996 65
364,619 53
28,7J4 15

205, 465
9,467
56, 756
556, 829
5,000
261,239

124, 936
7,355
57, 362
474,516
5, 000
263,214

192, 572 00
10,010 36
33, 027 24
553,011 00
5, 000 00
263, 057 88

00
18
67

no

00
94

38 banks.

00
26
37
00
00
54

38 banks.

$9, 114,779 77
5, 966, 850 00
110, 000 00
8, 200 00
67,831 65
572, 426 77
471, 384 91
169, 664 21
444, 334 94
109, 115 07
359,796 13
25, 602 64

$8, 937, 468 35
5, 984, 850 00
110,000 00
24, 600 00
73, 456 90
576, 866 35
440, 506 00
210,154 79
433,581 80
60, 545 83
315, 225 02
23, 022 69

172,051 00
6, 936 62
52, 945 85
474, 900 00
5, 000 00
251,029 00

195,814 00
7, 393 47
51,833 13
432, 362 00
15, 000 00
264, 739 38

18, 761,406 98 j 18,541,808 7 2 ! 18, 395, 127 17 j 18, 382, 848 56 J 18,157,419 71

35

REPORT OF THE COMPTROLLER OF THE CURRENCY.
by States and reserve cities—Continued.
TEXAS.
JANUARY 20.

APRIL 14.

JUNE 22.

OCTOBER 1.

10 banks.

10 banks.

10 banks.

12 banks.

12 banks.

DECEMBER 22.
Liabilities.
$1,025,000 00

$1, 025, 000 00

$1, 025, 000 00

$1,125, 000 00

$1,125, 000 00

Surplus fund
Undivided profits

285, 889 43
142, 742 57

279,139 43
90,055 12

285,139 43
103, 322 36

290, 694 98
113,924 26

294, 365 83
126, 573 73

Nat'l bank circulation.
State bank circulation

555, 230 00

552,130 00

547,169 00

555,169 00

592,249 C
O

Capital stock

7, 527 50

855 00

40 00

15, 040 00

662 50

Individual deposits
IT. S. deposits
Dep'tsU. S. dis. officers

1,404,854 88
78, 923 50
248, 995 0L

1, 502, 266 52
120,017 44
162,551. 82

1,342,815 59
68, 245 60
306, 848 75

1,401,107 32
111,552 92
230,152 43

1,413,365 15
203,320 97
56, 323 07

Due to national banks
Due to State banks . . .

31,427 15
87, 111 67

38,761 87
66, 600 45

27, 680 45
75,341 83

56, 882 49
113,617 67

26,416 45
126, 349 88

Notes re-discounted . . .
Bills payable

10,135 50
5, 000 00

10, 000 00

9, 400 00
28, 500 00

3,872,701 71

3, 847, 377 65

4, 023, 276 57

4, 002, 526 58

Dividends unpaid

Total

3,781,603 01

ARKANSAS.
2 banks.

2 banks.

2 banks.

2 banks.

$205 C O 00
O

$203 000 00

$205, 000 00

$205 000 00

$205 000 00

Surplus fund
Undivided profits

29, 000 00
13, 236 77

30, 375 00
7,415 91

30, 375 00
6,547 66

30, 375 00
8,578 11

30, 375 00
8, 910 07

Nat'l bank circulation
State bank circulation

94, 000 00

93, 800 00

165, 500 00

183, 900 00

184, 500 00

Individual deposits
U S deposits
Dep'tsU. S. dis. officers

205,317 97
39, 882 79
2,914 98

213,763 45
50, 415 94
3,399 24

227, 255 36
35, 166 01
9,830 77

174, 290 73
42, 068 27
9,409 49

186, 443 21
69, 988 02
9,217 52

Due to national banksDue to State banks . . .

19, 780 14
1,816 74

1,470 78
4,924 64

17, 834 32
3,621 23

14,941 60
818 10

2,554 40
1.U46 68

610, 949 39

613, 314 96

703, 715 35

669,381 30

698, 034 90

Capital stock-. . . . .

2 750 00

2 585

Notes re-discounted
Bills payable
Total

2 banks.

on

...

KENTU CK Y.
39 banks.
Capital stock

$6 951 000 00

39 banks

39 banks.
$6, 951, 000

on

$7, 001, 000 00

38 banks.
$6 941,000

38 banks.

no

$6,941,000

on

Surplus fund
Undivided profits

1,153,871 39
606, 022 01

1,188,538 99
317, 097 40

1,201,896 81
487, 794 62

1, 200, 587 88
628, 265 05.

1, 225, 540 67
426, 255 21

Nat'l bank circulation.
State bank circulation

5,124,138 00

5, 155, 748 00

5,361,583 00

5,301,942 00

5, 329, 267 00

Dividends unpaid . . . .

11,718 70

40, 800 70

17, 884 20

11,831 70

34,174 20

Individual deposits....
U. S. deposits
Dep'ts U. S. dis. officers

4,082,216 66
99,707 49
296 00

4, 080, 020 81
84, 496 50
204 00

3, 629, 377 78
19,042 57
65, 487 92

3, 518, 966 34
66, 986 90
128 00

3, 573, 095 35
99, 741 00
2,731 33

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

300,272 12
397, 133 31

2? I, 688 8')
420, 420 18

221, 424 16
279, 911 24

215,993 47
322, 6i9 47

200, 453 72
266, 218 49

Notes re-discounted . . .
Bills payable

19,535 72
15,495 58

8,500 00
13, 293 34

36, 849 00
72, 875 87

139, 457 75
35, 000 00

34,812 54
24,130 20

18,761,406 98

18,541,808 72

18, 395,127 17

18, 382, 848 56

18,157 419 71

Total




36

EEPORT OF THE COMPTROLLER OF THE CURRENCY.

Abstract of reports since October 2, 1876, arranged
CITY OF LOUISVILLE.
DECEMBER 22.

APRIL 14.

JANUARY 20.

JUNE 22.

OCTOBER 1.

Resources.
8 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, «fec
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

8 banks.

|

$4,710,089
2, 844, 700
400, 000
100, 000
71,269
278,970
125,320
133, 717
231,713
25, 839
296, 490
26,261

35
00
00
00
86
16
14
12
40
69
67
77

$4, 724, 539 64
2, 844, 700 C
O
400, 000 00
100,000 00
68,917 65
316,410 91
136, 114 74
98,907 14
231, 723 90
32,216 60
294, 990 67
47. 875 14

46, 255
2,614
7, 643
448, 284

00
35
00
00

76, 233
2, 141
12,180
545,758

8 banks.

8 banks.

8 banks.

$4, 859, 370 57
2, 844, 700 00
500, 000 00

$4, 894, 674 39
2, 844, 700 00
500, 000 00

$4, 767, 746 04
2, 644, 700 00
500, 000 00

67,134
234, 527
131,319
140, 239
232,904
68,412
276,476
43, 694

63
24
37
87
50
58
17
25

59, 427
274, 013
138, 445
118,031
232,425
32, 382
267, 396
47,919

25
15
91
60
61
14
25
60

48, 027
239,343
145,565
122,484
240,101
60, 545
255,597
60,860

94
03
31
23
07
29
05
11

84, 523 66

75, 757
1,515
20, 759
441,192

00
59
90
00

36,878
2, 282
14,409
411,116

00
44
45
00

00
82
01
00

2, 835 43
35, 595 50
498, 050 00

125, 280 40

134,030 21

132,162 68

128, 660 81

113,929 31

9,874,448 91

10, 066, 739 43

10,151,945 79

10,077,301 20

9, 663, 585 27

TENNESSEE.
25 banks.

25 banks.
Loans and discounts..
Bonds for circulation .
Bonds for deposits
II. 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 . .
Legal tender notes
TI. S. cert'fs of deposit.
Due from U. S. Treas .
Total

25 banks.

25 banks.

25 banks.

14
00
00
00
54
80
36
64
46
85
33
84

$4,641,413
2, 584, 000
400, 000
61,150
145,061
881,325
386, 462
225, 442
352,313
61,128
186,119
186, 479

79
00
00
00
62
91
22
54
85
67
77
««

$4, 760, 309
2,616,000
400, 000
104, 300
180,400
790, 053
517,657
294, 445
372, 872
109, 461
195, 896
141,582

95
00
00
00
16
82
72
48
80
93
18
69

$4, 696, 606
2, 604, 000
450, 000
180,150
157, 362
589,511
491, 755
230,899
369,702
133,457
197, 317
89,571

93
00
00
00
58
38
53
98
74
07
67
01

$5,059,597
2, 614, 000
450, 000
213,200
175, 580
395, 950
312,185
184,852
367, 323
75,905
204, 203
130,888

438. 592 (0
15,573 96
68, 541 pq
794,690 00

660, 379
18, 172
100,344
1,037, 135

00
92
94
00

320, 786
18,534
99, 086
939, 7U3

00
30
95
00

508, 073
22,112
98, 250
983, 883

00
98
03
00

308,681
22, 946
117,898
732, 628

$4, 936, 476
2, 664, 000
400, 000
3,000
155, 594
795, 308
. 381,760
222, 158
321, 197
122,654
186,874
161,928

17
00
00
00
01
45
31
74
97
47
40
11
00
42
95
00

133,465 42

123, 924 37

137, 509 46

129, 499 28

124, 746 41

11,781,817 33

12, 050, 853 52

1], 998,519 74

11,932,153 18

11,490,587 41

OHIO.
158 banks.
Loans and discounts.. $33,842,421 77
Bonds lor circulation . 18, 354, 850 00
510,000 00
Bonds for deposits
402, 200 00
II. S. bonds on h a n d . . .
851,663 50
Other stocks and b'ds.
3, 162, 555 13
Due from res've ag'ts.
1, 082, 384 45
Due from nat'l banks.
558, 146 19
Due from State banks.
1,593,816 81
Real estate, &c
219,522 46
Current expenses
297,317 48
Premiums paid
391,447 36
Clearing-house exch'gs
Bills of other banks . .
695, 825 00
Fractional currency . .
62, 843 48
Specie
141,924 49
2, 856, 126 00
Legal tender notes . . .
TT. S. cert'fs of deposit.
Due from U. S. Treas.
831, 948 44
Total




65, 854, 992 56

158 banks.

156 banks.

$33, 629,103 86
16, 301, 750 00
510, 000 00
465, 550 00
814,240 98
3, 628, 320 78
1,114,947 98
627,567 93
I,59l,8t8 73
190,095 46
292, 162 18
371,508 55
718,526
72, 382
191,260
3,149, 109

00
99
66
00

157 banks.

$33,192,132
17, 854, 750
500, 000
575, 450
763,880
2, 428, 903
884 069
413, 369
1,524,965
424,147
311,316
397, 533

53
00
00
00
41
21
28
50
08
88
42
29

859,146
67,710
197, 557
3, 346, 060

00
34
21
00

843, 927 85

828,784 77

66, 512, 342 95

64, 569, 775 92

$32,904,036
17, 784,750
500, 000
593,100
814,105
3, 288, 858
1,125,815
592,332
1, 552, 358
213, 670
303, 076
353, 080
727,
62,
205,
2, 899,

715
598
597
643

153 banks.
16
00
00
00
56
30
69
93
95
25
82
87

$32, 666, 977 64
17,314,750 00
500, 000 00
944,100 00
775,106 66
2, 707, 525 87
946, 950 62
508,142 24
1,557,470 42
413,790 54
301,249 15
384, 649 06

00
00
36
0J

711,941
63,604
231,317
3, 156, 806
10, 000
791,566

777, 492 30
64,699,231 19

00
30
12
00
00
94

63, 985 947 56

REPORT OP THE COMPTROLLER OF THE CURRENCY.

37

by States and reserve cities—Continued.
CITY

APRIL 14.

JUNE 22.

OCTOBER 1.

8 banks.

8 banks.

8 banks.

8 banks.

$3, 095, 500 00

$3, 095, 500 00

$3, 095, 500 00

$3, 095, 500 00

$3, 095, 500 00

348, 676 90
184, 784 90

351, 176 90
178, 000 77

360,5:66 90
269,551 02

364,022 77
194,309 70

340, 639 30
250, 666 93

2, 555, 399 00

2, 555, 979 00

2, 539, 569 00

2,541,369 00

2, 365, 569 00

DECEMBER 22.

Liabilities.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation

OF LOUISVILLE.

8 banks.

JANUARY 20.

6,125 50

9, 090 50

3, 235 50

3, 748 50

10, 270 50

Individual deposits
U. S. deposits
Dep'ts U. S. din. officer*

1,526,666 20
244,947 18
170, 604 62

1,549,022 56
243, 400 09
134,619 35

1, 660, 823 09
335, 980 20
111,267 25

1,657,225 60
343, 100 24
127,248 75

1, 683, 679 53
222,138 87
198, 046 30

Due to national banks.
Due to State banks

824, 043 39
801, 900 28

1,016,439 85
731,510 33

1,092, 712 80
584, 040 03

957, 045 97
679,159 43

652, 692 68
690,412 76

Notes re-discounted . . .
Bills payable

103,261 09
12, 539 85

100, 400 08
101, 600 00

99, 000 00

84,224 54
30, 346 70

138, 969 40
15, 000 00

9,874,448 91

10,066,739 43

10,151,945 79

10,077,301 20

9, 663, 585 27

Dividends unpaid

Total

TENNE SSEE.
25 banks.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation

25 banks.

25 banks.

25 banks.

25 banks.

$3, 350, 300 00

$3, 290, 300 00

$3, 140, 300 00

$3,100, 300 00

$3, 080, 300 00

563,906 82
359, 188 90

574,852 19
117,384 58

552.175 57
212, 762 05

551,735 57
336, 452 35

570, 817 65
207,064 57

2, 373, 461 00

2,313,941 00

2.334,391 00

2, 301, 781 00

2, 301, 741 00

2, 968 50

27, 900 50

3, 096 00

1,893 00

7, 038 50

Individual deposits
U. S. deposits
Dep'ts U. S. dis. officers

4,515,180 86
203, 897 70
154,877 16

5,171, 872 49
217,719 58
111,538 61

5, 212, 270 34
204,061 59
108,463 50

5,181,277 77
192, 575 77
120, 720 70

4,675,364 11
216,580 97
74,269 64

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

178,624 23
79,412 16

128,035-72
97, 308 85

12L.283 46
79, 796 23

88,136 27
57, 280 75

138, 499 39
68,911 58

Dividends unpaid

127, 500 00
22, 500 00

Bills payable
Total

11, 781, 817 "33

12, 050, 853 52

11, 998, 599 74

11, 932, 153 18

11, 490, 587 41

OHIO.
158 banks.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation
Dividends unpaid

158 banks.

156 banks.

157 banks.

$20, 703, 000 00 $20, 679, 900 00 $19, 909, 234 00 $19, 886, 900 00

153 banks.
$19,621,900 00

4 553,703 74
1, 791, 275 92

4 528 272 54
1,481,551 76

4 252 020 16
2,118,995 26

4 157 886 98
1,282,486 10

4 120 117 93
1,826,626 38

16,303,710 00
48,418 00

16,319,251 00
45, 344 C
O

15,794,010 00
45,295 00

15,743,328 00
45, 288 00

15,346,516 00
36, 950 00

53,394 50

69, 865 50

37,571 68

65, 114 12

28,991 50

Individual deposits.
U. S. deposits
Dep'ts U. S. dis. officers

20, 365,143 30
264, 463 44
49,149 39

21,313,832 56
324. 245 93
67, 099 03

20,407,251 66
250, 554 73
55, 869 64

21,753,660 45
225,091 25
47,900 20

21,175,718 61
227, 295 74
24, 237 89

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

589, 594 39
45C, 739 48

636,016 79
473,148 30

628, 875 78
476, 940 42

505, 883 37
429,018 73

590, 497 76
364,031 76

Notes re-discounted . . .
Bills payable

204, 312 46
472, 087 94

137, 529 60
436, 285 94

215,197 27
377, 960 32

144,974 21
4LI, 699 78

221,614 12
401,419 87

65, 854, 992 56

66,512,342 95

64, 569, 775 92

64,699 231 19

63, 985, 947 56

Total




38

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Abstract of reports since October 2, 1876, arranged
CITY

OP

CINCINNATI.

DECEMBER 22.

JANUARY 20.

6 banks.

6 banks.

JUNE 22.

APRIL 14.

OCTOBER 1.

Resources.
Loans and discounts.. $10, 092, 932 49 $10,447,972 93
3, 702, 200 00
3, 702, 200 00
Bonds for circulation .
706, 500 00
706, 500 00
Bonds for deposits
606, 150 00
609, 700 00
U. S.bonds on hand . .
249, 579 57
268, 335 50
Other stocks and b'ds.
1,548,065 61
1, 284, 298 86
Due from res'veag'ts.
351,554 88
335,233 89
Due from nat'l banks
332,323 21
345, 723 40
Due from State banks
217,315 84
217,717 61
Real estate, &c
27,153 58
130,764 86
Current expenses
66, 858 38
72,191 40
Premiums paid
91,432 99
71,171 90
Cash items
107, 974 72
171,422 33
Clearing-house exch'g>215,046 00
255,713 00
Bills of other banks . .
9,329 07
2, 736 22
Fractional currency . .
120, 443 33
54,610 30
Specie
830, 750 00
847,165 00
Legal tender notes
610,000 00
620, 000 00
U. S. cert'fs of deposit.
183, 256 91
187,245 11
Due from U. S. Treas
Total

19,975,661 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 banks.
Real estate, &c
Current expenses
Premiums paid
Cash items
Clearing-house exch'gs
Bills of other banks . .
Fractional currency . .
Specie
Legal tender notes
IL S.cert'fs of deposit.
Due from U. S. Treas.
Total

$7,153, 179
2, 226, 000
225, 000
116,000
73, 668
887, 258
564, 589
366, 238
179,517
14.670
12, 602
125, 362
83, 045
133, 360
12, 484
18,711
618,000
35, 000
107, 078

20, 423, 907 02

32,951,766 22

6 banks.

$9, 726, 416 50
3, 702, 200 00
806, 500 00
427, 050 00
205,470 18
1,744, 675 27
459, 396 32
371,200 59
179,439 84
114, 222 88
19, 000 00
41,486 07
88, 331 37
291,291 00
2,649 56
72, 670 92
712,474 00
785, 000 00
175,151 46

$8, 903, 829 31
3, 702, 200 00
825, 500 00
337,200 00
188,156 49
1,194, 607 24
511,705 84
261,021 82
195, 439 84
87, 900 77
26,177 10
58,904 80
119,226 32
182, 636 00
1, 301 31
49, 679 84
651,317 00
915, 000 00
192,185 88

19,523,972 87

19, 924, 625 96

18, 403, 989 56

OF C L E V E L A N D .
6 banks.

53
00
00
00
15
99
10
33
59
33
45
04
95
00
22
20
00
00
29

6 banks.

6 banks.
$9,929, 578 18
3, 702, 200 00
606,500 00
508. 250 00
305, 635 38
1,188,121 61
312,296 00
428,104 18
179, 439 84
99, 455 23
19,190 35
46, 345 95
91,410 34
182, 088 00
5, 528 49
114,496 67
1, 007, OttO 00
420, 000 00
178, 332 65

6 banks.

6 banks.

6 banks.

$6,845,249 91
2,226, 000 00
225, 000 00
116,000 00
76, 545 65
1,447,960 26
584,715 89
398,544 84
179,517 59
31,887 87
12,602 45
• 75, 096 15
135, 063 36
88, 054 00
9,928 74
66,177 20
620, 000 00
35, 000 00
108,495 67

$7, 652, 978 58
2, 226, 000 00
225, 000 00
116,000 00
76, 425 65
546, 023 24
470, 304 58
234,051 82
179, 5fiO 72
94, 780 70
13, 767 00
73,568 05
81,819 99
264, 974 00
7,754 13
45,721 69
1,031,000 00
35, 000 00
132,247 66

$7, 470, 495 35
2, 226, 0C0 00
225, ^00 00
116, 000 00
69,986 77
560, 878 79
513, 287 12
384,322 04
175,221 99
13, 783 94
13,767 00
66,332 83
105,999 46
155,953 00
13,394 60
20, 758 47
783, 000 00
35, 000 00
101, 504 26

$7, 342, 801
2, 278, 000
225, 000
116,000
72, 532
585, 589
582, 760
302, 657
201, 4P5
150, 162
13, 767
89, 675
157,901
133,310
8,816
26, 047
699, 000
35, 000
94, 144

13,281,839,58

13,506,977 81

13, 050, 685 62

13,114,661 79

24
00
00
00
06
85
71
10
49
18
00
80
50
00
61
44
00
00
81

INDIANA.
99 banks.
Loans and discounts.. $26,193,093 81
Bonds for circulation . 13, 360, 200 00
Bonds for deposits
430, 000 00
IL S. bonds on hand . .
235, 700 00
Other stocks and b'ds
753,016 92
2,821,971 03
Due from res've ag'ts.
Due from nat'l banks.
1,328,383 71
Due from State banks.
658, 989 49
Real estate, &c
1,280,582 98
315,008 82
Currentexpenses
Premiums paid
261,045 57
Cash items
227, 853 52
Clearing-house exch'gs
Bills of other banks . .
620, 047 00
Fractional currency . .
48,021 13
Specie
133, 150 04
2,287, 118 00
Legal tender notes - . .
75, 000 00
U. S.cert'fs of deposit.
Due from U.S. Treas.
592, 343 74
Total




51, 621, 525 76

100 banks.

99 banks.

98 banks.

99 banks.

$25, 769, 652 23
13, 540, 200 00
430, 000 00
267, 650 00
792, 452 39
2, 388, 623 45
1, 320, 366 h2
567, 972 22
1, 285, 238 29
110,079 52
280,631 35
274, 552 69

$25, 718, 665
13, 600, 200
430, 000
240, 150
661,206
2,121, 066
1, 433, 858
' 576, 822
1,307,562
286, 790
269, 844
258, 284

73
00
00
00
20
73
63
43
02
14
(10
48

$25, 069, 494 63
13,192, 700 00
430, 000 00
204, 600 00
638,016 65
2, 259, 892 96
1, 426, 995 51
501,952 78
1, 320, 032 30
346, 724 19
225,231 75
291, 040 14

685, 839 00
54,298 90
161, 268 70
2, 508, 039 C
O
75, 000 00
630, 278 52

736, 169
46, 320
148, 365
2, 363, 120
60, 000
614,335

00
20
94
00
00
63

636, 446
46, 005
145, 811
2, ; 88, 949
60, 000
595,142

51,142, 142 88

50,872,761 13

00
95
48
00
00
20

49, 579, 035 54

$24,631,949
13, 171,700
430, 000
275, 300
690,312
2, 149,907
1, 354, 156
464, 877
1,413,397
245, 340
227, 0 1
240, 407

66
00
00
00
37
05
43
06
97
98
97
26

719,448
32, 739
196 551
2,135',*375
90, 000
636,261

00
95
17
00
00
76

49, 104, 726 63

39

REPORT OF THE COMPTROLLER OF THE CURRENCY.
by States and reserve cities—Continued.
CITY

OP CINCINNATI.
OCTOBER 1.

DECEMBER 22.

JANUARY 20.

APRIL 14.

JUNE 22.

6 banks.

6 banks.

6 banks.

6 banks.

$4, 400, 000 00

$4, 400, 000 00

$4, 400, 000 00

$4, 400, 000 00

$4, 400, 000 00

990, 000 00
581, 870 88

995, 000 00
352, 950 95

860, 000 00
358, 799 74

860, 000 00
463, 298 37

706, 200 00
495, 713 07

3, 297, 930 00

3, 312, 860 00

Liabilities.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation

3,296, 520 00

3, 097, 020 00

6 banks.

3,227, 920 00

4,480 00

23,278 00

680 00

360 00

6, 916 00

Individual deposits
U. S. deposits
Dep'ts U. S. dis. officers

5, 666,774 33
459, 579 56

5, 963, 204 52
438, 953 37

5,622,118 72
613, 356 30

5, 816, 007 79
710, 470 72

5,208,315 63
735,000 00

Due to national banks.
Due to State banks

2, 966, 064 54
997, 962 56

3, 896, 181 98
1, 030, 478 20

2,841,325 21
874, 572 90

3, 043, 073 56
849, 345 52

2,261,393 63
718, 476 23

Dividends unpaid

Notes re-discounted...
Bills payable
Total

611,000 00
19,975,661 87

CITY

611,000 00
20,423, 907 02

656, 600 00

685,050 00

644, 050 00

19, 523, 972 87

19, 924, 625 96

18, 403, 989 5G

OF C L E V E L A N D .
6 banks.

6 banks.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation.

6 banks.

6 banks.

6 banks.

$4, 550, 000 00

$4, 550, 000 00

$4, 550, 000 00

$4, 350, 000 00

$4, 350, 000 00

733, 690 82
168, 585 31

733, 690 $2
261, 998 37

733, 690 82
429, 085 10

757, 935 65
143, 917 75

757, 935 65
391, 445 06

1,988,200 00

1,991,790 00

1, 958, 360 00

1, 906, 600 00

1,895, 490 00

2, 717 50

1,997 50

12 50

20,140 00

18,168 00

Individual deposits
U. S. deposits
Dep'ts U. S dis. officers

4, 290, 814 34
74,429 82
119,722 73

4, 398, 697 07
122,956 60
65, 730 35

4, 517, 201 63
100,582 61
54, 162 74

4, 539, 910 46
83,392 77
81,696 11

3, 829,159 25
90,434 12
80, 254 36

Due to national banks.
Due to State banks - . .

440, 308 96
384,096 74

420, 116 83
436,862 04

346,241 64
406,140 77

375,205 83
382, 887 05

439, 072 75
454, 902 60

Notes re-discounted .
Bills payable

199, 200 00

298, 000 00

27, 500 00
384, 000* 00

12,951,766 22

13,281,839 58

Dividends unpaid

Total

13,506,977 8L

409, 0U0 00

807, 800 00

13,050,685,62

13,114,661 79

INDIANA.
99 banks.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation.
Dividends unpaid

100 banks.

99 banks.

98 banks.

$17, 208,000 00

$16,958,000 00

$16, 726, 000 00

$16, 426, 000 00

$16, 403, 500 00

4,515,769 16
1, 687, 934 50

4, 503, 611 52
1, 405, 139 85

11, 712, 619 00

11, 721,449 00

4, 789, 697 81
1,694, 118 55
11,916,854 00

4, 798, 760 22
934, 006 35
11, 948, 524 00

4, £62, 942 87
1,476,843 39
12,127, 799 00

99 banks.

20, 436 00

34, 033 59

39,155 54

35, 369 50

27, 924 70

[ndividual deposits
U. S. deposits
Dep'ts U. S. dis. officers

14, 054, 281 20
153.020 17
276,994 69

14,649,071 15
247, 480 84
101, 422 69

14,213,669 34
293,626 01
81,360 45

13, 425,144 41
158, 978 76
210,313 39

13,304,773 68
165, 416 47
273, 964 02

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

720,791 29
648, 832 05

818,941 93
505, 911 16

754, 017 40
479, 615 60

758, 430 86
487, 937 62

711, 681 80
481,611 2L

Notes re-discounted...
Bills payable

82, 500 00
56, 000 00

99, 990 95
46, 000 00

71,200 00
46,531 53

110,801 68
49, 736 66

63, 560 13
42, 094 25

51,621,525 76

51,142,142 88

49, 579, 035 54

49,104,726 63

Total




50,872,761 13

40

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Abstract of reports since October 2, 187(3, arranged
ILLINOIS.
JANUARY 20.

APRIL 14.

JUNE 22.

OCTOBER 1.

132 banks.

DECEMBER 22.

13 L banks.

131 banks.

131 banks.

Resources.
132 banks.

Loans and discounts.. $21,915,175 53 $22, 200, 877 47 $22, 485, 615 76 $22,184, 588 48 $Cl, 523, 580 08
8, 494, 000 00
8, 494, 000 00
8,681,600 00
8, 726. 600 00
8, 654, 600 00
Bonds for circulation .
925, 000 00
925, 000 00
825, 000 00
925, 000 00
825, 000 00
Bonds for deposits
171, 650 00
204, 250 00
193,950 00
186,850 00
164, 250 00
U. S.bonds on hand ..
647,113 84
632. 830 74
600, 338 74
545, 188 25
537, 534 68
Other stocks and b'ds
3, 394, 050 24
2,923,104 17
2, 509, 923 66
3,332,217 59
2, 798, 860 80
Due from res've ag'ts.
994, 779 79
914,105 70
743,761 61
1, <188, 405 99
1, 078, 206 28
Due from nat'l banks
187,694 32
188,441 39
154,498 31
247,721 97
175,458 14
Due from State banks.
1, 366, 403 74
1, 368, 460 6S
1, 375, 770 02
1,366,628 35
1,360,624 14
Real estate, & c
324,269 41
3')3, 869 59
198,752 21
269, 525 97
133,614 18
Current expenses
306, 895 26
318,310 79
269, 875 87
355, 861 97
332, 029 37
Premiums paid
295, 650 30
315,954 82
290, 687 25
300, 665 33
271, 835 30
Cash items
Clearing-house exch'gs
531, 546 66
618,336 00
625, 643 00
657,641 00
687, 065 00
Bills of other banks ..
47, 043 81
50, 558 78
47, 314 45
47, 8^8 28
46, 743 06
Fractional currency . .
209,410 42
225, 83 L 38
226. 799 45
167,318 44
206,521 51
Specie
2, 367, 695 00
2, 286, 943 00
2, 177, 828 00
2, 304, 329 00
2, 392, 660 00
Legal tender notes . . .
20, 000 00
30, 000 00
30, 000 00
20, 000 00
20, 000 00
U. S. cert'fs of deposit
412, 355 90
410,486 71
411,968 97
411,711 70
420,621 10
Due fromU. S.'Treas.
Total

42,723, 729 37

42, 378, 501 03

CITY

42, 9 L4, 251 25

42,754,097 5L

CHICAGO.

13 banks.

13 banks.

OF

13 banks.

40,868,188 88

13 banks.

13 banks.

Loans and discounts.. $23, 498, 026 63 $24, 004, 938 76 $22,429,271 93 $20, 684, 352 10 $19, 475. 328 62
1, 737, 000 00
1, 737, 000 00
1, 737, 000 00
1, 737, 000 00
Bonds for circulation.
1, 737, 000 00
Bonds for deposits
751,350 00
404,150 00
429, 450 00
534, 500 00
U. S. bonds on hand . .
528, 300 00
158, 062 28
328. 142 28
353, 142 28
370, 632 43
Other stocks and b'ds.
190, 962 28
3,015,770 07
2, 662, 369 63
2, 373, 947 06
3,279,247 68
Due from res've ag'ts.
3,652,071 14
895,170 01
1, 119,808 65
1,321, 109 67
l,48fi,4l0 53
Due from nat'l banks.
1,162, 383 17
322. 642 72
265,453 07
418,565 73
365, 899 44
Due from State banks.
549,211 41
892, 985 30
897, 009 06
1,011,567 05
1,026,588 94
990, 342 47
Real estate, &c
266,811 41
49,891 65
199,083 10
252,876 15
180,702 5L
Current expenses
17, 602 50
15,612 27
18, 173 42
17, 705 92
52,018 93
Premiums paid
46, 181 17
47, 952 80
43, 439 32
37,861 84
40, 046 52
Cash items
1, 784, 467 24
1, 273, 203 33
1, 288, 163 13
1,106,424 37
1, 966, 645 73
Clearing-house exch'gs
645, 732 00
661, 826 00
1, 462, 179 00
1,386,074 00
693,125 00
Bills of other banks . .
8,717 56
9,325 91
14, 161 93
10, 797 03
8.04L 00
Fractional currency . .
254,004 32
250, 693 64
768,221 28
326,295 18
403 209 86
Specie . . . . . . . . . .
3, 109, 620 00
4, 646, 500 00
3, 053, 370 00
4, 701, 000 00
4, 584, 000 00
Legal tender notes
880, 000 00
835, 000 00
965, 000 00
1, 675, 000 00
1, 050, 000 00
U. S. cert'fs of deposit.
128,318 00,
114,100 00
114,386 20
112, 850 00
101,150 00
Due from U. S. Treas.
Total

39, 519, 194 13

37, 801, 968 50

39, 502, 369 99

38, 076, 090 27

37,312,100 72

MICHIGAN.
76 banks.

76 banks.

Loans and discounts.. $13,491,341 25 $13,407,529 93
5, 088, 8U0 00
Bonds for circulation.
5, 088, 800 00
50, 000 00
Bonds for deposits
50, 000 00
40, 750 00
U. S. bonds on hand ..
26, 900 00
"463, 209 11
Other stocks and b'ds
451,074 92
1, 268, 207 45
Due from res've ag'ts.
1,317,419 80
483. 608 69
Due from nat'l banks.
451,754 56
127,396 01
Due from State banks.
133,931 36
971, 191 05
Real estate, &c
1, 012. 240 95
52, 522 03
Current expenses
189,206 19
123,701 39
Premiums paid
126, 479 30
136, 770 42
Cash items
135, 716 73
Bills of other banks ..
Fractional currency..
Specie
Legal tender notes . . .
U. S. cert'fs of deposit.
Due from CJ. S. Treas.
Total




268, 054
17,471
52, 689
1, 013, 994

66
29
30
00

345, 291 00
21, 115 40
64 228 77
1, 067,109 0d

76 banks.
$13, 697, 618
5, 047, 800
50, 000
61, 550
462, 550
935, 757
358, 780
85, 090
975, 799
150,881
122, 790
125,531

76 banks.

76 banks.
08
00
00
00
79
32
62
10
05
51
82
98

$13, 407, 510
5, 027, 800
50, 000
56, 800
463, 247
882,527
296, 388
111,673
949, 888
171,327
120, 454
127, 096

10
00
00
00
07
98
29
00
99
09
96
04

$12, 762, 427 70
4, 963, 700 00
50, 000 00
64, 350 00
478, 290 30
985, 965 54
353, 67 L 10
108, 867 95
917,771 86
137,528 07
111,507 46
141,360 90

253. 692 00
20, 631 19
88 869 68
924,513 00

266, 361
24, 613
98 733
970, 751

00
05
79
00

299, 920
27, 063
154 256
946^ 279

00
34
41
00

236, 509 79

237, 532 26

243, 542 00

232, 420 4L

224, 644 43

24, 063, 583 44

23, 948, 962 51

23, 605, 398 14

23, 257, 592 77

22, 727, 604 06

41

REPORT OF THE COMPTROLLER OF THE CURRENCY.
by States and reserve

cities—Continued.
ILLINOIS.

DECEMBER 22.

JANUARY 20.

APRIL 14.

JUNE 22.

OCTOBER 1.

Liabilities.
132 banks.

132 banks.

131 banks.

131 banks.

$11,701,000 00

$11,606,000 00

$11,451,000 00

$11,446,000 00

$11,446,000 00

Surplus fund
Undivided profits

3,812,176 93
1, 477, 575 08

3, 870, 514 28
857,361 41

3,931,326 18
1,185,032 48

3, 863, 462 35
1,410,661 99

3,872,858 41
1, 072, 809 98

Nat'l bank circulation.
State bank circulation.

7, 767, 673 00

7, 784,273 00

7, 712, 538 00

7, 543, 033 00

7,561,338 00

Capital stock

131 banks.

27, 394 50

65, 085 94

20, 650 29

21,099 00

24,604 00

Individual deposits
U. S. deposits
Dep'tsU. S. dis. officers

16, 289,197 86
470, 479 73
292, 230 99

16, 740, 760 83
566, 979 44
138, 019 35

16, 892, 780 65
571,383 3)
110,714 09

17,151, 619 02
478,061 19
209, 527 77

15, 471, 483 60
582, 843 77
51, 872 85

Due to national banksDue to State banks . . .

154, 789 47
283, 836 20

105,439 36
290, 435 20

130,149 75
234, 928 52

127, 928 48
328, 635 24

110,741 92
296, 239 79

Notes re-discounted . . .
Bills payable

366, 727 61
80, 648 00

287,808 85
65, 823 37

459, 094 25
54, 500 00

260, 223 21
74,000 00

291, 837 97
85, 558 59

42, 723, 729 37

42,378,501 03

42, 754, 097 51

42, 914, 251 25

40, 868,188 88

Dividends unpaid

Total

CITY
13 banks.

OF

CHICAGO.

13 banks.

13 banks.

13 banks.

13 banks.

$6,600, 000 00

$6, 600, 000 00

$6, 600,000 00

$6, 600, 000 00

$6,600,000 00

Surplus fund
Undivided profits

5,175, 000 00
833,626 18

4, 480, 000 00
393, 658 29

3, 905, 000 00
631,821 46

2, 755, 000 00
746, 617 92

2, 525, 000 00
586,138 59

Nat'l bank circulation.
State bank circulation.

1, 543, 720 00

1, 545,140 00

1, 521, 080 00

1, 356, 040 00

1, 477, 060 00

4,983 00

Capital stock

16,211 00

152, 805 00

20, 905 00

5,561 00

14, 508, 793 10

13, 868,898 74

15, 652, 862 36

16, 058, 243 32

17, 363, 695 67

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

6, 278, 483 36
4, 356, 088 49

6,159,000 82
4, 539, 059 65

6, 313, 902 24
4, 524, 898 93

6,221,942 66
4,317,341 37

4,933,054 84
3, 687, 590 62

Notes re-discounted . . .
Sills payable

218, 500 00

200, 000 00

200, 000 00

39,519,194 13

37,801,968 50

39, 502, 369 99

Dividends unpaid
[ndividual deposits
Dep'ts U. S. dis. officers

Total

134,000 00
38, 076, 090 27

37, 312, 100 72

MICHIG AN.
76 banks.

76 banks.

76 banks.

$8 072 200 00

76 banks.

$8 072 200 00

$7 872 200 00

$7 872 200 00

$7,757,200 00

Surplus fund
Undivided profits

2, 085, 058 45
1, 055, 983 49

2, 083,109 60
557,148 92

2, 066, 567 55
873,331 14

2, 006, 023 83
1, 013, 027 03

2, 039, 675 56
851,068 42

Nat'l bank circulation.
State bank circulation

4, 467, 574 00

4, 450, 798 00

4, 404, 485 00

4, 432, 454 00

4, 447, 594 CO

Capital stock

76 banks.

Dividends unpaid . . . .

7, 748 00

20, 213 00

3,725 00

6,983 00

8,259 00

Individual deposits
U. S deposits
Dep'ts U. S. dis. officer*

7, 877, 038 64
7, 670 40
64,621 89

8,317,566 19
11,515 33
20, 266 07

7,641,609 21
8,701 10
28, 419 69

7, 237, 358 27
322 31
57,319 29

7, 056, 884 92
17, 706 15
25, 524 76

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

59,327 24
78,624 19

50, 753 68
107,199 65

31,678 28
163, y08 31

61,904 50
46, 677 33

79, 878 72
81, 534 01

Notes re-discounted...
Bills payable

259, 456 07
28,281 07

219,761 25
38, 430 82

407, 422 88
103, 2^9 98

379, 302 55
144, 020 66

227,018 21
132, 260 01

24, 063, 583 44

23, 948, 962 51

23, 605, 398 14

23, 257, 592 77

22, 727, 604 06

Total




42

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Abstract of reports since October 2, 1876, arranged
CITY

Resources.

DECEMBER 22.

JANUARY 20.

3 banks.

3 banks.

Loans and discounts.. $4,047,234 78
Bonds for circulation .
1, 253, 400 00
Bonds for deposits
500, 000 00
XJ. S. bonds on hand..
Other stocks and b'ds.
80,514,71
Due from res've ag'ts.
718,304 45
494, 994 39
Due from nat'l banks.
84,473 67
Due from State banks.
90,800 00
Real estate, &c
44, 098 35
Current expenses
9,968 74
Premiums paid
4,217 63
Cash items
93,017 72
Clearing-house exch'gs
72, 217 00
Bills of other banks...
9,531 84
Fractional currency . .
91,554 98
Specie
555, 077 00
Legal tender notes
U. S. cert'fs of deposit.
82, 707 76
Due from U. S Treas
Total

OF DETROIT.
APRIL 14.
3 banks.

JUNE 22.
3 banks.

OCTOBER 1.
4 banks.

$4, 168,416 70
1, 253, 400 00
500, 000 00

$3, 904, 990 92
1, 253, 400 00
500, 000 00

$4, 499, 289 91
1, 303, 400 00
500, 000 00

81,809 80
430, 055 72
496, 290 98
83, 878 92
• 90,800 00
18,744 60
9, 968 74
49, 474 92
115,350 12
115,995 00
8, 977 75
95,087 76
590,175 00

78, 755 68
523, 480 69
347, 303 38
119,551 91
90, 550 00
11,227 78
7,218 74
55, 077 50
132, 649 83
107,964 00
8, 120 83
65.966 45
501,970 00

77, 855 68
610, 006 09
493, 122 57
102,173 71
90, 300 00
27, 370 74
7,218 74
85,306 13
114,600 05
38, 303 00
8,531 62
53,824 08
674, 005 00

78, 600 28
884, 782 62
523, 062 89
108,281 71
94, 375 55
9,719 09
8,096 86
82, 457 59
224. 693 02
199, 357 00
10,016 05
34,261 57
539, 19 L 00

78,101 06

75, 890 76

67, 566 42

83, 838 83

8,186, 527 07

8,232 113 02

$4,190, 093 33
1, 253, 400 00
500, 000 00

8,069,220 88

8,108, 574 75

9, 183, 423 97

WIS CONSIN.
38 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 baiiks.
Due from State banks.
Real estate, &e
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

38 banks.

193,218 00
12. 107 70
55, 317 04
657,231 00
20, 000 00
106, 777 99

91,788 00
13,298 69
58, 656 42
592, 752 00
104, 365 78

103, 833 28

104, 889 35

10, 359, 165 64

10, 711, 234 95

10, 621, 604 89

10,514,084 03

10, 576, 314 27

$5,738, 855 24
2, 145,500 00
J25, 000 00
84, 750 00
97,313 44
585, 964 94
275,105 15
57,461 96
357, 552 77
85, 033 49
51,614 35
66,921 99
119,389 00
13, 929 30
59, 136 12
576,723 00

$5, 673,463 03
2,135, 500 00
125, 000 00
55,050 00
94, 437 29
677, 896 53
295,754 31
56,174 54
345, 157 59
68,064 56
41,963 31
55, 944 72
109,494
12,267
64,179
661,078

00
92
12
00

OF MILWAUKEE.
|

3 banks.

Loans and discounts.. $2, 308, 126 39
$2, 578, 590 88
Bonds for circulation
170, 000 00
170,000 00
Bonds for deposits
375, 000 oo !
375, 000 00
U. S. bonds on hand..
30, 850 00
31,300 00
Other stocks and b'ds
66, 050 00 !
63, 450 00
Due from res've ag'ts.
402,319 58 !|
260,671 72
Due from nat'l banks.
146, 902 02
65,313 33
Due from State banks
16,866 85 i
15,910 92
Real estate, &c
147,812 17 1
147, 949 53
750 62
Current expenses
14,186 28 '
Premiums paid
4, 323 56 !
4,469 81
Cash items
3, 246 57 i
1,817 66
Clearing-house exch'gs
172,741 62 1
115,212 33
Bills of other banks...
26, 390 oo ;
10, 948 (>0
Fractional currency . .
3,609 26 |
7, 119 29
Specie
28,311 78 i
44, 155 28
Legal tender notes
369,015 00 !
431,038 00
U. S. cert'fs of deposit
35, 000 00 I
35, 000 00
Due from U. S. Treas.
8,650 oo !
7,650 00




38 banks.

129, 396 00
11,370 23
34, 055 75
623,364 00
20, 000 00
105, 486 94

3 banks.

$5, 586, 036 G
O
2,195,500 00
125, 000 C
O
81,400 00
73, 026 15
774, 638 39
321, 117 26
30,765 60
378, 033 29
79,610 95
58.416 54
57, 198 92

38 banks.

$5,219,889 48
2, 195, 500 00
125, 000 00
67, 400 00
80,114 96
968,338 10
406, 846 02
77,839 80
372,561 70
38, 505 73
56, 770 89
57, 816 54

CITY

Total

38 banks.

$5, 300. 674 49
2, 162, 000 00
125, 000 00
50, 600 00
78,612 41
783,491 84
312,997 99
47,637 19
371,011 01
88, 863, 90
51,202 67
63,401 22

4,329,401 08 i

4, 366, 347 37

3 banks.

3 banks.

3 banks.

$2,218,790 21
170,000 00
375, 000 00
3, 350 00
63, 100 00
332,218 49
170, 064 65
16, 952 93
147, 140 05
5, 044 63
308 06
2,491 09
133, 216 69
7, 063 00
1, 165 54
25, 058 23
399,775 00
35, 000 00
7, 650 00

$1,987,986 90
225, 000 00
400, 000 00
25, 000 00
63, 100 00
351,813 02
361,564 99
15, 460 30
146, 964 05
18, 562 65
5,569 32
3,956 80
74,710 82
9,952 00
1,474 06
19, 756 81
416,797 00
35, 000 00
14, 735 00

$1,960,101 80
260, 000 00
400, 000 00
2,800 00
63,100 00
496, 655 56
156, 965 55
15, 789 72
136, 356 42
4,769 29
7,031 49
2,214 53
310, 715 14
28, 764 00
1,762 76
24, 720 25
578, 603 00
35, 000 00
16,250 00

4,113, 388 57

4,177,403 72

4,501,599 5L

43

REPORT OF THE COMPTROLLER OF THE CURRENCY.
by States and reserve cities—Continued.
CITY
DECEMBER 22.

OF

DETROIT.

JANUARY 20.

JUNE 22.

APRIL 14.

OCTOBER 1.

Liabilities.
3 banks.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation
Dividends unpaid

3 banks.

3 banks.

3 banks.

$1, 900, 000 00

$1, 900, 000 00

$1, 900, 000 00

$1, 900, 000 00

$2, 100, 000 00

925, 000 00
357, 610 48

925, 000 00
283,887 31

925, 000 00
306, 053 43

925, 000 00
382,985 61

925, 000 00
373,171 81

1,106,180 00

1, 085, 280 00

1,158, 600 00

1, 078,100 00

1,071,300 00

1,752 00

Individual deposits
U . S . deposits
Dep'tsU.S.dis.officers.

2,762,051 59
129, 656 06
256, 348 84

Due to national banks.
Due to State banks

415, 322 99
406, 271 06

5,205 00

5, 052 00

2,517 00

17, 262 00

2, 755, 888 71
255, 936 37
141,110 35

2,761,992 29
173, 430 68
130,413 28

2, 705, 212 24
133, 988 50
239,132 55

3,414,787 94
162, 539 37
213,982 09

392, 037 51
456, 111 79

283, 015 78
378, 083 42

Notes re-discounted
Bills payable
Total

4 banks.

309,423 17
425, 035 68

399, 803 52
418,277 24

101,000 00
8,232, 113 02

8, 186, 527 07

8, 069, 220 88

8, 108,574 75

9, 183, 423 97

WISCONSIN.
38 banks.
Capital stock
Surplus fund
Undivided profits

38 banks.

$2, 750, 000 00

$2, 810, 000 00

$2, 850, 000 00

$2, 800, 000 00

$2, 800, 000 00

764, 226 24
182,649 85

763,943 12
311,081 01

749, 343 81
383, 747 32

758,724 61
305, 257 25

1, 938, 439 00

1, 889, 904 00

1, 899, 334 00

752, 089 52
378,351 10

38 banks.

38 banks.

38 banks.

1,917,644 00

1,911,739 00
9, 129 00

33, 301 00

31, 786 00

31,039 00

Individual deposits
U. S. deposits
Dep'tsU.S.dis.officers.

4, 352, 233 43
34,769 18
53,440 98

4,825,019 63
53, 181 99
28, 143 09

4,463,781 67
67, 597 69
32, 036 03

4, 426, 760 79
56, 850 02
24, 689 58

4,531,389 18
60, 667 08
10,938 06

Due to national banks.
Due to State banks

18,032 47
42, 512 29

11,602 25
70, 324 25

22,319 56
43, 287 94

20,169 80
52, 004 50

32,425 76
56,204 90

Notes re-discounted . . .
Bills payable

48, 969 93
11, 122 74

34,071 91
11, 147 74

64, 679 55
31,138 32

60.691 72
48, 136 49

81,213 69
9, 120 74

Nat'l bank circulation.
State bank circulation.
Dividends unpaid

Total

10, 359,165 64

CITY

10,711,234 95

OF

10,621,604 89

3 banks.

3 banks.

$650, 000 00

$650, 000 00

$650, 000

Surplus fund
Undivided profits

255, 000 00
107,193 16

245, 000 00
37, 029 95

Nat'l bank circulation.
State bank circulation

153,000 00

153, 000 00

245, 000 00
94, 552 36

230, 000 00
59, 521 92

153, 000 00

191,400 00

234, 000 00

222 00

545, 550 91
372, 359 42

662, 739 78
370, 577 38

454, 290 52
274, 442 24

4,329,401 08

4, 366, 347 37

Due to national banks
Due to State banks

684 00
2,127,898 70
170,398 14
151,004 21
298, 067 50
249, 082 81

2, 243, 563 56
193,255 10
150, 139 97
465, 429 03
275, 005 93

125, 000 00

Bills payable




$650, 000 00

245, 000 00
57, 303 37

2,013,922 59
172, 378 32
92, 829 53

1,931,716 39
159,751 04
154,830 16

3 banks.

$650, 000 00

180 00

Individual deposits
U S deposits
Dep'ts U. S.dis. officers.

Total

3 banks.

no

1,847,347 63
167, 959 22
107, 513 41

Dividends unnaid

10,576,314 27

MILWAUKEE.

3 banks.
Capital stock

10, 544, 084 03

4,113, 388 57

4,177, 403 72

4, 501, 599 51

44

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Abstract of reports since October 2, 1876, arranged
IOWA.
DECEMBER 22.

Resources.

JANUARY 20.

77 banks.

77 banks.

APRIL 14.

JUNE «2.

OCTOBER 1.

76 banks.

76 banks.

78 banks.

Loans and discounts.. $10,896,198 10 $10,716,799 08 $10,990,187 74 $10,727,832 99 $10,613,566 25
4, 283, 500 00
4, 333, 500 00
Bonds for circulation..
4, 333, 500 00
4, 365, 500 00
4,318,500 00
270, 000 00
270, 000 00
270, 000 00
Bonds for deposits
270, 000 00
270, 000 00
203, 750 00
115,900 00
97, 450 00
211, 150 00
166, 800 00
U. S. bonds on hand..
249, 320 99
322,907 74
285, 838 38
322,717 37
405, 732 84
Other stocks and b'ds.
1,241, 187 62
1,109,803 91
1,109, 848 93
919,777 42
1,090,944 24
Due from res've ag'ts
596, 135 68
537,518 50
513,055 66
449, 902 86
515,813 21
Due from nat'l banks.
171,656 92
171.041 96
126,594 50
158, 580 25
143,654 80
Due from State banks.
913,052 91
876, 393 06
863. 107 37
935,327 13
920,3OJ 60
Real estate, &c
227, 118 30
67,394 93
167, 885 58
173, 846 07
195,158 79
Current expenses
210,183 19
219,569 90
247,561 21
187, 481 79
213,806 56
Premiums paid
124,837 37
139, 884 24
131,036 90
130,187 94
109,956 77
Cash items
Clearing-house exch'gs
459, 090 00
384,47 2 00
389,061 00
408,742 00
435,219 00
Bills of other banks ..
26,374 71
22, 100 32
21,224 78
26,714 26
26,490 12
Fractional currency ..
131.360 65
86,814 58
64, 028 90
114,884 11
137,351 19
Specie
1,347,611 00
1, 426, 20J 00
1, 325, 037 00
1,325,883 00
1,270,518 00
Legal tender notes
U. S. cert'fs of deposit.
215,401 71
216,127 85
211,531 18
208,622 93
Due from U. S. Treas.
213,625 68
Total

21,045,465 24

21,086,449 40

21,636,897 79

21,137,737 96

20,808,205 13

MINNE S OT A.
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, &o
Current expenses
Premiums paid
Cash items
Clearing-house exch'gs
Bills of other banks...
Fractional currency . .
Specie . . . . . . . . . . . . .
Legal tender notes
X S cert'fs of deposit
J
Due from IT. S. Treas
Total

33 banks.

$8,173,744 55
2,623,500 0 0
460, 000 00
81,350 00
97,391 10
1,321,848 30
427, 400 46
56, 306 67
472, 268 92
152, 268 0 5
136,946 34
107, 010 66

$8, 234, 384 07
2, 623, 500 00
460, 000 00
52,900 00
99, 868 40
1, 074, 533 79
361,655 6.i
70, 797 0 3
470,115 55
43, 958 27
130,160 14
107 230 6 8

$8, 108, 540 58
2, 523, 500 00
460, 000 00
69, 400 00
78, 288 50
644,102 23
306, 175 41
96,564 08
457,473 11
139,331 47
127, 902 32
79, 912 87

$8, 580, 306 84
2, 673, 500 00
460, 000 00
69, 400 00
78,157 07
1,010,069 23
496, 070 74
83, 725 41
454, 822 96
178,919 02
125, 472 83
99 293 qo

$8,932,164 75
2, 573, 500 00
460, 000 00
28,050 00
81,352 58
837, 910 87
341,738 01
75,547 89
462.894 00
97,331 57
131,936 43
131,639 73

192, 083 00
12, 387 35
24, 937 75
669, 827 00

190,191 00
12, 547 29
29, 669 41
680, 966 00

107,059 00
10,646 62
37 090 57
542, 318 00

185, 115 00
11,458 25
33, 052 0 7
595, 340 00

227, 295 00
7, 768 35
36 028 99
726,493 00

3L banks.

31 banks.

31 banks.

118 321 81

118,945 23

116,380 31

127, 846 07

126,066 12

15,127, 595 96

14, 761, 422 51

13, 904, 685 07

15,262,549 41

15,277,717 29

MISSOURI.
24 banks.

23 banks.

23 banks.

24 banks.

Loans and discounts..
Bonds for circulation .

$4,456, 066 60
1, 760, 000 0 0

$4,191,706 28
1,710,000 00

$4, 306, 796 89
1,660,000 00

$4, 597, 750 77
1,660,000 00

$4, 435, 806 98
1, 680, 000 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
U. S. cert'fs of deposit.
Due from U. S. Treas.

24, 550 00
611,960 65
612,141 51
145,341 94
190, 394 39
350, 797 73
135,136 47
101,708 05
102 187 0°

2, 050 00
584, 635 31
580, 986 25
201, 355 73
244,506 38
337, 682 08
99, 553 26
91,726 10
106 242 81

35, 650 00
574, 990 37
518,282 83
186,256 80
302,864 26
350, 408 25
100, 586 43
90,534 67
104 602 54

41,400 00
625, 905 01
739,441 05
247, 026 03
316,479 92
361, 554 13
120, 668 24
89,310 09
110 072 01

65, 050 00
643, 604 71
324, 270 09
174,269 60
190,531 49
387, 053 41
82, 972 27
89,167 00
122 370 ?5

161,884 00
6,111 08
29,712 Ti
411,517 00
10,000 00
80, 593 05

204,164 00
8,080 16
36 755 70
449, 357 00
10, 000 00
86, 497 78

162,645 00
7,340 5L
27 523 01
429, 270 00
10,000 00
80, 577 06

187, 118 00
5,225 93
36 434 9 0
448,218 00
10, 000 00
83, 367 89

118, 090 00
5,678 49
39 504 51
425, 929 00
10, 000 00
84,015 87

9,190,101 82

8, 945, 298 84

8, 948, 328 62

9, 679, 971 97

8, 878, 313 80

Total




23 banks.

REPORT OF THE COMPTROLLER OF THE CURREVCY,

45

by States and reserve cities—Continued.
IOWA.
DECEMBER 22.

JANUARY 20.

APRIL 14.

JUNE 22.

OCTOBER 1.

77 banks.

77 banks.

76 banks.

76 banks.

78 banks.

Liabilities.
Capital stock

$6,187, 000 00

$6,147, 000 00

$6, 057, 000 00

$6, 057, 000 00

$6, 057, 000 00

Surplus fund
Undivided profits

1,554,758 13
802, 654 07

1, 529, 106 83
518,822 35

1,538,906 16
763,177 90

1,534,56-2 45
796, 836 25

1, 508, 292 52
724,430 85

Nat'l bank circulation
State bank circulation

3, 857, 830 00

3, 850, 390 00

3, 792, 258 00

3,818,097 00

3, 882,194 00

Dividends unpaid

8,061 66

57, 999 49

40,214 16

28, 828 66

26, 173 16

7, 790, 209 74
64,836 69
131,163 15

8,246,197 69
98,943 51
66, 776 09

8,6^0,214 46
79,558 91
89,837 18

8,214,270 42
77, 113 45
78,770 44

7, 842, 458 46
138,719 36
17, 676 67

Due to national banks
Due to State banks . . .

220, 683 63
190,226 52

190,539 50
204,008 46

224,669 31
299, 499 83

226, 813 83
285, 240 53

203, 022 02
193,280 57

Notes re-discounted . . .
Bills payable

132,241 65
105, 800 d0

116,569 58
60,093 90

43,561 88
38, 000 00

13,746 93
6,458 U0

178,001 27
36, 956 25

21, 045, 465 24

21, 086, 449 40

21,636,897 79

21,137,737 96

20,808,205 13

Individual deposits
U. S. deposits
Dep'ts U. S. dis. officers

Total

MINNE S OT A.
31 banks.

33 banks.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation

33 banks.

31 banks.

31 banks.

$4, 630, 000 00

$4, 630, 000 00

$4, 430, 000 00

$4, 430, 000 00

$4, 430, 000 00

909, C82 63
644, 994 22

928,261 91
264, 340 93

869, 926 05
397, 787 88

855 426 05
519, 325 54

817,911 32
403, 957 79

2, 307, 437 00

'2, 305, 332 00

2, 258, 605 00

2, 389, 76 L 00

2, 298, 511 00

4, 287 50

22, 520 50

6, 349 50

6,094 50

7,864 00

Individual deposits
U . S . deposits
Dep'ts U. S. dis. officers

5, 682, 295 72
111,410 50
209, 996 56

5,713,829 03
129, 186 38
161,854 84

5,011,422 93
164,712 11
169, 795 49

5, 734, 469 41
113,443 07
360, 704 26

6,138, 669 67
194, 048 09
107, 687 78

Due to national banks.
Due to State banks - . .

218,096 26
262, 404 29

226,921 93
260, 917 28

178,598 06
2*8,333 14

263, 505 70
346, 963 5L

190, 931 75
243, 409 37

Notes re-discounted . . .
Bills payable

142,591 28
5, 000 00

116,307 71
1, 950 00

158, 154 91
31, 000 00

212,856 37

414,726 52
30, 000 00

15,127, 595 96

14,761,422 5L

13, 904, 685 07

15, 262, 549 4L

15,277,717 29

Dividends unpaid

Total

MIS SOURI.
23 banks.

23 banks.

24 banks.

on

$2 385 000 00

$2 385 000 0 0

$2 435 000

508, 607 72
394, 774 30

476, 985 63
246, 121 46

482, 861 03
296, 635 50

482,861 03
381,661 29

484, 860 55
280, 307 30

1,574,754 00

1,530,599 00

1,480,872 00

1, 473, 472 00

1, 507, 242 00

24 banks.
Capital stock
Surplus fund
Undivided profits
Nat'l bank circulation.
Mate bank circulation .
Dividends unpaid

$2 485 000 00

23 banks.
$2 385 000

no

1,554 00

19, 314 00

735 00

564 00

1,456 50

Individual deposits . . .
U. S. deposits
Dep'ts U.S. dis. officers

3,642,810 61

3, 733,169 67

3, 783, 295 38

4, 023, 959 77

3, 500, 503 70

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

140,068 07
234, 490 34

124, 489 37
288, 726 93

112,632 33
341,039 40

240, 807 91
462,172 99

218,892 53
283, 553 19

Notes re-discounted . . .
Bills payable

140, 200 00
67, 842 78

83, 600 00
57, 292 78

39, 000 00
26, 257 98

29, 472 98

94, 000 00
72, 498 03

9,190, 101 82

8, 945, 298 84

8, 948, 328 62

9, 679, 971 97

8, 878, 313 80

Total




46

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Abstract of reports since October 2, 1876, arranged
CITY

OF S T . L O U I S .

DECEMBER 22.

JANUARY 20.

APRIL 14.

JUNE 22.

7 banks.

7 banks.

7 banks.

6 banks.

OCTOBER 1.

Resources.
Loans and discounts.. $11,085, 158 39 $11,395,865 20 $10,736,619 13
Bonds for circulation.
842, 950 00
842, 950 00
842,950 00
Bonds for deposits
256, U O 00
U
256, 000 00
256, 000 00
500 00
U. S. bonds on hand . .
2, 200 00
814,957 96
Other stocks and b'ds
805,518 07
1,051,453 65
1, 476, 333 76
Due from res've ag'ts
800, 466 78
555, 303 01
421,114 52
Due from nat'l banks.
301,165 51
272, 783 27
221,9fr9 69
Due from State banks.
272,510 81
145,507 71
555, 418 39
Real estate, &c
561.456 86
595, 793 80
272,217 05
Current expenses
85, 069 03
172,617 36
30, 040 04
Premiums paid
30, 040 04
27, 9d9 06
83, 328 42
Cash items
154,174 14
59, 782 89
466, 578 52
Clearing-house exch'gs
484,397 16
525,792 10
122,911 00
Bills of other b a n k s . . .
139, 999 00
228,179 00
8,004 03
Fractional currency . .
6,221 82
4, 694 59
54, 583 01
Specie
74, 345 05
99,824 90
1, 020, 000 00
Legal tender notes
1, 708,162 00
1, 052, 720 00
150, 000 00
U. S. cert'fs of deposit.
80, 000 00
460, 000 00
42,541 00
Due from U. S. Treas 48, 357 98
42, 701 00
Total

17, 924, 625 78

18, 048, 899 48

17,130,631 47

6 banks.

$6,498, 022 49
792, 950 00
150, 000 00
10,000 00
515,363 37
517,171 17
503, 487 13
337,928 16
317, 692 96
109,370 75
27, 959 06
8,741 14
326, 325 63
287, 940 00
5,688 04
82, 627 47
1,526,305 00
160, 000 (JO
52,091 00

$6, 394, 634 23
460, 000 00
300,000 00
11,400 00
606,161 47
458,140 66
359, 873 56
68,217 54
317, 947 14
106, 975 20
50,167 81
21,138 40
535,815 51
124,239 00
6,134 16
45, 827 50
989, 366 00
180,000 00
32,815 75

12,029,663 37

11,068,853 93

KANSAS.
16 banks.

16 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
Premiums paid
Cash items

$2, 063, 503 63
980, 000 00
375, 000 00
5,500 00
84, 725 58
254, 244 65
252, 608 44
12'2, 321 45
287, 23 L 24
57, 646 33
98, 729 64
46, 490 19

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 .

61,216
3,349
10,428
240, 636

Total

00
94
80
00

15 bankK.

15 banks.

15 banks.

$2, 022, 296
980, 000
375, 000
5,500
69, 872
241,715
244 798
119,310
287, 220
13,236
94, 081
31,632

82
00
00
00
33
83
77
95
76
40
25
08

$1,893,709 47
880, 000 00
400, 000 00
5, 000 00
68,458 16
249, 002 57
236,462 14
] 30, 930 08
291,295 06
34, 070 05
76, 882 62
26,224 75

$1,951,477
880, 000
400, 000
5, 000
67, 370
378, 329
290, 755
142,659
297, 855
50,712
76, 882
30,606

35
00
00
00
30
35
03
29
42
72
62
49

47,516
3,831
13, 022
228,944

00
25
14
00

59, 541 00
3,541 49
14 353 43
163,912 00

59,141
3,747
22, 550
227, 040

00
38
29
00

53, 485 00

46, 373 41

43, 707 70

41,527 30

4,997,136 89

4,824,351 99

4, 677, 090 52

4, 925, 654 54

$2, 070, 749
880, 000
325, 000
25, 000
65,401
230, 786
206, 508
115,892
294, 729
32, 009
73, 484
32, 479

69
00
00
00
15 |
08 i
88 1
75
41
51
68 |
02.

57, 544 00 !
2,659 86 !
15, 435 0 6 '•
257, 725 oo !
43, 080 43 |
4, 728, 485 52

NEBRASKA.
9 banks.

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 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




$2,331,544
884, 000
300, 000
350
293, 684
406, 3^6
119,060
157, 494
186, 081
53, 344
71,241
29, 492

77
00
00
00
26
09
17
43
13
77
56
87

81,923
34, 289
26 351
258, 951

00
29
%'
U0

$2,192,109
884, 000
300, 0U0
200
283, 429
364, 139
110,667
179,501
185, 868
17,080
71,994
28, 061

10 banks.

9 banks.
98
00
00
00
09
36
63
63
93
04
81
70

123,701 00
21, 796 90
24 504
304| 947 00

$2, 129, 586 54
834, 000 00
300, 000 00
40, 200 00
326,591 92
413,050 68
127,322 02
267, 174 48
183, 579 36
25,334 10
69, 200 66
28, 870 29
104,
12,
42
250',

968
6-28
689
147

00
85
53
00

$2,110,972
764,000
300, 000
90, 500
353, 236
525, 553
156, 728
241,046
195,128
64, 334
65,210
23, 488

10 banks.
70
00
00

oo

06
69
38
04
42
97
51
73

102, 189 00
7, 579 37
49 869 OT
271,480 00

$2, 454, 337 28
764, 000 00
300, 000 00
125, 000 00
394,524 13
318, 653 54
91,451 35
63,613 13
199,611 37
42, 445 38
49,024 59
27, 565 62

80,953 66
5, 575 35
38 098 13
289, 886 00

53, 521 69

52, 459 59

46,204 80

36, 215 11

36,759 32

5, 287, 686 29

5,144, 462 02

5, 201, 548 23

5, 357, 532 03

5,281,498 19

47

REPORT OF THE COMPTROLLER OF THE CURRENCY.
by States and reserve cities—Continued.
CITY O ST. LOUIS.
F
DECEMBER 22.

JANUARY 20.

APRIL 14

JUNE 22.

OCTOBER 1

Liabilities.
7 banks.

7 banks.

7 banks.

6 banks.

$5, 450, 000 00

$5, 450, 000 00

$5, 350, 000 00

$2, 850, 000 00

$2, 850, 000 00

Surplus fund
Undivided profits

899, 020 34
540, 280 73

914,582 59
267,136 18

901,875 07
367, 683 34

553, 099 55
424, 934 43

564, 712 69
323, 523 67

Nat'l bank circulation.
State bank circulation.

751,130 00

752, 930 00

752, 930 00

699,170 00

407, 000 00

Capital stock

Dividends unpaid

27,654 18

26, 822 68

16,014 18

3, 360 68

6 banks.

3, 859 68

Individual deposits
U. S. deposits
Dep'ts U. S. dis. officers

6,109, 414 94
59, 515 82

6, 197,121 14

5, 059, 203 25
168, 289 34

3,396, 400 56
65,324 39

3,345,401 58
263, 483 87

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

1,672,173 90
1,842,288 22

1,571,649 49
1, 986, 783 96

1, 562, 209 09
2, 403, 298 02

1,648,215 24
2, 389,158 52

921,586 07
2, 073,2s6 37

573, 979,15

731,041 94
150, 000 00

336, 504 18
212,625 00

17, 924, 625 78

18, 048, 899 48

17,130, 631 47

Notes re-discounted . . .
Bills payable
Total

66,000 00
25C, 000 00
12, 029, 663 37

11,068,853 93

KANSAS.
16 banks.

16 banks.
Capital stock .

$1, 210, 000 00 $1, 210, 000 00

15 banks.
51,060,000 00

15 banks.
$1, 060, 000 00

15 banks.
$1, 065, 000 00

Surplus fund
Undivided profits

249,541 75
173, 656 46

247,917 15
50, 279 01

241,810 90
102,498 93

249,810 90
142, 373 43

253, 328 82106, 382 li>

Nat'l bank circulation.
State bank circulation.

881,285 00

881, 285 00

788,100 00

790, 700 00

792, 000 00

Dividends unpaid
Individual deposits
U. S. deposits
Dep'ts U. S. dis. officers

5, 893 50

446 00

1,861,488 36
145,764 25
225, 397 55

1, 889, 043 29
166, 982 03
224,988 12

1, 990, 716 72
141,099 73
186,193 72

2, 085, 443 90
168, 509 77
249, 736 59

2,111,152 07
155, 55 L 12
96,212 29

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

33, 210 64
106,539 10

24,911 24
111,741 38

42, 792 72
89, 527 80

43, 325 69
111, 704 26

39, 453 44
87, 376 44

Notes re-discounted . . .
Bills payable

48,144 50
13, 400 00

46,274 55
13, 400 00

23, 450 00
10, 900 00

18, 150 00
5, 900 00

13,629 15
8, 400 00

4, 824, 351 99

4, 677, 090 52

4,925,654 54

4, 728, 485 52

10 banks.

4, 997.136 89 I

NEBRASKA.
9 banks.

9 banks.

9 banks.

10 banks.

$950, 0.0 00

$950, 000 00

$900, 000 00

$950, 000 00

Surplus fund
Undivided profits

171 600 00
130, 290 41

174, 300 00
49, 974 96

174 300 00
126,120 3L

172, 800 00
179, 07L 11

173, 500 00
159, 757

Nat'l bank circulation.
State bank circulation

794, 680 00

794, 480 00

748, 990 00

674, 990 00

686, 490 00

Capital stock

$950, 000

no

3, 445 00

3,075 00

3,115 00

76 00

Lndividual deposits
U. S. deposits
Dep'ts U. S. dis. officers

2, 434, 479 99
124,653 59
226, 784 (51

2, 457, 888 18
97,437 85
182,167 25

2, 504, 365 49
154,604 47
172, 267 66

2,554.421 91
94, 344 80
293, 843 14

2, 509, 086 17
143, 456 41
83, 9U3 39

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

164, 567 93
179, 385 78

140,363 62
171,040 19

223,182 23
90,542 87

275, 763 65
156, 682 42

264, 402 75
142, 635 95

Notes re-discounted . . .
Bills payable

111,233 98

123, 364 97

104,100 00

2,500 00

168,190 00

5, 287, 686 29

5, 144, 462 02

5, 201, 548 23

5, 357, 532 03

5,281,498 19

Dividends unpaid

Total




10 00

48

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Abstract of reports since October 2, 1876, arranged
COL
DECEMBER 22.
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, &e
Current expenses
Premiums paid
Cash items
Clearing-house exch'gs
Bills of other banks...
Fractional currency ..
Specie
Legal tender notes
U. S. ceit'fs of deposit.
Due from U. S. Treas .
Total

OR AD

JANUARY 20.

O.

APRIL 14.

JUNE 22.

OCTOBER 1.

10 banks.

13 banks.

13 banks.

$2, 443, 030 64
540,000 00
100, 000 00
3, 500 00
35. 577 94
216,261 35
229, 131 42
109,997 13
135,910 61
31,774 66
34, 075 00
59,328 67

$2,357,141 68
540, 000 00
100, 000 00
3,000 00
32,624 84
205,564 27
210,015 54
121, 005 29
135,910 61
9, 372 97
33, 075 00
41,178 93

$2, 306, 570 21
540, 000 00
100, 000 00

$2, 385, 499 37
598, 000 00
100, 000 00
3, 000 00
62, 264 24
283, 588 94
341,486 35
125,153 99
163,154 96
39,186 34
52, 738 75
57, 642 26

$2,411,328 03
608, 000 00
100, 000 00
500 00
74, 806 44
463,008 01
496,757 53
283, 798 83
164,661 72
39,699 10
46, 851 25
69,459 18

41,475 00
5, 767 86
91, 149 16
3l8,729 00

61,430 00
4,768 48
62, 564 52
366, 758 00

72, 799 00
5,361 02
45,761 84
336, 220 00

10 banks.

10 banks.

31,242 46
275,262 73
257, 022 67
93,304 59
136, 125 69
26,417 71
38, 075 00
55,129 11

96,003 00.
5, 923 81
74, 982 34
414, 904 00

52, 552 00
3,017 10
58,261 85
381,173 00

34, 695 51

38,084 16

33, 440 64

29, 957 80

44,589 18

4, 420, 403 95

4, 322, 494 29

4, 352, 732 67

4, 833, 486 15

5, 298, 463 22

OREGON.
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 n o t e s . . . .
U S cert'f's of deposit
Due from U.S. Treas.
Total

1 bank.

1 bank.

1 bank.

1 bank.

$737,719 34
250, 000 00
200, 000 00
17, 800 00
173, 922 64
106, 084 02
3,321 19
102,718 35
4,000 0(1
10, 787 52
1 120 57

$745, 737 71
250, 000 00
200, 000 00
24, 300 00
154, 92& 64
71,259 23
3, 550 80
99, 753 13
4,000 00

124 07

369 80

$713, 844 56
250, 000 00
200, 000 00
53, 300 00
181,755 43
112,4-6 99
4,185 51
61,314 49
4, 422 65
7,480 40
1 957 54

$727, 672 24
250, 000 00
200, 000 00
53, 200 00
181,405 43
137,196 40
10, 292 50
130,254 71
4,422 65
11,949 96
4 088 T>

$895, 643 97
250, 000 00
2l>0, 000 00
52, 900 00
169, 582 55
17, 351 80
5,361 97
106, 625 82
4, 000 00
7,223 25
2,339 86

16, 000 00

3,260 00

2,560 00

2,960 00

1,610 00

204, 075 ( 3
72t 300 00

138,819 09,
100, 700 on

144, 558 21
112,850 00

124

OR

178, 393 36
82, 650 00

404 50

28 ?1

150,507 55
78,520 00

58 75

66 00

14, 150 00

13,250 00

13, 250 00

12,050 00

25, 906 10

1,898,916 24

1,799,863 69

1, 882, 991 35

1, 965, 077 63

1, 995, 953 53

CALIFORNIA.
7 banks.
Loans and discounts..
Bonds for circulation .
Bonds for deposits
U. S. bonds on band ..
Other stocks and b'ds.
Due from res'v© ag'ts.
Due from nat'l banks.
Due irom 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




7 banks.

$2,165,792 r>9
934,000 00

$2,162,791 11
934, 00 J 00

7 banks.

7 banks.

7 banks.

$2, 102, 195 59
934, 000 00

$2,123,263 24
938, 000 00

$2, 225, 982 86
938, 000 00

43, 564 85
228,899 12
44,562 04
74, 957 85
205, 340 86
22,310 03
6, 009 74
38 384 89

16, 666 66

10, 100 00
62, 114 89
228,146 79
57,379 81
91, 143 07
205,288 01
31,136 85
8, 465 70
23 628 70

30,100
78, 377
184, 473
6,727
133, 069
205, 763
21, 856
6,009
29 441

10,000 66
76, 169 09
265,544 93
49,613 34
1.65, 808 57
132, 327 76
93, 862 84
14,771 07
30 841 35

10, 000
61,021
238, 653
29, 578
191,335
207, 880
7,835
9, 950
30 182

13, 030 00
78 67
530 545 07
Il,4i8 00

442 583 58
21,428 00

4,414 00
5,53
528 656 43
17, 222 00

9,950 00
9 84
541 053 03
10, 950 00

425 296
12, 820 00

4, 4m, 793 38

4. 360, 338 07

4. 260, 522 93

4, 340, 629 93

4,301,382 68

00
43
00
75
53
61
08
2L
17

13, 040 00
56 60

00
78
65
87
50
76
99
74
58

3,453 00
9 10

49

REPORT OF THE COMPTROLLER OF THE CURRENCY.
by iStates and reserve cities—Continued.
COLORADO.
DEC EMU Kit 22.

10 banks.

APRIL 14.

Capital stock .

!

$825, 000 00 |

j

$825, 000 00 :

272, 500 00 !
173,2-24 31 !

485,400 00

Dividends unpaid

JUNE 22.

j

13 banks.

155,605 80
139,038 44

157,740 15
120, 540 88

484, 700 00 ;

509, 580 00 !

545, 080 00

25 01) !

2, 328, 027 98 j 2,348,603 45;
57,821 29 !
67, 242 27 I
7, 699 08 |
2, 203 20

Due to national banks
Due to State banks

131,898 26 !
141,663 03 !

Total.

4,420,403 9 5 !

161, 026 02 ;
98, 660 03 j

168,077 U
99, 078 30

4,322,494 2 9 ;

ORB
1 bank.

;

GO

1 bank.

|

$250,000 00 •

Surplus fund
Undivided profits

$250, 000 00 j

50, 000 00 !
324, 943 18 i

Capital stock

2,932,675 60
59,241 79
4, 997 37

! 355,148 66 j 2, 592, 792 72
,
13,874 43 i
63,932 76
5, 264 33
3, 789 36

5, ooo oo ;

Notes re-discountedBills payable

13 backs.

50, 000 00
296, 977 32

226,317 80 |
117,429 27 ]

283,136 38
160, 051 05

24, 075 00 j

15, 000 00 j

25, 000 00

4,352,732 67 |

4,833,486

5, 298, 463 22

N.
1 bank.

j

1 bank.

j

$250, 000 00 j

$250, 000 00

j

50, 000 00 !
310,282 81

50, 000 00 I
329, 815 22 ;

50, 000 00
249, 191 37

206, 400. 00 j

186, 900 00

220, 500 G
O

677,150 26 i
114,(101 65 .
'
163, 250 53 '

759,631 29
114,946 87
169,435 91

814,033 48
125, 170 13
192,203 11

844,551 27
220,243 H
120,378 18

25, 983 93

21, U94 47

Dividends unpaid

1, 200 00 !

Due to national banks i ..
Due to State banks ....

1 bank.

$250, 000 00 j

222, 500 00 i

Nat'l bank circulation..
State bank circulation.

Individual deposits....
U. S. deposits
Dep'ts U. S. dis. officers1

$1,010,000 00

219,500 00 |
102,459 20 '

77,289 96 ;

100 00

Individual deposits
U. S. deposits
Depots U. S. dis. officers

OCTOBER 1.

$825,000 00 I $1,010,000 00 |

241,500 00 '

482, 305 00 !

Surplus fund
Undivided profits
Nat'l bank circulation
State bank circulation.

!

10 banks.

JANUARY 20,

10 banks.

Liabilities.

735,550 18 '
H-8, 446 64 !
208, 455 47
2, 620 77

5, 512 00

16, 925 69 i

35,577 60

Notes re-discounted
Bills payable
Total .

1,898,91.6 24 j

1,799,863 69 !

1,822,991 35 ;

1,965,077 63 j

1,995,953 i?>

CALIFORNIA,
7 banks.

7 banks.

'. $1,700,000 00

Capital stock

$1,700,000 00

85,021 86 j
119, 169 42

Dividends unpaid

'
;

Due to national banks.:
Due to -State banks
Notes re-discounted.
Bills payable
Total

101,011 94 !
111,524 36 j

742,440 00

743, 870 00 !

99, 075 74
155,008 26
739, 565 00

7 banks.
$1, 550, 0C0 00
107, 094 69
116,33d 63
745, 710 00

2, 599 00

6,154 00

2,016 00

2, 375 00

4, 855 0:3

1, 528,173 90

1,593,201 92

1, 532, 007 04

1,586,815 48

1, 653, 659 24

14,093 04
143,667 41

31,058 77
92, 678 35

4,310,629 93

4,301,382 08

8, 826 86
252,822 14

5, 370 62
143,877 01

4, 048 20 i
166, 045 39 |

29, 800 20
j

H. Ex. 3-




99,011 94
70, 282 58

737, 380 00 i

Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation

Individual deposits....
U.S. deposits '••
Dep'ts U. S. dis. officer,

7 banks.
$1,600,000 00 | $1,600,000 00

4, 493, 793 38

1)

4,360,338 07

4,260,522 93 |

RETORT OF 'HIE COMPTROLLER OF THE CURRENCY.
Abstract of reports aince October 2. 1&7G, arranged
CITY

OP S A N

DECO1I5KR 22.
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'gi:
Bills of other banks . .
Fractional currency . .
'Specie
Legal tender notes.. . .
II. S. cerffs of deposit.
Due fi'om U. S. Treas.
Total

JANUARY 20.

FRANCISCO.

2 banks.

APRIL 14.

OCTOBER 1.

2 banks.

2 banks.

2 banks.

$3,230,829 73 i $3,061,722 97 . $3,160,171 02 j $2,872,753 95 i $3,027,904 47
850, 000 00
850, 000 00
850, (J00 00 !
850, 000 00 |
850, (.00 00
31,168 00
13,203 22
52, 927 87
130,704 03
7o, f.96 90
2.804 23
15, 4 fio" 02 ,
14,783 88 !
58.87! 57
J 0, 750 00
19 77
e39, 297 84
2^,710 00

i

31,168 00

91 i
94 :
24 '
90 !
26
62 I
43 ;
1L i
00 i

5,523,641 02

5,355,133 On

927, 845 60 i
55, 313 00 :

5,596,783 70 j

MEW
2 banks.

27 67

j

1,071,88169

24,353 00
27,284 37
121,861 40
227, 258 76
74,295 77
3,502 76
8, 905 80
46,971 10
49,451 51
39, 125 00
15 88
948, 578 50
41, 885 (;0

'

!

'
i
'

5,336,242 80

24, 308 00
12,000 19
27, 453 87
342, 373 99
74,449 70
909 70
10. 920 00
34.861 62
84,902 91
7, 225 00
124 21
636, 726 85
46,691 00 i

5, 180,851 51

MEXICO.

2 banks.

Loans and discounts..:
$34 2,893 01
Bonds for circulation.!
3! 0, 000 ( O
J
Bonds for deposits
:
150,000 00
IT. S. bonds on h a n d . .
Other stocks and b'ds.'
2.172 21
Due from res've ag'ts
]'1.097 73
Due from nat'l banks.
29.47198
Due from State banks
4t>, 409 49
Real estate, &c
! '
5, 194 89
Current expenses
5.622 40
Premiums paid
45,871 22
:
Cash items
1,498 61
Clearing-houseexch'gs
Bills of other banks . . ;
4. 2(>2 00
Fractional currency . .
6,726 10
Specie
....
2. 281 05
Lepal tender n o t e s . . . ;
IQ'o, b3S ('0
U . S . c t r t ' f s of deposit ;
Due from U . S . Treas.'
13,500 00
Total.

3 1 , 168 00 i

24, 055
79, 555
213,805
74,946
3, 308
9.549
72, 857
90, 884
3, i;95

1,048 70

69, 886 40
J 85, 97I 97
75,596 90
5,931 1-8
• 10, 920 00
50, 568 74
162. 840 34
23, 765 00
27 22
942, 233 50
51,960 00

2 banks.

$355,436 74
300,000 00 '
.
150,000 00

$383,906 53 '
300,000 00 ;
150,000 00 I
i
2,815 07 !
39,457 04 ;
11,635 60
(53,054 04
5,514 89 ;
2,288 37
45,471 17
1,295 51 I

3,243 63
12,875 69
19,308 95
33,724 35
5, 54 J 89
8,980 56
45,871 22 ;
1,329 65
5,536
6,523
1,852
97,743

00
41
81
00

3,256
4,036
10,294
76,646

14,989 50
1,062,960 40

9,625

2 banks.

2 banks.

$408,579 33 <
300,000 00 |
150,000 00 :
I
2,735 38 !
38,806 48 !
46,356 6 3 ,
42,470 35 '
5,544 89
5,911 08
45,471 )7 :
1,419 90 •
]
\
C !
O
2,287 00 I
90 '
3,205 59 j
65
22,507 15 |
00 (
19,041 00 !
l
'...
..
.
00 i
14,500 00 ,

1,109,326 7 7 !

1, 108, 8?5 95

$356,755 5 0 !
300,000 00 j
16 », 000 00 'l
i
1,245 60 '
33,263 88 |
49, 140 82 i
48,299 89 I
5, 54 4 89 j
1,589 17 !
45,471 17 j
933 81 j
!
13,371 00 |
2,615 35 !
14,200 48 I
59,522 00 i
;
13,500 00 !
1,105, 453 56 i

UTAH.
1 bank.
Loans and discounts..!
Bonds for circulation.I
Bonds for deposits
;.
U. S. bonds on h a n d . . j .
Other stocks and b'ds j
Due from res've ag'ta.j
Due from nat'l b a n k s !
Due from State banks. j
Real estate, &c
I
Current expenses
j
Premiums paid
j.
Cash it^ms
;
(iearing-honse exfh'gs: .
Bills of other banks . J
Fractional currency . . j
Specie
'
Legal tender notes
\
IT. S. cert'fs of deposit. |
Due from U. S. Treas !
Total .




1 bank.

$244,913 95
50, t.OO 00

283, 750 04
50, 000 00

9, 680 63
8,012 71
41.504 38
34,741 82
45, 000 (10
2, 570 52

3, 345 63
2, 61 !5 43
7, 330 78
30, 935 00
45, (100 00
3, 684 27

1,315 14

140 47

10,30! P0
3-35 00
28, 767 05
130, 153 0U

7,513 00
1,101 75
12,472 10
126, 685 00

$307, 344 86
50, 000 00
2,754
13,670
41,835
24,880
45, 000
8, 809

13
60
46
03
0<»
33

1 bank.
$297, 507 74
50, 000 00

$302,713 04
50, 00U 00
j
I
|
j
j

1,826 55
20, 287 47
51,493 94
22,809 09
45, 000 00
1,370 51

j
!
i
i

12,842 64

19,243 00 |

5,397
96 L
26.515
47, 220

7,958
853
25, 362
85, 397

00
95
25
00

00
63
45
00 ,

2, 115 30 !
7,319 13
12,511 49
40,818 92
55 000 00 !
6, 372 93 i
4, 334 56 j
4, 589
902
19, 700
168, 184

00 ,
70
30
00 !

!
2,250 00
609, 535 20 I

2, 250 00

2, 250 00 !

576,813 47

589, 48 L 25 |

2, 250 00
636, 564 68

2,250 00
671, 606 07

REPOltT OF THE COMPTROLLER OF THE CURRENCY.
by titates ani reserve cities—Continued.
CITY

OF SAN

DECEMBER 22

FRANCISCO.
J I M 22.

APRIL 14

.) rVNUARY 2 0 .

()( l O l i h R 1

Liabilities.
2 banks.

2 banks.
$2, 750, 000 00 '

Capital stock

2 banks.

2 banks.

2 b ink-,.

$2, 750, 000 00

$2, 750, 000 00 '

$2, 750, 00J 00

12 750 OJl) Of)

Surplus fund
Undivided profits

1! 7, 333 33 i
61,681 6 4 ;

1! 9, 000 00
53, 495 57

124,000 00
47,751 06 |

113,415 10
64,716 39

117,748 44
85,11.8 30

Nat'l bank circulation .!
•State b'-mk circulation •

667,610

oo ;

066, 245 CO

660, 350 00

661,665 00

653, 585 00

4, 654 64

Dividends unpaid.

4,203 03

Individual deposits
'
U S deposits
•
Dep'ts U.S. dis. officers<

1,356,323 71 !

Due ionational bank;: |
Due to State banks. . . j

286, 647 76
110,881 98 !

1,520, 160 62

228, 430 00
182, 106 80

8, 578 85 j

8, 397 17

8,618 59

1,598,022 62 j

1,388,767 88

1,331,263 11

226,018 63 :
176, 059 54 |

228, 161 23
12!, 120 03

133,344 19101, 173 88-

5,336,242 80

5, 180,851 51

1

Hills payable
Total

'

• • ' I

!
5, 355, 133 06

5,523,641 02

NEW
2 banks.
Capital stock

5, 596, 783 70

MEXICO.

2 banks.

2 banks.

2 banks.

no

!

2 banks.

:

$300, 000 00

i

$300, 000 00

'•

41,368 46
23, 492 52

4!, 368 46
3:2, 835 42

42, 603 40
19, 693 6^

42, 603 4 0 I
29, 512 1 1 !

3!, 090 78
28, 056 13

259, 890 00

261,500 00

267, 060 00

261, 870 00 |

267, 550 00

Individual deposits
i
U. S. deposits
Dep'ts U.S. dis. officers!

222,197 77
147,080 43
73,822 10

215,239 39
162, 902 33
40, 119 14

249, 291 99
161, 173 84
69, 179 73

253, 724 74 !
143,497 64
72, 387 81 ;

286, 185 64
i 50, 659 33
39, 420 86

Due to national banks •
Due to State banks. . . .

1,283 79
2, 746 62

15 00
5,980 66

324 13

240 25 ,

2, 490 82

Surplus fund
Undivided profits

Nat'l bank circulation. 1
State bank circulation ••
Dividends unpaid

$300 000 00

$300. 000

^300 000 00

':

Notes re-discounted...'.
Bills payable
!.
Total

'"• 1

1,071,881 69

1,062,960 40

1, 109,326 77

1, 1(8, 835 95 |

1, 105,453 56

UT A H .
1 bank.

1 bank.

j

1 bank.

1 bank.

1 bank.

$200, 000 00

$200, 000 00

$200, 000 00

$200 000 00 !

$200, 000 00

Surplus fund .
Undivided profits

40, 000 00
11,042 61

40, 000 00
17,269 9L

40, 000 00
29, 163 96

40, 000 00 I
16, 957 71

40, 000 00
30, 470 86

Nat'l bank circulation >.
State bank circulation <.

45, 000 00

45, 000 00

44,000 00

45, 000 00

39, 200 00

Capital stock

:

150 00

Individual deposits
U S deposits
i
Dep'ts U S dis officersi

309,511 98

Due to national banks \
Due to State banks . . . i

1, 742 38
2, 088 23

Dividends unpaid

Notes re-discounted
Bills payable
Total




150 00
273, 235 37

ojo 38
915 81

132 00

78 00

30 00

271, 008 16

331, 136 51 |

359,513 81

3^6 65
4, 850 48

371 5f) !
20 9 3 :

1, 768 59
592 81

:
;

!

6(!9, 535 20

576, 813 47

589,481 25

636, 564 68 1

671, 606 07

Abstract of reports since October 2, 187C, arranged
IDAHO.
JANUAKY 20.

DECEMBER 22.

APRIL 14.

JUNE 22.

1 bank.

1 bank.

;

1 bank.

OCTOBER 1.

Resources.
1 bank.
Loans and discounts..;
Bonds for circulation .
Bonds for deposits
;.
U. S. bonds on hand . . ; .
Other stocks and b ' d s .
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.

\

$64, 343 78 i
100, 000 00

$58,114 84 j
ioo, coo to i

57, 657 31

70, 729 67

16, 128 59 !
5, 067 99 ]
7, 033 33 !

6,213 65
26,061 5L
7, 033 33
2 443 15
1,351 98
1,195 56

59,703 65 !

62, 486 01

12,602
5-2, 667
7, 033
4,761

601
84,0('5
7, 033
169

28, 349
37, 078
7, 033
2,292

45
93
33
02

609 '

534 62

15, 31 iO 00
550 00
7, 650 00
22,047 00

4, 570 00 :
970 75 ;
12, 328 25 '
9, 435 00

66
04
33
81

j
!
;
:

152 29 !
2, 650
713
11,719
11,263

00 i
20
CO
00

4, 500 00

5, 599 99

351,4 40 50

Total..

1 bank.
.

$87, 579 69 j
100, 000 00 :

59, 375 08
45
45
33
64

i

$67,965 50 \
ioo,uoo,oo ;

337, 332 83

3, 486 30 I
2, 087 99
6, 400 00 ;
230 00 i
10,717 00 '
26, 122 00
4, 500 00 ;
327, 010 20

$90, 038 61 I
100, 000 00 I

7, 500 00 I
174 00 j
3, 407 00 I
24, 108 CO j

4,446 49
344,702 95

MONTANA.
5 banks.
Loans and discounts..I
Bonds for circulation . j
Bonds for deposits
j
U. S. bonds on band . . •
Other stocks and b'ds.
Due from res've ag'ts Due from nat'l banks.
Due from State banks, j
Real estate, &c
j
Current expenses
I
Premiums paid
!
Cash items
j
Clearing-house exch'gs{.
Bills oi other banks . . |
Fractional currency . .|
Specie
i
Legal tender notes . . . j
U. S. cert'fs of deposit.
Due from U. 8. Treas. |
Total

I

$809,464
23*5,000
150, 000
500
44, 5!4
66, 450
51,746
8, 946
40,991
22, 186
40, 135
178, 566
20,215
4,488
3, 191
105, 50J

5 banks.

> banks.
52
00
00
00
62
29
85
11
68
38
25
42

$835, 698
236, 00')
150, 000
500
44, 880
65,514
34, 124
20, 089
39, 556
4,088
45, 485
90, 625

00 i
44 !
18 l
00 i

11,220 00

22,
5,
2.
106,

383
007
359
850

66
00
00
00 '
04
07
65
45
42
87
25
49
00
63
00
00

10, 620 00

1,800, 116 74 !

1,713,782 73 :

;

5 b auks.

$907, 00L 64 I
23'>, 0U0 00 I
150, 000 00 '
"" "40*455" 00":
61,705 68 '
50,392 11 I
16,0-26 56 j
41,083 12 •
13,349 28 !
45, 485 25 i
26, 863 32 j
19, 374
3, 866
11,528
100,300

00
54
18
00

I
I
I
1

16,320 00 I
1,742,750 68 !

5 banks.

$827, 379
236, 000
150, 000
500
30, 906
63, 130
105,414
31,586
41, 129
19,453
45, 485
9;, 966

42
00 ;
00 ;
00 !
5-2 I
57
60 !
80 ;
12 !
49 I
25 i
25 !

$811,111 P9

21,378
3, 524
23,038
95,900

00 !
67 I
41 !
00 i

16,728
3,027
17,684
77,400

11,320 00 ,
1,798,113 10 I

236, 000 00 i

150,000 00 !
1,000 00 !
43,490 91 I
57. 642 62 j
46,856 42 !
52,244 26
40,952 61 i
12,514 39 :
43, 5':0 25 !
108, £60 2L !
00 '
49 j
18 j
00 '

10, 620 00

!

1, 729, 633 23

WYOMING.
2 banks.
Loans and discounts..
Bonds for circulation .
Bonds for deposits
U. S. bonds on hand . .
Orher stocks and b'ds.
Due from res've ag'ts.l
Due from nat'l banks.!
Due from State banks.:
Real estate, &c
j
Current expenses
;
Premiums paid
;
Cash items
j
Clearing-house exch'gs;
Bills of other banks . J
Fractional currency . . |
Specie
i
Legal tender notes . . . 1
TI. S. cert'fs of deposit.;
Due fiom U. S. Treas.I
Total




i

j

12, 707 37 j
58
19,973
17.504
7, 952
12,890

(7
45
02
35
81

!
i
!
!

5,490
73
2. 858
52,671

00 i
72 !
35 I
00 j

2 banks.

2 banks.

2 banks.

2 banks.

$252,359 16
60, 000 00 '

$241,415 38
60, 000 00

$246,161 44 i
61), 000 00

$274, 522 83
60,000 00

$303,008 12 j
60, 000 00 ;

22,411
1,280
14,511
1,453
20,298
9,159
7,748
7,530

23,440 07
2 •>, 276 39
40, 397 74
1,082 11
20,298 45
13,005 05
7. 748 75
11,708 62

15,758
10
38, 985
341
19,973
1,807
7, 896
10,806

35 :
65 :
92
56
45
61
41
12

18,054
1, 14L
28,677
477
20, 298
5, 340
7, 748
5, 179

5,378
194
3,981
40,259

00
71
85
00

9 970 00
424 88
4, 839 32
61,810 00

2,700 00 I

2, 700 C
O

488, 056 93 \

460, 452 79

59
50
18
41
45
02
75
20
j
!
!
!

3,334 67 ;
473,457 41

05
97
51
33
45
15
75
17

20, 241 00
187 46
13,028 40
45,521 00
2,525 15
500,419 22 !

11,059
3' 8
15, 030
48,011

00 J
53 j
97 I
00 j

2, 700 00
580,074 80

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Do

by States and reserve cities—Continued.
IDAHO.
DECEMBER 22.

JANUARY 20. j

$100, 0C0 00

j

1 bank.

1 bank.

$100,000

oo !

18,417 82
14,567 44

!

Due to national banks.
Due to State banks

;

20 917 82 !
2, 251 68 j

20, 917 82
8, 040

77, 700 00

•Surplus fund
Undivided profits
Nat'l bank circulation.
State bank circulation.

Individual deposits
U S deposits

JUNE 22.

1 bank.

1 bank.

Capital stock.

APRIL 14.

$100,000 00 i

Liabilities.

!

76, 750 00

87, 700

so;

141,881 66

139, 057

1, 61)7 44

OCTOBER I.
—

$100,000 00

1 bank.
$100,000 00
20, 917 82
3,011 73

oo !

77, 500 00

84, 700 00

116,336 49 ,

107,095 72

127,178 65

4, 337 80

165 68

20,917 82 '
7, 529 45

13, 907 21

8,89-1 75

327,010 20

344, 702 95

Bills pavable
Total

351,440 50 !

341,966 84 j

337, 332 83 :

MONTANA.
5 banks.

5 bank*.

5 baiiKS.

5 banks.

o banks.

$350, 000 00

$350, 000 00

$350, 000 00

$350, 000 00

$350, 000 00

77, 250 00
69, 797 19

85, 000 oo
47, 101 U

85, 000 00
60, 667 82

85, 000 00
74, 894 59

86, 962 00
69, 664 35

209, 134 00

O
208, 834 C

'206, 034 00

204, 434 00

202, 934 00

Individual deposits
U. S. deposits
'
Dep'ts U. S. dis. officers

886,117 82 i
38, 390 52 ]
93,264 21

885, 774 93
46,444 92
49, 395 CO

847,916 66
59,517 57
79, 545 83

836. 963 32
87, 286 32
64, 677 46

832,124 17
96, 281 90
7, 419 75

Due to national backs.
Due to State banks . . .

31,151 67 ;
45,011 33 i

30, 558 57
23, 410 23

43, 807 88
51,049 53

24, 468 04
28, 623 76

Capital stock

]

Surplus fund
Undivided profits
Nat'l bank circulation.)
Ibtate bank circulation
Dividends unpaid... '•,

Notes re-discounted
Bills payable
Total

!

300 00

100 00 .

100 00

'

20, 921 24 '
14,211 01

|.
I.
!

25, 855
5, 000 00

1,800,116 74 1 1,713,782 73

WYO

1,742,750 68

1,798,113 10

1,729,633 23

MI NG.

2 banks.

2 banks

2 banks.

2 banks.

2 banks.

$125 000 00

$195 000 00

$125 000 00

$125,000 00

$125 000 00

Surplus fund
Undivided profits

20, 595 00
41,684 85

24, 098
25, 445 75

24, 098 72
36, 957 97

24,098 72
48, 122 88

25, 000 00
61,864 35

Nat'l bank circulation.
State bank circulation

51,800 oo ;

52,100 00

49, 750 00

47, 050 00

51, 950 00

218,554 93

225, 055 52

233,186 50

310, 522 93

11,963 73
3, 289 66

4,281 03
814 17

22, 054 12
907 00

4,799 75
937 77

500,419 22

580, 074 80

Capital stock

Dividends unpaid

.

Individual deposits
XJ. S deposits

229, 969 68

Due to national banks
Due to State banks ...;
Notes re-discounted. >
Bills payable
i.
Total




;

!

:

17,033 03
], 974 37
i

488, 056 93 ;

7 500 00
460, 452 79

473, 457 41.

54

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Abstracts of reports since October 2, 1876, arranged
DAKOTA.
Resources.

DECEMBER

; JANUARY 20.
1

1 bank.

Loans and discounts..;
Bonds for circulation.. 1
Bonds for deposits
U S bonds on hand
Other stocks and b'ds.;
Due from res've ag'ts.:
Due from nat'l bank..
Due from State bankss
Real estate, &c
Current expenses
Premiums paid
j
Cash items
J
Clearing-house exch'gs
Bills of other banks....
Fractional currency ..
Specie
Legal tender notes
11. "S. ccrt'fs of deposit.
Due from U. S. Treas
Total




APRIL 14.

JUNE 22.

1 bank.

1 bank.

$67,108 02 !,
50,000 00
50, 000 00 i

$67, 723 58 :
50, 000 00 •
'
50, 000 00 .

$73, 773 88
50, 000 00
50, 000 00

561 63 ;
83, 829 87 '
]9,663 09 \

610 93 ;
60, 220 75
29, 122 13

10,579
2, 709
11,747
4, 176

00
39 !
92 !
43

634
120
6,587
9, 236

00 ;
97
90
00 ;

2, 250 00 ;
319,207 22

OCTOBER 1.

1 bank.
!

j

1 bank.

$86, 577 23
50, 000 00
50, 000 00

$97, 940 20
5 ), 000 00
50, C O 00
O

598 80
28, 778 33
10,433 15

698 80
15,718 81
14, 144 94

2,211 40
2J, 275 86
22, 036 78

10,579 00
115 70 :
10, (IOO oo ,
1,513 48

10,579
1, 969
10,(10!)
2,407

0!)
11
00 ,
13 !

10,579
2, 896
10, 000
2, 264

00
11
00
65

10,692
1, 627
10,00'J
1, 784

04
75
00
^

1,094
164
1,884
12,279

5] 9 00 i
96 53
1, 030 25
10, 779 00

895
167
2 232
9^258

00
03
00
00

984
109
1,273
13, 488

00
37
83
00

00
55
55
00

2, 250 00 ^
297, 557 67

2, 250 00 ;
258,214 18

j

2, 250 00
257, 68 L 57 j

2, 250 00
293,674 11

REPORT OF THE COMPTROLLER OF THE CURRENCY.

55

by States and reserve cities—Continued.
DAKOTA.
DECEMBER 22.
Liabilities.
1 bank.
Capita] stock
Surplus fund
Undivided profits

JANUARY 20. j
-- j
1 bank.
j

$50,000 00

Nat'l b a n k circulation.'

10, 000 CO '
1,135 88
43,300 0 0 ;

1 bank.

$50,000 00 j

10,000 00
8,355 30
43,300 00

'
:

APRIL 14.

State b a n k circulation

J
'
!

JUNE 22.
1 bank.

$5°, 000 00 j
•

$50,000 CO

$50,000 00

10, 000 00 i
4,975 4 6 ;

10,000 00
7,998 20

10,000 00
6,507 99

45, 000 00 '

45,000 00

45,000 00

131,710 32
41,980 49
7,775 31

,

Dividends unpaid

'•

156,910 93
24,707 49 !
10,483 3 7 ;
!
i

113,88175:
29, 896 29 i
4,460 6 8 ;
!
i

105,96182
30,695 42
6,026 13
„

297,557 67 !

258,214 18 I

257,681 57

1,020 00

Individual d e p o s i t s . . . .
U . S . deposits
i
D e p ' t s U . S. dis. officers
D u e to national b a n k s . ,
D u e to State banks . . . ;

178,607 7 7 '
23,810 89
5,133 26

i OCTOBER 1.
'
1 bank.

;

700 00

I

Notes re-discounted.
Bills payable
Total




i

319,207 22

£93,674 11

REPORTS OF THE CONDITION

TH E

N ATIONA L BANK S

CLOSE OF BUSINESS ON MONDAY, OCTOBER 1,1877.




REPORTS OF THE

CONDITION

OF

THE NATIONAL BANKS
AT THE

CLOSE OF BUSINESS ON MONDAY, OCTOBER 1, 1877.

MAINE.
First National Bank, Auburn.
JAMES DINGLEY, Jr., President.

No. 154.

J. B. JORDAN, 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.
$193,153 09 Capital stock paid in.

$150, 000 00

46 89

150,000 00

24, 828 12
1,041 63

Surplus fund
Other undivided profits
National bank notes outstanding....
State bank notes outstanding

Dividends unpaid .
1,674 03 Individual deposits
United States deposits
275 63 Deposits of U. S. disbursing officers.

33, 000 00
5,831 60
127,980 00

65,811 83

3, 656 00 Due to other national banks
319 04 Due to State banks and bankers .
879 00
Notes and bills re-discounted.
Bills payable
6, 750 00
Total.

382, 623 43

382, 623 43

National Shoe and Leather Bank, Auburn.
ARA 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 fromU. S. Treasurer
Total.

H. Ex. 3-




No. 2270.

M. C. PERCIVAL, Cashier.

I 60 Capital stock paid in.
250, 000 66

4,705 20
1, 244 28
6, 000 00
25, 000 00
3, 856 39
I, 000 00
9, 000 00

"i3,"350"66'
617, 535 47

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$300, 000 00
6, 000 00
6,467 31
225, 000 00

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

80,068 16

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

617,535 47

60

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MAINE.
First National Bank, Augusta.
No. 367.

J. H. WILLTAMS, President.

ISRAEL BOOTHBY, 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

Capital stock paid in.

$250, 000 00
40, 000 00
8, 855 44

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

218, 950 00

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

63, 706 34

7, 335 31

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

Total .

588, 847 09

Freeman's National Bank, Augusta.
W. F. HALLETT, President.

No. 406.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 302 00
555 11
100, 000 00

F. H. ADAMS, Cashier.

Capital stock paid in.

1100, 000 00

Surplus fund
j Other undivided profits
I
25, 000 00 National bank notes outstanding
16, 424 47 State bank notes outstanding
133 69
8,000 00 Dividends unpaid .
514 25 Individual deposits
119 60 United States deposits
Deposits of U. S. disbursing officers.

23, 000 00
4,231 53

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

4, 525 93
1, 422 99

85, 500 00
163 00
74, 580 74

293,424 19

Total.

Total.

Granite National Bank, Augusta.
DARIUS ALDEN. President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. T. JOHNSON, Cashier.

No. 498.
$244, 978 23
755 31
125, 000 00
50, 000 00
550 00
2,100 00
116,552 24
22 10
16, 390 00

Capital stock paid in

|

$150, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

|
|

20, 000 00
5, 426 71
111, 500 00

Individual deposits
1,695 35 United States deposits
I
18,841 37 Deposits of U. S. disbursing officers . .

290, 478 17
21,200 28
1, 582 00

Dividends unpaid

8, 351 00 Due to other national banks
253 19 Due to State banks and bankers.
15,200 00 Notes and bills re-discounted
Bills payable
""5," 625" 66"
606,313 79

Total .

72 00

6, 054 63

606, 313 79

REPORT OF THE COMPTROLLER OF THE CURRENCY.

61

MAINE.
First National Bank, Bangor.
GrEORGE STETSON, President.

ELIAS MERRILL, 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 eash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$567, 884
1, 492
303, 000
70, 000

7, 659
28, 933
3,516
4, 864

08 Capital stock paid in .
75
00
Surplus fund
00
Other undivided profits .

56
24
97
96

23,315 89
2,661 00
29 00
2,100 00
60,000 00

$500,000 00
100, 000 00
43.052 81

National bank notes outstanding
State bank notes outstanding
Dividends unpaid

j
j
j

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

187,101 00

I

390 00
210,129 62
31, 172 74
4, 894 73

j
I

3, 186 85
29 70

Notes and bills re-discounted.
Bills payable

4, 500 00
1, 079, 957 45

Total.

Total

1,079,957 45

Second National Bank, Bangor.
No. 306.

N. C. AYRE, President.
Lpans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and 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 s and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
„
U. S. certificates of deposit
Due from U. S. Treasurer

$250 855 37

Capital stock paid in .

""Iso.'ooo'oo"

Surplus fund
Other undivided profits

3967 72
45, 993 29

"is," 660'66
1,834 74

<
;

W. S. DENNETT, Cashier.

4,162
41
900
25,000

00
79
00
00

$150, 000 00
30, 000 00
14,893 62

National bank notes outstanding
State bank notes outstanding

111,200 00
7, 040 00

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

185,329 20

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

6,042 09

Notes and bills re-discounted.
Bills payable

!, 750 00

Total.

Total.

504, 504 91

504,504 91

Farmers' National Bank, Bangor.
JAMES DUNNING, President.

Loans and discounts
Overdrafts
U. O. bonds to secure circmauuu . . . . .
U. S. uuuu» IU secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..!
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for el earing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
..,
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1687.

J . S W E T T R O W E , Cashier.

$127, 362 70 Capital stock paid in

] 00, 000 00
J W , \J\J\J UU Surplus fund

Other undivided profits

1, 081 25 National bank notes outstanding
State bank notes outstanding
20, 743 43
Dividends unpaid

14, 814 48
5, 262 00
201 14
700 00
6,000 00

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

j

$100,000 00
9, 742 55
10, lQtf 92
78, 900 00
1, 960 00
4,825 00
75, 040 53

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

4, 500 00
280, 665 00

Total.

280, 665 00

62

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MAINE.
Kenduskeag National Bank, Bangor.

W. B. HAYFORD, President.

T. S. DODD, Cashier.

No. 518.

Resources.

Liabilities.

Loans and discounts
i
Overdrafts
j
U. S. bonds to secure circulation
:
U. S. bonds to secure deposits
i
XL 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
j
Premiums paid
j
Checks and other cash items
Exchanges for clearing house
i
Bills of other banks
;
Fractional currency
i
Specie
I
Legal tender notes
i
U. S. certificates of deposit
)
Due from U. S. Treasurer
Total

|

$188,877 74 Capital stock paid in.
136 45
75, 000 00 Surplus fund
Other undivided profits
1,000 00 National bank notes outstanding
68, 932 91 , State bank notes outstanding
790 00
5,144 00 j Dividends unpaid.
j Individual deposits
United States deposits
5, 057 02 Deposits of U. S. disbursing officers.
6, 645 00 Due to other national banks . . . .
10 54 Due to State banks and bankers.
392 50
15, 000 00 Notes and bills re-discounted
Bills payable
3,275 00
370,261 16

$100, 000 00
20,000 00
2, 820 73

65, 500 00
2,120 00
169,972 67

9,847 76

370,261 16

Total.

Merchants' National Bank, Bangor.
No. 1437.

S. H. BLAKE, Presided.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers-..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. T. STICKNEY, Cashier.

$258,711 51 !;Capital stock paid in.
931 51 !:
102, 450 00 , Surplus fund
Other undivided profits
13,608 17 National bank notes outstanding
51,167 40 State bank notes outstanding
4, 948 80 Dividends unpaid .
1,046 00 Individual deposits
United States deposits
7,969 19 Deposits of U. S. disbursing officers.
5, 033 00 Due to other national banks
75 61 Due to State banks and bankers.
3,747 00
13, 000 00 Notes and bills re-discountedBills payable
,
6,206 00
Total.

68,894 19

$100, 000 00
20, 000 00
52.629 13
77,236 00
1,437 00
3, 225 00
211,220 05

3,147 01

468,894 19

Traders' National Bank, Bangor.
W A L T E R BROWN, 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 ..
Real estate, furniture, 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 pecfe
Legal tender notes
U. S. Certificates of deposit
Duefr o U.S. Treasure
Total .




EBENEZER TRASK, Cashier.

No. 1095.
$164, 095 38

Capital stock paid in .

"106,006 00

Surplus fund
Other undivided profits .
3, 600 00 National bank notes outstanding
22,541 05 ! State bank notes outstanding
Dividends unpaid .
" "i,~844 58*
Individual deposits
United States deposits
1, 682 36 ., Deposits of U. S. disbursing officers.
2, 026 00 Due to other national banks
176 39 Due to State banks and bankers .
650 00
3,500 00 Notes and bills re-discounted.
Bills payable
5, 500 00 ;
305, 615 76

Total .

$100,000 00
20, 000 00
26,961 90
89, 400 00
5,115 00
63, 877 36

261 50

305, 615 76

REPORT OP THE COMPTROLLER

OF THE CURRENCY.

63

MAINE.
Veazie National Bank, Bangor.
ALFREB VEAZIE, President

W M . C. HOLT, Cashier,

Resources.

Liabilities.
$132, 717 47

Loans and discounts
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
Due from other banks and
Real estate, furniture, and
Current expenses and taxes

20, 887 89

4,440 75
10, 705 €3

National bank notes outstanding
State bank notes outstanding

85, 900 00

Dividends unpaid

24,866 06

. .„

967
105
290
2,300

00
54
00
00

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

84, 526 46

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

1,061 12
.

4,500 00

Due from U. S. Treasurer
Total

Surplus fund
Other undivided profits .
i

agents . . .
bankers..
fixtures
paid
.

Checks and other cash items
Exchanges for clearing Mouse
Sills of other banks
Fractional eui-reney
~
Specie
«
,
Legal tender notes

$100, 000 00

100, 000 00

. .

286, 633 96

Total

286, 633 96

First National Bank, Bath.
OLIVER MOSES, President.

W. D. MUSSENDEN, Cashier.

No. 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 . .

$228, 200 47
15, 909 53
200,000 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 t a r e s paid
.
Premiums paid
...

27, 449 74

Checks and other cash items
Exchanges for clearing k o m « e . . . . . . . .
Bills of otfeer banks
Fractional currency
.
.,
Specie
Legal tender notes
„
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

25,100 00

5, 000 00
2, 744 56

9, 572
4
7L7
10, 000

00
87
00
00

Capital stock paid in

$200, 000 00

Surplusfund
Other undivided profits

...

|

National bank notes outstanding
State bank notes outstanding

50,000 00
10, 704 34
178,990 00
858 00

Dividends unpaid .

87, 846 71

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

5, 299 12

Notes and bills re-discounted.
Bills payable

9, D O 00
U
533,698 17

533,698 17

Bath National Bank, Bath,
ARTHUR SEWALL,

President.

No. 494.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, &ad mortgages..

$185, 884 42

Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid

W. D. HILL, Cashier.

Capital stoek paid in .

$125,000 00

6, 825 88

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.




125, 000 00

" 6 , 2 6 6 "66"
15,300 00

Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding
Dividends unpaid..

1,940 65
1,6 \ 06
3,289 00
91 76
155 00
5, 000 00

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

43,183 12
13,487 16
!
I.

108,500 00
941 00
65,808 49

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

5, 625 00
356, 919 77

Total.

356, 919 77

64

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MAINE.
Lincoln National Bank, Bath.
No. 761.

CHAS. DAVENPORT, President.

W M . R. SHAW, Cashier.
Liabilities.

Resources.
ZiOans and discounts
j
Overdrafts
j
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
i
Checks and other cash items
'
Exchanges for clearing house....
;
Bills of other banks
..j
Fractional currency
,
Specie
I
Legal tender notes
;
LI. S. certificates of deposit
i
Due from U. S. Treasurer
:
Total.

$138, 017 65 Capital stock paid in.

$200, 000 00
54, 000 00
1, 063 37

200,000 G j Surplus fund
O
| Other undivided profits
50, 000 00
24, 750 00 National bank notes outstanding
36,491 03 State bank notes outstanding
594 59
1, 350 00 Dividends unpaid.
342 41 Individual deposits
! United States deposits
I Deposits of U. S. disbursing officers.
-

115,100 00
13,335 00
89,668 35

4, 955 00 ! Due to other national banks
138 04 Due to State banks and bankers'
528 00
7,000 00 ! Notes; and bills re-discounted.
Bills payable
9, 000 00
473, 166 72 j

473,166 72

Marine National Bank, Bath.
B. A.. DUN SAN, Cashier*

No. 7b2.

S. D. BAILEY, 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.. - j
Due from other banks and bankers .. I.
Real estate, furniture, and fixtures... i
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.

$146,257 97

Capital stock paid in

"94,500 60'

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
.

300 00
52, 015 00

$100, 000 00

Dividends unpaid

3,300 00
1, 509 28

605 00

Individual deposits
,
United State* deposits
Deposits of U. S. disbursing officers

849 62
3.214 00
130 19
560 47
4, 500 00

|

20, 400 00
7, 396 86
81, 550 00

101,434 67

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

4, 250 00 j
311,386 53 i

Total.

311,386 53

Sagadahock National Bank, Bath.
FRANKLIN 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
Total.




No. 1041.

HENRY EAMES, Cashier.

$171,926 47 Capital stock paid in.

"166,666 66

Surplus fund
Other undivided profits ...»
National bank notes outstanding
28,209 36 State bank notes outstanding
5,000 00 Dividends unpaid .
771 49 Individual deposits
United States deposits
Deposits of U. S. disbursing officers..
1,020 00
3 64
500 00
4, 500 00

$100, 000 00
38, 000 00
6, 422 33
88, 040 00

3, 636 00
80, 332 63

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

""*4," 500*66
316,430 96

Total.

316, 430 96

REPOKT OF THE COMPTROLLER OP THE CURRENCY.

65

MAINE.
Belfast National Bank, Belfast.
JAS.

No. 840.

P. W H I T E , President.

A. H. 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 U. S. Treasurer

Liabilities.
$186,429 94 Capital stock paid in
150, 000 00

57, 144 99

36, 200 82
4, 256 43
131, 000 00

Dividends unpaid
728 59
3, 857 61

414 00

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

7,212 00
1,000 00
5, 000 00
6, 750 00

96,251 88

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable
1.

418,123 13

Total

$150,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

Total

418,123 13

First National Bank, Biddeford.
No. 1089.

THOS. H. 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.. 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.

CHAS. A. MOODY, Cashier.

|138,610 27 Capital stock paid in
153 27
100, 000 00 Surplus fund
Other undivided profits
775 00 National bank notes outstanding
5, 057 44 State bank notes outstanding

$100, 000 00
15, 009 35
7, 759 99
87, 300 00

Dividends unpaid
Individual deposits
4,556 86 United States deposits
""398 00 Deposits of U. S. disbursing officers..
Due to other national banks
6Q 71 Due to State banks and bankers
2, 400 00 Notes and bills re-discounted
10, 500 00 Bills payable
262, 517 55

Total

47, 658 63

4,789 58

262,517 55

Biddeford National Bank, Biddeford.
WM. P. 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.




No. 1575.
$187 790 64
124, 000 00

C. E. GOODWIN, Cashier.

Capital stock paid in.

$150, 000 00

Surplus fund
Other undivided profits

37,000 00
10, 546 64

National bank notes outstanding
6,401 19 State bank notes outstanding
2, 906 78 Dividends unpaid .

101,400 00
5,229 11

Individual deposits
United States deposits
2, 881 15 Deposits of U. S. disbursing officers
9,150 00 Due to other national banks
15 43 Due to State banks and bankers
275 00
Notes and bills re-discounted
3, 250 00 Bills payable
5,58000
Total.
342,250 19

33,111 53

4,962 91

,
342,250 19

66

REPORT OF THE COMPTROLLER OF THE CURRENCY.
WLA I I E .
V
National Village Bank, Bowdoinham.

ROBT. P. CARR, President.

No. 944.

H. Q. SAMPSON, 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 clearinghouse.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total..

$50, 000 00

15,135 12 Capital stock paid in.
50, 000 00
" 4,200 00
9, 582 75

366 66
30 00

6,661 00
5 50
15 00
850 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

3,821 61
37,195 00
1, 612 40

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

16, 400 36

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

2,250 00
Total.

109, 029 37

109, 029 37

First National Bank, Brunswick.
J. P. WlNCHELL, Cashier.

No. 192.

N. T. 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 fromlL S. Treasurer
Total .

$56, 755 20

$100, 000 00

Capital stock paid in.

100,000 00 Surplus fund
Other undivided profits
"" 8*6," 566 "66' National bank notes outstanding
State bank notes outstanding
44, 495 60
662 96

Dividends unpaid .

830 26

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

3, 555 42
5, 973 00
20 65
362 20
1,000 00

20, 000 00
25, 466 26
85, 500 00
181 00

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

47, 699 43

19,308 60

4, 500 00
Total.

298,155 29

298,155 29

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.
$26, 609 29
66 12
50, 00O 00

L. H. STOVER, Cashier.

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits

3, 000 00
858 58

5, 400 00 National bank notes outstanding
13,159 67 State bank notes outstanding
1,869 12
9, 250 00 Dividends unpaid.
Individual deposits
United States deposits
634 00 Deposits of U. S. disbursing officers.

41, 800 00
195 00
15,278 46

724 00 Due to other national banks
119 84 j Due to State banks and bankers .
50 00
1, 000 00 J Notes and bills re-discounted.
j Bills payable
2, 250 00
111, 132 04

111,132 04

REPORT OF THE COMPTROLLER OF THE CURRENCY.

67

MAI N E .
Union National Bank, Brunswick.
No. 1118.

WILLIAM DECKER, President.

H. A. RANDALL, 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

$65,101 41 Capital stock paid in .
"loo,ooo hh'
24, 500 00
24,324 70
1,069 94
5,441 17

Dividends unpaid .

I 00

116 30
3, 700 00
"" 5,500 00

14,024 40
2,361 84
75, 400 00
270 00

Individual deposits
119 83 United States deposits
825 27 Deposits of U. S. disbursing officers.

48, 532 38

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

240, 588 62

Total.

$100, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding.
State bank notes outstanding

240, 588 62

Total.

Bucksport National Bank, Bucksport.
T. C. WOODMAN, President.

No. 1079.

Loans and discounts
Overdrafts
U . S. bonds to secure circulation
U- S. bonds to secure deposits
U- S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid.
Premiums paid
Checks and other cash items
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, 223 51

Capital stock paid in .

$100, 000 00

"ioo.'ooo'oo"

Surplus fund
Other undivided profits
850 65
National bank notes outstanding
14,561 04 State bank notes outstanding
Dividends unpaid .
595 61 Individual deposits
33 00 United States deposits
2, 063 53 Deposits of U. S. disbursing officers.

9, 983 45
4,688 17
81,504 00
309 00
30, 633 82

1, 325 00 Due to other national banks
75 00 Due to State banks and bankers .
891 75
Notes and bills re-discounted.
Bills payable
4, 500 00
227,118 44

Total.

E D W A R D SWAZEY, Cashier.

227,118 44

Total .

Calais National Bank, Calais.
JOSEPH A. LEE, President.
Loans and discounts
,—
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1425.

FRANK NELSON, Cashier.

$154,131 14 Capital stock paid in .
548 48
80,000 00 Surplus fund
Other undivided profits

$100, 000 00
34,350 34
3, 975 62

9, 000 00 National bank notes outstanding
29,081 86 State bank notes outstanding
687 39 Dividends unpaid .
673 39 Individual deposits
262 50 United States deposits
3,712 67 Deposits of U. S. disbursing officers.

65, 800 00

4, 736 00 Due to other national banks
135 08 Due to State banks and bankers .
131 00
4, 720 00 Notes and bills re-discounted.
Bills payable
3, 600 00

993 9

291,419 51

Total.

60

291,419 51

68

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MAINE.
Camden National Bank, Camden.
No. 23LI.

HENRY KNIGHT, President

J. Jb\ STETSON, 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, 476 52
30, 000 00

4, 661 98
810 83
1,513 00
305 32
4, 700 00
1,276 30
79 00
187 69
183 00
1,290 00

6
i; 350'6

Capital stock paid in.

620 00
3,255 09
26, 800 00

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

23,158 55

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

103, 833 64

Total.

$50, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

Total.

103, 833 64

First National Bank, Damariscotta.
EDWIN FLYE, President.

No. 446.

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, 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.

WILLIAM FLYE, Cashier.

$64, 057 53 Capital stock paid in.

$50, 000 00

50, 000 00 Surplus fund
; Other undivided profits
j National bank notes outstanding
16, 200 55 ; State bank notes outstanding
j Dividends unpaid .
:
554 19 Individual deposits
United States deposits
1, 628 05 Deposits of U. S. disbursing officers.
j
4, 276 00 I Due to other national banks
42 77 j Due to State banks and bankers
I
4, 000 00 J Notes and bills re-discounted.
I Bills payable
2, 250 00
143, 009 09

Total.

10, 000 00
9, 124 86
• 43, 000 00

160 00
30, 594 92

129 31

143,009 09

First National Bank, Dexter.
CHARLES SHAW, President.

No. 2259.

$100, 532 25
Loans and discounts
Overdrafts
"loo, 666 oo
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...
33 58
Due from other banks and bankers...
1, 800 (10
Real estate, furniture, and fixtures . . .
1,269 34
Current expenses and taxes paid
10, 000 00
Premiums paid
424 97
Checks and other cash items
Exchanges for clearing house
69 00
Bills of other banks
77 35
Fractional currency
106 00
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
4, 500 00
Total .




218,812 49

C. W. CURTIS, 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, 500 00
2, 070 38
89, 920 00
117 00
16, 330 96

183 13
7,691 02

218,812 49

REPORT OF THE COMPTROLLER OF THE CURRENCY.

69

Frontier National Bank, Eastport.
E. J. NO YES, Cashier.

S. B. HUME, 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 .

$100, 702 63

$75,000 00

Capital stock paid in

""*6o,366 ~ob"Surplus fund
Other undivided profits
National bank notes outstanding
39, 211 80 State bank notes outstanding
4,331 74 Dividends unpaid .

,

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

16,045 55
249 80
53,270 00
1, 885 92
72, 981 26

7,600 00 Due to other national banks
167 26
400 00 Due to State banks and bankers.
4, 000 00 Notes and bills re-discounted.
Bills payable
2, 713 50
219, 432 53

Total.

219, 432 53

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. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.

E. Gr. PRATT, Cashier.

$49,323 93 Capital stock paid in

""so,666 66

$50, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding

2,129 70
1, 596 20
42, 900 00

7,815 46
7ffi 69 Dividends unpaid
365 65
Individual deposits
2, 786 43
United States deposits
300 00 Deposits of U. S. disbursing officers.
2,110 00
18 39
2, 500 00

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

176 00
21,834 48

600 17

3, 250 00
Total

119,236 55

119,236 55

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 and other cash 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




No. 901.
$74, 255 81
""75)"000 66

T. F . BELCHER, Cashier.

Capital stock paid in.
Surplus fund. . ,
Other undivided profits

21, 000 00 National bank notes outstanding
9,366 14 State bank notes outstanding
3,924 53 Dividends unpaid .
4,324 68

1,605 00
5 00
P4 00
700 00
3,375 00
193, 620 16

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

$75, 000 00
24,426 06
I 50
65, 200 00
4,105 00
24, 887 60

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

193,620 16

70

EEPORT OF THE COMPTROLLER OF THE CURRENCY.
MAINE.
Cobbossee National Bank, Gardiner.
No. 939.

JAMES STONE, President.

JOSEPH ADAMS, 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, 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
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from TJ. S. Treasurer

Liabilities.
$135,006 25 ! Capital stock paid in

"loo,"ooo oo"

$100,000 00

Surplus fund
Other undivided profits

I
j

National bank notes outstanding
! State bank notes outstanding
2,655 09 Dividends unpaid.,
7,941 00
Individual deposits
United States deposits
2,417 53 Deposits of U. S. disbursing officers . .

7,300 00

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

20,000 00
9, 225 LI
86, 000 00

435 00
46, 454 53

3,601 18

Notes and bills re-discounted.
Bills payable
Total.

Total..

265, 715 62

Gardiner National Bank, Gardiner.
Jos.

BRADSTREET, President.

No. 1174.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages . Due from approved reserve ageuts...
Due from other banks and bankers...
Real estate, furniture, and fixtures.. .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 687 25

'""so," 666" 66-'

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

3,792 32
11,811 17
821 02
12,651 04 Dividends unpaid .
Individual deposits
United States deposits
543 02 Deposits of U. S. disbursing officers .
'202" 66'

216 77
1, 000 00

8,913 19
20, 353 63
43,250 00
1, 057 50
36,399 77

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

!, 249 50
159, 974 09

Total

GEO. F. ADAMS, Cashier.

Total

159,974 09

Oakland National Bank, Gardiner.
JOSHUA GRAY, President.

Loans and discounts
!
Overdrafts
j
U. S. bonds to secure circulation
j
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
i
Fractional currency.
Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer .
Total




No. 740.
$118,317 08
2,132 17
50, 000 00

S. BOWMAN, Cashier.

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits

17, 800 00
17, 477 31

National bank notes outstanding . . .
State bank notes outstanding

44,858 00

" "1*750 66" Dividends unpaid.
Individual deposits
United States deposits
4, 951 98 Deposits of U. S. disbursing officers.

63,549 55

12, 658 07

817 00 Due to other national banks
32 32 Due to State banks and bankers.
305 30
3, 392 00 Notes and bills re-discounted .
Bills payable
2, 250 00
196, 605 92

Total.

443 00

2,478 06

196, 605 92

REPORT OP THE COMPTROLLER OF THE CURRENCY.

71

American National Bank, Hallowell.
No. 624.

P. F. SANBORN, President.

A. D. KNIGHT, 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.

|79, 282 87

'""75," 666" 66"
7, 619 06
"3,"93i*50*

539 79
1,015 00
30 98
1, 500 00

$75, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

9, 650 00
5,484 12
67, 400 00

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

15,660 08

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

4,275 66
173,194 20

173,194 20

Total.

Northern National Bank, Hallowell.
No. 532.

SIMON PAGE, 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.

$159, 025 76

a 667 666"66"
6, 000 00
8,211 39

JUSTIN E. SMITH, Cashier.

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits..
National bank notes outstanding . . .
State bank notes outstanding

*2,"435 51 Dividends unpaid..
Individual deposits. =
United States deposits
1,443 45 Deposits of U. S. disbursing officers.
663 00 Due to other national banks
40 11
746 00 Due to State banks and bankers.
3, 064 00 Notes and bills re-discounted.,
Bills payable
4, 500 00

25, 0C0 00
28, 803 37
89 968 00

858 00
40, 090 06

1,409 79

286,129 22

286,129 22

Ocean National Bank, Kennebunk.
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.




No. 1254.

C. LITTLEFIELD, Cashier.

$105,106 60

Capital stock paid in .

""iai'666'66'

Surplus fund
Other undivided profits

20, 000 00
7, 365 65

National bank notes outstanding
State bank notes outstanding

85, 710 00

5, 506 77
3, 946 68
456 88
16 55

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

$100,000 00

385 00
12, 834 30

400 00 Due to other national banks
61 47 Due to State banks and bankers .
450 00
2, 800 00 Notes and bills re-discounted.
Bills payable
6, 550 00
226,294 95

Total.

226,294 95

72

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MAINE.
First National Bank, Lewiston.

E. F . PACKARD, President.

No. 330.

A. L. TEMPLETON, 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.
$588, 876 56
400, 000 00
50, 000 00
114, 127 49
13, 000 00
2,653 10
37, 568 29
35,049 00
213 08
3,958 25
14. 000 00
"i8,"6o6'6o"

$400, 000 00

Capital stock paid in. .
Surplus fund
Other undivided profits
National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid .

140, 000 00
29,739 45
353, 400 00
1,290 00

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

318,159 81
26,811 11 .
8, 045 40

Notes and bills re-discounted
Bills payable
Total

1, 277, 445 77

1, 277, 445 77

Manufacturers' National Bank, Lewiston.
J. M. 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 aud other cash it(.ms
Exchanges for clearing bouse
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

No. 2260.
$223, 358 70
"" 125,'000'66'

WILLIAM LlBBY, Cashier.

Surplus fund
Other undivided profits
National bank notes outstanding

3, 228 61
463 44
5,200 00
2,118 71
13, 500 00
4,406 35

Dividends unpaid

393, 594 24

Total.

$200, 000 00

Capital stock paid in

Total....

4,000 00
4,233 59
112,500 00

State bank notes outstanding
136 50

Individual deposits . ,
,
United States deposits
" 7,"362*66' Deposits of U. S. disbursing officers..
60 43 Due to other national banks
516 00 Due to State banks and bankers
2, 755 00 Notes and bills re-discounted
5, 625 00 Bills payable

72,724 15

393,594 24

New Castle National Bank, New Castle.
JOSEPH 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




(D. W. CHAPMAN, Cashier.

No. 953.
$55,700 19
50, 000 00

'""5"666'66'
24, 006 38
1, 725 00
426 75

1, 403 00
12 03
1, 400 00

Capital stock paid in .
Surplus fund
,
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .
Individual deposits
Unite 1 States deposits
Deposits of U. S. disbursing officers.

$50, 000 00
22, 500 00
5,192 46
44, 000 00

400 00
19, 830 89

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

"2," 250 "66"
141,923 35

Total.

141, 923 35

73

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MAINE.
North Berwick National Bank, North Berwick.
W I L L I A M H I L L , President.

No. 1523.

C. W. G R E E N L E A F ,

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

$49, 530 28

Capital stock paid in .

""56,66o 66

Surplus fund
Other undivided profits

5, 280 56
3,584 73
42, 800 00

National bank notes outstanding
State bank notes outstanding
1,900 00
169 89
1, 222 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

$50, 000 00

1,767
53
100
700

C
O
19
00
00

Dividends unpaid .

100 00

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

4, 580 65

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

1, 347 04

Notes and bills re-discounted
Bills payable

2, 250 00
Total

107, 692 98

Total.

107,692 98

Norway National Bank, Norway.
SUMNER B U R N H A M ,

No. 1956.

President.

Loans and discounts
Overdrafts
U. S. 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

H. D. SMITH,

$115, 999 69 I Capital stock paid in.

"ioo,"66o"o6"|

$ LOO, 000 00

Surplus fund
Other undivided profits .

6, 000 00
3t 977 84
90, 000 00

National bank notes outstanding . . .
State bank notes outstanding
2, 027 05
1, 900 00
842 78
10, 000 00
6,135 25
1, 002
82
11
600

00
93
00
00

Cashier.

Dividends unpaid

340 00

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

26,297 70

3,432 15
2, 430 39

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

10, 622 62

4,50U 00

Total.

243,100 70

243, 100 70

Orono National Bank, Orono.
EBEN'R 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
JJ. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 1134.
$23, 504 40

"56,060 66

4, 057 49.
2,934 25
4,800 00
313 68
1, 953 34
1, 173
99
946
1,500

00
97
84
00

E. P. BUTLER,

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

Cashier.

$50, 000 00
1,911 69
1,421 57
27,000 00
123 00
13, 076 71

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

3, 532 97

74

EEPORT OF THE COMPTROLLER OF THE CURRENCY.
M AI NE .
Union National Bank, Phillips.
No. 2267.

DARIUS HOWARD, President.

J. E. THOMPSON, 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.
$50, 000 00

$30,892 36

Capital stock paid in.

"so," 666 "66"

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

1,100 00
775 90
44, 885 00

Dividends unpaid .

18 00

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

6, 372 92

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

Total .

103,151 82

First National Bank, Portland.
H. J. LlBBY, President.

No. 221.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid . . .
Premiums paid
*
Checks and other cash items
Exchanges 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. E. GOULD, Cashier.

$1,255,879 81

""""866"665*66'

I

Capital stock paid in
Surplus fund
; Other undivided profits

935 00
11,669 98
109,324 19
5, 000 00
4,238 25

$800, 000 00
200, 000 00
120,924 99

i

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

Individual deposits
; United States deposits
26,025 72 Deposits of U. S. disbursing officers.22,771 00 '• Due to other national banks
201) 00 Due to State banks and bankers
11,416 45
65,000 00 Notes and bills re-discounted
Bills payable

611,340 00
1, 502 50
578, 072 32
29, 652 80
18, 867 79

' 47," 900 "66'

Total

2, 360, 360 40

2,360,360 40

Canal National Bank, Portland.
W. W. THOMAS, President.

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




No. 941.
it, 102, 492 70

B. C. SOMERBY, Cashier.

Capital stock paid in .

""533,666 66

Surplus fund
Other undivided profits
National bank notes outstanding
12,100 00
81,345 81 State bank notes outstanding
12,414 06
Dividends unpaid .
21,020 03
3,871 80

66,035 38

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

$600, 000 00
120, 000 00
276, 776 44
477, 650 00
1, 217 50
395,513 12
15,574 54

1,886,731 60

REPORT OF THE COMPTROLLER OF THE CURRENCY-.

75

Casco National Bank, Portland.
I. P. FARRIXGTON, President.

No. 1060.

WM, A. WlNSHlP, 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.

$1, 506,102 82

5o,'6o6"6o"
""

4,000 00
24,018
41,533
5, 001)
4,342

16
37
00
38

49, 908 59
11,416
3, 692
4, 928
35, 000

00
76
20
00

2, 250 00

Capital stock paid in

$800, 000 00

Surplus fund.
Other undivided profits

400,000 00
74, 321 70

National bank notes outstanding
State bank notes outstanding
Dividends unpaid

45, 000 00
I
2t 945 29

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

3~y6, 903 79

63, 021 50

Notes and bills re-discounted
Bills payable
Total

1, 742, 192 28

1,742, 192 28

Cumberland National Bank, Portland.
No. 1511.

H. N. JOSE, President.

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

$379,100 53

$250, 000 00

Capital stock paid in.

"200,660 66

Surplus fund
Other undivided profits
National bank notes outstanding
5, 757 83 State bank notes outstanding
15,000 00 Dividends unpaid
3, 390 59 Individual deposits
United States deposits
6, 048 50 Deposits of U. S. disbursing officers

50, 000 00
65, 650 3(5
180, 000 00
632 36
9-1, 071 74

2,915 00 Due to other national banks
200 01 Due to State banks and bankers .
742 00
9, 500 00 Notes and bills re-discounted.
Bills payable
14, 700 00
637, 354 46

Total.

SAMUEL SMALL, Cashier.

Total.

637,354 46

Merchants' National Bank, Portland.
JACOB McLELLAN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, 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.

H. Ex. 3-




No. 1023.

CHARLES PAYSON, Cashier.

$654, 352 64 Capital stock paid in .
4 42
300, 000 00 Surplus fund
50, 000 00 Other undivided profits
2, 022 48 National bank notes outstanding . . .
State bank notes outstanding
*
21,854 69
2,119 35
33, 120 34
3, 650 44
13, 503 07
3,751 00
450 19
636 00
19, 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

$300, 000 00
60, 000 00
136,281 11
269, 000 00
1, 933 02
278,401 82
16,591 83
25, 728 05
5, 078 79
25, 000 00

13,500 00
1,118,014 62

Total.

1,118, 014 62

76

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MAINE.
National Traders' Bank, Portland.

A. K. SHURTLEFF, President.

EDWARD GOULD, Cashier.

No. 1451.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bond.i to secure circulation
U. S. bond to secure deposits
U. S.bond on hand
Other stoc its, bonds, an d mortgages
Due from approved reserve 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

$520, 314 32 Capital stock paid in.
157 59
300, 0U0 (O Surplus fund
J
Other undivided profits
National bank notes outstanding
71, 438 09 State bank notes outstanding
4, 063 94 Dividends unpaid.
4, 765 36
„
3, 000 00 Individual deposits
United States deposits
5,924 42 Deposits of U. S. disbursing officers.

$300,000 00
75, 000 00
52,251 45
269,950 00
1,238 50
241,079 53

3,011
390
400
11, 60L

00 Due to other national banks
90 Due to State banks and bankers
00
(O Notes and bills re-discounted
J
Bills payable
14, 848 20
939,914 82

Total.

939,914 82

First National Bank, Richmond.
J. M. ODTORNE, Cashier.

No. 662.

LEVI MUSTARD, President.

Loans and discounts
Overdrafts
U. S. bonds 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
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
Total.

$14,000 91 | Capital stock paid in.

$50, 000 00

50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
5, 264 87 State bank notes outstanding
1, KiO 00 Dividends unpaid .
203 99 Individual deposits
United States deposits
646 12 Deposits of U. S. disbursing officers.
1, 249 00 Due to other national banks
58 53 Due to State banks and bankers .
100 00 Notes and bills re-discounted.
Bills payable
2, 250 00
104, 873 42

Total.

400 00
1, 409 22
43, 085 00
262 50
9, 216 70

500 00
104, 873 42

Richmond National Bank, Richmond.
JAS M. HAGAR, President.

No. 909.

WM. H. STUART, Cashier.

!
Loans and discounts
$130,138 11 Capital stock paid in.
Overdrafts
U. S. bonds to secure circulation
i
120, 000 00 Surplus fund
U. S. bonds to secure deposits
Other undivided profits.
U. S. bonds on haud
Other stocks, bonds, and mortgages..
8,918 06 National bank notes outstanding
Due from approve! reserve agents ...
19, 642 77 State bank notes outstanding
Due from other banks and bankers...
Real estate, furniture, and
fixtures...'
1, 200 00 Dividends unpaid.
Current expenses and taxes paid
Individual deposits
Premiums paid
United States deposits
Checks and other cash items
50 56 Deposits of U. S. disbursing officers.
Exchanges for clearing house
Bills of other banks
2, 869 00 Due to other national banks
Fractional currency
7 50 Due to State banks and bankers .
Specie
1,044 00
Legal tender notes
j
1, 300 00 Notes and bills re-discounted.
Bills payable.
U. S. certificates of deposit
I
Due from U. S. Treasurer
|
5, 400 00

Total




i

290,570 00

Total.

$120, 000 00
22, 000 00
4,147 89
101,500 00
55 00
42, 867 11

290, 570 00

REPORT OF THE COMPTROLLER OF THE CURRENCY.

77

MAINE.
Lime Rock National Bank, Rockland,
GKO. W. BERRY, Cashier.

JOHN T. BERRY, President.

Resources.

Liabilities.

$146,515 49
Loans and discounts
—
Overdrafts
U. S. bonds to secure circulation
105, 000 00
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.....
22, 220 99
Due from approved reserve agents...!
1, 879 06
Due from other banks and bankers .. j
Real estate, furniture, and
fixtures......
Current expenses and taxes paid
Premiums paid
9, 500 00
Checks and other cash items
|
6, 701 54
Exchanges for clearing house
1,800 00
Bills of other banks
|
318 12
Fractional currency
!
1,780 00
Specie
;
Legal tender notes
2,250 00
U. S. certificates of deposit
Due from U. S. Treasurer
'
"""4,72500'
Total.
302, 690 20

$105, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid

5, 000 00
1, 823 30
94, 500 00
5,417 00

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

84, 293 53

6, 656 37

Notes and bills re-diseounted
Bills payable
Total

302,690 20

Rockland National Bank, Rockland.
MAYNARD SUMMER, President.

No. 1446.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages . .
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures . . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. HOWE \VlGGIN, Cashier.
$150, 000 00

$246, 350 52 Capital stock paid in.

"156,666 66

40, 000 00
17,815 61

Surplus fund
Other undivided profits.

National bank notes outstanding
26,794 74 State bank notes outstanding
71 63
12, 500 00 Dividends unpaid .
Individual deposits
United States deposits
942 3£ Deposits of U. S. disbursing officers.
3, 830 00
66 20
900 00

5, 000 00

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

134, 000 00
602 00
110,162 57

625 29

6, 750 00
Total.

453,205 47

Saco National Bank, Saco.
R. JORDAN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents -..
Due from other banks and bankers ..
Real estate, furniture, and fixtures-..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 1535.

T. SCAM MAN, Cashier.

$122,810 62 ! Capital stock paid in.
100, 000 00

8, 114 14
20 52
3, 500 00
1,600 60
1, 878 00
32 71
475 00
1, 000 00

$100,000 00

Surplus fund
Other undivided profits

20, 000 00
1,467 04

National bank notes outstanding
State bank notes outstanding

85,000 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

4, 897 86
34,115 01

3,451 68

9, 500 00
248,931 59

Total.

248,931 59

78

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MAINE.
York National Bank, Saco.

R. F . C. HARTLEY, President.

No. 1528.

J. C. BRADBURY, Cashier.

Liabilities.

Resources.
$166,416 67
138 53
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

3"666"66'
4, 000 00
18,255 56
12,536 21
2, SOU

00

246 47
3,273 00
147 45

$100, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits

35, 000 00
9, 397 10

National bank notes outstanding
State bank notes outstanding

89, 000 00
4, 553 18

Dividends unpaid .

91, 564 66

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

1,529 15

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

Total .

331,044 09

Total.

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. 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
•
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.

GEO.

N. P A G E , Cashier.

$197,923 51 i Capital stock paid in .
!
150, 000 00 j'Surplus fund
ji Other undivided profits
:I
I National bank notes outstanding
!
21, 086 67 !;State bank notes outstanding
1,818 38
2,000 00 ! Dividends unpaid .

5, 090 !

$150, 000 00
.

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

50, 000 00
8, 612 54
130,100 00
140 00
55,388 18

Due to other national banks
6, 980 00
591 18 Due to State banks and bankers .
Notes and bills re-discounted
Bills payable
,
394,240 72

Total.

394, 240 72 \

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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 298.
$123,515 32
1,135 03
125, 000 00

26,666 66
n, IOI 41

JAMES F E L L O W S , Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

486 05
4, 000 00

Dividends unpaid.

1,525 00

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

2, 407 05

"" 4,"806b6*
24 18
317 35
2, 300 0(J

$125, 000 00
32, 000 00
2,014 03
111, 147 00
525 00
31, 550 36

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

""*5,"625'66'
302, 236 39

Total .

302, 236 39

REPORT OF THE COMPTROLLER OF THE CURRENCY.

79

MAINE.
South Berwick National Bank, South Berwick.
J. H. BURLTGH, President.

No. 959.

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

$123,097 08
100,000 00
2, 535 00
33, 996 71

Liabilities.
$100,000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

827 00
10 98
615 00

"'I'h'ob'o'o

20, 000 00
8, 240 27
90, 000 00

5, 317 50

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

42,056 26

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

265,614 03

Total.

J. F. WALKER, Cashier.

I

Total.

265,614 03

Georges National Bank, Thomaston.
SAMUEL*!WATTS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures-..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. LEVENSALER, Cashier.
$157, 207 42

" ~Ii6,~66o 65"
2, 550 00
73,108 48

Capital stock paid in.

$110,000 00

Surplus fund.
Other undivided profits
National bank notes outstanding
State bank notes outstanding

2, 200 00

Dividends unpaid.

2, 239 53

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

16, 000 00
5, 879 58
97, 400 00
360 00

797 00
57 07

Due to other national banks
Due to State banks and bankers
6, 000 00 | Notes and bills re-discounted .
Bills payable
4,950 00\
359, 109 50 |

104, 765 75
1,204 17
23, 500 00

359,109 50

Thomaston National Bank, Thomaston.
WILLIAM SINGER, 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. 890.

A. O. ROBINSON, Cashier.

$100,878 63 i Capital stock paid in

*" loo," 666" 66"!
9, 000, 00
53,713 32

17, 000 00
5,331 93

National bank notes outstanding

85, 600 00

State bank notes outstanding

" 17,400 66 Dividends unpaid
4,262 85
1 524 00
,
12 50
45 25
4, 000 00
4, 500 00
295, 336 55

$100, 000 00

Surplus fund
Other undivided profits

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

1,217 00
85,013 11

1,174 51

80

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MAINE.
Medomak National Bank, Waldoboro'.

S. W. JACKSON, President.

No. 1108.

GEORGE ALLEN, 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 fromU. S. Treasurer
Total.

Liabilities.
$51, 522 35 Capital stock paid in .
265 69
50, 000 00 Surplus fund
Other undivided profits.
3,900 00 National bank notes outstanding
10,218 04 State bank notes outstanding
373 87
713 06 Dividends unpaid .
Individual deposits
United States deposits
638 84 Deposits of U. S. disbursing officers.
2, 057
40
517
1,200

$50,000 00
5,500 00
1,205 80
41; 837 00
731 50
24, 422 15

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

00
00
00
00

2,250 00

123, 696 45

123, 696 45

Waldoboro' National Bank, Waldoboro'.
ISAAC REED, President.

No. 744.

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.

"

B. B. HASKEI.L, Cashier.

$50, 000 00

Capital stock paid in.

$38,283 67

Surplus fund
Other undivided profits
National bank notes outstanding . . .
State bank notes outstanding

50, 000 00

"23,660 66
4, 259 83

500 00 Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
1,184
3
250
1,140
2, 251)

10, 000 00
2,997 96
44, 390 00"
198 00
13,284 97

00 Due to other national banks
,
43 Due to State banks and bankers.
00
(O Notes and bills re-discounted
J
00 Bills payable
120, 870 93-

120, 870 93

.Merchants' National Bank, Waterville.
JOHN WARE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages . Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.

G. H. W A R E , Cashier.

$65, 684 88 Capital stock paid in.

"166, oco 66

Surplus fund
j Other undivided profits
i
National bank notes outstanding
10, 205 62 State bank notes outstanding
"8," 594 82" Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

200 00
3H0
8 57
58 25
1, 052 00

'! Due to other national banks
I Due to State banks and bankers .
: Notes and bills re-discounted.
! Bills payable

$100,000 00
3, 500 00
2, 210 15.
75, 939 00
624 00
13, 299 16

1,111 83

4, 500 00
196, 684 •i
14

Total

196,684 14

REPORT OF THE COMPTROLLER OF THE CURRENCY.

81

MAINE.
People's National Bank, Waterville.
No. 880.

JOHN WEBBER, President.

HOMKB PKRCIVAL, 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 .. j
Real estate, furniture, and fixtures... j
Current expenses and taxes paid
i
Premiums paid
j
Checks and other cash items
I
Exchanges for clearing house
j
Bills of other banks
j
Fractional currency..
|
Specie
j
Legal tender notes
i
U. S. certificates of deposit
Due from U. S. Treasurer

$209, 587 70 ! | Capital stock
1,654 53
200, 000 00 •'! Surplusfund

j

$200,000 00

I

41,000 00
5, 922 87

I Other undivided profits
National bank notes outstanding
22, 729 92 State bank notes outstanding
6, 000 00 Dividends unpaid.

178, 000 00
,
667 00

3,000 00 :\ Individual deposits
| United States deposits
,.
j Deposits of U. S. disbursing officers

28, 094 37

1, 600 00 Due to other national banks
17 14 Due to State banks and bankers .
60 00
1, 000 00 I Notes and bills re-discounted .
! Bills payable
9, 000 00
454, 649 29

Total .

paid in

965 05

454,649 29

Total.

Ticonic National Bank, Waterville.
SAMUKL 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

No. 762.
', 447 74

Capital stock paid in

$100,000 00

100, 000 00 I Surplusfund
Other undivided profits
National bank notes outstanding
10,390 05 State bank notes outstanding

|
|
'\

27,000 00
3, 106 34
85, 000 00

;

34, 087 37

481 72

11,000 00

Dividends unpaid

1,425 00

Individual deposits
5,468 15 United States deposits
6, 300 00 Deposits of U. S. disbursing officers
201 03 Due to other national banks
864 00 Due to State banks and bankers
1, 963 00 Notes and bills re-discounted
4, 500 00 Bills payable
Total

250, 618 71

Total.

A. A. PLAISTED, Cashier.

250,618 7L

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 cleai ing house
Bills of other bank*
Fractional currency
Specie
Legal tender notes
{]. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 798.

E. L. GF.TCHF.LL, Cashier.

Capital stock paid in .

$125,000 00

Surplusfund
Other undivided profits .
"14,535 00 National bank notes outstanding . . .
14,099 18 i State bduk notes outstanding
650 59
11,057 82 Dividends unpaid .

2fi, WO 00
2,688 18
104,200 00

1 Individual deposits
1
! United States deposits
136 00 • Deposits of U. S. disbursing officers.

13,431 19

$89, 538 03
127, 000 00

(is65
1, 000 00

460 00

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

11. 5i9 10

271, 779 37

Total . .

271,779 37

$5Z

REPORT OF THE COMPTROLLER OF THE CURRENCY.
9M A I I* E .
"West Waterville National Bank, W e s t Waterville

A. P. BENJAMIN, President.

No. 22oL.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages...
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, an-d 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.

$63, 433
75, 000

11,288 42
1,174
460
8,860
1,492
2, 355
fiO
230
625

GEO. H. BRYANT, Cashier.

Capital stock paid in.

$75, 000 00

Surplus fund
Other undivided profits

1, 521 95
1,734 57
6Y, 480 00

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

60 00

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

:, 558 89

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

3,375 00
Total.

168,355 41

168,355 4L

National Bank, Winthrop.
No. 553.

C. M. BAILEY, President.

J. M. BENJAMIN, Cashier.

$154,139 64 | 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

*"io6,"666'66"'
19,155 80

$100, 000 00

Surplus fund
Other undivided profits

20. 000 00
38,384 77

National banknotes outstanding
State bank notes outstanding

90, 000 00

Dividends unpaid.

3,121 71

4, 800 00

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

38,182 25

1,144 oo ; Due to other national banks
87
Due to State banks and bankers .
105 00 :
3,200 00
Notes and bills re-discounted.
Bills payable
10,500 00

Total.

291,367 02

Total.

291,367 02

First National Bank, Wiscasset.
No. 1519.

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. certificate* of deposit
Due from U. S. Treasurer
Total




;
:
j

S. W. GREESLEAF, Cashier.

$L12, 984 72 Capital Htock paid in
76 19
100, C O 00 Surplus fund
O
Other undivided profits
25, 818 75

National bank notes outstanding
State bank notes outstanding

832 63
1, 626 64 Dividends unpaid.
Individual deposits
United States deposits
'
494 03 Deposits of U. S. disbursing officers.
1, 026 00

Due to other national banks
Due to State banks and bankers .
370 39
1, 000 00 Notes and bills re-discounted.
Bills payable
5, 500 00
249, 729 35

Total.

j

$ L O 000 00
O,

I
I

25. 000 00
7, 449 38
-88, ( 00 00
1,368 C
O
19,075 53

8, 836 44

249, 729 35

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

83

HAMPSHIRE.

Connecticut River National Bank, Charlestown.
No. 537.

HOPE LATHROP, President.

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
Total.

$L14,097 69

"ioo'ooo 6i)
14, 222 65
15, 000 00
2, 250 00

Capital stock paid in.

10, 000 00

Surplus fund
Other undivided profits

32,000 00
2, 289 28

National bank notes outstanding
State bank notes outstanding

90, 000 00

Dividends unpaid

,

Individual deposits
United States deposits
Deposits of U. S. disbursing officers..
1,500 00
77 56
2.45L U0

""A "506*66*

29,809 62

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

254, 093 90

Claremont National Bank, Claremont.
GrEO. N. FARWELL, President.

No. 596.

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

$177,202 37

Capital stock paid in.

"156*006 00

Surplus fund
O ther undivided profits

7,400 00
29, 569 22
19,950 81

3, 000 02
-

JNO. L. FARWELL, Cashier.

514
115
425
7, 625

00
76
00
00

$150,000 00
51, 500 00
98 75

National bank notes outstanding
State bank notes outstanding

134, 000 00

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

66, 983 43

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

6, 750 00

Total.

402,582 18

Total.

402,582 18

First National Bank, Concord.
G. A. PlLLSBURY, 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.




WM.
$224,526 11
150, 000
9!),*000
10,000
23, 050

00
00
00
00

139,713
29,475
10, 000
1,331

08
W
00
54

10, 369 52

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, O f 00
O)
55,671 65
134,850 00
735 C
O
205,779 42
31, 825 83
52, 053 45
63, 987 60

Notes and bills re-discounted.
Bills payable...,
Total.

724,902 95

84

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

HAMPSHIRE.

National State Capital Bank, Concord.
J. V. BARRON, President.

No. 758.

H. J. CRIPPEN, 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..
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
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
j
Due from U. S. Treasurer
\
Total

|

$200,000 00

$236, 429 54 Capital stock paid in.
40 45
200, 000 00 Surplus fund
Other undivided profits
15, 290 00
304,634 34
40, 000 0(J
23, 706 50
2,553 16
5,290 36
5, 666 00
119 05
91)0 00
8, 500 00

60, 010 00
28^ 139 43

National bank notes outstanding
State bank notes outstanding

173, 000 00
636 00

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

178, 598 31

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

11,755 6G

Notes and bills re-discounted
Bills payable

9, 000 00
652,129 40

Total

652,129 40

Derry National Bank, Derry.
No. 499.

JNO. W. NOYFS, President.

$54, 181 48
1, 454 85

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits.
U. S.bonds on hand
Other stocks, bonds, and mortgages.

G. C. CURRIER, Cashier.

$60, 000 00

Capital stock paid in.

10,800 00
1, 158 70
53, 000 00

Dividends unpaid.

556 00 00

Individual deposits
,
United States deposits
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

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding . . . .

60, OiJO 00

14,809 62

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

Total .

I

140,324 32

Cochecho National Bank, Dover.
JAS.

No. 1087.

E. LOTHROP, President.

$150,453
3, 185
150, 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..

Total.




$150,000 00

; Capital stock paid in . .

11, 100 00
7, 15L 78

Surplus fund
Other undivided profits .

\ National bank notes outstanding
17,894 44 ; State bank notes outstanding

j

133, 200 00

| Individual deposits
!
! United States deposits
j
1, 760 29 i Deposits of U. S. disbursing officers.. 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

HARRISON HALEY, Cashier.

45,988 85

6, 000
1, 882
5, 0J0

l

5, '.ititi
77

| Dividends unpaid

949 50

,

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

|

6, 750
348,390 13

Total.

348, 390 13

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

HAMPSHIRE.

Dover National Bank, Dover.
No. 1043.

OLIVER WYATT, President.

CALVIN HALE, Cashier.

Liabilities.
$114,838 30

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S> bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses 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

18 44
100, 000 00
6, 450 25
16,024 81
9, 300 00
88 97
2,701 14

"5," 726* 66'
976 60
2, 000 00

"4,566 66'

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

11,275 00
6, 335 40
90, 000 00
206 00

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

54,808 11

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

262, 624 51

Total.

$100, 000 00

Capital stock paid in.

Total .

262, 624 51

Strafford National Bank, Dover.
No. 1353.

W. S. STEVFNS, President.
Loams and discounts
Overdrafts . . . .
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S bonds on hand
Other stocks, bonds, and mortgages . .
Due from approved reserve agents
Due from other banks and bankers
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit Due from U. S. Treasurer

$234,106 33

E. R. BROWN, Cashier.
$150, 000 00

Capital stock paid in

151, 000 00

Surplus fund
Other undivided profits
12, 000 00 National bank notes outstanding
43, 221 85 State bank notes outstanding
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..
4,172 00
101) 10 Due to State banks and bankers

6,750 00

Total

133, 300 00
1,817 00
135 00

4,500 00

5, 000 00

30, 000 00
38,051 24

107,657 67

4, 889 37

Notes and bills re-discounted
Bills payable

465, 850 28

465 850 28

Total

Monadnock National Bank, East Jaffrey.
No. 1242.

BENJAMIN CUTTER, President.

$104,421 16 Capital stock paid in .
933 89
100, 000 00 Surplus fund
Other undivided profits
2, 000 00 National bank notes outstanding
11, 518 69 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 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




PETER UPTOX, Cashier.

3,208 00 Dividends unpaid .
841 29 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
1,315 00
27 00
400 00

"4,566 66
I

229, 939 43

$100, 000 00
14,374 88
14, 310 04
81, 700 00
909 00
779 30
17, 866 21

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

229,939 43-

86

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

HAMPSHIRE.

National Granite State Bank, Exeter.
J. L. MERRILL, President.

W. F. PUTNAM, Cashier.

No. 1147.

Resource*.

Liabilities.
$100,000 00

$157,018 54 j Capital stock paid iu

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency

" "loo, 656 oo" iSurplus fund
Other undivided profits
National bank notes outstanding
14,898 08 !| State bank notes outstanding
6,500 00 I Dividends unpaid
552 67
Individual deposits
3,907 64 ! United States deposits
s6i"66"l Deposits of U. S. disbursing officers .
1L0 67 | Due to other national banks
1, 300 00 Due to State banks and bankers..
Notes and bills re-discounted
4, 500 00 Bills payable

Legal tender notes
IT. S. certificates of deposit
Due from U. S. Treasurer
Total.

Total

289,591 60 i

11,000 00
17,914 25
85, 000 00
1, 095 00
74, 582 35

289,591 60

Farmington National Bank, Farmington.
JNO. F. CLOUTMAN, President.

No. 2022.

THOS. F. COOKE, Cashier.

$120, 013 25 ! Capital stock paid in .
251 07
100,000 00 Surplus fund
Other undivided profits
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

897 74 Dividends unpaid .
. 763 96 Individual deposits
8,000 00 United States deposits
Deposits of U. S. disbursing officers.
7, 462 82
876 00
3 18

Due to other national banks
Due to State banks and bankers . . .
235 00 , Notes and bills re-discounted
Bills payable
4,500 66"

Total.

Total.

243, 003 02

$100, 000 00
7, 005 84
1,876 02
89, 000 00
560 00
34,098 18
1,790 63
8, 672 35

243, 003 02

First National Bank, Francestown.
No. 576.

J. D. BUTLER, 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, furniture, and fixtures...
CuiTent expenses and taxes paid
Premiums paid
Checks and other cash items
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




j

G. W. CUMMINGS, Cashier.

$89, 039 87

Capital stock paid in .

100, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

5,000 00
3,000 01)
4, 888 47
800 00
849 02
152 25

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

$100, 000 00
16,400 00
9,085 14
82, 225 00
40 00
3,246 97

996
21
90
660

00 Due to other national banks
50 Due to State banks and bankers .
00
00 Notes and bills re-discounted.
Bills payable
5, 500 00
210, 997 11

Total.

210,997 11

REPORT OF THE COMPTROLLER OF THE CURRENCY.
rE W

87

HAMPSHIRE.

First National Bank, Gonic.
N, V. W H I T E H O U S E , President.

No. 838.

A. D. WHITEHOUSE, 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.

$53, 737 36
249 02
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
.
.
Checks and 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

899 85
1,000 00
647 08
37 00
113 00
70
1,510 30
341 00

Capital stock paid in .

0,000 00

Surplus fund
Other undivided profits

5, 589 58
2,319 58

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

840 00

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

1,321 15

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

2,700 QQ
Total.

121,235 31

Total.

51,165 00

121,235 31

Great Falls National Bank, Great Falls.
N A T H ' L W E L L 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

No. 1180.

$178,987 15
1, 323 62
150, 000 00

4, 331 69
10, 000 00
1,178 49

J . A. STICKNEY, Cashier.

Capital stock paid in.

$150, 000 00
40, 000 00
19, 663 05

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

129, 645 00
912 00

Dividends unpaid .

3,180 04

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

1, 553 00
10 15

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

300 00

7,666 oo

17, 644 09

Notes and bills re-discounted .
Bills payable
357,864 14

357,864 14

Total.

Somersworth National Bank, Great Falls.
OLIVER H. L O R D , President.

Loans and discounts
Overdrafts
!
U. S. bonds to secure circulation
I
If. S. bonds to secure deposits
I
X S. bonds on hand
L
;
Other stocks, bonds, and 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
j
Fractional currency
j
Specie
I
Legal tender notes
;
U. S. certificates of deposit
I
Due from U. S. Treasurer
j
Total.




No. 1183.

$171,272 12
1,200 00
100, 000 00

SAML. S. ROLLINS, Cashier.

Capital stock paid in.

$100, 000 00

Surplus fund
Other undivided profits

20, 000 00
22,801 09

National bank notes outstanding
State bank notes outstanding

90,000 00

Dividends unpaid .
1,140 38
3, 400 00

1, 705 00

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

52, 796 24

3, 800 00 Due to other national banks
121 12 Due to State banks and bankers.
2,000 00

2, 031 29

Notes and bills re-discounted .
Bills payable

6, 400 00
289, 333 62

Total

i

289,333 62

88

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

HAMPSHIRE.

Dartmouth National Bank, Hanover.
HIRAM HITCHCOCK, President.

No. 1145.

N. S. HUNTIKGTON, 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.
$42, 576 55

Capital stock paid in.
Surplus fund
Other undivided profits

13, 000 00
3, 074 79

""6,'628'oi

National bank notes outstanding
State bank notes outstanding

41, 000 00

24,541 84

Dividends unpaid.

1,715 00
195 08

Individual deposits
United States deposits
Deposits ot U. S. disbursing officers.-

22, 856 40

950 00

Due to other national banks
4 U I Due to State banks and bankers.
70 00 I
1,000 00 I Notes and bills re-discounted .
Bills payable
2, 250 00 I
Total.

129,931 19 j

Total .

$50,000 00

" "50,666 06

129,931 19

First National Bank, Hillsborough.
No. 1688.

STEPHEN KENRICK, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, 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

$53, 360 43

Capital stock paid in.

$50,000 00

""56,'600 "66' j |

Surplus fund
I j Other undivided profits

3,700 00
2,183 37

Ij National bank notes outstanding
5, 952 87 ! Siate bank notes outstanding
Dividends unpaid .w.
""638*99" j Individual deposits
3,050 00
j United States deposits
1,334 21 I Deposits of U. S. disbursing officers.
1,910
3
55
800

00
90
00
U
0

.

44,000 00

19, 472 03

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

2, 250 00
119,355 40

Total.

J. C. CAMPBELL, Cashier.

119,355 40

Total .

Ashuelot National Bank, Keene.
G A. WHKELOCK,
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 froinU. S. Treasurer
Total.




No. 946.
$152,286 12
1, 132 47
150, 000 00
21,200 00
3,063 69
6, 500 00
1, 060 76
1, 236 98
10,253
70
845
6,298

00
62
(O
J
00

H. O. COOLIDGE, 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
24, 000 00
10,368 90
133, 000 00
152 00
42, 749 35

1,146 39

Notes and bills re-discounted.
Bills payable

7, 450 00
361,416 64

Total.

361,416 64

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

89

HAMPSHIRE.

Cheshire National Bank, Keene.
No. 559.

J . II. ELLIOT, President.

11. H. PORTER, Cashier.

Liabilities.

Resources.

$229, 932 78 ; Capital stock paid in.
Loans and discounts
j
3,917 57
Overdrafts
200, 000 00 I i Surplus fund
U. S. bonds to secure circulation
'
U. S. bonds to secure deposits
|..
jj Other undivided profits
U. S. bonds on hand
! .,
Other stocks, bonds, and mortgages . . j
49, 700 00 S National bank notes outstanding
Due from approved reserve agents. ..i
363 50 J! State bank notes outstanding
Due from other banks and bankers... j . .
Real estate, furniture, and fixtures j
2, 679 86 ij Dividends unpaid .
Current expenses and taxes paid
j
829 77 1 Individual deposits
1
Premiums paid
j . .
|. United States deposits
19, 277 54 | Deposits of U. S. disbursing officersChecks and other cash items
|
Exchanges for clearing house
j . .
11,315 00 Due to other national banks
Bills of other banks
327 50 Due to State banks and bankers .
Fractional currency
962 82
Notes and bills re-discounted
7, 500 00
Legal tender notes . :
U. S. certificates of deposit
j . .
Bills payable
" 9 , O 0 6 00
Due from U. S. Treasurer...
'

$200, 000 00
50, 000 00
28.35L 65
169, 200 00

85, 820 64

2,434 05

535, 806 34

535, 806 34

Citizens' National Bank, Keene.
O. G. DORT, Cashier.

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

$109, 023 64
576 04
] 00, 000 00
5,000 00
4,852 97
2, 500 00
313 26
225 00

554 66
61 37
415 00
700 00

"'k'hob'oo

$100,000 00

Capital stock paid in.

3,000 00
5,011 85

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

156 00

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

32,098 43

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

228,721 28

Total .

88, 455 C
O

228,721 28

Keene National Bank, Keene.
E D W A R D JOSLIN, President.

No. 877.

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 .

$135,241 10
1,676 15
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

9, 173 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, 9*3 29

Total.




10, 000 00

G. W. TILDFN, Cashier.

Capital stock paid in.

20, 000 00
17, 860 42

National bank notes outstanding
State bank notes outstanding

85, 500 00

Dividends unpaid
141 28

2, 473 00
99 73
250 00
4, 600 00

271, 137 79

$100,000 00

Surplus fund
Other undivided profits

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

885 00
46,892 37

Due to other national banks
Due to State banks and bankersNotes and bills re-discounted.
Bills payable
Total

271,137 79

90

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

II A m P S II

IRE.

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
j
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
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
j
Due from U. 8, Treasurer
j

$145,600 13
7,719 45
150, C O 00
O
1,500

CO

3,558 29

"i", bub" bo
10,118 75
3, 136 05

Capital stock paid in

|

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

I
j
j
j
j

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

15,500 00
124 36
133, 000 00
4,876 00
28,249 74

1,099 00 | Due to other national banks
Due to State banks and bankers .
268 43
1, 0U0 (JO

"""6," 750'66'!

Notes and bills re-discounted
Bills payable

331,750 10

Total .

$150,000 00

j

Total.

331,750 10

National Bank, Lebanon.
No. 808.

WILLIAM S. ELA, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks a^nd bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$92,621 69 Capital stock paid in .
2, 067 74 :
100.000 00 i Surplus fund
Other undivided profits
12,337 00 National bank notes outstanding
6, 599 02 State bank notes outstanding
1,331 62
6,935 66 Dividends unpaid .
718 46 Individual deposits
.........
United States deposits
Deposits of U. S. disbursing officers.
52 25
8,701 00
655 68
717 00
1,200 00
'"" 5*500 00'

$100,000 00'
10,276 60.
4,444 85
85,500 00
1,071 00'

38,144 67;

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

239,437 12

Total.

E. A. KENDRICK, Cashier.

Total .

239,437 12:

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 fiom approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional curreecy
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total-




• No. 1885.
$144,151 77
150,000 00
5, 000 00
72,762 38
1,309 84
7, 207 34
707 06
767 82

O. C. HATCH, 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.

$150, 000 00.
17, 000 00
3,244 16.
134, 000 00
370 00
100,163 14

12,216 00 Due to other national banks
15 09 Due to State banks and bankers .
690 (JO
3, 200 00
Notes and bills re-discounted
Bills payable
" o \ 750*00*
Total

404, 777 30 -

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

91

HAMPSHIRE.

First National Bank, Manchester.
FREDERICK SMYTH, Cashier.

WATERMAN SMITH, 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.

$109, 541 35
1, 264 39
150, G O 00
O
100,000 00

$150, 000 00

Capital stock paid in.

Surplus fund
Other undivided profits.
7, 200 00 National bank notes outstanding
State bank notes outstanding
1, 084 53 Dividends unpaid .
5,000 00
2, 463 83 Individual deposits
United States deposits
135 67 Deposits of U. S. disbursing officers.
3, 945 00
374 76
432 85
1, 000 00

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

30, 000 00
3, 852 41
134,000 00
1, 023 00
33, 661 41
36, 520 89
5,134 67

11,750 00
394,192 38

Total .

394,192 38

Second National Bank, Manchester.
ARETAS BLOOD,

President.

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

"So. 2362.

JOSIAH CARPENTER, Cashier.

$17,347 70 Capital stock paid in.,
" 100,000 65' Surplus fund
Other undivided profits
National bank notes outstanding
19, 940 59 State bank notes outstanding
2,753
316
8,250
411

76
33
00
55

90 00
1,014 50
400 00

$100, 000 00
1,461 50
48,400 00

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

6, 662 93,

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

6, 000 00
Total.

156, 524 43

156,524 43.

Amoskeag National Bank, Manchester.
MOODY CURRIER, President.

Loans and discounts
*
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages...
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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.




No. 574.

Gr. BYRON CHANDLER, Cashier.

$366, 080 96 Capital stock paid in.
9, 436 10
200, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
68, 625 89 State bank notes outstanding
28,06] 00
5, 892 82
6, 056 94
8, 545 00
549 95
2, 268 00
17, 000 00

712, 516 j

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

$200,000 00
50, 0C0 00
12,669 45
178, 800 00
130 00
270, 917 21

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

Total.

712, 516 66-

92

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

HAMPSHIRE.

City National Bank, Manchester.
C. W. STANLEY, President.

No. 1520.

DANL. W. LANE, 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.
$120,637 10
Capital stock paid in.
282 39
150, 000 00 i Surplus fund
Other undivided profits

12, 969 92
14,700 72

29, 677 78

5,C

National bank notes outstar ding
State bank notes outstanding
89
78 i
33 ! Dividends unpaid .
08
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

1,508
U
1, 700
2, 0G0

00
G
O
00
00

24, 783
5, 242
13, 472
3, 066

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

133, 400 00
572 00
51, 653 52

924 87

Notes and bills re-discounted.
Bills payable

6, 750 00
364,221 03

Total.

$150, 000 00

Total .

364, 22 L 03

Manchester National Bank, Manchester.
NATHAN PARKER, President.

No. 1059.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and 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.

$355, 798 86
319 25
154, 000 00

3,666 66"
3, 300 00
87, 949 71
9,862 72
2,424 00
4,S
12, 144
252
580
14, 000

00
14
30
00

CHAS. E. BALCH, Cashier.

Capital stock paid in.

$150, 000 00

Surplus fund
Other undivided profits

60, 000 00
27, 587 36

National bank notes outstanding
State bank notes outstanding

131,100 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

271, 592 30

9 59
15, 060 72

Notes and bills re-discounted
Bills payable

6, 750 00
655, 349 97

Total ,

655, 349 97

Souhegan National Bank, Milford.
R. R. HOWISON, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
!
U. S. bonds to secure deposits
U. S. bonds on hand
•Other stocks, bonds, and mortgages..
Due from approved reserve agents...
X>ue from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1070.

F.

T. SAWYER, Cashier.

$88,335 81 Capital stock paid in .

"i66,"o66"66"
41, 75222

8,287 38
1,232 75

$100, 000 00

Surplus fund
Other undivided profits

8,594 00
10,849 64

National bank notes outstanding
State bank notes outstanding

90, 000 00

Dividends unpaid..

1, 345 80

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

3,048 00
415 38

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

3, 200 00

Notes and bills re-discounted.
Bills payable

""47566 "65"
252,117 34

Total.,

39,591 22

3, 082 48

252,117 34

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

93

HAMPSHIRE.

First National Bank, Nashua.
E. P. EMERSON,

No. 84.

President.

J. A. SPALDING, 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

$170, 090 21
2, 007 93
150, 000 00
) 00

22, 500 00
1,383 16

Capital stock paid in .
..._

National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid.

6,910 00
2, 797 81
132, C O 00
O
1,095 50
68, 845 49

3,454 31

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

1,008 00
715 80

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

17, 475 63

13, 500 00

6*750 66

Notes and bills re-discounted .
Bills payable

379,209 41

Total.

$150,000 00

Surplus fund
Other undivided profits

Total.

379,209 4L

Second National Bank, Nashua.
No. 2240.

J. W. W H I T E , 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

$93,213 05
628 10
125, 000 00
6,560 00
35
770
17, 800
1,258
18, 000

79
67
00
10
00

5,481 30
333
249
400
500

00
50
00
00

F.

A. EATON, Cashier.

Capital stock paid in.

$125,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

2, 200 00
3,557 03
107, 500 00
221 50

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

37, 375 98

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

Total.

275,854 51

Indian Head National Bank, Nashua.
CALVIN B. H I L L , President.

No. 1310.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..

$224,279 64
115 81
120, 000 00

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

79, 558 65

Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer .,
Total




,

10, 000 00
19,600 00

F R A N K A. MCKEAN, 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.

12,966
127
1,682
8, 000

00
85
00
00

$120,000 00
27, 000 00
30, 378 57
108,000 00
845 10
201, 433 70

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

9, 000 00
487,657 37

Total.

487, 657 37

94

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

HAMPSHIRE,

New Market National Bank, New Market.
W. B. SMALL, President.

No. 1330.

S. A. HALEY, 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
j
Due from U. S. Treasurer
j
Total.

$104,843 89 Capital stock paid in.

si, 666 66
3, 536 29

"i"ioo"66
2,131 08

$80, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

20, 000 00
1, 9U0 60
67, 000 00

256 00

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

31,861 7J

3, 722
10
75
400

00 Due to other national banks
05 Due to State banks and bankers .
00
00 Notes and bills re-discounted.
Bills payable
3, 600 00
Total.

205,018 31

201,018 31

First National Bank, Newport.
No. 888.

D. 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
Total.

$98, 326 98

"ioo," 606" 66'
11,500 00
13, 128 80

F. w . L E W I S , Cashier.

$100, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

23, 000 00
5,398 8L
73,000 00

Dividends unpaid .
Individual deposits
..
United States deposits
Deposits of U. S. disbursing officers..
11,546 00
90 64
200 00
1,000 00

39,109 64

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

4, 500 00
240, 508 45

240, 508 45

First National Bank, Peterborough.
F. LIVINGSTON, 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
IT. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1179.

C. P. RICHARDSON, Cashier.

$111,931 16! ! Capital stock paid in 75 63
100, 000 00 Surplus fund
Other undivided profits
25, 308 35
9, 909 63 i

3, 095 56
1, 278 26
2,1G9 51

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

II00, 000 00
20, 000 00
18,756 90
88,095 00
508 00
756 91
36, 432 21

4,816 00 ; Due to other national banks
35 75 |j Due to State banks and bankers .
238 60 ij
1,250 00 I! Notes and bills re-discounted.
Bills payable
,
4,500 57
264,549 02

Total.

264,549 02

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

95

II AM P S II I K E ,

Pittsfield National Bank, Pittsfield.
JOHN A. GOSS, Cashier.

No. 1020.

C. H. CARPENTER, 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
Sped
Legal tender notes
U. S. certificat3S of deposit
Due from U. S. Treasurer

$44, 387 99
53, 000 00

5, 800 00
3, 484 40

Surplus fund
Other undivided profits.

3, 000 '65'

National bank notes outstanding
State bank notes outstanding .
Dividends unpaid.

1, 590 53

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

2, 595 34

4,(193 00
328 65
1, 325 00
300 00

""'2,250 66

44, 500 00
182 00
8,904 11

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

112,670 51

Total.

$50, 000 00

Capital stock paid in.,

Total.

112,870 5L

First National Bank, Portsmouth.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S, bonds 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 and other cash items
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, 527 60 Capital stock paid in.
318,000
122, 000
21,200
90, 430
75, 309
5, 826
4, 000

00
00
00
85
27
74
00

4,278 19
9, 100
874
2, 94*
20, 500

00
84
00
00

$300, 000 00

Surplus fund
,
Other undivided profits.
National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid .

100, 000 00
49, 250 74
284, 000 00
1,331 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

208,122 36
4i), 490 67
15, 693 57
1, 700 00

8,697 15

14, 300 00
1, 009, 290 49

Total.

E D W . P. KlMBALL, Cashier.

No. 19.

W. H. Y. HACKETT, President.

Total.

1, 009, 290 49

National Mechanics and Traders' Bank, Portsmouth.
JOHisr STSE, 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. 401.

G-. W. BUTLER, Cashier.

$360, 069 64 Capital stock paid in .

"366,606 65
"""16*606"66'
17, 000 00
71,170 74
5,954 67
3, 576 80

17, 400
104
300
11, 000

00
57
00
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 .
Notes and bills re-discounted.,
Bills payable

$300, 000 00
15, 000 00
30,192 16
270, 000 00

696 00
175, 956 29

18,231 97

13, 500 00
810, 076 42

Total .

810, 076 42

96

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

HAMPSHIRE.

New Hampshire National Bank, Portsmouth.
J. P. BARTLETT, President.

No. 1052.

L. S. BUTLER, 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.
$181,646 49

Capital stock paid in.

$150, 000 00

" "156,666" 66"
16," 606" 66"

Surplus fund
Other undivided profits
5,000 00 National bank notes outstanding
State bank notes outstanding
24,441 61
Dividends unpaid.
2, 306 53 I Individual deposits
862 50 ; United States deposits
80 00
Deposits of U. S. disbursing officers.
1, 393
71
450
4,600

00
44 I
00
00 !

6,750 66"

30, 000 00
4,661 57
126, 000 00
135 00
77, 305 00

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

388,101 57

388, 101 57

Total

Rockingham National Bank, Portsmouth.
J. J. PICKERING, President.

No. 1025.

Loans and discounts
Overdrafts
U. S. bonds 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

JOHN P. HART, Cashier.

$229, 033 60 Capital stock paid in.
590 74
206,000 00 Surplus fund
Other undivided profits .
8, 400 00
National bank notes outstanding
15, 668 08 State bank notes outstanding
1,01-8 70
5, 000 00 Dividends unpaid .
Individual deposits
751 21 United States deposits
3,007 15 Deposits of U. S. disbursing officers

$200, 000 00

40, 000 00
2L,;389 92
180, 000 00
4, 569 00
626 25
81,966 06

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

Total.

Total.

528,551 23

Rochester National Bank, Rochester.
JOHN MCDUFFEE, 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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 2138.

FRANKLIN MCDUFFEE, 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.

$50, 000 00
2,100 00
1, 560 45
44,959 00
508 00
32,221 91

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

131,349 36

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

97

HAMPSHIRE,

Citizens' National Bank, Tilton.
No. 1333.

ELEAZER DAVIS, President.

WM. T. CASS, 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.
$73, 060 19

"72,000 65

8, 667 67

Capital stock paid in.

$70,000 0)

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

13, 000 00
2, 464 93
63, 000 00

Dividends unpaid .
854 71
633 00
2,081 00
102 86
300 00
1,000 00

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

13,384 50

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

3,150 00
161, 849 43

Total.

161,849 43

Kearsarge National Bank, Warner.
N. G-. ORDWAY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Dividends unpaid .
484 10 Individual deposits
United S tates deposits
2, 242 62 Deposits of U. S. disbursing officers -

$50, 000 00
5, 280 00
1,588 68
16, 994 00
348 00
9, 596 62

5, 170 00 Due to other national banks
44 18 Due to State banks and bankers.
139 00
700 00 Notes and bills re-discounted
" "l,"350 66" Bills payable
83, 807 50

Total.

G. C. GEORGE, Cashifr.

No. 1674.

$17,100 24 Capital stock paid in.,
2, 798 54
30, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
23,778 62 State bank notes outstanding

Total.

83,807 30

Winchester National Bank, Winchester.
EDVV. C. THAYER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.

$116,025 11
54 18
100, 000 00
1,416 00
2, 687 48
5, 460 49
1,019 24
1,571 80
575
27
602
30

00
52
00
00

HENRY ABBOTT, 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

$100, 000 00
20, 000 00
10, 435 06
88, 240 00
283 00
14,079 50

931 26

4,500 00
233, 968 82

Total.

233, 968 82

98

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

HAMPSHIRE.

Lake National Bank, Wolfborough.
JNO. M. BRACKETT, President.

No. 1486.

CHAS. F. PARKER, Cashier.

Resources.
Loans and discounts
Overdrafts
XT. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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.
$91,617 57

Capital stock paid in.

125,066 66

Surplus fund
,
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

5, 000 00
20,199 62
3, 000 00

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

6,200 00
3,932 03
112, 500 00

Dividends unpaid .

8, 500 00

$125, 000 00

340 30
2,896 00
5 16
16 40

14, 543 02

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

5, 600 00 I
262,175 05 I

Total.

262,175 05

EEPOET OF THE COMPTROLLER OF THE CURRENCY.

99

VERMONT.
National Bank, Barre.
N. W. BRALEY, President.

E. D. BLACKWELL, Cashier.

No. 2109.

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.
$204,943 78
227 61
200, 000 00

4,494 60
1, 400 00
1, 015 72
195 46
500
54
25
3,421

00
26
35
00

Capital stock paid in .

$200,000 00
16,100 00
4, 875 47

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

173, 805 00

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

33, 507 31

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

Total.,

Total.

428, 287

Barton National Bank, Barton.
No. 2290.

HIRAM MCLELLAN, President.

Loans and discounts
Overdrafts
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
Premiums paid
Checks and other cash items
Exchanges for clearing house...
Bills of other banks
Fractional currency
Specie
Legal tender notes

$165, 713 53
156, ooo bb

$150, 000 00
Surplus fund
Other undivided profits

...

National bank notes outstanding. . . .
State bank notes outstanding
1,500 00
1,101 32
527 58
1,211 00
160 45
500 00
3, 300 00
6, 750 00

Total

H. K. DEWEY, Cashier.

Dividends unpaid

2, 500 00
6, 045 35
131,000 00
16 00

Individual deposits

37, 457 80

Deposits of U. S. disbursing officer s . .
Due to other national banks
Due to State banks and bankers .

3, 744 73

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

330, 763 88

Total

330,763 88

National Bank, Bellows Falls.
J. R. 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 tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1653.
$162,185 86

""I66,"66o"66
54,651 59
18, 883 20
12, 500 00
8, 229 27
5,873 00
808 70
1,161 95
16, 480 00

J. H. WILLIAMS, Jr., 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

$100,000 00
20, 000 00
42,814 68
89, 000 00
5, 000 00
147 00
127, 854 46

457 43

4, 500 00
385, 273 57

Total.

385, 273 57

100

REPORT OF THE COMPTROLLER OF THE CURRENCY.
VERMONT.
First National Bank, Bennington.
No. 130.

L. R. GRAVES, President.

G. F. GRAVES, 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

$276, 562 86

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

1, 000 00
4,067 99
5,206 37 Dividends unpaid .
5, 000 00
1,115 40 j Individual deposits
United States deposits
109 73 Deposits of U. S. disbursing officers.
470 00
364 08

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

8, 000 00

""'5*450"66'
429, 946 43

Total.

$110,000 00

Capital stock paid in.

122, 000 00

Total.

110,00C 00
17,181 37
108, 360 00

83, 334 70

987 96
82 40

429, 946 43

National White River Bank, Bethel.
F. P. HOLDEN, Cashier.

No. 962.

NELSON GAY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, 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
IT. S. certificates of deposit .
Due from U. S. Treasurer...

$147, 720 78
1,532 08
125, 000 00

3, 884 65

$125,000 00

Capital stock paid in.
"Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

3, 600 00
1,100 01
1,197 57
2,761 00
10 38
153 50
3, 392 00

Dividends unpaid .

25, 000 00
6,310 3L
112, 410 00
46 00

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

27, 210 6Q

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

5, 625 00

Total

Total.

295,976 97

295, 976 97

First National Bank, Brandon.
N. T. SPRAGUE, President.
Loans and discounts
Overdrafts
U. S bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages
Due from approved reserve agents.
Due from other banks and bankers
Real estate, furniture, and fixtures.
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. COPELAND, Cashier.

No. 278.
$213, 776 45
3,674 44
150, 000 00
""ih',2ob"oo
8, 365 51
4,343 36
3, 200 00
123 05
818 32
1,886 77 '

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
80, 000 00
19, 024 94
131, 738 00
190 00
28, 098 96

629 00 ! Due to other national banks
285 00 Due to State banks and bankers.
Notes and bills re-discounted .
: Bills payable
6, 750 00
409,051 90 I

Total.

409,051 90

REPORT OF THE COMPTROLLER OF THE CURRENCY.

101

VERMONT.
Brandon National Bank, Brandon.
JOHN A . OONANT,

No. 404.

President.

D.

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

C. BASCOM, Cashier.

$382,255 98

266,666 66
13,871 79

"1,206 66
4,612 31

,

3, 600
307
50
3, 827

00
34
35
00

$200, 000 00

Capital stock paid in

80, 000 00
6, 685 55

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

180, 000 00
921 00

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

53, 642 83

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

90, 000 00

1,524 61

Total.

Total.

611,249 38

611,249 38

First National Bank, Brattleboro'.
N. B. WILLTSTON,

No. 470.

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
U. S. certificates of deposit
Due from U. S. Treasurer

S. M. W A I T E , Cashier.

$360, 416 04

Capital stock paid in .

$300, 000 00

""166," 666" 66"
1,266 66

Surplus fund
Other undivided profits

45, 000 00
9,211 12

National bank notes outstanding
State bank notes outstanding

90, 000 00

18,421 08

Dividends unpaid -

5,110 00

"i6," 426* 66'
1, 050 00
8, 500 00

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

65, 412 00

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

4,500 00

Total.

509, 623 12

Total.

509,623 12

People's National Bank, Brattleboro'.
PARLEY STARR, President.

No. 2305

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




$121,711 70
15 35
65, 000 00

334 43
153 08
2, 000 00
1, 151 26
8, 040 00
2, 363 49

W. A. FAULKNER, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$LOO,000 00
8, 000 00
3,063 64
54,000 00

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

43, 895 38

.
2,271
353
286
3, 000

00
37
20
00

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

220 86

Notes and bills re-discounted.
Bills payable
,

2, 700 00
209,179 88

Total.

209,179 88

102

REPORT OF THE COMPTROLLER OF THE CURRENCY.
VERMONT.
Vermont National Bank, Brattleboro'.

LAFAYETTE CLARK, President.

No. 1430.

GEO. S. DOWLEY, 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.
$261, 022 32 Capital stock paid in.

$150, 000 00

""150," 656 "66' Surplus fund
60,660 66 Other undivided profits
National bank notes outstanding
41,331 99 State bank notes outstanding
202 00 Dividends unpaid.
10, 000 00
1, 790 00 Individual deposits
United States deposits
!, 570 54 Deposits of U. S. disbursing officers.
230 00
93 13

1,892 12
5, 000 00

100, 000 00
27,254 00

129, 300 00

134,328 10

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

""6,750 65
540, 882 10

Total.

540,882 10

Howard National Bank, Burlington.
LAWRENCE BARNES, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages . .
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. SUMNER, Cashier.

No. 1698.
$394, 646 43 | Capital stock paid in .

$300, 000 00

""266," 600 "66" Surplus fund
Other undivided profits
2,800 65
National bank notes outstanding
8,173 25 j State bank notes outstanding
25,500 00 i Dividends unpaid 1, 982 36 I

2,241 48

14,500 00
11, 963 31
.

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

170, 000 00
438 00
201, 333 71

1,400 00 Due to other national banks
50 43
2, 200 00 Due to State banks and bankers.
10, 000 00 Notes and bills re-discounted .
Bills payable
9,241 07
698, 235 02

'8, 235 02

Total.

Merchants' National Bank, Burlington.
HENRY P. HICKOK, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer.
Total.




No. 1197.
$511,222 01
500, 000 00
50,000 00
7, 200 00

126,101 12
40 00
17, 000 00
6,793 78
3,163 70
6, 463 00
390 72
1,900 00
22,885 00

C. W. WOODHOUSE, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding

$500, 000 00
62, 000 00
47,650 04
445, 200 00

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

186, 511 45
26, 101 09
8,196 75

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

22, 500 00
1, 275, 659 33

Total.

1, 275, 659 33

REPORT OF THE COMPTROLLER OP THE CURRENCY.

103

VERMONT.
Castleton National Bank, Castleton.
No. 1598.

C. S. SHERMAN, President.

M. D. COLE, 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.

$53, 247 15
5, 443 20
50, 000 00

15, 558 60
* *3," 000* CO'

Capital stock paid in .

$50, 000 00

S u r p l u s fund
O t h e r undivided profits

10, 000 00
2, 572 20

National b a n k notes outstanding
State b a n k notes outstanding

45, 000 00

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

1,633
46
100
3, 000

00
42
00
00

26,706 17

D u e to other national b a n k s
D u e to State b a n k s a n d b a n k e r s .
Notes a n d bills re-discounted.
Bills p a y a b l e

2, 250 00

134,278 37

Total.

134,278 37

First National Bank, Chelsea.
No. 2120.

ELTHU 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 cash items
Exchanges 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, 590 02
3,857 15
150, 000 00

29,
2,
8,
2,

JNO.

C. CLARK, Cashier.

Capital stock paid in .

$150, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
097 99 State bank notes outstanding
10 29
394 53 Dividends unpaid .
330 01 Individual deposits
000 00 United States deposits
819 02 Deposits of U. S. disbursing officers.

10, 380 00
1, 539 48
122, 000 00
464 33
31, 200 27

279 00 Due to other national banks
51 07
435 00 Due to State banks and bankers.
970 00 Notes and bills re-discounted..
Bills payable
7, 750 00
315,584 08

Total.

315,584 08

Caledonia National Bank, Danville.
B. N. 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. 1576.

J. B. MATTOCKS, Cashier.

$123, 824 58

Capital stock paid in .

""I66,"666'66"

Surplus fund
Other undivided profits

26, 238 44
11 35

National bank notes outstanding
State bank notes outstanding

89, 000 00

2, 600 00
3, 395 03
"3,300 00

2, 253 70
2,524 00
84 14

325 00
4,035 00

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

$100, 000 00

1,294 00
30, 297 66

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

4, 500 00
246,841 45

Total.

246, 841 45

104

REPORT OF THE COMPTROLLER OF THE CURRENCY.
VERMONT.
National Bank, Derby Line.
No. 1368.

A. 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
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$233, 815 52 Capital stock paid in .

"io6,"666"66"
8, 600 00
16, 387 13

15,930 00 Dividends unpaid .
Individual deposits
United States deposits
921 07 Deposits of U. S. disbursing officers.
395 00
90 00
683 00
4,149 00

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

30, 000 00
11, 903 51
89, 900 00
130 00
'9, 537 21

4, 000 00

4, 500 00
Total..

385, 470 72

Total.

$150, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

385, 470 72

First National Bank, Fair Haven.
JOSEPH ADAMS, President.

Loans and discounts
Overdrafts
- «—
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current 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

No. 344.

5, 762
7
250
6,215

00 Due to other national banks
11
00 Due to State banks and bankers .
00 Notes and bills re-discounted.
Bills payable
4, 500 00
Total.,

325, 995 42

Total.

E. H. PHELPS, Cashier.

$159,817 24 Capital stock paid in .
141 13
100, 000 00 Surplus fund
Other undivided profits.
5, 000 00
National bank notes outstanding
13,291 56 State bank notes outstanding
11, 442 98 Dividends unpaid .
17, 542 02
1,258 33 Individual deposits
416 25 United States deposits
351 80 Deposits of U. S. disbursing officers .

$102,700 00
30, 000 00
5,193 28
90, 000 00
205 00
i6, 766 82
1,130 32

325, 995 42

Lamoille County National Bank, Hyde Park.
C. S. 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.




A. L. NOYES, Cashier.

No. 1163.
$126, 741 82 Capital stock paid in.,
"" 150,656 bo

$150, 000 00

Surplus fund
Other undivided profits

21, 600 00
1, 592 64

National bank notes outstanding
33,179 72 State bank notes outstanding
5,784 54 Dividends unpaid .
528 52
5, 600 00 Individual deposits
United States deposits
4,550 67 Deposits of U. S. disbursing officers.

130, 485 00

2,831 00
726 50
1,300 00

18 00
34,297 13

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

6, 750 00
337, 992 77

Total.

337, 992 77

REPORT OF THE COMPTROLLER OF THE CURRENCY. 105
V E K Hi O W T .
"West River National Bank, Jamaica.
W I L L I A M HARRIS, President.

No. 1564.

J N O . A. BUTLER, Cashier.

Liabilities.

Resources.
$46, 066 83
253 55
75, 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 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

17, 937
106
2, 500
538

98
96
00
10

400 91
431
3L
1,141
2, 865

00
41
37
00

Capital stock paid in.

$75, 000 00

Surplus fund
Other undivided profits .

2, 000 00
3, 237 56

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

66, 329 00
136 00
392 42

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

3,551 13

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

3,375 00

Total.

Total.

. 150, 648 11

150,648 11

National Bank, Lyndon.
H. M. PEARL, Cashier.

No. 1140.

HENRY CHASE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and 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

$106, 000 00

$123,416 77

Capital stock paid in .

""Io6,"666"6o"

Surplus fund
Other undivided profits

24,000 00
3, 088 20

National bank notes outstanding
State bank notes outstanding

93, 900 00

8," 700*66"
5, 000 00
40 63
2,100 00
1,516 86
497 57
1,195 26
762
58
630
5, 000

00
99
00
00

198 00

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

27,501 88

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

5, 000 00

4, 770 00
259,688

Total.

259, 688 08

Battenkill National Bank, Manchester.
E. B. BURTON, 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.




No. 1488.
$90,653 41

""75"666*66'

21, 802 66

"*2,"666'66"

W. P. BLACK, Cashier.

Capital stock paid in.

28, 000 00
2, 693 33

National bank notes outstanding
State bank notes outstanding

67, 500 00

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

7, 362 00
1, 090 43
6,437 00

$75, 000 00

Surplus fund
Other undivided profits

34,527 17

Due to othernational banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

3,375 00
207, 720 50

Total.

207,720 50

106

KEPORT OF THE COMPTROLLER OF THE CURRENCY.
VERMONT.
National Bank, Middlebury.

HARRIS FLETCHER, President.

No. 1195.

J. G-. WELLINGTON, 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.
$155,116 05

$200, 000 00

Capital stock paid in .

""266," ooo 66' Surplus fund
7o"o66"6o" Other undivided profits
National bank notes outstanding
3, 600 00
State bank notes outstanding

33,70fi 66
39, 730 93
176, 655 00

50, 370 49

5"600 66" Dividends unpaid .
Individual deposits
United States deposits
3, 584 81 Deposits of U. S. disbursing officers

5, 000 00
1,198 27
1,576 00
12,224 00
"*9," 606*66"

1,631 00
64,946 03

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

516, 669 62

Total.

516,669 62

First National Bank, Montpelier.
No. 748.

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

$363,969 48
2, 434 54
250, 000 00

Capital stock paid in..

$250, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

16,300 00
12,814 84
3,851 02
3, 450 00 Dividends unpaid .
1, 703 53 Individual deposits
United States deposits
765 80 Deposits of U. S. disbursing officers.

104, 500 00
22,764 02
222,000 00

45 00
83,113 65

9,167 00 Due to other national banks . . .
13 12 Due to State banks and bankers.
87 34
4,616 00 Notes and bills re-discounted.
Bills payable
13,250 00
682, 422 67

Total.

J. C. HOUGHTON, Jr., Cashier.

Total.

682,422 67

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..
Due from other banks 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. 857.

CHAS. A. R E E D , Cashier.

$283, 674 43 ! Capital stock paid in .
1,651 03 i
300, 000 00 ! Surplus fund
100, 000 00 j Other undivided profits-.
5, 000 00
73, 100 00 ! National bank notes outstanding
55, 680 68 State bank notes outstanding
Dividends unpaid .
2, 528 43 Individual deposits
United States deposits
304 40 Deposits of U. S. disbursing officers

$300, 000 00
150, 000 00
30, 436 36
257, 080 00
160 00
72,091 38
37,831 80
786 99

1, 661 00 Due to other national banks
506 51 Due to State banks and bankers .
708 05 I
10, 072 00 Notes and bills re-discounted.
Bills payable
13, 500 Q0
848, 386 53

Total.

848,386 53

REPORT OF THE COMPTROLLER OF THE CURRENCY. 107
VERMONT.
National Bank, Newport.
L u c i u s ROBINSON,

No. 2263.

President

C. W. S C O T T ,

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

$136,192 12

Capital stock paid in.

33, 500 C
O

5, 500 00
6, 718 00

860 00 I National bank notes outstanding
State bank notes outstanding

30, 150 00

24, 093 30

Dividends unpaid .

1, 000 00
238 30
3, 500 00

528 00

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

1, 563 94

67, 585 11

Due to other national banks
Due to State banks and bankers

1,505 00
""234 "45"
6,284 00

Notes and bills re-discounted .
Bills payable

1,510 00 I
210,481 11 I
I

Total.

$100, 000 0)

Surplus fund
,
Other undivided profits

Total.

210,481 11

First National Bank, North Bennington.
T. W. P A R K ,

No. 194.

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

$416,200 92
5, 463 42
551, 500 00
258, 700 00
35, 098 85
9,162 59
5, 000 00

2, 205 25
15,220 00
170 18
1,220 00
5, 000 00

Capital stock paid in.

$500,000 00

Surplus fund
Other undivided profits

200, 000 00
10,425 17

National bank notes outstanding
State bank notes outstanding

480..340 00

Dividends unpaid .

300 00

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

133, 872 13

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

4,813 91

Notes and bills re-discounted.
Bills payable

24, 810 00
Total

1,329,751 21

Total .

S. B. H A L L , Cashier.

l, 329, 751 21

Northfield National Bank, Northfield.
G E O R G E 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, bond**, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses 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.

H. Ex. 3-




No. 1638.
$109,636 51
324 20
100, 000 00

F R K D . L. E L Y , Cashier.

Capital stock paid in
Surplus fund
Other undivided profits

2, 200 00 | National bank notes outstanding
State bank notes outstanding
3,273 13
6," 550 00
1,034 16

$100,000 00
'
i

86, 300 00
[
!

Dividends unpaid

Individual deposits
jj United States deposits
1, 391 04 j Deposits of U. S. disbursing officers.
1,550
287
240
3, 842

00
Due to other national banks
78 I Due to State banks and bankers .
00
00 I Notes and bills re-discounted
Bills payable

"""4,*566*6o'|

234, 828 82 j

17,000 00
7, 318 60

Total .

24, 210 22

j
j
234, 828 82

108

REPORT OF THE COMPTROLLER OP THE CURRENCY.
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
Total.

$321,388 65

"""88," 666 "66"

$100, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits.

100,000 00
18,781 82

National bank notes outstanding
97 State bank notes outstanding
57 Dividends unpaid .
00
37 Individual deposits
United States deposits
535 01 Deposits of U. S. disbursing officers.

18, 259
314
3, 000
765

1,214 00 Due to other national banks
527 76 Due to State banks and bankers.
339 00
8, 000 00 Notes and bills re-discounted.
Bills payable
3,135 00
Total.

445, 479 33

74, 700 00

516 00
87,356 30

2, 318 44

61,806 77
445,479 33

National Bank, Poultney.
JOSEPH JosLIN, President.
Loans and discounts
O verdrafts
U. S. bonds to secure circulation
Lf. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages...
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures . . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 1200.

MERRITT CLARK, Cashier.

$228, 384 81 Capital stock paid in
1,012 99
100, 000 00 I Surplus fund
O ther undivided profits

»

20, 000 00
5,177 61

7,711 47 National bank notes outstanding
14, 971 56 State bank notes outstanding
"i4,"664 04*
3 00

89, 975 00
783 00

Dividends unpaid

Individual deposits
754 72 United States deposits
" 2 5 6 6 " Deposits of U. S. disbursing officers.Due to other national banks
961 58 Due to State banks and bankers
7,544 00 Notes and bills re-discounted
4, 500 00 Bills payable
Total..

379,873 17

$100, 000 00

163, 766 32
171 24

379,873 17

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
L ^gal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1383.

GEO. S. HILL, Cashier.

$81, 235 65 Capital stock paid in.

56^ 666"66"

Surplus fund
O ther undivided profits

National bank notes outstanding
1,130 52 State bank notes outstanding
30 20
1, 400 00 Dividends unpaid .
221 27
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

$50, 000 00
24, 399 92
2, 233 55
45, 000 00

24,239 81

Due to other national banks
Due to State banks and bankers .
305 64
6, 000 00 Notes and bills re-discounted.
Bills payable
2, 250 00
3, 200 00

145, 873 28

Total.

145, 873 28

REPORT OF THE COMPTROLLER OP THE CURRENCY.

109

VERMONT.
National Bank, Royalton.
No. 1673.

CHESTER DOWNER, President.

ASA W. KENNEY, 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.
$104, 978 06 ! Capital stock paid in.
5, 829 50 !
100, 000 00 | Surplus fund
Other undivided profits.
100 00
15, 400 00 National bank notes outstanding
13, 325 88 State bank notes outstanding
2, 300 00 Dividends unpaid .
1,142 97 Individual deposits
1,000 00 United States deposits
558 29 Deposits of U. S. disbursing officers.
50 L 00 Due to other national banks
21 04 Due to State banks and bankers .
124 00
258 00 Notes and bills re-discounted.,
Bills payable
4,500 00
250,038 74

1100,000 00
3,410 00
2, 169 72
89, 000 00
190 50
12, 018 52

43, 250 00
250,038 74

Total.

Baxter National Bank, Rutland.
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
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

No. 1700.
$335, 495 92
300, 000 00

67,625 11
17, 203 82
5, 377 00

Capital stock paid in

$300, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

7,118 00
732 10
8,000 00

"13,560 66

45, 000 00
4,988 11
270, 000 00

40 00

Individual deposits
1, 4 JO 00 United States deposits
4,439 06 Deposits of U. S. disbursing officers.

140, 862 90

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

760,891 01

Total.

G. R. BOTTUM, Cashier.

Total.

760,891 01

National Bank, Rutland.
JOHN 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...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.

S. W. ROWELL, Cashier*.

$757, 895 80 Capital stock paid in
1,566 41
500, 000 00 Surplus fund
,
Other undivided profits..
National bank notes outstanding
53, 657 92 State bank notes outstanding
"32," 666" 66" Dividends unpaid
Individual deposits
United States deposits
247 15 Deposits of U. S. disbursing officers..
1,570 65
176 82
13, 000 00

$500, 000 00100, 000 00'
26, 760 56.
434,994 00)
1, 562 50
319,297 04

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

22, 500 00
1,382,614 10

Total

1,382,614 10

110

REPORT OF THE COMPTROLLER OF THE CURRENCY.
VERMONT.
Rutland County National Bank, Rutland.

W M . Y. W. RlPLEY, President.

No. 820.

HENRY F. FIELD, I
Liabilities.

Resources.
Loans and discounts
O verdrafU
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S bonds on hand
Other stocks, bonds, and mortages . .
Due from approved reserve agents..
Due from 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
1
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

32 ! Capital stock paid in.
22 !
00 I Surplus fund.
00 ! Other undivided profits.
3, 723 03 j National bank notes outstanding
34, 794 35 j State bank notes outstanding
8, 300 38 j Dividends unpaid .
695 50 Individual deposits
United States deposits
1,297 53 Deposits of U. S. disbursing officers.

$•284, 599
7, 234
200, 000
50, 000

73, POO 00
8,492 11
178,400 00

136, 808 29
19,048 51

5, 022 00 Due to other national banks
38 41 Due to State banks and bankers .
1,044 17
10, 000 00 Notes and bills re-discounted.
Bills payable
,
9,090 00
615,748 9L

Total .

615,748 91

Total.

$200, 000 00

First National Bank, Springfield.
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 esstate, furniture, and fixtures.
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
,
Bills of other banks
,
Fractional currency
,
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$204,954 01
280 13
200, 000 00
11, 000 00
16, 406 87
1, 000 00
772 28
530 62
2, 000
4
1,197
4, 697

$200, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

32, 100 00
10, 087 32
180, 000 00
150 00

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

29, 504 92

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

"9,666 66
451,842 24

Total.

B. F. ALDRICH, Cashier.

No. 122.

Total..

451, 842 24

First National Bank, St. Albans.
E. A. SOWLES, 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
j
Fractional currency
!
Specie
Legal tender notes
IT. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 269.
$427,884 95
8, 606 40
10 J, 000 00

13,241 35

" 12," 666* 66'

ALBERT SOWLES, Cashier.

Capital stock paid in.
Surplus fund
Other uudivided profits
National bank notes outstanding
State bank notes outstanding.

100. 000 00
7,461 89
90, 000 00

Dividends unpaid.

Individual deposits
United States deposits
2,711 00 Deposits of U. S. disbursing officers.
1, 083 00 Due to other national banks
15 25 Due to State banks and bankers .
30, 000 00
Notes and bills re-discounted
Bills payable
4,500 00
600,041. 95

$100,000 00

Total .

299, 849 60

2, 730 46

600,041 95

REPOET OF THE COMPTROLLER OF THE CURRENCY. Ill
VE RUION T.
Vermont National Bank, St. Albans.
BRADLEY BARLOW, President.

C. N. BISHOP, Cashier.

No. 1583.

Resources.

Liabilities.
$358,628 11
4, 318 57
200, 000 00

Capital stock paid in ,

$200,000 00

Surplus fund
Other undivided profits

100, 000 00
7,921 06

National bank notes outstanding
10, 493 29 State bank notes outstanding
2, 593 53 Dividends unpaid.
8, 000 00
3, 623 04 Individual deposits
United States deposits
3, 614 91 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

179, 000 00

136 08
18, 272 00

50 00
132,721 47

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

9, 000 00

Total.

Total.

619, 692 53

619,692 53

First National Bank, St. Johnsbury.
No. 489.

LUKE P. POLAND, President,

GEORGE MAY, Cashier.

$620,279 13 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

"566" 666" 66'
12, 834 04
4,071 00
16, 100 00
7,194 25
784 00
44 37
900 00
7, 000 00

$500, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

110,000 00
49, 928 90
438,238 00

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

93, 539 89

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

22, 500 00

Total.

1,191, 706 79

Total

1,191,706 79

Merchants' National Bank, St. Johnsbury.
No. 2295.

F R E D . FLETCHER, Pesident.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
|
Other stocks, bonds, and mortgages
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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

WAI. E. HAZEN, Cashier.

$383, 821 76 Capital stock paid in.,
78, 000 00 Surplus fund
Other undivided profits .
National bank notes outstanding
1, 569 72 State bank notes outstanding
3, 900 16
20, 000 00 Dividends unpaid .
986 99
3, 754 34 Individual deposits
United States deposits
311 06 Deposits of U. S. disbursing officers.
.,
2,939 00 Due to other national banks
16 72 Due to State banks and bankers .
6, 000 00 Notes and bills re-discounted
Bills payable
3, 982 19
505,281 94

Total.

$300, 000 00
1,000 00
34, 977 18
70, 200 00
459 00
98, 645 76

505,281 94

112

REPORT OF THE COMPTROLLER OF THE CURRENCY.
VERMONT.
National Union Bank, Swanton.

W.

L.

No. 1634.

SOVVLES, President.

G. W. BEEBE, Cashier.
Liabilities.

Resources.
$117,536 63

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

Surplus fund
Other undivided profits

.

22.102 00
2,386 27

National bank notes outstanding
State bank notes outstanding

Other stocks bonds and mortaraffes
Due from approved reserve a g e n t s . . .
Due from other banks and bankers . .
Real estate, furniture, and fixtures...

$75, 000 00

Capital stock paid in

75, 000 00

2,062 14

66, 500 00

41, 748 94

10 00

2,800 00

Checks and other cash items

2,577 50

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

Bills of other banks
Fractional currency
Specie
Legal tender notes
U S certificates of deposit
Due from U. S. Treasurer

1,850 00
387 77

Due to other national banks
Due to State banks and bankers

2,200 00

Notes and bills re-discounted
Bills payable

41 83

.

3,375 00
207, 789 04

Total

207, 789 04

Total

National Bank, Vergennes.
C. T. STEVENS, President.

D. H. LEWIS, Cashier.

No. 1364.

Loans and discounts
Overdrafts
XL S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..

$211, 588 04

Due from approved reserve a g e n t s . . .
Due from other banks and bankers . .
Real estate, furniture, and fixturgs...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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

11,681 70

Total .

Capital stock paid in .

I

Surplus fund
Other undivided profits

23, 641 40
36, 848 86

3,500 00 ; National bank notes outstanding . .
j State bank notes outstanding

135, 000 00

150, 000 00

5"566"66" 1
6," 863*95"'

Dividends unpaid.

! Individual deposits
S United States deposits
) 21 ; Deposits of U. S. disbursing officers
6,928 00 j Due to other national banks
Due to State banks and bankers.
6!8 24
8, 600 00 : Notes and bills re-discounted .
Bills payable
6, 750 00
416,338 14

70, 728 47

119 41

416,338 14

Total .

Waterbury National Bank, Waterbury.
P A U L DrLr.lNGHAM, President.

No. 1462.

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..

$127,173 37

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
S pecie
L«gal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

29,419 57

Total . .




106,666 65"

1,500 00
977 79
694 24
335
27
3:30
2, 700

00
44
55
00 I
j

i'hbh'ob'
267, 657 96

CURTIS WELLS, Cashier.

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits

30, 000 00
7,261 76

National bank notes outstanding
State bank notes outstanding

87, 500 00

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

42, 896 20

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

267, 657 96

REPORT OF THE COMPTROLLER OF THE CURRENCY.

113

VERMONT,
National Bank of Newbury, Wells River.
W. H. CUMMINGS, President.

GEORGE LESLIE, Cashier.

No. 1406.

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..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

$311,791 82 Capital stock paid in.
2,361 16
300, 000 00 Surplus fund
Other undivided profits
2,*355'6o'
11,288 00 National bank notes outstanding
15,780 11 State bank notes outstanding
195 00
3,000 00 Dividends unpaid .
639 05 Individual deposits
United States deposits
8, 019 55 Deposits of U. S. disbursing officers.
5, 002 00
283 62
1,703 20
26, 723 00

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

No. 2274.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
TJ. 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 baaks
Fractional currency
Legal tender notes
U. S. certificates of deposit .
Due from U. S. Treasurer...
Total.

264, 343 00

759 93
86, 829 16

2, 821 42

690, 866 51

Randolph National Bank, "West Randolph.
WM. H. D U BOIS, President.

30, 000 00
6,113 00

1, 800 00
690, 866 51

Total.

$300, 000 00

$85,099 50

$100, 000 00

Capital stock paid in.,

95, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
1,147 50 State bank notes outstanding
1,986 02
637 53
11,717 50
682 16

v

R. T, Du BOIS, Cashier.

1,200 00
2,871 01
85, 500 00

Dividends unpaid .
Iniividual deposits
Un ted States deposits
D*. p >sits of U. S. disbursing officers -

13,615 88

1, 537 00

Dae to other national banks
104 68 Due to State banks and bankers .
1,000 00 Notes and bills re-discounted.
Bills payable
4,275 00
203,186 89

Total.

233, 186 89

Ascutney National Bank, Windsor.
HIRAM HARLOW, 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
IT. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 816.

HENRY WARDNER, Cashier.

$92, 968 25

Capital stock paid in .

100, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding...
State bank notes outstanding

" 23*666"66"
20, 685 00
16, 982 27

Dividends unpaid .

717 34

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

5 22

$100, 000 00
20, 000 00
29, 722 77
87,149 00
1, 057 00
1, 230 00

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

24, 200 31

"4,"50l"66" Notes and bills re-discounted
Bills payable
"4,560 66
263, 359 08

Total

263, 359 08

114

REPORT OF THE COMPTROLLER OF THE CURRENCY.
V ER M OWT•
"Woodstock National Bank, "Woodstock.

F R E D . BILLINGS, President.

No. 1133.

H. C. JOHNSON, 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 tcr clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




Liabilities.
$366,317 33

Capital stock paid in.

""300," 665 "66" Surplus fund
Other undivided profits
26,070 00 National bank notes outstanding
7,826 79 State bank notes outstanding
10,600 00
16 39
1,125 00
967 15
11
12
275
3,800

00
79
00
00

""i3,~5oo"o6
730,541 45

Dividends unpaid .

$300, 000 00
24, 500 00
8,874 13
268, 500 00
1,290 51

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

97, 376 81

Due to other national banks
Due to State banks and bankers

20, 000 00

Notes and bills re-discounted
Bills payable
Total.

730,541 45

REPORT OF THE COMPTROLLER OF THE CURRENCY. 115
MASSACHUSETTS.
Abington National Bank, Abington.
No. 1386.

BAXTER COBB, President.

J. N. FARRAR, 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

$207, 797 63 Capital stock paid in .
3L 87
150, 000 00 Surplus fund
Other undivided profits
ioo'oo'
National bank notes outstanding
10, 000 00
State bank notes outstanding

30,000 00
9,074 40
j

133, 400 00

8, 355 16

7, 330 00

Dividends unpaid

9, 313 43

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

4. 824 00
80, 007 28

3, 374
26
J87
4, 040

00 Due to other national banks
19 Due to State banks and bankers .
40
00 Notes and bills re-discounted.
Bills payable
6, 750 00
407,305 08

Total.

407, 305 68

Total.

$150, 000 00

First National Bank, Adams.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other 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

H. H. WELLINGTON, Cashier.

No. .462.

H. J. BLISS, President.

$251,911 94
3, 938 46
150,000 00

9, 990
9,612
17, 000
2,463

.

53
60
00
19

1,959 43
1,161
702
320
6, 000

00
27
00
00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

50, C O 00
O
12,367 -U
131, 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.

$150,000 (30

77, 994 G9

10, 442 3-2
30, 000 00

461, 804 42

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

826 98
6 87
150, 000 00

$17;

"23," 650 "66'
44, 982 78
26, 357 86
10, 000 00
325 50
4, 319 36
2, 035 92
9, 582
368
1, 482
4, 570

00
02
20
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.
Due to other national banks
Due to State banks and bankers .

$150, 000 00
50, 000 00
46 52
133, 700 00
2,748 00
123, 522 47

117 24

Notes and bills re-discounted.
Bills payable

9, 626 74
460,134 23

Total

460,134 23

116

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Andover National Bank, Andover.

J. L. TAYLOR, President.

No. 1129.

MOSES FOSTER, 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. 8. certificates of deposit . . .
Due from U. S. Treasurer
Total.

$250, 000 00

$195,029 31 ! Capital stock paid in .
200, 000 00
"65,666*66"
28, 305 04

59, 659 79
177 32

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

124,759 00
9,744 00

"7,666 00* Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

71,199 65

6, 434 00 j Due to other national banks
10 51 I Due to State banks and bankers .
2, 260 90
2, 500 00 Notes and bills re-discounted.
Bills payable
,
9, 000 00
Total.

515,539 76

515,539 76

First National Bank, Ashburnham.
G. C. WINCHESTER, President.

GrEO. W. EDDY, Cashier.

No. 2113.

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

$42, 724 99 I
I
50, 000 00 |

4,979 76
""hih" 66"
3, 000 00
22 95

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

900 00

9L4 68
42,989 00

188 00

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

9,748 17

743 00 i Due to other national banks
24 Due to State banks and bankers.
3 00
371 00 j Notes and bills re-discounted.
Bills payable
2,250 00
104,739 85 !

Total

$50,000 00

Capital stock paid in.

Total. .

104, 739 85

Athol National Bank, Athol.
T. H. GOODSPKED, 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.




C. A. CHAPMAN, Cashier.

No. 2172.
$102,685 79
356 00
33, 500 00

7, 165 64
492 40
7,200 00
935 03
3,000 00
382 41

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.

1,075 0) ! Due to other national banks
155 95 j Due to State banks and bankers .

290 00 i
4,864 00

2,000 00
164, 102 22

I $100,000 00
1, 300 00
4,929 16
j

30,140 00
430 49
26, 737 85

564 72

Notes and bills re-discounted
Bills payable
Total

164,102 22

REPOBT OF THE COMPTROLLER OF THE CURRENCY.

117

MASSACHUSETTS.
Miller's River National Bank, Athol.
ALPHEUS HARDING, President.

No. 708.

A. L. NEWMAN, 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

$287,15L 69

"156,606 56
35, 000 00
18,034 63

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

23, 453 80 Dividends unpaid .
5, 000 00
2,361 65 Individual deposits
United States deposits
15 39 Deposits of U. S. disbursing officers.
105 00
276 16
1,160 25
11,273 O)
f
5, 000 00
6, 750 00

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

545,581 57

Total.

$150, 000 00

Capital stock paid in.

Total

100, 000 00
12, 422 30
133, 300 00
249 13
144,204 22
5, 405 92

545, 58L 57

First National Bank, Attleboro'.
H. M. DAGGETT, Cashier,

No. 2232.

J. 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
Tota..

$144,054 54

"""35*666 65
12,731 15

$100,000 00

Capital stock paid in
Surplus fund
*
.
Other undivided profits
National bank notes outstanding . . .
State bank notes outstanding

4,123 00
145 38
5, 000 00
1, 575 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 .

208,594 99

31, 500 00
2, 626 00

"'i.'soo'o')1 Dividends unpaid .
""4," 431 '25'
34 67

9, 300 00
776 85

68,422 19

2, 969 95

208,594 99

First National Bank, Barre.
HIRAM WADSWOKTH, President.
Loans and discounts
Overdrafts
1
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 other banks and bankers..j
Real estate, furniture, and fixtures... j
Current expenses and taxes p a i d . . . . . I
Premiums paid
j
Checks and other cash items
j
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. 96.

E D W I N WOODS, Cashier.

$172, 604 99 !Capital stock paid in .
05
150, 000 00 I Surplus fund
Other undivided profits
|
20, 000 00 | National bank notes outstanding
10, 012 06 State bank notes outstanding
j Dividends unpaid..
4, 826 26 • Individual deposits
j United States deposits
637 48 Deposits of U. S. disbursing officers.
787
115
377
213

00
03
00
00

$150,000 00
34,000 00
10,318 70
123,798 00
435 00
47,771 17

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

6, 750 (30
366, 322 87

Total.

366, 322 87

118

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Beverly National Bank, Beverly.
No. 969.

JOHN PICKETT, President.

R. G-. BENNETT, 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 .
Rtal estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
,
Checks and other cash items
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, 675 00
1,006 47
200, 000 00

Capital stock paid in .

$200, 000 00

I Surplus fund
;I Other undivided profits

40 000 00
8, 957 22

5,031 25
47, 146 29
. 3, 053 80
6,386 98
25

1

National bank notes outstanding
State bank notes outstanding . . .
Dividends unpaid.

5,695 50

Individual deposits
United States deposits...,
Deposits of U. S. disbursing officers.
163 83

3, 765
62
1,065
10,595

00
61
00
00

9,666 66

Total .

177, 764 00

112,554 76

I' Due to other national banks
i, Due to State banks and bankers .
|l Notes and bills re-discounted
\ Bills payable
544,971 48

Total-.

544,971 48

First National Bank, Boston.
No. 200.

A. T. LOWE, President.

JOHN CARR, Cashier.

$2, 906,131 62 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 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

7O5,~6o6"66"
200, 400 00
225, 486
69, 498
290,635
9, 610

59
93
14
30

75, 423
326, 704
61,318
303

44
00
00
53

109,
81,
95,
70,

960 00
800 00
000 00
525 00

1,000,000 00
42,773 36
627, 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

5, 227, 796 60

Total.

$1,000,000 00

Surplus fund
Other undivided profits
National bank notes outstanding

Total.

39,468 00
1,337,365 37
1,059,235 68
6,554 19
115,000 00
5,227,796 60

Second National Bank, Boston.
No. 322.

JAS. H. BEAT., President.
Loans and discounts
Overdrafts

t

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 . . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchans 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.




$3, 513, 703 79
842 02
540, 000 00

36o,~666"6o"
174,504 09
420,007 11
7,746 48
26, 800 00
4, 793 43
307,402 01
21,012 00
39, 798
18, 200
125, 000
24,300

81
00
00
00

5, 384,109 74

A. J . LOUD, 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

$1, 600, 000 00
750, 000 00
34, 824 74
485, 000 00
44,444 00
2, 055,140 40

370,323 12
44, 377 48

Notes and bills re-discounted.
Bills payable
Total.

5, 384,109 74

REPORT OF THE COMPTROLLER OF THE CURRENCY. 119
MASSACHUSETTS.
Third National Bank, Boston.
No. 359.

P. L. EVERETT, President.

F. B. SEARS, 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

5851,684 69 Capital stock paid in.
73 17
50, 000 00 Surplus fund
Other undivided profits
63, 4S0 00 National bank notes outstanding . . .
87, 192 38 State bank notes outstanding
39,409 92
1, 950 00 Dividends unpaid.
1,369 83 Individual deposits
United States deposits
1,954 79 Deposits of U. S. disbursing officers.
67,029 16
15,691 00 Due to other national banks
1,072 04 Due to State banks and bankers . . .
77, 885 08
22, 000 00 Notes and bills re-discounted..
20,000 00 Bills payable
2, 250 00
1,303,042 06 1
1

Total.

$300, 000 00
60, 000 00
29, 584 85
45, 000 00
3,841 00
824, 369 02
25, 776 34
14,470 85

Total

1,31)3,042 06

Fourth National Bank, Boston.
S. F. 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.
$286, 824 23

F. N. ROBBINS, Cashier.

Capital stock paid in.

$200, 000 00

""Iso.'ooo'oo" I! Surplus

900 00
779 41

fand.. „
1 Other undivided profits
1
National bank notes outstanding
27,241 31 State bank notes outstanding
6,312 30 Dividends unpaid .
""354 00
16, 000 00 Individual deposits
United States deposits
107 59 Deposits of U. S. disbursing officers.
41,7-20 28
8, 523 00 I Due to other national banks
40 31 I Due to State banks and bankers.
1,300 00
12, 000 00 Notes and bills re-discounted
Bills payable
" 11," 750" 65 *

562, 173 02

135, 000 00
3, 888 00
161,605 61

60, 000 00

Total.

Atlantic National Bank, Boston.
ISAAC PRATT, Jr., 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
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
Suspense account
Total -




No. 643.

JAS. T. DROWN, Cashier.

$1,075,533 41 ! Capital stock paid in
524, 00 ) 00
200 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

79,738 58
86, !06 61
263, 985 72 i Dividends unpaid .
67 29 Individual deposits
3,317 89 United States deposits
43, 407 90 Deposits of U. S. disbursing officers.
28,260 00
20 37 Due to other national banks
20, 592 65 Due to State banks and bankers
16,052 00
40, 000 00 Notes and bills re-discounted
23, 580 00 Bills payable
,
11,867 56
2,216,729 98 j|

$750,000 00

I

Total

|

300,000 00
13, 446 52
426, 940 00
33, 263 00
600, 970 24

89, 724 76
•2, 380 46

2,216,729

120

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Atlas National Bank, Boston.
No. 654.

W M . P. HUNT, President.

CHAS. L. LANE, 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

$2,609,38L 68

500,666 66
60, 000 00
166, 726 21
66, 640 81

9,583 55
110,034 06
23, 763 00
548 42
19, 445 70
40,621 00
80,000 00
26, 500 00

Total.

$1, 500, 000 00

Capival stock paid in.
Surplus fund
Other undivided profits

300,000 00
131,881 51

National bank notes outstanding
State bank notes outstanding

436, 096 00

Dividends unpaid -

33,984 00

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

889, 522 87

Due to other national banks
Due to State banks and bankers

3,047 12
420, 712 93

Notes and bills re-discounted.
Bills payable

3,715,244 4 1
3

Total

3,715,244 43

Blackstone National Bank, Boston.
JOSHUA L>OIU$G, President.

No. 514.

$3, 228, 394 77
41 73
650, 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

J A M E S ADAMS, Jr., Cashier.

Capital stock paid in

2, 000, 000 00

Surplus fund
Other undivided profits

50, 000 00
37, 000 00
National bank notes outstanding
270, 202 03 State bank notes outstanding
251, 220 25
360, 104 70 Dividends unpaid
6 50
41,421 25 Individual deposits
7,481 53 United States deposits
114,500 01 Deposits of U. S. disbursing officers .
55, 779 00 Due to other national banks
257 03 Due to State banks and bankers
14, 694 00
78, 800 00
Notes and bills re-discounted
145, 000 00
Bills payable
29,249 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
Total..

.

|

Total

5,334,151 80

334, 000 00
32, 504 72
560, 080 00
46, 698 00
1, 667, 975 33

481,574 05
211,319 70

5, 334,151 !

Blue Hill National Bank of Dorchester, Boston.
E. J. BISPHAM, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.

$337, 797 85 Capital stock paid in.
1,538 82
200, 000 00
Surplus fund
Other undivided profits.

17,822 93
25,140 85
2 80

8, 877 00
2 88
329 50
26, 335 00
10, 000 00
9, 000 00
636, 847 63

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

$300, 000 00
34, 955 89
10, 853 08
171,292 00
8, 988 00
110, 758 66

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

636, 847 63

REPORT OF THE COMPTROLLER OF THE CURRENCY. 121
MASSACHUSETTS.
Boston National Bank, Boston.
No. 408.

LYMAN NICHOLS, President.

CHAS. B. 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.

$L, 466, 275 34 Capital stock paid in .

$1, 000, 000 00

667,000 00 Surplus fund
50, 0o0 U0 Other undivided profits
87,664 37
37, 873 99
35 02

260,367 95

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

25, 087 00

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

18, 692 65
55,971 23
14,595 00 Due to other national banks
441 99
Due to State banks and bankers
100,100 00
Notes and bills re-discounted.
Bills payable
30,000 00

Total.

2, 528, 649 59

539, 000 C
O

Total

424, 922 33
12,229 72
136,917 15
130,125 44

; 2, 528, 649 59

Boylston National Bank, Boston.
JOS.

No. 545.

T. 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.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
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.

$945,954 83
5 92
600, 000 00

"*l97,"66o*66'
19, 891 85
69, 678 27
35,734 89
36, 536 03

20, 019 40
98 14
39,641 23
25, 338 00
48 46
19,130 00
38, 000 00
20, 000 00
27, 000 00

D.

S. WATERMAN, Cashier.

Capital stock paid in.

$700, 000 00

Surplus fund
Other undivided profits

150, 000 00
28, 415 19

National bank notes outstanding
State bank notes outstanding

522, 700 00

Dividends unpaid .

19,119 00

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

673, 842 83

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

2, 094, 077 02

Total .

2, 094, 077 02

Broadway National Bank, Boston.
AXEL

DEARBORN, President.

Loans and discounts
O verdrat'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. 551.

AQ.UILA ADAMS, Cashier,

$234, 387 18 Capital stock paid in.
200, 000 00

"36,666 66"
22, 917 09
795 75
2, 000 00
87 89
27,267 96
3,771 00
810 35
26, 000 00

"*9," 000* 65'
557,037 22

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 .

$200,000 00
5, 000 00
128, 700 00

3, 087 50
219,746 72

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

503 00
557,037 22

122

KEPORT OF THE COMPTROLLER OP THE CURRENCY.
MASSACHUSETTS,
Bunker Hill National Bank of Charle3town, Boston.

E D W A R D L A W R E N C E , President.

No. 635.

C. R. L A W R E N C E , 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

$1,058,574 29 i Capital stock paid in.
82 7L I:
100, 0U0 00
Surplus fund
Other undivided profits

18?, 445
3,740
25, 000
4

18
8L
00
00

498 59
46.216 27
23,035 00
111 00
12.217 50
28,517 00

$500, 000 00
300, 000 00
49, 440 23

National bank notes outstanding
State bank notes outstanding

90, 000 00
15,092 50

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

528,809 62

Due to other national banks
Due to State banks and bankers.
j^otes and bills re-discounted.
Bills payable
,

4,500 00

Total.

Total.

1, 483, 942 35

1, 483, 942 35

Central National Bank, Boston.
C. J . B I S H O P ,

L. W . YOUNG, Cashier.

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 clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
.'....
Due from U. S. Treasurer

14, 000 00
10,161 14

367, 000 00 ! Surplus fund
Other undivided profits
National I ank notes outstanding
92 ! State bank notes outstanding
j
41 i!
00 i Dividends unpaid .
17 ! Individual deposits
41 i United States deposits
Deposits of U. S. disbursing officers.
86
90 I
00 I Due to other national banks
56 !. Due to State banks and bankers
80 i
,
00 ' Notes and bills re-discounted.
Bills payable
16,515 00

8:5,271
38,824
1,000
1,225
•39,433
1,378
49,561
2,681
289
8,627
76, 000

1,651,268 15 ||

Total .

$500, 000 00

$965,459 12 jj Capital stock paid in

Total

329,900 00
9, 606 00
537,291 64

106, 550 23
143,759 14

1,651,268 15

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. §. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.
$1,733,608 08

889*666 66"
iii," 666" 66"
87, 666 41
121, 603 22
18,156 25

J. M. G O R D O N , Cashier.

Capital stock paid in.

$1, 000, 000 00

Surplus fund
Other undivided profits

400, 000 00
14, 937 26

National bank notes outstanding
State bank notes outstanding

703, 600 00

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

31, 476 00
1, 209, 096 80

" 158" 061 "39";
40, 087 00 ! Due to other national banks
355 71 ! Due to State banks and bankers .
32, 572 00 I
64, 000 00 j Notes and bills re-discounted.
50, 000 00 | Bills pay able
53, 000 00 I
3,359,110 06

Total.

3, 359,110 06

REPORT OF THE COMPTROLLER OP THE CURRENCY. 123
MASSACHUSETTS,
Continental National Bank, Boston.
No. 524.

OLIVER DITSOX, President.

CHAS. F . SMITH, 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

$1,188,971 20 Capital stock paid in .
"""742," 666'66'

76, 022 53
81,258 66
180, 203 34
17, 625 00
219 40
48,169 02
12, 847 00
354 01
2,075 00
39, 000 00
30,140 66

109, 000 00
13, 824 94
584, 700 00
14,608 50

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

518, 543 77

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

3, 207 95
100, 000 00

Total

2,418,835 16

Total.

$1, 000, 000 00

Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.,

75,000 00
2,418,885 16

Eleventh Ward National Bank, Boston.
F. J. PARKER, President.

G-. S. "WHEELWRIGHT, Cashier,

No. 1993.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and 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.

$230,574 14 Capital stock paid in .
858 £9..
100,000 00 Surplus fund
Other undivided profits .
8, 400 00 National bank notes outstanding
479 59 State bank notes outstanding
4,261 42
18,210 57 Dividends unpaid.
43 00 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
611 89
5, 587 00 Due to other national banks
Due to State banks and bankers.
2,645 10
2, 500 00 Notes and bills re-disc^unted.
Bills payable
4, 500 00
378,671 30

$200, 000 00
62,723 40
86, 000 00

1,202 90

378, 671 30

Total.

Eliot National Bank, Boston.
R. B. CONANT, Cashier.

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
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total

738 22
3, 438 01
889, 000 00

119, 023 38
71. 126 07
2, 510 00
2, 970 40
173, 840 14
19, 435 00
542 87
840 00




5

$1,000,000 00

Surplus fund
Other undivided profits

200, 000 00
37, 372 06

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

777, 400 00

Dividends unpaid .

19,230 00

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

747,157 78

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

175, 872 35
229, 531 90

33,100 00
3,296,564

H. Ex. 3

Capital stock paid in .

Total .

110, C O 00
O
3,296,564 09

124

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Everett National Bank, Boston.

WARREN SAWYER, President.

No. 1469.

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
IT. S. certificates of deposit
Due from U. S. Treasurer
Total.

E. CARR, Cashier.

Liabilities.
$766,747 11

Capital stock paid in .

~332,666 66

Surplus fund
,
Other undivided profits.

63,641*89
6, 730 82

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

412 33
7,095 16
47,488 99
7,079 00
263 42

293, 900 00

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

66,196 19
39, 638 64

8,802
13,300
40,000
14,939

$400, 000 00

555, 369 33

Due to other national banks
Due to State banks and bankers

10
00
00
00

9,132 00

15, 000 00
187 90

Notes and bills re-discounted .
Bills payable

1,343,961 94 j

Total.

1,343,961 94

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 agentn..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses 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 from U. S. Treasurer

No. 847.
$1, 370, 793 01
1,516 74
750, 000 00
9,200 00

136, 233 21
238, 206 42
167, 806 38
1,812 16
75, 964 23
42, 619 00
409 12
67,454 70
24, 000 00
10, 000 00
33, 750 00

Capital stock paid in .

$1, 000, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

200, 000 00
24,328 25
579,900 00
34,780 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

2,929,764 97

Total.

T. G. HlLER, Cashier.

Total.

1,075,564 76

15,191 96

2,929,764 97

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
Billg of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2112.

GEO. B. FORD, Cashier.

$353, 889 22 Capital stock paid in .
04
175, 000 00 Surplus fund
Other undivided profits .
41,429 35
56,423 11
5, 000 00
7, 665 00
16,639 18
54 25
2, 862 00
222 45
3,096 10

2, 900 00
15, 000 00
7, 875 00
688, 055 70

$300, 000 00
6, 500 00
22,627 57

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

156,500 00

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

201,168 91

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

858 50

400 72

688, 055 70

REPORT OF THE COMPTROLLER OF THE CURRENCY. 125
MASSACHUSETTS
Freeman's National Bank, Boston.
JNO. n . ROGERS, President.

No. 665.

JEREMY DRAKE, 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 Jrom 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 U.S. Treasurer

$1,350,729 31
22 13
400, 000 00

20," 666" 66'

Surplus fund
Other undivided profits - .

National bank notes outstanding
State bank notes outstanding
78,221 27
38,830 66
Dividends u n p a i d .
13,914 11
2,876 50'
2,883
26, 930
17, 127
232
10, 126
40, 340
30, 000
18, 000

68
55
00
00
78
00
00
00

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

115.000 00
19, 016 55
358,300 00
21,291 00
650,127 39

34,068 96
52, 430 09

Notes and bills re-discounted.
Bills payable
,

2, 050, 233 99

Total.

$800,000 00

Capital stock paid in -

Total.

2, 050,233 99

Globe National Bank, Boston.
W M . B. STEVENS,

No. 936.

President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers. 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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$1,940,657 21

"""466" 666" 6o
216,132 94
169,142 26
17, 524 59
461 21

110,313
12, 306
72
1,400

CHAS. JAS. SPRAGUE, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

100, 000 00
49, 673 90
347, 000 00
20,411 00

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

50
00
92
00'

Due to other national banks
Due to State banks and bankers
159, 000 00 Notes and bills re-discounted.
Bills payable
Total

Total.

-$1, 000, 000 00

1, 274, 412 07

185, 239 93
68, 273 73

3,045,010 63

Hamilton National Bank, Boston.
S. S. BLANCHARD, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Total .




No. 778.
$1, 391,492 19
23 18
270, 000 00

79,768 87
72, 243 28
30 00

1,081 30
126, 884 63
3,822 00
57 07
26,036 II
17, 472 00
55, 000 00
12, 150 00
2, 056, 060 63

GEO. W. NEWHALL, Cashier.

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.
Total

$750, 000 00
150, 000 00
32, 646 45
239,100 00
19, 992 00
855,092 32

9, 229 86

2,056,060 63

126

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Howard National Bank, Boston.
No. 578.

R. E DEMMON, President.

S* F. WILKINS, 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.
$2,145,914 96
2, 175 00
500, 000 00
3,112 7L
195,270 64
47,198 88

172, 000 00
23, 517 46

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

432, 500 00
29, 049 00

Dividends unpaid..
711 36 Individual deposits
United States deposits . . . . . .
2,331 64 Deposits of U. S. disbursing officers.
78,690 91
J5.787 00 Due to other national banks
39 55
32, 660 57 Due to State banks and bankers
15, 000 00 Notes and bills re-discounted.
95, 000 00 Bills payable
11,700 00

756, 934 02

581, 105 78
150, 486 96

Total .

3, 145, 593 22

Total.

$1, 000, 000 00

Capital stock paid in.

3,145, 593 22

Manufacturers' National Bank, Boston.
E D W A R D TURNER, President.

No. 2111.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to sectfre 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
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Total

F . E SEAVER, Cashier.

$862, 689 98
682 23
50,000 00, Surplus fund
Other undivided profits
National bank notes outstanding
80,111 18
32,694 13
110,772 48 Dividends unpaid
349 41 Individual deposits
1,543 31
38, 425 36
8,174 00
50 17
1,630 00
37,000 00
35, 000 00
2,250 00

$500, 000 00
8, 700 00
4, 980 78
45, 000 00
9, 026 00
535,091 28

Deposits of U. S. disbursing officers..
88, 437 24
5,136 95

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

.

,

Total

1,261,372 25

65, 000 00
1,261,372 25

Market National Bank, Boston.
C. O. WHITMORE, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
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. 505.
$1, 393, 738 48
1,897 97
50,000 00
4,600 00

123, 025 78
26, 050 12
725 00
6,416 71
69,069 43
5, 726 00
303 01
25,927 00
40,324 00
20, 000 00
2, 250 00
1, 770, 053 50

JONA. BROWN, 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

$800, 000 00
102, 587 69
16,136 71
45,000 00
14,778 00
789, 906 53

1,644 57

Notes and bills re-discounted.
Bills payable
Total.

1, 770, 053 50

REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 2 7
MASSACHUSETTS.
Massachusetts National Bank, Boston.
HENRY A. RICE, President.

No. 974.

H. K. F ROTHINGH AM, Cashier.
Liabilities.

Resources.
Loans and discounts
0 verdraft s
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U S bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers..
Real 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

$1, 513, 541 00
50, 000 00

$800, 000 00

Capital stock paid in

160,000 00
35, 535 87

Surplus fund
Other undivided profits

National bank notes outstanding
3,022 11 State bank notes outstanding
207,701 78
Dividends unpaid
4, 489 74
1,172 00
Individual deposits
1,496 83
204,608 52
13, 333 00
642 00
22, 500 49
155, 527 00
45. 000 00
2,250 00

45, 000 00
14,083 00
907,848 82

Deposits of U. S. disbursing officers..
Due to other national banks
Due to State banks and bankers

66,556 20
196,260 58

Notes and bills re-discounted

2,225,284 47

Total

2, 225, 284 47

Maverick National Bank, Boston.
ASA

No. 677.

P. POTTER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages. .
Due from approved reserve agents.
Due from other banks and bankers..
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 391, 086 58
400," 000 65

217, 726 40
72, 362 87

10, 125 77
146,616 55
9,167 00
87 58
113,112 61
32, 900 00
70, 000 00
18, 000 00

$400, 000 00

Capital stock paid in .
Surplus fund
,
Other undivided profits..

200, 000 00
35,885 10

National bank notes outstanding
State bank notes outstanding

349, 300 00
12, 800 00

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

1,869,255 42

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

533, 267 43
80, 6%7 41

Notes and bills re-discounted.
Bills payable

3,481,185 36

Total..

SAMUEL P H I L L I P S , Cashier.

3, 481,185 36

Total.

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 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
Total.




No. 932.

ALVAN

$335, 953 09

Capital stock paid in .

""266," 606* 66"

Surplus fund
Other undivided profits

30,292 48
48,177 82
9,400 00

6, 530 78
9,181 12
18, 942 00
5, 007 00
11,746 00
10, 000 00
7, 700 00
692, 980 29

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

$250,000 00
60, 000 00
13, 828 85
147,060 00
7,908 00
214,183 44

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

Total.

692, 980 29

128

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Merchandise National Bank, Boston.
No. 2304.

I. G. WHITNEY, President.

J. F. R. Foss, Cashier.

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

Liabilities.
$1, 538,191 68
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

212, 583
18, 644
2,000
42
17, 943

99
57
00
76
39

Checks and other cash items
Exchanges for clearing house
Bills of other banks
......
.
Fractional currency
Specie
Legal tender notes . . . . . . .
U. S. certificates of deposit

9,462
127, 594
6 816
33
18, 526
30, 345
90, 000
13, 000

50
28
00
46
66
00
00
00

Surplus fund
Other undivided profits

. .

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

7, 000 00
7,251 42
179; 000 00
11, 658 00

Individual deposits
United States deposits
Deposits of U S disbursing officers

1, 540,264 62

40, 010 95

Total

2, 285,184 29

Total

$500, 000 00

Capital stock paid in

2, 285,184 29

Merchants' National Bank, Boston.
FRANKLIN HAVEN, President.

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

No. 475.

GEO.

R. CHAPMAN, Cashier.

$3, 000, 000 00

$5,816,853 15 Capital stock paid in .
2, 000, 000 00 Surplus fund
100, 000 00 Other undivided profits.
400,000 00 i
National banknotes outstanding
444,108 05 State bank notes outstanding
117,126 6L
445, 000 00 Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

65, 000 00
10, 408 33
620, 430 17
21, 509 00 Due to other national banks
Due to State banks and bankers
395, 533 76
84,500 00 Notes and bills re-discounted.
100,000 00 Bills payable
60, 000 00
10,680,469 07 I

Total

1,025,000 00
68, 540 67
1, 657,580 00
85,828 50
4, 279, 617 49
11,185 93
315. 865 51
236, 850 97

10,680,469 07

Metropolitan National Bank, Boston.
S. W. SlCHARDSON, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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^tal.




No. 2289.
$585,156 62
1. 564 93
410,000 00
135, 750 00
39, 207 89
23, 955 85
25,188 06
7 68
40, 000 00
2.183 09
18,462 67
6, 730 00
72 00
4,268 30
26, 712 00

G. HOWE DAvrs, Cashier.

Capital stock paid in ,

$500, 000 00

Surplus fund •
Other undivided profits

1, 500 00
5, 892 96

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

331, 300 00
7, 478 00
390, 944 92

Due to other national banks
Due to State banks and bankerg

1,081 90
26, 111 31

Notes and bills re-discounted.,
Bills payable
,

60, 000 00

5,050 00
1,324,309 09

Total

1,324,309 09

REPORT OF THE COMPTROLLER OF THE CURRENCY. 129
MASSACHUSETTS.
Monument National Bank of Charlestown, Boston.
J. O. CURTIS, President.

No. 1005.

W A R R E N SANGER, 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
Checks 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

$459, 644 05
124 11
50,000 00
10 000 00
15, 000 00
63, 874 54

.............

$150, 000 00

Surplus fund . . . . . . . . . . . . . . . . . .
O ther undivided profits

130, 000 00
34, 713 95

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

44, 970 00
4 820 00

10 93
22, 483 39

.

Capital stock paid in

17, 732
66
253
22 200

00
54
55
00

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

297, 959

1, 176 00
Due to State banks and bankers
Notes and bills re-discounted
Bills payable . . . . . . . . . . . . . . . . . .

2,250 00

....'.

Total

663, 639 11

663, 639 11

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 .

$334,242 24
21 65
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
Checks and other cash items
Exchanges for cleariug house
Bills of other banks
Fractional currency
Specie
Legal tender notes
..
U. S. certificates of deposit
Due from U. S. Treasurer

103,347 79
23, 745 77

Total.

25,666 65"

285 00
1,875 00
1,821
21,465
2, 424
425
9, 53L
7, 752
20, 000
9,000

96
33
00
54
00
00
00
00

H. W. PERKINS, Jr., Cashier.
$200, 0C0 00

Capital stock paid in.

40,000 00
22,511 75

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

174, 700 00
4,404 00

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

316,321 53

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

757, 937 28

Total.

757, 937 28

National Bank of Brighton, Boston.
C. W. KINGSLEY, President.

No. 1099.

Loans and discounts
Overdrafts
U. S. bonds to secure circulationU. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.

$381,290 17
64 05
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

30,818
55
50, 000
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
Total.




56
31
00
40

8, 626 2L
4, 000
1
316
11, 683

00
34
00
00

"l3,"566"6o"
800, 375 04

B. S. FlSKE, Cashier.

Capital stock paid in..
Surplus fund
Other undivided profits
Na f ional bank notes outstanding
State bank notes outstanding
Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

$300,000 00
65, 000 00
7,171 62
241, 500 00
6,566 4)
105,137 02

Due to other national banks
Due to State banks and b,ankers .
Notes and bills re-discounted
Bills payable
Total.

75, 000 00
800, 375 04

130

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
National Bank of Commerce, Boston.

BENJ. E. BATES, President.

No. 554.

G E O . W. HARRIS, 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.
$3, 727,597 66

500," 666* 66
80,808 36

563, 000 00
373,558 32
232,750 41

$2, 0C0, 000 00

Capital stock paid in..
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

310, 000 00
13,198 49
434, 300 00

36, 336 53

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

30,319 59
319,033 10
83,601 00 Due to other national banks
120 12 Due to State banks and bankers
11,009 00
82,150 00 Notes and bills re-discounted.
230, 000 00 Bills payable..

1, 987, 962 87

1,474, 376 79
7, 872 88

30,100 00

Total.

6,264, 047 56

6, 264,047 56

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
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. 1827.

Surplus fund
Other undivided profits

75, 000 00
19,079 64

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

| Due to other national banks
I Due to State banks and bankers

9"666"66"

180, 000 00
11,040 00

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

1, 704, 843 59
1, 704, 047 09
4,414 95

Notes and bills re-discounted
Bills payable

4,198, 425 27 j

Total.

$500, 000 00

Capital stock paid in.

$2, 420, 502 48
46 71
200,000 00
146,212
391,288
94,257
311,938
24
19, 560
13, 873
170, 082
7, 663
168
48, 607
365, 000

J. J. EDDY, Cashier.

Total

4, 198,425 27

National Bank of North America, Boston.
ISAAC T. BURR, 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
1
Checks and other cash items
Exchanges for clearing house . . . .
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 672.

JNO. K. HALL. Cashier.

., 497, 359 08

Capital stock paid in .

$1,000,000 00

672,566 66

Surplus fund
Other undivided profits

123,609 19
43, 051 24

National bank notes outstanding
98, 402 71 State bank notes outstanding
86,291 99 Dividends unpaid.
42 57 Individual deposits.
United States deposits
Deposits of U. S. disbursing officers.
65, 960 55
5, 856 00 Due to other national banks
200 78 Due to State banks and bankers
83, 686 06
25, 950 00 Notes and bills re-discounted.
Bills payable
30, 000 00

571,129 00

2,566,249 6S

Total.

21,138 50
699, 569 98

97,378 51
10,373 26

2, 566,249 6S

REPORT OF THE COMPTROLLER OF THE CURRENCY. 131
MASSACHUSETTS.
National Bank of Redemption, Boston.
W i t D. PORB.ES, President.

No. 515.

E. A. PRESBREY, 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, 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. 8. certificates of deposit
Due from U. S. Treasurer
Total.

$3, 870,385 86 Capital stock paid in.
973 64
790,000 00 Surplus fund
-.
Other undivided profits.,
aoo;ooo oo
National bank notes outstanding
620,267 16 State bank notes outstanding
461, 757 85 Dividends unpaid.,
4, 975 64
25, 092 20
22,549 13 Individual deposits
United States deposits
4,518 37 Deposits of U. S. disbursing officers.
533, 843 19
49,544 00 Dme to other national banks
Due to State banks and bankers
187,656 12
45,960 00 Notes and bills re-discounted..
240, 000 00 Bills payable
36, 928 00
Total

094,451 16

$1, 000, 000 0D
500,000 00
42 86
407,510 O
Q
19, 033 00
680, 090 70

3,631,358 90
856, 410 70

7,094,451 16

National Bank of the Republic, Boston.
H. O. BRIGGS, President.

No. 379.

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 ot'fter banks
Fractional currency
Specie
....•
..
.
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$2, 060,182- 14

> $1, 500, 000 00

Capital stock p»aid in

1,100, 000 O Surplus fund
O
Other undivided profits
1&, 000 00 National bank notes outstanding
333,868 78
122, 838 54
114,564 61
31 75
21, 350 00 Individual deposits
United States deposits
Deposits of U. S. disbursing officers,
174, 003 55
10, 000 00 Due to other national backs
Due to State banks and bankers
5, 000 00
95, 000 00
Bills payable
49, 500 00
4, 104, 339 37

Total

CHA&. A. VlALLE, Cashier,,

Total

300,000 00
125,347 12
987, 000 00
46,382 00
894,273 82;

200, 566 65
7, 769 78
40,000 00
4,101,339 37

National City Bank, Boston.
CHAS. L. THA'/ER, President.

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




No. 609.
., 446, 063 27
28 82
300,000 00

CfiAS, C. BARRY, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits.

17, 500 00
14, 765 00 National bank notes outstanding
63, 797 08 State bank notes outstanding
59,777 04
59,212 10 Dividends unpaid .
541 17 Individual deposits
United States deposits
,
Deposits of U. S. disbursing officers
31,423 11
20,991 00 Due to other national banks
554 02 Due to State banks and bankers
11,245 09
44, 000 00 Notes and bills re-discounted.
40, 000 00 Bills payable
18, 500 00
2,, 128, 397 70

Total.

$1, 000, 000 00
122,265 69
94,096 16
256,500 00
26,109 00
590, 6iS 04

61 32
38, 717 4&

2,128, 397 70

132

REPORT OF THE COMPTROLLER OF THE CURRENCY.

MASSACHUSETTS.
National Eagle Bank, Boston.
R. S. COVELL, President.

WM.

No. 993.

Resources.
Loang and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stoeks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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-. BROOKS, Jr., Cashier.

Liabilities.
$1,679,193 94

250,666 65"
56," 666" 66'
11,746 66
103,047 98
96,947 64
534 00
15,567 64
2,038 89
46, 443 50
20,938 00
14 30
22, 775 76
18,500 00
80, 000 00
15,050 00

$1,000, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits

153,000 00
36, 988 44

National bank notes outstanding
State bank notes outstanding

201, 350 00
22, 578 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 .

1,001,544 13

2, 337 74

Notes and bills re-discounted.
Bills payable
Total

•2,417,798 3L

2,4L7,793 31

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 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. 529.
$3, 963, 612 66
Capital stock paid in .
1, 387 48
889, U00 00 j Surplus fund
Other undivided profits

$1,000,000 00
500, 000 00
80,783 20

25o,"66o"6o*
260, 699 55
222, 704 85
8."l54"2l'
58,573 13

"385," 890*46"
14, 757 00
30 92
263,146 05
143, 400 00
160, 000 00
52, 000 00

National bank notes outstanding
State bank notes outstanding

742, 200 00
34, 029 00

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

1, 774, 450 84

Due to other national banks
Due to State banks and bankers

1,819,555 62
722,337 65

Notes and bills re-discounted.
Bills payable
Total

6,673,361 3L

Total.

J . M. PETTINGILL, Cashier.

6,673,361 3L

National Hide and Leather Bank; Boston.
OEORGE RlPLEY, President

No. 460.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.

$2, 593, 585 48

Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid

190, 899 94
147,140 52

Checks and other eagh itemg
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

3, 987 92
121, 606 83
2, 856 00
734 85
49, 387 65
25, 586 00
75, 000 00
47, 025 00 i

Total .




1,045,000 00

G E O . N. J O N E S , Cashier.

Capital stock paid in .

$1, 500 000 00

Surplus fund
Other undivided profits

163,000 00
22,228 41

National bank cotes outstanding
State bank notes outstanding

918,800 00

i"500*00'

21,000 00

4,330,310 19 |

Dividends unpaid.

34,055 00

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

761,120 04

Due to other national banks
Due to State banks and bankers

687,821 53
243, 285 21

Not^s and bills re-discounted.
Bills payable,
Total

4,330,310 19

REPORT OF THE COMPTROLLER OF THE CURRENCY. 133
MASSACHUSETTS.
National Market Bank of Brighton, Boston.
LIFE BALDWIN, President.

No. 806.

E. P. WRIGHT, 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.

$523,140 71
201 74
250, 000 00

Due from approved reserve agents..
Due from other banks and bankers
Real estate, furniture, and fixtures .
:pwns<
Current expanses and taxes paid
Premiums paid

45,144 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 . . . . . . .

11,754 83

Total.

10, 000 00

9, 672 50

4,443
19
444
8,000
5, 000
14,000

00
15
00
00
00
00

Capital stock paid in .

$250, 000 00

Surplus fund
Other undivided profits

100, 000 00
51, 320 42

National bank notes outstanding
State bank notes outstanding

221,115 00
8, 967 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

881,820 17

95, 340 60

149, 968 15

5,109 00
881,820 17

Total.

National Revere Bank, Boston.
SAML. C. COBB, President.

No. 1295.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.

1

52
251 87
556, 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

258, 599 52
312,847 89

Checks and other cash items..
Exchanges for clearing house.
Bills of other banks
Fractional currency
.
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

27,000 00

30 00
50, 000 00
290,521
26, 430
203
21,120
198, 750
20, 000
.25, 000

06
00
68
00
00
00
00

HENRY BLASDALE, Cashier.

Capital stock paid in .

$2, 000, 000 00
--

164, 000 00
18, 900 82

National bank notes outstanding
State bank notes outstanding

499,000 00

Surplus fund
Other undivided profits

Dividends unpaid .

1, 452 00

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

1,655, 007 94

822,771 28
114,259 50

Notes and bills re-discounted.
Bills payable

5,275,391 54

Total.

5,275,391 54

National Rockland Bank of Roxbury, Boston.
SAMUEL LITTLE, President.

No. 615.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..

$563, 407 61
2,172 03
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

106,976 11
1, 599 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
Due from U. S. Treasurer
Total.




21, 000 00

54,185 80
8,122
264
7,681
10, 000
40, 000
13, 500

00
75
02
00
00
00

1,128, 908 78

R. B. FAIRBAIRN, Cashier.

Capital stock paid in -

$300, 000 00

Surplus fund
Other undivided profits

140, 000 00
7, 442 54

National bank notes outstanding
State bank notes outstanding

269, 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 .

10,728 00
400, 690 91

1, 047 33

Notes and bills re-discounted.
Bills payable
,
Total.

1,128, 908 78

134

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS,
National Security Bank, Boston.

S. A. CARLTON, President.

No. 1675.

CHAS. R. BATT, Cashier.

Liabilities.

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

$701,341 81
625 32
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
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Cue from U. S. Treasurer
Total

$200, 000 00
Other undivided profits

-

140, 000 00
4, 433 79

National bank notes outstanding

174,000 00

Individual deposits

833,748 77

89,250 88
97,824 51
75, 000 00

3, 450 00

28,765 11 Deposits of U. S. disbursing officers..
49,930 80
11,472 00 Due to other national banks
1,115 91
32, 733 02
51,565 00
25, 000 00 Bills payable
9,000 00

1, 373, 624 36

Total

1, 373, 624 36

17, 991 80

National Union Bank, Boston.
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.

ALMARIN TROWBRIDGE, Cashier.

No. 985.

$1,000, 000 00

$1,760, 316 70 Capital stock paid in .
46 89

620, 000 00 j Surplus fund
,
Other undivided profits..
National bank notes outstanding .
123, 040 37 State bank notes outstanding
26, 504 48 Dividends unpaid .
2 75 Individual deposits
United States deposits
25,195 53 Deposits of U. S. disbursing officers.
166,969 03
10, 814 00 Due to other national banks
Due to State banks and bankers .
23, 466 90
58, 000 00 Notes and bills re-discounted.
10,000 00 Bills payable
38, 900 00
2,863,256 65

Total

448, 000 00
28,057 36
549,475 00
25,007 00
765, 775 56

46,941 73

2,863,256 65

National "Webster Bank, Boston.
FRANCIS JAQ.UES, President.

Loans and discounts
Overdrafts
U. S, bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
..-.
Checks and other cagh 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. 1527.
$1,948,174 20

CHAS. L. RIDDLE, Cashier.

Capital stock paid in .

500, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
57, 986 76 State bank notes outstanding
9, 772 44 Dividends unpaid .
35 95 Individual deposits
United S.tates deposits
265 48 Deposits of U. S. disbursing officers.
63,662 19
86, 000 00 Due to other national banks
73 05 I Due to State banks and bankers
5,449 10
15, 669 00 | Notes and bills re-discounted.
60, 000 00 i Bills payable
22, 500 00 |
2, 769, 588 17 j

Total

$1,500,000 00
162, 000 00
3.0, 594 34
422, 800 00
29,012 00
559,001 27

63,762 73
2,417 83

2,769,588 17

REPORT OF THE COMPTROLLER OF THE CURRENCY. 185
MASSACHUSETTS.
New England National Bank, Boston.
No. 603.

THOMAS LAMB, President.

CHAS. F . SWAN, 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

$1,548, 083 35
4 46
780, 000 00

" "266* 660 66
25, 000 00
100, 000 00
49, 420 47
340, OU0 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

129,678
23, 175
307
33.213
48, 000

39
00
10
00
00

35,666 66

432, 506 60
8, 026 59
662,100 00
23, 591 00

Individual deposits
United States deposits
3,323 93 Deposits of U. S. disbursing officers.
Due to other national banks
Due to State banks and bankers

767,513 40
96, 080 28
125, 387 83

Notes and bills re-discounted
Bills pay able

3,115, 205 70

Total.,

$1, 000, 000 00

Capital stock paid in .

Total..

3,115,205 70

North National Bank, Boston.
GEORGE 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.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
„
Specie
Legal tender notes
U.S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 525.

J". B. WlTHERBEE Cashier.

5,223,235 58 Capital stock paid in10,889 59
600, 000 00 Surplus fund
"ioo'666 66" Other undivided profits
National bank notes outstanding
229,151 66 State bank notes outstanding
361,676 46 Dividends unpaid •
73, 574 45
2,172 72 Individual deposits
United States deposits
10,881 40 Deposits of U. S. disbursing officers.
160, 453 33
19, 978 00 Due to other national banks
368 02 Due to State banks and bankers
19,993 35
20, 000 00 Notes and bills re-discounted.
145, 000 00 Bills payable
40, 000 00

11,000,000 00

Total.

4,017,374 56

4, 017, 374 56

300, 000 00
106,839 60
523, 900 00
40, 997 00
1,386,776 17

658,479 59
382 20

Old Boston National Bank, Boston.
H. W. PICKERING, President.

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
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 1015.
$1, 543, 362 40

200," 666* 66'
143,028 31
142,520 5L
72, 000 00

F . L. CHURCH, Cashier,

Capital stock paid in.

$900, 000 00

Surplus fund
Other undivided profits

180, 000 00
96, 056 27

National bank notes outstanding . . .
State bank notes outstanding

163, 600 00

Dividends unpaid -

19, 273 75

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
76, 570 61
25, 900 00
85, 958
149,137
1*5, 000
12, 900

04
00
00
00

2, 466, 376 87

943, 753 35

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

155, 086 61
8, 606 89

Total.

2, 466,376 87

136

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
People's National Bank of Roxbury, Boston.

HENRY GUILD, President.

No. 593.

G E O . C. LEACH, 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 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 bunks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

Liabilities.
$665,420 13 Capital stock paid in .
4 21
300, 000 00 Surplus fund
Other undivided profits .
5, 000 00 National bank notes outstanding —
34, 3H4 42 State bank notes outstanding
972 01 Dividends unpaid .
217 13 j Individual deposits
United States deposits
3,276 66 ; Deposits of U. S. disbursing officers
7, 188 00
121 00
5, 49-2 88
13, 500 00

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

$300,000 00
180, 000 00
5, 981 28
266, 775 00
7, 960 00
284,575 13

3,794 03

13, 509 00
1, 049, 085 44 '

Total..

1, 049, 085 44

Shawmut National Bank, Boston.
JOHN CUMMINGS, President,
Loans and discounts
Overdrafts
U. S. bouds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. 582.
$2,000,729 17 ! Capital stock paid in.

"""875," 666 "65 "I Surplus fund
166," 666" 66" I Other undivided profits

$1, 000, 000 00
-.

National bank notes outstanding
209, 207 43 . State bank notes outstanding
|
60, 376 47 |
35, 253 65 \Dividends unpaid .
Individual deposits
United States deposits
24,719 50 ! Deposits of U. S. disbursing officers.
159, 175 78 l
18, 949 00 !Due to other national banks
Due to State banks and bankers
27, 145 93
24,246 00 Notes and bills re-discounted 105, 000 00 Bills payable
39, 375 00

3,744,177 93

Total.

JAS. P. STEARNS, Cashier.

Total

200, 000 00
33, 518 29
735,699 00
26,790 00
1,371,871 02
51, 037 64
187,261 98
135, 000 00
3,744,177 93

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 U. S. Treasurer
Profit and loss
Total.




No. 646.

SAMUEL CARR, Cashier.

$2,516 303 34 Capital stock paid in.
299 39
889, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
153,541 78 State bank notes outstanding
128, 542 24 Dividends unpaid .
100,000 00
37 00
25, 695 94 Individual deposits
United States deposits .
86,791 64 Deposits of U. S. disbursing officers.
20,691 00
7 05 Due to other national banks
87,659 81 Due to State banks and bankers
25, 800 00 J
50, 000 00 Notes and bills re-discounted .
54, 500 00 Bills payable
52,086 41
4, 190, 955 60 |

Total

$1,000,000 00
200, 000 00
1,886 12
800, 000 00

24,511 50
976, 805 71

597,911 44
179, 840 83
410, 000 00
4,190,955 60

REPORT OF THE COMPTROLLER OF THE CURRENCY.

137

MASSACHUSETTS.
State National Bank, Boston.
No. 1028.

A. W. STETSON, President.

C. B. PATTEN, Caihier,

Liabilities.

Resources.
Loan8 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, furnitnre, and fixtures..
Current expenses and tases paid.
Premiums paid
Checks and other cash items
Exchanges for clearing houg©
=..
Bills of other banks
Fractional currency
Specie
Legal tender notes
...
U. S. certificates of deposit
Due from U. S. Treasurer

$2, 601, 869 47
1,389,000 00'

122, 005 01
19,539 16
15,. 195 98
51, 500 00
985 00

Capital stock paid in

103,000 00
49, 668 81
1,230,220 00

•

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

220,935 16
31, 603 00 Due to other national banks
2 36 Due to State banks and bankers . . .
36, 545 65
1,650 00 I Notes and bills re-discounted.
30, 000 00 ' Bills payable
62, 500 00
Total

4, 583, 330 79

Total.

$2,000,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

48, 951 00
1,001,560 5t

129,051 67
20,878 80

4,583,330 W

Suffolk National Bank, Boston.
No. 629.

D. "R. WHITNEY, "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, and fixtures-.
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing bouse
Bills of other banks
Fractional currency
Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer .

E D W A R D TYLER, Cashier,

$1,500,000 00

12,180,941 6^ Capital stock paid in.

"75O,"666'6o'
"i46,0O0 00
235,138 20
161,820 24
270,000 00

Surplus fund
Other undivided profita.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid

10, 594 40 Individual deposits
United States deposits
2, 945 00 Deposits of U. S. disbursing ofBeers.
119,769 00
28, 966 00 Due to other national banks
1,249 00
20, 092 56 Due to State banks and bankers
162, 350 00 Notes and bills re-discounted .
Billa payable
35, 250 00
Total

4, 125,116 04

251, 000 00
39, 157 41
612,700 00
40, 554 00
953, 280 91

631, 486 35
96, 937 37

4,125,116 04

Traders' National Bank, Boston.
E D W A R D SANDS, 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, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks aad 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. Treaburer
Total




No. 1442.
1, 006, 831 18
205,000 66

F. S. DAVIS, Cashier.

Capital stock paid In..
Surplus fund
Other undivided profits

National bank notes outstanding
1.9,525 00 State bank notes outstanding
52, 404 30 Dividends unpaid .
10, 738 57 Individual deposits
United States deposits
894 87 Deposits of U. S. disbursing officers.
135,265 65
13, 008 00 Due to other national banks
Due to State banks and bankers ...
24,394 87
45, 0i6 00 Notes and bills re-discounted..
50, 000 00 Bills payable
13, 589 95
1, 576, 668 39

Total.

$600, 000 00
95, 776 01
5, 478 01
168,340 00
11, 287 00
579, 757 54

40,279 60
45, 750 23
30, 000 00
1, 576, 668 39

138

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Tremont National Bank, Boston.
A. T, P ROT KIN® HAM, Cashier.

No. 625.

WILLIAM PERKINS, President.

Liabilities.

Resources.
Loans and discounts
$2, 525, 046 65
Overdrafts
U. S. bonds to secure circulation
"""746*6oo" 66'
U. R. bonds to secure deposits
IT. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
120, 970 09
Due from other banks and bankers...
125, 000 00
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cask items
2,159 6L
Exchanges for clearing house
200,034 10
Bills of other banks
22,351 00
Fractional currency
".
i , tOO 00
Specie
25, 192 22
Legal tender notes
„
49, 101 00
80,000 00
U. S. certificates of deposit
Due from U. S. Treasurer
58,554 35
Total.

$2, 000,000 00

Capital stock paid ia.
Surplus fund.
Other undivided profits
National bank notes outstanding .
State bank notes outstanding
Dividends unpaid .

171,756 63
4, 575 75
Ml, 460 00
43,427 00

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

791,620 li

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

210,553 59
86, 115 89

3, 955, 509 02

Total..

3, 955, 509 02

"Washington National Bank, Boston.
A. D. HODGES, President.

No. 601.

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

$1,286,055 66
420, 000 00

5, 000 00
90, 586 18
43, 775 Ql
210 18
10,810 89
63,918 12
30, 487 00
130 35
15,561 00
16, 100 00
35,000 00
18, 900 00

W. H. BRACKETT, Cashier.

Capital stock paid in.

$750, 000 00

Surplus fund
O ther undivided profits
National bank notes outstanding
State bank notes outstanding

347,100 00
19, 715 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
Due to-ether national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

2,021, 535 35

272, 884 76
27,651 18

Total.

572,387 93
22, 983 85
8, 812 58

2, 021,535 35

Home National Bask, Brockton.
R. P. KINGMAN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
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.




No. 2152.
$404,618 19
"""56"coo"65'
35, 000 00
53, 964 04

G. D. FULLERTON, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding—
Dividends unpaid.

2, 500 00
199 30
4, 000 00 Individual deposits
United States deposits
3, 252 26 Deposits of U. S. disbursing officers.
5, 763 00
410 94
23, 964 00

$200,000 00
8, 500 00
3,180 03
45, 000 00
4, 374 00
324, 867 70

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

""2," 256" 66'
585,921 73

Total.

585, 921 73

REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 3 9
MASSACHUSETTS.
Charles River National Bank, Cambridge.
SAML. B. RlNDGE, President.

No. 731.

EBEN SNOW, Cashier.

Resources.
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.. j
Due from approved reserve agents. ..j
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expense*? and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$482,101 42 Capital stock paid in.
39 54
100, 000 00 Surplus fund
Other undivided profits
1,595 00 National banknotes outstanding
77, 831 62 State bank notes outstanding
Dividends unpaid .
1,912 68 Individual deposits
United States deposits
1,196 53 Deposits of U. S. disbursing officers.
13, 110 00
474 56
4,906 00
22 000 00

50, 000 00
30.091 0L
88, 950 00
4,200 00
442, 426 34

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

4, 500 00
Total.

715,667 35

Total .

$100, 000 00

715, 667 35

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 .
X S. bonds on hand
L
]
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
T
Legal tender notes .
XL S. certificates of deposit
Bue from U. S. Treasurer

No. 433.

W. A. BULLARD, Cashier.
$200, 000 00

$335, 952 C j Capital stock paid in.
O
""223," 665 '66

51, 075 73
50, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

100,000 C
O
39,400 61
196, 960 00
4,078 00

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

150,197 28

1,132 62

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

Total.

691,768 51

Total.

Cambridgeport National Bank of Cambridge, Cambridgeport.
ROBERT DOUGLASS, President.

Loans and discounts
Overdrafts
IT. S. bonds to secure circulation
U S. bonds to secure deposits
U. S. bonds ou hand
!
Other stocks, bonds, and mortgages...
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and
fixtures
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. 1228.
$175,916 33

SEYMOUR B. SNOW, Cashier.

Capital stock paid in.

100, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
53,319 82 State bank notes outstanding . . . . . . .
17, 000 00 Dividends unpaid .
3 00 Individual deposits
United States deposits
..
621 63 Deposits of U. S. disbursing officers.
1, 980
741
6, 000
6, 000
5, 000
4, 500

00
04
00
00
00
00

371,081 82

$100, 000 00
20,000 00
43, 836 79
90, 000 00
4,847 00
5, 628 92
106,769 11

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

371,081 82

140

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
National City Bank of Cambridge, Cambridgeport.

GEO.

No. 770.

T. GALE, President.

HENRY B. DAVIS, Cashier.

il

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 deponit
Due from U. S. Treasurer
Total.

$238, 019 46

Liabilities.
Capital stock paid in.

$100, 000 00

"i66,"6o6*66"

50, 000 00
12,869 64

j Surplus fund
j Other undivided profits
360660 I National bank notes outstanding
7, 897 34 I State bank notes outstanding
Dividends unpaid .

90, 000 00
4, 596 80

'! Individual deposits
11 United States deposits
2,230 05 Deposits of U. S. disbursing officers.
1, 395 00 j Due to other national banks
53 24 Due to State banks and bankers
395 00
50 00 ! Notes and bills re-discounted .
5, 000 00 I Bills payable
4, 500 00

.

Total .

362, 540 09

105, 073 65

362, 540 09

Neponset National Bank, Canton.
CHAS. H. FRENCH, President.

No. 663.

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

$338,884 78
18 87
250, 000 00

11,903 61
3,200 00
49 50
8,733 78

$250, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

41,503 20
31, 755 38
219, 800 00
7, 000 00

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

79, 866 92

2,315 00 Due to other national banks
61 96 Due to State banks and bankers .
456 00
3, 047 00 Notes and bills re-discounted.
Bills payable
629, 925 50

Total.

F. W. DEANE, Cashier.

Total.

629, 925 50

First National Bank, Chelsea.
No. 533.

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 paid
Premiums paid
Checks and other cash items
Exchanges 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. R. PEAKMAIN, Cashier.

$439, 894 01 Capital stock paid in .

"366,606 66

17,
3,
16,
5,

945 75
175 55
645 52
535 92

6, 885 82
30, 206 00
260 00
1,400 00
44, 200 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.

$300, 000 00
60, 000 00
31,062 59
269, 000 00
616 50
219, 469 48

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

14, 000 00
880,148 57

Total.

880,148 57

REPORT OP THE COMPTROLLER OF THE CURRENCY.

141

MASSACHUSETTS.
First National Bank, Chicopee.
F. B. DOTEN, Cashier.

No. 105G.

JEROME WELLS, 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

$215, 047 48 I Capital stock paid in.
150, 000 00

26, 883 00
19, 662 47

56 20

75, 000 00
16,471 93

.

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

.

118, 500 00
7,010 83

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

56,623 15

1," 684 "66" Due to other national banks
Due to State banks and bankers
~*722 76
2, 800 ft) Notes and bills re-discounted .
Bills payable
.'
6, 750 00
423, 605 91

Total .

$150,000 00

Surplus fund
.
Other undivided profits

423, 605 91

Total.

First National Bank, Clinton.
No. 440.

C. G. STEVENS, President.

Loans and discounts
Overdrafts .
U. S. bonds to secure circulation
U. S. bonds to secure deposits .
U. S. bonds on haud...
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid .. . .
.........
Checks and other cash items
Exchanges 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. L. S. HAMMOND, Cashier.

$272, 165 58 Capital stock paid in.
""206,660 '66
10, 000 00
36, 674
524
4,500
2, 019

39
40
00
47

9, 782 66
12, 546 00
966 98
2, 800 00
23, 000 00

Surplus fund
Other undivided profits
National batik notes outstanding
State bank notes outstanding

30, 000 00
8, 305 51
171,400 00

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

174,273 97

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

"*9,666 66
Total..

583, 979 48

583, 979 48

Concord National Bank, Concord.
GEO. HAYWOOD, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total..




No. 833.
•2, 890 27
100,000 00

"53,666 66
39, 072 87
2,000 00
699 45
2, 086 83

2,916 00
92 50
7,334 00

"5" 566 "66'
305, 591 92

H. J. WALCOTT, Cashier,

Capital stock paid in.

$100, 000 00

Surplus fund
Other undivided profits

36, 000 00
7, 868 67

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

72, 900 00

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

760 00
8, 063 25

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

305,591 92

142

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Conway National Bank, Conway.

E. D. HAMILTON, President.

E. L. MUNN, Cashier,

No. 895.
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.

$166,229 38 Capital stock paid in
[ $150,000 00
391' 08
30, 000 00
150, 000 00 Surplus fund
7,341 06
Other undivided profits.
3 0 00
National bank notes outstanding
128, 300 00
964 05 State bank notes outstanding
84 75 Dividends unpaid.
343 33
1, 000 00
1,659 51 Individual deposits
15,048 82
United States deposits
926 37 Deposits of U. S. disbursing officers.
1, 468 00
27 20
255 00
107 00
6, 750 00

Due to other national banks
Due to State banks and bankers .
ites and bills re-discounted.
Is payable

1,129 13

I

330,162 34

Total.

330,162 34

First National Bank, Danvers.
No. 594.

D ANL. 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 fixture*...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. L. WESTON, Cashier.

$187,487 45 ! Capital stock paid in.
267 05 !
,
150, ooo oo ; Surplus fund
Other undivided profits.
2,170 00 National bank noteg outstanding
49, 328 05 State bank notes outstanding
7, 884 86 Dividends unpaid .
14, 713 32
"9*060 "66"
1,261 80
5, 000 00

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

$150,000 00
54, 667 39
6,114 21
123, 000 00
5,884 00
94,256 93

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

6, 750 00 I
433, 922 53 {

Total.

433, 922 53

Dedham National Bank, Dedham.
EZRA W. TAFT, President.
Loans and discounts
!
Overdrafts
|
U. S. bonds to secure circulation
|
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 .. 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.




No. 669.

L. H. KlNGSBURY, Cashier.

$418,485 64 Capital stock paid in.
36 31
300, 000 00 Surplus fund
Other undivided profits

$300, 000 00
,.

National bank notes outstanding
32,841 46 State bank notes outstanding
Dividends unpaid.
-i
4, 553 50 Individual deposits
United States deposits
564 43 Deposits of U. S. disbursing officers.
248
40
6, 870
11,963

00 Due to other national banks
21 Due to State banks and bankers .
40
00 Notes and bills re-discounted.
Bills payable.
13, 500 00
789,102 95

75, 000 00
26,615 11
259, 675 00
1, 005 00
126, 710 79

97 05

789,102 95

REPORT OF THE COMPTROLLER OF THE CURRENCY.

143

MASSACHUSETTS,
Cambridge National Bank, East Cambridge.
X, G. BULLARD, Cashier.

I>. R. SORT WELL, President.
Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
£J. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and otiier cash items....
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.
$177,361 93 Capital stock paid in 516 06
109, 000 00 Surplus fund
Other undivided profits

$100,000 00
.......

National bank notes outstanding . . . .
19 State bank notes outstanding
02 Dividends unpaid .
82
00 Individual deposits
United States deposits
16,248 24 Deposits of U. S. disbursing officers .

39, 580
1, 639
17,397
244

30, 000 00
22,921 23
95,100 00
1,214 00
148, 977 22

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

Total.

398, 212 45

Lechmere National Bank, East Cambridge.
LEWIS 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..
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 cask items
Exchanges for clearing house
Bills of other banks
Fractional currency
Bpecie
-~
Legal tender notes
U. S. certificates of deposit . . . . . .
Due from U. S. Treasurer
= ......
Total.

T. EL HUDSON, Cashier.

$323, 514 58 Capital stock paid in.,
1, 750 92
150, 000 00 Surplus fund
.
Other undivided profits
20, 000 00
28, 886 73

$150,000 00
100,000 00
5,189 78

National bank notes outstanding . . .
State bank notes outstanding

"12,'666 "66' Dividends unpaid.
1 6§
2,190 (JO
1, 915 08
6, 630
236
15,048
1, 236

133, 800 00
6,787 00

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

178,962 99

00
09
71
0G

Due to other national banks
live to State banks and bankers.
Notes and bills re-discounted
Bills payable
" 8," 350"66"
574, 759 77

574, 759 77

Total.

First National Bank, East Hampton.
H. O-. KNIGHT, President.

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 eaeh items
Exchanges for clearing house....
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit.... . . . .
Due from U. $.. Treasurer
Total.




No. 428.
$239, 378 67

"200,666 66
2, 000 00
11,996 7Q
i, 237 00
10, 000 00
I, 260 27
4, 500 00
130 34
1, 065
380
707
5, 000

00
05
70
00

A. D. SANDERS, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits

$200,000 00
„

......

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

I
Individual deposits
!
United States deposits
Deposits of Uo S. disbursing officers.

40, 000 00
11,545 62
164, 790 00
16 0«
70,304 11

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

9,000 00

486, 655 73

Total.

486, 655 73

144

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Martha's Vineyard National Bank, Edgartown.

J. T. PEASE, President.

0. H. PEASE, 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
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 hous6
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$114, 273 89

$100, 000 00

Capital stock paid in..

100, 000 00 Surplus fund
20, 000 00 Other undivided profits
National bank notes outstanding
16, 546 02 State bank notes outstanding
30,718 63 Dividends unpaid .
3, 000 00
Individual deposits
United S tates deposits
880 03 Deposits of U. S. disbursing officers.

44, 639 63
3 77
82, 050 00
2,271 00
64,679 32

"""830 66'

Due to other national banks
Due to State banks and bankers
280 15
1, 615 00 Notes and bills re-discounted .
Bills payable
5,500 00
293, 643 72

Total.

293, 643 72

National Bank, Fairhaven.
No. 490.

GEO. 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
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$139,488 49
2 43
270, 000 00

$240, 000 00

Capital stock paid in.

Surplus fund
Other undivided profits
36, 000 00 I National bank notes outstanding
17, 496 06 State bank notes outstanding
2,508 15
89, 677 55 Dividends unpaid .
6,474 40

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

2, 350 00 I Due to other national banks
90 00 Due to State banks and bankers .
1,836 63
6, 852 00 | Notes and bills re-discounted.
Bills payable
12, 000 00
584, 775 71

Total.

REUBEN NYE, Cashier.

34,100 00
3, 588 44
214, 695 00
5, 362 80
87,014 47
15 00

584,775 71

Total.

First National Bank, Fall River,
J. S. BRAYTON, President.

Loans and discounts
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..
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.

H. A. BRAYTON, Cashier.

>1, 311 61 Capital stock paid in .
400,000 00

262, 207 50
18,490 31

1, 048 21

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

80, 000 00
306, 465 60
356, 700 00

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

6,741 00 j Due to other national banks
276 52 I Due to State banks and bankers.
1,556 85
7, 900 00 I Notes and bills re-discounted
Bills payable
"28,"6o6"6o
1,427,532 00

$400, 000 G
O

Total

§75,261 75

9,104 65

1,427,532 00

REPORT OF THE COMPTROLLER OF THE CURRENCY. 145
MASSACHUSETTS.
Second National Bank, Fall River.
No. 439.

S. A. CHACE, President.

C. J. HOLMES, 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
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

»

$218,467 54 Capital stock paid in
19,500 00
150, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid
4*108 10 Individual deposits
United States deposits
7, 838 39 Deposits of U. S. disbursing officers..
119 00 Due to other national banks
222 12 Due to State banks and bankers
1,041 00
3, 527 00 Notes and bills re-discounted

50,681 58
7,821 31
128, 750 00
190 00
71,242 66

3, 887 60

7, 750 00

Total

412,573 15

Total

$150, OCO 00

412,573 15

Pall River National Bank, Fall River.
Gk H. HATHAWAY, President.
Loans and discounts
Overdrafts .
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages . .
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
.
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency..
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 590.
$492, 360 61 I
400, 000 00
3,000 00
38,104 97
9,000 00 i
4,195 7L
287 28
9, 475
835
1,636
28, 444

00
39
30
00

20, 000 00

P. H. GriFFORD, Cashier.
$4! 0,000 00

Capital stock paid in.
Surplus fund
Other undivided profits

143,200 00
248 52

National bank notes outstanding
State bank notes outstanding

325, 200 00

Dividends unpaid.

8,186 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, 007, 339 26

Total

129, 998 20

506 54

1,007,339 26

Massasoit National Bank, Fall River.
C. P. STICKNEY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.
$411,780 90
7 33
200,000 00
50,000 00

LEANDER BORDEN, Cashier.

Capital stock paid in.
Surplus fund
,
Other undivided profits.

) National bank notes outstanding
116, 229 06 I State bank notes outstanding
9,849 19 I Dividends unpaid.
8,444 55 Individual deposits
United States deposits
650 67 Deposits of U. S. disbursing officers.

$200, 000 00
150, 000 00
18,519 50
173, 875 00
941 00
282,448 38
19, 8L0 91
9, 442 06

27, 820 00
266 60
2, 124 45

Due to other national banks..
Due to State banks and bankers ,
Notes and bills re-discounted
34,565 00 Bills payable
" 9 , 0 0 6 " 00
Total.
870, 737 75

15, 700 90

870, 737 75

146

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS,
Metacomet National Bank, Fall River.

JEFFERSON BORDEN, President.

A. S. TRIPP, Cashier^

No, 924.

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.
$948,409 58
172 84
435, 000 00

$600,000 00

Capital stock paid in.

Surplus fund
i6,"o5o"o(V Other undivided profits
National bank notes outstanding
3, 000 00
34,681 77 State bank notes outstanding
1, 472 28 Dividends unpaid .
1, 588 00 Individual deposits
United States deposits
1, 745 19 Deposits of U. S. disbursing officers.
21,801
205
4, 765
20, 000

00 Due to other national banks
81
62 Due to State banks and bankers .
00 Notes and bills re-discounted.
Bills payable
21, 575 00

352, 600 00
2, 099 00
217, 370 98

9, 325 62

1, 504, 467 09"

Total

1,504,467 09

229, 000 00
94,071 49

National Union Bank, Pall River.
No. 1283.

COOK 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 IL S. Treasurer
Total .

D. A. CHAPIN, Cashier.

$353, 055 02 j Capital stock paid in.
2, 567 98
300, 000 00 I Surplus fund
jj Other undivided profits
j! National bank notes outstanding
9,784 56 State bank notes outstanding
23 95 Dividends unpaid
„
_
„

$300, 000 00

6, 937 81 | Individual deposits United States deposits
821 02 Deposits of U. S. disbursing officers..

103,233 36

9,831
490
2, 400
16, 652

00
90
00
00

49, 500 00
9, 740 88
251,670 00
1, 920 00

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

13, 500 00
716 064 24

Total.

716,064 24

Pocasset National Bank, Fall River.
WEAVER OSBORN, 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
F ractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 679.

E. E. HATHAWAY, Cashier.

$344, 543 71 Capital stock paid in.
9 86
200, 000 00 Surplus fund
Other undivided profits .,.
5, 000 00
109, 155 40
24, 069 62
50,000 00
1, 829 03
6, 846 68
6, 445
1,000
1,685
37, 070

00
65
15
00

9, ooo 66'
796, 655 10

$200, 000 00
40, 000 00
58, 570 48

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

171, 755 00
615 00
240,232 89

104 32
85, 377 41

796, 655 10

REPORT OF THE COMPTROLLER OF THE CURRENCY. 147
MASSACHUSETTS.
Falmouth National Bank, Falmouth.
ERASMUS GOULD, President.

No. 1320.

GEO. E. CLARKE, 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
1
Checks and other cash items
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$89, 027 87

Capital stock paid in .

Surplus fund
Other undivided profits
17,920 00 National bank notes outstanding
12,118 83 State bank notes outstanding
Dividends unpaid .
* 2,000 00
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
1,220 00
9 65
197 25
222 00

24, 000 00
161 52
86,780 00
3,194 00
13, 080 08

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

4, 500 00
227,215 60

Total.

$100,000 00

"I66,6oo 66

227, 215 60

Total.

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

No. 1077.

C. J . BILLINGS, Cashier.

$250, 000 00

$352, 298 98 Capital stock paid in .
"250*666 06'
""52," 806* 65'
37, 292 32
8, 207 64
7, 562 50
5, 789 64

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

157, 500 00
147 19
217, 000 00

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

4, 835 00 Due to other national banks
11 59 Due to State banks and bankers.
10, 000 00 Notes and bills re-discounted.
Bills payable

110, 992 87
9, 367 61

4, 960 00

Total.

Total.

745,007 67

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.




No. 702.

J. M. GRAHAM, Cashier.

Capital stock paid in .

$250, 000 00

Surplus fund
Other undivided profits
31,150 66
20, 000 00 National bank notes outstanding
State bank notes outstanding
115,528 07
Dividends unpaid.
60,000 00
Individual deposits
5,'aii 75' United States deposits
5, 069 00 Deposits of U. S. disbursing officers.

164, 0C0 00
284 64

$370, 896 90

"*256~66o'66"

""" 2,'390'66

Due to other national banks
Due to State banks and bankers
1,319 49
7,000 00 Notes and bills re-discounted..
Bills payable
11,250 00

879, 815 21

Total.

219, 000 00
8, 750 00
234,058 10

3, 722 47

879, 815 21

148

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Safety Fund National Bank, Fitchburg.

HENRY ALOSON, President.

No. 2153.

F. F. 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.
$200, 000 00

$186,983 63 j Capital stock paid in.
200, 000 00

"16*660'66'
2, 820 93
4, oon 00
5, 614 06
10,895 72
1, 083 45
5,312 00
702 71
2,000 00

3,000 00
4,047 51

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

169, 270 00
24 00

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

51, 662 98

408 01

Notes and bills re-discounted
Bills payable
,

9,000 00
438, 412 50

Total.

438,412 50

Wachusett National Bank, Fitchburg.
A. W. SEAVER, President.

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

$145, 656 20 • Capital stock paid in.

""206," 666 "65";
72, 250 00
4, 750 03
42, 132 85
7, 075 64
11, 500 00
2,482 64

$250, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

8, 500 00
20, 453 41
175, 539 00
60 00

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

211 00 Due to other national banks
49 94 Due to State banks and bankers .
978 80
2, 392 00
Notes and bills re-discounted.
Bills payable
9, 000 00
498,479 10

Total

H. L. JEWETT, Cashier.

No. 2265.

Total..

42,963 68

963 01

498,479 10

Framingham National Bank, Framingham.
JAS.

W. 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 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. 528.

J A S . J . VALENTINE, Cashier.

$304, 643 73 j Capital stock paid in.
225, 000 00
4, 000 00
1,839 95

Surplus fund
Other undivided profits
National bank notes outstanding...
State bank notes outstanding
Dividends unpaid..

92 89
20, 739 62
5,819 00
68 75
32 95
6, 865 00

9,975 66
579,076 89

$200, 000 00
50, 000 00
28, 706 78
197,582 00
8,886 00

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

76,449 29

Due to other national banks
Due to Sta e banks and bankers . . .

4,217 59
13,235 23

Notes and bills re-discounted
Bills payable

Total

579, 076 89

REPORT OF THE COMPTROLLER OP THE CURRENCY.

149

MASSACHUSETTS.
Franklin National Bank, Franklin.
No. 1207.

JAMES P. RAY, President.

MOSES FARNUM, Cashier.

Resources.

Liabilities.

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 taxe.s paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$195, 549 73 Capital stock paid in.

$200, 000 00

2oo, ooo ho

Surplus fund
Other undivided profits
National bank notes outstanding
6,361 33 State bank notes outstanding
Dividends unpaid
1,918 98 Individual deposits.
5,800 00 United States deposits.
151 27 Deposits of U. S. disbursing officers.
347 00

567 01
6,000 00

22, 800 00
5,251 69
167, 000 00
1,764 00
30, 679 63

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

10,800 00
Total.

427, 495 32

427, 495 32

First National Bank, Gardner.
CHAS. HEYWOOD, President.
Loans and discounts
Overdrafts
..
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. 884.

JOHN D. EDGELL, Cashier.

$168, 135 29 Capital stock paid in .
206 46
114,000 00 Surplus fund
Other undivided profits
National bank notes outstanding
54,955 82 State bank notes outstanding
19, 962 53 Dividends unpaid .
2,291 01 Individual deposits
1,381 26 Uniied States deposits
3,283 33
Deposits of U. S. disbursing officers .
2,192 00
332 48
640 00
9, 200 00

$150, 000 00
28, 000 00
5,762 11
94, 905 00
164 00
107, 879 07

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

Total.

Total..

386,710 18

Georgetown National Bank, Georgetown.
H. P. CHAPLIN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages
Due from approved reserve agents...
Due from other banks and bankers,..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. CARLETON, Cashier.

No. 2297.
$115,273 81

Capital stock paid in .

Surplus fund
Other undivided profits
National bank notes outstanding
6, 979 83 State bank notes outstanding
"I," 656 "66" Dividends unpaid.
8,000 00
55 69

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

361 00 Due to other national banks
Due to State banks and bankers .
433 40
1,200 00
Notes and bills re-discounted.
Bills payable
,

$100, 000 00
1, 400 00
539 25
67, 000 00

36 00
37, 879 52

10, 048 96

3, 600 00

Total.

216, 903 73

150

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
First National Bank, Gloucester.
No. 549.

JOSIAH O. F R I E N D , President.

GrEo. R. BRADFORD, Cashier.

Resources.

Liabilities.
$247, 590 99 i Capital stock paid in.
42 94 !
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.

$200, 000 00
40, 000 00
9, 637 12

35, 615 68

National bank notes outstanding
State bank notes outstanding

24, 000
1,856
10, 000
1,417

Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Chm-ent expenses and taxes paid
Premiums paid
Checks and other cash items
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.

00
79
00
20

Dividends unpaid .

178, 000 00
620 00
110,224 57

2,010 00
Due to other national banks
245 89 I Due to State banks and bankers.
:
702 20 |j
6,000 00
Notes and bills re-discounted
Bills payable
538,481 69

Total .

Total.

538,481 69

Cape Ann National Bank, Gloucester.
No. 899.

GORHAM P . L 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

HIRAM R I C H , Cashier.

$180, 038 54 Capital stock paid in.

"iso'ooo 66"

$150, 000 00
75, 000 00
2,754 06

Surplus fund
Other undivided profits

50,000 00 j
5, 400 00I National bank notes outstanding
35, 560 03 j State bank notes outstanding
14, 534 60
4,921 25
103 12

134, 215 00
5,136 00

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

94, 275 44

2, 123 00
Due to other national banks
115 86
Due to State banks and bankers .
3.644 10
6, 570 00 .! Notes and bills re-discounted.
Bills payable.

City National Bank, Gloucester.
ADDISON GILBERT, President.

No 2292.

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
J
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




$246, 128 97

*"i5O,"o66*66"

3, 830 42
22, 267 73
13, 652 43
23, 945 79
316 49

j
|
j
j
j
'. |
j
j

213
121
2, 372
7, 150

I

476, 748 84

00
51
50
00

WILLIAM A. P E W , Cashier.
$150, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits

-

National bank notes outstanding
State bank notes outstanding

36,124 25
134, 800 00

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

130, 790 59

Due to other national banks
Due to State bahks and bankers

34 00
13, 000 00

Notes and bills re-discounted.
Bills payable

12,000 00

6, 750 00
Total.

476, 748 84

REPORT OF THE COMPTROLLER OF THE CURRENCY.

151

MASSACHUSETTS.
Gloucester National Bank, Gloucester.
E . W. M E R C H A N T , President.

No. 1162.

Resources.

W I L L I A M BABSON, 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.

$398,136 47
323 38
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
U. S. certificates of deposit
Due from U. S. Treasurer

13, 232 65
22, 307 00
36, 000 00
25 00
1, 093 89

Liabilities.

Surplus fund
Other undivided profits

-

100, 000 00
6, 955 22

25, 000 00

663 98
4, 782 00
291 78
1, 532 45
14,315 00

National bank notes outstanding
State bank notes outstanding

267,370 00
9, 095 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.

147, 693 08

1,090 30

Notes and bills re-discounted .
Bills payable

14, 500 00
832, 203 60

Total.

832,203 60

Total .

$300, 000 00

Capital stock paid in .

First National Bank, Grafton.
A. A. BALLOU, Cashier.

No. 188.

G. F . SLOCOMB, President.
Loans and discounts
Overdrafts
U. S. 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

$128,598 54

166," 656" 66 *
666 32

Surplus fund
Other undivided profits

26, 356 39
299 63

National bank notes outstanding
State bank notes outstanding

88, 000 CO

1, 915 00

Dividends unpaid.
236 37
283 21
3,075 00
20 27
598 00

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

21, 406 69

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

4, 500 00
237, 977 71

Total.

$ LOO, 000 00

Capital stock paid in.

Total.

237, 977 71

Grafton National Bank, Grafton.
J. D . W H E E L 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 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
Total




No. 824.
$114, 898 96
100, 000 00

1, 295 69
500 00

406 01
5,548 00
14 76
304 00
500 00

H E N R Y F . W I N G , Cashier.

Capital stock paid in

$100,000 00

Surplus fund
Other undivided profits

17,000 00
326 20

National bank notes outstanding
State bank notes outstanding

90, 000 C
O

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

3, 366 00
19, 275 22

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

6,500 66
229, 967 42

Total

229,967 42

152

REPORT OF THE COMPTROLLER OPTHE CURRENCY.
MASSACHUSETTS.
National Mahaiwe Bank, Great Barrington.

J. L. DODGE, President.

No. 1203.

F. N. DELAND, 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.
$351, 676 53

' "266," 666" 66"
72, 921
3, 330
3, 000
1, 269

89
60
00
46

Surplus fund
Other undivided profits
National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid .

'""8," 666*66'
193 66'
3, 527 00

100, 000 00
41,440 39
179, 000 00
1, 458 00

Individual deposits
United States deposits
..
12,001 62 Deposits of U. S. disbursing officers .
Due to other national banks
Due to State banks and bankers

124,861 25

18, 085 51

Notes and bills re-discounted.
Bills payable

""8," 925 "66*

Total.

$200, 000 00

Capital stock paid in.

664,845 15

Total.

664,845 15

First National Bank, Greenfield.
W. B. WASHBURN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents.Due from other banks aad bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Hills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 474.

J. W. STEVENS, Cashier.

$365,932 91 j Capital stock paid in
273 92
300, 000 00 ! Surplus fund
""so,"666 bb j Other undivided profits
99,912 50 National bank notes outstanding
110,702 13 State bank notes outstanding
11.535 55
12,000 00 Dividends unpaid
2, 368 16
3, 300 00 Individual deposits
539 17 United States deposits
.
5, 355 00 j Deposits of U. S. disbursing officers..
698 29 Due to other national banks
320 00 Due to State banks and bankers . . . .
19, 930 00 Notes and bills re-discounted
Bills payable
"I3,*5OO"65"
Total
996, 367 63

$300, 000 00
200, 000 00
15, 089 47
268, 400 00

258 00
212,429 06
191 10

996, 367 63

Franklin County National Bank, Greenfield.
WILLIAM KEITH, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills < f other banks
>
Fractional currency
Specie
Legal tender notes
F. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 920.

$368,350 81
502 82
200, 000 00

HENRY K. SIMONS, Cashier.

Capital stock paid in.

Surplus fund.
" " i s "666 "66' Other undivided profits
National bank notes outstanding
4, 420 00
12,581 12 State bank notes outstanding.
724 24
61,279 42 Dividends unpaid .
822 51 Individual deposits
1,207 66 United States deposits
2,564 00 Deposits of U. S. disbursing officers.
4, 441 00
672 57
1,391 50
11, 778 00

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

$200, 000 00
75, 000 00
12,131 85
180, 000 00
5,756 15
213, 585 17

7, 584 79
6, 677 69

15,000 00
700, 735 65

Total.

700, 735 65

153

EEPOKT OF THE COMPTROLLER OP THE CURRENCY.
MASSACHUSETTS.
Packard National Bank, Greenfield.
No. 2"2fi4.

W. N. PACKARD, President.

R. A. PACKARD, 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 aud other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Liabilitie;
$114,238 15 Capital stock paid in.
121 66
60,000 00 Surplus fund
Other undivided profits
National bank notes outstanding
8,341 94 State bank notes outstanding
500 75
2, 666 44 Dividends unpaid .
Individual deposits
6, 600 00 United States deposits
1, 342 24 Deposits of U. S. disbursing officers.
666
69
125
2,174

$100, 000 00
925 00
1,224 69
53, 500 00
1, 550 00
42, 346 57

00 Due to other national banks
28 Due to State banks and bankers .
80
00 Notes and bills re-discounted.
Bills payable
199,546 26

Total.

Total.

Cape Cod National Bank, Harwich.
No. 712.

J. K. 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...
Due from other banks and bankers..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 607 96 Capital stock paid in .

"306,660 66
3,000 00
13, 747 77
2, 000 00
1, 320 01

3, 466 00
276 24

13, 500 00

Cashier.

$300, 000 00

Surplus fund
Other undivided profits .
National bank notes outstanding.
State bank notes outstanding
Dividends unpaid.

60, 000 00
25,257 86
259, 500 00
804 00

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

68,356 12

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

713,917 98

Total.

GEO. H . SNOW,

713, 917 98

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. WOOD, Cashier.

$394, 902 93 Capital stock paid iu .
94 75
300, 000 00 Surplus fund
„.
Other undivided profits
67,100 00 National bank notes outstanding
24, 835 08 State bank notes outstanding
12, 000 00 Dividends unpaid.
10,624 65 Individual deposits
United States deposits
4, 522 70 Deposits of U. S. disbursing officers.
6,342 00
745 23
1,436 25
13, 000 00

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

$300,000 00
100, 000 00
14,019 28
261, 990 00
1,140 00
176,250 82

11,203 49

29, 000 00
864, 603 59

864,603 59

154

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Essex National Bank, Haverhill.

J. C. TiLTON, President.

No. 589.

WM. C A L D W E L L ,

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.

Cashier.

Liabilities.
$146, 564 46
"" 100,000 00

1,450 22
6, 000 00
2, 573 69
2,061 52
1,805 00
503 34
376 30

6, 000 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
17, 805 80
82, 500 00
60 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

51, 006 85

1, 410 88

5, 500 00
272. 834 53

Total.

272,834 53

Haverhill National Bank, Haverhill.
J . A. APPLETON, President.

No. 484.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures. . Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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 E . G A L E , Cashier.

$354,821 28 Capital stock paid in.
*"203,000 65'
23, 832 40
21,760 68
12, 000 00
7,311 19
185 72
12, 640 00
66 78
1,192 30
16,681 00

"16*506*66"

$200, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding .

180, 000 00
1, 070 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of IT. S. disbursing officers
Due to other national banks
Due to State banks and bankers . . .
Notes and bills re-discounted..
Bills payable
Total.

663,991 35

100, 000 00
9,284 53

165, 612 35
8, 024 47

663,991 35

Merrimack National Bank, Haverhill.
E . J . M. H A L E , 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 oth-r banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for cleaving house
Bills of other banks
Fractional currency
Specie
".
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 633.

J O H N L. HOBSON, Cashier.

$445,381 49 Capital stock paid in
""24t)f"6il6"o6"

18,529 10

Surplus fund
Other undivided profits
National bank notes outstanding . .
State bank notes outstanding
Dividends unpaid

10, 565 23
17, 354 53

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

13,769 00 ) Due to other national banks
267 55 ;l Due to State banks and bankers .
45<> 00
14,000 00
Notes and bills re-discounted
> Bills payable
10," 800 "66*
771, 116 90

Total.

$240, 000 00

100, 000 00
76,241 97
214, 200 00
1,250 00
124, 652 81
14,772 12

771,116 90

155

REPORT OF THE COMPTROLLER OF THE CURRENCY.
M A S S A C II U S E T T S .
Hingham National Bank, Hingham.
Jos. JACOBS, Jr.,

J. 3. TlLESTON, Cashier.

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
17. S. certificates of deposit
Due from U. S. Treasurer

$175,272 60

Capital stock paid in

140, 000 00
10,000 00

;

121,700 00

Dividends unpaid.,

7, 421 47
710 64

4,148 35

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

73 21
435 00
29 05
833 40
2, 760 00

$140,000 00
24, 153 29
1,285 69

National bank notes outstanding
State bank notes outstanding

18, 222 56

71,770 60

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

7, 300 00 !
363, 057 93 j

Total.

j

Surplus fund
Other undivided profits-

Total.

363, 057 93

Holliston National Bank, Holliston.
ALDEN LELAND, President.

No. 802.

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 IT. S. Treasurer

..

T. E. A N D R E W S , Cashier.

$107,199 68 p Capital stock paid in

"I34,660 66"ii

$150,000 0J

Surplus fund
Other undivided profits

28,000 00
330 94

16,000 00
39, 500 00 ! National bank notes outstanding
1,491 14 ! State bank notes outstanding

I

"15," 556"05"!

114, 582 00

Dividends unpaid .

4,837 58

4011 "6"' 1 ' ^"dividual deposits
'
i United States deposits
7,346 82 1 Deposits of U. S. disbursing officers.
1
4,227 00
22 72
1, 891 35
5, 000 00

43, 823 09

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

702 65

Notes and bills re-discounted.
Bills payable

6,030 00 I

Total .

342, 276 26

Hadley Falls National Bank, Holyoke.
CHAS. W. RANLET. President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
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
U. S. certificates of deposit
Due from U. S. Treasurer
Total

H. Ex. 3-




H. P. T E R R Y , Cashier.

$268,942 50 J Capital stock paid in
,

j

$200, 000 00

j
j

100,000 00
23, 379 96

National bank notes outstanding
I,State bank notes outstanding
!
Dividends unpaid
!
!
jiIndividual deposits
!
709 74 I1 United States deposits
|
Deposits of U. S. disbursing officers..
18,510 00 Due to other national banks
150 07 Due to State banks and bankers
3,234 40
21, 636 00 Notes and bills re-discounted.
Bills payable
9, 000 00

168,839 00

""206* 666*66"!;

Surplus fund
Other undivided profits

126,701 03
1,378 18
15,397 03
8 40
2,000 00

667, 667 35 |

Total.

'.

173, 274 93

2, 173 46

667,

35

156

REPORT OF THE COMPTROLLER OF TH^I CURRENCY.
MASSACHUSETTS.
Holyoke National Bank, Holyoke.
No.

WILLIAM W H I T I N G , President.

W. C. SIMONS, Cashier.

Resources.

Liabilities.

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 . . 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 .

$345, 488 82 Capital stock paid in.
1,358 89
140, 000 00 Surplus fund
Other undivided profits

$200, 000 00
18, 600 00
710 85

National bank notes outstanding
State bank notes outstanding
' 11 46
1, 000 00

4, 520 00

Dividends unpaid.

6, 000 00 Individual deposits
United States deposits
1, 265 36 [ Deposits of U. S. disbursing officers.
2, 440
132
2,018
14, 662

00 [ Due to other national banks
45
Due to State banks and bankers .
82
00
Notes and bills re-discounted.
Bills payable
4, 950' 00
Total .

538,214 08

123, 500 0!>

155, 028 07

855 16

:15, 000 00
538,214 08

Hopkinton National Bank, Hopkinton.
L. B. MAYBRY,

No. 626.

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

$200, 452 90

Capital stock paid in

$150,000 00

*" 150, 000 66" Surplus fund
Other undivided profits.
5,740 00
425 71

30, 532 75
6, 785 93

National bank notes outstanding
State bank notes outstanding
Dividends unpaid

1, 190 92
79 00

132, 000 00
260 00

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

61,891 57

600 00
Due to other national banks
1 43 Due to State banks and bankers .
2, 7! 6 00
8,000 00
Notes and bills re-discounted
Bills payable
"" 6*750 00*
381,470 25 !

Total.

E. J . JENKS, Cashier.

Total.

381, 470 25

First National Bank, Hyannis.
S. B. P H I N N 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
IT. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 1107.

JOSEPH R. HALL, Cashier.

$125,592 42 ' Capital stock paid in .
436 55 \
100, 000 00
Surplus fund
Other undivided profits
9, 654 25
12,133 79

National bank notes outstanding
State bank notes outstanding

$100, 000 00
15,000 00
4,170 11
89,800 00

Dividends unpaid .
976 90
721 77
2, 035
110
563
2, 748

00
19
00
00

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

50,501 76

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

"""•4," 500 "66"
259,471 87 \

Total

259,471 87

REPORT OF THE COMPTROLLER OF THE CURRENCY. 157
MASSACHUSETTS.
Lancaster National Bank, Lancaster.
GEO. W. H3WK , President.

W.\i. H. MCNEIL, Cashier.

Resources.
Loans and discounts
j
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. ..j
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
j
Exchanges for clearing house
j
Bills of other banks
j
Fractional currency
j
Specie
Legal tender notes
U. S. certificates of deposit
j
Due from U. S. Treasurer
j
Total.

Liabilities.
$135, 865 60
107 70
100, 000 00

Capital stock paid in

$100 000 00

Surplus fund
Other undivided profits

j
i

National bank notes outstanding
!
I
7, 357 50 State bank notes outstanding
14L 53
6, 00;) 00 Dividends unpaid.
I Individual deposits
United States deposits
| Deposits of U. S. disbursing officers.
1, Gti8 00 Due to other national banks
95 50 Due to State banks and bankers .
332 00
3, 439 00 Notes and bills re-discounted
Bills payable
_
4, 500 00
Total.

259, 526 83

13,811 61
88, 710 00
3 00
57, 002 22

!
j
259, 526 83

Bay State National Bank, Lawrence.
GEO. L. DAVIS, President.

No. 1014.

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
E xchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
TJ. S. certificates of deposit
Due from U. S. Treasurer

$554, 974 49 Capital stock paid in .
15 66
375,000 00 Surplus fund
Other undivided profits.
25, 000 00
19, 259 00 National bank notes outstanding
30,948 17 State bank notes outstanding
15, 000 00 Dividends unpaid.
19 05 Inlividual deposits..
U nited States deposits
851 16 Deposits of U. S. disbursing officers.
12, 298 00 Due to other national banks
489 26
2, 0C7 65 Due to State banks and bankers.
10, 000 00 Notes and bills re-discount '
20, 000 00 Bills payable
75 00
1, 065, 926 44

Total..

SAMUEL W H I T E , Cashier.

Total

$375, 000 00
75 000 00
114, 992 83
313,550 00
13, 826 00
162, 616 37

10,941 24

| 1,065,926 44

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, andfixtures. . .
C irrent expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. »S. Treasurer

Total,




No. 1962.

P. G. PILLSBURY, Cashier.

$413,654 40 Capital stock paid in
111 02
300, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.
2,589 60
27,000 00 Individual deposits
United States deposits
7,128 38 Deposits of U. S. disbursing officers.
1,513 00
712 32
7, 228 00
21, 530 00

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

$300, 000 00
23,000 00
2, 025 66
268, 500 00
9, 605 50
190, 935 06

2, 951 93

!0, 000 00

35,551 43
817,018 15

Total.

817,018 15

158

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
National Pemberton Bank, Lawrence.

LEVI SPRAGUE, President.

No. 1048.

J. M. COBURtf, Cashier.

Resources.

Liabilities.

:
Loans and discounts
$266, 972 34
Capital stock paid in.
Overdrafts
i
102 55
:
.Surplus fund
U. S. bonds to secure circulation
150, 00U 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 agents... (
10, 501 41 State bank notes outstanding
Due from other banks and bankers
Dividends unpaid .
Real estate, furniture, and fixtures...;
Current expenses and taxes paid
j
305 55 Individual deposits
Premiums paid
United States deposits
Checks and other cash items
2, 911 39 Deposits of U. S. disbursing officers..
Exchanges for clearing house
i
Bills of other banks
4,599 00 ; Due to other national banks
Fractional currency
'•
15-2 30 Due to State banks and bankers
Specie
992 00 ;
Legal tender notes
8,000 00 j Notes and bills re-discounted.
U. S. certificates of deposit
Bills payable Due from U. S. Treasurer
6, 750 00

Total .

$150, 000 00
65,000 00
4,380 11
127, 000 00
4,467 00
90, 598 66

9, 840 77

Total.

451, 286 54

451,286 54

Pacific National Bank, Lawrence.
No. 2347.

J. H. KlDDER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages
Due from approved reserve agents...'
Due from other banks and bankers
Real estate, furniture, and fixtures
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$136,283 93 I Capital stock paid in .
100, 000 00

13, 745 13
1, 093 12
12,000 00
3, 310 63
4, 274 00
1,798 83
7,060 00

$100, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid

81,320 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

100, 368 44

2, 377 25

4, 500 00
Total..

284, 065 69

Total.

W. H. JAQUITH, Cashier.

284,065 69

Lee National Bank, Lee.
No. 885.

HARRISON GTARFIELD, Pres'uhr,

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
.
Other stocks, bonds, and mortgages..
Due from approved reserve agents.. Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid.
Premiums paid
Checks and other cash items
!
!
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




I

$274,842 19
763 41
210, 000 00

J. L. KiLBON", Cashier.

Capital stock paid in

\

$210,000 00

Surplus fund

I
j

58, 000 00

Other undivided profits...

...]

7,033 86

National bank notes outstanding
State bank notes outstanding

I
j

185,800 00

Dividends unpaid

;

399 11

Individual deposits
j
U i d States deposits
f U S dib
911 51 , Deposits of U. S. disbursing officers.

72,893 42

..."
Op K^_

_^

6, 000 Oil
2, 828 35

2,716
1,565
414
7,901

00 DUP to other national banks
03 ;
35 Due to State banks and bankers
00 Notes and bills re-discounted.
Bills payable
Total.

j
j,

10, 790 64

544,917 03

EEPORT OF THE COMPTROLLER OF THE CURRENCY. 159
MASSACHUSETTS.
Leicester National Bank, Leicester.
CHENEY HATCH, President.

No. 918.

D. E. MERRIAM, Cashier.

Liabilities.

Resources.

$217, 067 88 || Capital stock paid in
11 85
200, 000 00 | Surplus fund
[ Other undivided profits

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.

5,ooo oo
9,989 36

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

37,767 47

i National bank notes outstanding
| State bank notes outstanding

18, 000 00
".3 "768" 75*
2, 482 49
1,529
42
925
6, 120

$200,000 00

177, 425 00
!
i

Dividends unpaid

j

Individual deposits
j
United States deposits
i
Deposits of U. S. disbursing officers.. I

00
40
00
00

; Due to other national banks
1 Due to State banks and bankers .
!
] Notes and bills re-discounted.
Bills payable
,
21, 000 00 :
485,936 73 j

Total..

5,391 00
53, 977 38

1, 875 88
9,500 00

Total.

485,936 73

First National Bank, Leominster.
No. 513.

SAMUEL PUTNAM, President.

Loans and discounts
Overdrafts.
U. 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
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

-

$311, 621 37

""266,660 65"
28, 287 29

26,938 00
3, 042 94
16, 000 00
868 96
3, 572 00
35 87
999 25
5, 927 00

A. L. BURDITT, Cashier.

Capital stock paid in

\
i

Surplus fund
Other undivided profits

$300, 000 00
30,000 00
7, 952 38

National bank notes outstanding
State bank notes outstanding

j

176,480 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers. - j
i
Due to other national banks
|
Due to State banks and bankers .

79, 252 71

Notes and bills re-discounted.
Bills payable

14,860 86
25,000 00

Dividends unpaid

1,173 14

1, 573 59

9, 000 00
Total.

636, 292 68

636,292 63

First National Bank, Lowell.
A. P. BONNEY, President.

Loans and discounts
Overdrafts
,
IJ. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on haud
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes .."
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 331.

GEO. B. ALLEN, Cashier.

$407,345 30 Capital stock paid in.
1,711 35 |j
259,000 00 j Surplus fund
Other undivided profits . „ „

I"566"do"'

24, 000 00

National bank notes outstanding
State bank notes outstanding

$250,000 00
100,000 00
6, 937 97
2*4,500 00

11, 207 83
Dividends unpaid .

14, 256 83

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

4,134 00
175,559 08

6, 433 00
Due to other national banks
326 79 j Due to State banks and bankers .
1,393 45
Notes and bills re-discounted.
13,200 00
Bills payable

""n,"25o"6o
751,131 05

Total .

751,131 05

160

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Appletcn National Bank, Lowell.
No. 9=6.

J. F. KlMBAI.L, President.

E. K. PERLEY, 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 agent*..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses 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

$640, 557 45 Capital stock paid in.
2,7t)l 94
306, 000 00 Surplus fund
Other undivided profits
66,519 69 National bank notes outstanding
59,146 59 State bank notes outstanding
7,298 15 Dividends unpaid .
3,416 40
Individual deposits
| United States deposits
55,169 39 ', Deposits of U.S. disbursing officers.
10 2S2 00 J Due to other national banks
343 33 J Due to State banks and bankers.
8, 240 40
21,312 00 Notes and bills re-discounted.,
10, 000 00 Bills payable
,
15,500 00
Total

1, 206, 547 34

Total .

$300,000 00
100, 000 C
O
18, 847 74
238 800 00

11, 257 53
469,482 45

8,159 62
15, 000 00
45, 000 00
],206,547 34

Merchants' National Bank, Lowell.
H. W. B. WlGHTMAN, Preside}/1.
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.

No. 5H6.

CHAS. W. EATON, Cashier.

$719,442 14
825 44
400, 000 00
50, 000 00
50,000 00
20,000 00
94, 023 81
1,588 95
22, 250 00

Surplus fund
Other undivided profits j National bank notes outstanding . .
j State bank notes outstanding

8, 625 00
1, 987 38

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

23, 337 00
776 20
2,512 48
34, 408 00

"Is'ooifoo"

Capital stock paid in.

$400, 000 00

Dividends unpaid .

:

357,300 00
12,812 00

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

1,447,776 40

40,000 00
6, 628 86

Total

601,926 64
23, 043 35
6,065 55

j 1,447,776 40

Old Lowell National Bank, Lowell.
E D W A R D TUCK. President.

No. 1329.

C. M. WILLIAMS, Cashier.

$226,954 12 Capital stock paid in.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
'""256, ooo 66' Surplus fund
U. S. bonds to secure deposits
Other undivided profits
U. S. bonds on hand
22,000 0J
National bank notes outstanding
Other stocks, bonds, and mortgages . .
16,889 75 ' State bank notes outstanding
Due from approved reserve agents
40,437 91 ; Dividends unpaid.
Due from other banks and bankers...
Real estate, furniture, andfixtures. . .
Current expenses and taxes paid.
445 55 Individual deposits
Premiums paid
United States deposits
Checks and other cash items
2,214 05 Deposits of U. S. disbursing officers.
Exchanges for clearing house
Bills of other banks
3, 437 00 ! Due to other national banks
Fractional currency
396 94 | Due to State banks and bankers .
Specie
2, 980 01) |
Legal tender notes
13, 000 00 Notes and bills re-discounted.
U. S. certificates of deposit
Bills payable
Due from U. S. Treasurer
"" 13.866" 00"
Total




542, 555 32

Total

$200, 000 00
50, 000 00
10, 570 62
173,100 00
5,101 00
95, 649 35
8,134 35

REPORT OF THE COMPTROLLER OF THE CURRENCY.

161

MASSACHUSETTS.
Prescott National Bank, Lowell.
D. S. RICHARDSON, President.

A. A. COBURN, Cashier.

No. 9! if).

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 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

$572,394 03 i Capital stock paid in
2, 620 08 ;
242,000 00 ! Snrplu3 fund
' Other undivided profits

i

National bank notes outstanding
j
State bank notes outstanding
!
•4
25, 000 00 ; Dividends unpaid
3 18 Individual deposits
M United States deposits
19,390 23 ji Deposits of U.S. disbursing officers.
9, 000 00

2,171 00 |j Due to other national batiks
3, 020 32 • Due to State banks and bankers
1
8,885 00
18, 752 00 ,; Notes and bills re-discounted..
!j Bills payable
""i8*890'66 !
922, 125 84

Total.

j

$300, 000 00

j

Total.

100, 000 00
8,555 27
213,100 00
6, 936 00
292, 250 73

1, 283 84

922,125 84

Railroad National Bank, Lowell.
J. S. HOVEY, Cashier.

No. 753.

JACOB 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.

'8,854 41

$800, 000 00

Capital stock paid in.

715, 000 00

Surplus fund
Other undivided profits
...
43,500 00 1National bank notes outstanding
1
State bank notes outstanding
99,683 95 ||
11, 702 36 Dividends unpaid .
12 25
31,640 00 Individual deposits
United States deposits
8, 033 31 Deposits of U. S. disbursing officers.

" i s , 665 65

17, 957 00

Due to other national banks
Due to State banks and bankers
13*000 00 j Notes and bills re-discounted
Bills payable
*32," 175 66" jj

599, 620 00
18,381 00
290, 590 50

20,639 41

1, 897, 875 93

Total.

1,897,875 93 jj

150, 000 00
18, 645 02

Wamesit National Bank, Lowell.
CHARLES 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.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, 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. 781.
$428, 547 90 i
19 88 !
202, 000 00 j

G-. w . KxoWLTON, Cashier.

Capital stock paid in .

Surplus fund
I Other undivided profits
5,000 00 I National bank notes outstanding
8,879 94 State bank notes outstanding
"6*606"66' Dividends unpaid .
6,560 96
7,188 75
3, 299 00
52 27
1,293 42
8, 250 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

$250, 000 00
50, 000 00
40,216 37
164, 800 00
1,375 00
173,101 73

6, 599 02

9, 000 00
686,092 12

Total .

686,092 12

162

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
First National Bank, Lynn.

JOHN WOOLPREDGE, President.

No. 638.

OWEN DAME, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
i
U. S. bonds to secure deposits
U. S. bonds on hatid
!
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
i
Total
;

$806,283 13
460, 000 00

65, 560 35
6,394 51
13, 372 02
7,381 70

$500, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

100, 000 00
12,541 61
393,609 00
12, 515 00

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

13, U6 00 Due to other national banks
961 90
2, 356 93 Due to State banks and bankers .
16, 000 00 Notes and bills re-discounted
BiiLs payable
20, 700 00
1,412,146 57
Total.

343, 557 00

49, 923 96

1,412,146 57

Central National Bank, Lynn.
No. 1201.

P H I L I P A. CHASE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
j
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, aud 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
•
L-'gal tender notes
i
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$348, 982 83
1, ]9L 97
200, 000 00

E. W. MUDGE, Cashier.
$200, 000 00

Capital stock paid in.

70,000 00
6, 148 46

Surplus fund
Other undivided profits

24, 012 16

National bank notes outstanding
State bank notes outstanding

10, 000 00

Dividends unpaid .

4, 641 15
4,647 00
571 60
1,245 75
11,200 00
10, 000 00

6,493 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
,

616, 492 46

166, 700 00

Total.

165,411 53

1,739 47

616,492 46

National City Bank, Lynn.
No. 697.

A. P. TAPLEY, President.
Loans and 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




B. v. FRENCH, Cashier.

$720, 087 94 Capital stock paid in .
59
200, 000 00 I Surplus fund
Other undivided profits
25, 000 00
50, 387 64 National bank notes outstanding
63,919 41 i State bank notes outstanding
3, 594 81 Dividends unpaid .
1, 000 00
—
10,226 83 I Individual deposits
| United States deposits
39, 643 93 j Deposits of U. S. disbursing officers.

$300, 000 00

25,156 00 | Due to other national banks
190 00 | Due to State banks and bankers.
1,385 00
26, 580 00 | Notes and bills re-discounted
Bills payable
10, 700 00

111, 851 31

! 1,177,872 20

Total.

120, 000 00
7,364 11
177, 300 00
5, 236 00
456, 120 78

1,177, 872 20

REPORT OF THE COMPTROLLER OF THE CURRENCY.

163

MASSACHUSETTS.
First National Bank, Maiden.
E

No. 588.

S. CONVERSE, President

CHARLES MERRILL, 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
I
Checks and other cash items
I
Exchau ges for clearing house
j
Bills of other banks
j
Fractional currency
|
Specie
i
Legal tender notes
!
U. S. certificates of deposit
!
Due from U. S. Treasurer
„
j

$175,562 12

Capital stock paid in

j

$100, 000 00

"161,666 65

Surplusfund
Other undivided profits

|
|

30,000 00
10, 645 24

I

90, 000 00

'
5, 000 00 Dividends unpaid
Individual deposits
|
United States deposits
!
6, 948 26 Deposits of U. S. disbursing officers.. i

65, 837 73

2, 500 00 National bank notes outstanding
State bank notes outstanding

i

Due to other national banks
Due to State banks and bankers

4,"402 65*
1. 2f!4 30
1, 698 00

1 Notes and bills re-discounted

j.
305, 680 56

Total .

305, 680 56

Total.

9,197 59

'•.

'J Bills p a y a b l e

j

7, 300 55"

i
!

Marblehead National Bank, Marblehead.
ISAAC C. WYMAN, President.

No. 767.

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

W M . REYNOLDS, Cashier.

$219, 520 21 Capital stock paid in .

"" 103," 655'66"
5, 000 00
5, 064 79

6,255 65"
474 26

$102, 000 00
20, 400 00
25, 596 03

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

87,900 00

Dividends unpaid.

4,065 00

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

107,844 74

578
617
85
3, 500

00 Due to other national banks
55
30 Due to State banks and bankers .
00 Notes and bills re-discounted.
Bills payable
4,590 00
Total.

348,630 11

Total.

824 34

348,630 11

National Grand Bank, Marblehead.
No. 676.

E . B. PHILLIPS. President.

Loans and discounts
|
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..|
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
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
i
Total




;

$167,384 08

J. P. TURNER, Jr., Cashier.

|

$120, 000 00

120, 000 00 Surplusfund
Other undivided profits
7, 900 00 National bank notes outstanding
21,184 27 State bank notes outstanding

j
|

19,851 62
3, 859 24
105, 020 00

6,500 00
2 25
,
1,884 68
.,
,
1,163 00
163 40
1,402 05
6,751 00
,
7, 300 00

j

341,637 73

Capital stock paid in

Dividends unpaid

'

Individual deposits
i
United States deposits
\
Deposits of U. S. disbursing officers.. j
Due to other national banks
;
Due to State banks and bankers
I
Notes and bills re-discounted
Bills payable
i
Total..

I

2,907 00
89, 583 40

356 47

341,637 73

164

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
First National Bank, Marlboro'.
No. 158.

WILLIAM G I B DON, President.

E. C. WHITNEY, 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

8200, 000 00

$171, 111 21 , Capital stock paid in
j
200, 000 00 . Surplus fund
i Other undivided profits
65, 000 00 |
43,000 00 iNational bank notes outstanding
2,515 75 ; State bank notes outstanding
j
Dividends unpaid .

35, 000 00
13,283 14
178, 900 00
39 00

2, 860 47 j
Individual deposits
11, 475 00 ; j
United States deposits
142 64 j Deposits of U. S. disbursing officers.
J
11, 258 00 j Due to other national banks
143 31 | Due to State banks and bankers .
j
1,797 00 i
!
2, 000 00 : Notes and bills re-discountei
>
.
• i Bills payable
j
9, 000 00 j
Total..

520,303 38

90,109 91

2,971. 30

520, 303 38

First National Bank, Merrimac.
D. J. POORE, Jr., Cashier.

No. 268.

W. H. HASKELL, President.
Loans and discounts
Overdrafts
U. S. bonds 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 itftins
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
:

$252, 666 23

Capital stock paid in .

'0,000 00

200, 000 00
»

Surplus fund
.'
O ther undivided profits

37, 000 00
15,543 43

4,336 33

National bank notes outstanding .
State bank notes outstanding

Dividends unpaid.
2, 500 00
5,806 64 '• Individual deposits
; United States deposits
1, 054 02 Deposits of U. S. disbursing officers.
3,448 00
3 78
65 00
500 00

"i6"ooo"66"

7 00
42, 899 62

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

430,400 05

Total.

179, 950 00

National Bank, Methuen.
No. 1485.

JAMES WALTON, President.

Loans and discounts
j
O verdrafts
j
U. S. bonds to secure circulation
!
U. S. bonds to secure deposits
J
U. S. bonds on hand
I
Other stocks, bonds, and mortgages..i
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 bauks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




$125,077 79

7,900 00 Nation al bank notes outstanding
13,897 49 i State bank notes outstanding

208 89

,

Capital stock paid in

100, 000 00 • Surplus fund
O ther undivided profits

3, 000 0'J

j
I

JACOB EMERSON. Cashier.

Dividends unpaid .
Individual deposits
Unite 1 States deposits
Deposits of U. S. disbursing officers.

j

$100,000 00

|

25, 000 00
6, 337 97

!

90, 000 00

j
3,258 G
O
37, 830 66

00 Due to other national banks
96 Due to State banks and bankers .
50
00 Notes and bills re-discounted
Bills payable
4,500 00
5, 867
3
371
1,600

262,426 63

Total

262, 426 63

REPORT OF THE COMPTROLLER OF THE CURRENCY. 165
J H 1 S S A C II U S E T T S .
Home National Bank, Milford.
N. B. JOHNSON, Cashier.

No. 2:275.

SAMUEL WALKER, President.

Resources.

Liabilities.

Loans and discounts
j
O verdrafts
i
U. S. bonds to secure circulation
.j
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 . .
R^al estate, furniture, and fixtures, --j
Car rent 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.

$139,720 ](i

$130, 000 00

Capital stock paid in

""130*000 00' Surplus fund
Other undivided profits
National bank notes outstanding
3, 347 90 State bank notes outstanding
3,000 00 Dividends unpaid.
2, 10') 67
9, Otil 5-1 individual deposits
United States deposits
1,183 62 Deposits of U. S. disbursing officers . .
1, 505 00 Due to other national banks
66 60 Due to State banks and bankers
8L6 05
4,165 00 . Notes and bills re-discounted
Bills payable
5,850 00'
Total.

300, 825 53

1,500 00
10,439 76
102, 920 00
200 00
53,491 08
2,274 69

\

300, 825 53

Milford National Bank, Milford.
No. 866.

A. C. MAYHEW, President.

AUG. WHEELER, Cashier.

$350,091 08 Capital stock paid in.

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
IT. S. certificates of deposit
Due from U. S. Treasurer

""256,666 65
14,186 20
4, 000 00
664 40

405 13
8, 658 00
133 95
275 00
5, 500 00

$250, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

50,000 00
11,399 96
216, 700 00
909 50

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

116,154 30

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

11,250 00

Total.

645, 163 76 ||

Total .

Millbury National Bank, Millbury.
HOSKA CRANE, President.

AMOS ARMSBY, Cashier.

Loans and discounts
j
Overdrafts
j
U. S. bonds to secure circulation
j
IT. S. bonds to secure deposits
!
IT. S. bonds on hand
j
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
i
Fractional currency
!
Specie
,
\
Legal tender notes
:
U. S. certificates of deposit
!
Due from U. S. Treasurer
|
Total




I

$243, 978 81 Capital stock paid in.
200, 000 00
.... „
17, 111
101
5, 000
15

Surplus fund
Other undivided profits
National bank notes outstanding . . .
07 State bank notes outstanding
Dividends unpaid.
00
00 Individual deposits
United States deposits
00 Deposits of U. S. disbursing officers.

1, 254 00 Due to other national banks
75 13 Due to State banks and bankers
350 00
Notes and bills re-discounted
Bills payable
9, 000 00
476,885 01

Total

$200,000 00
40, 000 00
9,515 76
172, 700 00
5, 223 00
48,412 51

1,033 74

476, 885 01

166

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Monson National Bank, Monson.
No. 503.

C. W. HOLMES, President.

E. F . MORRIS, Cashier.

Resource?!.

Liabilities.

Loans and discounts
|
$169,134 39 Capital stock paid in.
Overdrafts
I.
U. S. bonds to secure circulation
j
170, 000 00 Surplus fund
U. S. bonds to secure deposits
;
Other undivided profits
U. S. bonds on hand
Other stocks, bonds, and mortgages..j
25,312 50 National bank notes outstanding
7,541 87 State bank notes outstanding
Due from approved reserve agents... j
Due from other banks and bankers..!
25,862 7L
Real estate, furniture, and fixtures . J
2, 500 00 Dividends unpaid.
1,100 54 Individual deposits
Current expenses and taxes paid
;
„
Premiums paid
United States deposits
Checks and other cash items
j
933 44 Deposits of U. S. disbursing officers.
Exchanges for clearing house
'
Bills of other banks
|
2, 633 00 Due to other national banks
Fractional currency
>
475 9t> Due to State banks and bankers .
Specie
,
I
1,200 00
Legal tender notes
2, 385 00 Notes and bills re-discounted..
TJ. S. certificates of deposit
Bills payable
,
Due from U. S. Treasurer
;
8, 250 0!)
Total.

417,399 41

Total.

$150, 000 00
30, 000 00
63,310 40
140,210 00
725 00
33,154 01

417,399 41

Pacific National Bank, Nantucket.
F. C. SANFORD, President.

No. 714.

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

Jos. MITCHELL, Cashier.

$199, 714 71 : Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

$200,000 00
33,000 00
3, 688 75
165,765 00
4,287 50

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

65,303 57

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

Total.

472, 044 82

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, 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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2107.
$176,109 19
983 40
82,000 00
2,338 50
46, 535 62
3,423 21
(JO
3, 000 00
48 28
2,148 00
97 dO
915 00
2, 000 00
5, 000 00
5, 790 OiJ
330,388 80

G. S. TROVVBRIDGE, Cashier.

Capital stock paid in

$100,000 00

Surplus fund
Other undivided profits

10, 000 00
4, 267 85

National bank notes outstanding
State bank notes outstanding

73, 800 00

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

2, 956 00
139,364 95

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

330, 388 80

REPORT OB" THE COMPTROLLER OP THE CURRENCY. 1 6 7
MASSACHUSETTS.
First National Bank, New Bedford.
No. 261.

JOS. GRINNELL, President.

W. P . W I N S O R , 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.
08 !i Capital stock paid in.
88 j|
(0 j j Surplus fund
00 II Other undivided profits .
00
00 j I National bank notes outstanding...
56, 594 26 I State bank notes outstanding
4, 206 90
Dividends unpaid .
20, 000 00

$993,
694,
70,
12,
183,

039
128
000
000
000
'88

] Individual deposits
I United States deposits
362 00
Deposits of U. S. disbursing officers.
197*00'
873 95
200 00

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

200,000 00
7,480 73
577,290 00
31,160 54
252,715 60
25,642 17
961 08
1,607 03

7, 832 92

31,300 00 I

Total.

2,104, 690 07 I

Total.

L, 000, 000 00

2, 104, 690 07

Citizens' National Bank, New Bedford.
J. A. BEAUVAIS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U.S.bonds on hand
Other stocks, bonds, and 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
.
Checks and other cash items
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. 2262.

T. B. FULLER, Cashier.

$484, 958 53 Capital stock paid in.
51 37
500, 000 00 Surplus fund
Other undivided profits
500 66"
National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid .

12, 500 00
7,053 67
440, 620 00
4, 955 03

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

Total

152, 822 36

659 05

23, 000 00

1,141,610 11

Mechanics' National Bank, New Bedford.
WM. W. CRAPO, President.
Loans and discounts
]
O verdrat'ts
j
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..I
D'ie from approved reserve agents...
Due from other banks and bankers .-I
Heal 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
ills of other banks
.
{
F factional currency
I
S pecie
Legal tender notes
U. S. certificates of deposit
Due from V, S. Treasurer
Total




No. 743.

E. W. HERVEY, Cashier.

$947, 844 27 Capital stock paid in .
240 46 i
534, 000 00 i: Surplus fund
Other undivided profits
51,200 00 National bank notes outstanding
36,694 92 State bank notes outstanding
2, 056 87 ;
12,902 63 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

$600, 000 00
240.000 00
2, 792 44
461,240 00
7,883 00
293,025 50

25,000 00
1,629,940 94

168

KEPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Merchants' National Bank, New Bedford.
P. C. How LAND, Cashier.

JONATHAN BOURNK, President.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
X S. bonds on hand
L
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for cleaving house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Liabilities.
$1,732,040 67 Capital stock paid in
811 48
817, 000 00 Surplus fund
100, UtO 00 Oth r undivided profits

500, 000 00

National bank notes outstanding
State bank notes outstanding

j
i

726,100 00

Dividends unpaid

|

13, 878 00

Individual deposits
• United States deposits
;
2, 119 25 • Deposits of U. S. disbursing officers..!

418,005 91
32,914 73

93, 509 50
2, 775 39
1

1,835 00
3, 769 09
22,400 00

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

26, 726 83

J00, 000 00

40, 765 00
Total

!, 817, 625 47

Total.

: $1, 000, 000 00
i

j 2, 817, 625 47

National Bank of Commerce, New Bedford.
T. S. CATHAWAY, President,.

No. 6M0.

Loans and 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... 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
j
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
j
Total.

$774,637 48

J . IT. TALLMAN, Cashier.
$1, 000, 000 00

Capital stock paid in

"*750,"(i00 00" : Surplus fund.
Other undivided profits
225, 000 0(1
National bank notes outstanding
125,818 75
State bank notes outstanding
60,348 48
606 64
Dividends unpaid
14, '268 8:1
Individual deposits
"47," 593' 75* United States deposits
230 95 Deposits of U. S. disbursing officers.
1,627 00
113 40
4, 598 04
10, 293 00
"33,"750" 0*)'

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

2, 048, 886 29

198, 500 00
2^,098 37
589,011 00
11, 275 45
126, 509 88

51,491 59

50,000 00
2, 048, 886 29

First National Bank, Newburyport.
CHAS. H. 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




No. 279.
$471, 058
1,339
300, 000
60,000

T. P. STICKNEY, Cashier.

01 J Capital stock paid in .
94 I
00 j Surplus fund
00
Other undivided profits .

24, 742 58
72, 202 21

National bank notes outstanding
State bank notes outstanding

13, 588 46

Dividends unpaid..

"l",*275"66" Individual deposits
United States deposits
5, 573 55

Deposits of U. S. disbursing officers.

8,017 00
1,790 98

95, 000 00
11,440 91
257, 695 00
7,353 50
261,511 45
47,765 64
644 00

Due to other national banks
Due to State banks and bankers

9,100 00

$300,000 00

Notes and bills re-discounted.
Bills payable

982,187 73

Total.

982,187 73

REPORT OF THE COMPTROLLER OP THE CURRENCY.

169

MASSACHUSETTS.
Mechanicks' National Brnik, Newburyport.
E. S. MOSELEY, President.

•No. 584.

F. O. WOODS, 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

10,131 26
4,000 00
50

1, mo 00
449 37
2, 500 50
3, 636 00
11,250 00

Surplus fund
Other undivided profits

100, 000 00
10,047 4L

National bank notes outstanding
State bank notes outstanding

214, 6:0 00

Dividends unpaid.

4,624 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

83,149 69

2, 854 39

665,275 49

Total.

665, 275 49

Total.

$250, 000 00

$381,597 11 Capital stock paid in.
""250," COO 66

Merchants' National Bank, Newburyport.
No. 1047.

NATH'L 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 II. S. Treasurer

1,313
322
1,882
4, 619

00
14
00
00

$120, 000 00
46, 000 00
3, 770 92
102, C43 00
2, 913 £4
101,548 01

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
I Bills p ay able
,

5, 400 00
376, 275 77

Total.

A. W. GREENLEAF, Cashier.

$229, 355 42 Capital stock paid in .
06
120, 000 00 Surplus fund
206"66" j Other undivided profits
National bank notes outstanding
5, 725 80 State bank notes outstanding .
51 20
7, 000 00 Dividends unpaid .
5 85 Individual deposits
i United States deposits
401 30 J Deposits of U. S. disbursing officers..

Total.

376,275 77

Ocean National Bank, Newburyport.
CHARLES LUNT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current e^enses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1011.
$243,368 17
14 91
150, 000 00

5, 76 26
4, COO 00
50

754 00
1, 365 00
958 46
10, 859 84
5,151 00
6, 550 66
428, 298 14

PHILIP H. LUNT, 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

$150,000 00
30, 000 00
8,064 33
135, 000 00
3, 557 00
94, 023 24

7, 653 57

428,293 14

170

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Newton National Bank, Newton.
No. 769.

J O S E P H F. BACON, President.

B.

Resources.

Liabilities.
1
i
'

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 - . . i
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
1
•Specie
\
Legal tender notes
I
TL S. certificates of deposit
,
Due from U. S. Treasurer
i

Capital stock paid in .

$200,000 00

Surplus fund
Other undivided profits

50,000 00
1,264 15

National bank notes outstanding
State bank notes outstanding

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

4,000 00
6,813 86

133, 800 00
3,705 00

Dividends unpaid .

25,492 19

Due to other national banks
3, 463 00
246 03 Due to State banks and bankers .
1, 875 00
4, 000 00 Notes and bills re-discounted.
10. 00D 00 j Bills payable
8, 840 00 j
536, 706 30 I

Total.

FRANKLIN BACON, Cashier.

Total.

144, 945 15

2, 992 00
536, 706 30

Adams National Bank, North Adams.
No. 1210.

S. 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.

$561,707
6,541
310,000
50, 000
100,000

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
TL S. certificates of deposit
Due from U. S. Treasurer

114,054
23,630
100,000

40, (100

10, 725
109

91 | Capital stock paid in .
38 1
1
00 !'Surplus fund
00 ! Other undivided profits.
00 I
00 j 1 National bank notes outstanding . . . .
03 |iState bank notes outstanding
03 \[
00 !Dividends unpaid .
Individual deposits
00
United States deposits
79
Deposits of U. S. disbursing officers..

4, 630
52
2,248
2(3,204

00
Due to other national banks
30 ! Due to State banks and bankers .
15 |
00 I Notes and bills re-discounted.
Bills payable
14,450 00 !

, 364, 352 5 J
<

Total.

E. S. WILKINSON, Cashier.

!

Total .

$500, 000 00
100. 000 00
25, 560 5L
276, 685 00
17, 568 00
313, 477 63
27,314 6(5 ,
88, 746 79
15, 000 00

1, 364, 352 59

Attleboro' National Bank, North Attleboro'.
D A N I E L EVANS, President.

No. 1604.

E. R. PRICE, Cashier.

Loans and discounts
j ^205, 272 83 j Capital stock paid i n . . . . '
Overdrafts
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 National bank notes outstanding
Other stocks, bonds, and mortgages..!
State bank notes outstanding
Due from approved reserve agents. ..j
1, 660 3(
Due from other banks and bankers . . !
1, 8!Hi 4(
Dividends unpaid
Heal estate, furniture, and fixtures . .
14, 503 5;
Current expenses and taxes paid
;
Individual deposits
Premiums paid
j
United States deposits
Checks and other cash items
l
3,
Deposits of U. S. disbursing officers.
Exchanges for clearing house..
Bills of other banks
Due to other national banks
5 314 00
344 3L
Fractional currency
Due to State banks and bankers
308 50
Specie
1 000 00 Notes and bills re-discounted.
Legal tender notes
5 000 00 Bills payable
U. S. certificates of deposit
8 200 00
Due from U. S. Treasurer
Total




346, 653 93

Total.

$100,000 00
20, 000 00
6, 758 22
90, 000 00
3, 132 00
104, 909 98

5,062 14
1,791 59
15, 000 00

346, 653 93

REPORT OF THE COMPTROLLER OF THE CURRENCY.

171

MASSACHUSETTS.
First National Bank of Easton, North Easton.
F R E D . L. AMES, President.

No. 416.

P. A. GIFFORD, 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.
$300 000 00

$353, 378 22 Capital stock paid in .

" 3x5,666 65
16, 590 00
281,651 59

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

5, 315 77

60, 000 00
27,431 10
246, 049 00
12,565 00

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

352, 931 68

845 00 Due to other national banks
95 70 Due to State banks and bankers .
848 50
1, 752 00 Notes and bills re-discounted.
15,000 00 Bills payable
13, 500 00
Total .

998,976 78

998, 976 78

First National Bank, Northampton.
No. 383.

WM. B. HALE, 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... I
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

$568,010 60
40 45
400, 000 00
60, 000 00
20. 000 00
35, 740 00
26, 286 53
10, 034 97
31, 079 13
2, 788 43

$500, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits .
National bank notes outstanding .
State bank notes outstanding

1, 829
919
2, 029
2, 000
10,000
18,000

145. 000 00
14,218 63
346, 493 00

Dividends unpaid.

Individual deposits
United States deposits
316 62 I Deposits of U. S. disbursing officers.
00 i Due to other national banks..
23 j Due to State banks and bankers.
85 |
00 j| Notes and bills re-discounted
00 Bills payable
00 i

1, 189, 074 81

Total.

HENRY ROBERTS, Cashier.

Total .

158, 223 38
22, 542 60
2,162 70

1, 189,074 81

Hampshire County National Bank, Northampton.
LUTHER BODMAN, President.

LEWIS WARNER, 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
I
Exchan ges 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




5, 657 20
16,911 44
15,078 87
35, 489 89
2, 356 97
419 28
3,199
290
524
7, 250

00
71
25
00

" 11 "'250 00
639, 565 33

Total.

H. Ex. 3

$290,494 16
643 56
250, 000 00

8

Capital stock paid in .

$250, 000 00

Surplus fund
Other undivided profits

39, 500 00
5,544 44

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.

223, 000 00
147 44
107, 526 20

13, 847 25

Notes and bills re-discounted.
Bills payable
Total.

639, 565 33

172

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Northampton National Bank, Northampton.

OSCAR EDWARDS, President.

No. 1018.

JOHN WHITTELSEY, Cashier,

Resources.

Liabilities.
$414,769 27
108 09
400, 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, 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

Capital stock paid in.

$400,000 00
30, 000 00
30,831 22

Surplus fund
Other undivided profits.
"""25,"000 no"
104, 164 75 National bank notes outstanding
30, 447 43 State bank notes outstanding
15, 736 53
17, 000 00 Dividends unpaid.
19, 000 00
19,227 62
3, 144 00
392 00
1,106 1)0
11,000 00
22,"660 "66"

60 00

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

274, 668 33

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

1, 083 095 69

Total.

346, 62-2 00

914 14

1, 083, 095 69

Nortliborough National Bank, Northborough.
W I L D E R BUSH, President.

O. H. LAWRENCE, Cashier.

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 cash1 items
Exchanges 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

$208, 272 20

Capital stock paid in

$100, 000 00

100, 000 00 j Surplus fund
I Other undivided profits
2, 500 00 National bank notes outstanding
15, 179 13 State bank notes outstanding
2, 902 40 I Dividends unpaid .
2, 000 00
853 24 j Individual deposits
I United States deposits
7,378 14 Deposits of U. S. disbursing officers.

26,000 00
4,080 47

89, 000 00
518 01
125,135 77

5, 617 00 1 Due to other national banks
57 23 I Duo to State banks and bankers .
1, 230 00
7, 249 00 j Notes and bills re-discounted .
I Bills payable
4, 500 00
357,738 34

13, 004 09

Total.

357, 738 34

Orange National Bank, Orange.
D. E. 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 cask items
Exchanges for clearing house
Bills of other banks
Fractional currency
S pdfcie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2255.
$127,159 57

"io.'oco 66

JAS. H. WAITE, Cashier.

Capital stock paid in.

$100,000 00

Surplus fund
O ther undivided profits

•

National bank notes outstanding
State bank notes outstanding
411 65
1,892 32*
1,113 25
2,425 00
1,019 76

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

1, 470 00 Due to other national banks
24 25 Due to State banks and bankers .
524 75
4, 580 00 Notes and bills re-discounted.
Bills payable
1,800 00
182, 420 55

Total.

6, 700 00
2, 809 73
34, 200 00

86 41
36, <<27 24

1, 697 17

182, 420 55

REPORT OF THE COMPTROLLER OF THE CURRENCY. 173
MASSACHUSETTS.
Oxford National Bank, Oxford.
No. 764.

S. C. PAINE, President.

C- A. ANGELL, 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
.j
Legal tender notes
|
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$118,721 06
""166*060 66

8,164 73
3,102 27

47 70

14
809 65
126 00

$100, 000 00

Capital stock paid in .

20, 000 00
5,978 67

•Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

86, 367 00

Dividends unpaid

3,807 00

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

19, 318 88

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

4, 500 00 j
235, 47 L 55 \

Total.

Palmer National Bank, Palmer.
M. W. 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..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. 2324.
$83,767 70
53 76
75, 000 00
12, 580 00
8,471 92
1, 900 00
25
5, 750 00
1,434 00
38 82
330 00

4, 110 00

W. A. LINCOLN. Cashier.

Capital stock paid in

$75, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

1,500 00
10 67
52,500 00
1, 875 00.

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

65, 250 78

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

2, 700 00
196, 136 45

196, 136 45

Total.

!
!

South Danvers National Bank, Peabody.
E. W. JACOBS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 958.

G. A. OSBORNE, Cashier.

$255, 995 24

Capital stock paid in .

$150, 000 00

"" 150," 666" 66'

Surplus fund
Other undivided profits

75, 000 00
26, 857 09

14, 914 67

"*i,5o6*66"
12, 786 48
4, 051
298
900
6, 000

00
18
00
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

124, 500 00
5,571 00
66,044 49

5, 072 99

6, 600 00

453, 045 57

Total.

453, 045 57

] 74

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Warren National Bank, Peabody.

L E W I S ALLEN, President.

No. 616.

Resources.
Loans and discounts
I
Overdrafts
j
X S. bonds to secure circulation
L
U. S. bonds to secure deposits
!
U. S. boDds 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
Specie
Legitl tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

FRANK C. M E R R I L L , Cashier.

I
:
$435,332 03
253, 000 00

Liabilities.
Capital stock paid in

j

Surplus fund
Other undivided profits

!
!

6. 000 00 National bank notes outstanding....!
j
8, 836 46 State bank notes outstanding
i

$250, 000 00
100,000 00
6, 112 50
225,000 00

Dividends unpaid

14,619 81

12,554 50

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

16, 302 00 ; Due to other national banks . . . . .
241 57 | Due to State banks and bankers .
5, H;0 00 !
6, 000 00 j Notes and bills re-discounted.
Bills payable
31,550 00
i >>
Total.
776,981 87 ||

182,152 51

1, 162 36

776,981 87

Agricultural National Bank, Pittsfield.
E. H. KELLOGG, President.

J . R. W A R K I N E R ,

$703,276 46 j Capital stock paid in
Loans and discounts
j
2,238 98 !
Overdrafts
j
200,000 00 !;Surplus fund
U. S. bonds to secure circulation
'
U. S. bonds to secure deposits
!..
Other undivided profits
U. S. bonds on hand
j- National bank notes outstanding
Other stocks, bonds, and mortgages.. . .
State bank notes outstanding....
87,5-27 30
Due from approved reserve agents... j
16,744 49
Due from other banks and baukers-.j
Dividends unpaid .
Real estate, furniture, and fixtures . .j . .
265 50 i
Current expenses and taxes paid
|
Individual deposits
Premiums paid
j. United States deposits
908 27
Deposits of U. S. disbursing officers.
Checks and other cash items
j
Exchanges for clearing house
| .
4,694 00
Due to other national banks
Bills of other banks
\
286 77 Due to State banks and bankers .
Fractional currency
j
348 00
Specie
!
27,374 00
Notes and bills re-discounted.
Legal tender notes
;
Bills payable
U. S. certificates of deposit
j . .
9, 000 00
Due from U. S. Treasurer
1, 052, 663 77 j

Total.

Total

Cashier.

$200, 000 00
200, 000 00
56,313 73
178, 835 00
8, 255 49
405, 877 32

3, 382 23

1,052,663 77

Pittsfield National Bank, Pittsfield.
J U L I U S R O C K W E L L , 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..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. 1260.
$524, 738 40
1, 722 53
488, 000 00

E . S. F R A N C I S , Cashier.

Capital stock paid in .

$500, 000 00

Surplus fund
Other undivided profits

100, 000 00
104,101 43

!j National bank notes outstanding..
58,713 02 || State bank notes outstanding
35, 676 56
Dividends unpaid .
15, 000 00

389,130 00

iJoi~ Sn li Individual deposits

271, 235 62

""150,000 00"

674 68

io,^Do ou jj united States deposits
,
28, 661 82 I Deposits of U. S. disbursing officers
7, 353 00
119 01
4, 800 00

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

262 28
6 14

} Notes and bills re-discounted.
j
10, 000 00 !; Bills payable
21," .956 25
1,365,410 15

Total..

1,365,410 15

EEPOET OF THE COMPTROLLER OF THE CURRENCY. 1 7 5
MASSACHUSETTS.
Old Colony National Bank, Plymouth.
GEO. G. DYER, President.

W. S. MORISSEY, 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.

$360,112 24
15 67
214, 000 00
15, 600 00
42, 206 45
2, 715 92
], 120 00
13, 358 54

Capital stock paid in

$250, C O 00
O

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

|
|
|
j

100,000 00
15,108 55

192, 600 00
8, 020 00

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

130, 796 99

762 00 Due to other national banks
416 17 Due to State banks and bankers .
1, 003 05
Notes and bills re-discounted
7, 178 00 Bills pay able
"38," 037 50 |
Total.
696, 525 54 |

696, 525 54

Plymouth National Bank, Plymouth.
WM. T. DAVIS, President.

No. 779.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents.
Due from other banks and bankers .,
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 564 23 Capital stock paid in
451 12
200, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
12, 162 32 State bank notes outstanding

$200, 000 00
40, 000 00
15,112 88
175, 000 00

4, 793 32 Dividends unpaid ,
5, 000 00 Individual deposits
United States deposits
600 00
Deposits of U. S. disbursing officers.
2, 113 00 Due to other national banks
.
7 75
835 00 Due to State banks and bankers .
1,500 00 Notes and bills re-discounted
9, 6i;6 66 Bills payable
500, 026 74

Total.

I. N. STODDARB, Cashier.

6,197 00
63, 716 86

I

500, 026 74

Total.

First National Bank, Provincetown.
STEPHEN 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. 736.

MOSES N. GIFFORU, Cashier.

$227, 706 52 Capital stock paid in
. 24 19
200, 000 00 Surplus fund
Other undivided profits

"" 26,666 66

42, 000 00
29,299 91
6, 000 00
3 25
932 16
3, 883
253
342
4,860

00
04
00
00

!200,000 00
,

National bank notes outstanding
State bank notes outstanding.
Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

I
I
|
j

69, 000 00
7,921 92
180, 000 00
._.....
6,920 50
80,461 65

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

9, 00 00
544,304 07

Total.

544,304 07

176

REPORT OF THE COMPTROLLER OP THE CURRENCY.
MASSACHUSETTS.
National Granite Bank, Quincy.
No. 832.

CHARLES MARSH, President.

R. F. CLAFLIN, Cashier.

Resources.

Liabilities.

Loans and discounts
j
Overdrafts
j
U. S. bonds to secure circulation
j
U. S. bonds to secure deposits
U. S. J>onds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and 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
j
IT. S. certificates of deposit
Due from U. S. Treasurer
I
Total

|

$218, 372 21 I Capital stock paid in

$150, 000 00

150, 000 00 Surplus fund
Other undivided profits
63,160 97

40, 000 00
4,tf82 72

National bank notes outstanding
State bank notes outstanding

133,900 00
7, 320 00

"*§ "iii "63" Dividends unpaid
"

1 Individual deposits
1
jj United States deposits...,.
4,199 72 1 Deposits of U. S. disbursing officers.
1

136, 420 63

5,90:* 00 Due to other national banks
18 06 Due to State banks and bankers .
'
15, C O 00 > Notes and bills re-discounted .
O
I; Bills payable
6, 750 00 i| j
472, 323 35

472, 323 35

Total.

National Mount Wollaston Bank, Quincy.
J. W. ROBERTSON, President.

No. 517.

'

HORACE B. SPEAR, Cashier.

j $150,000 00
Loans and discounts
, $257, 644 09 i Capital stock paid in
Overdrafts
1 83 |
60, 000 00
U. S. bonds to secure circulation
i
150, 000 00 ;| Surphts fund
4, 169 84
U. S. bonds to secure deposits
;
Other undivided profits.
U. S. bonds on hand
'.....
128, 750 00
Other stocks, bonds, and mortgages.. j
15, 234 12 National bank notes outstanding . 1
;.
Due from approved reserve agents.. .j
27, 607 29 State bank notes outstanding
Due from other banks and bankers... I
I
6, 277 00
; Dividends unpaid.
Real estate, furniture, and fixtures... j
Current expenses and taxes paid
|
Individual deposits
j 119,601 04
Premiums paid
|
United States deposits
j
Checks and other cash items
j
2, 345 42 Deposits of U. S. disbursing officers
Exchanges for clearing house
j
!
Bills of other banks
I
2,191 00 Due to other national banks
Fractional currency
!
1 28 Due to State banks and bankers
i
Specie
*
I
212 85
Legal tender notes
\
1,81.0 00 Notes and bills re-discounted.
,
U. S. certificates o \ deposit
.j
5. 000 00 Bills payable
Due from U. S. Treasurer
I
6, 750 00
468, 797 88 j

Total.

Total

468, 797 88

Randolph National Bank, Randolph.
R. W. TURNER, President.
Loans and discounts
j
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... j
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. 558.

C. (x. HATHAWAY, Cashier.

$347, 319 40 Capital stock paid in .
205, 000 00 Surplus fund
150, 0(10 D
O Other undivided profits .
45, 000 00
25, 000 00 National bank notes outstanding . . .
47, 256 65 State bank notes outstanding
38 79 I Dividends unpaid .
26 83

6,612 49
28,291 00
100 00
520 59
15, 675 00

"""9*606"66"
879, 840 75

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

$2C0, 000 00
200, 000 00*
10, 856 871
176, 930 00*
12, 738 00
215,878 74
63, 437 14

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

879, 840 75

REPORT OF THE COMPTROLLER OF THE CURRENCY. 177
MASSACHUSETTS.
Rockport National Bank, Rockport.
No. 1194.

C H A R L E S T A R R , President.

H. H. P A U L , 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-.

$151,295 41

" 11," 148.74

$150, 000 00

Surplus fund
Other undivided profits

j

National, bank notes outstanding
State bank notes outstanding

""25,000 65"
5, 776 60

Due from approved reserve agents . .
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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

j
j.

i j Dividends unpaid

28, 000 00
1, 333 31
135,000 00
5,362 00

1 Individual deposits
1
2," 709 10
i j United States deposits
|
I Deposits of U. S. disbursing officers .

39,069 18

3, 757 00 I Due to other national banks
327 58 :' Due to State banks and bankers .
Notes and bills re-discounted
I Bills payable
6, 750 00 i

Total..

356, 764 49

First National Bank, Salem.
WILLIAM

No. 407.

SUTTOJ*, President.

Loans and discounts
|
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages . .
Due from approved reserve agents...
Due from other banks and bankers..
Real 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
j
U. S. certificates of deposit...
I
Due from U. S. Treasurer
Total

!

$647, 897 13
1, 976 18
300, 000 00
1, 800 00
9, o96 25
17, 001 40
9,655 95
16,664 27
2, 951 74

E. H. PAYSON, Cashier.

Capital stock paid in.

$300, 000 00

Surplus fund
Other undivided profits

100,000 00
1,613 82

National bank notes outstanding
State bank notes outstanding

269, 700 00

Dividends unpaid .

13,515 00

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

6, 675 00 Due to other national banks
334 17 Due to State banks and bankers .
15, 197 82
Notes and bills re-discounted
10, 000 00
Bills payable
13, 500 00
1,053,349 91

281, 548 73

!6, 972 36

1,053,349 91

Asiatic National Bank, Salem.
L. B. HARRINGTON,

President.

Loans and discounts
Overdrafts
„
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, 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. 634.
$458,164 65
"242,000 00

25," bob 66"
52,103 27
23, 025 31

W M . H. FOSTER, Cashier.

Capital stock paid in.

130, 000 00
8,169 67

National bank notes outstanding
State bank notes outstanding

217,800 00

Dividends unpaid .

Individual deposits
United States deposits
4,013 64 I Deposits of U. S. disbursing officers.

2, 403 13

682
140
1, 686
12, 000

00 1 Due to other national banks
30
Due to State banks and bankers
45
0U Notes and bills re-discounted.
Bills payable
10, 890 00
832, 108 80

$315,000 00

Surplus fund
Other undivided profits

Total .

143,044 18

18,094 95

832,108 8®

178

REPORT OF THE COMPTROLLER OP THE CURRENCY.
MASSACHUSETTS.
Mercantile National Bank, Salem.
Jos. H. PHIPPEN, Cashier

No. 691.

AARON PERKINS, President.

Resources.
Loans and discounts
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... j
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
j
Exchanges for clearing house
j.
Bills of other banks
|
Fractional currency
j
Specie
I
Legal tender notes
j
U. S. certificates of deposit
j
Due from U. S. Treasurer
,

Liabilities.
$325, 785 67 Capital stock paid in
362 91
197, 000 00 Surplus fund
Other undivided profits.

$200,000 00
51,000 00
1,797 03
176, 800 00

7, 0U0 00

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

129,135 03

2, 912 93

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

12,719 41
974 96

4,635 00

1, 9M 00 Due4o other national banks
341 18 j Duetto State banks and bankers .
319 00 |
5,188 00 Notes and bills re-discounted
Bills payable
""'8," 865' 00
563, 367 06

Total.

j

563, 367 06

Total.

Merchants' National Bank, Salem.
B. H. SiLSBEE, President.

No. 726.

Loans and discounts
|
Overdrafts
|
U. S. bonds to secure circulation
j
U. S. bonds to se'cure 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...{
Real estate, furniture, and fixtures . . |
Current expenses and 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

N. B."PERKINS, Cashier.

$326, 997 34 I Capital stock paid in
13 35 i
200, 000 00 Surplus fund
Other undivided profits
55, 800 00 i National bank notes outstanding
76, 650 89 S tate bank notes outstanding
30, 275 39 Dividends unpaid .
1 20 Individual deposits
United States deposits
3, 726 00 Deposits of U. S. disbursing officers.

$200, 000 00
100, 000 00
9,417 28
180, 000 00
6, 422 00
226, 012 53

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

Total.

National Exchange Bank, Salem.
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 houi
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




,

No. 817.
$284,404 20 !
377 27
200, 000 00

'""io," ooo "65"
5,000 00
39, 382 38
778 32
2, 000 00

Jos.

H. W E B B , Cashier.

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
Total.

$200, 000 00
45, 000 00
7,169 23
179, 385 00
3, 554 50
126,323 91

7, 477 99

568, 910 63

REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 7 9
MASSACHUSETTS.
Naumkeag National Bank, Salem.
W M . B. PARKER, President.

JOS. H. TOWNE, 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

$965,231 37
82 38
450, 000 00

Capital stock paid in

$500, 000 00

Surplus fund
j Other undivided profits
"""35,950 00*
730 00 National bank notes outstanding . . . . I
j
66, 715 45 State bank notes outstanding
51,355 67 Dividends unpaid
960 00
727 53
5,915 00
887 27
16,731 06
10, 180 00

Individual deposits
i
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

j
I

Total.

250, 000 00
59, 839 81
404, 955 00
15,019 00
400, 610 45

291 44

1,630,715 73

Salem National Bank, Salem.
AUGUSTUS STORY, President.

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

No. 704.
$518, 942 18
280 75
300,000 00
16, 000 00
42,717 52

GEO. D PHIPPEN, Cashier.

Capital stock paid in.

$300, 000 00
60, 000 00
26, 617 03

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

270, 000 00

Dividends unpaid.
339 60 Individual deposits
15,000 00 United States deposits
Deposits of U. S. disbursing officers.
1,521 02
Due to other national banks
1,792 00
Due to State banks and bankers
245 69"
Notes and bills re-discounted.
15,305 00 Bills payable

6,741 00
262,285 13

13,500 00

925,643 16

Total..

925, 643 16

Powow River National Bank, Salisbury.
GEO.

F . BAGLEY, President.

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..!
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.




No. 1049.

$261,782 13

ALBERT B. BROWN, Cashier.

Capital stock paid in

100, 000 00 Surplus fund
Other undivided profits
2, 000 00 National bank notes outstanding
40, 526 24 State bank notes outstanding
4, 000 00
9 00
1,769 15
4, 432 00
11 08
110 00
10, 000 00
4, 500 00
429,139 60

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

$100,000 00
|
j
[
j

50, 000 00
7, 722 87
89, 000 00
4, 260 00
178,156 73

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

429,139 60

180

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Shelburne Falls National Bank, Shelburne Palls.

J . B. BARDWELL,

President.

No. 1144.

O. R. MAYNARD, Cashier.

Resources.

Liabilities.

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

$251,754 91 Capital stock paid in.
367 51
170, 000 00
Surplus fund
Other undivided profits

"""io" 665*66'
24, 003
97
10,000
1,848

00
11
30
00

40, 000 00
19,509 14

National bank notes outstanding
State bank notes outstanding

75
49
00
6Q

Dividends unpaid .

!

I D ue to other national banks
I Due to State banks and bankers .
!
! Notes and bills re-discounted
j
j i Bills payable
7*650 00 !
481,524 16 li

Total.

153, 000 00
48 00

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

612 43
3, 821)
12
48
1, 300

$200, 000 00

Total

68, 929 39

37 63

481,524 16

Southbridge National Bank, Southbridge.
F. L. CHAPiisr, Cashier.

JACOH EDWARDS, President

Loans and discounts
!
O verdrafts
U. S. bonds to secure circulation
U. 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
|
Premiums paid
;
Checks and other cash items
I
Kxchanges 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
;

$256, 372 96
150, 000 00

51, 095 85
225 61
2, 600 00

5, 090
*
1, 000
33
800
3, 004

70
00
02
00
00

Capital stock paid in

$150, 000 00

Surplus fund
Other undivided profits

30, 000 00
34, 095 42

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

134, 000 00
4, 060 00

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

124, 756 50

60 22

Notes and bills re-discounted.
Bills payable

6, 750 00
Total -

476,972 14

476,972 14

First National Bank, South Weymouth.
No. 618.

J O H N S. FOGG, President.

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

$214, 067 99
100,000 00
\

U. S. bor.dB on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agent;;...
Due from other banks and bankers...
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




19, 486 83
7,257 59

"s," ooo "66
207 25
6, 472
18
255
4, 000

00
49
05
00

B. F . W H I T E , Cashier.

Capital stock paid in .

$150,000 00

Surplus fund
Other undivided profits

30, 000 00
16, 743 68

National bank notes outstanding
State bank notes outstanding

90, 000 00

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

5,116 00
69, 405 52

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

4, 500 00
361,265 20

Total.

361,265 20

REPORT OF THE COMPTROLLER OF THE CURRENCY.

181

MASSACHUSETTS,
Spencer National Bank, Spencer.
No. 2288.

ERASTUS JONES, President.

W. L. DEMOND, 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

$188,651 47

Capital stock paid in .

""125"666*00

Surplus fund
Other undivided profits

$150, 000 00
6, 000 00
945 22

National bank notes outstanding
State bank notes outstanding
10, 360 18
38 52
j Dividends unpaid .
2, 300 00
.10,000 00
10, 002 57
9,873 00
4 06
508 95
4, 000 00

" "5,625*66

Total.

112,500 00
6, 540 00

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

90,361 19

Due to other national banks
Due to State banks and banker* .

17 34

Notes and bills re-discounted..
Bills payable:

366, 363 75

Total .

:56H, 363 75

First National Bank, Springfield.
No. 14.

JAMES KIRKHAM, 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.. 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 items
'
Exchanges for clearing house
I.
Bills of other banks
!
Fractional currency
j
Specie
,
i
Legal tender notes
!
U. S. certificates of deposit
j.
Due from U. S. Treasurer
j

$400,000 00

$637,274 35 Capital stock paid in.
35 01
305, 000 00 ! Surplus fund
1
Other undivided profits

160,015 00
25, 348 64

""so," 656'66'

268, 500 00

! National bank notes outstanding
89 ! State bank notes outstanding
79
00 Dividends unpaid .
41
I Individual deposits
50
! United States deposits
12, 995 49 I Deposits of U. S. disbursing officers.

37, 140
54. 078
60, 000
5, 489
8,837

10, 938
225
963
7, 550

398 50
349,866 11

00 Due to other national banks
8L Due to State banks and bankers .
00 i
00 Notes and bills re-discounted

13*666*66"
1, 204, 128 25

Total.

D. A. FOLSOM, Cashier.

Bills payable
Total

1,204, 128 25

Second National Bank, Springfield.
H. ALEXANDER, Jr., President.

L E W I S W A R R I N E R , 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..

$404,808 09 jj Capital stock paid in
. 97 92 il
310,000 00 |! Surplus fund
ji Other undivided profits

367 6o6"65" | iNational

bank notes outstanding
00 jj State bank notes outstanding
02 ji
35 i| Dividends unpaid
00 |!
95 jj Individual deposits
75 |J United States 'deposits
1,775 31 j Deposits of U. S. disbursing officers..
i

Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid

25,000
50,408
11,208
75,000
5,814
2,733

Checks and other cash items
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
1,221
3,221
6, 578

Total




j
j
|
|
I
j
I

00 I Due to other national banks
26 | Due to State banks and bankers
12 {
00 Notes and bills re-discounted

""i3'832'66"j!
955, 735 37 j

$300, 000 00
|

230,251 19
22, 336 80

j
j

267, C90 06

I
|
I

129, 449 92

!
j

1, 453 97
I, 964 00

2, 589 49

Bills payable

Total.

955, 735 37

182

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS,
Third National Bank, Springfield.
No. 308.

J. C. PARSONS, President.

F. H. HARRIS, Cashier*

Resource*3.

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...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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.

$874, 330 89 Capital stock paid in .
795 52
280, 000 00 Surplus fund
220, 000 00 Other undivided profits.
43, 200 00 j National bank notes outstanding
28, 925 34 i State bank notes outstanding
11,822 22 I
126, 894 24 ! Dividends unpaid .
5,261 81 j Individual deposits
United States deposits
10,739 9L Deposits of U. S. disbursing officers..
200 00 Due to other national bankg
1,147 16 I Due to State banks and bankers
I
1,571 15
28,687 00 I Notes and bills re-discounted.
Bills payable
12, 600 00 !
I
Total.
1, 646, 175 24 i

j
1

$500, 000 00
300, 000 00
S6,139 53
252, 000 00
495 00
282,691 03
179, 658 80
178 28
12 60

45,000 00
1, 646, 175 24

Agawam National Bank, Springfield.
No. 1055.

H. S. HYDE President.

$646,046 51 Capital stock paid in
2,551 25
350,300 00 Surplus fund
....j
Other undivided profits
|
2*656 oo"
National banknotes outstanding 1
3, 0C0 00
j.
37,815 11 State bank notes outstanding
13, 667 25
116, 486 70 Dividends unpaid .
4 94
4, 098 75 Individual deposits
United States deposits
3, 5L3 66 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

6, 197 00
109 58
2, 935 00
22, 180 00

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

1, 225, 980 93

Total.

F. S. BAILEY, Cashier.

Total

-.

$500, 000 00
100,000 00
51, 423 83
314,000 00
22, 797 46
228, 594 71
9,059 43
105 50

1,225,980 93

Chicopee National Bank, Springfield.
No. 988.

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 of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer




THOS. WARNER, Jr., Cashier.

$916, 180 88 ! Capital stock paid in .

$400, 000 00

"3o6,"6ob'6(j'j Surplus fund
"""5o,"6oo"66" I Other undivided profits

250, 000 00
15,246 12

6, 000
74,655
140
7, 500
42

00 ! National bank notes outstanding
14 i State bank notes outstanding
84 i
Dividends unpaid.
00
15
Individual deposits

13, 247 95
9,142
348
2, 300
8, 856
20, 000
13,500
i

00
57
00
00
00
00

xoi n
1,421,913 53

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.

270, 000 00

15, 352 28
438,019 08

3,296 05

30, 000 00

1,421,913 53

REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 8 3
MASSACHUSETTS.
John Hancock National Bank, Springfield.
S. MOORS:, President.

E. D. CHAPIN, Cashier.

No. 982.

Resources.
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.. 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

Liabilities.
$194, 432 58
""150, 000 66
1, 250 00
11,445 78
527 14
15,205 94
1,817 92
2, 215
398
1,575
8, 500

00
35
00
00

Capital stock paid in

Dividends unpaid .

30, 009 00
13,951 32
134, 979 00
4,418 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

54, 682 86

i, 086 53

6, 750 00
394,117 71

Total.

394,117 71

Total.

$150,000 00

Surplus fund
Other undivided profits .
National bank notes outstanding...
State bank notes outstanding

Pynchon National Bank, Springfield.
H. N. CASE, President.

No. 987.

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
Ohecks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
,.
•U. S. osrtificates of deposit
Due from U. S. Treasurer
Total.

CHARLES MARSH, Cashier.

I $200, 000 00
$375,226 57 i Capital stock paid in
379 55
124, 700 00
150,000 00 Surplus fund
5 09
Other undivided profits
|
135, 000 00
22, 015 00 National bank notes outstanding
i
31,923 07 State bank notes outstanding
13, 657 44 Dividends unpaid.
8,560 16
18,165 43
9 95 Individual deposits
183, 520 15
United States deposits
4, 782 98 Deposits of IT. S. disbursing officers.
7,764 00
94 4L
515 00
15, 497 00

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

11,750 00
651,785 40

Total .

651,785 40

Housatonic National Bank, Stockbridge.
D. R. WILLIAMS, President.
JLoans 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..
Ourrent expenses and taxes paid
Premiums paid
dhecks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie .
ILegal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




D. A. KiMBALL, Cashier.

No. 1170.
$298, 858 23
373 88
200,000 00

50, 548
1,095
5, 000
1, 760

97
21
00
96

500 00
168 95
272 50
7,216 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.
Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

$200, 000 00
100, 000 00
25, 972 75
179,800 00
150 00
69,791 42

80 53

10, 000 00
575,794 70

Total.

575, 794 70

184

REPORT OF THE COMPTROLLER OP THE CURRENCY.
MA SSACHUSETTS,
Bristol County National Bank, Taunton.

THEO. DEAN, President.

No. 766.

A. C. PLACE, Gash

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..j
Due from approved reserve agents...!
Due from o'ther banks and bankers ..I
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
i
Specie
j
Legal tender notes
j
U. S. certificates of deposit
i
Due from U. S. Treasurer
j

Liabilities.
$724, 853 94

Capital stock paid in .

$500, 000 00

508, 900 00 Surplus fund
150, 000 00 i Otjier undivided profits
21,000 00 | National bank notes outstanding . . . ,
65, 465 73 State bank notes outstanding
1,273 05 i
10,000 00 Dividends unpaid .

250, 000 00
50, 953 93

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

186, 753 29
66,778 J4

575 00
4,879 00
835 99
650 22
8, 500 00

21, 405 00

3,642 57

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

23,000 00 ;
1,519,932 93 |

Total.

440, 400 00

Total

1,519,932 93

Machinists' National Bank, Taunton.
C. R. VICKKRY, President.

No. 947.

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

$459,693 71
2,145 02
200,000 00
30, OCO 00

40,519
460
10, 000
42

21
67
00
74

194 84
21,882
516
2, 557
16, 000

00
40
55
00

EDWARD KING, Gashier.

Capital stock paid in

$200, 000 00
130,000 00
12,913 2i

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

180, 000 00

Dividends unpaid

9, 057 00

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

261,849 16

Due to other national banks
Due to State banks and bankers

2,190 97

Notes and bills re-discounted.
Bills payable

Total.

Total

796, 010 34

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
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
JJ. S. certificates of deposit
IDue from U. S. Treasurer
Total.




No. 957.
1928,255 14
41
534,000 00

GEO. W. ANDROS, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits

$600, 000 00
!

|
5, 000 00 National bank notes outstanding
;.
70,169 82 ij State bank notes outstanding
715 73
j
25, 000 00 Dividends unpaid .
Individual deposits
13, 000 00 United States deposits
367 89 Deposits of U. S. disbursing officers.
9, 465 00
478 59
5,313 05
12, 321 00

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

200, 000 00
67, 396 58
479, 300 00

18,870 50
268, 653 13

11,871 42

42, 005 00
1,646,091 63

Total

1,646,091 63

REPORT OF THE COMPTROLLER OF THE CURRENCY. 185
MASSACHUSETTS.
Townsend National Bank, Townsend.
WALTER FESSENDEN, President.

No. 605.

EDWARD ORDWAT, Cashier.

Resources.

Liabilities.

$136, 447 23 Capital stock paid in.
Loans and discounts
j
Overdrafts
j.
U. S. bonds to secure circulation
| ""ioo'oou oo 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.. |.
State bank notes outstanding
12,102 29
Due from approved reserve agents...
Due from other banks and bankers .. I.
Dividends unpaid .
1,000 00
Heal estate, furniture, and fixtures...
1, 67 L 63 i Individual deposits
Current expenses and taxes paid
Premiums paid
j United States deposits
1, 220 00
Deposits of U. S. disbursing officers.
Checks and other cash items.
Exchanges for clearing house
I," 111 C
O Due to other national banks
Bills of other banks
Fractional currency
Due to State banks and bankers
231 75 i
Specie
100 00 i Notes and bills re-discounted.
Legal tender notes
.
Bills payable
U. S. certificates of deposit
4, 500 00
Due from U. S. Treasurer
258, 433 90

Total.

$100,000 00
42, 000 00
1, 259 84
86, 770 00
399 00
28, 005 06

258,433 90

Crocker National Bank, Turner's Falls,
No. 2058.

R. N. OAKMAN, President.

Loans 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 fromU. S. Treasurer..

D. P. ABERCROMlilE, Cashier.
$300, 000 00

$280, 783 85 Capital stock paid in.

"366" 666" oo

Surplus fund.
Other undivided profits
National bank notes outstanding
State bank notes outstanding

1,810 69
515 96
3, 000 00 Dividends unpaid .
Individual deposits
25, 000 00 United States deposits
219 22 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.

8,000 00
630 53
267, 695 00
6, 647 50
36,268 25

196 30
9, 037 72
628, 475 30

Blackstone National Bank, Uxbridge.
MOSES TAFT, 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... 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
j
Fractional currency
1
Specie
!
Legal tender notes
\
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 1022.

C. S. WESTON, Cashier.

9, 530 10 Capital stock paid in.
100 000 00 Surplus fund
Other undivided profits

$100, 000 00
21,373 60
23 95

4,000 00 National bank notes outstanding
22, 234 36 State bank notes outstanding
Dividends unpaid .

90, 0C0 00

Individual deposits
United States deposits
346 20 Deposits of U. S. disbursing offic

29,118 06

3,732 00

3,006 00

Due to other national banks
Due to State banks and banker** .
30 95
600 00 Notes and bills re-discounted.
Bills payable
4,500 00
Total.

244,247 61

186

RSPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
National Bank of South Reading, Wakefield.

Lucius BEEBE, President.

No. 1455.

THOMAS WTNSHIP, 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...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
Exchanges for clearing house
!
Bills of other banks
j
Fractional currency
j
Specie
|
Legal tender notes
i
U. S. certificates of deposit
j
Due from U. S. Treasurer
|

$149, 008 93 ! Capital stock paid in.
Surplus fund
Other undivided profits
,
National bank notes outstanding
26, 300 90 State bank notes outstanding
, Dividends unpaid .
Individual deposits
United States deposits
1, 205 75 Deposits of U. S. disbursing officers.

25, 000 00
6, 916 06
85, 255 00
1, 039 50
61, 671 16

3, 040 00 Due to other national banks
125 09 Due to State banks and bankers .
138 00
800 00 Notes and bills re-discounted.
Bills payable
4, 263 00
279,831 72 j

Total.

$100,000 00

95, 000 00

Total.

279,881 72

Waltham National Bank, Waltham.
No. 688.

F . M. STONE, President.
Loans a n d discounts
I
Overdrafts
!
U . S. bonds to secure circulation
i
U. S. bonds to secure deposits
|
U. S. bonds on h a n d
j
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 and b a n k e r s . . . !
R e a l estate, furniture, a n d fixtures... i
•Current expenses and taxes paid
|
P r e m i u m s paid
j
fjhecks 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
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

|
j
j
I

Total.

J. S. WILLIAMS, Cashier.

$217,366 19 || Capital stock paid in .
!j
150, 000 00 j j Surplus fund
j j Other undivided profits
|i
j

$150,000 00
50, 000 00
3, 384 97

; National bank notes outstanding.
State bank notes outstanding
Dividends unpaid.
10, 000 00
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

133, 500 00

68, 070 13

163, 812 46

22, 000 00

1,511
5, 000
20, 000
6, 750

Due to other national banks
Due to State banks and bankers.
11
00 Notes and bills re-discounted.
00 Bills payable
00
500, 697 43

500, 697 43

Ware National Bank, Ware.
WILLIAM HYDE, President.

LoanB and discounts
Overdrafts.
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers..
Real estate, furniture, and^fixtures—
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
• Due from U. S. Treasurer
Total .




No. 628.

W M . S. HYI>5, Cashier.

$470, 066 68

Capital stock paid in .

$400, 000 00

"466,666 "66*
"""io'666'66*

Surplus fund
Other undivided profits

80, 000 00
J9,444 82

2,000 00

24, 648 82

3,785 30

"2,266 66

National bank cotes outstanding..
State bank notes outstanding
Dividends unpaid.
Individual deposits
,
United States deposits
Deposits of U. S. disbursing officers

350, 000 00
5, 927 50
92,124 23

5, 103
242
3, 950
5, 000

00 Due to other national banks
75 Due to State banks and bankers .
00
00 Not s and bills re-discounted.
Bills payable
20, 500 00
947, 496 55

Total.

947, 496 55

REPORT OF THE COMPTROLLER OF THE CURRENCY. 187
MASSACHUSETTS.
National Bank, Wareham.
No. 1440.

G. C. T O B E Y , President.

T H O S . R. M I L E S ,

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 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. 8. certificates of deposit
Due from U. S. Treasurer

$114,800 72

Capital stock paid in.

$l(!0, 000 C
O

80, 000 00

Surplus fund
Other undivided profits

22, 505 00
9,574 65

11,980 00

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

68,138 00

8, 074 91
692 71
1,554 00
2, 282 33

Dividends unpaid .

190 00

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

4, 000
7
63
2, 000

00 I Due to other national banks
47 | Due to State banks and bankers .
00
00 Notes and bills re-discounted .
Bills payable
3,666 00*

Total

229, 055 17

28, 568 75

78 77

229,055 17

Total.

Union Market National Bank, "Watertown.
G-EO. N. MARCH, President.

No. 21 OP.

Loans and discounts
.
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand.
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and 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

J . K. STlCKxVEY, Cashier.

$174,725 14

Capital stock paid in

"iio.'ooo 6o

j Surplus fund
I Othvv undivided profits

$150, 000 00
5, COO 00
3, 573 69

National bank notes outstanding
14, 7G2 63 ! fctato bank notes outstanding
8, 826 93
3, 093 32
20, 000 00
2, 275 00
1,600 00
32 46
100 00
3, 800 00

135, 0CO 00

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

92, 393 79

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

Total.

385, 967 48

First National Bank, Webster.
C. C. CORBTN, 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 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

Total.

H. Ex. 3-




No. 2312.
$140, 618 60

80,666 66

24, 7fi6 86
78 80

E . L . S P A L D I N G , Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits,
National bank notes outstanding
State bank notea outstanding
Dividends unpaid .

93 75
9, 500 00
671 45

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

7,085 00

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

565 33
3, 600 U0

" 5 " 6o6 66"
270, 579 79

$100, 000 00
2, 724 91
59 35
72,000 00
2, 460 00
92, 795 53

540 00

Notes and bills re-discounted
Bills payable
Total

270, 579 79

188

REPORT OF* TPIE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
First National Bank, Westboro'.

J. A. FAYERWEATHER, President.

GEO. O. BRTGHAM, Cashier.

Resources.

Liabilities.

Loans and discounts
!
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. J
Due from approved reserve agents... j
'Due from other banks and bankers ..j
Rtal estate, furniture, and fixtures... j
Current expenses and taxes paid
j
Premiums paid
I
Checks 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

!

$178,574 11 i Capital stock paid in
|
150, 000 00 \\ Surplus fund
, Other undivided profits
! National bank notes outstanding
22, 032 62 ; State bank notes outstanding
;
; Dividends unpaid.
937 87 Individual deposits
United States deposits
844 78 Deposits of U. S. disbursing officers.

$150, 000 00
16,508 79
8, 556 77
134,000 00

330 00
56, 012 87

4, 065
84
120
2,000

00 Due to other national banks
05 ; Due to State banks and bankers .
00
00 , Notes and bills re-discounted
Bills payable
6, 750 00

365,408 43

Total

365, 408 43

First National Bank, Westfield.
No. 190.

G. L. LAFLTN, President.
Loans 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 b a n k s and bankers . .
R e a l estate, furniture, and
fixtures...
C u r r e n t expenses and taxes paid
Premiums paid
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

$250, 000 00

$325,599 95 j Capital stock paid in .
" 2 5 0 , 0 0 0 00" j Surplus fund
Other undivided profits
"""40," OOO" 60"
National b a n k notes outstanding
State bank notes outstanding
79,809 73
3, 878 08
Dividends unpaid .
6, 500 00
3,542 10
G5 00

846 00
44 62
746 95
7, 198 00
12, 250 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

73^> 480 43

Total.

HENRY HOOKER, Cashier.

Total.

113,500 00
20,009 98
224, 000 00
2, 480 00
117,534 46

2, 883 27
2, 072 72

732,480 43

Hampden National Bank, "Westfield.
E. B. GlLLETT, President.
Loans and discounts
O verdrafts
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
Exchan es for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certiiicati s of deposit
Due from U. S. Treasurer
Total.




No. 1367.
$185, 600 45
84 51
150,000 00

ROYAL WELLER, Cashier.

Capital stock paid in .

I Surplus fund
• i Other undivided profits
"""28,000 65" j
16,000 00 ; National bank notes outstanding..
77, 426 68 | State bank notes outstanding
2,464 45 I
8, U00 00 i

Dividends unpaid .

,
12 00 '; Individual deposits
ji United States deposits
,
;| Deposits of U. S. disbursing officers
30, 033 00 Due to other national banks
85:> 80 Due to State banks and bankers . .
l,f>40 00
15, 000 00 : Notes and bills re-discounted
" 7,750 06" Bills payable
522,8(54 89

$150, 000 00
76, 000 00
4, 478 20
134,800 00
4,649 00

7, 510 00
126,166 75

601 87
18,659 07

522,864 89

REPORT OF THE COMPTROLLER OF THE CURRENCY.

189

MASSACHUSETTS.
Westminster National Bank, Westminster.
No. 2284.

DANIEL C. MILES, President.

W I L L I A M MAYO, 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 deposif
Due from U. S. Treasurer

$74, 606 67

Capital stock paid in. .

$100,000 00

"ioo'ooo'oo"
2,*6oo 65"

Surplus fund
Other undivided profits

500 00
3,103 60

5,000 00
3, 372 00
2, 000 00
1,663 00
2,013 24
9, 858 99
4 13
1, 161 00
22 40
219 90
509 00

National bank notes outstanding
State bank notes outstanding

87, 390 00

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

15,936 73

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

4,500 00

Total.

206, 930 33

206, 930 33

Total.

Union National Bank, Weymouth.
ALBERT HUMPHREY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and 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. 510.
$441,867 34

""3o6,"o6o"6o"

29, 207 53
5, 100 00
209 39
3,268 99
3,731 00
24 11
150 20
4,479 00

J O H N J. L O U D , Cashier.

$400, 000 00

Capital stock paid in.

70, 400 00
5, 346 77

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

265, 445 00

Dividends unpaid.

16,872 50

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

43, 473 29

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

13,500 00
801, 537 56

Total.

80 L, 537 56

Whitinsville National Bank, Whitinsville.
PAUL WHITIN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 769.
$192,620 14
100, 000 00

H. A. GrOODELL, Cashier.

Capital stock paid in.

$100,000 00

Surplus fund
Other undivided profits

50,000 00
11,217 62

National bank notes outstanding
State bank notes outstanding

79, 600 00

"""25,"000 60"
63, 997 S
O

Dividends unpaid .

3,282 45
5, 577 00
176 2L
486 25
4,200 00
5, 0! 0 00
4, 500 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers .
Due to other national bpjiks
Due to State1 banks and bankers .
Notes and bills re-discounted.
Bills payable
Total.

5, 785 00
158, 236 43

190

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
First National Bank, Winchendon.
No. 327.

J. H. FAIRBAN'K, President.

C. L. BEALS, Cashier.

Resources.

Liabilities.

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
Exchan ges for clearing house
Bills of other banks
Fractional currency
.
Specie
Legal tender notes
TJ. S. certificates of deposit
i
Due from U. S. Treasurer
Total.

$250, 750 47 Capital stock paid in.

$200,000 00

""266,606 06

Surplus fund
Other undivided profits
12, 000 00 National bank notes outstanding
22, 698 36 State bank notes outstanding
13, 000 00 Dividends unpaid .
5,819 63 Individual deposits
United States deposits
378 04 Deposits of U. S. disbursing officers.
965 00
37 63
445 00
5, 000 00
10, 000 00
9, 000 00

68, 000 00
16, 548 43
179,990 00
412 49
65,143 21

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

530,094 13

530,094 13

First National Bank, Woburn.
J. R. GREEN, Cashier.

No. 746.

E. D. HAYDEN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
TJ. 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
TJ. S. cenificates of deposit
Due from U. S. Treasurer

$-227,135 86 ;j Capital stock paid in.

$300, 000 00

300,000 00

Surplus fund
" i 56" 600 "6(71 Other undivided profits
3,600 00 I National bank notes outstanding
State bank notes outstanding
9, 723 24
"25*855 91 Dividends unpaid .
16 00 Individual deposits
. . . . . ..
20,250 00
United States deposits
7,479 83 i Deposits of U. 3. disbursing officers.

93, 000 00
1,957 18
268,000 00

10,936 00
97, 255 26

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

Total.

Total.

771,148 44

First National Bank, "Worcester.
E. A. G00DN0W, President.
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 bunks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges tor clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
TJ. S. certificates of deposit
Due from «J. S. Treasurer
Total.




No. '

A. M. STONE, Cashier.

$856, 373 30 Capital stock paid in.
1,274 09
300,000 00
Surplus fund
50, 000 00 Other undivided profits.
National bank notes outstanding .
96,129 73 State bank notes outstanding..
3,666 55
3,802 17
6,758 43
6, 727 5)

Dividends unpaid .

Individual deposits
United States deposits
9, 247 54 Deposits of U. S. disbursing officers.
9,305 00
146 39
3,110 50
10, 500 00
30,000 00
13.500 00

1,400,541 20

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

$300, 000 00

120, 000 00
33,274 37
270, 000 00

185 00
650,072 73
26, 728 33
280 77

1,400,541 20

REPORT OF THE COMPTROLLER OF THE CURRENCY.

191

MASSACHUSETTS.
Central National Bank, Worcester.
J . C. MASON,

No. 455.

President.

H . A. M A R S H , Cashier.

Liabilities.

Resources.
$546, 887 35
81 38
300, 000 00

Loans and discounts
Overdrafts
[J. 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 bankers . .
Real estate, furniture, and fixtures..Current expenses and taxes paid

46, 831 13
6, 900 00
168 65
3,013 81

Checks and other cash items
Exchanges for clearing house

10, 480
51
373
1,500
15,000
13 500

Fractional currency
Specie
IT. S. certificates of deposit

00
35
40
00
00

.

100, COO 00
10, 239 69

National bank notes outstanding
State b a n k notes outstanding

262, 200 00

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

261,111 44

Surplus fund
Other undivided profits

6,419 00

4,816 94

Due to other national banks
Due to State banks and bankers

no
944,787 07

Total

944, 787 07

Total

$300, 000 00

Capital stock paid in

Citizens' National Bank, Worcester.
F . H. KlNNlCUTT, President.

No. 765.
$255,598 31

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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

5150,000 00

Capital stock paid in.

30, 000 00
609 16

Surplus fund
Other undivided profits

78, 700 00

National b a n k notes outstanding .
State bank notes outstanding
20, 394 86
2, 992 04 | Dividends unpaid
1 00
581 50
2,412
261
5, 035
7, 535

3, 324 00

Individual deposits
!
United States deposits!
I
Deposits of U. S. disbursing officers.. j

Due to other national banks
00
82 Due to State banks and bankers
30
00 | Notes and bills re-discounted .
Bills payable

I
S

122, 176 59

15, 592 08

5,500 65"!
|

Tota..

L. W. HAMMOND, Cashier.

Total.

400,311 83 |

400,311 83

City National Bank, Worcester.
G-. W . R I C H A R D 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. 476.

N A T H A N I E L P A I N E , Cashier

,7, 692 12

Capital stock paid in .

$400, 000 00

240, 000 00

Surplus fund
Other undivided profits

84, 347 43
17, 222 85

" "25," 666 "66 "
11,000 00
79, 760 27
3, 322 88
32 90
5, 375 00
1, 832 03
33, 773 00
202 45
1,369 00
3, 790 00
30, 000 00
10, 800 00
1,103,949 65

National bank notps 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.

189, 500 00
7,320 00
399,743 45

5,815 92

Notes and bills re-discounted.
Bills payable
Total.

1, 103, 949 65

192

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MASSACHUSETTS.
Mechanics' National Bank, Worcester.

HARRTSO.v BLISS, President.

No. 1135.

GEO. E. MERRILL, 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
Premi urns paid
Checks and other cash items
Exchanges for clearing house
Bill* of other banks
Fractional currency
Specie
Logal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$665, 45-2 70
79 39
200, 000 00

59,533 17
13, 900 80

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

1,103 67
1,093 00
218 20
2,490 00
17, 395 00
10, 000 00
9, 000 00

70, 000 00
818 34
159,300 00
6, 056 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

980,265 93 ;)

Total.

$350, 000 00

Capital stock paid in.

Total.

378,574 40

15, 517 19

980, 265 93

Quinsigamond National Bank, Worcester.
ISAAC DAVIS, President.

No. 1073.

Loans and di
Overdrafts
.
,
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bords on hand
Other stocks:, bonds, and mortgages ..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
-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

$375, 426 79 Capital stock paid in.
"ill, 600 01)

33,716 44

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

"**7~ 096 "b(V
101 89
3,754 (KJ
15,018 00

""5,62b bo"

50, 000 00
61 16
99, 400 00
5, 679 00

Individual deposits
I United States deposits
2, 713 33 Deposits of U. S. disbursing officers.

554,614 38

Total.

ALDEN A. H O W E , Cashier.

148,921 67

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

554,614 38

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
IT. S. certificates of deposit
Due from U. S. Treasurer
Total .




A. H. W A I T E , Cashier.

$270, 799 96 Capital stock paid in .

6o"6oo 6o" Surplus fund

30, 527 98
5, 149 97
1, 500 00
5, 500 00
2, 277 49
807 00
40 38
1,514 00
2,791 00
10, 000 00
2, 700 00
393. 007 7rt

..
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
2,000 00
752 55
54, 000 00
1,797 00
235, 058 23

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

393, 607 78

EEPORT OF THE COMPTROLLER OF THE CURRENCY. 1 9 3
MASSACHUSETTS.
Worcester National Bank, "Worcester,
S T E P H E N SALISBURY,

No. 442,

President.

J. P . HAMILTON,

Cashier.

Liabilities.
Loans and discounts
Overdrafts
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 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

$726, 334 2! Capital stock paid in
68 29
450, 000 00 Surplus fund
Other undivided profits
58, 000 00
National bank notes outstanding
164, 274 55 State bank notes outstanding
22, 592 08
46, 000 00 Dividends unpaid.
18 0 0
1 Individual deposits . . . .
1
**'.! United States deposits.
..i
4,815 55 I Deposits of IT. S. disbursing officers.. J
46,514
300
1,226
33,136
10,000
20,250

00 I n n e to otn?r national banks
14 ! Due to .State banks and bankers
50 '-I
00 ! Note'-: and hills re-discounted
00 :( BiJls p a y a b l e
00 '

77,102 05
57,165 13
383, 000 00
16,779 60
480, 728 21

68,754 33

!
!
!
I
!
I

Total

1, 533, 529 32 \

Total.

$500, 000 00

I 1, 583, 529 32

National Bank, Wrentham.
O T I S CARY, President.

No, 1085.

Loans and discounts
|
$116, 295 22 j
Overdrafts
I
,
I
U. S. bonds to secure circulation . . . . . j
105, 000 00 j
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 . . .
2, 288 VS
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
196 00
Bills of other banks
14 ^0
Fractional currency
Specie
„
Legal tender notes
U. S. certificates of deposit..,
Due from U. S. Treasurer

F . N. P L I M P T O N , Cashier,

Capital stock paid in

:

SnrphiH fund
Oth-r undivided profits

I
!
I
,....j

$105, 000 00
21, 000 00
6, 595 37

X.-.:tio!ial bank notes outstanding . . . .
Stnte bank notes outstanding . . .
D'vidends unpaid
•il deposits
-I >M 1.'posits
IT. S a.sbui

83, 628 00

i

422 40
13, 476 39

( o trice r s - . ;

> other n ition il hanks
StiUe bank-* md b.uikc
> i n d lulls re discounted . -

!

Total.

Total.

230, 122 16

First National Bank of Yarmouth, "Yarmouth Port.
D A V I D K. A K I N , President.

No. 510.

\

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.. j
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
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




j
,
|
j
j
J
\.
I
|

$498,962 5t5

W M . P . DAVIS,

Capital stock paid in

j

525, 000 00 j | Surplus fund
! • Other undivided profits .
70, 000 C
O
49, 202 06
30,188 46
1, 871 51

N.'-ifi^nal bank notes outstanding
State bank notes outstanding . . .
Dividends unpaid
Individual deposits
|
ihiiU'd Stat"n deposits
j
Deposits of U. S. disbursing officers..!

Cashier.

$525, 000 00
168, 000 00
19, 149 82
445,449 00
1, 052 00
46, 558 56

1, 086 93
,
4,287 00 |: D;i to other national banks
11 86 'Du to State banks and bankers .
200 00 I
804 00 Notes and bills re-discounted.
Bills payable
23, 625 00 !
1, 205, 239 38 I

Total

1,205,239 3-5

194

REPORT OF THE COMPTROLLER OF THE CURRENCY.
RHODE

ISLAND.

Coventry National Bank, Anthony.
ASAHEL MATTESON, President.

E. B. WILLIAMS, Cashier.

No. 1161.

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
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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 Surplus fund
Other undivided profits
9, 057 50 National bank notes outstanding
1,055 01 State bank notes outstanding .
7, 3:32 74 Dividends unpaid .
228 59 j Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
363 80
158 00 Due to other national banks
1 80 Due to State banks and bankers .
103 45
Notes and bills re-discounted.
Bills payable
4, 500 00

23, 543 93
1, 759 81
88, 397 00
462 00
10, 052 63

886 34

225, 101 71

Total.

225,101 71

Total.

5100,000 00

$102,300 82 Capital stock paid in ,

Asliaway National Bank, Ashaway.
. S. CHAMPLIN, President.

No. 1150.

Loans and discounts
Overdrafts
U. S. bonds to secure circulationIT. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from oih^r 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 batiks
Fractional currency
Specie .
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

G. N. LANGWORTHY, Cashier.
$75, 000 00

Capital stock paid in.

$70,178 07
""75,606 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

1,491 34
1, 507 90
2, O'JO 00 Dividends unpaid.

1,271
13
20fi
887

7,127 86

Due to other national banks
Due to State banks and bankers..
Notes a?id bills re-discounted.
iiills payable

10
)
87
70
00

375

59,530 00
3,094 00

Individual deposits
United States deposits
Deposits of U. S. disbui'sing officers.

123 06

11, 000 00
302 08

00
Total.

156, 053

156, 053 94

First National Bank, Bristol.
JAMES LAWLESS, 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. J292.

MARTIN BENNETT, Cashier.

$48,216 19 ;
Capital

stock paid in

75, 000 00 ;Surplus

fund
Other undivided profits

io,"ooo oo",

14, 950 00 !National

bank notes outstanding
11,373 92 \ State bank notes outstanding
21,070 53
Dividends unpaid.
!

513 75

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

$75, 000 00
17, 000 00
2, 870 57
50, 850 00
532 80
44,249 51

2, 926
8
24:2
3, 125

00 j D ue to other national banks
78 ,, Due to State banks and bankers .
00
00 : Not^s and bills re-discounted
•
Bills payable
3, 375 00
190,858 45 j |

Total.

190, 858 45

REPORT OF THE COMPTROLLER OF THE CURRENCY. 195
RHODE

ISLAND.

National Eagle Bank, Bristol.
JOHN B . MUNRO,

President.

No. 1562.

JOHN G-. WATSON, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, 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.

$50, 000 00

$56,199 46 Capital stock paid in
""50*000'66'
5, 000 00
15, 836 01
12, 390 56
751 31

3,803
2
208
3, 000

00
48
CO
00

'2,256 66

Surplus fund
Other undivided profits
National bank notes outstanding . .
State bank notes outstanding

34, 900 00
4, 274 93
35,235 00

Dividends unpaid

22 50

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

24,181 48

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

" 826 91

Notes and bills re-discounted
Bills payable
Total

149, 440 82

149, 440 82

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

No. 1284.

$106,869 09 Capital stock paid in
"166,5oo 66
""26"666"66"
348 73
5, 700 28
2,000 00

1,164 00

"i,"i53"66"
388 07
2, 267 00

""4"566 66'

$100, 000 00

Surplus fund
...... ..
Other undivided profits

20, 000 00
9, 775 67

National bank notes outstanding
State bank notes outstanding

86,735 00
1,024 00
3, 047 75

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, 890 17

Total..

MOSES FIFIELD, Cashier.

23, 874 00

433 75

*244,890 17

Cumberland National Bank, Cumberland.
DAVIS COOK, President.

Loans and discounts
Overdrafts
if. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses 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. 1404.

$135, 559 89

GEORGE COOK, Cashier.

Capital stock paid in.

Surplus fund
Other undivided profits
5,000 00 National bank notes outstanding
State bank notes outstanding......
2,000 00

60 00

1,017 00
5 48
135 50
500 00

$125, 000 00
36, 000 00
3, 838 65
96, 445 00

Dividends unpaid.

6, 250 00

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

7,144 41

Due to other national banks
Due to State banks and bankers

224 81

Notes and bills re-discounted.
Bills payable

5, 625 00
274, 902 87

Total.

274, 902 87

196

REPORT OF THE COMPTROLLER OF THE CURRENCY.
RHODE ISLAND.
Greenwich National Bank, East Greenwich.

HENRY SWEET, President.

No. 1405.

S. M. KNOWLES, 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
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

Liabilities.
$89,172 39
578 55
50,000 00

Capital stock paid in

7, 247 30
6, 884 24

National bank notes outstanding
3.083 02
3,255 55
2,110 70
480 51
179 99
2, 884 00
33 33
1,085 00
2, 0U0 00
2, 250*66'

State bank notes outstanding

43, 800 00
460 0 0 .
838 75

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

22, 756 46

126 29

Notes and bills re-discounted
Bills payable

157,113 04

Total.

$75, 000 00

Surplus fund
Other undivided profits

Total.

157,113 04

National Exchange Bank, Greenville.
B. R. VAUGHAtf, 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 oilier banks and bankers . .
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
Specie
Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer

No. 1498.
$154,261 73 Capital stock paid in .

""isojboo'oo"

6,610 96
578 42
7, 500 00
505 12
452 00
961
3
80
1,130

00
62
00
00

"ii, 756 65

$150, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

30, 600 68
4, 359 34
129,105 00

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

19, 767 83

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

333, 832 85

Total .

WILLIAM WlNSOR, Cashier.

333, 832 85

First National Bank cf 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.

JOSEPH B. POTTER, Cashier.

$95, 289 42
Capital stock paid in .
2,374 18 :
90,000 00 [ Surplus fund
Other undivided profits
10,000 00

National bank notes outstanding
State banknotes outstanding
3,068 48
2,704 19 '
3,018 02 i Dividends unpaid .
985 95 !
Individual deposits
United States deposits
3,0 i 80 Deposits of U. S. disbursing officers.
2, 176
75
37
700

00
71
50
00

4, 050"66
217,518 25 I

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

i, 000 00
13, 392 35
3,838 15
79, 787 00
916 00
17,964 47

16 70
1, 603 58

REPORT OF THE COMPTROLLER OF THE CURRENCY.
RHODE

197

ISLAND.

National Landholders' Bank, Kingston.
THOS. P. WKLLS, Cashier.

No. 115P.

N. C. PECKHAM, 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.

$94,224 63

Capital stock paid in

|

Surplus fund
Other undivided profits

j
j

21, 000 00
5, 582 66

National bank notes outstanding

"105,666 66

$105,000 00

j

82,094 00

8, 479 06 State bank notes outstanding
5,463 65
2, 900 00 Dividends unpaid
1,151 78

;
j

2,154 30

Individual deposits
181 38 ! United States deposit-!
Deposits of U. S. disbursing officers..
1,080 00 Due to other national banks
81 96 Due to State banks and bankers
1,122 10
5, 325 00 Notes and bills re-discounted
Bills payable
4, 725 00

j
j
I
\
j

7, 707 25

Total..

229, 734 56

,
6, 196 35

i

j
j
j

229,734 56

First National Bank, Newport.
No. 1021.

T. A . SEABURY, President.
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.

$163, 765
1,978
120, 000
50, 000

17
15
00
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
X S. certificates of deposit
L
Due from U. S. Treasurer.

38, 867
8, 346
8, 000
1,020

23
80
00
17

Total.

1,195 40
877 00
105 94
1,438 00
6, 885 00

"B"400 65'

BENM. MUM FORD, Cashier,

Capital stock paid in.

$120, 000 C
O

Surplus fund
Other-undivided profits.

75, 000 00
8,421 59

National bank notes outstanding
j
State bauk notes outstanding . . . . . . . j
Dividends unpaid

j

Individual deposits
I
Un ted S fates deposits
j
Dt p >sits of U. S. disbursing officers . 1
Due to other national banks
Due to State banks and bankers

!
j

Notes and bills re-discounted
Bills payable

108, 000 00
1,470 00

55, 202 63
21, 034 87
10, 581 32

|
i

Total.

407, 878 86

8, 168 45

407, 878 86

Aquidneck National Bank, Newport..
THOS. COGGESHALL, President.

No. 1546.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.

$273, 736 44
356 88
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

43, 006 29
7,521 19
1,200 00
2, 959 39
800 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.




7, 000 00

1,251 35
2, 220 00
693 65
3,642 35
9, 534 00

CHAS. T. HOPKTNS, Cashier.

Capital stock paid in .
Surplus fun d
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
9, 550 23
173, 000 00
435 00
133,250 23

6, 689 08

Notes and bills re-discounted.
Bills payable

9, 000 00
562, 924 54

Total.

562,924 54

198

REPORT OF THE COMPTROLLER OF THE CURRENCY.
RHODE

ISLAND.

National Bank of Rhode Island, Newport.
W. A. CLARKE, President.

No. 1532.

T. P. PECKHAM, Cashier.
Liabilities.

Resources.

$68, 812 50 Capital stock paid in
,
2, 923 55 I
100, 400 00 ! Surplus fund
I
Other undivided profits.
i
"i3,6o6"o6*l
42, 495 00 • National bank notes outstanding
15, 447 85 ; State bank notes outstanding
2, 452 33 Dividends unpaid.
3, 500 00 i
870 63 '
1, 679 24 Individual deposits
United States deposits
1,332 93 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

5,710
162
483
8,355

5100, 000 00
24 266 50
4,155 61
84, 200 00
224 00
59, 308 88

00 Due to other national banks
31 Due to State banks and bankers .
65
00 Notes and bills re-discounted
Bills payable

-i.'soo" 66" j

272, 154 99 l|

Total.

Total.

272, 154 99

National Exchange Bank, Newport.
THiLir C A SWELL, Jr., President.

S. H. NORMAN, Cashier.

Loans and discounts
$119,892 48 Capital stock paid in
Overdrafts
687 18
U. S. bonds to secure circulation
|
100, 000 00 Surplus fund
U. S. bonds to secure deposits
i
Other uudivided profits
U. S. bonds on hand
National bank notes outstanding
Other stocks, bonds, and mortgages..
-Due from approved reserve agents . ..j
46,021 62 State bank notes outstanding
Due from other banks and bankers. ..I
Real estate, furniture, and
fixtures...
4, 500 00 Dividends unpaid
Current expenses and taxes paid
)
1, 334 23
Premiums p aid
!
, Individual deposits
.
.
Checks and other cash items
j
4, 613 26 United States deposits
Exchanges for clearing house
i
Bills of other banks
j
85 00 Deposits of U. S. disbursing officers.
Fractional currency
j
35 29 Due to other national banks
Spocie
2, 048 55 Due to State banks and bankers
Legal tender notes
11, 529 00 Notes and bills re-discounted
U. S. cert; ficates of deposit
.
Due from U. S. Treasurer
j
4, 500 00 Bills payable
Total

I

$100, 000 00
12, 000 00
4,167 12
87,675 00
777 00
82,974 07
7, 425 29
228 13

295,246 6L

295,246 61

Newport National Bank, Newport.
BROWNELL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents -.
Due from other banks and bankers .
Real estate, furniture, arid fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. STEVENS, Cashier.

$185,703 58 Capital stock paid in.
634 26
120, 000 00 Surplus fund
Other undivided profits
59,257 53
1, 342 06
5, 000 00
563 13
1,129 31

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

5,685 00 j Due to other national banks
205 00 I Due to State banks and bankers .
2, 544 94
14, 895 00 Notes and bills re-discounted
Bills payable
5,400 00 |
402,359 81 j

Total.

$120, 000 00
40, 000 00
6, 597 00
107, 000 00
840 00
126, 899 86

1,022 95

402, 359 81

REPORT OF THE COMPTROLLER OF THE CURRENCY. 19!>
KHOOE

ISLAND.

Scituate National Bank, North Scituate.
G. A. A T W O O B , President.

No. 1552.

ALBERT HUBBARD, 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

Liabilities.
$54,743 04
316 95
55, 000 00

406 93
2, 017 77
750 00
6'J2 99
725 77
1, 196 00
22 00
295 70
1, 640 00

Capital stock paid in .

$56, 000 00

Surplus fund
Other undivided profits

7,259 12
1, 538 36

National bank notes outstanding
State bank notes outstanding

46,218 00

Dividends unpaid .

274 00

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

8, 942 67

50 00

Notes and bills re-discounted.
Bills payable

2, 475 00

Total.

120,282 15

120, 282 15

Pascoag National Bank, Pascoag.
J. T. FlSKE, Presid-nt.

No. 1512.

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

$102,809 11

" l o o , 656 65
5, 722 88
39 84
245 50
750 00
40 03
5, 905
22
817
2, 902

00
35
65
00

JAS.

S. COOK, Cashier.

Capital stock paid in.

$100,000 00

Surplus fund
Other undivided profits

.

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

14,573 75
2,fc35 42
60,104 00
350 24

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

25, 890 95

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

4,500 00

Total.

223,754 36

Total.

223,754 36

First National Bank, Pawtucket.
OLNEY ARNOLD, President.

Overdrafts
U. S. bonds to secure circulation
TJ. 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 . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
XI S certificates of deposit
Due from U. S. Treasurer
Total




WM. H. PARK, Cashier.

$643, 992 52
8,351
250, 000 00

$300, 000 00
Surplus fund
Other undivided profits

150, 000 00
16, 751 21

National bank notes outstanding

210, 300 00

28,156 92
15, 325 31

402 00

7,462 47

322, 611 88

33, 708 37

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

8,564 00
Due to State banks and bankers
6, 095 72
26, 801 00

Notes and bills re-discounted
Bills payable

4,664
3,978 06
32, 000 00

12, 250 00
1, 040, 707 83

Total

1, 040, 707 83

200

RP:PORT OF THE COMPTROLLER OF THE CURRENCY.
HHOBE ISLAND.
Pacific National Bank of North Providence, Pawtucket.

CHARLES MOIES, President.

No. 1616.

THOMAS MOIES, Cashier.

Resources.

Liabilities.

Loans and discounts
I $334,343 89 Capital stock paid in.
Overdrafts
j
U. S. bonds to secure circulation
j
160, 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.. j
Due from approved reserve agents...i
30, 735 88 State bank notes outstanding
Due from other banks and bankers... i
737 93
Real estate, furniture, and
fixtures...'
1, 000 00 Dividends unpaid.
Current expenses and taxes paid
j
1, 817 95 Individual deposits
Premiums paid
!
United States deposits
Checks and other cash items
j
3, 696 18 Deposits of U. S. disbursing officers.
Exchanges for clearing house
j
Bills of other banks
i
15,872 00 Due to other national banks
Fractioiiafcurrfency
i
285 90 Due to State banks and bankers
Specie
j
826 50
Legal tender notes
j
10, 000 00 Notes and bills re-discounted
U. S. certificates of deposit
!
Bills payable
Due from U. S. Treasurer
j
7,200 00
Total

i

566,516 23

$200, 000 00
75, 000 00
12, 958 58
133,400 00
558 00
141, 020 39

1,189 80
2, 389 46

566,516 23

Total.

Slater National Bank of North Providence, Pawtucket.
W. F .

IZS, 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 oth^.r 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 batiks
Fractional currency
Specie
Legal tender notes
VI. S. certificates of deposit
Due from U. S. Treasurer
Total .

$570,585 68

GEO. W. NEWELL, Cashier.
$300, 000 00

Capital stock paid in

" 189, 000 00

Surplus fund
,
I j Other undivided profits
| National I ank notes outstanding
1
19,421 11 I State bank notes outstanding
36,987 45 ii Dividends unpaid .
1,500 00
1,894 32 Individual deposits
-.
United States deposits
Deposits of U. S. disbursing officers.
3, 469 26
11,097 00 Due to other national banks
700 00 Due to State banks and bankers
2,554 19
9, 662 00 Notes and bills re-discounted.
Bills payable

846,871 03

Total.

63,584 00
14, 573 40
167,700 00
590 00
264, 686 86
34,791 77
945 00

846,871 03

Phenix National Bank, Phenix.
W. C. AMES, 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... i
Due from other banks and bankers ..j
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
TT. S. eertinoate.-i of deposit
Due from U. S. Treasurer
j
Total




No. 1460.

H. D. BROWN, Cashier.

$90, 364 73 Capital stock paid in
50, 000 00 Surplus fund
Other undivided profits
00 National bank notes outstanding
67 State bank notes outstanding . .
40
62 Dividends unpaid
62
Individual deposits
United States deposits
688 00 Deposits of U. S. disbursing officers..
6 68 Due to other national banks
275 00 Due to State banks and bankers
Notes and bills re-discounted
2,650 00 Bills pay able

10, 000
532
5, 189
4, 077
81

163, 865 72

Total

$100, 000 00
12, 496 94
1,712 77
42, 500 00
357 50
6, 798 51

163, 865 72

REPORT OF THE COMPTROLLER OF THE CURRENCY.
RHODE

201

LAND.

First National Bank, Providence.
N. W. ALDRTCH, President.

H. A. HUNT, 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.
$475,787 83
565, 000 00
100, 000 00
260, 000 00
43,893 75
33,715 19
34, 261 71
13, 208 01
33,009 38
22, 395 99
1,163 00
1,472 22
2, 380 00
9,217 00

Surplus fund
,
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

52, 292 22
508, 000 00
30,132 00

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

166, 050 43
36, 896 33
10, 984 99

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

216,518 11

25, 400 00
Total

1, 620,904 08

Total .

$600, 000 00

Capital stock paid in .

1,620,904 08

Second National Bank, Providence.
J. M. KIM BALL, President.

No. 565.

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

$371,307 71
300, 000 00

19,117 19
3,146 58
22, 0! 5 00
4,348 18
11, 083 33
2, 298 00
19 66
1, 930 00
2, 815 00

Capital stock paid in .

10, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

4,332 07
75, 862 25
258,155 00
8, 456 00

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

71, 063 85

Due to other national banks
Due to State banks and bankers

32, 042 97
1, 6ti8 51

Notes and bills re-discounted
Bills payable

751, 580 65

Total .

W M . W. PAINE, Cashier.

Total.

751, 580 65

Third National Bank, Providence.
O. A. WASHBURN, Jr., President.
Loans and discounts
O verdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bond.s on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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.

No. 636.
$577, 838 53 j

Capital stock paid in .

Surplus fund
..
Other undivided profits .
..
National bank notes outstanding . . .
6,611 01 State bank notes outstanding
10, 405 57 Dividends unpaid

"395,606 00

4,720 43
74, 074 88

3, 702 00
248 67
857 00
4, 432 00

1, 095, 665 09

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
67, 700 00
34, 937 58
352, 500 00
895 00
45 00
113, 984 43
25, 067 94
535 14

1, 095, 665 09

202

REPORT OF THE COMPTROLLER OF THE CURRENCY.
RHODE

ISLAND.

Fourth National Bank, Providence.
R. B. CHAPMAN. President.

No. 772.

H E N R Y R. C H A C 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 mortages . .
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
Bi!l» of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$852,444 79 Capital stock paid in.
20, 669 00
353, U O 00 Surplus fund
O
Other undivided profits

$500,000 00

National bank notes outstanding
41,9-21 22 State bank notes outstanding
7,373 86 Dividends unpaid .
6,013 35 Individual deposits
United States deposits
53,161 83 Deposits of U. S. disbursing officers.
Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable

875 00
441,531 64

3, 155 12

1,363,198 97

Total .

Total.

100,000 00
26, 237 21
296,400 00

Fifth National Bank, Providence.
P. M. MATHEWSON, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. jS. bonds to secure deposits
,
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents.
Due from other banks and bankers.
Real estate, furniture, and fixtures.
Current expenses and taxes paid
Premiums paid
Checks and other cash items . . . .
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 1002.
$402, 554 65
4 54
291,000 00

13, 333 54
15,125 41
" i , 9 3 3 45
12, 784 25
13,141 00
720 00
3, 882 96
6, 092 00

A. G-. STILLWELL, Cashier.
$300, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

60, 000 00
15, 743 03
240, 500 00
1,186 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

139, 042 27
12, 000 00

7, 900 00
768,471 80

768, 471 80

Total.

American National Bank, Providence.
STEPHEN HARRIS, 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 moitgages..
Due from approved reserve agents . .
Due from other banks and bunkers...
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
Sp-cie
Legal tender notes
,.
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1472.
51, 717,101 31
667, 000 00

WILLIAM OLNEY, Cashier

Capital stock paid in.
Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outbtanding

4 750 00
J 3, 367 55
15.245 4ti Dividends unpaid.
15 000 00
16,942 87 Individual deposits
United States deposits
6, 724 45 Deposits of U. S. disbursing officers6, 072 00
103 69
1,751 02
1,462 00

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

$1,437,650 00
183, 000 00
67, 747 13
577, 376 00
2,994 00
232, 432 70

320 52

36, 000 00
2, 501, 520 35 I

Total.

2,501,520 35

REPORT OF THE COMPTROLLER OF THE CURRENCY.
RHODE

203

ISLAND,

Blackstone Canal National Bank, Providence.
1NTO. 1328.

W I L L I A M AMES, President.

O R E N W E S T C O T T , Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
^
U. S. bonds to secure circula4^u
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents - . .
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$632,382 63
" l 8 5 , 000 66

62,138 22
4,912 25
27, 750 00
2, 400 00

Capital stock paid in.

$500,000 00

Surplus fund
Other undivided profits

54,100 00
25, 594 63

National bank notes outstanding . . .
State bank notes outstanding . . . . . .
Dividends unpaid .

166, 500 00
3, 019 75

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

203, 145 25

12, 842 00 | Due to other national banks
100 00 Due to State banks and bankers .„..
1,454 98
12, 700 00
Notes and bills re-discounted.
Bills payable
1,525 00 i:

17,614 84
109 60

26, 878 99

Total.

Total.

970, 084 07

City National Bank, Providence.
A. C. BARSTOW, President']

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U.S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. 1429.
$710,017 26
""278,500 00"

15.119 25
7,917 77
4, 740 22
17, 334 10
3, 134
58
2, 700
22, 000

00
16
00
00

Capital stock paid in

$500, 000 00

Surplus fund.
Other undivided profits

i.

National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid .

108,831 93
11,084 19
224,950 00
1,010 00

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

219, 965 37

189 15
8, 022 62

Notes and bills re-discounted.
Bills payable

12, 532 50
Total.

1, 074, 053 26

Total.

E. A. SMITH, Cashier.

1, 074, 053 26

Commercial National Bank, Providence.
DANIEL 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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Suspense account
Total.

H. Ex. 3- -10




No. 1319.
$1, 152, 666 65
446,000 00

H. G ARNOLD, Cashier.
L

Capital stock paid in.
Surplus fund
Other undivided profits

., 0C0, 000 00
97, 000 00
16, 273 76

10,000 00
13, 971 88
13,104 65

National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid .

393, 550 00
3, 259 50

6, 933 35
.2,400 00
18,182 61

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

182, 218 54

5,345 00
4, 476 80
2, 300 00

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

4, 792 49
6,349 15

20, 062 50
8,000 00
1, 703, 443 44

Notes and bills re-discounted.
Bills payable...,,
Total..

I, 703, 443 44

204

REPORT OF THE COMPTROLLER OF THE CURRENCY.
RHODE

ISLAND.

Globe National Bank, Providence.
No. 1136.

JESSE METCALF, President.

T. SALISBURY, 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, 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

$296,431 96 Capital stock paid in
"314, 000 00

10, 000 00
14, 780 51

National bank notes outstanding
17, 632 43 State bank notes outstanding
185 97 Dividends unpaid
3, 858 71 Individual deposits
United States deposits
6, 329 73 Deposits of U. S. disbursing officers.
156 00
25 07
175 00
7, 700 00

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

265, 200 00
55 50
52, 783 50

3, 678 36

Notes and bills re-discounted
Bills payable

646, 497 87

Total.

$300, 000 00

Surplus fund
_f
^e
Other undivided profits..,

Total.

646, 497 87

Lime Rock National Bank, Providence.
THOS. J. HILL, President.

No. 1369.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand..
Other stocks, bonds, and mortgages . .
Due from approved reserve agents...
Due from other banks and bankers . Real estate, furniture, and 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
j
U. S. certificates of deposit
;
Due from U. S. Treasurer
j

$316, 648 84

Capital stock paid in.

"ll7, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

25, 404 30

$250,000 00

Dividends unpaid .
2, 883 76
2, 493 60

23, 500 00
11,494 67
103, 5G0 00
1,103 50

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

89,126 05

" 3," 977* 00" D u e to other national b a n k s
,
Due to State banks and b a n k e r s .

451 7i
4, 600 00 Notes and bills re-discounted
5, 265 00

Bills payable

478,724 22

Total.

J. W. ANGELL, Cashier.

Total.

478,724 22

Manufacturers' National Bank, Providence.
THOMAS HARKNKSS, President.

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




No. 2283.

G. A. PHILLIPS, Cashier.

$676,261 22 Capital stock paid in.
505, 000 00

Surplus fund
,
Other undivided profits
,
2,500 00 j National bank notes outstanding
55,761 20 J State bank notes outstanding
2,616 55 j Dividends unpaid .
313 50 j Individual deposits
I United States deposits
16, 389 48 Deposits of U. S. disbursing officers
4,883 00 Due to other national banks
55 38 Due to State banks and bankers
5, 600 00
Notes and bills re-discounted.
j Bills payable
22, 500 00

! 1,291,880 33

Total.

$500, 000 00
188, 260 56
302 37
434, 323 00
4,219 00
16,172 00
148,489 63

113 77

1,291,880 33

REPORT OF THE COMPTROLLER OF THE CURRENCY.
R H O D E

205

I S I A N B .

Mechanics' .National Bank, Providence.
L E W I S DEXTER, President.

No. 1007.

S. IT. ..TJNGLKY, Cashier.

Liabilities.
$686,753 01 I Capital stock paid in
j
Loans and discounts
Overdrafts
""506,600 00
Surplus fund
|
U. S. bonds to secure circulation
U. S. bonds to secure deposits.. „
O ther undivided profits
U. S. bonds on hand
National bank notes outstanding
Other stocks, bonds, and mortgages..
,
15,525 32 State bank notes outstanding
Due from approved reserve agents...
18,-277 33
Due from other banks and bankers ..
Dividends unpaid
22, 000 00
Real estate, furniture, and fixtures...
1,901 12
Current expenses and taxes paid
Premiums paid
j . . . . . . . . . . . . . . . . In dividual deposits
United States deposits
Checks and other cash items
I
26, 375 79 Deposits of U. S. disbursing officers.
Exchanges for clearing house
!
Bills of other banks
|
142 00 Due to other national banks . . .
Fractional currency
!
475 49 Due to State banks and bankers
Specie
!
1, 500 00
Legal tender notes
|
5, 000 00 Notes and bills re-discounted . . .
Bills payable
U. S. certificates of deposit
|
Due from U. S. Treasurer
j
22, 500 00 j |
Total

1,300,455 06 ||

Total

$500, 000 00
100,000 00
86, 019 23
441,400 00

2,424 00
155,458 52

15, 153 31

j 1, 300, 455 06

Merchants' National Bank, Providence.
No. 1131.

R. C. TAFT, President.

$1, 360, 590 55

Loans and discounts.
Overdrafts
U. S. bonds to secure circulation
"""350," 666" 65"
U. S, bonds to secure deposits
j
U. S. bonds on hand
j . . .
Other stocks, bonds, and mortgages -.
Due from approved reserve agents...
47, 082 27
Due from other banks and bankers..
71,554 18
75, 000 00
Real estate, furniture, and fixtures •-..
Current expenses and taxes paid
.
Premiums paid
Checks and other cash items
13, 387 01
Exchanges for clearing house
15, 792 00
Bills of other banks
287 14
Fractional currency
3, 069 00
Specie
24, 300 00
Legal tender notes
U. S. certificates of deposit
29, 500 00
Due from U. S. Treasurer
Total.

J . W. VERNON, Cashier.

Capital stock paid in

| $ 1, 000, 000 00

Surplus fund
Other undivided profits

200, 000 00
9, 359 02

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

299, 500 00

. ^.;

Dividends unpaid

...

!

21,444 00

Individual deposits
]
United States deposits
'
D eposits of U. S. disbursing officers..!
Due to other national banks
\
Due to State banks and bankers
!
Notes and bills re-discounted
Bills payable.
\

191,164 23

Total.

1,990,562 15 I

238, 769 79
27, 325 1
L
,.
1,990,562 15

National Bank of Commerce, Providence,
EDW.

A. GREENE, President.

Loans and discounts
Overdrafts,
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid. . . .
Premiums paid
Checks and other cash items
Exchanges for 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.
$2,152,178 35
808, 000 00

JOHN FOSTER, Cashier.

Capital stock paid in

$1, 709, 200 00

Surplus fund
Other undivided profits

196, 000 00
190, 510 41

50, 000 00
68, 095 64
5,560 13
63, 538 66

National bank notes outstanding . . .
State bank notes outstanding

716, 700 00

"is"666"66'

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

29, 026 42
6, 787 00
90 30
10,280 00

13, 000 00

Dividends unpaid .

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

12, 536 25
362, 096 63

38,122 07
8,751 14

3, 233, 916 50

206

REPORT OF THE COMPTROLLER OF THE OURKEN'Cr.
BiHODE

ISLAND.

National Bank of North America, Providence.
iNro. 10W.

SETH P:V.y^LroiiD, Presifknt.
IU oiii ( s
Lt rin , rd

1, 000, 000 00

776, 000 00 | Surplus fund
,
| Other undivided profits
i
j; National bank notes outstanding .
State bank notes outstanding
27, 522 10
40, 903 62
Dividends unpaid
66, HOD 00
5,010 28
Individual deposits
j
United States deposits
31, 176 79
! >epo,sits of U. S. disbursing officers..

D n c 1 ( m ' p j i o \ < d r e - p i v< a g e n t s . .
D u e f i o i n < 11 v • 1)<«D!VS a n d
.inkers...
1-Oul < T lt«', tUTP i l l i e , .11 d VXtUK'S. . .
C'u m < q i L^ t u i I it M p . u d
Pieiiuiuu pai I

E x e u r g *. i<ii c!» iin,J:
Bill -• ' \K.O\ IM > ,
F;aciiuij,)] a ' U ' . i )
Spetu
lAg.lt
lc.,of
U. S. C Him . t . - f '' ]>

2, i:00 00
535 19
18, 400 00
34, 9 lO Of

L ( i . I . - . ' >«« , l ,
Total.....

Liabilities.

$1, 187, 097 34 : Capital stock paid in.

T {N. »i n i to n . lit* e n d . l
on
I \ y. s<nn\ t o ^ c i n e dcj.o^ t s
l \ S. t«M .1 o n b . m 1
O t h ' i f o ( . ^ o , (-jj ! , a id P K ' i t g . i g e s . .

D d t

G. E. JACKSON, Cashier.

i

I >ue to other national banks
inie to State banks and bankers

667, 400 00
5,980 00
221,775 90

38, 1'. 0 26
22, 748 13

Notes- and bills re-discounted.
' ri;l,- payable

2, ! 69, 720 S-i

...

j

200, 000 00
33,706 03

Total

, 189, 720 32

ITational Eagle Bank, Providence.
J O S E P H SWET:T, President.

No. lo.j'i.

Loans and discounts
Overdrafts......
U. S. bonds to ye.cure cireubition. . . . |
U. S. bonds to secure deposits
;
IT. S. bondtJ on hai;d
....'.
Other stocks, bomK and mortgages..',
Due from approved reserv- ag ith . . j
Due from other banks and [ • --ii> K. r s . . . |
Real estate, furnilure, arid iixtures- . . ! .
Current expenses and taxes paid
;
!
Premiums paid
.
Checks and other cash items...
.... |
Exchanges for clearing house
'.
Bills oi other banks
j
Fractional currency
i
Specie
j
Legal tender notes
j
IT. S. certificates of deposit
j.
Due from U. S. Treasurer
|

#70-1,692 28

$500, 000 00

«.>p.t,il stock paid in

500, 000 i(U

surplus fund
diid
Other uudivided profits

116,970 40
30,681 36

6,932 i3
201,983 45
37,U65 55

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

396, 109 00

6,484 86
298, 295

Dividends unpaid

2, 133 75

Individual deposits
I r ".ited States deposits
Deposits of U. S. disbursing officers.

5, 56 L 00 ! Due to other national banks
437 83 Das to State banks and bankers
840 05
40, 709 00 : Notes and bills re-discounted
Bills payable
,
9,250 00 |
1,812,252 04

Total.

CHAS. F . SAMPSON, Cashier.

Total..

736,306 43

30,051 10

1, 812, 252 04

national Exchange Bank, Providence.
II. L. KKNDALL, President.

No. 1339.

Loans arid discounts
j
Overdrafts
—.
j.
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 . . |
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
j
Fractional currency
j
Specie
;
Legal tender notes
j
Due from U. S. Treasurer
j
Suspense account
,
Total




j

CHAS. H. SHELDON, Cashier.

$486, 823 29

Capital stock paid in

'278"6oi)"oo"

Surplus fund
„
Other undivided profits

100, 000 00
19, 050 68

National bank notes outstanding
State bank notes outstanding
02
54
Dividends unpaid.
00 :
57
G6 , Individual deposits
United States deposits
13, SCO 89
Deposits of U. S. disbursing officers.

218,760 00
857 00

50, 000 00
42, 173
5,515
50, 000
3,015
9.331

9, 658
520
2, 550
6, 700
1 i, 125
10, 500

00 ! Due to other national banks
28 \ Due to State banks and bankers .
00 '•
00 ' Notes and bills re-discoun+ed.
00 ; Bills payable
00 ;

982,713 25

Total .

$500, 000 00

924 00
142, 929 55

192 02

982,713 \

REPORT OF THE COMPTItOLLVlii OF THE CURRENCY.
R II O

207

J! ."> *L A W

Old National Ban*;. Providence.
GEO.

X:\ i 151.

W. HALLET, President.

- F. A. CRANSTON, Conner.
Liabilities.

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.

$506, 516 11
3 19
419, COi) 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, 2J6 59

$500, 000 00
42, 839 37
24,718 47
356, 000 00

' "National bank notes outstanding
Mate bank notes outstanding

105^00 00 J ^ividcndH unpaid....,
5 89b 15 T T • i T J
-x
'
In lividua! deposits . .
Inn ted states deposit;?
I
6, 978 20 u posits of U. S/diribursing officers.. |

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
Due from U. S. Treasurer.

4774 00 , >!ia to other national banks
978 07 Diu1 to ib.ate brinks and bankers . . . .
15, 00'^ oo

668 00
205, 683 88
,
578 55
86,178 91

N )t< s and bills re-discounted.
\i 11, p ivaole- -

22450 00
.

Total.

C ipital stock paid iu
Surplus fund
Other undivided profits

Tot u.

1, 210, 667 16

1,216,667 18

Fhenix National Bar.li, Providence.
Gvo.

E D W A R D P E A K C 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.

v

$876, 3v ) 67
5, 616 4 »
«
450, 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.

b'), 702
t», 6 1 9
27, 5')0
7,829

Checks aud other cash items
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.i -»itJi -tock p aid i n . . . . . . . . . . . . . . . . !
^urpnn fund
O tii*r u.i iivided profits

12, 062 C
O

386, 050 00
....„
.

427, 463 55

1,092 50

Dae to ot'ier national banks
Dvie to State banks and bankers

15,7"9 Pi
] 8, 746 00

Notes .VNI bills re-discounted
K 1- u n t i l e
>

23. ^50 (K)

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

18, GPL 99

100 00

11,401 00
61-5 18
3, 072 00
45, 000 00

»»
.
28,5'J4 49
4,807 30

; 1,557,434 13

li, Providence.

II

T;9, 163 50
32, -41 28
14,00) 00

Checks and other cash items
Exchanges for clearing house
Billti of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of d e p o s i t . . . . . . . . . . .
Due from U. S. Treasurer.

j
'•
\
...J
I
!

T -tal

•I, 036, 4^2 55
115 H
240,000 0)




.j
...I

D vidvindsunpaid.

Providence National

Total.

79, 582 68
179, 903 61

Tu'livi lu.il deporiits
!
I u.k'd States deposits
i
D 'po^iih of U. S. disbursing officers.

K<)
56
00
47

1, 557,4*34 13

WM. GrODDARD, President.

$450, 000 00
i
|

N. tion il bank notes outstanding
Si lit uo.uk notes outstasidlng

21, 278 35

Total.

E. MAUTIN, Cashier.

BENJ. W. HAW, Cashier,
( . pit i\ ^t jck paid in
1US tnnd.
...
undivided profifcH
Nation 1 Lank notes outstanding . .
"Uate bank notes outstanding
.
) nds unpaid.

_. |

$500, 000 00
201, 7fM 06
645 09
210, 0H0 00
2, 100 00
7, 344 00

I,"iivirtual deposits
V nt<\i .States deposits
j), po,its of U. S. disbursing officers

151,371 30

D'lP to other national banks . . . . . .
Dae to State banks and b a n k e r s . . .

136, 638 02
240,966 61

X >tes tmd bills re-discounted.
HA\- payable

12, 300 00 i
1, 453, 789 08 \

Total

1, 453, 789 08

208

REPORT OF THE COMPTROLLER OF THE CURRENCY.
RHODE

ISLAIVD,

Rhode Island National Bank, Providence.
HENRY LIITITT,

S. IT. TABOR, Cashier.

No. 983.

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 fixture;-!-.
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. £!. Treasurer

$600, 000 00

1, 375, 470 57

Total

$663, 290 95 Capital stock paid i n . .
108 21
485, 000 00 Surplus fund
Other undivided profits
29, 701 59 National bank notes outstanding
86, 754 40 State bank notes outstanding
31,976 49
1,404 74 Dividends unpaid
5, 6-29 43
Individual deposits
34,273 54 United States deposits
9, 601 00 Deposits of U. S. disbursing officers..
1,209 68 Due to other national banks
3, 940 00 Due to State banks and bankers
12, 600 G
O Notes and bills re-discounted
'""'3," 980* 54* Bills payable

1,375,470 57

Total.

3. 000 00
31J871 12
408,100 00
2, 802 72
324, 874 45

4,822 28

Roger Williams National Bank, Providence.
CYRUS HARRIS, President.

No. 1506.

Loans and discounts
I
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 from U. S. Treasurer

W. H. WATERMAN, Cashier.
$499, 950 00

$639, 959 98 Capital stock paid in .

""I9o,"o6o"o6"
19, 265
417
50. 000
'896

94
43
00
56

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

100 000 00
47, 354 35
159, 250 00
6,143 54

Dividends unpaid

98, 220 10

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

11,689 45

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

21,087 19
159 49

Total

Total.

932, 164 67

Traders' National Bank, Providence.
HENRY A. WEBB,- President.
Loans and discounts
O v erdrafts
U. S. bonds to secure circulation
IT. S. bonds to secure deposits
U. S. bonds on handOther stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate-* furniture, and fixtures..
Current expenses and taxes paid.
Premiums paid
Checks and other cash items
Exchanges for 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.

$198,042 47 Capital stock paid in
"""156,000 00* Surplus fund
Other undivided profits
National bank notes outstanding
16, 909 34 State bank notes outstanding
209 37 Dividends unpaid .
900 00
1,959 24 Individual deposits
765 00 United States deposits
6, 612 23 Deposits of U. S. disbursing officers.

$200, 000 00
13, 886 00
13, 789 44
132,206 00
1,093 25
32, 948 59

662 00 Due to other national banks
523 63 Due to State banks and bankers .
1,645 00
2, 675 00 Notes and bills re-discounted.
Bills payable
7, 020 00

393, 923 28

Total.

393, 923 28

REPORT OF THE COMPTROLLER OF THE CURRENCY. 209
ElfOPE

ISLAND.

Weybosset National Bank, Providence.
G. A. SEAGRAVE, 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...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
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

O. A. JILLSON, Cashier.

$611,953 58
334, 000 00

Capital stock paid in.
!
I

National bank notes outstanding
State bank notes outstanding

59, 441 85
48, 387 41

j

,
1 9, 237 65

285, 400 00

Dividends unpaid .
1,446 38
8, 415 81
6, 434 00
70 93
985 00
9, 621 00

5,119 34

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

108, 697 28

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

15,005 00
1, 007, 169 35

Total.

$500,000 00

Surplus fund
Other undivided profits

Total.

1, 007,169 35

First National Bank of Bmitlifield, Slatersville.
WJI. S. SLATER,

President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
.j
U. S. bonds to secure deposits
I
U. S. bonds on hand
O ther stocks, bonds, and mortgagesj
Due from approved 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

No. 1035.

W M . H. SEAGRAVE, Cashier.

$108, 295 82 | Capital stock paid in.
i
100, 000 00

$100, 000 00

Surplus fund
I Other undivided profits

30, 512 07
6, 352 45

.
,

National bank notes outstanding
504 76 State bank notes outstanding
2, 113 49 ! Dividends unpaid .

1
I.

1, 091 02 | Individual deposits
United States deposits
155 00 Deposits of U. S. disbursing officers.

611
5
493
1,594

85,116 00
886 52
2,496 67

00 | Due to other national banks
62 j Due to State banks and bankers.
00
00 Notes and bills re-discounted.
Bills payable.

Total

National Exchange Bank, Wakefield.
J. P. 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, 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..




No. 1554.

A. ROBINSON, Cashier.

$57, 430 24 | Capital stock paid in.
6 40 |
28, 500 00 j Surplus fund
Other undivided profits
7,000 00 National bank notes outstanding
State bank notes outstanding
16, 631 62
507 33
Dividends unpaid.
3, 500 00 j
59 78 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
895 00

$70, 000 00
5, 670 00
317 m
34, 650 00

700 00
15, 070 67

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

145 70
Notes and bills re-discounted.
Bills payable
1, 732 50
126, 408 57

126, 408 57

210

REPORT OF THE COMPTROLLER OF THE CURRENCY.
KHODE

ISLAND.

Wakefleld National Bank, Wakefield.
B. F . ROBINSON, President.

No. 1206.

D. M. C. STEDMAN, Cashier..

Liabilities.

Resources.
Loans and discounts
Overdrafts
XJ. 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

$100,503 37

20, 0C0 00
3,228 01

Other undivided profits

68, 600 00

National banknotes outstanding
State bank notes outstanding

44,856 97
208 30
1,500 00

2,309 72

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

5,041 60

47,313 60

1,759 00 Due to other national banks
15 09 Due to'State banks and bankers
1,107 00
2,000 00 Notes and bills re-discounted.
Bills payable...
4,400 00
241,451 33

Total .

$100,000 00

Capital stock paid in.

" "80," 666'00" Surplus fund

Total .

241,451 33

First National Bank, Warren.
GEO.

No. 673.

L E W I S COOKE, President.

Loans and discounts
I
Overdrafts
IT. S. bonds to secure circulation
U. S. bondstosecure 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
Premiumspaid
j
Checks and other cash items
j
Exchanges for clearing house
j
Bills of other banks
j
Fractional currency
;
Specie
|
Legal tender notes
j
!
IT. S. certificates of deposit
Due from U. S. Treasurer .
\
Total.

W. P. FREEBORN, Cashier.

$155,823 91

Capital stock paid in .

*"I6o"6o6*6o"

Surplus fund
| Other undivided profits

$150, 000 00
4,401 54
15,351 5L

National bank notes outstanding
5,207 18 State bank notes outstanding
4,356 50
5,072 72 I Dividends unpaid .
1,168 07 j Individual deposits . . .
..........
United States deposits.
670 72 Deposits of U. S. disbursing officers.

87, 665 00
666 00
21, 735 51

2,816 00 Due to other national banks
40 58 Due to State banks and bankers .
163 88
, Notes and bills re-discountedBills payable
4, 500 00
Total.

279,819 56

279,819 56

National Hope Bank, "Warren.
G. T. GARDNER, 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
Fjxchanges for clearing house . . .
Bills of other banks
Fractional currency
Specie
Legal tender notes
IT. S. certificate-; of deposit
Due from IT. S. Treasurer
Total




No. 1008.
$142, 645 (
130,000 00

9,111 98
5,132 88
3,228 92
303 53

1,043 00
38 35
500 00
200 00

GEO.

WILLIAMS, Cashier.

Capital stock paid in .
Surplus fund .
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$130,000 00

26, 000 00
9, 633 51
116, 675 00

Dividends unpaid.
Individual deposits
Uuited States deposits
Deposits of IT. S. disbursing officers..
Due to other national banks
Duo to State banks and bankers

15, 272 36

472 87

Notes and bills re-discounted .
Bills payable

5,850 00
298,053 74

298,053 74

REPORT OF THE COMPTROLLER OF THE CURRENCY. 211
RHODE

ISLAM®.

National Warren Bank, Warren.
No. 1419.

E. A. S W I F T , President.

IT. W. EDDY, 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
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.,

$208,140 88 Capital stock paid in

"135," 666" 66"

Surplus fund
Other undivided profits

$200, 000 00
18, 452 33
13,692 80

..

120,300 00

National bank notes outstanding
5, 558 56
4,543 44
4,500 00
i,607 92

327 00
33 93
84 00
],800 00

State bank notes outstanding

j.
867 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

14,358 60

Notes and bills re-discounted
Bills payable

6,075 00
367,670 73

367, 670 73

Total

National Niantic Bank, Westerly.
D. F. STILLMAN, Cashier.

No. 823.

II. N. 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
IT. S. certificates of deposit
Due from U. S. Treasurer

$256, 089 23 Capital stock paid in
41 50
250, 000 00 Surplus fund
25, 000 00
2,000 00
23, 207 33
1,416 55
10,701 45
1,119 99
1,500 00
6,912 85

74,951 98
6, 550 46

Other undivided profits
National bank notes outstanding

224, 750 00

State bank notes outstanding
1, 627 97

Dividends unpaid

Individual deposits.
United States deposits
Deposits of U. S. disbui*sing officers..
6, 565 00 Due to other national banks
128 14 Due to State banks and bankers

51,692 63

341 00
3, 000 00 Notes and bills re-discounted
21, 550 65
609, 573 04

Total.

$250, 000 G
O

Bills payable
Total.. „

National Phenix Bank, Westerly.
J. B. FOSTER, Cashier.

E D W I N 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.Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Total .




$163,864 36
Capital stock paid in.
97 !
150, 000 00 II Surplus fund
I Other undivided profits
I National bank notes outstanding
31,425 70 i State bank notes outstanding
8, 263 40
1, 265 01
2, 913 36
4,441 00
100 17
1,420 00
5, 335 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
34, 000 00
6, 627 69
133,533 C
O
1,171 00
49,470 68

973 60

Notes and bills re-discounted.
Bills payable

6, 750 00
375, 778 97

Total.

375, 778 97

212

REPORT OF THE COMPTROLLER OF THE CURRENCY.
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. bond.3 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
Checks and other cash items
Exchanges 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.
$150, 000 00

$142,672 37 j! Capital stock paid in.

"i5O f ~666"66'|| Surplus fund
Other undivided profits
2,500 00 ||National bank, notes outstanding
47,031 98 ' State bank notes outstanding
1, 623 02
10, 000 00 Dividends unpaid.
923 75 || Individual deposits
],800 00 ji United States deposits
1,468 01 jl Deposits of U. S. disbursing officers.

50, 000 00
7,416 31

20," 000" 00" I j

S L 00
O
14 50
455 28
1,351 00
7,150 6

2, 217 00
39, 689 37
3, 523 23

! Duo to other national banks
I! Due to State banks and bankers.
!
j| Notes and bills re-discounted
i| Bills payable.

387, 790 91

134, 945 00

Total.

387,790 91

Wickford National Bank, Wickford.
No. 1592.

J. J. REYNOLDS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
I
U. S. bonds to secure deposits
IT. 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 b a n k s 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

$125, 000 00
100 00
112 76

92, 500 00 1 Surplus fund
1
j j Other undivided
!

14,753 12
603 56
10,000 00

386 08

1 284 00
22 75
445 50
2,700 00
4

profits
National bank notes outstanding
State bank notes outstanding

.

80,705 00

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

29,109 31

Dividends unpaid.

552 00

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

100 00

235 579 07

Total.

N. N . S P I N K , Cashier.

$108,784 06 j | Capital stock paid i n .

Total.

235,579 07

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 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 fromU. S. Treasurer
Total.




No. 1402.

R. G. RANDALL, Cashier.

$151,315 19 Capital stock paid in.

"" io7," 66o "66" Surplus fund
Other undivided profits
65,804 61
412 93

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

447 82

Individual deposits
United States deposits
2, 038 93 Deposits of U. S. disbursing officers.
3, 886 00 Due to other national banks
164 99 | Due to State banks and bankers.
1,187 50 |
4, 825 00 Notes and bills re-discounted.,
Bills payable
,
4,815 00
341,897 97 \

Total.

$107, 000 00
37,695 30
1,223 03
91, 900 00
2, 927 50
94, 424 83

6, 727 31

341,897 97

REPORT OF THE COMPTROLLER OF THE CURRENCY.
RHODE

213

ISLAND.

Citizens' National Bank, Woonsocket.
O. J. RATHBUN, President.

No. 970.

W. H. ALDRICH, 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

Liabilities.
$122,651 53 '!Capital stock paid in

$100, 000 00

189 40 ii
72,500 00 1 Surplus
1

fund-....„
Other undivided profits
National bank notes outstanding
19,951 30 State bank notes outstanding
Dividends unpaid .
881 72 Individual deposits
United States deposits
72 98 Deposits of U. S. disbursing officers .
1,249
55
737
1, 380

00 | Due to other national banks
17 Due to State banks and bankers
50 j
00 | Notes and bills re-discounted.
Bills payable
3, 262 50
Total.

Total.

16,000 00
5,581 61
65, 250 00
1, 020 25
30, 889 97

4,189 27

222,931 10

National Globe Bank, Woonsocket.
SPENCER MOWRY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U.S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses 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

$97, 653 46
3,818 30
61, 000 00

19, 308 50

$100, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

20, 000 00 Dividends unpaid
426 25 Individual deposits
United States deposits
1,225 00 Deposits of U. S. disbursing officers .
324 00
144 89
1,711 48
1,000 00

24, 000 00
1, 273 37
54,200 00
1,649 00
28, 234 51

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

2, 745 00
Total.

209, 356 88

Total.

R. P. SMITH, Cashier.

No. 1423.

209, 356 88

National Union Bank, Woonsocket.
W I L L I S COOK, President.

Loans and dii
Overdrafts...
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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. READ, Cashier.

$182, 958 39 I

"156,666 66" I
2, 500 00
1, 602 77

$150, 000 00
Surplus fund
,
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

40, 000 00
12, 876 80
133, 800 00

Dividends unpaid .

439 00
5 10
158 00

1,522 00

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

6,214 46

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

6, 750 00 !
344,413 26

Total.

344,413 26

214

REPORT OF THE COMPTROLLER OF THE CURRENCY.
RHODE

ISLAND.

Producers' National Bank, Woonsocket.
CHARLES NOURSE, President.

No. 14:21.

THEO. M. COOK, 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

$269,262 18 Capital stock paid in

360
214
340
500

00
83
00
00

9," 000 bo

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

505, 697 07

Total.

$200, 000 00

""200,000 00 Surplus fund
|
Other undivided profits
National bank notes outstanding
17, 620 06 State bank notes outstanding
Dividends unpaid
" 2, 400 00
Individual deposits
,
" 6," 000'66' United States deposits
Deposits of U. S. disbursing officers

Total.

!

87, 000 00
190 48
169, 950 00
10, 234 00
34,351 75

3, 970 83

505, 697 07

Woonsocket National Bank, "Woonsocket.
No. 1058.

LYMAN A. COOK, 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...i
Current expenses and taxes paid
j
Premiums paid
!
Checks and other cash items
Exchanges for clearing h o u s e . . . . . . .
Bills of other banks
Fractional currency
S pecie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




.-.!

L. W. BALLOU, Cashier.

$360, 854 54 Capital stock paid in
53 70
200, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
3fi, 099 47 State bank notes outstanding
23, 947 42
Dividends unpaid
.Individual deposits
1, 340 37 United States deposits
6, 178 00 Deposits of U. S. disbursing officers .
215 85 Due to other national banks
1,130 00 Due to State banks and bankers
7, 500 00 Notes and bills re-discounted
9,600 66 Bills payable
646,319 35

Total

$200, 000 00
120,000 00
7,303 80
170, 900 00
6,751 50
69,031 91

2, 823 72
69, 508 42

646, 319 35

REPORT OF THE COMPTROLLER OF THE CURRENCY.

215

CONNECTICUT.
Ansonia National Bank, Anscnisji
CHAS. II. VISE, Cashier.

No. 1093.

THOS. WALLACE, 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

$231,457 20

$200, 000 00

Capital stock paid in .

"loo,"66o 65
io,"o6o 66

Surplus fund
Other undivided profits
National bank notes outstanding
3,398 28 State bank notes outstanding
9, 595 26 Dividends unpaid .
8, 000 00
1,356 58 Individual deposits
1, 000 00 United States deposits
1,813 7L Deposits of U. S. disbursing officers .
1,343 00
190 75
693 50

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

9.000 00
5, 854 16
88,200 00

148 75
71,224 60

820 77

Notes and bills re-discounted..
1, 900 00 ,j Bills payable
4,500 66"|

Total.

Total.

375, 248 28

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 clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

"

JOSEPH ARNOLD, Cashier.

$444, 606 18 ; Capital stock paid in .
941 10
300, 000 00 Surplus fund
Other undivided profits
500 66"
National bank notes outstanding . . .
10, 000 00
State bank notes outstanding
12,271 36
18, 222 43
2, 376 03
1,110 00

7, 916
815
8, 228
16,110

Dividends iinpaid .

$300, 000 00
100,000 00
19,641 46
267, 280 00
1,175 00

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

148, 284 71

00 Due to other national banks
00 Due to State banks and bankers .
35
00 j Notes and bills re-discounted
.
Bills payable

215 28

836, 596 45 '

836,596 45

First National Bank, Bridgeport.
E. S. llAWLEY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents ..
Due from other banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks aud other cash items
Exchanges 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 . E. SEELEY, Cashier.

$385, 194 66 Capital stock paid in .
229 36
212,000 00 Surplus fund
50,000 00 Other undivided profits.
44,838 62
25, 143 23
2,307 07
6, 545 15

National bank notes outstanding
State bank notes outstanding.

$210,000 00
105, 000 00
25,978 41
182, 000 00

,

Dividends unpaid -

Individual deposits
| United States deposits
3, 063 87 Deposits of U. S. disbursing officers
8, 0f)4 00
834 00

12, 000 00

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

895 00
205, 904 82
14,192 97
1,125 06
13,160 20
1,413 50

9, 450 00
759,669 96

Total.

759, 669 96

216

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
Bridgeport National Bank, Bridgeport.
No. 910.

MONSON HAWLEY, President.

F. N. BEN HAM, Cashier.

Resources.

Liabilities.
$332,446 57
Capital stock paid in.
125 10
216,000 00 |j Surplus fund
1 Other undivided profits
1

Loans aud discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents.
Due from other banks and bankers
Real estate, furniture, and fixtures.
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 850 00
:

io'ooo 66

19,100 00 jj National bank notes outstanding
State bank notes outstanding
9,624 10
27, 300 33
Dividends unpaid .
8,000 00
3,691 28
2,311 73 ! Individual deposits
I United States deposits
2, 567 35 j Deposits of U. S. disbursing officers..
| Due to other national banks
495 49 Due to State banks and bankers
805 00
4,500 00 : Notes and bills re-discounted.
Bills payable
3," .122" 66"

80, 000 00
17, 878 75
194,250 00
1,3 83 00
120, 825 47

17,779 15
3, 035 08

City National Bank, Bridgeport.
No. 921.

Gr. B. W A L L 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 . . - j
Current expenses and taxes paid
\
Premiums paid
|
Checks and other cash items
j
Exchanges for clearing house
'
Bills of other banks
\
Fractional currency
j
!
Specie
Legal tender notes
j
U. S. certificates of deposit
j
Due from U. S. Treasurer
j

J. F . FAYERWEATHER, Cashier.

Capital stock paid in
2,676 80 |
250,000 00 :|Surplus fund
Other undivided profits .
10,000 00
5,450 00
National bank notes outstanding
State bank notes outstanding
32, 274 07
7, 062 32
.
38, 495 8:1 Dividends unpaid
4, 397 28
Individual deposits
,
United States deposits
,
7, 976 89 j Deposits of U. S. disbursing officers

$463,8-28 36

16,333 00 jlDue

ioo oo !! Due

to other national banks
to State banks and bankers .

65,776 28
9, 873 45
198, 200 00
513 00
333, 971 74

6, 720 OS

210 (JO ji
Notes
15,000 00 | j

and bills re-discounted.
Bills payable

11,250 00 (
865,054 55 P

Total.

$250, 000 00

865, 054 55

Connecticut National Bank, Bridgeport.
No. 927.

S. W. B A L D W I N , 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 . . !
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
j
Fractional currency
i
Specie
\
Legal tender notes
i
U. S. certificates of deposit
I
Due from U. S. Treasurer
Total




|

HENRY B. D R E W , Cashier.

$532, 650 07 Capital stock paid in.
1, 772 83
231, 000 00 Surplus fund
Other undivided profits
8, 242 03
53, 558 93
50, 913 88
11, 000 00
2 606 69
6, 060 18

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

2, 761 00 Due to other national banks
512 96 Due to State banks and bankers .
8, 000 00
20, 000 00 Notes and bills re-discounted.
Bills payable
17, 395 00
946,473 54

Total.

$332,100 00
105, 000 00
13, 495 06
] 98, 000 00
364 00
997 86
226, 012 86

70, 5')3 76

946, 473 54-

REPORT OF THE COMPTROLLER OF THE CURRENCY. 217
CONNECTICUT,
Pequoimock National Bank, Bridgeport.
C. B. HOTCHKiss, President.

I. B. PRINDLE, Cashier.

No. 928.

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.

$253,041 21 Capital stock paid in .
1,997 46
200, 000 00 Surplus fund.
Other undivided profits
1,668 60
48,147 95
54, 293 64
17, 663 00
1,948 19
2, 0U7 53
7, 743 32

$200,000 00
30, 500 00
10,166 3L
180, 000 00
1 00

National bank notes outstanding
State bank notes outstanding

1,248 50

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

f 35, 520 99

55, 697 65
6, 345 70

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

Total.

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

No. 2250.

C. S. TREADWAY, Cashier.

$118,156 11 !Capital stock paid in.
158 80
100, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
2, 278 27 | State bank notes outstanding
6, 724 35 I
3,150 00 | Dividends unpaid .
1,288 16 I
6, 22g 26 j Individual deposits
United States deposits
1,680 40 Deposits of U. S. disbursing officers.
3, 039
356
216
2,011

00
91
50
00

" "4*506"66"

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

$100,000 00
3, 000 00
4, 440 93
90, 000 00
48 00
51,322 33

.

249, 781 76

Total.

676 86
293 64

249, 78 L 76

Windliam 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, 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.




JOHN P. WOOD, Cashier.

No. 1360.
$99, 504 29
67 8L
100, 000 00
12,500 00
25,713 94
3, 318 59
5, 500 00
773 42
1,853 12
235 35
7, 275 00
37 94
399 00
7, 500 00

Capital stock paid in.
Surplus fund
Other undivided profits

$108, 300 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

22, 000 00
3, 479 97
88,900 00
98 00
44,630 19
1,770 30

4,500 00
269,178 46

Total.

269,178 46

218

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
Clinton National Bank, Clinton.

J. D. LEFFINGWELL, President.

No. 1314.

EZRA E. POST, 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. cei'titicates of deposit
Due from U. S. Treasurer
Total.

Liabilities.
$72, 843 71
411 48
64,000 0U

"" i i , 66o oo
15,176 87
8,747 52
1,835 00
1,085 02
1, 226 25
3,367 00
m 13
336 00
4, 000 00

$75, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

-

Dividends unpaid.

21, 000 00
3,905 54
57, 600 00
922 00
816 00

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

27, 296 46

434 98

Notes and bills re-discounted .
Bills payable

2, 880 00

186, 974 98

Total

186,974

Danbury National Bank, Danbury.
L. P. HOYT, President.

No. 943.

Loans and discouuts
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 depositDue from U. S. Treasurer

$418,700 67
1, 235 07
285,000 00
""26" ooo 60
2 , 0 0 0 (JO

JABEZ AMSBURY, Cashier.

Capital stock paid in.

$327,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

35,263 37
1,897 00
14,532 88
2, 933 45 Individual deposits
1,180 00 United States deposits
1, 596 08 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.

73, 000 00
31, 587 69
254, 005 00
1,005 00
114,805 53

4,310 96
26 40

05, 740 58

National Pahquioque Bank, Danbury.
BARNABAS ALLEN, President.

Loans and discounts
I
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...
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
I
Bills of other banks
j
Fractional currency
\
Specie
Legal tender notes
!
Due from U. S. Treasurer
j
Suspense account
|
Total...




WM. P. SEELEY, Cashier.

$282, 406 24
2,712 29
250, 000 U0

Capital stock paid in .

$250, 000 00

Surplus fund
Other undivided profits

48, 500 00
12, 653 59

1,908 90 National bank notes outstanding . .
^L, 125 66 State bank notes outstanding
1,193 97
22, 898 49 Dividends unpaid.
2, 436 54 j Individual deposits
j United States deposits
2, 568 32 Deposits of U. S. disbursing officers

225, 000 00

3, 055 00
64 86
500 0!)
4, 365 00
11,250 00
25, 097 96
631,583 23

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

420 00
91,955 41
2,008 47
1, 045 76

631,583 23

REPORT OF THE COMPTROLLER OF THE CURRENCY.

219

CONNECTICUT,
Deep River National Bank, Deep River.
R. V. SVESCV.R, President.

No. 1139.

Resource*.
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

<

$166, 649 78
138 23

ioo, ooo oo
50, 100 00
24, 767 20
738 35
2,419 91
636 68

;

2, 435 00
37 55
1,110 48
2, 700 00
4*500 00

Total.

Liabilities.
Capital stock paid in

$150,000 00

; .Surplus fund
Other undivided profits
;
National bank notes outstanding
|
i State bank notes outstanding
!
Dividends un paid.

422 74

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
*
,
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

GIDEON PARKER, Cashier.

]

!
j

87, 965 00
'.
758 00

Individual deposits
-1
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

356, 655 92 i

45, 000 00
'8,232 55

64, 508 60

191 77
i
j

Total .

356, 655 92

National Bank of New England, East Haddam.
W. II. GOODSPEED, President.

No. 1480.

THOMAS GROSS, Jr., Cashier.

$191,138 49
Capital stock paid in.
Loans and discounts
|
2,476 13
Overdrafts
j
130, 000 00
U. S. bonds to secure circulation
j
Surplus fund
!
U. S. bonds to secure deposits
I..
Other undivided profits....
;
o\90o"5o"j
U. S. bonds on hand
j
12, 925 00 J National bank, notes outstanding
!
j
Other stocks, bonds, and mortgages . .
17,212 01 I State bank notes outstanding
j
Due from approved reserve agents...
10,851 51 i
Due from other banks and bankers . .
Dividends unpaid .
|
4, 600 00
Real estate, furniture, and fixtures...j
1,041 25
Current expenses and taxes paid.
j
Individual deposits
I
135 07
Premiums paid
\
United States deposits
i
Checks and other cash items
|
3, 675 34
Deposits of U. S. disbursing officers.. i
Exchanges for clearing house
j
Bills of other banks
j
1, 439 00 i Due to other national banks
Fractional currency
j
Due to State banks and bankers .
73 40 |j
Specie
j
10,000 00 ! Notes and bills re-discounted.
Lvgal tender notes
]
Bills payable
U. S. certificates of deposit
j
Due from U. S. Treasurer
i
5, 850 00 1
Total..

Total....

398, 317 20 j

!

$130,000 00
50,000 00
5, 892 15
116,000 00
1,783 00
94, 642 05

398,317 20

Saybrook National Bank, Essex.
J.

E. R E D F I E L D , 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 hoase
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. 1084.

C. S. HOUGH, Cashier.

$207,294 82 | Capital stock paid in
4, 935 40 j
48, 000 00 j Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
3, 144 10
10, 130 70
471 14
401 58

Dividends unpaid

$100, 000 00
45, 214 62
4,621 42
I
j
|
|

Individual deposits
United States deposits
j
8, 478 72 Deposits of U/ S. disbursing officers.. j
I
'
2, 225 00 ! Due to other national banks
75 67 I Due to State banks and bankers
400 14 i
8,902 00 | Notes and bills re-discounted.
Bills payable
2,160 00

296, 869 27

Total.

43, 200 00
2, 789 00
2,351 88
91,597 11
7, 095 24

296, 869 27

220

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
National Iron Bank, Falls Village.
W

P » E T , President.

A. C RANDALL, Cashier.

Liabilities.
Loans and discounts
Overdrafts
U. 8. 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 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 .

$ 163, 756 73 ; Capital stock paid in
2,496 73 \,
•
150,01)0 00 i! Surplus fuud
„
ij Other undivided profits.

i $200, 000 00
J
!
44,000 00
....;
6,117 88

National bank notes outstanding
75 18 \ fi(i St ate bank notes outstanding
g' j._'^ r^ ' Dividends unpaid

|
,.

127,480 00
396 00

''

Individual deposits
, Vnited States deposits
697 44 , Deposits of U. S. disbursing officers.

52, 557 35

5, 427 00 | j Due to other national banks
59 85 1 Due to State banks and bankers
1

j
i

2,000 00 ji

!

6, 245 00 j! Notes and bills re-discounted

\

j| Bills payable
6,750 00 !j
"

!
|

431,756 4 4 : !

Total

i

1, 205 21

431,756 44

First National Bank, Hartford.
No. 121.

E. H. CROSHY. President.

Loans and discounts
Overdrafts

* .—
•
- •.

U. S. 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..
(jurrent expenses and taxes paid
Premium** paid

$865. 880 28 Capital stock paid
2, 134 74 !
418,000 00 ;Surplus fund.

in .

$650, 000 00
....

Other undivided profits
,
banknotes outstanding
2.312 28 | State bank notes outstanding
71, 8"/5 04
35, 080 24 ! Dividends unpaid

200 00 !
21, 980 00 ; National

13,373 02 i

25, 027 32

Checks and other cash items
Exchanges for clearing house
.Hills of other banks
Fractional currency
$ pecie
Legal to
ot >
I:. S. certificates of deposit .
Due from IT. S. Treasurer . .

C- S. GILLETTE, Cashier.

53,844 04

I
j.
j

Individual deposits
|
1' uited States deposits
Deposits of U. S. disbursing officers .

333 00
425,274 46

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable...
1, 540, 8-10 16 i

403, 000 00

8, 368 66

Total

1, 540, 820 16

iBtna National Bank, Hartford.
W.M. It. CONF., President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents.
Due from other banks and bankers.
Real estate, furniture, and fixtures.
Current expenses and taxes paid...
Premiums paid
Cbecks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
.
,
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 756.

A. R. HILLYER, Cashier.

$687, 008 73 Capital stock paid in.
478 f?1)
500, 000 00 :i Surplus fund
!| Other undivided profits
I
National bank notes outstanding
229, 896 57 j State bank notes outstanding
1,595 52

$525, 000 00
130,000 00
69, 439 35
384, 450 00
^

ij Dividends unpaid .

487 00

"""6,855 27 !

Individual deposits
'
United States deposits
,
10, 785 22 ; Deposits of U. S. disbursing officers..

2, 258 00 Due to other national banks
31 80 Due to State banks and bankers
272 65
! Notes and bills re-discounted
23, 431 00 j Bills payable
"21,500 00
Total.
1,484, 113 36

372, 249 40
2,187 61
300 00
j

1, 484, 113 36

REPORT OF THE COMPTROLLER OF THE CURRENCY. 2 2 1
CONNECTICUT.
American National Bank, Hartford.
R O W L A N D SYVJKT, President.

J O H N G R O O T , Cashier.
k

Liabilities.

Resources.
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.
Due from approved reserve agents..
Due from other banks and baukers .
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

$1,062,243 39
Capital stock paid in.
8, 6.13 33 I
534,000 00 j Surplus fund
Other undivided profits

-

260, 000 00
12, 227 82

National bank notes' outstanding
State bank notes outstanding

7, 500 00
89, 760 19
49,919 35
5, 709 OJ
5,233 0
L
2 I, 7 »6

$800, 000 00

480, 000 00

Dividends unpaid. „

1,540 00

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

12

30,927 00
962 28
2, 400 00
50, 000 00

544,816 38

Due to other national banks
Due to State banks and bankers

11,510 61

Notes and bills re-discounted .
Bills payable

35, 000 00 ;
1,910,094 81 j

Total.

Total,

1,910,094 81

Charter Oak National Bank, Hartford.
C. T. HiLLYER, President.

J. F . MORRIS, 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..!
Dae from approved reserve agents...!
Due from other banks and bankers . . |
Real estate, furniture, and fixtures...!
Current expenses and taxes paid...... i
Premiums paid
..L
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.

$73^,978 90

Cipital stock paid m

j

1 1 , 2 " > ) 7f>

4", 972 o^
] n ' «>5 ())
9 ) < V) >

6,777 bl
1

11, T01 H)

$500,000 00

|

1

100,000 00
120.697 67

N iuouai t ink n*,tes outstanding
>
^ / I li iik not*** outstanding

j
I

283, 400 00

DxV dciids unna d

j

36 > 0 )») ()i Smplus t u n l
,
100, 00 ) 0 i O h i undivided piohta

I*iiliMdmld^p(sitn
,
!
lTmt( d S t i t ^ d positi
!
Deposits ot U. S. disbursing officers..j

7< 7"H 00 Due to other n ( n n i l banks
2, 4(>y< 2' JJut to Estate banks a id bankers .
! 7 50 70
68,611 00 [ Notes and bills re-discounted
i Bills payable
20,083 38 i
i
1, 503, 199 35

Total

2, 065 00
448.512 64
42,718 Gl
4,692 47
1,112 96

' 1,503,199 35

City National Bank, Hartford.
G. F . DAVIS, Preside?}t.

No. 1377.

$525, 649 83
Loans and discounts
j
II 76
Overdrafts
!
300, ODD 00
U. S. bonds to secure circulation . . . . . '
U. S. bonds to secure deposits
j . .
U. S. bonds on hand
'..
13, 300 00
Other stocks, bonds, and mortgages..!
59, 992 66
Due from approved reserve agents... I
980 25.
Due from other banks and bankers . . ;
921 41
Real estate, furniture, and fixtures...•
2, 207 88
Current expenses and taxes paid
j
8, 439 83
Premiums paid
I
9, 209 54
Checks and other cash items
|
Exchanges for clearing house
J..
8,65S 00
Bills of other banks
j
£M5 00
Fractional currency
I
8,565 11
Specie
19, d O 00
U
Legal tender notes
\
U. S. certificates of deposit
L.
13, 500 00
Due from U. S. Treasurer
L
1,072,021 27
Total .




P. S. RlLEY, Cashier.

Capital stock paid in.

|
|
j
j

$550,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

i
j

251, 500 00

Dividends unpaid

49,100 00
9,509 76

!

3, 540 50

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

187, 638 28

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

10, 732 73

Notes and bills re-discounted.
Bills payable.
,
Total

1,072,021 27

222

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
Farmers and Mechanics' National Bank, Hartford.

ALVA 0 ATMAN, President.

No. 1321.

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 taxos paid
;
Premiums paid .
Checks and other cash items
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

W)i. W. SMITH, AcVg Cashier

|

Liabilities.

#1,054,872 53 !| Capital stock paid in
I $773, 500 00
4, 265 73
376, 000 00 ;! Surplus fund
!
ij Other undivided profits
j
86, 980 77
45. 000 00
48,076 00 i! National bank notes outstanding
|
326, 600 00
j
25, 280 18 ; j State bank notes outstanding
•
132, 969 84 ii
j 346 10
35, 000 00 [ | Dividends unpaid
5,315 56
!j Individual deposits
I
512,275 85
i United States deposits
j
22, 450 99 1 Deposits of U. S. disbursing officers.. j
1
12,159 00 j|
585 42 !|
456 55
25, 000 00
25, 000 00
16, 920 00

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

|
I

Notes and bills re-discounted.
Bills payable

!
j

1, 829, 351 70

Total

67, 967 39
61, 63L 59

. . . j 1,829,351 70

Hartford National Bank, Kartford.
JAMES BOLTER, 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, 244, 873 96
5,740 90
364, 000 00
50, 000 00
25,300 00
m, 545 50
147, 640 82
40, 000 00
12,074 51
3, 802 78
29, 755 88
11, 032 00
40 71)
3, 124 00
16,000 00
50,000 00
16,380 00

Capital stock paid in

j $1,132, 800 00

Surplus fund
Other undivided profits.

644,596 07
45,418 28

National bank notes outstanding . . .
State bank notes outstanding

304,700 00
10,480 00

Dividends unpaid

3, 470 30

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

847,998 01

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

109, 455 01
7, 393 47

Notes and bills* re-discounted..
Bills payable

3, L06, 311 14

Total.

W. S. BuiDGMAN, Cashier.

Total

i 3,106,311 14

Mercantile National Bank, Hartford.
C. H. NORTH AM, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents .
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses 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. 1300.

J. B. P O W E L L , Cashier.

$683,834 75 Capital stock paid in .
2,2-18 81 :
334, 000 (10
Surplus fund
Other undivided profits

71,525 62
121,569 09

National bank notes outstanding
State bank notes outstanding . . .
Dividends unpaid

4, 279 09 I Individual deposits
15, 50U 00 i United States deposits
j Deposits of U. S. disbursing officers..
j Due to other national banks
175 23 i Due to State banks and bankers
2, 500 00
50, 097 00 | Notes and bills re-discounted.
15, 000 00 I Bills payable
9,809 45
1,324,584 25

Total

$500, 000 00
|

100, 000 00
37, 318 64
300, 0,0 00
286 00
319, 892 91

29,161 64
37, 925 06

1,324,584 25

REPORT OF THE COMPTROLLER OF THE CURRENCY. 2 2 3
CONNECTICUT.
National Exchange Bank, Hartford.
J. R. REDFIELD7 Cashier.

No. 361.

F. B. Co OLE Y, President.

Liabilities.

Resources.

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

$50 \ 000 00 I

$304,746 28 | Capital stock paid in. 74 53 I
530, 000 00 I Surplus fund
Other undivided profits

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 moitgages.
Due from approved reserve agents . .
Due from other banks and bankers .
Real estate, furniture, and fixtures-.
Current expenses and taxes paid
Premiums paid

150, 000 00
27, 83d 10

""so,"666 oo I

430,600 00
5, 314 00

National bank notes outstanding
49,721 83 ! State bank notes outstanding
50, 365 5') i
30, 000 to j Dividends unpaid .
7. ) 53 16 [ Individual deposits
7, 153 75 I
United States deposits
4,379 94 | Deposits of U. S. disbursing officers..

• 3, 232 50
402, 033 29

82,303 16

4,015 00 I Due to other national banks
423 77 ! Due to State banks and bankers
2,226 15 [
22, 209 00 Notes and bills re-discounted.
] 0,000 00 IBills payable
28, 850 00 |

.

Total.

j

1,601,319 05

Total.

1,601,319 05 I

Fliceiiix National Bank, Hartford.
JOHX L. BUNOE, President.

No. 670.

Loans and discounts
Overdrafts
U. S. bonds 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 . . j
Real estate, furniture, and fixtures...I
Current expenses and taxes paid
j
Premiums paid
j
Checks and other cash iteni3
,!
E xchanges for clearing house
j
Bills of other banks
•
Fractional currency
!
Specie
;
%
Legal tender notes
i
U. S..certificates of deposit
j
Due fro in U. S. Treasurer
!
Total.

J

H. A. REDFJELT), Cashier.

| $1, 000, 000 00
.,410,834 89 ! • Capital stock paid in
1,031 61
525,000 00
Surplus fund
630, 000 00
44,641 54
Other undivided profits
"100, 000 00"
459, 500 00
National bank notes outstanding . . . .
2, 400 00
5,624 00
State bank notes outstanding . . . . . . .
291,985 12
97, 870 07
3, 527 00
Dividends unpaid
203,590 69
12,769 42
772,292 69
Individual deposits
United States" dope sits
I
9,400 43 Deposits of U. S. disbursing officers. .
10,195 00
101 5:3
25,843 71
22, 00J 00

Due to other national banks
Duo to State banks and bankers

|

|

7,190 27
300 00

Notes and bills re-discounted.
Bills payable

27, 010 00 i
2,818,075 50 I

2,818,075 50

Total.

First National Bank, Litchfield.
HENRY R. COIT,

Loans and discounts . - i
Overdrafts
j
U. S. bonds to secure circulation
|
U. S. bonds to secure deposits
j
U. S. bonds o;i 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
j
Checks and other cash items
I
Exchanges for clearing house
j
Bills of other banks
Fractional currency
|
Specie.
j
Legal tender notes
!
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 709.

President.

GEO.

il
$193,099 04 i Capital stock paid in
236 08
200, 000 00 il Surplus fund
Other undivided profits
,

E. JONES, Cashier.

I
j

$200,000 00

|
j

33, 042 25
4,233 83

i

30, 582 50 i National bank notes outstanding
!
State bank notes outstanding
I
44,106 52
2.43L 48
Dividends unpaid .
12, 700 00
1, 688 39
Individual deposits
!
1
;
I United States deposits
•.
3,914 62 |! Deposits of U. S. disbursing officers .1.
5, 637
153
400
5, 930

00 | Due to other national banks
34 I Due to State banks and bankers.
00
00
Notes and bills re-discounted.
Bills payable
9, 000 00
509,848 97 ji

Total.

177, 153 00
1, 036 00
92, 483 02

1, 900 87

509, 848 97

224

REPORT OF THE COMPTROLLER OF THE CURRENCY.
€ O NWE €TS € UT .
Meriden National Bank, Meriden.

J. I. Burr.ER, President.

N<\

O. B. ARNOLD, 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 •?5earing house
Bills of other banks
;
Fractional currency
Specie
Legal tender notes
|
U. S. certificates of deposit
'
Due from II. S. Treasurer
<

Liabilities.
$39P, 353 14 I Capital stock paid in.
2, 128 01 ;
17(i, 100 00 i Surplus fund.
Oil • undivided profits

|

3, 800 00 ; National bank notes outstanding
41(1 0") Stato bank notes outstanding
I
6.1)38 f. ) • ' , - , . . 'J
,
.-,
:U!()0 00 I ^viaeuds unpaid
J.710 76
Individual deposits
- - - - - . I xjnit-d States deposits
1,858 02 ; Deposits of U. 8. disbursing officers
(>, 734
733
200
8, 000

00 ,| Due to other national banks
5L 1 Due to State banks and bankers .
00 I
00 1 Notes and bills re-discounted
! Biii
bl
9,424 ; "
v>

83, 000 00
.23, 120 76
157, 490 00
4,317 00
925 00
44,743 51

1,80-3 98

Total.

(i20, 399 28

Total.

$300, 000 00

620, 399 28

First National Bank, Middietown.
BEN.J. DOUGLAS, President.

No. 397,

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.

J. N. CAMP, Cashier,

$228, 925 01 ; | Capital stock paid in
1, 143 78 i
200, 000 00 I Surplus fund.
; Of her undivided profits.

!

24, 500 00
5, 94 L 22

?, 25',) 00 ; National bank notes outstanding
g
!
^ank notes outstanding-...
7;), 240 7r,
9,969 37
Dividends unpaid

\

5,664
109
553
9, 000

00 j Due to other national banks . . . . . . .
87 i Due to State banks and bankers
35 !
00 ! Notes and bills re-discounted
'
i Biils payable
<
2,832 19 |
I
Total

170, 700 00
48 00

Individual deposits
'
1.?, 000 00
United States deposits
j,
3, 768 51 • Deposits of U. S. disbursing officers J

553,390 39

$200,000 00

|

138, 906 64

13, 300 53

553, 396 39

Central National Bank, Middietown.
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 i t e m s . . . . . . . .
Exchanges for clearing house . . ; . . . Bills of other banks
Fractional currency
Specie
Legal tender notes
IT. S. certiticates of deposit
Due from U . S . Treasurer

Total.




GEO.

W. HARRTS, Cashier.

$224, 793 51 ; Capital stock paid in

!

"106,660 60": Surplus fund

!
I

Other undivided profits
1,200 00
13,296 27
10,950 42
22 000 Oi)
2, 453 72
3,874 52

4,40:> 00

3 »! 21
600 00
5,000 00

$150,000 00
60, 000 00
11, 821 34

National bank notes outstanding

!

State bank notes outstanding

i

132, 000 00
1, 456 G
O

Dividends unpaid

:

283 50

Individual deposits
!
87,612 80
United States deposits
j
Deposits of U. S. disbursing officers . ! . . . .
Due to other national banks
j
2, 476 01
Due to State banks and bankers
!
Notes and bills re-discounted .
Bills payable

6, 75000
415, 649 65

445, 649 65

REPORT OF THE COMPTROLLER OF THE CURRENCY.

225

C O N W E € T I C U T.
Middlesex County National Bank, Middletown.
\ r o . 8T>.

C. R. SEBOR, President.

Loans and discounts
Overdrafts
LT. S. b«)iulsto-vonro .'ii-.-ul u:o i

<

*iQl, 71H1J

J. F . Vinw i i I C7/w in-

C.ii ital -t "K p><M 5 i . . . .

21J, IJJOO

* n.), (VO 0 »
Jo, 10 » « "

S u r p ' . n fu" \

U. S. boii.l-t'>,,t'cnied('LK>-in

<)•"« r UMIA • I l u ^ u ,

V. :*. b.ni(K on »i./id
-Othei stocks, bond*', and mort'- I«,T , . .
,
,
'
TX
Duo f o m approved reserve agvrit-.
D
i
h
H
i
l
W

D,0U')«i(}
4 7) 00

M.IUL.M

\ H H , nil' h-m1? m + >J onM-nili'i '
s r i IM: < »
*
' i i t > MM

11 -? 7m 00
3"2 (vi

Premium!." pai i . ' . ? . . . . ' .*.' -V.".!.."'".
Check* and otV r e i>*i il M;H
\

Mo 0 »
i» «i ( i

5, OuJ

l)'l.> t ) o f " "
w .» * , S v
«

Li. IT'11 t(MjV? M' 1}"t
1 !.•}'»() 0 *

Middletown National Bank, Middletown.
J. If. V f U M W . V , /'/"«/ ' '/'.

\)
$12)

>w - r
M( t 1

29>

0J 0 )

Owril-itN
o bo I.'.VM '« i:.«I

-,

Other stocks, bo id<, and iii(n^i>;;.yerf . . i
Duf from iipprovod ros<r\'fj a^^ntg-..;
Due n ,m other Iwmki an 1 bankers . . !
Real r,tati-, turnitiiro, «a»i I llxtunM - - -I
(Jurtviit pxnonsea and t.ixi\s paid
I
Premium, ,>ai,l
I
Chocks and oth^r ci»h it.*:ns

j

IM

10»

(

A H I n, ELAXD. fWA/>;
f
^ t r b t o \ ti

) ) (

V

S+1

61 7 7 77
1 J i ) 5 27

$369, 300 00
100 000 00

o li b ml n >f

t \n li IJ:

) Uik n )

Div i na-j t np

1 ) 0 0 ()(/

J ft

"

•» \ In- tu 1
>
O h , niv

262, 890 00
4, 65 i 0!)

1

971 25

50

197,195 7L

s

3 P7 l

I nit I M u s I , s K
>
D^)uiit^ot I * di 3 u-.iiir
>

3 ) ^00 00

hiL i>

j

17100
2)0 71

Bill-, of oti.M- \j inks
Fractional ciirrt'in-y

DiK t o o t h r i ittonai b^nks
I ) I t tO ")t t L J i

] ) 700 00

Leg«il tyii lev nob A
U. S. (MM-ii'U'ir. sw,f (1. posit
Dae from L'.S. TieaMiri-r

N)te> and h
1* K^ )i t,i

^

11,533 29

i 1 I J ill ( I «
)

1 c rntcd

.

1 J, 27 ) 0 )

Total

-I

973,843 62

Total .

978,843 62

Mystic National Bank, Mystic.
J. S. SCHOONOVKR, President

Loans and discounts
Overdrafts
U. S. bonds* to secure circulation....
U. S. bonds to secure deposits
U. S. bonds on hand.
Other stockn, bonds,and mortgaged..
Due from approved reserve agents..
Due from other banks and banker:-!.,
Real estate, furniture, and fixtures.
Current expenses and taxes paid
Preiniuuiis paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie,
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No, 1268.

JABKZ WATROUS, Jr., Cashier.

$33, 9fi6 50 ! Capital stock paid in
324 74 j

5, 000 00 I National bank notes outstanding
^ _„. r:) I State bank notes outstanding
2, 390 0 0 '•

j

$52, 450 00

i

59, 500 00 i Surplus fund. ,
; | Other undivided profits

j
|

7, 466 7fi
2, 352 53

I
j.

37, 725 00

Dividends unpaid .

574 8 0

150
48
557
95

I Due to other national banks . . . . .
j Due to State banks and bankers ;
| Nates and bills re-discounted
I Bills payable

493 5:i

! Individual deposits...
\
I United States deposits
j.
I Deposits of U. S. disbursing officers.. i.

00
05
65
00

2, 360 25

106, 448 51

Total.

181 7J

106,448 5 !

226

REPORT OF THE COMPTKOLLER OF THE CURRENCY.
CONNECTICUT.
First National Bank, Mystic Bridge.

CHAS. MALLORY, President.

No. 251.

E. P. RANDALL, Ca&tiier.

Resources

Liabilities.

Loans and discounts
i
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. ..'
Due from other banks and bankers...!
Real estate, furniture, and fixtures...!
Current expenses and taxes paid
i
Premiums paid
j
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.

$127,515 24

Capital stock paid in .

$150, 000 00

427 14

150,000 00

Surplus fund
Other undivided profits

2, 000 00
19,599 25
2.251 73
2, 600 42
1, 692 58

I

National bank notes outstanding
State bank notes outstanding

2"666"65"

|
j

19, 000 00
5, 462 28
127, 540 00

i

I

Dividends unpaid

30 00

Individual deposits
j
j United States deposits
:..
1,096 64 j Deposits of U. S. disbursing officers . j . .
Due to other national banks
Due to State banks and bankers

|
!..

19,495 61

39 28

Notes and bills re-discounted.
Bills payable

Total

Total

!

321,567 17

Mystic River National Bank, Mystic River.
No. 643.

WILLIAM C L I F T , President.

Loans and discounts
Overdrafts
U. 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. . 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

.'

'

$101,431 40
748 43
105, 000 00

H. B. NOYE8, Cashier.

Capital .stock paid in

.....j

> 100, 000 00

Surplus fund
Other undivided profits

!
j

48,086 10
5,617 26

National bank notes outstanding
State bank notes outstanding

i

89, 000 00
2, 069 00

Individual deposits.
1 4Lxi5
'
° , Unit«d States"depositb
:
1, 535 87 Deposits of U. S. disbursing officers..l

62, 993 03

""*'i6,"o6(Vo(V
500 (O
J
63, 007 18
2, 918 41

Dividends unpaid

290 00

393
6
70
3, 191

00 | Due to other national banks
43 j Due to State banks and bankers
05 I
00 } Notes and bills re-discounted
Bills payable
4, 500 00 j

1,382 62

Total..

309,418 01 i

309,418 01

New Britain National Bank, New Britain.
C. B. ERWJN, President.

No. 1184.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
•.
U. S. bonds on hand
!.
Other stocks, bonds, and mortgages..;

$457,243 51
2, 549 17
105,000 00

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
i.
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
j.
Due from U. S. Treasurer
'

35,712 96
10, 783 57
26, 436 50
2, 933 02

Total.




I

1, 800 00

1,998 61
31,337 00
35 48
659 73
30,915 00

A. P. OOLLTNS, Cashier.

Capital stock paid in

$310, 000 00

Surplus fund
Other undivided profits

\
I

National bank notes outstanding . . . . |
State bank notes outstanding
J
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, 000 00
21,010 13
112, 000 00
650 00
204, 581 95

1, 260 88
356 62

Notes and bills re-discounted .
Bills payable

7, 4-.'5 00
774, 859 58

Total.

774,859 58

REPORT OF THE COMPTROLLER OP THE CURRENCY.

227

CONNECTICUT,
First National Bank, New Canaan.
S T E P H E N HOYT,

President.

No. 1249.

S. Y. S T . J O H N , Cashier.

Liabilities.

Resources.
-I -

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
•Premiums paid
'
Checks and other cash items
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

$120,418 07 I Capital stock paid in .
100, 000 00 ! Surplus fund
i Other undivided profits

!
""'3,'666'66'i
22,911 89
13, 125 84
1,838 29
10, 676 82
500 00
155 25
3, 607 00

"4"506 66'

20, 000 00
5, 709 41

.

88, 990 00

National bank notes outstanding . . .
State bank notes outstanding

228 00

Dividends unpaid.

32, 826 23

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

7, 979 52

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

25, 000 00
280,733 16

Total.

First National Bank, New Haven.
No. 2.

H. M. W E L C 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

$852,517 24 j Capital stock paid in
• 8,335 20 !i
293,000 00 !!Surplus fund..
Other undivided profits
10,000 00
114,732 76
375, 027 27

j
i

National bank notes outstanding
State bank notes outstanding

Dividends unpaid.
8,550 29 ! I
Individual deposits
United Stales deposits
38, 752 96
Deposits of U. S. disbursing officers.

$500, 000 00
112,000 00
54, 178 66
247, 830 00

886, 581 85

33, 855 00
Due to other national banks
243 79 I Due to State banks and bankers..
115 00 ;,
52,296 00 ! Notes and bills re-discounted .
|| Bills payable
13, 185 00
1,800,640 5L II

Total.

W M . MOULTHROP, Cashier.

Total .

1,800,640 5L

Second National Bank, New Haven.
SAML. HEMINGWAY, President.

ISRAEL K. W A R D , Cashier.

Loans and discounts
i $1,074,352 69 ',Capital stock paid in
Overdrafts
!
44 L 93 •!
U. S. bonds to secure circulation
|
900, 000 00 : Surplus fund
U. S. bonds to secure deposits
!
70, 000 00
Other undivided profits
U. S. bonds on hand
'
212, 000 00
Other stocks, bonds, and mortgages..j
134,000 00 j National bank notes outstanding...
Due from approved reserve agents. . J
40,020 91 : State bank notes outstanding
Due from other banks and bankers. . . |
44, 817 64 !
,
'Real estate, furniture, and
fixtures...!
78,000 00 j Dividends unpaid
Current expenses and taxes paid
I
11,785 61 i
Individual deposits .
Premiums paid
j
25,22125
United States deposits
Checks and other cash items
|
74,765 45
Deposits of U. S. disbursing officers.
Exchanges for clearing house
Bills of other banks
37, 771 00 Due to other national banks
Fractional currency
1,010 37 M Due to State banks and bankers.
Specie-.
...
13, 250 00 |
Legal tender notes
68,000 00 ! I Notes and bills re-discounted
U. S. certificates of deposit
I Bills payable
Due from U. S. Treasurer
40,000 00
Total.




2, 825, 439 85

Total.

$1,000,000 00
400, 000 00
37, 803 83
751, 190 00
1,207 00
531,315 03
33, 435 02
3,179 35
14, 279 62

2, 825, 439 85

228

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
Merchants' National Bank, New Haven.

NATHAN PECK, President.

No. 1123.

J. C. BRADLEY, Cashier

Resourced.
Loans and discounts
Overdrafts
..'
U. S. bonds to secure circulation
;
IT. S. bonds to secure deposits
'
IT. 8. bonds on hand
'
"
Other stocks, bonds, and mortgage ..|
Due from approved reserve agents...:
Due from other banks and bunkers ..;
Real estate, furniture, and fixtures...!
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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.
$623, 442 60 '! Capital stock paid in
305 OS •!
.
390, 000 00 ! j Surplus fund
!; Other undivided profits
''
35,900 00 |j National bank notes outstanding
"'* ™"> ™ l State bank notes outstanding
73, 527 76

|
|

!
\
j
I

•57,654 60 J! Dividends unpaid

100, 000 00
27, 274 89
343,900 00
874 00

8* 750 00 ' i ^ n ( ^ v ^ u a l deposits
'
'" |i United States deposits
....
24,106 90 | Deposits of U. S. disbursing officers .
14,199 00 \] Due to other national banks
j Due to State banks and bankt
-2,217 40
18, 060 00 j: Notes ar>d bills re-discounted.
[ Bills payable
17, 550 00 ;
J, 300, 501 71 |

$500, 000 00

256, 121 73
52. 331 09

.!

20,000 00

J

Total.

|

1,300,501 71

National New Haven Bank, New Haven.
WJLTHJK 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 p.ud...
Premiums paid
Checks and other cash items
Exchanges for 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 ToWNSKND, Cashier.

!

$705, 792 77 | Capital stock paid in

|

$464, 800 00

:
\

202,876 14
44,04*3 57

•; National bank notes outstanding
• ^ t a t t 3 u ; l l i k notes outstanding
! Divi<lends unpaid
j T n d i v i d u a l deposits
,
| United States deposits
21, (.9i 97 ! Deposits of U. S. disbursing officers..
6, 709 00 | Due to other national banks
9'.) 06 ; Due to State banks aud bankers
2, 005 50 |
73,000 00 I Notes and bills re-discounted . . . .
: Hills payable
20,900 00 !

397,360 00
4,628 00

462, C O 00 | Surplus fund
O
, OtLt-r undivided profits
90,000 00
87 254 07
32 639 67
3,779 04

1, 52 i), 307 69 j

1,110 00
403, 830 45

1,656 53

1, 520, 307 69

Total.

National Tradesmen's Bank, New Haven.
M. fr. ELLIOTT, President.

GEO. A. B U T L E R , Cashier.

No. 1202.

$300, 000 00
$483, 613 37 ! Capital stock paid in
Loans and discounts
!
208 i2 :
Overdrafts
!
256, 000 00 ! Surplus fund
|
200, 000 00
U. S. bonds to secure circulation
|
i Other undivided prolits
j
24, 682 90
IT. S. bonds to secure deposits
.
"""44," 000 00 j
;
IT. S. bonds on hand
01)0 r j National bank notes outstanding
0.)
|
216,400 00
Other stocks, bonds, and mortgages..!
15,
38, 401 if I State bank notes outstanding .
Due from approved reserve agents...!
74, 940 58
Due from other banks and bankers ..!!
Dividends unpaid . .
855 00
Real estate, furniture, and fixtures... .
Current expenses and taxes paid
j
3,710 12 Individual deposits .
139, 053 21
Premiums paid
i
3L.750 00 United States deposits.
Checks and other cash items
|
9,627 32 ;j Deposits of U. S/disbursing officers
Exchanges for clearing house
i.
" 5 , 695 03 J Due to other national banks
Bills ef other banks .'
j
34, 570 65
61 00 ! Dae to State banks and bankers
Fractional currency
,
70,016 11
560 00 I
Specie
!
10, 000 00 'J Notes and bills re-discounted
Legal tender notes
!
' Bills payable
U. S. certificates of deposit
'.
12, 020 00 ' I
Due from U. S. Treasurer .
Total.




985, 607 87 ;

Total.

985, 607 87

REPORT OF THE COMPTROLLER OF THE CURRENCY,

229

CONNECTICUT.
«

New Haven County National Bank, New Haven,

J A S . G. ENGLISH, President.

No. 1245.

L. S. ITOTCHKTSS, 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..

] 2,A~2 2 1

S'npliH fund

>.) 0 5
3 7, )) 00

Ill)

Due from approved reserve agents.. -1
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
j
Fractional currency
I
Specie
j
Legal tender notes
i
U. S. certificates of deposit
Due from U. S. Treasurer
...
j
ITotal.

$350, 000 00

Capital ^t^ek p^id Lx

00, (,00 0J

115,000 00
3, 829 21)

'

262, 600 00

-nk no
. 11. t< v

41,0-

18,631 64
T» dividual

13, 7T. C,~,

) its oi U.

133, 778 43
l

883, 839 36

Yale National Bank, New Haven.
No. 796,

CHAP. L, E N G L I S H , 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
..j
Other stocks, bonds, and mortgages.. j
Due from approved reserve a g e n t s . . . 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
j
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 .

J. A. RlCHAIiDSONT, Cashier.

$786,283 14 Capital stock paid in
.'360 95
414, 500 00 ! Surplus fund . . . . . . . .

........!

$750, C O 00
O
100, 000 00
40,815 00

I Other undivided profits

National bank notes outstanding
!
394, 500 00
State baak notes outstanding
<.....
74,223 34
59, 105 69
Dividends unpaid
632 50
100, 000 00
2, 487 24
!
278,203 38
3,000 00 1 Individual deposits
! United States deposits
j
26,174 24 j Deposits of U. S. disbursing officers..j
21,433 00
122 01
5,091 00
24, 169 00 ;
i
24, 000 00

Due to other national banks
Due to State banks and bankers

|
i

Notes and bills re-discounted
Bills payable

|
|

1,570,952 61

Total.

6, 801 73
»

1,570,952 61

National Bank of Commerce, New London.
SYM.

IT. BARNS, President.

No. 666.

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 . . J
Due from other banks and b a n k e r s . . . |
Real estate, furniture, and fixtures _.. j
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
j
Specie
.,
i
Legal tender notes
i
U. S. certificates of deposit
<»_. j
Due from U. S. Treasurer
j
Total




|

C H A R L E S B U T L E R , Cashier.

$366, 937 00 Capital stock paid in .
1,203 67
Surplus fund..
|
130, 000 00
."I
Other undivided profits
... I
30, 000 00
30, 000 00 j National bank notes outstanding
| State bank notes outstanding
12, 440 55
8, 823 39 i Dividends unpaid
j
13, 664 12
i
1, 349 22 '
%
1
|
5, 78 L 251 Individual deposits
!j United States deposits
j
15, 857 67
jj Deposits of U. S. disbursing officers.. j
j
10,260 00 Due to other national banks
323 93 Due to State banks and bankers
I
2,796 88
16, 605 00 Notes and bills re-discounted....
, Bills payable
5, 850 00
651, 892 68

Total.

$300, 000 00
47, 097 30
8, 950 22
114,000 00
253 50
170,348 77

9, 601 35
1, 638 54

651,892 63

230

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
National Union Bank, New London.
No.

" V H. CHAPMAN, President.
V .

1175.

L. C. L E A R N E D , Cashier.

Liabilities.
Loans and discounts
!
!
Overdrafts
U. S. bonds to secure circulatiou
U. S. bonds to secure deposits
I
U. S. bonds on hand
:
Other stocks, bonds, and mortgages.. |

$346, 842 29
4,423 91
132, 000 00-

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
'.
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
;

27, 342
11, 651
5, 000
2, 834
1, 60J
3, 491

Total

20, 000 00
16,707 53

$300, 000 00

Capital stock paid in.

20, 000
9, 243

Surplus fund
i Other undivided profits

National bank notes outstanding
.
40 i State bauk notes outstanding
97
i Dividends unpaid.
00
6L
Individual deposits
00 ! United States deposits
27 I Deposits of U. S. disbursing officers.

118,800 00
2, 697 00
446 50
152,

614 54

2, 730 62

00 jj Due to other national banks . . . .
00i| Dae to State banks and bankers00
00 I Notes and bills re-discounted
Bills payable
8, 940 00

3, 500
650
515
21, 000

Total.

606, f>3 L 98

00
32

6J6,

531 98

National Whaling Bank, New London.
No.

S. D. L A W R E N C 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 .
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

J. C. DOUGLASS, Cashier.

$74,

809 39

Capital stock paid in

|

150,

00J

Surplus fund
Other uudivided profits

i
I

00

"7O,"("l(io"o6"
58, 453 03
75,685 10
448 69
5, 500 00
750 00
2, 626 64
1,727
137
147
3,000
6, 750
450,

Total.

978.

033

$150, 000 00
35, 000 00
19, 972 67
130, 300 00
2, 668 00

National bank notes outstanding
State bank notes outstanding

813 75

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

111,028 53

: Due to other national banks
j Due to State banks and bankers.
J
i Notes and bills re-discounted .
Bills payable
00 i

00
00
00
00

85 !

450,

Total.

033

85

New London City National Bank, New London.
J . N. HARKIS, President.

Loans and discountsOverdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, 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
-I
Legal tender notes
I
U. S. certificates of deposit
|
Due from U. S. Treasurer
Total.




No. 1037.

R. N. B E L B E N ,

Cashier.

Capital stock paid in

!

$100,000 00

Surplus fund
Other uudivided profits

!

5, 340 39
3, 762 43

National bank notes outstanding
|
! I State bank notes outstanding
i
7, 256 80 ! Dividends unpaid
I
4, 100 00 ;
1,394 71 i! xndividual deposits
""
! United States deposits
15,431 60 |i Deposits of U. S. disbursing officers.

45, 000 00

$137,

156 75

55, 000 00
34, 067 37

3,481 00
1,378 12
13,000 00

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

2, 475 00
274,744 35

Total

!

472 50
110,

748

76

9, 420

27

REPORT OF THE COMPTROLLER OF THE CURRENCY.

231

CONNECTICUT.
First National Bank, New Milford.
No. 1193.

DANIEL MARSH, President.

H E N FT

Liabilities.

Resources.
Loans and discounts
I
Overdrafts
i
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... 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
Specie
Legal tender notes
II. S. certificates of deposit
Due from U. S. Treasurer

IVES, Cashier.

,

$125, 000 00

$1.39,491 54 Capital stock paid in.
104 87
123, 000 00 | Surplus fund
{ Other undivided profits

25, 000 00
6, 485 85

18,200 00 j National bank notes outstar ding...
58,878 95 j State bank notes outstanding
3,631 95
Dividends unpaid .
6, 000 0')
1, 130 53 ! Individual deposits
,

109,610 00
372 00
99, 470 55

United States deposits
933 59 I Deposits of U. S. disbursing officers.,

1,309 65" I1 Due to other national
,

banks
I Due to State banks and bankers
63 L 47
7,211 00 Notes and bills re-discounted.
Bills payable

119 50

Total

Total.

366, 057 90

Central National Bank, Norwalk.
A. S. HURLRUTT, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and 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
Dae from U. S. Treasurer
,

No. 2342.
$88,926 51
639 24
40,000 00
18, 000 00
5, 568 97
16, 217 27
2, 300 00
1,264 51.
3,350 17
4,293 31
2, 800
68
666
4, 027

00
19
80
00

Capital stock paid in.

$100, 000 00

Surplus fund
Other undivided profits.

2, 606 50

National bank notes outstanding
State bank notes outstanding

36, 000 00

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

49, 240 38

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

2, 015 09

Notes and bills re-discounted
Bills payable
,

1,800 00
189,921 97

Total-

W M . A. CURTIS, Cashier.

Total

189,921 97

Fairfield County National Bank, Norwalk.
F.

CHAS. H. STREET, Cashier.

S T . JOHN LOCK WOOD, 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..




$343,453 17 j Capital stock paid in
1, 070 90
241, 500 00 | Surplus fund
I O ther undivided profits

j

$300, 000 00

;

52,000 00
11,240 68

| National bank notes outstanding
|
'
14,667 59 I State bank notes outstanding
21,295 17 Dividends unpaid
|
22, 385 60
3, 569 83 Individual deposits
;
1, 165 69 United States deposits
I
Deposits of U. S. disbursing officers.. |,
8,004 67
4,015
79
996
8, 766

00
46
00
00

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

206, 700 00
1,053 00
102, 761 93

8, 068 47

Notes and bills re-discounted.
Bills payable

10, 850 00
681,824 08

Total.

681,824 08

232

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
National Bank, Nor walk.

STII.ES CURTIS, President.

No. 942.

Resources.
Loans and discount?
Overdrafts
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, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and 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

R. B. CRAUFURD, Caside

i
i

!
'
j
j
!
|
!
j

Liabilities.

$208,661 13 Capital stock paid in
1,253 08 j
300, 000 00 'Surplus fund
30, 000 00
5, 000 00
15, 082 73
10, 685 26
26,457 1
1
3. 239 23
9, 012 50
1,411 17

$300, 000 00
39, 000 00
6, 760 58

Other undivided profits

:National bank notes outstanding-

263, 000 00

State bank notes outstanding
Dividends unpaid

j

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

724 00
23,961 66

1, 085 00 i! Due to other national banks
| Due to State banks and bankers .
Notes and bills re-discounted
Bills payable

Total .

Total.

633,799 10

First National Bank/Norwich.
No. 458.

L. W. CARROLL, President

Loans and discounts
,
!
Overdrafts
.
U. S. bonds to secure circulation
j
TJ. 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 iixture.s...
Current expenses and taxes paid
Premiums paid
!
Checks and other cash items
Exchanges for clearing house
Bills of other batiks
'•
Fractional currency
Specie
,
Legal tender notes
'
Due from U. S. Treasurer
Suspense account
\

$624, 838 53

$600, 000 00

Capital stock paid in .

""250," 666" 66"

Surplus fund
Other undivided profits

7, 505 00
5, 734 36
12,008 62
7, 500 00
6.754 33
20, OJ 00
iO

6, 000 00
21,887 48

j National bank notes outstanding . . .
I State bank notes outstanding
!
! Dividends unpaid .

220, 500 00

:

; Individual deposits
United States deposits
j
28, 237 61 ! Deposits of U. S. disbursing officers.-)
!
Due to other national banks
!
16, 6!)8 00
Due to State banks and bankers
j
103 87
4, 600 00
15,000 00
Notes and bills re-discounted.
11,250 00
Bills payable
10, 000 00
1,020,260 32

Total.

L E W I S A. H Y D E , Cashier.

153, 003 03

14,784 72
4, 085 09

1,020,260 32

Total.

Second National Bank, Norwich.
No. 224.

A. F . 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
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

!

i
i
j

Total




j

C. P. C O G S W E L L , Cashier.

$444,364 54 ||Capital stock paid in
1,312 00 j!
\
200, 000 00 |!Surplus fund
; Other undivided profits
j
!
j
2,000 00 ,!
National bank notes outstanding
| State bank notes outstanding
7, 655 81 '
I
2,185 00 j Dividends unpaid .
4, 290 87 :!
: i Individual deposits
United States deposits
3,315 05 iDeposits of U. S. disbursing officers .
j
1,120 00 IDue to other national banks
328 42 *Due to State banks and bankers
(
969 00 q
21,000 00 i Notes and bills re-discounted
'•] Bills payable
3, 300 C !
O
[

$300, 000 00
40, 000 00
19, 320 18
180, 000 00
280 00
147, 295 57

4,944 94

i

691,810 69 I

Total.

691,840 I

REPORT OF THE COMPTROLLER OF THE CURRENCY.

238

CONNECTICUT.
Merchants' National Bank, Norwich.
JOHN BREWSTER, President.

No. 1481.

J. M. MEECH, Cashier.

Resources.

Liabilities.
$383,861 12
859 76
112,000 0.)

Loans and discounts
Overdrafts
...
II. IS. bonds to secure circulation
•U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
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,nd other cash items
Exchanges for clearing house
Bills of other b a n k s . . . :
„
Fractional currency
Specie.
Legal tender notes
Due from U. S. Treasurer
Suspense account

17,482 30
9, 708 8-2
7, 872 (ifi
636 03
13. 73U 39
17,649
1,040
5, 563
20, 000
5, 000
1, 850

00
14
00
00
00
00

Capital stock paid in

!
J

354.46
4,984 51

National bank notes outstanding . . . .1
.Stare bank notes outstanding
i

95, 880 00

..,

Dividends unpaid.

250 00

I mlividual deposits
United States deposits - ,
Deposits of U. iS. disbursing officers.. j

194,575 41

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

597,253 22 jj

Total.

. . . i $300, 000 00

Surplus fund
Other undivided profits

1,228 84

Total.

597, 253 22

Norwich National Bank, Norwich.
C H A R L E S JOHNSON', President.

No. 1358.

F R A N K JOHNSON, Cashier.

Loans and discounts
!
$291,663 74
Capital stock paid in
I $220, 000 00
Overdrafts
U. S. bonds to secure circulation
j
200, 003 00 Surplus fund
!
24, 384 83
!
U. S. bonds to secure deposits
Other undivided profits
i
'
8, 864 14
!
V. S. bonds on hand
Other stocks, bonds, and mortgages..!
National bank notes outstanding
!
163,150 00
Due from approved reserve agents...
28, 014 25 State bank notes, outstanding
;
654 00
Due from other banks and bankers . .
9, 306 70
]
Real estate, furniture, and
fixtures...
7, 768 17
Dividends unpaid
.
1,160 00
Current expenses and taxes paid
3, 837 G6
Premiums paid . . ~
;
8, 6.-I5 44 Individual deposits
j
151, 783 04
Checks and other cash items
5, 089 81 . United States deposits
I
Exchanges for clearing house
•....
•1 Deposits of U. S. disbursing officers.. j
1
Bills of other banks. .\
'
4, 804 00
Due to other national banks
!
878
Fractional currencv
i
Due to State banks and bankers
I
924
Specie
"
6:>9 25
Legal tender notes
8, 700 00
Notes and bills re-discounted.... . . . . I
U. S. certificates of deposit
Bills payable
!
j
Due from U. S. Treasurer
3, 300 00
Total

!

571,799 02

Total

571,799 02

Shetucket National Bank, Norwich.
No. 1379.

C H A R L E S OSGOOB, President,

Loans and discounts
!
O verdrafts
\
V. S. bonds to secure circulation
i
U. S. bonds to secure deposits
j.
XI.. S. bonds on hand
L
Other stocks, bonds, and mortgages..!
Due from approved reserve agents...!
Due from other banks and bankers ..j
Real estate, furniture, and fixtures ..I
Current expenses and taxes paid
j
Premiums paid
j .
Checks and other cash items
Exchanges for clearing house.
Bil& of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




|
j.
j
j
j
|

C. J. FlLLMORE, Cashier.

;i.59, 773 95 !Capital stock paid in
147 56 |
80, 000 00 I Surplus fund
Other undivided profits...

I
j
j-

3, 500 00 I National bank notes outstanding
6,310 33 I State bank notes outstanding . . .
29, 630 04 \\
Dividends unpaid
1,' 423 31 !
3, 336 06
7, 004
147
1,698
3,553

00
49
90
00

308,324 64

20, 000 00
17,834 51
71,000 00
116 00

Individual deposits
!
United States deposits
|
Deposits of U. S. disbursing officers . I

J Due to other national banks
I Due to State b..iuks and bankers
l
!Notes and bills re-discounted
,
Bills payable
,
3, 600 00 i

$100, 000 00

59, 374 13
'
„

|
|

308,324 64

234

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
Thames National Bank, Norwich.
No. 657

FHAXKUN NICHOLS, President.

EDWARD N. GIBBS, 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
j
Fractional currency
j
Specie.,
j
Legal tender notes
i
IT. S. certificates of deposit
j
Due from U. S. Treasurer
;

Liabilities.
•1, 334, 489 69 \ Capital stock paid in.
889, 500 00
50, 000 00

300, 000 00
30,904 92

National bank notes outstanding

6, 000 00

49,901 13
83, 253 44
20, 000 00
2, 536 94

752, 990 00

State bank notes outstanding

i

Dividends unpaid

:

Individual deposits
'
United States deposits
,
Depositsother national banksofficers.. i
Due to of U. S. disbursing
i

21,041 73
47*099'66

Due to State banks and bankers
Notes and bills re-discounted
Bills payable

12,547 21
53, 610 00

40, 666 66
2,609,979 14

Total.

$1,000,000 00

Surplus fund
Other undivided profits

Total

5, 371 00
480, 649 02
19, 938 12
2, 221 58
17,904 5ft

J

j 2,609,979 14

Uncas National Bank, Norwich.
No. 1187.

JESSE S. ELY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circixlation
U. S. bonds to secure deposits
U. S. bonds on hand,
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
CuiTent expenses and taxes paid
Premiums paid .
»
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$301,988 90

$300, 0C0 00

Capital stock paid in.

""197,66666" Surplus fund
Other undivided profits
1, 020 00 j National bank notes outstanding . . . .
5, 220 79 ; State bank notes outstanding
18, 421 37
8,971 62 Dividends unpaid .
p-, J r ! Individual deposits
<>
COi q
~ i United States deposits
14, 932 32 ; Deposits of U. S. disbursing officers..
6, 200 00
425 00
2,050 00
7, 400 00

:

29, 652 13
7, 445 47
172, 450 00
2, 635 75
50,461 55

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

"" 8,"865 65"

573,748 19

Total.

E. H. LEARNED, Cashier.

Total

573, 748 19

Pawcatuck National Bank, Pawcatuck.
PELEG CLARKE, Jr., President.

J. A. MORGAN, Cashier.

$59,662 82 .! Capital stock paid in.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
\
70, 000 00 '< Surplus fund
U. S. bonds to secure deposits
.«...
; Other undivided profits
U. S. bonds on hand
Other stocks, bonds, and mortgages..:
3,500 00 i National bank notes outstanding
Due from approved reserve agents.. J
7, 999 64 State bank notes outstanding
Due from other banks and bankers..i
Real estate, furniture, and fixtures...;
22, 223 44 Dividends unpaid .
Current expenses and taxes paid
;
1, 299 40 Individual deposits
Premiums paid
;
United States deposits
,
Checks and other cash items
!
3, 020 41 Deposits of U. S. disbursing officers.
!
Exchanges for clearing house
;
Bills of other banks
552 OiJ Due to other national banks
Fractional currency
'••
95 78 Due to State banks and bankers.
Specie
''
25 00
Legal tender notes
j
135 00 Notes and bills re-discounted.
Bills payable
U. S. certificates of deposit
\
Due from U. S. Treasurer
!
3,150 00
Total.




171, 663 49 |

Total.

$85, 000 00
20,897 18
2,457 40
58, 500 00
33 25
4, 052 97

722,69

171,663 49

REPORT OP THE COMPTROLLER OF THE CURRENCY. 235
C *» N N E € T I C U T .
First National Bank, Portland.
M. W. COE, Cashier,

No. 1013.

S. GILDERSLEEVE, President.

Liabilities.

Resources.
$166, 330 33

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.

$150, 000 00

Capital stock paid in.

30, 000 00
2, 585 77

"150,000 00 j ! Surplus fund. .
; Other undivided profits

135, 000 00

j; National bank notes outstanding.
1, 090 33 ! I State bank notes outstanding
3, 299 38 Dividends unpaid
13,900 00
1, 849 52 ; Individual deposits
-.
:
; United 8tares'deposits
948 47 I 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 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

4,929 00

119 92
763 00 :
4 000 00
6 750

Total .

353, 980

5"
5

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

96 00
35, 115 48

j
1

1,182 75

Notes and bills re-discounted.
Bills payable
353, 980 00

Total.

00

First National Bank, Putnam.
No. 448.

G. "W. PHILLIPS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
...
U. S. bonds on hand
Other stocks, bonds, and mortgages..

$186, 088 39

Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid

10, 950
2, 620
10,.000
949

150,000 00

J. A. CARPENTER, Cashier.

Capital stock paid in.

$150,000.00

Surplus fund.
Other undivided profits

I

National bank notes outstanding
i State bank notes outstanding
!
Dividends unpaid
v
1
I Individual deposits
United States deposits
4, 609 85 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 depositDue from U. S. Treasurer

57
60
00
88

2,000 00
Due to other national banks
250 00 Due to State banks and bankers .
1, 550 00
16, 000 00 i Notes and bills re-discounted.
Bills payable
10, 050 00
395, 069 29

Total.

Total.

28,000 00
6, 439 73
131, 000 00
15 00
79,011 91

602 65

395,069 29

First National Bank, Rockville.
No. 186.

GEORGE TALCOTT, President.

$314,351 52 I Capital stock paid in.
83 79
200, 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 moi'tgages...

, i j National bank notes outstanding
358 60 i j State bank notes outstanding
10, 662 03 Dividends unpaid .
7, 533 25
2,694 91 j Individual deposits

Due from approved reserve agents...
Due from other banks and bankers -Real estate, furniture, and fixtures
Current expenses and taxes paid
Premiums paid
Checks aud other cash items
Exchanges 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- -12




J O H N H. K I T E , Cashier.

|
|
j
]
I
j
1

$200, 000 00
37, 200 00
4,928 74
179, 949 00
140 00
114,224 94

kUnited States deposits
420 63 || Deposits of U. S. disbursing officers.
280 00
J66 38
172 00
2, 875 00

Due to other national banks
Due to State banks and bankers

11, 423 14
732 29

Notes and bills re-discounted.
Bills payable

9, 000 66
Total.
548,598 11

548,598 11

236

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
Rockville National Bank, Rockville.

CHAUNCEY WlNCHEL,

President.

No. 509.

Resources.
Loans and discounts
I
Overdrafts
j
U. S. bonds to secure circulation
j
U. S. bonds to secure deposits
j
IT. 8. 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
j
Checks and other cash items
\
Exchanges for clearing house
•
Bills of other banks
i
Fractional currency
'
Specie
,
Legal tender notes
'
tlJ. S. certificates of deposit
i
Due from U. S. Treasurer
Total

E. C. CHAPMAN, Cashier.

j

Liabilities.

i

$317, 622 30 Capital stock paid in
647 03
312, 000 €0 Surplus fund
Other undivided profits
4,400 00
National bank notes outstanding
19, 467 83 State bank notes outstanding
13,417 (if) Dividends unpaid .
10 000 00
3, 622 78 Individual deposits
United States deposits „
29 40 Deposits of U. S. disbursing officers.. [
694 00 i Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
! Bills payable
14, 000 00
925 95
2,100 00

|
(

$300, 000 00
18, 100 00
7,227 91
279, 965 00
372 00
92, 309 70

951 86

698,926 47

698, 926 47

First National Bank, South Norwalk.
J. J . MiLLARD, Cashier.

No. 502.

DUDLEY P. ELY, President.

Loans and discounts
$167, 383 84
Overdrafts
U. 8. bonds to secure circulation
200, 000 00
U. S. bonds to secure deposits
|
U. S. bonds on hand
14, 500 00
Other stocks, bonds, and mortgages..
6, 000 00
Due from approved reserve agents..-!
24,904 07
Due from other banks and bankers... |
10, 034 32
Real estate, furniture, and
fixtures..:
21,000 00
Current expanses and taxes paid
j
3, 888 56
Premiums paid
:
420 44
Checks and other cash items
j
1, 011 87
Exchanges for clearing house
[
Bills of other banks
5, 156 00
174 15
Fractional currency
65 00
Specie
10, 400 00
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
j
9,"666"66";

Capital stock paid in

40, 000 00
4, 696 29

Surplus fund
Other undivided profits
National bank notes outstanding...
State bank notes outstanding
Dividends unpaid

158,400 00
'•

112 00

Individual deposits
^
United States deposits
j
Deposits of U. S. disbursing officers . J

68, 654 57

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

2,013 06
62 33

Notes and bills re-discounted
Bills payable

473, 938 25

Total .

$200, 000 00

Total.

473, 938 25

Southport National Bank, Southport.
FRANCIS D. PERRY, President.

Loans and discounts
Overdrafts
.,
i
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 . J
Current expenses and taxes paid
Premiums paid
'
Checks and other cash items
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
9.
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 660.

E. C. SHERWOOD, Cashier.

$36,382 17 Capital stock paid in.
80
100, 000 00 Surplus fund
Other undivided profits .
20, 000 C
i
O
130,000 00 National bank notes outstanding
33, 022 76 State bank notes outstanding
12, 400 00 Dividends unpaid .
Individual deposits
United States deposits
526 21. Deposits of U. S. disbursing officers.
..
629 00 Due to other national banks
Due to State banks and bankers . . . .
150 00
4, 325 00 Notes and bills re-discounted
|
Bills payable
...j
4, 500 00
341,935 94

ilOO, 000 00
27, 000 00
4, 794 23
90, 000 00
150 00
114,729 05

5,262 66

341,935 94

REPORT OP THE COMPTROLLER OF THE CURRENCY.

237

CONNECTICUT.
Stafford National Bank, Stafford Springs.
JULIUS CONVERSE, President.

No. 686.

R. S. HICKS, Cashier.

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
|
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

$200, 000 00

$274, 139 51 , Capital stock paid in.
'
3,012 06
150, 000 00 i Surplus fund
Other undivided profits
30, 814 00 National bank notes outstanding
State bank notes outstanding
2,861 92 i Dividends unpaid .

21, 000 00
5, 331 24
135,000 00
203 00

9,084 63 I

ii, loU 00 Individual deposits .
United States deposits
7,743 42 ! Deposits of U. S. disbursing officers.

106,060 U

3,711 00 jiDue to other national banks
8 16 I Due to State banks and bankers
"
3,500 00 || Notes and bills re-discounted .
Bills payable.

13,198 13
22 52
25, 798 63

506,613 66

Total.

First National Bank, Stamford.
OHAS. W. BROWN, President.

Loans and discounts
......
Overdrafts
U. S. bonds to secure circulation . . . . .
U. S. bonds to secure deposits
U. S. bonds on hand... ,
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and 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
U. S. certificates of deposit
Due from U. S. Treasurer

A. R. TURKINGTON, Cashier.

No. 4.

$230, 420 09I i Capital stock paid in..
155 44
200,000 00 i i Surplus fund
| Other undivided profits.
70, 000 00
34, 000 00 jj National bank notes outstanding
50, 666 83 j | State bank notes outstanding
3, 923 42
49, 000 00 j | Dividends unpaid

100, 000 00
26, 253 88
!
...-.

175, 700 00

i Qnn no !' Individual deposits
;
1, auu U j j U n i t e ( j states d-posits
U
i.
2, 544 77 I Deposits of U. S. disbursing officers..|.
I
3,744 00 I Due to other national banks
;
764 83 I Dae to State banks and bankers
j
740 00
10, 772 00 Notes and bills re-discounted
Bills payable

168,811 10

410 00

1,259 07
320 80

""'9,"6oo 65 j
672, 754 85

Total .

$200, 000 00

672, 754 85

Total.

Stamford National Bank, Stamford.
JOHN W. LEEDS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds 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 es and taxes paid
Premiums paid
Checks and 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




No. 1038.

G-. W. GLENDINING, Cash

$275, 908 37 Capital stock paid in
"205,000 66"
20, 000 00

25,453 89
3, 645 20
2, 500 00
347 84

I

$202,020 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

;
!

50, 000 00
24, 048 79
149,000 00
1,236 00

Dividends unpaid

J

3, 009 30

Individual deposits
„
j
United States deposits
;.
57 L 00 Deposits of U. S. disbursing officers..j.

155,959 11

Due to oth«r national banks . . - . . . . i
Due to State banks and bankers . . . . I

3, 458 25
382 96

13, 985 00
4! 75
1, 138 36
31,433 00

Notes and bills re-discounted.
Bills payable

9,090 00
589,114 41

Total.

589, 114 41

238

KEPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
First National Bank, Stonington.
W. J. H. POLLARD, Cashier,

STILES STANTON, President.

Liabilities.

Resources.

$134,601 48 ! Capital stock paid in.
869 05 j
202, 000 00 I Surplus fund
Other undivided profits 74,"000 00 i
29, 950 00 | National bank notes outstanding
.State bank notes outstanding
27, 533 97 I
33, 8-?3 58
Dividends unpaid .
;
2, ( 00 00 |
1,215 5! |
Individual deposits
1,425 00.| United States deposits
J,848 98 i Deposits of 17. 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. R< al estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 009
400
775
20, 29 i

00 I Due to other national banks
00 I Due, to State banks and bankers
00 |
00 ! Notes and bills re-discounted
Bills payable

$200, 000 00
45,373 12
4, 622 64172,150 00
1,077 00
108, 373 36

70 52?
20, 075 93

9,000 00 !

551,742 57 [

Total.

551, 742 57

Total.

First National Bank, Suffield.
I . LUTHEK SPENCER,

No. 497.

President.
-

H E N R Y C. Y O U N G ,

Cashier.

-

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
'
Other stocks, bonds, and m o r t g a g e s . .
D u e from approved reserve agents. - D u e from other banks and bankers -Real estate, furniture, and
fixtures...
Current expenses a n d taxes paid
P r e m i u m s paid
Checks and other cash items
E x c h a n g e s 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
j

$152,256 75
Capital stock paid in.
2, 440 24
200, 000 00 \ Surplus fund
Other undivided profits
50," 500* 00* I
4, 750 00 National bank notes outstanding . - . . .
State bank notes outstanding
19, 450 60
467 20 ' Dividends unpaid .
18, 828 83 I
4, 138 36 Individual deposits
959 37 :
United States deposits
54L 24 ' Deposits of U. S. disbursing officers.
Due to other national banks
Due to State banks and bankers .
327 08
6, 750 00

17,087 46
14,498 50
180, 000 00

58, 819 65

671 06

Notes and bills re-discounted.
Bills payable

9,000 00 |
471,076 67 !

Total.

$200, 000 00

471,076 67

Total -

Thompson National Bank, Thompson.
J E R E M I A H OLNEY, 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.. .i
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 bunks
Fractional currency
p
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Total.




No. 1477.

" HIRAM ARNOLD, Cashier.

$98,754 11 ;Capital stock paid in .
""77*000 06"

19,564 46
9, 867 96
13, 600 00
2, 400 00
303 7L

20, 000 00
3, 937 40

National bank notes outstanding . .
State bank notes outstanding

68,990 00

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

00 : Due to other national banks
84 Due to State banks and bankers..
60
00 j Notes and bills re-discounted
Bills payable
"~3*465 00
2, 405
1
245
2, 026

229, 723 68

$100, 000 00

Surplus fund
Other undivided profits.

Total.

3, 560 00
32,906 11

329 51

229, 723 68

REPORT OF THE COMPTROLLER OF THE CURRENCY.

239

C O M I E C T S C U T .
Tolland County JMational Bank, Tolland.
C H A S . U N D E R W O O D , President.

No. 1385.

CHAS. A. H A W K I N S ,

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 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. Trea urer

$110, U1/!) (
W
1, H73 !)4
125, 000 C
O

('-.ipital stock paid in

|

$125, 000 00

Surplus fund
Other undivided profits

|

7,301 54
1, 296 44

|

111, 687 00

National bank notes outstanding
State bank notes outstanding .

205 00

3~!00"6<Vi! Dividends unpaid .
1 V fi7S 07 '• Individual deposits
IO.IWJ u/ ,, U u i t e d S f a t e s ( l e p o s i t s
453 98 ;i Deposits of U. 8. disbursing officers..;.
177
96
932
150
....
5,625

00 | :
16 it
25 I
00 j
|;
00 |'

5, 516 27

Due to other national banks
Due to State banks and bankers

3, 697 72
1, 900 00

Notes and bills re-discounted.
Bills payable
,

8, 000 00

264,603 97 !|

Total..

Cashier,

Liabilities.

Total.

264, 603 97

Citizens' National Bank, Waterbury.
F . J. KlNGSBURY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation....
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents .
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid. .._
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
*.
Fractional currency
Specie
Legal tender notes
U. S. ctTtilieates of deposit
Due from U. S. Treasurer
Total

F . L. CURTISS, Cashier.

No. 791.
Capital stock paid in

$398,661 81
4, 076 69
3i)0, 000 00

83, 700 00
13,051 92
267, 020 00
1,864 00

National bank notes outstanding
State bank notes outstanding

31,413 38
3,873 56
15,500 no

Dividends unpaid

4,958 57

640 00

»

Individual deposits
«,
j
United 8tat.es deposits
.
Deposits of U. S. disbursing officers..] -

3, 135 64
18, 945
5U
1, 697
10, 000

$300,000 00

Surplus fund
Other undivided profits

00
()()
7)
00

Due to other n;;1 ioual banks
j
Di.i*i to Siattt banks and bankers. ...,\

138, 579 44

776 99
180 00

Notes and bills re-discounted
Bills payable

13, 500 00
Total.

805,812 35 !

805,812 35

Waterbtrfy National Bank, Waterbury.
A U G . S. C H A S 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. 780.

A. N. B L A K E S L E Y . (Jashier.

Capital stock paid in

$76^, 176 21
3, 991 9o
:
300, 000 00
1

,.

Surplus fund
Other undivided profits . . .

j

$500, 000 00

|
j

250, 000 00
50, 575 97

i 250 00
,
> 000 00 !
,

I

•,881
!, 229
), 000
!, 258

31
87
00
32

i National bank notes outstanding
] State bank note* outstanding
'
! Dividends unpaid

! Individual deposits
1 United States deposits
1
5, 823*24 J Deposits of [T. S. disbursing officers.
952 00 i Due to other national banks
770 11 Due to State banks and bankers .
659 00 I
0 6 6 0••)
Notes and bills re-discounted
Bills payable
29, 788 85
1, 492, 849 87

Total

1

269,900 00
4,276 00
1,695 00
405, 347 92

11, 054 98

1,492,849 87

240

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CONNECTICUT.
First National Bank of Killingly, West Killingly.

HENRY HAMMOND, President.

No. 450.

H. N. CLEMONS, 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.
$118,337 41

""Ii2,"66o"66"j
5, 000
2,000
9,468
7,637
2,435

00
00
68
91
14

1,000 00

15, 464 00
183 04
683 00
20, 000 (iO
5, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

22, 000 003, 327 75
96, 500 00

Dividends unpaid

115 00

Individual deposits
;
United States deposits
,.
Deposits of U. S. disbursing officers..:
j
Due to other national banks
j
Due to State banks and bankers
j
Notes and bills re-discounted
Bills payable

Total

299,209 18

Total

j

48, 970 52

685 44
17,610 47

J.
j.

I

299,209 18

First National Bank, West Meriden.
JOEL H. GUY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation....
U. S. bonds to secure deposits
U. S. bonds on hand
Other 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. 8. certificates of deposit
Due from U. S. Treasurer
Total.,

C. L. ROCKWELL, Cashier.

$4-29, 62(5 95
500,000 00*
8,250
2, 786
17, 112
44, 000
5, 172
37, 000

00
72
41
00
93
00 i

Capital stock paid in

j

$500, 000 00

Surplus fund
Other undivided profits

I
j

91,000 00
7, 950 37

National bank notes outstanding
State bank notes outstanding

444, 400 00

Dividends unpaid .

540 00

Individual deposits
United States deposits
2, 065 07 I Deposits of U. S. disbursing officers .
Due to other national banks
Due to State banks and bankers
463 69
8,09:) 00 , Notes and bills re-discounted..
Bills payable

19, 872 0(1

52,763 12

j
I

Total

1,096,939 77

163 69
122 59

1, 096, 939 77

Home National Bank of Meriden, "West Meriden.
ELI

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 clearing house
Bills of other banks..'.
Fractional currency
Specie
!
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total..




No. 720.
$786, 437 25

A. CHAMBERLAIN, Jr., Cashier.

Capital stock paid in .

274, 000 00 ' Surplus fund
Other undivided profits
50, 000 00
National bank notes outstanding
2, 500 00
State bank notes outstanding
53, 536 26
3, 832 38
Dividends unpaid..
40. 187 88
5,642 (
W
Individual deposits
13,375 00
United States deposits

$600, 000 00
110, 000 00
16, 809 34
246, 600 00
640 00
218,024 78

Deposits of U. S. disbursing officers..
20, 073 0(1
394 46
9, 189 00

Due to other national banks
Due to State banks and bankers

25, 440 42
11,938 39

Notes and bills re-discounted.
Bills payable

50, 000 00

12,330 00"
1, 279, 452 93

Total

1, 279, 452 93

REPORT OF THE COMPTROLLER OF THE CURRENCY.

241

C O N N E C T I C U T .
Hurlbut National Bank of Winsted, West Winsted.
W M . L. GILBERT, President.

No. 1494.

HENRY GAY, 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. Sj, Treasurer

$353, 780 22 | Capital stock paid in
3,810 34 I;
205, 000 00 ! Surplus fund
! Other undivided profits
2, 150 00 I
j National bank notes outstanding
State bank notes outstanding
73,531 78

j
!
j
|
;
j
j

$205, 000 00

j
j United States deposits
|
18,272 10 ! Deposits of U. S. disbursing officers..

220, 624 29

26, 472 09 I Dividends unpaid.
1,971 161 || Individual deposits

2, 920
I, 189
2, 287
22, 300

00 i Due to other national banks
55 I Due to State banks and bankers
42 |
00 | Notes and bills re-discounted. Bills payable.

j
!

Total.

Total.

82, 000 00
18,027 43
168, 313 00

25 50
28, 919 44

722, 909 66

First National Bank, Westport.
H O R A C E STAPLES, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits.
U. S. bonds on hand
..
Other stocks, bonds, and mortgages..
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. 394.

$186,281 41
595 35
285, 000 00
82,500 00
16,711 01
4, 915 83
20, 00 J 00
52'^ 37
7, 000 00
1, 610 79
1,001
31
326
8, 000

00
40
98
00

i2,*825" 00*

Total .

B. L. W O O D W O R T H , Cashier.

Capital stock paid in

|

Surplus fund
Other undivided profits

$300, 000 00
40,759 16
9, 141 74

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

234,548 00
788 50

Dividends unpaid .

40,573 69

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

1, 510 05

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

I
i
627,321 14

Windham National Bank, Windham.
T H O M A S RAMSDELL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents . .
Due from other banks and bankers . .
Real estate, furniture, and fixtures . .
Current expenses 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.




SAMUEL BTNGHAM, Cashier.

$89, 705 00 I Capital stock paid in.
250 00
100,000 00 ! Surplus fund
Other undivided profits.
6, 636 80
17,714 74
27 49
7,452 00
155 47
3, 335 00
233 71
487 H
O
24 51
175 00
600 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
14. 000 00
3; 766 58
86, 900 00
274 00
26, 347 04

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

4,500 00
231,296 72

Total.

231, 296 72

242

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YO K K .

Hungerford National Bank, Adams.
S. D. IIUSGF.KFORD, President.

GEO.

Resources.

" V BOND, Cashier.
V .

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 aud 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
|
Due from U. S. Treasurer
I

$107, 382 35
1, 766 «'6
50, 000 0 J
,
22, 726 78
10, 058 78
8, 10!) 7(]
15, 300 00

Capital stock paid in.

National bank notes outstanding . . .
State bank notes outstanding

45, 000 00

Dividends unpaid .

Individual deposits
United States deposits
562 10 Deposits of U. S. disbursing officers .

117, 586 06

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

843 38

2, 650 00
1, 390 00
8, 800 00

Notes and bills re-discounted .
Bills payable

2, 250 00
230, 996 43

Total.

$50, 000 00
. 10, 000 00
7,566 99

Surplus fund
Other undivided profits

230, 996 43

Total

First National Bank, Albany.
M. H. READ,

No. 267.

President.

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

ADAM VAN ALLEN, Cashier.

$679,551 66 Capital stock paid in
70 11
250, 000 00 Surplus fnnd.
Other undivided profits
100,000 00
69, 101 00 National bank notes outstanding
175, P95 44 Stata bank notes outstanding
45, 145 84
65, 000 00 Dividends unpaid . .
"*"l3,"i0937"
8, 589 06
13.350 2 )
!
2, 128 01)

Total

$300, 000 00
200. 000 00 26, 487 16

j

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

Due to other national banks
Due to State banks and bankers
31, 100 00
Notes and bills re-discounted..
37, 00!) 00
30, 000 00
Bills payable.
1 1, 250 0.)
, 531, 09 L 37

J

225, 000 00

315 00
565, 321 49

176,221 48
37, 746 24

J 1, 531, 091 37

Albany City National Bank, Albany.
A. P . PALMER, Cashier.

ERASTUS CORNING, President.

Loans and discounts
$1, 552, 861 28
Overdrafts
539 25
U. S. bonds to secure circulation
300, 000 00
U. S. bonds to secure deposits
13,000 00
U. S. bonds on hand
;
Other stocks, bonds, and mortgages.- :
52, 750 •:()
Due from approved reserve agents...
443,891 41
Due from other banks and bankers..;
257,364 27 ;
94, 000 00 !
Real estate, furniture, and fixtures. ..'••
Current expenses and taxes paid
.
25,560 00
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Lega! tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




\
j
\
>
i
j
j

Capital stock paid in
Surplus fund
Other undivided profits-.-

150, 000 00
13,374 16

National bank notes outstanding . . .
State bank notes outstanding .
Dividends unpaid

Individual deposits.
United States deposits
29, 442 70 ! Deposits of U. S. disbursing officers.
14, 135 40
3, 335 00 i Due to other national banks . . .
1,241 85 I Due to State banks and bankers . . .
2, 783 57 ;
102,49} 00
Notes and bills re-discounted
70,000 00 ; Bills payable
13,840 00 j

2, 977, 237 76

$300, 000 00

Total.

6,283 00
1,168,611 93

776, 082 20
259,574 73
34, 321 74

2, 977, 237 76

REPORT OF THE COMPTROLLER OF THE CURRENCY. 243
NEW

ir O R K •

Merchants' National Bank, Albany.
R. V A N R K X S S E L A E R ,

N. D. W E N D E L L ,

President.

Resources.
Loans and discounts
.. ~
Overdrafts
tl. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
.
Other stocks, bonds, and mortgages.

$732, 967 47
1,237 47
198,000 0:)
200, 0<»0 00
100,01)0 00

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

230, 342 97
41,754 10
40, 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

43, 730 51
8,312 95
18,951 61
5, 209 00
2,257 !H
1,811 On
50, 0')0 00
70, 000 00
8,910 00
1, 753, 485 09

Total.

Cashier.

Liabilities.
$200, 000 00

Capital stock paid in
Surplus fund
Other undivided profits

200, 000 00
29,203 14

National bank notes outstanding . . .
State bank notes outstanding

178,200 00
4,363 50

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

900, 188 87
74, 898 92
12, 507 6S

Due to other national banks
Due to State banks and bankers

124,719 91
29, 403 OX

Notes and bills re-discounted.
Bills payable
Total.

1, 753, 485 09

National Albany Exchange Bank, Albany.
C. P . W I L L I A M S ,

T H E O . L. S C O T T

President.

Loans and discounts
I
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 a g e n t s . . .
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 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
'„..„.
.
Total

......

Cashier.

$300 000 00
Capital stock paid i n .
$933, 498 28
14 03 :
120, 000 00
,
Surplus fund
100, 000 00
62, 043 20
Other undivided profits
," 000 66 "|
90, 000 00
,581 44 | National bank notes o u t s t a n d i n g . . .
State bank notes outstanding
321, 702 54 j
137, 725 17
Dividends unpaid . .
34, 984 97 J
Individual deposits
j
668, 664 90
United States deposits
'
Deposits of U. S. disbursing o f f i c e r s . . ; . . . . . . . . .
Due to other national banks
Dae to State banks and bankers

!

44 i. 164 94
55 468 8L

Notes and bills re-discounted
Bills payable
1,737,31] 85

1,737,341 85

Total.

National Commercial Bank, Albany.
R O B T . H. P R U Y 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, and mortgages.
Due from approved reserve a g e n t s . .
Due from other banks and bankers .
Real estate, furniture, and fixiures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional cui-rency
Specie
Legal tender notes
IJ. S. certificates of deposit
Due from U. S. Treasurer

Total.




E. A. GiiOESBECK, Cashier.

President.

$1, 433, 177 51
4, 134 86
300, 000 00

Capital stock paid in

$300, 000 00

Surplus fund
Other undivided profits

500. 000 00
101, 988 51

National bank notes o u t s t a n d i n g . . .
393, 701 26 State bank notes outstanding
180,865 42 :
Dividends unpaid .
50,399 08
Individual deposits
108, 565 65 United States deposits
61,606 91 Deposits of U. S. disbursing officers.

249,100 00
9, 196 00

958. 000 00
104^346 77

23, 372 44
40, 084 00
2, 631 88
2, 000 00

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

"""336"ooo"66"

1,128 00
2, 589, 748 45

N^tes and bills re-discounted . . . . . .
Bills payable

37,038 21
218, 852 41

14, 165 80
Total.
4, 007, 05 L 58

4,007,051 58

244

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

New York State National Bank, Alban^r.
FRANKLIN TOWNSEND, President.

No. 1262.

J. H. VAN ANTWERP, 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, 274, 184 80 Capital stock paid in
$350, 000 00
1,7*7 23
350, 000 00 Surplus fund
200, 000 00
Other undivided profits
42,104 71
393, 500 00
39, 820 00 National bank notes outstanding
315, 000 00
|
...
254, 327 51 State bank notes outstanding
68, 476 17 Dividends unpaid
j
924 00
' 42, 500 (10
3, 824 9H
;
996,758 29
70, 842 59 Individual deposits
United States deposits
!
5, 152 50 Deposits of U, S. disbursing officers..!...
16, 040 36
i
1, 902 O'.i Due to other national banks
:
532, 724 65
187 50 Due to State banks and bankers
|
284, 383 83
999 84
57, 600 00 Notes and bills re-discounted.
125, 000 00 Bills payable..
15,750 w
0
2,721,895 48

2,721,895 48

Union National Bank, Albany.
JAS. C. COOK, Cashier.

B. P. LEARNED, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, 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}*Specie . . . . .
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$419,731 62
503 72
250, 000 00

Capital stock paid in

51,129 98
31,319 46
J 5, 00 J 00 Dividends unpaid
Individual deposits
United States deposits
.1.
Deposits of U. S. disbursing officers..I
10, 199 26 i
|
5,233 00 | Due to other national banks
j
Due to State banks and bankers . '
234 53 I
34, 000 00 I Notes and bills re-discounted
Bills payable
12, 250 00
829, 601 57

Total.

.,

Surplus fund
|
()th"r undivided profits
j
National bank notes outstanding.,
Slate bank notes outstanding .

Total.

$250, 000 00
100, 000 00
63,798 37
136, 000 00
6, 920 00
258, 128 96

14,315 00
439 24

829,601 57

First National Bank, Albion.
No. 166.

R. 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




A. S. WARNER, Cashier.

$100,072 52 i Capital stock paid in
. . . . ..
618 29 !
100,000 00 ; Surplus fund
,! Othrr undivided profits
20,000 00 ;|
21,650 00 ' National bank notes outstanding
19 oSl °9 State bank notes outstanding
22^ 938 80
Dividends unpaid..
2, 003 87 Individual deposits
; United States deposits.
1, 922 73 Deposits of U. S. disbursing officers..
4,335
205
1, 28D
33, 302

00 ; Due to other national banks
.
52 Due to State banks and bankers
75 i
00 ; Notps and bills re-discounted
• 1 Bills payable
4,500 00

332,410 77

Total.

$100, 000 00
20,000 00
1,485 46
90, 000 00

119,990 59
739 66
195 0G

332, 410 77

REPORT OF THE COMPTROLLER OF THE CURRENCY. 245
NEW

YORK.

Orleans County National Bank, Albion.
E. K. HART, Cashier.

No. 1509.

J . M. CORNELL, President.
Resources.

Liabilities.

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

j
,.
j
!

$213, 149 16
Capital stock paid in
2, 332 84
100, 000 00 I Surplus fund
Other undivided profits
'.... I
' " " 9,550 00
National bank notes outstanding
|
16, 031 24
State bank notes outstanding . .
21,848 03
600 69 ! T x . . , ,
7 490 00 ! I ) l v l ( Jends unpaid .
~'414

5

~ I; Individual deposits...
j
* 1 United States deposits
1
...|.
2, 877 87 I; Deposits of U. S. disbursing officers . I
11, 195
950
9,781
11,100

00
00
00
00

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

j
j

$ L O 000 00
O,
49,294 21
7, 198 66
88, 700 00

166,693 80

1,933 68

Notes and bills re-discounted.
Bills payable

Total.

413, 820 35

Total.

First National Bank, Amenia*
A. "W. PALMER, President.

NEWTON HEBARD, 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 IT. S. Treasurer
Total,

$100, 000 00

$114, 182 95 Capital stock paid in.
633 60

100, 0U0 00 ; Surplus fund
Other undivided profits
""21. 000 06"
973 00 National bank notes outstanding
10, 092 77 State bank notes outstanding
1, 865 97
16, 500 01)| Dividends unpaid.
1, 797 03 j'
1, 492 00 ji Individual deposits
United States deposits
1,762 27 Jj Deposits of U. S. disbursing officers..

22. 000 00
13; 749 65
89, 000 00
568 00
73, 433 38

10,271 00 ; Due to other national banks
580 44 j Due to State banks and bankers.
10!) 00
000 00 Notes and bills re-discounted.

4500 06

Bills payable

298,751 03 I

Total.

298,751 03

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. ..j
Due from other banks and bankers.. .1
Real estate, furniture, and fixtures . ..!
Current expenses and taxes paid
j
Premiums paid..........
Checks and other cash items
Exchanges for clearing bousa
Bills of other banks
Fractional currency.
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1307.

DAVID CADY, Cashier.

$194,381 81 | Capital stock paid in
2,901 76
125,000 00 i Surplus fund
Other undivided profits
9, 822 95 National bank notes outstanding...
6, 444 78 ! State bank notes outstanding
50 61
25, 000 00 Dividends unpaid .
Individual deposits
United States deposits
86 48 Deposits of IT. S. disbursing officers.
5, 713 00 i Due to other national banks .
410 70 ji Due to State banks and bankers.
25 20 j
7,845 00 Notes and bills re-discounted
Bills payable
4*275 00 I
381, 957 29 j

Total

$125, 000 00
25, 000 00
2, 803 53
112, 400 00
784 00
115,445 84

523 92

381, 957 29

246

REPORT OF THE COMPTROLLER OP THE CURRENCY.
MEW
YORK.
Farmers' National Bank, Amsterdam.
D. D. CASSIDY, Cashier.

ISAAC JACKSON, President.

Resources.

Liabilities.
I

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...!
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

$393,760 92 ;I Capital stock paid in
690 48
136,500 00 ! Surplus fund
I Other undivided profits
32, 550 00
National bank notes outstanding
13, 6L9 14
50,397 72 | State bank notes outstanding
1, -169 90
Dividends unpaid .
20, 302 44
6,674 39 ; I Individual deposits

$200, 000 00
j
|

40,000 00
128,909 20
120,147 00
2, 900 00
195, 296 34

""*
I United States deposits.
I
1, 219 89 Deposits of U. S. disbursing officers.
1,979 00
148 65
2,989 63
22,681 00 |i
!
"'" 6, 142 50

Due to oth.»J national banks
Due to State banks and bankers
Notes and bills re-discounted .
Bills payable

691, 155 66

Total .

3, 533 56
369 56

Total .

691, 155 i

Manufacturers' National Bank, Amsterdam.
ADAM W. KLINE, President.

No. 2239.

!

Checks and other cash items
Exchanges for clearing house
Bills of other batiks
Fractional currency
Specie
L ' g a l tender notes
U. S. certificates of deposit Due from U. S. Treasurer
Total.,..

•
:
i
j
;

!.
•

,

:.

$80, 000 00

$80,073 33 i| Capital stock paid in.

Loans and discounts
Overdrafts
U. S. bond a to secure circulation
I
U. S. bonds to secure deposits
j
!
U. S. bonds on
h
a
n
d
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

H. P. K L I N E , Cashier.

16, 000 00
18, 662 32

60, 000 00 j Surplus fund
j Other undivided profits
613 04
.

2,576 01
6, 927 50
20, 400 00
55
6, 820 8(i
9 872 91
117
7
76
700

54, 000 00

National bank uotes outstanding
State bank notes outstanding

280 00

Dividends unuaid

17, 473 98

ludividnal deposits .
U n i t e d states deposits
Deposits of U. S. disbursing officers..

Due to other national banks
00
47
Due- to State banks and bankers .
02 !
•
00 'j Notes and bills re-discounted
'•'• Bills payable

2, 700 00 :l

140 08
j
14, 622 29
|
j

Total

201,178 67

201, 178 67

First National Bank, Andes.
Loans and discounts
Overdrafts
..
U. S. bonds to secure circulation . . .
IT. S. bonds to secure d e p o s i t s . . . . . .
U. S.bonds on hand
Other stocks,bonds, and mortgages

$51,259 85 ; Capital stock paid in
•
63 I.
60, 000 0 ) i Surplus fund.
.......
: Other undivided profits...

Due from approved reserve airents.
Due from oth' - banks and bankers.. . |
Real estate, furniture, and fixtures.. .1
Current expenses aud 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 .




.-

J A S . F . SCOTT, Cashier.

No. 302.

DUNCAN BALLENTI.NE, President.

13,000 00 I: National bank notes outstanding
II 1PQ 0" ^ State bank notes outstanding . . .
" r~'~^^y,'.
' 660 98

I
|
j

|
j

808 00
106 50
200 00
4,665 00

$60, 000 00
13, 570 32
2, 901 65
52,590 00

Dividends unpaid
Individual deposits
I
24, 476 22
United States deposits. .
I ...
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," 699' 51)"
153,538 19

Total

153,538 19

REPORT OF THE COMPTROLLER OF THE CURRENCY. 247
MEW

Y O « K. .

First National Bank, Angelica.
No. 564.

SMITH DAVIS, President.

J . E. ROBINSON, 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
J
Due from U. S. Treasurer
|
Total.., -

j

Capifti stock paid in
$118, 845 1 i
2 ? 1 lt<
Surplus fund
100, 000 00
Otner uudiviiM profits

;
....j
]

National h.u k note-, outstanding
29,203 03
20') 0J
2,400 00
i')i 37

!

Sun- bmk hon- outstanding

$100, 000 00
14,100 00
1,174 37

\

Dividend-! unpaid

\

l i u H v u l n i - l <i'i<» I M
l r M l t ( ' < l -M I t > .' M X ' - i N

I
I

89, 230 00

l)"po-«if- (» (' >\ c!i->')ur-ung officers . i
Due to ( ti.«T national bank-*
\
Due to Sta e Ui'ik*, and bankers
2, ! 7 L 00 Xote^ nn\\ Sill v-'lv>(.ountH<l
Hills p.tyahln
4, 500 ()')
Total

262, 238 60

57,00206

732 17
.„

;

i

262, 238 60

First National Bank, Auburn.
No. 231.

CHAS. N. ROSS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
1
IJ. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..

$777,753 63
10,583 10
257, 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 depositDue from U. S. Treasurer

46, 745 76
28,488 51
29,519 87
1,744 28

15,841 30

4,237 77
2,006 00
527 05
1,100 00
31,000 00

CHARLES O'BRIEN, Cashier.

$300, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits

14,783 85
27, 737 05

National bank notes outstanding
State bank notes outstanding

231,300 00

Dividends unpaid .

502 00

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

555, 898 29

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

2,391 08

Notes and bills re-discounted.
Bills payable

40, 000 00
50, 000 00

1G, 065 00
1,222,612 27

Total .

Total.

1,2-2,612 27

Cayuga County National Bank, Auburn.
N. BEARDSLEY, President.

A. L. PALMER, Cashier.

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 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 currenc7
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




$528, 02 L 89 i Capital stock paid in.
1,272 26
fund
'200, 000 00 J
Other undivided profits
7, 900 00
54, 564 45
8, 973 65
23, 500 00
1, 901 10
2,427 34

|
j
|

National bank notes outstanding
State bank notes outstanding

5, 000 00
19,709 59
j
j.

180, 000 00

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

4, 255 00 Due to other national banks
120 25 Due to State banks and bankers
522
Notes and bills re-discounted
32,150 00
Bills payable
9, 000 00
874, 608 69

$200 000 00

Total.

466,576 12

3, 265 18
57 80
|
874, 60 < 69

248

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MEW

YORK.

National Bank. Auburn.
No. 1350.

S. L. BRADLEY, President.

JAS. SEYMOUR, 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-...
I-remiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
.,
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$470,991 26 Capital stock paid in
3,295 32
172, 000 00 Surplus fund.
ia~ 666 oo" Other uudivided profits.
National bank notes outstanding
21,287 99 State bank notes outstanding
8, 240 95
4,808 15 Dividends unpaid .

$200, 000 00
40, 000 00
60,465 97
154,800 00

60 75

Individual deposits
.„
United States deposits
1, 730 20 Deposits of U. S. disbursing officers.

242,187 24

1, 168 00 Due to other national banks.
649 95 I Due to State banks and bankers .
793 60 |
20, 000 00 j Notes and bills re discounted .
Bills payable

Total .

15,191 46

12, 000 00

Total.

724, 705 42

National Exchange Bank, Auburn.
No. 1351.

W. T. GRAVES, 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 .. •
Dtie from approved reserve agents...;
Due from other banks and bankers ..
Real estate, furniture, and fixtures-..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for elearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Total.

E. S. NEWTON, Cashier.

$329, 530 14 Capital stock paid in..
4, 793 93
137, Out) 00 Surplus fund
„
Other undivided profits
11, 787 5S National bank notes outstanding
. . . State bank notes outstanding
8,733 60 Dividends unpaid

5, 893 20

$200, 000 00
10, 000 00
5, 6L4 48
121,200 00

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

2, 367
282
245
7, 095

00 Due to other national banks..
34 Due to State banks and bankers
65
00 Notes and bills re-discounted.
Bills payable
6, 060 00
Total.

513, 788 42

147, 387 54

!

28,716 89
869 51

513, 788 42

First National Bank, Aurora.
E D W I N B. MORGAN, President.
!
Loans and discounts
Overdrafts
j
U. S. bonds to secure circulation
I
U. S. bonds to secure deposits
'
U. S. bonds on hand
i
Other stooks, bonds, and mortgages..:
Due from approved reserve agents...!
Due from other banks and bankers ..
Real estate, furniture, and fixtures
Current expenses and taxes paid
!
Premiums paid
Checks and other cash items
;
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer .

Total.




No. 412.
$80,961 62
248 47
95,000 00

ALLEN MOSHER, Cashier.

Capital stock paid in

$100,000 00

Surplus fund
Other undivided profits

10, 400 00
5, 077 91

National bank notes outstanding . . 7, 040 67 State bank notes outstanding
1,812 37
3, 300 00 Dividends unpaid.
Individual deposits
United States deposits
1, 075 00 Deposits of U. S. disbursing officers.

85,500 00

40, 400 00

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

90 00
37, 413 82
1,532 40

240,^14 13

REPORT OP THE COMPTROLLER OF THE CURRENCY. 249
NK W

YORK.

First National Bank, Baldwinsville.
W. F. MORRIS, Cashier.

JAMES F R A Z E E , President.

Liabilities.
$163, 893 81

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.

140,'000 00

6,901 97
955 35
5, 000 00
2, 538 57

Due from approved reserve agents..
Due from other banks and bankers .
Rial estate, furniture, and fixtures..
Current expenses and taxes paid.. - .
Premiums paid
.

Capital stock paid in

j

$140, 000 00

Surplus fund
Other undivided profits

j

30, 000 00
12, 341 54

National bank notes outstanding
S tate bank notes outstanding

;
j

Dividends unpaid

Individual deposits .
I United States deposits
6, 559 64 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 .....Jfy.
U. S. certificates of deposit
Due from U. S. Treasurer

465 00
530 30
400 00
1,000 00 i
1

126, 000 00

23,303 10

Due to other national banks
Due to State banks and bankers.
3, 000 00

Notes and bills re-discounted
Bills payable

~6, 300 00

334,644 64

Total .

334,644 64

Total ..

First National Bank, Balls ton Spa.
HlRO JONES, President.

S. C. MEDBERY, 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
-

Capital stock paid in

$100, 000 00

Surplus fund
Other undivided profits

l

National bank notes outstanding
State bank notes outstanding

j
j

Dividends unpaid

j

j

Individual deposits .
..j
United States deposits.
j
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

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

20, 000 00
24, 703 09
90, 000 00

179, 027 28

228 21

Note*-1 and bills re-discounted..
Bills payable

Total.

413, 958 58

Ballston Spa National Bank, Ballston Spa.
J . W. THOMPSON, President.

No. 1253.

Loans and discounts
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...
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
IL S. certificates of deposit
Due from U. S. Treasurer
Total




...:

t

_-,.„_.
j
;
j
j
|

JOHN J. L E E , Cashier

$206,941 40 I Capital stock paid in.
100, 000 00 !
!
....
29, 000 00 I
29,993 72 |
1, 756 63
3, 000 00

15,500 00
41,385 49

National bank notes outstanding
State bank notes outstanding

90, 000 00

Dividends unpaid.

jj Individual deposits
j United States deposits
11,674 14 :| Deposits of U. S. disbursing officers

1, 013 23
10, 114 00
4, 500 00
397,993 12

$100, 000 00

Surplus fund
Other undivided profits

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

138, 460 82

11,558 02
1, 088 79

Notes and bills re-discounted
Bills payable......
397,993 12

250

REPORT OF THE COMPTROLLER OP THE CURRENCY.
NEW

YORK.

First National Bank, Rat a via.
No. 340.

TRACY PARDEE, President.

L. C. MclNTYRE, Cashier.

Resources.

Liabilities.

Loans and discounts
;
$312,986 17 j Capital stock paid in
Overdrafts
'
5, 0U0 00 |
U. S. bonds to secure circulation
!
75,000*00 i Surplus fund
U. S. bonds to secure deposits
•
\\ Other undivided profits.
U. S. bonds on hand.
;
I
Other stocks, bonds, and mortgages..:
9,000 00 j National bank notes outstanding
Due from approved reserve a g e n t s . J
22, 422 07 ! S t : i t e b a u k ™ t e a outstanding
-Due from other banks and bankers ..!
1,890 65 | r . . . ,
.,
Real estate, furniture, and fixtures...! . 12, 405 69 j L»lviu^nas unpaia
Current expenses Hnd taxes paid . . . . !
2, 5117 84 j| l l l d i v i l l n a l d e p o r i t 8
Premiums paid
;
,| U u i t l . d ^ i t e * deposit*
Checks and oilier cash items
12, 949 19 | Deposits of U. S. disbursing officers..
Exchanges for clearing house
'
i Due to other national banks
Fractional currency.
,
109 80 Due to State banks and bankers
Bills of oth.T banks
139 00
Specie
Legal tender notes _
;
5, 000 00 Notes and bills re-discounted
Bills payable
U. S. certificates of deposit
Due from LI. S. Treasurer
'
Total

Total

$75, 000 00
53, 649 23
16, 35L 79
67, 500 00

249,384 89

25 00
90 37

462, 001 28

National Bank of Genesee, Batavia.
H. U. HOWARD, President.

No. 1074.

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 ..
Real 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
i
Specie
j
Legal tender notes
i
U. S. certificates of deposit
|
Due from U. S. Treasurer
|
Total .

$381, 432 25
1, 695 82
] 10, 000 00
10, 000 00
62,244 96
24, 160 91
571 82
19, 0d7 84
380 00
9, 469 23
107 35

.

A. N. COWDIN, Cashier.

$114, 400 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

22, 880 00
642 81
99, 000 00

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

345 00 Due to other national banks
100 10 Due to State banks and bankers .
614 28
24, 171 00 \ Notes and bills re-discounted.
Bills payable
4,950 00 i
|
Total.
649,330 56 \

407,181 99

135 34
5, 090 42
649, 330 56

First National Bank, Bath.
II. 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
Totai.




No. 165.

W.

W. ALLEN, Cashier.

$313,370 55 Capital stock paid in
=.
1,210 25
100, 000 00 Surplus fund
Other uudivided profits
150 00
National bank notes outstanding
13,522 93 State bank notes outstanding
17, 129 18
10, 000 00 Dividends unpaid..

$100,000 00

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

158, 143 !

3, 446 i
1,276 00
120 38 ;
1, 150 00
.11,200 00

4"5C)6()6'
477, 075 37 \

Due to other national banks
Due to Sta e banks a n d bankers
Notes and bills re-discounted
Bills payable
Total

20, 000 00
7, 460 34

89, 000 00

218 96
2, 252 79
100, 000 00
477, 075 37

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

251

YORK.

First National Bank, Binghamton.
BENNETT,

No, 202.

President.

GKORGK P R A T T , Cashier.

Liabilities.

Resources.
$343,
8,
177,
50,

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, aud fixtures..
Current expenses aud taxes paid —
Premiums paid

178 37
132 72
200 0 )
000 0!)

Capital stock paid in

Dividends unpaid

4 , 0 6 6 3G

|
j

"5
6

286, 493 (V.I
28, 632 27
820 99

j

Notes and bills re-discounted
Bills payable

I

747, 68G 53

Total.

159,420 00

!

Due to other national banks
Due to State banks aud bankers

00
93
00
00

7f"974

I
,.|

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

43, 000 01)
(j, 723 9b'

SOL
656
1,515
56, 859

50, 000 00
22, 319 64

National bank notes outstanding
State bank noies outstanding

33, 047 49
14,831 70

Checks and other cash items
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

747, 686 53

City National Bank, Binghamtoii.
C

V.'

No. 1189.

N»M<OM>

L'»an- ai' 1 di-«( ouuts
O v . li itr*
I S bo i<K to st cure i n ^ m a t u m
I , Hi.lstns.tuie.lep.HN

j
i.
i
.

I

$327, 700 69

W.M. R. OSBORN, Cashier.

Capital stock paid in

'

$200, 000 CO

!.

N IM.IKIS on 'land

180, 0U0 00

Surplus fund
Other undivided profits
National bank notes outstanding
St ite b.uiK. no '<s outstanding - . .

O'L.-i >t.<k,, bo.-is a n l . a o - t g a / e s . J .
D.i' n o p <i,>piov( d ^e-vrxe a d e p t s . . . |
D . j ! i o i n o t i i ' ba'.'ts an<l bank, rs . J
R al e^: ite, iiim tin \ «m i h vtuw s . . . :
Ci>.i.i'r< -cueMM^cUid i . t x ' « , p u . l
Pi i n i u m s p a i d
d o i ' i c f casiiinMns
> IOJ d t a. ing housi.
•

j
j
,...[
i

50, 000 00
15,992 95

23, ^-:), 62
1 1 , I,i5) "ill

161, 400 00

Dividends mi] ,ud

'

i,i l i v n l u a l dt*i osit^
['u-ted ^ t itei d>- »osits

2 ?i
.'.

:

1,525 o>
-

Deposits of U. 8. di.sbursiiig officers..,

4, 697 (H)
2O.» 00

B 1

Due to other national banks
Due to Si ate banks aud bankers

,
16, 10') 00

1, _<>' ti n l"'i n o r c V s ( e , t i l l ' ,it»s ( )i d

Di-. i.o ni;. S Tna

783 42
337 iS

Notes and bills re-discounted
Ui llft payable

8, 100 00
598.179 42

Total .

166 Si
169, 498 73

Total

598, 179 4 2

Merchants' National Bank, Binghamtoii.
EIIASTUS 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 .
R>jal 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. 8. certificates of deposit
Dus from IT S. Treasui er
Total

H. Ex. 3- -13




No. 2136.

G E O . M. BURR, Cash

$210,876 56 !'.Capital stock paid in
211 56 i
100, 000 00 h Surplus fundOther undivided profits

39, 695
5, 870
2, 160
1,094
10, 000

1,013
],764
300
2, 808
16,939

•
,

National bank notes outstanding
j
I.
75 | State bank notes outstanding
23 '
Dividends unpaid.
00 1
98 !
00 ! Individual deposits
United States deposits
20 I Deposits of U. S. disbursing officers.
00
06
00
00

j Due to other national banks
!
i Due to State banks and bankers
'
1
1
!
Notes and bills re-discounted
Bills payable

" 4,500 06"!
397, 233 34

Total.

!
|
j
j

$100, 000 00
3, 400 00
4, 910 49
88, 100 00
1,380 00
193,874 09

66 16
5, 500 00

397, 233 34

252

REPORT OF TUP. COMPTROLLER OF THE CURRENCY.
NE W

YQ

KK.

National Broome County Bank, Binghamton.
T. R. MORGAN, Cashier.

No. 1513.

CYRUS STIIOVG, 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 bankets .
Real estate, furniture, and fixtures..
Current expenses and taxes paid....
Premiums paid
Checks and other cash items
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, 790 0L ; Capital stock paid in
(i, 085 45 'I
77, 700 00
Surplus fund
Other undivided profits

°v>'099 <)-)
' 909 99

69, 920 00

National »nnk notes outstanding
State bank notes outstanding
Dividends unpaid

570 00
117,851 1L

, Individual deposits
;
"
United States deposits
5,206 46 I Deposits of U. S. disbursing officers.
; Due to other national banks
206 50 ', Due to State banks and bankers
6, 003 06 ']
6,363 00 :;' Notes and bills re-discounted

5, 296 50 .'

Bill

:

$1GO, 000 00
20, 000 00
16, 308 13

15, 000 00
3 098 °1

326, 030 07

Total.

:

533 88
833 95

yabl
326,030 07

Total .

First National Bank, Boonville.
No. 2:120.

J . R. THARRATT,
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 bimks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
Exchanges for clearing houseBills of other banks
Fractional currency
Specie
"
Legal tender note
If.
rle
irtifif
Due from II. S. Treasurer

$ 125, 537 57
2, 618 98
50, 000 00

CLARK B O D G E , Cashier.

$75, 000 00

Capital stock paid in
.Surplus fund
Other undivided profits

19,933 10
45,000 00

* National bi.'iik aoteft outstanding
24, 216
11,637
7, 81!)
^ 025
8, 689

21
47
7L
04
00

981
12,")
58
5, 500

8tate b a u k

" o t e s outstanding. - • •
r . .
'
««i>a«.i
Individual deposits
j
United States deports
.. .
; ..
Dope-sits of U. 8. disbursing officers...!..

.1
,
vy
l J u uu ;uw

00
Duo to other national banks
7L , Dv.^ to Svute bunks and bankers
30 :
00
Notes and bill* re-discounted

107, 846 31

;
i
i
j

2,250 C
O

Total

247,779 44

First National Bank, Brewstars.
J. G. BORDEN, President.

Loans and discounts
Overdrafts
TT.-S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, 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 II. S. Treasurer
Total




No. 2225.

FRANK WELLS, Cashier,

Capital stock paid in .

000 I
5!9 i
775
264
75!)
998
708

67
82
00
45
77

838 45
06!) 00
141 13
145 00
000 00
250

"6o"

Surplus fund
Other undivided profits .
National bank notes outstanding
Stale bank notes out.standing ...

$50, 000 00
1, 500 00
2,253 11
45, 000 00

Divideuds unpaid.
Individual deposits
I
United States deposits.
J-.Deposits of U. 8. disbursing officers.. i „

66, 269 76
.

Due to other national banks . . . .
j
Due to State banks and bankers . . . , |
Notes and bills re-discounted .
Bills payable
165, 022 67

RKPORT OF TFJE COMPTROLLER OF THE CURRENCY. 2?)o
Ir O 11 S .

MEW

First National Bank, Brockport.
F. J. CON ANT, CashUr,

L U T H E R GORDON, President,

Resources.

Liabilities.

Loans and discounts
O verdraft s
U. S. bonds to secure circulation
U. S. bonds to secure deposits
..„
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved 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
........ .. .
IT. 8. certificates of deposit... „
Due from U. S. T r e a s u r e r . . . .

1. 500 O
H
9, 368 7:

-

45, C O 00
O

300 00 ;! National bank notes outstanding
2 9°9 85 ]' ^ t a t e °'dil^- notes outstanding
11,'OUO 00 |! Dividends unpaid
1 W7
>
* """
70
429
86
477
7,923

8

° I! Individual deposits.
J
31,417 «7
j Uniied St.aies deposits
......
00 j; Deposits of l.r. S. disbursing officers..'
00 |; Due to other national banks
65 j| Due to State banks and bankers .
50
3 , O.UI (•('
00 |. Notes and bills re-discounted
I Bills payable..
2 0 , 0 1 " > v".2, 250 00 i

160,286 45 I

Total.

$50,000 O
u

$81,382 00 ij Capital stock paid in
1,98} 61 jj
50,000 (JO ; Surplus fund
_. j Other undivided profits

Total.

First National Bank, Brooklyn.
Jxo.

NICHOLAS W V C K O F F , President.

Loans and discounts
Overdraft...
U. S. bunds to secure circulation
IT. 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 bunks
Fractional currency
Specie.
al tende
ote
U S. certificates of deposit.
Due from 17. S. Treasurer.

$!, 125,745 .il
4"«, i.i
265, 00 ) 00
5V, l.'O 00
T)i, 2(»> f."

G. JKNKINS,

Capital stock " i,<l :r .

$500, 000 00

Ssii-phi- fund
Othi-r undivided pr >t:t

500,211 2<;
18, 015 35

X:iMoTi.,i l u ' . k r . i * * n(iorf 0 0

'

j

(

!

•-::'.

2, 144, 146 24

T«i-.Mu«ii.i-po.:t

7 1 , (RO 87

4-n ( :
>>

tO, SiJti 57

Da, to "-'M

= tal.

Manufactursrs' National Bank of New York, Brooklyn.
C. II. F E L L O W S , President.

No. 1443.

Loans and discounts....
..J
Overdrafts..
I
U. S. bonds to secure circulation . . . . . I
U. S. bonds to secure deposits
i
U. S. bonds OJI 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
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
Total




,.

|
!
.. |
I
i
I
|

T. C. DlSi'-ROW, Cashier.

$428,860 04 |! Capital stock paid in
. . | $252,000 00
12 5L|j
i
200, 000 00 j Surplus fund
j
23, 200 0
U
-I Other undivided profits . .. „
;
25, i 75 01
100, ^'" 00 i
000
180, 000 C O
88,615 45 ;j National bank notes outstanding . . . . '
J7Q 073 5g !! State bank ujtea outstanding
.„.[....
>
43. 153 06 : Dividends unpaid
4,335 35
Individual deposits .
36,000 00
United States deposits.
621 66 i| Deposits of U. S. disbursing officers
j
i
23, 3IS 00 ; Due to other national banks ,
|
345 30 ;i Due to State banks and bankers
i
fi,
835 00 1
1
j
41, 400 00 ; j Notes and bills re-discounted
j
j Bills payabL
9, O O 00
U
1, 152,799 93

Total....

3,864
668, 3GM

I 1, 152,799 ^

254

REPORT OF THE COMPTROLLER
N K W

OF THE CURRENCY.

¥ <> U K .
0

Nassau National Bank, Brooklyn.
No. 658.

C. C. SMITH, President.

E. T. JONES, Cashier.

Resources.

Liabilities.

Loans and discounts
;
O verdrafts
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.. _; 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

$991, H I 32
O
7! 6 03
167, 000 00
150, 000 00

Capital siock paid m.

5, 720 22
78, 396 51
800 00
900 00
7zC) 00
0U0 00

200, 000 00
35,899 34

Individual deposits
United States deposits
Deposits of \J. S. disbursing officers.

,
178, 587 03
' 1, 300 41

48,
4,
•1,
()8,

$300,000 00

Surplus fund
Other undivided profits..*..
National bunk notes outstanding
State bank notes outstanding
Dividends unpaid

933,734 11
24, 8d6 68
26, 143 12

150, 300 00
3, 32 L 00
685 00

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

7,515 OiJ
1,707,462 52 :

Total.

1, 707, 462 52

National City Bank, Erocklyn.
J. J .

ttri'DUKLL,

Pi n*id< >'!.

No. 1543.

Loans and discounts
Overdrafts
U. S. br niN to secur'- circulation
. ' . S. o«.u«N to MM-UIV deposits

$1,291,564 53
:.M0 00
2 1 ' , 000 00

V. S . h".wUon
h,M.<l
O t h e r Moi-k-s, b o n ' K a n d inortg<\,< •*..

Due fro > approved r ^ TVP ageins . .
•
DuetV(..-. <.«!i.Tl)!i.ik^ sMi.l hank. r. . .
iteal , - a;-, finiii.w,. a ,d f i x t u r e ..
C u i r e n M x ; , , • •* and i . ^ - i p a i d
I r e m m i^;i.ii.l

....

A. A. R O W E , Cashier.

Capital stock paid in
Surplus fund
Othi.-r undivided profiU

.

100, DO:) 00

X a i h m n i b a n k notes o u t s t a n d i n g

148.376 79

j
|
I
I

$300,000 00

j

183, 900 00

401,000 00
45,614 73

*' ' i!
unpaid

: N > ) 2 70
:j, 8»W 13

4/0 00
1,016,535 90

Tint*',! S t a ^ s d e p o s i t s
61,338 95

Deposits of U. S. disbursing officers, . j . . .
\

1-1, 345 0:)

Check'-! a ( I ' ^ ' I ' T C M I iK .w
fjxchang"-, '•))•••!( MI ,n.<: li<«u>e
Bill- .))' ( /.!ii-r b.Mik- .'.
Fr«n t'w'-hu .jii'T"'.>.'y
Specie.
.".
il ">M! t.-i,/},..- - i o t ( ^
r . >-. f c - t i i i c iu>< ,,f ; - , » . ^ ; r
:") I H tn>M) U . S . ' » r- ! > ' i ' r

D u e to o t h - r n a t i o n a l b a n k s
j
D u e to S t a t e b a n k s a n d b a n k e r s . . . . I
!
N o t e s a n d bills r e - d i s c o u n t e d
j .
I5ill.-5jjfiy.ibie
.......!

1, 6 2 0 0 0
7 4 , 0 0 0 00

4,040 94
139 85

,

10, 3 6 5 0 0

Total.

Total

i,:).jr;, 701. 42

| ], 956, 701 42

FhTdt N a t ional Bank, Buffalo.
No.

J A S . 11. MKTCALKK, Prr.suhn

Loans and discounts;
Overdrafts
U. S. bonds to secure circulation....
U. S. bonds to secure deposits
t.r. So bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents. .
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid. . . .
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total..




235.

CHAS. T. COIT, Cashier.

Capital stock paid in . . „
' 9 58 3!
, OiJO 00
00) 0 i
007 U)

j

:
;
I

98,500 00

Individual deposits
I
United States deposits
j
Deposits of U. S. disbursing officers..:

366,23167

00 Due to other national banks
J
54 Due to State banks and bankers . . . . !
00
00 Notes and bills re-discounted.
Bills payable
'392"19'

21,596 41
48, 679 02

248 3 >
:
853 58
000 00
\Hi) 33

924 62 !!|

371
200
602
000

National bank notes outstanding
State bank notes outstanding
Dividends unpaid

$100, 000 00
50, 000 00
22, 414 50

Surplus fv.r d
Other uncividjl profits.

707,424 60

255

REPORT OF THE COMPTROLLER OP THE CURRENCY.
NEW

YORK.

Third National Bank, Buffalo.
A B R A H A M ALTAIAN,

No. 850.

President.

S. A. PROVOOST, J r . ,

Resources.

Cashier,

Liabilities.

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..
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. 8. Treasurer

$799 346 03 Capital stock paid i n . .
414 03
100, 000 00
Surplus f u n ' 1 . . . . . . .
Other undivided profits
31,962 10
71,439 59
13,888 90
3, 450 00

National bunk notes outstanding
State bank notes outstanding
Dividends unpaid

$230,000 (0

:

i.'fimVoo

1,000
!, 969

i
!

90, 000 00

J

• Individual deposits
...j
; United States deposits
•
5, 320 36 ! Deposits of U. S. disbursing officers..!
8, 662
9
8, 643
36, 000

4,

00
Due to other national banks
95 ; Due to State banks and bankers
25
00 : No+es and bills re-discounted.....
j Bills payable
500 66 :
|

1,085,238 26 | j

Total.

I

Total

,

485,377
..
..

!
<

26, 061
156,801

!
j
|

18, 028 33

i 1, 085, 238 26'

Farmers and Mechanics' National Bank, Buffalo.'
E. O-. SPAULDING, President.

No. 453.

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

8763,221 17
70 4!)
56,500 00
150, 000 00
38, 520 34
98, 566 06
2L, 808 64

F R A N K L I N S I D WAY,

Capital stock paid in.

j

15, 975 00
451 3L
18, 863 00
60, 000 *00

$200, 000 O)
f
150,000 00
10, 927 05

Surplus fund
Other undivided profits
National bank notes outstanding

50, 000 00

J

State bank notes outstanding

j

Dividends unpaid
457 77

Gashhr

,

j

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

595, 443 04
75, 285 04
51,764 79
79, 453 84
14, !';60 03

Notes and bills re-discounted..
Bills payable

2,500 00
1, 226, 933 78

Total

I ]. 226, 933

Cambridge Valley National Bank, Cambridge.
M. D. I I U B B A R D ,

No. 1275.

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 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
S pecie
Legal tender notes
V. S. certificates of deposit
Due from U. S. Treasurer

Total.




JAMKS THOMPSON, Cashier.

$274, 998 49 Capital stock paid in
762 42 ••
75, 000 00 : Surplus fund
,
Other undivided profits . .
40,000 00 ;|
3,000 00 :i National bank notes outstanding
14 190 80 ^ State bank notes outstanding
19 (11 T 4-> i :i
39 1)77 00 dividends unpaid
"o'Vr'i.V
"'*""' ' ^
2, 436 43
57i (,'2

!
!
j
I
I
:

$130, 000 00

67,500 0
G
.......
192 5 ;

"individual deposits
!
I ' n i W StaV.s deposits
....:
Dt-posit.s of U. S. disbursing officers..;
Due to otU.T national banks
Due to Star: banks and bankers

26, 000 00
3,684 73

..;....
i

206,805 55

620 80

-

]H, 672 00

Note* a,id bills re-discmited.
Bills pavabie

3,375 00
494,804 60

Total .

491,804 ti.

25 6

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NE W

Y ©R K.

Canajoharie National Bank, Canajoharie.
No. 1122.

B AKNE3,

A. G-. RICHMOND, Cashier.

Resources.

Liabilities.
$160,703 28 Capital stock paid in
971 7(5
52, 000 C | Surplus fund
O
Other undivided profits
20, 000 0;)
National bank notes outstanding
11,330 00

Loans and discounts
Overdrafts
U. 8. bonds to secure circulation . . .
U. S. bonds to secure deposits
d
U. S. IK i "s a hand.
Other stocks, bonds, and mortgages
Due from approved reserve agents.
Due from other banks and bankers.
Real estate, furniture, and fixtures.
Current expenses and taxes paid...
Premiums paid

24,344 1
1
R, 922 23
17, 255 00
1,387 33
412 50
4, 577 93

I

25, 000 00
17,595 21
J

State bank notes outstanding
Dividends unpaid

I
111, 010 17

• 429 95

4,992 08
3,30,827 41

33D, 327 4 L

Total .

46, 800 00

|

Individual deposits
!
United States deposits
j
Deposits of U. S. disbursing officers.. i
1, 191 0:
-> Due to other national banks
i
811 27 Due to State banks and bankers
1, 467 00
15,554 00
Notes and bills re-discounted
i
Bills payable
j
"":3*O8o"6")"

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
,
Legal tender notes
IT. 8. certificates of deposit
Due from U. S. Treasurer

$ 125, 000 00

National Spraker Bank, Canajoharie.
JAMES FROST, Cashier.

JAME.-J SPRAKKR, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
'
17. S. bonds to secure deposits
U. S. bonds on h-md
Other stocks, bond<, and mortgages..
;

Due from approved reserve agents...
Due from other banks and bankers . .
"Real estate, furniture, and fixtures...;
{>ur:-eut expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
"Fra?"ioiial currency
Lvgn I t slider notes
U. -S. certilic.ites of d^p-i<\t
Du^ from 1\ S. Treasurer

$70, 951 05 j Capital stock paid in
1. 78 i. 50 ,!
100,000 00 j Surplus fund
j Other undivided profits
2 ), 000 00 j
5,000 00 I National bank n>tes outstanding
S
b k
di
76,599 52 ] State bank note* outstanding
'4' 509 0;) I D i v i f l ' u d s unpaid
l' 07:5 98 'I T ' • , . . , 1 ,
r ,}cj 00 \ I n d i v i d u a l d e p o s i t s . . .
!
°' " •
*
( I n i t e d S t a t e s deposits
8, 7J0 48. ; Deposit,-, of U . S. d i s b u r s i n g o f f i c e r s . . •

$ 10?, 000 00
12,944 14
3, G49 23
87,100 00

l l 7

,

4,1)73 00 j Due to other national b a n k s . . . . . . . . j
2 3 ! ! D u e to State bunks and b a n k e r s . . . .
91 0U ;|
:
tf, 0'Jl) 0J . Notes and bills re-discounted.
.
'•', Bills payahle
4, 500 00 :
3:21,-186 38

Total.

155 9S

577 03
10 00

50 00
321,486 38

First National Bank, Canandaigua.
E. G-. TYJ/KR, President.

No. 259.

M. D. MUXG Kii,

Loans and discounts
.'<
Overdrafts
•
V. 8. bonds to secure circulation
!
U. S. bonds to secure deposits
!
U. S. bonds on hand
'
Other stocks, bonds, and mortgages . . ,

$175,794 03 ; Capital stock paid in
<i,4U 88
75,000 00 \ Surplus fund
Other undivided profits .
'
55,(541 04 ] Nntionul b'vak notes outstanding . . . .
State bank notes outstanding
Due from approved reserve agents...]
l,5fJ7 08
Due from other banks and bankers . . .
,18, 256 12 Dividends unpaid .
15,985 72
Iteal estate, furniture, and fixtures . ..<
6, 365 06) , T n d i v l d u H i ( l e p 0 H i t s
Current expanses and taxes paid.. . . . . ;
urrent expanses and taxes p a i d
0, Joo O
f
remiums paid
,...,.....
; U n i U j ( 1 states deposits
p
Checks and other cash ; tems
8 465 88 ; Deposits of U. S disbursing officers..'
465 88
D
t
f U S. d i b
8,
Exchanges for clearing hous<
Bills of other banks..^
t), r>S:) 0() Due 1» other national bankw
'
Fractional currency
•i«I6 16 DM to JSta'e banks <j.ud bankers
Specie
1, 989 (30
Legnl tender notes
i 0, 46u 00 Notes and bills re-discounted
U. 8. cortiiicates of deposit ..
....• Biil.s i^ynbio
Due from r , S. Treavaiv . . .
3, 375 00
Total.




:j?.'J, 175 87

Total...

dashitr.

$75,000 00
5), 000 00
12, 207 12
67,500 00

130

442 12

]87 30
10,839 33
35,000 00
380, 175 87

REPORT OF THE COMPTROLLER OF THE CURRENCY. 257
NE W

Y O It K..

Cauastota National Bank, Canastota.
DANIKL CROIJ.SK, President.

D. H. RASIUCH, Cashier.

Resourced.

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 c u r r e n c y . . . . . .
:
Specie
!
Legal tender notes U. S. certificates of deposit
:
Due from U. S. Treasurer

$118, 711 57
110, 0(K) 00

14, 4 O 00
H
3,989 02

Surplus fuud
Other undivided profits.

97, 465 00

National bank notes outstanding . . . |
5 0°° 19

^ a t e bank notes outstanding

j

V 00;) 00

dividends unpaid

j

1

' vn oo :! Individual deposits
j
United States deposits
1,015 00 |, Deposits of U.S. disbursing officers..
1, 2 19 00 , i Due to other national banks.
1 85 N Due to State banks and bankers
69 oo i|
3,798 00 ! Notes aud bills re-discounted
' i Bills payable
4, 950 00 :
256,475 14 '.]

Total .

$110,000 00

Capital stock paid in..

30, 528 22

76 8!
16 07

256,475 14

Total.

First National Bank, Candor.
E. A. BOOTH, President.

No. 353.

Loans and discounts
|
$ i00, 190 43
Overdrafts
j
1, 188 54
U. S. bonds to secure circulation
j
4 7, 700 00
U'. S. bonds to secure deposits
|
U. 8. bonus on hand
| ...........
Other stock, bonds, and mortgages
Due from approved reserve agents...
13, 975 05
Due from other banks and bankers...j
I, 61b' 54
Real estate, furniture, and fixtures. . .1
5, 560 35
Current expenses and taxes paid . . . . .
521 69
Premiums paid
j
Checks and other cash items
j
559 73
Exchanges for clearinghouse
j ..,
Bills of other banks . •
j
827
Fractional currency
!
468
Specie
I
851
Legal tender notes
\
1, 500
U. S. certificates of deposit
'
5, 000
Due from U. S. Treasurer
j
2,146
.Total

.!

JEROME THOMPSON, Cashier.

Capital stock paid in

j

$50, 000 00

Surplus fund
Other undivided profits

!

4, 800 00
2, 374 79

National bank notes outstanding .
State bank notes outstanding

j
j

41, 930 00

Divilends unpaid

|...

Individual deposits
United States deposits
j
Deposits of U. S. disbursing officers.. |
Dae to other national banks
Due to State banks and bankers

..

j
i

494 51
163 70

Notes and bills re-discounted.
Bills payable

39,652 53

Total

182, 108 47

182,108 47

Putnam County National Bank, C arm el.
No. 976.

SYLVESTER MARIE. President.

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




AMBROSE RYDER, Cashier.

Capital stock paid in

10).

',7(1
! 05 i

7)1
'3 )
', .>7

j

Srrplusfund
< nner undivided profits

$107,

|

$100, 000 00
]

20,000 0)
8, 033 23

National bank notes outstanding
St.iV bank notes outstanding....
Dividends unoaid.
Individual deposits
i '.lit 'd States deposits
Deposits of U. S. disbursing officers..
Du<' to other national banks . . ...
Due to State banks and bankers

30 03
64,800 19

1,111 24

Notes and bills re-discounted.
13ilK payable

"ooo
Total.

284, 06 i 69

2o8

KEPORT OF THE COMPTROLLER OF THE CURRENCY.
W

¥OR K.

National Bank, Castleton.
No. 842.

J O E L D. SMITH, President.

JAS. R. DOWNER, Cashier-

Resource*.

Liabilities.

Loans and discounts
:
Overdrafts
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, and fixtures ..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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

$146,059 57 Capital stock paid in
55 47
100, 000 00 Surplus fund
Other undivided profits

$100,000 00
6 000 00
.
2, 256 38

\

I
2,000 00 National bank notes outstanding
!
12, 065 40 State bank notes outstanding
174 09 Dividends unpaid
i
5, 000 00
i
Individual deposits
,
|
United States deposits
I
303 74 Deposits of U. S. disbursing officers.
5, 020 00 Due to other national banks
115 24 Due to State banks and bankers .
200 00
3, 675 00 Notes and bills re-discounted
Bills payable
4, 500 00
279,168 51

90,000 00

79, 067 14

1,440 42

j
j
.

404 57

279,168 51

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
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
II. S. certificates of deposit
Due from U. S. Treasurer

$189, 844 32
1,085 54

$149,991 00

Capital stock paid in .

Surplus fund
Other undivided profits
52,026 00 National bank notes outstanding . . . .
12,163 61 State bank notes outstanding
2,775 05
13,500 00 Dividends unpaid .
2,383 26 Individual deposits
2,823 14 United States deposits
j.
5, 272 82 Deposits of U. S. disbursing officers.. I

136,000 00

7, 303 00
344 63
699 65
6,569 00

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

20 000 .00
9,390 11
122,390 00

124, 56 L 57

12, 122 34

5, 665 00
Total.

438, 455 02

Total.

HENRY B. HILL, Cashier.

438, 455 02

Tanners' National Bank, Catskill.
S. SHERWOOD DAY, President.

Loans and discounts
i
Overdrafts
j
U. S. bonds to secure circulation
\
U. S. bonds to secure deposits
!.
U. S. bond s 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
i
Exchanges for clearing house
Bills of other banks
j
Fractional currency
|
Specie
j
Legal tender notes
j
U. S. certificates of deposit
:.
Due from U. S. Treasurer
'•
Total.




FREDERICK H I L L , Cashier.

No. 1198.
$356, 897 26
629 25
150.000 00

Capital stock paid in

Surplus fund.
Other undivided profits
16,813 19 National bank notes outstanding
171, 176 86 State bank notes outstanding
1,905 78
5, 500 00 Dividends unpaid.,
376 0!) Individual deposits
United States deposits
3, 217 23 Deposits of U. S. disbursing officers..
;
698 00 Due to other national banks
323 00 Due to State banks and bankers....
2,784 00
18,053 00 Xotes and bills re-discounted.
Bills payable
7,097 00

735, 470 66

Total.

|

$150, 000 00
30, 000 00
108, 056 71
135, 000 00

311,227 23

3,186 72

735, 470 66

REPORT OF THE COMPTROLLER OF THE CURRENCY.
'N 13 W

259

YORK.

First National Bank, Champlain.
T I M O T H Y H O Y L E , President.

No. 316.

M. V. B. STETSON, Cashie

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 a g e n t s . . . j
Due from other banks and bankers ..j
Real estate, furniture, and fixtures . .
Current expenses and taxes paid.
Premiums paid

j

$243,954 68 Capital stock paid in
1, 999 98 :
150,000 00 ! .Surplus fund
Other undivided profits

$150,000 GO
27, 000 00
8, 429 84

;

National bank notes outstanding
8,456 17
5, 000 00
698 12
9,000 00
202 60

Checks aud other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

'
'

1,126 00
90 95
550 00
6, 006 00

J33, 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.

'

114, 287 7r
1, 116 ^

Notes and bills re-discounted.
Bills payable

6, 750 00
433, 834 50

Total.

433,834 50

National Central Bank, Cherry Valley.
II. 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... j
Due from approved reserve agents...
Due from other banks and b a n k e r s . . .
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
j
U. S..certificates of deposit
\
Due from U. S. Treasurer
!

$154,356 83
368 70
100, 000 00
62,711 36
14,243 53
91 96
28, 525 00
3,763 31
!74 40
90 76
364 00
9,347 00

W. H. B A L D W I N , Cashier

Capital stock paid in

!

$100,000 00

Surplus fund
Other undivided profits

!
•

9, 000 00
5, 876 05

National bank notes outstanding

|

90, 000 00

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
',
Notes and bills re-discounted
'
;
Bills payable

146,084 lit

11.276 47
16, 400 00-

""'4,"500*00'

Total.

Total

i

378, 636 cf

378, 636 88

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 clearinghouse —
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1349!

J. T. JOHNSON, Cashier.

$215, 704 51 Capital stock paid in
429 91
127, 000 00 || Surplus fund
Other undivided profits 22 000"65"
400 00 i National banlc notes outstanding . . . .
4,'
; State bank notes outstanding
66, 732 01
259 97
4, 000 00 Dividends unpaid
1, 778 54
Individual deposits
United States deposits....
500 69 Deposits of U. S. disbursing officers. 859
173
534
350
000
647

$125,500 00
30. 000 00
84, 425 30
112,795 i?0
4,351 dO
1.428 00
109, 209

00 i Due to other national banks
09 [ Due to State banks and bankers .
35
00 | Notes and bill^ re-discounted.
00 Bills payable
50

468,369 57

Total

468, 309 5?

260

REPORT OF THE COMPTROLLER OF THK CURRENCY.
K EW

YORK .

First: national Bank, Chittenango.
No. 179.

PETER WAI.KATH, President.

BENJ. JENKINS, Cashier.

Resources.

Liabilities.
$197,115 01 Capital stock paid in
513 11
150, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding . .
G, 817 39

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

753 32

2 036 49"
464 86
269
116
178
11, 400

6 750
,

Total ..

00
38
00
00

6'
6

,

$150,000 00
40,030 00
18, 592 06
135, 000 00

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

30, 120 65

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

1,962 42
73S 46

Total .

376,
,413 59

376,413 59

First National Bank, Cobleskill.
No. 461.

CocitTER, President.

$179,306 94
609 98

Loans and discounts
O verdrafts
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
Ex changes for clearing house
B : i is of other banks
Fractional currency
Sp-cie..
L'-^-al tender notes
1*. S. certificates of deposit
Due from U. S. Treasurer

100,003 00

D E W I T T C. D O W , Cashier.

Capital stock paid in..

$100,000 00

Surplus fund
,
Other uudivided profits.
National bank notes outstanding . . .
State bank notes outstanding

7,378 91
6,458 34
25 80
13, 100 03 Dividends unpaid .
7 50 Individual deposits
United States deposits
2, 364 16 :; Deposits of U. S. disbursing officers.

20, 000 00
7,591 17
90, 000 00

77, 022 99

912 00
123 92

Due to other national banks
Due to State banks and bankers . . .
1 i, 000 00 Notes and bills re-discounted
Bills payable
'"4,500 66"

Total.

Total.

328, 7«7 55 I

National Bank, Cclioes.
No. 1347.

0. H. ADAMS, President.

Loans and discounts
'
Overdrafts
U. S. bonds to secure circulation
U. S. bonds 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, furnitu-e, andfixtur- s . . .
Current expenses and taxes pai i
Premiums paid
Checks and other cash it'ms
Exchanges for clearing house
Bilis of other banks
'
Fractional currency
S p ecie
•-..
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




...;

MURRAY IIUP.BARD, Cashier.

$177,64!) 64 : Capital stock paid in
106 05
223, 430 00 ! Surplus fund
\ Other undivided profits .
21,000 09
49,138 34 ! National bank notes outstanding
~> «.-o Q<) ! State bank notes outstanding
r

$250, 000 00
31, 0 0 00
12,656 76
198,383 00
1, 887 00

44'125 4S :i Dividends unpaid
- 214 35 Individual deposit*
2 -.,„ CP
:, u 0 66
-' /736 O a : United States deposits
12, 973 17 I Deposits of U. S.'disbursing officers .

341,209 42

15,374 03 : Duo to other national banks
737 22
Due to State banks and bankers

19,726 45
108, 729 9 7

30, 030 00
I..
10,003 03

Notes and bills re-discounted
Bills payable

Total .

963, 592 60

REPORT OF THE COMPTROLLER OF TUB CURRENCY.. 261
M E W IT O 11 K .
First National Bank, Coopsrstown.
F R E D . L. PALMER, Cashier.

E. M. HARRIS, President.

Resources.
Loans and discounts
O verdraf'tg
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. 8. certificates of deposit
Due from U. S. Treasurer
Total.

Liabilities.
$349, 290 27
3, 271 ( )
K
100,001) 00
5), 000 00
7,374 57
19,277 95
691 37
42,989 24
2,768 33
557 23
435 00
205 88
909 45
16, 225 00

Capital stock paid in

$200, 000 00

„
.

40, 000 00
26,412 09

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding . . .

892 00

Dividends unpaid

212,677 03
23, 070 43

Individual deposits
United States deposits
Deposits of IJ. S. disbursing officers .
Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted,.
Bills payable
„

* 3,'763*9l"

597,764 20

597, 761 21)

Second National Bank, Cooperstown.
No. 223.

G. PoMKitOY KKESE, President.
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 hor.se
Bills of other banks
Fractional currency
Specie
Legal tender notes
IT. 8. certificates of deposit
Due from U. S. Treasurer

B. M. CADY, Cashier.

$193, 321 01 I Capital stock paid in
...j
i, 25S 61 I
225, 000 00 j Surplus fund
\
Other undivided profits
!
!*4no"oo"j
, 770 67 I National bank notes outstanding
,717 15 I State bank notes outstanding . . .
1, 940 79 i
..
), 423 OS ! Dividends unpaid
,241 61
i Individual deposits
-.
I, 638 54
I• Uiiited States deposits
;
j; Deposits of U. S. disbursing officers 995
43
891
000
000
628

00 ;
00 1
00
C !'
O
00 j:
00

$300, 000 00
60, 000 00
20, 062 35
197, 500 00

32"), 436 45

Due to other national banks
Due to State banks and bankers

1,476 93
2, 28L 15

Notes ami bills re-discounted.
Bills payable.

...,„„.

Total.

906, 806 88

First National Bank, Cortland.

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 bankei *
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
Legal tender notes
IT. S. certificates of deposit
Due from U. S. Treasurer
Total.




1 I S'Z BOYNTOX,

No

THOMAS K EAT OR, President.

Ca<» t 1 -4,>.k p u l m . . .

I $125,000 00

^ 1 p u n fu i
O^lHi luidiv le] piou0

) ), 8-7
1 1'3

9, 033
66:"}
10
3,941
8, 806
348
1, 652
20, 000
5. 625 0•)
584, 999 24

62,500 00
19,242 58

N M o u J >,ifl. ? i o ^ o n s t i l l i n g . . . . !
!
Si . I P b i n V n ) t '««oiS*a 1 i m ? .."
Di> ul«uvls a u p t i u ]

Notes and bills re-discounted
Biils payable

311,294 00

|

Individual deposits
United States deposits
Deposits of U. S. disbursing oftle
Due to other national batiks
Dim to State banks and baakor,-;

Cashier.

266, 715 98

j
I

228 43
J8 20

262

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IVEW

YORK.

National Bank, Cortland.
JAS.

No. 2272.

S. SQUIRES, Presidc7it.

CHAS. E. SELOVER, Cashier
Liabilities.

Loans and discounts
'
Overdrafts
I
U. S. bonds to secure circulation
|
II. S. bonds to secure deposits
[I. 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
j
Bills of other banks
j
Fractional currency
Specie
"
i
Legal tender notes
'
U. S. certificates of deposit
;
Due from U. S. Treasurer
|
Total

j

:

$170,519 72 ! Capital stock paid in . .
1,059 13 j
35, 000 00 I .Surplus fund
j Other undivided profits.

$80, 000 00
634 09
2,784 50

National bank notes outstanding...
2, 600 00
23, 685 66 I State bank notes outstanding
1, 760 55 [
21,150 3d ! Dividends unpaid ...,
1,921 90 Individual deposits
5, 259 98 i United States deposits
965 49 j Deposits of U. S. disbursing officers.
j.
j Due to other national banks
24 18 i Due to State banks and bankers . . .
924 72
1,922 00 ! Notes and bills re-discounted
i Bills payable
1, 575 00 j

31,500 00
224 00
140, 808 37

151 53
3, 766 14
8, 500 00

Total.

268, 368 63 \

268, 368 63

National Bank, Coxsackie.
ALEXANDER R E E D ,

No. 1398.

President.

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

$148,031 38 Capital stock paid in .
907 47 !
83, 350 00 ; Surplus fund
„
Other undivided profits
500 (O
J
National bank notes outstanding
63 57 State bank notes outstanding
4,234 57
Dividends unpaid .
8, 200 00
5 70
Individual deposits
United States deposits
350 86 Deposits of U. S. disbursing officers.

$112, 000 00
4, 000 00
2, 432 38

120 40
51,678 68

1,503 00
Due to other national banks
131 48 Due to State banks and bankers
174 80
3, 575 00 : Notes and bills re-discounted
Bills payable
3, 049 30
254,077 13

Total.

SIDNEY A. D W I G H T , Cashier.

!

2, 048 45
6, 797 22

Total .

254,077 13

Cuba National Bank, Cuba.
E. D. LOVKRTDGX, President.

No. 1143.

Loans and discounts
a
Overdrafts
U. 8. bonds to secure circulation
U. S. bonds to secure deposits
|
U. S. bonds on hand
'
Other stocks, bonds, and mortgages., j

$131,952 47
2, 972 O
H
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
j
Exchanges for clearing hou.se
i
Bills of other banks
Fractional currency
;
Specie
!
Legal tender notes
j
U. S. certificates of deposit
!
Due from U. S. Treasurer
|

17,399
2.216
9,897
1,664
5, 000

Total.




3,999 70
08
39
81
J7
00 I
I
58 00 ;|

G A B R I E L B I S H O P , Cashier.

Capital stock paid in

j

$100, 000 00

Surplus fund
Other undivided profits

I
j

6, 547 00
2,923 45

National bank notes outstanding
State bank notes outstanding

|
I

89. 000 00

Dividends unpaid

j

240
65
92
6,881

00 Due to other national banks
50 ; Due to State banks and bankers .
00
00 1 Notes and bills re-discounted
i Bills payable
4, 500 00'
286,933 18

88, 467 73

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

Total...

i
j
I

286,938 18

263

REPORT OF THE COMPTROLLER OF THE CURRENCY.
N E W

¥ OK K .

First National Bank, Dansviile.
JA.VIES FAUI KNER, President.

No. 75.

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
Dae from IT. S. Treasurer.,
Total.

JAMES FAULKNER, Jr.,*Caskhr.

I
$78, 205 65
I,522 38
50,000 00

9,196 34
285 35
10, 000 00
6,381 97
7,C49 63
125 50
1,821 94
5,594 00

Liabilities.
$50, 000 00

Capital stock paid in
Surplus fund.
Other undivided profits

21,584 34
14,614 92

National bank notes outstanding
State bank notes outstanding

45, 000 00

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

40,240 85

878 95
113 70

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

2,250 00
Total.

172, 432 76

172,432 76

Delaware National Bank, Delhi.
G-. E. MAKVINE,

President.

No. 1323.

Loans and discounts
,
Overdrafts
1". S. bonds to secure circulation
U. S. bonds to secure deposits
I.'. S. bonds on baud
Other st >civ,s, bonds and mortgages..
D;ie f.om approved reserve ag«'Uis. . .
Due Iroin otl'er banks an.l hunkers...
R<'ul «'rtt-ite, furniture, and fixmr*1-:...
Curr.Mit expenses and tax'1* paid
Pr::iiiiumti paid
C h e ks and other ca*.h items
..-.i.^for clearing hou.e
of (>*her l>:mk>
riouui currency
('. >s. O"i"!in<-u:esof d
;>r. • '.V.«m {'. S. T r e .
Totai

W . H. GllISWOLi),

$117, 678 77 i Capital stock paid ia
506 36 '
!
145,000 00 J Surplus fund
.
.
|
• Other undivided profits
.. j
10,000 ();> I
'
!
!
56, 400 0) National bank notes outstanding
;
- 70a ) r
<
State b a n k notes outstanding
I
- .-o. -£•

Dividends unpaid

367, J00 51

Due to other national banks
Duo to State banks and bankers
Notes and bills re-discounted
Bills p a y a b l e . . . .

$150,000 00
21, 479 05
595 17
3 17,146 00
(,082 00
5

..']

, ' ,'.",', '-^ Individual deposits
i
lft)U
'
: United States deposits
L
641 48 Deposits of {]. S. disbursing officers..;.
i, 122 00
213 01 ;
1,805 50 :
10,375 00 ;
!
;
6, 525 Oi) ;|

Cashier.

200 00
63. 598 3 2

j
!.
|
I
i
;

Total.

Deposit National Bank, Deposit.
J-HARl.Ks KXAPP, Preside,,
Loans and discounts
O verdrafts
1). 8. bonds to secure circulation
U. S. bonds to secure deposits
X". S. bonds on hand
Other 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.




C. J. K N A I T ,

Cashia

: $200, 000 00
$ 197 4fi8 48 j | Capital stock paid in
735 87 i |
!
:
50,000 00
201 000 00 | Surplus fund
26, 915 87
Other undivided profits
!
000 00
\
179, 060 00
52,429 56 National bank notes outstanding
45 235 30 State bank notes outstanding
•
3, 594 00
899 92
2 ; 000 00
Dividends unpaid
:
108 95
812 71
Individual deposits
67, 657 92
431 80 United Slates deposits
'•
Deposits of U. S. disbursing officers .j
009 00 Due to other national banks
:
1.63 26
17 36 Due to State banks and bankers
!
650 00
750 00 Notes and bills re-discounted.
Bills payab.e
000 00
527, 500 00

Total.

527, 500 00

2fi4

REPORT OF 1HE COMPTROLLER OF THE CURRENCY
NEW

Y OBK,

Dover Plains National Bank, Dover.
G. W. KKTCHAM, President.

A. J . KETCH AM, 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.

$131,319 32

Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
.

17.288
13,218
11, 450
2, 177

19
59
67
8t)

2,501
150
1, 142
4, 01(0

(!()
24
27
00

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

Capital stock paid in

100,000 00

$100, C O 00
O
20, 000 00
6, 113 52

National bank notes outstanding
State bank notes outstanding

2,558 13

90, 000 00

Dividends unpaid .

600 00

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

63, 670 69

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

5, 892 06

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

r>,Vo 66*
291,270" 27

Total

.

Surplus fund
Other undivided profits..

{

Total.

291,276 27

First Hational Bank, Ellenville.
No. 45.

GILBERT DU lion, Preside."t.
Loans and 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, and fixtures. . .
Current expenses and taxes paid . . . .
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S, Treasurer

ISAAC COR BIN, Cashier.

$ 183, 256 23 Capital stock paid in
537 07 '
150, 000 00 Surplus fund
Other undivided profits
9,427 50
°l 7°3 53

I

30, 000 00
|

National bank notes outstanding
i
Srate bank notes outstanding . . . . . . . ; .

7' ''74 21

$ 150, 000 00

Dividends unpaid

11,488 63
131,520 00
273 0:)

J

4 ' 375 85 Individual deposits
,

73, 552 45

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

1, 082 31
2, 335
9
482
3, Gl i
fi,

00
Due to other national banks
21 Due to State banks and bankers
!>
»>
00 Notes and bills re-discounted....
, Bills payable
750 00

391), 990 70

Total .

156 62

Total

393, 990 70

Home National Bank, Ellen ville.
JNO. McKLHOSK, President.

No. 2L17.

Loans 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.-}

$112, 254
309
» 000
,

Due from approved reserve agents.
Due from other banks and bankers
Real estate, furniture, and fixtures.
Current expenses and taxes paid-..
Premiums paid

., 755

Cheeks and other cash items
Exchanges for cleaving house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




O E O . H. S M I T H ,

Capital stock paid in

National bank notes outstanding
State bank notes outstanding

;, ost;

Dividends unpaid

., 302
i, 002
421

: Due to other national b a n k s
• D u e to Slate b a n k s a n d bankers
'>

i, 227 i

; Notes and bills re-discounted.
'\ Bills payable
j

!, 012 '

4,000 00
8, 062 97
.

75,256 00
j

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

169 I
300 !
,029 i

I "825" i

$100, 000 00

Surplus fund
Other undivided profits

i, 000
600

':\

Total

Cashier.

744 50
62, 490 63

2, 383 6(5
75 00

REPORT OF THE COMPTROLLER OF THE CURRENCY. 265
IE-W

YORK.

First National Bank, Elm Ira.
No. 119.

S. T. ARNOT, President.

M. H. A KNOT, Casks
Liabilities.

Resources.

$LIO, 8t»4 86 I Capital stock paid in

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 a g e n t s . .
Due from other banks and bunkers.
Real estate, furniture, and fixtures. .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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 U)

100, 000 00 ! Surplus f u n d . . .
; Other undivided profits

17, 695 02

;: National batik notes outstanding
| State bank notes outstanding

,

90, 000 00

I Due to other national banks
1 35 .! Due to State banks and bankers

;
;

60'.-* 7."
30, U0O 00

7,250 00 1 Notes and bills re-iliscomitecl...
1
!' Bills payable
.
4,500 00 : |

!

!

v00(Vf(V
(

s

-C^

unpaid.

:

Jr? -- Individual deposits
1.1,^14 oo | U n i t e d States deposits
; Deposits of U. S. disbursing officers.

Total.

238, 752 78

Total.

...........

Second National Bank, Elmira.
No. 149.

D. R. PRATT, President
Loans and discounts
|
Overdrafts
j
U. S. bonds to secure circulation
!
U. S. bonds to secure deposits
j
U. S. bonds on hand
i.
Other stocks, bonds, and mortgages . . , .

$318, 488
1,769
220, 000
50,000

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
IT. S. certificates oS? deposit
Due from U. S. Treasurer
Total..

i

I

;

10 iI Capital stock paid in
73 !j
00 ; Surplus f u n d . . . . .
I
00 : Other undivided profits

41.890 4i) !' T^- -i

:U 35- tO

""" 223
3.
1, 373
33 i
15, 026

i

$2<J0, COO 0*)
40, O .0 00
f
18,313 o(;

j! National bank notes outstanding
"30 0 0 0 93 i' State bank notes outstanding

:
'

190,100 C
O

-i

Dividends unpaid
Individual d " p o ; N
United S ^ i ' e - d e p o r t s
D e p o s i t ur U.S. fiw.Ui-sin^ tftic «rs

17,731 3d

;
...j
\
;. . . „
.,...,

W;,h F . COREY, Cashier.

;

157,539 3 f
<
25.322 8c'
.--.- „

Due to oth< r n.*tioni«l bank,.:
Di.e t 0 St,4t<_ Um'cs a-id oau o-i«, . . .

S3, C83 n?
7, 101 51

NoteJand biP-5 re discount'"!..
Bills payable

00
4>
"
2»
01!

25, 0C0 C
O

:

9, 640 00 ,,
746, 061 14

Total .

746,061 14

National Bank, Payetteville.
HIRAM

No. 1110.

EATON, President,.

I-oans and discounts
Overdrafts
U. S. bonds to secure circulation.
j
U. S. bonds to secure deposits
!
L\ S. bonds on hand
'
Other stocks, bonds, and mortgages.. -1

$174,387
1,915
J11, 000

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
i

11,931
3, 075
7, 374
5, 067
3, 000

Checks and othqr cash items
Exchanges 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
\
j
!
I
I

1, 000

3, 878

R. W . E A T O N , Cashier.

Capital stock paid in

I

Surplus f u n d . . .
Other undivided profits . . » . . . ,

;

National bank notes outstanding . . . .
State bank notes outstanding
..'.

7, 595 74
7, 490 24
99, 350 00

I Dividends unpaid.
Individual deposits
..,
United States deposits
;.
Deposits of U. S. disbursing orrxcers.-j

•
631 00 [ Due to other national banks
308 72 jj Due to State banks and bankers
574 65 !
12, 625 00 j| Notes and bills; r e - d i s c o u n t e d . . . . . .
lf
Bills payable
""4,995 00
i
341,764 97

$ 140, 000 00

Total.

87, 172 97

142 97
13 05

341,764 97

263

REPORT OF Tin: COMPTROLLER OF THE CURRENCY.
N 1 W 1O H M .
3
First National Bank, Fishkill Landing.

JAMES MACKIN, President.

No. 35.

M. E. CURTISS, Cashier.

Resources.

Liabilities.

Loans and discounts
O verdrafts
U. 8. 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. 8. certificates of deposit
Due from XJ. 8. Treasurer

!,219
5, 153

, 439
030
L 000

14, i
3,

Capital stock paid in

j

$100,000 00

Surplus fund
:
Other undivided profits

|
(

32, 000 00
17,205 15

Dividends unpaid
i

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

, 696

458
808

;, ooo

Due to other national banks
Due to State banks and bankers

j
|

155,847 '

32, 233 6?
400 38

Notes and bills re-discounted.
Bills payable..

250
381 076

Total.

43, 400 00

National bank notes outstanding
State bank notes outstanding

381,076 96

al.

National Mohawk River Bank, Fonda.
DAMEL SPRAKER,

President.

No. 1212.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
V. 8.bonds on h and
Other stocks, bonds, and mortgagee..
Due from approved reserve agents. .
Due from other banks and banker.-,. . .
Real estate, furniture, and fixture-;- . .

Checks and other cash items
E xchanges for clearing house
Bills of other bank-;
Fractional currency
Specie
L'-gal tender notes
U. S. certificates of deposit
Da t from U. 8. Treasurer

.$ 124, 254 03
342 15
100, 000 00

E. 8. GlLLETT, Cashier.

C.'ipital stock paid in

$100, 000 00
!
|
J

Surplus fund
Other undivided profits

National bank notes outstanding
70 701 31 State bank notes outstanding
'832 1
9
5, ooo oo ; Dividend* unpaid .

271 59

'
j.

89, 000 00
1,870 00

Individual deposits
j
m i d States deposits
;
p
f U. S. disbursing officers.
U Sd i b i
ffi
Deposits of

1, 000
107
47
7, 000

00 '. Due to other national banks
00 Due to State bauks and bankers
50 i
00 \ Notes and bills re-discounted
Bills payable
4, 5n0 00

Total.

20, 000 00
5,080 45

97,789 O
o

1, 061 37

Total.

314,800 88

National Bank, Fort Edward.
E. B. NASH, Provident.

Loans and discounts
O verdrafts
U. 8. bonds to secure circulation
U. 8. bonds to secure deposits
II, 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
8 p':-cie
Legal tender notes
IT. 8. certificates of deposit
Dae from U. S. Treasurer
Total .




No. 1218.

P. C. HITCHCOCK, Cashier.

$328, 353 51

Capital stock paid in .

100, 000 00

Surplus fund
Other undivided profits

9,000 00
2.244 06
3° 411 99
4* 400 00

National bank notes outstanding
State banknotes outstanding

.35, 000 00
17, 397 19
80, 600 00

Dividends unpaid

Individual deposits
; United States deposits
5, 286 09 Deposits of U. 8. disbursing officers..
89 50

$100,000 00
|
j

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

282, 585 78

10,295 37

13, 000 H
O Notes and bills re-discounted
10, 000 00 • Bills payable
4,500 00
525, 878 34

Total.

525, 878 34

REPORT OF THE COMPTROLLER OF THE CURRENCY. 267
MEW

YORK.

National Fort Plain Bank. Fort Plain.
E. W. WOOD, President,

No. 467.

"

J. S. SHEARER, Cashier.
Lmbi ities.

Resources.
Loans and discounts . . .
i
() ve rdraf t s
—
j . .
U. S. bonds to secure circulation
!
U. S. bonds to secure d e p o s i t s . . . . . . . - i
U. S. bonds on hand
j.
Other stocks, bonds, and mortgages..:
Due from approved reserve a g e n t s . . . j
Due from other banks and bankers . . '
Real estate, furniture, and fixtures.. J
Current expenses and taxes paid
.
P r e m i u m s paid

•315 7 l C <H

^t »ok pa: i m

j " 0 "00 P )

("'id
u IVKUM profits

10u (,()[> O
C
~7, 7',-i I
1, 5J ) 5:
<>!., 5 )> 0v

|

|
\
j
:

;

40, 000 00
152, 467 57
180, 000 00

Slate baiuv not'1- i
D i v i d e n d s >,t.aid
TTn d h P u il +
\o

;

Checks
C h k and other cash items t
d th
hi
Exchaugvs for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
IT. S. certificates of deposit
Dtie from U. S. Treasurer

$200, 000 00

i uhvd

4, Ail 2}
4 6 4 2 21
n «( 1 n )
)
77 l i
"M 5»)
31,365 00

D

225, 131 49

-t.i i > u>- >o-i' •,

'

L

d

Dot t • onior*
I tie to Mav 1

148 27
392 36

<nd b m k ^ i s

2, 015 00

1 U> payaln
3
°, on) oo
800, 154 69

Total .

800, 154 69

Total.

First National Bank, Franklin.
AMOS D O U G L A S ,

No. 282.

President.

497 II
11 77
100, 000 00

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 .

"*14. 750 00
860 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. certificate s of deposit
Due from U. S. Treasurer

972 13
726 02

CHARLES NOBLE,

Capital stock paid in.

j

$100,000 00

Surplus fund
Other undivided profits

j
i

25, 000 00
7, 699 52

'
i

89,120 00

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

744 00

!| Individual deposits
Il United States deposits
157 00 I; Deposits of U. S. disbursing officers.

,

1 293
,
113
346
9 530
,

,
*4,"500

42, 854 74

00
Due to other national banks
50 | Due to State banks and bankers .
35
00
Notes and bills re-discounted
. . . . I.
Bills payable.
|

> 20

"5
6

265, 978 46

Total.

Cashier.

Total.

265, 978 46

First National Bank, Franklinviile.
JASON D. CASE, Cashier.

WM. F. W E E D , President.
$64,103 62
171 55
55, 000 00

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.

"" "4,"572"94"

Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid

2. 696 72
SV242 67
9,645 51
2, 758 72
6,118 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

52
211
3,991

Total.

H. Ex. 3- -M




!
I

2, 475

Capital stock paid in.
Surplus fund
«
Other undivided profits

$55, 000 00
«

National bank notes outstanding
State bank notes outstanding

26 29
7, 544 79
j
i

j
I
Individual deposits . .
United States deposits
I
Deposits of U. S. disbursing officers.. |
1
Due to other national banks .
!
49 j Due to State banks and bankers .
15 i!
00 I Notes and bills re-discounted
!| Bills p a y a b l e . . . .
00 !

181,661 12

49, 495 00

Dividends unpaid

Total.

69, 595 04

181,661 12

268

KEFORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

Fredonia National Bank, Fredonia.
S. M. CLEMENT, President.

No. 841.

R. P. CLEMENT, Cashier,

Resources.

Liabilities.

!
Loans and discounts
'193, 117 03 Capital stock paid in.
812 88
Overdrafts
!
50, 000 00
U. S. bonds to secure circulation
I
Surplus fund
U. S. bonds to secure deposits
Other undivided profits
U. S. bonds on hand
9, 450 00
Other stocks, bonds, and mortgages..
National bank notes outstanding
State bank notes outstanding
22, 738 30
Due from approved reserve agents... i
Due from other banks and bankers...;
4,797 15
Dividends unpaid . . .
Real estate, furniture, and fixtures...;...
2, 13G 83
Current expenses and taxes paid
,
Individual deposits . .
Premiums paid
United States deposits.
Checks and other cash items
1,808 03 Deposits of U. S. disbursing officers Exchanges for clearing house
Bills of other banks
338 00
Due to other national banks
Fractional currency
<
371 98 Due to State bunks and bankers
Specie
|
115 00
Legal tender notes
!
11,593 00
Notes and bills re-discounted
U. S. certificates of deposit
Bills payable
„
" 2," 250 00
Due from U. S. Treasurer

Total

I

$50, 000 00
10, 000 00
10, 020 34
45, 000 00

183,372 78

910 14

Total.

299, 333

299, 333 26

First National Bank, Friendship.
No. 265.

A. W. MINER, 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. -- 1
Real estate, furniture, and fixtures . J
Current expenses and taxes paid
I
Premiums paid
Checks and other cash items
;
jftxchanges for clearii>g house
Bills of o'her banks
Fractional currency
Specie
Lepal tender notes
:
U. S. cprtincates of deposit
Due from U. H. Treasurer
:

A. J. WELLMAN, Cashier.

$107, 203 f 5 J Capital stock paid in
>
ti, 9Sti 49 \
75, 000 00
Surplus fund
Other undivided profits

$75, 000 00
19,500 00
4,851 08

National bank notes outstanding....
31 1 °9 67 ^ t ; t t e kank notes outstanding
L 110n y r\- • i ^ ,, , «• i
i, m 09
10, 662 41 Di\ menu* unpaid
1, 330 03 Individual deposits ,
United States deposits?
65 00 Deposits of {J. S, disbursing officers..

.67, 500 00

j
80,937 38
j . . . .
j

1 9 6 ()•)
Due to or'itr national banks
86 10 Due to Stave banks and bankers .
740 00
Note;: and bills re-diaeounted
6, 884 00
Bilk payable
3, 375 00
247, 788 41

Totals

j
j

247, 788 44

First National Bank, Fulton.
No. 968.

R. H. TYLER, President.
Loans and discounts
\
Overdrafts . .
j
Tj\ S. bou;.ls to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
;.
Otlior stocks, bends, and mortgages..;.
Due from approved reserve agents...;
Due from other banks and bankers...
Real estate, furniture, and fixtures . . . |
Curreut expenses and taxe.s paid
\
[
Premiums paid
Checks and other cash items
Exchanges 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
•
;
i
<.
'

I

$61,177 50
1,907 J8
57, 500 00

51,028 44
2,799 (>8
6i»0 00
1,650 78
1, 405 88

D. W. GARDNER, Cashier.

Capital stock paid in
Surplus fund.
Other undivided profits

$57, 500 00
.„..

National bank notes outstanding
State b a n k notes outstanding

49, 200 00

Dividends u n p a i d .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

00 :; Due to other national banks
35 I Due to State banks and bankers
(10
00
NTotes and bills re-discounted.
Silis payable
2 5t5'o 00

525
1, OUC
2«)0
3, 4!9

185, 804 81

2, 500 00
10,734 80

Total.

65, 672 35

197 66

185, 804 8L

REPORT OF THE COMPTROLLER OF THE CURRENCY.
N E W

269

YORK.

Citizens' National Bank, Fulton.
No. 1178.

T. W. CHESEBRO, President.

GEO. M. CASE, Cashier.

Liabilities.

Resources.

$214, 303 89 Capital stock paid in
1,714 67
166, 100 00 j Surplus fund
Other undivided profits
25, 000 00 j
6, 081 67 j National bank notes outstanding
3,463 97 State bank notes outstanding
2, 154 44 Dividends unpaid.
1*999 61 Individual deposits
1, 406 27 United States deposits
j
4,041 75 Deposits of U. S. disbursing officers..

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, 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 banks
Fractional currency
Specie
». Legal tender notes
U. S. cert!fioates of deposit
Due from U. S. Treasurer

212 59
520 00
6, 000 00
7,474 00

Total

45, 000 00
14, 073 52
149, 450 00

67,684 50

2, 822 79
384 17

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

445, 633 86

$166,100 00

318 88
445, 833 86

Total .

G-enesee Valley National Bank, Geneseo.
J. W. Vr

woiuii, President.

No. 880.

Lo.in''! and <\\ <eunr>t \
OvenlrviV
U. »S. v ).\('< to >;'H'i'p * t;ii\ul.uion
U. S. l..j» ft < T -l • ll- o d'JUOMtn
O <
U. S.b'M»,:.s. i: 1M.. i
Other ht- ' IJ:->, boiidi, and morigji<;;^s..

$lb'-' °H I 25
1 4 7 . n o UJ

JAS. S. ORTON, Cashier.

Capit.il 4toek p ud in

$150, 000 00

"Mirpliw fund
O«h( r \u\di\ id M! profits

50, OfiO 00
8, 406 70

;

N.i'ioii:sl bank note-s outstanding
'State baak not s outitauding

j

Dividends unpaid.

"7 r i p -M

D u e from 'i,>!)r ved ivv-'irv<-' njTi'n^s..
D i v from oth T ^ . .';- i\v<*. b i'lk^rs .
Real eMiit", t n t n r . i r c , and
rittinvy..

I

131,633 00

66, 200 47
d St i\»> •PpoVits
M s ot Lr. b. liisburriing officers..

i item*
Ulh ot . ^ i
nu-t. ' P i .
prer-

I, (i !T (")
i 15 OJ

1> ie to o f hpr nt tional banks
IJ io to ^ i-e 1H ik , ; : n l bankers
'

239 56
i

DU.J troia T. J. I »
Total . . . . .

^06,479 73

First National Bank, Geneva.
No. J67.

A. L. CHEW, President

Loans and discounts
!
Overdraft;;
j
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...
Dm; from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expanses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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, 5 <7 ? i
5*1."" 31
56,000 Ui

W. T. SCOTJ, Cashier.

GV:*iial suck p,t d in

] Surplus fund
1
Otner undivided proiits .
National bank notes outstanding
11,231 99 | State bank note): outstanding .
58:) 81. '
14, ooo on ! Dividends unpaid.
2, 593 4« i Individual deposits
617 69 I United States deposits
595 49 ! Deposits of U. S. disbursing officers.

j
I

$50, 000 00
10,000 00
11,598 26

5, 0(<0 00

f

513
302
641
16,404

00
92
00
00 !

""2,500 66*1

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

50, 000 00

89,371 32

123 38

Notes and bills re-discounted.
Bills payable
Total.

211,092 96

270

REPORT OF THE COMPTROLLER OF THE CURRENCY.
U £W
f

Y O SI 1£ .

Geneva National Bar.k, Geneva.
S. H. VER PLANCK, President.

M. .8. SANDFORD, Cashier.

Resources.
Loans and discounts
Overdrafts
U. 8. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds oa hand
,
Other stocks, bonds, and mortgage*.
Due from approved reserve agents..
Due from other bunks and bankers..
Real estate, furniture, and fixHm-s..
Current expenses and taxes paid
Premiu ms 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

Liabilities.
$-21)7,426 G
4
1, 165 16
200, 000 U0

Capital stock paid in

j

$200, 000 00

Surplus fund
Other undivided profits

I
!

40,000 00
61,163 84

i

40, 036 07
1 I T>, 6 3 5 t>7
3, 173 21
35, 599 66
5, 455 80
5,30:2 16
146 07

National bank notes outstanding
I
Sfate bank notes outstanding
;
Dividends unpaid
;
Individual deposits
United States deposits.
Deposits of U. S. disbursing officers.

426 00

Due to other national banks
Dae to State banks and bankers
18,397 00 Notes and bills re-discounted .
BUls payable

276, 733 20

533 89
1, 685 34

10, 000 00 ,
765, 125 27

Total..

j
j

4ti() 3D

180, 000 00
5, 009 00
.....

Total.

765, 125 27

First National Bank, Glen's Falls.
No. 980.

A. SHERMAN, Presiden t.

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 approved reserve agents..
Due from other banks and bankers. Real estate, furniture, and fixtures..
Current expenses and taxes paid.
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other ban ks
Fractional currency
Specie
„
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$302, 230
1, 125
336, 0H0
50, 000

1 (•"6,052 82
5,567 86
12,000 00
1,297 33
2, 323 29

|

$ 136, 400 00

\
|

Natiounl bank notes outstanding .
State banknotes outstanding

60,000 00
17,214 70

122, 300 00
.

Dividends unpaid
358, 885 51
17,595 21

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

4,242 00
107 00
8'i8 03
10, 000 00 j
'JO, 000 00 j

6, 120 00 !

Due to other national banks
Due to State banks and bankers
Notes and bills re-ch>:counted
Bills pa/able

717,879 U2 !

Total.

E. T. JOHNSON, Cashier*

69 Capital stock paid in
00
00 Surplus fund
00 Other undivided profits

3, 990 37
1, 493 23

Total

7! 7, 879 02

Glen's Falls National Bank, Glen's Falls.
J. W. FINCH, President.

Loans and discounts
Overdrafts
XJ. S. bonds to secure circulation . . .
XT. 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
Total.




No. 1293.

W M . A. W A I T , Cashier.

$251,148 00 Capital stock paid in .
6, 367 03
Ill, (JuO 00 Surplus fund
Other undivided profits
National bank notes outstanding
78, 9! 6 03 Slate bank notes outstanding
31,271. 16 Dividends unpaid
14,000 00
1,716 02 Individual deposits
United States deposits
4,2:31 35 Deposits of U. S. disbursing officers .
6,059 00 . Due to other national banks
248 00 ; Due to State banks and bankers .
54o 05 I
1,000 oo ; Notes and bills re-discounted.
15, 000 00 \ Bills payable
5, 040 00
552, 544 69 ,

Total.

$112,000 00
j

25, 000 00
30, 570 09
78,900 00
4, 858 00

298,041 09

3, 177 51

552,544 69

THE CURRENCY.

REPOKT OF THE OOMP rROi.LER

271

n IE W Y O R K c
National Bank, Glovers ville.
JAMES H. BURR,

No. 1938.

President.

GEORGE W. FAY, Cashier.
Lial llities.

Loans and discounts
Overdrafts .
U. S. bonds to secure circulation
U. S. bonds to secure deposits.
„
U. S. bonds on hand
Other stocks, bonds, and .nortgages..
Due from approved reso've agents... {
Due from other banks and bankers . .
Real estate, furniture, and
fixtures-..
Current expenses 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 u e from {]. S. T r e a s u r e r
>.
Total......

$i i\b"7 4}

C o i t a l stock t.tl d m . .

"2, 5 <> 0')
<

Snrph'-. mud
OXn 'i a.idivid 'd profit-,
1

1 \ 2"n 15
i~. \ )"> " 7
<'»-'")
24, Mr> ) 7
I on' I11)
"/, 194 M
,
1, "2J7 0^

$100, 000 00
6, 193 30

bank notes out' ending

63,350 00
80 00

Dividends u n p a i d . . . .
Individual d'-vo -,iU
'J.m-'d St J , d"p.)*-iN
Deposit's oi V. K di^b'irsing officers..

r iiati^nal b'wkn..

1, -Mi 0 »
7 i 7j,i

Due to
Due

2, 5 > 00

Notes n^rl bd
Bills p tyaol'

banks and bankers

I
I

74, 810 88

2,800 00
236 74
27, 400 24
7, 500 00

3, 262 "•()
282,401 16 :

282, 40 L 16

Total .

National Fulton County Bank, Gloversville.
JOHN MCNAB. President.

No. 1474.

$383,179 38 Capital stock paid in .
788 81 :
150, 00U 00 Surplus fund

Loans and discounts
Overdrafts
XT. 8. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on h»,nd
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. D. WEST, Cashier.

;

$1.50,000 00
100,000 00
20,879 51

Other undivided profits

40, 000 00 :
4,700 00 | National bank notes outstanding . . .
78, 670 73
8,703 16
12, 000 00
2,175 00
7, 596 28
1,468
520
729
22, 000

00
£8
20
00

6;"750 65"
I

133, 500 00

State bank notes outstanding
300 00

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

310,712 81

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

3,878 51
15 01

Notes and bills re-discounted
Bills payable
,
Total .

71.9,285 84

719,285 84

Goshen National Bank, Goshen.
No. 1408.

W. T. RUSSELL, President.

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..
Due from approved reserve agents...
Due from other banks and bankers..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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

W. M. MURRAY, Cashier.

$198,266 70 ! Capital stock paid in .
613 39
110, 000 00 ' Surplus fund
I Other undivided profits
1, 375 35 I National bank notes outstanding . .
27, 628 35 ! State bank notes outstanding
23,412 95 Dividends unpaid .
10 000 00
3, 596 90 i j Individual deposits
'
" *"!I United States deposits
2,112 98 i| Deposits of U. S. disbursing officers

490 00 Due to other national banks
237 99 Due to State banks and bankers.
475 00
19, 320 00 j Notes and bills re-discounted.

$110,000 00
22, 000 00
27, 873 75
99, 000 00
4, 954 00
35 00
138, 451 27

165 59

i Bills payable
4,950 00 l
402,479 61

Total .

402, 479 61

272

REPORT "OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK..

National Bank of Orange County, Goshen.
A. S. M U R R A Y , President.

No. 1399.

C. J. E V E R E T 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
•
j
Other stocks, bonds, and mortgages . . j
Due from approved reserve agents...!
Due from other banks and b a n k e r s . . . I
Real estate, furniture, and fixtures . . . j
Current expenses and taxes paid
!
Premiums paid..
-.
j
Checks and other cash items
j
Exchanges for clearing h o u s e . . . .
\
Bills of other banks
j
Fractional currency
j
Specie
j
Legal tender notes
i
XJ. S. certificates of deposit
i
Due from U. S. Treasurer
'
Total.

$255, 0*3 86 i Capital stock paid in.
103 70
111,000 00
Surplus fund
Other undivided profits

2, 500 00
46,918 75
6,055 32
3,000 00
2,469 03

$110, 000 00
22, 000 00
47, C79 96

National bank notes outstanding . . .
State bank notes outstanding

99, 000 00
1,814 00
273 00

Dividends unpaid.

Individual deposits
United States deposits
...
2, 026 31 Deposits of U. S. disbursing officers.

162,386 11

293 00 Duo to other national banks
165 95 Due to State banks and bankers . . .
385 16
9, 300 00 Notes and bills re-discounted..

1, 602 19
75 82

Bills payable
4, 950 00
Total.

444,231 08

444,231 08

National Bank, Granville.
DANL. WOODARD, Jr., 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

No. 2294.

O. R. THOMPSON, Cashier,

$142,919 6" i Capital stock paid in
j
1.249 07 ;i
100,000 00
Surplus fund . * .
Other undivided profits

14, 91.5 69
1, 006 74
5, 0!)l M
1, 375 07
10,650 93
2, 256 23

I
I

$100,000 00
2. 000 00
2, 534 95

National bank notes outstanding
State bank notes outstanding . . . . . . .
Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

2,481
50
400
5, 600

00 Due to other national banks
26 i Due to State banks and bankers.
00 {
00 | Notes and bills re-discounted . .
Bills payable
4,500 00 j

Total

Total.

292, 495 78

First National Bank, Greenport.
G. S. ADAMS, President.

No. 334.

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.

$2*, 588 30
"56,000 00

Surplus fund.
Other undivided profits

Due from approved reserve agents . .
Due from other batiks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid

65,084 07
50 44
7,8-8 42
2,009 55

G. C. ADAMS, Cashier.

Capital stock paid in.

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.




24, 000 00

440 72
244 00
4!) 16
305 00
5, 292 00

j
!
....;!

$50, 000 00
10,00000
6, 771 06

National bank notes outstanding
State bank notes outstanding
-

!
'

Dividends unpaid

!

68 33

Individual deposits
!
United States deposits
Deposits of IT. S. disbursing officers -. j

69, 845 80

Due toother national b a n k s . . . . \...!
Due to State banks and bankers
;

44, 325 00

I l l 53

Notes and bills re-discounted.
Bills payable

2, 250 00
181, 121 72 !

181,121 72

REPORT OF THE COMPTROLLER OF THE CURRENCY. 273
MEW

YORK..

Washington County National Bank, Greenwich.
LE ROY MOWRY, President.

E D W I N ANDREWS, Cashier.

No. 1366.

Liabilities.
Loans and discounts
Overdrafts
IT. S. bonds to secure circulation
.
IT. S. bonds to secure deposits
j
IT. S. bonds on hand
j
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
j
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
Due from U. S. Treasurer
Total

,..

$200, 000 00
$328,449 44 M Capital stock paid in.
3,325 00 'i|
127, 800 00 | Surplus fund
25, 000 00
2, 798 23
6, 000 00 I Other undivided profits
11, 522 00 ; National bank notes outstanding
j
114, 520 00
15. 278 87 I State bank notes outstanding
17, 138 08
1,952 42
.12, 780 98 Dividends unpaid.
5,848 11 ! Individual deposits
200, 463 73
1
1 United States deposits
1
|
3,903 53 1 Deposits of U.S. disbursing officers..!
1
145 00 Due to other national banks
120 02 Due to State banks and bankers .
1, 620 00
10, 002 00 j Notes and bills re-discounted.
! Bills payable
4,860 57
548, 853 60

548, 853 60

First National Bank, Groton.
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
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

D. H. MARSH, Cashier.

$155, 002 83 !, Capital stock paid in
1,875 9L I;
100,000 00 ; Surplus fund..
Other undivided profits

$100,000 00
20, 000 00
9, 595 26

7,800 00 |; National bank notes outstanding . . .
6 705 8^ State bank notes outstanding
'375 93 I;
16 478 83 I ^ ' v i d e n d s unpaid
1 936 99 I
' 4 m Kx I Individual deposits
4Ui u a
|i United States deposits
467 40 j | Deposits of U. S. disbursing officers
30
2L
272
3, 158

00 jj D u e to other national b a n k s
63 |i D u e to State b a n k s and b a n k e r s . . .
Of) 1
1
00 jj Notes and bills re-discounted
I! Bills payable

297,476 42 ii

Total.

90, 000 00

76, 208 69

1, 556 32
116 15

297, 476 42

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
S pecie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




D. B. WEST, Cashier.

$161,964 83 Capital stock paid in
$110,000 00
90 93
85, 000 00 Surplus fund
22, 000 00
26, 553 97
Other undivided profits
2,'50000"
1,200 00 National bank notes outstanding
j
69,156 00
|.
48, 657 83 State bank notes outstanding
10,285 57 Dividends unpaid .
1,210 00
8, 500 00
8G 76 Individual deposits
121,121 17
United States deposits
1, 287 23 Deposits of U. S. disbursing officers..
1,359 00
95 49
3, 110 00
12, 190 00
10, 000 00
3, 825 00
350, 152 64

Due to other national banks
Due to State banks and bankers

105 00
6 50

Notes and bills re-discounted.
Biils payable
Total.

350,152 64

274

REPORT OF THE COMPTROLLER OF THE CURRENCY.
N EW

Y O R K.

Havana National Bank, Havana.
H U L L FANTON,

H. H. HUNTINGTON, Cashier,

Pnsident.

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 othtr banks and bankers .
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 deposit
Due from U. S. Treasurer

$79, 174 45 I Capital stock paid in
1, 323 36 |
50, 0U0 00 i Surplus fund
;! Other undivided profits

i
!
j
....;

$50, 000 00
12, 000 00
5,886 71

9,470 0U t National bank notes outstanding
8 448 17 " State bank notes outstanding . .
390 99 Dividends unpaid

4,5,000 00

° ? 660 43 ' ^dividual deposits
j
~
|! United States deposits
i
2, 748 27 I j Deposits of U. S. disbursing officers . j

51, 474 42

1. 360
367
510
5,241

00 j I Due to other national banks
I
84 ;i Due to State banks and bankers
!
00 :
!
00 I Notes and bills re-discounted
...|
Bills
able

Total.

54 20
69 55

164,484 88

Total.

National Bank, Haverstraw.
No. 2229.

IRA M. HEDGES, President.

GEO. H. SMITH, Cashier,

$154,351 56 Capital stock paid in
Loans and discounts
j
$100,000 00
18 lt<
Overdrafts
j
100, COO 0 0 • Surplus fund
3, 000 00
i
U. S. bonds to secure circulation
i
U. S. bonds to secure deposits
j . . .
5,899 89*
Other undivided profits
|
"""71"060"60"'
U. S. bonds on hand.
90, O O 00
C
Other stocks, bonds, and mortgages .. |
978 25 National bank notes outstanding
11,681 81 State bank notes outstanding
Due from approved reserve agents...\
1,918 86
Due from ot her banks and bankers .. I
|
1,307 00
12, 500 H Dividends unpaid
O
Heal estate, furniture and fixtures...)
2, 605 29 Individual deposits
Current expe nses and taxes paid
(
130,343 6322, 175 00 United States deposits
Premiums paid
;
3, 058 02 Deposits of U. S. disbursing officers.. j.
Checks and other cash items
!
Exchanges for clearing house
|...
230 00 Due to other national banks
j
Bills of other banks
j
4, 096 38
61 20 I ay to State banks and bankers
Fractional currency
1
482 52336 25
Specie
10, 015 00 Notes and bills re-discounted.
Legal tender notes
Bills payable
U. S. certificates of deposit
70, 000 00
Due from U. S. Treasurer
8, 200 00
Total.

405, 12J 42

Total..

405, 129 42

First National Bank, Hobart.
J. M. OLMSTED, President.

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...
Due from other banks and bankers .
Real estate, furniture, and fixtures.. Current expenses 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

Total.




No. 193.

ROBT. McNAUGHT, Cashier.

$105, 025 09 :; Capital stock paid in
1,035 b3
] 00, 000 00 I! Surplus fund
", Other undivided profits
;j National bank notes outstanding
!
22, 292 00 ! State bank notes outstanding
76 60 | Dividends unpaid
4,000 00
1, 59 L 11 Individual deposits
i;
i i United States deposits
2, 097 05 ij Deposits of U. S. disbursing officers.

|

$100, 000 00

!
!
j
i

14, 000 00'
6, 816 42
83, 800 00

270 00 : Due to other national banks
£0 40 , Due to State banks and bankers
1,616 05
9,145 00 j Notes and bills re-discounted .
Bills payable
4, 500 0J

|
j

251,729 13

Total.

41,634 53
73 80
404 38-

251,729 13-

RKPOliT OF THE COMPTROLLER OF THE CURRENCY.

275

Hi E W Y O R K .
First National Bank, Hornellsville.
No. 262.

M A R T I N ADSIT, President.

CHARLES ADSIT, Cashier,

Liabilities.

Resources.
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 mortgagee
Due from approved reserve agents.
Due from otber 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 IT, S. Treasurer
Total.

Capital stock paid in .

$100, 000 00

1 Surplus fund
1
j Other undivided profits

$283, 719
1,004
100,000

20, 000 00
15,511 57

! National bank notes outstanding
.
16 i| State bank notes outstanding
79 !
00 j Dividends unpaid
99 j Individual deposits
•""
i| United Stated deposits
1,629 70 ,i Deposits of U. S. disbursing officers.

54, 332
9,058
12, 000
1,497

152, 295 17

LI,190 00 i j Due to other national banks
1

21, 642 02

Total.

498, 448 76

45 01
Due to State banks and bankers .
444 84
027 u ;i Notes and bills re-discounted
19,
o
j j Bills payable
4" 00
, 500
498. 448

76

First National Bank, Hudson.
ROBT. B. SHEPART), 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
j
Bills of other banks
j
Fractional currency
•... j
Specie
j
Legal tender notes
I
U. S. certificates of deposit
j
Due from U. S. Treasurer
'
Total.

W I L L I A M SEYMOUR, Cashier.

$294,113 32 i Capital stock paid in
336 02 !
200, 000 00 | Surplus fund
Other undivided profits
"""25,(100 00'I
2,400 00 j National bank notes outstanding
23,218 51 I State bank notes outstanding
1fi, 095 03 !
8, 500 00 j Dividends unpaid
2, 709 33
4, 289 47
525 00
770 8L
39(3 00
11,324 00
" " M O O 66'

j

$200, 000 00

j
I

32, 500 00
] 0, 787 99

|
;

180, 000 00

i

I

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

162, 543 34

Due to other national banks
Due to State banks and bankers

|
I

Notes and bills re-discounted
Bills payable

!
;

„.

i

598, 677 4J>

Total

598,677 49

12, 724 9L
121 25

Farmers' National Bank, Hudson.
J. W. HOYSRABT, Pr ident.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation.
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid.
Premiums paid
Checks and other cash items
Exchanges for 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.
$411,116 21
407 88
263, 000 00

io. 66o 66"
7, 000 00
19,693 40
36, 655 95
50, 000 00

432 14
5, 827
319
2, 860
13, 063

00
50
94
00

CHAS. C. MACY, Cashier,

Capital stock paid in

$300, G O C
O O

Surplus fund
Other undivided profits

|
I

60,000 00
26, 562 54

National bank notes outstanding

j

235, 370 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

96 00
205, 650 24

4, 532 24

Notes and bills re-discounted.
Bills payable

11, 835 00
832,211 02

Total.

832,211 02

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
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...;
Duo 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.

$338, 791 69 Capital stock paid in
$250,000 00
725 00
250, 000 00 Surplus fund
j . 50, 000 00
Other undivided profits
|
37, 227 27
National bank notes outstanding....
198, 200 00
j
16, 389 76 State bank notes outstanding
5, 556 88 Dividends unpaid
j
20, 000 00
Individual deposits
i
!
United States deposits
Deposits of U. S. disbursing officers..|

J, 432 20
6, 681 00

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

3, 092 00
7, 45L 00
11, 250 00

13,846 33

661,419 53 !

661,419 53

Hi on National Bank, Ilion.
No. 1670.

PHILO "REMINGTON, 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 CJ. S. Treasurer
-

$100, 000 00

$151,448 78 i; Capital stock paid in
879 33
1
100, 000 00 1 Surplus fund
; I Other undivided profits
2, 754 89 ,; National bank notes outstanding
64,711 09 I State bank notes outstanding
2, 127 58 i| Dividends unpaid.
1,730 14
2,152 20

20, 000 00
21,032 57
90, 000 00

' Individual deposits
! United States deposits.
|
i Deposits ot U. S. disbursing officers.. |

401 00 I; Due to other national banks
170 15 I Due to State banks and bankers
Notes and bills re-discounted.
.;! Bills payable .

6, 658 00

|
I

58, 177 59
.
11, 649 02
36, 673 98

"4,566"66"

337,533 16 ji

Total.

DAVID L E W I S , Cashier,

Total .

First National Bank, Ithaca.
D ; BOARD MAN, Vice-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 .




HENRY B. LORD, Cashier.

No. 222.

$346,681 44 | Capital stock paid in .
$250, 000 00
3, 346 69 I
250, 000 00 I Surplus fund
j
50, 000 00
!
2 L, 554 68
56," 666" 66" • IOther undivided profits
|
223, 880 00
2,000 00 ;| National bank rotes outstanding
77,507 18 ' State bank notes outstanding
j
5, 000 43
Dividends unpaid
j
1,641 25
3, 836 38 Individual deposits
I
242, 089 19
1,414 66 United States deposits
!
5, 925 00 : Deposits of U. S. disbursing officers..!I
Due to other national banks
159 21
416 05 Due to State banks and bankers
j
1,364 00
27,300 00 i Not j s and bills re-discounted
j
Bills payable
\
"ii,"250"66"
787, 683 08 j

Total.

787,683 08

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

277

YORK.

Tompkins County National Bank, Ithaca.
No. 1561.

L. L. TREIVTAN, President.

P. J. PARTENHEIMER, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secixre deposits
j
U. S. bonds 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
XT. S. certificates of deposit
Due from U. S. Treasurer
Total.

$283, 089 70 Capital stock paid in.

$250, 000 00

3,380 71.
230,000 00

30, 300
7, 075

12,041
6, 706
23, 044
1,862
16, 120
1, 850

18. 300 00
17, 776 02

Surplus fund
00 | Other undivided profits
29 I National bank notes outstanding . . .
09 I State bank notes outstanding
89 |
86 i Dividends unpaid 10 ! Individual deposits
87 ! United States deposits
,
43 | Deposits of U. S. disbursing officers

205, 400 00
877 00
147, 218 93

2, 191 00 ; Due to other national banks
83! 70 I Due to State banks and bankers
3, 706 35 I
17, 330 00 Notes and bills re-discounted
Bills payable
10, 350 00
640, 870 99

5,574 55
287 77
4, 436 72

Total...,

649, 870 99

First National Bank, Jamestown.
No. 548.

ALONZO KENT, President.

J. E. MAYHEW, Cashier.

Loans and discounts
;
$302, 094 46 isCapital stock paid in
Overdrafts
...I
9, 5'i9 77 jj
U. S. bonds to secure circulation . . . J
155,000 00 :\Surplus fund
U. S. bonds to secure deposits
.[....
j; Other undivided profits
U.S. bonds on hand
!
n
Other stocks, bonds, and mortgages. - i
i| National bank notes outstanding
Due from approved reserve agents... j
15, 417 28 j State bank notes outstanding
Due from other banks and bankers..-!
10, 070 41 |;dividends unpaid
Real estate, furniture, and
fixtures...i
4, 900 00 !
•
Current expenses and taxes paid
|
; Individual deposits
Premiums paid
i
|! United States deposits
Checks and other cash items
I
5,599 50 1 Deposits of U. S. disbursing officers
1
Exchanges for clearing house
!
Bills of other banks..
|
1,490 00 |1Due to other national banks
Fractional currency
j
869 71 ! j
Specie
„
i
3, 05i> 00 jlDue to State banks and bankers
Legal tender notes
j
8, 652 00 | Notes and bills re-discounted
U. S. certificates of deposit
|
|
Due from U. S. Treasurer
j
7, 000 00 i Bills payable
Total.

•|

$153,300 00
30, 660 00
18, 622 62
j
j

137, 370 00
32 00
183,548 82

.
I
j
j
I

523,683 16 j

26 58
123 14

523,683 16

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
IT. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1563.
$388,319 65
7, 653 09
100, 000 00

FRANK B. FARNHAM, Cashier.

Capital stock paid in

!

Surplus fund
Other undivided profits

|
j
i
!
j

" 5,"571 76*jl National bank notes outstanding
42,654 02 IState bank notes outstanding
7.667 15 'I
11,717 45 I!Dividends unpaid
5,331 35 Individual deposits . . .
United States deposits
....j
18,227 79 Deposits of U. S. disbursing officers . i
1, 000 00 i Due to other national banks
150 H !|
850 00 [ Due to State banks and bankers
i
Notes and bills re-discounted.
32,219 00 jjBills payable

\

$100,000 00
20, 000 00
46, 186 73
90, 000 00

368, 537 47

924 90
262 27

" 4*500 56*11
625,911 37

Total.

625,911 37

278

REPORT OF THE COMPTROLLER OF THE CURRENCY.
\T O R K .

NEW

City National Bank, Jamestown,
No. nrss.

WM. H. TEW, President.

E. W. STEPHENS, Cashier.

Resources.

Liabilities. .
$136,351 86 Capital stock paid in
j
10,891 44 I
94, 500 00 j Surplus fund
Other undivided profits
! National bank notes outstanding
14,438 95 Stare bank notes outstanding
3. 302 87
3, 437 78 Dividends unpaid .
1,7-26 77 Individual deposits
United States deposits
1, 018 59 Deposits of (J. 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 .
Reai estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 832 00 ! Due to other national banks
45:2 06 Due to State bauks and bankers
7, 000 00 Notes and bills re-discounted.
Bills payable
""6* 150 65":
288, 122 32

Total.

$100, 000 00
18,000 00
12, 300 23
85, 000 00

71,119 53

1, 702 56

.

288, 122 32

Total.

Keeseville National Bank, Keeseville.
No. 1753.

EDMUND KINGSLAND, President.

Loans and discounts
O ve rdrafts
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
Due from U. S. Treasurer

$128, 208 8L ,! Capital stock paid in
14 7L
89, 000 00 I Surplus fund
Other undivided p r o f i t s . .
"50 00'
National b a n k n o t e s outstanding
1, 000 00
State b a n k notes outstanding
20 333 74
1 37
870 41 i Dividends unpaid
1 U ; Individual deposits
O

|

$100,000 00
5,000 00
7, 00L 17
79,960 00

\

I
i United States deposits
j
j Deposits of U. S. disbursing officers.. j

1, 9 i u 00 ! Due TO other national b a n k s
59 9'» I D u e to State banks and bankers .
745 65
3, 7-^0 00
Notes and bills re-discounted
4, 800 (JO Bills payable
14. 535 81

Marglar>jaccount
Total

G. II. CLEAVES, Cashier

462 90

j
..1

Total.

I

78, 834

271,258 07

National Bank, Kinderhook.
R. MESICK, 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 . 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
\
:
S pecie
Legal tender notes
U. S. certificates of deposit
Due from U. 8. Treasurer
Tatal.




No. 1026.

J. J. VAN SCHAACK, Cashier.

$321,856 78 Capital stock paid in
419 23
254, 000 0U Surplus fund
Other undivided profits
5, 427 27 ;i National bank notes outstanding
|
outstan
bk
dig
12 177 34 ! State bank notes outstanding

50, 000 00
10, 362 96
j
j.

4, 490 00

16

I Individual deposits
•; I United States deposits
15, 008 60 j Deposits of U. S. disbursing officers.
997 0!)
6H9 53
712 90
3,118 00
11,250 00
638,545 30

Due to other national banks
Due to State banks and bankers
I Notes and bills re-discounted
Bills pavable

I

Total

221,965 00

I

dividends unpaid

9',70() 00
947

$250, 000 00

101, 173 52

j
j
j
j
i

336 36
217 46

638,545 30

REPORT OF THE COMPTROLLER OF THE CURRENCY.
1 J W
¥ E

2 79

V O It K .

National Lnion Kank, I£i:ideriiook.
W M . II. TO«KY,

W M . IT. KAINKY, Cashier.

President

Liabilities.

Resources.
m 1 on Us

4
U\t
x\ * X «. b u
( i
i l i + ioi
1 T S t)M 1
t a i m [ic i
r s >
*o i i
1
O U t r ^ > is u
u ' rnoi o

I>u. t > n
P i fi i
I t i t m

:

.......
....•
*es

,, n . H
M i^nts...
< i , ii k i i b m i i r s . . .
i i
M
ti ht
*-8...'

^ r
'
- ^
Pi n i i n « t , u
Cti
m o M 'c^

^ ^ < '• 1

l t.1 i

B i h ot o ' i t
k-, . .
Vi i t o n ^ i c IIILUCN
<^p u t .
..
.I c q U U ! ( < i n t( s
^ S ( J i i n ( > 1( i)< M ^
Da
m i l S liei
i i

-f 3:\], K^ 1')
l u - T)
2 1 i, i ) l ) l ) l ' l )
..

'

^

178, 100 00
4, 894 00

* o n a i HtOi\ iiotes o u t s t a n d i n g

^

7.U,VHl,v..d.ros,fH
i r n r >d ^ ' ii< tU >o:'U
l>e
o' V. S disbursing

officers..1

•>,!,{))
) u ^ ro o t l i d n i t i o n a l b a n k s
2 T J •>) D u e t o M a t e b a i k s a n d b a n k e r s
4 H. ' " )
2 , 8 >c OJ , \ i i>tfM a n n b i ' l * i - d i s c o u n t e d
' »ii.irt p a \ . i b i e
0,(100 0 1
,
'

10

1,630 00
131,838 72

r

nA,2^

Total

40, 000 00
55, 568 44

State bank m / e s outstanding . .
,#i ,
,
n
ll
"'

!.(CJ10
....
....'.
!
.!
.;
|

$200, 000 00

nr,,]a'lni.il
O t h " r uii(L\.d d profits . . . . . .

\
. M l " ;
t' • 4i'» " 7
7 it)t) (h1
'

;

Ci'pJt.il stoi lc paid in
y

|
'
i
j
I
|

Total.

797 09
36'9 8 5

613. 228 10

Kingston National Bank, Kingston.
No. 1149.

11. BERXARD. President.

Loans and discounts
.-I
Overdrafts
j
U. S. bonds to neeure circulation
!
U. S. bonds to secure deposits
U
U. S. bonds on hand
L
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.. -. j .
Bills of other banks
..!
Fractional currency
Specie
*
j
Legal tender notes
,
i
U. S. certificates of deposit
I.
Due from U. S. Treasurer
..-..!

$187, 73 L 34 j Capital stock paid in
616 84 |!
150, 000 00 ; Surplus fund
Other undivided profits -

I
j
j

2, 500 00 j! National bank notes outstanding
1 State bank notes outstanding
1
l?'000 00 I' D i y i d e n ^ s unpaid

j

!
j

$ L50, 000 00
19, 837 27
4, 553 18
133, 200 00
6, 475 00

|

108 00

deposits
I|
|
2, 392 08 I. United States deposits
9, 872 32 j| Deposits of U. S. disbursing officers..!

59, 533 88

4

(: T n d i v i d n a l

417
525
1,924
2, 570

00 I Due to other national banks
,
61 I Due to State banks and bankers . . .
30 j;
|
00 1 Notes and bills re-discounted
1
[
I! Bills payable
I
6,750 00 I
|
382,479 17 \\

Total..

N. E. BRODHEAD, Cashier.

-I

Total.

8,741 84
-

332,479 17

National Ulster County Bank, Kingston.
W M . H. FINCH, Cashier.

C. D. BRUYN, President.

Loans and discounts
,
Overdrafts .
17. S. bonds to secure circulation
U. S. bonds to secure deposits U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bunkers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid....
Premiums paid
Checks and oth^r cash items
Exchanges 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

$150, 000 00

Surplus fund
I
Other undivided profits . .
|
"l1*600 00 !
National bank notes outstanding
j
I
30, 904 85 ! State bank notes outstanding . . .
20,441 18 | Dividends unprid
!
7, fO 00
iO
3;, 557 00 Individual d^prsits
»...,..
l"mt<Ml vStai'-s deposits
7, 050 10 ; Depo, its of U. S. disbursing officers.. j

40, 000 00
4, 309 08
124, 675 00
„

$191,898 62 i
291 0L
150, 000 G ;
O
,
i

Capital stock paid in

3, 145 00 Due to other national banks . . . .
140 23 Due to State banks and bankers
4, 258 00
2, 517 00 Notes and bills re-discounted
Bills payable.
6, 750 00 I

446,769 8L I

Total.

192 00
125,545 51

1,

|
j
446,769 81

280

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

TO KM.

State of New York National Bank, Kingston.
ELIJAH DU BOTS, President.

No. 955.

F . A. W A T E R S , Cashier.

Resources.

Liabilities.

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 oth^r 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
j
Fractional currency
;
Specie
\
Leg-.il tender notes..
1
IT. S. certificates of deposit
j
Due from U. S. Treasurer
.,
Total.

$252,511 44 Capital stock paid in
998 43 '
223,000 00 : Surplus fund.
Other undivided profits
3,083 35
4 0°fi 43

$225, 000 00
45, 000 00
5, 434 52

National bank notes outstanding
State bauk notes o u t s t a n d i n g . . . . . . . .

191,085 00
3,740 00

-J

258 00

2, 740 19 i I r ,d i v idual deposits
j
; U tilted 8 tates deposits
9,927 12 ;| Deposits of U. S. disbursing officers

71,295 87

23; 0H0 00

Dividends unpaid

2, 164 67
641 72

1, 742
190
18!)
8, 595

00 \\ Due to other national banks
83 [\ Due to State banks and bankers
oo ;
00 i' Notes and bills re-discounted
Bills payable
9,585 00 :!
544,61.9 78

First National Bank, Le Roy.
No. 937.

WM. LAMF'SOV, Preside/

Loans and discounts
j
Overdraft*
i
U. 8. bonds to secure circulation
;
U. S. bonds to secure deposits
U. 8. b(m is on hand.
'•
Other stocks, bonds, and mortgages, .i
Due from approved reserve agents.. J
Due !rom other banks and bankers.. 1
Real Hstjite, furniture, and fixtures ..j
Current expenses and taxes paid
Premium* paid
'•
Che.'ks and other cai~h items
j
Exci!'.n.'j^s for clcarlag house
j
Bill* of" wtljyir biiidw. . !
Fr.i.cti'iual currency
i
Si
!
Lec?d n»ii.-iHr notes
U. S e r f incites of deposit
Due from U. 8. Treasurer

B U T L E R W A R P , Cashier.

$288,471 2") \\ Capital stock paid in
!
(i, 785 91 !!
j
15i), O'JUOO ; Surplus fund
,...j
Othor undivided profits
4'), 000 C ;
O
3(3,318 25 ;. National bank notes outstanding . . . . |
-.., p.->, ,,(- ' State bauk notes o u t s t a n d i n g . . . . . . . !
l! 103 05 I' Div : j
J
0))(0
\ I >< 47
•
U u

,19" >
JO) 0 )

]J

33,717 63
39, 092 45
134,960 00
~

2)2,343 50

d
I ^

$150,000 00

t

P ->! > Ul

J),
) i

f w ' i ]
to ^

*

1 I U I

J-* 0)

)) 0)
560, 113 58 ii

Total.

Herkimer County National Bank, Little Falls.
A. G-. STOKY, President.

No. 1344,

Loans and discounts
;
Overdrafts
\
U. S. (>omls to secure circulation
j
U. 8. bonds to secure deposits
;..
U. S. bonds on hand.
i
Other stocks, bonds, and mortgages., j
Dut- from approved reserve agents... i
Due from other banks and bankers.. 1
Iteal c-statM, furniture, and fixtures...!
Current expenses and taxes paid
•
Premiums paid
j . .
Checks and other cash items
j
Excisangcs for clearing house
\,.
Bills of other banks..
j
Fractional currency
!
Specie
..|
Legal tender notes
!
X S. certificates of deposit
L
j
Due from U. S. Treasurer
i
Total.




I

$109, •86 23 !i
3, 059 30
201, 800 00 ii
'
I. 000 00
!,7(i3 10
1C9, 160 Oil
30, 117 58 J;
5i;0 00
643 19
2, 154 24
8,109
1, 255
800
20 J00
i f , 000
9. 040

W. G. MlLLfGAN, Cashier.

Capital stock paid in
Surplus fund.
Other undivided profits

$200,000 00
I
j

National b a n k notes outstanding
j
State b a n k n o t e s outstanding
»...!
Dividends unpaid .
Individual deposits
United States deposits
Dcposity of U. S. disbursing officers..

00 I D u e to other national b a n k s
69 i D u e to State b a n k s and b a n k e r s
00
no I1 Note? and bills re-discounted
00 ' Bills payable
00
Total.

4 { \ 000 00
26,927 05
179, 800 00
—
190 73
444,012 (iO

3 .Q38 17
"2-M Si

894, 993 38

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

281

YOKR.

First National Bank, Lockport.
No. 211.

GEO. W. BO VVEN, President.

H. W. HELMER, 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, aud mortgages.

$306,618 88
1,337 12
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
..

89, 380
1, 463
3, 286
5,287

0>
07
91
71

545 91

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
IT. S. certiiicates of deposit
Due from U. S. Treasurer

J 504 00
,
218 2L
332 50
8,800 00
2 850

bb

Capital stock paid in

35,200 00
5,107 85

National bank notes outstanding
State bank notes outstanding

45,000 00
512 00

Dividends unpaid .
Individual deposits
I
United S-ates 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, 426 50

j
|
j

416 33
95 63
19, 875 00

Total.

421, 634 31

Total.

$150, 000 00

.

Surplus fund
Other undivided profits -

421,634 31

National Exchange Bank, Lockport.
No. 1039.

L. F. Bo WEN, President.
Loans and discounts
.1
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...j
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 .
IT. S. • title
Due from U. S. Treasurer.

-.. j
j,
!
•
;

Total.

M. A. NICHOLLS, Cashier.

$221, 553 98 '•• \ Capital stock paid in
331 98 !||
150, 000 00 : i Surplus fund
. . . ' ! Other undivided profits

j
|

$150, 000 00
•

j
i

30, 000 00
25,081 2i)

14728 5 0 ; | National bank notes outstanding
o> ooa 13 ''} State bank notes outstanding

|
I.

135,000 00

13, 0W 00 I ^ v i d e n d s unpaid

j.

3) 8 [ 9 8 8

! Individual deposits
I
. . . . . . . . . . . | united States deposits
I
720 08 ! Deposits of U. S. disbursing officers.. I

122, 833 45

2, 950
830
345
21, 041

O) , Due to other national banks . . . . .
f
92 'i Due to Stnte bank;; and bankers .
7!) •.
00 i Notes and bills re-c'ii^couuted
Jills p-iya
7,750 00

4ii2, 954 74

Total.....

;

462, 954 74

Niagara County National Bank, Lockport.
J. It. COMPTON, Cashier.

T. T. FLAGLER, President.
Loans and discounts
J
Overdrafts
'
U. S. boads to secure circulation
j
17. S. bonds to t-secure deposits
!..
U. S. bonds on hand
J..
Other stocks, bunds, and mortgages.. j

$334, 529
1,117
50.. 000
'

Due from approved reserve agents... j
Due from other banks and bankers ..j
Real estate, furniture, and fixtures. ..j
Current expenses and taxes paid
.|
Premiums paid
,
j..

19,292
876
2, 823
3, 493

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.




42 j! Capital stock paid in.
63 I
00 ! j Surplus, fund.
. . . l | Other undivided profits

4,107 64 ! I National bank notes outstanding
57 !i State bank notes outstanding

j
S
j
|

$150, 000 00

[
,,

45, 000 00

73 '
Dividends unpaid.
50
23
Individual deposits
United Stales deposits
Deposits of U. S. disbursing officers..
4,136 00

-I.
1, 730
177
194
11,651

00
34
00
00

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

34, 000 00
16,026 07

163, 546 70

759 55
187 14
27,259 60

% 650 00
436, 779 06

Total.

436,779 06

282

IlEPORT OF THE COMPTROLLER OF THE CURRENCY.
N S3 W ¥ O II K .
Fiist National Bank, Lowville.
No. 318

GHAS. D. BOSHART, President.

Will, McCuLLOCK, Cashier

Resources.

Liabilities.

Loans and discounts
Overdrafts
IT. » bonds to secure circulation
S
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and martages . . .
Dne from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures . .
Current e x p e r t s and taxes paid . . . .
1 reminds paid
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
Total

i

$[-27, 210 10
451 74
50, 000 00
3, 500
73,409
290
8,500
825
8, '229

Capital stock paid in

.....!
!
j
;
|
00 National bank notes outstanding
!
89 ': State bank notes outstanding
j
67 r\; • i i
-i
1
00 Divi-lend* unpaid
;
2J : I n d i v k l n a l d e p O H i t g
\
United States deposits
!
66 Deposits of U. S. disbursing officers.

$30, 000 00

Surplus fund
Other undivided p r o f i t s . . . . . .

422
107
937
13,100

00 ; Due to other national banks
25 ! Due to State banks and bankers
50 j
00 \ Notes and bills re-discounted.
;
Bills payable
...
2,219 50 •!
"

289,263 51

Total

j
!
I
|
\
|
..|

6, 400 00
4, 548 66
44, 990 00

m

m 64

430 7L
210 50
,
20,000 00
289,263 51

Lyons National Bank, Lyons.
No. 1027.

D. W. PARSHALL President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
II. S. bonds to secure deposits
,
U. S. bonds on hand
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
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
IT. S. certificates of deposit
Due from U. S. Treasurer

,

$170, 237 48
3, 007 49
106, 000 00
5,177
19, 076
259
43, 000

:

Capital stock paid in..,.

...l'

$100,000 00

j
j

15,032 40
3,144 61

'
;

90, 000 00

Surplus fund
Other undivided profits

95
National bank notes outstanding
91 State bank notes outstanding
97
00 ' Dividends unpaid

j
|.

2,450 00 !: Individual deposits
j
4, 179 17
Unite.' States deposits.
|,
Deposits of U. S. disbursing officers..I
85 00
Duo to other national banks
Due to State banks and bankers
107 50
4, 710 0') Notes and bills re-discounted
10,000 00
Bills payable
374, 493 7.")

Total.

M. C. TUCKER, Cashier.

Total.

141,667 20

24, 569 27
374, 493 75

Farmers' National Bank, Malone.
I>. W

LAWRENCE,

President.

Loans and discounts
.'•
Overdrafts
U. S. bonds to semir? circulation
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
\
Premiums paid
|
Checks and other cash items
!
Exchanges for clearing house
Bills of other banks
Fractional currency
j
8pecie
i
Legal tender notes
I
IT. S. certificates of deposit
j
D ue from U . S . Treasurer
I
Total.




No. 598.

Wai.

F. C R E E D , Cashier.

$199, 048 37 ! Capital stock paid in50 91 ;
100, 000 00 .Surplus fund
Other undivided profits.
:
-.;
; National bank notes outstanding.
State bank notes outstanding.
15, 400 87
1,450 52
Dividends unpaid
1, 056 38
Individual deposits
626 06
United States deposits.
2,529 79
'' Deposits of U. S. disbursing officers..
5, 328 00
365 64
14,706 51
10, 000 00

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

$150,000 00
1S, 000 00
7, 393 45
81. 300 00
90 00
96,320 14

959 49
1, 000 00

4, 500 00
355,063 08

Total .

355, 063 08

REPORT OF THE COMPTROLLER OF THE CURRENCY. 283
NEW

Y O K K.

National Bank, Malone.
No. 914.

S. LAWRENCE, President.

GEORGE HAWKINS, 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 . . . 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

.'. j
j
|
j
,.|
j
j
j

$366,365 94 |, Capital stock paid in.
795 30 |
112,500 00 || Surplus fund
Other undivided profits

32,500 00
16,125 84

National bank notes outstanding
14, 13 L 33 State bank notes outstanding
10,989 J4
8,1)00 00 Dividends unpaid .
3, 335 53
Individual deposits
- ..
" I United States deposits
7, 899 40 | Deposits of U. S. disbursing officers.

93, 250 00
100 00
207,351 55

6, 618 00 : Due to other national banks
25 ji Due to State banks and bankers .
620 00 I
14,500 00 |;Notes and bills re-discounted .
Bills payable
5, 062 50
550,817 39

Total.

$200, 000 00

1, 490 00
550,817 69

Total.

First National Bank, Middletown.
W. L. GRAHAM, Cashier.

W M . B. ROYCE, 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..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

$234, 656 46
800 78
100, 000 00
10, 000 00
25, 864 84
16, 077 07
6, 159 42
1,382 59
2,748 41
3,787 50
16,271 19
1,619
260
500
13, 700

00
18
00
00

"4,500" bo

Capital stock paid in.

20, 500 00
5, 839 22

National bank notes outstanding
State bank notes outstanding

90, 000 00

Dividends unpaid .

332 00

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

5, 979 30

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

5,676 92

Notes and bills re-discounted
Bills payable

438,327 44

Total.

$100, 000 00

Surplus fund
Other undivided profits

438,327 44

Total.

Middletown National Bank, Middletown.
THOMAS KING, President.

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

Total.

EL Ex. 3- -15




No. 1276.

$337,208 65
3, 325 27
200, 000 00
50, 000 00

DANIEL CORWIN, Cashier.

Capital stock paid in

33,629 97
44, 904 52

|

178, 000 00

Individual deposits . T
!
United States deposits
j
Deposits of U. S. disbursing officers. J

266, 962 68
22, 230 45
400 98

27, 406 36 | National bank notes outstanding
State bank notes outstanding
16, 467 98
4,343 40
65, 0(15 72 Dividends unpaid
1, 856 99
12, 640 00
2, 709 00

1,560 00
Due to other national banks
Due to State banks and bankers .
1, 986 42
15, 000 00 j Notes and bills re-discounted.
| Bills payable
9, 000 00 I
748, 509 79

$200, 000 00
!
|

Surplus fund
Other undivided profits .

Total.

1, 505 00

876 19

748, 509 79

284

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MEW

YORK.

National Mohawk Valley Bank, Mohawk.
DEAN BURGESS, President.

No. 1130.

H. D. ALEXANDER, Cashier,

Resources.

Liabilities.

Loang 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... j
Due from other banks and bankers . . |
Real estate, furniture, and fixtures...!
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
Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer

'•
i
|

$150,000 00

$266, 023 12 Capital stock paid in
1, 175 24
110,000 00 j Surplus fund
Other undivided profits .
3, 700 00
4, 699 97
6, 668 81

40, 000 00
14, 285 82

National bank notes outstanding
State bank notes outstanding

{
j.

98, 000 00
75 00

r- J-MO n o I u i v i u i - i m a u u ^ a i u . - - , ,

2,306 09 | I n d i v i d n a , d pp O s i t s . . . .
! United States deposits
577 93 ! Deposits of U. S. disbursing officers.
4, 8! 8
805
930
15, 000

124,932 28

00 I Due to other national banks
75 I Due to State banks and bankers .
35 |
00 Notes and bills re-discounted.
Bills payal

Total

Total

981 14

428,274 24

National Union Bank, Monticello.
No. 1503.

A. 0. NlVEN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand...
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid- . -Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
...
U. S. certificates of deposit
Due from U. S. Treasurer

$121, 336 29
"" 125, 000 00

P. TREMAIN,

Capital stock paid in

Cashier.

$150,000 00

Surplus fund
Other undivided profits .

4, 648 52
9,226 18

25,000 00
National bank notes outstanding . .
State bank notes outstanding

110, 930 00

1, 079 96
1,968 75
1, 196 72

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

48, 999 86

3, 109 00

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

20, 087 05
144 50
Dividends unpaid
4,449 85 ;

882 44
10,925 00
5,"625 (V)"

Notes and bills re-discounted
Bills payable
Total

323,804 56

Total

I.

323, 804 56

First National Bank, Moravia.
No. 99.

H. H. TUTHIL7,, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents .
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid . . .
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




97
514 24
00

$192,839

80, 000

io6
o 6
0t
;
4, 34 1 88
193 68
176 12
6/2 79

2, 500

723 39
..

150 00
232 5")
250 00
11,406 U
0

LEANDER F I T T S , Cashier.

Capital stock paid in .

$80, 000 00

Surplus fund
Other undivided profits

20, 800 00
9, 595 46

National bank notes outstanding
State bank notes outstanding

70, 855 00

Dividends unpaid
Individual deposits
United Statts 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

110, 120 18

996 03
5, 333 95

" 3, 600 00"
297, 700 62

Total

297, 700 62

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

285

YORK.

Moravia National Bank, Moravia.
8. E D W I N

No. 2353.

DAY, President.

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 approved reserve agents .
Due from other banks and bankers .
Real estate, furniture, and fixtures-.
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. T H O M A S , Cashier.

Liabilities.

Resources.

$34, 56 L 76 Capital stock paid in.
350 00 I
50, 000 00 Ij Surplus fund
Other undivided profits

$50, 000 00
\

National bank notes outstanding
8, 389 06 I State bank notes outstanding .

2, 000 55
42,100 00

Dividends unpaid

3, 679
352
3, 854
10, 505 00

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

500
56
250

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

8;JO

19,827 96

Notes and bills re-discounted.
Bills payable

446
Total

113,928

Total

113,928 51

First National Bank, Morrisville.
A. M. HOLMES, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and 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 .
Due from U. S. Treasurer...

No. 245.

L. D. DANA, Cashier.

Capital stock paid in

$100,000 00

Surplus fund
Other undivided profits
2,200 00
9, 557 33
3, 588 25
5, 449 00
2,025 81
412 35

15, 105 00
5,244 09

National bank notes outstanding
State bank notes outstanding

89, 955 00

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

48, 397 89

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

Total

258, 799 53

Genesee River National Bank, Mount Morris.
H. P. MILLS, President.

No. 1416.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..}

$140,033 34
1,478 66
50, 000 00

Due from approved reserve agents-..j
Due from other banks and bankers . .
Real estate, furniture, and fixtures-..
Current expenses and taxes paid
Premiums paid

19, 022 44
1,015 47
30,827 24
1,576 03

Checks and other cash items
Exchanges 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, 443 51
602
840
250
17, 205

00
35
00
00

H. E. BROWN, Cashier.

Capital stock paid in
Surplus fund
Other undivided profits

$50, 000 00
•

National bank notes outstanding
State bank notes outstanding

10, 000 00
11,718 74
45, 000 00

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

148, 035 54

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

2,250 00
266,544 04

Total.

266,544 04

286

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

Y O K K .

First National Bank, Newark.
FLETCHER WILLIAMS, President.

No. 349.

BYRON 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
Total.

$48,661 26 i Capital stock paid in .
1,841 28
56, 500 00 ! Surplus fund
I
."10,600*00* i Other undivided profits..
I National bank notes outstanding
5, 096 34 [ State bank notes outstanding . . . . . . .
333 44
4,000 00 Dividends unpaid .
i Individual deposits
1,149 75 | United States deposits
805 10 I Deposits of U. S. disbursing officers.

$50, 000 00
10, 000 00
1,213 93
50,000 00
55 00
24, 834 83

1,122 00 I Due to other national banks
4 59 ! Due to State banks and bankers .
390 00
2, 700 00 Notes and bills re-discounted.
Bills payable
.
3,500 00
Total.

136, 103 76

136,103 76

Highland National Bank, Newburgh.
ALFRED POST, President.

No. 1106.

Loans and discounts
i
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
j
Premiums paid
I
Checks and other cash items
j
Exchanges for clearing house
j.
Bills of other banks
j
Fractional currency
|
Specie
i
Legal tender notes
-. I
U. S. certificates of deposit
j.
Due from U. 8. Treasurer
j

M. C. BELKNAP, Cashier.

$541,847 79 Capital stock paid in.
29 06
450, 000 00 i Surplus fund
I Other undivided profits
50,000 Oi)
40, 895 00 j National bank notes outstanding
j
55, 543 89 State bank notes outstanding
44, 404 28
14,841 25 Dividends unpaid .
5, 220 52 Individual deposits
3,581 25 United States deposits
2, 872 38
Deposits of U. S. disbursing officers.
2, 530 00
354 16
1,958 00
9, 078 00

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

90, 000 00
66, 056 84
402, 000 00

644 00
226,293 21
7, 953 44
458 09

20, 250 00
, 243, 405 58

Total.

$450, 000 00

1, 243, 405 58

National Bank, Newburgh.
GEO. W. KERR, 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 . .
Rue from approved reserve agents...
Due from other banks and bankers ..
Deal estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 468.

J. J. S. MCCROSKERY, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$800, 000 00
121,306 02
136, 588 10
593, 965 00

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

325, 597 55

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

5, 295 50
1,151 37

Notes and bills re-discounted
Bills payable
Total

1, 983, 903 54

REPORT OF THE COMPTROLLER OF THE CURRENCY. 287
NEW

YORK.

Quassaick National Bank, Newburgh.
No. 1213.

I. K. OAKLEY, President.

J . N. W E E D , 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

Liabilities.
$357, 026 84 Capital stock paid in
123 48
300, 01)0 00 I Surplus fund
Other undivided profits
65,000 00 |
I, 800 00
National bank notes outstanding
64,035 01 j State bank notes outstanding

26, 526 33
25, 603 38
2,8-H 53
8,800 17
1,069 31
784 00
1,021 90
3, 679 45
34, 377 00

j

i

$300, 000 00
60,000 00
22,428 09

j
j

268, 000 00

i

Dividends unpaid

!

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

|
j

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

|

1, 2*27 20
242, 590 66

11, 932 45

Notes and bills re-discounted
Bills payable

13,500 00

Total.

906, 178

Total.

906, L78 40

National Bank, Newport.
No. 1655.

Gr. H. THOMAS, President.

Loans and discounts
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

$76, 896 95
91 61
52, 500 00
li*9Oi)'()6"
11,943 99
12, 191 28
33-2 88
13,307 05
704 17
955 25
141 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

1,988
20
199
3, 400

J. T. WOOSTER Cashier.
$50,000 00

Capital stock paid in.
Surplus fund
Other undivided profits

10, 000 00
11,704 95

National bank notes outstanding
State bank notes outstanding

45, 000 00

Dividends unpaid .
74,016 71

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

00
48
00
00

Notes and bills re-discounted.
Bills payable

4, 150 00

Total

190, 72 L 66

190,721 66

First National Bank, New Berlin.
No. 151.

S. L. MORGAN, President.

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




$105, 150 19
100, 000
..
4,500
17,98')
jo 7,7

J O H N T. W H I T E , Cast

Capital stock paid in

-

...I

$100, 000 00

|
I
!
|
'

20, 000 00
6, 491 37

00 j Surplus iund
Other undivided profits
C ;|
O
43 j National bank notes outstanding
QJ I State bank notes outstanding . .

l', 318 99
2,80:! (10

i

Dividends unpaid

..

V->n» fiT i ^dividual deposits
4, ..ub tu | l J n i r o d states deposits
2,489 67 ; Deposits of U. S. disbursing officers.
57 00
19 17

88,300 00
80 00
59,299 71

Dae to other national banks . .
Due to State banks and banker.'!

1,377 K4 !

9, 300 00

Notes and bills re-discounted
Bills payable

4, 500 00 |
"^74,271 08 |

Total

274,271 08

288

REPORT OF THE COMPTROLLER OF THE CURRENCY.
WEW

YORK.

Huguenot National Bank, New Paltz.
No. 1186.

J A C O B LEFEVER, President.

CHAS. W. D E Y O , 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. certificate* of deposit
Due from U. S. Treasurer

$100, 000 00

$104,570 62
Capital stock paid in .
291 69
100, 000 00
Surplus fund
Other undivided profits

333 33
10,765 24

i
9, 350 00 i National bank notes outstanding
I,
69 'i State bank notes outstanding
77 j
Dividends unpaid .
00 i!
63 p
Individual deposits
;
United States deposits.
.....
564 29 i Deposits of U. S. disbursing officers.

22,647
4, 108
10,000
1,410

4,203 00
176 70
686 (56
4, 875 00

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

88, 585 00

67,349 12

552 36

Notes and bills re discounted .
Bills payable

4,500 00
267, 585 05

267, 585 05

Total .

First National Bank, New York.
GEO.

No. 29.

F . 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..
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.

E. SCOFIELD, Cashier.

$500,000 00

$3,577,872 10 j Capital stock paid in
20,180 33 !
500,000 00 ! Surplus fund
. . ; Other undivided profits

500, 000 00
236, 678 06

554,250 00
611,354 64 National bank notes outstanding

331, 000 00

State, bank notes outstanding
963,749 60

Dividends unpaid.

3, 390 00

Individual deposits
1,752,054 43
47,407 05 I
I States deposits
53, ''83 00 | Deposits of U. S. disbursing officers..
933, 093 35
974 00
Due TO other national banks
{ 5, 313, 044 29
Due to State banks and bankers
I 1, 035, 357 44
820, 310 15
I
129,000 00
Notes and bills re-discounted
I
1,380, 00U 00 Bills payable
......
32,250 00

Total

9,671,524 22

9,671,524 22

Second National Bank, New York.
A. H. T R O W B R I D G E , President.

Loans KP-1 discounts
Overdrn rrs
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents. .
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 62.

O. D. ROBERTS, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits. .
151,052 20
43. 287 25

National bank notes outstanding
State bank notes outstanding

$300, 000 00
60,000 00
8, 901 81
269, 940 00

Dividends unpaid.

569 53
35, 000 00

Individual deposits
United States deposits
9,062 36 Deposits of U. S. disbursing officers.
195, 724 46
46, 665 00 Due to other national banks
Due to State banks and bankers .

1, 888, 665 66
30, 000 00
5,162 43

Notes and bills re-discounted.
Bills payable
2, 562, 669 90

Total.

2, 562, 669 90

REPORT OF THE COMPTROLLER OF THE CURRENCY.
N E W

289

YORK.

Third National Bank, New York.
No. 87.

J. F. D. LANIER, President.

C. N. JORDAN, 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

$3, 764, 976 43 Capital stock paid in.
156 8L
56, 000 00 Surplus fund
Other undivided profits
368, 933 50 National bank notes outstanding
State bank notes outstanding
802, 212 52 Dividends unpaid .

$1,000,000 00
200, 000 00
37, 015 77
49, 350 00
300 00

40, 092 51
114,792 36 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
1,313,925 22
16,042 00 Due to other national banks
3, 962 34 Due to State banks and bankers
399, 116 02
216,334 00 Notes and bills re-discounted.
755, (J00 00 Bills payable
2, 600 00
8, 765,143 71

Total

2, 594, 365 37

8, 765,143 71

Total.

4, 367, 262 21
516, 850 36

Fourth National Bank, New York.
P. C. CALHOUN, President.

No. 290.

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

111,701,917 69
8,458 69
1, 175, 000 00
150, 000 00
270, 000 00
206, 8(i0 00

$3, 750, 000 0Q

Capital stock paid in.

713, 750 00
263, 058 39

Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

1, 044,120 00

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

7, 293, 524 64
77,435 62

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

8, 459, 976 66
400, 266 74

.j 22,015, 137 65

Total.

ANTHONY LANE, Cashier.

13, 005 60

22, 015,137 65

Total.

Fifth National Bank, New York.
RICHARD KELLY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
.
U S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
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. 341.
$437,954 61
1,332 26

117,500 00
14,500 00
37, 579 93
103, 810 94
4, 985 02
50, 748 11
14, 886 00
187 29
66, 375 00
94, 607 00

A. THOMPSON, 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

$150, 000 00
61, 000 00
16 20
105, 500 00
4,135 00
597, 570 71

33, 319 25

7, 075 00
951,541 16

Total.

951,541 16

290

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

Sixth National Bank, New York.
A. E. COLSON, Cashier.

FRANCIS LELAND, President.

Resources.

Liabilities.

Loans and discounts
j
Overdrafts
!
<l
U. S. bonds to secure circulation
U. 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 . . . . 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

$223, 937 30 Capital stock paid in
214 07
214, 500 00 Surplus fund
0ther undivided profits
100, 000 00
261, 503 16 National bank notes outstanding
~
State bank notes outstanding
140, 058 21
4, 025 00 Dividends unpaid
21,912 15
7, 284 38 Individual deposits
3,168 45 United States deposits
50, 791 70
14,981 00 Deposits of U. S. disbursing officers.
1, 0.)0 90 Due to other national banks
8, 137 55 Due to State banks and bankers
173, 266 00 Notes and bills re-discounted
Bills payable
9, 650 00
1,234,429 87

Total

$200, 000 00
40, 000 00
22, 337 77
193, 000 00

779, 092 10

1,234,429 87

Ninth National Bank, N e w York.
No. 387.

JOHN T. HILL, President.

H. H. NAZRO, Cashier.

Loans and discounts
$3, 865, 179 68 Capital stock paid in.
$1,500,000 00
Overdrafts
1,721 32
U. S. bonds to secure circulation
i
800, U00 00 Surplus fund
U. S. bonds to secure deposits..
\
56,431 06
Other undivided profits!.
U. S. bonds on hand
2,300 00
Other stocks, bonds, and mortgages. J
423,323 19 National bank notes outstanding
717,000 00
State bank notes outstanding
Due from approved reserve agents.. \
Due from other banks and bankers ..
939, 434 79 Dividends unpaid .
165 00
Real estate, furniture, and fixtures ..;
504 500 00
Current expenses and taxes paid
j
18, 495 75 Individual deposits
2, 883, 603 94
Premiums paid
j
65,774 92 United States deposits
Checks and other cash items
|
831 82 Deposits of U. S. disbursing officers..
Exchanges for clearing house
838, 478 95
Bills of other banks
i
-. Due to other national banks
2, 566, 496 19
Fractional currency
'
671 25
1, 126,624 48
Specie
j
110,427 00 Due to State banks and bankers
Legal tender notes
i
349,182 00 Notes and bills re-discounted.
U. S. certificates of deposit
'
890, 000 00 Bills payable
Due from U. S. Treasurer
;
40, 000 00
Total

I

8,850,320 67

Total

8,850,320 67

Tenth National Bank, N e w York.
G-EO. ACKEFMAN, President.

No. 307.

Loans and discounts
I
Overdrafts
j
U. S. bonds to secure circulation
!
U. S. bonds to secure deposits
j
U. S. bonds on hand
i
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
j
:
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
Totai.




I

E D W . A. BLISS, AcVg Cashier.

$765, 643 68 Capital stock paid in
500, O'JO 00 Surplus fund
Other undivided profits
20, 458 74 National bank notes outstanding
State, ban k notes outstanding
32, 724 15 Dividends unpaid
13,310 00
13,936 30
53, 625 00 Individual deposits
United States deposits
237 42 Deposits of U. S. disbursing officers.
131,71174
670 00 Dae toother national banks
Due to Sta e banks and bankers
11,786 15
15,596 00 Notes and bills re-discounted.
105, 000 00 Bills payable
28, 300 00
1,692,999 18

Total

$500, 000 00
30, 948 75
448, 247 00
740 00
405, 989 76
174, 138 52
132, 935 15

1,692,999 18

291

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

American Exchange National Bank, N e w York.
GEO. S. COE, President.

No. 1394.

EDMOND WlLLSON, Cashier.
Liabilities.

Resources.
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

$10,412,061 97 ! Capital stock paid in
8,890 67 I
500, 000 00 | j Surplusfund
! Other undivided profits

-•

3oo"66o'66"i
341,728 91

1, 115,729
338,264
98,819
4, 230

87
86
05
00

240,311
2,526,841
130,921
15
715,604
981,000
455,000
35, 715

94
96
00
85
60
00
00
36

National bank notes outstanding
State bank notes outstanding
Dividends unpaid

1,364,602 23
320, 443 24
225, 050 00
8, 299 00

!

6, 056 00

Individual deposits
8, 341, 099 15
United States deposits
!
Deposits of U. S. disbursing officers.
Due to other national banks
Due to State banks and bankers

j 1, 803,179 64
j 1,136,406 78

Notes and bills re-discounted .
Bills payable

18, 205, 136 04

Total .

$5, 000, 000 00

Total

18, 205, 136 04

Bank of N e w York National Banking Association, New York.
CHAS. M. F R Y . President.

No. 1393.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages . .
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items.
...
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, 262, 579 72
2,001 29
50, OiiO 00

Capital stock paid in

j $3,000,000 00

Surplus fund
Other undivided profits

235, 000 00
9, 000 < 0 National bank notes outstanding...,
State bank notes outstanding
505, 607 22
Dividends unpaid.
350, 000 00
16, 504 5)

600, 000 00
98,619 64
38, 000 00
3, 759 00
7, 419 60

Individual deposits .
13,539,924 08
United States deposits
Deposits of U. S. disbursing officers .
Due to other national banks
Due to State banks and baukers

j 1, 006, 276 98
i
473, J7L 77

I Notes and bills re-discounted..
Bills payable
18,767,231 07

Total

R. B. FERRIS, Cashier.

Total.

18,767,231 07

Bowery National Bank, N e w York
H. P. D E GRAAF, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other 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. 1297.
$842, 482 76
622 79
250, 000 00
13, 900 00
119,583 16
4, 129 66
1, 057 60
18, 664 40
93, 342 25
21,469 (tO
25,708
119,641
100,000
12, 850

50
00
00
00

1,623,451 12

RtCH'D HAMILTON, Cashier.

Capital stock paid in.

$250, 000 00

Surplus fund
Other undivided profits

150, 000 00
61,968 34

National bank notes outstanding
State bank notes outstanding

218, 350 00

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

660 00
942, 472 78

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

1,623,451 12

292

REPORT OF THE COMPTROLLER OF THE CURRENCY.
W EW

YORK.

Central National Bank, New York.
W M . A. WHEELOCK, President.

No. 376.

E D W A R D SKILLIN, Cashier.

Resources.
Loans and discounts
$5, 267, 980 3:} Capital stock paid in
$2, 000, 000 00
3, 277 76
Overdrafts
j
160,000 00
U. S. bonds to secure circulation
j 1, 670, 0011 00 Surplus fund
201), 000 00 Other undivided profits295,286 44
U. S. bonds to secure deposits
\
655, 000 00
U. S. bonds on hand
!
209, 386 51 National bank notes outstanding
1,415,500 00
Other stocks, bonds, and mortgages..
State bank notes outstanding
Due from approved reserve agents...
492, 022 43 !
Due from other banks and bankers...
6,785 60
334,391 16 | Dividends unpaid .
Real estate, furniture, and fixtures...
46, 893 76 ! Individual deposits .
Current expenses and taxes paid. ,
4,441,302 62
195,815 58 United States deposits
Premiums paid
!
..
73,198 41
67, 920 21 Deposits of LJ. S. disbursing officers.
Checks and other cash items
j
50, 751 81
Exchanges for clearing house
| 1,019,223 18 |
4,110!) 00 Due to other national banks -.
Bills of other banks
'•
2, 822, 829 89
7,314 83 j
502,073 12
Fractional currency
j
118, 118 14 Due to State banks and bankers . . .
Specie
i
496, 384 01) I Notes and bills re-discounted .
Legal tender notes
i
905, 000 00 I Bills payable
U. S. certificates of deposit
75, 000 00 I
Due from U. S. Treasurer
j
Total .

Total

11,767,727 89

11,767,727 89

Chatham National Bank, New York.
GEO. M. HARD, President.

No. 1375.

H. P. DOREMUS, Cashier.

Loans and discounts
; $2, 468, 809 15 ' Capital stock paid in.
Overdrafts
...\
1, 177 02 |
U. S. bonds to secure circulation
j
426, 000 00 Surplus fund
U. S. bonds to secure deposits
Other undivided profits
U. S. bonds on hand
24, 000 00
Other stocks, bonds, and mortgages..
101, i25 00 National bank notes outstanding
State bank notes outstanding
Due from approved reserve agents
Due from other banks and bankers ..
320. 999 79 Dividends unpaid
Real estate, furniture, and fixtures...
64, 631 13
Current expenses and taxes paid
|
26, 356 3i
individual deposits
Premiums paid
j
48, 799 56 United States deposits
Checks and other cash items
I
13,201 76 Deposits of U. S. disbursing officers.
Exchanges for clearing house
|
268, 988 81
Bills of other banks
j
14, !)94 00 Due to other national banks
Fractional currency
|
199, 209 0!) ! Due to State banks and bankers
Specie
193,442 (10 , Notes and bills re-discounted .
Legal tender notes
,
42 > 000 00 Bills payable
,
U. S. certificates of deposit
13, 770 00
Due from U. S. Treasurer
4, 605, 503 56

Total .

$450, 000 00
150. 000 00
59,532 64
279, 500 00
859 00
3,099,073 63
324,532 80
242, 005 44

4,605,503 56

Chemical National Bank, N e w York.
JNO. Q. JONEK, President.
Loans and discounts
,
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds 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 es and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. G. WILLIAMS, Cashier.

No. 1499.
' $8, 473, 860 19
1, 063 66
100, 000 00
1, 008, 000 00
247, 107 19
741, 127 12
223, 985 70
4, 223 76
188,406 13
1, 140,285 88
103, 536 00
5,257 61
694, 898 85
916,682 00
1, 995, 000 00
15,843,434 09

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
1,000,000 00
2,201,444 65
11, 020 00
2,915 00
10, 850, 496 63
918,763 12
558,794 69

15,843,434 09

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

293

YO R

Continental National Bank, New York.
E. D. RANDOLPH, President.

No. 1389.

A. H. TIMPSON, AcVg Cashier.

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
Checks and other cash items
Exchanges for clearing house..
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
.
Due from U. S. Treasurer
Total ..

11,250,000 0
U

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid

690, 300 00
5, 233 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

5,834,259 10 j

281,834 31
|

2,643,211 94
68L, 519 04
282, 160 81

5, 834, 259 10

East River National Bank, New York.
CHAS. JENKINS, President.

No. 1105.

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 bauks
Fractional currency
Specie - .
»
Legal tender notes
U. S. certificates of deposit. . . . . . . . .
Due from U. S. Treasurer
Total

Z. E. NEWELL, Cashier.

$580,456 97
Capital stock paid in
60 8-2
110,01)0 00 j Surplus fundOther undivided profits..
44, 224 52
"*2l, OR*)
145,913
4, 5!5
3,491

42*
98
00
45

6,894 61
66, 789 66
10,529 00
165 01

11, 100 00
113,716 00

National bank notes outstanding
State bank notes outstanding
Divideuds unpaid
Individual deposits
United States deposits -Deposits of IF. S. disbursing officers.

$350, 000 00
60,000 00
16, 114 62
94, 450 00 •
5,001 00
1, 997 25
596,300 89

Due to other national banks
Due to State banks and bankersNotes and bills re-discounted
Bills payable

4, 950 00
i, 123,867 47

1,123,867 47

Total.

Fulton National Bank, New York.
THOS. MONAHAN, President.

No. 1497.

R. M. BUCHANAN, Cashier.

Loans and discounts
- . . . j $1,816,601 67 Capital stock paid in ..
Overdrafts
:
214 37
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
j
50,000 00,
i National bank notes outstanding .
Other stocks, bonds, and mortgages...\
I State bank notes outstanding
Due from approved reserve agents . . . j
Due from other banks and bankers. ..j
92, 096 87
Real estate, furniture, and fixtures . . . j
45, 000 00 Dividends unpaid.
Current expenses and taxes paid
j
19,018 91 Individual deposits
Premiums paid
;
United States deposits
10, 623 98 Deposits of U. S. disbursing officers.
Checks and other cash items...
Exchanges for clearing house..
72, 865 52
8, 760 00 Due to other national banks
Bills of other banks
413 83 Due to State banks and bankers
Fractional currency
135, 379 80
Specie
190, 147 00 Notes and bills re-discounted.
Legal tender notes
28D, 000 00 Bills payable
U. S. certificates of deposit
Due from U. S. Treasurer
Total




2,771,12195

Total.

$600,000 00
300, 000 00
206, 245 71
8,503 00
1,160 50
1,643,776 67

11,436 07

5,771,121 95

294

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IVEW YORK.
Gallatin National Bank, New York.

F.

D. TAPPEN, President.

No. 1324.

A. H. STEVENS, Cashier.

Liabilities.

Resources.
2,846,416 71
1,781 92
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...

$1, 500, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits.

899,145 00 I National bank notes outstanding . .
State hank 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

55,221 69
99, 500 00
10 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

144,
70,
225.
2,

125 10
199 47
482 0')
000 00
250 00

Dividends unpaid .

45, 000 00
53,126 25

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

3, 222, 328 05

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

501,717 17
61,847 09

Notes and bills re-discounted .
Bills payable
Total.

6, 045, b74 2S

Total.

300, 000 00
361, 855 72

6, 045, 874 28

Hanover National Bank, New York.
J. T. WOODWARD, President.

No. 1353.

GrEO. W. PERKINS, Cashier.

01 i Capital stock paid in.
08 j
I'O j Surplus fund
' Other undivided profits
!
63 National bank notes outstanding
State bank notes outstanding/-..
249, 060 17 Dividends itnpaid .

Loans and discounts
$3, 342, 044
Overdrafts
67L
U. S. bonds to secure circulation
500, 0(JO
U. S. bonds to secure deposits
[
U. S. bonds on hand
|
Other stocks, bonds, and mortgages.,!
25, 189
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
j
Specie
j
Legal tender notes
\
U. S. certificates of deposit
1
Due from U. S. Treasurer
j
Total

24, 555 27 Individual deposits
37,500 00
United States deposits
21, 954 70 Deposits of U. S. disbursing officers..
492, 352 69
10, 000 00 Due to other national banks
383 21 Due to State banks and bankers 199,134 08
Notes and bills re-discounted.
331.649 00
90, 000 00 Bills payable
22,500 00
Total

5,346,993 84

$1,000,000 C
O

81,500 00
100,073 04
448, 300 00
1,102 50
2, 469, 217 72

1,049,686 47
197, 114 11

5,346, 993 84

Importers and Traders' National Bank, New York.
J^MES BUELL, President.

No. 1231.

• Loans and discounts
...\ $15,202, 776 53
2, 613 91
Overdrafts
j
U. S. bonds to secure circulation
I 1, 250,000 00
U. S. bonds to secure deposits
;
j
U. S. bonds on hand
:
600, 000 00 j
Other stocks, bondrf, and mortgages. .|
4, 500 O) !
f
Due from approved reserve agents...;
Due from other banks and bankers.. i
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
I
Specie
j
Lega; tender notes
I
U. S. certificates of deposit
j
Due from U. S. Treasurer
j
Total




•

E. H. PERKINS. Jr., Cashier,

Capital stock paid in .

$1,500,000 00

Surplus fund
Other undivided profits

1, 6 18, 027 72
193, 129 03

National bank notes outstanding
State bank notes outstanding

1,109, 800 00
5, 853 00

1, 093, 999 1 1
Dividends unpaid
200, 000 00 j
99, 9SI 60 ' Individual deposits
145.927 0'i j United States deposits
50,85! 78 | Deposits of {]. S. disbursing officers..
1,824,927 18
95, 820 00 Due to other national banks
200 00 Due to State banks and bankers .
461, 127 00
728,455 00 Notes and hills re-discounted.
845, 000 00 Bills payahle
73, 150 00

I 22,682,329 19

Total.

5, 137 00
4, 988, 505 37

8, 558, 323 04
4,713,554 03

22, 682, 329 19

REPORT OF THE COMPTROLLER OP THE CURRENCY.
WE T
V

295

YORK.

Irving National Bank, New York.
J. L. JEWETT, President.

No. 1357.

GEO. E. SOUPER, Cashier.

Liabilities.
Loans and discounts
$1,659,753 17
Overdrafts
159 20
U. S. bonds to secure circulation
100, 000 00
U. S. bonds to secure deposits
I.
"381,500 00
U. S. bonds on hand.
Other stocks, bonds, and mortgages..
20, 00D 00
Due from approved reserve agents . . .
Due from other banks and bankers...
305,259 78
Real estate, furniture, and fixtures ..
100, 000 00
Current expenses and taxes paid
9,683 08
Premiums paid
|
49, 602 50
Checks and other cash items
I
6, 958 03
Exchanges for clearing house
|
142, 359 29
Bills of other banks
j
12,850 00
Fractional currency
|
18 93
Specie
j
19, 998 95
Legal tender notes
j
169,016 00
U. S. certificates of deposit
j
280, 000 00
Due from U. S. Treasurer
4, 500 00
Total....

j

Capital stock paid in.

$500, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding . .
State bank notes outstanding

100, 000 00
31, 695 03
69, 500 00

Dividends unpaid .

1, 317 50

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

2, 092, 860 39

,

250,159 20
216, 126 81

Notes and bills re-discounted.
Bills payable
,

3,261,658 93

Total

3,261,658 93

Leather Manufacturers' National Bank, New York.
N. F. PALMER, President.

No. 1196.

Loans and discounts
j
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..|
Due from approved reserve agents... |
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

D. L. HOLDEN, Cashier.

Capital stock paid in

j

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding .
Dividends unpaid .

400, 000 00
71, 020 27
239,500 00
1, 308 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
4, 924, 530 63

$600, 000 00

3, 023, 320 97
!
I

Total

315,136 40
274,244 99

4, 924, 530 63

Marine National Bank, New York.
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 bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1215.
$1, 240, 993 74
256, 000 00
156, 203 75
147, 82•* 53
200, 000 00
8, 427 96
10, 000 00
20,567 55
347, 667 22
21, 138 00
365 30
103,262 14
185,000 00
60, 000 00
11,520 00
2,768,974 19

SIDNEY GREEN, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

$400,000 00
55, 000 00
22, 517 88
1

227, 900 00
250 00

Individual deposits
! 1, 873, 347 59
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.

175, 871 58
14, 087 14

2,768,974 19

296

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW
YO
RK.
Market National,Bank, New York.

ROBERT BAYLESS, President.

No. 964.

A. GILBERT, Cashier.

Resources.

Liabilities.

Loans and discounts
$1, 858, 407 39 Capital stock paid in.
OverdraftH
3, 856 25
U. S. bonds to secure circulation
350, 000 00 Surplus fund
U. S. bonds to secure deposits
Other undivided profits
100, 01)0 00
U. S. bonds on hand
i
96, 000 00 National bank notes outstanding
Other stocks, bonds, and mortgages..!
State bank notes outstanding
Due from approved reserve agents...[
Due from other bunks and bankers .. j
276, 037 66 i
Real estate, furniture, andfixtures- ..j
40, 158 06 i Dividends unpaid .
Current expenses and taxes paid
;
18,975 51 :
Individual deposits
Premiums paid
j
37, 550 00 !
United States deposits
50, 847 43 Deposits of U. S. disbursing officers.
Checks and other cash items
\
Exchanges for clearing house
269, 155 18 !
Bills of other banks
21,512 00 Due to other national banks
Fractional currency
8 60 : Due to State banks and bankers
Specie
174. 100 80
194,690 1 0 Notes and bills re-discounted .
)
Legal tender notes
170, Ono 00 Bills payable
U. S. certificates of deposit
15, 750 00 |
Due from U. 8. Treasurer
Total .

Total ..

3, 677, 048 88 j

$1, 000, 000 00
256, 000 00
61, 566 24
202, 700 00

2, 432 00
1, 964, 572 08

151,063 83
38,714 73

3, 677, 048 88

Mechanics' National Bank, New York.
WM. H. COX, Cashier.

B. B. SHERMAN, President.

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
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

$2, 000, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

400,000 00
510, 738 32
120, 800 00
9, 962 75

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

5,561,856 16

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

1, 159,801 51
601,905 19

Total .

Total..

10, 365, 063 93

Mechanics and Traders' National Bank, New York.
E. D. BROWN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks,bonds, and mortgages.
Due fiora 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
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
.
Total .




No. 1624.

GEO. W. YOULE, Cashier.

$1,46^, 122 51 Capital stock paid in
3, 150 00
220, 000 0) Surplus fund
Other undivided profits
1,000 00
37, 450 48 National bank notes outstanding
State bauk notes outstanding
14 30V55
62, 517 54 Dividends unpaid..
21,012 40 Individual deposits
11, 399 2-2 United States deposits. .
13, 969 46 Deposits of U. S. disbursing officers..
32, 658 61
10, 087 Or) Due to other national banks
435 01 Due to State banks and bankers
39, 712 00
193,232 00 Notes and bills re-discounted.
Bills payable
Total

$600, 000 00
300, 000 00
43, 164 14
193, 000 00
2, 467 25
868, 782 8

13, 446 05
114,989 53

2, 135,849 78

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

297

YORK.

Mercantile National Bank, New York.
ISAAC OT>Y,UU, President.

No. 1067.

N. AMERMAN, Cashier.

Resources.

Liabilities.
13,0-26,717 99
52 24
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 . .

.
i

j
j
i.

148,717 12
85, 677 91
45, 000 00

57, 885 50
142 00
Dividends unpaid. .
153, 000 00
26,134 24
1,238,971 66
Individual deposits
26,250 00
United States deposits
;
27,724 12
Deposits of U. S. disbursing officers.. j
270, 725 35
j
11, 575 00 Due to other national banks
i I, 256, 005 46
56 39
Due to State banks and bankers . . . .
673,241 12
189,784 44
40, 600 00 | Notes and bills re-discounted .
415, 000 00 ! Bills payable
2, 250 00 |
4, 447, 755 27

Total.

$1, 000, 000 00

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

"" L50, 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
.

Capital stock paid in.

Total...

j 4,447,755 27

Merchants' National Bank, New York.
J. D. VERMILYE, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of oth3i* banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .

No. 1370.

C. V. BANTA, Cashier.

$5, 108,841 15 ! Capital stock paid in -.
$3, 000, 000 00
9, 432 32 !
175, 000 00 I Surplus fund
352,219 14
534, 337 10
Other undivided profits
1,370,00) 00
509, 000 00
National bank notes outstanding . . .
137,660 00
State bank notes outstanding
2, 262 00
285,913 32 '!
Dividends unpaid . .
206,000 00 i!
3, 927 75
17,734 84 ij
Individual deposits
150,778 13 J!
6,154, 770 10
United States deposits
75, 223 98 l| Deposits of U. S. disbursing officers.
2,675,200 61 1
1
1 1 2 , 7 1 M 00 !j Due to other national banks
2,018,140 36
3, 44L 60 j: Due to State banks and bankers
j
45 L 802 69
,
1, 079, 159 19 j!
578,800 00 I Not^s and bills re*-discounted
290,000 00
Bills payable
7, 875 00 |
12,655, 119 14 |

Total

12,655,119 14

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, bond*, and mortgages.
Due from approved reserve agents .
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit

Due from U. S. Treasurer
Total.




No. 1080.

$2, 553, 008 56
6, 578 84
700, 000 00
3, 000 0 i
235,624 00
243, 700 00
24,003 09
78, 500 00

62, 786 69
349,901 28
15, 806 00
8, 937 36
109,287 56
196, 158 00
250, O O 00
H
31,500 00
4, 868, 791 38

A. S. APGAR. Cashier.

Capital stock paid in.

$1,000,000 00

Surplus fund
Other undivided profits

200, 000 00
62, 675 50

National bank notes outstanding . . .
State bank notes outstanding

626, 060 00

Dividends unpaid

3, 125 25

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

1,501,224 99

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

1, 404, 442 26
71,263 38

Notes and bills re-discountedBills payable
Total.

4,868,791 38

298

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NJ W
E

YORK.

Metropolitan National Bank, New York.
•GEO. I. SENEY, President.

No. 1121.

Gr. J . McGoURKEY, 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
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

Liabilities.
19, 896, 439 86 Capital stock paid in.
$3, 000, 000 00
3,324 11
50, 000 00 Surplus fund
800, 000 00
129,991 15
Other undivided profits
17, 800 00
National bank notes outstanding
496, 956 42
19,090 00
St'ate bank notes outstanding
i, 866, 482 43 Dividends unpaid
5,875 00
581,266 47
30, 588 48 Individual deposits
6, 583, 640 59
United States deposits
73, 754 88 Deposits of U. S. disbursing officers .
1, 873, 393 50
4,253,014 22
18,759 00 Due to other national banks
4, 400 00 Due to State banks and bankers
2,040,634 19
674,669 00
1,277,761 00 Notes and bills re-discounted.
Bills payable
2, 250 00
16,850,045 15

Total.

16,850,045 15

National Bank of Commerce, New York.
R. L. 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
Bills of other banks
Fractional currency
Specie
Legal tender notes
.*.
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 733.

H E N R Y F. VAIL, Cashier

8, 586, 822 68 Capital stock paid in.

$5, 000, 000 00

1, 500, 000 00 Surplus fund
250, 000 00 Other undivided profits.
1, 638, 000 00
322, 900 00 Nationnl bank notes outstanding —
State bank notes outstanding
755, 929 45 Dividends unpaid .
530, 000 00
30, 973 87 Individual deposits
United States deposits
65, 531 83 Deposits of U. S. disbursing officers
2, 939, 134 55
195, 275 00 Due to other national banks
4, 520 59 Due to State banks and bankers
470, 153 20
707, 723 00 Notes and bills re-discounted .
2,105, 000 00 Bills payable
67,500 00 |
Total.

20,169,464 17

2, 000 000 00
651, 735 98
1, 347, 295 00
29,904 50
8,243,874 33
122,351 78
1, 332, 662 75
1,441,639 83

20,169, 464 17

National Bank of the Republic, N e w York.
R. H. LOWRY, President.
Loans and discounts.
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1000.
$2, 925, 426 09
948 41
500,000 00

H. W. FORD, Cashier.

Capital stock paid in.

$1, 500, 000 00

Surplus fund
Other undivided profi

127, 000 00
162, 129 26

25, 000 0 j National bank notes outstanding
U
J State bank notes outstanding
,
385, 240 79 Dividends unpaid .
312,468 85
10, 558 48 Individual deposits
United States deposits
35, 053 03 Deposits of U. S. disbursing officers
1, 039, 887 20
27,344 00 Due to other national banks
122 86
237, 772 75 Due to State banks and bankers
39, 046 00 i Notes and bills re-discounted .
50, 000 00 Bills payable
27, 500 00

440, 000 00

5,616,368 46 j

Total.

11,842 50
2, 490,198 64
257,127 35
628, 070 21

5, 616, 368 46

REPORT OF THE COMPTROLLER OF THE CURRENCY. 299
NEW

IOBK.

National Bank of the State of New York, New York.
W. H. HAYS, President.

No. 1476.

Gr. R. A. RlCKETTS, 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.
il,961,349 61
4.520 19
50, 000 00

$800, 000 00

Surplus fund
Other undivided profits
85,835 26 National bank notes outstanding
State bank notes outstanding
105,943 15 I Dividends unpaid .
219, 33 L 07
29,427 14 Individual deposits
United States deposits
9,018 19 Deposits of U. S. disbursing officers.
2, 627, 666 40
Due to other national banks
368 54
173,310 00 Due to State banks and bankers
40,421 00 Notes and bills re-discounted.
165, 000 00 Bills payable
2, 250 00

160, 000 00
73, 570 64

4, 314, 873 83

5, 474, 440 55

Total.

Capital stock paid in.

5,474,440 55

45, 000 00
5, 435 70

17, 635 01
57, 925 37

Total

National Broadway Bank, New York.
P. 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 cun-ency
S pecie
...
I egal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
,

$2, 776, 902 86 Capital stock paid in.
$1, 000, 000 00
617 59
1, 000, 000 00 Surplus fund
1, 000, 000 00
195, 562 30
"I'ioo.oob 65 Other undivided profits
900, 000 00
123, 400 00 National bank notes outstanding
7,031 00
State bank notes outstanding
380, 064 46 Dividends unpaid .
1,132 00
192,331 23
15,418 94 Individual deposite
' 3, 748, 316 65
138, 00 J 00 United States deposits
114,870 24 Deposits of U. S. disbursing officers..
473,314 31
37,764 00 Due. to other national banks.
139,165 77
200 27 Due to State banks and bankers
61, 012 32
122,568 14
213, 768 00 Notes and bills re-discounted
310,000 00 Bills payable
53, 000 00
7,052,220 04

Total.

J. L. EVERITT, Cashier.

Total

7, 052, 220 04

National Butchers and Drovers' Bank, New York.
DENTON PEARS ALL, President.

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
S pecie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer




G. G-. BRINCKERHOFF, Cashier.

Capital stock paid in .

$500, 000 00

Surplus fund
Other uiidivided profits

125, 000 00
50, 302 03

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

Total.

H. Ex. 3-

No. 1261.

-16

j

169,264 00
1,989 50
l,197,06L 39

18,815 69
14, 748 43

2,077,181 04

300

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NE W

YORK.

National Citizens' Bank, New York.
S, R. COMSTOCK, President.

No. 1290.

W. H. OAKLEY, 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. certificate* of deposit
Due from U. £ Treasurer
Total .

Liabilities.
$1,255,443 41 Capital stock paid in
123 08
150,000 00 Surplus fund
Other undivided profits

!

138, 800 00 | National bank notes outstanding
State bank notes outstanding

$600, 000 00

'
j

68, 805 64
122, 074 98

j

133, 300 00

5,188 00
227,'885 01
250, 000 00 Dividends unpaid
I
836 24
11, 117 99
9,497 47 Individual deposits
j 1, 786, 742 41
70,130 56 United States deposits
j
247, 246 29
Deposits of U. S. disbursing officers - - j
Due to other national banks
!
74, 894 69
3, 702 00
52, 626 49 Due to State banks and bankers
j
31, 0J8 34
131,537 00 Notes and bills re-discounted
',
140, 000 00
!
6, 750 00 Bills payable
Total ..

2, 822, 860 30

\

j 2, 822, 860 30

National City Bank, N e w York.
MOSES 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

No. 1461.
$5, 933, 428 20
1,397 69
50, 000 00

$1, 000, 000 CO

Capital stock paid in .

1, 000, COO 00
609, 523 54

Surplus fund
i Other undivided profits
} Naiional bank notes outstanding.
! State bank notes outstanding

264, 870 39
203, 000 00 Dividends unpaid .
39, 387 02 ; j Individual deposits
I j United States deposits
103,918 84 I Deposits of U. S. disbursing officers.
3, 121, 365 65
75, 092 00 Due to other national banks
10, 638 42
350,625 41 Due to State banks and bankers
960, 000 00 Notes and bills re-discounted
Bills payable
11, 113,723 62 ;

Total

DAVID PALMER, Cashier.

Total

400 00
7,821,634 16
I
j
j
|

680, 769 04
1,396 88

11,113,723 62

National Mechanics' Banking Association, New York.
F. CHANDLER, 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...
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
I
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1075.
$747,554 02
""344,606 66"

"" 156* 66S" 66"
30, 200 00

24, 263 34
17,989 66
17,332 85
12, 857 50
2, 676 48
1,213,919 16
5, 999 00
43 29
10, 158 48
120,841 00

J. H. B. EDGAR, 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

$500,000 00
64, 578 97
43,851 94
291,295 00
1,273 00
2,146 24
1, 813, 342 60

2, 822 03

15,475 00
2,719,309 78

Total.

2, 719, 309 78

REPORT OF THE COMPTROLLER OF THE CURRENCY. 301
NEW

YORK.

National Park Bank, New York.
No. 891.

J. L. WORTH, President.

E. K. W R I G H T , 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

$8,386,049 49 Capital stock paid in .
4,613 81
100, 000 00 Surplus fund
130,000 00 Other undivided profits.
370, 000 00
1,230,213 63
National bank notes outstanding
State bank notes outstanding
1, 250,130 60 | Dividends unpaid
849,224 95 j
69, 285 01 | Individual deposits
82, 696 94 j United States deposits
20, 280 17 ! Deposits of U. S. disbursing officers
1,071,912
16, 875
604
585, 664
1, 103,864
2, 045, 000
63, 000

23 I
00 ;
78 !
74 i
00 !
00 I
00 j

400, 000 00
142,135 09
60, 000 00
j

2, 407 00

! 6, 358, 496 60
I
.!
79, 023 52

Due to other national banks
Due to State banks and bankers

j 7, 02!, 731 25
1,315,621 89

Notes and bills re-discounted.
Bills payable
Total

17,379,415 35 j

Total.

$2, 000, 000 00

17, 379, 415 35

National Shoe and Leather Bank, New York.
A. V. STOUT, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid.....
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total

No. 917.

J. M. CRANE, Cashier.

$2,232,662 41 !| Capital stock paid in
| $1,000,000 00
1,934 97 !'
245, 000 00
930, 500 00i l| Surplus fund
i
46, 697 56
[ Other undivided profits
180,500 00
364, 296 00
22, 300 00 ! National bank notes outstanding
State bank notes outstanding
311,096 45 Dividends unpaid .
7,441 00
50, 000 00
3!, 816 98 Individual deposits
| 1, 530, 772 65
6,147 18 United States deposits
|
95, 717 40 Deposits of U. S. disbursing officers.
347, 013 79
84, 000 00 Due to other national banks
693,544 61
2, 000 00 Due to State banks and bankers
1,413, 165 76
140,228 40
445, 000 00 Notes and bills re-discounted
380, 000 00 Bills payable
40, 000 00
Total

5,300,917 58

5,300,917 5:

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 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. 1116.
$460, 762 84 j

'""s6o,"666"66"

GEO. H. WYCKOFF, Cashier.

Capital stock paid in

$200, 0C0 00

Surplus fund
Other undivided profits

40, 000 00
52,962 48

399,104 92 ! National bank notes outstanding
State bank notes outstanding
38,711 08 Dividends unpaid.
61,236 86 |
Individual deposits
,
United States deposits
4, 582 30 Deposits of U. S. disbursing officers
69,541 90
66, 860 00 Due to other national banks
Due to State banks and bankers .
45, 640 00 Notes and bills re-discounted.
270, 000 00 Bills payable
11,500 00

180, 000 00

1, 627, 939 90 |

Total.

108 00
1,091,495 77

63,373 65

1,627, 939 90

302

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

New York National Exchange Bank, New York.
D. B. HALSTEAD, President.

No. 345.

C. B. OUTCALT, 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 aud taxes paid
j
Premiums paid
i
Checks and other cash items
i
Exchanges for clearing house
j
Bills of other banks
;
Fractional currency
j
Specie
j
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

Liabilities.
$319, 799 57
32 89
300, 000 00
""60,000 00
43, 500 00
141,449 58
63, 000 00
4,392 80

Capital stock paid in

I

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

j
j
j

Dividends unpaid

60,000 00
22, 140 81
266, 300 00
904 00

Individual deposits
I
United States deposits
!
19,440 67 | Deposits of U. S. disbursing officers..
83,360 51 '
4,906 00 Due to other national banks
9 84 Due to State banks and bankers
1
78, 270 00
41/215 00 Notes and bills re-discounted.
60, 000 00 Bills payable
2, 100 00
Total

1,720,476

$300, 000 00

828,158 71

182, 689 65
60, 283 69

1,720,476 86

Fhenix National Bank, N e w York.
No. 1374.

P. M. BRY3ON, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits. U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie.
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$2,333,921 44 Capital stock paid in.
$1, 000, 000 00
45 81
105,386 39
300, 000 00 Surplus fund
75,963 14
Other undivided profits
270, 000 00
198,678 50 National bank notes outstanding
State bank notes outstanding
376, 585 74
2,725 13
278,029 12 Dividends unpaid.
JO, 202 17 Individual deposits
4,454,154 11
20, 000 00 United States deposits
48, 672 21 i Deposits of U. S. disbursing officers..
2,223,317 85 <
71, 690 00 | Due to other national batiks
585,577 23
255 92 Due to State banks and bankers.
106, 459 95
237,867 19
52,500 00 Notes and bills re-discounted.
435, 000 00 Bills payable
13, 500 00
6, 600, 265 95 J

Total.

JOHN PARKER, Cashier.

Total. .

6, 600, 265 95

Saint Nicholas National Bank, N e w York.
J. LEE 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. 972.
,460,227 24
83 89
557, 000 00
" 100," 000 66

83,100 00
60, 059 69
174, 454 41
5, 852 52
9,000 00
51,206 47
436, 707 95
600 00
42,
67,
195,
33,

490 13
139 00
000 00
065 00

3, 275, 986 30

A. PARKHURST, 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

$1, 000, 000 00
117, 500 00
27,131 63
501, 300 00
3, 545 50
1,483,924 74

18, 991 89
123, 592 54

3, 275, 986 30

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

303

YOK K .

Seventh Ward National Bank, New "York.
GEO. MONTAGUE, President.

No. 998.

J. D. W. GRADY, 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

Liabilities.
$823,681 50 Capital stock paid in

"""40,".43i"25"

Other undivided profits
National bank notes outstanding
State bank notes outstanding

66,500
50, 000
6,041
6, 687

$300, 000 00
42, 800 00
12,503 66
T6, 500 00

94* Dividends unpaid
00
58
50 Individual deposits
United States deposits
12,454 08
Deposits of U. S. disbursing officers.
48,175 71
6, 373 00 Due to other national banks
3, 484 05 Due to State banks and bankers
j
96,823 8L
96,727 00 Notes and bills re-discounted
75, 000 00 Bills payable
j
2, 250 00
Total

1, 384, 630 42

Total.

j
I
j
|

5o"66o"oo" Surplus fund

36 00
992, 405 44

385 32

! 1,384,630 42

Tradesmen's National Bank, New York.
RICHARD BERRY, President.

No. 905.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses 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

$1, 864,269 51 Capital stock paid in.
890, 000 65'
369, 108 50
298, 660 66

284,882
14,714
72,145
53, 310
237,931
5,968

14
71
68
46
19
00

61, 625 51
274,150 00

$1,000,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

350,000 00
45,229 12
788, 380 00

Dividends unpaid .

4, 3S3 60

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

1,705,311 15

.

284,801 90
310,210 62

61, 550 00
Total

4, 488, 316 39

Total .

ANTHONY HALSEY, Cashier.

4,488,316 39

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. Treasurer
Total.




No. 1278.
$3, 394, 913 28

JAS.

57, 317 32
104, 500 00
37, 589 70
4,604 21
4, 214, 602 80
4,094 00
8, 602 75
369, 670 45
61,707 00
475, 000 00
9,642,601 51

$1,500,000 00

Capital stock paid in.

5o,"6bo"66' Surplus fund
26o"bob"66' Other undivided profits
600, 000 00

M. LEWJS, Cashier.

,

300,000 00
502,938 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.

949 00
6,703,630 33

534, 778 41
100,304 91

9,642,601 51

304

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

North Granville National Bank, North Granville.
ISAAC V. BAKER, President.

No. 1348.

G E O . B. CULVER, Cashier

Resources.

Liabilities.
$78,844 90 Capital stock paid in .
102 93
85, 000 00 Surplus fund
Other undivided profits

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

1,100 00
6,334 46
5, 998 53
7.479 93
1,344 10
599 94

$85,000 00
6, 203 46

National bank notes outstanding
State bank notes outstanding

76, 500 00

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

698
57
938
2, 315

00 Due to other national banks
77 Due to State banks and bankers
10
00 Notes and bills re-discounted.
Bills payable
3, 825 00
194, 638 65

Total .

j

Total.

26, 807 07

40 00
88 12

194, 633 65

National Bank, Norwich.
T. D E W I T T MILLER, Vice-President.

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 .. j
Real estate, furniture, and fixtures...j
Current expenses and taxes paid
Premiums paid
!
Checks and other cash items
!
Exchanges for clearinghouse
j.
Bills of other banks
I
Fractional currency
j
Specie
-.
•
Legal tender notes
j
U. S. certificates of deposit
j.
Due from U. S. Treasurer
i
Total.

WARREN NEWTON, Cashier.

$174,784 03 Capital stock paid in .
3,849 91
125, 000 00 j Surplus fund
I Other undivided profits
35, 600 00
24, 500 00 National bank notes outstanding
21,908 62 State bank notes outstanding
5, 379 77 ! Dividends unpaid
6, 600 00
511 99 Individual deposits
552 26 United States deposits
1, 734 05 Deposits of U. S. disbursing officers .
14,910 00
37 36
500 00
10, 000 00

$125, 000 00
46, 000 00
3,895 71
91, 500 00
190 00
164, 907 28

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

""5,625"o6"
431,492 99

431,492 99

First National Bank, Nunda.
J. F. BARBER, President.

PETER D E PUY. Cashier.

Loans and discounts
|
Overdrafts
|
IT. 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 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 hou.se
Bills of other banks
i
Fractional currency
|
Specie
Legal tender notes
I
U. S. certificates of deposit
j
Due from U. S. Treasurer
I
Total.




•I

$93,155 72 Capital stock paid in.
1, 293 71
42, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
1, 982 37 State bank notes outstanding
Dividends unpaid
2, 024 64 | Individual deposits
6, 664 32 United States deposits
3, 228 83 Deposits of U. S. disbursing officers -

$50, 000 00
3, 799 07
1, 643 20
37, 800 00

64, 790 44

603 00 Due to other national banks . . . .
190 07 Due to State banks and bankers .
5, 000 00 Notes and bills re-discounted.
Bills payable
1, 890 00
158,032 71 i I

Total.

158, 032 71

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

305

YOU K .

Rockland County National Bank, Nyack.
D. J. BLAUVF.LT,

President.

No. 1286.

A. D. MORFORD, Cashier.

Resources.

$100,000 00

$202,486 13 |jCapital stock paid in.
3,6*6 89 ji
100, 0 JO 00 I Surplus fund
Other uudivided 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

40,618 00
7,054 05
90, 000 00
2, 037 00

National bank notes outstanding
State bank notes outstanding

409 50

Dividends unpaid .

111,732 88

Individual deposits
United States deposits
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
IT. S. certificates of deposit
Due from U. S. Treasurer

Due to other national banks
Due to State banks and bankers

27, 289 09
7,918 83

I

Notes and bills re-discounted.
Bills payable
387,059 35

Total.

Total.

First National Bank, Olean.

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

L. F . LAWTON, Cashier.

No. 1887.

W . F . W H E E L E R , President.

j
j
j
;

:

$100,000 00

$265,109 20 Capital stock paid in.
1, 429 88 j
100, 000 00 ] Surplus fund
Other undivided profits

22, 008 00
7, 724 22
90, 000 00

3, 927 03 National bank notes outstanding
9, 108 99 State bank notes outstanding
12,672 36
13, 360 34 i Dividends unpaid .
2, 106 84
Individual deposits
10, 127 50
United States deposits
5,741 56 Deposits of U. S. disbursing officers.

3, 600 00
200, 762 02

109 7-2
429 84

1, 736 00 i Due to other national banks
6 35 95 Due to State banks and bankers
228 00 j
15, 028 00
Notes and bills re-discounted
Bills payable
3, 500 00 I

13, 585 85
6, 500 00
444,711 65

Total.

444,711 65

Oneida Valley National Bank, Oneida.
NlLES 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
17. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1090.
> 160, 418 5*
14* 54
80, 000 00

T H E O . F . H A N D , Cashier.

Capital stock paid in
Surplus fund
Other undivided profits

$105,000 00
'
!

855 41 |! National bank notes outstanding
j
j
14,963 57 ; State bank notes outstanding
1,618 81
Dividends unpaid .
4, 000 00
1, 637 70 , Individual deposits
J; United States deposits
1, 941 73 ''• Deposits of U. S. disbursing officers.
3, 833 00 !
105 01 j

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

21,000 00
3, 581 10
70,500 00

85, 289 78

1,243 47

870 00 i
7, 622 00 ' Notes and bills re-discounted.
5, 000 00 i Bills payable
3, 600 00
286,614 35 \

Total.

286,614 35

306

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

Y O U K .

First National Bank, Oneonta.
No. 420.

W. W. SNOW, President.

M. L. KEYES 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.

$91,486 02
1, 156 24
50, 000 00

$50, 000 0®

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding.....

535 50
233 64
953 13
5,200 00 Dividends unpaid .
5g2 00
...
4,711 26 Individual deposits . . .
United S tates deposits
352 10 Deposits of IT. S. disbursing officers
110 00
5 00
127 13
2, 000 00

j
i

14, 084 29
2, 262 09
45,000 00

46, 705 72
496 64
553 37

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

600 00

!, 250 00
159,702 02 I

159,702 02

Total.

Wilber National Bank, Oneonta.
No. 2151.

DAVID WILBER, President.

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

$168,150 44
573 92
100, 000 00

GEO. I. WILBER, Cashier.

Capital stock paid in

$100,000 00

Surplus fund
|
Other undivided profits
j
3," 500* 66'
National bank notes outstanding
32, 980 71 State bank notes outstanding
4, 656 46
1,563 82 Dividends unpaid .
1,078 62 Individual deposits
11, 252 57 United States deposits
983 21 Deposits of U. S. disbursing officers.
501 00 Due to other national banks
231 17 Due to State banks and bankers
257 00
4,530 00 Notes and bills re-discounted.
Bills payable
4, 500 00

334, 758 92

10,000 00
13, 858 66
90, 000 00

110,593 11
8,533 69
1, 773 46

Total.

334,758 92

First National Bank, Oswego.
No. 255.

THOS. S. MOTT, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages...
Due from approved reserve agents...
Due from other banks and bankers...
Real eRtate, furniture, 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
£J. S. certificates of deposit
Due from U. S. Treasurer
Total




$258,085 41
2,237 91
200, 000 00
50, 000 00
1,600 00
133,670 10
40,866 62
18, 000 00
2,427 62 |
|
15, 290 77
3, 743
475
50!)
000
000
374

2,
16,
10,
4,

J. D. W. CASE, Cashier.

Capital stock paid in

!

$200, 000 00

Surplus fund
:..
Other undivided profits
National bank notes outstanding
State bank notes outstanding

j
j
]

40,000 00
16, 914 51
178, 400 00

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

290,191 39
16,565 18
14, 818 26

Dividends unpaid

00 ! Due to other national banks
22 Due to State banks and bankers
00 i
00 | Notes and bills re-discounted.
00 ! Bills payable
78 I

759, 280 43

Total.

,

1, 291 09
1,100 00

759, 280 43

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

307

YO3&K.

Second National Bank, Oswego.
LEONARD AMES, President.

No. 296.

HENRY R. CARRIER, Cashier.

Liabilities.
Loans a"nd 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
i
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.

$191,921 75
2, 036 34
120, 000 00

25, 666 00
1, 350 20
3,761 23
3, 538 73
17,511 22
941 07
2, 656 25
2, 825 30
5, 035
26
1, 443
2, 700
5, 000
5, 400

00
06
94
00 |j
00
00

Capital stock paid in

$120, 000 00

Surplus fund
0 ther undivided profits

8, 305 10

National bank notes outstanding
State bank notes outstanding

j
j,

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

154, 798 88

43 11

Notes and bills re-discounted.
Bills payable

391,147 09

Total.

391,147 09

National Marine Bank, Oswego.
E L I A S ROOT, President.

No. 821.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
..
Checks and other cash items
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, 665 22
9,333 60
50, 000 00

46, 652 21
7,063 79
31, 392 25
2,571 06
2, 701 25
13,132 64
3, 442 00
320 39
12, 000 00
1, 850 00

Total.

J. R. No YES, Cashier.
$120, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits

5,148 42
5, 462 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.
Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable

314,124 41

138, 332 97

j

180 05

,

Total

314,124 41

First National Bank, Owego.
LYMAN TRUMAN, President.

No. 1019.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .

$305,238 38
2, 597 40
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

27, 663 27
2, 430 60
9, 500 00
2,484 16

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.




7, 300 00

638 09
2, 646
223
1, 600
11,191

00
05
00
00

J O H N B. BRUSH, Cashier.

Capital stock paid in .

$100,000 00

Surplus fund
Other undivided profits.

20, 000 00
70, 240 66

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 .

190,508 48

32 81

Notes and bills re-discounted.
Bills payable

2, 250 C
O
425,761 95

Total.

425, 761 95

308

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

Tioga National Bank, Owego.
THOS. C. PLATT, President.

FREDK. E. PLATT, Cashier.

No. 862.

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 .
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

$153, 926 38 Capital stock paid in
5,237 68
50, 000 00 j Surplusfund
Other undivided profits
j
I National bank notes outstanding
j
15,461 00 { State bank notes outstanding
1, 822 09 Dividends unpaid
14, 070 99
2,804 51 Individual deposits
| United States deposits
9, 436 54 jj Deposits of U. S. disbursing officers.

20,000 00
4,472 12
45,000 00
120 00
95, 333 24

36 40
29 69

1, 223 00 i Due to other national banks
619 26 | Due to State banks and bankers
8,140 00 j Notes and bills re-discounted
! Bills payable
2^250 66
261,991 45

Total.

$100; 000 00

Total.

264,991 45

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

$150, 000 00

$237,193 51 Capital stock paid in

50, 000 00
29,311 63

"* 150," 666" 66' Surplus fund
Other undivided profits
ioo"oo"
15, 790 00 National bank notes outstanding...
9,308 18 State bank notes outstanding
.
478 77
8, 545 24 Dividends unpaid
1, 244 35 Individual deposits
... ...
United States deposits
5,736 68 Deposits of U. S. disbursing officers
1,710 00
11 34
330 40
8,124 00
""6,"753 6"
5

134, 030 00

78, 782 81

3,182 58
15 45

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

445, 322 47

Total..

J. R. VAN WAGENEN, Cashier.

Total.

445, 322 47

First National Bank, Palmyra.
PLINY T. SEXTON, President.

Loans and discounts
Overdrafts
J
TJ. S. bonds to secure circulation
j
U. 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 . J
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.
Fractional currency
!
Specie
j
Legal tender notes
j
U. S. certificates of deposit
j
Due from U. S. Treasurer .
Total.




R. M. SMITH, Cashier.

No. 295.
$181,102 75 Capital stock paid in
1,018 87
200, 000 00 Surplus fund
Other undivided profits

National bank notes outstanding
26,126 69 State bank notes outstanding
100 00
147, 285 72 Dividends unpaid.
, Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
00 Due to other national banks
75 Due to State banks and bankers .
00
00 Notes and bills re-discounted
Bills payable
" 9, ooo 66"

$200,000 00
I

20, 000 00
539 47
177, 430 00

75; 318 3L

8, 073
393
1.0LI
16,176

590, 267 78

Total

117,000 00
590, 287 78

REPORT OF THE COMPTROLLER OF THE CURRENCY. 309
OH

MEW

National Bank, Pawling.
NO. 1269.

A. J . AKIX, President..

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.

$138,353 24
116 75
175, 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

1,429 83
35, 333 82
5,850 00
1, 405 56
2,463 01

Surplus fund
Other undivided profits

j
j

76,000 00
6,402 37

National bank notes outstanding
State bank notes outstanding

i
{
.

152,654 00

Dividends unpaid

120, 786 87

j

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

223 70

Due to other national banks
Due to State banks and bankers

I'ios'if

j
j

Notes and bills re-discounted
Bills payable

2,160 00
93
352 00
3,074 00

1,035 00
78, 921 62

j
j

Total.

490, 657 88

Total.

$175, 000 00

Capital stock paid in .

644 89

490, 657 88

Westchester County National Bank, Peekskill.
D. F . CLAPP, Cashier.

No. 1422.

C. A. G. DKPEVV, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$198 880 07 ! Capital stock paid in
2L8 12 |
200, 000 00 | Surplus fund
Other undivided profits

$200, 000 00
j
!
I

6'6o6"6o":

83,379
1,574
13,000
5,074

National bank notes outstanding
j
|
77 j|State bank notes outstanding
54 I'
Dividends unpaid
;
00 |
05 !
Individual deposits
i
United States deposits
Deposits of U. S. disbursing officers.. I

3,900
5
832
21,370

00 j Due to other national banks
72 ! Due to State banks and bankers
00 |.
00 I Notes and bills re-discounted .
Bills payable
8, 630 00 j

133, 000 00
3, 629 00
980 00
112,415 03

1, 735 38

Total.

542,864 27 |

Total.

50, C O 00
O
36,113 86

542,864 27

First National Bank, Penn Yan.
No. 358.

J O H N C. SCHEETZ, Preside?!

Loans and discounts
,
O verdrafts
|
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
].
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
S pecie
Legal tender notes
TJ. S. certificates of deposit
19ue from U. S. Treasurer
Total




!

Capital stock paid in.

$108,706 74
72 85
50, 000 00

"*5,"oo6" 6*
5

419 98
887
597
540
1,400

00
77
00
00

'.. J

Surplus fund
Other undivided profits
National bank notes outstanding

6,245 13 State bank notes outstanding
484 95 1
8, 032 03 i Dividends unpaid
2,511 13 Individual deposits

j
;.

I
•
j
. . . . . |.
J
j_
|

GEO. H. L A P H A M , Cashier.

$50, 000 00
j
i

13, 000 00
4,500 11

1
j.

45, 000 00

66, 027 47

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

|
]

15, 600 00

2,!
194,

Total.

194,127 58

310

REPORT OP THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

Stissing National Bank, Pine Plains.
No. 981.

W. S. EBO, President.

F R E D . BOSTWICK, Cashier,

Resources.

Liabilities.
$146, 835 82
372 8!)
90, 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
v
.
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

2.37 58
2, 000 00
3,306 18
713 17
1, 712
3
235
3, 000

00
33
00
00

$90, 000 00

Capital stock paid in.,

25, 000 00
20,050 14

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

78,750 00

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

33,333 06

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

3, 332 63

4, 050 00

Total.

250, 465 88

250, 465 88

Total.

First National Bank, Plattsburgh.
A. GUIBORD, Cashier.

No. 266.

M. SOWLES, President.

$600,700 46
2,226 78
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

Capital stock paid in

$100, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

51,464 98
2, 763 38 I Dividends unpaid
3, 000 00 |
3, 993 68 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
1,167 i

\
j
!
j
i

475, 563 36

433 00 Due to other national banks
57 26
3,000 00 Due to State banks and bankers.
23, 000 00 Notes and bills re-discounted .
10, 000 00 Bills payable
4, 500 00
806,312 23

Total.

20,000 00
120, 361 13
90, 000 00

387 74

Total.

806, 312 23

Vilas National Bank, Plattsburgh.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, 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
J
Exchanges for clearing house
j
Bills of other banks
Fractional currency
1
Specie
Legal tender notes
U. S. certificates of deposit . . .
Due from U. S. Treasurer

!_

Total




J. M. WEVER, Cashier.

No. 321.

SAML. F. VILAS, President.

$100, 000 00

$553, 932 22 Capital stock paid in

'""ioo," 660*06"
64,581 03
4, 535 39
16, 38 3 05
1, 475 00
3, 232 76

Dividends unpaid

|

Individual deposits
j
United States deposits.
j
Deposits of D. S. disbursing officers.. {

235 00 Due to other national banks
400 01 Due to State banks and bankers
J 0, 000 00 Notes and bills re-discounted.
Bills payable
,
20, 000 00
4, 500 00
779,274 46 ;

20, 000 00
20,161 66
90, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

Total. .

547, 347 13

1, 477 31
288 36

779,274 46

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

311

IT O U K .

First National Bank, Port Chester.
ELWOOP BuRDSALL, President.

J. N. WILCOX, Cashier.

Liabilities.

Resources.

Loans and discounts
$202, 258 92 i| Capital stock paid in.,
Overdrafts
194 96
U. S. bonds to secure circulation
j
100, 000 00 Surplus fund
U. S. bonds to secure deposits
j
Other undivided profits
U. S. bonds on hand
|
25, 000 00
j
Other stocks, bonds, and mortgages.. |
3,200 00 National bank notes outstanding
i
Due from approved reserve agents... j
57, 924 41 State bank notes outstanding
Due from other banks and bankers .. I
2, 911 '48 Dividends unpaid.
Real estate, furniture, and
fixtures.-.j
1,600 00
Current expenses and taxes paid
j
4, 031 62 Individual deposits
Premiums paid
j
United States deposits
Checks and other cash items..
611 51 | Deposits of U. S. disbursing officers.
Exchanges for clearing house.
Bills of other banks
1,868 00 i Due to other national banks
.
Fractional currency
2 75 I Due to State banks and bankers .
Specie
126 42
Legal tender notes
17,658 00 | Notes and bills re-discounted .
Bills payable
17. S. certificates of deposit
Due from U. S. Treasurer
4,500 00
Total.

421, 888 07

Total .

$100, 000 00
20, 000 00
34, 127 94
89, 000 00
1,790 00
175,651 35
1,318 78

421,888 07

First National Bank, Port Henry.
F. S. AT WELL, Cashier.

No. 1697.

GL R. SHERMAN, 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
Premi urns paid .
Checks and other cash items
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, 070 70

CapH il stock paid in

!

100,000 00

Surplus fund
Other undivided profits .
National bank notes outstanding

'

20,000 00
10,568 26
88, 525 00

72,869 85

State bank notes outstanding
20, 700 00 Dividends unpaid
1,722 55
10,000 00 Individual deposits
[
94, 644 87
4, 431 05 United States deposits
..„.»-..
832 00 Deposits of U. S. disbursing officers.
Due to other national banks
529 22
172 00
369 20 Due to State banks and bankers .
600 0 ) Notes and bills re-discounted.
5,000-00 Bills payable
4, 500 00

314, 267 35

Total.

$100,000 00

Total

;

3L4, 267 35

First National Bank, Port Jervis.
C. F . VAN INWEGEN, Cashier.

rt. C. EVERITT, 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 .




$168, 278 88
351 48
100, 000 00

Capital stock paid in .

Surplus fund
Other undivided profits
2, 000 00 j National bank notes outstanding
State bank notes outstanding
7, 509 00 Dividends unpaid .
6, 025 39
2, 099 90 Individual deposits
7,211 50 United States deposits
454 01 Deposits of U. S. disbursing officers.

2, 236 00
602 73
232 90
16, 783 00

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

$100, 000 00
4, 600 00
5,237 64
88, 300 00
560 00
116,374 59

3, 183 97
28 59

4,500 00
318,284 79

Total .

318,284 79

RETORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

National Bank, Port Jervis.
No. 13(53.

H. H. FARNUM, President.

A. P. 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

$251,872 89
3, 174 86
131, 50 J 00

Capital stock paid in

j

$130, 000 00

Surplus fund
} Other undivided profits
j
4,635 00 National bank notes outstanding
,[
25, 757 74 State bank notes outstanding
7, 502 89
10,526 11 Dividends unpaid
1,712 75 Individual deposits
United States deposits
3,152 33 Deposits of U. S. disbursing officers.

25,080 89
6, 091 68

2, 022 00
490 86
884 61
9, 150 00
5, 01)0 00
5, 850 00

988 00
183, 209 68
2,061 82

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

4(>3, 232 07

Total.

115, 800 00

463, 232 07

Total

National Bank, Potsdam.
BLOOMFIELD USHER, 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..
Due from approved reserve agents...
Due from other banks and bankers .. j
Real estate, furniture, and fixtures. ..I
Current expenses and taxes paid
|
Premiums paid
I
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. 868.

LUKE USHER, Cashier.

$285, 370 70 Capital stock paid in
1, 335 72
200, 000 00 Surplus fund
Other undivided profits
55, 616
52, 554
3, 137
19, 458
5, 282

42
42
36
24
42

$200, 000 00
!
!

National bank notes outstanding
State bank notes outstanding
Dividends unpaid
J Individual deposits
j United States deposits
Deposits of U. S. disbursing officers..

40, 000 00
33,126 56
180, 000 00

188, 478 60

1, 120 00 Due to other national banks
Due to State banks and bankers.
670 88
7, 059 00 Notes and bills re-discounted .
Bills payable
10, 000 00
Total.

641,605 16

641,605 16

First National Bank, Poughkeepsie.
ROBERT SLEE, President.

Loans and discounts
Overdrafts
XL S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve 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
j
Specie
!
Legal tender notes
i
U. S. certificates of deposit
'
Due from U. S. Treasurer
j
Total




No. 465.
$232,315 00
464 00
160, 000 00

ZEBULON RUDD, Cashier.

Capital stock paid in

Surplus fund
Other undivided profits
8,622 19 National bank notes outstanding
44, 793 21 State banknotes outstanding
1, 522 36
5, 800 00 Dividends unpaid.
2, 763 47 Individual deposits
United States deposits
2, 642 03 Deposits of U. S. disbursing officers.
A,588 00
336 47
550 00
6,200 00

" 7 "260" 06"
474,796 73

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

$160, 000 00
20, 760 64
20, 553 66
142, 300 00

121,850 23

9, 332 20

Notes and bills re-discounted
Bills payable
Total

474, 796 73

REPORT OF THE COMPTROLLER OF THE CURRENCY. 313
NJ W
G

YORK.

City National Bank, Poughkeepsie.
No. 1305.

Jos. F. BARNARD, President.

A. H. CHAMPLIN, 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 . . *

$130,000 00

Capital stock paid in.

26, 249 72
6, 906 63

Surplus fund
Other undivided profits
National bank notes outstanding...
State bank notes outstanding

117,000 00

Dividends unpaid.

1,123 00

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

3 73, 665 44

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

48,315 90
28,791 53

Total

532, 052 22

Total.

Fallkill National Bank, Poughkeepsie.
No. 659.

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 notes
U. S. certiiieates of deposit
Due from U. S. Treasurer
Total.

$510,759 08
631 60
400, 000 00
60, 000 00
1, 300 00
7, 400 00
90, 960 66
48,828 12
38, 903 67
193 86
7 63
17, 249 86
5,
3,
9,
19,

786 00
146 39
606 04
050 00

JOHN F. HULL, Cashier.

Capital stock paid in .

$400, 000 00
100, 000 00
46,656 62

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

311,160 00

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

205,698 16
30,083 0L
33 60

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

15,749 41
90,484 81

5,013 00

21,055 70
1, 234, 878 61 j

Total.

1,234,878 61

Farmers and Manufacturers' National Bank, Poughkeepsie.
WM. A. DAVIES, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks.
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1312.

F. W. DAVIS, Cashier.

$567, 008 08 Capital stock paid in.
2,011 85
250, 000 00 Surplus fund
Other undivided profits
" "*15," 500*66"
17,194 70 National bank notes outstanding
60, 325 75 State bank notes outstanding
77, 955 65 Dividends unpaid .
49,544 48
6, 024 20 Individual deposits
United States deposits
10,434 12 Deposits of U. S. disbursing officers
6,101
1,696
4,647
21,103

00 Due to other national banks
07 Due to State banks and bankers . . 00
00 Notes and bills re-discounted.
Bills payable
,
11,250 00

1,100, 795 90

Total

$250, 000 00
90, 000 00
112, 482 53
209,415 00
2, 995 00
389,175 41

45,380 16
1,347 80

1,100, 795 90

314

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

Merchants' National Bank, Poughkeepsie.
W. C. FONDA, Cashier.

No. 1360.

JAMES EMOTT, President.

Resources.
Loans and discounts
Overdrafts
|
U. S. bonds to secure circulation
j
U. S. bonds to secure deposits
>
U. S. bonds on band
..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
j
Premiums paid
I
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
•
Total.

Liabilities.
$531,026 79 Capital stock paid in
320 40
110, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
151,198 66 State bank notes outstanding
181,018 30 Dividends unpaid.,
41, 480 57
3, 767 55 Individual deposits
United States deposits
4, 996 08 Deposits of U. S. disbursing officers.
11,148 00 Due to other national banks
736 01 Due to State banks and bankers
2, 763 35
31,490 00 ^Totes and bills re-discounted
Bills payable
4,950 65
1,080,900 71

$175,000 00
180, 000 00
17,419 24
98, 000 00

313,470 92
248, 533 42
48,477 L3
\
1,080,900 71

Total.

Poughkeepsie National Bank, Poughkeepsie.
THOS. L. DAVIKS, President.

REUBEN ]STORTH, Cashier.

No. 1306.

$314,975 88 !; Capital stock paid in ..
Loans and discounts
•
964 15
Overdrafts
;
233, 500 00 ! Surplus fund.
U. S. bonds to secure circulation
II. S. bouds to secure deposits
Other undivided profits
U. S. bonds on hand
| .
1,025 00 ji National lank notes outstanding —
Other stocks, bonds, and mortgages..;
.
33,553 09 ! State bank notes outstanding
Due from approved reserve agents. ..j
91,218 53 i Dividends unpaid .
Due from oth«r banks and bankers...j
28, 762 00 I
Real estate, furniture, and fixtures.. .1
3, 477 42 1 Individual deposits
Current expenses and taxes paid
j
Premiums paid
j. United States deposits
Cheeks and other cash items
j
3,684 50 Deposits of U. S. disbursing officers.
Exchanges for clearing house
j..
5,5d3 C il Due to other national banks
O
Bills of other banks.
|
93 40 !'
Fractional currency
2,366 50 ! Due to State banks and bankers
Specie
4,920 00 ! Notes and bills re-discounted
Legal tender notes.
U. S. certificates of deposit
.:..
Bills payable
Due from U. S. Treasurer

$250, 000 00
66,444 46
7,511 89
200,150 00
1, 424 00
134, 450 97
63,701 03
418 57

724, 100 97

Total .

Pulaski National Bank, Pulaski.
CHAS. A. CLARK, President.

Loans and discounts
\
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.. 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
j
Legal tender notes
!
U. S. certificates of deposit
|
Due from U. S. Treasurer
Total.




No. 1496.

JAS. A. CLARK, Cashier.

$37, 953 25 j Capital stock paid in.
1,196 55 j|
50, 000 00 Surplus fund
Other undivided profits.
6, 600 00
National bank notes outstanding
36, 220 44 State bank notes outstanding
1, 469 33
10, 000 00 Dividends unpaid .
846 73 Individual deposits
United States deposits
1,005 36 Deposits of U. S. disbursing officers.
4, 556 0 0 iI Due
6 45 I Due
70 oo !!

to other national banks
to State banks and bankers
2, 450 00 || Notes and bills re-discounted.
Bills pay able
2, 250 00

154,624 11

Total.

$50, 000 00
6, 625 00
2, 648 39
43, 000 00

52, 235 93

114 79

154, 624 11

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

Y O

315

RK.

First National Bank, Red Hook.
No. 752.

R. L. MASSONNEAU, President.

J. S. GROUSE, 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..

$130, 425 04
341 04
150, 000 00
60. 000 00

22,362 50
3,498 89
8, 000 00

$150,000 00

Capital stock paid in.
Surplus fuud
Other undivided profits
National bank notes outstanding
State bank notes outstanding

134, 505 00

Dividends unpaid.

j Individual deposits
United States deposits
902 55 Deposits of U. S. disbursing officers 2,-355 00
150 57
678 10
11, 760 00

29,000 00
16, 674 16

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

60, 567 98

6, 717 50

6, 990 95
Total .

397,464 64

397,464 64

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 bankers ..
Real estate, furniture, and 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«gal tender notes
IT. S. certificates of deposit
Due from U. S. Treasurer

$291,788 92
""I25,"o66'oo"

1, 212 20

94 31
752
205
625
6, 000

00
00
25
00

5,625 66

Capital stock paid in.

$175, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid .

36, 000 00
18,251 97
112,500 00
800 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

433, 999 28

Total.

J. H. THORN, Cashier.

Total.

89, 943 64

1,503 67

433, 999 28

Flour City National Bank, Rochester.
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 £nd bankers Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer




$818,115 74
610 6L
235, 000 00
50, 000 00
85,177 67
37, 494 59
4,704 18
10, 520 20
5,919 00
325 32
895 00
15, 000 00
30, 000 00
11, 575 00
1, 305, 337 31

Total .

H. Ex. 3-

WM. AUG. WATERS, Cashier.

No. 1362.

FRANCIS GORTON, President.

-17

Capital stock paid in .

$300.. 000 00
100, 000 00
70, 610 50

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

211, 500 00

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

426, 364 43
26, 028 23
175 04

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

81,029 12
43, 761 17
45, 868 82
1, 305, 337 31

316

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

Traders' National Bank, Rochester.
S. L. BREWSTER, President.

No. 1104.

H. C. BREWSTER. Cashier*

Resources.

Liabilities.

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..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency-'.
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$593,291 8.1 Capital stock paid in .
1,735 11 !
171, 000 00 i! Surplus fund
Other undivided profits

50, 000 00
166, 230 62

1, 074 24 || National bairk notes outstanding
54,008 11 |iState bank notes outstanding
23, 017 64 || Dividends unpaid.
2, 572 00 '

24,324 91

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

5, 400 00 Due to other national banks
237 13 Due to State banks and bankers
11,745 00
35, 000 00 Notes and bills re-discounted
"7,695 66' Bills payable
931, 100 97

Total .

$250, 000 00

Total

153, 900 00

301,177 84

9,541 15
251 36

931, 100 97

First National Bank, Rome.
IDW. HUNTINGTON, President.

F. H. THOMAS, Cashier.

No. 1414.
$137,833 05
3, 477 92
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

1, 425
•23, 534
929
16, 528
],3U0

00
58
30
81)
84

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits .
j National bank notes outstanding
State bank notes outstanding
.
! Dividends unpaid .
[

2, 043 81

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

170 00 Due to other national banks
309 30 I Due to State banks and bankers
300 00
2,945 00 Notes and bills re-discounted.
Bills payable
4,500 00

Total.

17, 500 00
13,523 31
90,000 00
255 00
73,168 19
683 67
167 46

295,297 63

295, 297 63

Central National Bank, Rome.
No. 1376.

S. B. STEVENS, President.
Loans and discounts
Overdrafts

j
j

$196, 507 96
1,823 64

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 .. j
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
j
Exchanges for clearing house
!
Bills of other banks
;
Fractional currency
j

C. S. GRTFFIN, Cashier.

Capital stock paid in .

98, U00 00

Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer .
Total




Surplus fund
Other undivided profits
15, 496 04 National bank notes outstanding
14, 255 08 State bank notes outstanding
6, 7)2 72
10, 267 55 Dividends unpaid .
1, 976 77 Individual deposits.
United States deposits
13, 294 57 Deposits of U. S. disbursing officers.
1, 094 00
1, 863 SQ
8, 150 00

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

$97, 560 00
20, 000 00
12, 569 27
87, 800 00
159 00
153, 959 81

1,894 11

•4,'566'uo"
373,942 19 |

Total.

373,942 19

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

Y O

317

UK.

Fort Stanwix National Bank, Rome..
DAVID UTLEY, President.

No. 1410.

GEO. BARNARD, 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.

$416,520 56 Capital stock paid in .
1,307 74
140, 000 00 Surplus fund
Other undivided profits
5, 638 54 National bank notes outstanding
33, 572 08 State bank notes outstanding
3, 958 24 Dividends unpaid.
5, 51)0 00
452 07

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

855 00 Due to other national banks
t>6 00 Due to State banks and bankers
1.300 00
Notes and bills re-discounted
17, 885 00
Bills payable
6,300 66.
Total.
633, 355 23

$150, 000 00
30, 000 00
68,266 01
126, 000 00

258,569 62

221 25
298 35

633, 355 23

First National Bank, Rondout.
No. 34.

THOMAS CORNELL, President.

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

CHARLES BRAY, Cashier.

$596, 467 48 Capital stock paid in.
7, 586 34
307,000 00 Surplus fund
Other undivided profits
4,500 00 National bank notes outstanding
21, 943 79 State bank notes outstanding
22,912 56
5, 500 00 Dividends unpaid.
Individual deposits
United States deposits
6, 508 93 Deposits of U. S. disbursing officers..
00 Due to other national banks
74 Due to State banks and bankers
00
00 Notes and bills re-discounted .
Bills payable
14, 500 00

2.391
1, 526
1, 420
30, 000

$300, 000 00
100, 000 00
26,583 75
276, 300 00

7, 582 50
210, 458 52

99,614 19
1,717 88

1, 022, 256 84

1, 022, 256 84

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..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items.
Exchanges for 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. NEWKTRK, Cashier.

$206,766 65 Capital stock paid in.
3, 969 64
200, 000 00 Surplus fund
Other undivided profits
""26*606 65"
3, '200 00 National bank notes outstanding
30, 617 68 State bank notes outstanding
8,177 61
6, 000 00 Dividends unpaid.
1,671 43 Individual deposits
United States deposits
1,804 50 Deposits of U. S. disbursing officers.
25, 900 00 Due to other national banks
412 40 Due to State banks and bankers.
1,300 00
18, 000 00 Notes and bills re-discounted.
Bills payable
9, 000 00
536,819 91

Total.

$200, 000 00
50,000 00
9, 550 96
180,000 00
5, 000 00
576 00
87, 928 35

3,764 60

536, 819 91

318

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

National Bank, Salem.
No. 1127.

C, L. ALLEN, President.

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
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.

Liabilities.
$253, 002 46 Capital stock paid in.
2, 993 63
80, 000 00 Surplus fund
Other undivided profits

$100,000 00
30, 000 00
48, 478 84

41,785 00
20,379 91
20,931 37
3, 500 00
2, 114 57
1,000 00
7, 800 07

National bank notes outstanding . .
State bank notes outstanding

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

210, 445 22

865 00
92 37
1,755 90
11, 742 00
10, 000 00
3, 600 00

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

2,222 14
588 75

Dividends unpaid .

466,612 30

71, 695 00
126 00

3, 056 35
466, 612 30

Total.

First National Bank, Sandy Hill.
No. 184.

N. W. WAIT, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, 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..

$155,850 21
3 78
75, 000 00
43,
30,
7,
6,
3,

856
843
891
000
356

00
86
]0
00
58

8,169 38
144 00
15 55
465 75
5, 100 00
5, 000 00
3, 375 00

W. M. COLLIN, Cashier.
$75, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding ....

15,000 00
3, 629 52
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

665 86

350, 071 21

Total.

350,071 21

189,175 83

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
Legal tender notes
U. S. certificates of deposit.,
Due fromU. S. Treasurer..,
Total.




JNO. S. LEAKE, Cashier.

No. 893.

$271,216 96 ! Capital stock paid in .
2,848 30
100, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
58,679 10 State bank notes outstanding
407 80 Dividends unpaid.
337 83

3, 079 81
1,886 00
84 75
5,317 55
12, 495 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

$100, 000 00
20, 000 00
19,293 33
89, 600 00

227, 623 52

9,190 75
645 50

10, 000 00.
466,353 10 |!

Total.

466, 353 10

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

319

TORK.

Commercial National Bank, Saratoga Springs.
S. H. RICHARDS, Cashier.

J O H N T. CARR, 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

$251, 558 54 Capital stock paid in.
2,261 91
100,000 00 Surplus fund
Other undivided profits
57, 612 62 National bank notes outstanding
34,041 70 State bank notes outstanding
13,548 17
29, 576 00 Dividends unpaid
3,951 71 Individual deposits
United States deposits
3,110 20 Deposits of U. S. disbursing officers.
2,334 00
1, 290 8!)
2, 800 00
24, 592 00
""'4,"500*00"

Due to other national banks
Due to Stare banks and bankers

$100,000 00

j
j
|
j

74,000 00
2, 734 49
. 9 0 , 000 00

i

...
243, 986 75

|
I

16, 890 33
3, 506 26

Notes and bills re-discounted........ j
Bills payable
,.
!

531,177 8.3

Total.

I

Total.

531,177 83

First National Bank, Saugerties.
JNO. KlERSTED, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers ,
Real estate, furniture, and fixtures..
Current expenses 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

$281,930 68
1, 575 28
169, 000 00
9,154 62
14,392 36

$200, 000 08

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

14,527 94 Dividends unpaid .
1,022 26 Individual deposits
14, 000 00 Un ted States deposits
5, 799 39 Deposits of U. S. disbursing officers 2, 688 00
1, 047 33
690 68
10,200 00

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

7, 605 00
Total.

533, 633 54

Total.

P. M. GrILLESPY, Cashier.

No. 1040.

21, 052 34
5, 737 56
150, 373 08
585 00
136, 222 63

4,663 01

15, 000 00
533, 633 54

Saugerties National Bank, Saugerties.
WM. 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.

JOHN HOPKINS, Cashier.

$127,648 81 Capital stock paid in .
1, 362 82
120, 850 00 j Surplus fund
Other undivided profits
6, 249 29 National bank notes outstanding
State bank notes outstanding
9, 797 28 i Dividends unpaid .
17, 465 40
1,149 46 Individual deposits
United States deposits
1,982 22 Deposits of U. S. disbursing officers.
4,262 00
2,011 63
3, 950 00

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

$125, 000 00
8, 840 88
4, 096 25
108, 675 00
575 25
40, 549 33

14, 427 20

5, 435 00
Total.

302,163 91

320

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

VOK K .

Mohawk National Bank, Schenectady.
GEO. G. M.'XOM, President.

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

$588, 430 76 I
1, 447 82 !
100,000 00 I

Capital stock paid in.

20, 0Q0 00
55, 555 81
90, 000 00
1,099 76

2, 687 50 Individual deposits
United States deposits
2, 519 50 Deposits of U. S. disbursing officers.

703,534 66

10, 037 00 I Due to other national banks
Due to State banks and bankers . . .
487 21
35, 000 00 Notes and bills re-discounted
Bills payable
" 7," 300 "66 |

9,514 41
6,011 77

985,716 41

Total.

,100, 000 00

Surplus fund
Other undivided profits.
50, 000 00 j
13, 637 50 | National bank notes outstanding
159,195 77 State bank notes outstanding
973 35 !
14,000 00 Dividends unpaid .

Total.

985,716 41

Schoharie County National Bank, Schoharie.
JAS. O. WILLIAMS, Cashier.

No. 1510.

FRANKLIN KRUM, President.

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

$124,208 19 Capital stock paid i n .
2,772 12
100, 000 00 Surplus fund

$100,000 00
19, 500 00
523 46

Other undivided profits

34,185 20
6, 470 00

National b a n k notes outstanding
State b a n k notes outstanding . . . . . . .

90, 000 00

8, 500 00 Dividends unpaid .
131 50 Individual deposits
2, 900 00
6, 256 00
7L
49 00
5, 000 00

70,869 93

United States deposits
Deposits of U. S. disbursing officers.
Due to other national b a n k s
D u e to State banks a n d b a n k e r s .

1,079 33

Notes and bills re-discounted.
Bills p a y a b l e

Tctal.

13, 000 00

Total.

294, 972 72

National Bank, Schuylerville.
C. W. MAYHEW, 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... j
Due from other banks and bankers .. j
Real estate, furniture, and fixtures.. .1
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 f "om U. S. Treasurer
Total.




G. F. WATSON, Cashier.

No. 1298.
$22-1,957 3T ! Capital stock paid in
2,833 23 i
100,000 00 j ;Surplus

fund
Other undivided profits..
4, C O 00 j j
O
National bank notes outstanding . . .
State bank notes outstanding
8, 305 99
Dividends unpaid.
4,000 00 i
870 26 i

Individual deposits
,
; United States deposits
{
1,7:20 8L i| Deposits of U. S. disbursing officers.

2, osn oo Due to other national banks
1,615 63

Due to State banks and bankers

Notes and bills re-discounted...
3,000 00
5,000 0.J , Bills payable
4,500 00
3S4, 889 22

Total.

$100, 000 00
•

16,000 00
7, 292 38
90, 000 00
28 00
131,923 05

1, 833 97
317 82
17,494 00

364, 889 22

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

321

YORK.

First National Bank, Seaeca Falls.
ALBERT COOK,

No. 102.

Presiamt.

D.

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..

$62,154 29
1,258 37
60, 000 00
50, 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

29,574 01
6,876 04
11,465 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

12, 000 00

1,423 56
1, 423
4
643
10, 000

00
58
00
00

Capital stock paid in .

$60,000 00

Surplus fund
Other undivided profits .

44,410 26
6,371 39

National bank notes outstanding
State bank notes outstanding

13, 530 00

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

102, 035 63
19, 665 30
561 64

Due to other national banks
Due to State banks and bankers

3, 447 43

Notes and bills re-discounted.
Bills payable

2, 700 00
250,021 85

Total-

250,021 85

Total.

ERASTUS PARTRIDGE, Cashier.

National Exchange Bank, Seneca Falls.
No. 1240.

J. B. 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.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid . . .
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
f

$205,195 61 !| Capital stock paid in
2,841 76 li
100,000 oo j; Surplus fund
Other undivided profits

$100, 000 00
25,000 00
20, 259 44
80, 000 00

National bank notes outstanding
48, 037 32 I State bank notes outstanding
38, 554 83 j Dividends unpaid.
:,184 32 jj
463 47

35 00
186, 367 91

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

958 00 ij Due to other national banks
Due to State banks and bankers

1, 7.99 53
1, 598 26

127 83 |i
2, 000 00 j]

9,597 00 || Notes and bills re-discounted
Bills payable

"" 4,500 66 p

Total.

415,060 14 i |

Total.

NORMAN H. BECKER, Cashier.

415,060 14

Slierbnrne National Bank, Sherburne.
JOSHUA PRATT, 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 clearinghouse
Bills of other banks
Fractional currency
S pecie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1166.

$104,744 18

H. T. DUNHAM, Cashier.

Capital stock paid in

$100,000 00

"" 100,000 00 Surplus fund
O ther undivided profits

35, 543 00

50, 000 00
9, 582 43
88,000 00

National bank notes outstanding.

37, 063 82
13,582 51
3, 749 48
1, 111 07

i

State bank notes outstanding
Dividends unpaid . . . . =,

j

Individual deposits
I
602 00 United Stale* deposits
]
Deposits of U. S. disbursing officers.. I
2,715 00 I Due to other national banks
20 91 | Due to State banks and bankers.

70,690 64
258 93

400 00 S

14, 500 00 j Notes and bills re-discounted.
Bills payable
4,500 00 |
j
Total.
318, 532 00 i

318,532 00

322

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

First National Bank, Sing Sing.
C. F. MAURICE, President.

No. 471.

ISAAC B. NOXON, Cashier.

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
Due from U. S. Treasurer
Profit and loss
Total.

Liabilities.
$245, 300 00 Capital stock paid in
$100,000 00
565 25
100,000 00 j Surplus fund
36,000 00
I Other undivided profits
j
772 50
!'
90,000 00
35,534 19 ! National bank notes outstanding
27, 508 27 | State bank notes outstanding
5, 562 62
620 00
30, 400 00 Dividends unpaid .
254 84 I Individual deposits.
.
.
247, 086 71
| United States deposits
865 90 Deposits of U. S. disbursing officers.
676 00
94 00
2, 077 00
12, 000 00
4, 51:0 00
18,729 41

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

484,067 48

Total.

6, 457 36
3,130 9L

484, 067 48

Farmers and Drovers' National Bank, Soniers.
WILLIAM 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..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 1304.

A. B. THACKER, Cashier.

$249,431 23 Capital stock paid in
4, 320 00
85, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
18,110 49 State bank notes outstanding
890 43
6, 830 50 Dividends unpaid .
1, 268 2i Individual deposits
United States deposits
2, 230 90 Deposits of U. S. disbursing officers .
1, 076
132
160
6, 425

00 Due to other national banks
64
00 Due to State banks and bankers .
00 Notes and bills re-discounted.
Bills payable
3, 825 00
379, 703 40

Total.

$166,700 00
21, 000 00
10,364 58
76, 500 09

104,215 77

923 05

379,703 40

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, 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..




N. G. DODGE, Cashier.

No. 375.

$86, 344 22 Capital stock paid in .
690 36
75, 000 00 Surplus fund
Other undivided profits
3, 000 00 National bank notes outstanding
15,287 98 State bank notes outstanding
61 10
25,612 61 Dividends unpaid..
1,322 07

654 35
2, 055
34
69
10, 825

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

00 Due to other national banks
22 Due to State banks and bankers .
10
00 Notes and bills re-discounted.
i| Bills payable

223,845 87 il

Total..

$75, 000 00
11, 000 00
2, 563 46
67, 500 00

67, 613 77

168 64

223, 845 87

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

323

YORK,

First National Bank, Syracuse.
No. 6.

E. B. JUDSOX, President.

G. B. LEONARD, Cashier.

Resources.
Loans and discounts
Overdrafts
XJ. 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.
$588, 659 23 Capital stock paid in .
536 54
278, 000 00 Surplus fund..-..^
Other undivided profits
11, 200 00 National bank notes outstanding
232,697 19 State bank notes outstanding
85, 530 94 Dividends unpaid .
7, 632 60 Individual deposits
,
812 73 United States deposits
26, 724 85 Deposits of U. S. disbursing officers

$250, 000 00
50, 000 00
140, 001 59
250, 000 00

593, 466 03

3, 638 00 Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable
Total

Total

1, 286, 206 9(1

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

$416,043 45

$300,000 00

Capital stock paid in.

275, 000 00
100, 000 00

Surplus fund
Other undivided profits.
6, 615 00 National bank notes outstanding
32,231 45 State bank notes outstanding
16, 753 97 Dividends unpaid

4, 450 33
4, 255 00
121 28

500 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

60, 000 00
23, 388 87
.247, 500 00

200,929 83
42, 833 28
2, 684 66
1, 0U8 84

12, 375 00
878, 345 48

Total.

G. S. LEONARD, Cashier.

No. 159.

Total.

878, 345 48

Merchants' National Bank, Syracuse.
R. N. GERE, President.

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




No. 1342.
$368,142 07
1,519 21
143,500 00

40,010 38
24, 634 64
2,261 97
3,817 67
3, 012 87

E. R. PLUMB, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

50, 000 00
52,381 61
329,150 00

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

5, 000 00 Due to other national banks
2 46 Due to State banks and bankers
600 00
15, 000 00 Notes and bills re-discounted.
Bills payable
6, 457 50
6L3, 988 77

$180,000 00

Total.

198,386 49

1. 885 37
2,185 30

613,988 77

324

REPORT OF THE COMPTROLLER OF THE
NEW

YORK.

Salt Springs National Bank, Syracuse.
A. A. HOWLETT, President.

No. 1287.

THOS. J. LEACH, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bondB 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
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$370,750 68 Capital stock paid in.
430 91
111,000 00 Surplus fund
Other undivided profi ts
National bank notes outstanding
26,236 55 State bank notes outstanding
13, 299 83 Dividends unpaid.
Individual deposits
United States deposits
15,396 96 Deposits of U. S. disbursing officers.
" 6*422"66" Due to other national banks
Due to State banks and bankers .
8, 370 80
16, 000 00 Notes and bills re-discounted
Bills payable
"" 4,995 66
573, 340 73

Total.

Total.

$200, 000 00
40, 000 00
11,493 35
99, 900 00

220, 738 34

1, 209 04

573, 340 73

First National Bank, Tarrytown.
LUTHER R E D F I E L D , President.

JACOB ODELL, Cashier.

No. 364.

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

$1.76, 586 90 Capital stock paid in.
200 00
1C0, 000 00 Surplus fund
i"5o6 66 Other undivided profits
36,624 13 National bank notes outstanding . . .
State bank notes outstanding
35,125 05
1,900 68 Dividends unpaid .
1,933 49
2, 8L4 81 Individual deposits
United States deposits
64 L 26 Deposits of U. S. disbursing officers.

$100,000 00

1, 160 00 Dtie to other national banks
113 39 Due to State banks and bankers . . .
1, 400 00
11,126 00 Notes and bills re-discounted..
Bills payable
4, 500 00

4, 894 71
1, 017 35

375,625 7L j

Total.

25, 000 00
6, 540 31
90, 000 00
160 00
148, 013 34

375, 625 71

First National Bank, Troy.
THOS. COLEMAN, President.
Loans and 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
v.
Fractional currency
Specie
.'
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 163.

R. II. THURMAN, Cashier.

$364, 659 86 i I Capital stock paid in
275,000 00 i Surplus fund
125, 000 00 I Other uudivided profits.
54, 750 00 I
29,750 00 | National bank notes outstanding
82,252 33 I State bank notes outstanding
18, 239 90 iDividends unpaid.
12,904 11 I
4 232 06 ;
12, 872 23 IIndividual deposits
United kStates deposits
37,546 91 '[ Deposits of U. S. disbursing officers..
-!l

2,471 00 Due to other national banks
4,980 65 Due to State banks and bankers .
3, 003 00
1,000 00 :j Notes and bills re-discoun+ed.
10,000 00 ij Bills payable
13,367 20 ;|
1, 052, 029 30

Total

-$300, 000 00
60, 000 00
76,259 55
246,100 00
8 01
262, 657 46
47, 702 24
1,545 63
27,256 41

30, 500 00
I,' 052, 029 30

REPORT OF THE COMPTROLLER OP THE CURRENCY.
W

325

YORK.

Central National Bank, Troy.
No. 1012.

G. C. BURDETT, President.

A. W. WlCKKS, 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...
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

$504,744 88
218 25
125, 000 00

Surplus fund
2,*5Oo'66' Other undivided profits
41,603 32 National bank notes outstanding . . .
State bank notes outstanding
61,204 22
13,054 12 I.
1Dividends unpaid .
52,024 97 i
4,304 44 Individual deposits
United States deposits
12, 523 47 Deposits of U. S. disbursing officers.
6,451
118
1,226
19, 400

00
23
00
00

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

30, 500 00
11,777 99
112,500 00
350 00
373,566 91
3, 171 79
21, 099 76

8, 593 55 i
{
852, 966 45

Total .

852, 966 45

Total.

$300, 000 00

Capital stock paid in .

Manufacturers' National Bank, Troy.
HENRY E. W E E D , President.

C. M. WELLINGTON, Cashier.

$1,310,810 54
Loans and discounts
400 00
Overdrafts
150, 000 00
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U.S.bonds on hand
Other stocks, bonds, and mortgages., j
59, 272 93
50, 292 25
Due from approved reserve agents...
Due from other banks and bankers...
46, 264 82
Real estate, furniture, and fixtures...
24, 700 00
Current expenses and taxes paid
Premiums paid
5,500 00
Checks and other cash items
22, 970 30
Exchanges for clearing house
2, 772 00
Bills of other banks
562 55
Fractional currency
7,928 00
Specie
15, 766 00
Legal tender notes
75, 000 00
U. S. certificates of deposit
6, 750 00
Due fromU. S.Treasurer

Surplus fund
Other undivided profits National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

150,000 00
6, 222 80
128,600 00
178 00

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

1, 273, 916 36

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

59, 593 73
10, 508 50

1,779,019 39

Total.

$150,000 00

Capital stock paid in.

Total .

1,779,019 39

Mutual National Bank, Troy.
C. H AY N ES,

President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses 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. 992.

G-. H. SAGENDORF, Cashier.

$518, 612 79 I Capital stock paid in.
1,226 97 |
188, 500 00 j Surplus fund
Otht-r undivided profits .
27, 450 00
7, 000 00 I National bank notes outstanding
88,081 24 I State bank notes outstanding
34,667 42
23, 375 00 Dividends unpaid .
5,087 13 Individual deposits
United States deposits
Deposits of U. S. disbursing officers .
3, 746 47

$250, 000 00

5,541 00 Due to other national banks
1,092 19 ! Due to State banks and bankers .
5,378 00
25, 000 00 Notes and bills re-discounted Bills payable
8, 482 50

23, 676 23

943,240 71

Total.

50, 000 00
32,096 04
168, 548 00
276 00
418,644 44

943,240 71

326

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

National Exchange Bank, Troy.
WILLIAM GURLEY, President.

No. 621.

SHEPARD TAPPEJST, 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
I
Other stocks, bonds, and mortgages . . I
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
I
Bills of other banks
Fractional currency
j
Specie
J
Legal tender notes
j
U. S. certificates of deposit
i
-Due from U. S. Treasurer
I
|Total.

$155, 368 59
3, 837 99
100, 000 00

Capital stock paid in

I

$100, 000 00

Surplus fund
Other undivided profits

10, 000 00
5, 809 47

5, 000 00 i National bank notes outstanding
33, 986 04 j State bauk notes outstanding
10, 843 54
12,000 00 I Dividends unpaid
J,187 55
Individual deposits
United States deposits
12,919 43 Deposits of U. S. disbursing officers

90, 000 00

1,297
20
2, 450
4, 700

0.') ' Due to other national banks
56
Due to State banks and bankers
00
00
Notes and bills re-discounted
Bills payable
4, 500 00

348, 110 70

Total.

114, 327 91

8, 846 28
19, 127 04

318,110 70

National State Bank, Troy.
No. 991.

HENRY INGRAM, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages...
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, 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.

$1,356,658 75
1,451 04
227, 500 00

W I L L A R D GAY, Cashier.

Capital stock paid in

$250,000 00

Surplus fund
Other undivided profits

70, 003 00
23,074 57

14,125 00 National bank notes outstanding...
State bank notes outstanding
148, 905 10
13,276 52 i
Dividends unpaid
22, 333 60 j
3,499 92
Individual deposits
8, 940 31 | United States deposits
,
6,412 71 Deposits of U. S. disbursing officers.

167,500 00

73,'5Oo'6o"

13, 400 00 Due to other national banks
649 23 Due to State banks and bankers
3, 700 00 i
91,500 00 Notes and bills re-discounted
Bills payable
9, 270 00
Total

1, 995, 127 21

1,455,257 72

2,029 85
27,265 07

1,995, 127 21

Troy City National Bank, Troy.
J O H N B. PIERSON, President.

Lr ans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. 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 cf oihe • banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer .
Total.




No. 640.
$603, 090 99
100 44
300, 000 00

GEO. A. STONE, Cashier.

Capital stock paid in

$300, 000 00

Surplus fund
O ther undivided profits

11, 500 00
24,001 45

5, 650 00 I National bank notes outstanding
State bank notes outstanding
148, 652 30
44, 028 08
Dividends unpaid
20, 000 00
6, 760 88 Individual deposits
.....
United States deposits
16,887 56
Deposits of U. S. disbursing officers

270, 000 00

"""is'ooo'oo",

Due to other national banks
36, 605 00
3,975 00 |i Due to State banks and bankers
3, 35L 79 I!
37,882 00 j !
Notes and bills re-discounted
30, 000 00 ii Bills payable
13, 500 # 00 ; |
1 , 2 8 5 , 4 8 4 04 j |

Total -

211 50
665, 078 05

14, 693 04

1, 285 484 04

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

327

YORK.

Union National Bank, Troy.
No. 963.

HIRAM SMITH, President,

ADAM R. SMITH, Cashier.

Resources.
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 . . 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 depositDue from U. S. Treasurer

$643, 710 07
191 83
225, 000 00
1,050 00
28,
40,
10,
2,

85-3
150
325
536

62
93
99
35

9, 080 1
10, 339
350
328
11,000
20, 000
18, 098

00
86
47
00
00
20

60, 000 00
36,829 05

Surplus fund
Other undivided profits
National bank notes outstanding...
State bank notes outstanding

202, 000 00
704 00

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

379, 498 43

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

41,556 07
427 68

Notes and bills re-discounted
Bills payable

1, 021, 015 23

Total.

$300, 000 00

Capital stock paid in

Total..

1,021,015 23

United National Bank, Troy.
E. THOMPSON GALE, President.

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

No. 940.
$536, 574 53
925 23
120, 000 U
0

"""so"660*06'
16, 000 00
164, 303'84
20, 473 71
20,000 00
2, 468 97
4, 891 50
10, 594 09
5,139 00
1, 552 87
2, 245 00
12,000 00
40,000 00
8, 164 12

GEO.

H. PERRY, Cashier.
$240, 000 09

Capital stock paid in.
Surplus fund
Other undivided profits

54, 000 00
17,225 47

National bank notes outstanding.,
State bank notes outstanding

103, 500 00

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

472, 028 98

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

12, 522 32
116, 056 09

Notes and bills re-discounted.
Bills payable

1, 015, 332 86

Total

1, 015, 332 86

First National Bank, Union Springs.
C. T. BACKUS, President.

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




No. 342.
$126, 752 08
3,819 52
100, 000 00
13,823 78
8, 726 74
4,160 29
2,081 13
492 72
3,212 00
220 93
800 00
5,000 00

M.

F. BACKUS, Cashier.

Capital stock paid in.

,$100,000 00

Surplus fund
O ther undivided profits

20, 000 00
11,140 83

National bank notes outstanding
State bank notes outstanding

90, 000 00

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

44,454 27

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

1,694 09

Notes and bills re-discounted.
Bills payable

6, 300 00

4, 500 00
273,589 19

Total.

273,589 19

328

REPORT OP THE COMPTROLLER OF THE CURRENCY.
WE W

YORK.

First National Bank, Utica.
'No. 1395.

P. V. ROGERS, President.

J O H N A. G O O D A L E , 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.
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..
C u r r e n t expenses and taxes paid
P r e m i u m s paid
Checks and 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
Xiegal tender notes
U. S. certificates of deposit
D u e from U. S. Treasurer

$1,134,195 25
1,36L 94
400, 000 00
181,300 00
1(5, 005 74
136, 576 75
41, 868 2^
28, 084 47,.
13,443 5b"
9, 438 28
"5," 252 'OO
464 24
50, 000 00

18,000 66

Capital stock paid in

$600, 000 00
90, 000 0Q
155, 797 60
360, 000 00
6,160 00
4,966 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, 035, 990 49

Total.

j

Surplus fund
Other undivided profits
National bank notes outstanding...
State bank, notes outstanding

Total.

804, 852 21

13, 698 27
515 91

2, 035, 990 49

Second National Bank, Utica.
No. 185.

T. S. FAXTON, 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, aud 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 .

G. R. THOMAS. Cashier.

$324, 304
465
274, 000
60, 000

39 Capital stock paid in.
95
00 Surplus fund
00 Other undivided profits .
National bank notes outstanding...
76, 030 35 State bank notes outstanding
23,389 94 Dividends unpaid .
4, 000 C
O
3, 532 32 Individual deposits
United States deposits
4,921 78 Deposits of U. S. disbursing officers.

3, 730 00 Due to other national banks
769 67 Due to State banks and bankers —
6, 705 00 Notes and bills re-discounted.
Bills payable
""l2,330 66
794, 199 40

$300, 000 00

34,100 00
21,593 16
246, 600 00
352 00
143,523 82
39, 954 42
4, 341 77
1,874 87
1, 859 36

794,199 40

Total.

Oneida National Bank, Utica.
A. J. WILLIAMS, 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
C hecks 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 .




No. 1392.

R. S. WILLIAMS, Cashier.

$654, 378 21
Capital stock
1, 092 25 !
340, 00'J 00 ' Surplus fund

paid in.

Other undivided profits
"* 162'260* 66 >
;
4,656 70 i National bank notes outstanding...
State bank notes outstanding
82, 487 22
24, 933 31
Dividends unpaid .
23,266 18
9, 691 52

Individual deposits
United States deposits
3, 059 43 Deposits of U. S. disbursing officers.
4, 426
370
37, 283
10, 000

00 Due to other national banks
00 Due to State banks and bankers
00
00 Notes and bills re-discounted.
Bills payable
Total.

$400, ooa 00
80, 000 00
49, 006 26
306, 000 00
1, 755 0%
450,411 34

25, 036 86
934 3 >
C

1, 313,143 82

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

329

Y On K.

Utica National Bank, Utica.
No. 1308.

J. E. WARNER, President.

C. S. SYMONDS, 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.
$480,459 26 Capital stock paid in.
4, 309 37
142, 000 00 Surplus fund
Other undivided profits
5, 570 00 National bank notes outs-tan ling
106,819 80 jj State bank notes outstandiug
6, 932 28
20, 959 86 Dividends unpaid.
1,192 11 Individual deposits
United States deposits
6, 740 45 Deposits of U. S. disbursing officers.
2, 828
950
446
24, 800

00 Due to other national banks
50 Due to State banks and bankers
00
00 Notes and bills re-discounted .
Bills payable
6,165 00

810, 172 63

Total.

$200, 000 00
13,600 00

17, 020 28
118,780 00
649 00
412,736 02
1.3, 685 80
3, 70i 53

810, 172 63

National Bank, Vernon.
No. 1264.

JosiAH CASE, 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, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total-

EVERETT CASE, Cashur.

$118, 407 67 Capital stock paid in.
703 41
100, 000 00 Surplus fund
Other undivided profits
3,750 00
1, 300 00 National bank notes outstanding
6,567 41 State bank notes outstanding
8,271 67
2, 700 00 Dividends unpaid.
1,228 44 Individual deposits
113 85 United States deposits
9i 89 Deposits of U. S. disbursing officers.

$100, 000 00
17,000 00
3,268 30
90, 000 00

41,198 78

1, 060 00 Due to other national banks
72 74 Due to State banks and bankers .
2, 700 00 Notes and bills re-discounted .
Bills payable
'"1,500 56'
251, 467 08

Total.

251,467 08

Walden National Bank, Walden.
J. C. SCOFIELD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, 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. 2348.

W. G. RUTHERFORD, Cashier.

$40, 516 26 Capital stock paid in.
50, 000 00 Surplus fund
Other undivided profits
"15,000 65
National bank notes outstanding
18, 734 73 State bank notes outstanding
2, 512 45 Dividends unpaid .
37 97
6, 475 00 Individual deposits
United States deposits
12 50 Deposits of U. S. disbursing officers..
520
6
126
4, 272

00
74
25
00

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

$50, 000 00
733 72
44,940 00

39,189 75

5 600 43

Notes and bills re-discounted

2,250 00
140, 463 90

Total

140 4C3 90

330

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK.

Wyoming County National Bank, Warsaw.
W. J. HUMPHREY, President.

H. A. METCALF, Cashier.

No. 737.

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

$L59,837 28
275 00
100, 500 00
4, 234 49
1, 266 94
533 08
16, 185 23
1, 057 66
1, 904 49
2, 602 27

Surplus fund
Other undivided profits
National bank notes outstanding . . . .
State bank notes outstanding

25, 000 00
12,033 11
90, 000 00

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

731 00 Due to other national banks
112 67 Due to State banks and bankers
74 00
6, 977 00 Notes and bills re-discounted.
Bills payable
4, 500 00
300,791 11

Total.

$100, 000 00

Capital stock paid in .

73, 297 31

334 88
125 81

300,791 11

Total.

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

$L52,310 26

C. A. CRISSEY, Cashier.
$100, 000 00

Capital stock paid in .

""Iilf"666"66"

Surplus fund
Other undivided profits
National bank notes outstanding
41,860 24 State bank notes outstanding
4,259 2L Dividends unpaid .
10, 000 0)
1,894 36 Individual deposits
United States deposits
1,705 42 Deposits of U. S. disbursing officers.
2,167 00
125 00
389 35
8, 000 00

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

Total.

26, 550 00
4, 827 31
97, .500 00
435 00
109,198 53

75 00

338, 585 84

First National Bank, Waterloo.
No. 368.

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. certificates of deposit
Due from U. S. Treasurer
Total.




M. D. MERCER, Cashier.

$123,403 74 Capital stock paid in
191 8-2
100,000 00 Surplus fund
Other undivided profits

iso 66"

10,099 37
5,791 14
18, 300 00
3,488 22
6,602 19
892 12

National bank notes outstanding
State bank notes outstanding

13, 500 00
7, 292 24
90, 000 00

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

5, 531
1, 186
1, 505
14, 600

00 Due to other national banks
14 | Due to State banks and bankers
00
00 | Notes and bills re-discounted.
Bills payable
4, 500 00

296, 270 74

$100, 000 00

Total.

84, 004 68

1,471 43
2 39

6, 270 74

REPORT OF THE COMPTROLLER OF THE CURRENCY. 331

First National Bank, Watertown,
E. L. PADDOCK, President.

No. 73.

G. L. WOODRUFF, 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
XJ. S. certificates of deposit
Due from U. S. Treasurer

$83, 409 99
5, 000 0)

Capital stock paid in.

$1.25,600 00

Surplus fund
Other undivided profits
**26,000 66
13,500 00 National bank notes outstanding
53,441 Of! State bank notes outstanding
12, 902 22
Dividends unpaid .
100, 030 00

895 4(5

Individual deposits
United Stateg deposits
..
Deposits of U. S. disbursing officers.
Due to oth er national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable

Total.

25,000 00
30,437 14
86, 700 09

50, 861 33

2,375 00

320, 373 52

Total.
Jefferson County National Bank, 'Watertown.

T. H. CAMP, President.

No. 1490.

S. T. WOOLWORTH, Cashier.

$408, 018 (38 Capital stock paid in.
Loans and discounts
|
8,632 15
Overdrafts
j
96, 000 00 Surplus fund
U. S. bonds to secure circulation
I
U. S. bonds to secure deposits
IOther undivided profits
U. S. bonds on hand
j.
8, 987 97 j| National bank notes outstanding
Other stocks, bonds, and mortgages..;
54, 890 87 " State bank notes outstanding . . . . . . .
Due from approved reserve agentp...:
8.891 93
Due from other banks and bankers ..
?'200 01) Dividends unpaid .
Real estate, furniture, and fixtures...;
Current expenses and taxes paid
;.
Individual deposits
Premiums paid
-.
••
United States deposits
Deposits of U. S. disbursing officers.
Checks and other cash items
I
4. 584 55
Exchanges for clearing house
:•.
1,841 00 Due to other national banks
Bills of other banks.
..... i
555 23
Fractional currency
1,500 00 Due to State banks and bankers
S pecie
19, 000 00 Notes and bills re-discounted
Legal tender notes
j
U. S. certificates of deposit
).
Bills payable
Due from U. S. Treasurer
i
Total.

$148, 800 00
37, 200 00
22, 709 91
86,370 0©
518 00
291, 991 88

24, 442 6
12, 379 49

024,411 93

National Bank and Loan Company, Watertown.
G-. H. SHERMAN, Presided.

No. 1508.

N. P. W A R D WELL, Cashier.

Loans and discounts
j
$199,285 17 Capital stock paid in
Overdrafts
|
4,909 41
U. S. bonds to secure circulation
j
63, 000 00 j Surplusftmd
j
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... j
22, 998 09 j State bank notes outstanding
Due from other banks and bankers ..{
3, 4'23 01
Real estate, furniture, and
fixtures...j
2*2, 130 50 i Dividends unpaid
Current expenses and taxes paid
j
2, 4] 1 77 | Individual deposits
I
Premiums paid
j
United States deposits
Checks and other cash items
|
I, 551 59 Deposits of [J. S. disbursing officers
Exchanges for clearing house
J
I
.j
Bills of other banks
j
2, 666 00 Due to other national b a n k s . . .
j
Fractional currency
'>
140 00 Due to State banks and bankers
Specie
!
250 65
Legal tender notes
I
9, 085 00 ! Notes and bills re-disco anted.
Bills p a y a b l e . . . . . . . . . . . . .
U. S. certificates of deposit
I
Due from U. S. Treasurer
j
2, 335 00 I
Total




......;

331,687 39

Total.,

$75, 000 00
15,000 00
5, 370 63
56, 200 00

175, 316 6'5

3, 341 66
4<J6 93
3, 961 52
334,687 39

332

REPORT OF THE COMPTROLLER OF THE CURRENCY,
NEW

YORK.

National Union Bank, Watertown.
No. 1507.

©ILDEROY LOUD, President.

S. B. UPHAM, Cashier.

Resources.

Liabilities.

Loans and discounts — ,
Overd rafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U.S.bonds on hand
Other stocks, 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 hous<
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S.Treasurer

$330, 276 88 Capital stock paid in
6, 242 20 I
105, 000 00 I Surplus fund
Other undivided profits
National bank, notes outstanding
State bank notes outstanding

$147, 440 00
36, 860 00
9, 521 70
94, 500 00

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

25L, 661 39

272 18
42 34

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

6, 785 00
547,082 61

Total .

National Bank, Waterville.
D. B. GOODWIN, President.

No. 1361.

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

W. B. GOODWIN, Cashier.

$286, 787 33 Capital stock paid in.

$150, 000 0©

90,6u6 66 ! Surplus fund:

30,000 00
27,926 49

Other undivided profits
3, 899 54
47 91
J 0, 000 00

National bank notes outstanding
Sta«e bank notes outstanding

80, 750 00

Dividends unpaid .
84,029 34

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

570 i

IndivMus1 deposits
I] United States deposits
.
j Deposits ol U. S. disbursing officers.

689 70
20, 099 00
15, 000 00

408,491 53

Total.

First National Bank, Waverley.
R. A. ELMEB, Cashier.

HOWARD ELMKR, President.

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
Total.




142,043 46 Capital stack paid in.
1, 169 28
54,500 00 Surplus fund
Other undivided profits

$50, 000 00
«
.

750 00 National bank notes outstanding
9,791 19 State bank notes outstanding..
4, 047 59 Dividends unpaid .
8,328 5L
1, 821 52 Individual deposits
United States deposits
1, 352 32 Deposits of U. S. disbursing officers.
1, 161 00
582 27
2, 456 27
6, 460 00

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

I
|

10, 000 00
5, 7i2 37
49, 000 00

116, 830 53.

375 51
5, 000 00

2, 450 00
236, 918 41

Total.

236, 918 41

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

333

YORK.

First National Bank, Westfield.
No. 504.

E. A. SKINNER, President.

C. P. SKINNER, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
*
IL 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...
Gurrent expenses 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
Total.

$167, 973 04
1,725 67
50, 000 00

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits
"""22*700*66"
3, 066 50 National bank notes outstanding
14, 463 27 State bank notes outstanding
14,710 96 i Dividends unpaid .
19, 489 39 j
907 41 Individual deposits
United States deposits
2,142 33
Deposits of U. S. disbursing officers.

10,000 00
10, 795 22

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

45, 000 00

200, 597 92

1,082 32
377 II

317, 852 57

317,852 57

National Bank, West Troy.
T. A. KNICKERBACKER, President.

No. 1265.

B. McE. SHAFER, Cashier.

Loans and discounts
$378, 694
Capital stock paid in
Overdrafts
U. S. bonds to secure circulation
-. I
85, 000 00 Surplus fund
U. S. bonds to secure deposits
j
Other undivided profits
U. S. bonds on hand
Other stocks, bonds, and mortgages . .
National bank notes outstanding . . .
Due from approved reserve agents...
46,412 88 State bank notes outstanding
Due from other banks and bankers . .
3,277 70 Dividends unpaid .
Real estate, furniture, and fixtures . . .
Current expenses and taxes p a i d . . . . .
2,064 05 Individual deposits
Premiums paid
United States deposits
Checks and other cash items
1,075 03 Deposits of U. S. disbursing officers.
Exchanges for clearing house
11, 646 00 Due to other national banks
Biils of other banks
-j
204 09
Fractional currency
J
3,755 00 Due to State banks and bankers . . .
Specie.
21, 714 00 Notes and bills re-discounted
Legal tender notes ,
U. S. certificates of deposit
-j . . .
Bills payable
3,825 66"
Due from U. S. Treasurer
j
Total.

557, 868 53

Total.

$150, 000 00
27, 500 00
9, 885 25
71, 800 00

296,368 57

2,139 39
175 32

557,868 53

First National Bank, West Winfield.
D. R. CARRIER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
. ..
Other stocks, bonds, and mortgages...
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 801.

JNO. O. WHEELER, .Cashier.

$152,100 07 Capital stock paid-in.
242 96
100,000 00 Surplus fund
Other undivided profits
.
National bank notes outstanding
28, 395 80 State bank notes outstanding
177 27
5, 000 00 Dividends unpaid .
103 66 Individual deposits
United States deposits
2, 336 84 Deposits of U. S. disbursing officers.

$100,000 00
25, 000 00
8, 971 99
90, 000 00
288 00
83, 989 80

Due to other national banks
Due to State banks and bankers .
" 14," 963* 66" Notes and bills re discounted .
Bills payable
"4," 506" 66'
430 19

308, 249 79 I

Total.

308,249 79

334

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

YORK,

First National Bank, 'Whitehall.
A. H. GRISWOLD. President.

No. 285.

WM.

Resources.

M. K E I T H , Cashier.

Liabilities.

Loans and discounts
j
Overdrafts
I
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... \
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
I
Bills of other banks
|
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
!
Total..

$23 i, 500
3, 505
50, 000
,

,

13, 927
377
1,500
688
234
325
322
8,650
2, 250

Capital stock paid in

$ 100,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid

,. j
|
j
.. j.

44, 600 00

!

Individual deposits
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

313, 28L 50

17,241 00
3, 576 91

147, 86Q 59

j
313,281 50

Total.

Merchants' National Bank, "Whitehall.
E. A. MARTIN, President.

No. 2233.

ISAAC M. GUY, Cashier.

j

$218, 067 47 Capital stock paid in
Loans and discounts
,
$150, 000 00
2,336 47
Overdrafts
!
101), 000 00 Surplus fund
!
2, 000 ©0
U. S. bonds to secure circulation
j
7, 953 47
U. S. bonds to secure deposits
'...
Otber undivided profits
j
U. S. bonds on hand
;...
j
Other stocks, bonds, and mortgages..
90, 00® 09
8, 000 00 j National bank notes outstanding
10. 262 63 State bank notes outstanding
Due from approved reserve agents...
Due from other banks and bankers ..
815 13
2,800 00 Dividends unpaid
Real estate, furniture, and fixtures- ..'•
Current expenses and taxes paid
'[...
Individual deposits
,
109,804 05
Premiums paid
i
14,000 00 United States deposits
Checks and other cash items
i..
Deposits of U. S. disbursing officers..j
Exchanges for clearing house
3, 100 00 Due to other national banks
Bills of other banks
j
10, 000 00
Fractional currency
i
12 C9 Due to State banks and bankers
j.
250 00 i
Specie
j
1,886 87
7, 500 00 j Notes and bills re-discounted
Legal tender notes
i
U. S. certificates of deposit
j.
'"Tsoo'oo j Bills payable
Due from U. S. Treasurer
371,644 39 !

Total

371, 644 39

Old National Bank, Whitehall.
H. G. B O R L E I G H , President.

Loans and discounts
Overdrafts
U. S. bonds t o 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.




A. C. SAWYEK, Cashier.

No. 1160.
$175,141 97 i Capital stock paid in
282 97 I}
60,000 00 jj Surplus fund
Other undivided profits

$ LOO, 000 00
.,

20, 000 CO
13,294 43

15,600 00 i1National bank notes outstanding
6,250 25 I State bank notes outstanding
751 14 !j
5, 000 00 !j Dividends unpaid .
Individual deposits
United States deposits
2,545 88 1 Deposits of U. S. disbursing officers..
1

54,0C0 00
9,094 00

""870"66"i| Due to other national banks
Due to State banks and bankers .
""5T42T
1,950 00 j Notes and bills re-discounted .
5, 000 00 ! Bills payable
2, 7U0 00 '
276', 143 63 :

Total.

78, 677 66

1, 077 54

276, 143 63

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NE W

¥

$35

ORK,

First National Bank, Yonkers.
No. 653.

JOHN OLMSTED, President.

W. D. OLMSTKD, Cashier.

Resources.
Loans and discounts
j
Overdrafts
------1
U. 8. bonds to secure circulation
U. S. bonds to secure deposits
I
U. S. bonds ou hand
'
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing houge
Bills of other banks
Fractional currency
Specie
Legal tender notes
17. S. certificates of deposit
Due from U. S. Treasurer

Liabilities.
$295, 940 03 Capital stock paid in
I, 172 40
110,000 00 Surplus fund
50,000 00 Other undivided profits.

$150,000 00
50, 000 00
8, 254 32

2,500 00 ij National bank notes outstanding
H State bank notes outstanding .
16,228 05 ! Dividends unpaid .
50, 000 00 I
3,202 98 ! Individr. a! deposits
United States deposits
6, 358 45 | Deposits of U. S. disbursing officers .
5, 645 00 Due to other national banks
83 00 Due to State banks and bankers
6, 995 08
17, 925 00 Notes and bills re-discounted.
10, 000 0C I Bills payable
4, 949 30 |

98,645 00
418 25
201,815 48
24,884 43
8, 075 38
38,906 43

580,999 29

Total.

580, 999 29 j

Tota).

|

Citizens' National Bank, Yonkers.
JONATHAN VAIL, President.

Loans and discounts
Overdrafts
IT. 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
17. S. certificates of deposit
Due from U. S. Treasurer.
Total




No. 2074.
$208, 236 86

166,66006

22, 573 78
4,611 43

JNO. H. KEELER, Cashier.

Capital stock paid in .

$100, 000 00
11, 500 00 .
5,169 7L

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

90, 000 00

Dividends unpaid .
2,263 55 Individual deposits
14,403 00 United States deposits
4,100 79 Deposits of U. S. disbursing officers .
1, 069 00 Due to other national banks
5 09
2, 320 00 Due to State banks and bankers
12,561 00 Notes and bills re-discounted.
Bills payable
4, 500 00

376, 644 50 r

Total.

I

133 00
151,846 41

10,450 06
7,545 32

336

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

JE ESE¥.

Beividere National Bank, Belvidere.
No. 1096.

JOHN I. BLAIR, President.

ISRAEL HARRIS, Cashier.

Resources

Liabilities.

Loana 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 ..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.

$429,061 22 Capital stock paid in.
1,208 U
100, 000 00
Surplus fund
Other undivided profits
7, 000 00
National bank notes outstanding —
48, 064 99 State bank notes outstanding
2, 579 43 Dividends unpaid .
9, 000 00

$300. 000 00
100, 000 00
28,833 16
77, 000 00
8, 558 09
7, 685 00

Individual deposits . . . . . .
United States deposits
5,033 09 Deposits of U. S. disbursing officers.

106,521 82

5,^64 00 Dae to other national banks
91L 68 Due to State banks and bankers .
8,50. (O
J
Notes and bills re-discounted.... —
10, 000 00 Bills payable
..

3,024 54

" 4,"500 00
631, 622 52

631, 622 52

Bloomsbury National Bank, Bloomsbury.
H. R. KENNEDY, President.

J. F. WOODRUFF, Cashier.

Loans and discounts
i
$98, 930 16 Capital stock paid in.
Overdrafts
;
345 71
U. S. bonds to secure circulation
j
85, 000 00 Surplus fund
U. S. bonds to secure deposits
'
Other undivided profits .
TT. S. bonds on hand
j
National bank notes outstanding
Other stocks, bonds, and mortgages.. j
State bank notes outstanding
Due from approved reserve agents... j
Due from other banks and bankers.. J
2, 031 46 Dividends unpaid.
Real estate, furniture, and
fixtures...!
1, 516 96
Current expenses and taxes paid
j
1, 263 15 Individual deposits
Premiums paid
•
10,287 50 United States deposits
Checks and other cash items
;
2,058 24 Deposits of U. S. disbursing officers.
Exchanges for clearing house
\
Bills of other banks
j
1, 567 00 Due to other national banks
Fractional currency
!
39 54 Due to State banks and bankers.
Specie
!
908 60
Legal tender notes
|
880 00 Notes and bills re-discounted.
Bills payable
TT. S. certificates of deposit
!
Due from U. S. Treasurer
j
3, 825 00
Total..

I

$100, 000 00
2. 500 00
3, 446 51
76, 440 00

720 00
15. 308 37
2,238 44
8, 000 00

208,653 32

208, 653 32

Cumberland National Bank, Bridgeton.
No. 1346.

C. E. ELMER, President.
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..;
Due from approved reserve agents...
Due fi*ora other banks and bankers...
Real estate, furniture, and fixtures . .
Current expenses 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




!

W. G. NIXON, Cashier.
$150,000 00

$336, 358 67 Capital stock paid in .
8 67
150, 000 00 Surplus fund
Other undivided profits
11, 000 09
50, 852 87
J, 448 78
5, 0)0 00
2, 020 57

50, 000 00
45,763 47

National bank notes outstanding
State bank notes outstanding

107, 500 00
4, 069 00

Dividends unpaid .

Individual deposits
United States deposits;
100 00 Deposits of U. S. disbursing officers.

17,861
164
1,900
28, 227

00 Due to other national banks
75 Due to State banks and bankers
00
00 i Notes and bills re-discounted.
Bills payable
10, 050 00

614,992 31

Total

256,658 06

1, 001 78
|

614,992 3L

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

337

JEMSEY.

Mechanics' National Bank, Burlington.
J. HOWARD PUGH, President.

NATHAN RAINES, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. 8. 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
IT. S. certificates of deposit
Due from U. S. Treasurer .

$270, 309 66 Capital stock paid in .

$100,000 00

96,666 oo

Surplus fund
Other undivided profits

24,000 Of)
19,262 78

500 00
27, 9.14 77
2, 898 r3
9, 500 00
1,659 49

National bank notes outstanding
State bank notes outstanding

79,970 0®
662 Ot

576 00
3, 330 00
13 81
2. 336 50
10, 703 00

Dividends unpaid .

520 45

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 .

187, 583 33

7,317 14
4, 496 36

423,812 06

First National Bank, Camden.
JOHN F. STARR, President.

No. 431.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents - Due from other banks and bankers Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
Exchanges 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. C. REEVES, Cashier.

$347, 542 30 Capital stock paid in
2, 333 04
160, 000 00 Surplus fund
Other undivided profits 4,576 58
(50, 587 08
6, 495 68
25, 778 00
• 4,805 61
7,262 14

$200, 000 00
i

National bank notes outstanding
j State bank notes outstanding
Dividends unpaid .

27, 000 00
10,952 94
144, 000 00

3, 087 46

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

12,446 00 Due to other national banks
93 15
5, 569 00 Due to State banks and bankers
40, 045 00 Notes and bills re-discounted .
Bills payable
7, 200 00

288, 496 40

11,035 93
160 85

684,733 58

684, 733 58

National State Bank, Camden.
OHN 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.. J
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




No. 1209.

I.

C. MABTTNDALE, Cashier.

, 435, 703 37 | Capital stock paid in
163 07 !
260,000 00 : Surplus fund
I! Other undivided profits
5,827 31 National bank notes outstanding
88,574 89 State bank notes outstanding
103,772 9L
48,000 00 Dividends unpaid .
20,513 55 1
|
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
28, 162 00 ji Due to other national banks 6,914 (13 ii Due to State banks and bankers

$260,000 00
260, 000 00*
112,875 84
234, 000 00

514 36
1,203,683 13

344,356 99
46, 778 73

Notes and bills re-discounted.
Bills payable
Total.

2,262,209 05

338

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

JERSEY.

First National Bank, Clinton.
No. 2246.

ROBERT FOSTER, President.

N. W. VOOFHEES, Cashier,

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 .. j
Real estate, furniture, and fixtures...;
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
t - - -1
Specie
i
Legal tender notes
.U. S. certificates of deposit
Due from U. S. Treasurer
Total-

Liabilities.
$119,393 39 Capital stock paid in.,
349 59
100,000 U0 Surplus fund
Other undivided profits
400 00
National bank notes outstanding....
State bank notes outstanding
1,138 90
3,505
2, 300
44
9, 000

15
00
17
00

613 96
630 00

328 76
3,392 00

Dividends unpaid .

$100,000 00
2,000 Ot
f
278 9*
90,000 00
360 &

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

49,146 T5-

378 33
3, 431 U

4, 500 00
Total.

245, 595 92

245, 595

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
Exchauges 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.

$100,000 m
40, 000 0#
15,354 08

Other undivided profits

1,968 32
6,532 18
' 3, 303 86
6, 500 00
1,059 10
324 44

1,160
33
101
4, 350

00
93
00
00

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

90,000 00
601 50

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

74,125 91

2, 902 2 >
<
5 65<

Notes and bills re-discounted.
Bills payable
,

4, 500 00
Total.

322, 989 43

Total.

B. V- L E I G H , Cashier.

$190,910 44 Capital stock paid in.
241 16
102, 000 00 Surplus fund

322,989 43

Farmers' National Bank, Deekertown.
J. A. WHITAKER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and 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........
Total.




No. 1221.
$121,855 34

"ioo,*666 6o
50, 332
5,071
5, 000
1,277

75
12
00
46

980 41

T. F . MARGARUM, Cashier.

Capital stock paid in

42,528 04
5,174 11

National bank notes outstanding
State bank notes outstanding

89, 000 00

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

"925" 66" Due to other national banks
Due to State banks and bankers . . .

755 65
15, 000 00

4,500 65
305, 697 73

$100, 000 OO

Surplus fund
O ther undivided profits

95 0©
67,736 13

1,164

Notes and bills re-discounted
Bills payable
Total.

305, 697 73-

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

339

JERSEY.

National Union Bank, Dover.
JAY S. TREAT, Cashier.

No. 2076.

COLUMBUS BEACH, President.

Resources.

Liabilities.

Loans and discounts
Overdrafts
XL S. bonds to secure circulation
XL 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-JUS. certificates of deposit
Due from U. S. Treasurer
Total.

$192,951 60
137 02
50,000 00

Capital stock paid in .

$200, 000 00

Surplus fund
Other undivided profits .
National bank notes outstanding
31,076 39 State bank notes outstanding
489 11
46, 800 00 Dividends unpaid.
Individual deposits
3, 000 0U United States deposits
376 10 Deposits of U. S. disbursing officers.
4, 435 00 Due to other national banks
191 97 Due to State banks and bankers .
1, 857 55
18, 218 00 Notes and bills re-discounted .
Bills payable
3, 250 00

352,784 74

Total.

23, 000 0G
361 87
45, 000 00
4,146 00
76,732 33

3,544 54

352,784 74

First National Bank, Elizabeth.
AMOS CLARK, Jr., President.

No. 487.

Loans and discounts
Overdrafts
IL S. bonds to secure circulation
U. S. bonds to secure deposits
IL S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents . .
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums pall
Checks and other cash items
.Exchanges 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*

$297, 487 64 Capital stock paid in.
2,275 0
U
200, 000 00 Surplus fund
...
Other undivided profits
National bank notes outstanding
2,400 00
29, 658 37 State bank notes outstanding
22, 760 22
• 57,321 21 Dividends unpaid.
4, 875 40 Individual deposits
United States deposits
1, 056 49 Deposits of U. S. disbursing officers.
18, 425 00 Due to other national banks
146 35
2, 393 89 Due to State banks and bankers
36, 0U0 00
Notes and bills re-discounted .
Bills payable
9, 000 00
Total .

6S4, 799 57

$200, 000 00
40, 000 00
26, 484 29
177,500 00
303 00
199, 591 33

38,197 04
2,718 91

684,799 57

National State Bank, Elizabeth.
J O H N KKAN, President.

Loans and discounts
Overdrafts.
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
.,
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, 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 pecic
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1436.

A. C. KELLOGG, Cashier.

$365, 467 29 Capital stock paid in .
775 12
200, 000 00 Surplus fund
Other undivided profits
91,216 90 National bank notes outstanding....
96,308 77 State bank notes outstanding
4,744 64
142, 579 48 Dividends unpaid.
10,708 59
10, 102 00
100 48
1, 114 00
38, 634 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
Due to other national banks
Dae to State banks and bankers.
Notes and bills re-discounted.
Bills payable

$350, 000 00
495 12
175,700 00
193 46
424, 347 58
4,515 l i
15, 500 00

9, 000 00
970,751 27

Total..

970,751 27

340

REPORT

O F T H E COMPTROLLERS

NEW

OF THE

K " JY.
M

JERSEY.

Flernington National Bank, Fleniington.
JNO.

L. JONES, President.

No. 2331.

C. C. DUNHAM, Cashier.

Resources.

Liabilities.

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.

$117,558 43
359 66
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

8,613 39
1,411 18
2,500 00
1, 038 48
6, 000 00

Total..

4,399 0L
955
350
150
7, 175

00
42
85
00

2, 700 00

$100,000 00

Capital stock paid in

460 20
5, 263 48

Surplus fund
Other undivided profits
National bank notes outstanding . . . .
State bank notes outstanding

90, 000 M

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

52,154 60

4,257 33
1,046 81

Notes and bfllg re-discounted
Bills payable

253,18L 42

253, 181 42

Total

Hunterdon County National Bank, Flemington.
CHAS. BARTLES, President.

No. 892.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand .
Other stocks, 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.

$252, 332 37
1,157 43
200, 000 00

23,898 77
7, 552 80
5, 100 00
2, 573 83
1,172 21

JNO. B. HOPEWELL, Cashier.
$200, 000 00

Capital stock paid in .

29, 659 19
22, 713 79

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

180, 000 00
1,719 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

94,135 80

3,925 73
232 15

Notes and bills re-discounted.
Bills payable
532. 378 66

Total.

Total.

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. J
Current expenses and taxes paid
j
Premiums paid
j
Checks and other cash items
I
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




Jos. T. LAIRD, Cashier.

No. 452.
$180,740 64 j Capital stock paid in .

** 125, 666"66
12,000 00
56, 847
10. 970
15,000
2, 330

03
54
00
68

5, 066 02
1,516 00
2,388 00
6, 000 00

$125 000 00

Surplus fund
Other undivided profits

.35,000 00
31,139 32

National bank notes outstanding
State bank notes outstanding

109,540 00

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

110, 502 84

11,254 93
94 i 82

Notes and bills re-discounted.
Bills payable

5, 520 00
423, 378 91

Total.

423,378 91

REPORT OF THE COMPTROLLER OF THE CURRENCY.

341

KEW.JERSEY.
Freehold National Banking Company, Freehold.
W M . STATESIR,

No. 951.

President.

J. L. TERHUNE, 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

Liabilities.
$196,200 83

"ik>6,"665 65
"""95,"6oo'6o'

Surplus fund
Other undivided profits

,

National bank notes outstanding
43 State bank notes outstanding
71
73 Dividends unpaid.
91
Individual deposits
United States deposits
14.683 10 Deposits of U. S. disbursing officers..

95,613
11,994
17, 539
4,496

5,781 00 Due to other national banks
1,275 43
Due to State banks and bankers
4,766 00
11,10U 00 Notes and bills re-discounted
Bills payable

50. 000 00
19,251 46
178, 300 00
925 00
201,720 03

16, 356 35
898 30

" 9,666'65*

667,451 14

Total.

$200,000 00

Capital stock paid in.

667,451 14

Total.

Union National Bank, Frenchtown.
P.

No. 1459.

G. READING, 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. 8. Treasurer
Total.

$128, 442 83
84 00
113,350 00

5"655"66"
5, 400
18,366
1,812
3,510
966

Ot)
51
84
20
57

655 17
3, 325
87
401
17, 727

00
91
00
00

W. S. STOVER, Cashier.

$113,350 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bauk notes outstanding
State bank notes outstanding

22, 670 00
6, 295 94
101,000 00
1, 620 92

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, 467 08

825 ©
9

Notes and bills re-discounted.
Bills payable

5, 100 00
3)4, 229 03

Total.

304,229 03

First National Bank, Hackensack.
CHAS. H. VOORHTS, 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.

$169,647 15
243 43
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

7,639 16

Total.




2, 000 00
797 15
7, 000 00
1,706 18
2, 760
12
1,330
7, 807

00
03
46
00

ABRAM D. BROWER, Cashier.

Capital stock paid in .

$100, &00 00

Surplus fund
Other undivided profits

15, 000 00
2,320 71

National bank notes outstanding
State bank notes outstanding

90, ©00 00

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

20 00
91, 463 63

6, 638 22

Notes and bills re-discounted
Bills payable
305, 442 56

342

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

JERSEY.

Hackettstown National Bank, Hackettstown.
JOHN C. WELSH, President.

No. 1259.

ROBT. A. COLE, 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..

$209, 913 39

""i2o,"6o6"66"
16, 000 00
38, 970 77
6,192 22
9,350 00
873 81

Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premium* paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposH
Due from U. S. Treasurer

93 27
1,460 00
88 56
700 00
9,230 00

...

$150, 000 00

Capital stock paid in .

50, 000 00
12, 372 69

Surplus fund
Other undivided profits
National bank notes outstanding
State bauk notes outstanding

107,000 00
2, 750 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

91,540 90

1, 352 80
255 63

Notes and bills re-discounted.
Bills pay able

5, 400 00
418,272 02

Total.

418,272 02

Total.

First National Bank, Hightstown.
NATHL. S. RUE, President.

JOS. H. JOHNKS, Acfg Cashier,

No. 1737.

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..
Du<* from approved reserve agents. Due from other banks and bankers . .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Chirks and other ca*h items
Exchanges for clearing house
Billn of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Dne from U. S. Treasurer

$141,333 45
253 41
100, 000 00
"

20,'00000'
1,000 00
9,591 96
9, 857 76
5, 2fii) 39
2.330 63
12,800 00
1,142 79
3,078
164
666
7, 230

00
12
00
00

9, 786 99
5, 173 89

Surplus fund
Other undivided profits
National bank notes outstanding . . . . |
State bank notes outstanding
j

90, 000 00
296 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 aud bills re-discounted.
Bills payable

97, 690 33

396 36
864 94
15, 000 00

"*4," 500 00
319,208 5i

Total.

$100, 000 00

Capital stock paid i n .

319,208 51

Total.

Central National Bank, Hightstown.
A. P. JOE, 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.

No. 1759.
I

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
i.
Bills of other banks
j
F ractional currency
i
Specie ....
i
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
i
I
Total
I




W M , C. NORTON, Cashier.

Capital stock paid in.

$100, 000 00

Surplus fund Other undivided profits

6, 027 47
14,749 53

National bank notes outstanding
State bank notes outstanding

28, 500 #0

2, OOO 00

19,689 93
5,598 58
17,715 83
179 27
3, 970 00
5, 686 88
I, 499 0
U
6 01
766 45
3, 600 00

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

50, 740

13 56

Notes aud bills re-discounted.
Bills payable
Total.

200, 031 22

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MEW

343

JERSEY.

First National Bank, Hoboken.
P. T. LILLIENDAHL, Cashier.

SAML. R. 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 aad 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 accovnt

Liabilities.
$308,689 51
94 81
110,000 00

Surplus fund
Other undivided profits
National banknotes outstanding
23, 303 00
43,071 3-2 State bank notes outstanding
3 21
65, 925 00 Dividends unpaid .
4,934 24 Individual deposits
United States deposits
14, 652 99 Deposits of U. S. disbursing officers
13,708 00
34 35
5,843 85
31, 412 00
4, 950 00
5,681 64

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

633, 303 92

Total .

$110,000 00

Capital stock paid in.

22 000 00
37,788 H
93,200 00
112 50
369, 391 20

812 11

633, 303 92

Total.

First National Bank, Jamesburg.
I. S. BUCKELEW, President.

No. 288.

Loans and discounts
Overdrafts
XT. S. bonds to secure circulation
XT. 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... j
Real estate, furniture, and fixtures. ..J
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for elearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
XT. S. certificates of deposit
Due from XT. S. Treasurer

$96, 579 19 Capital stock paid in
991 72
75, 000 00 Surplus fund
,.
"i6"66o 66 Other undivided profits
24,875 00 National bank notes outstanding
15, 097 49 State bank notes outstanding
10,250 67 Dividends unpaid 638 45

35 3L
1,070 00
56 86
1,042 15
7, 665 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

$75, 000 00
20, 707 45
4, 148 65
65, 500 00

81,180 27

140 47

3, 375 00

Total -

246, 676 84

Total.

T. WILTON HILL, Cashier.

246,676 84

First National Bank, Jersey City.
A. H. WALLIS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
XT. 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. 374.
$1, 409, 098
1,078
383, 000
50, 000

63
10
00
00

E. F. C. YOUNG, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits.

National bank notes outstanding . . .
270, 766 92 State bank notes outstanding
159,642 68 Dividends unpaid.
116,207 U
8, 774 35 Individual deposits
United States deposits
77, 320 74
Deposits of U, S. disbursing officers.
6, 018 00 Due to other national banks
683 35 Due to State banks and bankers
10,234 46
82, 339 00 Notes and bills re-discounted .
Bills payable
17, 225 00
2, 592,388 39

Total.

$400, 000 Oi)
200, 000 00
197, 216 66
341,250 00
840 00

1, 115,860 05
50,331 58
3,259 84
271,304 35
12, 316 91

2, 592, 388 39

344

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

JEK§E¥,

Second National Bank, Jersey City.
No. 695.

WM. HOOENCAMF, President.

E. N. WiLSOxV, Cashier.

Resources.
Lo n» and discounts
Overdrafts
U. S. bondn to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate,furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fr;i ctional currency
Specie
Legal tender notes
U. S. certificates of deposit
Duo from U. S. Treasurer

Liabilities.
$909, 850 57
1,004 53
445, U O U
U
O

"""55,606" 00
214,012 87
73, 992 75
89, 443 6!)
5, 332 43
8, 000 Od
42,784 64

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

200, 000 00
116,823 35
397,100 00
1,284 00

Individual deposits
United State* deposits
Deposits of U. S. disbursing officers.

16, 349 00 Due to other national banks
149 31 Due to State banks and bankers
1,832 25
74, 988 00 Notes and bills re-discounted.
Bills payable
20, 025 00
Total

1, 957, 765 09

Total..

$500, 000 00

Capital stock paid iu.

710, 257 92

28,778 50
3,521 32

1,957,765 09

Hudson County National Bank, Jersey City.
JOB MALE, President.

A. A. HARDENBEROH, 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.
Du<- from approved reserve agents..
Due from other banks and bankers .
R>al estate, furniture, and fixtures..
Curreut expenses and taxes paid
Pi mniumrt paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Si
p
L«K<U tender notes
U.S. certificates of deposit
Due from U. S. Treasurer

$820, 896 24
2, 528 95
250, 000 00

253,891 65
5, 750 46
28, O O 00
D
5, 270 48
38, 319 51
5,213
11
7,272
16, 197

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

150,000 00
81,069 94
220,000 00

517 02

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

00 I Due to other national banks
00 |l Due to State banks and bankers
57 1
1
00 I Notes and bills re-discounted.

728, 627 78
13, 729 34
2,156 79

Bills payable

"i2,"756"oo" I

Total

1, 446,100 87

Total.

$250,000 00

Capital stock paid in.

1,446,100 87

Amwell National Bank, Lambertville.
SAMUKL LILLY, President.

Loan* and discounts
Overdrafts .
U. S. bonds to secure circulation
II. S. bonds to secure deposits
II. S. bonds on hand
Other stocks, bonds, and mortgages.
Dnn from approved reserve agents..
Due from other banks and b a k e r s .
Keal estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Ob' eks and other cash items
Exchanges for clearinghouse
BilI* of other banks
Fractional currency
S.ecie
Legal tender notes
If. JS. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2339.
$70, 987 30
16 43
50, 000 00

24, 668 66
2,395 15
1.663 75
860 62
4, 737 56
184 73
663
42
555
8, 350

00
05
00
00

WM. V. COOLET, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$60, 000 00
280 50
2,173 29
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.

59, 444 77

475 69

Notes and bills re-discounted.
Bills payable

2,250 00
167,374 25

Total.

167,374 25

REPORT OF THE COMPTROLLER OF THE CURRENCY. 3 4 5
NEW" JERSEY.
Lanibertville National Bank, Lambertville.
JAS.

D. STRYKKR, President.

No. 1272.

ISAIAH P. SMITH, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
.
X 8. bonds to secure circulation
L
XL 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

$183, 765 39

""i66,"666"66'
1, 600 00
21,124 09
17, 678 59
10,081 15
2,009 16
87 63
340
550
1, 836
5, 747

00
02
50
00

Capital stock paid in.

30,000 00
4,142 30

National bank notes outstanding .
State bank notes outstanding

89,000 00

Dividends unpaid .

591 60

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

119,370 63

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

667 74
547 26

Notes and bills re-discounted
Bills payable

5, 000 C
O

'4*506 00
Total.

349,319 53

Total

$100,000 00

Surplus fund
Other undivided profits

349,319 53

Burlington County National Bank, Medford.
JAS. S. HULME, President.

No. 1191.

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

$127, 737 82
714 76
100,000 00
14,500
17, 680
275
15,815
1, 590

00
17
96
80
03

2. 923 91
5,134 00
579 23
1, 900 00
12, 067 00

JONA. OLIPHANT, Cashier.

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits

20, 000 00
9, 390 49

National bank notes outstanding
State bank notes outstanding

89, 620 00

Dividends unpaid .

469 50

Individual deposits
,
United States deposits
Deposits of U. S. disbursing officers
Due to other national ba«ks
Due to State banks and bankers.

85,715 49

1,223 20

Notes and bills re-discounted
Bills payable

""5,500 "60"
Total.

306,418 68

306,418 68

Millville National Bank, Millville.
L E W I S MULFOKD, 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.




'

No. 1270.

$193,265 50
116 83
100, 000 00

600 66
12, 001
7,126
2, 500
1,472

37
21
00
38

265 78
3,231
299
2, 103
26, 603

00
34
00
00

E. H. STOKES, Cashier.

Capital stock paid in.

$100, 000 00

Surplus fund
Other undivided profits

32, 000 00
13, 7d8 63

National bank notes outstanding
State bank notes outstanding

88,-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

118,621 11

1, 674 67

*..

4, 500 00
354, 084 41

Total.

354, 084 41

346

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW-

JERSEY.

First National Bank, Morristown.,
No. 1188,

T H E O . LITTLE, President.

J. H. VAN DOREN, 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
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
I
U. S. certificates of deposit
i
!
Due from U. S. Treasurer
Total

!

$291,082 17 Capital stock paid in .
1,736 32
150, 000 00 Surplus fund
Other undivided profits
73, 852 66 National bank notes outstanding —
28,127 50 State bank notes outstanding
9, 848 14
2, 210 34 Dividends unpaid .
1,940 42
4,968 75 Individual deposits
United States deposits
5, 427 05 Deposits of U.S. disbursing officers.
2,553 00
2,131 73
,
37,062 00

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

13,97100
624,911 09

$150,000 90
30, 000 00
10, 245 82
97, 920 00

322, 494 35

14, 128 79
124 IS

624,911 C9

Total..

National Iron Bank, Morristown.
D. D. CRAIG, Cashier.

No. 1113.

H. O. 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 depositDue from U. S. Treasurer

$105, 892 69 Capital stock paid in
2, 663 39
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding . . .
7,000 Of)
43,819 37 j State bank notes outstanding . . . . . .
5,383 79
53, 513 00 Dividends unpaid
3,743 90 Individual deposits . :
United States deposits.
11,584 33 Deposits of U. S. disbursing officers

$200, 000 00

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

12, 053 45

1, 556 00
207 75
2,801. 10
32, 993 00
5, 650 00 |

1

Total.

45, 000 00
80 00
307,731 37

6, 788 32

Total.

626, 788 32 j

40, 000 00
21, 923 50

Farmers' National Bank of New Jersey, Mount Holly.
J . L. N. STRATTON, President.

No. 1168.

I. P. GOLDSMITH, Cashier.

I

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^ deposit Due from U. S. Treasurer .

$271,054 61.
225 00
200, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank note3 outstanding
State bank notes outstanding—

"""IMOO'OO"

9, 745 49
55,937 13
8,715 09
15, 000 00
185 73
2, 084 37
1, 958 09

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

7, 026 00
18 12
2, 500 00
48, 600 00

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

$200,000 00

40,000 00
12,611 77
179, 500 60
1,019 52
193, 399 54

21,259 08
259 72

9, 000 00
|i

Total




648,049 63 It

Total.

648, 049 63

REPORT OF THE COMPTROLLER OF THE CURRENCY.
]f E W
t

347

JERSEY.

Mount Holly National 6ank, Mount Holly.
C. H. P. EMLEY, President.

No. 1356.

FLOYD ARMSTRONG, Ca*hier.

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 from U. S. Treasurer

$142,891 06 Capital stock paid in .

$100,000 00

"166, ooo 66"

Surplus fund
Other undivided profits
17, 000 00 ] National bank notes outstanding
12, 609 22 I State bank notes outstanding
517 80
15, 000 00 Dividends unpaid .
958 19 Individual deposits
United S tates deposits
1,326 01 Deposits of U. S. disbursing officers -

*""2,"i23*66" Due to other national banks
18 33 Due to State banks and bankers .
426 00
7, 000 00 Notes and bills re-discounted
Bills payable

60,000 00
3,788 74
90,000 00

134 75
48,144 71

2,331 41

4,50606"

304,399 61

Total.

304,399 61

Total.

Union National Bank, Mount Holly.
BENJ. RTDGWAY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates1 nf derogit...,
Due from U. S. Treasurer...

No. 2343.

WM. I. EMLEY, Cashier.

$108,796 87 Capital stock paid in.
570 59
70, G O 00 Surplus fund
O
Other undivided profits
8, 600 00 National bank notes outstanding
14,407 65 State banknotes outstanding
2 85
12,010 37 Dividends unpaid.
I, 380 34 Individual deposits
10, 525 00 United States deposits
3,492 18 Deposits of U. S. disbursing officers.
1, 805 00

Due to other national banks
1 64
355 16 Due to State banks and bankers
3, 073 00 Notes and bills re-discounted
Bills payable

Total.

$110, 000 00
370 43
5, 655 26
63, 000 00
426 05
47, 486 65

309 96
1U7 05
9, 515 25

236, 870 65

National Bank of New Jersey, New Brunswick.
CHAS. S. HILL, Cashier.

MAHLON RUNYON, 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...
Current expenses 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.

H. Ex. 3- -19




$601, 101 61 Capital stock paid in
1,421 07
250, 000 00 Surplus fund
Other undivided profits
22, 550 00
4, 000 00 National bank notes outstanding . . .
111,501 75 State bank notes outstanding
39, 131 29 Dividends unpaid
31,000 00
6, 932 m Individual deposits
2, 850 00 United States deposits
2, 655 94 Deposits of U. S. disbursing officers.

$250, 000 00

17, 876 00 Due to other national banks
2, 059 58 Due to State banks and bankers
8,273 50
54, 025 00 Notes and bills re-discounted........
Bills payable
.?.
11, 250 00

33, 239 65
3,816 05

1,166, 628 40

Total..

90, 000 00
23,942 76
223,100 00
1,180 00
465 Oft
540, 884 92

1,160, 628 40

348

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

JERSEY.

First National Bank, Newark.
No. 52.

JABEZ COOK, President.

JAS.

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.
$455, 407 28 Capital stock paid in.

"* 5o6," 566'66
103,285 28
86, 114 96
152,572 26
6,976 79
42,969 12
51, 380 70

$500, 000 00
,

100, 000 00
9, 370 33

National bank notes outstanding . . .
State bank notes outstanding

450, 000 00

Surplus fund
Other undivided profits

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

413,386 29

16,678 27
32 67

18,083 00 Due to other national banks
Due to State banks and bankers
2, 509 66
50, 000 00 Notes and bills re-discounted .
Bills payable
20,168 51
Total

1, 489, 467 56

Total.

A. HEDDEN, Cashier.

1, 489, 467 56

Second National Bank, Newark.
No. 362.

JOHX 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 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
Total..

$374, 992 36
328, 000 00
50, 000 00
25, 000 00
7, 000 00
101, 862 49
12, 070 61
70, 025 05
6, 338 69
1, 09:3 75
20,334 14

JAS.

D. ORTON, Cashier.

Capital stock paid in.

$300, 000 00
127, 000 00
15, 885 60

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

295, 000 00

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

265, 052 92
33, 888 87
255 00

19, 112 00 | Due to other national banks
Due to State banks and bankers .
1,000 00
30, 000 00 Notes and bills re-discounted.
Bills payable
17,000 00

26, 406 70

1, 063,829 09

Total

1, 063, 829 09

340 00

Essex County National Bank, Newark.
JOSEPH WARD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of^leposit
Due fromU. S. Treasurer
Total.




No. 1217.

$492,177 82

W. H. CURTIS, Cashier.

$300, 000 00

Capital stock paid in.

"306,666 6o j Surplus fund

75, 000 00
32, 440 98

O ther undivided profits
230, 572
51,834
60, 000
1, 260

06
07
00
02

23,179 50
4, 855
1,616
1, 800
27, 000

00
50
00
00

13,566 66"
1,207,794 97

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

3, 790 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

268, 000 00

,

450,250 36

72, 484 26
5,829 37

1,207,794 97

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

349

JERSEY.

German National Bank, Newark.
ISADOR LEHMAN, President.

No. 2045.

E

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 mortages . .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid

$220,142 83
306 89
200, 000 00
11,007 31
14,372 49
3, 007 89
11,676 60
4, 305 36
18, 000 00
4,629 10

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

M. DOUGLAS, Cashier.

Liabilities.

6, 898 00
92 00
737 78
10, 500 (O
J

Capital stock paid in.

$200,000 00

Surplus fund
Other undivided profits

6, 500 00
1,261 48

National bank notes outstanding
State bank notes outstanding

179,000 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

101,02L 05

6, 983 72

"*26"666"6o

9, 000 00
Total .

514, 766 25

Total.

514, 766 25

Manufacturers' National Bank, Newark.
C. G. CAMPBELL, President.

No. 2040.

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

$290, 282 88
362 9L
300, 000 00

20, 560
4,133
65, 600
8,991
39, 974

03
17
00
58
74

3, 586 20
1,008 00
11 94
1,390 00
10, 994 00

J . W. PLUME, Cashier.

Capital stock paid in.,

$300,000 00

Surplus fund
Other undivided profits

4,715 59
4, 720 03

National bank notes outstanding
State bank notes outstanding

267, 400 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. dibbursing officers.
Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted .
Bills payable

13, 500 00
760, 395 45

Total.

110, 899 44

12, 660 39

" 60," 666" 66
760,395 45

Mechanics' National Bank, Newark.
J. A. HALSEY, 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.

No. 1251.
$1,287,769 70

Capital stock paid in.

$500, 000 00

"""562," 666 "66"

Surplus fund
Other undivided profits

400, 000 00
96,205 20

National banknotes outstanding
State bank notes outstanding

419,940 00

5, 435 59

Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid

959,203 73
151,271 72
30, 500 00
6,125 89

Checks and other cash i terns
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, 830 22

Total.




O. L. BALDWIN, Cashier.

34, 547
892
11, 077
200, 388

00
73
58
00

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

5, 432 50
1, 767, 682 78

101, 766 60
26, 115 08

Notes and bills re-discounted .
Bills payable

27,100 00
3, 317,142 16

Total.

3, 317,142 16

350

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

JERSEY.

Merchants' National Bank, Newark.
J. M. DURAND, President.

No. 1818.

EDWARD KANOUSE, 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
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.

10,730 01 1 Capital stock paid in.
1

$250, 000 00

250,000 00 || Surplus fund
'...\\ Other undivided profits...
5,000 0Q j! National bank notes outstanding
37,046 90 ; State bank notes outstanding
5,860 16 i Dividends unpaid.
2, 000 00 |
3,079 07
22, 687 50 Individual deposits
United States deposits
14, 532 59 ! Deposits of U. S. disbursing officers 1,714 00 Due to other national banks
625 10 Due to State banks and bankers .
225 00
15, 602 00 Notes and bills re-discounted..
Bills payable
11,250 00
820, 352 33

11,000 00
4,779 03
223, 200 00

1, 699 50
284,937 45

44,736 35

820, 352 33

Total.

National Newark Banking Company, Newark.
J AS, B. PIXNEO, President.

No. 1316.

Loans and discounts
I
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
Exchanges for clearing house
Bills of other banks
.'
fractional currency
Specie
Legal tender note.s
U. S. certificates of deposit
One from U. S. Treasurer

$970,247 91
550 81
445, 000 00

Capital stock paid in.

$500, 000 00

Surplus fund . v
Other undivided profits
National bank notes outstanding
State bank notes outstanding

11,040 75
133, 745 32
89,852 51 Dividends unpaid .
60, 685 87
5,831 86 Individual deposits
United States deposits
15,355 53 Deposits of U. S. disbursing officers.
24, T.)2 00 Due to other national banks
50 00 Due to State banks and bankers
1,246 77
51.50J 00 Notes and bills re-discounted
I! Bills payable
20*66o 65
1,829,899 33

Total

C. Gr. ROCKWOOD, Cashier.

Total.

200, 000 00
32,113 90
375, 092 00
4,659 00*
2, 692 32
564,041 60

125,132 29
26, 168 22

1,829,899 33

National State Bank, Newark.
WM.

B. MOTT, President.

Loass and discounts
Overdrafts
U. S. bends 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 banks
(Fractional currency
Specie
Legal tender notes
.
U. S. certificates of deposit
Due from IT. S. Treasurer
Total.




No. 1452.

ISAAC GASTON, Cashier.

$756. 898 33 j Capital stock paid in
1,225 58 I
535, 000 00 ! Surplus fund
Other undivided profits .
4, 700 01) National bank notes outstanding
149, 333 92 State bank notes outstanding....
85,931 13
198.800 00 Dividends unpaid .
3, 087 70 Individual deposits
United States deposits
77, 238 05 Deposits of U. S. disbursing officers..
15,316 00 Due to other national banks
43 71 Due to State banks and bankers
11,900 0!)
57,550 00 ! Notes and bills re-discounted
Bills payable

$600 000 00
115,000 00
3,731 89
473,300 00

20,634 39
635, 808 12

43,108 66
27,491 36

21, 000 00

1,919,074 42 j

Total

) 1,919,074 42

REPORT OF THE COMPTROLLER OF THE CURRENCY.
]*EW

351

JERSEY.

Newark City National Bank, Newark.
S. H. PENNINGTON, President.

ALBERT BALDWIN, Gashier.

No. 1220.

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.

627 54
350, 000 00
1, 800 00
114,954 53
43,669 14
28, 000 00
3,123 25
49,214 16
13,850 65
20, 959 41
43, 457 00

Capital stock paid in .

$500, 00O 0 >
O

Surplus fund
Other undivided profits

145,000 00
14, 344 85

National bank notes outstanding
State bank notes outstanding

315, 000 0©
I, 318 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.

619,025 68

71, 092

Notes and bills re-discounted.
Bills payable

15, 750 00
Total

1,665,781 22

1,665,781 22

North Ward National Bank, Newark.
HIRAM M. RHODES, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. SOMERVILLE, Cashier.

No. 2083.
$313, 958 23

$250,000 00

Capital stock paid in .

*" 150, 655 66' Surplus fund
Other undivided profits
3, 575 00 National banknotes outstanding
915 71 State bank notes outstanding
1,532 43 Dividends unpaid .
4, 750 00
5,011 87
17,000 00 Individual deposits
United States deposits
14,808 38 Deposits of U. S. disbursing officers.
12, 740 00
1,222 00
15, 000 00

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

Total.

14,000 00
17,162 82
135, 030 00
69 00
119,878 36.

11,203 44

547,313 62

Merchants' National Bank, Newton.
ROBT. 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
T^tal.




No. 876.
$183,854 01

""i66,"o66"66"
3, 692 50
2, 807 43
5, 110 01
14,870 59
1,031 17
1, 465 40
119 00
209 35

J. L . SWAY Z E, Cashier*

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding .
State bank notes outstanding

$100,000 00
35,273 41
5, 938 Oi
90, 000 0b

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

94, 300 66

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

618 70
16 60

Total

326,147

352

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

JERSEY.

Sussex National Bank, Newton.
DAVID THOMPSON, President.

No. 925.

T H E O . 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

$278, 963 09 Capital stock paid in
295 25
200, 000 00 Surplus fund
Other undivided profits

$200, 000 00
.... ....

4, 825 58 i National bank notes outstanding
20. 859 24 j State bank notes outstanding
3,012 59 j.
10,000 00 j Dividends unpaid
1,600 56 ,i Individual deposits

75,000 00
8,174 31
171,863 00
5,298 00
1,004 49
107,584 51

United States deDOsits
12,864 84 Deposits of U. S. disbursing officers
Due to other national banks
Due to State banks and bankers

875 82
5 30

Bills payable
569, 805 43

Total

Total.

Orange National Bank, Orange.
C. A. LIGHTHIPE, President.

THOS. J. SMITH, Oashier.

No. 1317.

Loans and discounts
Overdrafts
U. S. bands 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...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
3ills of other banks
Fractional currency
S pecie
Legal tender notes
U. S. certificates o f deposit
Due from U. S. Treasurer
Total.

$121,336 19 i Capital stock paid in

$200,000 00

200, 000 00 Surplus fund
| Other undivided profits
9,139 78 I National bank notes outstanding
23, 785 32 I State bank notes outstanding
15, 966 20 I

10, 000 00
6.38L 62

178, 000 00
5, 695 00
5, 352 50

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

Due to other national banks
214 37 Due to State banks and bankers .
1, 000 1)0
588 00 Notes and bills re-discounted.
Bills payable
9, 000 00
697,411 48

40, 000 00
33,763 17

Total

183,325 09

21,275 72

30, 000 00

697,411 48

First National Bank, Paterson.
JOHN J. BROWN, president.
I oans and discounts
Overdrafts
XJ. S. bonds to secure circulation
\i. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures. .
Current expenses and taxes paid
Premiums paid
Checks and other cpsh 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. 329.

JOHN SWINBURNE, Cashiei

$671,811 69 ! Capital stock paid in .
56 65 j
300, 000 00 Surplus fund
Other uudivided profits 28, 235 43 National bank notes outstanding
134, 439 34 State bank notes outstanding
3,315 40
132, 576 97 Dividends unpaid .
6, 437 90 Individual deposits
United States deposits
8, 191 95 Deposits of U. S. disbursing officers .
30, 800 00 Due to other national banks
120 24 Due to State banks and bankers
7, 23 L 40
49, 020 00 Notes and bills re-discounted .
Bills payable
17,986 10
1,390,223 07

Total.

$400, 000 00
150, 000 00
29,416 05
270, 000 00

70 00
492, 747 26

39, 777 55
8,212 21

1,390,223 07

REPORT OF THE COMPTROLLER OP THE CURRENCY. 3 5 3
NEW

JERSEY.

Second National Bank, Paterson.
BENJ. BUCKLEY, President.

No. 810.

JAMES JACKSON, Cashier.

Liabilities.
Loans and discounts
J
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 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
IT. S. certificates of deposit
Due from U. S. Treasurer

$278, 040 23 Capital stock paid in .
199 17
100,000 00
Surplus fund
Other undivided profits
350 00
595 00 National bank notes outstanding...
State bank notes outstanding
48, 347 38
12,531 06
9, 700 00
3, 116 45
4, 506 33
5, 179 00
300 10
641 48
12, 500 00

22,000 00
8,511 67
90, 000 00
400 00

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

207,181 54

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

2, 462 99

Notes and bills re-discounted.
Bills payable
,

4,500 00
480, 556 20

Total.

$150,000 00

480, 556 20

Total.

Phillipsburg National Bank, Phillipsburg.
CHAS. SITGREAVES,

President.

No. 1239.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid . . .
Premiums paid

L E W I S C. REESE, Cashier.

$319,127 22 I Capital stock paid in
183 53 i
200,000 00 ! Surplus fund
Other undivided profits

$200, 000 00
j
i

National bank notes outstanding

40,000 00
41, 387 33
170, 800 00

3,157 01 State bank notes outstanding
14,598 55 Dividends unpaid
8, 000 00
3,746 90 Individual deposits

895 32
138, 458 67

United States deposits
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

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

I

446 48

Notes and bills re-discounted.
Bills payable

Total.

591,987 80

First National Bank, Plainfield.
J. R. VAN DEVENTKR, President.

Loans and discounts
Overdraft)*
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 IT. S. Treasurer
Total .




CARMON PARSE, Cashier.

No. 447.
$323, 703 78
534 38
200,000 00
50,000 00
10,700 00
96,818
14,636.
25,016
2, 690

56
90
99
91

21,300 81
4,272 00
714 77
2, 005 00
39, 131 00

Capital stock paid in .

$200, 000 00

Surplus fund
Other undivided profits .

50, 000 00
19,776 61

National bank notes outstanding . . .
State bank notes outstanding

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 . . .

60 00
322,217 58
21,251 35
6, 906 36
363 20

Notes and bills re-discounted.
Bills payable

9, 000 00
800, 575 10

Total.

800,575 10

354

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

JERSEY.

City National Bank, Plainfield.
No. 2243.

ELI AS R. POPE, President.

JOS. M. MYERS, Cashier.

Resources.

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

$158,576 97
233 24
130, 000 00
8, 000 00
12, 803 88
3, 444 99
3, 700 00
9.ri0 50
13, 000 00
71 73
305
350
467
2,018

00
18
00
00

6, 000 00
1, 999 87

Surplus fund
Other undivided profits
National b a n k notes outstanding
S t a t e b a n k notes outstanding

111,400 00
224 00

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

8, 471 14

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

1, 676 48

Notes a n d bills re-discounted.
Bills payable

5,850 00

339,771 49

Total.

339,771 49

Total.

$150,000 00

Capital stock paid i n .

Princeton National Bank, Princeton.
No. 1681.

E D W A R D HOWE, President.

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

$178,832 56
1,521 36
100,000 00
00

21,440 80
10, 849 32
1, 282 50
2, 085 43
4, 100 00
570 87

S. T. SEGER, Cashier.

$100, 000 00

Capital stock paid in
Surplus fund
Other undivided profits
National bank notes outstanding....
State bank notes outstanding

7, 630 00
13, 738 43
90, 000 00

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

2,101 00 Due to other national banks
248 49 Due to State banks and bankers.
1,653 00
7,400 00 Notes and bills re-discounted.
Bills payable
4, 500 00
Total.

345, 385 33

116,760 97
1, 205 93

"16,666*66
345, 385 33

National Bank, Rahway.
No. 896.

A. F. SHOT WELL, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




$204, 021 26
47, 500 00
5,
22,
3,
13,
3,

W. FULLER, Jr., Cashier.

Capital stock patd in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

510 00
448 19
163 10
000 00 Dividends unpaid..
633 09 Individual deposits
United States deposits..6, 633 72
Deposits of U. S. disbursing officers.

1, 721
269
2, 629
11,500

00
00
25
00

*2*266 65'
324, 258 61

Due to other national banks
Due to State banks and bankers
Not a s and bills re-discounted.
Bills payable
Total.

$100, 000 00
20, 000 00
12, 207 47
42, 500 00
3,233 50
142,158 77

3, 997 00
161 87

324, 258 61

REPORT OF THE COMPTROLLER OF THE CURRENCY.

355

WJ W JE B S E ¥.
E
Union National Bank, Rahway.
No. 881.

JONA. WOODRUFF, President

R. C. BREWSTER, 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
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

Liabilities.
1121, 059 77

Capital stock paid in. .

$100, 000 00

100, 000 00

Surplus fund
Other undivided profits

13,000 00
4, 686 50

National bank notes outstanding
State bank notes outstanding

90, 000 00

"18,95066
20, 375 08
808 37
5, 800 00

Dividends unpaid .

Individual deposits
United States deposits
7, 393 23 Deposits of U. S. disbursing officers.

63,388 91

1, 004 00

11,161 86

10 00

336 82
7, 000 00

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

4, 500 00
287, 237 27

Total.

287,237 27

First National Bank, Red Bank.
No. 445.

A. S. PARKER, President.

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 itoms
Exchanges for clearing house
Bills of other banks
Fractional currency
-.
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

HORATIO ELY, Jr., Cashier.

$186, 818 11 Capital stock paid in .

$100, 000 00

""96," 000* 66" Surplus fund
Other undivided profits.
30,000 00
2,400 00
National bank notes outstanding
75,740 12 State bank notes outstanding
11,426 83
14,415 86 Dividends unpaid.
1,792 25
2, 232 00 Individual deposits
United States deposits
3, 076 18 Deposits of U. S. disbursing officers.
6,014 00 Due to other national banks
300 14 Due to State banks and bankers .
3,181 00
12", 500 00 Notes and bills re-discounted.
Bills payable
,
4, 320 00
Total.

450,216 49

50, 000 00
18,179 3&
86, 400 00

85 00*
188,039 90
7, 512 23

450,216 49

Second National Bank, Red Bank.
J. S. APPLF.G ATE, President.

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




No. 2257.
$148,226 02

I. B. EDWARDS, Cashier.

Capital stock paid in .

,
* " 7 5 "666" 66" Surplus fund
Other undivided profits.
700 00

59, 585 19
1, 033 82
12, 250 00
1, 673 79
10, 000 00
4,344 58
8, 000
335
192
8, 940

00
00
00
C
O

National bank notes outstanding . .
State bank notes outstanding.
Dividends unpaid .

$75, 000 00
3, 000 00
4,191 61
67, 500 00
40 00

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

167, 660 5a

Due to other national banks
Due to State banks and bankers . .
Notes and bills re-discounted.
Bills payabl#.

15, 304 64
958 65

3, 375 00
333, 655 40

Total.

333, 655 40

356

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

JERSEY.

Salem National Banking Company, Salem.
No. 1326.

CHARLES WOOD, President.

BENJ. ACTON, 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 bunks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit . . .
Due from U. S. Treasurer

Liabilities.
$238, 353 66

Capital stock paid in .

25, 000 00
38, 506 04
135, 000 00

19,021 00 Due to other national banks
127 23 Due to State banks and bankers .
2, 96 i 42 I
50, 97 J 00 Notes and bills re-discounted.
Bills payable
22, 186 64 !

17,364 21

602, 965 48

Total.

$L50, 000 00

152, 000 00 I Surplus fund
Other undivided profits
"46" 850* 06" I
9,190 00 I National bank notes outstanding
49, 702 56 ! State bank notes outstanding
2,612 99 ! Dividends unpaid .
7, 125 00 !
3, 381 00 I Individual deposits
United States deposits
4, 479 98 Deposits of U. S. disbursing officers

Total.

1,179 50
235, 915 73

602, 965 48

First National Bank, Somerville.
NKLSON YOVSQ, 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
U. S. certificates of deposit
Due from U. S. Treasurer

JOHN W. TAYLOR, Cashier.

No. 395.

$213,902 22 j Capital stock paid in.
368 52
200, 000 00 Surplus fund
Other undivided profits.
23, 000 00 National bank notes outstanding —
State bank notes outstanding
26,838 14
1, 881)
19, 155
2,714
4, 000

99
06
42
00

2, 789 84

28, 683 87
19, 586 45
180, 000 00
1,273 00

Dividends unpaid .

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

880 00 Due to other national banks
125 44 Due to State banks and bankers .
882 00
8, 294 00I Notes and bills re-discounted.
Bills payable
9, 000 00

Total.

$200, 000 00

81, 406 18
2, 881 13

513,830 63

Total.

Ocean County National Bank, Tom's River.
JOHN AUMACK, President.
Loans and discounts
Overdrafts
T5. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1400.
$158,329 90

WM. A. Low, Cashier.

Capital stock paid in.

"156," 666 '65'
"*"25"666"66"

Surplus fund
Other undivided profits
13,000 00 National bank notes outstanding
11,143 50 State bank notes outstanding
3,652 10 Dividends unpaid .
3,550 00
842 59
8,691 34 Individual deposits
United States deposits
1,199 82 Deposits of U. S. disbursing officers.
12, 435 00 Due to other national banks
758 87 Due to State banks and bankers .
3, 435 00
6,178 00 Notes and bills re-discounted .
Bills payable
6,750 00 ||

41)4,969 12

Total.

$150,000 00
26, 000 00
6, 588 09
132, 795 00
300 00
88,647 38

633 65

404, 969 12

REPORT OP THE COMPTROLLER OF THE CURRENCY.
NEW

357

JERSEY.

First National Bank, Trenton.
No. 281.

P. P. DUNN, President.

CHAS. WHITEHEAD, 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.
$531, 834 22
500, 000 00
100, 000 00
30, 000 00

92,006 12
64. 094 27
33, 000 00
6,871 94

Capital stock paid ia

$500, 000 00

Surplus fund
,
Other undivided profits.
National bank notes outstanding ....
State bank notes outstanding
Dividends unpaid.

3,189 52
1,229 00
42 71

Due to other national banks
Due to State banks and bankers

25,168 00

450, 000 00
716 50

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

4D0 00

100,000 00
18,016 21

j
|

245, 665 77
34, 559 30
6, 585 03
54,011 25
4,781 72

Notes and bills re-discounted .
Bills payable

26, 500 00
Total

1,414,335 78

1,414,335 78

Mechanics' National Bank, Trenton.
TIMOTHY ABBOTT, President.

No. 1327.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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 H. CLARK, Cashier.

$~)00,000 00

$679, 510 78 I Capital stock paid in .

100, 000 00
74, 556 92

"362 "666* 6b" Surplus fund
Other undivided profits
""50*606" 66'
National bank notes outstanding
146.462 03 State bank notes outstanding
119,398 15
24, 507 00

9,06256'
2,354 4L

325, 800 00

Dividends unpaid.

455 00

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

403, 218 00

3,881 00 Due to other national banks
439 60
1, 020 24 Due to State banks and bankers
22, 800 00 Notes and bills re-discounted.
Bills payable
17,289 10
1,438,724 8L

34, 385 85
309 04

Total

1,438,724 81

First National Bank, Vincentown.
JNO.

No. 370.

S. IRICK, President.

Loans and discounts
Overdrafts
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
Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer .
Total




,

GUY BRYAN, Cashier.

$120,410 75 I Capital stock paid in
992 10 1
100, 000 00 j Surplus fund
Other undivided profits
1,900 00 ! National bank notes outstanding
11,347 31 i State bank notes outstanding
399 13 i
5, 580 38 !
1, 208 89 !

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

j

$100, 000 00
25, 000 00
7,236 88
9i\ 000 00

Dividends unpaid.

1,359 00
40 74
700 00
5, 266 0 /

-.

Individual deposits
,
United States deposits
228 05 i Deposits of U. S. disbursing officers..

31, 634 08

61 39

4,500 00
253, 932 35

Total .

253, 932 35

358

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

JERSEY,

First National Bank, Washington.
JAS. K. SYVAYZE, President.

No. 860.

PHILIP H. HANN, Cashier.

Resources.
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.

Liabilities.
$165,324 16
100 80
100, 000 00
9, 000 00

4, 111 93
1,035 75
1, 400 00
3,013 24
1,289 00
31749
740 00
4,480 00

Capital stock paid in.

$100, 000 00

Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding

32, 000 00
15, 780 74
71, 446 00
6, 430 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

67,269 87

2,335 76

4,GOO 00

295,312 37

Total.

295, 312 37

First National Bank, Woodbury.
JNO. H. BRADWAY, Cashier.

AMOS J. PEASLEE, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents -.
Due from other banks and bankers.
Real estate, furniture, and fixtures . .
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
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$210, 504 74
33 73
100 000 00
25, 000 00
10,000 00
116,317 67
2, 613 89
7, 000 00
117 05
5,012 00
306 60
7,273 37
8,640 00
10,000 00
5, 300 00

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 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.

508,119 05

50, 000 00
4,778 69
86,700 00

984 00
261,021 91
4, 634 25

508,119 05

First National Bank, Woodstown.
E. R. BULLOCK, 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.




No. 399.
$146, 725 34
344 14
80, 000 00

50, 612 07

W. Z. FLITCRAFT, Cashier.

Capital stock paid in.

13,810 52
41,117 00

National bank notes outstanding
State bank notes outstanding

66, 500 00

4, 600 00 i Dividends unpaid .
1,522 42 Individual deposits
United S iates deposits
2, 803 80 ! Deposits of U. S. disbursing officers.
2,788 00 Due. to other national banks
23 ! Due to State banks and bankers .
1,219 20
11,279 00 Notes and bills re-discounted.
Bills payable
" 3 " 375 00
305, 269 20

$75, 000 00

Surplus fund
Other undivided profits

Total.

107,548 82

1,292 86

305, 269 20

REPORT OF THE COMPTROLLER OF THE CURRENCY. 359
PENNSYLVANIA.
First National Bank, Allegheny.
No. 198.

T. H. NEVIS', President.

J. P. KRAMER, 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
Checks and other cash items
Exchanges for clearing house
j
Bills of other banks
I
Fractional currency
i
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$350, 000 00

Capital stock paid in

110,000 00
43, 083 32

Surplus fund
Other undivided profits
National bank notes outstanding

313,200 00

State bank notes outstanding
443 00

Dividends unpaid

950,749 85
22,382 53
1,318 00

Individual deposits
10,251 04 United States deposits
11, 625 00 Deposits of U. S. disbursing officers .
3,993 11 Due to other national banks
8, 622 00 Due to State banks and bankers
127, 948 00 Notes and bills re-discounted
Bills payable
,

932 99
5, 293 21

1, 797, 402 90

Total

Total.

Second National Bank, Allegheny.
No. 776.

JAMES LOCKHART, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve 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
.

J. N. DAVIDSON, Cashier.

$491,581 71 Capital stock paid in..
2, 269 65
130, 000 00 ' Surplus fund
I Other undivided profits
i National bank notes outstanding
64,497 81 I State bank notes outstanding
4 24
32, 000 (10 Dividends unpaid.
3, 893 74 I Individual deposits
J United States deposits
•.
8,530 01 Deposits of U. S. disbursing officers .
876 00 i Due to other national banks
50 26 i Due to State banks and bankers .
Notes and bills re-discounted
Bills payable

Total.

$150, 000 00
30, 000 00
45,356 93
117,000 00
285 00
417,911 52

j

Total ..

760, 553 45

Third National Bank, Allegheny.
HUGH S. FLEMING, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, 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
Total.




No. 2235.
$401,665 64
1,493 51
100,000 00

H. A. SPANGLER, Cashier.

Capital stock paid in

Surplus fund
j
Other undivided profits
I
35, 758 41) National bank notes outstanding
45, 880 08 State bank notes outstanding
"4,946*35" Dividends unpaid
2 00 Individual deposits
7,609 68 United States deposits
1, 552 46 Deposits of U. S. disbursing officers .
10, 646
440
800
21, 000

00
30
00
00

$200, 000 00
10, 000 00
6, 979 79
SO, 000 00

1, 086 00
328, 228 63

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

4, 500 00
636,294 42 |

Total.

636,294 42

360

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
German National Bank, Allegheny.
No. 2261.

ADAM WIESE, President.

JOSEPH STRATMAN, 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.
$333, 953 51 Capital stock paid in .
4, 000 00
117,000 00 Surplus fund
Other undivided profits

$200,000 00
5 300 00
8, 746 40

National bank notes outstanding
State bank notes outstanding

6, 000 00

109, 171 54
66, 400 22
27, 000 00
3, 779 95
17, C S 69
O
4,537 90

Dividends unpaid..

312 82

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

7,114 00
704 35
2,558 28
21,000 00

105, 300 00

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

405,511 10

380 13

5,322 01
Total .

725, 550 45

725, 550 45

Second National Bank, Allentown.
WM. H. AlNEY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 373.

REUBEN STAHLER Cashier.

$298,710 36 Capital stock paid in .
51 82
250, 000 00 | Surplus fund
Other undivided profits
15,531 95 National bank notes outstanding . . .
12, 338 67 State bank notes outstanding
6, 089 72
6, 110 34 Dividends unpaid..
4,407 10 jIndividual deposits
9, 600 00 IUnited States deposits
4,155 65 j Deposits of U. S. disbursing officers.

$250, 000 00

1,931 00 jDue to other national banks
731 45 | Due to State banks and bankers —
119 00 1
7, 342 00 Notes and bills re-discounted.
Bills payable
11,250 00 j

16, 750 29
327 78

628,371 06 !

Total.

42, 975 00
11,132 82
225, 000 00
425 50
81,759 67

628.371 06

Allentown National Bank, Allentown.
WILLIAM SAEGER, President.

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

Total.




No. 1322.
$913, 115 68
5,611 47
200, 000 00
34, 787
106,513
175,897
51,703
7, 216
10,000
24, 377

CHAS. W. COOPER, Cashier.

Capital stock paid in .

Surplus fund
Other undivided profits
55 National bank notes outstanding
36 State bank notes outstanding
56
54 Dividends unpaid .
27
00 Individual deposits
United States deposits
50 Deposits of U. S. disbursing officers.

4,130 00
1, 144 31
4,946 80
77, 876 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
67,567 51
180, 000 00
1,116 00
620,120 55

99, 553 83
7, 010 73
50,951 42

9, 000 00
1, 626, 320 04

Total

1,626,320 04

REPORT OP THE COMPTROLLER OF THE CURRENCY. 361
PENNSYLVANIA.
First National Bank, Altoona.
No. 247.

HENRY LLOYD, President.

JOHN LLOYD, 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.

$233, 705 58
4,872 10
150, 000 00
50, 000 00
2, 500 00
22, 710 25

$150, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding

21,523 62 Dividends unpaid.
13, 097 47
3, 890 04 Individual deposits
United States deposits
3, 453 98 Deposits of U. S. disbursing officers.
1,203 00
2, 298 44
25, 400 00

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

135, 000 00

180, 535 27
21,049 10
15, 155 10
4,152 05

541, 403 88

Total .

541,403 88

24,500 00
11,012 36

Citizens' National Bank, Ashland.
J. H. HOOVER, President.

GEO. H. HELFRTCH, Cashitr.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 705 29

Capital stock paid in.'.

$60,000 00

Surplus fund
Other undivided profits
9,837 31 National bank notes outstanding
23, 923 83 State bank notes outstanding
6,684 17 Dividends unpaid.
3,126 15
897 70
8, 400 00 Individual deposits
United States deposits
818 11 Deposits of U. S. disbursing officers.

"" 60," 000 66

1, 590 00 Due to other national banks
226 53 Due to State banks and bankers
525 00
17, 054 00 Notes and bills re-discounted.
Bills payable

Total.

Total.

250 00
1, 798 27
53,400 00

88, 570 05

1,143 97
124 99

205,287 28

First National Bank, Athens.
N. C. 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... I
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




No. 1094.

CHAS. T. HULL, Cashier.

$223, 526 29 Capital stock paid in.
3, 6H6 17
100, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
16, 174 92 State bank notes outstanding
2,287 11 Dividends unpaid .
3, 800 00
2, 154 58 | Individual deposits
United States deposits
116 38 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
100, 000 00
5, 806 57
90, 000 00
160 00
66, 620 43

i, ne 6i

363, 697 61

862

KEPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA,
First National Bank, Bellefonte.
No. 459.

E. C. HUMES, President.

JNO.

Resources.

P. H A R R I S , Cashier.

Liabilities.

Loans and discounts
i
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.. I
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
j
Exchanges for clearing house
j.
Bills of other banks
(
Fractional currency
|
Specie
-.|
Legal tender notes
j
U. S. certificates of deposit
j.
Due from U. S. Treasurer
j

$273, 694 69

Capital stock paid in .

""166,666 66

Surplus fund
Other undivided profits

50, 000 00
4, 073 96

National bank notes outstanding
State bank notes outstanding

90, 000 00

28, 125 00
18,945 19
10, 361 48
26, 279 25
2, 474 80
3,374 14
4, 059
685
950
43, 292

00
65
00
01)

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

245,048 23

27, 552 45
566 56

Notes and bills re-discounted.
Bills payable

4,500 00
Total.

517,24 L 20

Total.

$100, 000 00

517,241 20

First National Bank, Berwick.
No. 568.

M. W. 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
Dae from U. S. Treasurer

S. C. J A Y N E , Cashier.

$124,443 21 ! Capital stock paid in
314 07 I
30, 000 00
Surplus fund
Other undivided profits

$75, 000 00
33, 000 00
4,255 01

10,000 00 |j National bank notes outstanding . . .
14,384 86 State bank notes outstanding
2,559 26
Dividends unpaid .

27, 000 00

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

50, 227 23

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

119 6G
47 09

Notes and bills re-discounted
Bills payable

Total.

Total.

189,648 99

First National Bank, Bethlehem.
C. A. LUCKENBACH, President.

No. 138.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and 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
Biils of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




j
j
J
j
j
j
j
,

C. E. BKEDER, Cashier.

$418,138 30 1 Capital stock paid in
2, 109 71 j
300, 000 00
Surplus fund
i Other undivided profits
56, 651 86
1,284 63
10,763 19
38,098 98
5,576 07
10,500 00
6, 238 72
4, 137
1,809
4,910
12, 288

00
98
00
00

"8,*966"66'
881, 409 44

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
40,150 00
16, 487 50
268, C O 00
O
719 50
255, 952 44

100 00

Notes and bills re-discounted....
Bills payable
Total.

881,409 44

REPORT OF THE COMPTROLLER OF THE CURRENCY.

363

PENNSYLVANIA,
Lehigh Valley National Bank, Bethlehem.
G. B. LINDERMAN, President.

No. 2050.

H. G. BORHEK, 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

$414,016 52
2. 288 88
300,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
33, 193 92 State bank notes outstanding
2, 85<> 26
22, 235 09 Dividends unpaid .
5, 193 16
24,000 00 Individual deposits
United States deposits
8,914 70 Deposits of U. S. disbursing officers
18,713 00
1,030 6-2
501 95
18, 042 00

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

31, 500 00
28, 357 86
264, 700 00

236, 475 53

3,455 71

13, 500 00
864,489 10

Total.

$300,000 00

Capital stock paid in.

864,489 10

Total.

First National Bank, Blairsville.
No. 867.

PAUL GRAFF, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid....
Premiums paid .
, Checks and other cash items
Exchanges 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, 183 36
442 87
80, 000 0J

14, 000 00
9, 887 84
1,123 00
7, 540 5)
i, 182 oy
362 82

25 J 0')
164 7o
240 70
2, 820 00

T. D. CUNNINGHAM, Cashier.

Capital stock paid in.

$80,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

25, 345 00
3, 909 11

Individual deposits
(Jutted States deposits
Deposits of U. S. disbursing officers.

78, 483 27

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

71, 960 00
60 00

46 55

3, 600 00
Total.

259,803 93

259,803 93

First National Bank, Bloomsburg.
C. R. PAXTON, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents
Due from other banks and bankers . .
Real estate, furniture, and fixtures
Current expenses 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. 8. certificates of deposit
Dae from V- S. Treasurer
Total

H. Ex.




No. 293.
$156,693 47
2,527 66
50, 000 00
34, 375 00
2, 335 09
9, 557 45
1,917 83
1, 590 41
5 01)
90 00
6, 554 00

J. P. TUSTTN, Cashier.

Capital stock paid in .

$50,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

100, 000 00
8, 983 33
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

61,176 98

2, 743 6«

"""2," 250'66
267, 905 91

Total.

267,905 91

364

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
National Bank, Boyertown.
No. 2137.

T. J. B. RHOADS, President.

MILTON A. MORY, 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 mortgageg..
Due from approved reserve agents...
Due from other banks and bankers. ..j
Real estate, furniture, and fixtures...i
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

Liabilities.
$156, 385 28

Capital stock paid in.

"loo,"566 6o
6,900 00
21 38
540 00

Dividends unpaid .

1,344 38

9, 000 00
89 45

4, 000 00
3, 592 43
90, 000 00
30 00

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

165 00 Due to other national banks
6 59 Due to State banks and bankers.
11 50
2, 821 00 Notes and bills re-discounted
Bills payable

83,346 96

815 19

""i, hob bo

281,784 58

Total .

$100, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding.
State bank notes outstanding

Total.

281,784 58

Farmers' National Bank of Bucks County, Bristol.
C. N. TAYLOR, President.

No. 717.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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.

$92, 220 00

Surplus fund
,..
"i6,665 oo Other Undivided profits
National bank notes outstanding
8, 635 24 State bank notes outstanding
17,239 13 Dividends unpaid .
9,500 00
3,268 87 Individual deposits
United States deposits
1,189 79 Deposits of U. S. disbursing officers.

75, 000 00
12,180 77

$247, 097 43
"""93,"6oo"6o"

6,531 00
169 2-2
579 00
19,806 00
15,000 00
4,150 00

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

436,165 68

Total.

C. T, IREDELL, Cashier.

Total.

76, 785 00
198 60
171, 252 42
8, 288 81
240 08

436,165 68

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. Treasure
Total.




No. 135.

ELI CRUMRINE, Cashier.

$173,226 74 I Capital stock paid in.
1,491 U
75, 000 00 Surplus fund
Other undivided profits .
1, 000 00 National bank notes outstanding
10, 551 28 State bank notes outstanding
11,500 00 Dividends unpaid.
1,151 72 Individual deposits
United States deposits
167 60 Deposits of U. S. disbursing officers.
2, 060 00 Due to other national banks
109 88 Due to State banks and bankers
"957 00
7,500 00 I Notes and bills re-discounted
• Bills payable
3,375 65
288, 090 33

:

Total.

$75,000 00
42, 000 00
8, 352 29
65, 900 00
100 00
78, 379 84

18, 358 30

288, 090 33

REPORT OF THE COMPTROLLER OF THE CURRENCY.

365

PENNSYLVANIA,
Monongahela National Bank, Brownsville.
GEO.

E. HOGG, President.

No. 648.

W M . PARKHILL, Cashier.

Liabilities.
$278,394 58
1,084 55
200, 001) 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.

$200, 000 00

Surplus fund
Other undivided profits .

100,000 00
16, 477 32

13, 000 00
8,918 32
689 87
36, 60U 00
1, 617 64

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

175, 040 00

1, 433 00
90 93
5,391 60
16, 995 00

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

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

2, 809 50
78,968 78

9, 200 00

Total.

Total.

573,415 49

First National Bank, Butler.
CHAS. McCANDLESS, President.

No. 309.

ALEX. MITCHELL, Cashier.

$239, 566 52 !Capital stock paid in .
1,145 77 |
100, 000 00 ! Surplus fund
Other undivided profits
41,650 66"!
13, 600 00 ; National bank notes outstanding
54, 402 51 I State bank notes outstanding

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

2, 316
53, 207
1,308
7,971

19
75
98
39

!
j Dividends
!
Individual
|

512 15 |

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

596,685 95

19, 000 00
6, 883 01
90, 000 00

unpaid .

14,517 00 Due to other national banks
1, 589 09
6,814 60 Due to State banks and bankers .
53,584 00 Notes and bills re-discounted.
Bills payable
4, 500 00

Total.

$100,000 0
©

Total.

360,174

20, 628 05

596,685 95

First National Bank, Carbondale.
No. 664.

H. S. PIERCE, President.
Loans and discounts
j
Overdrafts
I
U. 8. 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, and fixtures... j
Current expenses and taxes paid
j
Premiumspaid
I
Checks and other cash items
|
Exchanges for clearing house
I
Bills of other banks
\
Fractional currency
!
Specie
;
Legal tender notes
I
U. S. certificates of deposit
!
Due from U. S. Treasurer
!
Total




!

JAMES STOTT, Cashier.

$110, 000 00
$136, 191 08 Capital stock paid in.
196 05
42, 200 00
50, 000 00 Surplus fund
6, 535 45
Other undivided profits
60,000 00
45,000 0©
j
81, 450 00 National bank notes outstanding
I.
12,116 90 State bank notes outstanding
4, 010 95
7, 600 00 Dividends unpaid .
641 46
173,136 ©1
2,175 00 Individual deposits
United States deposits
42 01 Deposits of U. S. disbursing officers .
5,595 00 Due to other national banks
Due to State banks and bankers
475 00
35,000 00 Notes and bills re-discounted
Bills payable
2, 250 00
377,743 45

Total.

8 50
863 49

377,743 45

366

REPORT OF THE COMPTROLLER OF THE CURRENCY.

National Bank, Catasauqua.
ELI J. 8AEGER, President.

No. 1411.

M. H. HORN, 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 X S. Treasurer
L
Total.

$595,349 84
5,546 31
300,000 00

$500, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

73,393 3i
8,115 32
4,878 21
32,163 42
8, 123 04
15,000 00
3,325 44

270, 000 00
31 00
764 60

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

517
300
435
24, 565

00 Due to other national banks
00 Due to State banks and bankers .
00
00 Notes and bills re-discounted.
Bills payable
15,400 00
Total

1,087,111

85, 400 00
21,295 78

200, 679 91

8, 940 60

1,087,111 89

National Bank, Chambersburg.
E. CULBERTSON, President.

G. R. MES'ERSMITH, Cashier.

No. 593.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, 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
Exchange? for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$316,333 29 Capital stock paid in
7, 784 08
260, 000 00 : Surplus fund
..
Other undivided profits
50, 000 00"
23, 000 00 National bank notes outstanding
28,787 29 State bank notes outstanding
48, 659 32
23, 1-21 00 Dividends unpaid
...
2, 559 29
2, 890 44 | Individual deposits
13, 018 55 Unit.-d States deposits
13,04-1 00 Deposits of U. S. disbursing officers..
.
980 01 Due to other national banks
3,058 00 Due to State banks and bankers
25, 000 00 Notes and bills re-discounted
11,700 00 Bills payable
Total.

829, 932 27

$260, 000 00
52, 600 00
9, 193 75
234, 000 00

306 50
254, 975 37
17, 097 25
1, 759 40

829, 932 27

First National Bank, Chester.
JOHN LARKIN, 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 oth rbanks
Fractional currency
Specie
*
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 332.

WILLIAM TAYLOR, Cashier.

!

$252,067 07 ! Capital stock paid in .
474 12 i|
100, 000 00 Surplus fund
Other undivided profits
Nntionsl bank notes outstanding
9,753 35 State bank notes outstanding
5, 686 66
17, 666 29 Dividends unpaid .
4,126 46
Individual deposits
United States deposits
8,232 48
Deposits of U. S. disbursing officers.
4, 307 00 Due to other national banks
.,
175 79 Due to State banks and bankers.
2,607 00
23, 139 00 Notes and bills re-discounted.
Bills payable
,
4, 500 00
432,735 22

Total.

$100, 000 00
18, 436 53
9,672 98
90,000 00
380 50
210, 905 74

3, 339 47

432, 735 5

REPORT OF THE COMPTROLLER OF THE CURRENCY.

367

PENNSYLVANIA.
Delaware County National Bank, Chester.
ELWOOD TYSON, President.

No. 355.

J. H. ROOP, Cashier.

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 clearinghouse.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$554, 728 67
56
220, 000 00 |
63, 312 50

Capital stock paid in

92, 887 59
5, 309 87
12,000 00
5,963 50 Individual deposits
13, 000 00 United States deposits
2, 352 59 Deposits of U. S. disbursing officers.
14, 600 00 Due to other national banks
56 14 Due to State banks and bankers
3,200 00
54, 000 00 Notes and bills re-discounted.
Bills payable
9, 900 00
1,051,31L 42

Total.

$300,000 00

Surplus fund
,
Other undivided profits.
I National bank notes outstanding
! State bank notes outstanding
j
| Dividends unpaid.,

Total

47, 200 (0
30,158 72
197, 805 00
498 00
450, 887 89
11, 641 22
13,120 59

1,051,311 42

First National Bank, Clarion.
No. 774.

SAMUEL WILSON, 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.

G. W. ARNOLD, Cashier.

$438, 015 00 Capital stock paid in.
5, 316 40
100, 000 U0 Surplus fund
"""s^ 666*66' Other undivided profits
22,000 00
National bank notes outstanding
52, 646 04 State bank notes outstanding
10, 175 00 Dividends unpaid .
33,031 05
2, 885 60 Individual deposits
527 14 United States deposits
1, 649 49 Deposits of U. S. disbursing officers.
1,172 00 Due to other national banks
140 71 Due to State banks and bankers.
13, 722 53
33,568 00 Notes and bills re-discounted.
Bills payable
7,327 46
727,176 42

$100, 000 00
100, 000 00
17,149 69
66, 000 00

443, 000 38

1,026 35

727,176 42

Total.

First National Bank, Clearfield.
JONA. BOYNTON,

President.

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




No. 768.

WM. H. DILL, Cashier.

$155, 970 50 Capital stock paid in.
4,761 56
100,000 00 Surplus fund
Other undivided profits .
National bank notes outstanding
4, 808 90 State bank notes outstanding.
4,249 13 Dividends unpaid.
1,260 60
1,186 86 Individual deposits
United States deposits
812 33 Deposits of U. S. disbursing officers.
3,279 00 Due to other national banks
267 28 Due to State banks and bankers
618 55
2, 425 00 Notes and bills re-discounted.
Bills payable
4,500 00
284,139 71

Total.

$100,000 00
21,000 00
4, 839 38
90, 000 00

67, 527 24
749 47
23 62

284,139 71

368

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA,
County National Bank, Clearfield.

JAS. T. LEONARD, President.

W. M. SHAW, Cashier.

No. 855.

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

Liabilities.
$131,530 29
7, 054 70
75,000 00

Capital stock paid in .

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

9,574 97

67, 500 00

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

2, 226 72

13,319 12
4,573 70
1,408 33
1, 684 60

19, 500 00
3, 468 59

64,039 70

2, 606 00 Due to other national banks
757 00 Due to State banks and bankers
5,965 00 Notes and bills re-discounted.
Bills payable
""3," 375'66"
259,075 43

Total.

$100,000 00

Surplus fund
Other undivided profits.

Total .

4,524 89
42 25

259, 075 43

National Bank of Chester Valley, Coatesville.
ABRAHAM GIBBONS, President.

No. 575.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses 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

$200, 000 00

$400,042 56

""266*666'66 '
21,103
12, 798
11,000
1, 922

72
06
00
60

2, 055 65
7,918
2, 176
2, 630
21, 005

Surplus fund
Other undivided profits
National bank notes outstanding
i State bank notes outstanding
i
1 Dividends unpaid
; Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

00
05
00
00

! Due to other national bankg
'
| Due to State banks and bankers
| Notes and bills re-discounted.
Bills payable
] 0, 000 66 j

692,651 64

Total

FRANCIS F . DAVIS, Cashier.

98. 338 28
6, 713 09
180, 000 00
1,780 00
40 00
193,946 51

11,351 26
482 50

692,651 64

Total

First National Bank, Columbia.
HUGH M. NORTH, 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 clearinghouse.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U- S. certificates of deposit...
Due from U. S. Treasurer
Total.




No. 371.
$315, 726 91
**i97*666'66'
58,116 25
20,869 11
8, 393 57
2,951 96
355 00
1, 329 10
4,279 00
796 21
1, 037 55
12,416 00

S. S. DETWILER, 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.
i Bills payable

$200, 000 00
34, 000 00
10,019 76
175, 400 00
246 00
194, 595 03

15, 092 95
2,781 92

8,865 00
632,135 66

Total.

632,135 66

REPORT OF THE COMPTROLLER OF THE CURRENCY. 3 6 9
PENNSYLVANIA.
Columbia National Bank, Columbia.
SAMUEL SHOCH, Cashier.

GEORGE BOGLE, 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
IT. S. certificates of deposit
Due fr'om U. S. Treasurer

Liabilities.
$745,691 75 Capital stock paid in
Surplus fund
Other undivided profits.
71,037 00 I National bank notes outstanding
60,879 75 State bank notes outstanding
14,86-2 82 I
70,000 00 Dividends unpaid..
6,182 48 i
2,500 00 Individual deposits
United States deposits
339 66 Deposits of U. S. disbursing officers.
555 00 Due to other national banks
4, 516 63 Due to State banks and bankers
6,600 00
65, 700 00 Notes and bills re-discounted.
Bills payable
13, 500 00 I
1, 362, 395 09 j

Total.

$500, 000 00

306660 66

Total

180, 000 00
29,122 02
267, 960 00
2,421 00
374,167 89

8, 646 72
77 46

1,362,395 09

First National Bank, Conneautville.
JOHN WORNALD, President.

No. 143.

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

$136, 395 84
2,712 10
100, 000 00

I

J. C. STURTEVANT, Cashier.

Capital stock paid in.

$100,000 00

Surplus fund
i Other undivided profits
National bank notes outstanding
15,851 49 State bank notes outstanding
1, 299 2tf
8, 033 88 Dividends unpaid .
2, 205 25 Individual deposits
United States deposits
3,784 75 Deposits of U. S. disbursing officers .
1,570 00
234 34
1, 042 50
5, 500 00

2, 600 00
1,583 87
90, 000 00
15 00
89, 930 54

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

284, 129 41

284,129 41

First National Bank, Connellsville.
JOHN D. FRISBEE, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
.
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




No. 2329.

J. S. M'CALEB, Cashier.

$57, 434 65 I Capital stock paid in
1, 066 35
50, 000 00 Surpl us fund
Other undivided profits
"450*66"
National bank notes outstanding
,594 00 State bank notes outstanding
! 156 63 j Dividends unpaid
,
,717 16
, 679 65 Individual deposits
!,200 00 United States deposits
3,716 68 Deposits of U. S. disbursing officers

$50, 000 00
500 00
3,849 77
44,000 00
252 00
48, 821 38

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
I Bills payable
Total

147,423 15

370

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
First National Bank, Conshohocken.

GEORGE BULLOCK, President.

No. 2078.

W M . MCDERMOTT, Cashier.

Resources.

Liabilities.

Loans and discourits
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
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

$154, 900 32
1 85
150, 000 00
1,100 00
37, 072 38
34 3L
16, 000 00
2, 486 37
13, 000 00
58 08
1,361 00
198 86
2,692 00
17, 270 00

Capital stock paid in.

$150,000 00

Surplus fund
Other undivided profits

4, 500 00
5,109 02

National bank notes outstanding
State bank notes outstanding

133, 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
Total.

402,925 17

104, 399 77

4,866 38
150 00

402,925 17

First National Bank, Corry.
No. 605.

ADAMS 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.

$159, 827 09
1,874 46
100, 000 00

A. W. HECKER, Cashier.

$100, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

10, 000 00
3, 189 19
3,591 72
16, 129 80 Dividends unpaid .
1, 734 04 Individual deposits
United States deposits
338 95 Deposits of U. S. disbursing officers.

10, 800 00
5,153 06
90, 000 00

112, 260 88

2,230 00 Due to other national banks
572 17 Due to State banks and bankers .
529 52
13, 697 00 Notes and bills re-discounted.
Bills payable
4,500 00
Total.

318,213 94

318,213 94

Corry National Bank, Corry.
H. F. SWEETSER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 569.
$150,624 96
567 64
100,000 00
14,042 00

C. G. HARMON, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding .
State bank notes outstanding

9,110 06
17, 374 23 Dividends unpaid
24,884 87
2,221 87 Individual deposits
United States deposits
3,334 01 Deposits of U. S. disbursing officers.
12, 590 00 Due to other national banks
1,170 58 Due to State banks and bankers . . .
1,900 00
13, 674 00 Notes and bills re-discounted.
Bills payable
4, 500 00
355, 994 22

Total.

$100,000 00
23, 000 00
5,192 34
90,000 00

137, 696 78

105 10

355, 994 22-

REPORT OF THE COMPTROLLER OF THE CURRENCY. 371
PENNSYLVANIA,
First National Bank, Danville.
No. 325.

SAMUEL YORKS, Jr., President.

B. R. &EARHART, Cashier.

Resources.
Loans and discounts
,
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..
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.

Liabilities.
$206, 857 82
100 87
150, 000 00
"'i9~80i)~~00

300
5,477
6, 370
2, 836
2,567
1, 575

$150, 000 00

Capital stock paid in
Surplus fund.
Other undivided profits
National bank notes outstanding

00
05 State bank notes outstanding
72
23 Dividends unpaid
12
48 Individual deposits
636 06 United States deposits
2,249 00 Deposits of U. S. disbursing officers.
237 67 Due to other national banks
2, 345 00 Due to State banks and bankers
11,892 00 Notes and bills re-discounted
6, 750 00 Bills payable

132,112 00
128 00
70, 738 32
818 12
47 36

419, 995 02

Total.

419,995 02

50, 000 00
16,151 22

Danville National Bank, Danville.
E. H. BALDY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes 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. 1078.

DAVID CLARK, Cashier.

$200, 000-00

$231,717 61 Capital stock paid in.
*" 260," 000 66 Surplus fund
Other undivided profits .
14, 485 00 National bank notes outstanding .
54, 898 72 State bank notes outstanding
59,899 11 Dividends unpaid.
3, 694 01 Individual deposits
United States deposits
21 41 Deposits of U. S. disbursing officers.
5, 490
220
500
10, 000

00
28
00
00

Due to other national banks
Due to State banks and bankers.
Notes and bills rer-discounted.
Bills payable
,

75, 000 00
15, 318 35
156, 000 00
908 00
142, 322 67

377 12

9, 000 00
>89, 926 14 j

Total

589,926 14

Downingtown National Bank, Downingtown.
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.




No. 661.

Jos. R. DOWNING, Cashier.

$170,803 C2 Capital stock paid in.
102 45
100, 000 00 Surplus fund
3,"ioo"66" Other undivided profits
5, 950 00 National bank notes outstanding
9, 438 33 State bank notes outstanding
358 32
6,421 75 Dividends unpaid .
2,219 16 Individual deposits
United States deposits
718 45 Deposits of U. S. disbursing officers.
1,200 00 Due to other national banks
340 27 Due to State banks and bankers .
1, 300 00
8,144 00 Notes and bills re-discounted.
Bills payable
4, 500 00 I
314, 595 75 I

Total.

$100, 000 00
34, 000 00
6,188 99
90,000 00
55 00

78, 086 52

6, 265 24

314,595 75

372

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA,
Doylestown National Bank, Doylestown.

GEORGE LEAR, President.

No. 573.

JNO. J. BROCK, Cashier.

Resources.

Liabilities.
$485, 026 69 Capital stock paid in
300 00
105, 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

12, 000 00
2, 095 65
9, 893 66
5, 000 00
3, 626 92

$105,000 00
100, 000 00
17,935 78

National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid.

93,500 00
I. 904 00

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

302, 055 18

2,758 00 Due to other national banks
217 48 Due to State banks and bankers . . .
4, 667 00
* 32, 000 00 Notes and bills re-discounted.
Bills payable
,
5, 725 00

18,634 14
69 26

787 96

Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer.
Total.

Total

669, 098 36

30,000 00

669, 098 36

First National Bank, Easton.
No. 1171.

MCEVERS FORMAN, President.

$600,190 17
3,724 34
400, 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 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
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

26, 683 43
66, 780 24
32, 146 28
20, 000 00
11, 470 24
2,256 91

JNO. F. GwiNNER, Cashier.
$400, 000 00

Capital stock paid in .

80, 000 00
31,560 90

Surplus fund..,
Other undivided profits
National bank notes outstanding
State bank notes outstanding

360, 000 00
857 00
1, 827 50

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

8, 455 00 Due to other national banks
195 02 Due to State banks and bankers .
3, 322 50
47,513 00 Notes and bills re-discounted.
Bills payable
18, 000 00

Total.

1, 240, 737 13

365, 582 40

909 33

Total.

1, 240, 737 13

Easton National Bank, Easton.
No. 1233.

W M . HACKETT, President.

WM. HACKETT, Jr., Cashier.

$901, 663 44 Capital stock paid in.
Loans and discounts
j
3,296 35
Overdrafts
j
500, 000 00 Surplus fund
U. S. bonds to secure circulation
j.
U. S. bonds to secure deposits
Other undivided profits
U. S. bonds on hand
j
8, 480 00 National bank notes outstanding
Other stocks, bonds, and mortgages . .
10, 619 85 State bank notes outstanding
Due from approved reserve agents, --j
43, 975 28
Due from other banks and bankers ..;
Real estate, furniture, andfixtures. . . !
•16, 200 00 Dividends unpaid.
Current expenses and taxes paid.,... j
12, 814 84 Individual deposits
'..
Premiums paid
!
United States deposits
Checks and other cash items
'
3, 142 25 Deposits of U. S. disbursing officers.
Exchanges for clearing house
;
Bills of other banks
j
23, 655 00 Due to other national banks
Fractional currency
j
2fi8 52 Due to State banks and bankers
5, 407 95
Legal tender notes
j
73, 719 00 Notes and bills re-discounted
U. S. certificates of deposit
I.
"22'hob'bo Bills payable
Due from U. S. Treasurer
i
Total




|

1,625,742 48

Total

.,

$500, 000 00
100, 000 00
85, 982 55
399, 500 00
1, 042 00
1, 355 75
478, 374 13

42,173 59
17,314 46

..I 1,625,742 48

REPORT OF THE COMPTROLLER OF THE CURRENCY. 3 7 3
PENNSYLVANIA.
First National Bank, Erie.
No. 12.

J. C. SPENCER, President.

J. L. STERNBKRG, 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.

$211,989 40
1, 988 52
162, 000 00
50, 000 00
500 00
14, 027 00
17,289 43

$150, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits .
National bank notes outstanding . .
State bank notes outstanding

26,416 00 Dividends unpaid.
13, 085 83
4,951 93 Individual deposits
3, 445 00 United States deposits
3, 326 80 Deposits of U. S. disbursing officers
Due to other national banks
Due to State banks and bankers...
3,088 50
21,452 00 Notes and bills re-discounted.
Bills payable
7, 575 00
3,276 00
521 62

Total.

544,933 03

32, 000 00
16,697 90
145,500 00

176,812 66
22, 140 38
1,175 39
331 12
275 58

544,933 03

Second National Bank, Erie.
No. 606.

W M . L. 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, 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 banks
Fractional currency
Specie
Legal tender notes
,.
U. S. certificates of deposit
D ue from U. S. Treasurer
Total.

C. F. ALLTS, Cashier.

$379, 328 77 Capital stock paid in.
889 99
289, 000 00 Surplus fund
Other undivided profits
6, 049 72 National bank notes outstanding
91,310 42 State bank notes outstanding
46,261 25 Dividends unpaid.
1,985 11
2, 943 91 Individual deposits
United States deposits
2, 679 83 Deposits of U. S. disbursing officers.
6,464 00
969 82
456 10
32, 000 00

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

$300,000 00
53, 000 00
15,580 31
260,000 00

243,218 42
487 37
1,052 82

13, 000 00
873, 338 92 I

Total.

873,338 92

Keystone National Bank, Erie.
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.




No. 535.
$135,251 84
4,817 26
172, 900 00
50. 000 00
32, 500 00
35, 678 54
38. 576 70
65,847 33
44, 522 8L
4,589 83
1,710 07
1, 168 87
8, 565 00
1,388 36
600 00
65, 000 00

JOSEPH I. TOWN, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits .

$250, 000 00
41, 765 96
36, 763 06

National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

433, 409 25
28,671 77
3, 400 44

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

879 55
20, 406 58

7, 780 00
970, 896 61

Total .

970,896 61

374

REPORT OF THE COMPTROLLER OF THE CURRENCY.

PENNSYLVANIA.
Marine National Bank, Erie.
No. 870.

JAS. C. MARSHALL, President.

F. P. BAILEY, 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
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 .

$302, 822 77 Capital stock paid in.
745 66
150, 000 00 Surplus fund
Other undivided profits.
9, 900 00
National bank notes outstanding
41, 505 92 State bank notes outstanding
61, 822 40
2, 859 83 Dividends unpaid.
5,477 68 Individual deposits
United States deposits
1,533 66 Deposits of U. S. disbursing officers.
625 00
319 92
475 02
13,425 00

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

598,262 86

$150, 000 00
48,000 00
19, 989 55
127, 000 00

247, 267 58

5, 562 15
443 58

598, 262 86

First National Bank, Franklin.
No. 189.

SAMUEL PLUMER, President.

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

$318, 955 51
41 74
100, 000 00
50,000 00
50 00
75, 000 00
48, 358 35
30,522 57
12, 000 00
1, 976 84
141 49
32,190 00
96 58
2, 438 50
40, 000 00

$100, 000 00

Surplus fund
Other undivided profits National bank notes outstanding . . .
State bank notes outstanding

100,000 00
23, 956 78
88,300 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

368, 574 42
26, 920 40
12 17
I, 581 25
6, 926 56

4,500 00

716,271 58

Total.

A. D . COTTON, Cashier.

Capital stock paid in .

Total.

716,271 58

First National Bank, Freeport.
EM. WERTHEIMER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
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 . . .
Due from U. S. Treasurer
Total.




No. 2286.
$82, 812 22
547 70
50,000 00

J. R. MA GILL, Cashier.

Capital stock paid in .

Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding
88 L 57
15,379 83 Dividends unpaid.
1,014 85
5, 730 30 Individual deposits
United States deposits
703 59 Deposits of U. S. disbursing officers.
100 00

1, 030 00 Due to other national banks
232 15 Due to State banks and bankers.
705 00
9, 417 00 Notes and bills re-discounted.
Bills payable
1, 350 00
69, 904 21

Total.

$50,000 00
854 48
2,914 77
43, 400 00

71, 848 44

886 52

169,904 21

REPORT OF THE COMPTROLLER OP THE CURRENCY.

375

PENNSYLTA1VIA,
First National Bank, Gettysburg.
No. 311.

GEORGE THRONE, President.

ROBERT BELL, 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.

$100, 000 00

$204,211 54 Capital stock paid in .

""166,666*66
20, 843 57
3,906 41
559 63
23. 300 00
1, 539 60
155 39

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

89,000 00
63 00

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

Due to other national banks
Due to State banks and bankers
855 25
12,651 01) Notes and bills re-discounted.
Bills payable
4,500 00
"i,"068"66

149,388 42

5, 948 89
2, 072 80

373,590 39

Total .

373, 590 39

13,000 00

14,112 28

Gettysburg National Bank, Gsttysburg.
GEORGE SWOPE, President.

No. 611.

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

$380, 854 40

""145,666*66
54, 265 00
26,868 46
4, 822 67
7,000 00
1,898 43
2,427 10

J. EMORY BAIR, Cashier.

Capital stoc t paid in .

$145,150 00

Surplus fund
Other undiv ided profits

30, 000 00
39, 702 45

National bank notes outstanding
State bank i totes outstanding
Dividends u: lpaid.

130,496 00
728 00

Individual deposits
United Stat 38 deposits
Deposits of J. S. disbursing officers.

303,853 78

4,500 00 Due to othe r national banks
84 05
260 00 Due to Stat j banks and bankers
17,100 00 Notes and bills re-discounted.
Bills payabl e
6, 525 00
651,605 11

Total.

1,042 00

601 77
31 11

651,605 l i

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 htocks, bonds, and mortgages..
Due from approved reserve agents..
Due from other banks and bankers...
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




$58,646 18
5> 00
100, 000 00
22, 500 00
15,201 61
35,651 63
2, 400 00
224 79

297 50
493 78
517
250
975
10, 317

00
78
00
00

R. S. BATTLES, Cashier.

Capital stock paid in .

$100,000 00

Surplus funl
Other undivided profits .

14,800 00
2,830 86

National ba: lk notes outstanding
State bank : lotes outstanding

89,000 00

Dividends unpaid.
Individual c eposits
United Stai es deposits
Deposits of U. S. disbursing officers.
Due to other national banks
_
Due to Stat 3 banks and bankers
Notes and tills re-discounted.
Bills payabe

13,243 30

11,229 0T

3, 577 96
231,103 23

Total .

231,103 2S

376

REPORT OF THE COMPTROLLER OF THK CURRENCY.
PENNSYLVANIA.
First National Bank, Glen Rock.

J. V. HOSHOUR, President.

No. 435.

HENRY SEITZ, 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
Total .

Liabilities.
$75, 000 00

Capital stock paid in.

$103,838 67

"""75," 666 "66"

9,358 72
3,252 52

Surplus fund
Other undivided profits
National bank notes outstanding
7, 898 89 State bank notes outstanding . -.
3, 768 26
1,550 00 Dividends unpaid.

67, 440 00

1, 007 37
3, 000 00

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

57, 556 62

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

658 13
356 91

402 87
1, 432
44
313
9, 916

00
84
00
00

214 00

5, 665 00
213,836 90

Total .

213, 836 90

First National Bank, Green Castle.
J . C. MCLANAHAN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid.
Premiums paid
Checks and other cash items
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. 1081.
$74, 822 45

Capital stock paid in

100, 000 00

Surplus fund
Other undivided profits

"25,166 66

$100,000 00
..!
|

National bank notes outstanding
State bank notes outstanding
00
37
19 I Dividends unpaid .
72 I
08 j Individual deposits

2, 453
4, 329
11,750
1,114
5, 743

751 34 I
1,281
157
313
2,407

00
85
50
00

19,200 00
2, 885 15

j
j.

90,000 00

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

II Due to other national banks
II Due to State banks and bankers
ii
|| Notes and bills re-discounted

991 00
20, 026 98
686 05
934 32

47506" 66" ij Bills payable
234, 723 50 j

Total.

L. H. FLETCHER, Cashier.

234, 723 50

Total.

First National Bank of West Greenville, Greenville.
WILLIAM WAUGH, President.

Leans 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, 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. 249.

C. R. BEATTY, Cashier.

$262, 976 76 i Capital stock paid in .
1,685 14 j:
110, 000 00 ! Surplus fund
Other undivided profits
15, 780 00 I National bank notes outstanding
3, 230 89 I State bank notes outstanding
6, 596
17, 375
• 3, 292
1, 350

71
00
80
00

!
I Dividends
I
Individual
I

6,834
733
2,198
28, 356

00
33
00
00 ;

unpaid.

deposits
United States deposits
3, 845 15 I Deposits of U. S. disbursing officers .

""57669" 16";
469, 262 88 !

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

$125, 000 00
40, 000 00
11,381 84
99, 000 00
435 00
192,899 29

546 75

469, 262 88

REPORT OF THE COMPTROLLER OF THE CURRENCY. 3 7 7
PENNSYLVANIA.
Greenville National Bank, Greenville.
No. 2251.

WILLIAM ACHRE, President.

W M . H. BEIL, Cashier.

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. .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U- S. Treasurer
Total.

$L60,158 48 Capital stock paid in
2, 443 77
65, 300 00 Surplus fund
Other undivided profits
National bank notes outstanding
1,419 15
1,190 64
6 198 11
,
1, 707 83
7, 972 44

|

$110, 000 00

i

2,958 00
5, 648 53
58, 060 00

|

State bank notes outstanding
Dividends unpaid

Individual deposits
United States deposits
1,422 00 | Deposits of U. S. disbursing officers.
Due to other national banks
516 60 : Due to State banks and bankers
j
744 05 :
21, 150 00 Notes and bills re-discounted
Bills payable
2,146 07 !
2, 752 69

Total.

275,121 83 ;

2, 644 32
123 23

275,121 83

First National Bank, Hanover.
-

J. P. 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 f6r clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 187.

$285, 697 91

J. H. ALLEMAN, Cashier.

Capital stock paid in

$250, 000 00

""262," 500'66' Surplusfund
Other undivided profits
37, 400 00
National bank notes outstanding
State bank notes outstanding
27,314 37
12,
16,
2,
22,

802
298
372
744

96
84
88
89

4, 230 69

2, 278 00
2,295 43
2,911 00
25, 532 00

Dividends unpaid

|
i
j

61,414 24
13,111 19
234, 000 00
465 00

Individual deposits
United S tates 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

145, 354 69
226 41
6, 957 49

7,150 00
Total.

711,529 02

711,529 02

Harmony National Bank, Harmony.
W. H. H. RIDDLE, President.

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




No. 2335.
$66, 570 56
33 44
50, 000 00

5, 068 04

H. J. MITCHELL, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

5,200 00
1, 107 98
3, 850 59
181 47

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

400 00
2,169 79
45, 000 0©

Dividends unpaid.

200 00
100 83
478 30
7, 324 00

$50, 000 0©

2,250 00 |

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

142,365 21 1
1

44, 785 62

9 m

142,365 21

378

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
First National Bank, Harrisburg.
GEO. H. SMALL, Oashier.

No. 201.

WILLIAM CALDER, 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 .

Liabilities.
$100,000 00

$314,368 44 Capital stock paid in .
1,939 58
100, 000 00 Surplus fund.
Other undivided profits

26, 875 82
8, 672 25

National bank notes outstanding . „ . .
35,577 91 State bank notes outstanding
34,9-21 91 Dividends unpaid.
7,396 63
2, 643 89 Individual deposits
United States deposits
2,516 17 Deposits of U. S. disbursing officers.
4,412 00

656 52
1,977 00
21, 000 00

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

90, 000 00

257,071 98

44, 890 38
3, 599 62

3, 700 00
Total.

531,110 05

531,110 05

Harrisburg National Bank, Harrisburg.
G. W. REILY, President.

J. W. W E I R , Oashier.

No. 580.

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

$538, 186 67 Capital stock paid in .
1,842 02
Surplus fund
30Q, 000 00
Other undivided profits
13, 499 00 National bank notes outstanding
47,191 57 State bank notes outstanding
79,601 10
20, 000 00 Dividends unpaid .
3, 879 69 Individual notes .
.......
United States deposits
24,941 35 Deposits of U. S. disbursing officers.
20,871 00
1,639 00
2,335 00
75, 040 00

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

$300, 000 00
125, 000 00
14,920 16
249,900 00
3, 258 75
403, 449 49

34, 047 18
11,970 82

13,500 00
Total.

1, 142, 546 40

1,142, 546 40

Hatboro' National Bank, Hatboro'.
I. NEWTON EVANS, President

Loans and discounts
Overdrafts
U. S. bond* to secure circulation
U. S. bonds to secure depositg
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve 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 clearinghouse
Bills of other banks
Fractional currency
Specie
Legal tender notes
Due from U. S. Treasurer
Defalcation of late cashier
Total.




No. 2253.

$93,897 89
148 21
50, 000 00
2,500 00
316
9, 456
1,292
7,295
225

JAMES VAN HORN, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding

25 Dividends unpaid.
96
17 Individual deposits
00 United States deposits
75 Deposits of U. S. disbursing officers.

1, 050 00 Due to other national banks
1 29 Due to State banks and bankers .
841 00
8, 900 00
Notes and bills re-diacounted.
2, 250 00 BilU payable
24,975 19
203,749 71

Total.

$65, 000 00
250 00
6, 719 68
45, 000 00
15 00
!6,112 65

652 38

203,749 71

REPORT OF THE COMPTROLLER OF THE CURRENCY.

379

P E N N S YLVA NIA.
First National Bank, Holiidaysburg.
No. 57.

W I L L I A M JACK, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved 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
Total.

$137,805 70
4, 286 38
50, 000 00
2, 400 00

16, 696 66
10, 477 28
13,709 85
346 48
3, 645 00
630 00
789 34
674 00
9, 334 00

TV. H. GARDNER, Cashier.

$50, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

15, 000 00
3, 736 60
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

130, 465 81

574 22
7, 868 06

Notes and bills re-discounted
Bills payable
.

"" "2*250 "6o"
253,044 69

Total .

253, 044 69

Honesdale National Bank, Honesdale.
Z. II. RUSSELL, President.

No. 644.

Loans and discounts
Overdrafts
U, S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and 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
L egal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
,

$368, 548 54
334 29
180,000 00
""is," 660*00'
76, 400 00

18,932 07
149 82
13, 015 00
2,984 15
3, 665 34

Capital stock paid in

$300, 000 00

Surplus fund
Other undivided profits

90, 000 00
42, 622 48

National bank notes outstanding
State bank notes outstanding

158, 200 00
900 00

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

6, 265 00 Due to other national banks
1.048 U7 Due to State banks and bankers . . .
lj 500 00
19, 423 00 Notes and bills re-discounted .
5, OuO 00 Bills payable
8, 100 00
720, 365 28

Total.

E. F . ToRREY, Cashier.

Total

124, 365 85

1,148 21
3, 128 74

720, 365 28

First National Bank, Honey brook.
S A L. LE M MO N, President.
M
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, 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- -21




No. 1676.
$268,424 13
864 70

100, 000 00

23,575 17
1, 043 36
1, 131 58
1,625 81

• R. W. MORTON, Cashier.

Capital stock paid in

28, 000 00
5,763-08

National bank notes outstanding
State bank notes outstanding

88, 980 00

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

5,370 00 Due to other national banks
20 69 Due to State banks and bankers .
400 00
12, C O 00 Notes and bills re-discounted. . . .
O
Bills pay able
4,500 00
418,955 44

$100,000 C
O

Surplus fund
Other undivided profits . -

Total.

129 00
195,440 15

643 2L

418,955 44

380

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA,
First National Bank, Huntingdon.

WM.

P. ORBISON, President.

No. 31.

GEO.

Resources.

W. GARRKTTSON, Cashier.

Liabilities.

Loans and discounts
Overdrafts
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

$304, 927 73 Capital stock paid in
423 81
100, 000 00 Surplus fund
Other undivided profits
4, 000 00 National bank notes outstanding
49,579 60 State bank notes outstanding
25, 527 87
11,507 44 Dividends unpaid
3,661 41
5, 787 50 Individual deposits
2,838 00
396 35
2,680 00
35, 490 00

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
42,100 00
7,816 36
72, 085 00

275, 343 85

3, 974 55

Total

First National Bank, Indiana.
SILAS M. 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 bouse
Bills of other banks
Fractional currency
Specie
- -.
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .

No. 313.

H. A. THOMPSON, Cashier.

$273, 889 95 Capital stock paid in.
42 72
200, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
21,689 93 State bank notes outstanding
20,246 91 Dividends unpaid.
1, 200 00
2,238 65 Individual deposits
United States deposits
1, 296 86
Deposits of U. S. disbursing officers.
1,687 00 Due to other national banks
395 45
429 00 Due to State banks and bankers..
32,887 00 Notes and bills re-discounted
9,000 00 Bills payable
Total

565,003 47

$200, 000 00
74,210 62
9, 532 88
176, 800 00
150 00
104, 309 97

565, 0

Jenkintown National Bank, Jenkintown.
SAML. W. 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.




No. 2219.

ANDREW H. BAKER, Cashier.

$97,508 81 Capital stock paid in . .

'""56"o66"o6"i

$70, 000 00

Surplus fund
Other undivided profits
4, 000 00
National bank notes outstanding
4, 595 42 | State bank notes outstanding
2,800 00 "i Dividends unpaid.

45, 000 00

1, 626 47 I
7, 900 00 !

51,922 52

50 00 !

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

944 00 ' Due to other national banks
89 13 ! Due to State banks and bankers
725 90
3,210 00 Notes and bills re-discounted
Biilr1 payable
2, 250 00 |
175, 729 73

Total.

750 00
4, 820 80

1,236 41

2, 000 CO
175, 729 73

REPORT OF THE COMPTROLLER OF THIS CURRENCY. 3 8 1
PENNSYLVANIA.
First National Bank3 Johnstown.
D. J. MORRELL, President.

H. J. ROBERTS, Cashir.

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
Premium* paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$107,696 13 Capital stock paid in .
24 67
60, 000 00 Surplus fund
Other undivided profits
""'so'ooo*oo"
11,400 00 National bank notes outstanding
4, 243 98 State bank notes outstanding
11,251 70 Dividends unpaid .
1J,621 84
3, 958 2!) Individual deposits
1,706 61 United States deposits
1,345 52 Deposits of U. S. disbursing officers .

$60, 000 00

00 Due to other national banks . .
59 Due to State banks and bankers
00
00 j Notes and bills re-discounted
Bills payable
3, 200 00

1,6!9 34
7,426 14

4, 933
609
548
26, 242

328,781 27

Total.

2, 000 00
7,021 64
53, 980 00

196,734 15

328,781 27

Total .

First National Bank, Kittanning.
No. 69.

J. E. BROWN, 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 mortgages..
Due from approved reserve agents
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Curreut expenses 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.

$173,784 40
1,275 20
222, 000 00
'95.'400 65

2,300 00
33, 572 56
36, 174 08
1, 600 00
2, 116 91
825 87
4, 255 72
936 00
565 00
1, 290 00
39, 621 00

W M . POLLOCK, Cashier.

Capital stock paid in

$200, 000 00
40, 0C0 00
6,788 58

Surplus fund
Other undivided profits
National bank notes outstanding

198, 680 00

State bank notes outstanding
5, 740 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

179,914 16

"" 15," 400* 66"

Total...

6:31,122 74

631,122 74

National Bank, Kutztown.
H. FOGEL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation .
U. S. bonds to secure deposits
U. S. bonds on haud
Other stocks, bonds, and mortgages.
Due from approved reserve agents .
Due from other banks and bankers .
Real estate, furniture, 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
Suspense accutint
Total




No. 1875.

THOS. D. FlSTER, Cashier.

$63, 446 26 Capital stock paid in .

$60,000 00

Surplus fund
Other undivided profits

1,001 44
1,754 07

"56,'66o'o6"

National bank notes outstanding
901 60 State bank notes outstanding
1,751 46 Dividends unpaid.
482 05
5,010 67 Individual deposits
United States deposits
379 58 Deposits of U. S. disbursing officers .
1,661 00
162 07
208 00
I, 990 00
2,500 00'
3, 200 05
137, 695 74

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

50, 000 00
231 00
24, 4S7 13

222 10

137, 695 74

382

REPORT OF THE COMPTROLLER OF THE CURRENCY.
P E ^ f N S Y L V A N I A.
First National Bank, Lancaster.
No. 333.

CLEM. B. GRUBB, President.

HENRY C. HARNER, Cashier.

Resources.

Liabilities.
$346,737 75
173 45
226, 000 00

Loans and discounts
Overdrafts
U. S. bouds to secure circulation.
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes 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

9,576 44

Capital stock paid in.

$210,000 CO

Surplus fund
Other undivided profits

42,000 00
15,578 29

National bank notes outstanding
State bank notes outstanding

20 500 00 |; dividends unpaid
Individual deposits
United States deposits
572 65 Deposits of U. S. disbursing officers.712 00
157 57
14, 000 00

"io'Iso 66

Due to other national banks
Due to State banks and bankers

575 00
174,482 34

12,275 19

615 84

Notes and bills re-discounted.
Bills payable

658, 526 66

To'al .

203, 000 00

Total

658,526 66

Farmers' National Bank, Lancaster.
JACOB BAUSMAN, President.

'

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

No. 597.

266
43
410, 000
100, 000
60, 000

40
65
00
00
00

034
728
000
484

E D W . H. BROWN, Cashier.

Capital stock paid in .

$450, 000 00

Surplus fund
Other undivided profits .
National bank notes outstanding...
State bank notes outstanding

59
88
00 Dividends unpaid
01 Individual deposits
United States deposits
4, 661 77 Deposits of U. S. disbursing officers.
2, 270 00
5(>o 34
10,246 89
64, 100 00

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

150,000 00
46, 243 84
353,188 00
1, 526 25
417,293 19
46,716 45
212 00
38,309 77
57 03

17,115 00
Total

1, 503, 546 53

1,503.546 53

Lancaster County National Bank, Lancaster.
CHRISTIAN B. HERR, President.

Loans and discounts
O v erdrafts
.
U. S. bonds to secure circulation
U. S. 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
Premium? paid
Checks and other cash items
Exchanges fcr clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 683.
$671,869 00

365^ 66b 65"
4," 550*66"
97,116 43
8,999 18
12, 644 98
3, 794 44

W. L. PEIPER, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

$300, 000 00
80, 000 00
55, 578 54
268, 500 00
1, 680 00
3, 036 00

Individual deposits
United States deposits
674 91 Deposits of U. S. disbursing officers.

440, 382 00

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

10,691 13
779 95

Notes and bills re-discounted
Bills payable
Total.

1, 160,647 62

REPORT OF THE COMPTROLLER OF THE CURRENCY.

383

PENNSYLVANIA,
First National Bank, Lansdale.
No. 430.

ELTAS K. F R E E D , President.

CHAS. S. JENKT.VS, 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

$100,000 00

$151, 064 28 | Capital stock paid in.
210 7L i
100, 0.JO 00 I Surplus fund
Other undivided profits

24, 000 00
5, 058 33
89,971 00

National bank notes outstanding
12.234 93 State bank notes outstanding
3, 377 04
Dividends unpaid.
10,434 91
1,279 78
Individual deposits
United States deposits
450 91 Deposits of U. S. disbursing officers..
854
201
% 545
7, 083

00
83
00
00

"4,566 66"

396 G
O
75, 673 27

,137 79

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

297, 236 39

297,236 39

Total.

First National Bank, Lebanon.
G. DAWSOX COLEMAN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. 240

J O H N W. MISH, Cashier.

5129,919 50

!

Capital stock paid in .

"50,"6o6"66"

$50,000 00

I Surplus fund
i Other undivided profits

29,090 18 National bank notes outstanding
10,269 43 State bank notes outstanding
13,856 40
17, 500 00 Dividends unpaid
3, 237 87
Individual deposits
United States deposits
612 69 Deposits of U. S. disbursing officers

45, 000 00
j
179, 599 57

Due to other national banks
Due to State banks and bankers

2, 943 11
1,145 72

Notes and bills re-discounted.
Bills payable
278,688 4 )

Total.

Total.

Lebanon National Bank, Lebanon.
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..
Currant expenses and taxes paid. . . .
Premiums paid
Checks and other cash items
Exchanges for clearing house.
Bills of other banks. .
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 680.

E. A. UHLER, Cashier

$471,0-21 94 Capital stock paid in
412 6) !
[
200,000 00 I Surplus fund
Other undivided profits

1 $200, 000 00
47, 733 83
8,299 04

National bank notes outstanding
j
180,000 00
State bank notes outstanding .
6, 823 29
10,008 16 Dividends unpaid
|
863 00
5,000 0)
5,750 89 Individual deposits
|
333,217 17
United States deposits
j.. »
14,573 82 Deposits of U. S. disbursing officers., j
Due to other national banks
Due to State banks and bankers

'
j

5,649 76
76 00

Notes and bills re-discounted .
Bills payable
Total

745, 843 80

,384

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.

Valley National Bank, Lebanon.
No. 655.

'GEORGE HOFFMAN, President.

JOSEPH KARCH, 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

$206,039 31

Capital stock paid in

Surplus fund
I Other undivided profits
i3,"6io"66
National bank notes outstanding
3,821 31 State bank notes outstanding
6,987 24
2,878 53 Dividends unpaid
2,697 61
1, 097 37 Individual deposits
1, 030 57 United States deposits
820 00 Deposits of U. S. disbursing officers.
125 00 Due to other national banks
3, 179 25 Due to State banks and bankers
20, 000 00 Notes and bills re-discounted
4, 500 00 Bills payable

366,206 19

Total.

$100, 000 00

"166" 000 66

Total

26, 384 28
7, 808 86
89, 300 00
2,363 00
564 25
128, 440 56

10, 045 56
1,299 68

366,206 19

First National Bank, Lehighton.
DANIEL OLEWINE, President.

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

No. 2308.
$67, 805 46

$75, 000 00

67," 666" 66"

Surplus fund
Other undivided profits
National bank notes outstanding
!
422 07 i State bunk notes outstanding
9,227 47
2, 117 70 | Dividends unpaid
1,106 90
6,166 24 ! Individual deposits
United States deposits
142 19 Deposits of U. S. disbursing officers.

3, 055
289
910
2, 242

00
47 i
60
00 j

"'2,"766'66'
163, 185 10

Total.

W. W. BOWMAN, Cashier.

Capital stock paid in.

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

550 00
1,812 27
GO, 300 00
162 00
25, 059 96

209 58
9L 29

163, 185 10

Lewisburg National Bank, Lewisburg.
F. C. 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, 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.




DAVID REBER, Cashier.

$210,709 18

Capital stock paid in.

$100, 000 00

127 72

100, 000 00

37, 888 86
8,418 93
2, 707 04
4, 038 40

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.

10, 905 00 Due to other national banks
125 "8 Due to State banks and bankers
13, 985 00
10, 000 00 Notes and bills re-dincounted.
Bills payable..
4,500 00
403,405 91

Total.

100, 000 00
24,210 26
75, 800 00
' 3, 252 00
241 50
87, 535 03

10, 965 23
1,401 89

403,405 91

385

EEPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA,
Union National Bank, Lewisburg.
No. 784.

WILLIAM .TONES, President.

HUGH P. SHELLER, 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
U. S. certificates of deposit.
Due from U. S. Treasurer

Liabilities.
$136, 474

69

"io6,"6S6"6o
1,664
6, 056
6, 600
1, 375

44
53
00
43

2, 675 50
550 00
175 19
720 00
6 105 00
,
3,535 04

Capital stock paid in.

00

10, 535 00
4, 574 74

National bank notes outstanding
State bank notes outstanding

89, 970

Dividends unpaid .

00

240 00

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

58,728 48

3, 477 14
406 46

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

267, 931 82

Total.

$100, 000

Surplus fund
Other undivided profits

267,931 82

Total.

MifHin County National Bank, Lewistown.
ANDREW REED, President.

No. 1579.

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

$135,

872 69
14 48
100, 000 00
26,188 75
34, 326 18
13,291 15
15,029 00
2, 994 82

D. E. BOBESON, Cashier.

$100,

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding . . .
State bank notes outstanding

130 00

Dividends unpaid .

Individual deposits
United States deposits
251 31 Deposits of U. S. disbursing officers.

572 00
142 15
1,420 25
20, 603

00

000 00

20, 000 00
8, 818 69
88, 740 00
510 00

136, 156 00

Due to other national banks
Due to State banks and bankers .
STotes and bills re-discounted,
kills payable

177 04

3, 825 95
354,531 73

354, 531 73

First National Bank, Lock Haven.
T. C. KINTZING, President.
Loans and discounts
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... 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. 507.
$293,351 35

G. KINTZING, Cashier.

Capital stock paid in.

180,000 66 Surplus fund
Other undivided profits
300 00

21, 650
12, 101
3,017
2, 269

71
06
13
32

National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid .
Individual deposits
United States deposits
,
Deposits of U. S. disbursing officers.

16, 939 00
277 63
1,900 00

Due to other national banks
Due to State banks and bankers

27, 615 00

$180,

000 00

28,100 00
7, 043 48

162, 000 00
436 00
188, 656 01

Notes and bills re-discounted
Bills payable

""8," 100

786 85
498 86

"65"

567,521 20

Total.

567, 521 20

38G

REPORT OF TKE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA,
First National Bank, Mahanoy City.

E. S. SlLLTMAN, President.

No. 567.

WM. L. YODER, 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
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$158,867 85
21 95
80, 000 00

Capital stock paid in.

37,200 00
6,306 63

34, 534 24
32, 230 39
6,951 16
13,348 35
4,586 79
3, 058 45
],299 71

National bank notes outstanding
State bank notes outstanding

70,100 00

1, 386 00
458 00
620 00
23, 788 00

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

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

149,596 33

21, 597 93

Notes and bills re-discounted.
Bills payable

3, 600 00
364, 800 89

Total.

$80, 000 00

Surplus fund
Other undivided profits

Total.

364, 800 &9>

Manheim National Bank, Manheim.
ABRAHAM KAUFFMW, President.
Loans and discounts
.;
Overdrafts
U. S. bonds to secure 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

$100, 000 00

$167,915 94 ! Capital stock paid in
2, 746 86 ,
100, 000 00 ! Surplus fund
Other undivided profits

20, 000 00
8, 648 72

3, 000 00 National I auk notes outstanding
21, 620 16 State bank notes outstanding
11, 782 06 Dividends unpaid .
7, 96-2 23 i
2, 035 98 ! Individual deposits
1, 012 50 United States deposits
587 42 Deposits of U. S. disbursing officers.

86,190 00
730 00
119,831 55

39 00 Due to other national banks
744 12 Due to State banks and bankers .
2, 962 00
8, 492^0 Notes and bills re-discounted.
Bills payable
4,500 00 I]

335, 400 27

Total-

335, 400 27 j

Total .

H. C. GINGRICH, Cashier.

No. 912.

First National Bank, Marietta.
ABRAM COLLTNS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
;
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 25.
$296, 585 87

116," 66o 66
400 00
81,114 41
22, 535 87
3,287 70
27, 036 34
2,872 12

AMOS BOWMAN, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

Individual deposits
Uni ted States deposits
3,020 45 Deposits of U. S. disbursing officers.

700 00
100 59
1,159 50
26, 600 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills pay able

$100, 000 00
100, 000 00
6, 339 01
98, 980 00
900 00
266, 499 22

5, 505 94
138 68

""A, 950 "66
578, 362 85

Total.

578, 362 85

REPORT OP THE COMPTROLLER OF THE CURRENCY. 3 8 7
.PENNSYLVANIA.
First National Bank, Mauch Chunk.
No. 437.

A. W. LF,ISENTRING, President.

A. W. BUTLER, Caskier.

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. Trea-urer

Liabilities.
$666, 485 04 Capital stock paid in .

$400, 000 00

Surplus fund
O ther undivided profits

80, 000 00
24,145 57

""406*000 00
127, 000 00
123, 863
9,814
32, 900
2, 365

52
00
00
52

National bank notes outstanding
State bank notes outstanding
Dividends unpaid

1, 026 00

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

16, 890 00
693 32

Due to other national banks
Due to State banks and bankers
4, 660 00
56, 000 00 Notes and bills re-discounted
Bills payable
,
12, 800 00
1,453,471 40

Total.

360, 000 00

Total

584, 755 33

3, 390 45
154 05

1,453,471 40

Second National Bank, Mauch Chunk.
CHAS. ALBRIGHT, President.

No. 469.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages . .
Due from approved reserve agents...
Due from other banks and bankers..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. L. FOSTER, Cashier.

$L57, 367 54 Capital stock paid in .

$150, 000 00

"156,600 66" Surplus fund
Other undivided profits

28,250 00
8,759 11

56, 668 85
32,150 23
1,530 6L
1,800 00
2,884 90

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

1, 044 00

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

10, 500
15
2, 035
18, 202

00 Due to other national banks
79 Due to State banks and bankers.
00
00 Notes and bills re-discounted.
Bills payable
6, 750 00
Total.

439,904 92

132, 500 00

116, 034 15

3,317 1

439,904 92

First National Bank, McKeesport.
WILLIAM WHJGHAM. President.

Loans and discounts
Overdrafts
,
U. S. bonds to secure circulation .
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, 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




THOMAS PENNEY, Cashier.

No. 2222.
$179, 840 18

Capital stock paid in .

$67, 000 00

30,656 66

Surplus fund
Other undivided profits

4, 000 00
3,300 85

28,190
3, 093
3,1L7
386
3,500

54
28
39
53
00

3,374 66

4,711
493
1, 000
10, 000
1, 350

00
20
00
00
00

269, 056 78

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.,
Individual deposits
United States deposits
*
Deposits of U. S. disbursing officers.

27, 000 00
1,334 00
166,421 93

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

269, 056 78

388

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
First National Bank, Meadville.

C A. DERTCKSOV, President.

No. 115.

R. W. DER1CKSON, 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
r . .
Fractional currency
«
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

Liabilities.
$134,869 86
970 00
100, 000 00
i:j, 300 00
59, 423 82
6,217 59
18,127 II
2, 320 84
900 00
4,659 19

$100, 000 00

Capital stock paid in.

20. 000 00
6, 518 07

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

90, 000 00

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

144,135 73
617 40
139 0L

7,011
149
693
8,268

00 Due to other national banks
10 Due to State bunks and bankers
70
00 Notes and bills re-discounted.
Bills payable
4, 500 00

361,410 21

Total.

361,410 21

Merchants' National Bank, Meadville.
No. 871.

JNO. MCFARLAND, President

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

$172,972 67
97 84
100, 000 00

iS.'ooo'oo"
55, 586
4. 950
20,425
2,715
807
7, 544

Capital stock paid in .

$100,000 00

22,814 22
4,760 81

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

90, 000 00

65
54
00 Dividends unpaid..
76 Individual deposits
40 United States deposits
35 Deposits of U. S. disbursing officers..

676 00 Due to other national banks
1 71 Due to State bauks and bankers
259 00
13,341 00 Notes and bills re-discounted
Bills payable
"" 4*506"66"
398, 877 92

Total.

J. E. MCFARLAND, Cashier.

Total.

173, 863 67

2, 439 22
f
j
398, 877 92

First National Bank, Mechanicsburg.
S. P. GORGAS, President.
Loans and discounts. *
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. C. BRINDLE, Cashier.

No. 380.
$217,216 67
ioi, ooo 0!)
10,000 00
70, 208 00

12,942 47
18,855 44
14, 144 00
4,236 11

Capital stock paid in

50, 000 00
12, 810 80

National bank notes outstanding
State bank notes outstanding

89, 000 00

Dividends unpaid .

Individual deposits
United States deposits
3, 664 28 i Deposits of U. S. disbursing officers..
3,800 o;)

894 99
2,215 00
24, 069 00
""5," 240 12"!
488, 486 08

$100,000 00

Surplus fund
Other undivided profits

Due to other national banks
Due to State banks and bankers

236, 346 00

94 51
234 77

Notes and bills re-discounted
Bills payable
Total

8, 486 08

REPORT OF THE COMPTROLLER OF THE CURRENCY.

389

PE1V1VSYLVAWIA,
Second National Bank, Mechanicsburg.
T. B. BRYSON, President

W M . BRYSON, Cashier.

No. 326.

Resources.

Liabilities.

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

1.141
55, 000
30, 000
26, 250
7, 023
3, 606
1,717
1, 470
2,231
5, 520

10,300 00
2, 161 29

Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

49, 500 00

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

38 00 Due to other national banks
128 40 I Due to State banks and bankers
514 15 |
4, 495 00 Notes and bills re-discounted .
Bills payable
2, 475 00
183,327 07

Total.

$50, 000 00

Capital stock paid in.

$41,716

71,180 90

|
I

177 18
7 70

183, 3-27 07

Total..

First National Bank, Media.
No. 312.

ISAAC HALDEMAN, President

Loans and discounts
Overdrafts
U S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents.. Due from other banks and bankers ..
Real estate, furniture, 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

$208,080 14

* "loo* ooo 'bb"

JOS. W. H A W L E T , Cashier.

$100, 000 00

Capital stock paid in
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

31,200 00
38,451 10
C), 260 46
11,300 00 Dividends unpaid ,
3, 899 90 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
20, 000 00
156 41
1,400 00
15, 000 00
30, 000 00

5, 500 00

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

471.2M Oi

Total.

49, QQO 00
15,756 59
90, 000 00
535 00
214,814 02

1,148 40

471,254 0L

First National Bank, Mercer.
SAMUEL G R I F F 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
S pecie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total,




No. 392.
$250,113 73
4,269 35
120, 000 00

O. L. MUNGER, Cashier.

Capital stock paid in .

Surplus fund
Other undivided profits
' " " 12,850 65"
8,721 3L National bank notes outstanding
17, 852 23 State bank notes outstanding
5, 950 95 Dividends unpaid.
2, 750 00
3, 151 35 Individual deposits
United States deposits
820 72
Deposits of U. S. disbursing officers.
11,229 00
532 40
1,733 60

23,218 00

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

$120, 000 00

24,000 00
5, 327 62
108, 000 00

198, 538 42

11,045 19
584 41

467, 495 64

390

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
Farmers and Mechanics' National Bank, Mercer.

B. MAGOFFIN, Jr., President.

No. 2256.

L. HEFLING, Cashier.

Resources.

Liabilities.
$126, 766 43
287 76
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
Checks and other cash items
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, 620
514
1,484
679
4,150
80

25
19
7-*
80
00
37

779 00
176 42
685 00
20, 785 00

Capital stock paid in .

2,350 00
3, 567 74

National bank notes outstanding
State bank notes outstanding

25, 400 00
326 00

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

98, 949 35

2,149 39
616 52

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

"l,"350*56' |
I

Total.

$80, 000 00

Surplus fund
Other undivided profits

Total.

213,359 00 I

213,359 00

First National Bank, Meyersdale.
S. D. LTVEXGOOD, President.

No. 2258.

Loans and discounts
Overdralts
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

$51, 320 52

"3Q~b'ob"oo

5, 176
883
1,504
251
2, 840
604

15
48
44
10
68
17

197 00
69 48
2, 300 00

L. S. KETM, Cashier.

Capital stock paid in.

$50, 000 03
1, 3~6 00
2,646 16

Surplus fund
,
Other undivided profits.

27, 000 00

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

13,674 91

73 50
1,775 70

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

Total.

96, 476 27

National Bank, Middletown.
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.




No. 585.

J. D. CAMERON, Cashier.

Capital stock paid in

$100, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

25, 000 00
7, 024 06
!

90, 000 00
1,459 00

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

93,173 46

Due to other national banks
Due to State banks and bankers

13 ,670 37
811 50

Notes and bills re-discounted
Bills payable
Total

.... ...
331 ,138 39

REPORT OF THE COMPTROLLER OF THE CUR&SNCY. 3 9 1
PENNSY LVANIA.
First National Bank, Mifflinburg.
No. 174.

WILLIAM YOUNG, President.

B. F. YOUNG, 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, 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.

Liabilities.
$133,206 23
319 99
100,000 00

6,
5,
8,
2,

093
323
830
526

32
52
8)
45

1, 040 00
45 21
665 00
5.08L 00

$100, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

31,000 00
6,910 63
89, OOCL 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

39, 995 74

559 23
165 92

4,500 00
Total.

267, 63 L 5a

267, 63L 52

First National Bank, Millersburg.
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
Exchanges for clearing house
Bills of other banks •.
Fractional currency.
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

F. H. Voss, Cashier.

No. 2252.

$100, 000 00

$131,591 63 Capital stock paid in

""i66,"6oo" 66
11,038
4, 572
23, 400
3, 216

47
27
00
95

146 07
975
193
52
7, 552

00
55~
99
00

4,500 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

287, 238 93

Total.

4, 400 00
8, 342 63
90, 000 00
3 50
83, 612 87

648 23
231 70

287, 238 93

German National Bank, Millerstown.
JOHN WALKER, Cashier.

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..
Due from approved reserve agents.. Due from other banks and bankers . .
Real estate, furniture, and fixtures-..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other buukn
,
Fractional currency
S pecie
Legal tendsr notes
j
U. S. certifioHtes of deposit
j
Due from U. S. TJ easurer
\
Totai




$120, 340 76
1,714 75
50, 000 00

"""so"606 66

Capital stock paid in.
Surplus fund
Other undivided profits

6, 750
65, 469
22, 226
7,217
1,505
9,829

00
29
84
84
64
86

National bank notes outstanding
State bank notes outstanding

1,439
208
700
25, L L
O

00
40
10
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
5,763 17 Deposits of U. S. disbursing officers

"2," 250* 66"

Total.

$50, 000 00
6, 700 00
4,346 81
45, 000 00
60 00
262, 601 95

1,807 i

370,516 65

392

REPOKT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA,
First National Bank, Milton.
No. 253.

J. WOODS BROWN, President.

J. M. 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
Premiums paid
Checks and other cash items
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.
$131,024 63 | Capital stock paid in
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

25,235 00
5,199 82

|
!.
4,384 45
5, 4J8 3H
10, 000 00 Dividends unpaid .
1, 192 70
! j Individual deposits
. . . . . . . | , jj n j tef i grates deposits
593 02 ii Deposits of U. S. disbursing officers.
2, 475 00 Due to other national banks
288 15 Due to State banks and bankers
1,830 00
17, 880 00 1 Notes and bills re-discounted.
1
Ii Bills payable
.
1,857 50 |

87, 070 00

•276,2-23 81

Total.

$100,000 00
|

99f"i66 bb'

Total

j

291 00
56,230 21

2,107 31
90 47

276,223 81

Milton National Bank, Milton.
No. 711.

W. C LAWSON, President.

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

$170,154 37 j

""loo,ooo 65"

R. M. FRTCK, Cashier,

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits
!National banknotes outstanding..
!State bank notes outstanding
Dividends unpaid.

34, 000 00
5, 240 54

10,064 78
10,407 14
5, 970 94
1, 000 00
1,353 33 Individual deposits
United States deposits
1,159 70 Deposits of U. S. disbursing officers

76, 500 00655 00

1, 190 00 Due to other national banks
528 93 Due to State banks and bankers . .
3, 025 00
Notes and bills re-discounted.
12,070 00 Bills payable

35, 298
1, 286 71

265 00'
87,478 50

" 3,800 00
.320,724 19

Total.

320,724 19-

First National Bank, Minersville.
J. S. LAWRENCE, President.

Loans and discounts
Overdrafts
IJ. 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. certificate- of deposit
Due from U. S. Treasurer
Total .




No. 423.

R. F . POTTER, Cashier.

$47,105 11 Capital stock paid in.
$100, 000 00
175 90
100, 000 0 J ji Surplus fund
2R8 03
2,471 13
Other undivided profits
46, 870 00 National bank notes outstanding
90, 000 00
2,510 25 State bank notes outstanding
1, 793 59
|.
18,983 83 Dividends unpaid
2,172 05 Individual deposits
... j
32,563 11
|i United States deposits
j.
; j Deposits of U. S. disbursing officers.. I.
2,191
26
441
8, 770

00 [! Due to other national banks
81 I Due to State banks and bankers
20
00 jj Notes and bills re-discountedi| Bills payable

8,773 33
164 14

3, 200 00

234,239 74

Total.

, 239 74

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
First National Bank, Montrose.
Gr. B. ELD RED, Cashier.

W. J. TuRRELL, 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
Due from U. S. Treasurer
Profit and loss

$122, 089 43
1, 366 24
50, 000 00

25 058
7, 754
9,269
461
10, 298

41
36
45
52
77

6,968 08
741 00

78 17
70) 00
5, 297 00
550 00
10,615 11

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

9. 000 00
25, 00J 00

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

70,261 28
1, 252 96
733 30

Notes and bills re-discounted.
Bills payable

251,247 54

Total..

$100, 000 00

Capital stock paid in .

Total ..

First National Bank, Mount Joy.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve 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.

A. GERBER, Cashier,

No. 667.

H. B. RFIST, President.

$175, 892 26
6 62
100, 000 00

7, 069
822
6, 335
362
237

$100, 000 00

Capital stock paid in.

Surplus fund
Other undivided profits
National bank notes outstanding
32 ! State bank notes outstanding
13
00 ! Dividends unpaid .
78 ! Individual deposits
United States deposits
Deposits of U. S. disbursing officers..
28

2, 670 00 Due to other national banks . . . . . . . .
71 53 Due to State banks and bankers
275 75
9. 634 00 Notes and bills re-discounted Bills payable
4, 500 00
307, 876 67

16,100 00
6, 878 18
90, 000 00

91,406 60

135 79
356 10

307, 876 67

Total..

Union National Mount Joy Bank, Mount Joy.
J. G. HOERNER, President.
Loans and discounts
,
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
-.
rj. S. certificates of deposit.
«...
Due from U. S. Treasurer
Total.




No. 1510.
$204,621 73
1, 972 55
100, 000 00
3, 000 00
23,
6,
7,
3,

707
057
490
901

76
65
00
09

11,958 !
3, 376
252
4, 980
19, 638

00
14
25
00

""4,"5Oo"6o"
395,456 12

JACOB R. LONG, 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
19, 000 00
10, 900 82
89, 500 00
280 00
173, 533 71

2,109 21
82 38

195,456 12

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
First National Bank, Mount Pleasant.
JOHN SHERRICK, President.

No. 386.

HENRY JORDAN, 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

$139,964 21 I Capital

2, 767
158
3, 667
34, 920
10, 000
6, 750

00
2L
35
00
00
00

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

29,221 74
6,451 37
130, 325 00
1, 533 00
97, 862 32

118 15

Notes and bills re-discounted.
Bills payable

415,511 58

Total .

$150, 000 00

stock paid in

"" 150," 666" 00*1 Surplus fund
Other undivided profits
260'66"j
National bank notes outstanding
29, 994 49 State bank notes outstanding
10,703 91
23. 483 99 Dividends unpaid .
1, 863 35 Individual deposits
38 50 United States deposits
1, 000 57 Deposits of U. S. disbursing officers.

Total.

415,511 58

First National Bank, Muncy.
J. M. BOWMAN, 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.

D E LA GREEN, Cashier.

No. 837.
$140,767 48
~""95,'566'66'

""13*266 66'
7, 668 89
12,420 51
16,07-2 40
949 90
1,754 56

$100,000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

24,500 00
6,871 81
85, 950 00
236 00

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

8,254 00 Due to other national banks
35 00 Due to State banks and bankers
654 63
21, 235 00 Notes and bills re-discounted.
| Bills payable
,
4,300 00
322, 812 37

89, 829 40

12,212 01
3,213 15

322, 812 37

National Bank of Beaver County, New Brighton.
J O H N MINER, President.

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




No. 632.

$183,925 15
607 06
120, 000 00
7,803 13
14, 527 20
6, 126 94
18, 522 20
1,233 28
866 87
10, 530 00
599 47
1, 300 00
16, 925 00

E D W A R D HOOPS, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .
Individual deposits
Uuited 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
21,788 00
3,813 01
102, 800 00

492 25
55, 816 29

4, 256 75

""*6,"6o6"66"
388, 9b"6 30

Total.

388, 966 30

REPORT OF THE COMPTROLLER OF THE CURRENCY.

395

First National Bank, N e w Castle.
SAMUEL FOLTZ, President.

No. 562.

DAVID OSBORNE, 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.
$202, 814 26
271 34
150, 000 0U

5," 666'66

30, 000 00
16, 557 88

Surplus fund
Other undivided profits

17,140 00 |

National bank notes outstanding

14, 143
11,111
17, 958
1, 138
76

State bank notes outstanding

57
12
96 '
59
87

134, 200 00

Dividends unpaid

Individual deposits
United States deposits
8, 270 00 Deposits of U. S. disbursing officers.
385 98 Due to other national banks
1,411 00
Due to State banks and bankers
10,843 00 Notes and bills re-discounted
3,862 47 Bills payable

114,388 37

714 09

Total

445,146 25

Total .

$150,000 00

Capital stock paid in

445,146 25

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
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

$470, 473 79
3,899 10
150, 500 00

566'6
6

1,000 00
67, 043 34
16, 735 64
16, 000 00
2,011 06

11,041
303
321
36, 000

00
00
10
00

" " 7 * 247'84*'

Capital stock paid in

$150,000 00

Surplus fund
Other undivided profits
National bank notes outstanding

110,000 00
25,519 71
135, 000 0)

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

783, 075 87

Total.

CYRUS CLARKE, Cashier.

Total

360,723 15

1, 832 !

783,075 87

First National Bank, Newtown.
No. 324.

E D W . 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.

H. Ex. 3- -22




$160, 123 50
100, 606 00
18, 475 00
15, 603
4,072
6,421
2,166

20
16
40
72

12.7 60
1, 706 00
32 97
400 00
5, 000 00

S. C. CASE, Caskiet

Capital stock paid in.
Surplus fund
O ther undivided profits
National bank notes outstanding
State bank notes outstanding

$100, 000 00
14,351 38
8,559 13
89,000 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

101,193 06

5, 524 98

4, 500 00
318, 628 53

Total .

318,628 55

396

REPORT OF THE COMPTROLLER OP THE CURRENCY.
PE

XNSYLV1NIA.

First National Bank, Newville.
JAS.

No. 60.

JOHN WAGGONER, President.

D u e from approved reserve a g e n t s . .
D u e from other b a n k s and bankers .
Real estate, furniture, a n d f i x t u r e s . .
Current expenses a n d taxes paid.
P r e m i u m s paid

$100, 000 00

$195,600 36 |j Capital stock paid in .
1,912 78 !
100, 000 00 j Surplus fund

5, 400 00
7, 949 06
76,180 00

Other undivided profits
National bank notes outstanding
17, 509 99 i State bank notes outstanding
7,381 52
Dividends unpaid .
13,000 00

25, OOOOO" I
18,450 00 i

1,836 10
4, 151 50
114 48

Checks a n d other cash items
E x c h a n g e s for d e a l i n g house
Bills of other banks
F r a c t i o n a l currency
Specie
Legal tender notes
U. S. certificates of deposit
D u e from U. S. Treasurer

Cashier.

Liabilities.

Resources.
L o a n s a n d discounts
Overdrafts
U. S. bonds to secure circulation
IJ. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, a n d mortgages .

M'KEEHAN,

420
609
1,672
15,560

00
03
00
00

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

218,197 70

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

4, 500 00
407, 726 76

407, 726 76

Total .

First National Bank, Norristown.
JAMES HOOVEN, President.

Loans and discounts
Overdrafts
•
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. 272.
$386,919 68
200 O)
f
150,000 00
50, 000 00

GEO.

SHANNON, Cashier.

$150, 000 00

Capital stock paid in
Surplus furd
O ther undivided profits
National bank notes outstanding

595 00
118,631 69 State bank notes outstanding
8,844 16
12, 000 00 Dividends unpaid.
4,534 45
Individual deposits
187 09
United States deposits
9, 980 00 Deposits of U. S. disbursing officers.2,000 00 Due to other national banks
4, 900 00 Due to State banks and bankers .
35,000 00 Notes and bills re-discounted
Bills payable

Total

Total

80, 000 00
15,426 07
135, 000 00
1,248 00
383, 729 91
22, 929 16
2,208 93

790, 542 07

Montgomery National Bank, Norristown.
JOHN S LING LUFF, President.

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




No. 1148.

W. F. SLINGLUFF, Cashier.

$309,997 00 i Capital stock paid in.
10 03 i
400, 000 00 | Surplus fund
Other undivided profits
"""26,"4<H)"66"i
156, 000 00 | National bank notes outstanding
111,529 05 I State banknotes/outstanding
22, 098 33 j Dividends unpaid.
20, 000 00
4, 288 33 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

$400, 000 00
400, 000 00
50, 696 51
357, 350 00
3,744 00
403, 969 74

5, 953 54
2, 368 64

1, 624, 082 46

REPORT OF THE COMPTROLLER OF THE CURRENCY".

397

P EKNSYL VANIA.
First National Bank, North East.
No. 741.

A. F . JONES, President.

W. A. ENSIGN, Cashier.

Resources.

Liabilities.

Loans and discouuts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bouds 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
,j
Premiums paid
I
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
j
D ue from U. S. Treasurer
j

$75,061 83 Capital stock paid in
1,045 21
50, 0U0 00 Surplus fund
Other undivided profits

7, 200 00
2, 212 66

National bank notes outstanding
2, 240 70
300 00
1,498 24
556 71

45, 000 00

State bank notes outstanding
Dividends unpaid

Individual deposits
United States deposits ...
4, 189 00 Deposits of U. S. disbursing officers..
151 40 Due to other national banks
190 00 Due to State banks and bankers
7,943 U
0 Notes and bills re-discounted
1,650 00 Bills payable

40,734 13

387 71

145,213 85

Total.

$50,000 00

Total

17 06

145,213 85

First National Bank, Oil City.
WILLTAM HASSON, President.

JAS.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid.
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Speci9
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

A. WAUGH, Cashier.

$509, 697 33 Capital stock paid in.,
3, 575 53
200, 000 00 Surplus fund
Other undivided profits
"55" 206'65'
National bank notes outstanding
State bank notes outstanding
22, 068 68
41,945
22, 000
5, 475
15,001)

63
00
85
00

310 32
27, 553 00
715 67
6, 578 00
95, 700 00

Dividends unpaid .

$200, 000 00
3*2,000 00
13,645 34
177, 000 00
4, 536 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

539, 3S7 49

45, 226 57
1,444 6L

7, 400 00

Total .

1,013,220 01

Total

I 1,013,220 01

National Bank, Oxford.
No. 728.

SAMUEL DICKEY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds 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 es and taxes paid
Premiums paid
:
Checks and other cash items
j
Exchanges for clearing house
j
Bills of other banks
...
F factional currency
S r>ecie
I
L *gal tender notes
'
|
U. S. certificates of deposit
|
Due from U. S. Treasurer
Total




|

$204, 526 I
125, 000 00
'""4,"5O6"66'
18, 900 00
9,
13,
25,
4,

867
537
042
050

44
93
68
72

367 61
181
68
640
19, 450

00
4!
00
00

JOHN JANVIER, 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

$125, 000 00
25, 000 00
3,701 77
112, 500 00
1,333 50
165, 793 15

978 45

8,175 00
434, 306 87

Total.

434,306 87

398

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
Farmers' National Bank, Pennsburg.
A. F . DAY, Cashier.

No. 2334.

E. M. BENNER, President.

Resource

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

$116,348 06
110 01
100, 000 00

529 11
1, 468 06
2,000 00
2,738 15
6, 000 00
225
236
700
339

00
03
00
00

4*500 55'

1,000 00
4, 067 06

Surplus fund.
Other undivided profits
National bank notes outstanding
State bank notes outstanding

90, 000 00
84 00

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 .

40, 007 16

25 20

Notes and bills re-discounted
Bills payable
Total

235,183 42

Total.

$100, 000 00

Capital stock paid in

235, 183 42

Perkiomen National Bank, Pennsburg.
M I C H A E L ALDERFKR, 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. 2301.
$172,838 60
50 20
100, 000 00

3,901 05
1,464 78
17, 807 76
1, 054 29
6,030 00

3, 180
10
348
5,891

00
49
80
00

4f"5o6"66":

Capital stock paid in.

$100,000 00

Surplus fund
Other undivided profits

20, 000 00
4,847 63

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 bank s
Due to State banks and bankers

273 00
97, 077 79

4,851 55

Notes and bills re-discounted
Bills payable

317, 049 97

Total.

J O H N N. JACOBS, Cashier.

Total.

3L7, 049 97

First National Bank, Philadelphia.
G E O R G E P H I L L 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
Due froai U S. Treasurer
Total




No. 1.
$3,236,283 15
1, 000, 000 00
100, 000 00
85, 287 00
478,234 40
241,258 36
200, 000 00
21,472 96
39, 500 00
36, 713 78
823,343 19
102, 002 00
9,093 8!)
17, 175 77
134, 878 00
630, 000 00
39, 990 00
7 , 2 4 4 , ^ 3 1 41 j

MORTON MCMTCHAEL, Jr., Cashier.

Capital stock paid in.

1,000,000 00

Surplus fund
Other undivided profits.

500, 000 00
60,348 12

National bank notes outstanding . . .
State bank notes outstanding

784, 090 00

Dividends unpaid.

1,218 00

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

3, 029, 366 80
75, 000 (O
J

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

1, 629,137 62
165, 070 87

Notes and bills re-discounted.
Bills payable
Total

7,244,231 41

REPORT OF THE COMPTROLLER OF THE CURRENCY.

199

PENNSYLVANIA,
Second National Bank, Philadelphia.
No. 213.

B E N J . R O W L A N D , Jr,, President.

JAMES ANDERSON, Cashier.

Liabilities.

Resources.
$505, 350 09

Capital stock paid in.

"366,660'66

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid

Surplus fund
j Other undivided profits

$300, 000 00
60, 000 00
19,163 50

48*, 000 00 j National bank notes outstanding
56, 988 98 I State bank notes outstanding
36, 806 53
Dividends unpaid .
24,000 00
9, 327 38 j Individual deposits
J United States deposits
Deposits of U. S. disbursing officers..
168 72

Checks and other cash items
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, 290 00
1,126 70
2, 18L 00
69, 660 G
O
10,000 G
O
12, 500 00

440 00
488, 606 72

Due to other national banks
Due to State banks and bankers

14,365 58
2,823 60

Notes and bills re-discounted.
Bills payable
Total.

1,135,399 40

Total

250, 000 00

1,135, 399 40

Third National Bank, Philadelphia.
No. 234.

D A V I D B. P A U L , President.

$609,646 13
1,287 92
293, 000 00

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.

50, 096 50
30, 690 01
69, 727 46
124, 837 38
11,868 47
2, 491 52
2, 233 18
147,365 67
7,200 00
945 00
12,996 50
82, 000 00
13,174 50
11,635 76

Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses 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.

ANTHONY T H O R N , Cashier.

Capital stock paid in...«

$300, 000 00

Surplus fund
Other undivided profits

60, 000 00
21,414 06

National bank notes outstanding

261,590 00

State bank notes outstanding
160 00

Dividends unpaid

710,462 11

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

90,879 18
26, 690 65

Notes and bills re-discounted
Bills payable

1,471,196 00

1,471,196 00

Total

Sixth National Bank, Philadelphia.
No. 352.

JONATHAN MAY, President.

Loans and discounts
Overdrafts
U. S. 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 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.




j
I
j
j
|
j
j

R O B E R T B. SALTER, Cashier.

$433,084 85 Capital stock paid in.
150, 000 00
63,190 61
79,356 92
33,711 42
51,208 00
7, 526 96

$150, 000 00

Surplus fund
Other undivided profits

35, 000 00
19,827 61

National bank notes outstanding
State bank notes outstanding

135,000 00

Dividends unpaid .

156 00

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

6, 472 84
32, 653 30 i
11, 907 00 ' Due to other national banks
7 25 Due to State banks and bankers
5, 900 00
37,056 00 I Notes and bills re-discounted
Bills payable
Total.

567, 735 59

i

8,168 51
1, 470 58

j
j
9L7, 358 29

400

KEPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
Seventh National Bank, Philadelphia.
WM. H. HEISLER, Cashier.

No. 413.

GHAS. S. CLOSE, President.

Liabilities.

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

$.52,109 48

Surplus fund
Other undivided profits
"25,000 "66"
6, 578 85 National bank notes outstanding
65, 371 44 State bank notes outstanding
66,033 63
120, 000 00 Dividends unpaid
8, 095 91
2, 675 00 Individual deposits
4, 020 82 United States deposits
22,851 73 Deposits of U. S. disbursing officers .
3, 423 00
Due to other national banks
4, 479 75 Due to State banks and bankers
27, 837 00 Notes and bills re-discounted
60, 000 00
13, 150 00 Bills payable
1, 232, 998 67

Total.

$250, 000 1 0

Capital stock paid in

1,372 06

250, 000 00

Total.

27," 685 93
225, 000 00

672, 871 09
103 50
32,338 15
"25," 006" 00
1, 232, 998 67

Eighth National Bank, Philadelphia.
JACOB NAYLOR, President.

JAS. A. iRWitf, Cashier.

No. 522.

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

$913,312 33
88 39
275, 000 01)
5, 000 00
113,290 32
50, 972 84
50, 000 00
11, 248 60
3, 537 90
20, 757 49
27, 862 00
5,818 00
5, 000 00
150,997 00
10,000 00
12, 375 00

$275, 000 00

Capital stock paid in,
Surplus fund
Other undivided profits
National bank notes outstanding — ,
State bank notes outstanding

1,000 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

1,655,259 67

Total

125, 000 00
21, 6 9 75
238, 750 00

990, 285 18
726 97
2,867 97

1,6.35,259 87

Bank of North America, Philadelphia.
THOMAI 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




JNO. H. W A T T , Cashier.

No. 602.

$4, 266, 830 46 Capital stock paid in.
$1, 000, 000 00
193 14
1,000, 000 00
900,000 00 J Surplus fund
^
124, 760 26
Other undivided profits
100,000 66
25, 735 00 National bank notes outstanding
794,780 00
65, 462 53 State bank notes outstanding
157, 596 59 Dividends unpaid .
5, 176 00
65, 000 00
13, 930 30. Individual deposits
3,657,810 47
United States deposits
31,248 64 Deposits-of U. S. disbursing officers 821,001 16
419,297 56
26, 400 00 Due to other national banks
11, 143 97 Due to State banks and bankers
215,683 00
39, 006 50
361,959 00 Notes and bills re-di^counted .
275, 000 00 Bills payable
57, 000 00
7,217,507 29

Total.

7,217,507 29

REPORT OF THE COMPTROLLER OF THE CURRENCY, 401

Centennial National Bank, Philadelphia.
H. M. LUTZ, Cashier.

No. 2317.

B. A. ROLLINS, President.

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

Liabilities.
$418; 668 94
200, 000 00
100, 000 00
63, 068 20

83, 496 76
16,272 98
54, 627 00
4,855 68
40, 270 39
4, 808 62
23,479 14
21, 500 00
2, 122 99
4,910 00
46, 729 00
5, 000 00
9, 000 00

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

9, 723 82
179, 480 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

438, 983 16
83, 156 90
35, 235 77
50, 230 05

Notes and bills re-discounted.
Bills payable

1, 096, 809 70 j

Total.

$300, 000 00

Capital stock paid in.

Total.

1, 096, 809 70

Central National Bank, Philadelphia.
G. M. TROUTMAN, President.

No. 723.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agenta..
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

$2, 837, 480 02

$750, 000 00

Capital stock paid in..

Surplus fund
3o6"66o'6o" Other undivided profits
225,000 00 National bank notes outstanding
492,115 50 State bank notes outstanding
189, 167 64 Dividends unpaid .
38, 446 26 Individual deposits
46, 058 75 United States deposits
7, 222 94 Deposits of U. S. disbursing officers .
459, 347 86
17, 760 00 Due to other national banks
3, 002 21 Due to State banks and bankers
34.412 67
257,913 00 Notes and bills re-discounted.
95, 000 00 Bills payable
30, 000 00
670,000 66

5, 702, 926 85

Total .

THEO. KITCHEN, Cashier.

Total

585, 000 00
113, 780 05
596, 390 00
630 00
2,702,781 77
637,937 58
316, 407 45

5,702,926 85

City National Bank, Philadelphia.
No. 543.

THOMAS POTTER, President.

Loans and discounts
Overdrafts. t
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash Items
Exchanges 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-. A. LEWIS, Cashier.

$974,141 58 Capital stock paid in.
111 79
400, 000 00 Surplus fund

$400, 000 00

Other undivided profits

11, 400 00
100, 000 00
72, 170 91
88,592 65
17,281 92

280, 000 00
41,563 85

National bank notes outstanding
State bank notes outstanding

344, 920 00
2, 53 L C
O

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

278 00
45,265 62
24, 137 00 Due to other national banks
40 17 Due to State banks and bankers
20,
79,
290,
20,

920
474
000
000

00
00
00
00

2,143,813 64

496 00
1,031,512 13

38. 087 02
4,703 64

Notes and bills re-discounted.
Bills payable
2,143, 813 64

402

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
Commercial National Bank of Pennsylvania, Philadelphia.

J. L. CLAGHORN, President.

No. 556.

S. C. 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

Liabilities.
., 681, 566 84 Capital stock paid in.
913 00
700, 000 00 Surplus fund
Other undivided profits
122,662 84 National bank notes outstanding
53, 372 78 State bank notes outstanding
151,071 15 Dividends unpaid .
57, 109 07
27,730 81 Individual deposits
United States deposits
Deposits of U. S. disbursing officers180, 829 76
39, 430 00 Due to other national banks
2, 978 84 Due to State banks and bankers
41,123 25
171,896 00 Notes and bills re-discounted .
50, 000 00 Bills payable
35, 500 00
3,316,214 34

Total.

Total.

$810, 000 00
230, 475 20
52, 710 13
623, 000 00
5,354 00
1,440 25
1,388,483 38

188, 773 09
15, 978 29

3,316,214 34

Commonwealth National Bank, Philadelphia.
II. N. BURROUGHS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. 623.

EFFINGHAM PEROT, Cashier.

$383, 285 26 Capital stock paid in.

$208, 000 00

"208," 000 00 Surplus fund
Other undivided profits

22, 868 46

"""44*bob"00

10,446 00
10,381 66
43, 520 72
10, 000 00
9, 805 76
7, 566 43
2,197 08
24, 582 82
10, 160 00
646 98

6,005 C
O
67, 707 00

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

175 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

400, 952 37
4,531 42
28, 436 96

13, 860 00
852,164 71.

852,164 71

Total.

187,200 00

Consolidation National Bank, Philadelphia.
J. V. 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. 561.

WM. H. WEBB, Cashier.

Capital stock paid in .

$300, 000 00

Surplus fund
Other undivided profits
22, 800 00 National bank notes outstanding
110, 000 00 State bank notes outstanding
67,391 17
37, 700 00 Dividends unpaid .
9,520 19 Individual deposits
United States deposits
11,215 16 Deposits of U. S. disbursing officers.
49, 898 35
4, 068 00 Due to other national banks
Due to State banks and bankers
15, 435 00
60, 235 00 Notes and bills re-discounted.
j Bills payable
,
15, 500 00

238, 722 47
22, 790 85

$922, 347 97
"300,000 00

_l

1, 626,110 84

Total.

266,100 00
793 80
773, 472 65

20, 553 61
3, 677 46

1, 626,110 84

REPORT OF THE COMPTROLLER OF THE CURRENCY.

403

PENNSYLVANIA,
Corn Exchange National Bank, Philadelphia.
H. P. SCHETKY, Cashier.

No. 542.

DELL NOBLIT, Jr., President.

Resources.

Liabilities.

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

$1,094,040 59
331,200 00
50, 000 00
200 00
130, 734 31
93,471 15
196, 950 37
150, 000 00
24, 504 56
12, 658 51
82, 181 13
20, 900 00
503 80
8, 444 77
273,658 00
95, 000 00
14, 902 00

Capital stock paid in.

Dividends unpaid .

200, 000 00
47, 639 71
296, 200 0G
2, 816 42

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

2,579,349 19

Total.

$500,000 00

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

Total.

1,191,967 84
32,622 95
272, 491 40
35, 610 87

2, 579,

349

Farmers and Mechanics' National Bank, Philadelphia.
E D W I N M. LEWIS, President.

No. 538.

Loans 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!
Due from approved reserve agents
Due from other banks and bankers
Real estate, furniture, and fixtures
Current expenses and taxes paid..
Premiums paid
,
Checks and other cash items
Exchanges for clearing house
,
Bills of other banks
,
Fractional currency.
...
Specie
,
Legal tender notes
U. S. certificates of deposit
,
Due from U. S. Treasurer
,
Total

,

SAMUEL W. BELL, Cashier.

$4, 904, 753 09 Capital stock paid in
1, 646 29
1,112, 000 00 Surplus fund
Other undivided profits

35o,"66o"66'

92, 363 82
450,217 50
233,416 32
218,859 48
69, 404 01
81, 539 48
1,014 40
721,772 29
99,146 00
4,113 34
299,861 60
126,931 00
490, 000 00
50, 000 00

$2, 000, 000 00 '
500, 000 00
92, 606 89

National bank notes outstanding
State bank notes outstanding

2, 804 57

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

9, 307, 038 62

961, 500 00
5,190 00

Total

5,106, 450 76

517,540 17
120, 946 23

9,307,038 62

Girard National Bank, Philadelphia.
D. B. CUMMINS, President
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. L. SCHAFFER, Cashier.

No. 592.
$3, 236, 778 59
103 33
670, 000 00
116, 031 74
401, 752 69
315,793 32
39, 318 56
68, 590 15
1, 020, 769 30
121, 530 00
1,394 09
47, 036 94
141,124 00
795, 000 00
30,100 00
7, 005, 322 71

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
500, 000 00
252, 631 40
592, 000 00
5, 339 54
3, 872, 233 95

574,831 97
208,285 85

7,005,322 71

404

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
Kensington National Bank, Philadelphia.

W. I. LANDELL, President.

No. 544.

G. A.LrNTON, 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
Total

Liabilities.
$683, 358 22 Capital stock paid in
586 73
250 000 00
Other undivided profits
108, 986 77
102,446 27
38, 599 46
62, 149 25
12, 437 30
1,801 79
17, 094 30
16, 000 00
8 54
25 400 00
93,098 00
11,250 00

$250, 000 00
--

150 000 00
52, 588 53

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

224, 000 00
339 00

Dividends unpaid

1,712 00

Individual deposits

744, 543 67

Deposits of U. S. disbursing officers
Due to other national banks
Due to State banks and bankers...

- •

27 38
4 05

Notes and bills re-discounted —
Bills payable
............
Total

1, 423, 214 63

1,423,214 63

Keystone National Bank, Philadelphia.
^THOMAS ALLMAN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid....
Premiums paid
Checks and other cash items
Exchanges 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. B. W I S W E L L , Cashier.

No. 2291.
$207, 476 73 Capital stock paid in.
656 64
115, 000 00 Surplus fund
,
Other undivided profits.

National bank notes outstanding
State bank notes outstanding
Dividends unpaid

22,585 16
151,603 62
6,665 14
16, 621. 28 Individual deposits
United States deposits
1,143 03 Deposits of U. S. disbursing officers
14, 339 00
32 15
998 00
55, 390 00

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

$200, 000 00
12, 780 46
6, 563 90
103, 500 00

213,633 61
933 22
274 56
60,000 00

'"" "5," 175"66"
Total.

597, 685 75

597, 685 75

Manufacturers' National Bank, Philadelphia.
JOHN W. MOFFLY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 557.
$2,215,431 42

7o6,"66o 66'
154, 216 30
204, 663 23
218, 80L 69
115,269 42
27, 734 46
36, 270 00
79, 643 78
116,414 66
47,285 00
""14*163 00
199, 663 00

M. W. WOODWARD, 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

11,000,000 00
200, 000 00
55, 627 77
623, 280 00

682 00
1, 922, 731 24
235,271 88
156,463 07

34, 500 00
4, 194, 055 96

Total

4,194,055 95

REPORT OF THE COMPTROLLER OF THE CURRENCY. 405
PEI¥N S Y L V A ^ f l A ,
Mechanics' National Bank, Philadelphia.
GEO.

No. 610.

IT. STUART, President.

J O H N R O M M E I , 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
j
Checks and other cash items
;
Exchanges for clearing house
|
Bills of other banks
I
Fractional currency
!
Specie
j
Legal tender notes
J
U. S. certificates of deposit
]
Due from U. S. Treasurer
i

$1,570,591 68

Surplus fund
Other undivided profits.

175, 000 00
68,231 33

31, 125 00
33, 065 13
137, 389 21
159,108 47
22, 834 56
20, 000 00

National bank notes outstanding . . .
State bank notes outstanding

260, 650 00
6,076 67

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

8, 273 74
84, 43L 84
4, 000 00
313 65
23, 465 03
157, 721 00
55. 000 00
13, 6S2 50

984,138 Oi

298, 262 45
17, 643 35

Notes and bills re-discounted.
Bills payable

2,610,001 8L

Total.

$800, 000 00

Capital stock paid in.

290, 000 00

Total.

2,610,01)1 81

National Bank of Commerce, Philadelphia.
GrEO. K. ZIEGLER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages . .
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures . . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. 547.
$48 L, 097 77
1,029 93
250, 000 00

JNO.

A. L E W I S , Cashier.

$250, 000 00

Capital stock paid in.

50, 000 00
15,679 72

Surplus fund
Other undivided profits
National bank notes outstanding . .
I State bank notes outstanding

39,863 59
53, 606 03
] 1, 063 93

74 00

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

471, 945 80

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

5, 203 74
99,555 19
31,395 00
12,417 44
96, 828 00

181,685 00
3,030 00

86, 693 25
35, 915 35

Notes and bills re-discounted.
| Bills payable.

Total

National Bank of Germantown, Philadelphia.
CHAS. W. OTTO, Cashier.

W M , WYNNE W I S T 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
Due from U. S. Treasurer
Total .




$599, 255 02
697 59
200, 000 00

"""i7,"i66"6o"
81,578 19
74,778 82
32, 285 2U
30, 000 00
11,620 75
4, 350 00
1, 656 45
6, 338
660
5,213
133, 674

00
99
00
00

Capital stock paid in.,

$200, 000 00

Surplus fund
Other undivided profits

100, 000 00
32, 702 71

National bank notes outstanding
State bank notes outstanding

179, 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

1, 002 00
668, 963 73

26, 839 66

Notes and bills re-discounted.,
Bills payable
,

10, 000 00 !
1,209,208 10

Total..

1,209,208 10

406

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA,
National Bank of the Northern Liberties, Philadelphia.
, President.

No. 541.

JOHN RAPSON, Cashier.

Resources.
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

Liabilities.
$2,214,913 93
318 89
500, 000 00
6*600"6n'
37, 730 00
142,032 41

195,689 75
300,000 00
10, 733 90
2,110 36
31,930 19
142,031 03
33, 968 00
1, 394 99
26,553 00
380,739 00
190, 000 00
22, 500 00

Capital stock paid in.

$500, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

436, 772 00

2,045 40

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
Due to oth*r national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable

3, 839, 295 45 |

500, 000 00
174, 760 26

Total

2, 084, 072 74

136, 439 35
5, 2U5 70

3,839,295 45

National Bank of the Republic, Philadelphia.
J. P. MUMFORD, Cashier.

No. 1647.

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 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 .

$865, 060 35 Capital stock paid in

$600, 000 00

Surplus fund
Other undivided profits
"*65,66o 65'
16L, 494 23 National bank notes outstanding
147,416 73 State bank notes outstanding
105,681 52
5,000 00 Dividends unpaid
19, 825 36
Individual deposits
430 00 United States deposits
132,673 79 Deposits of U. S. disbursing officers..
15, 880 00
1,900 00 Due to other national banks
2, 687 89 Due to State banks and bankers
60, 883 00 Notes and bills re-discounted
160, 000 00
27, 700 00 Bills payable
535, 000 00

2, 306, 632 87

Total

90, 000 00
41,272 28
480, 000 00

80 50
637,734 01
375, 982 98
81,563 10

2,306,632 87

National Security Bank, Philadelphia.
GEO. GELBACH, 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 .




GEO. W. COX, Cashier.

No. 1743.

$505, 791 63 Capital stock paid in
I $250,000 00
550 00
200, 000 00 Surplus fund
35, 000 00
11,935 63
Other undivided profits
374 22
National bank notes outstanding
j
168, 510 00
89,067 24 State bank notes outstanding
13, 782 29
777 00
21,533 60 Dividends unpaid
3,903 18 j Individual deposits
540, 059 17
10, 249 80 United States deposits
5, 335 84 Deposits of U. S. disbursing officers.
15,256 04
27,751 00 | Due to other national banks
579 62
173 34 Due to State banks and bankers
277 27
1, 380 00
53, 645 00 Notes and bills re-discounted.
45, 000 00 I Bills payable
13, 345 51
1, 007, 138 69

Total

1,007,138 69

REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 0 7
PENIVSYLVAN1A.
Penn National Bank, Philadelphia.
GILLIES DALLETT, President.

No. 540.

GEO. P. LOUGHEAD, 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.
$1,043,772 24

Capital stock paid in .

$500, 000 00

250"566 oo

Surplus fund
Other undivided profits

100, 000 00
42, 093 14

45, 000 00
103,744 53
82,043 15
45,000 00
15,713 74
10,700 00
5, 869 51
71, 685 29
6, 530 00
466 36
14,377 40
56, 105 00
5, 000 00
11,250 00

National bank notes outstanding
State bank notes outstanding

208, 700 00

Dividends unpaid .

740 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

1, 767,157 22

915, 060 95

562 63

1,767,157 22

Philadelphia National Bank, Philadelphia.
THOMAS ROBINS, Presides

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
.
IT. S. certificates of deposit
Due from U. S. Treasurer

No. 539.
[, 449, 767 64 Capital stock paid i n .

"soo'ooo'oo
250,000 00
34,000 00
102, 701 86
219,931 82
258, 250 00
58, 052 03
27, 500 00
"1*023," 932* 06"
20, 855 00
2,704 3L
266,011 71
457, 002 00
1, 045, 000 00
36, 000 00

$1, 500, 000 00

Surplus fund
Other undivided profits.

750, 000 00
127, 458 68

National bank notes outstanding
State bank notes outstanding

713, 000 00

Dividends u n p a i d .

3, 248 00

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

4,661,509 39

Due to other national banks
Due to State banks and bankers

1,011,048 48
285, 443 88

Notes and bills re-discounted..
Bills payable

9,051,708 43

Total..

B. F. CHATHAM, Cashier.

Total.

9,051,708 43

Southwark National Bank, Philadelphia.
F. P. STEEL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit.
DI\>J from U. S. Tr asur r
Total.




No. 560.

P E T E R LAMB, Cashier,

, 050, 214 02 Capital stock paid in.
,
169, 500 00 Surplus fund
Other undivided profits.
76, 800 00
7, 556 02 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 b#nks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable
1,924,549 90

$250, 000 00
150, 000 00
50,643 19
85, 500 00
3, 845 00
269 50
1, 366, 850 23

16,059 18
1, 382 80

1,924,549 90

408

REPORT OF TUB COMPTROLLER OP THE CURRENCY.

Tradesmen's National Bank, Philadelphia.
C. H. ROGERS, President.

No. 570.

JOHN CASTNER, Cashier.
Liabilities.

Resources.

200, 000 00 ! Surplus fund
,
Other undivided profits
"100,000 00 I
100, 0^0 00 i National bank notes outstanding .
State bank notes outstanding
54, 720 80
Dividends unpaid
19, 797 06
18,337 96
Individual deposits
30,585 87
United States deposits
11, 569 70
Deposits of U. S. disbursing officers.
1-29, 115 25
45,817 00
Due to other national banks
4, 663 77
Due to State banks and bankers . . .

Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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

$997,572 85 ' 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.

5)0, 000 00
30.657 0L
178,197 00
3, 185 00

1, 134,451 11

43, 828 58
20, 904 56

247,214 00

86, 829 00
55, 000 00
10, 000 00
!

Note* and bills re-discounted.
Bills payable
Total

2,111,223 26

' 2,111,223 26

Union National Bank, Philadelphia.
P. A. K E L L E R , Cashier.

DAVIH FAUST, President.

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

$1,378,822 57

$500, 000 00

Capital stock paid in

260,000 00

Surplus fund
Other undivided profits

.

100,000 00
49, 467 74

130, 904 38
99,964 35
99, 372 95
100, 000 00
18, 88 L 10

National bank notes outstanding
State bank notes outstanding

232, 400 00

18,086 91
147,324 03
44, 495 00
433 75
34, 022 83
94,936 00
35, 000 00
11,700 00

Dividends unpaid.

1,286 00

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

339, 907 97
218, 335 26

Notes and bills re-discounted.
Bills payable

2, 473, 943 87

Total.

1, 032, 546 ^0

2, 473, 943 87

Western National Bank, Philadelphia.
Jos.

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 hou e . . . .
Bill* of other bauks
Fractional currency
Specie
Legal tender notes
U S. certificates of deposit
Due from U. S. Treasurer
Total




No. 656.
$1, 482, 599 05

C. N. WEYGANDT, Cashier.

Capital stock paid in .

360*665 6;/ Surplus fund
Other undivided profits
76, 606 96
438, 110 56
92,329 41
156, 196 70
21,304 72
31,327 39
8, 640 91
311,536 29
20,954 00
1,496 65
88, 192 56
192,745 00
205,000 00
16, 200 00
3, 553.24U 20

National bank notes outstanding —
State bank notes outstanding
Dividends unpaid.

$400, 000 00
200, 000 00
55,049 96
321, 700 00
910 00

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

1, 712, 152 02

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

641,979 19
221,449 03

Notes and bills re-discounted.
Bills payable
3, 553, 240 20-

REPORT OF THE COMPTROLLER OF THE CURRENCY. 409
PENNSYLVANIA.
Farmers and Mechanics' National Bank, Phosnixville.
A. H. STOVER, President.

No. 1936.

J. T. F . HUNTER, Cashien*

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.

$150,263 91
""1*56,066 66

$150,000 00

Capital stock paid in .
Surplus fund
Other undivided profits
j National bank notes outstanding
I State bank notes outstanding
j
Dividends unpaid .

500 00
8, 158 71
195 31
14,500 00
2, 155 20 Individual deposits
19, 000 00 J United States deposits
361 75 ! Deposits of U. S. disbursing officers.
1,966 00 Due to other national banks
875 15 Due to State banks and bankers .
151 93
3,439 00 Notes and bills re-discounted.
Bills payable
3, 950 00
Total.

355,516 96

4,283 06
6,625 12
135, 000 00
1,271 00
58,299 44

38 34

355,516 96.

National Bank, Phcenixville.
No. 674.

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
L a gal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer...
Total .

J. B. MORGAN, Cash.hr.

$271, 000 60

Capital stock paid in .

$200, 000 00

" "266,666 66

Surplus fund
Other undivided profits

49,147 04
5,095 21

"25," 666 66'
10, 057 78 National bank notes outstanding
State bank notes outstanding
7,204 33 Dividends unpaid ..
26, 344 34
2, 248 46
11,025 00 Individual deposits
United States deposits
594 32 Deposits of U. S. disbursing officers.
11, 060 00 Due to other national banks
101 55
2,026 67 Due to State banks and bankers..
14, 023 00 Notes and bills re-discounted..
Bills payable
9, 000 00

178,100 00
446 00
2, 336 00
149, 399 94

6,16 L 86

Total.

589, 686 05

First National Bank, Pittsburgh.
JAMES LAUGHLIN, President.

Loans and 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...
R-»al estate, furniture, and fixtures . . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
Exchanges for clearing house.
Bill* of other bank*
Fractional currency
Specie..
Leg^I tender notes
II. S. certificates of deposit
Due from U. S. Treasurer
Total .




J. D. SCULLY, Cashier.

No. 48.
il, 841, 033 44

Capital stock paid in .

5o,~666 66" Surplus fund

$750, 000 00
122, 22& 77

Other undivided profits
77,511 28
134,506 25
30,469 84
137, C O 00
O

10,467 47
100, 230 60
33, 200 00

3, 285 97
302, 500 00

National bank notes outstanding
State bank notes outstaLding
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

45, 000 00
16, 062 50
1,539,123 44

127, 988 95
124,270 19

"4, 470 65"
2, 724, 674 85

Total.

2, 724, 674 85

410

REPORT OF THE COMPTROLLER OP THE CURRENCY.
PENNSYLVANIA.
Second National Bank, Pittsburgh.

GEO. S. HEAD, Fresident.

No. 252.

JAS. H. WILLOCK, 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.
$188,877 67 Capital stock paid in
1,394 75
50,000 00 Surplus fund..
Other undivided profits
500 00
14, 860 00 National bank notes outstanding . . .
95, 491 03 State bank notes outstanding
12, 116 15
73, 766 44 Dividends unpaid
8, 032 77
2, 430 4 L Individual deposits
United State« deposits
4, 925 30 Deposits of U. S. disbursing officers.
5,940 10
20, 590 00 Due to other national banks
1,110 40 Due to State banks and bankers —
5,000 00
80, 000 00 Notes and bills re-discounted
Bills payable
2, 250 00
867,285 02 \

Total

Total

$300,000 00
60, 000 00
47, 359 72
45, 000 00
160 00
264,371 60

54, 973 17
95, 420 53

867, 285 02

Third National Bank, Pittsburgh.
WM. STETNMEYER, Cashier.

No. 291.

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

$913,722 27
72 39
404, 500 00
9,826 09
93,044 98
52,081 84
50,829 07
13, 300 95

Capital stock paid in.

$500, 000 00

Surplus fund
Other undivided profits

100, 000 00
79, 364 69

National bank notes outstanding
State bank notes outstanding

348,450 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.

689, 226 67
77, 423 29
32, 443 08

1, 826, 907 73

Total.

Fourth National Bank, Pittsburgh.
THOS. DONNELLY, Fresident.

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




No. 432.

S. D. HERRON, Jr., Cashier.

$251,040 09 Capital stock paid in.,
1,541 97
306, 000 00 ; Surplus fund
.
...
'• Other undivided profits

"206," 606'60"

jl National bank notes outstanding...
27, 137 68 '! State bank notes outstanding
243 00
1,609 19 Dividends unpaid.
5,5u7 32 ;| Individual deposits
1, 437 50 j{ United Staten deposits
1,911 11 ji Deposits of U. S. disbursing officers.
1, 025 00
703 48
177 25
69, 733 00

Due to other national banks
Due to Sta e banks and bankers
Notes and bills re-discounted.
Bills payable

$300,000 00
40,211 46
13,814.13
269,955 00
2,511 00
254,583 50

412 59
78 91

13, 500 00
881,566 59

Total

881,566 59

REPORT OF THE COMPTROLLER OF THE CURRENCY.

411

PENNSYLVANIA.
Fifth National Bank, Pittsburgh.
ROBERT ARTHUR?, President.

No. 1894.

L. HALSEY WILLIAMS, 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
Total

Liabilities.
$200, 982 22
343 bb
100,000 00
700
16,164
11, 749
3,470
3, 067

00
56
92
00
22

3,611 17
1,238 00
283 90
1,624 94
14 857 00
5,"505"

65'

Capital stock paid in

$100, 000 00

Other undivided profits

10,600 00
6,768 53

National bank notes outstanding
State bank notes outstanding .

90, 000 00

Dividends unpaid . . . .
Individual deposits
United States deposits
_
Deposits of U. S. disbursing^fficers..
Due to State banks and bankers
Notes and bills re-discounted
Bills payable

363, 591 79

Total

92, 039 83

20,153 25
44, 030 18
...

363, 591 79

First National Bank of Birmingham, Pittsburgh.
A. B. STEVENSON, President.

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

No. 926.
$302,544 75
622 65

JOHN P. BEECH, Cashier.

Capital stock paid in.

$100,000 00

Surplus fund.
O ther undivided profits
10, 000 00 National bank notes outstanding
15,461 65 State bank notes outstanding
Dividends unpaid .
33, 057 93
2, 302 56 Individual deposits
United States deposits
151 52 Deposits of U. S. disbursing officers.

100, 0U0 00

996 00

369 30
537 66
11, 600 00

60, 000 00
5, 639 73
90, 000 00

44 00
231,460 29

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

9, 500 00
487,144 02

487.144 02

Total.

Allegheny National Bank, Pittsburgh.
JACOB W. 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.

H. Ex. 3- -23




No. 722.
'6,185 19
500, 000 00

"ioo, 666 66
49, 882 18
44, 495 62
18, 404 05
106, 495 59
7, 718 87
39,821 92
4, 863 72
52, 699 87
8 073 00
1, 669 75
166,500 00

W. MCCANDLESS, 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-dlscounted.
Bills payable—

$500, 000 00
160, 000 00
5, 471 77
450, 000 00
4, 340 00
5, 790 00
8"5, SCO 01
6,172 20
12,015 78

""22,500 66
1, 999, 309 76

Total.

1, 999, 309 76

412

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Citizens' National Bank, Pittsburgh.
No. 619.

GEO. A. DERRY, President.

R. K. WILSON, 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, 210, 009 81 Capital stock paid in
5,589 16
514,000 00 Surplus fund
Other undivided profits
2, 250 00
20, 318 54 National bank notes outstanding
92,270 13 State bank notes outstanding
39,498 81
61,2L9 04 Dividends unpaid
17, 780 48
Individual deposits
9,106 08 United States deposits
,
5i, 092 62 Deposits of U. S. disbursing officers.
58, 700 00
2,17 L 60 Due to other national banks
5, 787 00 Due to State banks and bankers
131, 000 00 Notes and bills re-discounted
26,130 00 Bills payable
Total

2, 249, 923 27

Total.

$800, 000 00
162,112 83
43,552 63
462, 600 00

4, 441 75
!88, 431 15

88, 570 90
214 01

2, 249, 923 27

Diamond National Bank, Pittsburgh.
JOHN S. SCULLY, Cashier.

ABRAHAM GARRISON, 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
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$308,222 36 Capital stock paid in
1,029 63
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
10,636 14 State bank notes outstanding
45, 376 91
92,490 05 Dividends unpaid
5, 525 62
Individual deposits
9, 602 44 United States deposits
.
...
18,518 00 Deposits of U. S. disbursing officers..
2,775 15 Due to other national banks ..
1, 916 83 Due to State banks and bankers
98, 000 00 Notes and bills re-discounted
Bills payable
648,271 94

Total

$200, 000 00
8,773 00
10,745 18
45, 000 00
739 00
383, 014 76

648,271 94

Duquesne National Bank, Pittsburgh.
W. G. JOHNSTON, 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 cur rency
Specie
Legal tender notes
U. S. certificates of deposi'
..,,..
Due from U. S. Treasurer

Total




No. 2278.
$221,314 48

835 05
50, 000 00

A. H. PATTERSON, Cas,

Capital stock paid in .

$200, 000 00

Surplus fund
Other undivided profits

1,891 13
3,175 56

National bank notes outstanding
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 .
Notes and bills re-discounted
Bills payable
Total .

45, 000 00
400 00
79, 895 81

5,110 29

335, 472 79

REPORT OF THE COMPTROLLER OF THE CURRENCY.

413

PENNSYLVANIA.
Exchange National Bank, Pittsburgh.
J. H. SHOENBERGER, President.

No. 1057.

A N D R E W LONG, 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, 824, 023 45

Capital stock paid in..

37, 500 00
] 54, 000 00
58,143 62
72, 891 59
176, 773 05
25, 033 20
50, 803 22
8, 030 34
27, 260 73
96,161 00
12, 792 66
175, 000 00
100, 000 00
49,890 00

340, 000 00
142, 582 11

Other undivided profits. .
National banknotes outstanding
State bank notes outstanding
Dividends unpaid .

608,458 00
5, 646 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, 570, 302 86

Total .

$1, 700, 000 00

7O2,"66b"66" Surplus fund

Total

680, 201 34
69,129 40
24,286 01

3,570,302

Farmers' Deposit National Bank, Pittsburgh.
WM. WALKER, President.

No. 685.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents.
Due from other banks and bankers.
Real estate, furniture, and fixtures.
Current expenses and taxes 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

$1,406,902 85

I66,"666 66"
233, 243 98
129, 178 87
25,501 93
8, 649 27
7, 347 40
98, 358 26
19, 482 00
137 25
6,477 11
150, 000 00

Capital stock paidin .

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

400, 000 00
29, 233 35
90, 000 00
12, 372 00
1, 217, 395 11

38,639 17
102,139 29

4, 500 00
2, 189, 778 92

Total.

SAML. GEORGE, Jr., Cashier.

Total.

2, 189, 778 92

German National Bank, Pittsburgh,
A. GROETZtNGER, 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 otht?rbanks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 757.
$812,952 98
791 42
250, 000 00
4,506 00"
32,358 85
133,391 61
116,389 44
59, 074 8-i
17,812 12
680 00
5, 077 88
24,583 31
14, 740 00
197 31
2, 000 00
106, 120 00
13, 350 00
,594,019 75

JOSEPH LAURENT, Cashier.

Capital stock paid in . . . *

$250, 000 00

Surplus fund
Other undivided profits

156,000 00
31,104 98

National bank notes outstanding . . .
State bank notes outstanding

225,000 00

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

643, 586 55

Due to other national banks
Due to State banks and bankers

77,699 15
210, 62& 07

Notes and bills re-discounted
Bills payable
Total

....

1,594,019 75

414

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
Iron City National Bank, Pittsburgh.

A. M. 3YERS, Vice-President.

No. 675.

GEO. R. DUNCAN, 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.
51,065,751 91

Capital stock paid iu.

"466,'666'66'

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

40,132 45

41,680 42 Dividends unpaid .
29, 607 05
13.116 72 Individual deposits
United States deposits
6, 787 36 Deposits of U. S. disbursing officers.
2, 525 49
3, 574 00 Due to other national banks
610 00 Due to State banks and bankers
2g. 048 50
232, 650 00 Notes and bills re-discounted.
Bills payable
20, 000 00
1, 884, 483 90

Total.

$400,000 00

Total

300,000 00
62,498 06
285, 490 00'
858 00
636, 540 61

123, 893 65
75, 203 58

1, 884, 483 90

Marine National Bank, Pittsburgh.
W. H. "EVERSOS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures. - Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 277
374
1,630
32, 500

00 !
54
00
00

$200, 000 00
3,903 00
5, 647 16
44, 000 00

1,382 00
172,764 45

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

2, 750 00
427,696 61

Total.

W. C. MACRUM, Cashier.

No. 2237.

289,584 57 Capital stock paid in.
2, 055 72
50, 000 00 ! Surplus fund
Other undivided profits
National bank notes outstanding .
18, 255 81 State bank notes outstanding
13,698 81 Dividends unpaid .
4,524 56
3, 592 58 Individual deposits
2,250 00 United States deposits
4, 203 02 Deposits of U. S. disbursing officers.

Total.

427, 696 61

Mechanics' National Bank, Pittsburgh.
WM. B. HOLMES, 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 barkers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 700.
$659, 749 40

W M . R. THOMPSON, Cashier.

Capital stock paid in .

$500, 000 00

"" 360," 666 "66' Surplus fund
Other undivided profits
" 3 55," 666 66
National bank notes outstanding....
76, 152 47 State bank notes outstanding
69, 020 54 Dividends unpaid.

300, 000 00
51, 443 53

5, 989 02
•1,20.7
5, 040
1,360
4, 390
54, 949

62
00
76
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

323, 343 00
4, 062 50
229, 326 64

883 14

16, 200 00
],409, 058 81

Total

1, 409, 058 81

REPORT OF THE COMPTROLLER OF THE CURRENCY.

415

P E NN S Y L V A N I A .
Merchants and Manufacturers' National Bank, Pittsburgh.
W I L L I A M HEX, President.

'

No. 613.

W. A. S H A W , Cashier.

Liabilities.

Resources.
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

$1, 304,105 21
65 47
100, 000 00

129, 422 91
86,610 79
171,536 19
8, 640 45
1, 638 80
60, 167 43
34, 606 00
1, 770 46
9,371 00
166,100 00
5"500 65

Capital stock paid in .

$800, 000 00

Surplus fund
Other undivided profits

280,000 00
51,237 94

National bank notes outstanding . . .
State bank notes outstanding

4, 937 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, 079, 534 71

Total.

90, 000 00

802, 323 55

36, 672 35
14, 363 87

..

Total

2,079,534 71

Metropolitan National Bank, Pittsburgh.
No. 2279.

ROBT. LlDDELL, President.
Loans and discounts
'
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents . .
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie .„
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

1218, 698 90
914 88
75, 000 00

15,253 44
9,878 53
13, 705 00
2,918 34
8, 000 00
141 06
713 05
1, 339 00
115 93
971 25
11, 858 00

C. A. DRAVO, Cashier.

$200, 000 00

Capital stock paid in.

7, 657 73
4, 585 99

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

67, 500 00
2,417 00

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

78, 830 65

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

3, 475 20
362, 982 58

362, 982 58

Total .

People's National Bank, Pittsburgh.
BARCLAY PRESTON. President.

No. 727.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.

$1,188, 620 61
26,367 00
900, 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

24, 309 66
27,184 43
93,304 37
10,148 26

Total.




23, 000 00

16,260 61
34, 153 35
3, 999 00
131 11
145, 300 00

F.

M. GORDON, Cashier.

Capital stock paid in .

$1, 000, 000 00

Surplus fund
Other undivided profits

165, 000 00
29,478 90

National bank notes outstanding
State bank notes outstanding

800,000 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, 230 00
517, 567 19

213 95
6,288 36

Notes and bills re-discounted.
Bills payable

"*27," 000 "65
2, 519, 778 40

Total.

2,519,778 40

416

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
Pittsburgh National Bank of Commerce, Pittsburgh.

ALF.

JOS. H. HILL, Cashier.

No. 668.

PATTERSON, 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, bond:*, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$972, 358 72 j Capital stock paid in .
554 61
500, 000 00 Surplus fund
Other undivided profits
36, 820 00 ! National bank notes outstanding
203, 605 77 State bank notes outstanding
52, 146 32 Dividends unpaid.
79,638 86 '
3,141 03 Individual deposits
174 22 I United States deposits
3, 605 46 ;Deposits of U. S. disbursing officers.
22, 209 98 ;
10, 091 00 Due to other national banks
336 97 ; Due to State banks and bankers
2, 104 00
114, 260 00 , Notes and bills re-discounted
Bills payable
23*299 75
2, 024, 346 69

Total.

Total.

$500,000 00
133, 000 00
21,124 93
446, 500 00
1,663 00
585,146 34

166,368 64
170, 538 78

2, 024, 346 69

Smithfield National Bank, Pittsburgh.
E. P. JONES, President.

No. 2281.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents.
Due from other banks and bankers
Real estate, furniture, and fixtures .
Current expenses and taxes paid . . .
Premiums paid
Checks and other cash items
Exchanges 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. W. SCOTT, Cashier.
$200, 000 00

$273,655 91 Capital stock paid in.

I66,~ ooo 65"! Surplus fund
"""so," 666" 66", Other undivided profits
National bank notes outstanding

12, 000 00
17,123 70
89, 850 00

State bank notes outstanding

13,133 04
37, 920 26
34, 186 98
3, 951 09
26,449 07
],132 95
16, 183 46
820 00
79 92
997 50

Dividends unpaid .

229 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

22, 883 00

174, 712 38

34,184 71

7, 792 89
50,000 00

""4,"566'66"
Total.

585,893 18

585,893 18

Tradesmen's National Bank, Pittsburgh.
ALEX. 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
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 678.

$1,073,535 40
760 45
250, 000 00
200,000 00
12, 000 00
82, 600 00
120, 096 49
48, 622 26

Capital stock paid in.

$400, 000 00

Surplus fund
Other undivided profits .

100, 000 00
14, 206 49

National bank notes outstanding
State bank notes outstanding

222,400 00

Dividends unpaid .

928 00

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

15,013 58
6, 965 84
81,692 33
32, 978 00
600 00
5, 093 70
216,500 00

551,314 60
84,335 56
122, 990 23

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

360; 414 72
301,118 45

i

ll'250

CYRUS CLARKE, Jr., Cashier.

bo" I

2,157, 708 05 j

Total.

2,157, 708 05

REPORT OF THE COMPTROLLER OF THE CURRENCY.

417

PENNSYLVANIA,
Union National Bank, Pittsburgh.
No. 705.

J. R. McCUNE, President.

R. S. 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
XJ. S. certificates of deposit
Due from U. S. Treasurer
Total.

$713,611 26 Capital stock paid in .
2,105 54
243, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding .
73, 205 33 State bank notes outstanding
69, 512 82
52,984 18 Dividends unpaid
3,733 10 Individual deposits
United States deposits
500 01 Deposits of U. S. disbursing officers.
19,957 92
Due to other national banks
""569 29 Due to State banks and bankers . . .
4,164 01

85,300 0U

$250, 000 00
200, 000 00
20, 534 95
215, 700 C
O
555 00
533, 045 58
4,621 00
55, 121 93

Notes and bills re-discounted.
Bills payable

'"""i6"935"oo"
Total .

1,279,578 46

1,279,578 46

First National Bank, Pittston.
No. 478.

T H E O . 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
Total.

! 19
2^ 410 77
500, 000 00

W. L. WATSON, Cashier.

$500, 000 00

Capital stock paid in.

Surplus fund
Other undivided profits
32, 000 00 National bank notes outstanding
State bank notes outstanding
55,919 91
5, 980 99
Dividends unpaid .
61, 980 07
1, 674 99
10,165 91
9, 000 00

535 00
3, 290 00
17, 670 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

95,000 00
18, 393 66
441,000 00
540 00
303, 066 36
6,798 07
20,821 74

22, 500 00
1, 385, 619 83

Total

1,385,619 83

First National Bank, Plymouth.
JOHN B. 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.




J.. W. CHEMBERLIN, Cashier.
$137,740 72
2,856 08
100, 000 00
19, 900 00
908 98
1,386 65
10, 800 00
1, 737 45
9,199 50
282
355
375
300

00
72
80
00

"""2," 9oo "66"
288,742 90

Capital stock paid in.

$100, 000 00

Surplus fund
Other undivided profits

33, 000 00
4,976 29

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.

265 00
53,904 27

1,178 21
419 13
5, 0C0 00
288,742 90

418

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
National Bank, Pottstown. .
No. 608.

D A N I E L PRICK, President.

HORACE: EVANS, 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..
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.

Liabilities.
$362, 247 05
162 82
300,000 00

Capital stock paid in .

115, 265 27
19,739 10
31, 9159 84
2!), 000 00
2, 478 09

268, 900 00
548 00
3, 881 50

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

11,317 62
13, 396
1,298
7, 928
33, 000

160, 000 00
12, 476 40

National bank notes outstanding
State bank notes outstanding

"""1*4,700*66"

$300, 000 00

Surplus fund
Other undivided profits

00
45
55
00

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

201,188 93

7 96

Notes and bills re-discounted.
Bills payable

13, 500 00
947, 002 79

947, 002 79

Total.

Government National Bank, Pottsville.
W. F . HUNTZINGER, 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..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. 1152.

$114,818 32

H. H. HUNTZINGER, Cashier.

Capital stock paid in-

*" 200," 000 00"

$200, 000 00

Surplus fund
Other undivided profits

'""io,"7oo 66"

40, 000 00
7,151 33

National bank notes outstanding
40,800 00
8, 355 24 I State bank notes outstanding
24, 745 37
9, 700 00 Dividends unpaid ,
5, 101 93 Individual deposits
17, 212 50
United States deposits
9, 392 72 Deposits of U. S. disbursing officers.
7,628 00
2 42
120 00
15, 000 00

Due to other national banks
Due to State banks and bankers

180,000 00
I, 566 00

18,724 87

5,134 30

Notes and bills re-discounted.
Bills payable

9, 000 00
472, 576 50

Total.

472, 576 50

Miners' National Bank, Pottsville.
J O H N SHIPPEV, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, 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 urrency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 649.

W M . L. W H I T N E Y , Cashier.

Capital stock paid in .
$510,579 72
310 77
400, 000 00 \ Surplus fund
j Other undivided profits

64, 550 85 | National bank notes outstanding
!
8,982 12 State bank notes outstanding
56, 477 58 Dividends unpaid .
32,317 88
9, 850 99

Individual deposits
, I United States deposits
1, 920 00 I Deposits of U. S. disbursing officers.

123 860
2,216
16,068
58,400

00 Due to other national'banks
25 ! Due to State banks and bankers
80 '
00 I Notes and bills re-discounted

18,000 00

$500, 000 00
100, 000 00
26,305 10
339, 400 00
2,213 50
296, 460 08

39, 173 58
12 70

J Bills payable
1, 303, 564 96 i

Total..

1,303,564 96

REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 1 9
PENNSYLVANIA.
Pennsylvania National Bank, Pottsville.
R. F. LEE, President.

No. 1663.

DANL. L. KREBS, 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

$154,617 34
669 60
200, 000 00
50, 000 00
3,800 00
106 50
3,824 21
61,501 0,4
47, 964 53
4, 587 56
7,694 50
7, 612 56
3, 120 00
"""3*252"77
35, 683 00

"16,566 65"

Surplus fund
Other undivided profits
National bank notes outstanding

10, 557 14
9,261 19
180, 000 00

State bank notes, outstanding
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
Notes and bills re-discounted
Bills payable

594, 933 61

Total.

$200, 000 00

Capital stock paid in

Total .

167,575 17
21, 945 72
4,454 87
1, 111 52

594,933 61

Quakertown National Bank, Quakertown.
JOSEPH THOMAS, President

CHAS. C. H A RING, Jr., Cashier.

No. 2366.

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

$87, 390 18
"106," 000 66

Capital stock paid in.,

$100,000 00

Surplus fuud
Other undivided profits
National bank notes outstanding
State bank notes outstanding

350 98
2, 284 59
85, 000 00

33, 956 54

Dividends unpaid .
5i~~80 Individual deposits
United States deposits
10 00 Deposits of U. S. disbursing officers.

3, 000 00
7 43
440 00
5, 000 00

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

43, 449 75

1, 773 63

3, 000 00
Total.

232, 858 95

232, 858 95

First National Bank, Reading.
W. H. CLYMER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds,and mortgages.
Due from approved reserve agents.,
Due from other banks and bankers.
Real estate, furniture, and fixtures.
Current expenses and taxes paid...
Premiums paid
Checks and other cash items
,
Exchanges for clearing house
,
Bills of other banks
Fractional currency
,
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 125.

A. F. BOAS, Cashier.

$111,353 53 Capital stock paid in.
592 83
100.000 00 Surplus fund
50, 000 00 Other undivided profits.
National bank notes outstanding
6, 942 82 State bank notes outstanding
25, 297 46 Dividends unpaid .
2, 296 42
11,271 73
4,877 00
1,318 45
1,700 00
12, 600 00

$100,000 00
13,269 32
10,885 22
86, 995 00
1,116 00

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

71,252 83
32,985 49
968 55

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

12,708 54
3, 019 29

4, 950 66"
333, 200 24

Total.

333, 200 24

420

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
Farmers' National Bank, Reading.

HENRY S. ECKERT, President.

No. 696.

H. H. MUHLENBERG, 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

$728, 852 28 Capital stock paid in.
18,899 73
400, 000 00 Surplus fund
Other undivided profits
7, 300 00 National bank notes outstanding....
21,949 65 State bank notes outstanding
13,477 75
55, 000 00 ** Dividends unpaid .
3,278 14 Individual deposits
United States deposits
9, 122 48 Deposits of U. S. disbursing officers.
13, 7C0 00 Due to other national banks
511 97 Due to State banks and bankers .
5, 65(i 80
30, 867 00 Notes and bills re-discounted..
Bills payable
23, 000 00

100, 000 00
58, 577 86
360, 000 00

1, 755 70
380, 612 09

30, 644 15

1,331,609 80

Total.

1,331,609 80

Total.

$400, 020 00

National Union Bank, Reading.
C. B. MCKNIGHT, Cashier.

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.
Dne from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, 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 .

$424, 632 03 Capital stock paid in.
486 25
200, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
2, 000 00
4,751 53 State bank notes outstanding
21,776 41 Dividends unpaid .
15, 000 00
1,850 70 Individual deposits
United States deposits
6, 019 43 Deposits of U. S. disbursing officers.
27, 489 00 Due to other national banks
25 00
1,980 00 Due to State banks and bankers
39,210 00 Notes and bills re-discounted
Bills payable

"9,666 65

Total.

754,220 35

$200, 000 00
45,765 82
20, 937 36
180, 000 00
1, 376 50
264, 375 81

15,533 45
231 41
26, 000 00

754 220 35

National Bank, Schwenksville.
J. G-. SCHWENK, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 2142.
$127,230 79

"166,666 66
5,123 67

JOHN G. P R I Z S R , Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

1, 284 35
2,364 48
9,921 87
100 00

Dividends unpaid .

1, 010 00
51 72
110 00
3, 000 00

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

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

$100, 000 00
2, 500 00
6,657 97
90, 000 00
547 50
47, 218 76

7,792 65

4,520 00 •
254,716 88

Total.

254,716 83

REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 2 1
PENNSYLVANIA.
First National Bank, Scranton.
No. 77.

J. J. ALBRIGHT, President.

J. A. LlNElt, 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.
$812, 058 43
401 10
50, 000 00
116, 500 00
116, 930 84
36, 117 89
25, 000 00
6, 918 94
9, 820 57
27, 8*9
1,189
7,717
54,319

00
30
90
00

$200, 000 00

Capital stock paid in.

255, 000 00
63, 423 06

Surplus fund
.•
Other undivided profits
National bank notes outstanding
State bank notes outstanding

45, 000 00

Dividends unpaid.

50 00

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

641,570 01
63,423 67
646 23

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

4,250 00
1,269, 112 97

Total.

1,269, 112 97

Second National Bank, Scranton.
S. B. MOTT, Cashier.

W. W. WINTON, 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 ather banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$300,604 37
5, 582 70
122, 550 00
63,079
12, 090
8, 134
127, 501
3,89L

11
67
98
03
55

8, 590 54
572
272
200
8,100

00
75
00
00

Capital stock paid in.

$200, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

70, 000 00
19, 948 96
.

Dividends unpaid.

110, 000 00
431 00

Individual deposits
United St&tes 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, 056 32
4,119 52
4, 100 18
36, 013 72

5, 500 00

Total.

Total.

666, 669 70

Third National Bank, Scranton.
ALFRED HAND, President.

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




No. 1946.
$302,257 94
1,160 16
50, 000 00
550
7, 294
8,289
27,753
4,337
4, 000
4, 536

00
37
93
87
54
03
85

2,464
618
1,210
10, 800

00
08
00
00

N. H. SHAFER, 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

$200, 000 00
31, 000 00
8, 865 40
43, 400 00

51 00
141,112 92

3,060 39
33 03

2, 250 00
427, 522 74

Total..

427, 522 74

422

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
First National Bank, Selins Grove.
No. 357.

GEO, SCHNURE, President.

C. B. NORTH, Cashier.

Resources. '

Liabilities.

Loans and discounts
!
:
Overdrafts
U. S. bonds to Hecure 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
Exchanges for clearing house
Bills of other banks
Fractional currency
^
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total

!

$100,927 49

Capital stock paid in.

$100,000 00

Surplus fund
Other undivided profits
!
10, O D 00
D
! National bank notes outstanding
|
3, 219 93 j State bank notes outstanding
]7, 740 00 Dividends unpaid
14, 712 90
2, 544 75 Individual deposits
I
1,287 50 United States deposits !.
6,115 50 Deposits of U. S. disbursing officers.-!

100, 000 00

11,359 31
4,673 87
90, 000 00

83,028 40

1, 704 00 Due to other national banks
213 53 Due to State banks and bankers .
1,758 93
21, 209 00 Notes and bills re-discounted.
Bills payable
7, (523 00
289.06L 56

Total.

289, 06L 58

First National Bank, Sharon.
No. 1685.

J. J. SPEARMAN, 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.

A. S. SERVICE, Cashier.

$465,149 04 Capital stock paid in.
3, 823 0!)
125, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
48,073 64 State bank notes outstanding
3, 050 62
24, 195 00 Dividends unpaid.
4,112 66 Individual deposits
30 55 United States deposits
717 53 Deposits of U. S. disbursing officers.
1,250 00 Due to other national banks
102 00 Due to State banks and bankers
1,991 23
30, 950 00 Notes and bills re-discounted.
Bills payable
5, 625 00
714,070 32

Total.

$125,000 00
30, 000 00
14, 268 59
112,500 00

8, 049 46
489 32

714, 070 32

Sharon National Bank, Sharon.
JOSEPH FORKER, 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. 2244.

MICHAEL ZAHNIZER, Cashier.

$606,373 44 Capital stock paid in .
9,491 88 i
200, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
31,771 65 State bank notes outstanding
11,873 11 Dividends unpaid .
3, 286 79
3. 500 07 Individual deposits
15,910 86 United States deposits
359 95 Deposits of U. S. disbursing officers.
1,413 00 Due to other national banks
954 36 Due to State banks and bankers
752 12
37, 480 0J j Notes and bills re-discounted
Bills payable
"*9,*546"58"
932,713 81

Total .

$200, 000 00
18, 500 00
13, 227 83
180, 000 00

511, 232 04

7, 834 72
1,919 22

932,713 81

REPORT OF THE COMPTROLLER OF THE CURRENCY. 423
PENNSYLVANIA.
First National Bank, Shippensburg.
No. 834.

ALEX. STEWART,' President.

J. D. GEES AM AN, 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 cleariug house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$151, 472 47
2, 696 33
75, 000 00
8, 812
9,165
8, 247
10, 759
1, 384
5,361
1, 029

24
43
96
73
56
15
88

1,000 09
385 30
782 95
12, 00U 00

$75, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

3,288 65
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 l'e-discounted.
Bills payable

143, 808 54

1,193 74
682 07

3, 375 00
Total.

291,47.3 00

291, 473 00

National Bank, Blatington.
No. 2293.

PETER GROSS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid.
Premiums 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.sit
Due from U. S. Treasurer
Total.

$51, 677 17

"56 "666" 65"
1, 586 46
411 27
6,169 48
542 98
7, 000 00
171 73
4, 033
89
416
6, 885

00
35
25
00

WM. H. GISH, Cashier.
$50, 000 00 .

Capital stock paid in
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

545 00
1, 990 37
45, 000 00

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

32, 737 83

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

2, 250 00
131, 232 69

131,232 69

Union National Bank, Souderton.
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, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 2233.
$118,716 41
38 20
90, 000 00

11, 585
4,723
4, 596
1,470

J. C. LANDES, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

68
07
58 Dividends unpaid .
27 Individual deposits
United States deposits
239 96 Deposits of U. S. disbursing officers.

3, 282 00
97 93
135 05
4,659 00

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

$90, 000 00
1, 000 00
3, 370 48
80, 975 00

47, 246 1

1,001 !

20, 000 00

4,050 00
243, 594 15

Total.

243,594 15

424

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
National Bank, Spring City.
No. 2018.

C. S. FRANCIS, President.

JOHN T. EACHES, Cashier.

Liabilities.

Resources.
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.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$187,644 23
"l43,256"66"
2, 476 73

1,408 46
240 00
14,039 33
1,034 52
16, 359 79
100 00

$150, 000 00

Capital stock paid in .
Surplu s fund
Other undivided profits
National bank notes outstanding —
State bank notes outstanding
Dividends unpaid .

6,619 19
4,655 30
128,900 00

406 00

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

371 00 Due to other national banks
90 52 Due to State banks and bankers
Notes and bills re-discounted
5, 583 00 Bills payable
"o\445"66
Total.
380, 065 32

76, 238 12

3, 225 63
2J 03

1,022 74

10, 000 00
380, 065 32

First National Bank, Strasburg.
R. F . RAUCH, Cashier.

No. 42.

Jos. MCCLURE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 260 28
424 34
88,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

13,919 01
3, 356 33 Dividends unpaid .
1,609 87
2,300 51 Individual deposits
United States deposits
42 15 Deposits of U. S. disbursing officers.
1,465 00 Due to other national banks
191 25
456 05 Due to State banks and bankers
4, 583 00 Notes and bills re-discounted.
Bills payable
3, 960 00
Total.

219,567 79

Total.

$80, 000 00

Capital stock paid in .

4. 832 05
7,731 17
79, 200 00

290 00
46, 729 12

144 49
640 96

219,567 79

First National Bank, Sunbury.
J. B. PACKER, President.

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




No. 1237.
$204,236 00

S. J. PACKER, Cashier.

Capital stock paid in .

200, 000 00 Surplus fund
50, 000 00 Other undivided profitsNational bank notes outstanding...
19,067 31 State bank notes outstanding
79,050 31 Dividends unpaid .
4,394 74

Individual deposits
United States deposits
2, 324 39 Deposits of U. S. disbursing officers
15,771 00 Due to other national banks
470 30 Due to State banks and bankers
1,100 00
72,000 00 Notes and bills re-discounted
Bills payable
657,414 05

Total

$200, 000 00
40, 000 00
24,481 48
85, 700 00
5, 876 00
4,304 18
251,752 53
24, 186 10
95 18
15,825 §9
4,336 99

657,414 05

REPORT OF THE COMPTROLLER OF THE CURRENCY.

425

First National Bank, Susquehanna Depot.
H. W. BRANDT, President.

M. B. WRIGHT, Cashier.

No. 1053.

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.
$159,811 31
5,833 18
100, 000 00

8, 984 95
2, 787 64
10, 998 05
1,838 64
586 65
618 84

$100,000 00

Capital stock paid in.
Surplus fund
Other undivided profits
,
National bank notes outstanding
State bank notes outstanding

22, 500 00
2, 652 73
90, 000 00

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

4, 820 00 Due to other national banks
282 53 Due to State banks and bankers
10, 523 00 J Notes and bills re-discounted .
j Bills payable
„
" 4 , 5 6 0 00 I
Total.

311,584 79 \

96,001 81

311 08
119 L7

311,584 79

First National Bank, Tamaqua.
No. 1219.

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

$300,108 35
5, 730 75
150, 000 00

J. W.* ABBOTT, Cashier.
$150,000 00

Capital stock paid in.

Surplus fund
Other undivided profits
8, 063 13 National bank notes outstanding
] 5, 095 65 State bank notes outstanding
6, 266 75 Dividends unpaid
9, 490 33
1,348 2L Individual deposits
United States deposits
302 36
Deposits of U. S. disbursing officers.
9, 708 00 Due to other national banks
3L0 50 Due to State banks and bankers
2, 207 00
5, 000 00 Notes and bills re-discounted.,
Bills payable
Total.

Total.

90, 000 00
9,568 16
135, 000 00
3, 467 00
15 00
80,449 10

49,844 41
2, 436 78

520, 780 45

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, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid . . .
Premiums paid
Checks and other cash items
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. 2285.
$51, 260 34
"50'boo'bo
""5,600 66
2, 425 00
12,401 11
531 45
8, 503 03
667 73
5, 500 00
5G5 25
6) 00
22 76
354 30
3, 589 00
2, 250 00
143, 129 97

JNO. F. HUMES, Cashier.

Capital stock paid in
Surplus fund
Other undivided profits
National bank notes outstanding

$50, 000 00
500 00
1, 644 83
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 rp-discounted
Bills payable
Total

.

45, 982 21

2 93

143,129 97

426

REPORT OF THE COMPTROLLER OP THE CURRENCY.
PENNSYLVANIA.
Second National Bank, Titusville.
No. 879.

CHARLES H Y D E , President.

G. C. H Y D E , Cashier.

Resources.

Liabilities.
$385, 070 39
447 43
300, 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

Capital stock paid in.,

$300, 000 00

Surplus fund
Other undivided profits

20,289 00
12, 888 67

National bank notes outstanding
State bank notes outstanding
26, 729 89
95,277 62
Dividends unpaid .
124,876 17
7, 149 03
11,341 15 Individual deposits
United States deposits
743 15 Deposits of U. S. disbursing officers .

270, 000 00

13,123 82

447 50
537,137 39

31,090 00
Due to other national banks
574 08
Due to State banks and bankers
650 00
129, 620 00 | Notes and bills re-discounted.
Bills payable.
14, 322 66
1, 141,015 39

Total.

252 83

Total....

1, 141,015 39

First National Bank, Towanda.
No. 39.

J O S E P H P O W R 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.

$"}57, 426 91
3,914 72
55, 000 00

250"66'
38,401 31
4,928 45
22, 400 00
4, 151 72
1, 912 77
2. 706 00
1,619 83
2, 035 53
19, 016 00

N.

N. BETTS, J r . , Cashier.

Capital stock paid in .

$125, 000 00

Surplus fund
Other undivided profits

80, 000 00
6,821 77

,

National bank notes outstanding
State bank notes outstanding

49, 500 00

Dividends unpaid .

1, 560 00

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

253,132 36

167 33
39 65

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

""2, 454*87"
Total..

516,221 11

516,221 11

Citizens' National Bank, Towanda.
No. 2337.

E. T. FOX, President.
Loans and discounts
Overdrafts
t
IT. 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...
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
Exchanges for clearing hous>e
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total..




185,501 24
189 12
50, 000 00

12, 825 01
5,418 50
1,598 54
2, 106 36
7,694 27

G. A. GUERNSEY,

Capital stock paid in.

Dividends unpaid

443 38

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

65 00
709 75

;

2, 000 00
2, 365 39

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

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

Cashier.

$150, 000 00

|

45, 000 00
'

90 00

71,305 67

.'

j
!

75 91
20 00

2,094 00 . Notes and bills re-discounted.
Bills payable
2,211 80
70, 856 97

Total.

270,856 97

REPORT OF THE COMPTROLLER OF THE CURRENCY.

427

PENNSITJLVAltflA.
First National Bank, Tremont.
T. F. BATDORFF, Cashier.

W. A. HUHKR, 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 bauks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$99, 976 05
2,310 32
75, 000 00
11,900 00
7,132 95
259 53
3, 578 80
2, 707 46
14, 586 99
20 00
922 00
90
508 27
3,200 00

Capital stock paid in .

$75, 000 00

Surplus fund
Other undivided profits

11,751 44
650 59

National bank notes outstanding . . .
State bank notes outstanding

67,465 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

54,416 2

1,191 99
2 96
15, 000 00

3,375 00
225, 478 27

Total .

225, 478 27

Wyoming National Bank, Tunkhannock.
C. P- MILLER,

President.

No. 835.

D.

D. D E W I T T , Cashier.

Loans and discounts »
$128,177 05 ! Capital stock paid in.
Overdrafts
1,765 50 |
.
U. S. bonds to secure circulation
100, 000 00 Surplus fund
U. S. bonds to secure deposits
| Other undivided profits
U. S. bonds ou hand
|
4, 800 00 \
National bank notes outstanding
Other stocks, bonds, and mortgages..i
Due from approved reserve agents...j
2, 897 87 I State bank notes outstanding"
Due from other banks and bankers... j
3, 469 63 | Dividends unpaid .
Real estate, furniture, and
fixtures...I
5,500 00 |
Current expenses and taxes paid
|
2, 807 33 | Individual deposits
Premiums paid
,
United States deposits
—
Checks and other cash items
356 21 Deposits of U. S. disbursing officers.
Exchanges for clearing house
315 00 | Due to other national banks
Bills of other banks
,
65 45 !, Due to State banks and bankers .
Fractional currency
488 00 !
Specie
*.,
', 520 00 j Notes and bills re-discounted .
Legal tender notes
U. S. certificates of deposit
!
|| Bills payable
Due from U . S . Treasurer
j
4,506 00 !
262,668 04 j!

Total..

$100,000 00
21,000 C
O
4,578 65
90, 000 00

46,799 35

290 04

262, 668 04

Total .

First National Bank of Union Mills, Union City.
H. L. CHURCH, President.

No. 110.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages .

$112,915 17
243 23
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

9,378 69
315 43
15,964 47
984 32

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
Due from U. S. Treasurer
Suspente account
Total.

4,347 27

314 79
3, 096 00
230 00
660 00
10,510 00
2,471 76
12, 600 00
224, 031 13

H. Ex. 3- -24




J O S E P H S I L L , Cashier.

Capital stock paid in .

$50,000 00

Surplus fund
Other undivided profits

26,675 15
2,949 78

National bank notes outstanding
State bank notes outstanding

45,000 00

Dividends unpaid.

850 00

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

'8,181 80

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

228 35
146 05

Notes and bills re-discounted.
Bills payable
Total.

224,031 13

428

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
First National Bank, Uniontown.
No. 270.

J. M. THOMPSON, President

J. V. 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
ILegal tender notes
U. S. certificates < f deposit
>
Due from U. S. Treasurer
Total.

$201,928 01

Capital stock paid in.

$100,000 00

1, 342 20

100, 000 00

Surplus fund
•"Other undivided profits
8, 000 00 National bank notes outstanding
24,032 50 State bank notes outstanding
2, 572 99 Dividends unpaid .
9,871 07
1, 977 76 Individual deposits
3,] 26 25 United States deposits
3,238 34
Deposits of U. S. disbursing officers.
511 00 Due to other national banks
464 08 Due to State banks and bankers .
1,981 53
15, 562 00 Notes and bills re-discounted
Bills payable
4, 500 66
Total.

379, 087 73

20,181 01
11,731 99
89, 850 00

155,611 64

1,713 09

379, 087 73

National Bank of Fayette County, Uniontown.
WILLIAM WILSON, Cashier

No. 681.

JNO. K. EVVING, President.

Loans and discounts
j
Overdrafts
j
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...
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 U. S. Treasurer
Total .

$151,225 87

Capital stock paid in.

$100, 000 00

3,626 10

100, 000 00 Surplus fund
Other undivided profits
3, 100 00 National bank notes outstanding
42, 490 72 State bank notes outstanding
504 35
16,860 00 Dividends unpaid .
1, 692 14 Individual deposits
I
4, 572 35 United States deposits
1,857 11 Deposits of U. S. disbursing officers.
• 967 00 Due to other national banks
119 59
1, 167 00 Due to State banks and bankers .
10, 772 00 Notes and bills re-discounted.
Bills payable
4, 500 00
343,454 23

20, 000 00
7,185 38
90, 000 00
1,553 00
124, 341 23

374 62

343, 454 23

First National Bank, "Warren.
BOON 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 items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 520.

MOSES BEECHER, Cashier.

$277, 847 37 Capital stock paid in.
2, 738 72
100, 0C0 00 Surplus fund
Other undivided profits .
1, 750*00
2, 000 00 National bank-notes outstanding
58,282 96 State bank notes outstanding
15, 623 61
23,310 02 Dividends unpaid .
3, 945 21 Individual deposits
United States deposits
841 53 Deposits of U. S. disbursing officers.
1, 730
160
836
3, 370

00 Due to other national banks
94 Due to State banks and bankers .
26
00 Notes and bills re-discounted.
Bills payable
4, 500 00
496, 936 62

Total.

$100, 000 00
25, 000 00
17,385 18
90, 000 00

261,429 49

3,121 95

496, 936 62

KEPORT OF THE COMPTROLLER OF THE CURRENCY.

429

PENNSYLVANIA.
Citizens' National Bank, Warren.
MYRON WATERS, President.

No. 2226.

ROUT. DFNNISON, 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 .
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

!

$133,491 62 Capital stock paid in.
1,247 82 !
50, 000 00 Surplus fund
Other undivided profits
2, 000 00 i National bank notes outstanding
State bank notes outstanding

$50, 000 00
14,722 63
45, 000 00

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

121,468 39

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

j
|

.

Total.

Total.

First National Bank, Washington.
No. 586.

COLIN M. RF.ED, President.
Loans and discounts
Overdrafts
„
U. S. bonds to secure circulation
U. S. bonds 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.
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 from (J. S. Treasurer
Total.

$167, 334 08

JAMES MCILVAINE, Cashier.

Capital stock paid in.

$150,000 00

" 150," 656'66' Surplus fund
Other undivided profits
"""43"35O"65'
National bank notes outstanding
52, 537 13 State bank notes outstanding
25,949 13 Dividends unpaid
4, 500 00
2,019 41 Iniividual deposits
United States deposits...
541 35 Dcp >sits of U. S. disbursing officers

75,000 00
10,418 60
124, 000 00
3,225 00
904 50
128, 527 81

4,036 00
788 34

Due to other national banks
Due to State banks and bankers
35,508 00 Notes and bills re-discounted
Bills payable
" 6,750 66"

1,267 53
,

Total.

493, 343 44

493,343 44

First National Bank, Waynesboro'.
JOSEPH PRTCE, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 244.

JOHN PHILIPS, Cashier.

Capital stock paid in .

$75, 000 00

Surplus fund
3,706 66 Other undivided profits
3, 450 00 j National bank notes outstanding
10,738 59 I State bank notes outstanding
4, 963 59 Dividends unpaid .
1, 500 00
1, 537 55 Individual deposits
United States deposits
261 37 Deposits of U. S. disbursing officers.

15, 000 00
5, 745 22

$86, 500 86
218 79
75, 000 00

987 00 Due to other national banks
141 01 Due to State banks and bankers
250 00
13, 633 00 Notes and bills re-discounted.
Bills payable
' 3, 775 00
206, 656 76

Total.

58, 890 00

51,170 20

511 50
249 84
90 00
206, 656 76

430

REPORT OF THE COMPTROLLER OF THE CURRENCY.
P E N N S Y L V A N I A.
Farmers and Drovers' National Bank, Waynesburg.
No. 839.

CJ. A. BLACK, President.

DAVID CRAWFORD, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
tJ. S. bond A 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
Premium?; 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
Total

Liabilities.
$187,586 76 Capital stock paid in.
3, 000 00
100, 000 00 Surplus fund
j! Other undivided profits
j I National bank notes outstanding
2,521 70 | State bank notes outstanding
84 16
10,350 00 Dividends unpaid.
894 40 Individual deposits
2, 520 00 United States deposits
1,941 47 Deposits of U. S. disbursing officers.
675 00 i Due to other national banks
484 54 Due to State banks and bankers .
2L3 00
Notes and bills re-discounted
20, 000 00 Bills payable

$150, 000 00
30,000 00
5,211 49
90, 000 00
956 00
58, 460 37

2,754 96

'

""*7,"In79
Total.

337, 382 82

337, 382 82

First National Bank, Wellsborough.
No. 328.

J. L. ROBIVSON, President.

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

$193,099 51
1,821 06
100, 000 00

"""*3," 666*66
15,553
1, 659
108
18.470
1, 020

12
86
69
24
39

1,534 00

J. M. ROBINSON, Cashier.

$100, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

60,000 00
10, 986 88
89, 555 00

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

2, 785 00 Due to other national banks
600 00 Due to State banks and bankers
1, 202 95
9,674 00 j Notes and bills re-discounted.
J Bills payable
4, 500 00
355, 028 82

Total.

94,371 94
25 00
90 00

355,028 82

First National Bank, "West Chester.
W M . WOLLERTON. President.

E. E. T H A T C H E R , Cashier.

No. 148.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.

$372, 553 59
177 05
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 paifa

Capital stock paid in.

16, 179
10,003
27, 000
5, 906

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total-




Surplus fund
i Other undivided profits

j National banknotes outstanding
66 j State bank notes outstanding
76
j Dividends unpaid.
00
69 I Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
9,318 76

3, 747
1,439
4, 272
23, 299

00
50
00
(JO

Due to other national banks
Due to State banks and bankers

$200, 000 00
51, 000 00
20, 493 20
180, 000 00
110 00
215, 997 54

14, 728 28
567 99

Notes and bills re-discoun+ed.
Bills payable

9, 000 0 0
682, 897 01

Total.

682, 897 01

REPORT OF THE COMPTROLLER OF THE CURRENCY.

431

PENNSYLVANIA.
National Bank of Chester County, West Chester.
WALTER HIBBARD, President.

No. 552.

Wwr. W. JEFFERIS, Cashier,.

Liabilities.

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

$568,016 99
128 76
225,000 00

34,343 12

142, 614 95
18,331 78
5, 255 05
30, 959 80
5, 485 00
861 03
10, 300 00
9,979 00
50, 000 00
10,125 00

$225, 000 0O

Capital stock paid in .

100, 000 00*
17,122 82.

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

200, 500 00

Dividends unpaid .

645 00
549, 796 59

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

18, 336 07

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

1,111,400 48

Total.

1,111,400 48

First National* Bank, Wilkes Barre.
CHARLES PARRISH, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation .
U. S. bonds to secure deposits
U. S. bonds on hand
_
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses 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

No. 30.

$458, 081 78
9, 162 96
375, 000 00
7, 250 90
1, 586 79
16,275 60
65, 500 00
6, 210 61
3, 722 72
5, 807 43
2, 964
1,184
3, 870
35, 068
15, 875
5, 000

00
91
85
00
00
00

Capital stock paid in

$375, 000 00
98, 000 00
20, 056 66

Surplus fund
Other undivided profits

337, 500 00

National bank notes outstanding
State bank notes outstanding
Dividends unpaid

179, 446 24

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

1,012,561 55

Total.

THOMAS WILSON, Cashier*.

2,541 7416 91

Total

1,012,561 55

Second National Bank, Wilkes Barre.
L. D. SHOEMAKER, President.
Loans and discounts
Overdrafts
,
U. S. bonds to secure circulation
U. S. 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
,
Total.




No. 104.
$650, 835 97
8,152 89
223, 000 00
80, 000 00
50, 000 00
57, 000 00
12,499 13
27, 691 98
20,000 00
2, 465 07
7, 844 43
1,895 00
2,582 73
3, 547 40
13, 250 00

"io'ooo 65'
1,170, 764 60

E. A. SPALDING, Cashier.

Capital stock paid in

$450, 000 00

Surplus fund
Other undivided profits

j

National bank notes outstanding

160, 000 00
13, 338 38
200,000 00

State bank notes outstanding
Dividends unpaid

,

Individual deposits
j
United States deposits
j
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

201,704 08
35, 925 14
98 34
26, 855 52
37, 273 14
45,000 00
1,170, 764 60

432

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PEN M SYLVANIA.
"Wyoming National Bank, Wilkes Barre.

ZlBA BENNETT, President.

No. 732.

LATH A W. JONES, Cashier.
N

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.
$•205, 37^ 88 Capital stock paid in
1,768 92
150, 000 00 ; Surplus fund
Other undivided profits

46,666 66

2,000 00
1,704 05
29,291 18
47, 493 74
3,170 56
7, 653 34
445 00
1, 000 00
420 00
5, 000 00

National bank notes outstanding
State bank notes outstanding

50, 000 00
14, 280 23
131,950 00
5, 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

134, 546 06

2, 500 24
10, 397 09

Notes and bills re-discounted.
Bills payable

7, 050 00 |
502, 373 67 ;

Total.

$150,000 00
,

Total.

502,373 67

First National Bank, Williamsport.
No. 175.

A. 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

$461,003 54
1,869 18
273,000 00
27, 960 08
21, 368
34,843
25, 000
3, 724

02
74
00
26

3, 805 69
4,409 00
1, 701 22
15, 432 67
20,341 00

$284, 950 00
85 000 00
10, 736 26

Surplus fund
Other undivided profits
National bank notes outstanding . . . .
State bank notes outstanding

243, 030 00
1, 245 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

264,449 81

14,174 81
677 22

Notes and bills re-discounted.
Bills payable

9, 854 70
Total.

904,313 10

Total.

W. H. Shi AN, Cashier.

Capital stock paid in .

91)4,313 10

City National Bank, Williamsport.
JACOB 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 «J. S. Treasurer
Total.




No. 2139.
$258, 357 37
1, 784 71
60, 000 00

5o5"oo"
16,519 49
33, 654 22
5.951 67
1, 056 75
2,456 49
8, 500 00
1, 244 75
633 00
346 82
1, 803 50
7, 26*5 00
20. 000 00
2, 700 00
422, 773 '

B. C. CAT.DWELL, Cashier.

Capital stock paid in .

$100,000 00

Surplus fund
O ther undivided profits

7, 000 O)
f
5, 181 38

National bank notes outstanding
State bank notes outstanding

51, 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

256, 529 09

33 05
30 25

Notes and bills re-discounted.
Bills payable
Total.

422, 773 77

REPORT OF THE COMPTROLLER OF THE CURRENCY.

433

P E N N S Y L V A N I A .
Lumberman's National Bank, Williamsport.
J. G. READING, President.

No. 734.

SAMUEL JONES, Cashier.

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...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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.
$100, 000 00

$158,361 23 Capital stock paid in.
""95,"ouo 66" Surplus fund
Other undivided profits
16, 091 37 National bank notes outstanding
559 12 State bauk notes outstanding
12,532 16 Dividends unpaid.
12, 000 00
2, 021 53 Individual deposits
United States deposits
9, 144 61 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.

20, 000 00
9, 026 42
85, 000 00

101, 883 00

6, 586 88
850 00

323, 346 30

Lycoming National Bank, Williamsport.
GEORGE BUBB, President.

Loans and discounts
Overdrafts
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..

No. 2227.

CHARLES GLEIM, Cashier.

$100,000 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.
Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

16, 000 00
1,424 39
30, 600 00

133, 297 51

2, 444 57

1, 530 I
283,766 47

Total,

233, 766 47

West Branch National Bank, Williamsport.
OLIVER WATSON, 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 baikers . .
Real 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
j
Legal teuder notes
|
U. S. certificates of deposit
I
Due from U. S. Treasurer
1
Total .




No. 1505.

W M . S. WATSON, Cashier.

$315,554 56 Capital stock paid in .
100, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
40, 885 53 Dividends unpaid .
14, 173 16
6,217 9t3

Individual deposits
United States deposits
18,431 49 IDeposits of U. S. disbursing officers.

$100,000 00
100, 000 00
44, 902 77
90, 000 00
4, 991 00

210, 385 61

1, 290 00 j Due to other national banks
1, 285 30 j Due to State banks and bankers
2,364 00 !
62, 971 00 INotes and bills re-discounted.
1 Bills payable
4, 500 00

15, 580 63
1,812 94

Total..

567, 673 00

567, 673 00

434

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA.
Williamsport National Bank, William sport.

G. L. SANDERSON, President.

JAS. S. LAVVSON, 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

$174,502 59
835 73
100, 000 00

Capital stock paid in

33, 426 25
4,813 77
2, 125 00

$100, 000 00
25,200 00
5,100 27
90, 000 00

Dividends unpaid .

668 97

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

1,909 66
1,630 00
90 83
156 55
14, 28L 00

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

115,768 99

2,87L 09

4,500 00
Total.

338, 940 35

Total.

j

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

338, 940 35

First National Bank, Wrightsville.
WM. McCONKEY, President.

No. 246.

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

$174,394 11
376 56
150,000 00

G. K. S CHEN BERG ER, Cashier.
$150, 000 00

Capital stock paid in
Surplus fund
Other undivided profits

6, 800 00
8, 191. 71

•
! National bank notes outstanding
I State bank notes outstanding
I
! Dividends unpaid .
| Individual deposits
United States deposits
701 04 j Deposits of U. S. disbursing officers .

10,016
5,688
2, 974
3, 500
2,489

21
31
53
00
07

1, 983 00 ; Due to other national banks
171 00 !
2-20 00 i Due to State banks and bankers .
6,940 00 ! Notes and bills re-discounted
Bills payable
Total.

Total.

133, 300 00

104 00
61, 076 43
6,731 74

366, 203 88

First National Bank, York.
Z. R. LOUCKS, Piesident.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other bant s
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 197.
$257,442 36
253 29
335, 000 00
50, 000 00
17, 400 00
57,658 00
43, 825 89
14,509 05
1, 800 00
5,758 69
3, 605 31
1,741 64

JACOB BASTRESS, Cashier.

Capital stock paid in .
| Surplus fund
1 Other undivided profits .
1
I National bank notes outstanding . . .
I State bank notes outstanding

$300, 000 00
42, 000 00
27,190 72
299, 950 00

Dividends unpaid.
Individual deposits
United States deposits
1 Deposits of U. S. disbursing officers.
1

114, 667 75
34,775 57
106 42

| Due to other national banks
I Due to State banks and bankers . . .
|[
j! Notes and bills re-discounted
I i Bills payable
23,846 47 |

13,694 86
5 07

4,262
1,118
6, 895
7,274

00
29
40
00

832,390 39 |

Total.

832, 390 ;

REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 3 5
PENNSYLVANIA.
Farmers' National Bank, York.
No. 2228.

V. K. KEESEY, President.

J. V. GlESEY, Cashier
Liabilities.

Resources.
Loans and discounts
Overdrafts
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.. 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

$163, 593 26

Capital stock paid in.

I Surplus fund
j Other undivided profits
j National bank notes outstanding
33,155 44 j State bank notes outstanding
19,666 70
10,419 00 Dividends unpaid.
3, 248 02 J
23, 000 00 ll Individual deposits
United States deposits
6,552 74 !| Deposits of U. S. disbursing officers.
.1
1
1,130 00 Due to other national banks
322 39 Due to State banks and bankers
574 55
13,564 00 Notes and bills re-discounted .
Bills payable
9, 000 00

484, 247 79

Total.

$200, 000 00

21 69
200, 000 00

Total

5, 000 009,388 11
180, 000 00

88, 500 69

209 92
1,149 07

484, 247 79

"Western National Bank, York.
No. 2303.

ALBERT SMYSER, President.

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

$167,110 45
253 26
100, 000 00

M. J. SKINNER, Cashier.

Capital stock paid in

$100,000 00

Surplus fund
Other undivided profits .
National bank notes outstanding
9, 209 97 State bank notes outstanding
18, 559 48 Dividends unpaid.
907 01
1, 962 76
,.
14,750 00 Individual deposits
United States deposits
836 78 Deposits of U. S. disbursing officers.

20, 000 00
7, 639 24
90, 000 00

56 00
108,901 11

1, 050 00 Due to other national banks
152 14 Due to State banks and bankers .
152 50
7,152 00 Notes and bills re-discounted.
Bills payable
4, 500 00
Total.

326, 596 35

326, 596

York National Bank, York.
No. 604.

HENRY WELSH, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. SPRIGG, Cashier.

$282, 883 43 Capital stock paid in.
3,703 13
500, 000 00 Surplus fund
Other undivided profits
'""ioo'ooo'eo"
105,138 05 National bank notes outstanding
65, 495 20 State bank notes outstanding
26, 679 64 Dividends unpaid
10, 989 50
5, 522 48 Individual deposits
4, 651 56 United States deposits
5, 595 95 Deposits of U. S. disbursing officers.
10, 659
1, 268
2, 015
35, 395

00
35
35
00

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

$500, 000 00
83,100 00
26, 956 05
438, 500 00
6,449 00
453 00
106, 792 82

19, 905 43
340 34

22, 500 00
1,182, 496 64

Total

1,182, 496 64

436

REPORT OF THE COMPTROLLER OF THE CURRENCY.
PENNSYLVANIA,
York County National Bank, York.
No. 694.

D. F . WILLIAMS, President.

JAS. A. SCHALL, 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
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




|

$429, 069 82 Capital stock paid in.
4,198 74
300,000 00

Surplus fund
Other undivided profits
30,185 00 National bank notes outstanding
38,848 81 State bank notes outstanding
10,850 44 Dividends unpaid.
2, 000 00
5, 707 03 Individual deposits
#.
United States deposits
1,157 16 Deposits of U. S. disbursing officers.
2, 066 00
1,046 43
3,298 00
4,165 00

"13,560 65"
846,092 43

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

$300, 000 00
60, 000 00
28, 771 56
270, 000 00

158 00
180,139 95

7, 022 92

846, 092 43

REPORT OF THE COMPTROLLER OF THE CURRENCY.

437

DELAWARE.
Delaware City National Bank, Delaware City.
W M . H. CLARK, President.

No. 133-2.

FRANCIS 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 a g e n t s . . .
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 hou-ie
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
.
Due from U. S. Treasurer

10, 468 27
3, 087 45

ji National bank notes outstanding...
j State bank notes outstanding
3, 373 27
9, 878 Cr2 Dividends unpaid .
977 93 Individual deposits
1
( United States deposits
2,714 59 I Deposits of U. S. disbursing officers.
3, 114 00
385 45
450 00
10, 426 00

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

54,400 00
45 00
42, 529 85

11,722 20
2,174 40

Notes and bills re-discounted.
Bills payable

2, 790 00
204,427 17

Total.

204,427 17

Total.

$80, 000 00

$95, 117 20 Capital stock paid in.
127 00
62, 000 00 1 Surplus fund
1
. | Other undivided profits

First National Bank, Dover.
N. 13. SMITH»CRS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bond*} to secure deposits
U. S. 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
E xchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
IT. S. certificates of deposit
Due from U. S. Treasurer

$141,555 63

""loo," ooo'65'

$100,000 00

Capital stock paid in.
Surplus fund
Other undivided profits

11,480 25
11,657 2

National bank notes outstanding
State bank notes outstanding
34, 955 95
3 9, 186 96
15, 187 94 Dividends unpaid .
725 35
Individual deposits
United States deposits
3, 000 21 Deposits of U. S. disbursing officers.

89, 000 00

1,233 00
374 77
2, 211 00
4, 115 00

Due to other national banks
Due to State banks and bankers

113, 785 56

868 03
251 00

Notes and bills re-discounted.
Bills payable—
,

4,496 25
327, 042 06

Total.

J. H. BATEMAN, Cashier.

No. 1567.

327,042 06

Total.

Citizens' National Bank, Middletown.
HENRY CLAYTON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other 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
I
Fractional currency
Specie
|
Legal tender notes
j
U. S. certificates of deposit.
Due from U. S. Treasurer
Total.




No. 1181.
$142,893 74
"""80"000 66'
3,561 87
22. 322 22
8, 293 23
14,400 00
908 16
34 00
2, 306 00
22 36
370 00
7,819 00

J. R. HALL, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits

$80, 000 00
20, 000 00
3,150 24

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

107, 643 33

3,099 36
87 65

Notes and bills re-discounted.
Bills payable

3, 050 00
285,980 58

285. 980 58

438

REPORT OF THE COMPTROLLER OF THE CURRENCY.
DELAWARE.
First National Bank, Milford.
No. 2340.

H. B. FlDDEMAN, President.

JOHN B. SMITH, 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 bauks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Liabilities.
$84, 227 06
34, 003 00
14,000 00
21, 190 00
6, 042
13,025
1, 96!
67
6, 527

92
01
61
80
50

57 39
2,115
254
668
8,544

00
54
45
00

1,530 65"

Capital stock paid in

$60, 800 00

I
|

241 O)
f
1,890 97
30, 300 00

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

100,124 54

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
_.
Bill* payable

194,211 28 I

Total.

!

Surplus fund..,
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid

Total.

854 7T

194,211 28

National Bank, Newark.
No. 1536.

JOEL THOMPSON, 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.

G-EO. W. LINDSEY, Cashier.

$93,129 38 Capital stock paid in .

"56," 666" 66'
417 35
27,292 75
2,224 92
10, 000 00
342 06

2,000 00
3-2026"
4, 000 00

$50,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bauk notes outstanding
Dividends unpaid .

.

4, 985 00
967 72
45, 000 00
546 00

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

76, 072 21

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

10,434 78
3, 971 01

Notes and bills re-discounted.
Bills payable

"*"2*256"66"
191, £ ! 72

191,976 72

Newport National Bank, Newport.
DAVID EASTBURI^, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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 otal




No. 997.
$36, 754 82

J. W. H. WATSON, Cashier.

Capital stock paid in .

"" 78," 666'66" j Surplus fund
O ther undivided profits
National bank notes outstanding
3, 302 39 State bank notes outstanding
1,343 10
6, 000 00 Dividends unpaid .
769 06 Individual deposits
United S tates deposits
1,195 92 Deposits of U. S. disbursing officers
255 00 Due to other national banks
91 79 Due to State banks and bankers
739 25
1, 360 00 Notes and bills re-discounted.
Bills payable
2, 575 00
' 182, 3*6 33

$75, 000 00
15,000 00
988 87
65, 790 00
240 00
22,709 67

2, 319 40
338 39

182,386 33-

EEPORT OF THE COMPTROLLER OF THE CURRENCY. 439
DELAWARE,
New Castle County National Bank, Odessa,
CHAS. TATMAN, President.

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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$L38,935 46 Capital stock paid in .
"*75,"6oo"bo'
1,926 46
43, 630 42
2, 827 75
9,478 35
178 26
184 65
3, 375 00
65 47
819 65
7,197 00

28, 000 00
3,421 23
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

112, 372 04

495 70
204 50

3, 375 00 |
286, 993 47 I

Total.

$75, 000 00

Surplus fund..
Other undivided profits
National bank notes outstanding
State bank notes outstanding

286, 993 47

Total.

First National Bank, Seaford.
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

No. 795.

$50, 000 00

$59, 898 02 Capital stock paid in.
"" 50," 000 "65" Surplus fund
Other undivided profits
i5o"6o"
2, 000 00 National bank notes outstanding
State bank notes outstanding . . . . . . .
41,522 37
168 12
Dividends unpaid
10, 172 97
520 00
18 36

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

4, 020
63
170
2, 605

00 Due to other national banks
24 Due to State banks and bankers
39
00 Notes and bills re-discounted.
Bills payable
2, 250 00
173, 558 47

Total.

M. J. MORGAN, Cashier.

Total.

1,748 01
2, 755 21
34, 600 00

83, 590 16

705 14
159 95

173, 558 47

Fruit Growers' National Bank, Smyrna.
G-. H. RAYMOND, 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.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges fo*- clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2336.

N. F. WlLDS, Cashier

$127,000 37 Capital stock paid in .
"""47,"000 66" j Surplus fund
I Other undivided profits
I National bank notes outstanding
12,220 01 I State bank notes outstanding
1, 354 58 Dividends unpaid .
2,177 38
250 00 Individual deposits
5,135 00 I United States deposits
j
13 68 I Deposits of U. S. disbursing officers .

$80, 000 00
501 68
1, 510 95
42, 300 00

85, 720 95

6, 072 00 Due to other national banks
132 36 Due to State banks and bankers .
506 20
6, 057 00 Notes and bills re-discounted
Bills payable
"2,"ll5 66"
210, 033 58

Total

"
.

210, 033 58

440

REPORT OF THE COMPTROLLER OF THE CURRENCY.
DELAWARE.
First National Bank, "Wilmington.

EDWARD BETTS, President.

No. 473.

G-. D. ARMSTRONG, Casiier.

Resources.
Loans and discounts
Overdrafts
tl. S. bonds to secure circulation
j
U. S. bonds to secure deposits
j
U. S. bonds on baud
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.

Liabilities.
$536,473 81

Capital stock paid in.

445,000 00 I
60, 0U0 00 |j
149, 035 00
102,116 38
42, 989 37
5, J 00 00
3,320 15
8,221 02
11,307 47

$500, 000 00

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

100,000 00
27, 842 91

399, 850 00

I

3, 685 00

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

333. 604 39
45, 875 89
6,071 44

13,010 00 Due to other national banks
413 70 Due to State banks and bankers
4, OSS 03
47,249 00 j Notes and bills re-discounted..
20, 000 00 I Bills payable:
20, 000 00
1,468,293 93 j

Total.

50, 472 48
891 82

1, 468, 293 93

National Bank of Delaware, Wilmington.
R. H. EWBANKS, Cashier.

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 agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Tctal.

Capital stock paid in.

$110, 000 00

"IlO* 000 00* Surplus fund
O ther undivided profits
12, 564 72 National bank notes outstanding
16,218 12 State bank notes outstanding
63,816 51 Dividends unpaid
20, 000 00
4,031 24 Individual deposits
United States deposits
12,296 60 Deposits of U. S. disbursing officers.

112,726 80
11, 782 46

$337,333 82

3,777 00
1,249 25
3, 749 38
1, 508 00
10, 000 00
4, 950 00

90, 450 00
1,088 00
234 00
243, 243 90

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

601,494 64

31,969 48

Total.

601, 494 61

National Bank of Wilmington and Brandywine, Wilmington.
No. 1190.

WASH. 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.




$491,518 00

"266,'666" 65'
26,
23,
26,
2,
2,

587
822
900
879
642

05
09
00
42
50

9, 837 94
4,720
991
812
31,474

00
89
00
00

9,"o66"66'
831, 184 89

EVAN RICE, 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.

$200,010 00
85, 000 00
16, 678 87
164, 720 00
5, 570 00
2, 499 00
296, 424 37

53,942 12
6,340 53

83L, 184 89

REPORT OF THE COMPTROLLER OF THE CURRENCY.

441

DELAWARE.
Union National Bank, Wilmington.
VICTOR D U PONT, President.

No. 1390.

JOHN 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. S. certificates of deposit
Due from U. S. Treasurer

Total.




Liabilities.
$531,806 63
1,052 94
203, 200 00
990 00
156, 882 34
54, 654 24
25,767 17
4, 639 12
2, 414 50
11,030 60
22, 308
660
586
35,000
10,000
9,142

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid.

$203,175 00
60, 000 00
25,135 73
1S2, 850 00
3, 227 00

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

553, 572 49

00 j! Due to other national banks
00 I Due to State banks and bankers . . .
54 1
1
00 |! Notes and bills re-discounted
00 ij Bills payable
50 j|

42,144 36
30 00

1, 070, 134 58

Total

1, 070,134 58

442

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Farmers' National Bank, Annapolis.
A. RANDALL,

No. 1244.

President.

L. G. GASSAWAY,

Cashier.

Liabilities.

Resources.

$251,700 00

$383, 346 87 ;| Capital stock paid in .
600 40
86,500 00 !| Surplus fund
100,000 09 || Other undivided profits -

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.

10, 000 00
87, 756 74
63, 409 52
16, 298 39

Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures-.
Current expenses and taxes paid
Premiums paid

44, 620 00
13,590 35

National bank notes outstanding...
State bank notes outstanding

470 72

Dividends unpaid.

Individual deposits
} United States deposits
i
5,297 19 |! Deposits of U. S* disbursing officers.

Checks and 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

31,915 00
75 50
4,039 93
11,963 00

Total .

77, 750 00

317,536 21
72,321 05
21, 072 54
4, 332 66
3,201 51

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

806,595 04 |

806, 595 04

Total-.

First National Bank,-Baltimore.
J. S. NORRIS,

E. J . PENNTMAN, Cashier.

No. 204.

President.

$1,110, 000 00

$2,052,943 18 Capital stock paid in
120 79 .
910,000 I O |
' Surplus fund
200, 000 00 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

462 00
225,567 54
28,655 71
22, 983 80
20,013 96
3, 849 73
186,065 42
20,143 00
3, 047 09
22, 503 47
29,200 00
425, 000 00
40, 950 00

Total

4,191,505 69

222, 000 00
151, 433 55

National bank notes outstanding
State bank notes outstanding

778, 900 00
962 85

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, 300,277 42
100, 070 00
513,893 14
13, 968 73

Notes and bills re-discounted
Bills pay able
,
Total

4, 191,505

Second National Bank, Baltimore.
J O H N H. B A W D E N ,

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 . . j
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
j
Checks and other cash items
j
Exchanges for clearing house
i
Bills of other banks
j
Fractional currency
j
Specie
I
Legal tender notes
U. S. certificates of deposit
j
;
Due from U. S. Treasurer
Total




!

$1, 298,688 35 j Capital stock paid in .
378 95
390, 000 00
Surplus fund
Other undivided profits
20, 662 50
8, 194 41
12,671 21
629
24, 062
11,380
11
9,009
97,511
115, 0'>0
17, 550

26
73
00
65
00
00
00
00

2, 005, 749 06

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

Cashier.

$500, 000 00
250, 000 00
66, 994 25
351, 000 00
.

857 33

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

725,168 50

Due to other national banks
Due to State banks and bankers

102,221 78
9, 507 20

Notes and bills re-discounted.
Bills payable
Total.

2, 005, 749 06

REPORT OF THE COMPTROLLER OP THE CURRENCY.

443

MARYLAND.
Third National Bank, Baltimore.
THOs. Y. CANBY, Vice-President.

No. 814.

A. M. CARTER, 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, aad fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other ca^h items
Exchanges for clearing house
Bills of other banks.
j
Fractional currency
j
Specie
j
Legal tender notes
j
U. S. certificates of deposit
|
Due from U. S. Treasurer
Total

$735,303 02 I Capital stock paid in .

$600, 000 00
25,000 00
23, 7-02 33

534, 000 00 Surplus fund
Other undivided profits
""30*000 66"
9, 659 88 National bank notes outstanding . . .
50,933 15 State bank notes outstanding
19, 362 6)
40, 000 00 Dividends unpaid
8, 490 96 Individual deposits
6, 605 30 United S bates deposits
Deposits of U. S. disbursing officers .
""af;"806"39"
ti, 413 00 Due to other national banks
57 17 : Due to State banks and bankers
339 00 !
14, 300 00 { Notes and bills re-discounted.
,
30, 000 00 Bills payable
26, 000 00

480, 000 00

534 00
381,039 01

27,976 36
18 77

Total

1, 538, 270 47

1, 538, 270 47

Citizens' National Bank, Baltimore.
No. 1384.

HENRY JAMES, President.

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

,

$1,491,519 31

J. W. GUEST, Oashiei

Capital stock paid in.

$500, 000 00

450, 000 00 Surplus fund
Other undivided profits
46,226 15 National bank notes outstanding...
38, 862 41 State bank notes outstanding
151, 586 71
57, 000 00 Dividends unpaid.
15, 720 35 Individual deposits
United States deposits
2.277 62 Deposits of U. S. disbursing officers.
242,432 61 I
31,210 00 i Due to other national banks
Due to State banks and bankers
9, 397 20
361,740 00 Notes and bills re-discounted
Bills payable
20,"250"6o"

300, 000 00
44,256 69

2, 918, 252 36

Total

355, 800 00
9, 993 00
19,421 32
1,456,071 67

162, 927 74
69,781 94

I 2,918,252 36

Commercial and Farmers' National Bank, Baltimore.
JESSE 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
IT. S. certificates of deposit
Due from U. S. Treasurer
Total.

H. Ex. 3- -25




No. 1303.

JOHN D. EARLY, Cashier.

$974,012 81 i Capital stock paid in

j

"" 3oo," 666 oo I Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding

10 00
18,825 81
31,545 75
25, 000 00 j Dividends unpaid
12,814 44 Individual deposits
United States deposits
..
19,255 86 Deposits of U. S. disbursing officers.
52, 875 80
17, 257 00 Due to other national banks
Due to State banks and bankers
2,345 00
49, 925 00 Notes and bills re-discounted.
145, 000 00 Bills payable
13, 500 00
1, 662, 367 47

Total

I
j

$512, 560 00
115,546 82
28, 082 46
261, 800 00
6, 672 92
705, 992 26

23, 786 82
2,756 19

1,662,367 47

444

REPORT OF THE COMPTROLLER

OF THE CURRENCY.

MARY LAND.
Farmers and Merchants' National Bank, Baltimore.
J. H. THOMAS, President.

No. 1337.

JAMES SLOAN, Jr., Cashier.

Resources.

Liabilities.
$1, 188, 392 27

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

272*600 00

5o,"6o6'66"
98,145 09
169, 227 22
60, 257 03
25, 410 00
6, 919 42
5, 526 00
228, 393 46
46, 606 00
13, 526 45
23, 000 00
530, 000 00

$650, 000 00

Capital stock paid in.

130, 000 00
19, 682 38

Surplus fund
Other undivided profits
National bank notes outstanding...
State bank notes outstanding

194, 740 00
3, 245 00
9,127 85

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

1,116,617 04

568,166 97
38, 690 70

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

12,267 00

2, 730, 269 94

Total.

Total.

2, 730, 269 94

Merchants' National Bank, Baltimore.
No. 1336.

A. H . STUMP, President.

Loans and discounts
$2, 827, 221 03
Overdrafts
i
:
U. S. bonds to secure circulation
\
600, 000 00
U. S. bonds to secure deposits
,
U. S. bonds on hand
Other stocks, bonds, and mortgages ..;
14, 000 00
Due from approved reserve agents...
42, 044 55
Due from other banks and bankers...
34, 075 17
Real estate, furniture, and fixtures... !i
100, 000 00
Current expenses and taxes paid
28, 026 24
Premiums paid
435 10
Checks and other cash items
;
15, 771 63
Exchanges for clearing house
i
179, 133 72
Bills of other banks
;
70,620 00
Fractional currency
2L70
Specie
.'.....
!
7,094 00
Legal tender notes
i
69, 000 00
U. S. certificates of deposit
|
195, 000 00
Due from U. S. Treasurer
!
27, 000 00
Total

j

WE

L. GILL, Cashier.

Capital stock paid in

$1, 500, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid

|
j
j

400, 000 00
52, 961 63
501, 000 00
19, 728 00
2, 517 35

Individual deposits
\ 1, 440, 595 98
United States deposits
I
Deposits ot U. S. disbursing officers.. I
Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

4,209,443 14

I
\

Total

250, 208 76
42, 431 42

i 4,209,443 14

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.

J. THOS. SMITH, Cashier.

$2, 007, 449 70 Capital stock paid in
583 00
1,008,500 00 Surplus fund
Other undivided profits
105,551 12
74,267 61
67,156 93
81,766 21
7, 003 63
2, 487 29
160, 933 69
17.374 00
1, 685 97
18, 074 89
145, 449 00
240, 000 00
45.375 00
3, 983, 658 04

National bank notes outstanding
State bank notes outstanding

$1,210,700 00
>
I

400, 000 0G
55, 420 24

|

814, 050 00
2, 982 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

5, 448 00
1, 371,107 18

56, 853 99
67, 096 63

Not^s and bills re-discounted.
Bills payable
Total

3,983,658 04

REPORT OF THE COMPTROLLER OF THE CURRENCY.

445

MARYLAND.
National Exchange Bank, Baltimore.
No. 1109.

J O H N HURST, President.

J. P. NEER, 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.
$984, 635 67 Capital stock paid in .
""533,900 66"

98, 944 39
73, 539 42
6, 01)0 00
17,604 91.
7, 800 00
2.073 73
52, 676 48
20, 000 00
936 24
24, 900 00
30, 000 00
24, 000 00

$600, 000 00
91, 500 00
23, 781 46

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

480, 000 00

1,974 83

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

502, 280 34

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

115,120 08
62,354 13

Total

1, 877, 010 84

I 1,877,010 84

National Farmers and Planters' Bank, Baltimore.
ENOCH PRATT, President.

No. 1252.

Loans and discounts
Overdrafts
U. S. bands to seoure circulation
U. S. bonds to secure deposits
U.S.bonds on hand
Other 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

, 789, 420 26
650," 606' 66"
"350," 666 66
55, 995
68, 935
1, 000
6, 253

50
54
00
92

214,224 66
44, 000 00
13,
50,
345,
29,

000 00
000 00
000 00
250 00

Capital stock paid in

!

$800, 000 00

|

273, 000 00
46, 870 39

I

Surplus fund
Other undivided profits
National bank notes outstanding

437, 700 00

State bank notes outstanding

12, 660 00

Dividends unpaid

1,452 49

Individual deposits
1, 964, 455 76
United States deposits
Deposits of U. S. disbursing officers.. j
Due to other national banks
71, 858 29
Due to State banks and bankers
;
9, 082 95
Notes and bills re-discounted
Bills payable
!
Total.

3, 617, 079 88

Total.

R I C H D . CORNELIUS, Cashier.

I 3,617,079 88

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 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. 1413.
$1, 719,390 61

~""'i66"66o"66"
366," 666" 66"
80, 020 00

600 92
41,743 35
121, 032 91
27, 356 91
8,193 79
419,329 94
24, 615 00
60 00 j

31, 289 07
60, 000 00
130, 000 00
4,500 00
3, 068,132 50

C. R. COLEMAN, Cashier.

Capital stock paid in

j $1, 000 000 00

Surplus fund
Other undivided profits

I
j

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

58,000 00
37, 512 61
90, 000 00
6, 717 52

!

j
!

1, 746, 607 10

93, 207 78
36, 087 49

Notes and bills re-discounted.
Bills payable
Total.

3, 068,132 50

446

REPORT OF THE COMPTROLLER OF THE CURRENCY.
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
Total.

$1, 380, 090 20
1, 508 25
500, 000 00

Capital stock paid in

$1, 258, 725 00

Surplus fund
Other undivided profits

i
\

93, 500 i00
51, 167 !

National bank notes outstanding
394,
213,689 20
6, 693 58 | State bank notes outstanding
62, 047 49
Dividends unpaid
3,
141, 440 25
7, 306 64
Individual deposits
811,
21,018 75
United States deposits
'••
Deposits of U. S. disbursing officers . I
Due to other national banks
Due to State banks and bankers

182, £ ! 62
4, £ ! 90

Notes and bills re-discounted .
Bills payable
....
Total

2, 800, 853 67

! 2, 800, 853 67

Traders' National Bank, Baltimore.
ISAAC S. 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 bankers..
Real estate, furniture, and fixtures Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes.
U. S. certificates of deposit...-.
Due from U. S. Treasurer
Total.

No. 826.
$410,573 02
4 94
95, 000 00

22,933 66
15, 055 78
2, 638 55
2, 466 88
120 48
20, 067 88
5,019 00
18 09
960 50
6, 068 00
55, 000 00
4,275 00

CLAYTON CANNON, Cashier.

Capital stock paid in.

$250, 000 00

Surplus fund
O ther undivided profits

7, 430 61
10, 639 46

National bank notes outstanding
State bank notes outstanding

85, 500 00

Dividends unpaid.

3 00

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

207,084 36

66, 077 83
13,466 52

Notes and bills re-discounted.
Bills payable
Total.

640,201 78

640,201 78

Western National Bank, Baltimore.
CHAUNCEY BROOKS, President.

Loans and 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. 1325.
$1, 196, 086 98 I Capital stock paid in.

166" 6l)6" 66" i
100, 000 00
56, 424 86

Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid

137, 535 09
15, 000 00
18,081 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

10,981 42
98, 954 67
23,751 00
93 93
21,317 07
217, 069 00
210, 000 00
4,500 00

Total.




WM. H. NORRIS, Cashier.

2, 209, 795 02 j

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

$500, 000 00
170, 000 00
65, 814 12
83, 868 00
13, 777 00
3,451 63
1,115,912 47

236, 205 67
20,766 13

Notes and bills re-discounted.
Bills payable

Total.

2,209, 795 02

KEPORT OF THE COMPTROLLER OF THE CURRENCY.

447

MARYLAND.
Centreville National Bank of Maryland, Centreville.
WM. MCKENNEY, President.

No. 2341.

R. E. FEDDEMAN, 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.
$89,182 43

"64,665 66

33,420 74
15,078 17
8, 520 98
1,155 68
7, 010 63
109 14
1,300 00
81 00
503 00
15,557 00

$75, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding....
State bank notes outstanding
Dividends unpaid .

662 09
3, 670 36
57,600 00
15 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

96, 367 58

4, 404 81
1,078 93

2, 880 00
Total.

238, 798 77

238, 798 77

Kent National Bank, Chestertown.
GEO.

B. WESTCOTT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. 1500.

$101, 406 43

56,"666"66"
24, 993 60
114,397
56, 642
2, 250
1, 772

66
53
00
88

2,155 86

33, 538
161
748
25, 600

00
52
00
00

$50, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

10, 000 00
13, 520 26
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 r6-discounted.
Bills payable

296, 539 73

656 61
199 88

2, 250 00
415,916 48

Total.

W. N. E. WICKES, Cashier.

Total .

415,916 48

First National Bank, Cumberland.
Jos.

SHRIVER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
..
Checks and other cast items
Exchanges 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.T.. S HRIVER, Cashier.

No. 381.
$171, 340 74
444 40
100, 000 00
4, 500 00
13, 413 50
51,344 92
12,500 00
3,069 43

1,000 94
3,810 00
157 17
1,103 80
57,371 00

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits

50, 000 00
21,554 42

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

226, 969 48

4, 653 57
2, 078 43

4, 500 00
495, 255 90

Total.

495, 255 90

448

REPORT OF THE COMPTROLLER OF THE CURRENCY.
HI A R Y L, A W I>.
Second National Bank, Cumberland.

LLOYD LOWNDES, Jr., President.

No. 1519.

DANIEL ANNAN, 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 .

$277,885 15
2, 045 72
100, 000 00
40, 000 00
22, 79L 00
3,428 94
4, 910 85
10,282 75
4,000 15
2, 200 00
4,526 49
1,869 00
634 78
2,415 11
26, 907 00

Capital stock paid in

j

Surplus fund.....*
Other undivided profits

$100, 000 00
50,000 00
30, 192 51

National bank notes outstanding

!

State bank notes outstanding

j

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..... j
Notes and bills re-discounted
\
Bills payable
!

Total

Total

|

90, 000 00

231,349 85

4, 779 59
2, 074 99

508,396 94

Easton National Bank of Maryland, Easton.
I. L. ADKINS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages
Due from approved reserve agents.
Due from other banks and bankers
Real estate, furniture, and fixtures.
Current expenses 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

No. 1434.

RICHARD THOMAS, Cashier.

$326, 835 90 Capital stock paid in
777 03
200, 000 00 Surplus fund
Other undivided profits .
50, 000 00
National bank notes outstanding
143, 625 03 State bank notes outstanding
40,472 04 Dividends unpaid.
12, 000 00
3,284 40
743 00

|

100, 000 00
27,811 04
168, 855 00
2,276 18

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

330, 435 53

.j
i

4,364 93
2, 095 07

835,837 75

Total .

National Bank, Elkton.
JACOB TOIME, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid . . .
Premiums paid
Checks and other cash items
Exchanges 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. B. FlNLEY, Cashier.

No. 1236.
$196,258 24
5, 053 84
50, 000 00
1, 500 00
47, 007 49
6, 979 00
14,212 91
I, 742 56
1,342 44
108 96

Surplusfund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

j
I
j

30,000 00
9, 990 87
45, 000 00

Dividends unpaid.
184, 770 48

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

3, 584 00 Due to other national banks
1, 193 63 Due to State banks and bankers
4,030 10
12, 635 00 Notes and bills re-discounted..
Bills payable
2, 250 00
317,898 17

$50, 000 00

Capital stock paid in .

Total .

|
j

1, 979 60
319 20
25, 838 02
347,898 17

REPORT OF THE COMPTROLLER OF THE CURRENCY.

449

MARYLAND.
First National Bank, Frederick.
THOMAS GORSUCH, President.

No. 1589.

Resources.
I
Loans and discounts
|
Overdrafts
|
U. S bonds to secure circulation
j
tJ. S. bonds to secure deposits
!.
U. S bonds on hand
j.
Other stocks, bonds, and mortages . . .
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
Fractional currency
Specie
Legal tender notes
.... >
U. S. certificates of deposit
Due from U. S. Treasurer

Total.

THOS. M. MARKELL, Cashier.

1
1

Liabilities.

$204, 719 46 Capital stock paid in.
2, 600 30
100, 000 00 Surplus fund
Other undivided profits.
6, 000 00
National bank notes outstanding
15,531
1,858
22, 400
2, 335

89
12
00
23

5, 245 79

1,447 00
1,005 25
1L. 537 00
Hi 329 00

State bank notes outstanding

$100,000 00
20, 000 00
5,348 19
I

90, 000 00

I

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

164, 208 28

3, 973 06
1, 339 11
5, 640 40

4,500 00 |
390,509 04

Total .

390, 509 04 j

Central National Bank, Frederick.
GEO.

R. DENNIS, President.

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

P. M. E N GLEBRECHT, Cashier.

No. 1138.

,...!
$356, 697 62 Capital stock paid in...
5,079 66
200, 000 00 Surplus fund
j
Other undivided profits
|
National bank notes outstanding
!
14, 867 74 State bank notes outstanding
4, 346 52
12, 000 00 Dividends unpaid

$200,000 00
40,000 00
6,150 11
178, 560 00
13, 996 50

Individual deposits
United States deposits
,951 71 |j Deposits of U.S. disbursing officers.
485 00
450 99
3,523 50
9,739 00

175,426 13

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

6,230 28
4,778 72

9, 000 00
625,141 74

Total.

125,141 74

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.

$160,719 05

SAMUEL NIXDORFF, Cashier.

$125, 000 00

Capital stock paid in.

"*i2o*666*66"

Surplus fund
Other undivided profits
55,420 00 : National bank notes outstanding
5,045 18 State bank notes outstanding
5, 289 23
10, 000 00 I Dividends unpaid.
1,962 82 |l Individual deposits
25 00 ' United States deposits
1, 496 67 Deposits of U. S. disbursing officers.
4, 255 00 Due to other national banks
6 65 Due to State banks and bankers
9, 453 71
6, 449 00 Notes and bills re-discounted .
Bills payable

•

40,000 00
7,188 39
112,500 00
678 50
100, 284 65

5, 050 01
1, 667 82

7,247 06 jl
392, 369 37 1
1

Total.

392,369 37

450

REPORT OF THE COMPTROLLER OF THE CURRENCY.
M A R ¥ L A N D.
Frederick County National Bank, Frederick.

J. H. WILLIAMS, President.

No. 1449.

P . B. M C C L E E R Y , 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

$156,757 27
1, 253 00
150, 000 00

i,"666"("6*
47, 500 00
27, 676 08
28,83i 18
6,000 00
1,424 41

3,710 15
1,959 99
729 00
425 40
3,857 65
26,024 00

Capital stock paid in

!

$150, 000 00

Surplus fund
Other undivided profits

i
j

50, 000 00
12,411 67

i

133,910 00

National bank notes outstanding
State bank notes outstanding

;

2,353 00
3, 127 23

Dividends unpaid .

110, 759 83

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

i

1, 033 70
203 73

Notes and bills re-discounted
Bills payable.

6, 650 00
Total.

463,799 16

Total.

,

463,799 16

First National Bank, Hagerstown.
G E O R G E SCHLEY,

President.

Loans 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**.
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from XL S. Treasurer . _ ^

$131,507 74
2,369 34
100, 000 00

"""46,"606 66*'
20,411 55
3,305 53
9,834 85
4,600 00
1, 787 09
6,581 25
3, 751 47
2,710
1, 045
2,162
16, 000
10, 000
4, 500

$100, 000 (.0

Capital stock paid in .
Surplus fund
Other undivided profits

35, 000 00
7. 338 32

National bank notes outstanding
State bank notes outstanding

90,090 00
1,405 88

Dividends unpaid ,

125, 428 56

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

1,043 81
349 80

00
Due to other national banks
00 1 Due to State banks and bankers
55 I
00 ] Notes and bills re-discounted.
00 i Bills payable
00

360, 566 37

Total.

P. B. SMALL, Cashier.

No. 1431.

Total.

360, 5H6 37

First National Bank, New "Windsor.
T. F . S H E P H E R D , President.

Loans and discounts
j
Overdrafts
!
U. S. bonds to secure circulation
j
U. S. bonds to secure deposits
1
U. S. bonds on hand
I
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
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 747.

$71,746 29
1,166 40
55, 000 00
8,440
7,000
168
1,078
528

75
40
23
97
21

1 511 00
,
32 24
435 00
5,050 00

I975 00
,
154. 132 49

NATHAN H. B A I L E , Cashier.

Capital stock paid in

I

$55, 000 00

Surplus fund
Other undivided profits

j
!

8, 500 00
3, 247 91

|;National bank notes outstanding.... j
. ..;
I State bank notes outstanding
I Dividends unpaid
i'
I Individual deposits
i
United States deposits
I
Deposits of U. S. disbursing officers..!

49, SCO 00

Due to other national banks
Due to State banks and bankers

j
\

Notes and bills re-discounted
Bills payable

270 00
32, 200 71

\
j

Total.

4, 394 14
1, 019 73

154,132 49

REPORT OF THE COMPTROLLER OF THE CURRENCY.

451

MARYLAND.
Cecil National Bank, Port Deposit.
No. 1211.

JACOB TOME, President.

R. C. HOPKINS, 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.

Inabilities.
$518, 244 64 Capital stock paid in .
87 40
300, 000 00 Surplus fund
Other undivided profits
-.»
5,601 25 National bank notes outstanding
47,042 99 State bank notes outstanding
19,779 31 Dividends unpaid 4,366 07
3, 177 92 Individual deposits
United States deposits
290 92 i Deposits of U. S. disbursing officers .
4, 775 00 Due to other national banks
132 19 Due to State banks and bankers
1,406 05
18, 587 00 Notes and bills re-discounted.,
Bills payable
13, 500 00
Total.

936, 990 74

$300, 000 00
100,000 00
32, 454 36
264,095 00
84 00

150,199 i

5, 990 79
154 93
84, 012 58
936,990 74

First National Bank, "Westminster.
G. 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

No. 742.

$187, 865 14 Capital stock paid in.
• 6, 227 86
125, 000 00 Surplus fund
Other undivided profits
17,140 12 National bank notes outstanding
862 11 State bank notes outstanding
8, 657 25
10, 50U 00 Dividends unpaid.
1, 825 27 Individual deposits
United States deposits
212 32 Deposits of U. S. disbursing officers
113
111
346
18, 833

00 Due to other national banks
59
60 Due to State banks and bankers
00 Notes and bills re-discounted.
Bills payable
5, 625 00

383, 319 26

Total.,

GEO. R. GTEHR, Cashier.

Total.

$125, 000 00
35, 000 00
10, 336 20
111,340 00
1, 090 00
92, 448 86

3, 014 28
5, 089 92

363,319 26

Farmers and Mechanics' National Bank, Westminster.
JOSEPH SHAEFFER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bo*nds 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 a n d taxes paid
Premiums 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
Total.




No. 1526.

W. A. CUNNINGHAM, Cashier.

$102, 875 37 Capital stock paid in..
3,350 64
75, 000 00 Surplus fund
Other undivided profits

5,115 00

National bank notes outstanding
State bank notes outstanding

2, 358 86
8, 800 00 Dividends unpaid .
1,113 17 Individual deposits
149 05

"3,766 66"
396 20
3,878 00

$75, 000 00
4, 500 00
3, 345 82
67, 500 00
545%60.
49, 627 59

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

5, 059 70
4, 532 58

Notes and bills re-discounted.
Bills payable

3, 375 00
210, 111 29

Total.

210, 111 29

452

REPORT OF THE COMPTROLLER OF THE CURRENCY.
M A R ¥ 1A ND,
Union National Bank, Westminster.

J. K. LONGWELL, President.

No. 1596.

J . W. HERING, Cashier.

Resources.

Liabilities.

Loans and discounts
I
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..
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
Exchanges 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

20, 000 00
4, 779 11

j

86, 100 00

State bank notes outstanding

1, 408 29
9,200 00
1, 476 42

$100,000 00

I
j

National bank notes outstanding

13, 549 90

|

Surplus fund
Other undivided profits

$154, 457 61
332 33
100, 050 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

.
9, 007 00
1, 009 35
184 50
12,337 00

\
;
.j
|
I

26252
87, 730 55

8,127 37
512 85

4, 500 00
Total.

307, 512 40

307, 5 L2 40

Washington County National Bank, Williamsport.
S. S. CUNNINGHAM, President.

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




4iNo.

1551.

E. G-. W. STAKE, Cashier.

$126,098 17 Capital stock paid in.
•28 30
150, 000 00 Surplus fund
30,66b 65 Other undivided profits
National bank notes outstanding
7,463 68
10, 363 95 State bank notes outstanding
6, 073 86
3, 500 00 Dividends unpaid .
2, 126 52 Individual deposits
United States deposits
185 78 Deposits of U. S. disbursing officers.
155 00 Due to other national banks
2,421 05 Due to State banks and bankers
9, 620 00 Notes and bills re-discounted.
Bills payable
6, 750 00
354,786 31

Total.

$150, 000 00
30, 000 00
9, 822 55
128,153 00
2,123 00
1, 680 89
31,206 31

555 24
1,245 32

354, 786 31

REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 5 3
DISTRICT OF COLUMBIA.
Farmers and Mechanics' National Bank, Georgetown.
H. M. SWEENY, President.

No. 1928.

W M . LAIRD, Jr., Cashier.

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 .. j
Real estate, furniture, and fixtures .. [
Current expenses and taxes paid
i
Premiums paid . . . »
j
Checks and other cash items
i
Exchanges for clearing house
I
Bills of other batiks
j
Fractional currency
•
Specie
j
Legal tender notes
;
U. S. certificates of deposit
j
Due from U. S. Treasurer
j

Liabilities.
$265,156 18
776 25
250,000 00

Surplus fund
A.
Other undivided profits
126,021 26 National bank notes outstanding
j
151, 888 38 i State bank notes outstanding
9,277 58
17, 550 00 Dividends unpaid
2, 102 39 i Individual deposits
1, 000 00 United States deposits
5, 238 36 Deposits of U. S. disbursing officers.
11,284 00
5 25
5,532 10
75, 00!) 00
50, 000 00
11, 250 00

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

982,081 75

Total.

$252, 000 00

Capital stock paid in.

Total .

50, 400 00
29, 805 99
202, 500 00
1, 376 00
435, 437 74

9,508 34
1,053 68

'82,081 75

Second National Bank, Washington.
No. 2038.

M. G-. EMERY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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 C. SWAIN, Cashier.

$224, 899 73 Capital stock paid in.
696 08 !
80, 000 00 Surplus fund
Other undivided profits .
National bank notes outstanding
5,514 94 State bank notes outstanding
9,905 22- Dividends unpaid.
120,933 46
3,976 10 Individual deposits
6, 897 51
United States deposits
4, 237 80 Deposits of U. S. disbursing officers.
1,078 00
179 73
604 50
20, 000 00

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

$250,000 00
25, 000 00
10, 995 62
72, 000 00

440 00
119,469 62

400 45
118 85
5, 098 53

4,600 00
483, 523 07

Total.

483, 523 07

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.




No. 1893.

W M . N. ROACH, Cashier.

$191, 92 L 23 Capital stock paid in
4,376 31
300, 000 00

Surplus fund
Other undivided profits

300 66'
39, 199 41 National bank notes outstanding
10,461 48 State bank notes outstanding
22, 345 06
105, 062 55 Dividends unpaid
2, 199 07
Individual deposits
6, 007 91 United States deposits
297 00 Deposits of U. S. disbursing officers..
1, 099 73 Due to other national banks
736 00 Due to State banks and bankers
23, 052 00 Notes and bills re-discounted
13, 500 00 Bills payable
723,557 81

Total.

$300, 000 00
11,000 00
7, 422 91
270,000 00

75 00
96, 909 54
34,483 46
3, 666 90

723,557 81

454

REPORT OF THE COMPTROLLER OF THE CURRENCY.
DISTRICT

OF COLUMBIA.

German American National Bank, "Washington.
JOHN HITZ, President.

No. 2358.

C. E. PRENTISS, Cashier.

Resources.
Loans and discounts
|
Overdrafts
J
U. S. bonds to secure circulation
I
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 hous8
Bills of other banks
;
Fractional currency
:
Specie
i
Legal tender notes
Due from U. S. Treasurer
U. S. taxes in litigation
I
Total

Liabilities.
$241, 533 67 Capital stock paid in
\ $130, 000 00
2,135 56
I
70, 000 00 Surplusfund
|
2,000 00
Other undivided profits
!
13, 478 19
5,300 00
2, 700 00 National bank notes outstanding . . . . !
63,000 00
|.
28,164 30 State bank notes outstanding
6, 404 46 Dividends unpaid
j,
140, 982 03
10,243 5L Individual deposits
372,284 22
«- - 8,083 33 United States deposits
,
j
10,746 73 Deposits of U. S. disbursing officers . j ,
,
500 00 Due to other national banks
j
6, 662 04
168 80 Due to State banks and bankers ...-.!
16, 319 69
1,793 02
66, 731 00 Notes and bills re-discounted.
3, 150 00 Bills payable
5,107 73
603,744 14

Total.

603,744 14

National Bank of the Republic, Washington.
DANL. B. 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

No. 875.

6,170 00
90 00
3,821 66
53, 886 00
35, 000 00
9, 000 00

$200, 000 00
100, 000 00
24,829 15
161,800 00

347, 883 78
30, 529 09

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

881,802 91

Total.

CHARLES BRADLEY, Cashier.

$300, 350 98 Capital stock paid in.
3, 129 19
200, 000 00 Surplus fund
100, 000 00 Other undivided profits .
44, 000 00
13,165 00 National bank notes outstanding
22,184 29 State bank notes outstanding
6, 053 06
70, 800 00 Dividends unpaid
7,229 85 Individual deposits
United States deposits
6, 922 88 Deposits of U. S. disbursing officers..

16,760 89

Total.

881,802 91

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
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1069.

GEO.

H. B. W H I T E , Cashier.

$567, 516 05 Capital stock paid in.
2,108 47 I
100, 000 00 Surplus fund
Other undivided profits

56,665 bo "\

6,527
96, 405
17,553
133,707
8, 229

15 j
44 I
53 j
31 !
84 |

7,285 64
3,148 00
5,620 11
6,354 50
48,564 00

4, 500 00
1,057 520 07

|

#300, 000 00

150, 000 00
20, 901 62

National bank notes outstanding

I

State bank notes outstanding

;

Dividends unpaid

;

2, 465 00

Individual deposits .
j
United States deposits
I
Deposits of IT. S. disbursing officers.
Due to other national banks

416,223 31
•

Due to State banks and bankers

|

90, 000 00

70, 465 68
7, 464 46

t

Notes and bills re-discounted
Bills payable
Total

j
I
i 1,057,520 07

REPORT OF THE COMPTROLLER OF THE CURRENCY.

455

VIRGINIA.
First National Bank, Alexandria.
No. 651.

S. F. BEACH, President.

CHAS. R. HOOFF, Cashier.

Resources.

Liabilities.

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

$227,401 76 Capital stock paid in.
800 00
100,000 00 : Surplus fund
Other undivided profits
" 100," 000 00*
National bank notes outstanding
15,144 43
State bank notes outstanding
34, 390 06
15,994 34
Dividends unpaid .
23, 550 00
5, 098 53 Individual deposits
5,851 0L | United States deposits
7,711 56

20, 000 00
7,010 53
90,000 00

I

329, 620 25

Deposits of U. S. disbursing officers.

Due to other national banks
Due to State banks and bankers
255 00 ;
Notes and bills re-discounted.
42,106 00
Bills payable
6, 000 00
5, 000 00

Total.

$100,000 00

Total.

589, 302 74

30, 844 46
11, 827 49

589, 302 74

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 aod other cash ituins
Exchanges for clearing house
Bills of other banks
Fractional currency

-

Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer...

W M . H. LAMBERT, Cashier.

$125, 000 00

$136, 063 95 j Capital stock paid in .
1,313 20 j
Surplus fund
100, 000 00
Other undivided profits.

8,500 00
7, 845 29

29,325 24 j National bank notes outstanding
51,109 21 j State bank notes outstanding
21, 427 27
Dividends unpaid.
9,700 00
2, 035 53 Individual deposits
6, 600 00 | United States deposits
4,997 02 j Deposits of U. S. disbursing officers.
545
270
150
14, 627

00
90
00
00

Due to other national banks
Due to State banks and bankers

90, 000 00
1, 500 00
141,851 41

2, 076 58
5,891 04

Notes and bills re-discounted.
Bills payable

4,500 00

Total.

332,664 32

382, 664 32

Total..

Planters' National Bank, Danville.
NATHL. TALLEY, Cashier.

W. D. BETHELL, 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 jxaid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




$L65,585 54 I Capital stock paid in .
],978 51
Surplus fund
54,000 00
50,000 00
Other undivided profits

4,500 44
7, 486 65
13,000 00
3, 737 70
7,531 25
4,730 12
14,745 00
1, 632 52
500 00
31, 734 00

National bank notes outstanding
State bank notes outstanding.

$100, 000 00
20, 000 00
10,196 01
48, 600 00

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

127,298 68
26,517 83
1,054 30

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

1, 825 79
921 02

Notes and bills re-discounted.
Bills payable

27,178 10

2, 430 00
363,591 73

Total.

363,591 73

456

REPORT OF THE COMPTROLLER OF THE CURRENCY.
V I B G I N I A.
National Bank, Fredericksburg.
JNO. M. WALLACE, Cashier.

No. 1582.

JACOB TOME, President.

Resources.

Liabilities.
$108, 220 10
1, 057 84
50, 000 00

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
Due from U. S. Treasurer
Suspense account

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

45, 000 00

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

8,122 52
1,615 41
24,354 15
1,469 18
1, 308 48
469 9L

6, 500 00
17, 927 65

95, 626 59

2, 745 00 Due to other national banks
258 18 Due to State banks and bankers
925 00
12, 314 00 || Notes and bills re-discounted
2,250 00 | Bills payable
6,795 90 I
221, 905 67 I

Total.

I
I

4,268 33
2,583 10

221, 905 67

Total.

First National Bank, Harrisonburg.
No. 1572.

J. L. SIBERT, President.

Capital stock paid in.

15,798 17
1,540 95
6,978 33
20,766 80
1,257 US

j

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$129,581 49
5, 024 70
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
XL S. certificates of deposit ,
Due from U. S. Treasurer

C. C. STRAYER, Cashitr.

'
j
|

18, 600 00
5, 261 22
44, 000 00

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

5,229 fel

"i,"87O*6o" Due to other national banks
Due to State banks and bankers
472 00
and bills
21,497 00 : Notespayable re-discounted .
Bills
2, 250 00
262,266 93 \

Total.

$110,000 00

Total -

76; 008 09
;

7, 830 30
167 32

262, 266 93

Loudoun National Bank, Leesburg.
H. T. HARRISON, President.

No. 1738.

ANTHONY DIBRELL, Cashier.

i

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... j
Current expenses and taxes paid
j
Premiums paid
!
Checks and other cash items
|
Exchanges for clearing house
i
Bills of other banks
I
Fractional currency
!
Specie
!
Legal tender notes
I
U. S. certificates of deposit
|
Due from U. S. Treasurer
I
Total.




$111,890 59 ; Capital stock paid in
107 68 :i
100,000 00 |! Surplus fund
|! Other undivided profits
53,130 41
7,561 52
275 00
1,527 27
7, 000 00
5,435 72

I! National bank notes outstanding
State bank notes outstanding

60 74
929 00
34,462 00

$100, 000 00
8,000 00
4,103 48
82, 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

126, 472 29

5,783 63
215 53

4,500 00 ;
326, 879 93 j

Total.

326, 879 !

REPORT OF THE COMPTROLLER OF THE CURRENCY.

457

VIRGINIA.
First National Bank, Lynchburg.
J. F. SLAUGHTER, President.

No. 1558.

DAVID E. SPENCE, 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.
$423,796 17
3,159 57
190, 000 00
383 69
13,284 31
19, 955 50
22, 670 00
6, 877 39
10, 400 00
502 40

Capital stock paid in .

40, 000 00
17, 507 63

,

National bank notes outstanding
State bank notes outstanding

17J,000 00

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

315,177 42

17, 015 00 Due to other national banks
373 91 Due to State banks and bankers
500 00
42, 000 CO Notes and bills re-discounted.
Bills payable
8, 550 00
759, 467 94

Total.

$200, 000 00

Surplus fund
Other undivided profits

3,718 26
12, 064 63

Total.

759, 467 94

Lynchburg National Bank, Lynchburg.
T. C. S. FERGUSON, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. 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
j
Exchanges for clearing house
j
Bills of other banks
.. i
Fractional currency
j
Specie
I
Legal tender notes
j
IT. S. certificates of deposit
!
Due from U. S. Treasurer
j
Total.

No. 1522.

LORENZO NORVELL, Cashier.

$378,811 31 I Capital stock paid in
6,816 41 |
100, 000 00 Surplus fund
60, 000 00 Other undivided profits

!

National bank notes outstanding
13,840 36
• 17, 992 59
23,535 93
7, 800 00
1, 435 00
5, 386 25
4,780 00
702 72
1, 0U0 00
21,350 00
6, 068 25

State bank notes outstanding

$200, 000 00

|
j

40, 000 00
13, 278 73

I

90,000 00

11

Dividends unpaid
Individual deposits
j
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

j
j
\

Total.

649, 518 82

232, 815 72
28, 171 77
14, 589 34
1, 372 98
1, 290 28
28, 000 00
*.
649,518 82

Exchange National Bank, Norfolk.
J. B. WHITEHEAD, President.
Loans and discounts .Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, 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.




No. 1137.
$878,106 17

GrEO. M. BAIN, Jr., Cashier.

Capital stock paid in

j

$300, 000 00

300, 000 00 Surplus fund145, 000 00
175, 000 00 Other undivided profits.
30,551 80
12, 600 00
20, 565 00 National bank notes outstanding
|
268, 000 00
j
123, 024 55 State bank notes outstanding
44,144 98
52, 596 25 Dividends unpaid.
8, 374 02
1, 056, 687 49
65, 000 00 Individual deposits
United States deposits
49, 568 50
29,187 21 Deposits of U. S. disbursing officers..
35,494 10
26, 600 00
454 45
21,519 09
140, 000 00

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

>

20,113 f4
8, 419 76

16, 663 57
1, 913, 835 29

Total

| 1,913,835 29

458

REPORT OF THE COMPTROLLER OF THE CURRENCY.
VIRGINIA.
People's National Bank, Norfolk.

JAS. E. BARRY, President.

No. 1704.

W. 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 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
F ractional currency
,
Specie
Legal tender notes
U. S. certifi cates of deposit
Due from IT. S. Treasurer
,

Liabilities.
$143,556 18
409 00
100,000 00

4, 800 00
3,943 14

SurpluB fund
Other undivided profits

90, 000 00

National bank notes outstanding
State bank notes outstanding

755 00
3, 456 50
1,659 79
3-S, 206 64
2,683 32
9,04! 88
7, 111 74

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

109,146 02

10, 569 00 I Due to other national banks
Due to State banks and bankers
"4,'037'66'i
and bills
16, ooo oo ; Notespayable re-discounted.
Bills
3, 776 49

6,591 90
26,781 48

Total.

341,262 54

341,262 54

Total.

1100, 000 00

Capital stock paid in.

Commercial National Bank, Petersburg.
C. R. BISHOP, Cashier.

No. 1769.

THOS. WITHERS, President.

i
i

Loans and discounts
Overdrafts
j
U. S. bonds to secure circulation
I
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, 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.

443 26
815 35
120, 000 00
50, OUO 00
175 00
: 787 68
,
,528 19
: 193 63
,
,908 61
, 750 00
7, 025 17

Capital stock paid in.

$120,000 00

Surplus fund
Other undivided profits.

11,000 00
2,199 55

National bank notes outstanding
State bank notes outstanding
Dividend! unpaid

108,000 00

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

321, 678 61
40,384 97
1, 085 19

Due to other national banks
368 81 Due to State banks and bankers
400 00
255 00 Notes and bills re-discounted
Bills payable
612, 050 70

4,351 90
3, 350 48
j.
|.
612,050 70

First National Bank, Richmond.
ISAAC DAVENPGltT, Jr., 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 . . . j
Due from other banks and bankers . .1
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.




S. A. GLOVER. Cashier.

No. 1111.

, 050, 737 75 Capital stock paid in.
1,166 46
500, 000 (10 Surplus fund.
100, 000 00 Other undivided profits .
21, 359 81 National bank notes outstanding . .
73,154 07 State bank notes outstanding
38, 987 95
26, 000 00 Dividends unpaid .
6, 977 05 Individual deposits
United States deposits
,
35, 805 01 Deposits of U. S. disbursing officers
58, 846 00
1,461 84
8,480 21
53, 000 00

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

$600, 000 00
175. 000 00
42i 258 14
450, 000 00
195 00
575, 656 57*
74, 889 55
4, 758 83
46, 876 96
28,841 10

j 1,998,476 15

REPORT OF THE COMPTROLLER OF THE CURRENCY.

459

VIRGINIA.
Merchants' National Bank, Richmond.
J. B. MORTON, Cashier.

No. 1754.

TVHOMAS BRANCH, President.

Resources.

Liabilities.
$309, 296 93
3, 207 23
50, 000 «J0

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents. Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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 .

$200, 000 00
14,359 32
7,128 34

25,727 13
26.229 10
6,719 37
1, 860 00
6.079 61
5, 000 00
30, 530 34

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

45, 000 §0.

12, 822 00
744 60
5, 033 50
13, 500 00

Total.

Surplus fund
Other undivided profits.

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

60 00

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

169,429 62

14,864 48
27,581 53
20, 546 52

Total .

493,969 81

498,969 81

National Bank of Virginia, Richmond.
E. O. NOLTING, President

No. 1125.

Loans and discounts
j
Overdrafts
j
U. S. bonds to secure circulation
j
U. S. bonds to secure deposits
!.
IT. S. bonds on hand
\.
Other stocks, bonds, and mortgages... j.
Due from approved reserve agents...I
Due from other banks aud bankers... j
Real estate, furniture, and fixtures . . . '
Current expenses and taxes paid
j
Premiums paid
;
Checks and other cash items
Exchanges for clearing house
j.
Bills of other banks
|
Fractional currency
!
fSpecie
j
Legal tender notes
j
Due from U. S. Treasurer
j
Suspense account
j
Total

I

J. W. LOCK WOOD, Cashier.

$485,509 46 ! Capital stock paid in .
1, 572 13
50, 000 00 Surplus fund
Other undivided profits.
National bank notes outstanding
27,932 07 ! State bank notes outstanding
11,480 44
92, 745 12 Dividends unpaid.
7,892 70 Individual deposits
5, 000 00 United States deposits
19, 147 49 Deposits of U. S. disbursing officers.
2, 000 00
758 05
1, 797 00
30, 336 00
2, 250 00
lfi, 967 50

I

33, 000 0f>

22: 549 03
45, 000 00

384,179 76

13. 404 35
57,254 82

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

755,337 96

$200, 000 Ott

755, 387 96

•Planters' National Bank, Richmond.
JOHN B. DAVIS, President.

No. 1628.

Loans and discounts
i
Overdrafts
j
U. S. bonds to secure circulation
j
IX. 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 cl earing house
Bills of oth«r banks
Fractional currency
Specie
Legal tender notes
IT. S. certificates of deposit
Due from U. S. Treasurer
Total.

H. Ex. 3-




$639, 399 92

Capital stock paid in

$300, 000 00

300, 000 00
150, 000 00

Surplus fund
|
Other undivided profits
20,173 51 National bank notes outstanding
20,471 44 i State bank notes outstanding
47,814 56 !!Dividends unpaid
32, 797 21 '
8,833 78 Individual deposits . . . :
United States deposits
Deposits of U, S. disbursing officers.
k 29, 360 i
8,000
562
8.925
45, 000

00 1-Due to other national banks
1
33
Jl l| Due to State banks and bankers
00 I Notes and bills re-discounted
Bills payable
18, 952 25 ;j

1, 330, 295 79

-26

W. R. QUARLES, Cashier.

Total..

j
j
j

100,000 00
19, 246 75
270, 000 00
55 00
477, 437 05
118, 130 24
35,739 34
9, 687 41
,

j 1,330,295 79

4'ftO

REPORT OF THE COMPTROLLER OF THE CURRENCY.

VIRGINIA.
Farmers' National Bank, Salem.
G. B. BOARD, President.

No. 1824.

JAMES CHALMERS, Cashier*

Resources.
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

Liabilities.
$105, 008 35 i| Capital stock paid in.

$50,000 00

Surplus fund
Other undivided profits
National bank notes outstanding....
State bank notes outstanding

] 0,000 0Q
10, 571 36
27, 000 00

Dividends unpaid .
Individual depositsUnited 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.

100, 270 20

1, 801 30
1, 977 64

201,620 50

Augusta National Bank, Staunton.
H. W. SHEFFEY, President

N. P. CATLETT, Cashier.

No. 2269.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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, 427 93
2, 654 35
50, 000 00

8, 262 19
11,418 79
2, 100 45
2, 606 52
&, 750 00
6, 415 56
2, 365 00
411 96
1,981 50
26, 426 00

Capital stock paid in .
Surplus fund
Other undivided profits..
National bank notes outstanding .
State bank notes outstanding
Dividends unpaid .

$100, 000 00
5, 000 00
4, 895 40
45, 000 00
42 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

159, 662 38
7,146 33
3,324 14

!, 250 00
Total.

325, 070 25

325, 070 25

National Valley Bank, Staunton.
JOHN ECHOLS, President.

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




No. 1620.

THOS. A. BLEDSOE, Cashier.

$487, 436
1, 749
80, 000
50, 000

74 Capital stock paid in .
23
00 Surplus fund
00 Other undivided profits.
500 00 National bank notes outstanding
32,094 60 State bank notes outstanding
45,184 80 Dividends unpaid .
12, 500 00
4, 032 01 Individual deposits
United States deposits
2, 947 09 Deposits of U. S. disbursing officers.
5, 559
263
% 472
70, 574

00
43
50
00

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

$200, 000 00
140, 000 00
71,034 53
72, 000 00

10, 000 00
268,171 73
24, 234 88
640 00
5, 668 73
7,163 53

3, 600 00
798, 913 40

Total.

798, 913 40

REPORT OF THE COMPTROLLER OF THE CURRENCY.

461

VIRGINIA.
Shenandoah Valley National Bank, "Winchester.
W. B. BAKER, President

No. 1635.

H. M. BRENT, Cashier.

Resources.
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 . .
Due from approved reserve agents. -Due from other banks and bankers..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid....
Checks and other cash items
Exchanges 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.
$303, 839 09
741 45
130,000 00

Capital stock paid in .
Surplus fund
,
Other undivided profits.
National bank notes outstanding . .
State bank notes outstanding

$130,000 00
30,000 00
23,198 74
117,000 00

26, 331 03
11,570 00
16, 378 58
3, 965 47
5,939 69

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

215, 356 48

4,176 00
485 03
1,015 00
13, 585 00

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

4, 436 57
2, 914 55

970 00

5,850 00
523,876 34

Total.

523, 876 34

462

REPORT OF THE COMPTROLLER OF THE CURRENCY.

WEST VIRGINIA.
First National Bank of Jefferson, Charlestown.
E D W A R D TEARNEY, President.

No. 1868.

SAMUEL HOVVELL, Cashier.

Resources.

Liabilities.
$53, 073 40 Capital stock paid in.
27 70
75,000 00 | Surplusfund
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..
Due from other banks and bankers. •
Real estate, furniture, 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

11,000 00
5, 245 22
2, 520 94
2,410 80
],259 03
8, 000 00
251 58

$75, 000 00

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

66, 500 00

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

19, 577 17

68 00

785 00 ! Due to other national banks
22 43 Due to State banks and bankers
440 50
7, 820 00 Notes and bills re-discounted.
Bills payable
3, 375 00 |

Total.

4,600 00
2,569 71

,

171,231 60

j
|

Total.

2, 537 77
378 95

171,231 60

Merchants' National Bank of West Virginia, Clarksburg.
No. 1530.

NATHAN GOFF, President.

Loans and discounts
I
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...!
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
I
Bills of other banks
'
Fractional currency
j
Specie
!
Legal tender notes
j
U. S. certificates of deposit
!
Due from U. S. Treasurer
|
Total

|

LUTHER HAYMOND, Cashier.

$147,591 97 Capital stock paid in.
25 98 |
100, 000 00 | Surplus fund
I Other undivided profits
!
j National bank notes outstanding
16, 563 66 j State bank notes outstanding
4, 672 86 I Dividends unpaid .
4, 582 29 |
1,710 58 | Individual deposits
j United States deposits
1,173 63 j Deposits of U. S. disbursing officers.
!
8, 578 00 I Due to other national banks
497 69 I Due to State banks and bankers
2,189 55 !
15,314 00 | Notes and bills re-discounted
j Bills payable
5,500 00 |
308,400 21 j

Total.

$1GO, 000 00
35, 910 69
3,986 34
89, 973 00
461 00
73, 465 14
1,325 52
3, 278 52

308,400 2L

First National Bank, Fairmont.
J. C. BEESON, President.

No. 961.

Jos.

E. SANDS, Cashier.

Loans and discounts
J • $149, 550 15 ij Capital stock paid in . . .
866 80 j|
Overdrafts
60,000 00 |j Surplus fund
U. S. bonds to secure circulation
!
I[ Other undivided profits .
U. S. bonds to secure deposits
\.
U. S. bonds on hand. '.
100 00 j National bank notes outstanding . . .
Other stocks, bonds, and mortgages... j
.11,068 87 ' State bank notes outstanding
Due from approved reserve agents... j
5, 753 78
Due from other banks and bankers... i
Dividends unpaid .
29, 500 00
Real estate, furniture, and fixtures . . .
1,650 00
Current expenses and taxes paid
'•
Individual deposits
1,015 00
Premiums paid
I
United States deposits
Checks and other cash items
I
60 10
Deposits of U. S. disbursing officers.
Exchanges for clearing house
j.
6, 568 00 Due to other national banks
Bills of other banks
!
376 56
Fractional currency
!
Due to State banks and bankers.
2, 477 96
Specie
27,160 00
Legal tender notes
Notes and bills re-discounted.
Bills payable
U. S. certificates of deposit
Due from U. S. Treasurer
1, 700 00
Total .




297, 847 22

Total.

$100, 000 00

19,815 48
16, 388 33
53, 000 00
3, 372 50
87,148 85

2, 655 80
9, 425 15
6,041 U

297, 847

REPORT OF THE COMPTROLLER OF THE CURRENCY. 463
WEST

VIRGINIA,

National Bank, Kingwood.
WM. G BROWN, President.
L

FRANCIS HEERMANS, Cashier.

Resources.

Liabilities.

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

$144,466 78

""i25,"666"66'
5, 400 00
9,526 41
1,796 40
500 00
697 02
43 00

1,503 00
117 95
1,321 41
3, 710 00

$125,000 00

Capital stock paid in.

31,250 00
9, 573 47

Surplus fund
Other undivided profits
National bank notes outstanding ...
State bank notes outstanding

108,100 00
4, 535 00

Dividends unpaid.

24, 202 84

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

1, 782 95
458 62

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

10,800 91 I
Total.

304, 902 88 j

304,902 88

National Bank, Martinsburg.
JOHN 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
Total.

GEO. S. HILL, Cashier.

No. 1524.
$126,832 31
262 26
100, 000 00

"*"i6,"666"66"
3,161 11
6,148 90
9, 903 04
851 66
1,861 88
50 00
4, 734 00
6 20
594 00
12, 000 00

Capital stock paid in

j

$100,000 00

Surplus fund
Other undivided profits

19, 429 35
3.64L 17

National bank notes outstanding
State bank notes outstanding

90, 000 00

Dividends unpaid .

580 00

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

66,986 17

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

156 90
111 77

"*"4,"5OO"66"
Total.

280, 905 36

280, 905 36

People's National Bank, Martinsburg.
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 .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures-.
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2144.
$92, 234 17
122 94
50, 000 00

10,101 99
2, 730 89
2, 186 14
672 03
7, 000 00
179 15

JNO. B. WILSON, 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.

4,221 00 Due to other national banks
372 03 Due to State banks and bankers
493 15
3, 500 00 Notes and bills re-discounted.
Bills payable
2, 250 00
176,063 49

$50, 000 00

Capital stock paid in

Total.

I
j

8, 000 00
1,461 34
44, 500 00
60 00
71, 466 75
363 78
211 62

176,063 49

464

REPORT OF THE COMPTROLLER OF THE CURRENCY.
WEST VIRGINIA.
Merchants' National Bank of West Virginia, Morgantown.

D. H. CH AD WICK, President.

No. 1502.

WILLIAM WAGNER, 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... 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

Liabilities.
$132, 280 48
274 43
110, 000 00

1, 400 96
6,668 2L
12, 758 03
1, 209 25
1, 967 08
905
216
474
11, 539

00
90
85
00

4, 950 00

Capital stock paid in

27, 027 65
4,125 80

National bank notes outstanding...
State bank notes outstanding

98,910 00
400 00

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

44,180 74

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

284, 644 19

Total .

$110,000 00

Surplus fund
Other undivided profits

284,644 19

First National Bank, Parkersburg.
J. N. CAMDEN, President.

R. J. MCCANDLISH, Cashier,

No. 180.

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

$241, 524 01
971 02
150, 000 00
2, 000 00

9, 722
16, 724
25,021
5, 006
1, 477
824

72
51
39
39
05
69

3,269
357
2, 076
16, 770

00
82
00
00

Capital stock paid in.,

$150, 000 00
41,330 00
10, 543 02

Surplus fund
Other undivided profits
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

141, 668 33

3, 678 82
274 43

Notes and bills re-discounted.
Bills payable

6, 750 00
482,494 i

482, 494 60

Total.

Second National Bank, Parkersburg.
JAS W. DILS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages . .
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures . . .
Current expenses and taxes paid
Premiums paid
Checks and other cash 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.




No. 864.
$235, 589 92
3, 800 22
156,250 00

" " " 2 * 666" 66'
31,329
8, 935
19, 950
3, 884
3, 180

33
52
00
77
52

3. 866 30

2,903 40
8, 499 00

W. H. WOLFE, Cashier,

Capital stock paid in.
Surplus fund
O ther undivided profits
National bank notes outstanding .
State bank notes outstanding

$156, 000 00
25, 000 00
9,161 13
140, 400 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
Due1;o other national bank*?
Dae to State banks and bankers

121,602 84

24, 465 66
10, 006 82

Notes and bills re-discounted.
Bills payable
,

6, 447 47

436, 636 45 i

Total.

486, 636 45

465

REPORT OF THE COMPTROLLER OF THE CURRENCY.
WEST

VIRGINIA.

Parkersburg National Bank, Parkersburg.
J . M. STEPHENSON, President.

No. 1427.

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 house
Bills of other banks
Fractional currency
Specie..
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$279, 305 38
1,568 71
150, 000 00
5,000 00
5, 335 38
5,922 19
23, 863 50
2,553 9L
29 29
200 90
4,754 00
457 14
3,663 91
20, 455 00

Capital stock paid in

44, 000 00
7, 875 32

National bank notes outstanding
State bank notes outstanding

135, 000 00

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

16 L, 029 17

7, 524 59
3.430 23

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

5, 750 00
508,859 3L

Total.

$150,000 00

Surplus fund
Other undivided profits .

Total.

508,859 31

National Bank, Piedmont.
H. G. DAVIS, President.
Loans anddiscounts
,
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..I
Due from approved reserve agents. ..I
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
|.
Bills of other banks
I
Fractional currency
Specie
Legal tender notes
,
U. S. certificates of deposit
Due from U. S. Treasurer
,
Total.

No. 1883.

U. B. MCCANDLISH, Cashier.

$133,143 31 Capital stock paid in .
122 92 i
50, 000 00 | Surplus fund.
Other undivided profits

$50,000 00
40, 000 00
5, 447 49

""io"2oV6o

45, 000 00

National bank notes outstanding . . .
17 State bank notes outstanding
05 !
00 Dividends unpaid .
29 Individual deposits
98 United States deposits
96 Deposits of U. S. disbursing officers.

2, 000 00

34, 764
35, 969
1, 962
20
1, 077
49
42
24
979
7, 600
2, 250

00
73
33
00
00

135, 949 50

2.619 IS
1, 189 59

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

280, 205 74

Total.

280,205 74

Merchants' National Bank of West Virginia, Point Pleasant.
>C. C. 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. 1504.
$222, 678 07
670 16
180,000 00
1, 300 00
2, 420 87
3,714 43
14, 463 50
3,432 31
1, 089 85
596
84
1,816
11,713

00
72
90
00

T. STRIBLING, 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 XJi S. disbursing officers .
Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted..
Bills payable

$180,000 00
28,200 00
15, 362 10
162, 000 00

61,538 08

1, 076 25
3,903 3fc

8,100 00
452, 079 81

Total.

452,079 8L

466

REPORT OF THE COMPTROLLER OF THE CURRENCY.
WEST VIRGINIA.
Wellsburg National Bank, Wellsburg.

W. K. PEXDLETON, President.

No. 1884.

WlLSOV BEALL, 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
T7. S. certificates of deposit
Due from U. S. Treasurer

Liabilities.
$96,217 43
256 75
100, 000 00

Capital stock paid in .

$100, 000 00-

Surplus fund
Other undivided profits.

12,750 00
6, 125 98

900 00 National bank notes outstanding...
12, 625 78 State bank notes outstanding
5,503 67
4,897 25 Dividends unpaid

86,630 00

\f<S!n no !! Individual deposits
D,DUU w united States deposits
2,147 47 j Deposits of U.S. disbursing officers.
2, 700 00
440 41
14,144 00

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

1, 225 00
40,091 31

3.130 29
1,291 12

Notes and bills re-discounted.
Bills payable

4,500 00

Total.

Total.

251,243 70

251,243 70

National Exchange Bank, Weston.
R. J . MCCANDLISH, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses 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. 1607.
$114,214 96
365 19
100,000 00

"*"*i,"250"6J"
7,870 8L
18,992 06
7, 000 00
825 33
50 00
2,091 67
5, 479 00
Wd 80
747 24
15,073 00

D. M. BAILEY, Cashier.

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits

26, 000 00
4,526 46

National bank notes outstanding
State bank notes outstanding

85, 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 . . . .

62,191 80

1,252 65
194 68-

Notes and bills re-discounted.
Bills payable

5, 939 53
280, 065 59

280, 065 59

National Bank of "West Virginia, Wheeling.
J A M E S MAXWELL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation....
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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 W A G N E R , Cashier*

$350,169 21 ' Capital stock paid in .
437 29
73,000 00 I Surplus fund
Other undivided profits
12,116 82

National bank notes outstanding
State bank notes outstanding
1, 624 27
26,711 42
22, 900 00 Dividends unpaid.
2, 078 48 !
Individual deposits
United States deposits
1,308 56
Deposits of U. S. disbursing officers..
4,360 00
438 52
1, 733 48
33,834 00

Due to other national banks
Due to State banks and bankers

5200, 000 00
47, 000 00
13, 085 72
65, 700 00
2, 082 00
185, 686 78

13, 597* 106, 845 45-

Notes and bills re-discounted.
Bills payable
533, 997 05

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NORTH

46?

CAROLINA.

First National Bank, Charlotte.
No. 1547.

R. Y. Me ADEN, President.

M. P. PEG RAM, Cashier:-

Resources.

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..
Due from approved reserve agents... j
Due from other banks and bankers . . j
Real estate, furniture, and fixtures. -.1
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 lender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Capital stock paid in
Surplus fund
Other undivided profits

75,000 00
37,269 98*

181,160 81

National bank notes outstanding...
State bank notes outstanding

46, 800 0O

11,491 68
57,091 15
36, 747 06
5, 802 72
5,000 00

j
j
j
i
j
j
|

Total.

$400,000 00

MO, 755 73
9,325 00
52, 000 00

4, 993
242
9,414
68, 000

00
70
80
00

2, 340 00

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

499,899 91

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

2, 950 4>
f3,108 67

Notes and bills re-discounted
Bills payable
Total

1,104, 364 65

14,335 63
25, 000 0 =
0
! 1,104,364 65

Commercial National Bank, Charlotte.
CLEMENT DOWD, 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 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

No. 2135.

$328, 427 51 Capital stock paid in.
3, 788 77
50, 000 00 Surplus fund

$200,000 0 >
0

,
Other undivided profits.

7, 500 00
9, 644 92

20, 564 31 National bank notes outstanding
1, 278 62
3, 396 20
31,518 39
3, 495 99
6, 000 00
38 54
8, 059 00
753 59
2, 912 53
10, 000 00

44, 940 00

State bank notes outstanding
Dividends unpaid .

44 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

472, 483 45

Total.

A. G. BRENIZER, Cashier,

Total -

180, 069 5i

3, 144 51
140 51
7, 000 00
20, 0U0 00472,483 45

Merchants and Farmers' National Bank, Charlotte.
J. H. MCADEN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages...
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1781.
$323, 228 84
4,191 46
100,000 00

10, 961
5, 348
18, 300
5,142
8, 000

65
96
00
62
00

914 15
1, 020
69
1,563
7, 000

00
00
45
00

J. R. HOLLAND, Cashier,

Capital stock paid in.

$200, 000 00

Surplus fund
Other undivided profits .

35, 000 00
11,913 73

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

80 00
110,822 21

71 49
425 20
41, 927 50

4, 500 00
490,240 13

Total.

490, 240 13

468

REPORT OF THE COMPTROLLER OF THK CURRENCY.
NORTH CAROLINA.
Traders' National Bank, Charlotte.

S. P. SMTTH, President.

No. 2314.

C. N. G. BUTT, 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.
$132,559 16 Capital stock paid in.

$100, 000 00

1,239 42

50, 000 00

Surplus fund
Other undivided profits.

9,470 68
14, 997 92
2, 052 45
•2.589 09
5,190 88
10, 000 00
1, 681 82

National bank notes outstanding
State bank notes outstanding

304
247
245
3, 000

00
92
00
00

1, 500 00
4, 456 02

Dividends unpaid.

86 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.

45, 000 00

Total .

64, 073 26

642 87

20,068 17

235, 828 34

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
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks "and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

4,500 00
9,986 40
2, 262 70
8, 000 00
7,222 39

$200, 000 00
13, 500 00
9, 693 88

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

89, 000 00

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

88,054 16

1, 200
502
4, 584
10,900

00 Due to other national banks
99 Due to State banks and bankers
65
00 Notes and bills re-discounted.
Bills payable
4, 5D0 00

410,661 11

Total.

WILLIAM HOSKE, Cashier.

$251, 358 88 Capital stock paid in..
5,643 10
100, 000 00 Surplus fund
Other undivided profits

Total.

8, 267 55,
2,145 52

4L0, 66L 11

People's National Bank, Fayetteville.
E. F . 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. ..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 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.

B. FULLER, Cashier.

$151,022 87 Capital stock paid in .
3,439 91
100, 000 00 Surplus fund
Other undivided profits.
1, 662 96 National bank notes outstanding
849 55 State bank notes outstanding
8, 790 02 Dividends unpaid.
1, 042 58
6, 035 86
,
11,412 00 Individual deposits
United States deposits
380 03
Deposits of U. S. disbursing officers .
1,894 00
300 99
1, 505 00
6,000 00

"5"656*65 i
299, 335 77

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

$150, 000 00
7,818 07
1,361 18
90, 000 00
282 75
44,172 76
532 88
168 13
5,000 00

299,335 77

REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 6 9
NORTH

CAROLINA.

National Bank, Greensboro'.
No. 2322.

J E S S E H. LINDSAY, President.

J U L I U S A. 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..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer,

$106,935 47
4, 391 45
34, 000 00

1,320
18,934
5,000
976
5, 000

68
28
00
63
00

1, 685 35
107
980
3, 696
2, 739

00
33
76
00

$100,000 00

Capital stock paid in.

1,000 00
3, 594 20

Surplus fund
Other undivided profits
National bank notes outstanding .
State bank notes outstanding
Dividends unpaid.,

30,585 00
30 do

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

47,962 67

2, 644 54
1,480 54

Notes and bills re-discounted.
Bills payable

I, 530 00

Total,.

Total..

187, 296 95

187, 296 95

National Bank, New Berne.
J. A. GUION, Cashier.

No. 1632.

J O H N 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 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.

$109, 463 79
2, 489 02
100, 000 00

"""u'nno 66
6, 804 82
4,020 99
2, 376 01
16,288 00
2,261 0L
9, 2o4 98
85 00
1, 663 00
715 62
3,370 90
14,500 00

2,"596"65"

Capital stock paid in

$100,000 00

Surplus fund
Other undivided profits

16, 000 00
9,859 92

National bank notes outstanding

90, 000 00

State bank notes outstanding
94 00

Dividends unpaid
Individual deposits
,
United States deposits
,
Deposits of U. 8. disbursing officers .
Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable

289,883 14

54, 337 48

7,591 74
12, 000 00

289,883 14

Total..

Citizens' National Bank, Raleigh.
W. E. ANDERSON, President.

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

Total.




No. 1766.

P.

A. W I L E Y , Cashier.

$207, 536 65 Capital stock paid in
8, 849 46
100, 000 00
Surplus fund
Other undivided profits
30, 000 00
3, COO 00

13,110 08
15,632 15
28,500 00
1, 445 43
14,130 00
2, 308 08
19,547
2,131
2, 500
38, 920

00
70
00
00

National bank notes outstanding . . .
State bank notes outstanding

$100,000 00
18,000 00
6, 817 73
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

238, 528 67

3, 457 62
2, 598 58
2, 750 00
30, OU0 00

4, 542 05
492,152 60

Total.

492,152 60

470

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NORTH

CAROLINA.

Raleigh National Bank of North Carolina, Raleigh.
C H A R L E S D E W E Y , President.

No. 1557.

J N O . C. B L A K E , Cashier.

Resources.

Liabilities.

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..

$398,124 90
15, 01 > 00
0
400, 000 00
150, 0U0 00

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
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

,

12,170 60
27, 767 90
20,137 18
118,053 98
5, 444 51
29, 268 96
826 20

Capital stock paid in

$400, 000 00

Surplus fund
Other undivided profi ts

66. 000 00
42, 415 82
360, 000 00

National bank notes outstanding
State bank notes outstanding . .

910 00

Dividends unpaid

206, 842 65
120, 103 05
15,472 05

Individual deposits.
............
United States deposits
Deposits of U. S. disbursing officers.
Due to other national banks
Due to State banks and b a n k e r s . . .

2, 500 00
834 88
12,319 07
12, 471 00 Notes and bills re-discounted
18,000 00

Total

!

264 32
201 72
10, 709 57

Bills payable
Total.

1,22-2,919 18

1,222,919 18

State National Bank, Raleigh.
No. 1682.

J . G. W I L L I A M S , President.

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 U. S. Treasurer

$289, 240 23
7,667 82
34,000 00
15, 966 32
15,102 67
20, 598 08
39, 664 66
1, 675 32
1, 194 46
2,264 49
5,814
565
985
30, 200

00
76
73
00

Capital stock paid in

$100,000 00

Surplus fund
Other undivided profits

105, 652 25

National bank notes outstanding
State bank notes outstanding

30, 600 00

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

209, 818 82

I
|

15,192 01
5,206 46

Notes and bills re-discounted.
Bills payable

1, 530 00
466, 469 54

Total.

SAML. C. W H I T E , Cashier

Total.

466,469 54

First National Bank, Salem.
I. G. L A S H ,

President.

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 U. S. Treasurer
Total.




No. 1659.

W. A. LEMLY, Cashier.

$182,192 81

Capital stock paid in .

""i5o"u6o"6o'

Surplus fund
Other undivided profits

35, 265 00
11,483
40, 306
450
1,036

74
63
00
76

4, 360 24
100 00
320 72
9, 000 00
25, 000 00

National bank notes outstanding
State bank notes outstanding

$150, 000 00
30, 000 00
13, 231 79
135,000 00

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

133,034 16

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

6, 750 00
466,265 95 ij

Total.

466, 265 95

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NORTH

471

CAROLINA.

First National Bank, Wilmington.
No. 1656.

B. E. BURRUSS, President.

A. K. WALKER, 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

40,165 31
13,831 95
3, 527 20
31,785 15
5, 029 83
11, 675 00
19, 446 00
2,374 60
4, 698 33
30,000 00
3, 600 00

14,263 41
39,122 22

National bank notes outstanding

71, 990 00

State bank notes outstanding
925 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.

670,045 38

Total.

$250, 000 00

5420,761 21 Capital stock paid in
3, 150 80
80, 000 00 Surplus fund
Other undivided profits

266, 629 90

7, 724 22
19, 390 63-

670,045 38

First National Bank, Wilson.
No. 2321.

F. W. BARNES, President.

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

$36, 624 80 I
2 36 ;
30,000 00 I

5,034 55
9, 105 39
999 17
3, 862 50
122 58

JNO. HUTCHINSON, Cashier.

$51,000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

479 83
3, 796 61
27, 000 00

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

11,434 02

790
30
48
5, 690

00 Due to other national banks
16
95 Due to State banks and bankers
00 Notes and bills re-discounted .
Bills payable.
1, 350 00
Total.

93, 710 46

93,710 46

First National Bank, Winston.
No. 2319.

J. A. BITTING, President.
Loans and discounts
OverdratYs
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages
Due from approved reserve agents.
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses 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 from U» S. Treasurer..
Total .




. . „.

$205, 839 97
" ""34,OO6" 06"

1,100 00
4.082 90
4, 008 65

1, 480
69
1,117
11,000

00
36
56
00

J. W. ALSPAUGH, Cashier.

Capital stock paid in .

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$100, C O Ofr
O
473 10
10, 753 40
30,600 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

91,934 I

4,458 65
26, 013 4 a

1, 535 00
Total.

264, 233

472

REPORT OF THE COMPTROLLER OF THE CURRENCY.
SOUTH CAROLINA.
National Bank, Anderson.
r

No. 2072.

JOS. N. BROWN, 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
Legal tender notes
U. S. certificates of deposit .
Due from U. S. Treasurer...

J. A. BROCK. Cashier.

Liabilities.
$112 747 78
352 84
50, 000 00

Capital stock paid in .

$50, 000 00

Surplus fund..-.
Other undivided profits.

30,000 00
13, 557 36

14, 343 75 National bank notes outstanding
3, 433 20 State bank notes outstanding
289 70
1,000 00 Dividends unpaid .
1,613 77 Individual deposits
United States deposits
680 00
Deposits of U. S. disbursing officers.

41,300 00

965 00
307 28
2, 602 65
8, 400 00

84,106 75

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

21 86

2,250 00
Total .

198, 985 97

Total.

198,985 97

First National Bank, Charleston.
ANDREW SIMONDS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures. Current expenses 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.

WM. C. BREESE, Cashier.

No. 1622.
$790,454 94
13,987 00
500, 000 00
15,000 00
7,194 09
5*, 270 78
27,223 3L
11,264 01

Capital stock paid in.

$500, 000 00

Surplus fund
Other undivided profits .

100, 000 00
54, 830 86

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

410,355 00

Dividends unpaid.

428 00

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

18,107 00 Due to other national banks
369 23 Due to State banks and bankers
7, 075 97
47, 000 00 Notes and bills re-discounted.
Bills payable.
22.500 00
1,518,446 33

Total.

326, 790 47
115,557 09
10, 484 9L

1, 518, 446 33

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 U. S. Treasurer
Total.




No. 2044.

WM. B. BURDEN, Cashier,

1693, 363 67
6, 116 54
50, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits.

51,795 20
19, 364 66

144,813 00
8, 299 07
38, 665 77
57,421 86
13, 769 80

National bank notes outstanding . . .
State bank notes outstanding

45, 000 00

Dividends unpaid.

$600, 000 00

11, 981 00

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

129, 713 41

8, 458 00 Due to other national banks
990 17 Due to State banks and bankers . . .
2, 500 00
10,780 00 Notes and bills re-discounted.
Bills payable
2, 250 00

23,348 11
8, 440 00

1, 037; 427 88

Total

97,785 50
50, 000 00
1,037,427

REPORT OF THE COMPTROLLER OF THE CURRENCY.
SOUTH

473

CAROLINA.

People's National Bank, Charleston.
No. 1621.

C. O. WlTTE, President.

H. G. LOPER, 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.

$979, 356 92 Capital stock paid in.
3,615 91
100, 000 00 Surplus fund
150, 000 00 Other undivided profits .
293, 349 26
21, 326 90
39,323 12
35,156 28
17,596 20
16, 010 01
16, 540 00

$750, 000 00
150,000 00
56, 574 20

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

90, 000 00

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

440, 301 27
62,383 68
53, 695 47

5, 700 00 Due to other national banks . . . . . . . . .
1,027 11 Due to State banks and bankers
7,132 00
41, 710 00 Notes and bills re-discounted
Bills payable

16,179 20
23,209 89

"4,"566" 66"

Total

1, 732, 343 71

90, 000 00
1,732,343 71

National Bank, Chester.
JOHN J. MCLURE, President.
Loans and discounts.
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
.
Specie
Legal tender notes
.,
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 1804.

JOHN L. HARRIS, Cashier.

$184,120 44 Capital stock paid in.,
1, 265 42
50, 000 00 Surplus fund
Other undivided profits.
30, 086 32

10, 392 54
779 53
5, 943 00
3,168 18
5, 000 00
1,388 91

$150,000 oa
16,000 00
19,887 60

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

45, 000 00
685 00

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

83, 790 55

284 00 Due to other national banks
1,717 81
7,303 00 Due to State banks and bankers.
11, 664 00 Notes and bills re-discounted.
Bills payable
2,250 00
Total.

315,363 15

315,363 15

Carolina National Bank, Columbia.
L. D. CHILDS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand.
Other 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. 1680.

C. J. IREDELL, Cashier.

$326, 676 40 Capital stock paid in .

"166," 666" 66"
111,520 69
536 57
714 21
37, 750 00
10,365 35
10,000 00
57 43
3, 500 00
1,189 33
3, 278 00
30, 000 00

$235, 700 0a

Surplus fund
Other undivided profits.

36, 000 0a
7,058 94

National bank notes outstanding
State bank notes outstanding

90,000 00

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

200,928 81

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

19,694 05
706 18

Notes and bills re-discounted.
Bills payable

20,000 00
30, 000 00

4, 500 00
640, 087 98

• Total.

640, 087 98

474

KEPORT OF THE COMPTROLLER OF THE CURRENCY.
SOUTH

CAROLINA.

Central National Bank, Columbia.
J . S. PRESTON, President.

No. 1765.

J. H. SAWYER, Cashier.

Resources.

Liabilitiei

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents . .
Due from other 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
CJ. S- certificates of deposit
Due from U. S. Treasurer
Total.

$163, 336 48
100, 000 00
22,932 3L
6,139 38
9, 276 58
53,161 03
3,643 12
10, 049 50

Capital stock paid in

I $100,000 00

Surplus fund
Other undivided profits

20, 000 00
13, 167 70

National bank notes outstanding .
State bank notes outstanding

90,000 00

Dividends unpaid.

72 00

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

14, 155
203
2, 408
8, 750

00 Due to other national banks
55 Due to State banks and bankers .
00 I
00 Notes and bills re-discounted.
Bills payable
1,900 80 |

395, 955 75

109,935 55

2, 780 50
60, 000 00

395, 955 75

Total.

National Bank, Greenville.
No. 1935.

HAMLIN BEATTIE, President.

koans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages ..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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, 122 94
1, 340 00
80, 000 00

"20,656 65"
843 50
9,609 97
5, 621 36
400 00
3,145 6L
3, 000 00
1, 788 77
17, 995
425
2, 277
4,190

00
10
85
00

J. J. BLACKWOOD, Cashier.
$100, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid

8, 560 28
22,074 40
72, 000 00

685 00

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

75,188 99

Due to other national banks —
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

5, 748 57
278,508 67 I

Total.

278, 508 67

National Bank, Newberry.
R. L. McCAUGHRIN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, 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




JNO. B. CABWILE, Cashier.

No. 1844.

$243,404 33 ' Capital stock paid in
5, 355 46
150, 000 00 i Surplus fund
Other undivided profits
2, 000 00
National bank notes outstanding . . .
State bank notes outstanding
5, 042 40 Dividends unpaid.
8,000 00
3, 6LI 42 Individual deposits
United States deposits
5, 963 84 Deposits of U. S. disbursing officers.
4, 247
526
6,304
12, 987

00 Due to other national banks
80 I Due to State banks and bankers
80
00 Xotes and bills re-discounted.
Bills payable
5, 649 35

453,092 40

Total.

$150,000 00
30, 000 00
16, 771 02
128, 995 00
925 00
103, 858 20
8,140 33
14, 402 85

453, 092 40

REPORT OF THE COMPTROLLER OF THE CURRENCY. 475
SOUTH

CAROLINA.

National Bank, Spartan burg.
No. 1848.

D. C. JUDD, President.

GEO.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents.
Due from other banks and bankers
Real estate, furniture, and fixtures .
Current expenses and taxes paid...
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
l!. S. certificates of deposit
Due from U. S. Treasurer

COFTELD, Cashier.

Liabilities.

Resources.
$98, 950 79
1, 830 87
100, 000 00

'"'26," 665 "65'
882 96
8, 8L9 67
7. 3i)0 00
2, 597 74
3,317 09
1,616 05

$100,000 00

Capital stock paid in.

18,000 no

Surplus fund
Other undivided profits

8, 068 70

National bank notes outstanding
State bank notes outstanding

90, 000 00

Dividends unpaid .

321 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

35, 688 44

4,823 00 Due to other national banks
70 91 Due to State banks and bankers.
2, 060 44
6, 000 00 Notes and bills re-discounted.
Bills payable

691 38

10,000 (

Total

Total.

262, 769 52

Merchants and Planters' National Bank, Union.
WM. MUNRO, President.

No. 2060.

Loans and discounts
Overdrafts
,
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, 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
L egal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$64,027 42
435 53
60, 000 00

E. R. WALLACE, Cashier.

Capital stock paid in.

$60, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

6, 550 00
4,923 62
,

3,157 27
678 55
7, 543 00 Dividends unpaid .
2, 138 04
4, 800 00 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
250 03

Due to other national banks
823 13 Due to State banks and bankers .
3, 964 00 Notes and bills re-discounted
Bills payable
2, 700 00
Total .

150, 516 94

53, 995 00
100 00
24, 784 67

163 65

150, 516 94

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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

H. Ex. 3- -27




No. 2087.
$67, 028 00
276 43
75, 000 00

337 94
3,321 05
1, 440 45
1,594 67
6, 000 00
4, 868 00
225 46
407 20
1, 700 00
"*"l","87500
In4, 074 20

T. K. ELLIOTT, Cashier.

Capital stock paid in .

$75, 000 00

Surplus fund
Other undivided profits

3, 037 41
5, 587 94

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.,
Individual deposits
]
United States deposits
5
Deposits of U. S. disbursing officers..
Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable
T(jtal.

67, 500 CO
147 50
7, 607 45

193 90

5, 000 00
164,074 20

476

REPORT OF THE COMPTROLLER OF THE CURRENCY.
c; i: OROIA,
First National Bank, Americus.
No. 2009.

A. C. BELL, President.

F. E. BURKE, 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. ..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 .

$56,215 11
890 72
50,000 00

4,753 33
3, 122 44
5,193 65
684 21
4, OliO 00
1,512 32
230 00
2 05
431 75
4, 932 00

$60, 000 00

Capital stock paid in .

8, 000 00
1, 039 05

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding . . . .

44,984 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

8, 697 53

10, 500 00

" "1*250 00
Total.

133, 220 58

133,220 58

National Bank, Athens.
No. 1639.

J O H N 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 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.

JAMES W H I T E , Cashier.

$206, 952 82 I Capital stock paid in .

$100,000 00

100,000 00 | Surplus fund
Other undivided profits
22. 209 00 National bank notes outstanding
State bank notes outstanding
17. 902 02 Dividends unpaid .
9/276 00
259 40 Individual deposits
United States deposits
2,747 66 Deposits of U. S. disbursing officers .
14, 250 00
750 00
26.091 50
25, 000 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

] 00, 000 00
23, 553 23
55, 000 00

128, 303 78
21,847 52
424 87

3, 700 00

429, 129 40

Total.

429, 129 40

Atlanta National Bank, Atlanta.
A L F R E D 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 batiks and bankers...
Real estate, furniture, and fixtures. ..I
Current expenses and taxes pair!
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other bank<
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 1559.

W. H. TULLER, Cashier.

$299,014 03 Capital stock paid in.
3, 798 91
200, 0:t) 00 j Surplus fund
75, 000 00 I Other undivided profits.
10, 000 00 | National bank notes outstanding
State bank notes outstanding
56, 6°4 78
49. 477 87 Dividends unpaid .
5,232 9!) Individual deposits
18,554 72 TI.liter! States deposits
32,688 41 Deposits of U. S. disbursing officers.
00 [ Due to other national banks
15 Due to State banks and bankers . . .
05
00 I Notes and bills re-discounted.
Bills payable
9, 100 00

40, 5'»0
H, 363
8.012
95, 000

909, 34 fi 8-2

Total

$200, 000 00
1,500 00
15, 593 07
180, 000 00
852 00
391,233 44
47/941 19
16,165 78
43, 243 52
2,817 82
10, 000 00

909,346 82

REPORT OF THE COMPTROLLER OF THE CURRENCY.

477

CJE O R G I A ,
National Bank, Augusta.
No. 1613.

W. E. JACKSON, President.

G. M. T H E W , 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

49, 066 37

mo, ooo oo
,..

National bank notes outstanding
State bank notes outstanding

19, 886 84
50,812 4L Dividends unpaid .
7,267 54 Individual deposits
United S tates deposits
17, 822 30 Deposits of U. S. disbursing officers
5, 965 00
9, 036 29
104, 816 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted .
Bills payable

62,195 80
450, 000 00
10, 000 00
277,102 54

53,834 43
918 46

22, 500 00
Total

1,454,101 23

Total.

$500,000 00

$659, 171 07 Capital stock paid in..
7,757 41
500,000 00 Surplus fund
Other undivided profits

1,454,101 23

National Exchange Bank, Augusta.
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..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
-.
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 1860.
$218,018 68
1,515 66
250, 000 00
2, 749
7, 494
3,223
24,691
4, 336
19, 456
5,140

25
06
46
37
59
25
26

9,415 00
1, 060 43
6, 750 00
24, 950 00

JOS. S. BEAN, Cashier.

Capital stock paid in.. „

$250,000 00

Surplus fund
Other undivided profits
National bank notes outstanding

21,200 00
21,570 90
225, 000 00

State bank notes outstanding
1, 396 50

Dividends unpaid
Individual deposits
United States deposits
\.
Deposits of U. S. disbursing officers.
Due to other national banks
Due to Stats banks and bankers
Notes and bills re-discounted
,
Bills payable

55, 363 24

8,596 56
3, 923 81

"" 11,250 "6.6"

Total

590,051 01

590,051 01

Chattahoochee National Bank, Columbus.
H. H. El'PlNG, President.
Loans and discounts
Overdrafts
U. S. bonds 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
Pie niumspaid
Checks and other cash i^ems
Exchanges for clearing house
Bills of other banks
Fractional currency
/.......,
Specie
,
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
,
Total




No. 1630.
$197, 267 99
5, 161 55
100, 000 00
9, 880 64
831 24
22, 683 66
3, 428 98
744 74
2,092 18

H. W. EDWARDS, Cashier.

Capital stock'paid in .

$100,000 00

Surplus fund
Other undivided profits- ..

20, 000 00
7, 632 62

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

90, 000 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

00
90
00
00

Due to other national banks
Due to State banks and bankers

"4,~5O6"66"

116,028 33

-

3, 906
1,083
8, 560
11, 656

371,796 88

Notes and bills re-discounted
Bills payable
Total

12,162 42
25, 973 51

371,796 !

478

REPORT OP THE COMPTROLLER OF THE CURRENCY.
OE OKG1A,
National Bank, Columbus.
No. 2338.

J. RHODES BROWNE, President.

G. W. DlLLlNGHAM, Cashier.

Kesources.

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... j
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
j
Fractional currency
Specie
Legal tender notes
•
U. S. certificates of deposit
Due from U. S. Trea urer
j
Total.

$165, 835 95 : Capital stock paid in
5, 480 1
4
100, 000 00 il Surplus fund
1 O ther undivided profits
1
?

$100,000 00
|

|! National bank notes outstanding

2, 423 34
2, 320 52

942 78
3, 835 28
90, 000 C
O

ji State bank notes outstanding
ji Dividends unpaid

|j Individual deposits
jl United States deposits
j| Deposits of U. S. disbursing officers
3, 905 00 ||
395 45 {j Due to other national banks
4, 695 71 H Due to State banks and bankers
5, 000 00 jl
1
j Notes and bills re-discounted
|
4, 500 00 j| Bills payable
,
Total.

294,756 11

89,340 88

1, 535 21
9, 101 96

294,750 11

City National Bank, Griffin.
GlLMAN* J. DRAKE, President.

No. 2075.

Loans and discounts
}
Overdrafts
!
U. S. bonds to secure circulation
1
U. S. bonds to secure deposits
i.
U. S. bonds on hand
j
Other stocks, bonds, and mortgages . . .
Due from approved reserve agents...i.
Due from other banks and bankers..)
Tleal 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
i
Specie
j
Legal tender notes
;
U. S. certificates of deposit
;.
Due from U. S. Treasurer
j

$71,149 06
1,537 53
50, 0U0 00

Capital sjock paid in .

500 00

$56, 000 00

Surplus fund
Other undivided profits

9, 356 20
3,051 83

National bank notes outstanding
State bank notes outstanding
4, 697
7, 000
1,4:>5
1, 425
389

56
00
17
25
77

Dividends unpaid .

3,891 00
• 37 O
L
2.82L 00
8, 000 00

Due to other national banks
Due to State banks and bankersNotes nnd bills re-discounted
Bills payable

2,249 C
O

45, 000 00
,90 00

Individual deposits
^
United States deposits
Deposits of U. S. disbursing officers.

Total.

155, 15^ 95

Total.

J. G. R H E A , Cashier.

28, 605 11

950 8!
11 76
12, 087 24

155,152 95

First National Bank, Macon.
No. 1617.

I. C. PLANT, 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
S
Premiums paid
j
Checks and other cash items
|
Exchanges for clearing house
;
Bills of other banks
j
Fractional currency
J
Specie
j
Legal tender notes
'
U. S. certificates of deposit
j
Due from II. S. Treasurer
j
Total




!

$132, 503 50
301 57
100, 000 00

W. W. WRIGLEY, Cashier.

Capital stock paid in
Surplus fund
Other undivided profits.

National bank notes outstanding
55 I State bank notes outstanding
97 I
00 jj Dividends unpaid.
Qi
Individual deposits
United States deposits
,
102 67 | Deposits of U. S. disbursing officers.

21,611
12,992
28,989
2, 988

3, 592
27
2, 070
21,000

00
00
00
00

l

Due to other national banks
Due to State banks and bankers

$100, 0C0 00
25,194 57
4,197 91
90, 000 00

111,647 31

3, 632 49
6 61

Notes and bills re-discounted.
Bills payable

4,500 00 |
334,678 89 I

Total.

334.678 89

REPORT OF THE COMPTROLLER OF THE CURRENCY.

479

O E O K O I A.
First National Bank, Newnan.
WM. B. BERRY, President.

No. 1861.

H. C. FISHER, 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,

$39,300 92 Capital stock paid in
3,980 74
100, 000 00 1 Surplus fund
Other undivided profits
42, 548 75

14,454 C
O
424 64

National bank notes outstanding
State bank notes outstanding

12,030 87
9, 800 75
v8ll 79
9,316 12 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
4, 673 00 Due to other national banks
1 Due to State banks and bankers .
4,647 05
2,500 00 I Notes and bills re-discounted.
Bills payable
4,500 00
Total

234,109 99

Total

$100, 000 00

90, 000 CO
64 00
26, 687 91

2, 479 44

234,109 99

First National Bank, Rome.
J. H. REYNOLDS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
.
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 2368
$41, 563 00
615 02
37, 500 00

5,123 71
397 77
264 86
567 86
2, 935 74

B. I. HUGHES, Cashier.

Capital stock paid in .

$75, 000 00

Surplus fund.
Other undivided profits
National bank notes outstanding
State bank notes outstanding

962 17
33, 720 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

16, 582 00 Due to other national banks
156 19 i
734 00 ! Due to State banks and bankers
10, 000 00 |Notes and bills re-discounted
Bills payable
""2," 686 "66"
Total.

119, 126 15

6, 759 00

2,624 98
60 00

119,126 15

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.

$652, 353 46
4, 723 49
389, 500 00
50, 000 00
7, 205 00

THOMAS GADSDEN, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits National bank notes outstanding . .
State bank notes outstanding

$500, 000 00
52, 500 00
16, 507 24
230, 493 00

43, 730 85
25, 000 00
8,239 19
17, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers

353, 928 86
38, 950 42
2, 373 23

45, 205 00
444 78

Due to other national banks
Due to State banks and bankers . .
Notes and bills re-discounted.
Bills payable

64,673 10
84,107 92

3, 00 J 00
80, 000 00

395 50

17, 527 50
1, 343, 929 27

Total.,

1, 343, 929 27

480

REPORT OF THE COMPTROLLER OF THE CURRENCY.

FLORIDA.
First National Bank of Florida, Jacksonville.
T. W. C, MOORE, President.

No. 2174.

J. M. SHOEMAKER, Cashier*

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.




Liabilities.
$72, 397 09 Capital stock paid in.
4, 863 00
50, 000 00 Surplus fund
Other undivided profits
7, 259 96 National bank notes outstanding
State bank notes outstanding
3 00
11, 738 90 Dividends unpaid .
814 12
4, 357 61 Individual deposits
United States deposits
2,165 20 Deposits of U. S. disbursing officers.
715 00
690 52
967 85
9, 000 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted .
Bills payable

$50,000 oa
1, 660 00
1, 557 48
45, 000 00

48, 088 09'

20, 929 09

2, 262 41
167,234 66

Total.

167, 234 66

REPORT OF THE COMPTROLLER OF THE CURRENCY

481

ALABAMA.
National Bank, Birmingham.
No. 2065.

CHARLES LINN, President.

"WILLIAM BERNEY, 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, 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 .

$41,235 97
2, 350 05
50, 000 00

8, 072 69
36 08
987 48
27, 150 99
928 28
4,500 00

$50, 000 00

Capital stock paid in.

691 79
2, 394 86

Surplus fund
Other undivided profits .

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

45, 000 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

34,444 60

1, 423 00

I Due to other national banks
T.\ 69| Due to State banks and bankers
290 00
Notes and bills re-discounted
7, 000 00
Bills payable
"" 2," 250 00"
Total.
146, 303 23

3,107 98
100 00
10,000 00
564 00
146, 303 23

Eufaula National Bank, Bufaula.
No. 2309.

E. 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 I
Checks and other cash items
[
Exchanges for clearing house
j
Bills of other banks
I
Fractional currency
j
Specie
Legal tender notes
IT. S. certificates of deposit
Due from U. S. Treasurer

$77, 543 91
576 67
50, 000 00

11,204 73
12, 922 55
171 45
1,446 24
3, 132 20
3, 217 "18

$58, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

2, 000 00
3,110 83
44,555 00
550 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

980 00 Due to other national banks
73 70
1,271 00 Due to State banks and bankers .
8,750 00 Notes and bills re-discounted
Bills payable
2,230 66
173, 519 63

Total.

E. B. YOUNG, Jr., Cashier.

25, 291 97

20,011 83
20, 000 00
173, 519 63

Total.

Gainesville National Bank, Gainesville.
A. A. WINSTON, President.

Loans and discounts
Overdrafts
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
S pecie
Legal tender notes .
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 1822.

C. D. WOODRUFF, Cashier.

$122,514 71 Capital stock paid in .
4 76
100, 000 00 Surplus fund
Other undivided profits

8,447 04
1, 142 76
3, 424 39
1,673 02
8, 684 38
337 20
335 00
197 75
8, 988 90
1, 400 00

""""3," 266 "66
260,349 91

National bank notes outstanding . . .
State bank notes outstanding

$100, 000 00
7,080 71
5, 346 39
90, C O 00
O

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

39,458 15

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable
Total.

18,464

260,349 91

482

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ALABAMA.
National Bank, Huntsville.
No. 1560.

J. H. MASTIN, President.

J O S E P H MARTIN, Cashier.

Resource?.

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.

$76,109 77 Capital stock paid in .
972 69
100, 030 00 Surplus fund
Other undivided profits
5,196 05 National bank notes outstanding
1,082 09 State bank notes outstanding
6, 420 55
30,000 00 Dividends unpaid .
1,992 56 Individual deposits
937 50 United States deposits
Deposits of U. S. disbursing officers..
1, 330 00
276 89
3, 700 00
1<>, 830 00

$100, 000 00
10, 700 00
2,896 01
90, 000 00

45, 252 09

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

Total.

Total.

248, 848 10

First National Bank, Mobile.
No. 1595.

J. H. MASSOX, 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.

$374,746 45

LLOYD BOVVERS, Cashier.

Capital stock paid in.

$300, 003 00

""306^660'66" Surplus fund
26, 059 25
1,100 81
2, 2D6 99
7, 500 00
3,622 13

3, 560 00
514 65
22 50
22, 625 00

Other undivided profits National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

46, 500 00
24,362 60
270, 000 00

150 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

92,775 83

Due to other national banks
Due 4) State banks and bankers
Notes and bills re-discounted
Bills payable

17,769 11
2, 400 24

" 12, 000 66
753,957 78

Total. .

753, 957 78

National Commercial Bank, Mobile.
CHARLES HOPKINS, President.

No. 1817.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
,
U. S. bonds on hand
Other stocks, bonds, and mortgages
Due from approved reserve agents
Due from other banks and bankers
Real estate, furniture, and fixtures.
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U S. certificates of deposit
Due from U. S. Treasurer
Total




DUDLEY HUBBARD, 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
860, 609 79

Total.,

$350, 000 00
4. 378 52
14,864 12
3L2.950 0Q
1, 490 0Q
113,109 02

2, 672 20
1,145 93
60, 000 00

860, 609 79

REPORT OF THE COMPTROLLER OF THE CURRENCY.

483

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
S pecie
Legal tender notes
IT. S. certificates of deposit
j
Due from U. S. Treasurer
1
Total.

$217, 567 27
4, 495 05
196, 000 00

"Capital stock paid in.

$225, 000 00

Surplus fund
Other undivided profits.
National bank notes outstanding . .
9,233 12 State bank notes outstanding
2, 170 91
39, 679 15 Dividends unpaid.
3, 883 33 Individual deposits
,
21,478 13 United States deposits
,
Deposits of U. S. disbursing officers
9, 735 00
567 38
690 00
19, 000 00

Due to other national banks
Due to State banks and bankers -.
Notes and bills re-discounted.
Bills payable
,

37, 022 18
3, 052 87
176,370 00
90 00
71,751 98
6, 596 83
13, 415 48

8, 820 00
Total.

533, 299 34

533, 299 34

Merchants and Planters' National Bank, Montgomery.
A. B. PECK, 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... P
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.

ROBT. GOLDTHWAITE, Cashier.

$134, 507 12 iCapital stock paid in.
1, 527 22 I
125, 000 00 Surplus fund
Other undivided profits
2, 237 95 National bank notes outstanding
25,361 21 State bank notes outstanding
12, 306 30 Dividends unpaid .
10,981 36
2,338 22
17, 933 77 Individual deposits
United States deposits
876 85 Deposits of U. S. disbursing officers.

$125, 000 00
19,109 98
3,493 55
111, 550 0!)

89, 439 40

2,513
194
731
6, 386

00 Due to other national banks
43 Due to State banks and bankers
70
00 Notes and bills re-discounted.
Bills payable
5, 625 00
Total.

348, 625 .13

348, 625 13

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
j
U. S. certificates of deposit
Due from U. S. Treasurer
j
Total.




No. 1736.

JOHN W. LOVE, Cashier.

$270,311 19 Capital stock paid in
5, 072 52
209, 000 00 Surplus fund
Other undivided profits
23,859 13
71,488 08
18,000 00

5, 859 06
25, 350 00
3,761 33

National bank notes outstanding

50, 000 00
9,748 11
180,000 00

State bank notes outstanding
Dividends unpaid

Individual deposits
United States deposits
28, 649 00 Deposits of U. S. disbursing officers..
1, 790 80 Due to other national banks
10,211 54 Due to State banks and bankers
56, 400 00 Notes and bills re-discounted
""*9,"o5o"6o' Bills payable
729, 752 65

$300, 000 00

Total

280 00
185,123 19
803 46
3, 797 89

729, 752 65

484

REPORT OF THE COMPTROLLER OF THE CURRENCY.
A L A U A II A .
First National Bank, Tuskaloosa.

W I L L I A M MOODY, President.

No. 1853.

J o s . MCLESTER, 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
!
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and baukers. ..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




j
j
j
j
;
j
|

$69, 831 38
1 70
50, 000 00
19, 369 95
9,533 14
2, 050 89
148 35
824 46
• 5, 4b'O 54
745 67
4, 587
150
2,511
8, 500

00
95
50
00

2, 365 00

I

176, 080 53

Capital stock paid in
Surplus fund
Other undivided profits
National bank notes outstanding

$60, 000 00
8,953 66
7, 437 53
28, 550 0®

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

71,139 34

Notes and bills re-discounted
Bills payable
Total . . .

176, 083 53

REPORT OP THE COMPTROLLER OF THE CURRENCY. 485
LOUISIANA.
Germania National Bank, New Orlsans.
J. L. BEROTER, Cashier.

No. 1591.

L. B. CAIN, President.

Liabilities.

Resources.
Loans and discounts
$1,057,928 21
Overdrafts.
1,217 40
U. S. bonds to secure circulation
j
50, 000 00
U. S. bonds to secure deposits
j
U. S. bonds on hand
j
Other stocks, bonds, and mortgages.-!
101,160 00
171,516 46
Due from approved reserve agents... J
Due from other banks and bankers .. j
22, 59 L 59
Real estate, furniture, and fixtures ..!
7,200 40
Current expenses and taxes paid
j
12,993 49
Premiums paid
..j
5, 000 00
Checks and other cash items
\
Exchanges for clearing house
j
132,631 38
Bills of other banks
\
6, 5*2 00
Fractional currency
!
260 89
11,917 64
Specie
|
66, 02 L 00
Legal tender notes
I
U. S. certificates of deposit
|
Due from U. S. Treasurer
!
2,250 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid

60, 000 00
24,016 12
45, 000 00
954 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

1,649,270 46

Total .

$300, 000 00

Capital stock paid in

1,04?, 571 00

31,231 96
39, 494 38
100, 000 00

Total

1,649,270 46

Hibernia National Bank, New Orleans.
GEO.

R. PRESTON, 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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

J. Gr. DRVEREUX, Cashier.

$780,000 97 Capital stock paid in.

156,666 66

$400, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State banknotes outstanding

47, 142 76
2,209 9L
53,000 00 Dividends unpaid .
6, 047 87 Individual deposits
12, 000 00 United States deposits
13, 759 01 Deposits of U. S. disbursing officers.
6-2,385 79
32,410 00 I Du e to other national banks
1, 12S 00 Due to State banks and bankers
40,673 85
91.00J 00 Notes and bills re-discounted .
Bills payable
8,850 00

Total.

128, 500 00
1,362 00
570,873 58

50, 937 41
21, 974 06
57, 179 35

1, 300, 608 16

Total.

1,300,608 16

39,000 00
30,781 76

Louisiana National Bank, New Orleans.
No. 1626.

J. H. OGLESBY, President.

Loans and discounts
j $1,715,001 6i
Overdrafts
j
3,000 00
U. S. bonds to secure circulation
j
50, 000 01)
U. S. bonds to secure deposits
j
U. S. bonds on hand
j
Other stocks, bonds, and mortgages ..j
155, 316 08
Due from approved reserve agents...'
27,721 96
Due from other banks and bankers . J
201, 802 49
Real estate, furniture, and fixtures . . . j
234, 811 59
Current expenses and taxes paid
i
21,974 30
Premiums paid
j
Checks and other cash items
i
Exchanges for clearing house
j
170, 391 63
Bills of other banks
|
15, 280 0!)
Fractional currency
\
4, 867 02
Specie.
|
24,458 17
Legal tender notes
j
591, 600 00
TJ. S. certificates of deposit
;
Due from U. S. Treasurer
j
2,250 00
Total




I

3,218,474 87

A. LURIA, 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

$1, 0C0, 000 00
200, 000 00
131,745 84
45, 000 00
960 00
1,361,624 05

293,078 31
186, 066 67

Notes and bills re-discounted
Bills payable
Total

3,218,474 87

480

REPORT OF THE COMPTROLLER OF THE CURRENCY.
L O U I SI A N A.
Mutual National Bank, New Orleans.

J. T. HARDIK, President.

No. 1898.

JOSEPH MlTCHEL, 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.
$525,872 05 I Capital stock paid in
1,654 70
50, 000 00 ! Surplusfund
| Other undivided profits
National bank notes outstanding
7,017 17 State bank notes outstanding
25,028 59
50,350 04 Dividends unpaid
6,799 58
5, 282 37 Individual deposits
United States deposits
39,134 64 Deposits of U. S. disbursing officers
14,100 00 Due to other national banks
471 31
6,718 37 Due to State banks and bankers
89,000 00 I Notes and bills re-discounted.
! Bills payable
2, 250 00

$300,000 00
I
!
j
j

691 23
349, 986 39

!

1

15 93
3,255 72

823, 678 82

Total.

823,673 81

104,249 16
20, 480 34
45,000 00

New Orleans National Bank, New Orleans.
ALBERT BALDWIN, President.

No. 3778.

WILLIAM PALFREY, Cashier.

Loans and discounts
|
$119,488 33 i Capital stock'paid in.
Overdrafts
j
6, 145 00 II
200,000 01) j Surplus fund..
U. S. bonds to secure circulation
i
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...
039 78 ! State bank notes outstanding
Due from other banks and bankers...
186 09
Real estate, furniture, and fixtures . . .
500 00 Dividends unpaid.,
Current expenses and taxes paid
546 06 Individual deposits
000 00 United States deposits
Premiums paid
Checks and other cash items
699 31 Deposits of U. S. disbursing officers
Exchanges for clearing house
887 32
Bills of other banks
151 00 Due to other national banks
43 25 Due to State banks and bankers
Fractional currency
031 00
Specie
000 00 Notes and bills re-discounted.
Legal tender notes
......
Bills payable
U. S. certificates of deposit
Due from U. S. Treasurer
9, 000 00
Total.

$200, 000 00

j

179,000 03

1,740 00
j
-|
|

Total.

836,720 14

23,649 66
15,262 69

408, 569 99
2,467 41
6, 030 39

836,720 14

State National Bank, Naw Orleans.
S. H. KENNEDY, 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. ..j
Due from other banks and bankers .-!
Rsal estate, furniture, and fixtures . . . |
Current expenses and taxes paid
\
Premium's paid
\...
Check* and oth.er cash items
'...
Exchanges for clearing house
!
Bills of other banks
|
Fractional currency
•
j
Specie
j
Legal tender notes
I
II. 8. certificates of deposit
j . . .
Due from U. S. Treasurer
Total




No. 1774.
,413,621 78

C. L. C. Dui'UY, Cashier.

Capital stock paid in

50, 000 00 i Surplus fund
Other undivided profits
34,28!) 38 j National bank notes outstanding
105,477 89 |j State bank notes outstanding
52, 15S 93
141,583 25 j Dividends unpaid.
1
22,33:* 57 Individual deposits
United States deposits
i
Deposits of U. S. disbursing officers.
155,622 84
14,900 00 Due to other national banks
300 29 Due to State banks and bankers . . .
29, 947 51
255,070 03 Notes and bills re-discounted.
Bills payable
2, 250 00
2, 277, 56 ) 44

I

$350,000 00
25,000 00
29,514 49
45,000 00
9, 722 25
1,160, 745 53

18,605 23
138, 972 94

2,277,560 44

REPORT OF THE COMPTROLLER OF THE CURRENCY.

487

LOUISIANA.
Union National Bank, New Orleans.
CARL KOHN, President.

JAS. CHALARON, Cashier.

No. 1796.

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.,




$672, 828 71

"256," 566 "66
42,953 40
22, 107 18
42, 089 94
12, 108 03
25, 000 00

Capital stock paid in

$250, 000 00
j

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid

i
j
I
j
;

225, 000 08
3, 629 68

Individual deposits
,
United States deposits
,
Deposits of U. S. disbursing officers.

70, 195 69
8,314 00 Due to other national banks
6 82 Due to State banks and bankers
5, 226 73
89, 400 00 Notes and bills re-discounted
,
Bills payable

64, 000 00
16, 984 63

336, 793 69

j

5, 424 38
349, 648 12

"ii,"2o6"66

1, 251, 480 50

Total

1,251,480 50

488

REPORT OF THE COMPTROLLER OF T d B CURR3NC¥\
TEXAS.
First National Bank, Austin.
No. 2118.

J. T. BRACKENRIDGE, President.

R. J. BRACKENRIDGE, Cashier.

Resources.

Liabilities.

Loans and discounts
O verdrafts
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
j
Premiums paid
j
Checks and other cash items
!
Exchanges for clearing house
|
Bills of oth;jr banks
I
Fractional currency
)
Specie
i
Legal tender notes
|
U. S. certificates of deposit
!
Due from U. S. Treasurer
I

$117,409 8-'*
1, 675 99
35, 000 00

$75, 000 00

Capital stock paid in.

5, 000 00
166 55

Surplus fund
Other undivided profits
National bank notes outstanding

10, 949 43
4, 636 72
15, 532 61

31, 500 00

State bank notes outstanding
Dividends unpaid

1,619 04

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

205,939 73

Total

Total.

94,273 18

First National Bank, Dallas.
R. P. AUNSPAUGH, Cashier.

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
Leg-al tender notes
T F. S. certificates of deposit
Due from U. S. Treasurer
Total .

$124,686 97 |i Capital stock paid in
3, 194 64
34,000 00 Surplus fund
Other undivided profits
1, G85 50 National I ank notes outstanding
2,85 V 41 State bank notes outstanding
9,269 11
16,042 23 Dividends unpaid .
1,271 80
3, 500 00 Individual deposits
United States deposits
895 60 Deposits of U. S. disbursing officers.
1, 420 00
255 40
459 00

$75, 000 00
5, 000 00
1, 875 07
30, 000 00

85,386 55963 04
9, 018 61

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable

13, 000 00

5, 000 00

311 61
212,243 27

212,243 27

First National Bank, Denison.
JOHN SCULLIN, 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 .. i
Real estate, furniture, and
fixtures...I
Current expenses and taxes paid
j
Premiums paid
j
Checks and other cash items
|
!
Exchanges for clearing house
Bills of other banks
|
Fractional currency
I
Specie
\
Legal tender notes
|
TT. S. certificates of deposit
|
Due from U. S. Treasurer.
!
Total




No. 2099.

W. S. LOWE, Cashier.

$75, 042 52 Capital stock paid in..
2, 113 47
50, 000 00 Surplus fund
Other undivided profits.
2, 681 82 National bank notes outstanding
State bank notes outstanding
52, 317 32
17,442 5L Dividends unpaid .
2,410 23 Individual deposits
3, 800 00 United States deposits
365 00 Deposits of U. S. disbursing officers.
10, 587 00 Due to other national banks
111 85 Due to State banks and bankers
1,323 50
13, 950 00 Notes and bills re-discounted
Bills payable
2, 250 i;U
034, 395 22

:

Total

$50, 000 00
12, 000 00
2, 777 3&
44, 000 00

111,710 09

.

1,003 70
2,904 05
10, 000 00
234, 395 22:

REPORT OF THE COMPTROLLER OF THE CURRENCY.

489

TEXAS.
First National Bank, Fort Worth.
No. 2349.

M. B. LOYD, President.

C. H. HIG.BE E, Cashier.

Liabilities.

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
Total.

$12,5!7 81 Capital stock paid in.
3, 043 83
30, 000 00 Surplus fund
Other undivided profits
200 00 National bank notes outstanding
State bank notes outstanding
64,618 66
8, 146 50
1, 164 87
1,762 50
13,107 53

$50, 000 00
134 30
5, 234 59
27, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

6, 202 00 Due to otl*r national banks
190 00 Due to State banks and bankers
6,918 00
20, 000 00 Notes and bills re-discounted.
Bills payable
1, 350 00

Total.

169,221 70

A, 775 20

2,077 61

169,221 70

City National Bank, Fort Worth.
No. 2359.

JNO. 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.

S. W. LOMAX, Cashier.

$107,217 27 Capital stock paid in .
4, 394 18
30, 000 01) Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
21,271 14 Dividends unpaid .
7, 845 78
4, 395 69
2, 338 55 Individual deposits
United States deposits
3, 665 74 Deposits of U. S. disbursing officers.
574 00
289 30
1,504 07

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
3, 500 00
Bills payable
"*"i,"927*75'
Total.
188,923 47

$50, 000 00
500 00
5, 775 85.
27, 000 00

81,790 75

13,556 53
5, 900 34
4,400 00

188,923 47

First National Bank, Galveston.
No. 1566.

J. M. BROWN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.

$149,833
1,182
200, 000
75, 030

Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid

9, 619
28, 340
41,009
5,868
1, 261

Checks and other ca»h items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tendar notes
U. 8. certificates of deposit
Due frvm U. S. Treasurer

46, 485
2,424
24,106
71,510

Total




81
47
00
00

4," 879* 66'
09
95
49
76
25

928 29
00
30
82
00

T H O M A S R E E D , Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

$200, 000 00
40, 000 00
9, 389 02
165, 300 00

Dividends unpaid
Individual deposits
ULiited States deposits
Deposits of U. S. disbursing officers
Due to other national banks
Due to State banks and bankers

177,736 31
31, 236 68
7, 970 49
40, 570 60

Notes and bills re-discounted
Bills p tyable

"9," 753 21*
672,203 10 i

Total.

672,203 10

490

REPORT OF THE COMPTROLLER OF THE CURRENCY.'
TEXAS.
National Bank of Texas, Galveston.

M. KOPPERL. President.

No. 1642.

ROBT. J. JOHN, 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 bank* and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates, of deposit
Due from U. S. Treasurer

$141,502 79
] 00, 000 00
8, 278 60
15, 191 82
10, 394 06
9. 795 45
4, 625 26
400 00
3,129 57
11, 040 00
1,411 05
24,914 76
77, 688 00
5, 240 00

$100, 000 00
Surplus fund
Other undivided profits

40,000 00
15, 619 64

National bank notes outstanding
State bank notes outstanding

85, 680 00

Due to other national banks -»
Due to State banks and bankers

133, 6"3 75

8,725 98
29,851 99

Notes and bills re- discounted
Bills payable

413,611 36

Total

40 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

Total

413,611 36

First National Bank, Houston.
B. A. SHEPHERD, President.

A. P. ROOT, Cashier.

No. 1644.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$189,815 20 I Capital stock paid in .
30, 057 6i
35,000 00 i Surplus fund
Other undivided profits
44, 953 00 National bank notes outstanding
29, 470 72 State bank notes outstanding
26, 975 22
23, 273 34 jDividends unpaid .
5,032 50 |
Individual deposits
United States deposits
588 44 Deposits of U. S. disbursing officers.
5, 025 GO Due to other national banks
3, 360 75 Due to State banks and bankers
23 534 46
14, 250 00 Notes and bills re-discounted
Biils payable
Total .

432, 955 05

$100,000 00
66,000 00
8, 679 S2
31,400 00

207, 389 79
174 05
19,311 39

432,955 05

National Exchange Bank, Houston.
J. T. D. 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 fi om 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 fromU. S. Treasurer
Total..




No. 2092.

T. L. BLANTON, Cashier.

$96,609 28 Capital stock paid in
3,9U5 59
35.0U0 00 Surplus fund
Other undivided profits
National bank notes outstanding
4!8
&6, 025
4,255
3,454
4, 268

94
36
27
71
45

16,131 53
6,563 25
31,500 00

State bank notes outstanding
Dividends unpaid

Individual deposits
342 70 United States deposits
2, 415 00 Deposits of U. S. disbursing officers..
393 60 Due to other national banka
4,114 95 Due to State banks and. bankers
25,159 00 Notes and bills re-discounted
"i,"575 25' Bills payable
207,938 10

$100, 000 00

Total.

51,845 72

1,757 31
140 29

207,938 10

REPORT OP THE COMPTROLLER OF THE CURRENCY.

491

TEXAS.
National Bank, Jefferson.
No. 1777.

W. M. HARRI-ON, President.

J. IT. PARSONS, 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 .
Reale.state, furniture, and fixtures .
Current expenses and taxes paid.. .
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit . . .
Due from U. S. Treasurer

! 104, 790 66
4, 025 43
50, 000 00
4,692 6L
26, 134 66
13,084 08
6, 859 03
1, 269 35
538 54
12,185 00
998 45
8,315 55
8,884 00

Capital stock paid in.

$100,000 00

Surplus fund
Other undivided profits

29, 600 00
2, 759 88

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

622 50

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
Due to other national banks
Due to State banks and bankers

65,352 59

235 84
456 55

Notes and bills re-discounted.
Bills payable

2,-250*66"

Total.

Total.

244, 027 36

244, 027 36

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 othar banks
Fractional currency
Specie
Legal tender notes
IT. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 1657.

$399, 448 93
998 73
50, 000 00
100,000 00

57, 949 77
38, 737 48

742 50

J. T. BRACKENRIDGE, Cashier.

Capital stock paid in..

$125,000 10

Surplus fund
,
Other undivided profits.

75,000 00
62,017 03

National bank notes outstanding
State bank notes outstanding

42, 369 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers,.

21,243 00
4, 334 30
25, I 44 20

Due to other national bank s
Due to State banks and bankers

54, 115 00

215,297 67
172,084 29
48, 352 58

Notes and bills re-discounted
Bills payable

14, 841 34

"" 2,"250 6o"
754,961 9L

754, 96L 91

Waco National Bank, "Waco.
W M . A. FORT, President

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits...
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents .
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. 2189.
$130,101 54
2, 787 32
35, 000 00
1,426 77
23, 275 40
29,375 21
4, 287 54
37 78
1, 375
2, 007
3, 643
31, 0U8

00
50
25
00

H. Ex. 3- -28




Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$100,000 00
5, 000 00
5, 715 65
31, 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

104, 113 55

1, 277 11

" 18,530 bb

1,781 00
266, lofi 31

Total.

G-EO. W. JACKSON, Cashier.

Total.

266, 106 31

492

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ARKANSAS.
National Bank of Western Arkansas, Fort Smith.

BERNARD BAER, President.

No. 1950.

P. K. ROOTS, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
V. S. bonds to secure deposits
U. S. bonds on hand.
Other stocks, bonds, and mortgages..
Due from approved reserve agents . . .
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$52, 880 39
"55,660 66
11,250 00
7, 474 70
6,079 13
2, 000 00
750 00

Capital stock paid in.

6, 875 00
4, 594 96

National bank notes outstanding .
State bank notes outstanding

49, 500 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

32, 289 04

1, 275 00 Due to other national banks
87 40 Due to State banks and bankers.
8, 325 00 Notes and bills re-discounted.
Bills payable
"*3,"i3738
Total.

148, 259 00

Total.

$55, 000 00

Surplus fund
,
Other undivided profits

Merchants' National Bank, Little Rock.
LOGAN H. ROOTS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Total.




No. 1648.

LUCIEN W. COY, Cashier.

$185,405 61 j I Capital stock paid in.
394 40
150, 0U0 00 ! Surplus fund
85, 000 00 1 Other undivided profits..
36, 449 32 National bank notes outstanding
22, 427 41 State bank notes outstanding
11,519 39
13, 619 00 Dividends unpaid .
"il,814 00
2,156 41

Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

4,837*66

Due to other national banks
554 46 Due to State banks and bankers
760 00
18, 000 00 Notes and bills re-discounted.
Bills payable
Total.

$150, 000 00
23, 590 00
4,315 11
135, 000 00

154,154 17
69,988 02
9,217 52
2, 554 40
1, 046 68

549, 775 90

REPORT OF THE COMPTROLLER OF THE CURRENCY.

493

KENTUCKY.
Ashland National Bank, Ashland.
H U G H MEANTS, President.

No. 2010.

A. C. CAMPBELL, 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
Exch; n ?es for clearing house
Bills of oHier banks
Fractional currency
Specie
Legal teniUT notes
U. S. certificates of deposit
Due from U. S. Treasurer

Liabilities.

$365, 557 46 Capital stock paid in .

"356,606 66'
7," 266 "66"

Surplus fund
Other undivided profits

$350, 000 00
,

21,500 00
22, 712 61

9,592 50 National bank notes outstanding
15, 105 04 State bank notes outstanding
17, 247 04 Dividends unpaid .
13, 780 00

313,100 00
2,265 00

3, 885 84
26, 337 75

Individual deposits
I United States deposits
64 00 j| Deposits of U. S. disbursing officers.

4, 300 00
42 44

129, 584 60

Due to other national banks
Due to State banks and bankers

1, 503 57
1, 196 29

Notes and bills re-discounted
Bills payable
Total.

Total.

841,862 07

First National Bank, Covington.
No. 718.

AMOS SHINKLE, 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 .

$635,013 15
1, 667 32
500, 000 00
60, 000 00
7, 2U0 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

70, 099 43
67,092 12
45, 472 75
3, 789 80
1,011 83
18,742 00
225 20
2,274 00
30, 000 00
5, 000 00
22, 500 00

ISAAC D. F R Y , Cashier.

Capital stock paid in

$500, 000 00

Surplus fund
Other undivided profits

|

160, 000 00
28, 339 28

National bank notes outstanding
State bank notes outstanding

j
I

450, 000 00

Individual deposits
1
United States deposits
I
Deposits of U. S. disbursing officers..

223, 175 40
59, 74 i 00
2, 731 33

Dividends unpaid

730 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable

6, 956 41
38, 414 18
,

1,470,087 60

Total.

1,470,087 60

Covington City National Bank, Covington.
No. 1859.

J. D. HEARNE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash iteni3
Exchanges 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.

B. JONES, Cashier,

$674,791 82 Capital stock paid in
1,244 62
Surplus fund
500, 000 00
Other undivided profits.

41,749 28
53,697 52
30, 000 00
3,994 98
15, 000 00

6, 230 (X)
309 70
000 00
000 00
000 00
500 00

2,
20,
10,
22,

1,381,517 92

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.

J

$500,000 00
55, 000 00
23, 627 64
450, 000 00
1, 524 00
187,809 59

63, 865 42
89,891 27
9, 800 00

1,381,517 92

494

REPORT OF THE COMPTROLLER OF THE CURRENCY.
K E N T U C K Y.
German National Bank, Covington.

H. FELTMAN, President.

JAMES SPILMAN, 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 .

$285, 202 23 Capital stock paid in.
23 33
250, 350 00 Surplus fund
Other undivided profits 200 00 !
191 50 | National bank notes outstanding
|
12, 768 42 State bank notes outstanding
13,808 32
't
4, 043 07 || Dividends unpaid .
2, 279 06 Individual deposits
25, 952 41 United States deposits
459 43 Deposits of U. S. disbursing officers.
4,180 00
100 35
2, 466 90
19, 096 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted .
Bills payable

|
j

$250, 000 00
24, 000 00
5, 463 36
224, 908 00
52 00
121,828 17

3, 896 27
2, 223 22

11,250 00 !
Total.

632,371 02

632,371 02

National Bank, Cynthiana.
H. E. SHAWHAN, President.

No. 1900.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages ..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
'
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$206,406 90
3, 000 00
150, 000 00

J. S. WITHERS, Cashier.

Capital stock paid in.

$150, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
25,120 02 State bank notes outstanding
4,689 50
15, U00 00 Dividends unpaid
1, 603 44 ; Individual deposits
United States deposits
300 00 I Deposits of U. S. disbursing officers
3, 000 66

1,391 17
16, 000 00
"*6,"75O"66

Due to other national banks
Due to State banks and bankers
; Notes and bills re-discounted
Bills payable
-

125, 000 00
!
j

750 00

j
!.
. I.

129, 020 96

\
'
!
j.

624 38
3, 703 04

43fJ,26L 03

Total.

433,261 03

16, 500 00
7, 662 65

First National Bank, Danville.
G. W. WELSH, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures-.
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1601.

G. W. WELSH, Jr., Cashier.

$181,813 58 I1 Capital stock
454 32 !
100,0U0 00 I Surplus fund

11,715
22, 876
9, 000
1,222

56
50
00
72

1,181 00
175 19
1,200 00

paid in.

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
8, 229 96
90, 000 00

65, 550 98

59 71
944 68

10,341 00 Notes and bills re-discounted
Bills payable
**4*805"46
344, 785 33

Total

344,785 33

REPORT OF THE COMPTROLLER OF THE CUftREtfCY.

495

KENTUCKY.
Central National Bank, Danville.
No. 1600.

CLIFTON RODES, President.

J. W. PROCTOR, 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 ,

$360,339 83
1,032 02
200, 000 00

6, 569
52,014
13, 800
2,132
10, 000
1, 188

28
34
00
76
00
22

2, 254
185
100
19,115

00
83
00
00

Capital stock paid in.

$200, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

75, 000 00
25,713 65
178,500 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

190,117 80

5,771 31
2, 628 52

9, 000 00
Total.

677, 73 L 28

677. 731 28

Fleming County National Bank, Flemingsburg.
E. E. PEARCE, President.

No. 2323.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks..
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$35, 027 71
3. 169 89
50, 000 00

6, 500 97
4, 851 21
4,023 99
638 93
8, 750 00
1, 371
34
315
3, 500

00
83
00
00

THOS. S. ANDREWS, Cashier.
$50, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

6, 668 94
44, 300 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

19,413 08

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

!, 250 00
120, 433 53 ;

Total.

120,433 53

First National Bank, Franklin.
R. D. SALMONS, President.
Loans and discounts
Overdrafts
U- S. bonds to secure circulation
U S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks asd other cash items . .
Exchanges for clearing house .
Bills of other banks
Fractional currency
Specie
Legal tender notes
...
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1760.

J. L. MCG-OODWIN, Cashier.

$111,322 80 !| Capital stock paid in.,

$100,000 00

835 07 II

50, 000 00
500 00
4,727 60
26, 302 27
12,827 37
653 60
3, 300 07
216 51
4, 029
39
999
5, 500

00
9L
79
00

Surplus fund
Other undivided profits
National bank notes outstanding . . .
State bank notes outstanding

20, 768 88
3, 635 27
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, 714 82

361 45

223, 480 42

496

REPORT OF THE COMPTROLLER OF THE CURRENCY.

A. B . BONTA,

KEIVTUCIiY,
«
First National Bank, Harrodsburg.

President.

No. 1807.

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..
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
Dae from U. S. Treasurer
Total .

$142,441 m
530 41
62, 000 00
5, 850 00
85 63
9, 760 09
10, 784 40
1,894 11
2, 000 00
156 23

D. J. CURRY, Cashier.

Liabilities.

Capital stock paid in.

! L00, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

7, 000 00
4,817 79
54, 300 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

1, 525 00 Due to other national banks
189 70 Due to State banks and bankers
74? 32
Notes and bills re-discounted
10, 000 00 Bills p ay able

82,961 83

1, 448 02
201 88

"2,"765'()6"

Total.

250,729 52

250, 729 52

Henderson National Bank, Henderson.
No. 1615.

L. C. D ALL AM, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes 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 .

S. K. SNF.ED, Cashier.

$250, 762 76 Capital stock paid in.
3, 392 90
200, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
9, 403 66 State bank notes outstandit g
20, 892 38 Dividends unpaid.
12,712 3'*
3, 315 80 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

$200, 000 00
50, 000 00
17,018 22
178, 200 00

98, 807 04

11,482 00 Due to other national banks
224 18 Due to State banks and bankers
4,739 25
18, 200 00 Notes and bills re-discounted Bills payable
9, 000 00
544,125 26

Total.

544, 125 26

National Bank, Lancaster.
GEORGE DENNY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks,bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks 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. 1493.

W. H. KINNAIRD, Cashier.

$375,129 99 Capital stock paid in.
3, 124 19
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
15, 647 82 State bank notes outstanding
17, 505 98 Dividends unpaid.
16, 772 36
1, 340 40 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
776 00
86 64
3, 263 00

Due to other national banks
Due to State banks and bankers

3, 345 00

$250, 000 00 •
85, 000 00
5, 905 21
45, 000 00

103, J 68 99

Notes and bills re-discounted
Bills payable

167 18

""2," 250'671
489,241 38

Total

489,241 38

REPORT OF THE COMPTROLLER OF THE CURRENCY.

497

KENTUCKY.
Marion National Bank, Lebanon.
N. S. RAY, Cashier.

R. H. ROWNTREE, President.
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 Qash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$236, 904 15
3, 523 24
100, 0U0 00

14, 000 00
6, 632 46

National bank notes outstanding
State bank notes outstanding
4,879 85
4, 350 00
1. 112 65
12, 246 18

Surplus fund
Other undivided profits

90, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

301 00 |j Due to other national banks
Due to State banks and bankers
320 92
16, 000 00 Notes and bills re-discounted
"4,500 66 Bills payable
Total.

384,137 99

Total.

$150, 000 00

Capital stock paid in .

121,658 65

439 86
1,407 02

384, 137 99

National Bank, Lebanon.
No. 1694.

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 .

$158,676 71
1,641 45
50, 000 00

7, 086 29
2,512 65
9, 800 00
1,539 24
5, 000 00
988 39
767 00
278 77
1, 829 95
14,179 00

HENRY WILKKN, Cashier.

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits

5, 000 00
3,999 45

National bank notes outstanding
State bank notes outstanding

43, 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
Netes and bills re-discounted.,
Bills payable

96, 605 25

4.102 78
2,851 97

.2,250 00
Total.

256, 549 45

256,549 45

First National Bank, Lexington.
S. P . KENNEY, 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.




No. 760.

THOS. MITCHELL, Cashier.

$325 022 68 Capital stock paid in .
5, 220 20
400, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
66, 932 36
21, 740 79 Dividends unpaid.
21, 000 00
634 81
25, 000 00 Individual deposits
Uni ted States deposits
758 78 Deposits of U, S. disbursing officers.
16, 777 00
1, 064 25
11,580 00
30, 002 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

$400, 000 00
80, 000 00
13, 492 92
326, 700 00
15, 806 00
93, 435 93
4, 902 63
6, 695 34

15, 300 00
941,032 87

Total.

941,032 87

498

REPOllT OF THE COMPTROLLER OF THE CURRENCY.
KENTUCKY.
Fayette National Bank, Lexington.
No. 1720.

SQUIRE BASSETT, President.

R. S. BULLOCK, 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.

$312,986 31
4 620 08
26U, 000 00

26, 028 49
52,319 49
33,875 91
4,267 63
26, 842 52
1,127 70
8,638 00
458 06
1,450 00
21,500 00

Capital stock paid in.

$300,000 00

Surplus fund
Other undivided profits
National bank notes outstanding .
State bank notes outstanding
Dividends unpaid .

26,700 00
37,014 12
234,000 00

688 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officer)

179, 604 99

Due to other national banks
Due to State banks and bankers ..

13,785 37
4,021 71

Notes and bills re-discounted.
| Bills payable

11,700 00
Total.

795,814 19

795,814 19

Lexington City National Bank, Lexington.
R. B. HAMILTON, President.

No. 906.

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.

$214, 082 57
1,910 04

GEORGE STOLL, Jr., Cashier.

Capital stock paid in

$200, 000 00

200, 000 U0

40, 000 00
54, 330 63

Surplus fund
50, 000 00 Other undivided profits .
National bank notes outstanding..
27, 543 20 State bank notes outstanding
33,258 02 Dividends unpaid.
42, 260 55

179, 907 00

Individual deposits
5,550 00 United States deposits
1,898 76 Deposits of U. S. disbursing officers

83,278 96
40, 0J0 0)

11,306 00
779 95
1,265 25
11, 892 00

Due to other national banks
Due to State banks and bankers . .
Notes and bills re-discounted.
Bills payable

3, 675 00

3,227 03
5, 027 03

7, 699 31
Total.,

609, 445 65

609, 445 65

First National Bank, Louisville.
GEO. A. 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
S pecie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 109.

R. M. CUNNINGHAM, Cashier.

$473, 882 06 Capital stock paid in .
912 74
425, 000 00 Surplus fund
• 200, 000 00 Other undivided profits.
18, 300 00 National bank notes outstanding
26, 955 16 State bank notes outstanding
28, 000 75 Dividends unpaid.
3,060 00
8, 642 62 Individual deposits
34,126 05 United States deposits
75 21 Deposits of U. S. disbursing officers .
5, 577 00
195 00
854 40
55, 000 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

$500, 000 00
64, 086 73
30, 664 85
376, 900 00

140 00
87,202 07
38,659 31
131,271 50
42, 079 96
28,701 57

19,125 00
1, 299, 705 99

Total.

1, 299, 705 !

REPORT OF THE COMPTROLLER OF THE CURRENCY.

499

KENTUCKY.
Second National Bank, Louisville.
No. 777.

JAS. BRIDGEFORD, President.

GEO. S. ALLISON, Cashier,

Resources.
Loans and discounts
j
Overdrafts
j
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 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.
$527,761 07 I Capital stock paid in
I
5, 389 26 |,
300, 000 C I Surplus fund
O
Other undivided profits
1,962 53 I National bank notes outstanding
8, 599 62 State bank notes outstanding
51,99-2 62 Dividends unpaid .
19,318 45
6, 949 92 Individual deposits
9, 000 00
United States deposits
,
2, 240 61 Deposits of U. S. disbursing officers.
2, 786 00 Due to other national banks
129 08 Due to State banks and bankers
350 00
27,000 00 Notes and bills re-discounted.
Bills payable
14, 600 00
978,079 16

Total.

Total.

$400, 000 00
39, OfiO 55
26, 176 22
269, 950 00

66,938 76

135,109 93
28,449 53
12,394 17

978,079 16

Third National Bank, Louisville.
J. VON BORRIES, President.

E. C. BOH> T £, Cashier.

No. 2171.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
..
Checks and other cash items..
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, 083 35

180, 000 00

Surplus fund
Other undivided profits.
3,013 02 National bank notes outstanding
8, 269 46 State bank notes outstanding
14, 942 99 Dividends unpaid .
2, 888 83
390 61
13, 500 00 Individual deposits
United States deposits
7,191 23 Deposits of U. S. disbursing officers.
4,718 00
302 90

788 50
14,350 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

10, 750 00
2,757 99
160, 200 00

6, 692 00
138, 735 38

1, 550 04

""15,666 66

8,100 00
535,685 41

Total.

$200, 000 00

$276, 146 52 Capital stock paid in.

535, 685 41

Total.

Citizens' National Bank, Louisville.
J . G. BARRET, President.

Loans and discounts
!
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasui'er
Total .




H. C. RODES, Cashier.

No. 2164.

$681,746 69 Capital stock paid in.
7, 423 00
300, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
41,742 78 State bank notes outstanding
60, 586 90 Dividends unpaid .
67,212 25
4,005 16
33, 363 99 Individual deposits
United States deposits
29,859 92 Deposits of U. S. disbursing officers.
4, 782 00

1,111 55
25, 000 00
13, 507 65
1,270,341 89

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable
Total.

$344, 000 00
13,076 00
37, 676 30
270,000 C
O

354, 032 20

61,641 03
103, 678 70
86, 237 66

1,270,341 89

500

REPORT OF THE COMPTROLLER OF THE CURRENCY.
KENTUCKY.
German National Bank, Louisville.

ADOLFH REUTLINGER, President.

G E O R G E VISSMAN, Cashier.

No. 2062.

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.

$251, 500 00

$394, 125 93 Capital stock paid in.
2, 707 76
239, 700 00 Surplus fund
Other undivided profits
3,260 47
11,643 66
20, 830 06
7, 299 63
5, 523 65
15, 440 00
2,520 81

33,503 27
20, 131 67

,

210, 519 00

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

682 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers

162,000 51

Due to other national banks
43 15 Due to State banks and bankers —
900 00
25, 766 00 Notes and bills re-discounted.
Bills payable
1, 926 66

13,811 75
269 06

1,072 00

40, 337 57

Total.

732, 759 83

732. 759 83

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. 3908.

$746, 756 19
6,337 11
500,000 00
300, 000 00
5, 770 80
50, 583 87
38, 245 96
43, 489 26
16, 169 63
92, 782 58
8, 505 32

LOGAN C. MURRAY, Cashier.

$500, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding

113,943 94
41,266 33
1

450, 000 00

State bank notes outstanding
Dividends unpaid

Individual deposits
United States deposits
13,019 00 Deposits of U. S. disbursing officers .
160 15 Due to other national banks
2, 600 00 Due to State banks and bankers
114, 0U0 00 Notes and bills re-discounted .
Bills payable
25,120 00
Total

1, 963, 539 87

412,996 03
183,479 56
66, 774 8U
122, 507 17
72, 572 04

1,963 539 87

Louisville City National Bank, Louisville.
C. N. WARREN, President.
Loans and discounts
Overdrafts
U. S. bonds to secui'e circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 788.
$703, 543 66
90 25
200, 000 00

R. S. MOXLEY, Cashier.

Capital stock paid in.

Surplus fund
Other undivided profits
9, 380 00 i National bank notes outstanding
4,681 90 ' State bank notes outstanding
9,519 82 !
10, 199 38 i Dividends unpaid .
8, 499 01 I Individual deposits
United States deposits
5,384 43 Deposits of U. S. disbursing officers .

2, 149 00 Due to other national banks
800 65 I Due to State banks and bankers
105 00 1
1
60,000 00 j! Notes and bills re-discounted
9,050 66 1 Bills payable
1
1,023,403 10 1
1

Total

$400, 000 00
46,213 81
33,592 88
180,000 00

] 32,147 75

125,456 89
105,991 77

1,023,403 10

REPORT OF THE COMPTROLLER OF THE CURRENCY.

501

KENTUCKY.
Merchants' National Bank, Louisville.
J. H. LlNDENBERGER, Cashier.

H. C. CARUTH, President.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.ibonds on hand
.„.
Other stocks, bonds, and mortgages.

559 03 !
1, 281 42 !
500, 000 00 I

Due from approved reserve agents. .
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid

! 866 58
,
i 930 44
,
i 633 22
,
1.364 69
! 000 00
,
10, 467 01

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

1,341 12

$500, 000 00

Capital stock paid in.

20,000 00
58, 400 69

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

448, 000 00

Dividends unpaid .

2, 756 50

Individual deposits
United States deposits
Deposits of U.S. disbursing officers .

775 00 j Due to other national banks
651 5L ; Due to State banks and bankers
700 00
000 00 Notes and bills re-discounted
Bills payable...

329, 626 83

150, 535 91
350, 750 09

,

Total.

First National Bank, May field.
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

No. 2245.
$179,522 74 j

""ioo,"65o 6o"|
700 00

Capital stock paid in,

$159, 000 00

Surplus fund
Other undivided profits
*
National bank notes outstanding
State bank notes outstanding

9, 060 62 Dividends unpaid .
1,300 00 I
1,414 23
9,000 00 !Individual deposits
United States deposits
265 65 Deposits of U. S. disbursing officers .
3, 380 00 Due to other national banks
7 45 Due to State banks and bankers
3, 500 00
Notes and bills re-discounted.
Bills payable

9, 000 00
12, 182 44
90, 000 00

38, 785 24
12, 683 01

""'4*500*66"

312,650 69

Total .

S. P. RIDGWAY, Cashier.

Total.

312, 650 69

National Bank of Union County, Morgan field.
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 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. 2209.

$100,553 51
100,000 00

D. C. JAMES, Cashier.

Capital stock paid in

Surplus fund
Other undivided profits
National bank notes outstanding .
State bank notes outstanding

7, 634 04
25,319 72 Dividends unpaid
2,517 17
1,133 96 ! Individual deposits
8,000 00 i United States deposits
Deposits of U. S. disbursing officers.

$100,000 00

3, 000 00
7, 879 83
90, 000 00

58, 843 91

680 00 ! Due to other national banks
82 80
932 10 j Due to State banks and bankers .
7, 550 00 INotes and bills re-discounted
Bills payable

""5"32l)"44"i

259, 723 74 I

Total

259,723 74

502

REPORT OF THE COMPTROLLER OF THE CURRENCY.
KENTUCKY.
Farmers' National Bank, Mount Sterling.

J. A. HANNAH, President.

No. 2216.

W M . MITCHELL, 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.. L
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.

Total.

$316,778 07
5. 188 65
250, 000 00

Capital stock paid in.

150, 000 00
8, 000 00
2,291. 32

Surplus fund
Other undivided profits.
National bank notes outstanding . . .
State bank notes outstanding

23, 597
9,714
488
28, 571

98
60
95
47

225, 000 00
1, 332 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

97, 736 36

00 Due to other national banks
34
Due to State banks and bankers...
90
0Q | Notes and bills re-discounted
Bills payable
11,250 00

3,748 82
57, 755 46

1,240
21
346
8, 666

Total.

655, 863 96

10, 000 00
655,863 96

Mount Sterling National Bank, Mount Sterling.
No. 2185.

C. BROCK, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

1108,756 15
2,801 95
50, 000 00
88 00

Capital stock paid i n .

$50, 000 00

Surplus fund
Other undivided profits

15,500 00
3, 058 03

National bank notes outstanding .

45, 000 00

2, 182 62 State bank notes outstanding
28, 200 76 Dividends unpaid .
8, 932 33
1,977 12 Individual deposits
4, 500 00

85, 812 66

United States deposits
Deposits of U. S. disbursing officers.

2,225
340
6-24
5,800

00
Due to other national banks
93 j | Due to State banks and bankers
00 II
00 1 Notes and bills re-discounted.
1
Bills payable
,
650 00
Total.

217,078 86 I

Total..

H. R. FRENCH, Cashier.

1,093 81
5, 546 22
11, 068 14

217,078 86

National Bank, New Castle.
G - C. CASTLEMAN, 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..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 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. 2196.

J. W. MATHEWS, Cashier.

$88,433 97 Capital stock paid in
500 00 1
1
60, 000 00
Surplus fund
Other undivided profits

3,616
1,445
3, 200
662
5, 700

73
32
00
58
00

1, 800
15
250
3, 000

00
51
00
00

"27700" 66'\

National bank notes outstanding...
State bank notes outstanding

$60, 000 00
2,100 00
3, 311 84
54, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

37, 304 37

Due to other national banks
Due to Sta e banks and bankers . . .

420 69
187 21

Notes and bills re-discounted
Bills payable
Total

14,000 00
171,324 11

REPORT OF THE COMPTROLLER OP THE CURRENCY.

503

KENTUCKY.
First National Bank, Newport.
T. B. YOUTSEY, Cashier.

No. 2276.

WILLIAM ROBSON, 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. 8. certificates of deposit
Due from U. S. Treasurer

$136,654 39
222 78
33, 500 00

Surplus fund
Other undivided profits
National bank notes outstanding

1,465 00
16,264 80 State bank notes outstanding
3. 901 45
2, 232 98 Dividends unpaid
1, 468 70 j
4,704 45 Individual deposits
187 45 United States deposits
447 00 Deposits of U. S. disbursing officers..
148 24 Due to other national banks
1, 189 35 Due to State banks and bankers
4,145 00 Notes and bills re-discounted
1,507 00 Bills payable

3, 000 00
3,157 22
30,140 00

144 00
70, 604 35
482 07
510 95

2U8, 038 59

Total....

208,038 59

Total.

$100, 000 00

Capital stock paid in

First National Bank, Nicholasville.
No. 1831.

SAMUEL MUIR, President.

Loans and discounts
Overdrafts
U. S. bonds 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!
Exchanges for clearing house
Bills of other bauks
Fractional currency
Specie
Legal tender notes
,
U. S. certificates of deposit
Due from U. S. Treasurer

JOHN A. W I L L I S , Cashier.

Capital stock paid in.,
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$100,000 0 0
5,850 00
2,341 85
90, 000 00

Dividends unpaid .

2L0

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

45,149 !

1, 795 68
1,997 69

247, 135 18

Total.

National Bank of Owen, Owenton.
A. P. GROVER, Presiaenc.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds 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 es and taxes paid
Premiums paid
Checks and other cash items..
Exchanges 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. WlTHERSPOON, Cashier.

No. 1963.

$68, 117 33 Capital stock paid in.
1 33
56, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
22, 356 64 State bank notes outstanding
8, 559 27
3,682 21 Dividends unpaid .
1,541 04 Individual deposits
United Sta tes de posits
117 50 Deposits of U. S. disbursing officers
4, 370 00 Due to other national banks
131 50 Due to State banks and bankers .
353 15
7,016 00 Notes and bills re-discounted.
Bills payable
,
Total.

$5tf, 000 00
3,851 55
5,937 02
50, 400 00

57, 867 37

140 03

174, 195 97

501

REPORT OF THE COMPTROLLER OF THE CURRENCY.
KENTUCKY.
First National Bank, Paducah.

WM.

No. 1599.

BEADLES, President.

SALEM P. COPE, 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
Billy of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$283,157 70 i Capital stock paid in

39,546
22,897
2,500
2,533
7,0U0

809

Surplus fund
Other undivided profits
National bank notes outstanding
06 ji State bank notes outstanding
17 IDividends unpaid .
00 !i
71 |i Individual deposits
j
00 j,
United States deposits
j
73 |l Deposits of U. S. disbursing officers •!l

17,814 00 jj Due to other national banks
22 80 i1
4,246 6> Due to State banks and bankers
20,000 00 Notes and bills re-discounted .
Bills payable
11,250 00 !;
661,777 82

Total.

$250, 000 00

""256,"6oo'6o

50, 000 00
31,737 94
222, 200 00

107, 591 66

I

Total .

2 00
246 22

661,777 82

American-German National Bank, Paducah.
H. M. GILSON, President.

.No. 2070.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages. Due from approved reserve agents...
Due from other banks and bankers..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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-. C. THOMPSON, Cashier.

$137,269 54 Capital stock paid in.
I
307 15
50, 000 0,1 Surplus fund
j
j
Other undivided profits .
National bank notes outstanding
J
3,552 52 State bank notes outstanding.
|
4,370 60
5,li00 00 Dividends unpaid
|
1,390 90
5, COO 00 Individual deposits
485 00 United States deposits
14, 935 00 Deposits of U. S. disbursing officers. j
Due to other national banks
211 42 Due to State banks and bankers
I
640 00
7, 000 00 i Notes and bills re-discounted.
j! Bills payable
2,250 00 j

$100,000 00
20, 000 00

9, 874 47
45, 000 00
.
44, 642 09
1,165 07
198 44
11,532 06

-U

232,412 13 !

Total.

Total.

City National Bank, Paducah.
:S. B. H U G H E S , 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..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. 2093.

E L B R I D G E PALMER, Cashier.

$244,682 59

Capital stock paid in .

200, 000 00

Surplus fund
Other undivided profits

6, 405 00
14,241 14
1, 942 16
13, 514 36
2, 893 36
21, 000 00
33 63

10, 454 00
13 79
1,270 00

18,361 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

$200, 000 00
22, 500 00
8,7U5 66
177, 900 00
4, 875 00
120,629 13

6,316 3t
2,884 90

9, 000 00 1
1
543,611 03 ji

Total.

543,811 03

REPORT OF THE COMPTROLLER OF THE CURRENCY 505
KE W TUCKY.
First National Bank, Richmond.
No. 1728.

S. P. W A L T E R S , President.

W. R. LETCHER, 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.
$328,046 51
6,784 61
192, 000 00

4. 046
14, 475
8, 000
2, 859

Capital stock paid in.

172, 728 00

Dividends unpaid .
Individual deposits ,
United States deposits
Deposits of U. S. disbursing officers.

00'
27
00
00

Due to other national banks
Due to State banks and bankers

117, g

i 42

357 20
1,214 56

Notes and bills re-discounted .
Bills payable

8, 640 00 j

I

Total.

22, 000 00
16,100 91

National bank notes outstanding
State bank notes outstanding

93
05
00
72

250 00
8, 200
306
600
6, 000

$250, 000 00

Surplus fund
Other undivided profits.

Total.

580,209 09 j

580,209 09

Farmers' National Bank, Richmond.
No. 1309.

JOHN BKNXETT, President.
Loans and discounts
|
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid .
Checks and other cash items
Exchanges 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. PARKES, Cashier.

$214,011 40 j Capital stock paid in.
6,428 37
100, 000 00
Surplus fund
Other undivided profits .

15, 433
13, 984
6,100
930

68
33
O
D
68

$150, 000 00
45, 000 00
6,704 44

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

Individual deposits
United States deposits
91 17 Deposits of U. S. disbursing officers.

3,193 00
447 10
800 00
8, 000 00

89,994 00

Due to other national banks
Due to State banks and bankers

81, 677 18

534 71
9 40

Notes and bills re-discounted.
Bills payable

4,500 00
Total.

373,919 73

373, 919 73

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...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.

$315, 495 48
4, 500 00
50, 000 00
9, 500 00

C. D. CHENAULT, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding

$200,000 00
102,000 00
110 59
45,000 00

5, 009 07 State bank notes outstanding
11,326 36 Dividends unpaid .
11,500 00
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

6, 739 00 Due to other national banks
251 10 Due to State banks and bankers
213 30
5, 500 00 [ Notes and bills re-discounted.

70,476 41

3, 389 20
1,308 J l

Bills payable
2, 250 00
422,284 31

Total.

422, 284 31

506

REPORT OF THE COMPTROLLER OF THE CURRENCY.
KENTUCKY.
Logan County National Bank, Russellville.

JAS. L. RlZER. President.

No. 2169.

H U G H BARCLAY, 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
tremiuins paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .

$73,754 17
5,038 30
46, 000 00
14,364 90

Capital stock paid in

j

$50, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

i
j
j
!

6, 0 0 00
2, 349 24
41, 400 00

2,711 69 Dividends unpaid
4, 182 10
755 09
,
5, 900 00 Individual deposits
United States deposits
372 33 Deposits of U. S. disbursing officers.
1,609 00
27 65
1,256 00
6, 500 00

Due to other national banks
Due to State banks and bankers
Notes and bills re discounted Bills payable

1,763 20
50,136 50

j
j

4, 2H 35
6, 255 60
2,412 34

2, 070 00

Total.

164,541 23

164, 541 23

National Bank, Somerset.
No. 1748.

J. M. PERKINS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
1
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
i
Exchanges for clearing house
:
Bills of other banks
j
Fractional currency
j
Specie
j
Legal tender notes
|
Due from U. S. Treasurer
j
Profit and loss
j

: 124, 963 46 j [ Capital stock paid in
100, 000 00
10, 000 00

$100, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding .
Dividends unpaid

j
!
i
j
j

31,553 63
270 46
4,200 00
i vr- rfn i Individual deposits
!
1,1/0 U > U n i t ( . d states deposits
U !
j
I Deposits of U. S. disbursing officers..
2, 100 00 Due to other national banks
j
74 24 Due to State banks and bankers
''.
5, 000 00 I Notes and bills re-discounted
j
4, 500 00 Kills payable
i
5,207 81 |
289,062 06 |

Total.

ROBERT GIBSON, Cashier.

Total.

20, OK) 00
8, 161 82
90, 000 00

70,331 86

568 38

289, 062 06

First National Bank, Springfield.
E. L. DAVISOS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures-.
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Billa of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1767.
$227,419 20
2.564 10

C. R. MCELROY, Cashier,

Capital stock paid in.

100,000 00

Surplus fund
,
Other undivided profits 5, 100 00 National bank notes outstanding
2, 334 79 State bank notes outstanding
5, 121 33
8, 700 00 Dividends unpaid.
228 55
2,915 33 Individual deposits
United States deposits
102 18 Deposits of U. S. disbursing officers.
7,921 00
19 70
286 70

10,185 00

Due to other national banks
.
Due to State banks and bankers

$150,000 00
25, 000 00
6, 786 14
90, 000 00

90,938 84

4, 792 72

9,880 18

Notes and bills re-discounted
Bills payable

" 4 , 5 0 6 " 00
377, 397 88

Total

377, 397

REPORT OF THE COMPTROLLER OF THE CURRENCY.

507

KENTUCKY.
Farmers' National Bank, Stanford.
No. 1705.

J. H. SHARKS, President

J

Liabilities.

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

$233, 008 25 Capital stock paid in .
2, 48 L 60
200, 000 00 S urplus fund
Other undivided profits
18, 700 00 National bank notes outstanding
265 55 State bank notes outstanding
8, 184 02
6. 300 00 Dividends unpaid.
126 34 Individual deposits
22,354 84 United States deposits
Deposits of U. S. disbursing officers..
3, 800 00
260 16

Due to other national banks
Due to State banks and bankers

5, 000 00

$200, 000 00
36, 020 24
2, 855 64
180, 000 00

70,185 37

8,105 17
2,314 34

Notes and bills re-discounted
Bills payable

'9,006 "of)"
499, 480 76

Total.

o. B. OWSLEY, Cashier.

Total.

499, 480 76

National Bank, Stanford.
No. 1204.

J. S. MURPHY, President.
Loans and discounts
-Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve ageuts . .
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
.
Bills of other banks
Fractional currency
Specie,
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$193,076 08
9, 805 75
150, 000 00
1, 000 00
4,218 21.
3, 470 38
7, 548 56
1, 037 17
792 82
2, 525 00
45 60
1,884 93
3, 831 00

$150, 000 00

Surplus fund
Other undivided profits

30,000 00
8, 880 24

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
Notes and bills re-discounted .
Bills payable

58, 199 64

2,361 88
352 45

5, 688 91.
Total .

384,924 41

Total.

J. J. MCROBERTS, Cashier.

Capital stock paid in.

384,924 41

Citizens' National Bank, Winchester.
No. 2148.

W. 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 .

H. Ex. 3-




$183,757 29
4, 068 92
175, 000 00

$175,000 00

Surplus fund
Other undivided profits

15, 000 00
5, 158 57

National bank notes outstanding
8, 706 42 State bank notes outstanding
5, 305 74
8,099 36 Dividends unpaid.
2, 124 12 Individual deposits
16, 225 00 United States deposits
815 09 Deposits of U. S. disbursing officers.

157, 500 00

839 00
96 00
564 00
8, 000 00

Due to other national banks
Due to State banks and bankers

360 00
60,881 71

2, 854 38
1,774 28

Notes and bills re-discounted
Bills payable

"""4*928 66"
418,528 94

-29

J. D. SIMPSON, Cashier.

Capital stock paid in .

Total

418,528 94

508

REPORT OF THE COMPTROLLER OF THE CURRENCY.
KENTUCKY.
Clark County National Bank, Winchester.

J O H N W. BEAN, President.

No. 995.

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..
"Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
Exchanges 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. G. TAYLOR, Cashier.

Liabilities.
$289, 342 98 Capital stock paid in.
I), 382 15
150,0.0 00 Surplus fund
1 Other undivided profits
I
| National bank notes outstanding
41,678 75 j State bank notes outstanding
27.891 72 Dividends unpaid f>, 150 00
2,589 05 Individual deposits
United States deposits
5,112 48 Deposits of U. S. disbursing officers.
4,389 00
259 57
433 50
21,000 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable.

$150,000 00
71,250 00
3, 405 84
135, 000 00
210 00
157, 755 23
34,474 00
14,357 64

REPORT OF THE COMPTSOIJLEB OF THE CURRENCY.

509

TENNESSEE,
First National Bank, Chattanooga.
No. 1606.

W. P. RATHBURtf, President.

T. G. MONTAGUE, Cashier.

Liabilities.

Resources.
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 agents .
Due from other banks arid bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid.
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$324, 061 22
2,664 16
200,000 00
50, 000 00
1,300 00
19, 648 75
54,895 2L
17, 658 56
34, 090 67
5,864 0L
97 18
7, 40L 89
1,720 00

1,147 52
10, 283 02
26, 575 00

Surplus fund
Other undivided profits.
National bank notes outstanding...
State bank notes outstanding

40, 000 00
38,074 22

175, 06 L 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

281,795 13
14,915 90
14,127 81

Due to other national banks
Due to State banks and bankers . . .
Notes and bills re-discounted.
Bills payable

1,159 76
1, 276 37

9, 000 00
766,410 19

Total .

$200, 000 00

Capital stock paid in.

Total.

766,410 19

First National Bank, Clarksville.
S. F. BEAUMONT, 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 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. 1603.
$96, 014 72

WM. P. HUME, Cashier.

Capital stock paid in .

$100, 000 00

"loo, 655 66

Surplus fund
Other undivided profits
"25,600 66
National bank notes outstanding
1.544 65 State bank notes outstanding
24,301 71
9,287 60 Dividends unpaid .
1,459 82
11,906 25 Individual deposits
United States deposits
Deposit* of U. S. disbursing officers.
15,000 00
329 69
1,532 50
30, 000 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

20, 000 C
O
5, 020 87
90, 000 00
60 00
108,511 73

1, 794 34

9, 000 00
Total.

325, 386 94

325,386 94

Cleveland National Bank, Cleveland.
J. E. RAHT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and 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 currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 1666.
$178,404 16
44 62
150, 000 00
765 35
2, 412 55
3, 236 68
15, 877 00
1,015 57
?, 156 02
1, 452 79

J. H. PARKER, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding . . .
State bank notes outstanding

33, 500 00
6, 959 36
135, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

3, 561 00 Due to other national banks
899 61. Due to State banks and bankers
3,958 05
10, 076 00 Notes and bills re-discounted
Bills payable
6, 750 00335, 609 40

150, 000 00

44, 480 67

1,719
1, 450
2, 500
10, 000

32
05
00
00

385,609 40

510

REPORT OF THE COMPTROLLER OF THE CURRENCY
TENNESSEE.
First National Bank, Columbia.

J. W. KEESEE, President.

No. 1713.

Lucius FRIERSON, 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.

$201, 432 50 ! Capital stock paid in .
1,468 43 i
50, 000 00 I Surplus fund

$LOO,OCO 00
15, 000 00
4,168 42

Other undivided profits

3,994 29
4,028 62
7,647 57
4, 937 06
2 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 .

48 38

3o6 66' Due to other national banks
Due to State banks and bankers
2,801 15 i
7, 500 00
Notes and bills re-discounted.
Bills payable
2,348 09 j
287, 508 93

Total..

120, 935 43

2, 239 03
146 00

287, 508 93

First National Bank, Fayetteville.
J. G-. WOODS, President.

J. R. FEENEY, Cashier.
$91,431 21 Capital stock paid in.
201 59
48, 000 00 Surplus fund
Other undivided profits
680 50 National bank notes outstanding
5, 005 71 State bank notes outstanding
8, 672 47 Dividends unpaid .
8, 572 62
969 19
4,648 85 Individual deposits
United States deposits
130 00 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
Speeie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

1,434 0!) Due to other national banks
34 80 Due to State banks and bankers .
2, 658 45
3, 0i;0 00 Notes and bills re-discounted.
Bills payable
2, 160 00

Total

177,599 39

Total..

$63, 0C0 00
2.740 00
3,371 76
43, 200 00

425 00
65, 722 57
2,140 06

177, 599 39

National Bank, Franklin.
No. 1834.

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... I
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
I
Exchanges for clearing house
>
.
Bills of other banks
I
Fractional currency
'
Specie
|
Legal tender notes
i
U. S. certificates of deposit
].

J. L. PARKES, Cashier.

$95,368 41 j Capital stock paid in .
199 74
60, 000 00 ; Surplus fund
i

j • Other undivided profits

6*050 00 i
11, 145 38 | I
6, 089 27
1, 5(56 30
100 00
1,578 17
5, 053 07
525 00

!
:

National bank notes outstanding
State bank notes outstanding

$60, 000 00
5, 270 00
4,212 78
54, 000 00

!

Dividends unpaid .
<
!
!
'! Individual deposits

I United States deposits
Deposits of U. S. disbursing officers..

643 00
17 01
1,364 00

Due to other national banks
Due to State banks and bankers .
7, 500 00 Notes and bills re-discounted .
Bills payable

75,614 30

1, 002 27

Due from U. S. Treasurer
Total




.:

Total.

200, 099 35

REPORT OF THE COMPTROLLER OF THE CURRENCY.

511

TENNESSEE.
First National Bank, Jackson.
No. 2168.

J. W. ANDERSON, President.

W. A. CALDWELL, 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
Checks and other cash items
Exchanges 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, 258 85
3,810 96
40, 000 00

$50,000 00

Capital stock paid in
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

5, 218 07
109 62
373 10
1,840 75 Dividends unpaid .
1,151 03 Individual deposits
3, 608 38 United States deposits
443 52 Deposits of U. S. disbursing officers.
575 00
612 00

1, 809 90
9,447 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

1,538 00
2,133 38
36, 000 00

175 00
45,142 29
15 60
1, 254 92

2,001 01

136,259 19

136,259 19

Total ,

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
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures . .
Current expenses 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

$165,381 05
82 66
50, 000 00

J. W. LlLLARD, Cashier.

Capital stock paid in.

$100,000 00

Surplus fund
,
100,000 00
Other undivided profits.
400 00 National bank notes outstanding
4,665 59 State bank notes outstanding
3,229 14 Dividends unpaid .
27,413 97
Individual deposits
United States deposits
3, 503 42 Deposits of U. S. disbursing officers..
8,618 00 Due to other national banks
653 47
7,565 50 Due to State banks and bankers
27, 600 00 Notes and bills re-discounted.
Bills payable
Total.

Total.

8,256 76
6, 253 95
45, 000 00

203,231 25
33, 775 74
3, 019 69
1, 367 96
457 45

401,362 80

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.
$88, 620 16
950 00
50, 000 00

2,361 41
5,126 54
1,749 12
- 928 80
4, 288 42
1,128 37

THOS. J. STRATTON, Cashier.

Capital stock paid in..
Surplus fund
,
Other undivided profits.
National bank notes outstanding....
State bank notes outstanding
J0

$50, 000 00
4, 000 00
2, 596 61
45, 000 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

70, 992 21

1, 054 00 Due to other national banks
113 00 Due to State banks and bankers .
11,000 00 Notes and bills re-discounted .
Bills payable
3,019 00

Total.

172, 588 82

512

REPORT OF THE COMPTROLLER OF THE CURRENCY.
TENNESSEE,
National Bank, Lebanon.
No. 1664.

N. GREEN, President.

S. T. MOTTLEY, Cashier.

Resources.

Liabilities.

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
,
Total.

$116,606 84
2, 093 94
50, 000 00

$50, 000 00

Capital stock paid in

10, 000 00
3, 775 32

National bank notes outstanding
2, 443 87
7, 407 52
14,220 35
1,473 18
1, 046 88
8, 575 75

Surplus fund
Other undivided profits

45, 000 00

State bank notes outstanding
Dividends unpaid

Individual deposits
United States deposits
25 00 Deposits of U. S. disbursing officers..
1 > 40 Due to other national banks
5
2, 768 00 Due to State banks and bankers
8, 340 00 Notes and bills re-discounted
Bills payable
1,550 00
Total.
216,566 73

95,291 41

12, 500 00
216,566 73

National Bank, McMinnville.
No. 2221.

•WM. H. MAGNKSS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 972 86
2, 556 67
70, 000 00

P. H. MARBURY, Cashier.

Capital stock paid in .

$70, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
2,764 63 State bank notes outstanding
2, 205 m
Dividends unpaid .
997 31

63, 000 00

2, 224 86
8, 9LI 6y

31, 940 43

44 00
8,428 00
302 f«0
930 00
4, 000 00

"2,"i5o"6o"

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, 023 81

178, 488 2S

178, 488 28

Total.

1, 000 00
7, 524 04

First National Bank, Memphis.
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 agenta..
Due from other banks and bankers.
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bi Is of other banks
•.«....
Fractional currency
*.*.»
Specie
_
. . . ~«.
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 336.
$140,316 97
1, 270 04
100, 000 00
100, 000 00
9, 398 25
37, 852 78
71,499 42
62,218 40
3,399 J5

W. W. THACHER, Cashier.

Capital stock paid in .

$200, 000 00

Surplus fund
Other undivided profits .

36, 000 00
2, 341 00

National bank notes outstanding
State bank notes outstanding

89, 970 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

195, 228 44
44, 621 77
35, 861 41

10, 269 00 Due to other national banks
2,671 48 Due to State banks and bankers —
6, 500 00
47, 000 00 Notes and bills re-discounted.
Bills payable
6. 300 00

5, 422 84
6,781 21

17,531 18

616,226 67

Total.

616, 226 67

REPORT OF THE COMPTROLLER OF THE CURREXCY.

513

TENNESSEE.
Fourth National Bank, Memphis.
W. C. MeCLURE, Cashier*,

No. 2096.

. H. MlLBURN, President.

Liabilities.

Resources.
$152, 481 74
1,504 71
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 b a n k s . .
Fractional currency

1, 377 60
2,113 62
1,095 00
2,900 15
6, 000 00
2,303 15
7, 200
800
788
20, 000

Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer..

00
00
68
00

$125,000 00

Capital stock paid in .

8, 643 47
3, 696 87

Surplus fund
Other undivided profits

45, 000 00 >

National bank notes outstanding
State bauk notes outstanding
Dividends unpaid.

65, 029 83

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

3,444 48

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2, 250 00
250,814 65

Total.

250,814 65

Total.

German National Bank, Memphis.
No. 1636.

H. E. GARTH, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers *
Real estate, furniture, and fixtures .
Current expenses and taxes paid —
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$429,427 66
1, 283 04
175, 000 00
50, 000 00

159
22, 030
28, 586
5,214

61
03
35
44

24,573 14
87,157 00
7, 987 98
7, 000 00
200, 000 00

MARTIN G R I F F I N , Cashier.

Capital stock paid in.

$175, 300 00

Surplus fund
Other undivided profits .

55, 000 00
16, 092 42

National bank notes outstanding .
State bank notes outstanding

116,500 00

Dividends unpaid

970 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

617,633 32
23,821 18

Due to other national banks
Due to State banks and bankers . . .

31, 926 95
9, 050 38

Notes and bills re-discounted.
Bills payable

Total.

Total.

1, 046, 294 25

State National Bank, Memphis.
A. W O O D R U F F ,

No. 2127.

President.

Loans and discounts
Overdrafts
U. S. 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
Total .




$335,863 61
3,571 90
120, 000 00
3, 900 00
2, 650 05
3L,280 78
57, 030 83
4,605 65
14,000 00
6, 000 68

J. A. HAYES, Jr., Cashier.

Capital stock paid in.

$250, 000 00

Surplus fund
„
Other undivided profits

10, 300 00
13, 073 36

National bank notes outstanding
State bank notes outstanding
Dividends unpaid

106, 090 00
.1

Individual deposits
!
United States deposits
..!.
Deposits of U. S. disbursing officers..!

608 50
243, 652 00

j
14,123 00
591 50
12, 000 Oi)
30, 0U0 00
2, 997 20
638,615 23

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable
Total.

j
.|
I
j.
i

11,156 00
3, 735 37

638,615 23

514

REPORT OF THE COMPTROLLER OF THE CURRENCY.
TE

E E.

First National Bank, Murfreesboro'.
J. W. CHILDRESS, President.

No. 1692.

I. B. COLLIER, Cashier.
Liabilities.

Resources.
$110,839 13
3,4(13 39
100, 00C 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
lExchanges for clearing house
Bills of other banks
' Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

""60," 66o "65'
846 23

762 13
26, 843 86
13, 642 62
2, 686 53
16, 209 22
693 57
10, 048
468
8,202
21, 500

00
39
00
00

$100, 000 09

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

26, 900 00
5, 704 33
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

157,77] 87

263 04
5 83

4, 500 00
380,645 07

Total.

380, 645 07

Total.

Stones River National Bank, Murfreesboro'.
I. J. C. HAYNES, President.

No. 2000.
$51,771 31
1, 535 37
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

498
3, 730
14,652
3,542
1,421
5,000
96

55
68
98
25
21
00
10

2, 000
153
580
5, 000

00
67
00
00

2,250 00

Total.

W. N. DOUGHTY, Cashier.

Capital stock paid in

$50, 000 00

Surplus fund
O ther undivided profits
National bank notes outstanding

3, 000 00
'4,809 14
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
Total

142,232 12

38, 237 86

1,185 12

142,232 12

First National Bank, Nashville.
No. 150.

ICHAEL BURNS, 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 backers..j
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
j
Legal tender notes
j
U. S. certificates of deposit
j
Due from U. S. Treasurer
;
Total.




!

$386, 358
14,354
251,000
150,000

77
71
00
00

28, 350 00
68, 265 27
16, 462 97
60,23L 48
8,481 05
23, 000 00
3,689 3L
19, 830
1,465
2, 670
35, 190

00
00
00
00

12,954 98
I, 082, 303 54

THEO. COOLEY, Cashier.

Capital stock paid in
Surplus fund
Other undivided profits
National bank notes outstanding

$250, 000 00
50, 000 00
19, 094 03
225, 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..

388, 536 14
99, 446 38
21, 260 73
% 874 95
26,091 31

1, 082, 303 54

REPORT OF THE COMPTROLLER OF THE CURRENCY.

515

TENNESSEE,
Third National Bank, Nashville.
No. 1296.

J. KlKKMAN, President.

EDGAR JONES, Cashier.

Liabilities.
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 from (J. S. Treasurer

$564,278 90

Capital stock paid in.

"166,666 66

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

"]2(\8hh"oo
43, 544 45
23, 846 36
30, 618 98
1, 000 00
29 66
22, 640 24
26, 902 71

Dividends unpaid

110,000 00
9, 296 94
90, 000 00
4, 800 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

10, 437 00 Due to other national banks
647 75
12,071 72 Due to State banks and bankers
70, 000 00 Notes and bills re-discounted.
Bills payable
5,407 35
1,032,275 12

Total.

$100,000 00

566, 243 94

22, 792 26
4,141 98
125,000 00

], 032, 275 12

Total.

Fourth National Bank, Nashville.
JAS.

WHITVVORTH, President.

No. 1669.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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 P L A T E R , Cashier.

$726, 800 98 Capital stock paid in.

""566*666 66
42, 094 36
122, 483
118,801
7, 560
25,221
37, 009

45
73
00
82
92

6, 767 98
56,
2,
14,
105,

000
225
05f.
000

00
45
85
00

24*500 00

$500, 000 00

Surplus fund
Other undivided profits .

100,000 00
24,124 15

National bank notes outstanding
State bank notes outstanding

447, 920 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

680,878 10

24, 669 56
10, 930 73

Notes and bills re-discounted
Bills payable

1, 788, 522 54

Total.

1, 788, 522 54

Mechanics' National Bank, Nashville.
W. MORROW, 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..
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
Total




.

..

$256,002 69

"i66,"666'66"

J. P. WIIXIAMS, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

20, 662 24
31,265 79
1, 040 00 Dividends unpaid .
3,049 48 Individual deposits
11,000 00 United States deposits
9,718 10 Deposits of U. S. disbursing officers.
30, 275 00
1, 627 20
1,571 62
21, 500 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
10, 677 84
90, 000 00

272,483 90

]2,460 40
3, 589 98

4, 500 00
492,212 12

Total .

492, 212 12

516

REPORT OF THE COMPTROLLER OP THE CURRENCY.
TENNESSEE.
Giles National Bank, Pulaski.
No. 1990.

SOLON E. ROSE, President.

HUGH F . EwiNG, Cashier.

Resources.

Liabilities.
$82,144 96 Capital stock paid in ,
6,334 70
60, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
1,170 00 State bank notes outstanding
1, 635 69
3, 188 05 Dividends unpaid .
134 75
7, 206 25 Individual deposits
United States deposits
712 85 Deposits of U. S. disbursing officers.

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.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid.
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Due to other national banks
Due to State banks and bankers .
5, 586 98
5, 000 00 Notes and billa re-discounted.
Bills payable
2, 700 00

2,184 00

Total.

7,249 09
814 11
54, 000 00

55, 843 47

6Q 56

177, 978 23

Total.

177, 978 23

$60, 000 00

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. 8. certificates of deposit
Due from U. S. Treasurer
Total.

$100,193 69 !
3.212 Of) i
50, 0J0 00 |

GEO. T. RIDDLE, Cashier.

Capital stock paid in .

Surplus fund
Other undivided profits
1, 468 23 I National bank notes outstanding
2, 726 33 ! State bank notes outstanding
14,271 90 ' Dividends unpaid .
1,875 00
331 90
5,137 89 Individual deposits
United States deposits
28 97
Deposits of U. S. disbursing officers.
6, 200
122
841
5, 400

00 Due to other national banks
45 Due to State banks and bankers .
5-4
00 Notes and bills re-discounted.
Bills payable
•
2,250 00

194, 059 94

Total.

$70,000 00
12,000 00
6,934 03
45, 000 00

57,290 99*
2,834 92'

194, 059 94'

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 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 deponit
Due from U. S. Treasurer
Total.




No. 2198.

B. R. WHITTHORNE, Cashier.

$79, 763 96 Capital stock paid in .
30, 0D0 00

Surplus fund
Other undivided profits
National bank notes outstanding....
State bank notes outstanding

3, 543 62 Dividends unpaid .
1,2-27 54
1,038 23 Individual deposits
3,333 14 United States deposits
Deposits of U. S. disbursing officers .
1, 000 00 '•Due to other national banks
1,290 15 I Due to State banks and bankers .
2, 000 00 Notes and bills re-discounted.
Bills payable
],350 00
1-24,546 64

Total.

$30, 000 00
1 720 33
3, 570 07
27, 000 00

39, 336 13

2, 920 11

124, 546 64

REPORT OF THE COMPTROLLER OF THE CURRENCY.

517

TENIVE § SE E.
Springfield National Bank, Springfield.
CHAS. C. BELL, President.

No. 2019.

THOMAS PEPPER, Cashier.

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
XJ. S. certificates of deposit
Due from U. S. Treasurer
Total.




Liabilities.
$97,255 16 Capital stock paid in.

""60," 665 'bo
2, 250 00
23, -206 80
33,105 05
6, 000 00
713 98
6, 350 00
8, 617 25

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$00, 000 00
5, 700 00
2, 745 57
54, 000 00

Dividend^ unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

153, 535 70

00 Due to other national banks
45 Due to State banks and bankers .
80
00 Notes and bills re-discounted.
Bills payable
2, 752 78

9, 600
60
6,069
20, 000

275, 981 27

Total.

275, 981 2?

518

REPORT OF THE COMPTROLLER OP THE CURRENCY.
OHIO.
First National Bank, Akron.
No. 27.

T. W. CORNELL, President.

H. Gr. FULLER, Cashier.

Resources.

Liabilities.

Loans and discounts
;
Overdrafts
i
U. S. bonds to secure circulation
j
U. S. bonda to secure deposits
j
U. S. bonds on hand
I
Other stocks, bonds, and mortgages.. I
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
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.

$262,582 61 Capital stock paid in..
25, 930 25
150, 000 00 Surplus fund
Other undivided profits
12,951 87 National bank notes outstanding
9,578 96 State bank notes outstanding
• 6,975 49 Dividends unpaid.
9, 000 00
2, 000 34 Individual deposits
,
United States deposits
8, 047 85 Deposits of U. S. disbursing officers
4,689 00
298 41
370 00
20, 382 00

Due to other national banks
Due to State banks and bankers...

$150, 000 09
30,000 00
29, 4cO 34
135, 000 00

172,284 84

2, 622 17
169 43

Notes and bills re-discounted
Bills payable

"" 6,750 00
Total.

519,556 78

519, 556 78

Second National Bank, Akron.
No. 40.

GEO. D. 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

$236, 070 57 Capital stock paid in.
10,328 64
100,000 00 Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
17,679 14 Dividends unpaid.
7,000 00
1, 734 56 Individual deposits
United States deposits
839 48 Deposits of U. S. disbursing officers.
2,601
437
270
24, 000

00 Due to other national banks
12
00 Due to State banks and bankers . . .
00 Notes and bills re-discounted
"4,"500 65" Bills payable
405, 460 51

Total.

A. N. SANFORD, Cashier.

Total.

$100, 000 09
20, 000 00
20,18 L 30
90, 000 00

168,376 33

6, 274 85
628 03

405, 460 5L

First ^National Bank, Alliance.
JOHN ATWELL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, 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.




No. 2041.

H. C. ELLISON, Cashier.

$187, 222 37 Capital stock paid in.
1,819 52
50, 000 00 Surplus fund
Other undivided profits
24, 282 85
2, 005 33
4,099 75
2,301 45
512 28
361 99
4, 694
423
1, 050
15, 855

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
10 Due to State banks and bankers.
50
00 Notes and bills re-discounted.,
Bills payable
,

$50,000 00
3, 875 00
3, 455 4)
45, 000 09
50 00
183, 461 89

11,482 09

2, 696 24

297,324 38

Total.

297, 324 38

REPORT OF THE COMPTROLLER OF THE CURRENCY. 519
OHIO.
First National Bank, Ashland.
No. 183.

J . O. JENNINGS, President.

Jos. PATTERSON, Cashier.

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
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
Total.

5223, 472 45 Capital stock paid in.
871 29
50, 000 00 Surplus fund
Other undivided profits
,
" 2,"650*66*
National bank notes outstanding
14,321 33 I State bank notes outstanding
7, 165 55 !
42,182 37 | Dividends unpaid.
4, 105 78 I Individual deposits
. .
United States deposits
1,723 31 Deposits'of U. S. disbursing officers.
5,081
1, 730
2,415
46,770

00 Ij Due to other national banks
88 |J Due to State banks and bankers .
0!) i|
00 1 Notes and bills re-discounted
1
i | Bills payable
2,250 00

$50, 000 00
10,000 00
4,784 60
45, 000 00

291,532 47

3,421 89-

i|

404,738 96 ||

404, 738 96

Total

Ashtabula National Bank, Ashtabula.
J. SUM BLYTH, Cashier.

HENRY FASSETT, President.

Loans and discounts
Overdrafts
j.
U. S. bonds to secure circulation
I
U. S. bonds to secure deposits
I.
U. S. bonds on hand
L
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.
.
j
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$76, 756 35 Capital stock paid in

"76,566 66
5, 000 00
4,696 71
1,192 14
11,977 37
1,630 60
8, 723 46
647 01

$100,000 00

Surplus fund
Other undivided profits

4, 092 12
3, 752 28

National bank notes outstanding

68,840 00

State bank notes outstanding
30 00

Dividends unpaid

Individual deposits
United States deposits
375 00 Deposits of U. S. disbursing officers.
64 00 Due to other national banks
135 00 Due to State banks and bankers
6,331 00 Notes and bills re-discounted
Bills payable
"'4*433 65
Total
199,011 29

20, 649 84

1, 647 05

199,011 29

Farmers' National Bank, Ashtabula.
No. 975.

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 paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie..
Legal tender notes
U. S. certificates of deposit
Due from U . S . Treasurer
Tota1.




$166, 727 09
640 65
150, 000 00

"""866*65"
2, 500
26, 017
7, 084
14, 100
4,393

A. F. HUBBARD, Cashier^

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

00
49
08 Dividends unpaid .
00
94 Individual deposits
United States deposits
96 48 Deposits of U. S. disbursing officers

2, 425 00 | Due to other national banks
1,135 18 | Due to State banks and bankers .
12, 507 00 Notes and bills re-discounted.
Bills payable
8,910 00
Total .

$150, 000 00
33,508 95
16,435 06
135, 000 00

61, 468 36

924 54

397, 336 91

520

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
First National Bank, Athens.
No. 233.

EL H. MOORE, President.

T. H. SHELDON, €*shier.

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
XL S. certificates of deposit
Due from U. S. Treasurer
Total.

$148', 939 17 Capital stock paid in.
7, 903 88
75, 000 00 Surplus fund
Other undivided profits
1,400 66
8, 500 00 National bank notes outstanding
855 46 State bank notes outstanding
12, 345 90 Dividends unpaid .
«L,525 38
8, 361 30 Individual deposits
590 48 United States deposits
Deposits of U. S. disbursing officers 1, 567
289
45
86, 650

00
96'
45
00

$75, 000 Of
9,851 07
12,120 7«
67, 500 Of

152, 867 52

2, 505 20
2,681 12

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

1,675 00
322, 525 67

Total.

322, 525 67

First National Bank, Barnesville.
FRANCTS DAVTS, President.

No. 911.

Loans and discounts
Overdrafts.
-XJ. 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

$224, 857 39
818 38
100, 000 00

$100, 000 00

Capital stock paid in .

Surplus fund
Other undivided profits
16, 748 75 I National bank notes outstanding
8, 027 57 State bank notes outstanding
3,278 87
8, 233 50 Dividends unpaid .
3,864 19 Individual deposits
United States deposits
440 31 Deposits of U. S. disbursing officers .

"466*66
875 00
13, 000 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills p a y a b l e . . . . . . .
..

25, 000 00
10,351 86
89, 000 09
70 00
138, 175 36
14, 130 24
5,641 32

1, 824 82
382, 368 78

Total.

G. E. BRADFIELD, Cashier.

Total

3:

First National Bank, Batavia.
MILTON JAMIESON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.
$121,173 56
66 63
100, 000 00

J. F. DIAL, Cashier.

Capital stock paid in.

$100,000 00

Surplus fund
Other undivided profits

20, 000 00
3, 822 67

11,460 00
12, 075 37
2,165 45
1, 000 00
166 33

National bank notes outstanding
State bank notes outstanding

90, U00 00

873 00
115 04
380 00
10, 000 00

Due to other national banks . . . .
Due to State banks and bankers.

"4,566 66
263, 975 38

Dividends unpaid .
Individual deposits
,
United States deposits
Deposits of U. S. disbursing officers..}

120 00
50,032 71

Notes and bills re-discounted
Bills payable
2m, 975 38

REPORT OF THE COMPTROLLER OF THE CURRENCY.

521

OHIO.
First National Bank, Bellaire.
A. W. ANDERSON,

No. 1944.

President.

A. P. TALLMAN, Cashier,

Resources.

Liabilities.

Loans and discounts
0 verdraf tg
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
-Other 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

$158,023 00
1,736 91
85, 000 U0

$100, 000 00

Surplus fund
Other undivided profits

8,238 40
7,029 42

1,200 00

National bank notes outstanding

8,423 23
777 51
8, 646 75
2, 729 83
8, 325 33

State bank notes outstanding

1,860 83

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

3,340 00
6 06
470 00
12, 000 00

75, 500 0§

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, 609 72

1, 070 43
1, 9L5 48

Notes and bills re-discounted
Bills payable

* 3,824 00

Total.

Total .

296, 363 45

296, 363 45

Bellefontaine National Bank, Bellefontaine.
WILLIAM LAWRENCE,

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
E Kchanges for clearing house
,
Bills of other banks
Fractional currency
Specie
-... ,
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

No. 1784.
$128, 567 76
15, 182 00
115, 000 00
46, 800 00
5, 385 87
491 82
6, 132 09
3, 50 L, 94
6,702 85

JAMES L E I S T E R , Cashier.

Capital stock paid in.

$115,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

12, 600 09
4, 887 15
102,500 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

111,319 i

452 09
291 60

Notes and bills re-discounted
Bills payable

Total.

347, 050 53

First National Bank, Bellevue.
J. T. W O R T H I N G T O N ,

President.

Loans and discounts
Overdrafts
U. S. bo*nds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand..
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and baukerg . .
Real 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 factional currency
I
Specie
Legal tender notes
U.rf.certificates of deposit
I
Due from U. S. Treasurer
I
ToM.




No. 2302.
$56, 401 15
30, 000 00

E D W I N H. B R O W N . Cashier.

Capital stock paid in..
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

13, 430 72
1, 608 40
586 63

$50, 000 09
4, 264 87
27, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

35, 310 25

2, 143 00 Due to other national banks
! Due to State banks and bankers .
555 22 j
10, f>00 00 j Notes and bills re-discounted.
I Bills payable
1, 350 00 j
116,575 12

Total.

116,575 12

522

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
First National Bank, Berea.
No. 2004.

T. CHURCHWARD, President.

A. H. POMEROT, 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
LLegal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Capital stock paid in.

5, 550 00
1,249 17
45, 000 00

s unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
5,318 00
336 70

Due to other national banks
Due to State banks and bankers .
3, 000 00 Notes and bills re-discounted.
Bills payable

51,645 53

625 23
600 00

"2,256 66

154, 669 93

Total.

$50, 000 00

Surplus fund
Other undivided profits
National banknotes outstanding
State bank notes outstanding

Total..

154, 669 93

First National Bank, Bridgeport.
No. 214.

E. P. RHODES, President.
Loans and discounts
Overdrafts . .*.
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U.S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearjng house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .

$227, 6! 0 36
1,292 42
200, 000 00

W. T. GRAHAM, Cashier.

Capital stock paid in.

$200, 000 00

Surplus fund
Other undivided profits.

28, 800 00
9, 407 32

National bank notes outstanding
State bank notes outstanding

200 00

8,692 11
8,932 19
17,991 95
2,634 25

177, 900 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

872 !

1,805 00
372 39
557 00
9, 326 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

"9,066 66
489, 286 65

70, 000 59
778 25
2, 400 49

489, 286 65

Total.

First National Bank, Bryan.
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
L^gal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 237.

D. C. BAXTER, Cashier.

$97,378 92 i Capital stock paid in.

"fio," 666 '66'!
5, 152
],095
402
4,000
605

62
34
08
00
54

Surplus fund
Other undivided profits

j National bank notes outstanding
! State bank notes outstanding
I Dividends unpaid .
i
i Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

5, 900 00 I Due to other national banks
68 63 Due to State banks and bankers
1, 239 40
10, 000 00 Notes and bills re-discounted.
Bills payable

""i,"266"66'i

137,042 53 :|

!0, 000 00
12. 595 84
3, 590 90
52, 900 00

57, 955 79

REPORT OF THE COMPTROLLER OF THE CURRENCY. 523
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
f]xchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$149,525 60 Capital stock paid in.
895 35
100, 000 00 Surplus fund
Other undivided profits
5,000 66
National bank notes outstanding
3,155 21 State bank notes outstanding
3,244 43
19, 000 00 Dividends unpaid .
1, 240 00 Individual deposits
United States deposits
2,810 31 Deposits of U. S. disbursing officers..
"""ioe'oo* Due to other national banks
Due to State banks and bankers
1,129 00
21, 500 00 Notes and bills re-discounted
Bills payable
4,500 00
312,205 90 I

Total.

Total.

$100,000 00
20, 000 00
3, 450 00
90, 000 00

92, 635 72

3,711 94
2, 408 24

312,205 90

First National Bank, Cadiz.
No. 100.

ALEX. HENDERSON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on 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.

J. B. LYONS, Cashier.

$174,461 09 Capital stock paid in.
300 49
120, 000 00 Surplus fund
3," 666* CO* Other undivided profits
National bank notes outstanding
216 24 State bank notes outstanding
939 29 Dividends unpaid .
15, 932 07
2,179 42 Individual deposits
United States deposits
1,755 36 Deposits of U. S. disbursing officers.

*i," 656 "66
1,049 76
32, 792 00
3, 500 00

Due to other national banks
Due to State banks aud bankers
Notes and bills re-discounted
Bills paj^able
Total.

357,125 72

$120,000 00
28, 200 00
4, 998 03
108, 000 00

88,964 19

2,601 44
4,362 06

357, 125 72

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
U. S. certificates of deposit
Due from U. S. Treasurer
Total..

H. Ex. 3- -30




No. 1447.

CHAS. P. DEWEY, Cashier.

$396, 877 47 Capital stock paid in.

"166,666 66

$100, 000 00

Surplus fund
Other undivided profits

62, 000 00
10, 363 05

30, 092 51 National bank notes outstanding . . .
9., 777 14 State bank notes outstanding
16,076 91 Dividends unpaid.
4,137 68 Individual deposits
United States deposits
500 00 Deposits of U. S. disbursing officers.

90, 000 00

2,279 00
129 12
5, 745 00
60, 046 00

Due'to other national banks
Due to State banks and bankers
Notes and bills re-di.scounted.
Bills payable....
,

3(52,003 72

4,145 11
1, 618 95

4, 500 00
630,160 83

Total.

6:30,160 83

524

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
Noble County National Bank, Caldwell.

W. H. FRAZIER, President.

No. 2102.

G. A. SMITH, Cashier.

Resources.
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 hankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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.
$60,000 00

$89, 549 39 Capital stock paid in.
773 60
60, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

5, 000 00
3, 345 08
54,000 00

Dividends unpaid.

69 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

90,556 16

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Biily payable

10,014 16

.|

Total .

Tottd .

222,984 40

First National Bank, Cambridge.
No. 141.

S. J. MCMAHOIJ, President.

A. C. COCHRAN, Cashier.

$•236, 207 93 Capital stock paid in
Loans and discounts
!
Overdrafts
!
U..S. bonds to secure circulation
{ "" 102, hob' 66" i Surplus fund
U.S. bonds to secure deposits
j
Other undivided profits
U. S. bonds on hand
j
J National bank notes outstanding
Other stocks, bonds, and mortgages.. |
13, 270 9H I State bank notes outstanding
Due from approved reserve agents.. .1
4, 4!?6 05
Due from other banks and bankers... I
Dividends unpaid .
Real estate, furniture, and fixtures.. J
12, 800 00
3,916 39
Current expenses and taxes paid
j
Individual deposits
1,509 24
Premiums paid
;
United States deposits
Checks and other cash items
j
Deposits of U. S. disbursing officers.
Exchanges for clearing house
I
1,949 00
Bills of other banks
Due to other national banks.
Fractional currency
46 06
Due to State banks and bankers
Specie
259 00
Legal tender notes
Notes and bills re-discounted
29,855 00
U. S. certificates of deposit
Bills payable
,
Due from U. S. Treasurer
""4*545 66
Total.
Total.
411,294 68

$100, 000 00
20, 000 00
11,251 94
83, 800 00

187, 610 31

3, 475 01
1,390 74
3, 766 68

411,294 68

Guernsey National Bank, Cambridge.
J. D. TAYLOR, President.

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.




W. A. LAWRENCE, Cashier.

$151, 880 41 Capital stock paid in.
150, 000 00 Surplus fund
Other undivided profits
3, 998 20

National bank notes outstanding
State bank notes outstanding

21 70
16. 500 00 Dividends unpaid.
3,813 55 Individual, deposits
United States deposits
904 47 ; Deposits of U. S. disbursing officers.

Due to other national banks
to State banks and bankers . . .
Notes and bills re-discounted
14,027 00 || Bills payable
""5,45006
Total.
350,289 03
214 25 jj Due
129 45 :

$150, 000 00
5, 500 00
9, 017 92
135, 000 00

50, 333 93

413 13
24 05

350, 289 03

REPORT OF THE COMPTROLLER OF THE CURRENCY.

525

OHIO.
First National Bank, Canton.
CORNELIUS AULTMAN, President.

L. L. MILLER, Cashier.

No. 76.

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.
$143, 799 20
462 5)
100, 000 00
560 00
8, 354 47
661 77

5100,000 00

Capital stock paid in
Surplus fund
Other undivided profits

20, 000 00
8,177 57

National bank notes outstanding

90, 000 00

State bank notes outstanding

36,481 29 Dividends unpaid
2, 314 25
Individual deposits
1,610 89 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

2, 085 83
263 90

321,274 51

Total..

Total.

100,747 21

First National Bank, Cardington.
J. I. LAMPRECHT, Cashier.

I. H. PEXNOCX, President.

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 .

$136, 497 57 Capital stock paid in
135 32
100, 000 00 Surplus? fund

$100, 00C 00
20, 000. 00
6, 032 33

Other undivided profits
National bank notes outstanding
State bank notes outstanding
21,093 56
• Dividends unpaid .
9, 972 93
1, 425 46
Individual deposits
United States deposits
1, 395 88
Deposits of U. S. disbursing officers.
600 00
08
97 49
4,500 00

Due to other national banks
Due to State banks and bankers

88, 400 00

61,403 24

2,574 57
208 15

Notes and bills re-discounted.
Bills payable

2, 900 00
Total.

278, 618 29

278,618 29

Centreville National Bank of Thurman, Centreville.
L. M. BEMAN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...]
Due from other banks and bankers . . |
Real estate, furniture, and fixtures...
Current expenses and taxes paid,...
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional curz'ency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer..„..
Total.




No. 2181.
$88,160 73

""5O,"u66"6o"

2,062 30
1,372 85
306 00
49 75

R. P. PORTER, Cashier.

Capital stock paid in.
Surplus fund
O iher undivided profits
National bank notes outstanding
State bank notes outstanding

4, 0C0 00
2,229 52
45,000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

410 00 Due to other national banks
...
68 23 Due to State banks and bankers
2, 500 00 Notes and bills re-discounted..
Bills payable
'2,'250"66'
147. 179 86

$50, 000 00

Total.

45, 877 57

29 48
43 29

147,179 86

526

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
First National Bank, Chillicothe.

WILLIAM MCKELL, President.

No. 128.

J N O . D. MADEIRA, Cashier.

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.

Liabilities.
$569,728 42 | Capital stock paid in.
1,385 00
150,000 00 ! Surplus fund
J
100, 000 00 ! Other undivided profits .
140, 150 00
22,000 00 | National bank notes outstanding...
1
31,934 62 1 State bank notes outstanding
23, 198 55 Dividends unpaid
6. 800 00
5, 471 77 i I Individual deposits
j United States deposits
1, 828 31 1 Deposits of U. S. disbursing officers.
1
6,709 00 i Due to other national banks
1,750 10 | Due to State banks and bankers
5, 012 45
38, 173 00 i Notes and bills re-discounted.
Bills.pay able.
9, 255 00

1,113,396 22

Total.

$150,000 00
171,633 38
11,106 15
134, 980 00
8, 052 00
392 00
478, 746 59
40, 480 42
6, 996 23
11,009 45
100, 000 00
1,113, 396 22

Ross County National Bank, Chillicothe.
A. P. STORY, President.

No. 1172,

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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.

TOMLINSON, Cashier.

$307, 492 14 Capital stock paid in ,
995 86
150, 000 00 I Surplus fund
! j Other undivided profits
"""44,96o'66"
20, 000 00 |j National bank notes outstanding . . .
26,753 81 ! State bank notes outstanding
13,834 88
2,500 00 Dividends unpaid .
4, 196 57 I! Individual deposits
5, 425 00 I! Unit ed States deposits
245 17 ij Deposits of U. S. disbursing officers .
2,979 00 i I Due to other national banks
1,084 17
2, 200 80 ! Due to State banks and bankers
Notes and bills re-discounted.
23, 0J0 00
Bills payable
7,044 50
612,651 90 S

$150,000 00
40, 000 00
13,901 29
135, 000 00
4,277 00
257,214 39

3, 338 04
8,921 18

Total.

First National Bank, Cincinnati.
L. B. 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
Bill s of other banks
Fractional currency
Specie
*.
Legal tender notes
U. S. certificate* of deposit
Due from U. S. Treasurer
Total.




No. 24.

THEO. STANWOOD, Cashier.

$2,775,486 26 | Capital stock paid in .
!
1,283 89 I
1,251,200 00 Surplus fund
336,500 00 | Other undivided profits .
52. 700 00 !
76, 372 90 National bank notes outstanding . . .
465, 342 59 State bank notes outstanding
359,783 91 Dividends unpaid.
80,000 00
54, 187 63 Individual deposits
United States deposits
29,303 61 Deposits of U. S. disbursing officers.
33, 860 00
24, 559 00 Due to other national banks
400 87
27, 127 65 Due to State banks and bankers . . .
247,317 00
Notes and bills re-discounted.
300, 000 00
Bills payable
;
67, 250 00
6, 182,675 31

$1, 500, 000 00
300, 000 00
224,653 16
1, 050, 000 00

1, 380, 243 73
300, 000 00
892,112 93
193,849 49
336, 500 00
6, 182, 675 31

REPORT OF THE COMPTROLLER OF THE CURRENCY.

527

OHIO.
Second National Bank, Cincinnati.
No. 32.

SETH EVANS, President.

S. S. ROWE, 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.
$329, 966 77
2 63
200, 000 00

40', 000 01
15, 495 07

Surplus fund
Other undivided profits

National bank notes outstanding
28,164 98 State bank notes outstanding
31,457 51 Dividends unpaid.
6,839 84
6, 849 02 Individual deposits
United States deposits
4, 235 15 Deposits of U. S. disbursing officers.
5, 337 38
13,115 00 Due to other national banks
Due to State banks and bankers
3, 257 03
68, 000 00 Notes and bills re-discounted.
115, 000 00 Bills payable
12, 845 45
831,770 76

Total.

$200,000 00

Capital stock paid in .

Total.

154, 720 00

350,791 6L

70,714 67
49 41

831, 770 76

Third National Bank, Cincinnati.
OLIVER PERIN, President.

No. 20.

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, a n d m o r t g a g e s .
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 .
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 IL S. Treasurer

$2,459,958
2,448
712,000
339, 000
143, 950
111, 783

11
55
00
00
00
59

439,724 81
109,319 62
80, 000 00
8, 070 96
" 38," 966 "67"
68, 099 00
8, 713
30, 000
400, 000
39, 240

56
00
00
43

Cashier.

$800, 000 00

Capital stock'paid in .
Surplus fund
Other undivided profits .

160, 000 00
161, 403 48

National b a n k notes outstanding . . .
State b a n k notes outstanding

640, 000 00

Dividends unpaid.,
Individual deposits
United States deposits
Deposits of U. S. disbursing

1,859,701 79
300, 000 00
officers.

D u e to other national b a n k s
D u e to State banks a n d b a n k e r s

661, 567 52
251, 052 51

Notes and bills re-discounted.
Bills payable

157,550 00

4, 991, 275 30

Total.

AMMI BALDWIN,

Total .

4,991,275 30

Fourth National Bank, Cincinnati.
M. M. 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 paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 93.

H. P. COOKE, Cashier.

$949, 784 83 Capital stock paid in .
205 68
500,000 00 Surplus fund
150, 000 00 Other undivided profits
122, 450 00
National bank notes outstanding .
63, 682 12 State bank notes outstanding
86,394 47
9, 0D0 00 Dividends unpaid .
7,194 16 Individual deposits
United States deposits
24, 251 49 Deposits of U. S. disbursing officers.
11,677 77
13,429 00 Due to other national banks
215 00 Due to State banks and bankers
6,526 12
100, 000 00 Notes and bills re-discounted.
Bills payable
22, 500 00
2,067,310 64

Total .

$500, 000 00
100, 000 00
20, 480 69
450, 000 00
200 00
436, 067 82
135, 000 00
159, 385 89
116,176 24
150,000 0U
2, 067, 310 64

528

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OH1O.
Merchants' National Bank, Cincinnati.

D. J . FALLIS, President.

No. 844.

II. C. YERGASON, 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
Lf-gal tender notes
U. >S. certificates of deposit
Due from U. S. Treasurer

$1, 702, 247 33 Capital stock paid in .
3,301 40
889, 000 00 Surplus fund.»
Other undivided profits .
1, 300 00' I
j National bank notes outstanding
175. 780 20 State bank notes outstanding
15•), 340 73 Dividends unpaid .
15, 000 00
7, 777 56 | Individual deposits
i United States deposits
Deposits of U. S. disbursing officers
3 9,733 15
1(5, 400 00 Due to other national banks
Duo to State banks and bankers
1,42111"
191,000 00 Notes and bills re-discounted.
I Bills payable
43, 600 0!)

Total.

$1, 000, 000 00

Total.

3,216,901 4ii

1,216,901 48

105, 000 00
45, 616 33
800,000 00

1,400 00
763,930 71

424,144 22
71,810 22

National Bank of Commerce, Cincinnati.
W. A. GOODMAN, President

No. 2315.

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

$678. 776 52
367 34
150,003 00
10, 100 00
21,912 54
35,431 42
4, 600 00
11,892 40
18,106 14
1,114 55
9,651 35
47, 034 00
685 44
2, 634 37
15, 000 00
100, 000 00
6, 750 00

$100, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding

1,200 00
28,064 34
133, 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
Notes and bills re-discounted.
Bills payable

1, 114,056 07

Total.

H. B. BISSKLL, Cashier.

Total

412,579 97
53, 473 40
85, 538 36

1, 114, 056 07

First National Bank, Circleville.
MARCUS BROWN, President

No. 118.

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
j
Fractional currency
j
Specie
'
j
Legal tender notes
IT. S. certificates of deposit
J
Due from U. S. Treasurer
|
Total




I

$407,133 53
3,916 62
260, 000 00

OTIS BALLARD, Jr., Cashier.

Capital stock paid in .

Surplus fund
ii Other undivided profits .
50, 500 00 !
j; National bank notes outstanding...
118,393 56 State bank notes outstanding
27,478 87 Dividends unpaid .
19. 673 91
6, 289 01 Individual deposits
5, 537 50 ! United States deposits
[I
ij Deposits of U. S. disbursing officers.

4, 063 00 1\ Due to other national banks
494 03 !i Due to State banks and bankers —
1,874 25
i; Notes and bills re-discounted
18,-900 00 Bills payable
"12,700 00
Total.
936, 959 28

$26?, 000 00
80, 000 00
21,442 24
232, 500 00

333, 471 95
7, 099 51
2, 445 58

936, 959 28

REPORT OF THE COMPTROLLER OF THE CURRENCY. 529
OHIO.
Second National Bank, Circleville.
>To. 172.

NOAH S. GREGG, President.

K. N. H E D G E S , Jr., Cashier.

Resources.

Liabilities.

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 . .

$306,920 JO
561 82
124, 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

63, 664 28
33, 673 22

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer. .

593 00

" 5 " 160 33
14,391 65
870
150
3, 175
22,135

Capital stock paid in.

$125, 000 00

Surplus fund
Other undivided profits

45, 000 00
15, 470 31

National bank notes outstanding
State bank notes outstanding

111,600 00

Dividends unpaid .
Individual deposits
United States deposits
I
Deposits of U. S. disbursing officers..!

!|Due to other national banks
I Due to State banks and bankers
i
! Notes and bills re-discounted
Bills payable
5,580 00 ;j

Total.

00
78
00
00

j
j

580, 877 18

282, 374 70

1, 432 17

580, 877 18

First National Bank, Cleveland.
No. 7.

JAMES BARRATT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
...
U. S. bonds on hand
Other stocks, bonds, and mortgages . .

$733, 230 63
686 86
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
U. S. certificates of deposit
Due from U. S. Treasurer
.

130, 605 61
109,678 17

Total.

A. K. SPENCER, Cashier

Capital stock paid in

|

Surplus fund
Other undivided profits.

100, 000 00
81,318 20

National bank notes outstanding

19, 25 L 54

2, 306 65
14, 184 14
20, 609 00
4, 901 60
5,536 79
164, 000 00

$300,000 00

j

270, 000 00

State bank notes outstanding
18, 000 00

Dividends unpaid

667, 494 31

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
Due to other national banks
Due to State banks and bankers

52,781 67
27,488 46

Notes and bills re-discounted.
Bills payable

12, 121 65
Total

1,517,112 64

1,517,112 64

Second National Bank, Cleveland.
S. T. EVERETT, President.

Loans and 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. 13.
$1,801, 115 59
119,710 95
467. 000 00

KENNEDY CLINTON, Cashier.

Capital stock paid in .

$1, 000, 000 00

Surplus fund
Other undivided profits

123, 000 00
93, 983 49

National bank notes outstanding
State bank notes outstanding

403, 830 00

Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
«..

55, 579 62
402, 807 78
83, 793 68
25,216 26

Dividends unpaid.

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer.

71,505 57
41, 998 04
37, 6U9 00
250 50
6, 000 00
175, 000 00

Due to other national banks
Due to State banks and bankers

Total




1,044,376 14

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

Notes and bills re-discounted.
Bills payable

.

59, 933 28
114,664 08
468,800 00

21, 000 00
3, 308, 586 99

Total

3,308,586 99

530

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
Commercial National Bank, Cleveland.

D A M . P. EELLS, President.

No. 807.

JOSEPH COLWELL, Cashier.

Resources.

Liabilities.

$2,179,532 27 Capital stock paid in .
$1, 250, 000 00
Loans and discounts
5, 235 66
Overdrafts
,
4C0, 000 00 Surplus fund
250, 000 00
U. S. bonds to secure circulation
U. S. bonds to secure deposits
74,242 77
Other undivided profits
U. S.bonds on hand
357, 470 00
Other stocks, bonds, and mortgages . .
50, 500 00 National bank notes outstanding
,
236, 593 99 State bank notes outstanding
Due from approved reserve agents...
89,374 14
Due from other banks and bankers . .
50, 000 00 I Dividends unpaid .
Real estate, furniture, and fixtures...
31,963 19 Individual deposits
Current expenses and taxes paid
716, 120 08
Premiums paid
I United States deposits
Checks and other cash items
I Deposits of U. S. disbursing officers
4 \ 602 07
Exchanges for clearing house
4,621 00 Due to other national banks
219, 622 77
Bills of other banks
70 77 Due to State banks and bankers
102,920 15
Fractional currency
2, 700 00
•Specie
Legal tender notes
13U, 000 00 ; Notes and bills re-discounted
U. S. certificates of deposit
277,000 00
i Bills payable
Due from U. S. Treasurer
""l8"182*68
Total.

Total.

3, 247, 375 77

3, 247, 375 77

Merchants' National Bank, Cleveland.
T. P. HANDY, President.

No. 773.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, 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

$1,521,308 98

Capital stock paid in

$1,200,000 00

4,107 66

559, 000 00
225, 000 00
116,000 00

Surplus fund
Other undivided profits
National bank notes outstanding

101,173 22
173, 721 69
64, 273 50
46, 436 03
13,767 00
2, 6 47 42
34, 373 66
15,235 00
1, 978 49

State bank notes outstanding

9,000 00

135,000 00
25, 000 00

184, 000 00
74,061 46
373, 290 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

3, 048, 072 65

Total.

W. L. CUTTER, Cashier.

1, 019, 083 52
90,434 12
80, 254 36
19, 945 97
7, 003 22

3, 048, 072 65

National City Bank, Cleveland.
W. P. SOUTH WORTH, President.

Loans and discounts
Overdrafts
,
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages
Due from approved reserve agents.
Due from other banks 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. 786.

JNO. F . W H I T E L A W , Cashier.

$375,895 57 Capital stock paid in .
6,604 91 !
200, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

$200,000 00
50, 000 00
18, 502 24
175, 900 00
168 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
822,049 66

222, 974 34

34, 024 82
108,480 26

Total.

12, 000 00
822, 049 66

REPORT OP THE COMPTROLLER OF THE CURRENCY. 531
OHIO.
Ohio National Bank, Cleveland.
No. 1689.

Jisro. MCCLYMONDS, President.

H. S. KAUFMAN, Asst. Cashier.

Resources.
Loans and discounts
Overdrafts
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
U. S. certificates of deposit
Due from U. S. Treasurer,
Total.

Liabilities.
$594, 800 09 Capital stock paid in .
572 07
352, 000 00 Surplus fund
I Other undivided profits
5, 478 00 National bank notes outstanding
2, 432 85 State bank notes outstanding
41,695 93 Dividends unpaid .
3,428 31
19,106 06 Individual deposits
United States deposits
13,216 16 Deposits of U. S. disbursing officers .
4, 296 36
43, 978 00 I Due to other national banks
860 25 Due to State banks and bankers
1, 300 00
80, 000 00 I Notes and bills re-discounted.
Bills payable
8, 300 00

50, 935 65
49,306 90
315,000 00

159,110 86

52,764 24
94,346 43
50, 000 00
1, 171,464 i

Total.

1,171, 464 08

$400, 000 00

First National Bank, Columbus.
WM.

No. 123.

MONYPENY, 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
TJ. S. certificates of deposit
Due from U. S. Treasurer
Total.

T. P. GORDON, Cashier.

$521,508 80 || Capital stock paid in.
300, 400 00

"i9,"66o"66"

$300, 000 00

Surplus fund
Other undivided profits

100, 000 00
59, 799 96

40, 290 61 National bank notes outstanding
14,710 15 State bank notes outstanding
9,608 73 Dividends unpaid -

270, 000 00

10, 778 39

263,495 68

Individual deposits
,
United States deposits
5,760 31 Deposits of U. S. disbursing officers

15, 563 00 Due to other national banks
700 00 I Due to State banks and bankers
7, 522 86 :
65,000 00 Notes and bills re-discounted..
Bills payable
16,198 97
1,027,041 82

26, 348 76
7, 397 42

1,027, 041 82

Total.

Franklin National Bank, Columbus.
No. 599.

J. G. DESHLER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds 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
Bills of other banks
Fractional currency
S pecie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




C J. HARDY, Cashier.

$299,490 30 j Capital stock paid in

""i5O,"6oo"bb" Surplus fund
4,322
11,026

21,957
3,000
5.381
16,161

Other undivided profits
59 || National bank notes outstanding...
State bank notes outstanding
41 j |
45 ji Dividends unpaid .
00 1
1
15 I Individual deposits
|
United States deposits
68 Deposits of U. S. disbursing officers.

10,286 00 | Due to other national banks
803 57 ! Due to State banks and bankers
1,815 40 j
83,496 00 Notes and bills re-discounted.
il Bills payable
Total.

$150,000 00
40, 000 00
24, 493 78
133,000 00
14, 207 00

225, 685 28

21, 935 44
5,174 05

614,495 55

532

REPORT OF THE COMPTROLLER OF THE CURRENCY
OHIO.
National Exchange Bank, Columbus.

W. G. DESHLER, President.

GEO. W. SINKS, CasMei

No. 591.

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

$251,623 93 jj Capital stock paid in.

$100,000 00

50, 000 00 I Surplus fund
50, 000 00 ! Other undivided profits.
43, 096 6Q National bank notes outstanding
24,298 86 j! State bank notes outstanding
15, 680 39 Dividends unpaid
9, 008 36 Individual deposits
United States deposits
17,419 35 Deposits of U. S. disbursing officers..
15,485 00 Due to other national banks
547 46 Due to State banks and bankers
2, 33) 22
56, 673 00 Notes; and bills re-discounted.
Billa payable
.
i, 250 00 !
!

538, 413 2.5

100, 000 00
19, 684 47
45, 000 00

209, 191 88
13, 87? 04
21, 033 18
]

Total

j

18, 995 62
10, 631 04

538,413 23

First national Bank, Coshocton.
JACKSON7 HAY, President.

ITENRY C. HERBIG, Cashier.

Loans and discounts
!
Overdrafts
j
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.

$96,146 37 i Capital stock paid in
920 2!) !,
85, 000 (JO j Surplus fund
"
Other undivided profits
3, 500 00
5, 342 35
1, 375 92
1, 446 75
459 25
1,206 25

I
|
'

National bank notes outstanding
State bank notes outstanding

$85,000 00
2, 500 00
1,831 21
69, 600 00

Dividends unpaid .
Individual deposits
,
United States deposits
Deposits of U. S. disbursing officers

10, 640 00
26 63
650 00
10, 000 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
" "4*825 65' Bills payable
221,538 72

61,294 58
1,276 93
36 00

221,538 72

Total.

Second National Bank, Dayton.
W, P. HUFFMAN, President.

No. 10.

Loans and discounts
|
Overdrafts
!
f
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 backers .. \
Real estate, furniture, and fixtures . . . j
Current expenses and taxes paid
\
Premiums paid
Checks and other cash items
j
!
Exchangesfor clearing house
Bills of other banks
Fractional currency
[
Specie
:
Legal tender notes
t
U. S. certificates of deposit
Due from U. S. Treasurer
Total




!

CHAS. E. DRURY, Cashier.

$509,436
288
300, 000
100, 000

32 t Capital stock paid in .
75
00 Surplus fund
,
00 Other undivided profits.
I National bank notes outstanding
32, 800 86 I State bank notes outstanding
9, 747 93
5, 000 00 Dividends unpaid .
65 13 I Individual deposits
| United States deposits
14, 094 26 ! Deposits of U. S. disbursing officers.
17,013
1, 014
7, 079
60, 000

00 Due to other national banks
64 Due to State banks and bankers
00
00 ! Notes and bills re-discounted
I Bills payable
13, 500 00

1,070,039 89

Total.

$300, 000 00
120, 000 00
2, 367 82
270, 000 00

9, 480 00
319,852 96
39,639 48
79 16
4, 632 59
3, 987 88

1,070,039 89

REPORT OF THE COMPTROLLER OF THE CURRENCY.

533

OHIO.
Dayton National Bank, Dayton.
No. 898.

J. H. ACHEY, President.

W. S. PHELPS, 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.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures-.
Current expenses 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

$441,911 18 Capital stock paid in.
749 74
300, 000 00 Surplus fund
i
Other undivided profits
National bank notes outstanding
425 00
43,648
24, 327
5, 122
2, 45L

19
06
58
77

State bank notes outstanding

60, 000 00
41,860 97
j
j

270, 000 00
"
.
893 00

Dividends unpaid

Individual deposits
United States deposits
31,054 00 Deposits of U. S. disbursing officers.
....
530 00 Due to other national banks
1,500 00 Due to State banks and bankers . . .
40, 030 00 Notes and bills re-discounted
j
13,500 OH Bills payable
|
10, 483 48

245, 143 66

9, 607 25

y28, 295 25

Total..

5300, 000 00

Total

j

6,391 15
4, 006 47
928, 2do 25

Merchants' National Bank, Dayton.
A. S. ESTABROOK, Cashier.

No. 1788.

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 items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer

$236, 068 28 Capital stock paid in .
238 69
200, 000 00 Surplus fund
1 Other undivided profits 1
20. 000 00
National bank notes outstanding . . . .
26, 793 37 State bank notes outstanding
9,001. 83
7, 000 00 Dividends unpaid .
9.410 70
17, 411 30 Individual deposits
United States deposits
8, 476 05 Deposits of U. S. disbursing officers.
22, 593 00
22, 593 00
360 48
360
1, 475 50
30, 000 00

Due to other national banks
Due to State banks and bankers

$200, 000 00
14,696 43
23, 662 28
178, 747 00
275 00
220, 406 85

6, 567 79
8, 472 65

Notes and bills re-discounted.
Bills payable.

Total..

Defiance National Bank, Defiance.
JAS.

A. ORCUTT, President.

Loans and discounts
Overdraws
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer
Total




No. 1906.

$155, 964 57
109 10
100, 000 00

E D W A R D SQUIRE, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$100, 000 00
12, 000 00
8, 695 74
90,000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

52, 733 04

j Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable
Total.

12,024 84

275, 453 62

534

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
First National Bank, Delaware.
No. 243.

BENJ. POWERS, President.

J. E. GOULD, 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 batiks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
"Rxchanges 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

$136, 478 54 Capital stock paid in
100, 000 00 Surplus fund
Other undivided profits
"" 19," 550 "65'
20 00 ' National bank notes outstanding
12,838 02 State bank notes outstanding
2, 3 » 53
6
7, 400 00 Dividends unpaid
3, 349 32
1, 062 25 Individual deposits
1,196 95 United States deposits
1, 494 00 Deposits of U. S. disbursing officers..
596 56 Due to other national banks
1,817 00 Due to State banks and bankers
17, 075 00 Notes and bills re-discounted
4, 500 00 Bills payable

89,900 00

89,459 23

1,271 71
2, L15 82

309,684 17

Total -.

309,684 17

20,000 00
6,937 4L

Delaware County National Bank, Delaware.
W. D. HEIM, President.

No. 853.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

SIDNEY MOORE, Cashier.

$129, 23 L 16 Capital stock paid in .
"166, 000 66

100,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

17,095 74
8, 477 08 Dividends unpaid .
9,000 00
1,900 09 Individual deposits
United States deposits
1, 046 27 Deposits of U. S. disbursing officers.
8, 090
208
2, 199
28, 146

00 Due to other national banks
51 Due to State banks and bankers
38
00 Notes and bills re-discounted.
Bills payable
4, 499 90

309,894 13

Total.

20,000 00
1, 656 60
88,200 00

95,984 69
1,561 70
2,491 14

309,894 13

First National Bank, Delphos.
RUDOLPH REUL, 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, bonds, and mortgages .
Due from approved reserve 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 res for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 274.

JOSEPH BOEHMER, Cashier.

$186,433 07 ! Capital stock paid in .
5, 426 79 ;
101,900 00 Surplus fund
\ Other undivided profits
20, 000 00 I National bank notes outstanding
17,528 72 ; State bank notes outstanding
5,835 13 Dividends unpaid .
50i» 00
4, 497 46 Individual deposits
: United States deposits
49 87 i Deposits of U. S. disbursing officers.
1,362 00
Due to other national banks
185 84 Due to State banks and bankers
1,710 00
4, 000 00 Notes and bills re-discounted.
; Bills payable
900 00

350, 328 88

Total.

$100, 000 00
30, 000 00
12, 077 97
86, 400 00

100,257 19

202 81
574 97
20,815 94

350, 328 88

REPORT OF THE COMPTROLLER OF THE CURRENCY.

535

OHIO.
First National Bank, East Liverpool.
F. D. KlTCHEL, Cashier.

No. 2146.

JOSIAH THOMPSON, President.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. S. bondf to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses 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

$50, 820 09
"56,660,66

21,213 64

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

4,016 10

6, 650 00 Dividends unpaid .
941 75 Individual deposits
United States deposits.
1, 728 88 Deposits of U. S. disbursing officers.
2, 218 66

1,004 65
9, 175 00
2,250 66

45, 000 00
40 00
48,214 05

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable

150,018 11

Total.

4,081 17
2, 092 58

150,018 11

First National Bank, Eaton.
No. 530.

C. F. BROOKE, 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.

$166, 549 82
1, 118 12

W. M. BROOKE, Cashier.

Capital stock paid in.

$100, 000 00

Surplus fund
Other undivided profits
9,822 99 i National bank notes outstanding
12, 633 20 I State bank notes outstanding
6,192 52 Dividends unpaid .
2,561 75 Individual deposits
United States deposits
1,354 52 Deposits of U. S. disbursing officers.

100,000 00

3, 070 00
188 23
1, 855 00
21,068 00

18,720 23
11,058 30
89, 000 00

113, 135 62

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted .
Bills payable

5, 5U0 00
Total .

331,914 15

331,914 15

First National Bank, Elyria.
ELIJAH D E W 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 bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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!




J. W. HuLBERT, Cashier.

No. 438.
$136,133 09 Capital stock paid in .

""i66"666"66"

Surplus fund
I, i5o 66 Other undivided profits
National bank notes outstanding
41,333 46 State bank notes outstanding
12, 730 89 Dividends unpaid.

2,094 17
698 00

454 87
2, 975 75
14, 357 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

$100 000 00
20, 000 00
27, 063 30

83,6 I 00

87, 138 29

74 10

2,584 92

5,410 03
320,550 61

Total.

32'\ 550 i\ I

536

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
First National Bank, Findlay.
No. 36.

E. P. JOXES, President.

CHAS. E. NILES, 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
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
Dus from U. S. Treasurer

$105,811 24 Capital stock paid in.
1, 505 69
55, 600 00 Surplus fund
Other undivided profits
National bank notes outstanding
8,233 94 State bank notes outstanding
2,715 53 Dividends unpaid .
1, 700 00
2,755 61 Individual deposits
United States deposits
25 00 Deposits of U. S. disbursing officers. .
Due to other national banks
Due to State banks and bankers....
Notes and bills re-discounted
Biiis payable
Total.

Total.

$50, 000 00
10, 993 36
7, 196 48
50, 000 00

60, 315 78

1,276 92
10, 000 00

189, 782 54

First National Bank, Franklin.
No. 738.

LEVT CROLL, President.
Loans and discounts
j
Overdrafts
j
U. S. bonds to secure circulation
j
U. S. bonds to secure deposits
j
U. S. bonds on hand
i
O ther stocks, bonds, and mortgages... j
Due from approved reserve agents.. J
Due from other banks and bankers . .
Real esrate, furniture, and fixtures . . . |
Current expenses and taxes paid.,
Premiums paid
Checks and other cash items..
Exchanges 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. BOYNTON, Cashier.

$186, 915 75 ; Capital stock paid in
1,684 78
95, 000 00 Surplus fund
, O ther undivided profits
National bank notes outstanding
3, 585 22 State bank notes outstanding
4, 600 22
4, 800 00 Dividends unpaid .
, Individual deposits . . . . .
United States deposits
603 82
Deposits of U. S. disbursing officers.

$100, 000 00
50, 000 00
152 49
85, 500 00
8, 000 00
67, 220 30

1, 033 00 Due to other national backs
350 00
1,025 00 Due to State banks and bankers .
7, 000 00 Notes and bills re-discounted.
Bills payable
,
4,275 00
310,872 79

Total.

3L0.872 79

Farmers' National Bank, Franklin.
J. S. STOUTENBOROUGH, President.

No. 2282.

Loans and discounts
!
Overdrafts
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...[
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
i,
Specie
!
Lf gal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
,
Total




!

DAVID ADAMS, Cashier.

$95, 062 18 Capital stock paid in
61 94
33, 200 00 Surplus fund
, Other undivided profits
National bank notes outstanding
2,110 10 State bank notes outstanding
3, 007 84 Dividends unpaid
1,103 58
491 33 Individual deposits
United States deposits
20 00 Deposits of U. S. disbursing officers..
6 96 Due to other national banks
552 00 Due to State banks and bankers
5,000 00 Notes and bills re-discounted
1,494 00 Bills payable
142,139 93

Total

$50, 000 00
5, 800 00
2,686 13
29, S80 00

53, 773 80

142,139 93

REPORT OF THE COMPTROLLER OF THE CURRENCY.

537

OHIO.
First National Bank, Fremont.
No. 5.

. W. WILSON, President.

A. H, MILLER, 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. 8. certificates of deposit
Due iYom U. S. Treasurer
Total.

$100, 000 00

$177,006 86 Capital stock paid in.
7, 543 36
100, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
44, 191 34 State bank notes outstanding
4,709 62
28, 622 68 Dividends unpaid .
4,823 63 Individual deposits
United States deposits
.669 67 Deposits of U. S. disbursing officers..

60,000 00
11,693 96
90, 000 00

149, 487 41

75 44
159 04

"I,"l68"66" Due to other national banks
Due to State banks and bankers
970 75
12, 500 00 Notes and bills re-discounted.
Bills payable
5, 509 94 i
412, 9 L5 85 ;

Total

1, 500 00
I

412,915 \

First National Bank, Gallon.
No. 419.

C. S. ClUlSI, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U.S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents..Due from other banks and bankers ,.
Real estate, furniture, and fixtures...
Current expenses 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. 8. certificates of deposit
Due from U. S. Treasurer

.1
$100,100 81 Capital stock paid in..
1,162 10
50, 000 00 Surplus fund
Oiher undivided profits
250 00 National bank notes outstanding
6, 763 31 State bank notes outstanding
8, 602 62
13, 270 07 Dividends unpaid .
979 13 Individual deposits
Unted States deposits
370 01 D<. p >sits of U. S. disbursing officers .
377
85
300
11,000

00
15
00
00

i,550'00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

194,810 20

Total.

O. L. HAYS, Cashier.

Total.

$50,000 00
# 000 00
5,008 90
45, 000 00

86, 249 79

530 29
1,021 22

194,810 20

Citizens' National Bank, Gallon.
W. H. 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. 8. certificates of deposit
Due from U. S. Treasurer
Total.




J. H. GliEEN, Cashier.

No. 1984.

$95,190 71 Capital stock paid in .
527 24
60, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
1. 721 92 State bank notes outstanding
2,233 41
15,091 92 Dividends unpaid .
1,448 21.
4, 000 00 Individual deposits
United States deposits
651 70 Deposits of U. S. disbursing officers.
1,120 00 Due to other national banks
30 90 Due to State banks and bankers
44 91
14, 500 00 ••Notes and bills re-discounted
Bills payable
Total

$60, 000 00
9, 000 00
2,845 13
54,000 00

72, 327 44

1,007 33
81 02

199,260 92

538

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
First National Bank, GallipoHs.

E D W . DELETOMBE, President.

No. 136.

J. A. HAMILTON, 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 . .

$260, 936 05
1,348 22
100, 000 00

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

18, 946 07
20, 707 32
3, 614 73
2,151 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

3, 15^ 00
857 01
261 00
30, 18 L 00

4f"5o6"66"

Total..

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits

44, 000 00
14,583 38

National bank notes outstanding
State bank notes outstanding

89, 980 00

Dividends unpaid

,

Individual deposits
,
United States deposits
Deposits of U. S. disbursing officers

193,086 10

Due to other national banks
Due to State banks and bankers . . .

1,667 94
3, 344 75

Notes and bills re-discounted
Bills payable

446,662 17

446,662 17

First National Bank, Garrettsville.
W. C. THRASHER, President.

No. 2034.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U.S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures-.
Current expenses and taxes paid.
Premiums paid
Checks and other cash items
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

! 185, 878 26 Capital stock paid in.
1,420 00 !
60,000 00 j Surplus fund
Other undivided profits

2, 2t)9 54
2, 089 93

"io,666"6o"
12,715
1, 678
9, 645
1,738

51
59
43
93

175 00
2, 6! I
63
321
14,500

00
97
00
00

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

54, 000 00
615 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

303, 947 69

Total.

C. W. GOODSELL, Cashier.

Total..

133,264 00

909 11
200 11
10, 600 00
303, 947 69

First National Bank, Geneva.
No. 153.

SALMON SEYMOUR, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges fo^ clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
TT. S. certificates of deposit
Due from U. S. Treasurer
Total




J. B. STEPHENS, Cashier.
1100, 000 00

$68, 608 56

Capital stock paid in .

loo, ooo 6o
5,666 66"

Surplus fund
Other undivided profits

14,700 00
4,344 78

National bank notes outstanding
State bank notes outstanding

88, 340 00

20, 302
35, 707
13,864
2, 045

43
40
35
40

3U0 00

1,781 95
292
82
50
4, 600

00
13
00
(JJ

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

49,727 81

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

4, 500 00
257,134 22

Total.

257, 134 22

REPORT OF THE COMPTROLLER OP THE CURRENCY. 539
OHIO.
First National Bank, Germantown.
No. 86.

J O H N F . KERN, President.

J. H. CROSS, 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 itGtns
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 LI, 157 48
16 74
75,000 00
2, 000 00
11,136 89
994 68
5,647 17
1,624 64

456
393
1,226
13, 493

00
40
75
00

Capital stock paid in.

25,000 00
19, 787 16

National bank notes outstanding
State bank notes outstanding

67, 500 00

Dividends unpaid.

235 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

38, 999 59

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted .
Bills payable

3, 375 00
Total

226,521 75

Total.

$75, 00Q 00

Surplus fund
Other undivided profits

226, 521 75

First National Bank, d-ranville.
No. 388.

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. 8. certificates of deposit
Due from U. S. Treasurer

$77, 203 91
3,914 53
50, 000 00

284
1, 940
2,815
774

92
98
00
48

24 00

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits

10,000 00
4,319 89

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, 727 00
107 70

Due to other national banks
Due to State banks and bankers

7, 850 00

39, 276 73

Notes and bills re-discounted.
Bills payable

""2,"250"66"

Total.

148, 892 52

Total.

E. M. DOWNER, Cashier.

295 90

148, 892 52

First National Bank, Green Spring.
ROBERT SMITH, President.

No. 2037.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer




450 00
879
12, 618
3,317
682
2, 208

46
08
90
50
95

1,137 24
134
93
91
2, 285

00
66
40
00

31

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.

$50, 000 00
6,500 00
1,969 49
45, 000 GO
15 00
34, 314 60

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

1,750 00
137, 799 09

Total.

H. Ex. 3

$57,191 22
4, 959 68
50, 000 00

LESTER W. ROYS, Cashier.

Total.

137,799 09

540

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
Farmers' National Bank, Greenville.
No. 1092.

H. W. EMERSON, President.

T. S. WARING, Cashier

Liabilities.

Resources.
Loans and discounts
Overdrafts
CT. S. bonds to secure circulation
U. S. bonds to secure deposits
U S bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid

$151, 053 62
1,200 31
84, 000 00
19, 740
8,963
1, 631
6,000

Capital stock paid in

83
40
90
00
33

1,168 86

Checks and other cash items
Exchanges for clearing house
Bills of other banks

3,964 00
335 80

5,268 9D
24, 000 00

Specie
Legal tender notes
IJ S certificates of deposit
Due from U. S. Treasurer

$84, 000 00

Surplus fund . .
>•...
Other undivided profits
National bank notes outstanding
State bank notes outstanding

.

60, 000 00
13, 955 11
74, 600 00
88 00
81, 546 84

United States deposits
,
Deposits of U. S. disbursing officers. Due to State banks and bankers
Notes and bills re-discounted........

6, 700 00
314,189 95 1

Total

Total

314,189 95

First National Bank, Hamilton.
No. 56.

MICAJAH 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 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

$409,911 12 •
5,122 23 j
100, 000 00 j

$100, 000 00

Surplus fund
Other undivided profits
25,~950"66";
12, 400 00 ; National bank notes outstanding
66,561 43 ! State bank notes outstanding
6, 192 66 !
11,153 63 ! Dividends unpaid .
Individual deposits
United States deposits
3,812 41 Deposits of U. S. disbursing officers.

"i6,"6l8 QQ

2, 072 28
35,000 00

Due to other national banks
Due to State banks and bankers . . . .
Notes and bills re-discounted.
Bills payable

70, 000 00
5,816 92
90, 000 00

424,843 82

1,938 81
6,187 12

4, 587 86
698,786 67

Total.

J O H N B. CORNELL, Cashier.

Capital stock paid in .

Total .

698, 786 67

Second National Bank, Hamilton.
WM.

E. BROWN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Duje from U. S. Treasurer
Total




No. 829.

$341, 313 67
2, 082 34
100, 000 00

2,"6oo 66
41,108 73
19,541 87
24, 667 56
3,179 24
3,811 96
1,928 00
925 92
1,021 55
17, 000 00

HENRY WALTNER, Cashier.

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits

20, 052 21
9, 885 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.
Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

333, 624 !

5, 370 22
4,719 44

5, 070 76
563, 651 60

Total.

563, 651 60

REPORT OF THE COMPTROLLER OF THE CURRENCY.

541

OHIO.
Citizens' National Bank, Hillsborough.
JOHN C. GREGG, President.

No. 2039.

C. M. OVERMAN, 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

$178, 340 67 Capital gtock paid in
3,589 20
100, 000 00 Surplus fund
Other undivided profits .
24, 120 00 National bank notes outstanding .
10, 008 87 State bank notes outstanding
1, 301 87
3, 226 39 Dividends unpaid.
696 21
11,414 18 Individual deposits
United States deposits
393 31 Deposits of U. S. disbursing officers.
2,350 00
45 48
200 00
18, 000 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

11,000 00
10,188 95
90, 000 00

137, 698 96

1, 063 27
235 00
8,000 00

4,500 00
Total.

358,186 18

Total.

$100, 000 00

358,186 18

Hillsborough National Bank, Hillsborough.
JOHN A. SMITH, President.

No. 787.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers-.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
.,
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

CARLISLE BARRERE, Cashier.

$130, 366 05 Capital stock paid in.
994 90
100, 000 00 Surplus fund
Other undivided profits .
8, 000 00
National bank notes outstanding
State bank notes outstanding
1, 303 58
12, 646 44

5, 647 44
1,039 77

35, 000 00
6, 602 76
90, 000 00

Dividends unpaid.

Individual deposits
United States deposits
10 00 Deposits of U. S. disbursing officers.

3, 550 00
15 29
2, 375 00
16, 625 00

5100, 000 00

61,970 71

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

11,000 00
293,573 47

Total.

293, 573 47

First National Bank, Ironton.
OEO.

WILLARD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand...
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid. . . .
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 98.
$465,356 60
730 09
300, 000 00

H. B . WILSON, Cashier.

Capital stock paid in
Surplus fund
Other undivided profits

"**75,"65o'6o"
1, 509 71 National bank notes outstanding
18, 953 91 State bank notes outstanding
33, 448 06 Dividends unpaid .
11, 644 57
6,789 98
5, 926 01 Individual deposits
United States deposits
1,020-25 Deposits of U. S. disbursing officers.
7,781 00 Due to other national banks
1,051 47 Due to State banks and bankers . . . .
3, 476 80
24, 580 00 Notes and bills re-discounted.
Bills payable
13, 500 00
970,818 45

Total.

$300, 000 00
100, 000 00
26, 604 82
269,000 00

254, 632 31

2, 333 83
18,247 49

970,818 45

542

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
Second National Bank, Ironton.
No. 242.

THOS. W. MEANS, President.

RICHARD MATHER, Cashier

Resources.

Liabilities.

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.

$400,263 10

701 7G
250, 000 00
20, 000 00
10,98 00
13,421 88
6, 407 70
16, 500 00
7,761 30
1,020 20
1,475 32

Capital stock paid in.

$250, 000 00
62,500 00
17, 430 97

Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

222, 820 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

201, 985 49

2,520 00 Due to other national banks
213 42 Due to State banks and bankers
1,471 20
24, 606 00 Notes and bills re-discounted.
Bills payable
11,250 00
768, 597 88

Total.

6,395 11
7, 466 31

768, 597 88

First National Bank, Jackson.
No. 1903.

P E T E R PICKREL, President.

Loans and discounts
,
Overdrafts
,
-.
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved 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 defposit
Due from IT. S. Treasurer
Total.

D. ARMSTRONG, Cashier.

$144, 761 20 Capital stock paid in .
3, 115 03
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
4, 384 65 State bank notes outstanding!
3, 028 50
11, 137 23 f Dividends unpaid .
2,324 38 i Individual deposits
1,400 00 United States deposits
1, 122 35 Deposits of U. S. disbursing officers.
529
583
330
16,155

00 Due to other national banks
16
00 Due to State banks and bankers .
00 Notes and bills re-discounted.
Bills payable
2,250 00

241,120 50

Total.

$50, 000 00
] 0,800 00
2, 615 86
45,000 00

127,702 50
5, 002 14

241,120 50

First National Bank, Jefferson.
R. M. NORTON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
:..
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. A. BUSHNELL, Cashier.

No. 427.
$108, 946
2, 123
70, 000
1, 500
9, 937
55, 889
1, 576
8, 434
916
3, 952

02 Capital stock paid in.
45
00 Surplus fund
Other undivided profits .
00
50 National bank notes outstanding . . . .
44 State bank notes outstanding
52 Dividends unpaid .
74
05 Individual deposits
United States deposits
93 Deposits of U. S. disbursing officers

3,624 00 Due to other national banks
6 35 Due to State banks and bankers .
322 45
8, 000 00 Notes and bills re-discounted.
Bills payable
1, 633 62
276, 863 07

Total.

$70, 000 00
14.000 00
5,122 39
59, 660 00

127,170 20

910 48

276, 863 07

REPORT OF THE COMPTROLLER OF THE CURRENCY.

543

OHIO.
Second National Bank, Jefferson.
No. 2026.

ABNER KELLOGG, President.

S. T. FULLER, 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
Total.

$83, 074 42 Capital stock paid in.
3, 404 20
100, 000 00 Surplus fund
Other undivided profits ,
National bank notes outstanding
13,460 56 State bank notes outstanding
23, 903 62 Dividends unpaid.
8,271 17
Individual deposits
,
7, 000 00 United States deposits
,
3,189 27 Deposits of U. S. disbursing officers
6, 200
62
603
9, 500

00 Due to other national banks
21 Due to State banks and bankers
00
00 Notes and bills re-discounted.
Bills payable
4, 500 00
Total..

263,16d 45

$ LOO, 000 00
3, 418 74
4, 944 80

90, 000 00

61,991 33

2,146 37
667 21

263,168 45

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
,
n
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
,

No. 652.

JAS. S. COOKE, Cashier.

$162,183 17 Capital stock paid in .
234 59
100, 000 00 Surplus fund
Other undivided profits .
10,359 51
9,114 34
24,827 47
1,918 66
909 25

$100,000 00
16, 650 93
9, 650 86

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

830 00 Due to other national banks
73 87
164 00 Due to State banks and bankers
5, 367 00 Notes and bills re-discounted.
Bills payable

Total.

Total.

89, 926 00

102, 895 47

754 24
654 36

320,531 88

Hocking Valley National Bank, Lancaster.
G. A. MlTHOFF, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages . .
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
„
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1241.
$119,094 68

so, 666 65"
2, 600 00

J. W. FARINGER, Cashier.

Capital stock paid in.
Surplus fund
„..
Other undivided profits
National bank notes outstanding
State bank notes outstanding

5,887 05
11,314 77 Dividends unpaid .
12, 700 00
1,861 97 Individual deposits
United States deposits
4, 483 10 Deposits of U. S. disbursing officers.

Due to other national banks
1, 387 22 Due to State banks and bankers . . .
1, 145 70
18,101 00 Notes and bills re-discounted.
Bills payable
4, 510 60
263, 086 09

Total.

$80, 000 00
14,558 01
3, 716 45
72, 000 09

91, 053 66

1,570 04
187 93

263, 086 09

544

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
Lebanon National Bank, Lebanon.
No. 2360.

J. M. HAYNER, 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

$44, 368 20

Surplus fund
Other undivided profits .

1, 879 36

National bank notes outstanding
State bank notes outstanding
7,825 38
1, 710 00
714 57
4,387 50
1, 295 00
5L 44
250 00
4, 500 00

26, 500 CO

Dividends unpaid .

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

18,072 73

1, 350 00
Total.

96, 452 09

Total .

$50, 000 00

Capital stock paid in.

"36,666 66

96, 452 09

First National Bank, Lima.
No. 2035.

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 .

$77,652 41

"55*666" 66"
1,231
459
6, 68 L
1,676
3, 000

18
10
70
25
00

864 46

W. F. COULSON, Cashier.
$55, 000 00

Capital stock paid in.,
Surplus fund
Other undivided profits
National bank notes outstanding . . State bank notes outstanding
Dividends unpaid .

49, 500 00
240 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

6,454 00 Due to other national banks
205 99 Due to State banks and bankers . . .
31 73
6, 000 00 Notes and bills re-discounted.
Bills payable
2, 475 00
161, 731 82

601 48
3,117 50

51, 680 94

309 44

1, 282 40

161,731 82

Total.

First National Bank, Logan.
J O H N 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. Treasure:
Total.




No. 92.
$160, 406 48
45 62
50, 000 00

12, 383 98
9,868 14
1,700 00
1,975 90

1, 857 00
987 10
1,050 00
29, 750 00

C. E. BOWEN, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$50, 000 00
10, 000 00
7, 279 38
42, 945 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

158, 787 30

377 57
1,884 97

1,250 00
271, 274 22

Total.

271,274 22:

REPORT OF THE COMPTROLLER OF THE CURRENCY.

545

OHIO.
Madison National Bank, London.
J. Q. MINSHALL, President.

No. 1064.

HARFORD TOLAND, 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

,

National bank notes outstanding .
State bank notes outstanding

9,451 73
293 78
2, 226 50
2,447 37

24, 000 00
6,094 28"
107, 500 00*

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers

4, 751 00
1, 617 00
10, 835 00

134,769 90'

Due to other national banks
Due to State banks and bankers . .
Notes and bills re-discounted.
Bills payable
,

2, 733 34

3,078 07
4,881 75
28, 892 00
5, 000 00

5,466 66
434,216 00

Total.

$120, 000 00s

$266, 059 36 Capital stock paid in .
8, 400 92
120,000 00 Surplus fund
Other undivided profits

Total.

434,216 00

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

No. 2052.
$61, 706 73

" "75,'666'66'

H. D. MILLER, Cashier.

Capital stock paid in.

$75, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

1, 900 00
2, 376 85
8,767 84 Dividends unpaid .
6, 412 46
817 65 Individual deposits
5, 800 00 United States deposits
1,412 48 Deposits of U. S. disbursing officers.
6, 411 00
29 80

130 05
4, 400 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

Total.

Total.

4, 850 00
2, 382 35
63,500 00
140 00
30, 770 20

269 16
1,000 00

177,911 71

Manchester National Bank, Manchester.
WM.

A. 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
U. S. certificates of deposit
Due from U. i?; Treasurer.
Total.




No. 1982.
$102, 328 59
300 00
50, 000 00
i2,5oo 66
11,295 81
10, 043 58
5,418 80
12, 126 28
2,680 91
2, 253 75
105 50
4, 932 00
2 62

2, 353 50
7, 000 00
2, 250 00
225,591 34

J. P. ELLISON, Cashier.

Capital stock paid in
Surplus fund
Other undivided profits
National bank notes outstanding

$50,000 00
9, 000 00
3, 869 35
45, 000 00

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
j Bills payable
Total

117,721 99

225,591 34

546

REPORT OF THE COMPTROLLER OF THK CURRENCY.
OHIO.
Farmers' National Bank, Mansfield.
No. 800.

JAMES FURDY, President.

GEO. A. CLUGSTON, 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.

$178, 345 78 Capital stock paid in.
49
100, 000 00 Surplus fund
Other undivided profits.
400 00
National bank notes outstanding
14,035 59 State bank notes outstanding
12, 330 86
21,354 00 Dividends unpaid.
Individual deposits
United States deposits
2, 996 40 Deposits of U. S. disbursing officers.
1, 993 00 Due to other national banks
240 85 Due to State banks and bankers .
1,350 00
16,460 00 Notes and bills re-discounted.
Bills payable
4, 500 00
Total .

354, 006 97

$100, 000 00
5,364 73
90, 000 00

145,979 32

3, 662 92
9, 000 00

354, 006 97

First National Bank, Marietta.
No. 142.

BEMAN GATES, 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

1,669 00 Due to other national banks
721 95
1,329 45 Due to State banks and bankers
20, 000 00 Notes and bills re-discounted.
Bills payable
6, 750 00
548,049 9L

Total.

E. R. DALE, Cashier.

$•249, 757 28 Capital stock paid in.
763 80
150, 000 00 Surplus fund
Other undivided profits.
15, 750 00
19,260 00 National bank notes outstanding
36, 543 34 State bank notes outstanding
26, 545 62 Dividends unpaid .
8,430 00
5,258 71 Individual deposits
3,200 39 United States deposits
2,070 37
Deposits of U. S. disbursing officers.

Total.

$150, 000 00
25,000 00
10,318 46
133, 960 00

215,427 96
11,340 52
2,002 97

548, 049 91

First National Bank, Massillon.
SALMON HUNT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 216.
$420, 635 46
4, 308 21
215, 000 00
10,100 00
1,795
16,159
3, 000
4,688

77
41
00
93

1,756 58
10
55
426
32, 273

00
21
50
00

CHAS. STEESE, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits National bank notes outstanding
State bank notes outstanding

$200, 000 00
50, 000 00
32, 116 91
191, 690 00
3, 227 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

230,414 34

10, 752 01
1,167 01
477 80

9,636 00

719,845 07

Total .

719,845 07

REPORT OF THE COMPTROLLER OF THE CURRENCY.

547

OHIO.
Union National Bank, Massillon.
J. H. HUNT, Cashier.

No. 1318.

J. E. McLATN, 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.
$183, 854 08 Capital stock paid in.
527 05
100, 000 00 Surplus fund
Other undivided profits .
5, 000 00 National bank notes outstanding
16, 059 33 State bank notes outstanding
3,166 57 Dividends unpaid .
6, 063 95
3,689 71 Individual deposits
United States deposits
1, 377 90 Deposits of U. S. disbursing officers
Due to other national banks
Due to State banks and bankers
25, 985 00 Notes and bills re-discounted.
Bills payable
""3," 600* 66'
626 00
7 06

349, 956 65

Total.

$100, 000 00
20,000 00
15,150 80
90, 000 00

119, 636 49

4,165 69
3,003 67

349,956 65

Total.

Vinton County National Bank, Me Arthur.
DANIEL W I L L , President.

No. 2036.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. W. DELAY, Gas Her.

$170, 454 80 Capital stock paid in.
964 09
100, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
3,160 59 State bank notes outstanding
4, 285 51 Dividends unpaid .
7,314 38
1, 720 70
6, 750 00 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
1, 300 00 Due to other national banks
124 65
1, 290 00 Due to State banks and bankers
16,585 00 Notes and bills re-discounted .
Bills payable

Total .

Total.

$100, 000 00
7, 000 00
4, 063 11
90, 000 00

115,895 42

808 28
682 91

318,449 72

First National Bank, McConnelsville.
ARZA ALDERMAN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
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 I7. S. Treasurer
Total




R. STANTON, Cashier.

No. 46.
$176,049 20 Capital stock paid in .
459 65
100, 000 00 Surplus fund
Other undivided profits

National bank notes outstanding
9,147 40 State bank notes outstanding
4, 937 95
3, 033 84 Dividends unpaid.
1, 873 54 Individual deposits
United States deposits
1, 447 47 Deposits of U. S. disbursing officers.
5, 605 00 Due to other national banks
25 10 Due to State banks and bankers
550 00
7, 000 00 Notes and bills re-discounted.
Bills payable
3, 965 !
314,095 13

Total.

$125,000 00
25, 000 00
11, 975 79
86, 600 00

63, 989 96

617 85
911 53

314, 095 13

548

REPORT OF THE COMPTROLLER OP THE CURRENCY.
OHIO.
Farmers' National Bank, Mechanicsburg.

R. D. WILLIAMS, President.

No. 2325.

THOMAS DAVIS, 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
Pren&ims paid
Checks and other cash items
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.
$135, 977 57
1,765 89
33, 500 00

11,292 81
7, 674 83
3,785 00
1,958 43
3, 500 00
2,147 90
2,844 00
208 35
1,058 25
14, 000 00
1, 507 00

$100, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits

1, 200 00
6, 094 27

National bank notes outstanding
State bank notes outstanding

30,140 00

Dividends unpaid
Individual deposits
United States deposits
,
Deposits of U. S. disbursing officers

71, 972 96

1, 812 80

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

"16,65b 66

Total .

Total.

221,220 03

Phoenix National Bank, Medina.
No. 2091.

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
• v? - Fractional currency
/.. Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$133,214 21
1,920 00
75,000 00
210 00
38, 690 13
3, 775 47
350 00
1,676 37

1,729 77
162 64
88 00
332 20
170 90

4, 500 00

R. M. MCDOWELL, Cashier.

Capital stock paid in.,

$75, 000 00

Surplus fund
Other undivided profits -

6, 000 00
6, 915 47
65, 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 . . . . . . . . . .

108,139 59

1, 450 23

1,135 60
263, 005 29

Total.

263, 005 29

First National Bank, Middleport.
R. R. HUDSON, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. B. MCELHINNY, Cashier.

No. 2210.
$104,158 96

Capital stock paid in .

$100, 000 00

37.1 96

35,000 00
3,800 00

4,512 73
2, 479 07
2, 650 00
833 90
43 60 I

830 00
102 97
885 00
6,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

2, 000 00
1,286 37
31, 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

1,575 00 ||
163,245 19

-.

Total.

22,116 34

2, 240 88
264 19
3, 837 41
163,245 19

REPORT OF THE COMPTROLLER OF THE CURRENCY.

549

OHIO.
First National Bank, Middletown.
No. 1545.

S. V. CURTIS, President.

DANIEL H E L W I G , 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 . .
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

9, 276 28 Capital stock paid in.

66,666 66

9,201 16
864 06
1, 800 00 Dividends unpaid.
1,549 15 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
900 00
18 49
10, 000 00

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

316,309 14

Total.

$100, 000 00-

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

22,000 00
6,130 48
54, 000 00

118,268 17

4, 910 49
11,000 00

316,309 H

Total.

Merchants' National Bank, Middletown.
C. F. GUNCKEL, President.

No. 2025.

Loans and discounts
Overdrafts
U. S.bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages ..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures.. .
Current expenses and taxes paid
Premiums paid
Checks andother cash items...
Exchanges 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, 808 22
1, 248 64
40, 000 00

8,553 68
6 52
15, 725 43
2,436 83

6, 118 00
390 13
5, 339 00

"I.'soo'oo"

J. M. LOEHR, Cashier.

Capital stock paid in.

$100, 000 00'

Surplus fund
Other undivided profits

4, 300 00
3, 541 48

National bank notes outstanding
State bank notes outstanding

26, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers

80, 634 97

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
Total.

224, 476 45

224, 476 4j5

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 otherjbanks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items -.
Exchanges for 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.

$145,821 37 Capital stock paid in.
533 02
124, 000 00 Surplus fund
Other undivided profits.
8, 250 00
9, 800 00 National bank notes outstanding
6, 793 38 State bank notes outstanding
1,645 64 Dividends unpaid..
6, 820 49
1,583 20 Individual deposits
United States deposits
3, 967 45 Deposits of U. S. disbursing officers..
2,419 00
4 87
29 55
5, 000 00

Due to other national banks
Due to State banks and bankers

$120,000 00
25, ooo oa
8, 908 08
110,000 0Q

56, 911 34

1,183 37
170 18

Notes and bills re-discounted .
Bills payable

5, 500 00
322,172 97

Total.

322,172 97

550

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
First National Bank, Mount Pleasant.

J, T. UPDEGRAFF, President.

No. 492.

I. K. RATCLIFF, 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.
$156, 407 34
175, 000 00

4, 456 23
6,867 98
1,650 27
425 00
127 49
820 00
206 36
670 00

Capital stock paid in.

$175, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding..
State bank notes outstanding

5,200 00
10, 581 25
156, 760 00

Dividends unpaid .
Individual deposits
-..,
United States deposits
Deposits of U. S. disbursing officers

15, 263 11

Due to other national banks
Due to State banks and bankers -.
Notes and bills re-discounted.
Bills payable
,

1 31
200 00

7,875 00
Total.

363, 005 67

363, 005 67

First National Bank, Mount Vernon.
COLUMBUS DELANO, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current 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's
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 908.

F R E D . D. STURGES, Cashier.

$95,534 49 Capital stock paid in .
269 60
50,000 00 Surplus fund
Other undivided profits
'""20," 600'66
National bank notes outstanding
State bank notes outstanding
12,843 73 Dividends unpaid .
" i~039 11
1,053 00
2, 783 00
52 35
1,000 00
36, 592 00

$50, 000 00
10,000 00
2,248 90
35, 600 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

116,021 37

Due to other national banks
Due to State banks and bankers —
Notes and bills re-discounted.
Bills payable
. ^..

7, 201 28
2, 955 73

2,250 00
Total.

224, 027 23

224, 027 28

Knox County National Bank, Mount Vernon.
H. B. 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
Total.




No. 1051.

JNO. M. EWALT, Cashier.

$136,049 59 Capital stock paid in .
811 86
100,000 00 Surplus fund
Other undivided profits.,
National bank notes outstanding
2, 278 91 State bank notes outstanding
2,59L 58
2, 023 78 Dividends unpaid .
905 71 Individual deposits
United States deposits
2, 374 72
Deposits of U. S. disbursing officers.
3,299 00
148 24
229 00
18, 000 00

Due to other national banks
Due to State banks and bankers . . .
Notes and bills re-discounted.
Bills payable

$100, 000 00
fi,8U 62
3, 653 80
90, 000 00

59, 227 15

1,779 10
1,740 72
10, 000 00

4,500 00
273,212 39

Total.

273,212 39

REPORT OF THE COMPTROLLER OF THE CURRENCY.

551

OHIO.
First National Bank, Newark.
No. 858.

J . BUCKINGHAM, President.

VIRGIL H. W R I G H T , 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, 950 59
79b' 47
100, 000 00

'""25*666" 66'
734 68
25,949 10
16,65L 34
127 75
4, 293 02
5, 512 01

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

20, 000 00
4,274 33
90,000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

8,416 00 Due to other national banks
195 01 Due to State banks and bankers
1,429 22
25, 000 00 Notes and bills re-discounted.
Bills payable
10, 600 00
368, 655 19

Total.

$100,000 oa

Capital stock paid in .

150,179 86

3,155 88
1,045 12.

368,655

Total .

First National Bank, N e w Lisbon.
No. 2203.

JOHN MCDONALD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
TJ. S. bonds on hand
Other stocks, borids, and mortgages.
Due from approved reserve agents.
Due from other banks and bankers.
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

O. W. KYLE, Cashier.

$50, 280 89 Capital stock paid in .
517 66
30, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
20, 035 87 State bank notes outstanding
1,823 62
8,792 25 Dividends unpaid.
838 58 Individual deposits
1, 718 98 United States deposits
Deposits of U. S. disbursing officers.
1, 730
93
922
4, 541

00 Due to other national banks
36 Due to State banks and bankers .
45
00 Notes and bills re-discounted.
Bills payable
1, 350 00
Total.

122, 644 66

$50, 000 00
1,192 07
2,436 45
25, 800 0G

41,187 52

2,026 62'

122, 644 66

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.

M. H. SMITH, Cashier.

$44,691 51 Capital stock paid in .
842 00
50, 000 00 Surplus fund
Other undivided profits .
16, 923
4, 681
11,973
294
4, 800
931

22
07
58
25
00
95

National bank notes outstanding
State bank notes outstanding

$50, 000 00
5, 550 00
896 40
43, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

45, 303 79

456
3
693
5,500

00 Due to other national banks
57 Due to State banks and bankers .
04
00 Notes and bills re-discounted.
Bills payable
,
3,250 00
145, 040 19

Total.

145,040 19

552

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
Citizens' National Bank, N e w Philadelphia.

A N D R E W PATRICK, President

No. 1999.

HENRY KALDENBAUGH, 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
U. S. certificates of deposit
Due from U. S. Treasurer . . . :
Total.

$187, 375 47 Capital stock paid in.
2, 960 37
100, 000 00 Surplus fund.
Other undivided profits.
National bank notes outstanding
3,058 61 State bank notes outstanding
4,779 14
10, 492 82 Dividends unpaid .
1, 074 99
10,319 09 Individual deposits
United States deposits
101 89 Deposits of U. S. disbursing officers
1, 847 00 Due to other national banks
347 00 Due to State banks and bankers
1,132 33
14, 000 00 Notes and bills re-discounted.
Bills payable
4, 500 00
' Total.

341, 988 71

$100, 000 00
8,270 00
3, 600 65
64, 000 00

320 00
55, 840 49

2, 439 59
107,517 98
341,988 71

First National Bank, New Richmond.
W. G. MOORE, President.

D. E. FEE, Cashier,

No. 1068.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, 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

$130,189 21
80, 000 6o"

25,149 37
1, 000 00
911 40

1, 569 00
85
15, 000 00

2,"6o6"66"

Surplus fund
Other undivided profits

45, 000 00
5, 537 00

National bank notes outstanding
State bank notes outstanding

71, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

34, 882 83

Due to other national banks
.
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

256,419 83

Total.

$100, 000 00

Capital stock paid in.

256,419 83

Total.

First National Bank, Norwalk.
D. A. BAKER, 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.




No. 215.

J. C. CURTISS, Jr., Cashier.

$118, 559 00 Capital stock paid in .
2, 897 36
50,000 00 Surplus fund
Other undivided profits.
20, 700 00
National bank notes outstanding . . 12,811 72 State bank notes outstanding
3,913 57
2,000 00 Dividends unpaid .
1, 862 99 Individual deposits
United States deposits
2, 592 65 Deposits of U. S. disbursing officers.
3, 606 00 Due to other national banks
452 09 Due to State banks and bankers
1,664 10
30, 500 00 Notes and bills re-discounted.
Bills payable
*,
3, 507 58
255, 067 06

Total.

$50, 000 00
21, 500 00
5, 099 46
43, 540 00

125, 267 96

8,369 58
1, 290 06

255, 067 06

REPORT OP THE COMPTROLLER OF THE CURRENCY.

553

OHIO.
Norwalk National Bank, Norwalk.
No. 931.

JOHN GARDINER, President.

CHAS. W. MlLLEN, 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

$J27,223 63
51 67
100, 000 00

Capital stock paid in.

5, 342 00
252 80
1,483 73
37, 950 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

20, 000 00
4,764 15
80, 800 00

105,225 55

4,611 77
357 62

4, 500 00
315,759 09

Total.

'315,759 09

Total .

$100, 000 00

Surplus fund
,
Other undivided profits.
National bank notes outstanding
17, 4S3 91 State bank notes outstanding
13, 623 51 Dividends unpaid.
6, 500 00
1,347 84 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

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 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 n»otes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$112,07) 40

T. F. DANIELS, Cashier.

Capital stock paid in.,

JlOd, 000 00

loo, 665 6o

Surplus fund
Other undivided profits.
3, 700 00 I
3, 000 00 I National bank notes outstanding
19,567 17 State bank notes outstanding
745 4L Dividends unpaid .
1, 884 25 Individual deposits
United States deposits
3, 962 72 Deposits of U. S. disbursing officers.
2, 298 00 Due to other national banks
801 28 Due to State banks and bankers 1,758 50
9, 000 00 Notes and bills re-discounted-,
Bills payable
4, 500 00

263, 237 73

Total.

20, 000 00
8,4-29 01
87, 800 00

46, 936 45

122 27

263, 287 73

First National Bank, Painesville.
R. M. MURRAY, Cashier.

SETH 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 banlwers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




$320,327 89 Capital stock paid in.
"hod, 400 65" Surplus fund
,
2*7o6"66' Other undivided profits
11,620 49 National bank notes outstanding.,
4,971 09 State bank notes outstanding
7, 336 25
18, 773 38 Dividends unpaid.
5, 714 42 Individual deposits
United States deposits
9, 000 00 Deposits of U. S. disbursing officers.
80 00
18
8,120 20
40, 000 00

Due to other national banks
Due to State banks and bankers...
Notes and bills re-discounted.
Bills payable

$200, 000 00
96, 015 67
9,261 53
170,230 00
7,187 00
240 00
145, 274 98

6, 384 41
6, 550 31

12,100 00
641,143 90

Total.

641,143 90

554

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
Citizens' National Bank, Fiqua.
No. 1061.

G-. VOLNEY DORSEY, President.

H> C. LANDES, 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 apprwed reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items . . . .
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, 616 94 Capital stock paid in .
1, 958 03
90, 000 00 Surplus fund
Other undivided profits
25o"6o"
200 00 National bank notes outstanding.,.
2,285 64 State bank notes outstanding
7,071 37 Dividends unpaid.
18,121 09
1, 245 69 Individual deposits
United States deposits
4,801 62 Deposits of U. S. disbursing officers.
2, 608
888
1, 292
7, 900

00 Due to other national banks
77 Due to State banks and bankers...
60
00 Notes and bills re-discounted.,
Bills payable
,
3, 785 54

233, 025 29 j

Total .

$100, 000 00

10, 190 78
3, 556 17
80, 000 00

60 00
37,155 84
1, 216 90
845 60

233, 025 29

Total.

Fiqua National Bank, Piqua.
WILLIAM SCOTT, President.

No. 1G06.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
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

$251,517 07 Capital stock paid in .
958 83
200, 000 00 Surplus fund
Other undivided profits
11,350 00 National bank notes outstanding
29, 703 22 State bank notes outstanding
3,351 91 Dividends unpaid 4, 000 00
t)l7 60 Individual notes
United States deposits
467 22 Deposits of U. S. disbursing officers.
17, 260 00 Due to other national banks
830 33 Due to State banks and bankers
10, GOO 00 Notes and bills re-discounted
"*9, 66600" Bills payable
539,056 L8

Total.

CLARENCE LANGDON, Cashier.

Total.

$200,000 00

40, 000 00
8, 571 90
180, 000 00
120 00
107,294 29
2, 637 64
432 35

539,056 18

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.




W. B. CUYKENDALL, Cashier.

No. 1904.

$86, 975 41 Capital stock paid in .

$50, 000 00

69 37

50, 000 00

Surplus fund
Other undivided profits .
National bank notes outstanding
4, 545 02 State bank notes outstanding
1,294 84
7, 498 79 Dividends unpaid.
1,383 00 Individual deposits
Unfled States deposits
Deposits of U. S. disbursing officers.

4,350 00
4,192 10
45, 000 00
65 00
67, 324 38

5, 900
50
965
10, 000

00 Due to other national banks
05 Due to State banks and bankers .
00
00 Notes and bills re-discounted.
Bills payable
2,250 00

170, 931 48

Total.

170,931 48

REPORT OF THE COMPTROLLER OF THE CURRENCY.

555

OHIO.
First National Bank, Pomeroy.
No. 132.

H. G. DANIEL, President.

G. W. PLANTZ, 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
Total.

Liabilities.
$148,131 50
5,121 16
50, 000 00
5, 000 00
1,279 13
2, 468 65
11, 000 00
3, 093 55

Capital stock paid in. .

$50, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

40,000 00
10, 237 86
45, 000 00

Dividends unpaid .
Individual deposits
United States deposits..
Deposits of U. S. disburse

94, 651 77

871 00 Due to other national banks
837 36 Due to State banks and bankers
1,321 00
16, 000 00 Notes and bills re-discounted.
Bills payable
2,250 00
247, 373 35

Total.

6,172 55
1, 311 17

247,373 35

Pomeroy National Bank, Pomeroy.
H. S. HORTON, President.

J. S. BLACKALLER, Cashier.

No. 1980.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
...•„
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
-.
....
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$269,113 89
259 80
100, 000 00

""hb'bbb'bo
10, 736 22
725 12
17,315 00
3,501 90
8, 462 50
2, 691 35

$250, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

90, 000 00
80 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

813 00 I Due to other national banks
454 11 |
743 35 I Due to State banks-and bankers . . .
17,813 00 Notes and bills re-discounted.
Bills payable
" 4,500 66"
Total.

487,129 24

13, 600 00
6,164 14

88, 535 41

3, 052 24
697 45
35, 000 00
487,129 24

First National Bank, Portsmouth.
No. 68.

P. 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.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
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, 046 83
4, 326 51
10, 957 00
4,980 16
3, 500 00
517 38
2, 098 00
838 20
667 28
31,421 00

-32

JAS. Y. 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
27, 466 47
225, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

277, 005 23
40, 457 76

Due to other national banks
Due to State banks and bankers . . .
Notes and bills re-discounted.
Bills payable

292 30
1, 057 60

11, 250 00
879,279 36

Total.

H. Ex. 3-

$475,399 67
2, 277 33
250, 000 00
75, 000 00

Total

879, 279 36

556

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
Farmers' National Bank, Portsmouth.

GEORGE DAVIS, President.

No. 1088.

JNO. M. W A 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

$377,162 95

$250, 000 00

250, 000 00 Surplus fund
Other undivided profits
1, 465 20 National bank notes outstanding
6,919 06 State bank notes outstanding
6, 198 03 Dividends unpaid
10, 000 00
5, 442 45
6, 393 75 Individual deposits
360 01 Deposits of U. S. disbursing officers..
630 00
i'40238'
30,510 00
il, 492 45

Due to other national banks
Dus to State bauks and bankers

225, 000 00
632 00
155,713 35

4,910 34
1, 767 75

Notes and bills re-discounted
Bills payable.. . . . . . . . . . . . . . . .

707, 976 28

Total

50, 000 00
19,952 84

Total

707, 976 28

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. certificate* of deposit
Due from U. S. Treasurer

No. 935.
$656, 783 58 Capital stock paid in.
"256*006 bo*
51,60"» 00
600 00
19, 543 07
16,286 14
8, 000 00
5, '227 ( J
K
2, 839 29
377 85

$250, 000 00

Surplus fund.
Other undivided profits
National bank notes outstanding
State bank notes outstanding

50, 000 00
4o, 305 06
225, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

4, 800 00 Due to other national banks
4,068 81 Due to State banks and bankers
138 45
36,984 00 Notes and bills re-discounted .
Bills payable
11,350 00
Total

1, 068, 598 22

Total.

SAMUEL REED, Cashier.

474, 349 43

8,101 20
15, 842 53

1,068,598 22

Quaker City National Bank, Quaker City.
ISAAC W. HALL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and 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* and other cash itema
Exchanges for clearing house
Bills of ot ier banks
Fractional currency
Specie
Legal tender notes
U. S. certificate* of deposit
Due from U. S. Treasurer . . „»
Total.




No. 1989.

T. M. JOHNSON, Cashier.

$114,664 66 Capital stock paid in.
"166, 000 00

Surplus fund.
Other undivided profits
National bank notes outstanding
4, 945 40 State bank notea outstanding
1,377 07
5, 139 00 Dividends unpaid .
2,238 87 Individual deposits
5,049 79 United States deposits
10 00 Deposits of U. S. disbursing officers.
470 00
82 8(1
95 00
5,117 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

$100,000 00
9, 500 00
3, 869 32
90, 000 00
460 00
36, 587 32

3,272 95

4, 500 00
243, 689 59

Total.

243, 689 59

REPORT OF THE COMPTROLLER OF THE CURRENCY.

557

OHIO.
First National Bank, Ravenna.
No. 106.

N. D. CLARK, President.

C. E. WITTER, 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

$181,457 84
1, 905 44
100, 000 00

"~"i*8o6"66'
4, 852 39
2, 057 81
13, 500 00
2,221 12
],151 71
3, 999 44
1,527 00
1,015 99
16, 976 00
3, 840 00

Capital stock paid in .

20. 000 00
6,844 89
85, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

127, 138 17

1, 586 68
235 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

4, 500 00
Total.

340, 804 74

Total.

$100, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

340, 804 74 .

Second National Bank, Ravenna.
GEO.

No. 350.

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. certificate of deposit
Due from U. S. Treasurer
Total.

WM,

H. BEEBE, Cashier.

$253, 648 38 Capital stock paid in.,
1,012 17
150, 000 00 Surplus fund
Other undivided profits.
19,800 00
9, 700 00 National bank notes outstanding
20, 694 26 i State bank notes outstanding
1,780 16 |
32, 640 30 j Dividends unpaid.
2, 705 25 Individual deposits
3,291 03 United States deposits
4, 486 94 Deposits of U. S. disbursing officers.
3,761 00 I Due to other national banks
241 15 Due to State banks and bankers .
1,700 00 j
29, 000 00 I Notes and bills re-discounted .
Bills payable
5, 850 00

30, 000 00
12, 473 39
135, 000 00

201,811 92

2,825 33

8,200 00
540,310 64

Total.

540, 310 64

$150,000 00

First National Bank, Ripley.
No. 289.

J. T. 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.

$160, 973 22
135 56
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
^

7, 061
7, 300
9, 758
1,942

Checks and other cash items
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, 088 86

Total.




4, 738
788
1, 500
15,000

09
33
60
91

00
20
00
00

W. T. GALBREATH, Cashier.

Capital stock paid in.
Surplus fund
«...
Other undivided profits .
National bank notes outstanding
State bank notes outstanding

$150,000 00
30, 000 00
15, 639 06
129, 200 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

43, 197 71

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

6, 750 00
368, O:-56 77

Total.

368, 036 77

558

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
Farmers' National Bank, Ripley.
No. 933.

J A S . G-ILLILAND, President.

E. R. BELL, 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.

$151,761 76 Capital stock paid in .
757 21
150, 000 00 Surplus fund
Other undivided profits.,

$150, 000 00
14, 846 93
9,364 98

National bank notes outstanding....
State bank notes outstanding

18,194 34
8,994 30
13,775 18
1,226 33

135,000 00

Dividends unpaid .

Individual deposits
United States deposits
1, 706 81 Deposits of U.S. disbursing officers.

8,418 00
Due to other national banks
255 24 Due to State banks and bankers
1,250 00
11, 510 00 Notes and bills re-discounted.
Bills payable
8, 750 00

376,599 17

Total.

65, 024 35

2,362 91

376,599 17

First National Bank, Salem.
No. 43.

ALEXANDER POW, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

RICHARD P O W , Cashier.

$180, 079 29 Capital stock paid in .
321 75
100, 000 00 Surplus fund
Other undivided profits..
100 00
1, 800 00 National bank notes outstanding
3, 228 65 State bank notes outstanding
290 44
1,031 50 Dividends unpaid .
1,923 89 Individual deposits
6, 797 45 United States depcaits
206 42
Deposits of U. S. disbursing officers 1, 579
66
274
12, 000

00 Due to other national banks
21 Due to State banks and bankers --00
00 I Notes and bills re-discounted.
j] Bills payable
4, 500 00

314,198 60 i

Total.

$125,000 00
10,000 00
6,443 00
90,000 00
28 00
81, 521 62
633 07
372 91

314,198 60

Farmers' National Bank, Salem.
J. T. BROOKS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 973.

R. V. HAMPSON, Cashier.

$261,911 45 Capital stock paid in .
882 36
100, 000 00 Surplus fund
Other undivided profits..
National bank notes outstanding
8 982 55 |'! S t a t e b a n k n o t e s outstanding

j! Dividers i
I'fiftn ?v\ ! Individual deposits
i, oou uu | united States deposits
3,670 00 !j Deposits of U.S. disbursing officers.
3,542 00
Due to other national banks
900 00
Due to State banks and bankers

2, 014 98
13, 300 00

" 4 , 5 6 0 66
421,486 13 '!

$200,000 00
40,000 00
8,476 33

87,500 00
545 00
83,345 73

1,559 10
59 97

Notes and bills re-discounted
Bills payable
Total

421, 486 13

REPORT OF THE COMPTROLLER OF THE CURRENCY. 559
OHIO.
First National Bank, Sandusky.
No. 16.

A. H. Moss, President.

H. 0. MOSS, 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.
$150, 693 00
673 61
100, 000 00
50, 000 00
100 00
34, 697 10
11, 769 01
7, 500 00
4, 557 40
833 81
7, 606 00
1,175 58
1, 243 30
35, 000 00

Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding

20, 000 00
22, 762 94
90, 000 00
1, 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

139, 641 08
28, 380 98
2, 389 46
5, 564 34
110 01

4, 500 00
Total.

410,348 81

Total.

$100, 000 00

Capital stock paid in .

410,348 81

Second National Bank, Sandusky.
R. B. HUBBARD, President.

No. 210.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks.
. . .
Fractional currency
Specie
^
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$214, 857 98
1,471 62
100, 000 00
15, 000 00
660 00
8, 483 51
25, 416 71
3, 225 00
4,377 41
1,332 11
3, 845 39

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 States deposits
Deposits of U. S. disbursing officers.

6, 275 00
140 00
3, 318 45
40, 000 00

Due to other national banks
Due to State banka and bankers
Notes and bills re-discounted
"4,500 65' Bills payable
432,903 18

Total.

A. W. PROUT, Jr., Cashier.

Total .

20, 000 00
10, 440 22
90, 000 00

207, 394 71

4,049 07
1,019 18

432, 903 18

Third National Bank, Sandusky.
LAWRENCE CABLE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U, S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 2061.
$150,526 13
1, 644 26
100, 000 00
200 00

30, 427 46
7, 655 80
10, 500 00
8, 482 82
11, 000 00
3, 774 05
9, 740 00
401 00
78 00
25, 000 00 j

HENRY GRAEFE, Cashier.

Capital stock paid in .

$100,000 00

Surplus fund
Other undivided profits.

10, 000 00
36,310 01

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
,

146,601 18

1,334 55
183 78

5, 000 00
364, 429 52 |

Total.

364, 4^9 52

560

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
First National Bank, Shelby.
No. 1929.

W. R. BRICKER, President.

B. J. 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

$90, 883 46
2, 379 89
50, 000 00

200*66
3, 240 53
1,142 86
7, 104 14
1, 502 86
3, 510 25
62 00

2, 100
51
455
5, 000

$50, 000 00

Capital stock paid in.

3,500 00
3, 373 66

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.

00 Due to other national banks
13 Due to State banks and bankers
75
00 Notes and bills re-discounted.
Bills payable

Total.

59, 078 21

1, 036 08
498 98
7, 395 94

169,882 87

Total.

First National Bank, Smithfield.
No. 501.

Jos. H. COPE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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

"166," 600 "66

Surplus fund
Other undivided profits
24, 600 00 National bank notes outstanding. - .
577 67 State bank notes outstanding
2, 000 00 Dividends unpaid.
1, 548 79 Individual deposits
United States deposits
611 16 Deposits of U. S. disbursing officers.
1,510 00 Due to other national banks
41 30
200 C Due to State banks and bankers.
O
5, 574 00 Notes and bills re-discounted.
Bills payable
4, 500 00

283, 560 49

Total.

W M . VERMILLION, Cashier.

$142, 397 57 Capital stock paid in .

Total.

11, 400 00
6,132 23
90,000 00

73,582 24

2, 446 02

283,560 49

First National Bank, Springfield.
J O H N LUDLOW, 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. 238.

C. A. PHELPS, Cashier.

$511,633 60 Capital stock paid in .
988 72
350,000 00 Surplus fund
Other undivided profits .
13,000 00
40,169 00 National bank notes outstanding
218, 922 21 State bank notes outstanding
4,524 43
17, 600 00 Dividends unpaid..
3,259 34 Individual deposits
9, 931 46 United States deposits....
Deposits of U. S. disbursing officers.
7,011 00 Due to other national banks
1,910 18 Due to State banks and bankers
3, 577 60
42, 700 00 Notes and bills re-discounted.
Bills payable
15, 589 16
1,240,816 70

Total.

$400,000 00

100,000 00
33, 241 20
314,960 00

390,603 41

1,493 69
518 40

1,240, 816 70

REPORT OF THE COMPTROLLER OF THE CURRENCY. 561
OHIO.
Second National Bank, Springfield.
WILLIAM FOOS, President.

No. 263.

P. W. Foos, 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 mortages . .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit...
Due from U. S. Treasurer

$207, 827 05
1,538 18
100, 000 00
4*250 00*
54, 009 7-3
3, 442 85
1. 500 00
3,945 01
424 25
4, 362 42

Capital stock paid in.

70, 000 00
18,482 19

National bank notes outstanding
State bank notes outstanding

90, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

145, 895 41

10, 976 00 Due to other national banks
1,352 62 Due to State banks and bankers .
1,249 50
25, 000 00 I Notes and bills re-discounted..
I Bills payable
4, 500 00 I
424,377 60 j

Total.

$100, 000 00

Surplus fund
Other undivided profits.

424, 377 60

Total .

Lagonda National Bank, Springfield.
CHRIS. THOMPSON, 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.

No. 2098.

$126, 885 55
984 30
100, 000 00

D. P. JEFFERIES, Cashier.

$100, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits

""" 1,550 6o"
1, 000 00 National bank notes outstanding
16, 368 53 I State bank notes outstanding
9,244 77
Dividends unpaid.
4,270 00
2, 892 80 Individual d e p o s i t s . . . . . . . . . . . .
11, 324 83 United States deposits
4,159 66 Deposits of U. S. disbursing officers.
3, 072
1,179
2, 355
9, 988

00
08
25
00

Due to other national banks
Due to State banks and bankers

7, 000 00
7,932 61
90, 000 00

92, 339 76

748 49
1, 703 91

Notes and bills re-discounted .
Bills payable

4,500 00 j
299,774 77

Total.

299,774 77

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 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.




No. 1146.
$416, 542 65
5,597 64
300, 050 00
20, 815 00
17, 539 21
9, 845 97
27, 400 00
2,099 05
12, 000 00
12,133 03

T H O S . F. Me G R E W , Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits •
National bank notes outstanding
State bank notes outstanding

$300, 000 00
60, 000 00
29,343 83
268,200 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

295, 849 91

4, 089 74
1,471 56

Notes and bills re-discounted .
Bills payable
Total.

958, 955 04

562

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
First National Bank, St. Clairsville.

D. D. T. COWEN, President.

No. 315.

H. C. WELDAY, Cashier*

Resources.

Liabilities.
$171, 110 49
292 48
100, 000 00

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
Due from U. S. Treasurer
Suspense account

24,100 00
7, 396 92
14 00
6, 900 00
3,121 46
200 00

Capital stock paid in.

30, 000 00
7,382 0?

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

87, 000 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers -

2,170 00
200 86
541 00
27,304 00
4, 500 00 |
6, 295 99

Total.

$100,000 00

Surplus fund
Other undivided profits

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted .
Bills payable

354,147 20

Total.

127, 685

1, 418 22661 59

354, 147 20

Jefferson National Bank, Steubenville.
JAS. GALLAGHER, President.

No. 1062.

Loans and discounts
Overdrafts
j
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..|
Due from approved reserve agents... j
Due from otherbanks and bankers...
Real estate, furniture, and fixtures ..!
Current expenses and taxes paid
j
Premiums paid
i
Checks and other cash items
j
Exchanges for clearing house
.'!.
Bills of other banks
j
Fractional currency
j
Specie
j
Legal tender notes
U. S. certificates of deposit
j
Hue from U. S. Treasurer
j
Total.

CHAS. GALLAGHER, Cashier.

$181,419 61 v Capital stock paid in
42 69
150, 000 00 !i Surplus fund
|) Other undivided profits
"""46"060"65'
27, 500 00 National bank notes outstanding
175 34 State bank notes outstanding
7, 268 32
] 5, 775 00 Dividends unpaid
1,183 15
4, 649 54 Individual deposits
United States deposits
252 23 Deposits of U. S. disbursing officers3,811 00 Due to other national banks
151 71
1,082 85 Due to State banks and bankers
31,463 00 Notes and bills re-discounted.
Bills payable.
6,750 00 j

$150, 000 00
40, 000 00
12, 586 67
133, 453 00

133,334 96

2, 057 55
92 26

471,524 44

47L.524 44

National Exchange Bank, Steubenville.
WM. DOUGHERTY, President.

No. 2160.

Loans and discounts
I
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... j
Due from other banks and bankers... \
Real estate, furniture, and fixtures . . . j
Current expenses and taxes paid
I
Premiumspaid
j
Checks and other cash items
j
l
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
j
Total




|

T. A. HAMMOND, Cashier.

$103, 364 27 !! Capital stock paid in..
58 78 !
100, 000 00 I Surplus fund
| Other undivided profits
25, 000 00 i
4, 818 75 I National bank notes outstanding
.
553 01 j State bank notes outstanding
7, 424 05 Dividends unpaid.
2, 410 00
1, 448 77
14,442 50 Individual deposits
United States deposits
398 72 Deposits of U. S. disbursing officers.

$100, 000 00

2,132 00 Due to other national banks
256 80 Due to State banks and bankers..-.
572 28
10,690 00 Notes and bills re-discounted.
Bills payable
4, 500 00

3, 932 42
3, 207 90

278,069 9 3 |

Total.

2, 500 00
3, 657 04
90, 000 00-

350 00
74, 422 48

278, 069 93

REPORT OF THE COMPTROLLER OF THE CURRENCY.

563

OHIO.
National Exchange Bank, Tiffin.
No. 907.

JNO. D. LoOMis, President.

O. C. ZELLER, 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.

$308, 870 41 Capital stock paid in.
2, 985 73
125, 000 00 Surplus fund
Other undivided profits
"""27*400"66"
2, 500 00 National bank notes outstanding
41,185 20 State bank notes outstanding
6,694 67
22, 275 00 Dividends unpaid.
3,214 63 Individual deposits
United States deposits
2, 725 72 Deposits of U. S. disbursing officers1, 582 00
738 52
3,409 37
43, 000 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

$125, 000 00
35, 000 00
9,172 51
112, 500 00

306, 945 58

7, 570 74
1,017 42

5, 625 00
597,206 25

Total.

597,206 25

First National Bank, Toledo.
No. 91.

V. H. KETCHAM, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
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, 585 39
1, 860 88
225, 000 00
75, 000 00
712 31
72, 629 19
42,158 55
45,056 17
10, 703 81
926 50
23,808 00
908 00
2, 077 00
87, 000 00
10,125 00

$500, 000 00

Capital stock paid in.,
Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

100, 000 00
105,819 68
200,700 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

], 517, 550 80

Total..

S. S. HUBBARD, Cashier.

Total.

529,701 62
37,205 54,
736 09
20,674 37
22,683 50

1,517,550 80

Second National Bank, Toledo.
GEO.

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. 248.

C. F. ADAMS, Cashier.

$701, 426 60 j Capital stock paid in.

'"" 248," 666" 66' Surplus fund
Other undivided profits
National bank notes outstanding
92, 049 82 ! State bank notes outstanding
43, 797 03 ! Dividends unpaid .
9,514 74
8, 816 62 Individual deposits
United States deposits
2, 993 00 Deposits of U. S. disbursing officers.
3, 717 00
1, 760 07

Due to other national banks
Due to State banks and bankers
50, 000 00 j Notes and bills re-discounted.
Bills payable
"I2,"l6o"66"!
1,174,234 88

Total

$350, 000 00
100, 000 00
90, 282 87
223, 050 00

299,729 16

67, 649 41
43, 523 44

1,174,234 88

564

REPORT OF THE COMPTROLLER OP THE CURRENCY.
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

Liabilities.
$178, 723 01
4,339 11
100, 000 00
550
10,120
17,146
3, 708
2, 500
1, 501

00
00
04
61
00
46

6, 570 24
6,341
23
1,124
6, 000

00
83
00
00

3, 600 00
11,231 08

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

123, 727 75

4, 593 47
10, 000 00

4, 500 00
343,152 30

Total.

$100, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits .

Total.

343,152 30

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
U. S. certificates of deposit
Due from U. S. Treasurer

$721, 938 02
4,954 19
200, 000 00
21, 935 00
3,751 36
13, 710 11
43,763 13
7, 789 38
10, 000 00
4, 863 40

15,198 00
1,197 02
ft,233 00
40, 350 00
6, 284 37

Capital stock paid in.

$500, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

30, 000 00
34, 213 66

179,980 00
130 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-diacounted Bills payable

1,100, 966 98

Total.

C. C. DOOLITTLE, Cashier.

Total.

253, 690 49
25,408 18
21, 444 65
56,100 00

1,100,966 98

Northern National Bank, Toledo.
J. T. NEWTON, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses and 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. 809.

F. B. SHOEMAKER, Cashier.

$244, 766 46

Capital stock paid in.

"I56,6o6 66

Surplus fund
Other undivided profits .
National bank notes outstanding.
State bank notes outstanding

2,325 00
14, 043 24
34,941 90
3,986 97
1,899 78
4,493 00

1,147 21
1, 769 00
20, 000 00

$150,000 00
30,000 00
14,467 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
Notes and bills re-discounted.
Bills payable
,

141,737 07

6, 980 37
3,337 31

2,150 00
481, 522 56

Total.

481,522 56

REPORT OF THE COMPTROLLER OF THE CURRENCY.

565

OHIO.
Toledo National Bank, Toledo.
SAML. M. YOUNG, President.

No. 607.

E. H. VAN HOESEN, 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.

$287,168 84
1,152 80
83, 000 00

"""'f'ooo'oo'
49, 723
12,296
21,500
2, 560
70

91
65
00
73
00

2, 865 47
14, 519 00
369 20
1,064 00

35, 000 00

$100, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits

20, 000 00
29,589 95

National bank notes outstanding
State bank notes outstanding

74,700 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

250,157 44

28,571 63
13, 006 58

3, 735 00
Total.

516, 025 60

5L6, 025 60

First National Bank, Troy.
HENRY W. ALLEN, President.

Loans and discounts
Overdrafts....
U. S. b Jnds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates ot deposit
Due from U. S. Treasurer
Total.

' No. 59.

JNO.

L. MEREDITH, Cashier.

$247, 924 61 Capital stock paid in .
612 10
200, 000 00 Surplus fund
,
Other undivided profits.
1, 300 00
10, 500 00 National bank notes outstanding
6,013 72 State bank notes outstanding
53,50! 04 Dividends unpaid.
2,200 00
2,444 50 Individual deposits
United States deposits.462 47 Deposits of U. S. disbursing officers.
9,030 00 Due to other national banks
1, 500 92 Due to State banks and bankers
5,81-8 65
40, 000 00 Notes and bills re-discounted.
Bills payable
9, 000 00

40, 000 00
38, 666 91
174,000 00

131,731 26

4,948 06
9GI 78

590, 308 01

Total

590,308 01

$200,000 00

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.
$165,672 51
4,3!7 42
105, 000 00

14,977 95
20, 016 98
2,994 35
1,072 05
1, 737 51
5,245 30
3, 749 00
62 20
1,504 00
15, 000 00

JAS.

G. ROBERTS, Cashier.

Capital stock paid in .
Surplus fund
,=....
Other undivided profits
National bank notes outstanding .
State bank notes outstanding

$105, 000 00
47,000 00
5, 613 78
92, 406 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

94, 409 90

644 59

3, 725 00
345,074 27

Total.

345,074 27

566

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
Third National Bank, Urbana.
No. 2071.

JOHN H. YOUNG, President.

E. G-. W I L E Y , 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 .

$125,156 15 Capital stock paid in .
1, 930 07
100, 000 00 Surplus fund
Other undivided profits
4, 480 00

9, 275 95
5,830 40
9, 600 00
168 86
2,161 25
4,109 78

$100,000 00
8,000 00
794 18

National bank notes outstanding
State bank notes outstanding

,90,000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

10,541 00 Due to other national banks
71 27 Due to State banks and bankers
452 00
Notes and bills re-discounted .
23, 000 00 Bills payable

94,482 08

5,921 38
2, 079 09

4,500 65"
Total.

301,276 73

301, 276 73

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 notes
U. S. certificates of deposit
Due from U. S. Treasurer

$143,311 03
513 07
100, 000 00
50, 000 00
17, 000 00
4, 606 25
21, 272 05
2,544 32
9, 000 00
812 76
724 21
5, 395 21
913 00
815 00
1, 000 00
12, 860 00
10, 000 00
2, 600 00

Capital stock paid in

$100,000 00

Surplus fund
Other undivided profits.
National bank notes outstanding .
State bank notes outstanding

20,000 00
12,667 12
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

383, 366 90

Total .

H. P. ESPY, Cashier.

126, 766 43
27, 254 52
6, 678 83

383, 366 90

Total.

Citizens' National Bank, Urbana.
OLIVER TAYLOR, President.

Loans and discounts
I
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..
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 863.

MAT. WEAVER, Cashier,

$171,705 03 Capital stock paid in .
1,177 74
100, 000 00 Surplus fund
Other undivided profits.
12,521 00 National bank notes outstanding
5,030 89 State bank notes outstanding
18,152 45 Dividends unpaid.,
1, 000 00
1, 849 39 Individual deposits
United States deposits
6,397 83 Deposits of U. S. disbursing officers.
1, 693 00 Due to other national banks
Due to State banks and bankers
935 38
24, 000 00 Notes and bills re-discounted.,
Bills payable
2,200 00
346,662 71

Total.

$100, 000 00
20, 000 00
4,326 47

90, 000 00

119, 618 96

8, 229 40
4,487 88

346, 662 71

REPORT OF THE COMPTROLLER OF THE CURRENCY.

567

OHIO.
First National Bank, Van Wert.
No. 422.

J . M. C. MARBLE, President.

JOHN A. CONN, 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.

$109, 442 82 Capital stock paid in .
3, 779 20
67, 000 00 Surplus fund
Other undivided profits
5, 681 20 National bank notes outstanding
5,335 87 State bank notes outstanding
7, 763 00
13, 000 00 Dividends unpaid .
2,061 35 Individual deposits
United States deposits
261 31 Deposits of U. S. disbursing officers 605
210
181
11, 659

00 Due to other national banks
41 Due to State banks and bankers...
00
00 Notes and bills re-discounted.
Bills payable

$60, 000 00
14, 000 00
1, 740 25
60,000 00

88,580 99

25 32
2,133 60
3, 500 00

3, 000 00

229, 980 16

Total.

229,980 16

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
IT. S. certificates of deposit
Due from U. S. Treasurer

$305, 704 57 Capital stock paid in .
2, 822 55
250, 000 00 Surplus fund
Other undivided profits
National banknotes outstanding
95, 786 89 State bank notes outstanding
62, 694 69 Dividends unpaid .
30, 000 00
8, 788 32 Individual deposits
United States deposits
4, 819 86 Deposits of U. S. disbursing officers.
Due to other national banks
800 01
2, 400 00 Due to State banks and bankers . . . .
73,550 00 Notes and bills re-discounted.
Bills payable
11, 250 00
4, 749 00

853, 365 89

Total.

M. B. TAYLOR, Cashier.

Total.

$300,000 00
59, 280 00
19,331 39
183, 489 00

274, 616 25

15, 444 82
1,204 43

853, 365 89

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
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1578.

K I R T . M. FITCH, Cashier.

$179,319 69 Capital stock paid in .
9,597 95
150, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
6, 582 83 State bank notes outstanding
3,143 81
22,297 71 Dividends unpaid.
4, 890 71 Individual deposits
United States deposits
1,223 60 Deposits of U. S. disbursing officers.
311 00 Due to other national banks
95 12 Due to State banks and bankers
1,100 00
17, 645 00 Notes and bills re-discounted.
Bills payable
6, 750 00
402, 957 42

Total.

$150, 000 00
18,000 00
11,088 63
135,000 00

83, 848 23

4,437 79
582 77

402,957 42

568

KEPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
First National Bank of Washington, Washington C. H.

DANIEL MCLEAN, President.

No. 284,

R. A. ROBINSON, 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.

$449,257 02

Due from approved reserve agents . .
Due from other banks and bankers.
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional cmvency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

42, 143 03
10, 802 44
18, 191 29
2,990 03

Total.,

Capital stock paid in.

56,66b 66

$300, 000 00

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

1,600 00

60, 000 00
5,163 69
45, 000 00

Dividends unpaid.

2,132 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

1,988 54
802 00
529 30
6«9 85

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable

25, 326 00

147, 923 68

792 87
4, 631 35
20,905 91
20,000 00

" 2,' 250 66
"
Total.

606, 549 50

606, 549 50

Waynesville National Bank, Waynesville.
SETH S. HAINES, President.

No. 2220.

Loans and discounts.
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
.
Exchanges for clearing house
Bills of other banks
Fractional currency...»
Specie
Legal tender notes
U. S certificates of deposit
Due from U. S. Treasurer
Total.

$67,521 80
8:55 83

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits .

33, 000 (JO

100 00
1, 963 56

562 94
4, 458 50

National bank notes outstanding
State bank notes outstanding

9,134 22
4,339 44
3, 000 50
2,7!)4 02
4,865 42
6, 446 57
1, 600
212
534
4,462

J O E L EVANS, Cashier.

29, 700 00

Dividends unpaid ,
Individual deposits ...
.
United States deposits
Deposits of U. S. disbursing officers.

57, 572 97

Due to other national banks
Due to State banks and bankers .

00
05
00
00

" 1*485" 66'

Notes and bills re-discounted
Bills payable
Total.

142,294 4L

142,294 41'

First National Bank, "Wellington.
S. S. 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 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. certifi cates of deposit
Due from U. S. Treasurer
Total.




No. 464.
$128, 685 50
120 07
100,001) 00

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits

33,152 80

17, 000 00
4,303 66

National bank notes outstanding
State bank notes outstanding

loo'oo"

6, 200 00
744 14
3, 500 00

R. A. HORR, Cashier.

90,000 00

Dividends unpaid.
!

368 21

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

522 00
Due to other national banks
71 38 Due to State banks and bankers
635 40
9, 739 00 Notes and bills re-discounted.
Bills payable
4, 500 00 |
288, 338 50 |

Total.

76, 060 37

974 47

288,338 50

REPORT OF THE COMPTROLLER OF THE CURRENCY.

569

OHIO.
First National Bank, Wellsville.
J . W. REILLY, President.

No. 1044.

J A S . HENDERSON, 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.
$141,718 09
10 12
80, 000 00

$80, 000 00

Capital stock paid in.

Surplus fund
Other undivided profits.
150 00
National bank notes outstanding
13, 300 20 State bank notes outstanding
9, 109 08
14,510 58 Dividends unpaid 3, 022 75 Individual deposits
United States deposits
Deposits of U. S. disbursing officers
Due to other national banks
295 06 Due to State banks and bankers
1, 443 75
4, 634 00 Notes and bills re-discounted..
Bills payable
,
3, 600 00
Total.

271, 793 63

8,74L 25
5, 782 30
72, 000 00

103,309 35

428 77
1,531 96

271, 793 63

First National Bank of Batesville, Williamsburgh.
F. M. ATKINSON, President.

No. 2219.

Loans 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!
Due from approved reserve agents
Due from other banks and bankers
Real estate, furniture, and fixtures
Current expenses and taxes paid...
Premiums paid
Checks and other cash items
Exchanges for clearing house
,
Bills of other banks
Fractional currency
Specie .
,
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

W. W. ELLIOTT, Cashier.

Capital stock paid in.

$60, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

27,000 C
O
.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
Bil's payable

Total.

3,274 91
1,847 92

Total.

34, 262 30

507 4L
4,775 00

131,697 54

First National Bank, Wilmington.
C. M. 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 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
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 365.

C. C. NICHOLS, Cashier.

$173. 333 99 Capital stock paid in.
7, 506 33
100, 000 00 Surplus fund
Other undivided profits
4,344 45 National bank notes outstanding
5, 990 05 State bank notes outstanding
3, 290 70 Dividends unpaid .
1,800 00
3,471 45 Individual deposits
5, 918 75 United States deposits
,
2,614 15 Deposits of U. S. disbursing officers
2, 689 00 Due to other national banks
253 00 Due to State banks and bankers
1,578 00
31, 314 00 Notes and bills re-discounted.
Bills payable
4,500 00
348, 603 87

Total.

$100, 000 00
35, 000 00
6, 065 74
90, 000 00

115, 955 34

1,236 80
345 99

348, 603 87

570

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
Clinton County National Bank, Wilmington.

F. M. MOORE, President.

No. 1997.

MADISON BETTS, Cashier.

Resources.

Liabilities.
$132, 489 23
3,155 18
100, 300 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 .

$100,000 00

Surplus fund
Other undivided profits
"""i3,"856"66"
National bank notes outstanding
3,600 00
State bank notes outstanding
22, 479 05
4, 049 96
19, 904 9L
935 08
9,985 81

00
01
55
00

90,000 00

Dividends unpaid .

835 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

666 33

6, 013
55
9, 433
7, 500

7,000 00
20,107 85

I

Due to other national b a n k s . . . . . .
Due to State banks and bankers . . . .
Notes and bills re-discounted.
Bills payable

122,000 42

154 15

5, 680 31

Total.

Total.

" 340, 097 42

340, 097 42

National Bank, Wooster.
G. P. EMRICH, President.

Loans and discounts
O ve r draft s
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages . .
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid . .,
Checks and other cash items
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.

$76, 081 92 Capital stock paid in.
1,041 02 !
53, 900 00 Surplus fund
Other undivided profits.
National bank notes outstanding
3, 300 53 State bank notes outstanding
2, 548 83
16, 833 49 Dividends unpaid .
724 48 Individual deposits
United States deposits
2, 550 73 Deposits of U. S. disbursing officers.

$53,900 00
3,006 13
1, 823 51
48, 510 00

68, 910 37
427 02
219 88

7, 006 00 Due to other national banks
237 91 , Due to State banks and bankers
146 50
10, 000 00 Notes and bills re-discounted..
Bills payable
,
2, 425 50 j
Total.

176, 796 91

Total.

CURTIS V. H A R D , Cashier.

176,796 91

Wayne County National Bank, Wooster.
E. M. QUINBY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 828.
$61, 802 84

36,666 66" j
'"""3*666'6o";

E. QuiNBT, Jr., Cashier.
$50,000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

,

10, 635 98
15, 000 00 I Dividends unpaid .
640 02 i Individual deposits
United States deposits
1, 266 36 Deposits of U. S. disbursing officers..
36, 458
913
3,490
38, 500

00 ; Due to other national banks
51 ; Due to State banks and bankers .
00 i
00 j Notes and bills re-discounted .
Bills payable
1,350 00 ;;

203, 056 71

Total.

10, 000 00
2, 965 22
27, 000 00

112,241 21

850 28

203, 056 71

REPORT OF THE COMPTROLLER OF THE CURRENCY.

571

OHIO.
First National Bank, Xenia.
No. 369.

A. H. BAUGHMAN, President.

J. B. ALLEN, 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

$300,891 10 Capital stock paid in.
6,102 93
120, 000 00 Surplus fund
Other undivided profits .
2, 040 00
17, 474
15,046
32, 041
3, 229

07
84
21
04

1,009 29

34, 000 00
14, 820 60

National bank notes outstanding
State bank notes outstanding

108, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

254, 658 78

"l," 983* 66" Due to other national banks
Due to State banks and bankers
27, 899 00
Notes and bills re-discounted.
Bills payable

1,119 90
517 20

5,"4o6"66"

533,116 48

Total.,

$120, 000 00

Total .

533,116 48

Second National Bank, Xenia.
No. 277.

T. P . TOWNSLEY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers Real estate, furniture, and 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-

J. S. ANKENEY, Cashier.

$299, 392 35 Capital stock paid in.
5,130 40
100,000 00 Surplus fund
Other undivided profits.
5, 500 00
5, 881 00 National bank notes outstanding
19, 697 01 State bank notes outstanding
22, 940 06 Dividends unpaid .
34, 000 00
2, 492 59 Individual deposits
465 08 United States deposits
11, 930 64 Deposits of U. S. disbursing officers.
1,833 00
347 37
948 35
38, 819 00

$100, 000 00
20, 000 00
19, 570 47
90,000 00

313,134 18

6,713 60
4,458 60

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted .
Bills payable

4, 500 00
553, 876 85

Total .

553, 876 85

First National Bank, Youngstown.
W M . H. BALDWIN, Cashier.

ROBT. McCURDY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
Exchanges 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.




$779, 595 31 Capital stock paid in .
1, 337 43
378, 500 00 Surplus fund
Other undivided profits

8,666" 66"

7,
35,
22,
5,
6,

500
859
449
000
344

00
36
27
00
47

910 18
4, 050
39
7, 350
42,181

00
58
53
00

$500, 000 00
60, 797 93
40,004 11

National bank notes outstanding
State bank notes outstanding

328, 640 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

292, 401 51

.

8,597 71
10, 917 87
76, 950 00

19,192 00
1,318,309 13 I

Total

1,318,309 13

572

REPORT OF THE COMPTROLLER OF THE CURRENCY.
OHIO.
Second National Bank, Youngs town.
No. 2217.

HENRY TOD, President.

H. M. GARLICK, 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.
$314,835 58
2, 168 12
70, 000 00

20, 609 49
240 75
2,196 09
2, 253 69
7,000 00
5,247 18

Capital stock paid in.

$200, 000 00

Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.,

62, 000 00

682 50

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

7, 800 00 Due to other national banks
30 22 Due to State banks and bankers
1,273 79
16, 812 00 Notes and bills re-discounted .
Bills payable
3,150 00
Total

453,616 91

4, 052 56
3, 495 3»

151,430 89

47 30
703 80

26, 204 49

453,616

Mahoning National Bank, Youngstown.
JOS. H. BROWN, President.

No. 2350.

Loans and discounts
Overdrafts
U. S. bondf 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. certificate* of deposit
Due from U. S. Treasurer

$341,116 31
1,326 53
50, 000 00

Capital stock paid in.

$229, 000 00

Surplus fund
Other undivided profits..

3, 000 00
15,405 00 National bank notes outstanding
60, 797 25 State bank notes outstanding
1,327 70
12, 446 00 Dividends unpaid.
884 70 Individual deposits
. ....,
48 75 United States deposits.,
1,190 47 Deposits of U. S. disbursing officers.
1,205 00
50 00
1,244 70
15, 500 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted .
Bills payable

738 28
29,743 27
45, 000 00

199, 317 73

3, 560 84
432 29

2, 250 00
Total.

507, 792 41

Total .

J. H. McEwEN, Cashier.

507,792 41

First National Bank, Zanesville.
PF.TFR BLACK, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other gtocks, 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
Specie
Legal tender notes
U. S. certificate•< of deposit
Due from U. S. Treasurer
Total.




No. 164.

G. H. STEWART, Cashier.

$406, 047 05 Capital stock paid in
2,158 76
170, 000 00 Surplus fund
«
.
iit"666'66' Other undivided profits
National bank notes outstanding
4,200 00
12,203 10 State bank notes outstanding
79, 696 07 Dividends unpaid.
13, 000 00
325 13 Individual deposits
United States deposits
10,773 41 Deposits of U. S. disbursing officers.
13, 024 00
1,140 25
2, 422 43
51,054 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

$200,000 00
50, 000 00
22, 900 46
134,500 00

360, 787 65

6, 487 98
10,018 11

7, 650 00
784,694 20

Total.

784, 694 20

REPORT OF THE COMPTROLLER OF THE CURRENCY.

573

INDIANA.
Madison County National Bank, Anderson.
J. E. CORWIN, President.

No. 2346.

J. H. TERHUNE, 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 houso
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. cei'tificates of deposit
Due from U. S. Treasurer
Total.

$88,102 26
323 75
40, 000 00

2,367 48
9,277 01
2,000 00
1,964 25
4, 000 00
172 52
4, 060 00
200 00
500 00
8, 000 00

$50, 000 00

Capital stock paid in .

3, 500 00
6, 389 36

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.

66, 878 01

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

1, 800 00
Total.

162, 767 37

162, 767 37

First National Bank, Attica.
MARSHALL NIXON, President.

SAMUEL FINNEY, Cashier.

No. 577.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items .
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, 187 85
488 27
84, 000 00

10,921 44
4,304 07
1, 800 00
1, 812 08
400 00

810 00
96 22
1,819 10
49, 463 00

Surplus fund
Other undivided profits
National bank notes outstanding
State banknotes outstanding
Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

21,496 00
4, 476 66
66, 800 00

83, 609 37

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted .
Bills payable

5, 280 00
260, 382 03

Total.

$84, 000 00

Capital stock paid in.

Total.

260,382 03

First National Bank, Auburn.
J. H. FORD, 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
Premiums 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




No. 2238.

J. V. HAZZARP, Cashier.

$52,261 59 Capital stock paid in.
50, 000 00

2, 770 67
2,897 60
8, 000 00
353 90
5, 000 00
1, 500 00
458 34
1,000 00
3, 000 00
2,"25O"66*
129,492 10

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$50, 000 00
2,000 00
1,924 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 bankw and bankers.
Notes and bills re-discounted
Bills payable
Total

29, 567 97

1, 000 00
129,492 10

574

REPORT OF THE COMPTROLLER OF THE CURRENCY.
I N D I AN A .
First National Bank, Aurora.
No. 699.

THOMAS GAFF, President.

E. H. DAVIS, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
y . 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 .

Liabilities.
$388, 577 61 Capital stock paid in.
2, 400 00
200, 000 00 Surplus fund
Other undivided profits .
1, 500 00
National bank notes outstanding
2,835 92 State bank notes outstanding
1,159 00
15, 982 35 Dividends unpaid .
3, 277 25 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
2, 464 00
70U 14

2,122 00
5, 500 00
30, 000 00
9, 000 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

665, 518 27

Total.

$200, 000 00
40,000 00
12,160 47
180, 000 00

232,170 40

1,167 40

665, 518 27*

Bedford National Bank, Bedford.
"W. C. WlNSTANDLEY, President.
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..
«Cttrrent expenses and taxes paid
^Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 1892.

THOS. H. MALOTT, Cashier,

$97, 365 83 Capital stock paid in .
8,213 57 I
50, 000 00 I Surplus fund
166 66 i Other undivided profits
19, 490 07 I National bank notes outstanding
2,591 52 I State bank notes outstanding
12, 563 82 j Dividends unpaid .
3,709 15
I, 370 00
2,000 00 Individual deposits
United States deposits
1,184 06 Deposits of U. S. disbursing officers.

$100, 000 00
2, 500 0Q
5,708 14
45, 000 00
80 00
60, 859 63

1,781 00 Due to other national banks
693 01 Due to State banks and bankers .
1, 895 74
8, 940 00 Notes and bills re-discounted.
Bills payable
2, 250 00
Total .

214,147 77

214,147 77

First National Bank, Bloomington.
JOHN WALDRON, President.
Loans and discounts
|
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U.S.bonds on hand
Other stocks, bonds, and mortgages..
Due ftom approved reserve agents.. •
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional curre»cy
Specie
u
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1888.

ROBT. C. FOSTER, Cashier.

$221,291 39 ! Capital stock paid in.
329 39
150, 000 00 Surplus fund
,
Other undivided profits.
National bank notes outstanding
21,859 82 I State bank notes outstanding
24, 057 04 ! Dividends unpaid .
10,015 41
2,117 30 Individual deposits
7, 900 00
United States deposits
Deposits of U. S. disbursing officers.
3, 479
79
1, 309
16, 350

00
29
43
00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
u

$150, 000 00
14,000 00
6, 527 42
135, 000 00

160, 696 25

14 4Q

7, 450 00
466,238 07

Total.

466, 238 07

REPORT OF THE COMPTROLLER OF THE CURRENCY.

575

INDIANA.
Boonville National Bank, Boonville.
No. 2207.

L. J. MILLER, President

E. W. BETHELL, 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
j

Liabilities.
$54, 957 97

16,606 66
10, 649 37
28, 478 28
4, 370 00
1,999 91
4, 400 00

Other undivided profits
National bank notes outstanding
State bank notes outstanding

3, 000 00
4, 207 50
45, 000 00

Dividends unpaid..
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

83, 078 29

4,100 00 Due to other national banks
5 26
1,475 00
12, 000 00 ! Notes and bills re-discounted.
Bills payable
2,250 00
3 85,285 79

Total

$50, 000 00

Capital stock paid in

""5O,*6o6'66" Surplus fund

Total

185,285 79

Brookville National Bank, Brookville.
JNO. G. ADAIR, President.

No. 1619.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$158,183 57
6 10
100, 000 00

15, 465 63
8,219 21
16,753 75
1, 598 26

JNO. R. GOODWIN, Cashier.

Capital stock paid in .

$100,000 00

Surplus fund
Other undivided profits

23, 000 00
5,126 25

National bank notes outstanding
State bank notes outstanding

90, 000 00

Dividends unpaid.

250 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

94,774 56

4,256 00 Due to other national banks
53 79
114 50 Due to State banks and bankers .
9, 000 00 Notes and bills re-discounted.
Bills payable
4,500 00
313,150 81

313,150 8L

Total.

First National Bank, Cambridge City.
ABIRAM BOYD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 70.

$218, 994 08

JOHN JACKSON, Cashier.

Capital stock paid in

"""5o,"666"66" Surplus fund

11,743 53
52, 361 64
11, 202 86
1, 108 72
3, 500 00
438 59
2, 500 00
800 00
10, 000 00

O ther undivided profits
National bank notes outstanding
State bank notes outstanding

$200, 000 00
14, 000 00
6, 709 98
45, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

99,189 44

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills p ayable

2, 250 00
364, 899 42

Total.

364, 899 42

576

REPORT OF THE COMPTROLLER OF THE CURRENCY.
I N D I A N A.
First National Bank, Centreville.
No. 37.

JAMES FORKNER, President.

J. K. JONES, Cashier.

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, and fixtures. .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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.
$114, 383 38 Capital stock paid in .
1,064 95
100, 000 00 Surplus fund
Other undivided profits.
National bank notes outstanding . .
2, 999 22 State bank notes outstanding
11, 672 29 Dividends unpaid .
2, 000 00
1,117 08 Individual deposits
,
,
2 50 United States deposits
2, 897 26 Deposits of U. S. disbursing officers

$100, 000 00
21, 000 00
6,079 70
90, 000 00

32, 268 81

836 00 Due to other national banks
G75 83 I Due to State banks and bankers .
200 00 j
Notes and bills re-discounted
6, 000 00 |
Bills payable
"""5*500 6 o ' ;

Total.

249, 348 51 \

249, 348 51

First National Bank, Columbus.
No. 1066.

J. E. MOOXEY, President.
Loans and discounts
,~. . . . .
Overdrafts
.....
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Ren 1 estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid .
Checks and other cash items
Exchanges 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. M. BANFILL, Cashier.

$158,411 51 Capital stock paid in .
4,245 94
100, 000 00 Surplus fund
Other undivided profits

$100, 000 00
30, 000 00
14, 433 58

19,500 00 j National bank notes outstanding
20,065 06 State bank notes outstanding
34,385 15 Dividends unpaid .
47, 500 00
2, 363 06 I Individual deposits
218 75 I
United States deposits
2, 334 26 ! Deposits of U. S. disbursing officers .
376
645
2, 255
18,760

00 !
24 i
00 '
00 !

"*4,"50o"o6"

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
Total.

385, 559 97

90,000 00

150, 681 53

444 86

385, 559 97

First National Bank, Connersville.
P. H. ROOTS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.

CHARLES MOUNT, Cashier.

$151,546 95 ji Capital stock paid i n .
|!
100, 000 00 I Surplus fund

Other undivided profits
7, 363 32

National bank notes outstanding
State bank notes outstanding

25, 095 05 Dividends unpaid .
1,905 15 1 Individual deposits
5
United States deposits
Deposits of U. S. disbursing officers..

$100, 000 00
30, 000 00
2, 739 29
90, 000 00

80, 420 03

' 2, 700
48
2, 000
8, 000

00 Due to other national banks . . . .
85 Due to State banks and bankers .
00
00 Notes and bills re-discounted.
Bills payable
,
4,500 00

303,159 32

Total.

303,159 32

REPORT OF THE COMPTROLLER OF THE CURRENCY.

577

INDIANA.
First National Bank, Crawfordsville.
ALEX. THOMSON, President.

BENTJ. WASSON, Cashier.

No. 571.

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.

$270,661 50
5, 450 00
100, 000 00

8,443 29
19,522 07
5,427 10
2, 768 S3
116 04
310 00
2, 500
65
,886
22, 000

00
92
00
00

$100, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

100, POO 00
23, 677 77
90, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

128, 772 98

Due to other national banks
Due to State banks and bankersNotes and bills re-discounted .
Bills payable

4, 500 00
442, 650 75

442, 650 75

Total.

First National Bank, Crown Point.
No. 2183.

D A V I 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.

W. C. MURPHEY, Cashier.

$101,701 53 ! Capital stock paid in.
1, 245 66 \
30, 000 00 j Surplus fund
Other undivided profits
«
National bank notes outstanding
3,369 33 |j State bank notes outstanding
1,400 64 || Dividends unpaid ,
4,022 03 I
4, 500 00 Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

$50, 000 00
1,495 17
27, 000 00

76,777 33

850 00 Due to other national banks
33 31
300 00 Due to State banks and bankers .
6, 500 00 Notes and bills re-discounted.
Bills payable
1, 350 00
155, 272 50

Total.

155, 272 50

First National Bank, Danville.
J . V. HADLEY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents.
Due from other banks and bankers.
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other<jash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
» u e from U. S. Treasurer




No. 152.

B. F. THOMAS, Cashier.

$220, 152 89 Capital stock paid in .

5o,"666"66'

$137,500 00

Surplus fund
Other undivided profits

29,500 00
7, 840 85

National bank notes outstanding
2,981 35 State bank notes outstanding
8, 699 75
20,331 26 Dividends unpaid.
2, 156 37 Individual deposits
United States deposits
530 34 Deposits of U. S. disbursing officers.

45, 000 00

97, 857 84

Due to other national banks
Due to State banks and bankers.
5,300 00

578

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
First National Bank, Elkhart.
No. 206.

B. L. DAVENPORT, President.

JOHN COOK, 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.
$138, 515 13

""i66~666"66"
1,100 00
1, 000 00
13, 767 06
8, 000 00
1,753 43
60 34

6,771
240
1,403
8, 500

00
79
00
00

$100, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.,

23, 000 00
8,554 13
90, 000 00*
1,120 00-

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

62, 936 62.

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

4, 500 00
Total.

285, 610 75

285, 610 75

First National Bank, Evansville.
J. S. HOPKINS, President.

No. 28.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
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, 836 17
624 27
500, 000 00
35, 000 00
48,019 25
50, 493 31
48, 780 00
13 50
10,801 47
4,588
620
1, 185
63,020

00
20
00
00

$500, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid .

250, 000 00
30, 901 72
447,500 00
75 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

282, 422 04
274 62
3, 307 79'

22, 500 00
Total

1,514,481 17

Total.

JAS. H. CUTLER, Cashier*

1,514,481 17

Citizens' National Bank, Evansville.
R. C. SLAUGHTER, 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..
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 fromU. S. Treasurer
Total.




S. P. GlLLETT, Cashier.

No. 2188.
$277,358 13
431 26
225, 000 00

Capital stock paid in..
Surplus fund
,
Other undivided profits.
National bank notes outstanding
State bank notes outstanding . . .

10, 822 14
8, 238 23
24,307 48
1,547 60
8,041 95
14, 050 00
949 18

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.,
Bills payable

5, 550 00
26, 3^8 34
196, 200 00

Dividends unpaid.,

2, 500 00
385 00
1, 290 00
15, 500 00

$225, 000 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

110, 460 86

10, 023 4626, 923 31

10,125 00
600, 545 97

Total.

600, 545 97

REPORT OP THE COMPTROLLER OF THE CURRENCY.

57&

INDIANA,
Evansville National Bank, Evansville.
HENRY REIS, Cashier.

No. 730.

SAMUEL BAYARD, 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 .

$800, 000 0G

$1,103, 869 05 Capital stock paid in.

160, 000 00
33, 035 68

Surplus fund
Other undivided profits .
99,910 50 National bank notes outstanding
57, 394 64 State bank notes outstanding
60, 316 73 Dividends unpaid.
51, 200 00
14, 403 05 Individual deposits
United States deposits
11, 632 27 Deposits of U. S. disbursing officers..

712, 000 00
100, 000 00

640, 000 00

493, 017 62
49,105 44
16, 402 11
101, 720 64
76, 278 35

00 Due to other national banks
30 Due to State banks and bankers
20
00 Notes and bills re-discounted .
Bills payable
22, 999 10

49, 510
109
16,840
69,375

Total

2, 369, 559 84

2,369,559 84

German National Bank, Evansville.
No. 1772.

SAMUEL ORK, President.
Loans and discounts.
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, 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.

$211, 468 46
250, 000 00
"lh" 550*66'
3,192 34
21, 300 68
28, 405 26
920 17
5, 753 73
10, 000 00

P H I L . C. DECKER, Cashier

Capital stock paid in

$250, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding

|

17,000 00
28, 729 91
222, 200 00

State bank notes outstanding
Dividends unpaid

'

Individual deposits
United States deposits
14, 256 00 Deposits of U. S. disbursing officers
416 26 Due to other national banks
14,025 70 Due to State banks and bankers
10, 000 00 Notes and bills re-discounted.
Bills payable
12, 922 97
Total.

595,211 57

I

71, 440 10

5, 388 99
452 57

595,211 57

Merchants' National Bank, Evansville.
C. R. BEMENT, President.
Loans and discounts
Overdrafts
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
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 989.
$458, 051 75
5, 555 88
250, 000 00
23, 000 00

8, 352 78
3,415 18
15, 000 00
4, 687 42
356 69

H. L. MEADOWS, Cashier.

Capital stock paid in
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

100,000 00
9, 531 96
225, 000 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
3, 067 05
31,837 00 Notes and bills re-discounted .
Bills payable
9, 540 00
5* 145*66

818, 008 75 |

$250, 000 00

Total.

209, 249 80

4, 644 43
19, 582 56

818, 008 75

580

REPORT OF THE COMPTROLLER OF THE CURRENCY.
I A N A.
First National Bank, Fort "Wayne.

J . D. NUTTMAN, President.

No. 11.

LEM. R. 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
Total.

Liabilities.
$444,618 64 Capital stock paid in .
961 71
50, 000 00 Surplus fund
Other undivided profits
3, 133 36 National bank notes outstanding
51,882 39 State bank notes outstanding
111,770 78 Dividends unpaid .
14, 408 53
8,261 00
6,000 00 Individual deposits
United States deposits
3,960 19 Deposits of U. S. disbursing officers.
16, 326 00
894 05
4,370 80
47, 893 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable

$400, 000 00
90,773 80
19, 982 39
45, 000 00
125 00
166, 562 18
1,315 39
42,971 69

" " 2 ,"250" 00*
766, 730 45

Total.

766, 730 45

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.

$528, 910 07 Capital stock paid in.
2, 397 83
300, 000 00 Surplus fund
,
Other undivided profits35, 404 62 National bank notes outstanding
8, 343 95 State bank notes outstanding
39,580 17 Dividends unpaid.
25, 650 40
4,779 70 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
7, 365 i
24, 859 00
1,366 03
2,679 01
100, 232 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

$350,000 00
125, 164 87
19,224 24
230,400 00

1,950 00
355, 839 42
247 06
15, 392 85

16, 650 00 i
1,098,218 44 ||

Total

1,098,218 44

First National Bank, Frankfort.
W. 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.

D. P. BARKER, Cashier.

$289, 228 78 Capital stock paid in .
4,716 06
200, 000 00

$200, 000 00

Surplus fund
Other undivided profits

40, 000 00
10, 766 05

25,000 00 I National bank notes outstanding
10,177 60 State bank notes outstanding
8,001 96 Dividends unpaid.
2, 914 36 Individual deposits
«
I United States deposits
3,337 12 Deposits of U. S. disbursing officers.

178, 000 00

7, 600 00 Due to other national banks
254 40 Due to State banks and bankers .
2, 720 00
18, 500 00 Notes and bills re-discounted.
Bills payable
,
9, 000 00
581,450 28

Total.

152, 068 91

615 32
~581, 450 28

REPORT OF THE COMPTROLLER OF THE CURRENCY.

581

INDIANA.
Second National Bank, Franklin.
No. 78.

JOHN CLARKE, President.

R. T. OVERSTREET, 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.,

$124,445 54
475 00
150, 000 00

3, 606 35
135, 513 03
8, 452 09
2,915 72

4, 250 00
222 16
700 00
25, 000 00

Capital stock paid in .

$150, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

30, 000 00
12,935 12
133, 890 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

135,504 77

Due to other national banks
Due to State banks and bankers..
Notes and bills re-discounted .
Bills payable

6, 750 00
Total.

462, 329 89

462, 329 89

City National Bank, Goshen.
No. 2067.

A. C. 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
Total.

$77, 694 29
3,013 68
30, 000 00

2, 834 69
1, 228 20
12, 595 00
712 63
3, 000 00
250 00
2, 500 00
24 17
539 00
5, 000 00

""76181"

IRA W. NASH, Cashier.

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

24, 000 00
1, 220 96
27, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

37, 932 51

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable
Total.

140, 153 47

140, 153 47

First National Bank, Green Castle.
T. C. 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
Lsgal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
,
Total.




No. 219.

JEROME ALLEN, Cashier.

$249, 600 43 Capital stock paid in ,
"134, ooo 66

20, 875 31
373 89
26,410 58
4,442 14
300 0>

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

64,500 00
10,511 7L
120, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

10,700 00 Due to other national banks
270 27 Due to State banks and bankers
200 00
10, 000 00 Notes and bills re-discounted.
Bills payable
6, 000 00
463,172 62

$125,000 00

Total.

139, 772 21

495 19
2, 893 51

463,172 62

582

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
First National Bank, Greensburgh.
No. 356.

A. R. FORSTTH, President.

E. R. FORSYTH, 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.
1269, 742 33
436 73
50, 000 00
2, 500 00
6, 000 00
23, 011 54
12,819 43
15, 958 70
3, 440 08

4,100 00
298 20
1,100 00
15, 000 00

Capital stock paid in.

$150, 000 00

Surplus fund
Other undivided profits .
National bank notes outstanding...
State bank notes outstanding

14,000 00
15,371 34
45,000 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

182, 285 67

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2, 250 00
406, 657 01

406, 657 01

Total..

Citizens' National Bank, Greensburgh.
DAVID LOVETT, President.

No. 1890.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
,
Other stocks, bonds, and mortgages.
Due from approved reserve agents.
Due from other banks and bankers.
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
,
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

SAMUEL CHRISTY, Cashier.

$162,218 78 Capital stock paid in.
670 96
100, 000 00 Surplus fund
Other undivided profits.
18, 800 00 National bank notes outstanding
12, 827 65 State bank notes outstanding
3, 092 97
% 377 00 Dividends unpaid..
2,941 41 Individual deposits
5, 812 50 United States deposits
1,050 91 Deposits of U. S. disbursing officers 4, 200 00

1, 730 00
15, 000 00

$100, 000 00
7, 600 00
6, 344 38
90, 000 00

132,569 61

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

5,791 81
336, 513 99

Total.

336, 513 99

First National Bank, Huntington.
J. W. PURVIANCE, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 145.
$131, 408 78
2, 710 72
100, 000 00

WILLIAM McGREW, Cashier.

Capital stock paid in.

$100, 000 00

Surplus fund
Other undivided profits .

20, 000 00
5,155 68

National bank notes outstanding
3, 095 83 State bank notes outstanding.
5, 410 78 Dividends unpaid.,
19,224 00
1,754 15
5, 500 00 Individual deposits
United States deposits
895 50 Deposits of U. S. disbursing officers.

90, 000 00

1, 360 00
t, 145 90
19,357 00

81, 707 42

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

5, 000 44
296,863 10

Total.

296, 863 10

REPORT OF THE COMPTROLLER OF THE CURRENCY.

583

INDIANA.
First National Bank, Indianapolis.
J. C. McCUTCHEON, Cashier.

No. 55.

JOHN C. N E W , 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.

$1,101, 597 08 Capital stock paid in .
37, 814 78
500, 000 00 Surplus fund
100,000 00 Other undivided profits.
41,531 86 National bank notes outstanding
,
72,034 60 State bank notes outstanding
115, 098 69 Dividends unpaid .
11,988 61
12,248 53 Individual deposits
United States deposits
Deposits of U. S. disbursing officers
61, 457 00
685 07
2,215 00
120, 000 00
50, 000 00
56, 474 06

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted..
Bills payable
,
Total.

2, 283, 145 28

$500, 000 00
200, 000 00
147, 770 47
450, 000 00
1, 512 00
494,171 84
40,214 95
104,426 11
263, 402 72
81,647 19

2,283,145 28

Citizens' National Bank, Indianapolis.
GEO. B. YANDES, Cashier.

No. 617.

A. G. PETTIBONE, Presit

Loans and discounts
Overdrafts
.
.
.........
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$616, 552 63 Capital stock paid in .
915 65
500,000 00 Surplus fund
Other undivided profits
31,100 00 National bank notes outstanding . .
30,757 49 State banknotes outstanding
13,817 27
124,321 41 Dividends unpaid .
7,113 92 Individual deposits
United States deposits
8, 973 98 Deposits of U. S. disbursing officers.
51,391 00 Due to other national banks
1,447 91 Due to State banks and bankers
848 22
50, 000 00 Notes and bills re-discounted.,
Bills payable
,

$500, 000 00
160, 000 00
18, 812 79
447, 000 00

310 00
299,104 76
5,352 50
29, 159 43

22, 500 00

Total

~T~459, 739~48~

1, 459, 739 48

Indiana National Bank, Indianapolis.
GEORGE TOUSEY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U.S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents .
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house *
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total . .




No. 984.
$583, 3 ^ 63
3,090 63

500, 000 00
3,950 00
25, 000 00
121, 441 72
56, 892 29
45,601 18
2, 610 97

D. M. TAYLOR, 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
20, 453 47 Deposits of U. S. disbursing officers .
38, 328
310
3, 047
85, 000

00 Due to other national banks
25 Due to State banks and bankers
75
00 Notes and bills re-discounted.
Bills payable
23, 877 94

1, 512, 978 83

Total.

$500, 000 00
150, 000 00
9,911 64
445, 500 00
70 00
320, 856 63

54,471 05
32,169 51

1, 512, 978 83

584

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
Indianapolis National Bank, Indianapolis.

T. P. HAUGHEY, President.

No. 581.

HENRY LATHAM, 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.
$715,697 00
1,998 59
500. 000 00
100, 000 00

Surplus fund
Other undivided profits 1, 300 00 National bank notes outstanding
141,906 99 State bank notes outstanding
3. 193 93 Dividends unpaid .
6,917 21
6,891 9L Individual deposits
72 09 United States deposits
16, 935 91 Deposits of U. S. disbursing officers.
8, 784 00
666 75
503 58
75, 000 00

Due to other national banks
Due to State banks and bankers . . .
Notes and bills re-discounted.
Bills payable

100, 000 00
34, 910 67
450, 000 00

203, 382 72
39, 716 33
153,135 80
103,289 93
17, 932 5L

22, 50 • 00
Total.

1, 602, 367 96 I

Total.

$500,000 00

Capital stock paid in

1, 602, 367 96

Merchants' National Bank, Indianapolis.
J. S. NEWMAN, President.

No. 869.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand.
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, an<i fixtures..
Current 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 es
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

J. P. FRENZEL, Jr., Cashier.

$347, 838 37 Capital stock paid in .
3, 354 12
100, 000 00 Surplus fund
Other undivided profits
" " 2 7 , 00") 66'
National bank notes outstanding
2, 126 95
State bank notes outstanding
47, 767 37
8, 808 04
Dividends unpaid .
6, 589 85
4, 514 18
Individual deposits
6, 128 05
United States deposits
1, 057 49 Deposits of U. S. disbursing officers.
39,318 00
1, 090 29
244 00
25, 000 00

Due to other national banks
Due to State banks and bankers

$200, 000 00
29, 000 00
8,247 08
88, 000 00

286,071 16

158 29
13, 9L0 18

Notes and bills re-discounted.
Bills payable

4, 50) 00 !
Total.

625, 386 71 j

625,386 71

Meridian National Bank, Indianapolis.
DAVID MACY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand....
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. G. KENNEDY, Cashier.

No. 1878.
$433,037 18
5, 549 24
300, 000 00

"""50.666 bb'

Capital stock paid in .

$300,000 00

Surplus fund
Other undivided profits

30,000 00
9, 193 53

19,500 00
14, 275 64
7, 525 35
5. 456 06
5, 654 72
19, 875 00
14, 035 95

National bank notes outstanding
State bank notes outstanding

4, 6{5 00
1, 125 32

Due to other national banks
Dae to State banks and bankers
Notes and bills re-discounted.
Bills payable
,

25, 000 00

270, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

194,197 64

72,816 41
42,911 88

"l3,*456 66
919, LI9 46

Total.

919. 119 46

REPORT OF THE COMPTROLLER OF THE CURRENCY.

585

INDIANA.
First National Bank, Jeffersonville.
J. H. MCCAMPBELL, President.

No. 956.

W. H. FOGG, 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.
$225, 887 31 Capital stock paid in.
3, 000 00
98, 500 00 Surplus fund
Other undivided profits
25,190 00 National bank notes outstanding
20,511 46 State bank notes outstanding
19, 809 38
42, 985 41 Dividends unpaid .
2,279 52 Individual deposits
United States deposits
260 23 Deposits of U. S. disbursing officers.
827 00 I Due to other national banks
17 00 ! Due to State banks and bankers
23 25
8, 500 00 Notes and bills re-discounted
Bills payable
"2,122 50
449, 913 06

Total.

Total.

$225, 000 00
32,101 00
10,802 57
88, 650 00
770 00
10,363 75
5, 404 69
6,821 15

449, 913 06

Citizens' National Bank, Jeffersonville.
DlLLARD RlCKETTS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid .
Checks and other cash items
Exchanges for 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.

JOHN ADAMS, Cashier.

$242, 538 22 Capital stock paid in.

"166* 666 "66"
7,147 21
4, 270 56
15,643 2L
1,887 73
1, 500 00
633 00
9 08
115 00
11, 500 00

$150, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

31, 000 00
15, 040 04

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

99, 694 31

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable
,

89, 998 00
720 00

1,750 13
1,541 53:

4,500 00
389,744 01

389, 744 01

Total.

First National Bank, Kendallville.
JOHN 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
Total.




E. H. SHULZE, Cashier.

No. 41.
$147, 996 74
3, 636 83
100, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding

17, 066 28
43 70
14,835 32 Dividends unpaid .
2,981 59 Individual deposits
United States deposits
!,251 90 Deposits of U. S. disbursing officers-

$100,000 00
20, 000 00
6, 232 50
90, 000 00

90, 833 86

1,651 00 Due to other national banks
• 218 <!0 Due to State banks and bankers.
38) 00
10, 500 00 Notes and bills re-discounted.
Bills payable
5,500 00
307, 066 36

Total.

307,066 36

586

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA,
First National Bank, Knightstown.
No. 872.

ROBERT WOODS, President.

C. D. MORGAN, 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 banks and bankers..
Real estate, furniture, and fixtures. Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$173,518 15 Capital stock paid in.
703 04
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding . . .
8, 651 24 State bank notes outstanding
18, 403 50 Dividends unpaid.
8, 800 00

$100, 000 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers -

74,373 67

50, 000 00
15, 046 82
44, 000, 00

3,250 00

2, 366 00 Due to other national banks
.
467 81 Due to State banks and bankers.
3,010 75
19, 000 00 Notes and bills re-discounted.
Bills payable
1,750 00
286, 670 49

Total.

286, 670 49

First National Bank, Kokomo.
No. 894.

ITHAMER RUSSELL. President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bon'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

$119, 488 82 Capital stock paid in
7, 300 00
50, 000 00 Surplus fund
Other undivided profits
5, 268 43 National I ank notes outstanding
9,892 73 State bank notes outstanding
6, 016 39 Dividends unpaid .
9, 456 48
2, 276 30 Individual deposits
United States deposits
29 92 Deposits of U. S. disbursing officers.
Due to other national banks
473 42 Due to State banks and bankers .
506 46
8,946 00 Notes and bills re-discounted.
Bills payable
3,190 02
222,844 97

Total .

C. A. JAY, Cashier.

Total..

$50, 000 00
28, 000 00
3,371 57
45, 000 00

91, 473 40

5,000 00

222,844 97

First National Bank, La Fayette.
M. L. PEIRCE, 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.




No. 23.

H. W. MOORE, Cashier.

$521, 395 56 Capital stock paid in.
1,501 64
50, 000 00 Surplus fund
60, 000 00 Other undivided profits.
50, 000 00
National bank notes outstanding . .
25, 830 82 State bank notes outstanding
24, 878 02 Dividends unpaid .
38, 250 00
3, 795 59 Individual deposits
United States deposits
,
1,425 11 Deposits of U. S. disbursing officers
14, 839 00
1,299 60
2, 384 35
55, 000 00

!

$300, 000 00
223,125 00
31, 559 16
45, 000 00
165 00
245, 532 32
7, 468 21

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2, 250 00 [
852, 849 69

Total.

852, 849 69

REPORT OF THE COMPTROLLER OF THE CURRENCY.

587

INDIANA.
Second National Bank, La Fayette.
No. 417.

DANIEL TIOYSE, President.

CHAS. T. MAYO, Cashier

Liabilitiej

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

$405,812 32
847 82
50,000 00

2,"6oo 66
37,
35,
27,
5,

880 81
493 79
347 19
697 08
964 29

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

50, 000 00
47, 098 40
45, 000 00

Dividends unpaid.

Individual deposits
United States deposits
5,452 13 Deposits of U. S. disbursing officers..

258, 853 30

Due to other national banks
,.
Due to State banks and bankers . . . .

2, 068 60
5, 708 24

6, 000 00
200 00
1,128 00
27, 500 00

Notes and bills re-discounted.
Bills payable

2, 405 11
608, 728 54

Total.

$200, 000 (0

Capital stock paid in.

Total.

608, 728 54

Indiana National Bank, La Fayette.
JAMES P. PERRTN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages...
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
'
Checks and other cash items..
Exchanges 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.
$287, 247 25
554 77
200, 000 00

43, 929 78
3,818 76
3,017 33
5,055 06
5, 275 43

Capital stock paid in.

$200, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding.
State bank notes outstanding

180, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

5,816 00 Due to other national banks....,
551 45 Due to State banks and bankers.
20, 000 00

15, 000 00
9, 309 06

167, 329 77

11,021 55

Notes and bills re-discounted.
Bills payable

582, 660 38

Total.

582, t

) 38

La Fayette National Bank, La Fayette.
J . W. HEATH, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents .
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$274, 833 87

"366,'666" 60'
7, 664 70
13, 595 01
15, 942 54
2,203 13
3,138 63
4,021 90




Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$300, 000 CO

43, 500 00
3, 032 72
270, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

50, 303 00

15, 078 00 Due to other national banks
1,204 35 Due to State banks and bankers .
1,603 59
20, 000 00 Notes and bills re-discounted.
Bills payable
7, 550 00
666,835 72

H. Ex. 3 -34

L. C. SLOCUM, Cashier.

No. 2213.

Total.

666, 835 72

588

KEPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
National State Bank, La Fayette.
No.

MOSES FOWLER, President.

B. BROCKENBROUGH, 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 .

$603, 617 84

3,543 00
234,000'00

Capital stock paid in.

$300, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

43, 850 00
247, 896 96
66, 036 66
41,234 50 Dividends unpaid .
2, 8L8 57 Individual deposits
United States deposits
18, 007 83 Deposits of U. S. disbursing officers.
57, 024 00
585 00
4, 803 35
35, 000 00
*i3,"560 00"

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable
Total .

1,376,977 71

265, 000 00
54,618 69
210, 000 00

517,850 13

29,. 508 89

1,376,977 71

First National Bank, La Grange.
No. 2184.

J. S. MERRITT, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Lc'gal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$46,661 63

Capital stock paid in.

"50," 666'65"

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstandiL g

107 88
1,262 91
361 17
4, 000 00
255 65

$50, 000 00
1,400 00
7, 600 30
42, 300 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

4,564 00 Due to other national banks
65 52
85 19 Due to State banks and bankers .
4, 000 00 Notes and bills re-discounted
Bills payable
113, 613 95

Total .

H. M. HERBERT, Cashier.

Total.

12,059 56

254 09

113,613 95

First National Bank, La Porte.
EZEKIEL MORRISON, President.

Loans and discounts
O verdraft s
U. S. bonds to secure circulation
IT. 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..
Real estate, furniture, and fixtures. Current expenses and taxes paid
Premiums paid
.
.
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 377.

R. S. MORRISON, Cashier.

$120,211 46 Capital stock paid in.
87 16
100,000 00 Surplus fund
i Other undivided profits.
5, 400 00 1 National bank notes outstanding
1
16, 364 90| State bank notes outstanding
5, 087 86
10, 000 00 Dividends unpaid.
846 66 ! Individual deposits
II United States deposits
2, 969 48 Deposits of U. S. disbursing officers.
1, 673 00
290 00
613 38
8, 179 00
3*730 36

275, 453 26

$100, 000 00
36, 999 26
3, 253 34
86, 400 00

10 00
48, 790 66

Due to other national banks
Due to Stace banks and bankers.
Notes and bills re-discounted
Bills payable
Total.

275, 453 26

REPORT OF THE COMPTROLLER OF THE CURRENCY. 539
INDIANA.
First National Bank, Lawrenceburgh.
No. 82.

D. W. C. FITCH, President.

HENRY PITCH, 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.

$147,941 16

"166" 000 66"
8oo 66"
6,781
2, 578
16, 100
4,150

94
68
00
00

872 84
1,886
79
883
10, 500

00
03
30
00

4~500 66"

Capital stock paid in.
20. 000 00
6, 680 25

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

!6, 500 0)

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

83, 892 70

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable

„

Total.

297, 072 95

297, 072 t'.5

First National Bank, Lebanon.
No. 2057.

JNO. 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 .

$147, 056 79

75,665 66

1,516 97
13, 581 64
5, 078 67
1,360 62
300 00
750 00

SAML. S. DAILY, Cashier.

Capital stock paid in..

$151,000 00

Surplus fund
Other undivided profits

8.150 00
7, 454 68

National bank notes outstanding
State bank notes outstanding

j
j

Dividends unpaid

57, 500 00

,

Individual deposits
.
i
United States deposits
Deposits of U. S. disbursing officers.

43,608 06

3, 500 00 Due to other national banks
43 05 Due to State banks and bankers.
2, 650 00
14, 000 00

Notes and bills re-discounted
Bills payable

«...

2,875 00
267,712 74

First National Bank, Liberty.
No. 1925.

M. J. WITT, President.
Loans and discounts
Overdrafts
U. S.-bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds, on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
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. P. KENNK:7>Y Cnskier.

Capital stock paid in
Surplus f and
Other undivided profits

5,559
2
1,86L
593
5, 000
16

28
00
48
6D
00
80

National bank notes outstanding
• State bank notes outstanding
'
!! Dividends unpaid .
|l
Individual deposits
I United States deposits
! Deposits of U. S. disbursing officers.

4,100 00
83 08
400 00

6. fjiQ 00
2, VM 85
5^, 000 00

46,615 67

Due to other national banks
Due to State banks and bankers .

5, 000 00

$fJ \ 000 00

Notes and bills re-discounted.
Bills payable

"2," 700* 6(3"
168, 607 52

Total.

168 607 52

590

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
Union County National Bank, Liberty.
No. 2007.

J. E. MORRIS, President.

H. HUSTED, Cashier.

Resources.

Liabilities.

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 bajaks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit...
Due from U. S. Treasurer
Total .

$81, 368 53 Capital stock paid in.
96 21
50,000 00 Surplus fund
Other undivided profits.
National bank notes outstanding
2,832 13 State bank notes outstanding
9, 308 70 Dividends unpaid .
1, 882 20
2,110 18 Individual deposits
United States deposits
1, 934 62 Deposits of U. S. disbursing officers.
2,340 00
9 77
667 95
4,500 00

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted .
Bills payable

$50, 000 00
5,014 05
3,449 16
45, 000 00

53,837 08

2, 000 00

2, 250 00
Total.

159, 300 29

159, 300 29

National State Bank, Lima.
S. 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 tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

No. 1234.
$68,165 45 Capital stock paid in.
2,277 37
50, 000 00 Surplus fund
Other undivided profits
1,334 28

$100,000 00
13,183 59
2,882 01

National bank notes outstanding
State bank notes outstanding

13,720 29 Dividends unpaid.
6, 550 00
590 23 Individual deposits
United States deposits
43 98 Deposits of U. S. disbursing officers .

44,671 00

12, 786 95

2, 500 00 Due to other national banks — . .
21 00 Due to State banks and bankers
2, 268 00
4,500 00 Notes and bills re-discounted.
Bills payable
2,250 00
174,220 60

Total.

JAMES B. H O W E , Cashier.

Total.

174 220 60

Logansport National Bank, Logansport.
T. 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. 1031.

A. J. MURDOCK, Cashier.

$244, 013 75 Capital stock paid in.
"*54," 660*06'

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

40,738 61
26, 835 95 Dividends unpaid.
14, 000 00
2, 903 97 Individual deposits
United States deposits
9, 082 56 Deposits of U. S. disbursing officers
9, 845
478
251
25, 700

$175, 000 00
41,070 55
13,354 14
48, 600 00

152, 234 93

00 Due to other national banks
01 Due to State banks and bankers .
77
00 Notes and bills re-discounted.
Bills payable
,

2, 430 00

430, 279 62

Total.

430, 279 62

REPORT OF THE COMPTROLLER OF THE CURRENCY.

591

IN D I AN A.
First National Bank, Madison.
D. E. DOHERTY, President.

THOS. A. POGUE, Cashier.

No. 111.

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.
$321, 496 98
4,362 92
50, C O 00
O
70, 000 00
13, 500 00
45, 480 00
34,499 16
16,7L0 01
26, 119 26
3,181 12
7, 495 27
1, 581 81

Capital stock paid in.

$250, 000 00
15, 731 61
9,064 73

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

44, 900 00

Dividends unpaid .
238,359 14
28,911 54

Individual deposits
United States deposits
Deposits of U. S. disbursing officers

1, 985 00 Due to other national banks
720 21 Due to State banks and bankers .
3, 745 60
19,889 00 Notes and bills re-discounted..
Bills payable
4, 250 00
625, 016 34

49 32

38, 000 00
625, 016 34

Total.,

National Branch Bank, Madison.
No. 1457.

NATHAN POWELL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U.S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid . . .
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$677,471 91 Capital stock paid in.

56,666 "66

$300, 000 00

200, 000 00
18, 278 06

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

45, 000 00

48, 090 70
22,614 12 Dividends unpaid .
17, 878 50
2,599 40 Individual deposits
United States deposits
134 25 Deposits of U. S. disbursing officers .
2, 971 00 Due to other national banks
401 71
7, 226 35 Due to State banks and bankers
50, 819 00 Notes and bills re-discounted.
Bills payable
3,280 10
917, 237 04

Total .

D. Q-. PHILLIPS, Cashier.

350, 955 91

1, 988 02
1,015 05

i

917,237 04

Total.

First National Bank, Martinsville.
TILGHMAN H. PARKS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 794.
$221, 345 04
248 20
94, 500 00

HARVEY SATTERWHITE, Cashier,
$166, 000 00

Capital stock paid in.
Surplus fund
,
Other undivided profits.,

National bank notes outstanding
7, 495 95 State bank notes outstanding
38, 075 60 Dividends unpaid .
3, 520 28
940 46 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

•

57, 000 00
14,263 14
84,000 00

69, 515 61

4,745 00 Due to other national banks
103 22 Due to State banks and bankers .
555 00
15, 000 00 Notes and bills re-discounted.
Bills payable
4,250 00
390, 778 75

Total

390,778 75

592

REPORT OF THE COMPTROLLER OP THE CURRENCY.
INDIANA.
First National Bank, Michigan City.

H. H. WALKER, President.

No. 2101.

WALTER VAIL, 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..

$130, 809 44
Capital stock paid in
446 95
50, 000 00 : Surplus fund . . . . . . . . . . . . . . . . . . . .
Other undivided profits
375 00

Exchanges for clearing house
Bills of other bauks . . . .

...

9,051
531
6,200
922

23
02
00
70

2, 953
329
310
4,046

Due from approved reserve agent3...
Due from other banks and bankers . .
Real estate, furniture, and fixtures-..
Current expenses and taxes paid

Specie
Legal tender notes
.
U. S certificates of deposit

Liabilities.

00
93
00
00

National bank notes outstanding
State bank notes outstanding

$75, 000 00
8 000 00
3,997 14
44, 000 00

Dividends unpaid

Individual deposits
[ United States deposits
253 57
Deposits of U. S. disbursing officers
Due to other national banks
Due to State banks and bankers

77,129 14

352 56

Notes and bills re-discounted

2,250 00
Total

208,478 84

Total

208, 478 84

First National Bank, Monticello.
No. 2208.

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 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

$56,919 82

36,666 66

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

4, 700 48
17, 859 08
9, 170 43
524 11
334 65 Individual deposits
United States deposits
3,547 97 Deposits of U. S. disbursing officers..
362 00
1,293 10
5, 000 00

1,"35O"66'

Due to other national banks . .
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable

131,061 64

Total.

JNO. T. ROACH, Cashier.

Total.

6, 605 03
1,02] 52
27, 000 00

43,956 16

2, 478 93
131,061 64

First National Bank, Mount Vernon.
J. M. L0CKW00D, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and 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
BilN of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 366.
$139,455 78
2, 126 40
100, 000 00

56 66"
9,251
11,843
18,476
1,454

85
62
16
97

175 00
3, 470
J35
2, 280
10, 000

00
48
00
00

" " i "hob' 66"
303,219 26

JNO. B. GARDINER, Cashier.

Capital stock paid in.

$100, 000 00

Surplus fund
Other undivided profits

20, 000 00
23, 452 05

National bank notes outstanding
State bank notes outstanding

89, 600 00

Dividends unpaid.,
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
Due to other national banks
Due to Stare banks and bankers .

150 00
68, 479 75

1, 537

Notes and bills re-discounted.
Bills payable
Total

303, 219 26

REPORT OF THE COMPTROLLER OF THE CURRENCY. 5 9 3

IN DIANA.
Citizens' National Bank, Muncie.
GrEO. W. SPILKER, President.

JOHN MARSH. 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 .

$213, 846 00
429 35
47, 000 00

Due from approved reserve agents..
Due from other batiks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid

12,428 23
3, 689 85
2,500 00

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency

Capital stock paid in.

$140, 000 00
4 000 00
4,'407 05

Surplus fund
Other undivided profits

42, 300 00

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

6, 600 00

122, 032 24

1, 641 00
Due to other national banks
48 L 20 Due to State banks and bankers .
2, 171 66
19,837 00
Notes and bills re-discounted.
Bills payable
2, 115 00 j.

Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer.
Total.

312, 739 29 j

312, 739 29

Total.

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.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, 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

$316, 373 46
6,533 74
200, 000 00

10,091 01
15,811 63
14,000 00
2, 242 86
1,979 84

S. A. WILSON, Cashier

$200,000 00

Capital stock paid in.

100, 000 00
21, 279 71

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

.

180,000 00

Dividends unpaid .
Individual deposits
United S tates deposits
Deposits of U. S. disbursing officers -

'9, 307 24

Due to other national banks
Due to State banks and bankers.
..

Notes and bills re-discounted
Bills payable
Total.

600,586 95

First National Bank, New Albany.
J. J. BROWN, , President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand '.
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 701.
$392, 6-27 98
4,404 10
200, 000 00

"""2O*95o"6o"
10,016 00
75, 528 06
23,374 31
18,000 00

W M . N. MAHON, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding . . . .
I State bank notes outstanding

75,000 00
18, 722 98
179, 000 00

Dividends unpaid L

1, 525 00 i Individual deposits
' United States deposits
114 17
Deposits of U. S. disbursing officers .
3,703 00
218 90
4, 459 95
12,456 00

$300 000 00

Due to other national banks
Due to State banks and bankers

184, 480 07

2, 824 91
16,349 51

Notes and bills re-discounted .
Bills payable
Total.

776, 377 47

594

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
Second National Bank, New Albany.

LAURENCE BRADLEY, President.

M. A. WEIR, Cashier

No. 2166.

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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

Liabilities.
$112, 804 77

Capital stock paid in

$100, 000 00

i66," 666" 66"

Surplus fund
Other undivided profits.
2, 050 00
8, 241 40 National bank notes outstanding . . . .
12,115 14 State bank notes outstanding
8,750 34 Dividends unpaid .
7, 300 00
813 25
9, 235 00 Individual deposits
United States deposits
1, 012 05 Deposits of U. S. disbursing officers.
800 00
68 58
2, 500 00
7, 970 00

20, 000 00
5, 594 95
90, 000 00

62, 565 58

Due to other national banks
D.ue to State banks and bankers Notes and bills re-discounted .
Bills payable

4, 500 00
278,160 53

Total.

278,160 53

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.

$191,822 21

E. C. HANGARY, Cashier.

Capital stock paid in.

$200, 000 00

Surplus fund
Other undivided profits
8, 000 00
National bank notes outstanding
30, 239 85 State bank notes outstanding
73 52
24,149 80 Dividends unpaid .
320 70 Individual deposits . . . . . . . . .
.
United States deposits
2,331 64 Deposits of U. S. disbursing officers.

" 1 8 9 , 700 66'

1, 365 00
321 55
4, 235 00

54,155 33
1,479 12
169, 730 00
1, 302 00
34, 429 32

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

461, 095 77

461, 095 77

Total.

New Albany National Bank, New Albany.
J. M. HAINS, 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.
Keal 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
Fractional currency
Specie
Legal tender notes
XJ. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 775.

H. A. SCRIBNER, Cashier.

$437, 838 49 Capital stock paid in .
798 81
400, 000 00 Surplus fund
,
100 00 Other undivided profits.
16, 835 67 National bank notes outstanding
9, 305 03 State bank notes outstanding
38, 971 28 Dividends unpaid .
23,299 97
2,749 30 Individual deposits
United States deposits
639 38
Deposits of U. S. disbursing officers.
510 00 Due to other national banks
89 59 Due to State banks and bankers
3, 47-2 05
10,162 00 Notes and bills re-discounted.
Bills payable
19, 977 75
964, 749 32

Total.

$400, 000 00
80, 000 00
• 28,171 17
350, 550 00

93,140 03

4, 331 53
3, 556 59
5, 000 00

964, 749 32

REPORT OF THE COMPTROLLER OP THE CURRENCY.

595

INDIANA.
First National Bank, New Castle.
No. 804.

W M . MURPHEY, President.

R. M. NIXON, 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
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$140,521 50 Capital stock paid in
1, 824 76
100, 000 00 Surplus fund
Other undivided profits.
5,300 00
National bank notes outstanding
2, 800 48 State bank notes outstanding
12,375 19 Dividends unpaid .
6,494 13
Individual deposits
595 13 United States deposits
111 50 Deposits of U. S. disbursing officers.

$100,000 00
20, 000 00
2, 279 98
.

90, 000 00

74,784 78

791 00 Due to other national banks
1,151 07 Due to State banks and bankers .
600 00
10, 000 00 Notes and bills re-discounted.
Bills payable
:
4, 500 00
Total.,

287,064 76

287,064 76

Bundy National Bank, New Castle.
No. 2202.

M. L. BUNDY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
*.
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. E. BUNDY, Cashier.

$54,448 13 Capital stock paid in .
562 17
30, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
1,063 96 State bank notes outstanding
131 38
2, 300 29 Dividends unpaid.
760 45 Individual deposits
3, 862 45 United States deposits
242 22
Deposits of U. S. disbursing officers.
360 00
218 21
1, 500 00

"I"356"56'

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

96, 799 26

Total.

$50; 000 00
3,337 09
2, 126 8t>
27, 000 00

9, 322 35

354 18
4, 658 75

96, 799 26

First National Bank, Peru.
E. H. SHIRK, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation —
U. S. bond** to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents .
Due from other banks and bankers.
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items...
Exchanges for clearing house.
Bills of other* banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total. .




No. 363.

MILTON SHIRK, Cashier.

$568, 948 57 Capital stock paid in .
5,229 50
100, 000 00 Surplus fund
Other undivided profits
34, 682 17 National bank notes outstanding . . .
19, 798 34 State bank notes outstanding
15, 620 47
24,128 52 Dividends unpaid.
1,874 99 Individual deposits
United States deposits
3, 782 10 Deposits of U, S. disbursing officers.
2,125
265
2, 489
30, 000

00 Due to other national banks
27 Due to State banks and bankers
00
00 Notes and bills re-discounted.
Bills payable
6, 500 00

815, 443 93

Total.

$100,000 00
150,319 94
150, 935 90
90, 000 00

322,796 69

1,391 4&

815,443 93

596 tfKPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA,

Citizens' National Bank, Peru.
M. S. ROBINTSON, Cashier.

No. 1879.

D. C. DARKOW, 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 expanses and taxes paid
Premiums paid
..
Checks and other cash items.....
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.
$143, 757 49
2, 56-2 60
50, 000 00

$100,000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National banknotes outstanding
State bank notes outstanding

8, 000 00
2, 776 93
42, 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

Total .

Total.

116, 043 21

18 08

269, 738 22

First National Bank of Marshall County, Plymouth.
M. A. O. PACKARD, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
TT. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds4 and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. A. GlLMORE, Cashier.

No. 2119.

$74, 726 72 Capital stock paid in.,
197 33 I
50, 000 00 ! Surplus fund
Other undivided profits
National bank notes outstanding
6, 567 23 !| State bank notes outstanding
20 00 Dividends unpaid .
2,876 10
875 05 Individual deposits
United States deposits
387 35 Deposits of U. S. disbursing officer's.

$50, 000 00
5, 913 96
2, 945 29
45, 000 00
175 00
43, 906 97

6, 074 00 Due to other national banks
269 44 Due to State banks and bankers .
198 00
3, 500 00 Notes and bills re-discounted.
Bills payable
2, 250 00
Total.

147,941 22

147, 941 22

People's National Bank, Princeton.
W M . L. 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 an d other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit- .i
Due tram U. S. Treasurer
Total.




No. 2180.
^68, 555 58
70 00
50, 000 00

2,126 23
47,673 13
2,165 60
""3,500 00
171 07
5, 640 00
36 90
1, 250 00
12, 600 00

W M . L. DORSET, 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.

$50, 000 00
3, 000 00
1,045 76
45, 000 00
2, 575 00
94, 417 75

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.,
Bills payable

"""2"250 65"
196, 038 51

Total.

196, 038 51

REPORT OF THE COMPTROLLER OF THE CURRENCY.

597

I I DIANA.
V
First National Bank, Richmond.
J. F. REEVES, Cashier.

No. 17.

J. B. REEVES, 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 fromU. S. Treasurer

$345, 059 43 Capital stock paid in.
1, 111 88
155, 000 00 Surplus fund
Other undivided profits
2,000 66
9, 500 00 National bank notes outstanding
8,351 51 State bank notes outstanding
8, 926 49
34,339 08 Dividends unpaid»
5, 994 58 Individual deposits .
...
United States deposits
«
6, 000 00 Deposits of U. S. disbursing officers .
Due to other national banks
Due to State banks and bankers

$200,000 00
100, 000 00
31, 992 71
130, 800 00

222,834 18

2,056 54
1, 000 00

Notes and bills re-discounted
Bills payable

Total.

!8, 683 43

Total.

Second National Bank, Richmond.
No. 1988.

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 cflsh items
Exchanges for cleariug house
Bills of other banks
Fractional currency
Specie
.
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

JNO. B. DOUGAN, Cashier.

$244,414 87 j Capital stock paid in.
1,355 40 I
79, 000 00 ' Surplus fund
Other undivided profits
8, 500 00 National bank notes outstanding
4,166 40 State bank notes outstanding
22, 430 30
32,117 15 Dividends unpaid .
645 32 Individual deposits
..
11,288 67 United States deposits .
42 89 Deposits of U. S. disbursing officers.

5200, 000 00
25, 750 00
2, 237 31
71,100 00

142, 928 28

3, 000 00 Due to other national banks
Due to State banks and bankers .
2, 499 59
28,000 00 Notes and bills re-discounted.
Bills payable
4,555 00

Total.

442,015 59 I

442,015 59

Richmond National Bank, Richmond.
CHAS. F. 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.




No. 2090.
$408,155 02
1,814 52
250, 000 00

CHAS. H. COFFIN, Cashier.

Capital stock paid in.

Surplus fund
Other undivided profits
2, 323 25 National bank notes outstanding
22, 926 33 State bank notes outstanding
2,610 61
41,578 88 Dividends unpaid .
6, 093 32
34, 700 00 Individual deposits
United States deposits
1, 952 30 Deposits of U. S. disbursing officers.
4,218
110
2, 800
30, 000

00
00
00
00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

$250, 000 00
54, 000 00
10,434 03
225, 000 00

236, 761 12

1,974 97
1,700 73
40,601 38

11, 250 00
820; 532 23

Total.

820, 532 23

598

REPORT OF THE COMPTROLLER OP THE CURRENCY.
IN D I A N A .
National Bank, Rising Sun.
No. 1959.

SAMUEL SEWARD, President.

J. N. PERKINS, 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.,

$121, 733 99

""166*666" 66"
3, 000 00

Capital stock paid in.

$100, 000 00

Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding

789 74
4,551 72 Dividends unpaid .
2, 600 00
920 29
6, 500 00 Individual deposits
United States deposits
83 30
Deposits of U. S. disbursing officers.
463 00 Due to other national banks
58 56 Due to State banks and flankers .
327 00
4,427 00 Notes and bills re-discounted.
Bills payable
2,041 74
247, 496 34

Total.

6, 500 00
3, 769 09
89, 000 00

46, 470 80

1,756 45

247, 496 34

National Bank, Rockville.
No. 2361.

J. M. NICHOLS, 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

$37,501 97 Capital stock paid in .

$55, 000 00

Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding
103,122 09 Dividends unpaid.
601 50
3,318 75 Individual deposits
United States deposits
v . .
6, 850 58 Deposits of U. S. disbursing officers.
30, 000 00

1,918 00 Due to other national banks
73 22 Due to State banks and bankers .
3, 000 70
11,296 00 Notes and bills re-discounted.
Bills payable
'
" 3 " 350*66
201, 032 81

Total.

S. L. MCCUNE, Cashier.

1, 872 16
27, 000 00

80, 539 90

36, 620 75

201, 032 81

Total.

Rush County National Bank, Rushville.
OLIVER POSEY, President.

No. 1869.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents.. Due from other banks and bankers . .
Real estate, furniture, 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.




.1

JOHN MEGEE, Cashier.

$115,130 56 j Capital stock paid in .
427 51 I
100, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
9, 454 40 State bank notes outstanding
3, 038 84 Dividends unpaid..
5, 000 00
1,620 95 Individual deposits
United States deposits
2, 019 24 Deposits of U. S. disbursing officers.

$100,000 00
11,500 00
3, 903 94
90, 000 00

43, 979 97

1, 545 00 Due to other national banks
27 41 I Due to State banks and bankers .
620 00 I
6, U00 00 Notes and bills re-discounted.
Bills payable
4, 500 00
249, 383 91

Total.

249, 383 91

EEPORT OF THE COMPTROLLER OF THE CURRENCY.

599

INDIANA.
Rushville National Bank, Rushville.
GEO.

No. 1456.

C. CLARK, President.

E D W I N PAYNE, 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 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

$160, 504 67

Capital stock paid in.

1,
28,
6,
10,
1,

000 00
360 53
683 94
000 00
682 48

Other undivided profits
National bank notes outstanding
State bank notes outstanding

6, 205 00
34 47
1, 087 50
9,000 00

25, 000 00
5,591 50
45, 000 00

Dividends unpaid .

Individual deposits
United States deposits
31 29 Deposits of U. S. disbursing officers.

101,248 38

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2, 250 00
Total.

276, 839 88

Total.

$100,000 00

~""56,"o66"oo' Surplus fund

276,839 88

National Bank, Salem.
No. 2173.

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.

$95,236 17

JAMES BAYNES, Cashier.

$50,000 00

Capital stock paid in.

""5o,"666"66' Surplus fund

5, 947 96
4,299 86
1,227 30
196 60

246 00
208 82
500 00
6, 500 00

Other undivided profits.
National bank notes outstanding .
State bank notes outstanding
Dividends unpaid .

7, 300 00
584 94
45, 000 00
1, 015 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

61,715 61

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

1,252 84
Total.

165,615 55

165, 615 55

First National Bank, Seymour.
J . L. GARDINER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer...
Total .




No. 1032.

Gr. H. MURPHY, Cashier.

$124, 54g 90 Capital stock paid in.
3,941 00
500, 000 00 Surplus fund
Other undivided profits.
5,100 00
8, 320 30 National bank notes outstanding
40,451 17 State bank notes outstanding
1, 900 00 Dividends unpaid .
1, 533 84 Individual deposits
35 United States deposits
150 00 Deposits of U. S. disbursing officers.
2,354 00
363 02
1, 485 00
20, 756 00

$100,000 00
20, 000 00
19,968 87
90,000 00

85, 932 71

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

5, 000 00
315,901 58

Total.

315,901 58

600

REPORT OF THE COMPTROLLER OP THE CURRENCY.
INDIANA.
First National Bank, Shelbyville.
No. 1263.

JOHN ELLIOTT, President.

JOHN A. YOUNG, 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.
$299, 76 L 05 Capital stock paid in.
3, 514 43
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
33, 417 48 State bank notes outstanding
36, 332 38 Dividends unpaid .
2, 480 97 Individual deposits
United States deposits
181 36 Deposits of U. S. disbursing officers.
4, 500 00
33 00
725 00
10, 000 00
10, 000 00
3, 250 00

$100, 000 00
38, 500 00
16,373 99
45, 000 00

254,321 63

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted .
Bills payable
Total.

454,195 67

454, 195 67

First National Bank, South Bend.
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

No. 126.
$198 095 90
1, 365 94
170, 000 00

49,128 82
8, 500 00
3, 109 30
6, 649 61
12, 584 00
659 65
1,015 00
19, 300 00 I

Capital stock paid in.

$150, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

47,182 00
12, 118 05
149, 980 00

Dividends unpaid .
Individual deposits
.....
United States deposits
Deposits of U. S. disbursing officers.

118,628 17

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

7, 500 00
477, 908 22

Total.

C A. KlMBALL, Cashier.

Total.

477,908 22

South Bend National Bank, South Bend.
JOHN BROWNFIELD, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages. .
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses 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. 1739.
$103,415 45
180 94
100, 000 00

WILLIAM MILLER, Cashier.

Capital stock paid in.

Surplus fund
..
I Other undivided profits
«...
595 00 j National bank notes outstanding
19,215 49 State bank notes outstanding
737 16
13,769 75 Dividends unpaid .
274 99 Individual deposits
United States deposits
6, 752 94 Deposits of U. S. disbursing officers.
6, 942 00
250 00
1, 044 60

15, 01,0 00

$100,000 00
13, 109 78
2, 830 75
90, 000 03
450 00
66,418 49

Due to other national banks
Due to State bauks aud bankers .
Note3 and bills re-discounted
Bills payable

"""4," 630*70
272, 809 02

Total.

272, 809 02

REPORT OF THE COMPTROLLER OF THE CURRENCY.

601

INDIANA,
First National Bank, Sullivan.
No. 1932.

MURRAY BRTGGS, President,

C. J. SHERMAN, 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.

$48, 784
149
50, 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 i t e m s . . . . .
Exchanges for clearing house
Bills of other banks
Fractif nal currency
Specie
Legal tender notes
1
U. S. certificates of deposit
Due from U. S. Treasurer

1,919"
400
4,181
110
4,368

Capital stock paid in .

$50,000 00

Surplus fund
Other undivided profits

10,000 00
34 18

National bank notes outstanding
State bank notes outstanding

45, 000 00

3
3,355
71
4,854

13, 532 55

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable

"""2*256'
120, 448

Total.

1,575 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

Total.

120,448 73

Farmers' National Bank, Sullivan.
No. 2369.

J O H N GILES, 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 . .
Due from approved reserve agents-..
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house Bills of other banks
Fractional currency

$28,869 18

"36," 666" 66"
1,594 10
1,178 79
1,185 19
2, 400 00

13,917 00
24
550 00
2, 000 00

Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer .

M. B. WILSON, Cashier.

Capital stock paid in.

10,000 00

Surplus fund..
Other undivided profits

636 94

National bank notes outstanding
State bank notes outstanding

27,000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

5, 407 56

Due to other national banks
,
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

1, 350 00

Total.

83,044 50

Total.

83,044 50

First National Bank, Tell City.
F E R D . 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 . .
Due from approved reserve agents...
Due from othe^ banks and bankers . .
Real estate, furniture, and fixtures...
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
U. S. certificates of deposit
Due from U. S. Treasurer

No.

2201.

Gus. HUTHSTEINER, Cashier.

$64,885 60 i Capital stock paid in

«

' "5O,"666 66" 11 Surplus fund
Other undivided profits

1,466
751
1, 125
1,529
3,815
103
58
50
2, 770

National bank notes outstanding
22 1 State bank notes outstanding
02
20 -j Dividends unpaid
80 I
81 ! Individual deposits
00 I United States deposits
1 Deposits of U. S. disbursing officers..
Due to other national banks
78
Due to State banks and bankers
00
Notes and bills re-discounted
00 Bills payable

$50, 000 00
1,200 00
1, 564 02
40,500 00
48 00
36,222 31

"""2"142 90*
Total




Total....
129, 534 33

129,534 33

602

REPORT OF THE COMPTROLLER OF THE CURRENCY.
INDIANA.
First National Bank, Terre Haute.

DEM AS DEMING, President.

No. 47.

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
Total

Liabilities.
$536, 647 29 Capital stock paid in .
4,838 18
200, 000 00 Surplus fund
Other undivided profits.
1,563 10 National bank notes outstanding
93,624 54 State bank notes outstanding
33,594 90 Dividends unpaid.
16, 000 00
5,441 42 Individual deposits
United States deposits
2,733 27
Deposits of U. S. disbursing officers.
22,187 00 ! Due to other national banks
676 15
2,628 70 Due to State banks and bankers .
85, 000 00 Notes and bills re-discounted .
Bills payable
12, 852 38
1,017,786 93

Total

$300,000 00
100,000 00
72, 395 50
179,880 00
174 00
361,756 01

1, 772 32
1,809 10

1,017.786 93

National State Bank, Terre Haute.
PRESTON HUSSEY, President.

No. 1103.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$547, 206 42
1, 110 55
400, 000 00

24,051 05
22, 058 57
20,000 00
2, 645 92
6,160 92
13,327 00
386 25
23, 620 20
61, 500 00

. CHAS. M. "WARREN, Cashier.

Capital stock paid in.

$400, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

100, 000 00
23,196 89
360, 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
,

250, 479 34
8, 385 73
1, 566 78

21,561 86
1,143, 628 74

Total.

1,143, 628 74

First National Bank, Thorntown.
JOHN NlVEN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures - . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.
$132,820 65

JOHN M. BOYD. Cashier.

Capital stock paid in.

$100,000 00

Surplus fund
Other undivided profits.

22, 000 00
4,981 18

National bank notes outstanding
5,133 31 State bank notes outstanding
23,185 89 Dividends unpaid.
9,288 65
1, 503 85 Individual deposits
United States deposits
5, 289 75 Deposits of U. S. disbursing officers.

90, 000 00

100, 000 00

72, 973 03

2, 000 00 Due to other national banks
232 11 Due to State banks and bankers .
6, 000 00 Notes and bills re-discounted.
Bills payable
289, 954 21

Total.

289, 954 21

REPORT OF THE COMPTROLLER OF THE CURRENCY.

603

INDIANA.
First National Bank, Union City.
No. 815.

J. S. JOHNSON, President.

R. S. FISHER, Cashier.

Resources.

Liabilities.
$128, 510 96

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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 .

10,271 90
495 56

50, 000 66" Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding
13,673 16
Dividends unpaid .
17, 178 40
250 86
492 39
1,328 00
326 74

1, 000 00
23, 200 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

132,443 05

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable

238, 2 L0 5L

Total..

45, 000 00

Total.

First National Bank, Valparaiso.
S. S. SKINNER, President.

M. L. MCCLELLAND. Cashier.

No. 105.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.

$74,192 01
1,843 57
50, 000 00

Due from approved reserve agents . .
Due from other banks and bankers .
Real estat3, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid

2, 181 39
1, 896 43
14,283 18
621 10
929 49

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

18 i 00
459 58
1, 245 75
7,203 00

$50, 000 00

Capital stock paid in.

18, 606 76
2, 894 28

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

45, 000 00
4,150 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

36, 637 46*

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted .
Bills payable
....

'"2,250 65"

Total.

Total .

157, 288 50

157,288 50

First National Bank, Vevay.
No. 346.

U. P. SCHENCK, President.

WILLIAM HALL, 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 approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums 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 U. S. Treasurt r
Total.

H. Ex. 3- -35




$159,548 40

Capital stock paid in .

"120,0.6 66

Surplus fund
Other undivided profits

,

National bank notes outstanding
State bank notes outstanding

,

31"666 66"
21,124
20,075
6, 720
3,012
3,551

23
10
00
00
25

2, 300
334
570
9, 330

00
27
00
00

$150,000 00
28, 000 00
9, 883 89
108, 000 00

Dividends unpaid.
Individual deposits
,
United States deposits
Deposits of U. S. disbursing officers.

87,081 36

Due to other national banks
Dae to State banks and bankers.
Notes and bills re-discounted.
Bills payable

5, 400 00
382, 965 25

Total..

382, 965 25

601:

REPORT OF THE CeMPTROLLER OF THE CURRENCY.

INDIANA.
First National Bank, Vincennes.
JNO.

No. 1873.

H. RABB, President.

J . L. B A Y A R D , 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

$181,017 86

165,66o 66
4, 500 00
49,469 06
48, 056 72
11, 300 00
5 00
1,391 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

1,0'J0

00

2,271 89
24, 000 00

4,"500 66

Total

$100, 000 00
Surplus fund
Other undivided profits

20,000 00
2, 875 78

National bank notes outstanding
State bank notes outstanding

90, 000 00
100 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
Due to other national banks
Due to State banks and bankers

212,085 50

2,451 01

Notes and bills re-discounted.
Bills payable

427,512 29

Total

427,512 <9

Vincemies National Bank, Vincennes.
W. J. WILLIAMS

Wiisow M. TYLER, Cashier.

President.

Loans and discounts
j
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
j
Checks and other cash items
j
Exchanges for clearing house
\
Bills of other banks
|
Fractional currency
Specie
j
Legal tender notes
'
U . S. certificates of deposit
Due from U. S. Treasurer
!

$224,381 29

""ii)6"6oo"66"
4,571 90
18, 244 88
8,437 17
22,770 16

1, 895 03

Capital stock paid in.

60, 000 00
18,524 74

National bank notes outstanding . . .
State bank notes outstanding

90, 000 00

Dividends unpaid -

2, 960 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

* 3," 665 "66" Due to other national banks
1, 957 62
28, 000 00

Due to State banks and bankers

143,941 26

1,434 10
9U0 95

Notes and bills re-discounted.
Bills payable
1

4,500 00
417,761 05

Total.

$100, 000 00

Surplus fund
Other undivided profits

Total.

417,761 05

First National Bank, Wabash.
J. S. D A U G H E R T Y ,

Loans and discounts
Overdrafts
U. S. bonds to secure circulation —
U- S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses 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. 129.

President.

F.

W. MORSE, Cashier.

j Capital stock paid in .

$174,
1,
54,

Surplus fund
Other undivided profits
400 00

National bank notes outstanding
I State bank notes outstanding

$75, 000 00
37, 500 00
9,271 71
48, 600 00

i Dividends unpaid.
\ Individual deposits
! United States deposits
Deposits of U. S. disbursing officers
6H3

645
!, 405

I Due to other national banks
! Due to State banks and bankers.
Notes and bills re-discounted
Bills payable

121,659 93

73 57
1,000 00

1,682 38
293, 105 21

Total..

293, 105 21

REPORT OF THE COMPTROLLER OF THE CURRENCY.

605

INDIANA.
First National Bank, "Warsaw.
No. 88.

S. H. CHIPMAN, President.

W. C. GRAVES, 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.. j
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
j
Fractional currency
j
Specie
j
Legal tender notes
j
U. S. certificates of deposit
Due from U. S. Treasurer
!

Liabilities.
$68, 048 00
1,460 00
56, 000 C
O

Surplus fund
Other undivided profits .

48, 500 00

Individual deposits
United States deposits
Deposits ol U. S. disbursing officers.

8,813 70

13,500 00
5,342 30

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

4, 687 50
7, 538 5-2
4, 994 39
11, 194 07
2, 749 77

67, 074 60

3,654 00 Due to other national banks
285 59
2. 466 36 Due to State banks and bankers
10, 100 00 ;| Notes and bills re-discounted .
Bills payable
2, 425 00
__J

Total ..

$50, 000 00

Capital stock paid in.

j

Total.

384,416 90 |

184,416 9,1

"Washington National Bank, Washington.
Loans 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 b a n k s and b a n k e r s . .
Real estate, furniture, a n d
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
D u e from U. S. T r e a s u r e r

Total.

R N. READ, Cashier.

No. 2043.

M. L. BRETT, President.

$93, 423 47
"*50,"

666"66"

,753
,869
650
,668
,000

30
32
flO
89
00

186 39
-.

500 00
52 00
800 82
18, 500 00
15,

"""2," 250*66"

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits

8, 000 0 >
3, 388 83

National bank notes outstanding
Siale bank notes outstanding
Dividends unpaid .

J
j

Individusp1 deposits
United States deposits
Deposits of U. S. disbursing officers.

45, 000 00
2, 500 00
98, 360 45

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

207,654 19

Total.

207,654 19

First National Bank, "Winchester.
As AH EL STONE, Preside?! t.

No. 889.

JOS. PUCKETT, Cashier.

Loans and discounts
$129,846 12 Capital stock paid in.
Overdrafts
U. S. bonds to secure circulation
60, 000 00 n Surplus fund
U. S. bonds to secure deposits
j" Other undivided profits
U. S. bonds on hand
..I
I
National bank notes outstanding
Other stocks, bonds, and mortgages.. I
j
Due from approved reserve agents...!
4. 400 07 j State bank notes outstanding
Due from other banks and bankers. . j
9,129 52 !
j
Real estate, furniture, and
fixtures.-J
1,470 00 ; Dividends unpaid .
Current expenses and taxes paid
j
1, 209 81 j Individual deposits
|
Premiums paid,
'
United States deposits
j
Checks and other cash items
Deposits of U. S. disbursing officers.. j
Exchanges for clearing House
j
Bills of other banks
|
2, 078 00 | Due to other national banks
F factional currency
i
873 86 | Due to State banks and bankers.
Specie
598 33 1
1
Legal tender notes
j
14, 500 00 Notes and bills re-discounted.
Bills payable
IT. S. certificates of deposit
j
Due from U.S. Treasurer
!
2,700 00
Total.




226, 805 71

Total - -

$60, 000 00
30, 000 00
5,354 02
53, 000 00
343 70

78,107 99

226, 805 71

606

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Alton.
No. 1445.

W. H. MITCHELL, President.

J

E. HAYNER, 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

$233, 893 14 Capital stock paid in.
208 44
100, 000 00 Surplus fund
Other undivided profits
25C)"o(V
9,569 00 National bank notes outstanding
74,172 75 State bank notes outstanding
16, 360 35 Dividends unpaid .
16, 428 04
1, 155 38 Individual deposits
United States deposits
1,027 35 Deposits of U. S. disbursing officers .
1,491 00 Due to other national banks
203 80 Due to State banks and bankers
3,054 65
44,308 00 I Notes and bills re-discounted

" 4 "sob" 65'

24, 000 00
6,971 30
89, 500 00

281,838 06

4, 312 54

Bills payable

506,621 90 1
1

Total.

$100, 000 00

Total.

506,621 90

Alton National Bank, Alton.
No. 1428.

SAMUFL W A 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
S pecie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$216,064 87
2, 527 28
52, 000 (10
50, U00 00
14,450 00
11,800 00
47,961 18
57, 489 37
21,823 28
2,173 88
4,210 00
1,877 15
10,758 02
107,833 00

C. A. CALDWELL, Cashier.

$100, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

70, 000 00
6,939 8L
46, 800 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers

326, 036 44
25, 512 57

Due to other national banks
Due to State banks and bankers . . .
Notes and bills re-discounted.
Bills payable
,

436 12
30,677 71

5, 434 62
Total.

606, 402 65

606, 402 65

First National Bank, Arcola.
JAMES BEGGS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2204.
$102, 375 46
73 37
30, 000 00

6, 386 44
4, 143 2L
7, 300 00
1,236 11
3, 000 00
122 68

3, 160 00
1, 027 90
6, 500 00

GEO. L. WICKS, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$50, 000 00
4, 000 00
4, 439 57
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

80,597 67

637 93

1, 350 00
166,675 17

166, 675 17

REPORT OF THE COMPTROLLER OF THE CURRENCY.

607

ILLINOIS.
First National Bank, Atlanta.
JOHN A. HoBLIT, President.

No. 2283.

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
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie

$95, 468 88
30, 000 00

6,131 20
5,000 00
1,234 53
881 65
2, 344
79
600
12 000

00
58
00
00

$50, 000 00

Capital stock paid in
Surplus fund . . . . . . . . . .
Other undivided profits

10, 000 Of)
2, 423 86

National bank notes outstanding
State bank notes outstanding

27, 000 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers

65, 665 98

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable

1, 350 00

Due from U. S. Treasurer

155,089 84

Total

Total

155, 089 84

. .-

First National Bank, Aurora.
J. VAN NORTWICK, President.

No. 38.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency.
Specie
.
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

.

$173,979 03
647 68
100,000 00

6, 402 18

E. A. BRADLEY, Cashier.

Capital stock paid in.

$100,000 00

Surplus fund
Other undivided profits

20, 000 00
8,549 18

National bank notes outstanding
State bank notes outstanding

90, 000 00

Dividends unpaid.
3, 254 80
12, 000 00

1,923
28
1,262
12, 000

no
63
00
00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

'8,073 14

Due to other national banks . . . . .
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

5,125 00
316, 622 32

Total.

Total.

316,622 32

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 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
Total




No. 1909.
$199,225 05
271 99
50, 000 00
229 55
2, 323
5,106
8, 825
1, 473

80
90
27
80

951 20
4, 343
534
2, 089
17, 000

00
10
20
00

DANL. VOLINTINE, Cashier.
$100, 000 00

Surplus fund
Other undivided profits

21, 000 00
10, 272 53

National bank notes outstanding
State bank notes outstanding

44,000 00

Dividends unpaid

1, 320 00

Individual deposits

118,031 33

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
294, 623 86

Total

294,623 86

608

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
Union National Bank, Aurora.

H. C. PADDOCK, President.

No. 1792.

T. B. COULTER, 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.

$324, 277 11
680 94
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

17,181 13

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
JLegal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

1, 853 07
122 10
iO5 37
5, 085 00
360 00
832 85
20, U00 00

$125, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits

32, 500 00
5,218 60

National bank notes o u t s t a n d i n g . . . .
State bank notes outstanding

90, 000 00

Div.cends u n p a i d .

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

222, 778 97

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

4,500 00
Total.

475, 497 57

Total.

475, 497 57

First National Bank, Batavia.
No. 339.

WILLIAM 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

$98,939 05 i Capital stock paid in.
1,257 57
50, 000 00 Surplus fund
Other undivided profits

$70,000 00
6, 072 18
7,236 JO

National bank notes outstanding...
State bank notes outstanding

45, 000 00

1,000 00 Dividends unpaid .
1, 660 22 Individual deposits
United States deposits
616 59 ! Deposits of U. S. disbursing officers.

37,634 88

3,114 56

1,741 00
459 17
300 00

Due to other national banks
Due to State banks and bankers

4 , 6 0 0 U0 H Notes and bills re-discounted..

I Bills payable
2, 255 00
Total.

165,943 16

Total .

W M . K. COFFIN, Cashier.

165,943 IS

First National Bank, Belleville.
JULIUS KOHL, President.

Loans and discounts
.•
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 2154.

CASIMIR ANDEL, Cashier.

$153, 467 87 Capital stock paid in.
726 56
50, 000 00 Surplus fund
Other undivided profits .
7, 050 00
35, 000 00 National bank notes outstanding
16,712 12 State bank notes outstanding . . . . . .
2, 652 55 Dividends unpaid .
2, 700 00
1,698 45
2,821 50 Individual deposits
United States deposits
95 00 Deposits of U. S. disbursing officers.
4,116 00
760 90
1,509 00
17, 660 00

"2*250" 66"

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable
Total

$100,000 00
5,652 17
3.824 27
45, 000 00
21 00140,193 5L
1,470 41

3, 058 59
299,219 95

REPORT OF THE COMPTROLLER OF THE CURRENCY.

609

ILLINOIS.
First National Bank, Belvidere.
No. 1097.

Wivr. S. DUNTON, President.

J. S. TERWILLIGER, 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

$107,281 14
25 28
100,000 00
9, 000 00
13, 542 38
• 1,079 00
J
7, 665 10
25
150 84

$100,000 00

Capital stock paid in.

21,900 00
2,818 23

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

89,000 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 60

Total.

Total.

66,312 96

260,067 79

National Bank, Bloomington.
No. 819.

D. M. FUNK, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$385, 894 72
6, 849 17
50, 000 00

$150,000 00

Capital stock paid in.

175, 000 00
10,363 12

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

45, 000 00

92, 505 19
13, 729 23
28, 153 94 Dividends unpaid .
938 11 Individual deposits
United States deposits
.,
484 21 Deposits of U. S. disbursing officers.
5, 924 00
284 76
4, 662 00
115,550 00

328, 863 21

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

4, 250 00
709, 225 33

Total.

EDWARD THORP, Cashier.

Total.

709,225 33

Miners' National Bank, Braidwood.
D. U. COBB, Presid

nt.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid . . .
Premiums paid
Checks and other cash items
Exchanges for 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.
$53, 080 05

'""56"665"66"
7,081 49
587 28
2,417 48
646 05
4,185 00
51 11
2, 303 00

1, 834 23
1,200 00

WM. H. ODELL, Cashier.
$50, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

r..

10,535 84
2,421 27
45, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

17,678 58

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2, 250 00
125, 635 69

Total .

125, 635 69

610

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
Farmers' National Bank, Bushnell.

CHARLES WILSON, President.

No. 1791.

J . B. CUMMTNGS, Cashier.

Resources.

Liabilities.
$76, 882 79
1,574 5L
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 .

8.332
15,575
6, 164
728
1, 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

81
22
00
28
00

1, 666 23
5, 396
490
1,270
6, 800

00
75
00
00

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits .

10, 000 00
7, 839 20

National bank notes outstanding
State bank notes outstanding

45, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

58,039 61

Due to other national banks
Due to State banks and bankers.
8, 200 00

Notes and bills re-discounted
Bills payable

"3," 1.98 22

Total.

179, 078 81

Total.

179, 078 8L

City National Bank, Cairo.
No. 785.

W. P . HALLIDAY, President.

$163,541 79

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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
* 58," 700* 66'

23, 812 50
38,195 31
26, 720 87
29, 875 65
2,074 34
8,919 35
11,812 00
6,498 55
11,203 09
35, 000 00

W A L T E R HYSLOP, Cashier.

$100,000 00

Capital stock paid in .
Surplus fund
Other undivided profits

i

National bank notes outstanding
State bank notes outstanding

25,000 00
49, 537 65
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

192,333 67

5, 834 14
74, 495 34

5,847 35

Total.

492, 200 80

Total.

492, 200 80

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
,„„ ._,
Specie
,„...
Legal tender notes
U. S. certificates of deposit. „. _.
Due from U. S. Treasurer

Total.




Capital stock paid in .

$75, 000 00

Surplus fund
Other undivided profits

30, 000 00
4,940 85

3,950 00
10, 754 63

National bank notes outstanding
State bank notes outstanding

54, 345 00

12, 09970"
1, 642 80
1 17
1, 392 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

$101,322 48
397 21
61,51)0 00

'

C. T. HEALD, Casl^er.

ioo'66"

Dividends unpaid .

10, 63 L 00 Due to other national banks
108 01 Due to State banks and bankers .
1, 255 95
32, 832 00 Notes and bills re-discounted.
Bills payable
3, 881 32
241,868 27 I

Total.

325 00
76, 853 01

404 41

241,868 27

REPORT OF THE COMPTROLLER OP THE CURRENCY.

611

ILLINOIS.
First National Bank, Carlinville.
P. C. HUGGIVS, President.

No. 2042.

M. R. FLINT, 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..

$92, 191 23 Capital stock paid in

!

$60, 000 00

: Surplus fund
Other undivided profits
' National bank notes outstanding . . . |
State bank notes outstanding
751 95
2.480 00
Dividends unpaid
7,861 67

3,677 46
2,738 54
51, 500 00

1,349 10
6,748 10

75,155 38

1,100 40
60, 000 00

4, 010 00
2, 265
20
311
11,500

00
80
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

218 37

2, 700 00

Total.

193,289 75

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
D ue from U. S. Treasurer

W. H. GRIFFITH, Cashier.

$93, 441 46 Capital stock paid in.
56 30
75, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
5,501 04 State bank notes outstanding
11.541 49 Dividends unpaid .
18,754 45
1, 422 78
2, 589 28 Individual deposits
United States deposits
423 84
Deposits of U. S. disbursing officers.
6, 573
125
2, 049
14, 500

00 Due to other national banks
87 Due to State banks and bankers
35
00 Notes and bills re-discounted..
Bills payable

Total.

$75,000 00
16, 000 00
8,716 13
67,445 00

64,054 85

1, 475 62
162 26
2, 500 00

235, 353 80

First National Bank, Centralia.
E. S. CONDIT, 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 fromU. S. Treasurer
Total.




FERDINAND KOHL. Cashier.

$83, 883 82 Capital stock paid in .
1,024 52
80, 000 00 Surplus fund
75, 000 00 Other undivided profits.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid

356 93
4, 939 00
31 33
150 70
19,904 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers

$80, 000 00
23, 500 00
4, 928 31
72, 000 00

140,419 11
24,445 26
1,134 93

Due to other national banks . , . . .
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

3, 600 00
346,427 61

Total.

346, 427 61

612

REPORT OF THE COMPTROLLER OF THE CURRENCY.

First National Bank, Champaign.
B. F. HARRIS, President,

H. H. H 4RRIS, 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.
il20,009 C
Capital stock paid in .
1, 025 92 |
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
25,762 81 State bank notes outstanding
4,327 41
28, 630 87 Dividends unpaid.
2, 427 02 Individual deposits
United States deposits
563 95 Deposits of U. S. disbursing officers.

$65, 000 00
67, 516 33
4,569 9L
20, 400 00

115,738 33

4,713 00 Due to other national banks
146 26 ! Due to State banks and bankers .
1,868 25 !
31, 500 00 'Notes and bills re-discounted.
Bills pay able

Total.

Total.

273,224 57

First National Bank, Charleston.
T. G. CHAMBERS, President.

No. 763.

W. E. MCCRORY, Cashier.

$224, 753 04 Capital stock paid in
Loans and discounts
•
223 21
Overdrafts
!
U. S. bonds to secure circulation
j
150,000 00 Surplus ftmd
U. S. bonds to secure deposits
!
Other undivided profits
U. S. bonds on hand
!..
2, 000 00
National bank notes outstanding
Other stocks, bonds, and mortgages.. i
4, 837 76 State bank notes outstanding
Due from approved reserve agents..
Due from other banks and bankers
308 49 Dividends unpaid
Real estate, furniture, and fixtures . 14, 134 03
Current expenses and taxes paid
j
2, 119 68 Individual deposits
Premiums paid
United States deposits
Checks and other cash items
|
1,042 34 Deposits of U. S. disbursing officers.
Exchanges for clearing house
i
2,709 00 Due to other national banks
Bills of other banks
j
395 82 Due to State banks and bankers —
Fractional currency
,
|
1, 122 60
Specie
!
Legal tender notes
j
16,213 00 Notes and bills re-discounted
U. S. certificates of deposit
j. Bills payable
'
Due from U. S. Treasurer
I
Total.

426, 108 97

$150, 000 00
30, 000 00
20,334 55
135, 000 00
180 00
88,145 79
1,166 63
282 00
1, 000 00
426, 108 97

Total..

Second National Bank, Charleston.
I. H. 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 U. S. Treasurer
Total .




No. 1851.
$191, 056 29
97 17
100, 000 00

5,311 52
736 20
9,784 00
1,982 92
3,419 09
945 00
99 01
8,466 15
34,895 00

CHARLES CLARY, Cashier.

Capital stock paid in.
Surplus fund.
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$100, 000 00
50, 000 00
4,947 94
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 .
Notesand bills re-discounted.
Bills payable

97,112 83

23 L 5£

5, 500 00 j
342, 292 35 j

Total.

342, 292 35

REPORT OF THE COMPTROLLER OF THE CURRENCY.

613

ILLINOIS.
First National Bank, Chicago.
S. M. NlCKERSON, President.

No. 8.

L. J. GAGE, Cashier.

Resources.

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

3,717,379 81
23, 129 18
100,000 00
""206,"250"66"

17, 124 68
755, 023 22
233,082 19
321,587 69
1,831 76
412,962 18
34, 500 00
092 10
52,344 00
1, 550, 000 00

Capital stock paid in.

Dividends unpaid .

750, 000 00
205,440 19
90, 000 00
85 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

3, 218, 808 94 ,

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

1, 306, 305 98
869, 766 70

14,500 00
7,440,406 81

Total.

7,440,406 81

Total .

$1,000,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

Third National Bank, Chicago.
No. 236.

J. IRVING PEARCE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, 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

$2,036,081 34
21,551 40
667, 000 00

W M . S. SMITH, Cashier.

Capital stock paid in .

$750, 000 00

Surplus fund
Other undivided profits
63, 064 00 National bank notes outstanding
231,198 77 State bank notes outstanding
286, 729 84 Dividends unpaid .
156, 664 22
22, 740 42 Individual deposits
United States deposits
5,105 63 Deposits of U. S. disbursing officers.
121,303 55
13, 027 00 Due to other national banks
164 34 Due to State banks and bankers
9,001 70
270, 000 00 Notes and bills re-discounted.
Bills payable

200,000 00
57, 776 38

Total

Total.

587, 560 00
3, 817 00
1, 508,190 45

479, 240 90
213,047 48
134,000 00

3,933,632 21

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. certifies tp« of deposit
Due from U. S. Treasurer
Total . . .




ISAAC G. LOMBARD, Cashier.

$1,330,449 87
2,594 97
50, 000 00

145, 530 04
70, 402 63
9, 247 02

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.

2, 074 79
109, 067 93
72, 769 00 j Due to other national banks
78 72 Due to State banks and bankers
34 10
435, 00;) 00 Notes and bills re-discounted .
65, 000 00 J Bills payable
12, 250 00
2, 304, 549 07 !

Total.

$500, 000 00
250,000 00
28,203 88
45, 000 00
140 00
799, 826 99
408, 750 55
272, 6i7 65

2, 3rJ4, 549 07

614

REPORT OF THE COMPTROLLER OP THE CURRENCY.
I L L I N O I S .
Central National Bank, Chicago.

W. F. ESDICOTT, President.

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.
$200, 000 00

1378,521 69 Capital stock paid in
1,004 48

50, 000 00
1,000 00
51,037 45
49,166 75
5, 465 73
5, 745 85
8, 562 50
1.848 39
52,783 18
9, 433 00
819 49
450 00
95, 000 00
"'2,'256'65'

10,000 00
21,169 55

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..

250,899 69

Due to other national banks
Due to State banks and bankers

51 751 8fi
131,267 41

Notes and bills re-discounted
Bills payable
Total.

713, 088 51

713,088 51

Commercial National Bank, Chicago.
H. F. EAMES, President.

No. 713.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie.
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

fif>. L. OTIS, Cashier.
$500,000 00

$1, 407, 522 99 1 Capital stock paid in
1
2,420 75 j |
50,000 00 I Surplus fund
I
|j Other undivided profits

'

| j National bank notes outstanding . . .
204,921 43 State bank notes outstanding
136, 862 46
114, 371 20 Dividends unpaid .
9, 407 33 Individual deposits
United States deposits
1,142 73 I Deposits of U. S. disbursing officers.
98, 773 09
62,099 00 | Due to other national banks
1, 726 93 | Due to State banks and bankers
4,761 50 I
400, 000 00 Notes and bills re-discounted
* "2*250' 65" Bills payable
2,496,259 41

Total.

300, 000 00
41,207 16
45, 000 00
184 00
1, 128,454 73

272, 611 41
208,772 11

2,496,259 41

Corn Exchange National Bank, Chicago.
S. A. KENT, President.

No. 1709.

Loans and discounts
$1,829,446 36
Overdrafts
2,484 41
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...
415,126 70
Due from other banks and bankers...
279, 428 88
Real estate, furniture, and fixtures. .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
1, 025 00
Exchanges for clearing house
I
148,553 10
Bills of other banks
I
31,410 00
Fractional currency
116 82
Specie
|
2,095 00
Legal tender notes
I
350, 000 00
U. S. certificates of deposit
|
Due from U. S. Treasurer
j
2, 250 00
Total.




3, 141,936 27

ORSON SMITH, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding.. ..
State bank notes outstanding
,

$500, 000 00
100, 000 00
60, 778 80
45, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers

2,416,056 63

Due to other national banks
Due to State banks and bankers . . .

14,486 63
5, 614 21

Notes and bills re-discounted
Bills payable
3, 141,936 27

REPORT OF THE COMPTROLLER OF THE CURRENCY.

615

ILLINOIS.
German National Bank, Chicago.
HENRY GREENEDAUM, President.

HERMAN SCHAFFNER, Cashier.

No. 1734.

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

Capital stock paid in .

$500, 0C0 00

Surplus fund
Other undivided profits
1, 836 75 National bank notes outstanding
21,989 38 ! State bank notes outstanding
95,318 67
89, 856 42 Dividends unpaid .
17,790 23 Individual deposits
United States deposits
2, 505 56 Deposits of U. S. disbursing officers.
36,313 54
3, 440 00 Due to other national banks
154 98 Due to State banks and bankers
2,310 70
73, 000 00
Notes and bills re-discounted.
Bills payable
3,150 00

125, 000 00
13, 437 44

$901,107 04
15, 058 05
70, 000 00

Total .

1,333,831 32

Total..

63, 000 00
15 00
432, 606 37

42, 329 54
157, 442 97

1,333,831 32

Home National Bank, Chicago.
No. 2048.

A. M. BILLINGS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, 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 . .

GEO.

W. FULLER, Cashier.

$427, 470 78 Capital stock paid in.
04
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
67, 892 79 State bank notes outstanding
86, 306 86 Dividends unpaid .
3,000 00
9, 383 46 Individual deposits
4, 000 00 United States deposits
221 00 | Deposits of U. S. disbursing officers.
9^,759 57 i
15, 607 00 ! Due to other national banks
1.58L 03 i
2,024 85 ! Due to State banks and bankers
40, 000 00 Notes and bills re-discounted .
100, 000 00 Bills payable
2, 250 00
900, 497 38

Total.

$250, 000 00
50, 000 00
7, 714 58
22, 000 00

570,343 03

439 77

900, 497 38

Merchants' National Bank, Chicago.
No. 642.

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 of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Totil




-

$2, 140, 983 74
1,483 81
300, 000 00

JOHN D E KOVEN, Cashier.

Capital stock paid in.

""" *3 22,' 050 "66"
50, 500 00 j] National bank notes outstanding
535,244 11 j State bank notes outstanding
255,942 99
Dividends unpaid .
19, 0U0 00

35, 108 10
1,947 58
301,816 23
140, 480 00
159 79
221, 886 46
100, 000 00
570, 000 00
16, 500 00
5,013,102 81

$500, 000 00

Surplus fund
Other undivided profits

500, 000 C
O
27,223 L
O

...

267, 900 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

1,713,495 53

Due to other national banks
Due to State banks and bankers . . .

1,238,538 46
764, 685 12

1, 260 00

Notes and bills re-discounted.
Bills payable

Total

5,013, 10J 81

616

REPORT OF THE COMPTROLLER OF THE CURRENCY.

National Bank of Illinois, Chicago.
GEO.

SCHNEIDER, President.

No. 1867.

H E N R Y H. NASH, 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.
$1,519,127 91
6, 622 05
50, 000 00
214,400 00

Capital stock paid in .

85, 000 00
31, 597 77

National bank notes outstanding
State bank notes outstanding

4", 000 00

Dividends unpaid

60 00

Individual deposits
p
U i t d S t t deposits
United States d i t
Deposits of U. S. disbursing officers .
Due to other national banks
Due to State banks and bankers

1, 832, 140 83

!

71,865 24
37,203 56

Notes and bills re-discounted.
Billts payable
2, 602, 867 40

Total.

$500, 000 00

Surplus fund
Other undivided profits

Total

| 2,602,867 40

North Western National Bank, Chicago.
No. 508.

G E O R G E STURGES, President.

Loans and discounts
j
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
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

$703, 956 67
316 74
200, 000 00

179, 886 74
32, 848 28
23, 833 56

2,610
114, 759
31, 800
465
53. 693
223, 000

63
88
00
18
50
00

"'9'66o'6o'

Capital stock paid in

|

Surplus fund
Other undivided profits

$200, 000 00
50,000 on
33,326 78

National bank notes outstanding...
State bank notes outstanding

131,600 00

Dividends unpaid ,
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

1, 003, 476 85

Due to other national banks
Due to State banks and bankers . . .

82,409 00
70, 353 55

Notes and bills re-discounted
Bills payable

1,576, 171 18

Total.

JAS, D. STURGE3, Cashier,,

Total

.i

1,576,17L 18

Traders' National Bank, Chicago.
J . O. RUTTER, President.
Loans and discounts
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 - . . !
Due from other banks and bankers... I
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
;
Specie
!
Legal tender notes
I
:
U. S. certificates of deposit
Due from U. S. Treasurer.
Total.




No. 966.

T. P . TALLMAN', Cashier.

$398,157 16
Capital stock paid in .
1,115 20
50, 000 00 ! Surplus fund
Other undivided profits

38, 791 85
23,705 14
31,788 42
29, 962 53
3, 340 00
1,441 00
28.012 32
6, 560 00
625 50
78, 000 00

National bank notes outstanding
State bank notes outstanding

$200, 000 00
30, 000 00
15,232 94
45, C O 00
O

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

248,891 82

Due to other national banks
Due to State banks and bankers

23, 336 27
131,288 09

Notes and bills re-discounted .
Bills payable
Total.

693,749 12

REPORT OF THE COMPTROLLER OF THE CURRENCY.

617

ILLINOIS.
Union National Bank, Chicago.
0 . T. W H E E L E R ,

Vice-President.

No. 698.

G E O . A. IVES, Cashier.

Liabilities.
$2,606,056 81
1, 285 37
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 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

22,707 00
372, 472 03
215,264 85
215,662 36
29, 948 32
389 00
338, 086 52
252, 200 00
2,064 42
53, 622 55
950, 000 00
50, 000 00
2, 250 00

11, 000, 000 00

Capital stock paid in.
Surplus fund
,
Other undivided profits.

75, 000 00
43, 030 02

National bank notes outstanding . . State bank notes outstanding

45, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of £T. S. disbursing officers.

2, 235, 503 81

Due to other national banks
Due to State banks and bankers . . .

938, 3P9 00
825, 076 40

Not^s and bills re-discounted.
Bills payable

5, 162,009 23

Total.

5, 162, 009 23

Union Stock Yard National Bank, Chicago.
No. 1678.

M A s C E L T A L c o T T, Pres ident.

E. 8. STICKNF.Y, Ca,

$383, 853 08 j Capital stock paid in.
2,639 14 !
100, 000 00 ! Surplus fund
Other undivided profits

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
17. S. boads 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

5\919 65
76, 320 25
17,799 18

934 i

$200, 000 00
75, 000 00
18, 871 92

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .
j Individual deposits
| United States deposits
Deposits of U. S. disbursing officers..

20,017 00 j Due to other national banks
220 40
Due to State banks and bankers
7, 908 33
60, 000 00
Notes and bills re-discounted.
Bills payable
4,500 00
734,111 90

Total.

Total.

339,879 82

3.405 78
7, 964 38

731, HI 90

De "Witt County National Bank, Clinton.
J. T. S N E L L , President.

No. 1926.

Loans and discounts
Overdrafts
17. S. 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...i
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
S pecie
i
Lfigal tender notes
i.;
Due from 17. S. Treasurer
\
Suspense account
\
Total




!

$109, 448
1,088
70,000

4,241
1,072
24,447
441
441
" 2,"79l
180
7, 000
3, 150
14, 084
242, 678 08

J o s . J. KELLY, Cashier.

Capital stock paid in

$70, 000 00

Surplus fund
Other undivided profits

29, 914 86
1,696 72

National bank notes outstanding
State bank notes outstanding

61, 800 00

Dividends unpaid
i Individual deposits
I
! United States deposits
\
j Deposits of U. S. disbursing officers..|

79,266 50

Due to other national banks
Due to State banks and bankers .
il Notes and bills re discounted
Bills payable

1
1

Total.

24-2, (V. 8 08

618

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
Tiizt National Bank, Danville.
No. 113.

J. G. ENGLISH, President.

E. H. PALMER, 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

$472, 507 83 j Capital stock paid in.
5,519 15
50, 000 00 Surplus fund ..
Other undivided profits

$150, 000 00
38, 000 00
8, 872 47

National bank notes outstanding
07 j State bank notes outstanding
00 I
81 | Dividends unpaid .
94 ! Individual deposits
United States deposits
7, 089 81 Deposits of U. S. disbursing officers.

77, 999
10,514
36, 173
2, 462

45,000 00

475, 987 29

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
Total.

Total.

7L7, 859 76

Decatur National Bank, Decatur.
A. T. HILL, President.

G. W. BRIGHT. Act'g Cashier.

No. 2124.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation . . .
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages
Due from approved reserve agents.
Due from other banks and bankers
Real estate, furniture, and fixtures.
Current expennes and taxes paid —
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit...
Due from U. S. Treasurer

$117,260 87 Capital stock paid in
652 86 j
50, 000 00, ; Surplus fund
Other undivided profits

$100,000 00
7, 350 00
3, 377 82

National bank notes outstanding
State bank notes outstanding

45, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

69,824 14

i Due to other national banks
• Dae to State banks and bankers.
] Notes and bills re-discounted
Bills payable
Total.

Total.

225,551 96

Dixon National Bank, Dixon.
AVERY JOHNSO.v, President.
Loans 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




No. 1861.
$156, 032 72
2, 6?6 68
50,000 00

F. A. TRUMAN, 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
14, 500 00
4,024 43
45, 000 00
75 00
70,632 12

Due to other national banks
Dae to State banks and baukers .
Notes and bills re-discounted
Bills payable
Total

234.231 55

REPORT OF THE COMPTROLLER OF THE CURRENCY.

619

ILLINOIS.
Lee County National Bank, Dixon.
No. 902.

Jos. CRAWFORD, President.

SAML. C. EELLS, 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

$163,172 88 Capital stock paid in.
17 11
100, 000 00 Surplus fund
Other undivided profits
1, 500 00 National bank notes outstanding
10, 262 74 State bank notes outstanding
2, 580 00
2, 428 00 Dividends unpaid .
2, 462 52 Individual deposits
United States deposits
328 15 Deposits of U. S. disbursing officers.
1,293 00
94 89
412 25
7, 000 00

20, 000 00
20, 805 82
89, 000 00

!6,245 72

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

4, 500 00
296, 051 54

Total.

$100, 000 00

296,051 54

Total.

First National Bank, Elgin.
T. BARROWS, Vice-President.

No. 1365.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
"
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$173, 762 49 Capital stock paid in.
5,260 10
50, 000 00 Surplus fund
Other undivided profits
16, 722 52
1, 273 42
14, 222 29
2, 786 30
4,185 40
5, 400 00
]98 85
673 75
9, 157 00

$100, 000 00
20, 000 00
5,038 19

National bank notes outstanding . . .
State bank notes outstanding

45, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

115,853 93

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2, 250 00
Total.

285,892 12

Total.

E. D. WALPRON. Asst. Cashier.

285,892 12

Home National Bank, Elgin.
ORLANDO DAVIDSON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agenta..
Due from other banks and bankers .
Real estate, furniture, 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.

H. Ex. 3-




No. 2016.
$153, 423 56
2, 763 13
100,000 00

22,448 58
1,199 66
750 00
2, 332 31
8, 000 00
4,271 84

WM. H . HrNTZE, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

6, 200 00
7,239 36
90, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

Due to other national banks
173 55 Due to State banks and bankers .
381 65
12, 300 00 Notes and bills re-discounted.
Bills payable. .. P
4, 500 00
312,544 28

$100, 000 00

Total.

75, 504 92

33, 600 00

312, 544 28

620

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Fairbury.
No. 1987.

I. P. MCDOWELL, President.

T. S. O. MCDOWELL, 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
D ue from U. S. Treasurer

$53,701 42 Capital stock paid in .
1,533 17
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
2, 720 88 Dividends unpaid.
8, 700 00
1, 147 19
5, 600 00 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

$50, 000 00

1, 200 Of) j Due to other national banks
76 79 I Due to State banks and bankers . . .
140 00 |
2, 160 00 SNotes and bills re-discounted
Bills payable

1,061 05
3,101 60

45, 000 00
25 00
14,017 00

""2*256" 66" I
129, 229 45

Total

14,194 32
1,830 48

Total

129,229 45

First National Bank, Farmer City.
No. 2156.

J. H. 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 . . j
Real estate, furniture, and fixtures...
Current expenses aud taxes paid
1
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

3, 547 00 Due to other national banks
129 08
152 05 Due to State banks and bankers .
5, 000 00 Notes and bills re-discounted.
Bills payable
2,250 00
141,994 37

Total.

P. J. MILLER, Cashier.

$66, 937 48 Capital stock paid in .
3, 505 75
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
2,771 04 State bank notes outstanding
205 77
7, 213 80 Dividends unpaid .
80 Individual deposits
United States deposits
281 60 Deposits of U. S. disbursing officers.

Total.

$50,000 00
10, 000 00
1, 207 44
45, 000 00

25, 786 93

10, 000 00
141,994 37

First National Bank, Flora.
OSMAN PrxLEY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bon ds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from 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
Total.




No. 1961.

L. F. WILSON, Cashier.

$78,680 48 Capital stock paid in .
2,491 11
75, 000 00 Surplus fund
Other undivided profits
3, 276 85 National banknotes outstanding
4, 757 04 State bank notes outstanding
253 59
18,401 80 Dividends unpaid .
826 04
2,159 24 Individual deposits
United States deposits
592 34 Deposits of U. S. disbursing officers.

$75, 000 00
9, 200 00
3,391 80
66, 500 00
40 00
38,612 34

1,102 00

Due to other national banks
54 25
274 40 Due to State banks and bankers .
3, 500 00 Notes and bills re-discounted.
! Bills payable
3, 375 00
194.744 14

Total.

2, 000 00

194,744 14

REPORT OF THE COMPTROLLER OF THE CURRENCY.

621

ILLINOIS.
First National Bank, Freeport.
O. B. BID WELL, President.

No. 319.

G. F. D E FOREST, Cashier.

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
Legal tender notes
,
U. S. certificates of deposit.
Due from U. S. Treasurer..

Liabilities.
$184, 956 28

$100, 000 00

Capital stock paid in.

381 23

50, 000 00
13, 000 00
22, 062 53
958 94
12,900 00
2 25
1 98
6, 894 67
5, 137 00
243 35
666 27
20, 500 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.

50, 000 00
515 09
45,000 00
834 00
123,605 41

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2,250 00

Total.

319,954 50

Total.

319,954 50

Second National Bank, Freeport.
J. H. AD DAMS, President.

No. 385.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$250, 054 79
1,034 38
50,000 00
~""2,*450"6b"
7, 890
15. 802
5, 167
2, 836
326
586

43
29
93
69
59
73

9,543
90
1, 926
40, 000

00
31
95
00

L. W. GUITEAU, Cashier.

Capital stock paid in.

$100, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

55, 000 00
7, 412 89
45, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

185, 038 50

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

4,741 30
Total.

392,451 39

392, 451 39

Merchants' National Bank, Galena.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. SNYDER, Cashier.

No. 979.

AUGUSTUS ESTEY, President.

$189,711 21
5, 112 40
110,000 00
1,200 00
20, 288
18,212
4, 800
2, 048
96

68
72
00
96
50

4, 022 80

3, 250 ' 0
135 20
4, 748 55
20, 000 00

Capital stock paid in .

$125,000 00

Surplus fund
,
Other undivided profits.

43, 000 00
5, 986 88

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

99, 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

115,615 14

375 00

5, 350 00
388, 977 02

Total.

388,977 02

622

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
National Bank, Galena.
No. 831.

R. H. MCCLFXLAN, President

E. C. RIPLEY, 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 ag«jnt8...
Due from other banks and bankers..

Liabilities.
$420, 345 72
8 629 45
113, 000 00
2Oo" on"

$200, 000 00

Capital stock paid in
Surplus fund
Other undivided profits

. -

National bank notes outstanding
17, 850 17
16, 732 52

50, 000 00
18, 965 32
101,700 00
525 00

Dividends unpaid

Current expenses and taxes paid

2,867 97

Individual deposits

Checks and other cash items
Exchanges for clearing house
Bills of other banks .
.. ...
Fractional currency
Specie
Legalcertificates of deposit
U. S. tender notes

3,376 49

Deposits of U. S. disbursing officers

1,396 00

Due to other national banks
Due to State banks and bankers

Total

7, 423 50
25, 000 00

h'b'sh' 66'
621 fe06

242,114 52

1,176 81
7, 425 17

Bills payable
Total

82

621,906 82

First National Bank, Galesburg.
;NO.

FRANCIS FULLER, 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.

241.

M. S. SMALLEY, Cashier.

$311, 072 08 Capital stock paid in.
856 63
107, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
13, 026 95 State bank notes outstanding
1, 479 44
18,862 28 Dividends unpaid .
4,461 95 Individual deposits . . . . .
.
United States deposits
1,125 75 Deposits of U. S. disbursing officers.
3, 658 00 Due to other national banks
682 09 Due to State banks and bankers .
1,900 93
17, 300 00 Notes and bills re-discounted .
Bills payable
,
4,815 00
486,241 10

Total.

$150, 000 00
50, 000 00
17,806 98
96, 300 00
100 00
171, 697 31

336 81

486,241 10

Second National Bank, Galesburg.
DAVID S AN BORN, President

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 491.

WESTON ARNOLD, Cashier.

$162,599 68 Capital stock paid in.
1, 566 33
100, 060 00 Surplus fund
Other undivided profits.
National bank notes outstanding
14,154 32 State bank notes outstanding
320 00
16,314 25 Dividends unpaid .
2,898 14 Individual deposits
United States deposits
1,417 82 Deposits of U. S. disbursing officers.

$100,000 00
50, 000 00
9, 397 32
89, 000 00

8-2, 897 71

Due to other national banks
90 49 Due to State banks and bankers .
940 00
22, 000 00 Notes and bills re-discounted.
Bills payable
4,500 00
4,494 00

331, 295 03

Total.

331,295 03

REPORT OF THE COMPTROLLER OP THE CURRENCY.

623

ILLINOIS.
First National Bank, Galva.
D. L. WILEY, President.

W. F . WILEY, Cashier.

No. 827.

Liabilities.

Resources.
$167,242 43
4. 150 39
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 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

2, 650 00
7, 969 00
977 08
6, 820 38
1, 135 01
455 17
1,215
133
357
8, 000

30, 000 00
6, 905 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.

101, 362 40

D ue to other national banks
Due to State banks and bankers . . .

49 76
1, 937 45

Notes and bills re-discounted.
Bills payable

18,100 00

2, 250 00

r

Total.

00
90
20
00

$50, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits

Total.,

253, 355 58

253, 355 58

First National Bank, Genesao.
JAS.

Me BROOM,

No. 534.

President.

Loans and discounts
Overdrafts
U. S. 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
Total.

$180, 330 50
1,712 31
50, 000 00

7,992 52
21,908 41
3, 000 00
1, 824 40

4, 452
188
850
12, 000

00
40
00
00

""2," iso'oo'|

H I R A M W I L S O N , Cashier.

$100, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits

50, 000 00
5, 800 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..

85, 708 54

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted
Bills payable
Total.

286, 508 54 |

286, 508 54

Farmers' National Bank, G-eneseo.
L E V I 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 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
Total.




No. 2332.

$ L O 851 29
O,
332 93
30, 000 00

J N O . P. S T E W A R T , Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits

National bank notes outstanding
5,791 15 State bank notes outstanding
4,835 00
1, 875 00 I Dividends unpaid .
1, 143 70
2,000 00 Individual deposits
United States deposits
Deposits of U. S. disbursing officers..
2, 000
330
307
4, 500

00
65
50
00

156, 341 07

$50, 000 00
3, 200 00
2, 613 05
27, 000 00

68,528 02

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted
Billspayable
Total

5,000 00
156,341 07

624-

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS,
First National Bank, Greenville.
No. 1841.

N. DRESSOR, President.

M. V. DENNY, 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.

$139,988 09
9, 925 49
66, 000 00

4,520 72
134 38
17, 817 27
666 72
3,064 65

Capital stock paid in

$L00,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

20, 000 00
2, 522 84
59, 400 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

77, 3L7 13

1, 837 00 Due to other national banks
3 88 55 Due to State banks and bankers .
2,267 10
10, 960 00 Notes and bills re-discounted.
Bills payable
,
1, 870 00
Total.

259, 239 97

259, 239 97

Griggsville National Bank, Griggsville.
JAS. McWlLLlAMS, President.

No. 2116.

Loans and discounts
Overdrafts
,
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages
Due from approved reserve agents.
Due from other banks and bankers.
Real estate, furniture, and fixtures.
Current expenses 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.

$77, 549 67
889 87
50, 000 00

""in"ooo"65"
8, 000
14, 714
11,909
1,276
566

00
23
69
29
15

ISAAC A. HATCH, Cashier.

$50, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

00
]7
70
00

45, 000 00

Dividends unpaid .

3,591 58 Individual deposits
United States deposits
154 00 Deposits of U. S. disbursing officers.
2, 610
12
142
5, 000

1,536 10
20,253 29

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
,

66, 076 96

5, 000 00

1, 450 00
187, 866 35

Total.

187, 866 35

Havana National Bank, Havana.
FRANCIS L O W , 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.




NEWTON C. KING, Cashier.

No. 2242.
$65, 405 86
2,130 00
50, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

15,406 63
3, 045 34 Dividends unpaid.
9, 567 13
875 53
6,005 98 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
228 34
3, 460 00
83 73
433 00
5, 500 00

$50, 000 00
1,324 22

2, 592 47
45, 000 00

65, 474 85

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
,

2, 250 00
164, 391 54

Total.

164, 391 54

REPORT OF THE COMPTROLLER OF THE CURRENCY.

625

First National Bank, Henry.
WM. T. LAW, President.

CHAS. R. JONTES, Cashier.

No. 1482.

Resources.

Liabilities.
$72, 594 25
33 96
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

i.ooo 66
4, • 00
5,433
1,591
4,200
694
80

00
64
38
00
75
00

717 00
305 00
99 55
291 75
7, 400 00

Capital stock paid in

$50, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding

10, 000 00
6, 357 25
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

39, 334 03

"""2,"250"66"

Total.

Total...

150, 691 28

150, 691 28

First National Bank, Jacksonville.
No. 511.

EDWARD 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 fromU. S. Treasurer
Total .

$180, 829 10
2, 399 91
100, 000 00

F. G. FARRELL, Cashier.

Capital stock paid in-

$100,000 00

Surplus fund
Other undivided profits.
21, 323 42 National bank notes outstanding
23,886 72 State bank notes outstanding
4,261 91
29, 414 00 Dividends unpaid .
8 00 Individual deposits
United States deposits
2, 572 44 Deposits of U. S. disbursing officers.
495 00
2, 003 60
27,700 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

150, 000 00
9, 233 37
90, 000 00

50, 059 20

101 53

"4*500 65
399,394 10

Total.

399,394 10

Jacksonville National Bank, Jacksonville.
O. D. FiTZSlMMONS, President.

B. F. BEESLEY, 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 .




-

$397, 500 56 Capital stock paid in.
9, 180 12
200, 000 00 Surplus fund
O ther undivided profits
500 00 National bank notes outstanding . . .
60,455 30 State bank notes outstanding
6,041 21 Dividends unpaid .
9,512 52
2,414 23
22, 000 00 Individual deposits
United States deposits
8,222 68
Deposits of U. S. disbursing officers.
2,498 00
493 58
1, 904 75
30, 000 00

Due to other national banks
Due to State banks and bankers . . .
Notes and bills re-discounted
Bills payable

$200, 000 00
40, 010 00
10,589 53
180, 000 00

323,633 12

2,419 84
3, 080 46

9, 000 00
759, 722 95

Total.

759,72 3 95

626

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Jerseyville.

HUGH N. CROSS, President.

No. 2328.

W A L T E R E. CARLIN, 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
Legal tender notes
U. S. certificates of deposit .
Due from U. S. Treasurer ..

$72, 398 80
1,249 05
30, 000 00

$50, 000 00

Capital stock paid in.

Surplus fund
ioo'66' Other undivided profits
20, 364 27 National bank notes outstanding
5, 963 45 State' bank notes outstanding
5,658 31
2,421 30 Dividends unpaid .
1, 086 82
3, 483 06 Individual deposits
United States deposits
12, 057 10 Deposits of U. S. disbursing officers.
210 00 Due to other national banks
109 70 Due to State banks and bankers
382 60
6, 045 00 Notes and bills re-discounted.
Bills payable

Total.

Total.

800 00
4,156 52
27, 000 00

77, 506 78

3,197 84
218 32

162,879 46

First National Bank, Joliet.
No. 512.

G E O . 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.

$140, 424 93
1,099 07
100, 000 00

""ib'hhb'bo
7, 000 00
104,589 12
16,372 2L !
1, 300 g
1, 094 60
3, 282 00
492 93
2, 085 25
40, 000 00

F. W. WOODRUFF, Cashier.

Capital stock paid in ,

$100,000 00

Surplus fund
Other undivided profits

30,000 00
5, 719 56

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

90, 000 00

Individual deposits
United States deposits.
Deposits of U. S. disbursing officers .

207,911 30

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

5,239 i
433, 630 86

433, 630 86

Will County National Bank, Joliet.
CALVIN KNOWLTON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
,
U. S. certificates of deposit.
Due from U. S. Treasurer
Total




No. 1882.

H. C. KNOWLTON, Cashier.

$97, 835 13 Capital stock paid in .
286 35
75, 000 00 Surplus fund
Other undivided profits
10, 075 00
16, 572 78

" 4 "966" 66"

National bank notes outstanding
State bank notes outstanding

$100,000 00
3,500 00
5,774 08
67, 500 00

Dividends unpaid.

3,474 14

Individual deposits
Uuited States deposits
1, 373 34 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.

39,945 10

4,457 50

221, 176 68

REPORT OF THE COMPTROLLER OF THE CURRENCY.

627

ILLINOIS.
First National Bank, Kankakee.
H. C. CLARKE, Cashier.

No. 1793.

EMORY COBB, 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

$85,191 68 Capital stock paid in .
18 85
30, 000 00 Surplus fund

$50, 000 00
8, 000 00
2,389 44

Other undivided profits .

17, 072
15,009
3,171
1,033
1, 000

94
72
72
30
00

2,773 18
2, 813
621
742
10,748

00
38
75
00

National bank notes outstanding
State bank notes outstanding

27, 000 00

Dividends unpaid.,
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

84,157 08

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

1, 350 00
Total .

171,548 52

Total.

171, 546 52

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.

$78, 766 14
352 65
59, 000 00

W. F. BOYER, Cashier.

Capital stock paid in .

$50, 000, 00

Surplus fund
Other undivided profits

12, 000 00
459 59

National bank notes outstanding
2,871 83 State bank notes outstanding
15, 276 73
1, 874 70 Dividends unpaid.
311 64 Individual deposits
United States deposits
201 78 Deposits of U. S. disbursing officers.

45, 000 00

50, 852 82

517 00 Due to other national banks
14 89 I Due to State banks and bankers.
2a5 00 j
4,000 00 I Notes and bills re-discounted
Bills payable
3,~850 66"|
Total .

158,322 41 i

158, 322 41

Farmers' National Bank, Keithsburg.
WILLIAM DRURY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U.S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1805.
$150, 346 77
5, 9B7 79
30, 000 00
475 00
523
314
1, 245
1,349

43
57
00
17

134 90
2,200
42
430
8, 000

00
83
00
00

F. P. BuRGETT, Cashier.

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits

69, 725 24
3, 217 06

National bank notes outstanding
State bank notes outstanding

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
,

1,350 00
202,379 46 I

Total .

39, 849 02

588 14

12, 000 00
202, 379 46

628

REPORT OF THE COMPTROLLER OF THE CURRENCY.

First National Bank, Kewanee.
C. S. WENT WORTH, Cashier.

No. 1785.

CHAS. C. BLISH, 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
XL S. certificates of deposit
Due from U. S. Treasurer
Total.

Liabilities.
$111,199 73 Capital stock paid in .
7,801 39
50, 000 00 Surplus fund
,
Other undivided profits
1, 500 00 National bank notes outstanding
1, 239 88 State bank notes outstanding
30, 554 26
2, 196 05 Dividends unpaid .
2,228 18 Individual deposits
United States deposits
1,148 02 Deposits of U. S. disbursing officers 3,674 00 Due to other national banks
154 84 Due to State banks and bankers .
409 20
11,000 00 Notes and bills re-discounted.
Bills payable
2, 250 00
Total.

225, 355 55

$75, 000 00
18, 000 00
11,698 6544, 998 0ft

59, 258 90

16, 400 00

225, 355 55

First National Bank, Kirkwood.
No. 2313.

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

$83,942 89
247 99
50, 000 00

4,946 31
2, 825 63
5, 986 70
1,012 42
5,750 00
110 00
1, 300 00
64 54
250 00
10, 000 00

W. C. TUBBS, Cashitr.
$50, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits...,
National bank notes outstanding
State bank notes outstanding

15, 000 00
2, 729 30
45, 000 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

52,957 18

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
Total.

Total.

163, 686 48

First National Bank, Knoxville.
CORNELIUS RUNKLE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
Exchanges for clearing house .
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deponit
Due from U. S. Treasurer
Total.




F. G. SANBURN, Cashier.

No. 759.
$164,633 40 Capital stock paid in .
3, 164 69
60, 000 00 Surplus fund
Other undivided profits
4, 663 22
6, 542 39
7, 200 00
987 52
1,087 41

National bank notes outstanding
State bank notes outstanding

$60, 000 00
60, 000 00
7, 061 34
54, 000 00

Dividends unpaid .
Individual deposits
United States deposits.
Deposits of U. S. disbursing officers .

90, 673 80

4, 859 00 Due to other national banks
207 34 I Due to State banks and bankers .
2,190 17
12, 500 00 ! Notes and bills re-discounted.
I Bills payable
3, 700 00

Total.

271,735 14

REPORT OF THE COMPTROLLER OF THE CURRENCY.

629>

First National Bank, Lacon.
No. 347.

J. B. MARTIN, President

W. H. FOKD, 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.

$80,153 52 Capital stock paid in .
745 43
50, 000 00 Surplus fund
Other undivided profits
4, 800 00
National bank notes outstanding
3, 525 72 State bank notes outstanding
1, 099 38 Dividends unpaid .
6,291 17
200 50

Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

222
155
62
2, 500

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
-

00
00
25
00

$50, 000 00'
252 74
45, 000 00

44, 648 06

104 17
12, 000 00

2,250 00
Total .

152, 004 97

152, 004 !

First National Bank, Lanark.
No. 1755.

JOHN WOLF, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$61, 943 49
3, 472 62
50, 000 00

Capital stock paid in.

$50,000 00

Surplus fund
Other undivided profits National bank notes outstanding
12,161 37 State bank notes outstanding
9, 000 00 Dividends unpaid.
832 19 Individual deposits
,
United States deposits
100 14 Deposits of U. S. disbursing officers

10,000 00
3, 841 89

3, 858 00
9 76

450 75
10, 000 00

44, 000 00

46,236 43

Due to other national banks
Due to State banks and bankers.
Notes and bills^re-discounted.
Bills payable

2, 250 00
154, 078 32

Total.

JOHN PALEY, Cashier.

Total.

154, 078 32

First National Bank, Lewistown.
GEO. S. KING, President.
Loans and discounts
Overdrafts
,
U. S. bonds to secure circulation
U. S. bonds to secure deposits......
U. S. bonds on hand
,
Other stocks, bonds, and mortgages.
Due from approved reserve agents.
Due from other banks and bankers.
Real estate, furniture, and fixtures .
Current expenses and taxes paid...
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
*
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1808.
$93, 242 42
1,124 28
45, 000 00
5,150 00
500 00
6, 917 36

MOSES TURNER, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits National bank notes outstanding.
State bank notes outstanding

2, 937 42
2, 014 38
861 73
722 85

Dividends unpaid .

1, 551 00
64 14
363 46
5, 000 00

$50, 000 00
9, 718 67
6,045 41
40, 500 00

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

150 00
61,059 96

2,025 00
167,474 04

Total.

167,474 04

630

REPORT OF THE COMPTROLLER OF THE CURRENCY.

First National Bank, Lincoln.
No. 2126.

J . D. GILLETT, President.

H. B. SCHULER, Cashier.

Resources.

Liabilities.

Loans and discounts .
Overdrafts
. . . . . . . . . .......
XJ. 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

$153, 594 98
363 44
30, 000 00

Checks and other cash items
Exchanges for clearing house . . . . . . . .
Bills of other banks
Fractional currency
Specie
Legal tender notes
.

8,731 68

29, 179
6, 603
2,500
5,022

45
79
00
82

13, 242 00
625 57
17, 500 00

Capital stock paid in

$50, 000 00

Surplus fund..
. .
Other undivided profits

.

20, 000 00
29, 206 81

National bank notes outstanding
State bank notes outstanding
Dividends unpaid

.

27, 000 00

.»
142,306 92

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, 350 00
Total

268, 513 73

Total

268, 513 73

First National Bank, Macomb.
No. 967.

C H A S . CHANDLER, President.

$239, 362 32
1, 387 34
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

" " 2 " iso* 56'

J. H. CUMMTNGS, Cashier.

Capital stock paid in

$100,000 00

Surplus fund
Other undivided profits

75, 000 00
7,251 75

National bank notes outstanding
00
State bank notes outstanding
57
56 I
Dividends unpaid .
00
Individual deposits
United States deposits
230 01 Deposits of U. S. disbursing officers.

74,300 00

6, 200
22, 454
3,609
6, 500

285 00
363 00
5, 462 93
24,000 00

Due to other national banks
Due to State banks and bankers .

6,000 00
153,188 45

i

764 53

Notes and bills re-discounted
Bills payable

"*4*500"65"

Total.

Total .

416,504 73

416,504 73

Union National Bank, Macomb.
WM.

No. 1872.

S. B A I L E Y , 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... 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.




$30, 029 58
4,255 07
60, 000 00

"" *4,"6u6"66"
3, 641 04
154 25
3, 758 00
315 37

J

60 84

\
j
j
j
\
!

4, 362 00
98 29
1,409 00
8,050 00

!

LEONARD HOLLAND, Cashier.

Capital stock paid in .

I

$60, 000 00

Surplus fund
Other undivided profits

17,126 80

National bank notes outstanding
State bank notes outstanding

51, 700 00

Dividends unpaid.
Individual deposits
United States deposits
,
Deposits of U. S. disbursing officers.

44, 806 64

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
,

2,700 00
173, 633 44

Total.

173, 633 44

REPORT OF THE COMPTROLLER OF TH£ CURRENCY.

DOl

First National Bank, Marengo.
No. 1870.

G. V. WELLS, President.

R. M. PATRICK, 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.

$110,136 07 Capital stock paid in..
2, 805 87
50, 000 00 Surplus fund
Other undivided profits
1*350 66
National bank notes outstanding
2,894 34 State bank notes outstanding
713 99
1,373 69 Dividends unpaid .
1, 288 59 Individual deposits
1,120 76 United States deposits
1,240 05 Deposits of U. S. disbursing officers.
1,166 00
153 40
1,697 97
8, 000 00

$50, 000 0016, 000 00
632 14

73, 958 59

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
,

1,650 00
Total.

185, 590 73

185, 590 73

First National Bank, Marseilles.
No. 1852.

ALEX. BRUCE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers ,
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and 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.

$84, 382 60
930 99
50, 000 00

J. N. CHAPPLE, Cashier.

Capital stock paid in.,

$75, 000 00

1,558 90

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

8, 512 72
1,177 25
5,189 22
346 00

Individual deposits
Un'ted States deposits
D<. p >sits of U. S. disbursing officers

5,939 18
2, 778 01
45, 000 00

Dividends unpaid .
38, 028 32

5,524 00 Due to other national banks
73 83
600 00 Due to State banks and bankers .
5, 000 00 Notes and bills re-discounted.
Bills payable
,
3, 450 00
166,745 51

166, 745 51

First National Bank, Mason City.
R. W. 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
S pecie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




OTHO S. KING, Cashier.

No. 1850:

$71,213 15 Capital stock paid in .
2, 986 72
50, 000 00 Surplus fund
Other undivided profits810 32 National bank notes outstanding...
4,540 46 State bank notes outstanding
2,448 10
Dividends unpaid
9, 707 37
610 58
5, 019 65
8,914 13
1,069
352
493
3, 000

00
81
00
00

"I, 650 66'
162,815 29

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

$50, 000 00
5,500 00
590 45
44, 995 00
75 00
56,448 13

206 71

5, 000 00
362,815 29*

632

REPORT OF THE COMPTROLLER OF THE CURRENCY.

First National Bank, Mattoon.
No. 1024.

C. M. DOLE, President.

C. G-. WEYMOUTH, 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
f
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$211,685 04 Capital stock paid in.
3, 951 84
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
8,116 67 State bank notes outstanding
16, 545 08
13,500 00 Dividends unpaid.
1, 133 67 Individual deposits
United States deposits
1,222 05 Deposits of U. S. disbursing officers
4,703 00 Due to other national banks
279 09 Due to State banks and bankers
735 00
10, 000 00 Notes and bills re-discounted
Bills payable
2, 250 00
324,121 44

Total .

$100,000 00
50, 000 00
3,171 14
45, 000 00

103,619 33

159 87
885 58
21, 285 52

324,121 44

Mattoon National Bank, Mattoon.
No. 2147.

WM. B. DUNLAP, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer .

Jos. H. CLARK, Cashier.

$134,227 82 Capital stock paid in.
336 55
30, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding .
State bank notes outstanding
4,241 21 Dividends unpaid .
1, 000 00
1,218 56
4, 575 00 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
6, 000 00 Due to other national banks
531 79 Due to State banks and bankers . . .
Notes and bills re-discounted.
Bills payable

Total

Total.

$60, 000 00
20, 000 00
4,188 56
27,000 00

78, 435 80

226 00
1,230 57
7, 400 00

198, 480 93

First National Bank, Mendota.
E. A. BOWEN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages...
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures . . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 1177.

FULTON GIFFORD, Cashier.

$202,315 33 Capital stock paid in .
1,074 12
50, 000 00 Surplus fund
,
Other undivided profits.
National bank notes outstanding
....
27, 094 54 State bank notes outstanding
20,512 79 Dividends unpaid .
14, 037 81
1, 300 87 Individual deposits
United States deposits
133 33 Deposits of U. S. disbursing officers.

$125, 000 00
25, 000 00
23, 106 96
45, 000 00

136, 483 43

6, 327 00 Due to other national banks
650 00 Due to State banks and bankers.
2,299 60
26, 600 00 Notes and bills re-discounted.
Bills payable
2, 250 00
354, 595 39

Total.

354, 595 39

REPORT OF THE COMPTROLLER OF THE CURRENCY.

633

ILLINOIS.
First National Bank, Moline.
J. M. GOULD, President.

No. 160.

J. S. GiLLMORE, 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

$226,165 22
96 52
103, 000 00

Capital stock paid in .

$150,000 00

Surplus fund
Other undivided profits

35, 000 00
8,864 66

National bank notes outstanding . .
State bank notes outstanding
56, 740 70
717 42
Dividends unpaid .
17,711 09
I, 655 "° !
Individual deposits
United States deposits
Deposits of U. S. disbursing officer!

90, 000 00

Due to other national banks
Due to State banks and bankers...

585 00
149,448 23

3, 507 37
1, 275 26

Notes and bills re-discounted
Bills payable

Total.

Total.

438, 680 52

Moline National Bank, Moline.
No. 1941.

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.

$121,352 10
1,56L 23
100,000 00

33,310 08
292 81
20, 386 64
1,094 57
9, 611 95
1,366 54
7,203 00
696 83
497 25
12,160 00

C. F. HEMENWAY, Cashier.

Capital stock paid in .

$100,000 00

Surplus fund
Other undivided profits

20, 000 00
4,463 19

National bank notes outstanding
State bank notes outstanding

90, 000 00

Dividends unpaid .

1,360 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
Due to other national banks
Due to State banks and bankers

91,687 98

5, 375 71
2,146 12

Notes and bills re-discounted.
Bills payable

5, 500 00
Total.

315, 033 00

315,033 00

First National Bank, Monmouth.
No. 85.

D A V I D RANKIN, President.

Loans and discounts . . . . . . .
Overdrafts
U. S. bonds to secure circulation.,
U. S. bonds to secure deposits
U. S bonds on hand . .
. .....
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Bjeal 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
Total




$168, 530 47
5 362 90
50,000 00

B.

T. O. HUBBAKD, Cashier.

Capital stock paid in

$75, 000 00

Other undivided profits
National bank notes outstanding
3,601
14,552
18,800
1,181

83
55
37
59

363 31
3,680
200
3, 164
21, 000

00
00
04
00

50, 000 OC
8,244 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

2*971 "8l"
293, 408 87

20 00
115,144 04

Total

-•
293,408 87

634

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
Second National Bank, Monmouth.
No. 2205.

CHANCY HARBIN, President.

F. W . H A R D I N G ,

Cashier,

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.

$83,749 92
2, 063 92
50,000 00

10, 658
242
2, 590
1,075
2, 675
316

84
50
70
66
35
55

3, 829
121
455
10, 000

00
00
00
00

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits

j

National bank notes outstanding
State bank notes outstanding

\
'

13, 500 00
2, 413 03
45, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

59,120 41

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2, 250 00
170, 033 44

Total.

170,033 44

Monmouth National Bank, Monmouth.
WM. HANNA, 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..
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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, 450 74
820 02
100, 000 C
O

2, 776
2,123
32, 049
1, 490
3, 200

67
17
80
68
00

181 71
1, 107
233
700
15,100

00
00
00
00

W. B. YOUNG, Cashier.

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits

20, 000 00
3, 932 29

National bank notes outstanding
State bank notes outstanding

90, 000 00
340 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

58,010 56

Due to other national banks . . . . .
Due to State banks and bankers.
Notes and bills re-discounted.,
Bills payable

12, 449 94

4, 500 00
284, 732 79

Total.

284, 732 79

First National Bank, Morris.
JAMES CUNNEA,

President.

No. 1773.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.

$88, 851 36
4, 189 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
Checks and other cash items
Exchanges for clearing house
Bills oi other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer .

7, 330 52
241 78
5,000 00
640 99
5, 000 00

Total.




132 75
3, 003 00
3, 330 50
42, 000 00

JOHN CUNNEA, Cashier.

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits

40, 000 00
12, 888 36

National bank notes outstanding
State bank notes outstanding

45, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

64, 082 32

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

Total.

21.1, 970

REPORT OF THE COMPTROLLER OF THE CURRENCY. 635
ILLINOIS.
Grundy County National Bank, Morris.
C. H. G O O L D ,

No. 531.

President.

J. C. CARR, 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 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 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

$123, 426 32 j Capital stock paid in.,
1, 527 79 !
50, 000 00 Surplus fund

25, 000 00
7,065 11

Other undivided profits

11, 950 00
18, 400 50

National bank notes outstanding
State bank notes outstanding

1, 950 00 I Dividends unpaid.
1,733 51
Individual deposits
3, 500 00
United S tates deposits
43 80 Deposits of U. S. disbursing officers.
14,732 00
258 72
1,745 00
15, 000 00

45, 000 00
60 00
>9, 392 53

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted .
Bills payable

2, 250 00
Total ..

246, 517 64

Total.

$100, 000 00

246, 517 64

First National Bank, Morrison.
L E A N D E R SMITH,

No. 1033.

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
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$124, 767 55

""i66"666 66
""""4*666"66'
5, 704 22
22,115 73
8, 400 00
1,139 21
327 90
4,560 04
1,745 01
9.84L 35
32, 634 00

A. J. JACKSON, Cashier.

Capital stock paid in.

$100,000 00

Surplus fund
Other undivided profits

17, 841 81
30, 548 81

National bank notes outstanding
State bank notes outstanding

90, 000 00

Dividends u n p a i d .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

83,794 22

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
BilJspayable

"""o*" 949*83"
Total.

Total.

322,184 84

322,184 84

First National Bank, Mount Carroll.
DUNCAN MACKAY,

No. 409.

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




8,929 49'
4,787 18
11, 000 00
1, 323 04
4,150 69
711
525
358
9, 850

00
78
00
00

37

Capital stock paid in

$100,000 00

Surplus fund
Other undivided profits

20, 000 00
7,363 46

National bank notes outstanding
State bank notes outstanding

89, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

54, 867 81

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted..
Bills payable
,

4,500 00
271,231 27

Total.

H. Ex. 3

$124, 978 02
118 07
100, 000 00

H. A. MILLS, Cashier.

Total.

271,231 27

636

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS .
Mount Vernon National Bank, Mount Vernon.

N. JOHNSTON, President.

No. 1996.

C H R I S . D. HAM, 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
Due from U. S. Treasurer
Suspense account

Liabilities.
$46, 432 01 Capital stock paid in.
469 79
50, 000 00 Surplus fund
Other undivided profits .
925 20
2, 581 45
1,428 35
194 04
5, 000 00
938 62
4, 946 00
14 75
614 75
5, 000 00
4,527 59
8, 000 00

6, 074 07
948 65>

National bank notes outstanding
State bank notes outstanding

45, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

29, 049 83:

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

131,072 55

Total.

$50, 000 00

Total.

131, 072 55-

Nokoinis National Bank, Nokomis.
No. 1934.

H. F . ROOD, President.

Loans and discounts
-^
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items.
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total-

B. F . CULP, Cashier.

$54, 740 00 Capital stock paid in
2, 454 2L
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
2, 663 08 State bank notes outstanding
5,192 37
3, 444 28 Dividends unpaid
1, 083 89
3,500 00 Individual deposits
United States deposits
348 55 Deposits of U. S. disbursing officers.
877 00
260 08
410 00
3, 628 00
"2*250 66

Due to other national banks
Due to State banks and bankers
Notes an d bills re-discounted
Bills payable

130,851 46

Total.

$50, 000 00
7, 857 01
2, 823 63
45,000 00
675 00
24, 285 32
210 50

130, 851 4&

Oakland National Bank, Oakland.
L. S. CASH, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
'
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




JJNTO. R U T H E R F O R D , Cashier.

No. 2212.

$69,131 03 Capital stock paid in.
295 63
30, 000 00 Surplus fund
Other undivided profits
5, 720 00 National bank notes outstanding
3, 133 33 State bank notes outstanding
10, 441 60 Dividends unpaid .
1, 300 00
258 26 Individual deposits
United States deposits
Deposits of U. S. disbursing officers .
1, 400 00
82 27
1, 982 00
3, 600 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.,
Bills payable...

$53,000 00
18, 500 00
2, 122 2527, 000 00

27, 792 65«

279 22'

1, 350 00
128,694 12

Total.

128,694 12

REPORT OF THE COMPTROLLER OF THE CURRENCY.

637

ILLINOIS,
First National Bank, Olney.
No. 1641.

HENRY SPRING, President.

J. H. SENSEMAN, 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..

$150, 430 23
100, 000 00

ib'oo

$100, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

3, 314 91
19, 932 68 Dividends unpaid.
29,106 71
2, 392 70 Individual deposits
415 20 United States deposits
379 02 Deposits of U. S. disbursing officers.
9, 020 00
19 09
306 10
7, 000 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable
,

55,269 60
15, 430 96
90, 000 00

58,305 47

1, 750 61
5, 300 00

3, 700 00
Total.

326, 056 64

326, 056 64

First National Bank, Oregon.
W M . W. BENNETT, President.

No. 1969.

Loans and discounts —
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents.
Due from other banks and bankers.
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$70,149 97
6L7 34
40, 000 00

CHARLES SCHNEIDER, Cashier.

Capital stock paid in .

$50,000 00

Surplus fund
Other undivided profits.

6, 600 00
2,192 20

National bank notes outstanding
3, 455 26 State bank notes outstanding
184 75
2, 972 00 Dividends unpaid.
491 33 Individual deposits
2, 600 00 United States deposits
1,388 90 Deposits of U. S. disbursing officers.
2, 905 00
140 11
6, 000 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

36, 000 00

34, 912 46

4, 000 00

"""2"800 66'
133,704 66

Total.

133,704 66

First National Bank, Ottawa.
M. H. SWIFT, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1154.
$171, 838 80
296 65
50, 000 00
41,000 00
8, 000 00
32,160 70
26, 766 25
11,400 00
2, 383 51
3,000 00
563 61

J. F. NASH, Cashier.

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits .

62,000 00
5, 731 76

National bank notes outstanding .
State bank notes outstanding

45, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

181, 543 76

3 7,241 00 Due to other national banks
372 00 Due to State banks and bankers .
2,003 00
25, 000 00 Notes and bills re-discounted.
Bills payable
-,
,
2, 250 00
394,275 52

Total.

394,275 52

638

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
National City Bank, Ottawa.
No. 1465.

L. H. EAMES, President.

R. C. JORDAN, 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.

$216,566 98
1,670 73
50, 000 00
500 00
14,150 00 j
159, 599 83
75 00
24, 688 46
% 362 31
448 58
8, 786 00
1,362 41
2, 779 79
25, 000 00

$100, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits

32, 000 00
7, 200 48

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

301, 039 61

25, 000 00

2,250 00
510, 240 09

Total.

510,240 09

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. Treasurer
Total.

$336, 356 95
9, 285 .16
125, 000 00

50, 550 33
11,871 81
18,900 00
1,976 96
487 47

2, 650 00
104 66
1,859 10
25, 000 00

WM. SIEBERT, Cashier.
$125, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

50,000 00
8,431 41
112, 500 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
Notes and bills re-discounted.
Bills payable

290,201 34

2,647 35
887 34

5, 625 00
589, 667 44

Total.

589, 667 44

Edgar County National Bank, Paris.
R. N. PARRISH, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents.
Due from other banks and bankers.
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
Exchanges 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. POWELL, Cashier,

No. 2100.
$159,861 97
7, 799 64
100, 000 00

7, 442 90
2, 681 35
11,394 20
2, 869 18
7, 500 00
1, 487 22
300 00
176 15
1,690 06
6,943 00

Capital stock paid in .
Surplus fund
Other undivided profits.
National bank notes outstanding State bank notes outstanding

$100,000 00
13, 000 00
8,127 20
90, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

103, 518 47

Due to other national banks
.
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable
,

4, 500 00
314, 645 67

Total.

314, 645 67

REPORT OF THE COMPTROLLER OF THE CURRENCY.

639

ILLINOIS.

Farmers' National Bank, Pekin.
No. 2287.

JONA. MERRIAM, President.

A. B. HOBLIT, Cashi&r.

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.

$108, 889 76
681 18
30, 000 00

1, 741
5,214
3,000
1,102
4,800
860

21
86
12
21
00
29

4,218 00
255 00
5,311 86
10, 000 00

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits

5,500 C
O
3, 270 96

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

27, 000 00

100 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
,

91,411 70

141 83

1,350 00
Total.

177, 424 49

177, 424 49

First National Bank, Peoria.
J. C. PROCTOR, President.

^No. 176.

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
Due from U. S. Treasurer

$364, 818 62
8, 040 60
50, 000 00
19, 777
104, 700
1, 920
38,359
5, 597

50
68
98
18
61

12, 000 11
2,824 00
550 00
25, 000 00

Capital stock paid in.

$100, 000 00

Surplus fund
,
Other undivided profits.,

150, 000 00
13, 597 36

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.

635, 839 28

Total.

W. E. STONE, Cashier.

44, 960 00

297,281 92

30, 000 00

635, 839 28

Second National Bank, Peoria.
No. 207,

LEWIS 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.




$313, 966 53

B. P. BLOSSOM, Cashier.

Capital stock paid in .

$100,000 03

7, 004 68

50, 000 00
200, 000 00
17, 000
55, 386
11,086
51,965
6,214
13, 000
10, 100

00
21
63
65
18
00
08

3, 437
456
1, 920
40, 000

00
63
60
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
Notes and bills re-discounted.
Bills payable

80, 000 01
14,474 06
45, 000 00
22 50
345, 734 97
175, 746 02
1,108 99
3, 099 02
18, 602 63

2,250 00
783,788 19

Total..

783,788 19

640

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
Mechanics' National Bank, Feoria.
No. 1117.

H. N. WHEELER, President.

HENRY P. AYRES, 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

$293, 789 76
6, 453 55
50, 000 00
100, 000 00
3,500 00
62,708 06
49, 478 00
20,361 50
2, 223 49
1, 050 00
16, 024 87
4,712 00
626 00
1,325 85
30, 000 00

Surplus fund
•..
Other undivided profits .
National bank notes outstanding...
State bank notes outstanding

50, 000 00
24, 506 23
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

274, 723 58
86, 826 91
44,796 60
18, 449 76

2,250 00
644, 303 08

Total .

$100, 000 00

Capital stock paid in.

Total.

644, 303 08

First National Bank, Peru.
R. V. SUTHERLAND, Cashier.

No. 441.

T. D. BREWSTER, 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
U. S. certificates of deposit
Due from U. S. Treasurer

$128, 511 08

""50," 060*66" Surplus fund
Other undivided profits
3, 100 00 National bank notes outstanding
4,203 45 State bank notes outstanding
3,979 84
15, 750 43 Dividends unpaid .
1, 442 06 Individual deposits
United States deposits
7,047 79 Deposits of U. S. disbursing officers.
4, 900 00
73 34
640 00

16, 000 00

19, 560 57
3,155 86
44, 930 00

70, 251 56

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.,
Bills payable..
,

2, 250 00
Total.

237, 897 99

Total.

$100, 000 00

Capital stock paid in..

237, 897 99

First National Bank, Pittsfield.
C. L. HlGBEE, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures . Current expenses and taxes paid.. - Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1042.
$131,389 98
1,003 78
50, 000 00

6,004 05
12 32
5, 600 00
803 56

4,801
38
459
7, 500

00
19
00
00

D. D. HICKS, Cashier.

Capital stock paid in.,

$50, 000 00

Surplus fund
Other undivided profits .

50, 000 00
5, 502 46

National bank notes outstanding
State bank notes outstanding

45, 000 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

60,388 55

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable
,

3,279 13
210, 891 01

Total.

210,891 01

REPORT OF THE COMPTROLLER OF THE CURRENCY.

641

ILLINOIS.
Exchange National Bank, Polo.
W. T. SCHELL, Cashier.

No. 1806.

REUBEN WAGNER, 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.

$108, 812 43
859 03
60, 000 00

546 97
2, 867 96
25, 315 00
2, 469 86
6,500 00
281 68
1, 422 00
198 17
211 04
8, 000 00

$80, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits .

7, 800 00
10, 210 78

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

54, 000 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers

64, 655 36

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

18 00

3,500 00

2, 700 00

Total.

220,184 14

220,184 14

Livingston County National Bank, Pontiac.
J. M. GREENEBAUM, President,

No. 1837.
$126, 275 60
4,173 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

14,162 64

H. G-. GREENEBAUM, Cashier.

Capital stock paid in.

$75, 000 00

Surplus fund
Other undivided profits.
National bank notes outstanding .
State bank notes outstanding

6, 36 L 76 Dividends unpaid ,
178 70 Individual deposits
United States deposits
3, 402 14 Deposits of U. S. disbursing officers.
6,165
124
572
4, 000

00
10
51
00

Due to other national banks
Due to State banks and bankers . . .
Notes and bills re-discounted .
Bills payable

40, 000 00
3, 907 02
45, 000 00

52, 992 36

316 25
449 90

2,250 00

Total .

Total.

217, 665 53

2L7, 665 53

National Bank, Pontiac.
J. E. MORROW, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
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 XT. S. Treasurer
Total .




No. 2141.
$89,279 95
1,216 88
50, 000 00

9, 546 22
1,250 90
351 50
2, 793 75
4, 371
360
1, 025
3,500

00
72
00
00

O. P. BOURLAND, Cashier.

Capital stock paid in .
Surplus fund
,
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

$50, 000 00
19,000 00
3,000 26
45,000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

48, 945 66

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2, 250 00
165, 945 92

Total.

It5, 945 92

642

REPORT OF THE COMPTROLLER OF THK CURRENCY.

ILLINOIS,
First National Bank, Prairie City.
H. W. KREIDER, President.

JAS. H. WILSON, Cashier.

No. 2254.

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.
$37, 035 64
34 64
30, 000 00
2, 500 00
1, 076 55
3,774 18
2,368 36
752 66
4,200 00
859 00
159 65
1, 320 00
13, 815 00

Capital stock paid in.

$50, 000 00

Surplus fund
,
Other undivided profits.,
National bank notes outstanding .
State bank notes outstanding
Dividends unpaid

1, 700 00
1,938 62
23,900 00
30 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

21,699 45

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

1,372 39
Total .

99, 268 07

99,268 07

First National Bank, Princeton.
No. 903.

B. S. FERRIS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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, 667 40
897 71
85, 000 00

23, 277 78

14, 493 50
133 60
521 36
2,175
218
1,052
18, 032

00
50
92
00

H. C. ROBERTS, Cashier.

Capital stock paid in..

$105, 000 00

Surplus fund
Other undivided profits

27, 000 00
14,815 21

National bank notes outstanding
State bank notes outstanding

76, 500 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

94, 979 56

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

3, 825 00
318, 294 77

Total.

318, 294 77

Farmers' National Bank, Princeton.
E. R. VIRDEN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Total.




No. 2165.
$98, 022 38
892 38
75,000 00

10, 932 35
7,822 13
1, 732 67
950 47
528
301
540
10, 000

00
65
40
00

W. W. FERRIS, Cashier.

Capital stock paid in .

$75, 000 00

Surplus fund
Other undivided profits

5, 250 005, 022 87

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

3, 375 00
210, 097 43

66, 700 00

Total.

53,124 5&

5, 000 00*
210, 097 43

REPORT OF THE COMPTROLLER OF THE CURRENCY.

643

ILLINOIS.
First National Bank, Prophetstown.
No. 1968.

NATHAN THOMPSON, President.

A. J. MATTSON, Cashier,

Resources.

Liabilities.
$47, 693 81

$50, 000 00

Capital stock paid in

50, 000 00

U. S. bonds to secure circulation
U. S. bonds to secure deposits

9,400 00
1,780 99

Other undivided profits
National bank notes outstanding
State bank notes outstanding

Other stocks, bonds and mortgages
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid

1,100 68
180 00
856 12
55 10

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Lfigal tfiiri^r notes
U. S. certificates of deposit..
Due from U. S. Treasurer

415
55
950
600

00
15
00
00

31, 400 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U S. disbursing officers

11, 574 87

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable
.

2,250 00
104,155 86

Total

104,155 86

Total

First National Bank, Quincy.
C. M. POMROY, President.

No. 424.

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 p a i d . . .
Premiums paid

$521, 974 53
1,416 46
50, 000 00
100,000 00
9,450 00
50,293 37
46,201 75
7, 324 28
49 20

U. S. P E N F I E L D , Cashier.

$200, 000 00

Capital stock paid in.

40,000 oa

Surplus fund
Other undivided profits.

4,494 5a

National bank notes outstanding . .
State bank notes outstanding

45,000 00
8,967 50

Dividends unpaid .

433, 681 82
91), 917 14
796 73

14, 929 00 Due to other national banks
1,358 80 Due to State banks and bankers - - .
3, 654 65
86, 500 00 Notes and bills re-discounted.

Checks and other cash items
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

998 20
21,731 30

6,185 15

55, 000 00

Bills payable
2, 250 00
901,587 19

Total.

901, 587 19

Total .

First National Bank, Rochelle.
ANGUS BATN, 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.




No. 1922.
$108,941 97
627 00
50,000 00

J. T. M I L L E R , Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding

1, 000 00 Dividends unpaid.
751 41
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
7, 429 00
530 04
10, 000 00

"2,256 66
181, 529 42

Due to other national banks
Due to State banks and bankers.

$50, 000 00
5, 882 42
3,336 92
45, 000 00

75, 025 53'

2, 284 55-

Notes and bills re-discounted.
Bills payable
Total.

181, 529 42

644

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILL INOIS.
Rochelle National Bank, Rochelle.
I. N. PERRY, Cashier.

No. 1907.

M. D. HATHAWAY, 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.

Liabilities.
$162,123 26

'""56," 655" 65"
3, 047 29
5, 000 00
79 L 37

2, 549 00
817 52
8, 000 00

"2,25o"6o*

$50,000 00

Capital stock paid in.

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

39, 000 00
4, 827 93
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

234, 578 44

Total.

90, 250 51

5, 500 00

234,578 44

Second National Bank, Rockford.
No. 482.

HOBT. P. LANE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
.
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
fjegal tender notes
U. S. certificates of deposit ....
Due from U. S. Treasurer
Total.

G-. A. SANFORD, Cashier.

$420, 666 72 Capital stock paid in.
3,447 60
100, 000 00 Surplus fund
Other undivided profits .
51, 706 44 National bank notes outstanding
29,298 66 State bank notes outstanding
3,067 65
37, 588 86 Dividends unpaid .
3,011 91 Individual deposits
United States deposits
11, 865 83 Deposits of U. S. disbursing officers
2,420 00 Due to other national banks
90L 40 Due to State banks and bankers .
245 04
37, 423 00 Notes and bills re-discounted.
Bills payable
5, 806 10
707, 449 21

Total.

$200, 000 00
52, 000 00
9, 322 87
89, 000 00

805 00
351, 321 34

5,000 00

707,449 21

Third National Bank, Rockford.
A. C. SPAFFORD, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
!
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 479.

WM. T. WALLIS, Cashier.

5161,771 18 Capital stock paid in.
829 91
50, 000 00 S urpl us fund
Other undivided profits
4, 400 00 National bank notes outstanding
27, 383 81 State bank notes outstanding
18,301 08 Dividends unpaid.
13, 500 00
1, 648 50 Individual deposits
United States deposits
1,535 19 Deposits of U. S. disbursing officers.

$70, 000 00
14, 000 00
5, 535 28
45, 000 00

165, 325 04

1, 392
290
558
16, 000

00 Due to other national b a n k s . . . .
65 Due to State banks and bankers.
00
00 Notes and bills re-discounted .
Bills payable
2,250 00

299, 860 32

Total.

299, 860 32

REPORT OF THE COMPTROLLER OF THE CURRENCY.

645

ILLINOIS.
Rockford National Bank, Rockford.
GILBERT WOODRUFF, President.

M. S. PARMELE, Cashier.

No. 1816.

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 from U. S. Treasurer .

$192, 427 96
2, 289 21
60, 000 00

$100, 000 00

Capital stock paid in.

Surplus fund
Other undivided profits
National bank notes outstanding
14,302 60 State bank notes outstanding
949 61 Dividends unpaid.,
] 1, 913 93
3,009 13 Individual deposits
1,255 00 United States deposits
2, 622 42 Deposits of U. S. disbursing officers.
1,261 00
574 99
1, 605 42
20, 000 00

21,000 00
5, 518 42
54, 000 00

134, 392 85

Due to other national banks . . . .
Due to State banks and bankers.
Notes and bills re-discounted.,
Bills payable

2,700 00
Total.

314, 911 27 |

Total.

314,911 27

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
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 883.
!240, 709 62
341 19
51, 500 00

W. T. ROBERTSON, Cashier.
$100, 000 00

Capital stock paid in.,

Surplus fund
Other undivided profits
32,185 00 | National bank notes outstanding
29,413 30 State bank notes outstanding
144 46
15, 473 30 Dividends unpaid.
8 90 Individual deposits
United States deposits
3, 268 42 Deposits of U. S. disbursing officers.

30, 000 00
11,893 57
46, 350 00
1, 485 00
208, 774 93

1,976 00 Due to other national banks
1, 355 80 Due to State banks and bankers.
2, 433 0L
17, 377 00 Notes and bills re-discounted.,
Bills payable
2,317 50
Total.

398,503 50

398,503 50

First National Bank, Rock Island.
P. L. 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

Total.




No. 108.
$133,137 12
279 91
50, 000 00
100, 000 00
15,239 17
11, 407 57
4,508 52
2, 623 58
1,234 36
28,518 00
778 47
2, 336 00
40, 000 00

J. M. BuFORD, 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

$100, 000 00
50, 000 00
6, 634 55
45, 000 00

121,242 95
41,900 45
26, 752 40
782 35

2, 250 00
392, 312 70

Total.

392,312 70

646

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
People's National Bank, Hock Island.
No. 2155.

B. DAVENPORT, President.

JOHN PEETZ, 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

$130,630 88
320 43
50, 000 00

14,453 63
10,619 13
3, 853 83
1,855 17
115 19
5, 892 00
397 58
1, 312 88
10, 000 00

Capital stock paid in .

Dividends unpaid .

5, 000 00
4, 696 42
45, 000 00
100 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

73, 733 OS
492 91
2, 678 31

2, 250 00
Total.

231, 700 72

Total.

$100, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

231,700 72

Hock Island National Bank, Rock Island.
T. J. ROBINSON, President.

No. 1889.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
. Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$197, 746 96
1,549 98
50, 000 00
500 00
11,328 44
16,139 84
2, 850 29
2, 022 37
102 11
1, 077 00
537 74
2, 775 49
23, 000 00

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 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
,

40, 000 00
6,315 71
44, 500 00

120, 433 04

631 47

2,250 00
Total .

311,880 22

Total.

J. F. ROBINSON, Cashier.

311, 880 22

First National Bank, Rushville.
W M . H. RAY, 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
,
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1453.
$115,330 22
2, 062 33
100, 000 00

AUG. WARREN, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits

260"66"
5, 300 00 National bank notes outstanding
836 10 State bank notes outstanding
3, 059 26 Dividends unpaid .
4,312 57
1,332 81 Individual deposits
United States deposits
3, 055 56 Deposits of U. S. disbursing officers.
2,152 00
317 81
763 50
11,000 00

$100, 000 00
18, 300 00
4, 745 41
86, 500 00

45, 676 75

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

5, 500 00
255, 222 16

Total.

255, 222 16

REPORT OF THE COMPTROLLER OF THE CURRENCY,

647

ILLINOIS.
Salem National Bank, Salem.
No. 1715.

J. J. BENNETT, President.

B. F. MARSHALL, 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

$111,702 96
I, 710 99
50, 000 00

18,757 17
2,519 24

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

15,511 02 Dividends unpaid.
J,085 73 Individual deposits
United States deposits
409 19 Deposits of U. S. disbursing officers.
3, 073 00
671 50
2,769 10
12, 000 00

10, 000 00
41, 050 88
40, 850 00

82, 489 02

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
,

4,150 00
Total.

224, 389 90

Total.

$50, 000 00

Capital stock paid in.

224,389 90

First National Bank, Shawneetown.
J. McKEE PEEPLES, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents -.
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
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. 915.
$145,696 18
459 38
50, 000 00

34,831 96
1, 900 87
895 50
798 87
7, 979 04
5,022 00
139 30
946 00
7, 500 00

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

17, 300 00
15, 911 70
45,000 00

Dividends unpaid .
Individual deposits..,
United States deposits
Deposits of U. S. disbursing officers.

130,207 40

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payaMe

2, 250 00
258,419 10

Total -

T. S. RlJDGWAY, Cashier.

258,4J 9 10

Total.

First National Bank, Shelbyville.
A. MlDDLESWORTH, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses 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. 2128.
$129,080 75
2, 395 70
70,000 00

4*566"65
5, 286 88
1, 379 79
15, 981 30

J. W. POWERS, Cashier.

Capital stock paid in.
Surplus fund
«..
Other undivided profits ---National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

777 97

8, 863 94 Individual deposits
United States deposits
6,250 50 Deposits of U. S. disbursing officers.

$100, 000 00
5,917 00
6, 695 58
63, 000 00
160 00
84,406 ]2

1,391 00 Due to other national banks
460 42 Due to State banks and bankers .
851 45
10, 809 00 Notes and bills re-discounted.
Bills payable
Total.

260,178 70

648

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
First National Bank, Springfield.

N. W. MATHENY, President.

No. 205.

FRANK W. TRACY, 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.
$601, 956 20
11, 002 22
50, 000 00
200, 000 00
4, 000 00
19, 563 00
85,514 81
6, 519 94
34, 920 91
7, 304 39
20, 000 00

Capital stock paid in.,

125, 000 00
30, 777 36

National bank notes outstanding.
State bank notes outstanding

5, 000 00
1,842 04
45, 000 00

44, 980 00

Dividends unpaid .

Individual deposits
United States deposits
3, 704 85 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

496, 239 96
91,745 99
22, 079 80
3, 042 15
34, 713 10

2, 250 00
1, 098, 578 36

Total .

$250, 000 00

Surplus fund
Other undivided profits.

Total.

1, 098, 578 36

Ridgely National Bank, Springfield.
No. 1662.

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
Total.

$311,738 07
1, 326 75
100, 000 00

W M . RIDGELY, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

120, 556 42
] 09, 420 76
5,141 14
16,745 81 Dividends unpaid .
54 15 Individual deposits
United States deposits
3, 270 83 Deposits of U. S. disbursing officers7, 300 00
573 40
2, 003 97
110, 829 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

$100, 000 00
100, 000 00
26 32
90, 000 00

457, 735 26
3,287 94
42,410 78

4,500 00 |
Total.

793, 460 30

793, 460 30

State National Bank, Springfield.
SHELBY M. CULLOM, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid....
Premiums paid
Checks and other cash items..
Exchanges 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. K. WHITTEMORE, Cashier.

No. 1733.

$468,467 11 Capital stock paid in .
2,752 15 !
50, 000 00 Surplus fund
100, 000 00 j Other undivided profits.
9, 540 00 National bank notes outstanding
5, 707 82 State bank notes outstanding
1.47J 45 Dividends unpaid .
5, 232 63
1,915 69
12, 000 00 Individual deposits
United States deposits
3, 482 47 Deposits of U. S. disbursing officers.
3, 68o

Due to other national banks
Due to State banks and bankers
and bills re-discounted.
Bills payable
,

$200, 000 00
50, 000 00
7, 299 67
45, 000 00

411,163 34
45, 749 43
10, 846 03
13,276 87

4,082 97 S
112,750 00 ! Notes
2, 250 00
783, 335 34

Total.

783, 335 34

REPORT OF THE COMPTROLLER OF THE CURRENCY.

649*

ILLINOIS.
Kane County National Bank, St. Charles.
JAS. C. BAIRP, President.

J. S. VAN PATTEN, Cashier.

No. 2021.

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 .

$59, 607 31

Capital stock paid in .

""36"666*66'

Surplus fund
Other undivided profits

8,461 93
997 29
300 80
3,713 52
1,612 50
1,861 15

$50, 000 00
3> 136 16
905 64

National bank notes outstanding.,„.
State bank notes outstanding

27, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

33,416 15

2, 395 00 Due to other national banks
7 35 Due to State banks and bankers.
151 10
4, 000 00 Notes and bills re-discounted.,
Bills payable
,
1,350 00
Total.

114, 457 95

114,457 95

First National Bank, Sterling.
No. 1717.

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.

W. A. SANBORN, Cashier.

$283, 061 80 Capital stock paid in
245 43
50, 000 00 Surplus fund
Other undivided profits
25, 233 30 National bank notes outstanding
31, 606 12 State bank notes outstanding
15,000 00 Dividends unpaid .
Individual notes
United States deposits
3,113 56 Deposits of U. S. disbursing officers.
18, 906 00
964 32
4,489 0L
15, 000 00
..
i
2, 250 00

$100, 000 00
j

50,000 00
26, 058 40
45,000 00
75 00
228,736 14

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
,

449, 869 54

449, 869 54

First National Bank, Streator.
THOS. DUN AWAY, 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. 2170.
$38, 762 98
1,912 71
45, 000 00

JAS. G-. WILSON, Cashier.

Capital stock paid in .
SurpluR fund
Other undivided profits -

3, 795 28

National bank notes outstanding . . . .
State bank notes outstanding

11,420 00
1,007 90
3, 800 00
1, 539 54

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

Dividends unpaid.

$50, 000 00
4, 000 00
1,333 80
40, 500 00
21 00
20, 822 98

3, 651 00 Due to other national banks
20 57 Due to State banks and bankers .
242 80
3, 500 00 Notes and bills re-discounted.
Bills pay able
2, 025 00
116, 677 78

Total.

116, 677 78

650

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ILLINOIS.
Union National Bank, Streator.
No. 2176.

SAMUEL PLUMB, President.

G. L. RICHARDS, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
XL S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 653 00
147 90
50, 000 00

9,474 68
1,044 03

132 53

"1"596"66"
825 00
6, 400 00

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits

12,900 00
1,199 36

National bank notes outstanding
State bank notes outstanding

45, COO 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
169, 517 14

Total.

60,4L7 78

Total .

169,517 14

Sycamore National Bank, Sycamore.
J. S. WATERMAN, President.

$70, 979
4 992
50, 000

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
Premiums paid
Checks and other cash items
Exchanges for clearing house

22

9,810
1,812
3,250
416

63
24
00
85

5,144

92

,*,.«-.
.........

1,412

274 20
5 000 00

Dividends unpaid

•.

00
00
27

45, 000

00

48, 780

46

155, 403

73

.•

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

00

155, 403

National bank notes outstanding
State bank notes outstanding .

$50, 000
9,000
2,623

...

Other undivided profits

2,250

Total

Capital stock paid i n . . . . . . .

00

00
61 08

Specie
Legalcertificates t e sdeposit
U S tender n o of . . . . . .
Due from U. S. Treasurer

P. M. ALDEN, Cashier.

No. 1896.

73

Total

...

First National Bank, Tuscola.
H. T. CARAWAY. President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.,




No. 1723.
$206,869 81
6,163 98
113, 000 00

11, 347
164
10,47?
9

65
87
46
35

82 43

2, 039 00
198 88
748 00
8, 000 00

W. H. LAMB, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$113, 000 00
23, 547 45
4,437 27
101, 700 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

95,161 87

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

185 33
1,509 50
24,645 01

5, 085 00
364,186 43

Total.

364,186 43

REPORT OF THE COMPTROLLER OF THE CURRENCY.

651

ILLINOIS.
Farmers and Merchants' National Bank, Vandalia.
R. T. HIGGINS, President.

No. 1779.

DAVID PALMER, Cashier.

Liabilities.

Resources.
$131,543 02
458 05
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
Total.

Capital stock paid in. .

5100, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

'""is," 666" 66"
8,571 44
1,654 35
7,663 19
2, 113 75
1,506 25

Dividends unpaid .

90, 000 00
110 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

370 38

13, 362 51
2, 657 15

69, 911 82

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

38 90
],129 35
1,794 00
4, 198 80

276,041 48

Total.

276,041 48

-

National Bank, Vandalia.
No. 1517.

S. PERKINS, President.

G. W. BROWN, Cashier.

$159, 025 94 Capital stock paid in .
2,058 00
100,000 00 I Surplus fund
Other undivided profits
National bank notes outstanding
9.491 28 |j 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 arid other cash it(-.ms.
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

26, 339 69
6,970 2L
90,0C0 00

1

134 42 j
11, 000 00 ! Dividends unpaid.
1,169 92 i Individual deposits
United States deposits
65 03 Deposits of U. S. disbursing officers.

1,340 00
16 50
1, 073 00

5,155 00

71,719 19

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

4,500 00
Total.

295, 029 09

Total.

295, 029 09

Centennial National Bank, Virginia.
J. A. VETEFISH, President.

No. 2330.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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.

H. Ex. 3-




-38

$57, 496 67
2, 299 38
50, 000 00

5, 993 37
2,407 85
5, 500 00
5, 607 01
9, 522 39
1, 603 13
1,500 00
800 00
2,000 00

JOHN H. WOOD, Cashier.

Capital stock paid in .
Surplus fund
,
Other undivided profits
j
National bank notes outstanding
State bank notes outstanding

$50, 000 00
12,376 10
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

39, 062 32

31 89
15 00

1, 755 51
146,485 31

Total.

146,485 31

652

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Farmers' National Bank, Virginia.
Z. W. GATTOS, President.

No. 1471.

J. T. ROBERTSON, 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
XJ. S. certificates of deponit
Due from U. S. Treasurer

$239,615 72
1,155 00
150, 000 00
3, 873 '60
14,032 78
2,518 17
6, 000 00
1,618 84
9, 000 00
1,072 58

Capital stock paid in.

7, 730 00
25, 920 80

National bank notes outstanding
State bank notes outstanding

135, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

1, 556 00 ; Due to other national banks
Due to State banks and bankers
578 60
2, 5U0 00 Notes and bills re-discounted
Bills payable
6, 665 54
440, ] 86 83

Total.

$150, 000 00

Surplus fund
Other undivided profits

Total.

91,365 90

23 65
146 48
30, 000 00
440, 186 83

First National Bank, Warsaw.
No. 495.

W I L L I A M H I 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.

$147,561 39
387 88
50, 000 00
10,539 8L
8,417 07
4,051. 08
844 09
665 00
1, 3 30 00
162 80
519 80
13,000 00

JAS.

B. D O D G E , Cashier.

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits

20,000 00
38, 0L6 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.

0, 337 47

Due to other national banks
Due to State banks and bankers

1,262 34
11 85

Notes and bills re-discounted .
Bills payable

5, 000 C
O

2, 349 05
239, 627 97

239,627 97

First National Bank, Watseka.
SAMUEL WILLIAMS, Presiaent.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation....
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents . .
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items.
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer Total.




No. 1721.
$75, 232 40
1,998 68
50, O O 00
U

G. C. HARRINGTON, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits

27 L 93 National bank notes outstanding
State bank notes outstanding
48,885 37
6, 600 14
2, 387 24
3, 525 00
1, 226 97

$50, 000 00
14,000 00
6, 032 21
45, 000 Oft

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

8•?, 174 20

Due to other national banks
..
459 00
169 68 I Due to State banks and bankers .
200 00 j
Notes and bills re-discounted
5, 000 00 j Bills payable
""% 250 00'|
198,206 4L

Total.

198, 206 41

REPORT OF THE COMPTROLLER OF THE CURRENCY.

653

ILLINOIS.
First National Bank, Waukegan.
CHAS. R. STEELE, President.

CHAS. F. WIARD, 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.
$76,793 65
531 30
50, 000 00
2, 850 00
11,488 70
2,881 2L
977 50
1, 686 30
32 00
7, 870 00
1,341 68
14,000 00

Capital stock paid in.
10,000 00
4, 862 20

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

44, 400 00

Dividends unpaid.
Individual deposits
,
United States deposits
Deposits of U. S. disbursing officers.

63, 440 14

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted..
Bills payable

!, 250 00
172, 702 34

Total.

172, 702 34

First National Bank, Wilmington.
J. W. STEWART, President.

No. 177.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$155,290 80
2, 273 33
100, 000 00

Capital stock paid in .

$100, 000 00
61, 506 75
10,118 59

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

89, 995 00

12,864 90
18, 433 24 Dividends unpaid .
11,395 36
874 52 Individual deposits
United States deposits
84 69 Deposits of U. S. disbursing officers.
3, 706 00
781 32
2, 282 46
20, 000 00
""*7,'273"82"

72,814 89

Due to other national banks
Due to State banks and bankers .

825 21

Notes and bills re-discounted
Bills payable

335, 260 44

Total.

JAMES WHITTEN, Cashier.

335,260 44

Total.

First National Bank, Woodstock.
NEIL DONNELLY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, aid mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.

$183,143 36
1,082 46
50, 000 00

4, 357 75
2, 286 33
4, 200 00
1,580 61
852 35
4, 868 00
66 65
1, 727 43
10, 000 00

JNO. J. MURPHY, Cashier.

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

60, 000 00
8, 629 60
45, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

102, 285 34

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

1,750 00
265,914 94

Total.

*

265, 914 94

654

REPORT OF THE COMPTROLLER OF THE CURRENCY.
1 I C H I G A N.
National Exchange Bank, Albion.

S. V. IRWIN, President.

No. 1544.

H, M. DEARING, 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 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

384 60
5, 322
58
11,500
955

54
9L
00
50

802 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

$100, oon 00

$160, 999 61
4, 6-25 fin
34, 000 (10 j Surplus fund
Other undivided profits

2,346 00
10, 000 00

8

..

National b a n k notes outstanding
Dividends unpaid

?on

17
946 14

30, 600 00

..
56, 199 21

Individual deposits
United States deposits. *
Deposits of U. S. disbursing officers
D u e to other national b a n k s
D u e to State b a n k s a n d b a n k e r s

...

Notes and bills re-discounted
Bills payable

26, 257 96

2,035 00
Total

Total

233, 303 48

233, 303 48

First National Bank, Allegan.
No. 1829.

B. D. PRITCHARD, 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...
iDue from other banks and bankers...
(Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
" Checks and other cash items
Exchanges 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. G. TRUESDELL. Cashier.
I

$11,413 32 I Capital stock paid in
1,050 82 i
50, 000 00 | Surplus fund
Other undivided profits

$50, 000 00
10, 000 00
1,841 67

3,507 14 |National bank notes outstanding
3, 990 77 jState bank notes outstanding
1,494 76
18,706 44 |Dividends unpaid.
1, 658 83 i
6, 286 47 Individual deposits
United States depo»its
-163 03 I Deposits of U. S. disbursing officers.

45, 000 00
140 00
27, £88 96

359 00 Due to other national banks
(>36 05 Due to State banks and bankers .
670 00
4, 081 00 Notes and bills re-discounted.
Bills payable
2, 250 00 |
136,270 63 ji

2, 000 00

136, 270 63

First National Bank, Ann Arbor.
EBENEZER WELLS, President.

Loans and discounts
OverdraftsU. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.,
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasu:er
Total *.




No. 22.
$261,307 60
1,102 64
105,000 00

J. W. K N I G H T ,

Capital stock paid in
Surplus fund
O ther undivided profits

15,500 00

National bank notes outstanding

44, 006 54
18, 827 27
19, 000 00
1,829 98
1 29

State bank notes outstanding

645 80
3, B94 00
289 77
741 50
33, 515 00

Cashier.

$150, 000 00
50, ono 00
28,355 53
94, 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

187, 530 86

"""4," 725*66'
510, 366 39

Total.

510, 386 39

REPORT OF THE COMPTROLLER OF THE CURRENCY.

655

MICHIGAN.
First National Bank, Battle Creek.
V. P. COLLIER, President.

No. 1205.

W M . H. SKINNER, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
P
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from'U. S. Treasurer
Total.

$167,816 66
3,622 45

Capital stock paid in .

$100,000 00

100, 000 00

Surplus fund
Other undivided profits
1, 403 00 National bank notes outstanding .
5,511 19 State bank notes outstanding
1.223 10
14,910 81 Dividends unpaid .
1,824 63 Individual deposits
United States deposits
421 76 Deposits of U. S. disbursing officers .

5,244 00 Due to other national banks
135 24 Due to State banks and bankers .
791 10
10,000 00 Notes and bills re-discounted.
Bills payable
4, 500 00
317, 403 96

42, 000 00
2, 932 4 L
90, 000 00

82, 453 43

18 12

317,403 !

Total.

First National Bank, Bay City.
No. 410.

JAMES SHEARER, President.

Loans and discounts
:
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

BYRON E. WARREN, Cashier.

$496, 466 45 Capital stock paid in.
1,121 94
50, 000 00 Surplus fund
Other undivided profits
iso'oo"
23, 856 59 National bank notes outstanding
16,651 76 State bank notes outstanding
10,018 72
25, 000 00 Dividends unpaid.
4, 340 72 Individual deposits
Uuited States deposits
3, 911 88 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 .

$250, 000 00
50, 000 00
43, 792 50
45, 000 00

187, 605 34

11,121 59
1, 562 31
29, 604 73
43, 000 00
661,666 47

Second National Bank, Bay City.
WM. WESTOVER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2145.

W. L. PLUM, Cashier.

$208, 747 64 Capital stock paid in.
718 76
33, 400 00 Surplus fund
.'
Other undivided profits
737 75 National bank notes outstanding
19,279 93 State bank notes outstanding
3, 050 09 Dividends unpaid.
3, 035 00
4,467 67 Individual deposits
3, 800 00 United States deposits
1, 409 65 Deposits of U. S. disbursing officers.
2,790 00 Due to other national banks
1, 105 26 Due to State banks and bankers .
I, 437 88
7, 700 00 Notes and bills re-discounted
Bills payable
"""i"503 0o'
293,182 63

Total

$100, 000 00
14, 000 00
6, 456 72
30,060 00

132,616 27

10, 049 64

293,182 63

656

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MICHIGAN.
Northern National Bank, Big Rapids.

O. F. STEARNS, President.

No. 1832.

L. S. BAKER, Cashier.

Resources.
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.

Liabilities.
$103, 988 37
418 97
30, 000 00
6,000 00

9,607
1,733
29, 500
2, 003
2, 500

62
13
00
86
00

339 00

Capital stock paid in .

$90, 000 00

Surplus fund
Other undivided profits

15, 000 00
4,045 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

1,186 00
Due to other national banks
210 65 Due to State banks and bankers .
1,034 27
9,177 00 Notes and bills re-discounted.
Bills payable
1,824 12

1, 400 00
199, 522 99

Total.

199, 522 99

62, 077 56

First National Bank, Buchanan.
No. 2046.

WILLIAM PEARS, President.

ILoans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures-.
Current expenses 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.

A. F. Ross, Cashier.

$75,155 85 | Capital stock paid in
745 69 i |
30. 000 00 ! Surplus fund
Other undivided profits
National bank notes outstanding
1,365 63 i State bank notes outstanding
2,742
1, 242
2,418
1,247

52 ! Dividends unpaid .
78 '
75 Individual deposits
United States deposits
46 | Deposits of U. S. disbursing officers.

555 00
456 39
4,865 00
"" 1,350 65

Duo to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable
Total.

122, 145 07

$50, 000 00
10, 038 60
2. 660 60
27, 000 00

32, 215 42

230 45

122,145 07

First National Bank, Cassopolis.
KINGSBURY, President.
Loans and discounts
Overdrafts
XL 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.




C. H. KINGSBURY, Cashier.

No. 1812.
$49,362 46
194 87
50, 000 00

5,295 52
6,710 95

Capital stock paid in.
Surplus fund
O ther undivided profits
National bank notes outstanding
State bank notes outstanding

Dividends unpaid .
364 52
4,036 21 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
4, 626 00
30 72
1.860 00
3, 000 00

$50, 000 00
6, 400 00
2, 850 97
44, 400 00

50 00
22, 346 38

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted .
Bills payable

566 07
126, 047 35

Total.

126, 047 35

REPORT OF THE COMPTROLLER OF THE CURRENCY.

657

MICHIGAN,
First National Bank, Centreville.
L. A. CLAPP,

L. B. HESS, Cashier.

No. 2095.

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

$65, 973 93

Capital stock paid in .

$50, 000 00

56,666 66

Surplus fund
Other undivided profits

20,000 00
2,118 50

National bank notes outstanding
State bank notes outstanding

45, 000 00

54 53
142 34
1, 500 00
697 25
79 L 47
1,909 39
792
147
324
1,100

00
56
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 .
Notes and bills re-dlscounted.
Bills payable

3, 000 00

2,250 00
125, 682 47

Total.

125. 682 47

Total.

5, 563 97

First National Bank, Charlotte.
J o s . 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 . _ „

No. 1758.
$74, 453 33
90 75
50, 000 00

9. 836
6, 860
12, 584
2, 134
3, 000
997

50
33
77
72
00
86

154 00
923 66
983 08
17,048 00

$50, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits

10, 000 00
2, 482 18

National bank notes outstanding
State bank notes outstanding

45, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

71,834 82

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.,
Bills payable
.

2, 000 00

2, 250 00
Total.

181,317 00

Total.,

E D W . S. LACEY, Cashier.

181,317 00

Coldwater National Bank, Cold water.
HENRY C. LKWTS, President.

Loans and discounts
Overdrafts
U. S. 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
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U S. certificates of deposit
Due from U. S. Treasurer
Total




No. 1235.

$177,290 39
2,764 8/
50, 000 00
13, 000 00
6,253 09
6,343 80
2,014 98
1,002 42
4, 584
65
911
13, 000

00
00
75
00

G E O R G E STARR, Cashier.

Capital stock paid in

$100, 000 00

Surplus fund
..
......
Other undivided profits

50, 000 00
20, 797 15

National banknotes outstanding
State bank notes outstanding

45, 000 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

61,058 98

Due to other national banks
Due to State banks and bankers

1,624 17

Notes and bills re-discounted
Bills payable
. . . .

1,250 00
278, 480 30

Total

278, 4-0 30

658

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MICHIGAN.
Southern Michigan National Bank, Cold water.

C. D. RANDALL, President.

No. 1924.

L. E. ROSE, Cashier.

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... 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
Total.

$181,292 31
2,705 16
50, 000 00

6, 749
140
23,125
1, 962
5, G O
O

Capital stock paid in.

06
83
00
23
00

1,811 5L
849
63
460
10, 375

00
77
85
00

$165,000 00

Surplus fund
Other undivided profits

16, 000 00
4,238 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 -

56,545 77

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted .
Bills payable

2,250 00
Total.

286, 784 72

286,784 72

First National Bank, Constantine.
G. I. CROSSETT, President.

No. 813.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. 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

$90,267 82 I Capital stock paid in.
272 05 ||
65,000 00
Surplus fund
Other undivided profits
7,209 14
979~0Q
5, 250 50
763 93
993 84
1, 888 C
O
577 00
2, 240 00
7, 116 00

National bank notes outstanding
State bank notes outstanding

Cashier.

$65, 000 00
20, 000 00
17, 625 7&
58,500 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

24, 356 50

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2, 925 00
185, 482 28

Total.

PETER HASLET,

Total.

185,482 28

Farmers' National Bank, Constantine.
C. W. COND, Vice-President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures . . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 2211.
$76,466 18
551 95
30, 000 00

925 03
1,027 50
328 15
138 50
372
39
208
2, 100

00
32
10
00

CHAS. H. BARRY, Jr., Cashier.

Capital stock paid in.

$50, 000 00

Surplus fund
O ther undivided profits

20, 000 00
5, 275 53

National bank notes outstanding
State bank notes outstanding

27, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

11, 231 20

Due to other national banks
Due to State bauks and bankers.
Notes and bills re-discounted.
•Bills payable

1, 350 00
113,506 7.J j

Total.

113,506 73

REPORT OF THE COMPTROLLER OF THE CURRENCY.

659

Jfl I C H I G A N .
First National Bank, Corunna.
No. 1256.

ROGER HAVILAND, President.

A. T. NICHOLS, 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

$93, 925 65 Capital stock paid in.
1,462 10
50, 000 00 Surplus fund
Other undivided profits
196 49
5,066 7L
5,613 74
8, 740 00
945 83
4,288 72

521
184
567
10, 299

$50, 000 00
11,500 00
3, 305 30

National bank notes outstanding
State bank notes outstanding

44, 995 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

00 Due to other national banks
39 Due to State banks and bankers .
00
00 Notes and bills re-discounted.
Bills payable

Total.

69, 260 38

5, 500 00
184,560 68

Total .

First National Bank, Decatur.
No. 1722.

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
Checks and other cash items..
Exchanges for clearing house.
Bills of other banks
Fractional currency
.
Specie
Legal tender notes
U. S. certificates of deposit —
Due from U. S. Treasurer
Total.

$60, 807 07

WILLIAM HODGES, Cashier.

Capital stock paid in.

$50, 000 00-,

"56,66606

Surplus fund
Other undivided profits
1,104 00 National bank notes outstanding
711 59 State bank notes outstanding
2,159 65 Dividends unpaid.
7,793 9L
723 02
2, 479 57 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

5,700 00 Due to other national banks
85 02
300 00 Due to State banks and bankers .
5, 000 00 Notes and bills re-discounted.
Bills payable
2, 250 00
139,113 83

Total.

5, 660 00
4,113 50
44,994 00

20, 446 33

13, 900 00
139,113 83

First National Bank, Detroit.
J. S. FARRAND, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
.Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total „




No. 97.

EMORY WENDELL, Cashier.

$1,194,838 10 Capital stock paid in.
1,004 18
400, 000 00 Surplus fund
Other undivided profits
4,700 28
National bank notes outstanding
312,503 53 State bank notes outstanding
174,479 79 Dividends unpaid .
85, 000 00
8, 675 85 Individual deposits
United States deposits
7,589 80 Deposits of U. S. disbursing officers.
105,469 03
146,725 00 Due to other national banks
1, 865 53 Due to State banks and bankers . . .
10,228 26
196, 282 00 Notes and bills re-discounted.
Bills payable
2, 684, 940 02

Total.

$500, 000 00125, 000 00
78, 956 20
358,300 00

200 00
], 325, 434 27

129,351 28167, 698 27

2, 684, 940 02

660

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MICHIGAN.
Second National Bank, Detroit.
No. 116.

H. P. BALDWIN, President.

C. M. DAVISON, 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

$1, 784, 471 31
3,906 14
520, 000 00
500, 000 00
9, 900 00
351,023 82
90,068 14
254 00
59,104 63
52, 170 95
19,893 00
2,525 05
9, 865 26
140,061 00

$1,000,000 00

Capital stock paid in .
Surplus fund
Other undivided profits .

700, 000 00
138, 581 08

National bank notes outstanding
State bank notes outstanding

461,300 00
11,667 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

722,656 19
162,539 37
213,982 09

Due to other national banks
Due to State banks and bankers

115,196 01
47, 782 82

Notes and bills re-discounted.Bills payable

Total

Total.

3, 573, 704 56

American National Bank, Detroit.
ALEX. H. 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
Total.

No. 1542.
$i. 159, 014 52
1,394 21
333, 400 00

G. B. SARTWELL, Cashier.

Capital stock paid in

$400, 000 00

Surplus fund
Other undivided profits

100, 000 00
98,303 17

00 | National bank notes outstanding
69 j State bank notes outstanding
51 I
(10 j Dividends unpaid.
89 |
36 i Individual deposits
United States deposits
5, 395 36 ! Deposits of U. S. disbursing officers.
53, 907 79 I
30,729 00 ! Due to other national banks
4,126 17 i Due to State banks and bankers
11,218 05
171,650 00 I Notes and bills re-discounted .
Bills payable
16, 800 00

300, 000 00

63,000
173,693
328,169
5, 050
775
5, 359

Total.

2, 363, 683 55

5,395 00
1,178,944 49

135,109 46
145,931 43

2,363,683 55

Merchants and Manufacturers' National Bank, Detroit.
T . H. HiNCHMAN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2365.
$351,781 36
2, 880 09
50, 000 00

FRKD. W. HAYES, Cashier.

Capital stock paid in.

$200, 000 00

Surplus fund
Other undivided profits

57, 331 36

1, 000 00
National bank notes outstanding
State bank notes outstanding
47,561
38,627
Dividends unpaid.
4,325
13
Individual deposits
2, 737
United States deposits
10,367
Deposits of U. S. disbursing officers.
13, 145
2,010
Due to other national banks
1, 499
Due to State banks and bankers
2,950
|: Notes and bills re-discounted.
31, 198
i i Bills payable
,
998 90

39, 000 00

561,095 84

Total.

187, 752 99

20,146 77
56,864 72

• 561,095 84

REPORT OF THE COMPTROLLER OF THE CURRENCY.

661

MICHIGAN.
First National Bank, Dowagiac.
No. 1625.

DANIEL LYLE, President.

N. F. CHOATE, Cashier.

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 mortages . .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, 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.
$73 788 96 Capital stock paid in.
I, 432 58
50, 001) 00 Surplus fund
Other undivided profits
12,283 13 National bank notes outstRnding
4,942 55 State bank notes outstanding
132 07
1, 880 47 Dividends unpaid.
1,425 09 Individual deposits
United States deposits
3,329 G
O Deposits of U. S. disbursing officers.
4,587 00 Due to other national banks
62 00 Due to State banks and bankers .
210 45
7, 300 00 Notes and bills re-discounted.
Bills payable
2, 250 00
Total .

163, 623 90

$50, 000 00
16, 500 00
3,011 8L
45, 000 00

40, 070 09

1,012 03
8, 000 00
163, 623 90

First National Bank, East Saginaw.
E. T. JUDD, President.

No, 637.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation . .
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages
Due from approved i*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

$178,928 09
4,808 70
75, 000 00

9, 428 89
25, 807 38
3, 446 70
3,239 17
1,913
296
1L1
28, 950

00
01
39
00

L. A. CLARK, Cashier.

Capital stock paid in.

$ L O 000 00
O,

Surplus fund
Other undivided profits

40,000 00
8, 925 82

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 b a n k s . . .
Due to State banks and bankers

118,482 92

1,395 59

Notes and bills re-discounted .
Bills payable

4, 375 00
336,304 33

Total.

Second National Bank, East Saginaw.
G. W. MORLEY, President.
Loans and discounts
Overdrafts
XJ. 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.




No. 1918.

J. F. BOYNTON, Cashier-

$L72,874 94 Capital stock paid in.
2, 129 17
50, 000 00 Surplus fund
Other undivided profits
12, 500 00
19, 986 86
4,535 60
21,733 16
4,758 69
11,500 00
122 41

National banknotes outstanding
State bank notes outstanding

13, 900 00
9,504 66
45, 000 00

Dividends unpaid.
Individual deposits
United States deposits Deposits of U. S. disbursing officers.

2, 850 00 Due to other national banks
939 06 Due to State banks and bankers
2,246 22
24,100 00 Notes and bills re-discounted .
Bills payable
2, 250 00
332,526 11

$150,000 00

Total.

110,963 23

1, 545 68
1,612 54

332,526 11

662

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MICHIGAN.
Merchants' National Bank, East Saginaw.

J E S S E HOYT, President.

No. 1550.

DOUGLASS H O Y 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..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .

$354, 507 49
160 83
200, 000 00
3, 000 00
85, 719 27
51,-616 68
54, 985 00
7, 110 52
2,804 22
12, 477
752
8, 897
56, 632

00
60
84
00

10, 800 00

Capital stock paid in

$200, 000 00

Surplusfund
Other undivided profits.,

100,000 00
71,462 95

National bank notes outstanding

179, 950 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

288, 570 74

620 64
8, 8.59 1 }
5

Notes and bills re-discounted
Bills payable
Total

849, 463 45

849,463 45

First National Bank, Eaton Rapids.
A. J . BOWNE, President.

No. 2367.

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
U. S. certificates of deposit
Due from U. S. Treasurer
Total .

$22, 098 25
579 7L
30,000 00

F.

H. DE G O L I A , Cashier.

Capital stock paid in .

$35, 000 00
743 47

Surpluq fund
Other undivided profits

National bank notes outstanding
State bank notes outstanding
2, 531 65
15, 376 00 Dividends unpaid.
964 33
235 92
1,726 60 I Individual deposits
United States deposits
865 93
Deposits of U. S. disbursing officers.

27, 000 00

17, 612 38

1,800 00 I Due to other national banks
j Due to State banks and bankers.
453 40
3,674 00 I Notes and bills re-discounted.
Bills payable
Total

80, 355 85

80,355 85

First National Bank, Flint.
F.

No. 1588.

F . H Y A T T , 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 .




C. S. B R O W N , Cashier,

$241,624 21

Capital stock paid in .

$200, 000 00

~"I5O,'600*60"

Surplus fund
O ther undivided profits

33, 000 00
11,520 74

21 j National bank notes outstanding
State bank notes outstanding
87
49
Dividends unpaid.
00
93 Individual deposits
United States deposits
3, 0i3 10
Deposits of U. S. disbursing officers.

24, 607
22, 987
4, 989
25, 000
2,641

135, 000 00
120 00
128, 074 49

1, 155 60" Due to other national banks
Due to State banks and bankers .
3, 355 57
21, 459 00

Notes and bills re-discounted..
Bills payable

6,851 85 i
507, 715 23

Total .

507,715 23

REPORT OF THE COMPTROLLER OF THE CURRENCY.

663

MICHIGAN.
Citizens' National Bank, Flint.
ALEX. MCFARLANT, President.

No. 1780.

WM.

L. GIBSON, Cashier.

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

$125,000 00

$272,061 02 Capital stock paid in .
125, 000 00

13,181 44
2, 348 24
8, 377 94
1,470 84
852 82
1,670
350
453
9,791

00
2L
24
00

75, 000 00
6, 638 29

Surplus fund
Other undivided pi'ofits
National bank notes outstanding
State bank notes outstanding

111,470 00

Dividends unpaid .

435 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

122, 658 46

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable
Total

Total.

441,201 75

First National Bank, Grand Haven.
E D W . P. FERRY, President.

No. 1849.

Loans and discounts
Overdrafts
'
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages ..
Due from approved reserve 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
I
Specie
Legal tender notes
I
U. S. certificates of deposit
I
Due from U. S. Treasurer
Total

GEO. STICKNEY, Cashier.

$200, 000 00
$349,878 8L Capital stock paid in .
1, 710 78
40,000 00
50, 000 00 Surplus fund
17,197 55
Other undivided profits
National bank notes outstanding
|
45,000 00
7, 684 45 State bank notes outstanding
,
11, 360 59
2, 9-21 45 Dividends unpaid
,
2, 626 78
Individual deposits
123, 204 89
3,136 64 United States deposits
10, 766 00 Deposits of U. S. disbursing officers.
Due to other national banks
626 44
278 48 Due to State banks and bankers ..
2, 022 60
13, 5U0 00 Notes and bills re-discounted
27,107 70
Bills payable
I
2, 250 00
458, 136 58

Total.

458, 136 58

First National Bank, Grand Rapids.
S. L. WITHEY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Tatal.




No. 294.
829,621 08
2, 250 96
50, 000 00
5, 250 00
13,529 56
37,064 59
9, 857 86
7, 112 29
2,180 00
15, 397 86

H. J. HOLLISTER, Cashier.

Capita] stock paid in
Surplus fund
Other undivided profits

j
i
j
j

National bank notes outstanding
State bank notes outstanding

j
i

Dividends unpaid.

1,110,506 9!)

Total.

100, 000 00
88,653 40
45, 000 00
932 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

46,167 00 Due to other national banks
2, 226 80 Due to State banks and bankers
20,598 90
67, 000 00 Notes and bills re-discounted.,
Bills payable
,
2, 250 00

$400,000 00

439,847 54

I

19, 742 83
4,161 13
12,170 00

1,110,506 90

664

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MICHIGAN.
City National Bank, Grand Rapids.
No. 812.

T. D. GILBERT, President.

J. FREDERIC BAARS, 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

5727, 071 85 Capital stock paid in.
6, 822 30
72, 500 00 Surplus fund
50, 000 00 Other undivided profits .
100 00
13,444 01
National bank notes outstanding...
*
58, 357 03 State bank notes outstanding
47, 736 99 Dividends unpaid .
60,908 78
5, 340 35 Individual deposits
United States deposits
6, 406 09 Deposits of U. S. disbursing officers.

$300, 000 00

10, 197 00 Due to other national banks
2,416 96 Due to State banks and bankers . . .
8, 595 89
40, 000 00 Notes and bills re-discounted.
Bills payable
3, 262 50

827 07
50, 940 02

1, 113, 159 80

Total.

Total.

200, 000 00
28, 467 37

61,250 00
1,155 00
424,289 13
17, 706 45
25, 524 76

1, 113,159 80

First National Bank, Greenville.
No. 2054.

MANNING RUT 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.

$267,363 75
1,489 54
50, 000 00

W M . J. JUST, Cashier.

Capital stock paid in .

Surplus fund
Other undivided profits
National bank notes outstanding
9, 636 69 State bank notes outstanding
2, 266 73 Dividends unpaid.
7, 126 97
1,378 20 Individual deposits
United States deposits
1, 349 54 Deposits of U. S. disbursing officers.

2, 189 00 Due to other national banks
337 12
300 35 Due to State banks and bankers
7, 000 00 Notes and bills re-discounted.
Bills payable
4,012 25
354,450 14

$132, 200 00
17, 309 97
6,340 91
45, 000 00
200 00
91,284 14

945 36
61,169 73

354,450 14

First National Bank, Hancock.
S. D. NORTH, 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. 2143.
$195, 555 68
930 16
45, 000 00
2,200 65'
6, 839 96
3,253 10
2, 782 25
3, 598 92
5, 700 38
346 72

2, 537 00
469 80
1, 660 90
20, 805 00

EDGAR H. T O WAR, Cashier.

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits

16, 000 00
10,971 28

National bank rotes outstanding
State bank notes outstanding

40, 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
Notps and bills re-discounted.
Bills payable

175 00
123, 568 79

3, 489 80

3, 025 00
294, 704 87

Total.

294, 704 87

665

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MICHIGAN,
Hastings National Bank, Hastings.
A. J. BOWNE, President.

No. 1745.

G. E . G O O D Y E A R ,

Resources.

Cashier.

Liabilities.

Loans 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, 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

$127, 5 L4 62
59 L 63
50, 000 00

5, 701
1,.%"L
19, 862
1,111
1,426

38
50
32
92
32

136 14

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

],710 00
3 60
130 00

5,140 00

Capital stock paid in Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$50, 000 0050, 000 00
5, 728 15
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

57,021 2&

9,190 00-

2,250 00

Total.

216,939 43-

Total.

216,939 43

First National Bank, Hillsdale.
WILLIAM WALDRON, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid

. 2STo. 168.
$56, 463 44
539 34
50, 000 00
11, 500 00
13,812
12,929
6, 075
844

59
57
00
43

1,326 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

2, 900
37
580
8,695

00
33
(JO
00

PRANK M. S T E W A R T , Cashier.

Capital stock paid in .

$50, 000 00

Surplus fund
0 ther undivided profits

15, 000 00
14, 766 13

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

43, 018 88

168 61

Notes and bills re-discounted.
Bills payable
Total

Total.

167, 953 62

Second National Bank, Hillsdale.
C. T. MITCHELL, President.

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.




No. 1470.

$98,651 01
2,121 78
50,000 00

ROBT. M. HUBBARD, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

9, 080 00
17,163 60
3, 742 32 Dividends unpaid .
6, 103 00
985 47 Individual deposits
United States deposits
822 34 Deposits of U. S. disbursing officers .
3, 943 00 Due to other national banks
3 51 Due to State banks and bankers
1, 771 00
6, 600 00 Notes and bills re-discounted .
Bills payable
3, 250 00
204,237 03

Total.

$50,000 00
50, 000 00
9, 140 69
45, 000 00

50, 052 23

44 11

204,237 03

666

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MICHIGAN.
First National Bank, Holly.

JAS. B. SlMONSON, President.

No. 1753.

J A S . C. SlMONSON, 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..

$84,885 38
544 14
30, 000 00

Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid

4, 783
1,099
5,300
202

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes

344 00
50 47
107 Vo
1,950 oo

1,803 98

Surplus fund
Other undivided profits

-•-..

National bank notes outstanding

64
79
00
83

3,500 00
3, 319 29
27, 000 00
150 00

Individual deposits
I United States deposits
213 37
Deposits of U. S. disbursing officers .

38, 666 06

Due to other national banks
Due to State banks and bankers

1,350 00

Due from U. S. Treasurer
Total

$60, 000 00

Capital stock paid in

132, 635 35

..

132, 635 35

Total

Merchants' National Bank, Holly.
THOS. HADLEY, President.

No. 1965.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

.)

$72,417 15
840 00
50, 000 00

657 18
1,572 28
5, 34 L 00
765 72
4,500 00
1,212 33

S. S. W I L H E L M , Cashier.

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits

2, 400 00
5, 582 24

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

59 00

Individual deposits ... ...
United States deposits
Deposits of U. S. disbursing officers

129 04
300 00
4,275 00'

45, 000 00

4C,233 46

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable

""l," 250 "66'
Total.
143, 279 70 [

First National Bank, Houghton.
RANSOM S H E L D E 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 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. 1247.
$411,732 01
1,499 73
160, 000 00

soo'oo'

J O H N CHASSELL, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

9, 022 70
4, 270 00
4,769 16
872 32
1,755 00
460 54
1,274 91
8,290 00

Dividends unpaid .

$160, 000 00
50, 000 00
27,134 18
144,000 00
456 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers

3, 655 48

Due to other national banks
Due to State banks and bankers . . .

4, 632 90
2,367 81

Notes and bills re-discounted.
Bills payable

', 200 00 i
612, 246 37

Total.

612, 246 37

REPORT OF THE COMPTROLLER OF THE CURRENCY.

667

MICHIGAN.
First National Bank, Ionia.
No. 275.

ALONZO SESSIONS, President.

R. P. SHERMAN, 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.

$152, 723 10
765 71
100, 000 00

11,811
34
13, 700
1, 809
],340

$100,000 00

Capital stock paid in.

Surplus fund
Other undivided profits
National bank notes outstanding
59 State bank notes outstanding
22 Dividends unpaid.
00
70 Individual deposits
United States deposits
25 Deposits of U. S. disbursing officers.

11,659 00
208 44
596 45
13, 500 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

23, 645 10
5,160 66
90, 000 00
330 00
91,019 82

2, 992 88

5, 000 00
Total.

313,148 46

313,148 46

Second National Bank, Ionia.
No. 2008.

GEO. W. WEEBBER, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
..
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$119,526 24
404 63

VIRGIL VAN VLECK, Cashier.

Capital stock paid in.

$100, 000 00

Surplus fund
,
Other undivided profits.
National bank notes outstanding....
8,556 03 State bank notes outstanding
14,712 09 Dividends unpaid .
1, 323 80
5, 500 00 Individual deposits
United States deposits
1,617 30 Deposits of U. S. disbursing officers.

50, 0J0 0J

11, 030
331
424
3, 000

00 Due to other national bank s
72
55 Due to State banks and bankers
00 Notes and bills re-discounted.
Bills payable
2, 032 64

218, 459 00

Total.

3,743 65
5,523 38
45,000 00

63, 677 36

58 62
455 99

218,459 00

First National Bank; Jackson.
ALONZO BENNETT. 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
Due from U S. Treasurer
Suspense account

No. 1065.
$85, 851 70
17, 193 28
100, 000 00

3, 667 55
5. 146 33
L'489 12
3, 999 00
5, 096 44
3, 480 00
1,316 50
1,011 34
10, 275 00
4, 500 00
12, 948 81
255, 975 07

Total.

H. Ex. 3- -39.




JNO. C. BONNELL, Cashier.

Capital stock paid in.

$100,000 00

Surplus fund
Other undivided profits

12, 831 01
13,647 65

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

90, 0C0 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

32, 596 28

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable
Total.

5, 605 84
1,294 29

255,975 07

668

REPORT OF THE COMPTROLLER OP THE CURRENCY.
MICHIGAN.
People's National Bank, Jackson.
No. 1533.

JNO. M. ROOT, President.

. C. LEWIS, 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...:
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
j
Specie
i
Legal tender notes
!
U. S. certificates of deposit
i
Due from U. S. Treasurer
i
Total

!

$122,163 50 Capital stock paid in.
2,429 66
100, 000 00 Surplus fund
Other undivided profits
S:0, 000 00
4, 866 10 National bank notes outstanding
53,106 90 State bank notes outstanding
7, 543 47
2, 004 60 Dividends unpaid .
2, 268 63 Individual deposits
1, 059 22 United States deposits
6, 732 46 Deposits of U. S. disbursing officers.

$100,000 00
13, 862 00
11,505 41
90, 000 00

127, 66 L 47

1,421 00 Due to other national banks
291 35 Due to State banks and bankers .
500 00
14,000 00 Notes and bills re-discounted
Bills payable
4, 641 99
343,028 88

Total.

343, 028 88

First National Bank, Kalamazoo.
LATHAM HULL, President.

CBAUNCEY STRONG, Cashier.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds ou hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other t an'cs and bankers.
Real estate, furniiure, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer.

$251,320 19
5»il 38
50, 000 00

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits
23, 350 00 National bank notes outstanding
11, 530 23 Ji State bank notes outstanding
17,740 10 Dividends unpaid.
289 85
3, 502 93 Individual deposits
United States deposits
1, 009 62 Deposits of U. S. disbursing officers..
8,812 00
267 14
1,449 30
21,400 00

Due to other national banks
.
Due to State banks and bankers
Notes and bills re-discounted.
;| Bills payable
.

Total.

Total.

100,000 00
15,246 08
44, 000 00

133, 904 21
332 45

393, 482 74

Michigan National Bank, Kalamazoo.
WM. A. WOOD, President.
Loans and discounts
f
Overdrafts
!
U. S. bonds to secure circulation
j
TJ. S. bonds to secure deposits
'.
U. S. bonds on hand
i
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
j
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
Due from U. S. Treasurer




No. 1359.

Jrco. W. TAYLOR, Cashier.

$306, 606 78 Capital stock paid in .
367 32
50, 000 00 Surplus fund
,.
Other undivided profits
"""25,"66o"6(J*
23, 570 00 National bank notes outstanding
33,483 85 | State bank notes outstanding
3,499 39 I
16, 000 00 Dividends unpaid..
5,729 13 ! Individual deposits
1,562 50 " United States deposits
362 11 Deposits of U. S. disbursing officers.

$100, 000 00
100,000 00
52, 646 61
45, 000 00

208, 780 74

2, 213 00 Due to other national banks
415 39 Due to State banks and bankers .
4, 845 88
30,522 00 Notes and bills re-discounted.
Bills payable
2,250 00
506, 427 35

Total.

506, 427 35«

REPORT OF THE COMPTROLLER OF THE CURRENCY.

669

MICHIGAN.
Second National Bank, Lansing;.
EPHRAIM LONG YEAR, President.

No. 264.

DENISON LONG YEAR, 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

$66,207 29 Capital stock paid in .
391 05
50, 000 00 Surplus fund
Other undivided profits
4,718 67 National bank notes outstanding
14, 540 58 State bank notes outstanding
6,119 28
12,000 00 Dividends unpaid .
900 90 Individual deposits
United States deposits
2,055 81 Deposits of U. S. disbursing officers.. I
1,981 00
196 00
1,444 45
6, 000 00

10, 000 00
4, 750 80
45, 000 00

59, 054 23

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2, 250 00
168,805 03 jj

Total.

$50, 000 00

Total.

168,805 03

Lansing National Bank, Lansing.
No. 1953.

JOHN J. BUSH, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses 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 irom U. S. Treasurer

$141,373 69 j Capital stock paid in.
t7L 38 '
75, 000 00 Surplus fund
5, 000 00 Other undivided profits.
431 00 National bank notes outstanding
38, 210 05 State bank notes outstanding
1,353 23
19, 000 00 Dividends unpaid.
777 32
5, 825 60 Individual deposits
United States deposits
205 33 Deposits of U. S. disbursing officers.
6, 627 00 Due to other national banks
145 P7
1,000 00 Due to State banks and bankers.
7, 000 00 Notes and bills re-discounted.
Bills payable
3,375 00
Total.,

306, 195 47

Total..

M. L. COLEMAN, Cashier.
$100, 000 00
17,866 40
3, 833 88
66, 500 00
364 00
112, 631 19

5,000 00
306, 195 47

First National Bank, Lapeer.
H. K. WHITE, Presiden
Loans and discounts
j
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 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
Fractional currency
Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer .
Total.




C. G. WHITE, Cashier.

No, 1731.

$153,583 37 Capital stock paid in.
3,460 61
75, 500 00 Surplus fund
Other undivided profits
17, 656 35 National bank notes outstanding
8, 833 68 State bank notes outstanding
13, 469 04
496 07

23, 952 45
35,841 00
67,485 00

Dividends unpaid .

Individual deposits
United States deposits
8, 097 37 Deposits of U. S. disbursing officers.

1,105 00
72 95
435 00
2,911 00

$75, 000 00

16, 716 99

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

3,375 00
288, 995 44

Total.

288,995 44

670

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IfllCHIGAAT.
First National Bank, Leslie.
No. 2162.

ARNOLD WALKER, President.

W M . W. PEIRSON, 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.

$49,775 04 Capital stock paid in.
12 L 33
40, 000 00 Surplus fund
1
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
2,183 34 Dividends unpaid .
5, 980 00
723 70 Individual deposits
United States deposits
24 89 Deposits of U. S. disbursing officers -

$50, 000 00
2,305 00
1, 805 16
36, 000 00

14,887 67

572 00 Due to other national banks
3 53 Due to State banks and bankers .
181 00
3, 633 00 Notes and bills re-discounted.
Bills payable
1, 800 00
104, 997 83

104, 997 83

Total.

Lowell National Bank, Lowell.
No. 1280.

WM. W. HATCH, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses 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

.$164, 287 34 Capital stock paid in.
1, 634 22
100, 000 00 Surplus fund
Other undivided profits
13, 800 00 National bank notes outstanding
11,851 32 State bank notes outstanding
1,510 71
24,572 19 Dividends unpaid .
1,941 14 Individual deposits
1, 460 00 United States deposits
28 00 DepositB of U. S. disbursing officers
1, 022
218
749
7, 810

00 Due to other national banks
05
21 Due to State banks and bankers
00 Notes and bills re-discounted.
Bills payable

$100,000 00
18, 600 00
3,306 20
90, 000 00
150 00
115, 296 01

1, 571 56
155 78
6, 004 63

4, 200 00

335, 084 18

Total .

HENRY M. CLARK, Cashier.

Total.

335,084 18

First National Bank, Marquette.
P E T E R 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 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 currenc7
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




No. 390.

H. E. PEARSE, Cashier.

$90,753 15 Capital stock paid in
393 30
50, 000 00 Surplus fund
O ther undivided profits
11,000 00 National bank notes outstanding
5, 559 24 State bank notes outstanding
13, 106 42
22, 000 00 Dividends unpaid
728 50
Individual deposits
88 90 United States deposits
1,303 00 Deposits of U. S. disbursing officers.
447 86 Due to other national banks
2,366 10 Due to State banks and bankers
13,500 00 Notes and bills re-discounted
2, 250 00 Bills payable
213,496 47

Total...

$100, 000 00
20,000 00
3, 404 37

45, 000 00

34,934 83

107"27

"io," 656*66
213,496 47

REPORT OF THE COMPTROLLER OF THE CURRENCY.

671

MICHIGAN.
First National Bank, Marshall.
C. T. GORHAM, President.

No. 1515.

GEO. S. W R I G H T , Cxshier.

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.

$202, 252 84 Capital stock paid in.
$150, 000 00
4,109 03
100, 000 00 Surplus fund
30, 000 00
28,844 67
1, 000 00 Other undivided profits .
45, 784 25 National bank notes outstanding
89, 000 00
4,418 96 State bank notes outstanding
15,501 22
24, 563 63 Dividends unpaid ,
2,404 11 Individual deposits
I
136,818 12
United States deposits
I.
655 90 Deposits of U. S. disbursing officers . |.
1, 455 00 Due to other national banks
86 15 Due to State banks and bankers .
1,561 70
26, 400 00 Notes and bills re-discounted.
Bills payable
^
4, 500 00
434, 692 79

Total.

434, 692 79

National Bank of Michigan, Marshall.
H. J. PERRIN, President.

No. 1518.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures -.
Current expenses and taxes paid
Premiums paid
Checks 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

$236,844 41 Capital stock paid in.
9, 100 45
135, 900 00 Surplus fund
Other undivided profits

$200, 000 00
69,890 91
988 99

National bank notes outstanding
1,146 54 State bank notes outstanding
489 58
13, 650 00 Dividends unpaid .
1, 486 53 Individual deposits
United States deposits
480 89 Deposits of U. S. disbursing officers.
2, 205 00 Due to other national banks
185 10 Due to State banks and bankers .
44,348 75
4,500 00 Notes and bills re-discounted.
Bills payable
6,115 50
Total.

456,452 75

Total.

W M . POWELL, Cashier.

122, 310 00

19,162 85

44,100 00
456, 452 75

National City Bank, Marshall.
G. W. BENT LEY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents. Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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 o . 2023.

$131,407 20
3, 952 33
50,000 00
757 89
3, 788 89
1,154 56
7, 675 00
1,047 35
2, 000 00
476 25

S. V. R. LEPPER, Cashier.

Capital stock paid in.,

16,533 00
4, 010 30

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, 680
525
599
8, 000

00 Due to other national banks
52 Due to State banks and bankers .
85
00 Notes and bills re-discounted.
Bills payable
2, 250 00

216, 314 84

$100, 000 00

Surplus fund
Other undivided profits.

Total.

49, 771 54

1, 000 00

216,314 84

672

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MICHIGAN.
First National Bank, Mason.
No. 1764.

MINOS MCROBERT, President.

H. L. HENDERSON, 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

$98, 365 35 Capital stock paid in.
8 84
100,000 00
Surplus fund
Other undivided profits
National bank notes outstanding
11,000 00
State bank notes outstanding
6, 240 63
2,500 00
1, 147 9tf

736 00

210 83
4,335 00

$100, 000 00
12, 000 00
6,770 14
89,000 00

Dividends unpaid .
20,671 11

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

210 84

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted .
Bills payable

4,107 46

Total.

228, 652 09

Total.

228, 652 09

First National Bank, Monroe.
No. 1587.

F. WALLDORF, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Dua from U. S. Treasurer

GEO. SPALDIN&, Cashier.
$50, 000 00

Capital stock paid in.

4,000 00
1, 452 47

Surplus fund.
Other undivided profits
64,100 00 National bank notes outstanding
8, 675 94 State bank notes outstanding
434 57
6,761 50 Dividends unpaid .
442 69 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

45, 000 00

77, 794 30

927 00
612 26

Due to other national banks
Due to State banks and bankers .
7, 000 00 Notes and bills re-discounted
Bills payable
178, 246 77

Total.

Total.

j
178, 246 77

First National Bank, Muir.
No. 2017.

S. W. WEBBER, 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...
Current expenses and taxes paid
j
Premiumspaid
j
Checks and other cash items
!
Exchanges for clearing house
j
Bills of other banks
j
l
Fractional currency
Specie
I
Legal tender notes
!
U. S. certificates of deposit
j
Due from U. S. Treasurer
j

Total.




I

JosiAH E. JUST, Cashier.

$62,152 49 Capital stock paid in
4,456 54
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
7, 47 L 93
82 50
4, 332 62
995 79
1,000 00
1, 963 52
4,092 00
10 00
568 00
1, 000 00
2,250 00
140,375 39

$50, 000 00
5, 000 00
2, 864 88
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
Total

125 00
21,174 91

95 14
16,115 46

M0, 375 39

REPORT OF THE COMPTROLLER OF THE CURRENCY.

G73

MICHIGAN,
Lumberman's National Bank, Muskegon.
DAVIS. President.

No. 2081.

C. C. BiLLlNGHURST, 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
U. S. certificates of deposit
Due from U. S. Treasurer

$271, 416 03
5, 175 15
33, 400 00

!

458, 534 27

Total.

500 00
81,132 38
5,231 51
9,850 00
2, 953 00
4,000 00
2, 936 86
10,717 00
362 34
860 00
28, 500 00

$100,000 00

Capital stock paid in.

18,500 00
8, 560 05

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

30, 000 00

Dividends unpaid .

50 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

301, 424 22

Due to other national banks —
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

1, 50U 00
Total.

458, 534 27

Muskegon National Bank, Muskegon.
No. 1730.

CHAS, T. 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
j
U. S. certificates of deposit
Due from U. S. Treasurer
,
Total.

$184,917 37
1, 098 28
50, 000 00
19,000 00

49,733 11
590 02
37, 000 00
2, 708 92
5, 726 55
355 26
4, 270 00
480 87
1,512 91
8, 553 00

W. B. MCLAUGHLTN, Adg Cashier.

Capital stock paid in.

$200,000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

!
!
j
j

10, 000 00
15,196 17
44, 980 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.
Notes and bills re-discounted .
Bills payable

91,638 34

5, 38 L 78

1,250 00
Total.

367, 196 29

367,196 29

First National Bank, Negaunee.
J . B. MAAS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents.,.
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2085.

F. E. SNOW, Cashier.

$51, 925 30 Capital stock paid in.
6,024 95
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
1,278 12
24,289 14 Dividends unpaid .
1,268 20 Individual deposits
United States deposits
245 33 Deposits of U. S. disbursing officers -

899 66

Due to other national banks
Due to State banks and bankers
493 00
5, 455 00 Notes and bills re-discounted .
Bills payable
2,250 00
144,128 04

Total.

$50, 000 00
5, 000 00
4, 042 43
43, 000 00

39,411 60

573 08 ,
100 93

144,128 04

674

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MICHIGAN,
First National Bank, Niles.
No. 1761.

T. L. STEVENS, President.

E. G. HOUGLAND, 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, 323 98
1, 408 39
50, 000 00

$100,000 00

Capital stock paid in.

Surplus fund
5666" Other undivided profits
|
5,793 05 National bank notes outstanding
1,399 69 State bank notes outstanding
362 59
13, 852 52 Dividends unpaid .
1, 232 34 Individual deposits
United States deposits
203 70
Deposits of U. S. disbursing officers.
1,872
48
50
8, 000

00
67
00
00

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted .
Bills payable

11,215 00
5, 056 01
45, 000 00

45, 588 86

2, 987 06

2, 250 00
Total.

209, 846 93

209, 846 93

Citizens1 National Bank, Niles.
No. 1886.

J. C. LARIMORE, President.
Loans and discounts
—
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other utocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 582 99
4,780 01
30, 000 00

2, 496 41
69 50
5, 639 52
535 97
3, 216 00
100
45
200
3,000

00
71
00
00

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid

> 858 88
,
787 60
27, 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

2, 500 00
32, 869 63-

3, 000 00

1, 350 00
119, 016 11

Total.

O. S. ABBOTT, Cashier.

Total.

119,016 11

First National Bank, Owosso.
AMOS GrOULn, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1573.
$194,008 66
497 24
100, 000 00

5,
15,
16,
1,

720 29
773 09
509 86
342 64
596 24

390 15
8, 852 00
4, 003 33
351, 768 50

C. E. HERSHEY, Ass't Cashier.

Capital stock paid in.,
Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

$125, 000 00
15, 000 00
7, 261 54
90, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

114,506 96-

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
Total.

351 768

REPORT OF THE COMPTROLLER OF THE CURRENCY.

675

MICHIOAK.
First National Bank, Paw Paw.
No. 1521.

ALONZO SHERMAN, President.

F. E. STEVENS, 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
ecie
Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer ..

$95, 468 73
3, 292 97
50, 000 00

6, 040
25
21, 358
1, 252

30
55
45
35

739 <
112
416
547
14, 085

00
41
68
00

$ LOO, 000 00

Capital stock paid in
Surplus fund
Other undivided profits

15, 800 00
3, 690 82

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.

31,047 (

9 78
41 24

195, 588 93

First National Bank, Plymouth.
E. J. PENNIMAN, President.

T. C. SHERWOOD, Cashier*

No. 1916.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit . . .
Due from U. S. Treasurer. . . .

$66,303 39
50, 000 00
100 00
4,150 00
9, 729 19
775 00
751 54
180 00
906
99
250
2, 250

00
63
00
00

3, 950 00

Capital stock paid in..

Dividends unpaid .

12,209 09
1,331 96
46, 000 00

350 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

29, 553 70

Due to other national banks
Due to State banks and bankersNotes and bills re-discounted
Bills payable
,

139,444 75

Total .

$50, 000 00

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

Total.

139, 444 75

First National Bank, Pontiac.
CHAS. DAWSON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand.
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
Legal.tender notes
U. S. certificates of deposit . . .
Due from U. S. Treasurer . . . .
Total.




"No. 434.
$158, 858 35
287 53
100,000 00
200
9,150
13,473
2, 647
15, 000
2, 033

00
00
10
41
00
97

3,910 81.
11, 800 00
778 40
1,133 87
8, 068 00

JNO. D. NORTON, Cashier.

Capital stock paid in
Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

$100, 000 00
20,000 00
5,719 22
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

108, 522 22

7, 600 00

4, 500 00
331,841 41

Total.

331,841 44

676

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MICHIGAN.
Second National Bank, Pontiac.

W..-M. MCDONNELL, President.

A. A. LULL, Cashier.

No. 1574.

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 ..j
Real estate, furniture, and fixtures. --!
Current expenses and taxes paid
j
Premiums paid
i
Checks and other cash items
j
Exchanges for clearing house
i
Bills of other banks
j
Fractional currency
'•
Specie
j
Legal tender notes
!
!
U. S. certificates of deposit
Due from U. S. Treasurer

$165, 119 29 Capital stock paid in .
3, 815 45
100, 000 00 Surplus fund
250 66"
17,001
2, 493
9,371
1, 139
5

06
22
71
44
00

625 70
12, 939
168
711
13, 430

00
54
54
00

20, 000 00
4,648 30

Other undivided profits
National bank notes outstanding
State bank notes outstanding ,

89, 000 00

500 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

116,341 97

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted .
Bills payable

3, 420 32
Total.

330, 4 90 27

Total .

$ L O 000 00
O,

330, 490 27

First National Bank, Port Huron.
No. 1857.

HENRY 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 .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Ciurrent expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total

$279, 325 43

H. Gr. BARNUM, Cashier.

Capital stock paid in

$150, 000 00

""156"666 66* Surplus fund
O ther undivided profits
3, 675 36 National bank notes outstanding
17, 792 93 State bank notes outstanding
12, 507 94
1,000 00 Dividends unpaid.
578 24
502 92
2,677 00
567 25
457 75
14,215 00

25,000 00
15,898 21
135, 000 00

163, 819 55

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 06

6, 750 00
490, 049 82

Total

491), 049 82

First National Bank, Romeo.
M. A. GIDDINGS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
,
Specie
'"Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 354.
$157,920 91
100, 000 00

11, 490 59

HENRY O. SMITH, Cashier.

Capital stock paid in.
Surplus fund
Other undivided profits
National -bank notes outstanding
State bank notes outstanding

8, 697 35 Dividends unpaid.
219 87 Individual deposits
United States deposits
4,948 83 Deposits of U. S. disbursing officers.

$100, 000 00
30, 000 00
6, 773 61
90, 000 00

66, 979 44

Due to other national banks
57 00 Due to State banks and bankers .
389 50 |
5, 529 00 | Notes and bills re-discounted
"* "4,7)66" 66') Bills payable
293,753 05 j

Total

293, 753 05

REPORT OF THE COMPTROLLER OF THE CURRENCY.

677

MICHIGAN.
Citizens' National Bank, Romeo.
No. 2180.

13. W. GIT)DINGS, President.

SAML. A. RKADE, 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

$129,993 00 Capital stock paid in.
34, 000 66

2, 986 93
2, 755 36
10,354 36
35 97
3, 000 00
151 76

Surplus fund
Other undivided profits
National banknotes outstanding
State bank notes outstanding
Dividends unpaid .

30, 600 00

18 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

2, 665 00
3,657 37

Total.

49, 077 62

5.. 000 00

191,017 99

First National Bank, Saginaw.
No. 1768.

A. W. W R I G H T , 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.

A. P. R, BRALEY, Cashier.

$400, 858 25 Capital stock paid in.
1, 190 26
70, 000 00 Surplus fund
Other undivided profits National bank notes outstanding
63, 640 54 State bank notes outstanding
28.6L0 73 Dividends unpaid
4, 707 61
3,451. 78 Individual deposits
8,287 92 United States deposits
9,416 50 Deposits of U. S. disbursing officers..
11,249 00
1,526 14
1,868 18
38,500 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

$200,000 00
30, 000 00
23,813 23

60, 500 00

328,250 31

3, 585 35
308 02

3,150 00
646,456 9L

646,456 91

First National Bank, South Haven.
S. R. BOARDMAN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. J. MONROE, Cashier.

No. 1823.

$55,193 39 Capital stock paid in.
5 41
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
867 00
11,117 17 State bank notes outstanding
4, 936 99 Dividends unpaid .
3, 000 00
785 44
4,000 00 Individual deposits
United States deposits
106 29 Deposits of U. S. disbursing officers.
2,617 00
294 67
300 00
6, 000 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted..
Bills payable

$50, 000 00
6, 500 00
2,711 6L
45,000 00

44,261 75

3,000 00

2, 250 00
151, 473 36

Total.

151, 473 36

678

REPORT OF THE COMPTROLLER OF THE CURRENCY.
M I € H I OA N.
First National Bank, St. Clair.
No. 1789.

D. SHELDON, President.

J. C. 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.

$76, 322 98
1,006 09
50, 000 00

D u e 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

$50, 000 00

Capital stock paid in

7, 810 65
3, 064 98

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.

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 a e from U. S. Treasurer

Due to other national banks
Due to State banks and bankers

801 49

Notes and bills re-discounted
Bills payable

8,360 01

Total

Total .

30, 384 08

145,424 2L

First National Bank, St. Johns.
No. 1539.

CHARLES K 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
Biils of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$69, 404 47
400 54
50, 000 00

G. WILL B A L L , Cashier.

$50, 000 00

Capital stock paid in.

Surplus fund
Other undivided profits
5, 702 97 National bank notes outstanding
2, 886 92 State bank notes outstanding
12, 000 00 Dividends unpaid.
1,0 L9 84 Individual deposits
United States deposits
708 50 Deposits of U. S. disbursing officers.
3,234 00
569 02
653 50
12,000 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

12, 028 96
5, 443 61
45,000 00

46,385 14

1, 982 73

2,253 80

Total .

160, 840 44

Total.

160, 840 44

First National Bank, St. Joseph.
W. E. HlGMAN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
IT. S. bonds to secure deposits

No. 1866.

.

$96, 773 16
781 2L
30, 000 00

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency

$50, 000 00

6, 986
7, 552
4,355
1,045

46
08
89
08

Total




27, 000 00

14 57
O
2 004 H
177 73

Dividends unpaid

.•

•

.

Individual deposits
United States deposits
Deposits of U S« disbursing officers
Due to Staie banks and bankers

65, 126 15

4,587 62
766 21

6,000 00
D u e from U. S. Treasurer

8,106 25
1,453 95

O ther undivided profits
National bank notes outstanding

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 . . .
Due from other banks and b a n k e r s . . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid

J A M E S B A L E Y , Cashier.

1,350 00
157, 04(J 18

Total

157, 040 18

REPORT OF THE COMPTROLLER OF THE CURRENCY.

679

MICHIGAN.
First National Bank, Sturgis.
No. 825.

WILLIAM ALLMAN, President.

JOHN J. BECK, Cashier.

Resources.

Liabilities.
$122,328 42 Capital stock paid in .
2,326 53
50, 000 00 Surplus fund
Other undivided profits.
10,100 00
5, 300 00 National bank notes outstanding
5,143 21 State bank notes outstanding
4, 329 51 Dividends unpaid .
10, 910 34

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents. Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

614 26
1,799 26

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

Due to other national banks
235 12 Due to State banks and bankers .
1,520 00
20, 578 00 Notes and bills re-discounted.
Bills payable
2, 050 00

Total.

237, 234 65

Total.

$100,000 00
20, 000 00
3, 046 32

45, 000 00

69,170 52

17 81

237,234 65

First National Bank, Three Rivers.
E. S. 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 fromU. S. Treasurer

No. 600.

I

$91,260 36 Capital stock paid in .
5,010 78
50, 000 00 Surplus fund
Other undivided profits

$100, 000 00
25.500 00
6,525 51

National bank notes outstanding
State bank notes outstanding
4, 981 87 Dividends unpaid.
20,419 08
1,885 36
1 05 Individual deposits
United States deposits
104 00 Deposits of U. S. disbursing officers.
24,100 00

1, 175 00 Due to other national banks
153 00
968 52 Due to State banks and bankers.
8,000 00 Notes and bills re-discounted.
Bills payable
2,250 00
210, 309 02

Total .

C. L. BLOOD, Cashier.

Total.

45, 000 00

32,911 21

372 30

210,309 02

Manufacturers' National Bank, Three Rivers.
J. B. MiLLARD, 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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




O. F . MiLLARD, Cashier.

No. 1919.
$118,729 71 Capital stock paid in .
9, 1(9 00
50, 000 00 Surplus fund
Other undivided profits.

National bank notes outstanding
6, 492 88 State bank notes outstanding
3,948 85 Dividends unpaid.
3, 935 72
1,283 88 Individual deposits
United States deposits
120 25 Deposits of U. S. disbursing officers.

$50, 000 00
40, 000 00
17, 796 69
45, 000 00

58, 565 71

1, 865
109
3, 507
10, 000

00 Due to other national banks
15 Due to State banks and bankers.,
96
00 Notes and bills re-discounted.
Bills payable
2, 250 00

211,362 40

Total.

211, 362 40

680

REPORT OF THE COMPTROLLER OF THE CURRENCY.
M I C II I <- A N .
Union City National Bank, Union City.
CHAS. T. ALLEN, Cashier.

No. 18Q6#

W M . P. HURT), 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.

$66, 319 58 Capital stock paid in.
1, 536 74
50, 000 00 Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
372 79
5, 608
49
2, 500
241

03
55
00
19

$50, 000 00*
10, 000 00
2, 646 47
45, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

10, 755
124
450
6, 050

00 Due to other national banks
86 Due to State banks and bankers .
00
00 Notes and bills re-discounted .
Bills payable
1, 200 45
Total.

145,238 19 j

34, 856 03

2,735 69

145,238

First National Bank, Ypsilanti.
I. N. CONKLIN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U.S. bonds on hand... -•
Other stocks, bonds, and mortgages..
Due from approved reserve agents
Due from other banks and bankers..!
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items.
Exchanges 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. P. BOGARDUS, Cashier.

No. 155.

$163,776 33 Capital stock paid in.
3,181 26
75, 000 00 Surplus fund
t
Other undivided profits
National bank notes outstanding
6,300 00
6, 910 82 State bank notes outstanding
13, 093 60 Dividends unpaid .
9.56L 49
3, 603 94 Individual deposits
United States deposits
2,711 49 Deposits of U. S. disbursing officers.
810 00
676 20
3,187 24
30,213 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

$75,000 00
25, 000 Of)
10, 105 76
57, 500 00

152, 698 62

2, 095 99

3, 375 00
322, 400 37

Total.

322, 400 37

REPORT OF THE COMPTROLLER OF THE CURRENCY.

681

WISCONSIN.
First National Bank, Appleton.
AUG. LEDYARD SMITH, President.

HERMAN ERB, Cashier.

No. 1749.

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

$142,231 03 Capital stock paid in.
3, 516 70
50, 000 00 Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

15,000 00
2, 822 49
45, 000 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

2,250 00

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable

560, 344 79

Total.

$75, 000 00

Total.

119,483 35

3, 038 95

260, 344 79

Manufacturers' National Bank, Appleton.
C. G. ADKINS, President.

No. 1820.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$68, 262 63
1, 364 80
50, 0U0 00

3, 953 36
4, 147 4L
12, 863 92
1,243 15
1,105 00
276 91
1,643 31
12, 751) 00

ALFRED GALPIN, Jr., Cashier.

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

5, 500 00
3, 543 75
45, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

53,703 00

Due to other national banks
Due to State banks and bankers . . .
Notes and bills re-discounted
Bills payable

653 78
1,459 96

"2*250 66'
Total.

159, 860 49

159, 860 49

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.

R. M. STRONG. Cashier.

$46,150 42

Capital stock paid in.

"36,000 66

Surplus fund
Other undivided profits

"ii'ioo'oo'
8, 640 60
3, 230 22
13, 500 00
282 82
2,391 02
2, 337 57

National bank notes outstanding
State bank notes outstanding

$50, 000 00
360 48
508 68
26,712 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers

48, 643 16

2, 459 00 Due to other national banks
105 22 Due to State banks and bankers.
577 45
4, 000 00 Notes and bills re-discounted.,
Bills payable
1,350 00
126,224 32 J

Total.

126,224 32

•682

REPORT OF THE COMPTROLLER OP THE CURRENCY.
WISCONSIN,
National Bank, Beaver Dam.
No. 851.

jr. J. WILLIAMS, President.

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
Legal tender notes
U. S. certificates of deposit .
Due from U.'S. Treasurer ..

$50, 660 68
1, 073 59
50, 000 00

Surplus fund
Other undivided profits

10,000 00
1,844 32

National bank notes outstanding
8, 958 30 State bank notes outstanding
3,301 35
23, 000 00 Dividends unpaid
1,122 77
Individual deposits
50 00 United States deposits
3,473 00 Deposits of U. S. disbursing officers.
89 41 Due to other national banks
275 00 Due to State banks and bankers
4,000 00 Notes and bills re-discounted
!, 250 00 Bills payable

45, 000 00

148,254 10

Total.

$50, 000 00

Capital stock paid in

Total..

41, 409 78

148,254 10

First National Bank, Beloit.
No. 2163.

Louis C. HYDE, President.
Loans and discounts
!
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.. i.
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
!
Exchanges for clearing house
j.
Bills of other banks
j
Fractional currency
\
!
Specie
Legal tender notes
j
U. S. certificates of deposit
Due from U. S. Treasurer

$117,844 95
2, 007 24
30, 000 00

Capital stock paid in

$50, 000 00

Surplus fund
Other undivided profits
6," 100*66'
National bank notes outstanding
29,512 61 State bank notes outstanding
952 44
Dividends unpaid
1,214 01 |
787 38 I Individual deposits
2,701 80 i United States deposits
5, 575 00 Deposits of U. S. disbursing officers.
331 12 Due to other national banks
1,649 75 , Due to State banks and bankers
14, 000 00 ! Notes and bills re-discounted
1,350 00 Bills payable

214, U26 30

Total.

W. M. BRITTAN, Cashier.

Total.

4, 500 00
8,818 76
27, 000 00

80, 380 77

43, 326 77

214,026 30

First National Bank, Boscobel.
J . H. SARLES, Presiuent.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents.."
Due from other banks and bankers . .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid.
Checks and other cash items
Exchanges for 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.
$67,112 59
862 64
50, 000 00

3,230 72
1,628 33
1, 399 94
996 17
5, 000 00
77 89
1,751 00
362 16
1,639 10
9, 000 00

M. D. T[LLOTSON, Cashier.

Capital stock paid in..
Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

$50,000 00
4,000 00
6, 820 30

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

39, 271 20

219 04

2, 250 00
145,310 54

Total

145, 310 54

REPORT OF THE COMPTROLLER OF THE CURRENCY.

683

WISCONSIN.
First National Bank, Burlington.
No. 1933.

JEROME I. 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
Total.

Liabilities.
$94, 575 09 Capital stock paid in.
161 50
50, 000 00 Surplus fund
Other undivided profits
5, 400 00 National bank notes outstanding
2,516 56 State bank notes outstanding
2,896 7L Dividends unpaid.
872 51 Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

$50, 000 00
15, 000 00
5, 069 26
45, 000 00

50, 033 47

316
44
300
5, 750

00 Due to other national banks
36 Due to State banks and bankers .
00
00 Notes and bills re-discounted.
Bills payable
2,250 00
Total.,

165,102 73

165,102 73

First National Bank, Chippewa Falls.
S. M. NEWTON, President.

No. 2125.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items - Exchanges 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. M. NEWMAN, Cashier.

$82, 270 14 Capital stock paid in .
672 04
35,000 00 Surplus fund
.
Other undivided profits.
17, 000 00 National bank notes outstanding
2, 376 81 State bank notes outstanding
1,968 26
17, 713 97 Dividends unpaid.
1, 595 85 Individual deposits
2, 910 00 United States deposits
507 38 Deposits of U. S. disbursing officers.
286
83
95
3, 220

00 Due to other national banks
62
00 Due to State banks and bankers .
00 Notes and bills re-discounted .
Bills payable
1, 575 00

167,274 07

Total.

$75, 000 00
7,000 00
761 29
31, 500 00

32, 952 16

574 19
19, 486 43
167,274 07

First National Bank, Columbus.
R. W . 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




4,000 00
4,013 24
853 82
400 00
211 87

40

National bank notes outstanding
State bank notes outstanding

$50, 000 00
10, 000 00
5, 828 34
45, 000 00

Dividends unpaid .

Individual deposits
United States deposits
2,142 15 Deposits of U. S. disbursing officers

30,014 05

3, 093 00 Due to other national banks
46 21 Due to State banks and bankers .
775 90
8, 000 00 Notes and bills re-discounted.
Bills payable
3, 250 00
140, 842 39

Total.

H. Ex. 3

S. W . CHADBOURN, Cashier.

$63,401 15 Capital stock paid in.
655 05
50, 000 00 Surplus fund
O ther undivided profits

Total.

140, 849 39

684

REPORT OF THE COMPTROLLER OF THE CURRENCY.
'WISCONSIN.
National Bank, Delavan.
No. 1248.

EBEN. LATIMER, President.

D. B. BARNES, 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
;
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
j
Premiums paid
Checks and other cash items
j
:
Exchanges for clearing house
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

I

$59, 699 96 Capital stock paid in.
3,905 91
30, 000 00 Surplus fund
Other undivided profits
, National bank notes outstanding
1, 047 11 State bank notes outstanding
10, 578 58
7, 800 00 Dividends unpaid .
2,731 44 Individual deposits
United States deposits
640 63 Deposits of U. S. disbursing officers.

$50,000 00
9, 073 88
3, 799 83
27, 000 00

1, 039 00
32, 822 80

800 00 Due to other national banks
31 88
250 00 Due to State banks and bankers .
5, 000 0
U Notes and bills re-discounted.
Bills payable
1,250 00
123, 735 51

Total.

123, 735 51

First National Bank, Eau Claire.
F. W. WOODWARD, President.

GEO. T. THOMPSON, Cashier,

No. 2069.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation.....
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers..
Real estate, furniture, and fixtures...
Current expenses 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.

$101,589 94
5, 467 35
50,000 00

18, 457 75
16,117 92
7, 274 '28
2, 068 62
3,000 00
7, 828 44

Capital stock paid in .

$60,000 00

Surplus fund
Other undivided profits

5, 600 00
3, 993 81

National bank notes outstanding
State bank notes outstanding

45,000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

2,859 00 Due to other national banks
313 60 Due to State banks and bankers .
400 85
9, 400 00
Notes and bills re-discounted....
I
"2,"250" 66" | Bills payable
227, 027 75

Total .

107,433 94

5, 000 00

227, 027 75

First National Bank, Elk Horn.
No. 873.

CHRIS. WISWELL, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks 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.




W. H. CONGER, Cashier.

$111,926 05 Capital stock paid in
1,961 33
75, 000 00 Surplus fund
Other undivided profits
4, 609
369
5, 500
630

79
37
00
75

203 13
2, 256
14
809
6, 000

00
66
00
00

National bank notes outstanding
State bank notes outstanding

$75,000 00
5, 600 00
4, 004 84
67, 383 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

56, 562 42

4,104 82

3, 375 00
212, 655 08

Total.

212, 655 08

REPORT OF THE COMPTROLLER OF THE CURRENCY. 6 8 5
WISCONSIN.
First National Bank, Fond du Lac.
A

No. 555.

G-. RUGGLES, President.

J. B. P E R R Y , Cashier.

Liabilities.

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 . .
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.

$280, 043 25
265 57
50, 000 00

55o"oO*j
12, 223 84
36. 957 21
31,870 28
1,925 00
991 33
2, 589
819
1,779
34, 350

00
82
00
00

$100, 000 00

Capital stock paid in.,
Surplus fund
Other undivided profits

67, 600 98
18, 543 78

National bank notes outstanding
State bank notes outstanding....

44, 883 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

224, 010 61

1, 575 93

Notes and bills re-discounted .
Bills payable

2, 250 00
456, 614 30

Total.

456, 6L4 30

First National Bank, Fort Atkinson.
L. B. C AS WELL, Cashier.

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 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.

$95,681. 69 Capital stock paid in.
12, 386 53
30, 000 00 j Surplus fund
Other undivided profits

$75, 000 00
18, 516 17
5,217 11

2,800 00 ! National bank notes outstanding
5, 445 38 I State bank notes outstanding
283 68
Dividends unpaid .
16,584 00
997 16
Individual deposits
United States deposits
713 40
Deposits of U. S. disbursing officers.
569 00
707 11
8, 000 00

" 1*350 66"

27,000 00

49,784 67

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
Total.

175, 517 95

175, 517 95

First National Bank, Fox Lake.
No. 426.

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.




$90,459 53
420 09
80, 000 00

3,190
13, 652
6, 660
377

51
43
00
37

214 00

"4,"850"66"
• 429 08
12, 700 00

W. J. DEXTER, Cashier.

$80, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits

...

National bank notes outstanding
State bank notes outstanding

13, 300 00
4,344 71
72, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

46, 908 30

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

3, 600 00
216,553 01

Total.

216, 553 01

686

REPORT OF THE COMPTROLLER OF THE CURRENCY.
WISCONSIN.
First National Bank, Grand Rapids.
No. 1998.

THOS. B. SCOTT, President.

W. H. COCHRAN, 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.

$66, 377 45 Capital stock paid in .
341 83
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
10,211 45 State bank notes outstanding
7,392 31 Dividends unpaid .
997 07
1,249 65 Individual deposits
United States deposits
3,437 11 Deposits of U. S. disbursing officers.

$50, 000 00
14,576 19
3,177 75
45, 000 00

35, 627 89

1,800 66

Due to other national banks
Due to State banks and bankers .
201 92
4, 000 00 Notes and bills re-discounted
Bills payable
"2"493"78*
Total.

148, 502 57

120 74
148, 502 57

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 frona other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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, 965 58
50, 000 00
7, 300 00

50, 000 00
3, 493 47
5,219 85

LOUIS NEESE, Cashier.
$50,000 00

Capital stock paid in .
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 .

85, 000 00

10, 000 00

212, 228 90

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.,
Bills payable

"2~256"6o"
Total.

317, 228 90

317, 228 90

Kellogg National Bank, Green Bay.
R. B. KELLOGG, 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
j
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2132.
$134, 849 78
227 26
30, 000 00

H. G-. FREEMAN, Cashier.

Capital stock paid in.

Surplus fund
Other undivided profits
National bank notes outstanding
44, 341 26 State bank notes outstanding
9, 055 66
4,784 64 Dividends unpaid .
1, 797 85 Individual deposits
United States deposits
,
416 43 Deposits of U. S. disbursing officers
322 00 Due to other national banks
404 89 Due to State banks and bankers
1,815 82
19, 000 00 Notes and bills re-discounted.
Bills payable
Total

$50,000 00
25, 000 00
7, 580 32
27,000 00

124,270 67

14, 402 37
112 23

248,365 59

REPORT OF THE COMPTROLLER OF THE CURRENCY.

687

WISCONSIN,
First National Bank, Hudson.
No. 95.

JOHN COMSTOCK, Pr$sident.

A. E. JEFFERSON, Cashier,

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, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing houso
Bills of other banks
Fractional currency
Specie
^
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Liabilities.
$92, 719 93 Capital stock paid in .
2, 375 25
50, 000 00 Surplus fund
Other undivided profits
138 44 National bank notes outstanding
20, 410 79 State bank notes outstanding
8, 361 83
13, 757 99 Dividends unpaid .
4,047 65 Individual deposits
United States deposits
5, 377 83 Deposits of U. S. disbursing officers.

20, 000 00
15,595 11
45, 000 00

86,343 04

4, 528 00 Due to other national banks
245 48 Due to State banks and bankers .
1,725 00
10, 000 00 Notes and bills re-discounted.
Bills payable
3, 249 91
216,938 15

Total.

$50, 000 00

216, 938 15

Total.

First National Bank, Janesville.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
.
Exchanges 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. B. DOE, Cashier.

No. 83.

J. D. REXFORD, President.

$210, 900 26 Capital stock paid in.
1, 560 19
140, 000 00 Surplus fund
Other undivided profits.
50 00
National bank notes outstanding
12, 042 52 State bank notes outstanding
29, 643 05 Dividends unpaid .
8, 000 00
6, 374 86 Individual deposits
United States deposits
2,015 91 Deposits of U. S. disbursing officers.
6, 046
558
2, 144
22, 800

$125, 000 00
55, 000 00
16,274 56
124, 980 00

127,131 22

00 Due to other national banks
74 Due to State banks and bankers .
25
00 Notes and bills re-di3counted
Bills payable

448, 385 78

Total.

448, 385 78

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.




C. S. CROSBY, Cashier.

No. 749.
$190, 998 94 Capital stock paid in
311 71
76,000 00 Surplus fund
Other undivided profits
1, 450
25, 867
5, 582
3, 400
2, 409
1, 613
5, 939
382
5, 193
16, 000

00 National bank notes outstanding
36 State bank notes outstanding
36
00 Dividends unpaid
23
Individual deposits
88 United States deposits
00 Deposits of U. S. disbursing officers.
80 Due to other national banks
66 Due to State banks and bankers
00 Notes and bills re-discounted
Bills payable
Total...

$100, 000 00
45, 000 00
6, 848 48
67, 400 00

119,549 82

297 70

339,096 00

088

REPORT OF THE COMPTROLLER OF THE CURRENCY.
WISCONSIN.
First National Bank, Kenosha.
No. 212.

Z. G-. SIMMONS, President.

J. H. VERMILYE, 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

$132,471 63 Capital stock paid in .
1,407 88 |
50, 000 00 ! Surplus fund
O ther undivided profits
20, 650 00 National bank notes outstanding
13, 723 86 State bank notes outstanding
2, 660 80

2,542 00
901 40
750 90

$50, 000 00
21,000 00
3, 420 17
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 .

121, 984 94

150 41

Notes and bills re-discounted
Bills payable
,
241,555 52

Total.

La Crosse National Bank, La Crosse.
S. S. BURTON, Cashier.

No. 2344.

G-. C. HlXON, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$174, 092 57
1,729 39
33, 500 00
260*60"
25, 860 31
1,546 82
1, 276 45
1, 999 58
3,140 62
2,170 36
2, 983 00
179 30
630 35
20, 500 00

$100, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

8,524 97
30,000 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

127, 850 94

6, 932 84

3, 500 00
Total.

273, 308 75

273,308 75

First National Bank, Madison.
N. B. VAN SLYKE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 144.
$209, 488 26
6, 224 80
50, 000 00
75, 000 00
850 00
11, 398 95
64,611 55
45 60
4, 345 16
5, 000 28
14, 910 77

WAYNE RAMSAY, Cashier.

Capital stock paid in

20, 000 00
5, 802 82

National bank notes outstanding

45, 000 00

State bank notes outstanding
Dividends unpaid

Individual deposits
United States deposits
3, 585 00 Deposits of U. S. disbursing officers..
669 85 Due to other national banks
4,016 42 Due to State banks and bankers
35,561 00 Notes and bills re-discounted
2, 250 00 Bills payable
3, 022 28

490, 979 92

$100, 000 00

Surplus fund
Other undivided profits

Total...

280, 225 26
30,196 12
9, 755 72

490, 979 92

REPORT OF THE COMPTROLLER OP THE CURRENCY.

689

WISCONSIN.
First National Bank, Manitowoc.
No. 852.

C C. BARNES, President.

CHAS. LULING, 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

$108, 108 61 Capital stock paid in.
3,341 92
50, 000 00 | ; Surplus fund
Other undivided profits
4,300 00 |
3, 099 90 I National bank notes outstanding
15, 539 53 State bank notes outstanding
11,174 73 Dividends unpaid.
5,145 37
2, 302 07 Individual deposits
591 00 United States deposits
Deposits of U. S. disbursing officers.
468 68
6,731
844
768
16,000

7,200 00
6, 061 46
45,000 00

123,494 26

00 Due to other national banks
21 Due to State banks and bankers .
70
00 Notes and bills re-discounted .
Bills payable

3, 340 00

Total.

231,755 72

231, 755 72

National Bank, Menasha.
No. 3714.

ROBERT SHIELLS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures -.
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 035 22
165 90
50, 000 00

3, 655 42
2, 042 3f>

5,654 21
113 83
5 00

HENRY H E W I T T , Jr., Cashier.

Capital stock paid in

'

Surplus fund
Other undivided profits

'
,

7,000 00
935 31

!

44, 986 00

National bank notes outstanding
State bank notes outstanding

I

$50,000 00

i

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

703 00 Due to other national banks
,
328 76 Due to State banks and bankers
!
1,01.8 05
8, 000 00 Notes and bills re-discounted.
Bills payable

Total.

41, 829 56

4,515 14
205 74
16,500 00
5,000 00
170,971 75

First National Bank, Milwaukee.
E. H. BRODHEAD, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation ...
U. S. bonds to secure deposits
CJ. S. bonds on hand
Other stocks, bonds, and mortgage!
Due from approved reserve agents
Due from other banks and bankers
Real estate, furniture, and fixtures
Current expenses and taxes paid..,
Premiums paid
Checks and other cash items
Exchanges 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. CAMP, Cashier.
$664,500 11
949 61
75, 000 00
200, 000 00
2, 800 00
36, 000 00
302, 287 03
42, 626 67
40, 330 74
121 83
200 12
1,904 33
130, 914 25
7, 524 00
917 22
10,364 25
185, 300 00
35, 000 00
3, 375 00
1, 740, 115 16

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
24, 650 62
67, 500 00
684 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

878, 794 35
148, 632 39
23, 688 71

Due to other national banks
Due to State banks and bankers . . .
Notes and bills re-discounted .
Bills payable

209, 240 62
146, 924 47

Total.

1, 740,115 16

690

REPORT OF THE COMPTROLLER OF THE CURRENCY.
WISCONSIN.
Milwaukee National Bank of Wisconsin, Milwaukee.

C. T. BRADLEY, President.

No. 1017.

T. L. BAKER, 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.

$777, 763 36 Capital stock paid in .
3,701 50
75, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
113, 275 98 State bank notes outstanding
35, 073 33
53,025 68 Dividends unpaid1,813 75
310 20
64,276 24
19, 605 00
845 54
6, 900 00
180,000 00

\

$250, 000 00
110, 000 00
12, 540 10
67, 500 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

677,196 55

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted .
Bills payable

150, 704 33
67,024 60

3, 375 00
1, 334, 965 58

Total.

1,334,965 58

National Exchange Bank, Milwaukee.
No. 1003.

C. D. NASH, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$512,185 29
1,001 93
110, 000 00
200, 000 00

Capital stock paid in .

$200, 000 00

Surplus fund
,
Other undivided profits National bank notes outstanding
State bank notes outstanding

27,100 00
81,092 55
95,055 27
43, 000 00 Dividends unpaid.
4, 647 46 Individual deposits
5, 017 62 United States deposits
Deposits of U. S. disbursing officers.
135,524 65
1, 635 00 Due to other national banks
7, 456 00 Due to State banks and bankers
213, 303 00 Notes and bills re-discounted.,
Bills payable
,
9, 500 00
1,426,518 77

Total.,

W. G. FITCH, Cashier.

Total.

80, 000 00
22, 331 20
99, 000 00

687, 572 66
44, 622 71
126, 451 26
105,484 08
61, 056 86

1, 426, 518 77

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.
$131, 067 34
1,872 01
90,000 00

45, 251 93
224 49
14, 000 00
2,834 50
1,493 56
380 00
164 55
1,639 35
12,290 00

J. B. GALUSHA, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$90, 000 00
30,000 00
6,654 97
81, 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

97, 556 35.

56 41

4,050 00
305, 267 73

Total.

305^ 267 73

REPORT OF THE COMPTROLLER OF THE CURRENCY.
WI§€ON

691

SIN.

National Bank, Neenah.
No. 1602.

HENRY HEWITT, Sr.,Presid

ROBERT SHIELLS, 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

$176,714 00
1, 927 65
75, 000 00

'

2oo"66"
9,454 06
5, 073 60
5, 212 39

2, 696 00
77 25
1,115 30
14, 000 00

15, 000 00
9, 520 25

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

67, 490 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

126, 316 77

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

1, 116 12:
192 11

3,165 00
294, 635 25

Total.

$75, 000 00

Capital stock paid in.

Total ,

294, 635 25

First National Bank/Oshkosh.
S. M. HAY, President.

No. 218.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, 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
,

$364,287 8*
5L9 00
100, 000 00
50, 800 00
800 00
25, 177 22
57, 605 62
27,874 35
4,233 13
2,172 82
7, 025 00
1, 070 94
13, 644 35
55, 000 00

Capital stock paid in.

$100, 000 0O

Surplus fund
Other undivided profits.

25, 000 00
21, 853 65

National bank notes outstanding
State bank notes outstanding

70,100 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

470,168 91
30, 470 9ft
1,182 34-

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable

9, 365 59
718,775 86

Total.

CHAS. SCHRIBER, Cashier,.

Total .

718,775 8S

Union National Bank, Oshkosh.
P . L. LlBBEY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1787.
$251, 772 93
18 50
50, 000 00

4, 896 43
11, 382 71
24,139 27
2, 796 61
1,190 25
9, 617 00
276 15
2, 869 75
21, 000 00

R. C. RUSSELL, 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 0030,000 0O
42, 748 23-

j

45,000 00
30, 000 00
134,461 3T

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2, 250 00
382,209 60

Total.

382,209 60

692

REPORT OF THE COMPTROLLER OF THE CURRENCY.
WISCONSIN.
First National Bank, Racine.

M. D. F R A T T ,

No. 457.

Piesident.

H. B. MUNROE, Cashier.

Resources.

Liabilities.

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.

$285,139 07
1,667 30
81, 000 00

48, 732
8, 198
9, 053
1, 424

$ L O 000 00
O,

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

51
66
26
90

92, 591 38
9, 988 42
72, 900 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

1,162 06
3, 384 00
542 6'i
1,411 20
29,879 00

Due to other national banks
Due to State banks and bankers

201, 096 76

161 71

Notes and bills re-discounted.
Bills payable

5, 143 70
476, 738 27

476, 738 27

Total.

Manufacturer^' National Bank, Racine.
No. 1802.

J. I. CASE, 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.

$538, 288 85
3, 478 33
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
Lr. S. certificates of deposit
Due from U. S. Treasurer

B. N O R T H R O P , Cashier.

Capital stock paid in.

39, 267 47
9,734 10
13, 000 00
2, 495 16

$250, 000 00

Surplus fund
| Other undivided profits

50,000 00
24,281 24

1," 250" 66" |

National bank notes outstanding
State bank notes outstanding

90, 000 00

Dividends unpaid.

Individual deposits
United States deposits
3, 006 97 | Deposits of U. S. disbursing officers..

5,250 00
506 17
4,277 41
41,095 00

Due to other national banks
Due to State banks and bankers.

330,119 07

2, 226 89
1,812 71

Notes and bills re-discounted.
Bills payable

15, 827 26

2,617 71
Total. .

764,267 17

Total.

B.

764,267 17

First National Bank, Ripon.
No. 425.

IE. P. B R O C K W A 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.




$119,958 01
850 71
50, 000 00

14,811 03
4,000 00
724 30
234 82
1, 067
57
311
15, 200

00
05
30
00

2,"250"66" I
209, 464 22

GEO.

L . F I E L D , Cashier.

Capital stock paid in .

$60, 000 00

Surplus fund
Other undivided profits

16, 000 00
4,195 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.

• 84, 268 60

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable
Total.

209, 464 22

RETORT OF THE COMPTROLLER OF THE CURRENCY.

693

WISCONSIN,
First National Bank, Siieboygan.
H. F. PIDER1T, Cashier.

No. 2123.

F. R. TOWNSEND, 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.,

1145,799 41 Capital stock paid in.
3,468 79
50, 000 00 : Surplus fund
......
Other undivided profits
5, 000 00 National bank notes outstanding
9,142 15 State bank notes outstanding
13,410 62 | Dividends unpaid.
1. 659 32 i
5, 686 63 Individual deposits
United States deposits
446 73 Deposits of U. S. disbursing officers.
3, 329 00
123 25
339 00
7, 422 35

Due to other national banks
Due to State banks and bankers..
Notes and bills re-discounted .
Bills payable

$50, 000 00
1, 000 00
2, 600 48
45, 000 00

145, 476 77

4, 000 00

2, 250 00
248, 077 25

Total ..

248,077 25

First National Bank, Sparta.
J. T. HEMP 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
1
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$L02, 279 75 Capital stock paid in.
862 61
50, 000 00 Surplus fund
Other undivided profits
i,"i56"6o"
10,000 00 National bank notes outstanding
11,792 91 State bank notes outstanding
2, 401 98 Dividends unpaid.
9, 000 00
93 65 Individual deposits
,—
United States deposits
Deposits of U. S. disbursing officers.
273 16
2, 028
529
120
5, 864

00
66
90
00

""2^256"66"

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted
Bills payable
*

198, 646 62

Total : .

F. C. ALLEN, Cashier.

No. 1115.

Total.

$50,000 00
4, 750 00
1, 046 88
45,000 00

83, 449 74

14, 400 00

198,646 62

Wisconsin National Bank, Watertown.
W. M. DENNIS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

Total.




No. 1010.

P. V. BROWN, Cashier.

$134,875 41 Capital stock paid in . .
1,319 00
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
1, 353 54 State bank notes outstanding
2, 294 52 Dividends unpaid.
6, 390 46
1,806 50 Individual deposits
United States deposits
4, 900 34 Deposits of U. S. disbursing officers.
3, 934
238
5, 670
12, 000

00
74
80
00

Due to other national banks
Due to State banks and bankers . . .
Notes and bills re-discounted.
Bills payable
,

$60, 000 00
25, 000 00
2, 763 93
45, 000 00

82,774 54

1, 424 05
70 79
10, 000 00

2, 250 00
227, 033 31

Total.

227, 033 31

694

REPORT OF THE COMPTROLLER OF THE CURRENCY.
WISCONSIN.
Waukesha National Bank, Waukesha.

WILLIAM BLAIR, President.

No. 1086.

A. J. FRAME, 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.

$151,391 68
845 98
50,000 00

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits .
27, 700 00
3, 700 00 National bank notes outstanding
43, 602 57 State bank notes outstanding
61,558 19 Dividends unpaid .
7, 000 00
2, 006 74 Individual deposits
United States deposits...
1, 680 39 Deposits of U. S. disbursing officers.

10, 000 00
16, 503 24
45, 000 00

266, 635 89>

286 00 Due to other national banks
900 00 Due to State banks and bankers .
3, 217 58
32, 000 00 Notes and bills re-discounted.
Bills payable
2, 250 00
388,139 13

Total.

388,139 13

First National Bank, Whitewater.
C. M. BLACKMAN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents.
Due from other banks and bankers.
Real estate, furniture, and fixtures .
Current expenses and taxes paid...
Premiums paid
Checks and other cash items
Exchanges for clearing house
.
Bills of other banks
Fractional currency •.
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 124.

GEO. S. MARSH, Cashier.

$198, 589 72 Capital stock paid in..
1, 143 34
50, 000 00 Surplus fund
Other undivided profits .
National bank notes outstanding
15,571 10 State bank notes outstanding
6,498 35 Dividends unpaid.
5, 600 50
1, 554 62 Individual deposits
45 89 United States deposits
148 91 Deposits of U. S. disbursing officers 3,817 00
316 23
723 62
9,370 00

$100,000 00
43, 555 53
12,958 12
45, 000 00

95,114 2a

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

3,248 60

296, 627 88

Total.

296, 627 88

REPORT OF THE COMPTROLLER OF THE CURRENCY.

695

IOWA.
First National Bank, Afton.
O. E. DAVIS, Cashier.

No. 2326.

J. T. BEEBE, President.

Liabilities.
$34, 778 23
111 69
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
Checks and other cash items
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, 806 92
342 50
7,697 55
626 14
5,227 50
608 15
2, 105 00
50 85
413 95
3,31.0 00

$50, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits

•

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

634 45
1, 603 71
27, 000 00

214 16

Individual deposits
,United States deposits
Deposits of U. S. disbursing officers

13,976 16

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

1, 350 00
93, 428 48

Total.

93, 428 48

Total.

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..
TJ. S. certificates of deposit
Due from U. S. Treasurer
Total.

$106, 255 46
1,130 08
50, 000 00

3,960 61
8, 000 00
1,924 32
7, 500 00
473 00

1,951 00
12, 000 00

BEN. F. ELBERT, Cashier.
$75, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

30, 000 00
2, 706 60

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

42,737 35

52

2, 250 00
195, 444 47

Total.

195,444 47

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 paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2191.
$63,793 43

""56," 666" 66"
1,383 72
399 50
2,127 18
751 60
636 75
387
2
333
4,203

00
73
00
00

T. P. WALDEN, Cashier.

Capital stock paid in.,

$50, 000 00

Surplus fund
Other undivided profits .

16,456 63
2, 541 78

National bank notes outstanding .
State bank notes outstanding

45, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

12,269 50

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

2, 250 00
126,267 91

Total.

126, 267 91

696

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
First National Bank, Anamosa.
No. 1813.

E. BLAKESLEE, President.

T. W. S H A P L E Y , Cashier.

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
Checks and other cash items
Exchanges for clearing house.
Bills of other banks
Fractional currency

$50, 000 00

Surplus fund
Other undivided profits

5,531 87
1,774 07

National bank notes outstanding
State bank notes outstanding

45, 000 00
210 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.

39, 353 38

921 34

Notes and bills re-discounted.
Bills payable

Legal tender notes
U,S. certificates of deposit
Due from U. S. Treasurer

142,790 6 <
6

Total.

First National Bank, Belle Plaine.
No. 2012.

S. S. S W E E 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 mortgage!

$60, 046 42
998 «3
000 00

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

14, 557
520
350
168

Total

64
51
00
75

136 00
43L
37
800
5, 000

00
64
00
00

L. T. S W E E T , Cashier.

Capital stock paid in

$50, 000 00

Surplus fund
Other undivided profits

10,000 00
4, 535 27

National I ank notes outstanding
State bank notes outstanding

45, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers

29,761 32

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2," 250" 66'
Total. .

139, 296 59

139, S

First National Bank, Boone.
W. F . CLARK, President.

No. 2051,

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.

$110,111 61
125 61
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, 785 45
285 26
16, 327 51
1,652 W
3,824 27

Checks and other cash items - .
Exchanges 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 67
824 00
937 00
8, 570 00

C. J. A. ERICSON, Cashier.

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits

28, 500 00
3,102 12

National bank notes outstanding
State bank notes outstanding

27, 000 00

Dividends unpaid ,
Individual deposits
United States deposits .
Deposits of U. S. disbursing officers.

13, 229 42

Due to other national banks
Due to State banks and bankers .
No teg and bills re-discounted.
Bills payable

5, 000 00

1, 350 00
176,831 54

Total.

176, 831 54

REPORT OF THE COMPTROLLER OF THE CURRENCY. 697
IOW A .
Brighton National Bank, Brighton.
W. II. LLOYD, Cashier,

R. C. RISK, 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
Total.

$45,891 54

Capital stock paid in .

"so.'ooo'oo"

Surplus fund
Other undivided profits

10, Oi 00
fO
5, 262 33

National bank notes outstanding
State bank notes outstanding

45, 000 00

1,930 69
397 91
12, 060 19
692 73
3, 300 00

125 00
?A 25
1, 425 00
6, 500 00

$50, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

14,364 98

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted
Bills payable

" 2"250"00"
Total.

124, 627 31

124,627 31

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 naid
Checks and other cash items . .
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer

$114,746 44
644 26
50, 000 00
40,25000"
13,816 10
24, 193 60
10, 386 83
2, 536 50
2, 945 78
5,403 00
15, 547 35

12, 275 00
465 50
2, 262 70
60, 000 00

W M . P. FOSTER, Cashier.

Capital stock paid in .

$100,000 00

Surplus fund
Other undivided profits

4, 000 00
4, 055 36

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

193,504 19

9, 885 50
4, 970 93

Notes and bills re-discounted.
Bills payable

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.

$285, 593 31
3, 795 50
50, 000 00
5, 002 51
27,119 35
21,139 59
27, 403 94
3, 949 34
5, 847 02
9, 678 00
613 41
1,193 49
38, 000 00

E. MCKITTERICK, Cashier.

Capital stock paid in

$150, 000 00

Surplus fund
Other undivided profits

11,946 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
Due to other national banks
Due to State banks and bankers . . .
Notes and bills re-discounted.
Bills payable

150 00
245, 769 70

2, 825 77
2,143 6823,750 00

2, 250 00
481, 585 46

Total.

481,5-5 46

898

REPORT OP THE COMPTROLLER OF THE CURRENCY.
IOWA.
National State Bank, Burlington.
No. 751.

J. C. PEASLEY, President.

JNO. T. REMEY, Cashier.
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

$230,993 05
578 92
150, 000 00
27,700 00
42, 604 91
70, 707 21
7, 472 89
20, 000 00
2, 916 30
1, 825 28
4,639 00
507 90
4,569 54
58, 550 00

Capital stock paid in

15, 763 51
11, 822 98

National bank notes outstanding

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

260, 610 38

28,553 86
28, 064 27

Notes and bills re-discounted
Bills payable

6, 75C 00
Total.

629, 815 00

Total.

$150, 000 00

Surplus fund
Other undivided profits

629, 815 00

First National Bank, Cedar Falls.
W. M. FIELDS, President.

No. 2177.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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, 508 91
14, 74P 85
50, 000 00

8, 776 29
1,058 19
13, 464 40
1, 626 90
7, 618 66
1,044
44
427
3, 000

00
28
25
00

C. J. FIELDS, Cashier.

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits

25, 000 00
3,564 26

National bank notes outstanding
State bank notes outstanding

44,962 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

54, 033 47

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

2,250 00
177,559 73

177,559 73

First National Bank, Cedar Rapids.
No. 500.

JOHN W E A R 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.




$149,489 15
3, 939 34
50, 000 00

11,413 13
611 87
15, 061 24
3, 640 30
15 51
1,544 63
23, 002
1, 076
1,100
28, 000

00
91
00
00

JOHN F. DEAN, Cashier.

Capital stock paid in.

$100,000 00

Surplus fund
Other undivided profits

19,711 28
4, 908 52

National bank notes outstanding
State bank notes outstanding

42,400 00

Dividends unpaid..
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

124,124 28

Due to other national banks
Due to State banks and bankersNotes and bills re-discounted.
Bills payable
,

2,250 00
291,144 08

Total.

291,144

REPORT OF THE COMPTROLLER OF THE CURRENCY.

699

IOWA.
City National Bank, Cedar Rapids.
S. C. B E V E R ,

No. 483.

President.

JAS.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
.
(J. 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 Render notes
U. S. 'certificates of deposit
Due from U. S. Treasurer

L. B E V E R , Cashier.

Liabilities.
$174, 247 09
710 43
60, 000 Q0
14, 874 75
8, 669 70
19, 107 66
13. 700 00
4,464 95
5,155 06

Capital stock paid in .

$60, O O 00
O
'

Surplus fund
«
Other undivided profits

30, 000 00
7, 876 47

National bank notes outstanding
State bank notes outstanding

54,000 00

Dividends unpaid .

390 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

18, 085 00
714 00
6,120 20

Due to other national banks
Due to State banks and bankers

56, 000 00

231,470 12

Notes and bills re-discounted
Bills payable

544 93
267 32

2," 700 66'

Total.

Total.

384,548 84

384, 548 84

First National Bank, Centerville.
WM.

BRADLEY,

No. 337.

President.

Loans and discounts
Overdrafts
U. S. bonds 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 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.

$147, 743 63
87 20
50, 000 00

4,431 53
6,886 16
10,833 81
1,086 49
428 64
26
154
769
3, 835

00
83
50
00

JNO.

R. H A Y S , Cashier.

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits .

50,000 00
24,782 48

National bank notes outstanding
State bank notes outstanding

45, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

58, 670 05

Due to other national banks . . .
Due to State banks and bankers
Notes and bills re-discounted.,
Bills payable
,

2, 250 00
Total.

228, 532 79

228, 532 79

Farmers' National Bank, Centerville.
D.

C. CAMPBELL, President.

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 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.

H. Ex.




No. 2197.

$121,177 55

"""so," 666" 66'
11,492 25
9, 358 75
12,271 11
513 73
1,698 13

2, 500 00
384 33
12,000 00

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, 253 59

National bank notes outstanding
State bank notes outstanding

45, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

49, 792 26

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

2, 250 00
223, 645 85

223, G45 85

700

REPORT OF THE COMPTROLLER OF THE CURRENpY.
IOWA.
First National Bank, Chariton.
No. 1724.

S. H. MALLO RY, President.

E D W . A. TEMPLE, 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

$79, 466 90 Capital stock paid in.
813 79
50, 000 00 Surplus fund
Other undivided profits
7, 300 00 National bank notes outstanding
3, 563 22 State bank notes outstanding
10,743 57 Dividends unpaid .
9, 713 35
2,434 12 Individual deposits
224 02 United States deposits..
110 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.

Total.

$50, 000 00
8,300 00
5,496 28
45, 000 00

79,950 95

77 64

188,824 87

First National Bank, Charles City.
No. 1810.

ALMON Gr. CASE, President.

Loans and discounts
...
Overdrafts
CJ. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
JDue from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid....
Premiums paid
Checks and other cash items
Exchangen for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$107, 885 39 Capital stock paid in.
1, 626 41
50, 000 00 Surplus fund
Other undivided profits.
13, 000 00
National bank notes outstanding
31,181 65 State bank notes outstanding
28, 503 38 Dividends unpaid .
1,177 63
545 57 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

$50, 000 00
30, 000 00
13,328 40
43, 475 00
155 00
136, 643 28

17,215 00 Due to other national banks
148 65 Due to State banks and bankers .
1,118 00
20, 000 00 Notes and bills re-discounted.
Bills payable
1,200 00
Total.

273, 601 68

Total.

H. C. BALDWIN, Cashier.

273,601 68

First National Bank, Clarinda.
W. E. 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.




No. 2028.

S. WEST, Cashier.

$191,936 84 Capital stock paid in.
22,158 86
50, 000 00 Surplus fund
Other undivided profits.
3, 829 57
6,561 17
16,863 72
586 13
6, 500 00
275 20

National bank notes outstanding
State bank notes outstanding
Dividends unpaid ^
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

8, 012 00 Due to other national banks
34 40 Due to State banks and bankers
1,328 51
25, 000 00 Not<*s and bills re-discounted.
Bills payable
2,250 00
335, 336 40

Total.

$50, 000 00
39, 500 00
1, 988 60
45, 000 00

197, 600 19

6 12
1, 241 49

335, 336 40

REPORT OF THE COMPTROLLER OF THE CURRENCY.

701

IOWA.
Clinton National Bank, Clinton.
No. 994.

W. *•'. Co AN, President.

J. C. WESTON, 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.
$150, 015 76
1, 345 79
60, 000 00
1,983 57
14,064 30
19, 837 75
24, 099 33
4, 300 02

1, 982 04

12, 000 00
41,080 40

Surplus fund
,
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid -

54,000 00
140 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers

7, 439 00 Due to other national banks
585 42
968 49 Due to State banks and bankers
SO, 000 00
Notes and bills re-discounted.
Bills payable
3, 659 46
310, 2 JO 93

Total.

$60,000 00

Capital stock paid in .

142,161 12

,

Total.

306 74
592 67

310,280 93

Louisa County National Bank, Columbus Junction.
S. C. CURTIS, President.

No. 2032.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures . Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$82, 31.4 77
2,612 18
50, 000 00

1,126 88
2,964 4L
7,343 77
1, 076 05
2, 542 73

J. W. TRUE, Cashier.

Capital stock paid in .

$50, 000 00

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.

395 00 Due to other national banks . . ..,
13 83 Due to State franks and bankers.
5, 500 00

6,000 00
2, 755 59

Notes and bills re-discounted.
Bills payable

48, 458 74

925 29
5, 000 00

*2,"256"6o"
158, 139 62

Total.

158,139 62

First National Bank, Council Bluffs.
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—
Qhecks and other cash items
Exchanges 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. FARNSWORTH, Cashier.

No. 1479.
$i00, 986 30
2, 230 47
50, 000 00

Capital stock paid in .

Surplus fund
36,666 60" Other undivided profits
3,933 18 National bank notes outstanding . . . .
46, 866 50 State bank notes outstanding
8^3 46
3, 700 00 Dividends unpaid .
3, 451 95 Individual deposits
10, 87.5 00 United States deposits
708 09 Deposits of U. S. disbursing officers .
4,715 00

794 45
35, 000 00

$50, 000 00
12, 000 00
11,008 41
45, 000 00
1, 300 00
177, 085 99

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2, 250 00
296, 394 40

Total.

296. 394 40 *

702

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
Pacific National Bank, Council Bluffs.

G. M. DODGE, President.

No. 1684.

W. SIEDENTOPF, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bondt; 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.
$93, 228 32 Capital stock paid in
1, 472 73
50, 000 00 Surplus fund
"34*666*66' Other undivided profits
11,575 61 National bank notes outstanding
17, 728 27 State#bauk notes outstanding
17,844 11
7, 428 52 Dividends unpaid
2, 174 31
4, 000 00 Individual deposits
1,871 63 United States deposits
5, 936 00 Deposits of U. S. disbursing officers.812 59 Due to other national banks
2, 958 20 Due to State banks and bankers
50, 000 00 Notes and bills re-discounted
Bills payable
""2," 249" 34"
Total
303,279 63

$100, 000 00
7, 500 00
4, 377 82
45, 000 00

146, 401 81

303, 279 63

First National Bank, Davenport.
T. T. Dow, President.

L. G. GrAGE, Cashier.

No. 15.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation.....
U. S. bonds to secure deposits
>...
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures. -Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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.
$258, 776 53
713 20
50, 000 U0 [ Surplus fund
Other undivided profits.
4,300 00
40,179 96
11,7-28 93
28, 985 (iO
39 15
1, 490 51

$100, 000 00
50, 000 00
5*7,634 02

National bank notes outstanding
State bank notes outstanding

45, 000 00

Dividends unpaid .
Individual deposits
j United States deposits
Deposits of U. S. disbursing officers.

7, 873 00
761 63
3, 039'50
32, (;00 00 !
!
2,250 00

Due to other national banks
Due to State banks and bankers

211, 674 38

1,454 20
6, 374 81

Notes and bills re-discounted.
Bills payable
,

442, 137 41

Total.

442, 137 41

Citizens' National Bank, Davenport.
F. H. GRIGGS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents .
Due from other 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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1671.

E. S. CARL, Cashier.

$351,615 44 Capital stock paid in.
n, 827 93
50, 000 00 Surplus fund
Other undivided profits
150 00 National bank notes outstanding
41,691 19 State bank notes outstanding
34,917 10 Dividends unpaid.
3, 000 00
5, 884 72 Individual deposits
United States deposits
3, 621 90 Deposits of U. S. disbursing officers.
3, 179 00 Due to other national banks
1, 619 25 Due to State banks and bankers
8,908 55
40, 000 00 Notes and bills re-discounted.
Bills payable
2, 750 00
554, 165 08

Total.

$100, 000 00
40, 000 00
18, 115 37
45, 000 00

315,815 58

3,241 82
31,992 31

554,165 08

REPORT OF THE COMPTROLLER OF THE CURRENCY.

703

IOWA.
Davenport National Bank, Davenport.
B. B. WOODWARD, President.

No. 848.

C. A. MAST, Act'g 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 depositDue from U. S. Treasurer

Liabilities.
$390,394 55 Capital stock paid in.
1,256 69
100, 000 00 Surplus fund *
75, 000 00 Other undivided profits.
200 00
National bank notes outstanding..
36,*017 90 State bank notes outstanding
37,221 66 Dividends unpaid .
10, 000 00
7,939 31 Individual deposits
United States deposits
3,431 51 Deposits of U. S. disbursing officers

$200, 000 00

8, 033 00 Due to other national banks
1,806 34 Due to State banks and bankers . .
10,018 61
45, 000 00 Notes and bills re-discounted.
Bills payable
^
9, 400 00

2, 892 59
1, 405 00

Total.,

735,719 57

Total.

80, 000 00
14, 422 86
88,480 00

313, 848 05
33, 693 57
977 50

735, 719 57

First National Bank, Decorah.
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

No. 493.
$129, 409 42 Capital stock paid in.
386 06
50, 000 00 Surplus fund
O ther undivided profits
2, 317 06
44,439 94
12 91
26,090 05
6,001 82

$75, 000 00
25, 000 00
20, 365 22

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

Individual deposits
United States deposits
131 48 Deposits of U. S. disbursing officers.

10,137 00 Due to other national banks
117 16
825 04 Due to State banks and bankers .
10, 000 00 Notes and bills re-discounted.
Bills payable
2, 250 00
Total.

282,117 94

Total.

T. W. BURDICK, Cashier.

45, 000 00

104, 252 72

12,500 00

282,117 94

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.

J. G. ROUNDS, Cashier.

$215, 790 44 Capital stock paid in.
3,844 49
50, 000 00 Surplus fund
Other undivided profits
41, 728 80
9, 722 82
13, 008 03
16,472 34
5, 967 86
6,000 00
5, 792 09

National bank notes outstanding
State bank notes outstanding

50, 000 00
10,127 20
44, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

15,910 00 Due to other national banks
2, 203 52 Due to State banks and bankers
3, 102 43
30, 900 00 Notes and bills re-discounted.
Bills payable...,,
3, 014 78
423, 457 66

$100,000 00

Total.,

205, 339 16

3, 775 02
10, 216 28

423.457 66

704

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
Iowa National Bank, Des Moines.
No. 2307.

HENRY K. LOVE, President.

GEO. H. MAISH, 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.. 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.

$100, 000 00

$211,818 77 Capital stock paid in.
1,869 13
30, 000 00 Surplus fund
Other undivided profits
5, 3S4 55
5,297 73
15, 253 38
3,257 35
5,124 63
3,825 00
1, 345 86

3, 500 00
8, 972 66

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

27, 000 00

50 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

173, 881 96

2, 859 00 Due to other national banks
367 75 Due to State banks and bankers . . .
1,530 34
36, 600 00 Notes and bills re-discounted Bills payable
3, 350 00

11,267 44
3,211 43

Total.

327, 883 49

327,883 49

First National Bank, Dubuque.
No. 317.

D. N. COOLEY, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures. Current expenses and taxes paid
Premiums paid
Checks and other cash items-.
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit . . .
Due from U. S. Treasurer
Total.

$380, 088 01
7, 057 21
50, 000 00
50,000 00
100 00
21, 969 72
29,404 31
19, 959 74
24, 379 35
5, 942 40

C. H. EIGHMEY, Cashier.

$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
7, 886 09 Deposits of U. S. disbursing officers .

22, 382 00 Due to other national banks
42 L 00
1,102 20 Due to State banks and bankers
30, 000 00 Notes and bills re-discounted.
Bills payable
2, 248 95
652, 940 98

Total.

15,256 62
9,621 63
45, 000 00

231,312 41
36,334 83
509 60
37,137 85
42, 768 04
35, 000 00

652, 940 98

Second National Bank, Dubuque.
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.




No. 2327.

G-. V. SMOCK, Cashier.

$126,485 44 Capital stock paid in .
1, 275 60
33, 500 00 Surplus fund
Other undivided profits
National bank notes outstanding
2,951 89 State bank notes outstanding
509 49
5,710 72 Dividends unpaid..
2,189 80 Individual deposits
3, 500 00
United States deposits
1, 598 35 Deposits of U. S. disbursing officers.
3, 109
446
336
7, 000

00 Due to other national banks
39 Due to State banks and bankers
10
00 Notes and bills re-discounted.
Bills payable
,
1, 507 00

190, 119 78

Total.

$100,000 00
446 94
5, 436 92
30,140 00
140 00
50,151 80

3, 521 27
282 85

190,119 78

REPORT OF THE COMPTROLLER OF THE CURRENCY.

705

IOWA.
Commercial National Bank, Dubuque.
No. 1801.

it. E. GRAVES, President.

H. M. KINGMAN, 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.

$216,379 93 Capital stock paid in.,
6,391 95
50,000 00 Surplus fund
50, 000 00 Other undivided profits 1, 500 00 National bank notes outstanding .
13. 492 47 State bank notes outstanding
14, 862 67 Dividends unpaid .
5, 922 31
3,460 89 Individual deposits
United States deposits
3,003 76
Deposits of U. S. disbursing officers.

$100,000 00

8,555 00 Due to other national banks
550 05 Due to State banks and bankers . . .
2, 618 90
20,000 00 Notes and bills re-discounted.
Bills payable
1, 750 00

12, 866 28
30, 230 43

Total.

398, 487 93

7, 250 00
5, 936 29
40, 500 00

164, 895 81
36, 522 22
286 90

398, 487 93

First National Bank, Elkader.
No. 1815.

H. B. 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

$64, 742 68 Capital stock paid in .
30 98
50, 000 00 Surplus fund
Other undivided profits
" " i , " 200* 66"
National bank notes outstanding . . . .
6, 520 05 State bank notes outstanding
505 97 Dividends unpaid .
8, 940 55
1,275 18 Individual deposits
United States deposits
261 10 Deposits of U. S. disbursing officers.

$50, 000 00
6,000 00
3,613 66
44,000 00.

50 00
39, 566 73

814
52
334
6, 800

00 Due to other national banks
18 Due to State banks and bankers.
45
00 Notes and bills re-discounted.
Bills payable
1, 753 25

143,230 39

Total..

F. H. CARTER, Cashier.

Total.

143, 230 39

First National Bank, Fairfield.
JAS. F. WILSON, 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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1475.
$112,185 73

GEO. D. TEMPLE, Cashier.

Capital stock paid in.

$100, 000 00

4, 643 31

95, 000 00

Surplus fund
Other undivided profits .

15, 000 00
4, 354 79

1, 980 00
940 50
5, 090 88
18,190 60
1, 056 86
5, 000 00

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

84, 484 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

67, 560 26

696 20

1,879 00
32 63

Due to other national banks....
Due to State banks and bankers.

1,323 34

19,105 00 Notes and bills re-discounted.
Bills payable
4, 275 00
271, 399 05

Total.

271,399 05

706

REPORT OF THE COMPTROLLER OF THE CURRENCY.
I O VTA.
First National Bank, Port 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
Total.

Liabilities.
$85, 500 36 Capital stock paid in.
2,831 71
50, 000 00 Surplus fund
Other undivided profits.,
1,227 S3 National bank notes outstanding
448 70 State bank notes outstanding
2, 030 67
11, 464 30 Dividends unpaid.
1, 057 26 Individual deposits
United States deposits
181 62 Deposits of U. S. disbursing officers.
1,744 00 Due to other national banks
165 03 Due to State banks and bankers
539 85
6,152 00 Notes and bills re-discounted.
Bills payable
2, 250 00
Total .

165, 593 33

$50, 000 00
27, 000 00
3,969 97
45, 000 00

38, 837 43

341 62
444 31

165, 593 33

Merchants' National Bank, Fort Dodge.
J. M. MULRONEY, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures -.
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. H. RICH, Cashier,

No. 1947.

$63,163 52 Capital stock paid in.,
158 48
50, 000 00 Surplus fund
Other undivided profits
1, 505 49 National bank notes outstanding
State bank notes outstanding
5, 878 20 Dividends unpaid .
3, 790 30
1,045 68
3,242 14 Individual deposits
United States deposits
1,122 68 Deposits of U. S. disbursing officers.

$50, 000 00
10, 000 00
4, 002 66
45, 000 00

36, 030 67

6, 274
130
472
6,000

00 Due to other national banks
00 Due to State banks and bankers .
84
00 Notes and bills re-discounted.
Bills payable
!, 250 00
Total.

145, 033 33

145, 033 33

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.

$159, 844 64 Capital stock paid in .
3, 556 14
65, 000 00 Surplus fund
Other undivided profits
"""35,"o66"6o'
11,814 49
National bank notes outstanding .
State bank notes outstanding
2,954 44
3,
3,
1,
11,

521
348
619
391

82
60
36
63

3,127 00
1,064 70
1, 000 00
17,000 00

$65,000 00
65, 000 00
5, 331 89
58, 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
,

108, 372 64

20, 963

2,925 00
323,167 82

Total.

323,167

REPORT OF THE COMPTROLLER OF THE CURRENCY.

707

IOWA.
First National Bank, Grinnell.
No. 1629.

ALONZO STEELE, President.

CHAS. H. SPENCER, 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

$171,312 12
1,311 73
50, 000 00

11,443 45
12,306 94
2| 139 22
1, 434 01
3, 639 00
347 50
2, 696 25
6, 000 00

Capital stock paid in

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

23,814 95
5,255 61
45, 000 00

87, 287 88

3, 521 78

2, 250 00
264, 880 22

Total.

$100, 000 00

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid

Total.

264, 880 22

First National Bank, Hamburg.
J. N. CORNISH, President.

J. H. HERTSCHE, Cashier.

No. 2364.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
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 cash4tems
Exchanges 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

$49,293 12 Capital stock paid in .

'""30," 665*66' Surplus fund

3,385 09

Other undivided profits
National bank notes outstanding
State bank notes outstanding
10, 815 07 Dividends unpaid .
631 91
233 25
2, 473 11 Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

26, 000 00

18,140 72

503 00 Due to other national banks
23 00 Due to State banks and bankers .
39 35
2,164 00 Notes and bills re-discounted.
Bills payable
1, 350 00
97, 525 81

Total.

97,525 81

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
Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer .

Total




,

H. P. BROWNE, Cashier..

No. 1581.
$178,655 28
1,244 88
50, 000 00
7,202 68

13,837 52
4,310 97
24, 360 42
1, 543 04
3 12
134 40
14, 003 00
342 93

1, 526 01
18, 000 00

Capital stock paid in .

$100, 000 00

Surplus fund
Other undivided profits .

20, 000 00
39,698 05

National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

45, 000 00

Individual deposits
United States deposits...Deposits of U. S. disbursing officers.

114,716 20

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

4, 250 00
319,414 25

Total.

319,414 25

708

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
People's National Bank, Independence.
No. 2187.

•E. Ross, President.

J. F. COY, Cashier,

Resources.
Loans and discounts
Overdrafts
XT. S. bonds to secure circulation
U. S. bonds to secure deposits.
U. S. bonds on hand . .
•Other stocks, bonds, and mortgages .
Due from approved reserve agents . .
Due from other banks and bankers..
Real estate," furniture, and fixtures . .
Current expenses 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

Liabilities.
$94, 456 41 Capital stock paid in .
3,991 80
42, 000 00 Surplus fund
,
Other undivided profits
5,126 52
109 14
3,189 72
1,570 18
2, 797 50
624 02

4, 476
40
1, 495
4, 000

3, 000 00
6, 213 96

National bank notes outstanding
State bank notes outstanding

37,800 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers -

00 Due to other national banks
67 Due to State banks and bankers .
55
00 Notes and bills re-discounted.
Bills payable
,

43, 290 17

463 38

1,890 00

165,767 51

Total.

$75, 000 00

Total.

165, 767 51

First National Bank, Indianola.
A. R. HENRY, President.

Gk A. WORTH, Cashier.

No. 1611.

Loans and discounts
Overdrafts
U. !S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
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, 934 87 Capital stock paid in.
3,117 39
50, 000 00 Surplus fund
,
Other undivided profits.
National bank notes outstanding
11, 255 37 State bank notes outstanding . . . . —
4, 447 99
12,480 00 Dividends unpaid
3, 132 47 Individual deposits
4, 777 00 United States deposits
5,884 09 Deposits of U. S. disbursing Officers .
3,500 00
12 30

Due to other national banks
Due to State banks and bankers
15, 500 00 Notes and bills re-discounted.
Bills payable
1,988 00

3, 500 00
4,116 70
45, 000 00
960 00
95, 459 77

35 83
7, 000 00

2, 042 82
206, 072 30

Total.

$50, 000 00

206, 072 30

Total.

First National Bank, Iowa City.
P E T E R A. DEY, President.

Loans and discounts
Overdrafts
XL S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
'Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, 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




,

W. M. ANDERSON, Cashier.

No. 18.

$104, 917 49 Capital stock paid in .
2,041 35
50, 000 00 Surplus fund
Other undivided profits.
250 00
National bank notes outstanding
6, 841 30 State bank notes outstanding
4,861 59
8,423 14 Dividends unpaid .
J8 70

13 85 Individual deposits
United States deposits
926 00 Deposits of U. S. disbursing officers
10, 515 00 Due to other national banks
1, 192 03 Due to State banks and bankers
2,011 35
12,915 00 Notes and bills re-discounted.
Bills payable
,
2, 250 00
207,176 80

Total.

$100, 000 00
5, 088 05
45, 000 00

56, 578 17

394 43
116 15

207,176 80

REPORT OF THE COMPTROLLER OF THE CURRENCY.

709

IOWA.
Keokuk National .Bank, Keokuk.
WM, PATTERSON, President.

]STo. 1992.

E D . F. BROWNELL, Cashier.

Resources.

Liabilities.

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 b a n k s . . . . . ,
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$141,492 31
609 82
51, 000 0U

Capital stock paid in.

$100, 000 00

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

13,149 50
3, 220 85
4,368 62 Dividends unpaid .
4, 623 52 Individual deposits
3, 077 68 United States deposits
264 02
Deposits of U. S. disbursing officers.
7 00 Due to other national banks
49? 70 Due to State banks and bankers
96 73
19, 500 00 Notes and bills re-discounted.
Bills payable
2, 295 00

45,900 00
129 00
83,472 86

3,436 10

2, 790 87

244,202 75

Total.

244, 202 75

4, 000 00
4,473 92

State National Bank, Keokuk.
No. 1441.

A. HOSMER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand..
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency...
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

O. C. HALE, Cashier.

$247, 010 79 Capital stock paid in.
621 07
50, 000 00 Surplus fund
Other undivided profits
15, 000 00
16,163 24
11,077 77
10, 000 00
7,414 08

$150,000 00
60, 000 00
17, 532 32

National bank notes outstanding . . . .
State bank notes outstanding
Dividends unpaid.

Individual deposits
United States deposits
1, 075 96 Deposits of U. S. disbursing officers.

5, 820 00 Due to other national banks
166 62
1,815 20 Due to State banks and bankers
29, 457 00 Notes and bills re-discounted.
Bills payable
2, 250 00
397,871 73

45, 000 00

Total.

117,544 26
•1,948 17
5,846 98

397,871 73

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 agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. J. BRIGGS, Cashier.

$108, 220 74 Capital stock paid in .
4,338 65
50, 000 00 Surplus fund
Other undivided profits..
8,430 24
National bank notes outstanding
3, 902 54 State bank notes outstanding
3,231 00
10, 275 00 Dividends unpaid.
1,459 25 Individual deposits
3,913 56 United States deposits
119 36 Deposits of LZ. S. disbursing officers

$100, 000 00
7, 500 00
4, 758 86
45, 000 00
200 00
58,029 68

4, 958 00 Due to other national banks
,
40 20 Due to State banks and bankers.
350 00
14, 000 00 Notes and bills re-discounted.
Bills payable
2, 250 00
215, 488 54

Total.

215, 488 54

710

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
Marion County National Bank, Knoxville.

LARKIN WRIGHT, President.

No. 1986.

O. P. WRIGHT, 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 .

$66, 521 00
4,060 02
60, 000 00

4,173 35
10, 306 64
1,386 00
1, 160 3L
6, 035 16
361 38
568 00
4 24
405 00
11, 000 00

$60, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding

3, 500 00
2, 625 57
54,000 00

Dividends unpaid.
Individual deposits
United States deposits
,.
Deposits of U. S. disbursing officers.

48, 555 53

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.,
Bilis payable
,

2, 700 00

Total-

168,681 10

168,681 10

First National Bank, Lansing.
No. 405.

MORITZ KERNDT, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
..
............
Checks and other cash items
Exchanges for clearing house....
Bills of other b a n k s . . .
Fractional currency
...
..
Specie
Legal tender note*
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$56,269 92
3, 165 65
50, 000 00

10,801 23
176 78
5, 300 0)
2,348 65

3, 400 00
18 86

325 00
8, 305 00

J. W. THOMAS, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

$50,000 00
21,000 00
4, 387 63
44, 000 00

147 50

Individual deposits
United States deposits
..
Deposits of U. S. disbursing officers.

22, 825 96

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2,250 00
Total.

142,361 09

142,361 09

First National Bank, Lisbon.
HARRISON STUCTCSLAGER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages . .
Due from approved reserve 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. 2182.
$70, 584 69
50,000 00

GODLIEB AURACHER, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

4,-761 40 Dividends unpaid .
Individual deposits
United States deposits
14 59 Deposits of U. S. disbursing officers.
247 00 Due to other national banks
10 15 Due to State banks and bankers ,
400 00
3, 500 00 Notes and bills re-discounted.
Bills payable
2,250 00
131,767 83

Total.

$50, 000 00
10,000 00
1, 980 33
45, 000 00

24, 414 24

373 26

131, 767 83

REPORT OF THE COMPTROLLER OF THE CURRENCY.

711

IOWA.
First National Bank, Lyons.
No. 66.

JAS. P. GAGE, President

W I L L I A M HOLMES, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
XL S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks 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

$210,247 35
1,924 96
100, 000 00
1,988 52
18, 945 26
11, 305 59
2,386 14
3, 623 87
574 69
4,816 00
492 41
992 06
12, 000 00

Capital stock paid in

50, 000 00
13, 998 62

National bank notes outstanding
State bank notes outstanding

88, 440 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

117, 820 51

4,370 27
167 45

Notes and bills re-discounted.
Bills payable

5, 500 00
Total.

374, 796 85

Total.

$100,000 00

Surplus fund
Other undivided profits.

374, 796

First National Bank, Malvern.
No. 2247.

J. M. S T RAH 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

$53,814 6L
3, 878 40
35,000 00
28 45
5,746 11
1,518 64
969 64
2, 892 47
378 78
2,189
5
337
1, 500

00
70
00
00

Capital stock paid in.

$50, 000 00
9,876 27
2, 675 50

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

31,500 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

15, 782 03

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable
,

1, 575 00
Total.

109,833 80

Total.

L. BENTLEY, Cashier.

109, 833 80

First National Bank, Maquoketa.
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 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. T r e a s u r e r . . . . . . . . . .
Total.




No. 999.
$67, 365 28
2, 947 72
50,000 00

HENRY REIGART, Cashier.

Capital stock paid in.,

$50, 000 00

Surplus fund
Other undivided profits

10, 000 00
9, 13 L fc9

1,267 10
449 51
1,819 78
4,836 00
530 81

National bank notes outstanding
State bank notes outstanding
...

45, 000 00

1,221
45
340
9, 5U0

Due to other national banks
Due to State banks and bankers

00
27
00
00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

28, 269 25

171 33

Notes and bills re-discounted.
Bills payable
,

2, 250 00
142,572 47

Total.

142, 572 47

712

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
First National Bank, Marion.
No. 117.

R. D. STEPHENS, President.

J. W. BOWDISH, Cashter*

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.
$92,434 51 Capital stock paid in .
3, 332 67
67, 000 00 Surplus fund
Other undivided profits

$67, ooo oa
11,700 00
3,144 8L

166*66'

1,00O 00
11,751 10
5, 662 90
3, 670 00
1,371 39
602 41
5,300 00
96 64
I, 800 00
20, 000 00

National bank notes outstanding
State bank notes outstanding . . .

60, 200 00

Dividends unpaid .

19, 400 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

55,776 81

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

3,100 00
Total .

217,221 62

217, 22 L 62

First National Bank, Marshalltown.
GEORGE GLICK, President.

No. 411.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks 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.

$192,885 33
5,617 62
50, 000 00

T. J. FLETCHER, Cashier.

$100, 000 00

Capital stock paid in
Surplus fund
Other undivided profits

25, 000 00
6,208 27

National bank notes outstanding
12,875 17 State bank notes outstanding
1,576 31
27, 496 75 Dividends unpaid
1, 923 26
Individual deposits
1, 118 03 United States deposits
Deposits of U. S. disbursing officers..
" " 7 , 6 4 0 66
Due to other national banks
270 60
980 26 Due to State banks and bankers .
10, 000 00 Notes and bills re-discounted
Bills payable
"" h, 250 66"
Total .
314,638 33

45, 000 00

130, 055 51
3,374 55
5, 000 00

314, 638 33

First National Bank, McGregor.
FRANK 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 mortgages
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house . . . .
Bills of other banks
Fractional currency.,
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 323.

WM. R. KINNAIRD, Cashier.

$132,064 69 Capital stock paid in
279 54
100, 000 00 Surplus fund
ioii'oo" Other undivided profits
4, 636 59 National bank notes outstanding ..
14,873 24 State bank notes outstanding
3, 292 35
17, 727 44 Dividends unpaid
2, 237 12 Individual deposits
United States deposits
515 53 Deposits of U. S. disbursing officer!

$100, 000 00

14, 299 00 Due to other national banks
686 40 Due to State banks and bankers ..
1,023 55
35, 645 00 Notes and bills re-discounted
Bills payable
4,500 00

417 56
10,961 71

331,880 45

Total.

24,700 00
7,001 5589, 993 00
1, 005 00
97,801 63-

331, 8?0 45

REPORT OF THE COMPTROLLER OF THE CURRENCY. 713
IO W A.
First National Bank, Mount Pleasant.
PRESBY SAUNDEKS, President.

No. 299.

HENRY S. CLARKE, Cashier,.
Liabilities.

Resources.
Loans and discounts
*
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks'
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$145,467 27
.849 61
50, 000 00

206*66*
6, 425 00
1,199 89
4,601 90
34, 296 43
1,912 51
641 74
1, 085 00
450 00
1, 925 90
25, 000 U0

Capital stock paid in .

$100, 000 00-

Surplus fund
Other undivided profits

20,000 00
4,015 05.

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

2, 895 00
276, 950 25

Total .

276, 950 25

Total.

107, 935 20 •

National State Bank, Mount Pleasant.
TIMOTHY WHITING, President.

Loans and discounts
Overdrafts
17. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. 922.

•730 00 Due to other national banks
,
113 73
2, 639 72 Due to State banks and bankers.
29,191 00 Notes and bills re-discounted.
Bills payable
4,500 00
Total.

489, 033 74

Total.

J. H. WHITING, Cashier..

$249, 933 29 Capital stock paid in .
2,159 19
100, 000 00 Surplus fund
""24,"666"66' Other undivided profits
9, 500 00 National bank notes outstanding . . .
16,715 63 State bank notes outstanding
11,057 47 Dividends unpaid.
36, 892 79
16 67 Individual deposits
United States deposits
984 25 Deposits of U. S. disbursing officers.

$100, 000 00
50, 000 00
17,181 13
90, 000 00 '

212,204 77

647 84
10, 000 00
9, 000 00
489, 033 74

Merchants' Exchange National Bank, Muscatine.
SIMOV G-. STEIN, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers.
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.
$130,782 22
4, 296 45
50, 000 00

If600 66"
858 54
2,318 20
15,600 13
875 01
1, 260 51
1,354 00
477 21
2, 335 00
16, 800 00

PETER JACKSON, Cashier.

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits

50, 000 00
7, 858 15

National bank notes outstanding
State bank notes outstanding

24, 450 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

267 50
96, 950 37
1,179 58
101 67

2, 250 00
230,807 27

Total.

230, 807 27

714

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
Muscatine National Bank, Muscatine.

G. A. GARRETTSON, President.

No. 092.

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
Total.

$157,751 03 Capital stock paid in.
2, 579 69
50, 000 00 Surplus fund
Other undivided profits
2, 100 00 National banknotes outstanding
7,791 37 State bank notes outstanding . . .
3, 440 64 Dividends unpaid .
3, 215 64
1, 795 77 Individual deposits
United States deposits
1,611 85 Deposits of U. S. disbursing officers
3,518 00
237 20
709 30
12,000 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable
,„

$100, 000 00
18, 500 00
6, 615 77
45, 000 00

74,885 57

3, 999 15

2,250 00

249, 000 49

Total.

249, 000 49

Osage National Bank, Osage.
No. 1618.

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 cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$89, 449 41 Capital stock paid in.
5, 891 43
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
14,874 48 State bank notes outstanding
64,164 44 Dividends unpaid .
6,104 90
330 91 Individual deposits
984 02 Unted States deposits
Dt p isits of U. S. disbursing officers -

$50, 000 00
28,000 00
4, 632 47
36, 000 00

141, 735 00

6, 562 00 Due to other national banks
2U5 88 Due to State banks and bankers .
20, 000 00 Notes and bills re-discounted.
Bills payable
3,800 66
260, 367 47

Total.

J. P. BRUSH, Cashier.

260, 367 47

Total.

National State Bank, Oskaloosa.
SETH RICHARDS, President.

Loans and discounts
Overdrafts.
U. S. bonds to secure circulation
U. S. bonds to secure deposits
LI. S. bonds Qn hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, 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. 1101.

E. D. LINDLY, Cashier.

$179,729 69 Capital stock paid in .
11, 030 74
100, 000 00 Surplus fund
Other undivided profits.
4, 000 00 National bank notes outstanding
19, 862 06 State bank notes outstanding
1,634 53
8, 104 00 Dividends unpaid .
2,397 49 Individual deposits
United States deposits
5, 207 19 Deposits of U. S. disbursing officers.

$100,000 00
21,000 00
26, 218 21
90, 000 00

111,827 89

1,391 00 Due to other national banks
494 90 Due to State banks and bankers .
1,694 50
9, 000 00 Notes and bills re-discounted.,
Bills payable
,
4,500 00
349,046 10

Total.

349, 046 10

REPORT OF THE COMPTROLLER OF THE CURRENCY.

715

IO W A .
First National Bank, Ottumwa.
No. 107.

W. B. B O N N I F I E L D , President.

W M , A. M C & R E W , 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 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 . <

5142,039 08
5,547 95
67, 000 00
650 00
18, 372 97
29, 908 65
16,849 34
29,064 40
825 45
3,662 42
4,526 00
830 00
1, 274 80
30, 000 00

Capital stock paid i n . .

$60, 000 00

Surplus fund
Other undivided profits

40, 000 00
9,499 84

National bank notes outstanding
State bank notes outstanding

60,000 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

412 37

Notes and bills re-discounted .
Bills payable

3.00L 11
Total..

351,552 17

Total

181, 639 96

351,552 17

Iowa National Bank, Ottumwa.
No. 1726.

OHAS. F. B L A K 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

$161,744 80
430 24
50, 000 00
5,810
3,718
4, 972
23, 842
1,782
4, 000

94
72
50
00
85
00

686 01

Checks and other cash items.
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, 990
332
1,293
15, 000

00
85
5L
00

J . W. EDGERLY, Cashier.

Capital stock paid in.

$60,000 00

Surplus fund
Other undivided profits

40, 000 00
10,255 47

National bank notes outstanding
Siaie bank notes outstanding

45, 000 00

Dividends unpaid .
Indivltlus 1 deposits
United St&tes 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, 376 89

90 84
1,102 47
20, 000 00

Total.

279, 825 67

First National Bank, Pella.
E. R. CASSATT,

President.

No. 1891.

W M . F I S H E R , 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.

$79, 716 37

Capital stock paid in.

"56,666 66

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

3,128 56
4,373 62
5,069 15
1, 429 49
4, 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.

H. Ex.




336 06
400 00
12 64
4,630 50
5, 000 00

National bank notes outstanding
State bank notes outstanding

$50,000 00
2,500 00
6,863 52
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

56, 050 47

32 40

Notes and bills re-discounted.
Bills payable

2, 350 00
160,446 39

Total.

160, 446 39

716

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
Pella National Bank, Pella.
No. 2063.

P. H. BOUSQUET, Preside)

JOHN NOLLEN, 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

|

$251,638 92
6, 412 19
150, 000 00

20, 641 33
1, 564 31

$150, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
Rational bank notes outstanding
State bank notes outstanding

135, 000 00

Dividends unpaid .

6, 098 48

Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

1, 545 00
396 37
785 00
8,000 00

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted
Bills payable

6, 750 00

6,000 00
4,705 14

453, 831 60

Total. .

148,126 46

10, 000 00
453,831 60

First National Bank, Red Oak.
No. 2130.

C. H. LANE, President.
Loans and discounts
,
Overdrafts
,
U. S. bonds to secure circulation
U. S. bonds to secure deposits..
U. S. bonds on hand.
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid....
Premiums paid
Checks and other cash items
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. F. CLARKE, Cashier.

$113,028 35 | Capital stock paid in .
330 45
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
5, 600 57 State bank notes outstanding
7, 539 90
12. 420 00 Dividends unpaid
2, 128 30 Individual deposits
6, 100 00 United States deposits
1,020 65 Deposits of U. S. disbursing officers.
10,278
655
2, 182
20, 000

00
20
50
00

$50, 000 00
30; 000 00
4,353 99
45,000 00

103, 14! 64

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

Total.

232, 495 63

Valley National Bank, Red Oak.
H. N. 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

Total.




No. 2230.
$69, 552 89
4, 696 22
30, 000 00

7, 264
14, 739
4, 968
5, 468
1, 693
1,266
171
642
5, 576

R. M. ROBERTS, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

93
87 Dividends unpaid .
95 Individual deposits
75 • United States deposits
78 j Deposits of U. S. disbursing officers.
00
40
05
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
7, 158 70

44,979 64

252 50
8, 000 00

1,350 00
147, 390 84

Total.

147, 390 84

REPORT OF THE COMPTROLLER OF THE CURRENCY.

717

IOWA.
First National Bank, Shenandoah.
No. 2363.

THOS. H. READ, President.

A. J. CROSE, 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
Premium -t 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

$71, 990 87
13,170 64
30, 000 00

5, 017
9, 000
145
2, 975
2, 709

48
00
71
85
38

$50, 000 00

Capital stock paid in.

1, 858 38

Surplus fund
Other undivided profits .
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, 537 49

1,523 00

99 56

Due to other national banks
350 00 Due to State banks and bankers .
5, 300 00 Notes and bills re-discounted.
Bills payable
1, 350 00

20, 067 50

143, 562 93

Total

143, 562 93

First National Bank, Sigourney.
No. 1786.

JOSEPH KECK. President.

Loans and discounts Overdrafts

j

U. S. bonds to secure circulation
I
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... 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

IRVING A. KECK, Cashier.

$51,810 35 Capital stock paid in
1,132 23
50, 000 00 Surplus fund
|
Other undivided profits
National bank notes outstanding
|
j
6, 144 75 State bank notes outstanding
5, 499 88 Dividends unpaid
j
30,389 13
1,485 72 Individual deposits
United States deposits
5, 575 45 Deposits of U. S. disbursing officers..

$50, 000 00
6, 000 00
4, 756 32
45, 000 00

66,609 94

3 028 00 Due to other national banks
347 50 Due to State banks and bankers.
1,650 98
12, 000 00 Notes and bills re-discounted.
Bills payable

Total.

172,366 26

First National Bank, Sioux City.
A. W. HuBBARD, President.
Loans and discounts
.Overdrafts
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..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. 1757.

THOS. J. STONE, Cashier.

$153,714 73 Capital stock paid in
455 34
100, 000 00 Surplus fund
95,000 C
O Other undivided profits
6,982 41
19, 736 64
10, 594 93
39, 972 57
3,023 68
22,162 76

$100, 000 00
,

National bank notes outstanding

90, 000 00

State bank notes outstanding
Dividends unpaid

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
1,602 00
214 88 Due to other national banks
1,707 75 Due to State banks and bankers
13, 330 00 Notes and bills re-discounted
7, 686 21 Bills payable
3, 940 70

480,124 60

20, 000 00
13, 949 34

Total

1, 040 00
140, 783 00
32, 168 74
15,902 67
36, 130 61
3, 350 24
26, 800 00

480,124 60

718

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
First National Bank, Tama City.

B. A. H ALL, President.

No. 1860.

G. H. WARREN, Cashier.

Liabilities.
$45, 588 05
3, 770 44
50,000 00

Lo <ns and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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
5,078 81
818 00
17, 039 39
1,2-28 74
4, 5'10 0G
1, 357 89

Capital stock paid in.

I

Surplus* fund
Other undivided profits

|
|

National bank notes outstanding
State bank notes outstanding
Dividends unpaid . .

225 00
27, 895 05

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

4, 883 77
3,500 00

Total.

135, 179 44

5, 000 00
675 62
45, 000 00

576 00 Due to other national banks
16 01
186 11 Due to State banks and bankers .
2, 670 00 Notes and bills re-discounted..
Bills payable
2, 250 00

Total..

$50,000 00

135,179 44

First National Bank, Washington.
R. R. BOWLAND, Cashier.

NORMAN EVEPSON,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 . 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

!

$135, 690 66 Capital stock paid i n . . . .
1,200 85
5'), 000 00 Surplus fund
Other undivided profits
|
1, 700 00
National bank notes outstanding
3, 351 47 State bank notes outstanding
1,240 16
14, 232 45 Dividends unpaid .
I, 635 72 ! Individual deposits
ij United States deposits - .
927 75 ij Deposits of U. S. disbursing officers.
7, 807 00 Due to other national banks
307 00 Due to State banks and bankers
1,082 75
1
25,000 00 1 Notes and bills re-discounted.
".... j Bills payable
2, 250 00 h
246,425 81

Total.

I

$100,000 00
20, 000 00
6, 983 01
45, 000 00

72,419 60

2, 023 20

246, 425 81

Washington National Bank, Washington.
A. W. CHILCOTE, 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 barkers..;
Real estate, furniture, and fixtures...
Current expenses and taxes paid
i
Premiums paid
|
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. 1762.

J. R. RICHARDS, Cashier.

Capital stock paid in .

$100, 000 00

Surplus fund Other undivided profits

15,000 00
6, 705 61

National bank notes outstanding...
State bank notes outstanding

44, 980 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.

126,378 70

181 90

293, 246 21

REPORT OF THE COMPTROLLER OF THE CURRENCY.

719

IO WA.
First National Bank, Waterloo.
ROBERT MANSON, President.

No. 792.

HENRY B. ALLEN, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulatiou
U. S. bonds to secure deposits
U. S. bonds on hand...
Other stocks, bonds, and mortgages.
Due from approved reserve agents. Due from other banks and bankers .
Real estate, furniture, and fixtures. Current expenses and taxes paid
Premiums paid
Checks and other cash items
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.
$80,524 18 Capital stock paid in .
19 69
50,000 00 Surplus fund
Other undivided profits
National bank notes outstanding . . . .
11,749 58 State bank notes, outstanding
1.1,558 77
21, 703 40 Dividends unpaid .
5, 126 74 Individual deposits
United States deposits
1, 482 75 Deposits of U. S. disbursing officers .
3,840 00
262 55
65:2 59
7, 000 00

$50, 000 00
7,000 00
11;451 99
45, 000 00

82,718 26

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted .
Bills payable

Total.

Total.

196,170 25

First National Bank, Webster City.
No. 1871.

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 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
Check* 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

$79,
6,
50,

B. S. MASON, Cashier.

6 8 ; Capital stock paid i n .
06 i
00 : Surplus fund
Other undivided profits

$50, 000 00
.

'.

28. 000 00
4,341 19

...

45, 000 00

Individual deposits
United States deposits..
Deposits of IT. S. disbursing officers..

47, 499 38

National bank notes outstanding
State b a n k notes outstanding
Dividends unpaid-

509 69
08 fi
4.U
875
500
25')
298

Due to other national banks
Due to State banks and b a n k e r s . . .

238 08

Notes and bills re-discounted .
Bills payable

Total.

Total

175, 078 65

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 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 -




No. 2015.

E. A. WHITNEY, Cashier.

$87, 256 63 | Capital stock paid in
8.58 84
50, 000 00 I j Surplus fund
*
Other undivided profits
j National bank notes outstanding
11,430 13 |! State bank notes outstanding
...
*.i8,"6oo"oo" Dividends unpaid
1, 545 69 Individual deposits
5, 000 00 ! United States deposits
37 95 Deposits of U. S. disbursing officers.
3, 361
61
615
4, 385

00 !i Due to other national banks . . . . .
33 :i Dae to State banks and bankers..
16
00 I Notes and bills re-discounted.
jl Bills payable.
2, 250 00
184,781 73

Total

$50, 000 00
44, 797 53
45, 000 00

44, 964 74

19 46

184, 781 73

720

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IOWA.
Citizens' National Bank, Winterset.
No. 2002.

J. J. HUTCHINGS, President.

L. F. SMITH, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
U. 8. 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 bankersReal estate, furniture, and fixtures.
Current expenses and taxes paid...
Premiums paid
Chocks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$68.196 38 Capital stock paid in
i; 135 26
50, 000 00 Surplus fund
Other undivided profits
45 00 National bank notes outstanding
12,311 69 State bank notes outstanding.
I, 632 60
• ends unpaid .
3,412 71
861 85 Individual deposits
4, 847 00 United States deposits
,
256 75 Deposits of U. S. disbursing officers
2, 708 00 Due to other national banks
512 60 Due to State banks and bankers .
862 50
14,000 00 Notes and bills re-discounted.
Bills payable
2,250 00
Total

163, 032 34

$50,000 00
6,000 00
2,223 71
45,000 00

59, 797 66

10 97

13, 032 34

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, bondw, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures.
Current expenses and taxes paid
Premiums paid.
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. >S. certificates of deposit
Due from U. S. Treasurer

FREDERICK MOTT, Cashier.

$134,518 02 ! Capital stock paid in
$100, 000 00
1,851 40
50, 000 00 Surplus fund
19, 000 00
Other undivided profits
2, 225 04
j
44, 990 00
10, 000 00 National bank notes outstanding
j
7, 528 22 State bank notes outstanding
9, 457 23 Dividends unpaid
....._
8, 984 60
1,747 03 Individual deposits
I
63,293 50
y 68
United States deposits
}
529 42 Deposits of U. S. disbursing officers ..
155 00
318 15
1,404 55
12, 000 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

1, 926 52
318 24
9, 000 00
240, 753 30

Total .

First National Bank, Wyoming.
WALLACE T. FOOTE, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation......
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers...
Real estate, furniture, and fixtures ..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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.
$70, 795 71
1, 866 69
50, 000 00

4, 405 99
1, 852 80
2, 637 00
6, 000 00
2, 952 23
242 00
109 91
515 00
2, 620 00

Capital stock paid in.
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$50, 000 00
2, 750 00
2, 752 45
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

43, 377 86

2, 456 25

""% 339 23'
146,336 56

Total

146, 336 56

REPOET OF THE COMPTROLLER OF THE CURRENCY.

721

MINNESOTA.
First National Bank, Austin.
No. 1690.

O. W. SHAW, President.

HARLAN W. PAGE, 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.

$99, 383 83
520 92
30, 000 00
4,542 00
6, 904 83
14, 582 60
26,967 15
2, 232 89
2, 143 28
985 00
271 39
1, 528 78
25, 886 00

$50, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

10, 000 00
31, 642 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

95,663 34

428 73
3, 064 00

1,850 00
217,798 67

Total .

217, 798 67 |

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. ..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
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$116,455 08
5, 220 37
50, 000 00

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits
750 00 National bank notes outstanding .
5, 143 15 State bank notes outstanding
11,788 35
17. 350 00 Dividends unpaid .
2, 029 06 Individual deposits
5, 000 00 United States deposits
4,138 94 I Deposits of U. S. disbursing officers

1, 068
540
455
19, 350

00 ! Due to other national banks
06
7L | Due to State banks and bankers .
00 ! Notes and bills re-discounted
"" 3*205 6l"i Bills payable
242,494 33

Total.

THOMAS MEE, Cashier.

10, 000 00
8, 877 21
45, 000 00

111, 946 50

1,170 62
15, 500 00
242,494 33

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. W H I P P L E , Cashier.

$154, 490 50 Capital stock paid in.
1,271 38
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
14,342 19 State bank notes outstanding
14, 035 03
15,387 47 Dividends unpaid .
438 24 Individual deposits
5,000 00 j United States deposits
313 30 ; Deposits of U. S. disbursing officers.
2, 055 00 | Due to other national banks
394 35
1,519 42 ! Due to State banks and bankers
13, 525 00 j Notes and bills re-discounted.
j Bills payable

$80, 000 00
5, 600 00
2, 767 93
44,000 00

150 00
129, 826 01
572 44
305 50
11, 800 00

2, 250 00 I
275,021 88 j

275,021 88

722

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MINNESOTA.
First National Bank, Fergus Falls.

HENRY G-. PAGE, President.

No. 2030.

JAMES COMPTON, Cashier.

Resources.

Liabilities.
$64, 639 95 ! Capital stock paid in
862 15 !
Surplus fund
30, 000 00
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

1,856 45
3,984 74
2, 88 L 58
72 79
2,000 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
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit . .
Due from U. S. Treasurer
Total

..

454 00
63 77
2,437 00

$50, 0C0 00
3,250 00
888 96

National bank notes outstanding . . . .
State bank notes outstanding

27, 000 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

29, 463 47

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable

1, 350 00
110, 602 43

. . .

Total

110, 602 43

First National Bank, Hastings.
STEPHEN GARDNER, President.

L. S. FOLLETT, Cashier.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secvire 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
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
i

Total

$177, 678 30 I Capital stock paid in .
2,419 39
Surplus fund
61, 000 00
Other undivided profits
700 00
National bank notes outstanding
State bank notes outstanding
16, 037 31
10, 520 23
Dividends unpaid .
12,633 21
1, 101 61 Individual deposits
•
77 00
United States deposits
643 65
Deposits of U. S. disbursing officers .

$100 000 00
34, 000 00
7, 020, 85
54,900 00

119, 305 90

5,830 00 | Due to other national banks
369 60 I Due to State banks and bankers .
3, 342 45
20,129 00
Notes and bills re-discounted.
Bills payable
2, 745 00
Total

315,226 75

,

315,226 75

First National Bank, Kasson.
No. 2159.

A. L. PORTER, Vice-President.
Loans and discounts
!
Overdrafts
I
U. S. bonds to secure circulation
I
U. S. bonds to secure deposits
j
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
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.




|
I
j

$66,812 69
517 29
40, 000 00

E. E. FAIRCHILD, Cashier.

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits

16, 000 00
1, 482 61

National bank notes outstanding
State bank notes outstanding
14, 565 29
Dividends unpaid
9, 469 55 j
1, 115 74
Individual deposits
2, 800 00
United States deposits
323 69
Deposits of U. S. disbursing officers.

36, 000 00

-.

Due to other national banks
Due to State banks and b a n k e r s . .
272 20 !
5f ooo 00 I Notes and bills re-discounted.
Bills payable
*"i,"8oo*66 i
21,412 00

164, 088 45 i

Total.

420 00
58, 920 55

1, 265 29

164, 088 45

REPORT OF THE COMPTROLLER OF THE CURRENCY.

723

MINNESOTA.
First National Bank, Lake City.
No. 1740.

M. A. BALDWIN, President.

L. S. VAN VLIET, 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

$117,078 85 Capital stock paid in.
171 67
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
13, 740 73 State bank notes outstanding
117 40
13, 442 47 Dividends unpaid .
521 30 Individual deposits
United States deposits
Deposits of U. S. disbursing officers..
3, 585 00 Due to other national banks
187 46 Due to State banks and bankers .
64 20
7, 000 00 Notes and bills re-discounted.
Bills payable
4, 650 00

11. 000 00
2,462 16
45, 000 00

87, 096 92

5, 000 00

210, 559 08

Total.

210, 559 08

Total

$60, 000 00

First National Bank, Mankato.
No. 1683.

J. B. HUB BELL, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. 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
,

$153,222 (H
5,212 14
50, 00J 00

$120,000 00

Capital stock paid in

Surplus fund
Other undivided profits
11,980 00 National bank notes outstanding
8, 296 00 State bank notes outstanding
4, 302 26
29, 200 31 Dividends unpaid .
J6, 740 02 Individual deposits
3,093 45 United States deposits. ...
r
Deposits of U. S. disbursing officers .
4,639 00
270 6 I
105 50
6, 422 00

" 2," 248 30'

Due to other national banks
Due to State banks and bankers . . .
Notes and bills re-discounted
Bills payable

295,731 66

Total.

JOHN N. HALL, Cashier.

10,113 23
15, 726 04
44,984 00

102, 503 58

20 15
2,384 61
295,731 66

Total.

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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total




No. 2005.

JOHN H. RAY, Cashier.

$189, 189 61 Capital stock paid in .
53 51
50,000 00 j Surplus fund
; Other undivided profits
8, 733 83
22, 831 54
16,721 37
3,131 80
6, 000 00
136 43

National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

$70, 000 00
12, 000 00
4, 659 08
45, 000 00
600 00
188,138 06

1,017 00 Due to other national banks
243 00 Due to State banks and bankers.
39 05
20, 000 00 Notes and bill3*re-discounted .
Bills payable
2, 250 00
Total .

320, 397 14

724

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MINNESOTA.
First National Bank, Minneapolis.
No. 710.

J. K. SIDLE, President.

H. G. SIDLE, 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.
$794, 706 75
4, 197 80
150, 000 00
4,250 00
67,570 61
6, 823 52 i
48, 697 63
5, 469 74 I
11,937 27 I
16,6 \ 47
1, 507
343
1, 323
77, 300

00
07
00
00

$200, 000 00

Capital stock paid in
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

34, 467 76
18, 869 80
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

784,195 92

319 91
4, 892 60
20, 800 00

7,431 13 !
Total

1, 198,445 99

1,198,445 99

Merchants' National Bank, Minneapolis.
STEPHEN GARDNER, 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.

J. M. WILLIAMS, Cashier.

No. 1830.
$196,247 46
674 95
150, O'JO 00

10, 010 55
1,373 19
35, 149 57
2, 843 42
4, 585 77
2, 653 83
5,375 00
26'J 74
23, 500 00

$150, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits.
National bank notes outstanding
State bank nates 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

42, 000 00
7, 629 45
135, 000 00

92, 795 03

12, 000 00

"""6,756 "66"
Total.

439, 424 48

439,424 48

North "Western National Bank, Minneapolis.
H. T. WELLES, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures.
Current expenses and taxes paid
Premiums paid
Checks and other cash items..
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2006.
$715, 906 23
6, 747 70
100, 000 00
2, 400 00

71, 478
39,094
42, 598
4,678
9, 000
2,489

76
10
72
46
00
17

2, 374 00
893 91
17, 000 00

4,"c66"66"
1,019,161 05

S. E. NEILER, 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.

$500, 000 00
16, 500 00
18,614 12
87, 500 00
52 50
347, 280 68
358 39
13, 855 36
35, 000 00

1,019,161 05

REPORT OF THE COMPTROLLER OF THE CURRENCY.

725

MINNESOTA.
State National Bank, Minneapolis.
No. 1623.

T. A. HARRISON, President.

JOSEPH DEAN, Cashier.

Liabilities.
Loans and discounts
I
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
j
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
J
U. S. certificates of deposit
j
Due from U. S. Treasurer

$296, 519 13 Capital stock paid in
4,429 25
100, 000 00 Surplus fund
Other undivided profits
17, 939 95 National bank notes outstanding . . .
35, 565 51 State bank notes outstanding
6,951 37
24, 498 75 Dividends unpaid
2, 703 49
12, 000 00 Individual deposits
United States deposits
4, 493 65 Deposits of U. S. disbursing officers..
00 Due to other national banks
76 Due to State banks and bankers
45
00 Notes and bills re-discounted
Bills payable
6, 4S5 39

2, 328
377
54
33, 000

Total

547,346 70

Total.

$100, 000 00
4~669~lb
90, 000 00

328, 043 25

11,068 40
65 95
13, 500 00

547, 346 70

Citizens' National Bank, New Ulm.
MICHAEL MULLEN, President.

No. 23l8.

Loans and discounts
j
Overdrafts
j
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.. .j
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
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.

$56, 769 28
130 65
30, 000 00

3, 578 75
11,837 49
2,264 64
2, 129 76
4,526 22
35 00

'"h'hlb'bo
9 24

"s.iss'uo"
1,850 66

J. C. RUDOLPH, Cashier.

Capital stock paid in..

$50, 000 00

Surplus fund
Ot tier undivided profits
Nafional bank notes outstanding
State bank notes outstanding

388 00
7, 957 57
27, 000 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

33, 750 46

Due to other national banks
Due to State banks and bankers Notes and bills re-discounted.
Bills payable.
119,096 03

119, 096 03

First National Bank, Northfield.
J. C. NUTTING, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents .
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses 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 IJ. S. Treasurer
Total.




No. 2073.

Gr. M. PHILLIPS, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits.
National bank notes outstanding
1,000 00
5,888 82 S tate bank notes outstanding
8, 690 34
2, 000 00 Dividends unpaid.
1,458 07
2, 000 00 Individual deposits
United States deposits
451 48 Deposits of U. S. disbursing officers
3,500 00 |i Due to other national banks
299 69 | Due to State banks and bankers .
1,001 10
20, 000 00
Notes and bills re-discounted.
Bills payable
218,215 <

Total.

$50, 000 00
5,100 00
5,140 35
26,997 00

109, 357 31

833 83
20, 787 49

218,215 9 8 '

726

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MINNESOTA.
First National Bank, Owatonna.

W. R. KlNYON, President.

C. J. KlSYOS, Cashier.

No. 1911.

Resources.

Liabilities.

Loan a 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 .. I..
Due from approved reserve agents...!
Due from other banks and bankers. ,.\
Real estate, furniture, and fixtures !
Current expenses and taxes paid
]
Premiums paid
:
Check.8 and other cash items
Exchanges for clearing house
\.
Bills of other banks
|
Fractional currency
j.
Specie
i
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
;

$125,393 33 Capital stock paid in.
1, 988 43
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
13,276 5) State bank notes outstanding
1,661 34
6, 475 00 Dividends unpaid .
170 68
2, 800 00 j Individual deposits
I United States deposits
185 79 Deposits of U. S. disbursing officers.
15, 352 00
930 90
15,000 00

12,000 00
33, 477 34
45,000 00
1,480 00
83, 526 72

Due to other national banks
1 Due to State banks and bankers .
Notes and bills re-discounted.
j| Bills payable

2,250 00
235, 484 06

235, 484 06

Total.

$60, 000 00

Farmers' National Bank, Owatonna.
L. L. BENNETT, President.

No. 2122.

Loans and discounts
I
Overdrafts
|
U. 8. 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...
Due from other banks and bankers ..
Real estate, furniture, an<i fixtures. ..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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. GUTTERSON, Cashier.

$53,979 61 Capital stock paid in
146 80
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
12, 365 03 State bank notes outstanding
6, 763 03
6, 494 09 Dividends unpaid.
I, 763 07
2,901 !)8 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
233 03
9,906 00
98 04
900 00

8, 000 00
2, 250 00

3, 000 00
9,711 01
44, 980 00

53, 112 70

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted
Bills payable
160, 803 71

160,803 71

Total.

$50, 000 00

First National Bank, Red Wing.
T. B. SHELDON, President.

Loans 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.




JESSE MCINTIRE, Cashier,

No. 1487

$217, 477 49 I Capital stock paid in
1,867 75 i
50, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding . . .
State bank notes outstanding
2,693 80 •
15,595 31 i Dividends unpaid .
1,916 29 | Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

$100, 000 00

1,009 00 !j. Due to other national banks
29 25 Due to State banks and bankers . . .
2,069 33 i
26, 000 00 ! Notes and bills re-discounted.
Bills payable
2, 250 00

4,136 82

320, 90S 22 |

Total.

20, 000 00
33,063 14
45,000 00

98, 708 26

20, 000 00
320, 908 22

REPORT OF THE COMPTROLLER OF THE CURRENCY.

727

MINNESOTA.
First National Bank, Rochester.
No. 579.

JOHN R. COOK, President.

W A L T E R HURLBUT, 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

$182,528 37
634 71
100, 000 00

'20, 2! 9 55
L9,5L6 95
13, 170 44
1,819 83
1,257 30

Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from XJ. S. Treasurer

19, 626 00
262 28
1,449 51
20, 000 00

Capital stock paid in

$100, 000 00

Surplus fund
Other undivided profits

25, 000 00
5,692 12

National bank notes outstanding
State bank notes outstanding

90, 000 00

Dividends unpaid

1

Individual deposits
United States deposits
Deposits of U. S. disbursing officers..
Due to other national banks
Due to State banks and bankers

160, 369 23

3, 973 59

Notes and bills re-discounted
Bills payable

4,500 00
385, 034 94

Total..

Total

385,034 94

Rochester National Bank, Rochester.
No. 231.6.

C. H. CHADBOURX, President.
Loans and discounts
Overdrafts
'.
U. S. bonds to secure circulation.
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages .

CHAS. H. BLISS, Cashier.

$89, 700 76 Capital stock paid in.
1,897 00
30, 000 00 Surplus fund

$50, 000 00
,

Other undivided profits
National bank notes outstanding
11 I State bank notes outstanding
99
Dividends unpaid .
25
76
I Individual deposits
00
I United States deposits
7,931 97 I 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

13,960
7,070
2, 339
4,048
5, 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

33, 610 00
132 92
480 95
6, 000 00

"2,356 65"

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable

204,522 71

Total.

Total.

25, 000 00
8,937 33
27, 000 00

83,573 78

11 60

"16,666 66
204, 522 71

Union National Bank, Rpchester.
J. V. DANIELS, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other 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. 2088.
$113, 027 55
5, 676 67
50, 000 00

13.094
21, 003
1,600
1,127

46
66
48
83

1,778 42
6, 553 00
461 05
1,200 00
10, 000 00

M. J. DANIELS, Cashier.

Capital stock paid in.

$50, C O 00
O

Surplus fund
Other undivided profits

10, 000 00
13, 860 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.

108, 917 28

Due to other national banks
Due to State banks and bankers .
Notes and bills re discounted .
Bills payable

2, 250 00
227,778 12

Total.

227,778 12

728

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MINNESOTA.
First National Bank, Shakopee.
No. 1597.

H. B. STRAIT, President.

DAVID L. H O W , Cashier.

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. ..j
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
I
Specie
'
j
Legal tender notes
i
U. S. certificates of deposit
i
Due from U . S . Treasurer
j
Total

!

$96,344 12 Capital stock paid in ,
900 00
50, 000 00 j Surplus fund
j Other undivided profits
2,100 00
600 00 j National bank notes outstanding
1. 871 92 j State bank notes outstanding
8, 865 83
4, 552 48 Dividends unpaid .
1, 196 14 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
9, 650 00 ! Due to other national banks
54 71 | Due to State banks and bankers
500 00
5, 000 00 I, Notes and bills re-discounted.
jj Bills payable
2, 250 00
183,885 20

$50, 000 00
9,500 0i)
2,967 33
45,000 00

76,078 17

35 57
304 13

183, 885 20

Total.

First National Bank, St. Paul.
No. 203.

HORACE THOMPSON, President.

$2, 048, 009 65
Loans and discounts
6, 525 63
Overdrafts
222, 500 00
U. S. bonds to secure circulation
200, 000 00
U. S. bonds to secure deposits
s
25, 000 00
U. S. bonds on hand
+
24, 200 00
Other stocks, bonds, and mortgages..;
291,082 21
Due from approved reserve agents Due from other banks and bankers
71,227 08
Real estate, furniture, and fixtures ..
6, 000 00
Current expenses and taxes paid
!
14, 549 58
Premiums paid
!
Checks and other cash items
31, 703 24
Exchanges for clearing house
Bills of other banks
24,123 00
Fractional currency
450 43
Specie
I, 474 70
Legal tender notes
135, 000 00
U. S. certificates of deposit
Due from U. S. Treasurer
"i6,"(")66"6V

Total.

H. P. UPHAM, Cashier.

Capital stock paid in.

$1, 000, 000 00

Surplus fund
Other undivided profits .
National bank notes outstanding . . .
State bank notes outstanding

250, 000 00
53,178 12
199, 960 00

Dividends unpaid
Individual deposits
United States deposits
Deposit* of U. S. disbursing officers.
Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable

1,180,388 16
101,733 59
53,376 4659,504 79113,704 40 •
100,000 00'

3, 111,845 52

3,111,845 52

Second National Bank, St. Paul.
E. S. EDGERTON, President.

No. 725.

Loans and discounts
|
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
j
Total




|

G. R. MONFORT, Cashier.

$411, 006
1, 966
200, 000
260, 000

57 Capital stock paid in
61
00 Surplus fund
00 Other undivided profits
*
National bank notes outstanding
36,291 28
14, 957 87 State bank notes outstanding
Dividends unpaid
,
24, 295 33
5, 209 77
Individual deposits
1,666 25
United States deposits
.\
3,688 76
Deposits of U. S. disbursing officers..
10, 029 00
240 52
12, 513 80
62, 500 00
9, 367 56

1,053,733 32

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable
Total

$200, 000 00
55, 000 00 •
35, 042 64
180, 000 00 >
•
1,721 50
419, 902 44
92,314 50
54,311 32
14, 547 82
893 10

1.053,733 32

REPORT OF THE COMPTROLLER OF THE CURRENCY. 729
MINNE SO T A.
Merchants' National Bank, St. Paul.
MAURICE AVERBACH,

W. R. MERRIAM, Cashier.

No. 202«.

President.

Liabilities.

Resources.

$1,037,270 60 i Capital stock paid in.
7, 936 82
400,000 00 Surplus fund
Other undivided profits
250"66'
12,000 00 National bank notes outstanding
52, 293 00 State bank notes outstanding
24,383 11 ij Dividends unpaid.
8, 246 68
9, 033 82
30,929 37 Individual deposits
United States deposits
36, 462 50 S 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

10,607
142
1, 355
43, 424

00 Due to other national banks
26 Due to State banks and bankers
50
00 I Notes and bills re-discounted.
Bills payable
18,000 00 i

Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer .

Total .

1, 692, 334 66 i

Total.

$500, 000 00
39, 000 00
25, 890 59
360, 000 00

3, 380 00
434, 107 05

83, 628 61
106, 828 41
139, 500 00

1, 692, 334 66

First National Bank, St. Peter.
No. 1794.

WM. SCHIMMEL, President.
Loans and discounts
I
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..I
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
'
Bills of other banks..'
!
Fractional currency
Specie
,
Legal tender notes
\
U. S. certificates of deposit
I
Due from U. S. Treasurer
j
Total

!

$75, 258 62
1,174 67
60, 000 00

F. A. DONAHOWER, Cashier.

Capital stock paid in.

$60, 0i)0 00

Surplus fund.
Other undivided profits
250 00 National bank notes outstanding
10, 902 75 State bank notes outstanding .
11, 993 18 j Dividends unpaid
2, 069 50
l,01L 39
2,600 00 Individual deposits
United States deposits
281 65 Deposits of U. S. disbursing officers.
1, 958
391
376
11, 200

00 Due to other national banks
.
20 Due to State banks and bankers .
75
00 Notes and bills re-discounted
Bills payable
2, 431 30

181,902 01

6, 992 28
5, 197 58

68, 937 76

74 39

181,902 01

First National Bank, Still water.
Louis HOSPES, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation...
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid . . .
Premiums paid
Checks and other cash items
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. 1514.

F. SIEBOLD, Cashier.

$249, 997 77 Capital stock paid in .
4,565 41
50, 000 00 Surplus fund
Other undi vided profits
National bank notes outstanding
1,000 00
29, 638 71 State bank notes outstanding
3, 466 52
22,621 71 Dividends unpaid .
1, 380 99 Individual deposits
United States deposits
Deposits of U. S. disbursing officers .
212 I
2,954 00
331 90
509 95
19, 335 00
2,250 00
388,269 64

$130,000 00
20, 000 00
10, 124 18
45, 000 00

Due to other national banks
Due to State banks and bankers .
Notes and bills ri-discounted
Bills payable
388, 269 64

730

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MINNESOTA.
Lumbermen's National Bank, Stillwater.

ISAAC STAPLES, President.

No. 1783.

H. W. CANNON, Cashier.

Resources.

Liabilities.

Loans and discounts
Overdrafts
j
U. S. bonds to secure circulation
|
U. S. bonds to secure deposits
j
U. tS. bonds on hand
j
Other stocks, bonds, and mortgages..j

$282, 267 76
4,500 16
150,000 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

7, 983
19,258
3,900
3, 389
13, 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

79
74
00
48
00

3, 253 88
773
70
767
27, 000

00
9L
70
00

Capital stock paid in .

$150, 000 00

Surplus fund
Other undivided profits

19, 000 00
7, 823 06

National bank notes outstanding . . .
State bank notes outstanding
Dividends unpaid .

135, OOt) 00
60 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers

192, 763 70

Due to other national banks
Due to State banks and bankers . . .

1, 059 63
1,911 61

Notes and bills re-discounted.,
Bills payable.

15, 297 42

6, 750 00

Total.

522,915 42

522,915 42

First National Bank, Winona.
L. C. P O R T E R ,

No. 550.

President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures. Current expenses and taxes paid....
Premiums paid
•.
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$2:30, 227 76 Cap tal stock paid in.
5, 798 82
50, 000 00 Surplus fund
Other undivided profits
440 63 National bank notes outstanding....
10,915 96 State bank notes outstanding
19, 886 36
16, 154 15 Dividends unpaid .
1,366 65 Individual deposits
16 12 United States deposits
3, 635 14 Deposits of U. S. disbursing officers.
10, 350 00
84 2L
398 01
12, 0U0 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

$50, 000 00
92, 000 00
5, 638 64
44, 990 00

143,301 85
7,312 73
339 42
20, 093 00

2,401 83
363, 675 64

Total.

H. E. CURTIS, Cashier.

Total.

363, 675 64

Second National Bank, Winona.
THOMAS SIMPSON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents . .
Due from other banks and bankers- - Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
,
Fractional currency.
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer.
Total




No. 1842.

L. R. BROOKS, Cashier.

$176, 100 77 Capital stock paid in .
3, 317 45 |
50. 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
10,338 76 State bank notes outstanding
7, 793 39
19,099 18 Dividends unpaid .
1, 338 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

$100, 000 00
20, 000 00
6, 974 35
45, 000 00

134,851 97

1 55

308,827 87

REPORT OF THE COMPTROLLER OP THE CURRENCY.

731

MINNESOTA.
Merchants' National Bank, Winona.
No. 2268.

MARK WILLSON, President.

N. F. HlLBERT, 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.

H. Ex. 3-




$118, 974 27
547 40
40, 000 00

44, 529
5,241
11,017
1,292
5,000

26
60
98
90
00

4,913 27

1,634 00
378 03
576 92
6, 280 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$100, 000 00
1, 000 00
5,971 69
35, 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

98, 698 16

620 04
295 74

Notes and bills re-discounted.
Bills payable

1,800 00
242,185 63

-43

Capital stock paid in

Total.

242,185 63

732

REPORT OF THE COMPTROLLER OP THF] CURRENCY.
MISSOURI,
Central National Bank, Boonville.
No. 1594.

J. L. STEPHENS, President.

ROBERT WADESON, Cashier..

Liabilities.
$176,447 16 Capital stock paid in.
10, 174 40
200, 000 00 Surplus fund
i'ooo oo" Other undivided profits
258, 169 81 National bank notes outstanding
5,526 30 State bank notes outstanding . . . .
48, 790 11 Dividends unpaid.
6, 089 3-3
2, 753 90 Individual deposits
United States deposits
194 34 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 home
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$200, 000 00

100,000 00
30,772 64
180, 000 00

218,977 65

14, 569 00 Due to other national banks
157 16 Due to State banks and bankers
3,011 30
Notes and bills re-discounted.....
20, 000 00 Bills payable

1,132 51

"25,"o66"65

""9,"000 00*

Total.

Total .

755, 882 80

755, 882 60

Bates County National Bank, Butler.
No. 1843.

L E W I S CHENEY, President.

F. J.. TYGARD, Cashier.

$114,384 80 Capital stock paid in
359 49
50, 000 00 Surplus fund
Other undivided profits
2,413 23 National bank notes outstanding — :
8, 266 46 State bank notes outstanding
2, 945 88 Dividends unpaid
.
20,7-28 75
2, 132 11 Individual deposits
5, 700 80 United States deposits
1, 509 38 Deposits of U. S. disbursing officers..

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

1,534 00 j Due to other national banks
118 00 ! Due to State banks and bankers
1,010 93
Notes and bills re-discounted
19, 720 00 ! Bills pay able..
"'2 "481 '75
Total
233, 305 58

Total.

$50, 000 00
7, 000 00
4,712 77
42, 200 00

129,319 11

73 70

,

233, 305 58

Moniteau National Bank, California.
No. 1712.

S. H. OWENS, President.

Loans and discounts
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...
Current expenses 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.
j
Total




!

R. Q. ROACHE, Cashier.

$51, 055 85

Capital stock paid in .

$50, 000 00

50, 000 00

Surplus fund
Other undivided profits

12, 000 00
3, 744 22

National bank notes outstanding
State bank notes outstanding

45, 000 00

30, 000 00
5, 078 67
867 53
5, 000 00
1,373 07
4,000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers .

900 00 Due to other national banks
.
229 44 Due to State banks and bankers.
800 00
12, 000 00 Notes and bills re-discounted
Bills payable
2, 250 00
163,554 56

Total .

44, 765 62

1,044 72

"i'ooo *o*o
163,554 56

REPORT OF THE COMPTROLLER OF THE CURRENCY.

733

MISSOURI.
First National Bank, Carthage.
D. S. THOMAS, Cashier.

JESSE THACKER, 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

$74,933 52 Capital stock paid in .
544 82
50, 000 00 Surplus fund
Other undivided profits
999 75 National bank notes outstanding
716 66 State bank notes outstanding
7, 512 42 Dividends unpaid
5-22 8>
"
5,371 93 Individual d e p o s i t s . . . . . . . . . . . . .
United States deposits
Deposits of U. S. disbursing officers..
4, 000
75
1,000
5, 000

00
48
00
00

" " 2*250" 00'

Due to other national banks
Due to State banks and bankers.
Notes and bills re-discounted
Bills payable

152, 927 43

Total .

$50, 000 00
10,000 00
1,009 13
45,000 00

45,210 67

1,707.63

Total.

First National Bank, Clinton.
No. 1940.

J. Cx. 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.

W. D. TYLER, Cashier.

$95,541 01 Capital stock paid in .
1, 785 92
50, 000 00 Surplus fund
Other undivided profits
12, 792 36 National bank notes outstanding . . . .
State bank notes outstanding
27 47 Dividends unpaid.
9, 208 92
235 02
3,160 06 Individual notes
United States deposits
74 25 Deposits of U. S. disbursing officers.
2,170 00
99 61
863 40
9, 500 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable
,.

$50, 000 00
25, 000 00
692 41
45, 000 00

53, 300 11

2,528 4i
2,187 09
8, 000 00

1,250 00
Total.

186, 708 02

186,708 02

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
V. S. certificates of deposit
Due from U. S. Treasurer
Total.




I. O. HOCK AD AY, Cashier.

No. 1770.
$132, 305 73
6,521 20
100, 000 00
77, 257 25
13, 722 89
701 64
17, 509 48
1,112 99
7, 000 00
1,960 13
5, 520
485
1,812
16, 000

00
00
35
00

Capital stock paid in .
Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding

$100, 000 00
52, 000 00
4, 665 49
89, 978 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

140, 219 92

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

5, 500 00
387,408 66 ||

Total.

387, 408 66

734

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MISSOURI.
Exchange National Bank, Columbia.
No. 1467.

J. H. WAUGH, President.

R. L. T O D D , 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.
$196,304 55
1, 829 74
100, 000 00
21, 900 00
14, 666 06
14, 465 80
12, 800 00
2, 257 70
5, 200 00
4,150 76

Capital stock paid in.

31,000 00
4, 262 40'
89, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

1, 892
104
1,345
14,000

00 ii Due to other national banks
60 | Due to State banks and bankers .
95 i!
00 || Notes and bills re-discounted
Bills payable
"""5" 500 "66" |j
396,417 16 1
1

Total.

5100, 000 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

Total,

167,154 76

5, 000 00

396,417 16

First National Bank, Hannibal.
J. J. CRUIKSHANK, ST., President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 1571.

A. J. STILLWELL, Cashier.

$63, 724 59 ! Capital stock paid in.
16 7-2
100, COO 00 I Surplus fund
j Other undivided profits
1, 700 00 I National bank notes outstanding
28, 732 76 State bank notes outstanding
45,512 59 Dividends unpaid .
23, 6L2 65
3, 196 49 Individual deposits
United States deposits
2, 790 69 Deposits of U. S. disbursing officers.
5, 242 00
224 20
1, 112 25
36, 000 00

$100, 000 00
1,498 47
10,739 49
90, 000 00

114,126 98

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

4, 500 00
Total.

316,364 94

316,304 94

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 ou hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents. Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and 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. 1529
$83, 800 18
2, 966 97
30, 000 00

WILLIAM MCCOY, Cashier.

Capital stock paid in.

Surplus fund Other undivided profits
7, 285 55 'National bank notes outstanding
State bank notes outstanding
7,301 35
8, 369 90 Dividends unpaid .
1,036 71 Individual deposits
United States deposits
109 94 Deposits of U. S. disbursing officers.

3, 245 00
72 90
3,817 90
5, 965 00
10, 000 00 \
2, 350 00 |
166, 321 40 |

Due to other national banks
Due to State banks and bankers . . . .
Notes and bills re-discounted.
Bills payable...
Total.

$50, 000 00
25, 000 00
3,868 31
27, 000 00

59, 367 75
104 09
981 25

166,321 40

REPORT OF THE COMPTROLLER OF THE CURRENCY.

735

MIS SOI K l .
First National Bank, Jefferson City.
A. M. DAVISON, President.

No. 38C9.

W. Q. DALLMEYER, 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.
$107,795 82

Capital stock paid in .

$75, 000 00

""so," 656" 65"
25,"66o"66"

Surplus fund
Other undivided profits

15, 000 00
3,198 71

National bank notes outstanding
State bank notes outstanding

45, 000 00

24, 908 45
27,064 65
12, 353 57
28,210 24
2, 120 48
1,404 20
3, 792 72
8, 255
258
1,357
16, 000

00
14
60
00

" 3 , 2 5 6 66

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

173, 572 16

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted
Bills payable
Total.

311, 770 87

311, 770 87

National Exchange Bank, Jefferson City.
P H I L . E. CHAP PELL, President.

Loans and discounts .^.
-Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for 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.
$136,849 00

NICK. E. MILLER, Cashier.

$50, 000 00

Capital stock paid in.

so, 656 66

Surplus fund
Other undivided profits

10, 000 00
8, 854 37

75, 526 27
26, 373 20
14, 197 4L
4,446 69
1,821 85

National bank notes outstanding
State bank notes outstanding

45, 000 00

3, 000 00
34 72
400 00
20, 000 00

Due to other national banks
Due to State banks and bankers .

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

222,044 77

Notes and bills re-discounted.
Bills payable

3, 250 00
Total.

335,899 14

335, 899 14

First National Bank, Kansas City.
H. M. HOLD EN, President.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation . .
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, 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. 1612.
, 213,154 25
10, 873 40
50, 000 00
29, 696 28
71,016 02
117,575 01
84,872 94
14,489 78
6, 250 00
77,127 66

10, 106
2,108
3, 767
82, 440

00
75
60
00

M. W. ST. CLAIR, Cashier.

Capital stock paid in .

$500, 000 00

Surplus fund
Other undivided profits

25, 000 00
32, 930 56

National bank notes outstanding
State bank notes outstanding

45, 000 00

Dividends unpaid .

710 00

Individual deposits
«.
United States deposits
Deposits of U. S. disbursing officers.

718, 974 88

Due to other national banks
Due to State banks and bankers

194, 564 65
195, 547 60

Notes and bills re-discounted .
Bills payable

63, 000 00

2,250 00
1, 775, 727 69

Total

1, 775, 727 1

736

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MISSOURI.
Commercial National Bank, Kansas City.

J. V. C. KARNES, 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 .

$149,210 03 Capital stock paid in.
4, 961 30
50, 000 00 Surplus fund
Other undivided profits
4,250 00 National bank notes outstanding
10, 048 32 State bank notes outstanding
16,824 80 Dividends unpaid .
17, 752 38
19, 676 58 Individual deposits
5, 202 50 I United States deposits
7, 014 29 Deposits of U. S. disbursing officers.
5, 300
472
3, 040
10, 000

00 Due to o^her national banks..
36 Due to State banks and bankers
00
00 | Notes and bills re-discounted
Bills payable
o 75Q on {
Total.

306, 502 56 j

$100,000 00
6,392 00
24, 787 8345, 000 00

115,125 96

5,493 97
9,702 80'

306, 502 56

First National Bank, Paris.
No. 1803.

DAVID 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

$125, 704 90 I Capital stock paid in

$100, 000 00'

Surplus fund
j Other undivided profits
»„...
" " ' 6 , 9 ^ 0 o5"
16, 240 00 I National bank notes outstanding
100, 000 00

30, 626
4,8o3
1, 300
937
6, 873

69
44
00
31
08

1, 675 00
100 00
1, 078 51
13, 000 00

4, 500 00

10,350 00
7, 786 67
89, 569 00

State bank notes outstanding
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
Total

313, 848 93

Total.

JNO. S. CONYERS. Cashier.

106,143 26-

313, 848 93

Farmers' National Bank, Platte City.
J. E. MERRYMAN, 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. 2356.

W l . O. OLDHAM, Cashier*

$65, 996 83 . Capital stock paid in
2,465 75 1
1
30, 000 00 i Surplus fund
Other undivided profits
1,280 51 i| National bank notes outstanding
1 State bank notes outstanding
1
10, 762 79 Dividends unpaid .
6, 320 25
690 31

2,903 95

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

1, 250 00 I Due to other national banks
122 28 i Due to State banks and bankers
2, 000 00 Notes and bills re-discounted
Bills payable
"1,356 66
125,142 67

Total.

$50, 000 00<
1,113 84
27, 000 00-

46, 778 68;

250 15

125,142 67

REPORT OF THE COMPTROLLER OF THE CURRENCY.

737

MISSOURI.
First National Bank, Pleasant Hill
T H E O . STANLEY, President.

No. 1751.

G E O . B. HARPER, 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 .
RealjBState, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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, 863 85
3,728 77
50, 000 00
16, 580 00
3,528 34
2, 077 85
13,527 13
1, 86-2 18
2, 933 33
663 55
3, 000 00*
676 02
1, 400 00
8, 000 00

$60, 000 00

Capital stock paid in.
Surplus fund
Other undivided profits

]0,500 00
7, 083 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

91,124 96

18 59
6, 663 57

Notes and bills re-discounted.
Bills payable

2, 550 00
Total.

220, 391 02

220,391 02

National Bank, Rolla.
No, 1865.

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

$75,179 11
868 84
30, 000 00

"""{"ioo'oo"
10,235 81
4,225 03
641 73
5,11L 23
1, 134 73
2, 680 62
61 48
3, 596
154
317
9, 330

00
22
50
00

"""I," 350* 65"

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits

,

Na'tional bank notes outstanding
State bank notes outstanding
Dividends unpaid .

11, 000 00
2, 733 61
27, 000 00
131 50

Individual deposits
United States deposits
Deposits of U. S. disbursing officers..
Due to other national banks
Due to State banks and bankers

54, 981 55

139 64

Notes and bills re-discounted .
Bills payable

145, 986 30

Total .

D. w . MALCOLM, Cashiar.

Total.

145,986 30

First National Bank, Sedalia.
A. D. JAYNES, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
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 II. S. Treasurer
Total .




No. 1627.

CYRUS N E W K I R K , Cashier.

$353,609 66
Capital stock paid in .
3,700 25
50, 000 00 I Surplus fund
| Other undivided profits
! National bank notes outstanding
78 { State bank notes outstanding
57 Dividends unpaid.
47
26 Individual deposits
13
United States deposits
8,643 23 Deposits of U. S. disbursing officers

8, 411
24, 972
37, 549
4, 200
1,936

20,021 00
634 90
30, 000 00

Due to other national banks
Due to State banks and bankers

$100, 000 00
20, 000 00
79,596 05
45, 000 00

278 401 70

7, 321 22
15, 610 28

Notes and bills re-discounted.
Bills payable

2, 250 00
545, 929 25

Total.

545, 929 25

738

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MISSOURI.
Citizens1 National Bank, Sedalia.
ADAM ITTEL, Cashier.

No. 1971.

CLIFTON WOOD, 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

$173,67o 51
2, 6-29 54
50, 000 00

14,
2,
24,
8,

908
728
185
650

49
06
00
39

1,152 00
15,810
72
1, 496
25, 500

00
88
30
00

$100, G O 00
O

Capital stock paid in .
Surplus fund
Other undivided profits

21,500 00
17,907 81

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

2, 667 66

Notes and bills re-discounted.
Bills payable

2, 250 00
323,059 17

323, 059 17

Total.

135, 983 70

First National Bank, Springfield.
No. 1701.

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 and taxes paid....
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

$173,851 56
1, 309 92
100, 000 00
23, 449 80
10, 069
13,364
4, 956
3, 457
9, 764

92
83
52
93
29

427 85

R. L. MCELHANY, Cashier.

$100, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

15, 676 60
2,715 10
90, 000 00

Dividends unpaid .
Individual deposits
United Stat es deposits
Deposits of U. S. disbursing officers.

1, 800 00 Due to other national banks
20 00 Due to State banks and bankers .
2, 364 25
14, 000 00 Notes and bills re-discounted.
Bills payable
6, 917 26
365,754 13

147, 362 43

10, 000 00
365,754 13

Total .

Greene County National Bank, Springfield.
W. J. Me DANIEL, President.

Loans and discounts
„
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency.
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer . . . . . . . . . . .
Total




No. 1677.
$196,641 23
230 89
150, 000 00
1, OOOOO"

4, 530 27
5,
5,
20,
3,
11,

667
249
268
174
000

31
16
29
13
00

44 96
4 50
2, 436 50 !
13,843 00 I
7,"2lo'"86"i.
421, 307 10

CHAS. SHEPPARD, Cashier.

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

$150, 000 00
30, 000 00
6,159 82
134, 980 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.

99, 320 74

846 54

421,307 10

REPORT OF THE COMPTROLLER OF THE CURRENCY.

739

IVIISSOITKI.
First National Bank, St. Charles.
VALENTINE BECKER, President.

No. 260.

J. E. STONEBRAKER, 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 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
Due from U. S. Treasurer
Suspense account

Liabilities.
$75, 813 34

1, 700 65
36 23
2,000 00
10, 000 00
2,250 00
9,739 17

10,000 00
5, 538 93
44,515 00
255 00
43,084 45

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted
Bills payable..

175,891 41

Total

$50, 000 00

Capital stock paid in

. . . . I Surplus fund
50, 000 00 Other undivided profits
1 National bank notes outstanding
-. i State bank notes outstanding
978 26
22,408 19
966 22 Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

22, 498 03
175,891 41

Total

First National Bank, St. Joseph.
THOS. E. TOOTLE, President.

Jos. C. HULL, Cashier.

No. 1580.

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

5198,974 55
1, 395 58
90, 000 00

Surplus fund..
I Other undivided profits
16,720 21 j National bank notes outstanding
29,350 12 State bank notes outstanding
8,956 05 Dividends unpaid .
5,313 64
2, 797 81 Individual deposits
1, 100 00 United States deposits
2, 852 95 Deposits of U. S. disbursing officers.
2,538 00
30 00
2, 729 00
16,000 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.,
Bills payable

25, 943 48
14,081 47
81, 000 00
360 00
128,197 76

5,424 36
27, 800 84

4, 050 00
382,807 91

Total.

$100, 000 00

Capital stock paid in.

382,807 91

Total .

Second National Bank, St. Louis.
GEO. D. CAPEN, President.
Loans and discounts . . . . . .
.....
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses 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. 139.
$149,122 54

C. S. CHARLOT, Cashier.

Capital stock paid in.

$200, 000 00

5O,"666"66" Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

4, 305 83
45, 000 00

Dividends unpaid.

19,764 38
4, 023 00
140 68
493 00
27, 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.

112,429 53
11,419 94
20, 632 34

393, 737 69

740

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MISSOURI.
Third National Bank, St. Louis.
No. 170.

THO3. E. TUTT. President.

T. A. STODDART, Cashier.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation
IT. 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 .

Liabilities.

l

$1,592,066 62 ; Capital stock paid in.
1, 000, 000 00
2,612 38
166, 066 76
50, 000 00 ; Surplus fund.
66, 405 31
\ O Lher undivided profits
National bank notes outstanding
j
39,500 00
79, 771 33
39, 323 35 State bank notes outstanding
82,197 63
2, 016 00
171,012 20 Dividends unpaid .
2o, 603 44 Individu al deposits
737, 628 19
United -States deposits
13,314 67 Deposits of U. S. disbursing officers -. j
P7, 106 93
!
178, '356 23
42, 954 00 Due to other national banks
2, 000 90 Due to State banks and bankers
|
372, 505 27
13,826 01.
230, 000 00 Notes and bills re-discounted.
120, 000 00 Bills payable
,
9, 653 25
2, 562, 477 76

Total

2,562,477 76

Fourth National Bank, St. Louis.
J. C. H. D. BLOCK, President.

No. 283.

F. W. BIEBINGER, Cashier.

Loans and discounts
! $1,557,350 52 | Capital stock paid in..
Overdrafts
!
13, 824 76 I;
U. S. bonds to secure circulation
j
200, 000 00 | Surplus fund. .„
U. S. bonds to secure deposits
i
| Other undivided profits
U. S. bonds on hand
j
11,400 00 |
Other stocks, bonds, and mortgages.. j
296, 208 00 National bank notes outstanding
Due from approved reserve agents...
174. 016 44 State bank notes outstanding
Due from other banks and bankers ..
211, 518 56 Dividends unpaid .
Real estate, furniture, and
fixtures...
13, 904 69
Current expenses and taxes paid
\
25,541 95 Individual deposits
Premiums paid
j
12,158 13 United States deposits.
Checks and other cash items
!
1, 384 20 Deposits of U. S. disbursingomcers.
Exchanges for clearing house
i
218,244 71
Bills of other banks.
j
27,166 00 Due to other national banks.
Fractional currency
j
2, 919 25 Due to State banks and bankers
Specie
I
11,738 00
Legal tender notes
j
480,000 00 Notes and bills re-discounted
U. S. certificates of deposit
j
Bills payable
Due from U. S. Treasurer
i
9, 000 00
Total.

3,266,405 21

$200, 000 00
200, 000 00
156, 52 L 04
178, 500 00
36 00
1,439,771 76
170,856 48
920, 719 93

3, 266, 405 21

Total.

Merchants' National Bank, St. Louis.
JAS. E. YEATMAN, President.

No. 1501.

ROBERT EAGLE, Cashier.

$1,294,877 09 Capital stock paid in.
Loans and discounts
7, 657 89
Overdrafts
,
60, 000 00 Surplus fund
U. S. bonds to secure circulation
U. S. bonds to secure deposits
Other undivided profits
U. S. bonds on hand
I
i
38, 150 11 National bank notes outstanding
Other stocks, bonds, and mortgages ..
104,923 51 State bank notes outstanding
|,
Due from approved reserve agents...
26,491 73
Due from other banks and bankers...
15, 557 99 Dividends unpaid.
Real estate, furniture, and fixtures . . .
17,304 18 i Individual deposits .
Current expenses and taxes paid
..
.
Premiums paid
; United States deposits
j Deposits of U. S. disbursing officers.
Checks and other cash items
55, 996 75
Exchanges for clearing house
25, 000 00 Due to other national banks
Bills of other banks
Fractional currency
Due to State banks and bankers
3, 362 94
Specie
75, 000 00 Notes and bills re-discounted
Legal tender notes
U. S. certificates of deposit
Bills payable
]
" M O O " 66
Due from U. S. Treasurer
Total.




1,730,622 19

Total

$700, 000 00
78, 645 93
29, 458 26
54, 000 00
842 68
493, 076 47

64,276 07
144,322 78
66, 000 00
100, 000 00

| 1,730,622 19

REPORT OF THE COMPTROLLER OF THE CURRENCY.

741

MISSOURI.
St. Louis National Bank, St. Louis.
No. 1112.

WM. E. BURR, President

R. A. BETTS, 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.

il, 192, 871 15 Capital stock paid in.
23,434 32
50, 000 00 Surplus fund
300, 000 00 Other undivided profits .
127, 480 00 National bank notes outstanding
78,744 82 State bank notes outstanding
49, 183 81 Dividends unpaid.,
68, 983 20
21,753 15 Individual deposits
,
28, 509 68 United States deposits
1
,
5, 843 28 Deposits of U. S. disbursing officers
104, 994 14
20,934 00 Due to other national banks
1, 043 33
16,204 25 Due to State banks and bankers... 77. 366 00 Notes and bills re-discounted.
60, 000 00 Bills payable
2, 250 00
2, 229, 625 13

Total

$500, 000 00
100, 000 00
54,813 63
45,000 00
585 00
337,664 14
263,483 87

307, 947 48
470, 131 01
150, 000 00
2,229,625 13

Valley National Bank, St. Louis.
J. A. J. ADEKTON, President.

Loans and discounts
.
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due 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

S. H. MEAD. Act'g Cashier.

No. 1858.
5560,146 96 |
670 00 I
50, 000 00

$250, 000 00

Capital stock paid in .

20, 000 00
12,019 60-

224,831 44

885, 935 95

Total.

Surplus fund
O ther undivided profits
National bank notes outstanding
50, 486 62 State bank notes outstanding
45, 536 61 Dividends unpaid .
6,071 01
11,542 10 Individixal deposits
4, 500 00 United States deposits
596 25 Deposits of U. S. disbursing officers.
49,708 60
4,112 00 Due to other national banks
203"30' Due to State banks and bankers
100, 000 00 Notes and bills re-discounted.
Bills payable
2, 362 50

885, 935 95

Total.

45, 000 00
380 00

188, 729 87
144, 975 04

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 clearing 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 WARD, Cashier.

$230, 370 26 Capital stock paid in.
4,255 19
50, 000 00 Surplus fund.
Other undivided profits .
37,669 16 National bank notes outstanding
6, 270 42 State bank notes outstanding
8, 643 19 Dividends, unpaid .
2,371 47 Individual deposits
6,686 11 United States deposits . . . .
61 00 Deposits of U. S. disbursing officers .
967 00 Due to other national banks
22 00 Due to State banks and bankers
1, 708 30
17, 631 00 Notes and bills re-discounted.
Bills payable
2, 750 00
369,405 10

Total.

$100, 000 00
10,000 00
1,341 77
45,000 00

166,974 13

20, 089 20
26, 000 00
369,405 10

742

REPORT OF THE COMPTROLLER OF THE CURRENCY.
KANSAS.
First National Bank, Atchison.
No. 1672.

DAVID A U L B , President.

J. T. COPLAN, 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.
$113, 073 24
953 8L
80, 000 00

Capital stock paid in .

$100,000 00

Surplus fund
Other undivided profits

11,564 07
3, 910 94

National bank notes outstanding
State bank notes outstanding

25, 000 00
12,561 53
40, 476 58
26,919 77
18, 769 46
1,420 91
5, 972 79

72, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

3,175 37
5, 000 00
86 90
500 00
10,000 00

Due to other national banks
Due to State banks and bankers

155,418 81

j
i

5,016 54

Notes and bills re-discounted.
Bills payable.

Atchison National Bank, Atchison.
<3r. D . H A R R I S O N , President.

No. 2082.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Dxie 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.

$66, 865 94
4,821 92
50, 000 00

MILTON BARRATT, Caskiet

$50, 000 00

Capital stock paid in.

4,000 00
7, 562 21

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

8, 567 44
5, 334 92
4, 657 08
2, 379 60
7, 306 71
80 50

45, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

58, 971 57

6,081 00 Due to other national banks
27 20 Due to State banks and bankers .
161 47 I
7,000 00
Notes and bills re-discounted
Bills payable

'2," 250 "66

165, 533 78

Total.

165, 533 78 !

Burlington National Bank, Burlington.
H. L. JARBOE, 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
TJ. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 1979.
$80,918 53
885 90
50,000 00

N. P. GARRETSON, Cashier.

Capital stock paid in .
Surplus fund
j Other undivided profits

$50, 000 00
„.

2, 718 50 I National bank notes outstanding
4,367 00 I State bank notes outstanding
12,352 29
8,920 00 Dividends unpaid.
1, 272 81
6,100 00 Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
5, 972 00
21 98
1,152 50
10, 000 00

4, ^00 00
3,948 16
45, 000 00

79, 568 35

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

2, 500 00

1,135 00
185,816 51

Total.

185,816 51

REPORT OF THE COMPTROLLER OF THE CURRENCY.

743

KANSAS.
First National Bank, Emporia.
No. 1915.

H. C. CROSS, President.

R. B. HURST, 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.

$193, 587 43
3,418 31
100, 000 00
2,646 50
42,781 22
55, 439 56
6,172 05
1, 369 23
11, 000 00
1,128 00
2,167 00
748 71.
4,666 41
45, 000 00

$100,000 00

Capital stock paid in.

17, 000 00
5, 933 30

Surplus fund
Other undivided profits .
National bank notes outstanding
State bank notes outstanding
I Dividends unpaid.

90, 000 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers -

233, 048 02-

3, 406 64
25,245 46

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

4, 509 00
474, 633 42-

Total.

474, 633 42

Emporia National Bank, Emporia.
L. T. HERITAGE, Cashier.

No. 1983.

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

$231,137 47
2, 943 50
50, 000 00
4, 016 74
7. 760 50
39^ 772 24
2, 500 00
1,760 61
1,830 49
2,179 00
172 59
1, 476 00
32, 000 00

26, 500 00
9,768 18

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid .

45, 000 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

192, 748 73

825 22
16,143 44

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted.
Bills payable

3, 436 43
380, 985 57

Total.

$90, 000 00

Capital stock paid in .

380, 985 57

Total.

First National Bank, Fort Scott.
B. P. 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
Due from TJ. S. Treasurer
Profit and loss

Total




No. 1763.
$99, 454 05
1,965 85
50, 000 00
4, 463 10
6, 946
12, 486
34,152
4,857
5, 000

02
97
05
76
00

633 38

7, 785 00
99 70
1,273 50
15, 000 00
2, 250 00
7, 827 17
254,194 55

C. F. DRAKE, Cashier.

$50, 000 00

Capital stock paid in
Surplus fund
Other undivided profits . . . . .

„_
...

National bank notes outstanding

25, 000 00
3,833 68
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
Total...

127,769 07

2, 303 75
288 05

254,194 55

744

REPORT OF THE COMPTROLLER OF THE CURRENCY.
RANSA S
.
Merchants' National Bank, Fort Scott.
G-. A. SCOVILL, Cashier.

No. 1927.

H. A. PHILLIPS, 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.

$111,025 72 Capital stock paid in.
4, 330 45
50, 000 00 Surplus fund
Other undivided profits
1, 467 47 National bank notes outstanding
9, 053 10 State bank notes outstanding
23,251 99 Dividends unpaid.
11,910 47
2, 277 72 Individual deposits
5, 700 00 United States deposits
Deposits of U. S. disbursing officers.
10, 399 00 Due to other national banks
275 05 Due to State banks and bankers
501 78
11, 000 00 Notes and bills re-discounted.
Bills payable
,
3, 250 00
Total.

244, 442 75

$50, 000 00
13, 500 00
7,775 14
45, 000 00

121, 430 87

6, 736 74

244, 442 75

National Bank, Lawrence.
No. 1590.

W M . 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 .

$161,175
1, 228
5(>, 000
175, 000

Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid

13, 271
7, 569
82,813
3,878

Checks and other cash items
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
47
00
00

A L B E R T H A D L E Y , Cashier,

Capital stock paid in.

$100, 000 00

Surplus fund
Other undivided profits .

50. 000 00
8, 611 23

5, 000 00 I National bank notes outstanding . . . .
State bank notes outstanding
07

45,000 00

09
48 I Dividends unpaid .
16
Individual deposits
j United States deposits
1,660 62
Deposits of U. S. disbursing officers .
Due to other national banks
Due to State banks and bankers

125 00
1, 439 45
32, 683 00

187,638 80
74,286 41
62,214 91
10,187 74
1,654 70

Notes and bills re-discounted.
Bills payable

Total .

Total.

539, 593 79

First National Bank, Leavenworth.
LUCIEN SCOTT, President.

No. 182.

Loans and discounts
Overdrafts
"U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.

$479,651
4,192
50, 000
150, 000

59,190
30, 498
30, 500
3,138

Capital stock paid in.

13
14
00
00

Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid

36
37
00
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

Surplus fund
,
Other undivided profits.
National bank notes outstanding . . . .
State bank notes outstanding

$100, 000 00
76, 000 00
22, 438 71
45, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

6, 887 34
7,176
92
720
30, C O
O

LYMAN SCOTT, Cashier.

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted .
Bills payable

00
50
85
00

468,548 98
81,264 71
33, 997 38
6,525 09
22, 522 26

4, 250 00
i

Total




856? 297 13

Total.

856,297 13

REPORT OF THE COMPTROLLER OF THE CURRENCY.

745

KANSAS,
First National Bank, Ottawa.
No. 1718.

A. M. BLAIR, President.

HORACE J. SMITH, Cashier.

Liabilities.

Resources.
Loans and discounts
Overdrafts
U. S. bonds to secure circulation .-...
U. S. bonds to secure deposits
U. S. boudsonhand
Other stocks, bonds, 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
IT. S. certificates of deposit
Due from U. S. Treasurer

$103,777 51
238 90
50", 000 00

7,738 91
16,745 5.8
8, 373 93
1.050 27
4,788 00
3,012 91
1, 636 00
504 88
1, 070 G
O
9,700 00

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

2, 000 00
10,246 16
45, 000 00

Dividends unpaid.
Individual deposits
«•-.
United States deposits
Deposits of U. S. disbursing officers.

103,640 73

Due to other national banks . . . .
Due to State banks and bankers.
Notes and bills re-discounted.
Bills payable

2, 250 00
Total

210, 886 89

Total.

$50, ©00 00

Capital stock paid in.

210, 886 89

People's National Bank, Ottawa.
H . H. LUDINGTON, President.

PETER SHIR AS, Cashier.

No. 1910.

Loans and discounts
Overdrafts
1
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, 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...

$74, 548 82
418 09
50, 000 00

Capital stock paid in.

154 00
1, 765 61
10,874 16
15, 331 60
4, 380 80
4,165 78
528 78

$50, 000 00-

Surplus fund
Other undivided profits
National bank notes outstanding .
State bank notes outstanding

6, 000 00
9, 360 50
45,000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

62,114 31

242 00
353 87

Due to other national banks
Due to State banks and bankers
7, 460 00 Notes and bills re-discounted.
Bills payable
Total.

Total.

172,481 51

First National Bank, Paola.
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
„
Legal tender notes
TJ. S. certificates of deposit .
Due from U. S. Treasurer..,
Total.




No. 1864.

C, A. LEIGHTON, Cashier.

$69, 792 82 Ca;pital stock paid in .
3,296 76
50, 000 00 Surplus fund
Other undivided profits 50 00
6, 640 50
7, 020 50
8, 628 07
815 18
5, 507 90
623 82

1, 094 00
20 30
450 00
6,000 00

National bank notes outstanding
State bank notes outstanding

$50, 000 00
2,748 24
3, 672 92
45, 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 .
Notes and bills re-discounted.
Bills payable

46, 239 54

13,629 15
900 00

2, 250 00 j
162,189 85

Total .

162,189 85

746

REPORT OF THE COMPTROLLER OF THE CURRENCY.
KANSAS.
First National Bank, Parsons.

R. S. STEVENS, President.

No. 1951.

"

Resources.

ANGELL MATTHEWSON, 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

$67, 898 53 Capital stock paid in.
496 84
50, 000 00 Surplus fund
-.
Other undivided profits
500 00 ij National bank notes outstanding
9 512 72 ! State bank notes outstanding
,
21,484 00 i Dividends unpaid .
29,470 78 |
2,092 40 !
4,000 00 | Individual deposits
United States deposits
780 76 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 .

$75, 000 00
6, 000 00
3,837 16
45, 000 00

75,996 10

1, 403 37

207,236 63

Topeka National Bank, Topeka.
F. W. GILES, President.

No. 1945.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 353 02 Capital stock paid in.
705 35
100, 000 00 Surplus fund
Other undivided profits
15,854 96 National bank notes outstanding
8, 085 36 State bank notes outstanding
46, 798 60 Dividends unpaid .
27, 760 65
12 05
10, 943 50 Individual deposits ...'.
United States deposits
3, 057 00 Deposits of U. S. disbursing officers.
5,575 00 Due to other national banks
55 53
1, 338 65 Due to State banks and bankers
23, 882 00 Notes and bills re-discounted.
Bills payable
3, 000 00
381,421 67

Total.

SAML. K. LAKIN, Cashier.

Total.

$1CO, 000 Q0
6, 060 00
3, 442 2&

90, 000 00

157, 355 2a
16,205 00
8,359 18

381,421 67

First National Bank, Wyandott.
BYRON J U D D ,

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.
Due from approved reserve agents.
Due from other banks and bankers.
Real estate, furniture, and fixtures .
Current expenses and taxes paid...
Premiums paid
Checks and other cash items. Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total .




FRANKLTN SANFORD, Cashier.

No. 1840.

$52, 400 47 j Capital stock paid in .
1, 193 27 I

50, 000 00 1 Surplus fund
;
Other undivided profits
15, 968 35 National bank notes outstanding —
4, 629 69 State bank notes outstanding
5, 853 59 Dividends unpaid .
4,761 79
1,303 57 Individual deposits
3, 000 00 United States deposits
1, 252 88 Deposits of U. S. disbursing officers.
213 00 Due to other national banks
34 50 Due to State banks and bankers.
2, 000 00 Notes and bills re-discounted.
Bills payable
*2"256*66"
144,861 11

Total.

$50, C O 00
O
2,156 51
2,041 64
45, 000 00

40, 662 96

5, 000 00
144,861 11

REPORT OF THE COMPTROLLER OF THE CURRENCY.

747

NEBRASKA.
First National Bank, Beatrice.
No. 2357.

JOHN E. SMITH, President.

SAML. C. SMITH, Cashier.

Resources.

Liabilities.
$59,802 57 Capital stock paid in. .
7, 030 08
30, 00;j 0 Surplus fund
U
_
Other undivided profits
3,861 41
National bank notes outstanding
State bank notes outstanding
10,623 43

Loans and discounts
O verdraf'ts
U. S. bonds to secure circulation
CJ. S. bonds 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

13,485 46

7,984 96
2, 550 00
3,428 95

2, 745 26
27, 000 00

Dividends unpaid
Individual deposits
United States deposits
Deposits of U". S. disbursing officers..

$50, 000 00

68,112-66

1,410 00 Due to other national banks
31 06 Due to State banks and bankers .
81)0 00
5, 500 00 Notes and bills re-discounted.
Bills payable
1, 350 00
147, 857 92

Total.

147, 857 92

Total.

First National Bank, Brownville.
No. 1846.

J N O . L. CARSON, President.

A. R. DAVISON, 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 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

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

2,990 00 Due to other national banks
59 75
1,269 55 Due to State banks and bankers
11,093 00 Notes and bills re-discounted.
Bills payable
2, 250 00
268,227 66

45, 000 00
36 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

Total.

13,000 00
56, 732 44

Total.

91,158 S6

1,399 65.
10,900 71

268,227 66

First National Bank, Fremont.
THERON NYE, President,

No. 1974.

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..1
Due from approved reserve agents...
Due from other banks and bankers ..
Real estate, furniture, and fixtures ..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
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, 779 33
4, 508 59
34, 000 00

I

245,118 47

Total.

II. Ex. 3- -44




2,165 90
11,499
15,103
10, 477
2. 280
1,586

43
60
00
98
41

721 73
3, 505
148
1,812
8, 000

00
00
50
00

E. H. ROGERS, Cashier.

Capital stock paid in .
Surplus fund
j
Other undivided profits
!
National bank notes outstanding . . . .
State bank notes outstanding
....

$100, 000 00
3,000 00
5, 687 91
30, 600 00

Dividends unpaid .
Individual deposits
Unite i 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

88, 780 56

17, 050 00

1, 530 00

Total.

245,118 47

748

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEBRASKA.
First National Bank, Lincoln.
JNO. R. CLARK, Cashier.

No. 1798.

AMASA COBB, 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.

$182, 878 08
2, 789 88
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

30, 104
20,774
19, 743
11
3, 5U0

Checks and other cash items..
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

146,150 35
28
16
64
00
00

1,258 45
4,135
1,022
2, 929
24, 000

00
21
72
00

$50, 000 00

Caphal stock paid in.
Surplus fund
Other undivided profits

25, 000 00
197 18

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
,

3L7, 332 15

4, 957 22
21,587 22
26, 975 00

1,750 00

Total.

491, 048 77

Total.

491,048 77

State National Bank, Lincoln.
D. B. ALEXANDER, President.

No. 1899.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. C. RICHARDS, Cashier.

$187,472 14 ' Capital stock paid in.
3, 176 12 I
50,000 00 | Surplus fund
Other undivided profits .

$50, 000 00
10, 000 00
11,743 45

48, 490 16

National bank notes outstanding
State bank notes outstanding
00
17 |i
Dividends unpaid.,
00 j
91 i!
Individual deposits
00 i
United States deposits
2,784 41 |! Deposits of U. S. disbursing officers -

49,981
14,224
23. 100
1,051
8,000

" 2 9 , 491 65 i Due to other national banks
274 80 I Due to State banks and bankers
3,393 19 I
25, 000 00 I Notes and bills re-discounted
Bills payable
174*SO*j
Total .

446,613 40 I

45, 0J0 00

308,445 12

7, 183 74
14,241 09

446,613 40

Nebraska City National Bank, Nebraska City.
. L. 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 mortgage
Due from approved reserve agents
Due from other banks and bankers
Real estate, furniture, and fixtures
Current expenses and taxes paid..
Premiums paid
,
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Lpgal tender notes.
U. S. certificates of deposit
Due from U. S. Treasurer.
Total




No. 1855.

G-. L. WOOLSEY, Cashier.

Capital stock paid in..

$100, 000 00

Surplus fund
Other undivided profits

12, 000 00
5, 883 18

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

119, 515 44

46 82

Notes and bills re-discounted.
Bills payable
Total.

327, 445 44

REPORT OF THE COMPTROLLER OF THE CURRENCY.

741)

NEBRASKA.
Otoe County National Bank, Nebraska City.
W. E. HILL, President.

No. 1417.

JULIAN

METCALF, 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 aud 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.

$86, 665 11
3,214 99
100, 000 00

$100, 000 00

Capital stock paid in .
Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

33, 069 95
5, 523 66
873 85
14,634 94
6, 150 96
17 86
1, 307 00

Dividends unpaid .

90, 000 00
40 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
Due to otfier national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

233 00
373 68
1, 880 66
6, 648 00

10, 500 00
5,417 23

58,785 10

387 65

4, 536 30 j
Total.

265, 129 98 I

265,129 98

First National Bank, Omaha.
H. W. YATES, Cashier.

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 . . „.

$783,812 45
23, 136 53
200, 000 00
150, 000 00
85, 000 00
55, 862 30
49,921 93
35, 609 00
67, 878 05
10, 762 52
8,975 00
13,553 62

Surplus fund
,
Other undivided profits.
National bank notes outstanding . . .
State bank notes outstanding

50,000 00
41,663 24
178, 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 . . .
Notes and bills re-discounted.
Bills payable

26, 446 00
2, 494 46
11,159 64
130, 000 00

836,713 05
63, 120 75
61,504 38
137, 478 OS
51,711 72

11,464 67
1,671,081. 22

Total

$200, 000 00

Capital stock paid in .

Total.

1,671,081 22

Omaha National Bank, Omaha.
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
I
Due from U. S. Treasurer
I
Total.




No. 1633.

J. H. MILLARD, Cashier.

$555,198 28 Capital stock paid in .
19, 037 88
100, 000 00 Surplus fund
,
.150,000 00 Other undivided profits33, 018 56
145, 555 69
44, 727 36
29,615 86
16,211 88
4,071 92
1, 608 49
9, 549 00
428 00
12, 426 70
56, 670 00
" 4,500 66
1,182, 619 62

National bank notes outstanding...
State bank notes outstanding

$200, 000 00*
40,000 00'
23,812 31
90,000 OO

Dividends unpaid .
!

Individual deposits
I United States deposits
*
I Deposits of U. S. disbursing officers.

473, 693 27
80, 335 66
22, 399 01

Due to other national banks
Due to State banks and bankers...
Notes and bills re-discounted
Bills payable

111,524 64
44, 104 73-

Total.

96, 750 00

1,182, 619 62

750

REPORT OF THE COMPTROLLER OF THE CURRENCY*
\ i; B R A S K A .
First National Bank, Flattsmouth.

JNO. FITZGERALD, President.

No. 1914.

A. W. MCLAUGHLIN, 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.
$107,513 89
1,611 86
50, 000 00
37, 923 84

9,138 76
359 74
10, 000 00
2, 472 20
4, 000 00
2, 449
300
1,636
5, 000

00
00
42
00

3, 950 00
236, 355 71

Capital stock paid in
Surplus fund
Other undivided profits
National bank notes outstanding

$50, 000 00
10,000 00
5, 875 32
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
Total..

96, 549 96

1,471 77
43 66
27,415 00

236, 355 71

REPORT OF THE COMPTROLLER OF THE CURRENCY.

751

€ O L O H A D O.
First National Bank, Boulder.
No. 2352.

L E W I S CHENEY", President.

I. M. SMITH, 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

$56, 340 99
969 97
30, 000 00
294 40
14, 670
1,500
3,751
3, 300

49
00
40
00

3, 446 50
2, 050
53
420
11, 700

00
19
00
00

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits .

4, 695 80

National bank notes outstanding
State bank notes outstanding

27, 000 00

Dividends unpaid .
Individual deposits
United States deposits
Deposits of U. S. disbursing officers

48,151 14

Due o other national banks
,
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

1, 350 00

Total.

Total.

129, 846 94

129, £ i 94

National State Bank, Boulder.
C. Gr. BUCKINGHAM, President.

Loans and discounts.
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages .
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items..,
Exchanges for clearing house.
Bills of other banks
Fractional currency
Specie
,
Legal tender notes
U. S. certificates of deposit
Due from'U. S. Treasurer
Total.

No. 2355.
$88, 607 03
2, 372 97
30, 000 00

5, 820 00
21, 435
13, 472
4
2, 500
464

53
44
16
00
93

W. A. BUCKINGHAM, Cashier.

$50,000 00

Capital stock paid in.

3,240 15
57 49

Surplus fund
Other undivided profits
National bank notes outstanding
State bank notes outstanding

27, 000 00

Dividends unpaid „
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

1,064 00

Duo to other national banks
81 30 Due to State banks and bankers .
613 28
15, 070 00 Notes and bills re-discounted.
Bills payable
1,350 00
185, 855 64

Total.

'8, 427 70

2,130 30
5, 000 00

185, 855 64

First National Bank, Central City.
J . A. THATCHER, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures..
Current expenses and taxes paid . . .
Premiums paid
Checks and other cash items..,
Exchanges for clearing house.
Bills of other banks
Fractional currency
,
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




FRANK C.SYOUNG, Caskier.

No. 2129.

$174, 716 20 Capital stock paid in.
2,510 11
50, 000 00 Surplus fund
Other undivided profits
1,833 15 National bank notes outstanding
20, 635 26 State bank notes outstanding
70, 085 32
25, 500 00 Dividends unpaid .
54 L 71
4, 000 0J Individual deposits
United States deposits
7,826 44
Deposits of U. S. disbursing officers.
6,155 00 Due to other national banks
186 65 Due to State banks and bankers
15, 921 84
24, 806 00 Notes and bills re-discounted .
Bills payable

$50, 000 00
' 20, 000 00
444 50
44, 000 00

280,445 61

10, 570 46
2,474 65

3.2L7 54 !
407, 935 22 |

Total.

407,935 22

752

EEPORT OF THE COMPTROLLER OF THE CURRENCY.
COLORADO.
Rocky Mountain National Bank, Central City.

H. M. TELLER, President.

J. S. RAYNOLDS, Cashier.
Liabilities.

Resources.

$148, 232 08 ! Capital stock paid in .
6, 570 80 |
60, 000 00 | Surplus fund
Ottier undivided profits.
4,905 93 National bank notes outstanding
31,934 01 State bank notes outstanding
136, 130 90 Dividends unpaid .
5. 245 00
8 10 Individual deposits
United States deposits
6,817 67 Deposits of U. S. disbursing officers.

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

$60, 000 00
2, 500 00
3,429 39
54, 000 00

316,492 71

2,427
1,151
8, 967
23,725

00 J Due to other national banks
i
60' ji Due to State banks and bankers
85 ji
00 ji Notes and bills re-discounted
I] Bills payable
" 6*359"22" I!
Total
442,475 16 J

Total.

6 ,003 0b

....

...

442 ,475 16

First National Bank, Colorado Springs.
C. B. GREENOUGH. President.

No. 2179.
$76,694 17
788 00
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
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

500 00
486 09
18,321 89
16, 536 28
7, 482 20
6, 007 30
4,000 00
2, 532 57
6,478 00
107 00
1,295 85
8, 000 00
""i~85~o"ob~

$50, 000 00

Capital stock paid in

2,000 00
7, 175 44

Surplus fund
Other undivided profits
National bank notes outstanding

27, 000 00

State bank notes outstanding
Dividends unpaid
93, 837 74

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

181,079 35

Total

JAMES KNOX, Cashier.

1, 066 17

Total

181,079 35

First National Bank, Denver.
No. 1016.

J. B. CHAFFEE, President.Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S.bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents —
Due from other banks and bankers ..
Real estate, furniture, and fixtures...
Current expenses 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
T^tal




!

$695,718 22
29, 155 12
50, 000 00
50, 0U0 00

D. H. MOFFAT, Jr., Cashier.

3, 489 00
14 00
3,765 50
75, 000 00
2,250 00
1,142,069 12

|

Surplus fund
Other undivided profits

1

50, 000 00
48,222 02

National bank notes outstanding
118,006 07
68, 799 30
33, 843 93
276 85
8, 000 00
3,751 13

Capital stock paid in

j

44, 900 00

State bank notes outstanding

j

*

Dividends unpaid

j

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
Total

$200, 000 00

679, 282 64
34, 555 27
4,174 54
46, 194 40
34, 740 25

I 1, 142, 069 12

REPORT OF THE COMPTROLLER OF THE CURRENCY.

753

COLORADO.
City National Bank, Denver,
J . S. BROWN1, President.

No. 1955.

JNO. R. HANNA, 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 an 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
Total

$251,462 18
11,583 85
100, 000 00
2, 436 33
lOH, 076 67
61.208 63
27, 950 00
4, 750 9-1
20, 270 95
3, 154 00
639 91
4, 477 35
39,966 00

$100,000 00

Capital stock paid in.
Surplus fund
Other undivided profits

25, 000 00
7, 318 09

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

!
1

323, 677 07

80, 7 9. 49
15, 5:,7 02

Notes and bills re-discounted.
Bills payable

8,317 85
642,294 67

642,294 67

Total.

Colorado National Bank, Denver.
WM. B. BERGER, Cashier.

No. 1651.

C. B. KOUNTZE. President.
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
Checks and other cash items
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, 449
6. 817
100, 000
50, 000

72
71
00
00

34, 689
194, 934
16, 000
807
5, 000

II
52
00
93
00

13, 632 81
294
418
060
000

00
67
45
00

Surplus fund
Other undivided profits .

20, 000 00
10,6i6 14

National bank notes outstanding
State bank notes outstanding

89, 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

490,103 98
24, 686 52
822 83
76,601 97
77, 246 08

Notes and bills re-discounted.
Bills payable

10, 768 57
Total.

889, 077 52

Total.

$100, 000 00

Capital stock paid in .

889, 077 52

German National Bank, Denver.
GEORGE T R I T C 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, 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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2351.

J. A. COOPER, Cashier.

$187,696 29 Capital stock paid in
5,486 14
34,000 00 Surplus fund

$100,000 00

Other undivided profits .

14,301 17

3, 500 00
National bank notes outstanding
94, 083 03 State bank notes outstanding
14,231 84
4, 672 59 j Dividends unpaid.
6,240 36 I j Individual deposits
2,188 75
!! United States deposits
4, 875 30
Deposits of U. S. disbursing officers..

30, 600 00

3,791 00 Due to other national banks
258 20 Due to State banks and bankers
1,959 17
42, 500 00 | IsTotes and bills re-discounted.
I j Bills payable
2,530 00
408,012 67

Total.

209,099 81

28,101 47
5,910 22
20, 000 00

754

REPORT OF THE COMPTROLLER OF THE CURRENCY.

First National Bank, Lake City.
IT. A. Me IN TIRE, President.

No. 2354.

H. J. ALEXANDER, 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 banks and bankers..
Real estate, furniture, and fixtures..
Current expenses 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.

Surplus fund
Other undivided profits
•II

, 522 31
, 186 12
, 203 23
,669 71
, 587 50
638 31
504
22
50
11,892

$50,000 00'

Capital stock paid in .

347 fil
95*8 55
000 00

00
75
00
00

" "1*350*66'

3,982 33

National bank notes outstanding
State bank notes outstanding . . .

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

45, 252 05'

7,074 69
99 45

Notes and bills re-discounted
Bills payable

133, 408 52

Total.

133,408 52

First National Bank, Pueblo.
J. A. THATCHER, President.

Loans 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
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

No. 1833.

M. D. THATCHER, Cashier.

$200, 682 20 Capital stock paid in
4,519 73
34, 000 00 ! Surplus fund
Other undivided profits
6,744 31 jj National banknotes outstanding
j
27, 857 42 ! State bank notes outstanding
94, 566 69 | Dividends unpaid.
17, 688 48 !
4,245 91 | Individual deposits
United States deposits
2, 052 34 i Deposits of U. S. disbursing officers.
13,710 00 j Due to other national banks
Due to State banks and bankers
1, 950 15
23, 950 00 Notes aud bills re-discounted
2, 546 66 i Bills payable
434,513 23 I

Total

$100, 000 00
20, 000 00
6, 890 68
30,600 C
O

231,338 18
27, 905 67
17,778 70

434, 513 23

Stock Growers' National Bank, Pueblo.
M. 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... j
Current expenses and taxes paid..
Premiums paid
Checks and other cash items
j
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 .




No. 2310.

P. ROHRER, Cashier.

$53,201 95 I Capital stock paid in
6,113 67 j
30, 000 00 | Surplus fund
Other undivided profits
642 32 National bank notes outstanding
1,539 14 State bank notes outstanding
41,018 11 Dividends unpaid .
2,085 11
6T 924 06 Individual deposits
5, 137 50 j United States deposits
2, 907 79 Deposits of U. S. disbursing officers.815 00 Due to other national banks
83 80 Due to State banks and bankers
1,309 98
10, 750 00 Notes and bills re-discounted.
Bills payable
1,350 00
163, 878 43

Total.

$50, 000 00
7,231 61
26, 980 00

76, 726 44

2, 678 76
261 62

163, 878 43

REPORT OF THE COMPTROLLER OF THE CURRENCY.

755

C O L O K A D»O,
First National Bank, Trinidad.
F R E D . D. WIGHT, President.

No. 2300.

GEO. R. SWALLOW, 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 a i d . . . . . . . . . . . . . . . . . . . . .
Checks and 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
Due from U. S. Treasurer
Total.




Liabilities.
$52,037 03
3, 955 74
30, 000 00
2,
4,
24,
4,

803 45
343 10
752 63
018 74
470 69
5,137 50
242 44

4,621 00
470 43
3, 814 00

Capital stock paid in

$50, 000 00'

Surplus fund
Other undivided profits.

15,000 006,176 2£

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

27, 000 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

39, 840 53

Due to other national banks
Due to State banks and bankers .
Notes and bills re-discounted.
Bills payable

1,350 00
138, 016 75

Total.

138, 016 75

756

REPORT OF THE COMPTROLLER OF THE CURRENCY.
ORE

<;o \ .

First National Bank, Portland.
No. 1553.

HENRY FAILING, President.

JAMES STEEL, 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
j
Checks and other cash items
i
Exchanges for clearing house
'
Bills of other bUnks
j
Fractional currency
|
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
...,
Total




j

$884, 036 72
11,607 25
250,000 00
200, 000 00
52, 900 00
369,582 55
17, 351 80
111, 987 79
4,000 00
7, 223 25
2, 339 86
1,610 00
144,558 2L
112, 850 00

Capital stock paid in.
Surplus fund
,
Other undivided profitsNational 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
,

$250,000 00
50, ooo on
249, 19 L 37
220, 500 00
5, 512 00

844, 551 27
220,243 11
120,378 18
35, 577 60

25,906 10
1,995,953 53 j

Total.

1, 995, 953 53

REPORT OF THE COMPTROLLER OF THE CURRENCY.

757

CALIFORNIA.
First National Gold Bank, Oakland.
V. D. MOODY, President.

No. 224P.

G. M. FISHER. 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
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

Liabilities.
$169, 274 76
15, 532 59
100, 000 00
5,580 40
5,036 51

Capital stock paid in

$100, 000 00

Surplus fund
.
Other undivided profits

5,000 00
11,642 93

,

National bank notes outstanding
State bank notes outstanding

79, 870 00
513 00

932 75
7, 297 60
224 47

144, 655 85
1 United Slates deposits
Deposits of U S disbursing officers
•

20
DO

......
.

Total

37, 002
800 00

Due to State banks and bankers
...

Bills payable

341,681 78

Total

341,681 78

Union National Gold Bank, Oakland.
A. C. HENRY, President.

No. 2266.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges 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. A. PALMER, Cashier.

$227, 305 32 Capital stock paid in.,
9, 602 43 !
50, 000 00 | Surplus fund

5of666 6o"|
76, 323 97
42,735 79

$100,000 00

Other undivided profits

39,147 87

National bank notes outstanding
State bank notes outstanding

39, 070 00

Dividends unpaid.

3,159 04 ! Individual deposits
1

319,342 40

United States deposits

4,142 13 ! Deposits of U. S. disbursing officers.
20
66, 497 55
4,2L8 00

513,984 43

Due to other national banks
Due to State banks and bankers

16,424 16

Notes and bills re-discounted .
Bills payable
Total.

513, 984 43

First National Gold Bank, Petaluma.
H. H . ATVVATER, Cashier.

I. G-. WICKERS HAM, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages..
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures...
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




$278, 592 67 Capital stock paid in.
3,475 9L
100, 000 00 Surplus fund
Other undivided profits
National bank notes outstanding
37,464 56 State bank notes outstanding
748 31 Dividends unpaid.
5 00
1, 026 88 Individual deposits
United States deposits
604 31 Deposits of U. S. disbursing officers.

$200, 000 00
18,025 42
8, 388 94
79, 570 00
18 00
169, 669 48

Due to other national banks
45 Due to State banks and bankers .
53, 120 75
33 00 Notes and bills re-discounted.
Bills payable
475,671 84

Total .

475,671 84

758

REPORT OF THE COMPTROLLER OF THE CURRENCY.
CALIFORNIA.
National Gold Bank of D. O. Mills & Co., Sacramento.

EDGAR MILLS, President.

No. 2014.

Resources.
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 mortag.es - -.
Due from approved reserve agents...
Due from other banks and bankers . .
Real estate, furniture, and fixtures . .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

FRANK MILLER, Cashier.

\i

Liabilities.
$300, 000 001

$422, 89P 66 Capital stock paid in
853 79
Surplus fund.
150, 000 00
Other undivided profits

31, 000 00!
16, 970 96

11,487 93

National bank notes outstanding
State bank notes outstanding

88, 388 64
72, 500 00
4,868 50

Dividends unpaid.

20, 019 77
2, 495 00
8 25
3 46,428 40
6, 206 00
'.

J17, 525 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

389, 689 12

Due to other national banks
Due to State banks and bankers

12, 176 77
58,794 09

Notes and bills re-discounted
Bills payable
Total .

926, 155 94

926,155 94

First National Gold Bank, San Francisco.
R. C. WOOLWORTH, President.
Loans and discounts
,
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
,
Other stocks, bonds, and mortgages.
Due from approved reserve agents.
Due from other banks and bankers.
Real estate, furniture, and fixtures.
Current expenses and taxes paid
Premiums paid
Checks "and other cash items
Exchanges for clearing house
Bills of other banks
,
Fractional currency
Specie
....,
Legal tender notes
.....
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

No. 1741.
1,018,778 56
78, 227 92
800, 000 00
3, 852 00
349, 276 97
24, 650 S3
57 20
10, 920 00
218 00
81,902 91
4,910 00
20 01
448,'625 00
23, 780 00

GEO. W. RODMAN, Cashier.

Capital stock paid in.

$2, 000, 000 00

Surplus fund
,
Other undivided profits.

117,748 44
35, 791 00

National bank notes outstanding.....
State bank notes outstanding

613, 585 00
8, 618 59*

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
Due to other national banks
Due to State banks and bankers

895,351 35

86, 056 32
91,068 70

Notes and bills re-discounted .
Bills payable
Total

3, 848, 219 40

3,848,219 40

National Gold Bank and Trust Company, San Francisco.
C. H. BURTON, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S.bonds to secure depo sits
U. S. bonds on hand.
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers..
Real estate, furniture, and fixtures..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal teuder notes
U. S. certificates of deposit.
Due from U. S. Treasurer
Total.




No. 1994.

$914, 394 61
16, 503 38
50, 000 00

H. H. H E W L E T T , Cashier.

Capital stock paid i n .
Surplus fund
Other undivided profits

20, 456 00 ! National bank notes outstanding
12, 000 19 i State bank notes outstanding
20, 550 89 I
49, 798 87 ! Dividends unpaid.
852 50 ! Individual deposits
United States deposits
34, 643 62 Deposits of U. S. disbursing officers.
2, 315
104
188. 101
22,911

00
20
85
00

1,332,632 1L

Due to other national banks
Due to State banks and bankers

$750, 000 0049,327 3 a
40, 000 00

435,911 76

47, 287 87
10,105 18

Notes and bills re-discounted
Bills payable
Total

1, 332, 632 11

REPORT OF THE COMPTROLLER OF THE CURRENCY. 759
CALIFORNIA,
Farmers' National Gold Bank, San Jose.
JNO. W. HINDS, President.

No. 2158.

"W. D. TlSDALE, 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.
$592, 618 20
6,662 41
25Q, 000 00
14, 000 02
51,623 16
5, 534 97
101,316 47
5,097 20
4, 982 86
663 25

$500, 000 00

Capital stock paid in.

16, 902 17
9,491 62

Surplus fund
Other undivided profits.
National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

3,730 00

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.

755 00 Due to other national banks
Due to State banks and bankers
56, 176 70
81 00 Notes and bills re-discounted.
Bills payable
Total

1,089,511 24

199, 695 00

331, 360 94

28,331 51

1,089,511 24

First National Gold Bank, Santa Barbara.
M. S AWyER, President.

No. 2104.

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 p aid
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
Total

$46, 358 80
2,019 69
34, 000 00

A. L. LINCOLN, Cashier.

$50, 000 00

Capitalstock paid in.

Surplus fund
Other undivided profits
2, 309 43 National bank notes outstanding
21 34 State bank notes outstanding
872 77
25, 638 28 Dividends unpaid .
1,414 85 Individual deposits
United States deposits
589 23 Deposits of U. S. disbursing officers.
"153*66'
17, 553 90
140 00

Due to other national banks
Due to State banks and bankers
Notes and bills re-discounted .
Bills payable

131,571 29

10,103 30
2,569 84
27, 105 00

36,220 40

5, 552 75

131, 571 29

Total.

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 deposi t
Due from U. S. Treasurer , . . „

Total.




No. 2077.

$448, 931 46
1, 355 17
254, 000 00

IT. H. H E W L E T T , Cashier.

Capital stock paid in.

Surplus fund
io
o "66" Other undivided profits
000 00 National bank notes outstanding
004 11 State bank notes outstanding
516 89
376 26 Dividends unpaid .
14 80 Individual deposits
United States deposits
3,198 42 Deposits of U. S. disbursing officers.

50 00 j Due to other national banks
Due to State banks and bankers .
47,917 05 |
1,342 00 1 Notes and bills re-discounted
1
I Bills payable
822,806 16 j

Total. .

$300, 000 00
26, 063 80
28, 094 47
202, 875 00
594 00
262,721 05

2,457 84

822, 806 16

760

REPORT OF THE COMPTROLLER OF THE CURRENCY.
NEW

MEXICO.

First National Bank, Santa Fe.
S. B. ELKIss, President.

No. 1750.

W. W. GRIFFIN, 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

$193, 263 09 Capital stock paid in .
11,816 20
150, 000 00 Surplus fund
160, 000 0D Other undivided profits.

$150,000 00
20, 487 38
5, 859 73

National bank notes outstanding
State bank notes outstanding
Dividends unpaid.

133, 460 00

Individual deposits
j 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

2,475 15

Total.

Total.

183,704 65
150, 659 33
39, 420 86

686,067 10

Second National Bank of New Mexico, Santa Fe.
LEHMAN SPIEGELBERG, 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
Legal tender notes
U. S. certificates of deposit.
Due from U. S. Treasurer..
Total.




No. 2024.

W I L L I SPIEGELBERG, Cashier.

$149, 349 07 Capital stock paid in .
2,327 14
150, 000 00 Surplus fund.
Other undivided profits
75 00 National bank notes outstanding
16, 528 72 State bank notes outstanding
43, 216 47 Dividends unpaid.
2, 044 86
14, 000 00
19L 82

Individual deposits
United States deposits
Deposits of U. S. disbursing officers -

13, 322 00 Due to other national banks
272 00 Due to State banks and bankers
1,681 33
19, 628 00 Notes and bills re-discounted.
Bills payable
6, 750 00
419,386 46

$150, 000 00
...

Total.

10,603 40
22,196 40
134, 090 00

102, 480 99

15 67

419,386 46

REPORT OF THE COMPTROLLER OF THE CURRENCY.

761

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.
$289, 652 08
7,855 66
50, 000 00
2,115 30
7, 319 13
53,330 41
55, 000 00
6, 372 93
4, 334 56

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.

4, 589 00
902 70

Due to other national banks
Due to State banks and bankers . . .
168,184 00 Notes and bills re-discounted.
Bills payable
2, 250 00

$200, 000 00
40, 000 00
30, 470 86
39,200 00

30 00
359,543 81

1,768 59
592 81

19,700 30

671,606 07

Total.

671, 606 07

REPORT OF THE COMPTROLLER OF THE CURRENCY.
IDAHO.
First National Bank of Idaho, Boise City,
J. H. MeCARTY, President

No. 1668.

JOHN HUNTOON, 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 .
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.




Liabilities.
$71, 333 21 Capital stock paid in .
18, 705 40
100, 000 00 Surplus fund
Other undivided profits .
70, 729 67 National bank notes outstanding
State bank notes outstanding
32,275 16 Dividends unpaid.
7, 033 33
2, 443 15 Individual deposits
1,351 98 United States deposits
1,195 56 Deposits of U. S. disbursing officers.
7, 500 00
174 00
3, 407 00
24,108 00

Due to other national banks
Due to State banks and bankers . . . .
Notes and bills re-discounted.
Bills payable
,

$100,000 00
20, 917 82
3, 011 73
84,700 00

127,178 65

8,894 75

4, 446 49
344, 702 95

Total.

344, 702 95

REPORT OF THE COMPTROLLER OF THE CURRENCY.

763

MONTANA.
First National Bank, Bozeman.
G E O . W. FOX, President.

No. 2027.

J A S . G. D O W , 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 ,

$50, 089
468
50, 000
50, 000

84
67
00
00

Capital stock paid in .

13, 496
1,919
32, 647
5, 950
1,517
12, 600
34

23
43
44
00
50
00
17

National bank notes outstanding
State bank notes outstanding

1,365
45
466
14, 000

00
15
70
00

$50, 000- C >
M
6, 462 00
8, 019 65

Surplus fund
,
Other undivided profits.

45, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

96, 987 24
28,107 89
2, 303 35

Due to other national banks
Due to State banks and bankers.
Notes aud bills re-discounted .
Bills payable

2, 25!) 00
236, 880 13

Total.

236, 880 13

First National Bank, Deer Lodge.
W.

No. 1975.

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. e>. certificates of deposit
Due from U. S. Treasurer

$85, 052 90
5,001 57
50, 000 00
11,822 44
37, 346 58
7, 700 00
1, 069 14
4,500 00
7, 056 63
765
33
1, 556
20, 000

00
44
45
00

S. E. LARABIE, Cashier.

Capital stock paid in .

$50, 000 00

Surplus fund
Other undivided profits .

50,000 00
66 6L

National bank notes outstanding
State bank notes outstanding

45, 000 00

Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officerg.
Due to other national banks
Due to State banks and bankers.

88,537 50

339 52
210 52

Notes and bills re-discounted.
Bills payable

2, 250 00

Total .

234,154 15

Total.

234,154 15

First National Bank, Helena.
S. T. HAUSER, 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
Exchaages 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- -45




No. 1649.

E. W. K N I G H T , Cashier.

$477, 984 91 Capital stock paid in .
13,263 07
50, 000 00 Surplus fund
100, 000 00 Other undivided profits.
4,944 75 National bank notes outstanding
42,938 70
5,978 78
16, 6S8 41
6, 374 69
17, 460 25
59, 339 88
6, 700
2, 702
8, 325
22, 000

00
00
35
00

$L00, 000 00
20,000 00
47, 295 60
44, 434 00

State bank notes outstanding
Dividends unpaid.
Individual deposits
United States deposits
Deposits of U. S. disbursing officers..

513, 616 77
68,174 01
5,116 40

Due to other national banks
Due to State banks and bankers

1,041 93
] 1,416 82

Notes and bills re-discounted.
Bills payable

25, 855 26

2, 250 00
836, 950 79

Total.

836,950 79

764

REPORT OF THE COMPTROLLER OF THE CURRENCY.
MONTANA.
People's National Bank, Helena.
No. 2105.

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
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer

$122, 080 29
720 62
56, 000 00
1, 000 00
11,071 58
11,430 99
22, :H8 86
8,200 00
2,105 22
5,265 00
31,185 27
7, 275 00
145 15
6,974 18
17, 800 00

"2,520" 66'

5, 500 00
7,157 75*

Surplus fund
Other undivided profits .
National bank notes outstanding .
State bank notes outstanding

50, 400 00

Dividends unpaid

300 00
102,354 06

Individual deposits
United States deposits
Deposits of U. S. disbursing officers.
Due to other national banks
Due to State banks and bankers

23, 029 0212,381 33

Notes and bills re-discounted
Bills payable

306, 122 16

Total.

$100, 000 00

Capital stock paid in.

5, 000 00

Total .

306,122 16

Missoula National Bank, Missoula.
C. P . HIGGINS, President.

Loans and discounts
Overdrafts
U. S. bonds to secure circulation
U. S. bonds to secure deposits
U. S. bonds on hand
Other stocks, bonds, and mortgages.
Due from approved reserve agents..
Due from other banks and bankers .
Real estate, furniture, and fixtures .
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes
U. S. certificates of deposit
Due from U. S. Treasurer
Total.




No. 2106.
$53, 994 76
2, 455 26
30, 000 00
2, 155
1, 323
779
2, 414
1, 447
3, 675
11, 244

F E R D . KENNETT, Cashier.

Capital stock paid in.

$50, 000 00

Surplus fund
Other undivided profits.

5, 000 00
7,124 74

91 National bank notes outstanding
50 State bank notes outstanding
02
20 j Dividends unpaid.
84
00 I Individual deposits
United States deposits
•..
26
Deposits of U. S. disbursing officers.

623 00 ; Due to other national banks
101 75
Due to State banks and bankers
36 L 50
3, 600 00 Notes and bills re-discounted
Bills payable

18,100 00

30, 628 60

57 57
4, 615 09'
,

"i*350"66
115, 526 00

Total.

115,526 00

REPORT OF THE COMPTROLLER OF THE CURRENCY.

765

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..
Current expenses and taxes paid
Premiums paid
Checks and other cash items
Exchanges for clearing house
Bills of other banks
Fractional currency
Specie
Legal tender notes ..
U. S. certificates of deposit
Due from U. S. Treasurer
Total.

Liabilitieg.
$222, 039 29 Capital stock paid in.
7, 580 36
30, 000 00 Surplus fund
Other undivided profits
8, 022 25 National bank notes outstanding
22, 276 39 State bank notes outstanding
25,531 26
9, 184 00 Dividends unpaid .
11, 933 01 Individual deposits
2, 896 25 United States deposits
11, 671 42 Deposits of U. S. disbursing officers.
9, 123 00 Due to other national banks
305 58 Due to State banks and bankers
14,137 77
40, 623 00 Notes and bills re-discounted.
Bills payable
1, 350 00
416, 673 58

Total.

$75, 000 00
56,849 13
24, 950 00

255, 930 60

3,006 08937 77

416,673 58

Wyoming National Bank, Laramie City.
EDWARD 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
Exchanges 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. B. ROOT, Cashier.

No. 2110.

$71,266 01 Capital stock paid in .
2, 122 46
30, 000 00 Surplus fund
Other undivided profits
15, 417 82 National bank notes outstanding
State bank notes outstanding
15,948 59. Dividends unpaid.
11,114 45
1, 072 04
4,85-2 50 Individual deposits
United States deposits
37 20 Deposits of U. S. disbursing officers.
1, 936 00 Due to other national banks
2 95
893 20 Due to State banks and bankers.
7, 388 00 Notes and bills re-discounted.
Bills payable
i, 350 00
163, 401 22

Total.

$50,000 00
25,000 00
5, 015 22
27, 000 00

1,793 67

163,401 22

766

REPORT OF THE COMPTROLLER OF THE CURRENCY.
DAKOTA.
First National Bank, Yankton.

J. C. MCVAY, President.

No. 2068.

W. H. MCVAT, 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.
$97, 854 30 • Capital stock paid in .
85 90 i
50, 000 00 Surplus fund
50, 000 00 I Other undivided profits.
2,211 40 ; National bank notes outstanding
29, 275 86 IState bank notes outstanding
22, 036 78 !Dividends unpaid .
10, 692 04 I
1, 627 75
10, 000 00 Individual deposits
United States deposits
1, 784 88 Deposits of U. S. disbursing officers.

$50, 000 00
10, 000 00
6,507 99
45,000 00
700 00

131,710 32
41, 980 49
7, 775 31

984 G Due to other national banks
O
109 37 Due to State banks and bankers .
1,273 83
13, 488 00 Notes and bills re-discounted.
Bills payable
2,250 00
!93,674 11

Total.

293, 674 11

INDEX OF TOWNS/
A.
Abington, Mass
Adams, Mass
Adams, N. Y . . .
Aftou, Iowa
Akron, Ohio
Albany, N. Y
Albia, Iowa
Albion, N. Y
Albion, Mich
Alexandria, Va
Allegan, Mich
Allegheny, Pa
Allentown, Pa
Allerton, Iowa
Alliance, Ohio
Alton, 111
Altoona, Pa
Amenia, N. Y
Americus, 6 a
Amherst, Mass
Amsterdam, N. Y
Anamosa, Iowa
Anderson, S. C
Anderson, Ind
Andes, N. Y
Andover, Mass
Angelica, N. Y
Ann Arbor, Mich
Annapolis, Md
Ansonia, Conn....
Anthony, R . I
Appleton, Wis
Arcola, 111
Ashaway, R. 1
Ashburnham, Mass
Ashland, Pa
Ashland, Ky
Ashland. Ohio
Ashtabula, Ohio
Atchison, Kans
Athens, Pa
Athens, Ga
Athens, Ohio
Athol, Mass
Atlanta, Ga
Atlanta! 111
Attica, Ind
Attleboro 1 , Mass
Auburn, Me
Auburn, N. Y
Auburn, Ind
Augusta, Me..'.
Augusta, Ga
Aurora, N. Y
Aurora, Ind
Aurora, 111
Austin, Tex
Austin, Minn

.

„

,

,

,

Page.
115
115,170
242
695
518
242
695
244
654
455
654
359
360
695
518
606
361
245
476
115
245
696
472
573
246
116
247
654
442
215
194
681
606,
194
116
361
493
519
519
742
361
476
520
116
476
607
573
117,170
59
247
573
60
477
248
574
607
4^8
72L

B.
Baldwinsville, N. Y
Ballston Spa, N. Y
Baltimore, Md
Bangor, Me
Baraboo. Wis
Barnesville, Ohio
Barre, Vt
Barre, Mass
Barton, Vt
Batavia, N. Y
Batavia, Ohio
Batavia, 111




249
249
442
61
681
520
99
117
99
250
520
608

Bath, Me
Bath, N. Y
Battle Creek, Mich
Bay City, Mich
Beatrice, Neb
Beaver Dam. Wis
Bedford, Ind
,
Belfast, Me
Bellaire, Ohio.
Belle Plaine, Iowa
Bellefontaine, Ohio
Bellefonte, Pa
Belleville, 111
Bellevue, Ohio
Bellows Palls, Vt
Beloit, Wis
Belvidere, N. J
Belvidere, 111
Bennington, Vt
Berea, Ohio
Berwick, Pa
Bethel. Vt
Bethlehem, Pa
Beverly, Mass
Biddeford, Me
Big Rapids, Mich.
Binghamton, N. Y
Birmingham, Conn
Birmingham, Pa
Birmingham, Ala
Blairsville, Pa
Bloomington, Ind
Bloommgton, 111
Bloomsburg, Pa
Bloomsbury, N. J
Boise City, Idaho
Boone, Iowa
Boonville, N. Y
Boonville, Ind
Boonville, Mo
Boscobel, Wis

Pa^e.
63
351)
655
655
747
682

,.

65
52L
696
52L
362
608
52L
99
682
336
609
100
522
362
100
362
118
65
656
251
215
411
481
363
574
609
363
336
762
696
252
575
732
682

.

....

Boston, Maws
Boulder, Col
Bowdoinham, Me

Boyertown. P a
Bo'zeman, Mont
Braidwood, 111
Brandon, V t
Brattleboro', Vt
Brewsters, N.- Y
Bridgeport, Conn
Bridgeport, Ohio
Bridgeton, N. J
Brighton, Mass
Brighton. I o w a
Bristol, R . I
Bristol, Conn
Bristol, P a
Brockport, N. Y
Brockton, Mass
Brooklyn, Conn
Brooklyn, N. Y
Brookville, I n d
Brownsville, P a
Brownville, Neb
Brunswick, Me
Bryan, Ohio
Buchanan, Mich
Buckgport, Me
Bucyrus, Ohio
Buffalo, N. Y
Burlington, Vt
Burlington, N. J
Burlington, W i s
Burlington, I o w a

*For list of States and reserve cities, see page 15.

118
751
66

K

384
763
609
100
101
252
215
5225
336
129,133
697
194
21?
364
253
138
217
253
575
364
747
66
522
656
67
523
254
102
337
683
697

768

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Burlington, Kans
Bushnell, 111
Butler, Pa
Butler, Mo
C.
Cadiz, Ohio
Cairo. Ill
Calais. Me
Caldwell, Ohio
California, Mo
Cambridge, Mass
Cambridge, N. Y
Cambridge, Ohio
Cambridge City, Ind
Cambridgeport, Mass
Camden, Me
Camden, N. J
Canajoharie, N. Y
Canandaigua, Nr. Y
Canastota, N. Y
Candor, N. Y
Canton, Mass...
Canton, Ohio
Canton, III
Carboudale, Pa
Cardington, Ohio
Carlinville, 111
Carmel, N. Y
Carthage, 111
Carthage, Mo
Cassopolis, Mich
Castleton, Vt
Castleton, N. Y
Catasauqua, Pa
Catskill, N. Y
Cedar Falls, Iowa
C edar Rapids, Iowa
Central City. Ool
Centralia, 111
Centerville, Iowa
Centreville, R. I
Centreville, Md.,
Centreville, Ohio
Centre ville, Ind
Centreville, Mich
Chambersburg, Pa
Champaign, 111
Champlain, 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. P a .
Chester, S. C
Chestertown, Md
Cheyenne, Wyo
Chicago, 111
Chicopee, Mass
Chillicothe, Ohio
Chippewa Falls, Wis
Chittenango, N. Y
Cincinnati, Ohio
Circleville, Ohio
Cliremont, N. H
Clarinda, Iowa
Clarion, Pa
Clarksburg, W. Va
Clarksville, Tenn
Clearfield, Pa
Cleveland, Tenn
Cleveland, Ohio
Clinton, Mass
Clinton, Conn
Clinton, N. J




1

-

..

Page.
742 Clinton, III
610 j Clinton. Iowa
365 Cliuton, Mo
732 Coatesville, Pa
Cobleskill, N. Y
Cohoes, N. Y
Coldvvater. Mich
Colorado Springs, Col
Columbia, Pa
523 | Columbia, S. C
610 | Columbia, Tenn
67 I Columbia, Mo
524 [ Columbus, Ga
732 i Columbus, Ohio
139, 143 j Columbus, Ind
255 I Columbus, Wis
524 \ Columbus Junction, Iowa
575 ' Concord, N. II
139 Concord. Mass
Pa
68 \ Coune
, Pa
337
256 Connersville, Ind
256 ; Conshohoeken, Pa
257 ; Constantino, Mich
257 Conway, Mass
140 Cooper'stown, N. Y .
525 Cony. Pa
610 , Corthind, N. Y
365 ! Corn a . Mich .
525
Uiocton, i >hio
611 ! Council Bluffs, Iowa
ngtou, Ky .
257 ;
611 j Coxsackie, N. Y
733 | Crawfonlsville, Ind
6c>6 < Crown Point, Ind
103 ! Cuba. N. Y
258 ; Cumberland, It. I366 Cumberland, Md .
258 Cynthiana, Ky
698
698 '
751 '
611 j
699;
195 ! Dallas, Tex
447 | Dainariscotta, Me
525 j Danbury, Conn.
576 Dansville, N. Y
657 Danvers, Mass
366 Danville, Vt
612 Danville, Pa
259 Danville, Va
700 Danville, Ky
700 Danville, Ind
472 Danville, 111
612 Davenport, Iowa
83 Dayton, Ohio
122, 129 Decatur, 111
462 Decatur, Mich
467 Deckertown, N. J
657 Decorah, Iowa
509 Dedham, Mass
103 Deep River, Conn
140 Deer Lodge, Mont
259 Defiance, Ohio
259 Dclavan, Wis
366 Delaware, Ohio
473 Delaware City, Del
447 Delhi, N. Y
765 Delphos, Ohio
613 Denison, Tex
141 Denver, Col
526 Deposit. N. Y
683 Derby Line. Vt
260 Derry, N. II
526 Des Moines, Iowa
528 Detroit, Mich.
83 Dexter, Me
700 Dixon, III
367 Dorchester, Mass
462 Dover, N. H
509 Dover, N. Y
367 Dover, N. J
509 Dover, Del
529 Dowagiac, Mich
141 Downingtown, Pa
218 Doylestown, Pa
338 Dubuque, Iowa

Pag-e.
617
701
733
368
260
260
657
752
368
473
510
733
477
531
576
683
701
83
141
369
369
576
370
658
142
261
370
261
659
532
701
493
262
577
577
262
195
447
494

-.

;
•.

488
68
218
263
142
103
371
455
494
577
618
702
532
618
659
- . 338
703
142
219
763
533
684
534
437
263
534
488
752
263
104
84
703
659
68
618
120
84
264
339
437
661
371
372

704

REPORT OF THE COMPTROLLER OF THE CURRENCY.
E.
East Cambridge, Mass
East G-reenwich, R . I
East Haddam, Conn
East Hampton, Mass
East Jaffrey, N. H
East Liverpool, Ohio
Ea.st Saginaw, Mich
Easton, Mass
.
Easton, P a
Easton, Md
Eastport, Me
Eaton, ohio
Eaton Rapids, Mich
Eau Claire, Wis
,
Edgartown, Mass
Elgin, 111
Elizabeth, N. J
Elkader, Iowa
Elkhart, Ind
Elk Horn, Wis
Elkton Md
Bllenville, N. Y
Elmira, N. Y
Elyria, Ohio
Emporia. Kans
Erie, Pa'.
Essex, Conn
Eufaula, Ala
Evansville, Ind
Exeter, N.H

Page.
143
196
219
. . . 143
85
535
661
„ 171
372
448
69
535
662
684
144
619
339
705
578
684
448
264
265
535
743
373
219
48L
578
86

1

F.
Pairbury, 111
Pairfield, Me
Fairfield, Iowa
Fairhaven, Vt
Fairhaven. Mass
Fairmont, W. V a
Fall River. Mass
Falls Village, Conn
Falmouth, Mass
Faribault, Minn
Farmer City, 111
Farmington, Me
Farrnington, N. H
Fayetteville, N. Y
Fayetteville, N. C
Fayetteville, Terra
Fergus Falls, Minn
Findlay, Ohio
Fishkill Landing, U . Y
Fitchburg, Mass
Flemingsbwrg, 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, I n d
Fort Worth, T e x . .
Fox Lake, Wis
Framingham, Mass
Francestown, N. H
Frankfort, Ind
Franklin, Mass
Franklin, N. Y
Franklin, Pa
Franklin, Ky
Franklin, Tenn
Franklin, Ohio
Franklin, Ind
Franklinville, N. Y
Frederick, Md
Fredericksburg, Va
Fredonia, N. Y .
Freehold, N . J
Freeport, Pa
Freeport, 111
Fremont, Ohio
Fremont, Neb




.
,

„

Page.
341
268
268

Frenchtown, N . J
Friendship, N. Y
Fulton, N. Y

Gainesville, Ala
Galena. Hi
Galesburg, III
Galion, Ohio
G-allipolis, Ohio..
Galva, 111
Galveston, Tex
Gardiner, Me
Gardner, Mass
Garrettsville, Ohio
Geneseo, N. Y
Geneseo, 111
G-eneva, N. Y
Geneva, Ohio
Georgetown, Mass
Georgetown, D. C
Germantown, Ohio
Gettysburg, Pa
Girard, Pa
Glen Rock, Pa
Glen's Falls, N. Y
Glenwood, Iowa
Gloucester, Mass
Gloversville, N. Y
Gonic, N.H
Goshen, N. Y
Goshen, Ind
Grafton, Mass
620 Grand Haven, Mich
69 Grand Rapids, Mich
705 GrandRapids, Wis
104 Granville, N. Y
144 Granville. Ohio
462 Great Barrington, Mass
144 GreatFalls, N.H
220 Green Bay, Wis
147 Green Castle, Pa
72 L Green Castle, Ind
620 Green Spring, Ohio
69 Greenfield, Mass
86 Greenport,N.Y..-. .
265 Greensboro', N. C
468 Greensburgh, Ind
510 Greenville, R. I
722 Greenville, P a . .
536 Greenville, S. C
266 Greenville, Ohio
147 Greenville, 111
495 Greenville, Mich
340 Greenwich, 11.1
662 Greenwich, N. Y
620 Griffin, Ga
685 Griggsville, 111
266 Grinnell, Iowa
685 Groton, N . Y . .
706
266
267
743 Hackensack, N . J
492 Hackettstown, N . J
580 Hagerstown, Md
489 Hallowell Me
685 Hamburg, Iowa
148 Hamilton, N. Y
86 Hamilton, Ohio
580 Hancock, Mich
149 Hannibal, Mo
267 Hanover, N.H
374 Hanover, Pa
495 Harmony, Pa
510 Harrisburg, Pa
536 Harrisonburg, Va
581 Harrodsburg, Ky
267 Hartford, Conn
449 Harwich, Mass.
456 Hastings, Mich
268 Hastings, Minn
340 Hatboro', Pa
374 Havana, N. Y
621 Havana, III
537 Haverhill, Mass
747 Haverstraw, N. Y

769

G.
48L
62L
622
537
538
623
489
70
149
538
269
623
269
5^8
149
453
539
375
375
376
270
706
150
271
87
271
581
151
663
663
686
272
539
152
87
686
376
581
539
152
272
469
582
196
376
474
540
624
. 664
196
273
478
624
707
273
H.
-

-

341
342
450
71
707
273
540
664
734
88
377
377
378
456
496
220
153
665
722
378
274
624
153
274

770

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Helena, Mont
Henderson, Ky
Henry.Ill
Mightstown, N. J
Hillsborough, N. H
Hillsborough, Ohio
Hillsdale, Mich
Hingham, Mass
Hobart, N.Y
Hoboken, N. J
Hollidaysburg. Pa
Holliston, Mass
Molly, Mich
Holyoke, Mass
Honesdale, Pa
Honey brook, Pa
Hope Valley, R. I
Hopkinton, Mass
Hopkiaton, R . I
Hornellsville, N.Y
Houghton, Mich
Houston, Tex
Hudson, N.Y
Hudson, Wis
Huntingdon, Pa
Huntington, Ind
Huntsville, Ala
JHyannis, Mass
H y d e Park, Vt

,

I.
JOioo.N.Y
Independence, Iowa
Independence, Mo
In<3i*na, Pa
ladaa&apolis, Ind
Indaaraola, Iowa
Ionia, Mich
I o w a City, Iowa
Srontoa, Ohio
It&ae^N.Y

J.
Jackson, Tenn
•Jackson, Ohio
Jacktwn, Mich
.Jacksonville, Fla
Jacksonville, 111
.Jamaica, Vt
Jamesfeurg, N. J
Jamestown, N . Y
Janesville, Wis
Jfe&ermm, Tex
Jefferson, Ohio
Jefferson City, Mo
Jeffersonville, Ind
Jenkintown, Pa
J e r s e y City, N. J
Jerseyville, III
Joimstown,, Pa
Joliet, 111

K.
, Mich
Kaukakee, 111
Kaas&a, 111
Kansas City, Mo
Kasson, Minn
Xe*ne,N. H
Keeseville, N. Yy
Keitfkshurg, 111 r.
Kendallville, Ind
Kean^ibunk, Me
Kenosim, Wis
K e n t , Ohio
K«ok*k, Iowa
K e w a o s e , III
Killingly, Conn
Ituuierhook, N . Y
Kingston, R. I
Kingston, N. Y
Kingwood, \V. Va
Kirkwood, 111




,

Page.
763 Kittanning, Pa
496 Knightstown, Ind
625 Knoxville, Tenn
342 Kuoxville, III
88 Knoxville, Iowa
541 Kokomo, Ind
665 Kutzto wn, Pa
155
274
343
379 LaCrosse, Wis
155 La Fayette, Ind
666 La Grange, Ind
155 La Porte, Ind
379 Lacon, 111
379 Laconia, N . H
196 Lake City, Minn
156 Lake City, Col
196
v75 Lambertville, N. J
666 Lanark, 111
Lancaster, Mass
490 Lancaster, Pa
275 Lancaster, Ky
687 Lancaster, Ohio
380 Lansdale, Pa
582 Lansing, Mich
482 Lansing, Iowa
156 Lapeer, Mich
104 Laramie City, Wyo
Lawrence, Mass
Lawrence, Kans
Lawrenceburgh, Ind
Le Roy, N.Y
276 Leavenworth, Kans
707 Lebanon, N.H
734 Lebanon, Pa
380 Lebanon, Ky
583 Lebanon, Tenn
708 Lebanon, Ohio
667 Lebanon, Ind
708 Lee, Mass
541 Leesburg, Va
276 Lehig-bton Pa
Leicester, Mass .
Leominster, MassLeslie, Mich
511 Lewisburg, Pa
542 Lewiston, Me
667 Lewistown, Pa
480 Lewihtown, III
625 Lexington, K y . . . ;
105 Liberty Iud.
343 Lima, Ohio
,
277 Lima,: Ind
687 Lincoln,111
491 Lincoln, Neb
542 Lisbon, Iowa
735 Litchfield, Conn
585 Little Falls, N. Y
380 Little Rock, Ark
343 Littleton, N . H
626 Lock Haven, Pa
381 Lockport,N. Y
626 Logan, Ohio
Logansport, Ind
London, Ohio
Louisville, Ky
668 Lowell. Mass
627 Lowell, Mich
Lowville, N.Y
627
Lynohburtf, Va
735
Lyndon, Vt
722
Lynn, Mass
88 Lyons, M. Y
278 Lyons, Iowa
627
5H5
71
688
543 Macomb, III
709 MacoD.Ga
628 Madison, Ind
240 Madison, Wis
278 Mahanoy City, Pa
197 Maiden, Mass
279 Malone, N.Y
463 Malta, Ohio
628 Malvern, Iowa

Page.
=.
:

381
586
511
628
709
586
381

L.
688
586
588
588
629
90
723
754
344
629
157
382
496
543
383
669
710,
„ . . 669
765
157
744
5^9
280
744
90
383
497
511
544
589
158
456
384
159
159
670
384
72
385
629
497
589
544
590
... 630
748
710
223
280
492
90
385
28L
544
590
545
498
159
670
282
457
105
162
282
711

..

-

.

M.

'.

630
478
591
688
386
163
282
545
711

REPORT OF THE COMPTROLLER OP THE CURRENCY.
Manchester, N. H
Manchester, Vt
Manchester, Ohio
Manheim, Pa.
Manitowoc, Wig
Mankato, Mjnn
Mansfield, Ohio
Maquoketa, Iowa
Marblehead, Mass
Marengo, 111....
Marietta, Pa
Marietta, Ohio
Marion, Iowa
Marlboro', Mass
Marquette, Mich
Marseilles, 111
Marshall, Mich
Marshalltown, Iowa
Martiusburg, W. Va
Martinsvilln, Ind
Mason, Mich
Mason City, 111
Massillon, Ohio
Mattoon, 111
Mauch Chunk, Pa
Mayfield, Ky
Me Arthur, Ohio
McConnelsville, Ohio
McGregor, Iowa
McKeesport, Pa
McMinnville, Tenn
Meadville, Pa
Mechanicsburg, Pa
Mechanicsburg, Ohio
Medford, N. J
Media, Pa
Medina, Ohio
Memphis, Tenn
Menasha. Wis
MendotP, III
Mercer, Pa
Meriden, Conn
Merrimac, Mass . . .
Methuen, Mass
Meyersdale, Pa
Michigan City, Ind
Middlebury, Vt
Middleport, Ohio
Middletown, Conn
Middletown, N. Y
Middletown, Pa
Middletown, Del
Middletown, Ohio
Mifflinburg, Pa
Milford, N. H
Milford, Mass
Milford, Del
Millbury, Mass
Millersburg, Pa
Millerstown, Pa
Millville, N. J
Milton, Pa
Milwaukee, Wis
Minneapolis, Minn
Miner*ville, Pa
Missoula, Mont
Mobile, Ala
Mohawk, N. Y
:
Moline, 111
Moumouth, III
Monroe, Mich
Monroe, Wis
Monson. Mass
Montgomery, Ala
Monticello, N. Y
Monticello, Ind
Montpelier, Vt
Montrose, Pa
Moravia, N. Y
Morganfield, Ky
Morgantown, W. Va
Morris, 111
Morrison. Ill
Morristown, N. J
Morrisville, N. Y
Mount Carroll, III
Mount G-ilead, Ohio..
Mount Holly, N. J




.
,

,

,
1

Page.
91
105
545
386
689
723
546
711
163
631
386
546
71*2
164
670
631
671
712
463
591
672
631
546
632
387
501
547
547
712
387
512
388
388
548
345
389
548
512
689
632
389
224, 240
« 164
164
390
592
106
548
224
283
390
437
549
39L
92
165
438
165
39L
391
345
392
689
724
392
764
482
284
633
633
672
690
166
483
284
592
106
393
284
501
464
634
635
346
285
635
549
346

771
Page.
393
285
394
550
713
502
550
592
636
672
593
394
514
713
673
225
226
226

Mount Joy, P a
Mount Morris, N. Y
Mount Pleasant, Pa
Mount Pleasant, Ohio
Mount Pleasant, Iowa
Mount Sterling, Ky
Mount Vernon, Ohio
Mount Vernon, Ind
>i ount Vernon, 111
Muir, Mich
Muncie, Ind
Muncy, Pa
Murfreesboro', Tenn
Muscatine, Iowa
Muskegon, Mich
Mystic, Conn
Mystic Bridge, Conn
Mystic River, Conn
N.
Nantucket, Mass
Nashua.N.H
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,, Ohh
New Ulra, Minn
New Windsor, Md
New York, N. Y
Newark, N. Y
Newark, N. J
Newark, Del
Newark, Ohio
Newberry, S. C
Newburgh, N. T
Newbury, Vt
Newburyport, Mass
Newnan, G-a
Newport, N. H
Newport, Vt
Newport, R . I
Newport, N. Y
Newport, De]
Newport, Ky
Newton, Mass
Newton, N. J
Newtown, Pa
Newville, Pa
Nicholasville, Ky
Niles, Mich
Nokomis, 111
Norfolk, Va
Norristown, Pa
North Adams, Mass
North Attleboro', Mass
North Benniugton, Vt
North Berwick, Me
North East, Pa
North Easton, Mass
North Granville, N. Y
North Providence, R . I
North Scituate, R . I

„

...

:

.-

166
93
514
166
748
69L
673
593
167
287
469
394
226
347
227
72
395
502
595
227
551 '
229
551
94
231
485
288
552
552
725
450
288
286
348
438
551
474
286
113
168
479
94
107
197
287
438
503
170
351
395
396
503
674
636
457
396
170
170
107
73
397
171
304
230
199

772

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Page.
171
172
107
725
231
552
73
232
304
304
305

Northampton, Mass
Northborough, Mass
Northfield, Vt
Northfleld, Minn
Norwalk, Conn...
Norwalk, Ohio
Norway, Me
Norwich, Conn
Norwich, N. Y
Nunda, N. Y
Nyack,N. Y

0.
Oakland, 111
Oakland, Cal
Oberlin, Ohio
Odessa, Del
Oil City, P a
Olean, N. Y
Olney, III
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, 111
Ottawa, Kans
Ottumwa, Iowa
Owatonna, Minn
Owego, N. Y
Owenton, Ky
Owosso, Mich
Oxford, Mass
Oxford, N. Y
-"Oxford, Pa

636
757
553
439
397
305
637
749
305
306
172
352
637
73
108
714
691
714
306
637
745
715
726
307
503
674
173
308
397
P.

Paducah, Ky
Painesville, Ohio
Palmer, Mass
Palmyra, N. Y
Paola, Kans
Paris, III
Paris, Mo
Parkersburg, W. Va
Parsons, Kaus
Pascoag, R . I
Paterson, N. J
P a w Paw, Mich
Pawcatuck, 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. H
Petersburg, Va
Phenix, R. I
Philadelphia, P a
Phillips, Me
Phillipsburg, N. J
Phoenixville, P a
Piedmont, W. Va
PinePlains, N. Y
Piqua, Ohio
Pittsburgh, Pa
Pittsfield, N. H
Pittsfield, Mass
Pittsfield, 111
Pittston, P a




,

,

504
553
173
308
745
638
736
464
746
199
352
675
234
309
199
173
309
639
715
309
398
639
595
640
757
94
458
200
398
74
353
409
465
310
554
409
95
174
640
417

Plainfield, N. J
Platte City, Mo
P i t t s b u r g h , N. Y
Plattsmouth, Neb
Pleasant Hill, Mo
Plymouth, Mass.
Plymouth, Pa
Plymouth, Ohio
Plymouth, Ind
Plymouth, Mich
Point Pleasant, W. Va
Polo, 111
Pomeroy, Ohio
Pontiac, 111
Pontiac, Mich
Port Chester, N. Y
Port Deposit, Md
Port Henry, N. Y
Port Huron, Mich
Port Jervis, N. Y
Porrland, Me
Portland, Conn
Portland. Oregon
Portsmouth, N. H
Portsmouth, Ohio
Potsdam. N. Y
Pottstown, Pa
Pottsville, Pa
Poughkeepsie, N. Y
Poultney, Vt
Prairie City. Ill
Princeton, N. J
Prince
Iud
Princeton, 111
Proctorsville, Vt
Prophetstown, 111
Providence, R. 1
Provincetown, Mass
Pueblo, Col
Pulaski, N. Y
Pulaski, Tenn
Putnam, Conn

Page.
353
736
310
750
737
175
417
554
596
675
465
641
555
641
675
. . . 311
451
31
676
311
74
235
75o
95
555
312
418.
418
312
108
642
354
596
-.. 642
108
643
201
175
754
314
516
235

„..

,

Q.
Quaker City, Ohio
Quakertown, Pa.
Quincy, Mass
Quincy, 111

--•
-

556
419
176
643

R.
Racine, Wis
Rahway, N. J
Raleigh, N. C
Randolph, Vt
| Randolph, Mass
i Ravenna. Ohio
j Reading, Pa.
I Red Bank, N. J
! Red Hook, N. Y
' Red Oak, Iowa
Red Wing, Minn
Rhinebeck, N. Y
Richmond, Me
Richmond, Va
Richmond, Ky
Richmond, Iud
Ripley, Ohio
Ripoii, Wis
Rising Sun. Ind
Rochelle, 111
Roehester, N. H
Rochester, N. Y
Rochester, Minn
Rock Island, 111
Rockford, III
Rockland, Me
Rock port, Mass
Rockville, Conn
Rockville, Ind
Rolla, M o
Rome, N. Y
Rome, Ga
Romeo, Mich.
Rondout, N. Y
Roxbury, Mass

i

692
354
469
113
176
557
419
355
315
716
726
315
76
458
505
597
557
692
598
64396315
727
645
644
77
177
235
598
737
316
479
» 676
317
133,136

REPORT OF THE COMPTROLLER OF THE CURRENCY.
Royalton, Vt
Rushville, Ind
Rushville, 111
Russellville, Ky
Rutland, Vt

-

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, Cal
San Jose, Cal
Sandusky, Ohio
Sandy Hill, N. Y
Santa Barbara, Cal
Santa Fe, N. Mex
Saratoga Springs, N. Y
Saugerties, N. Y
Savannah, Ga
Scbenectady, N. Y
Schoharie, N. Y
Schuylerville, N. Y
Schwenksville, Pa
Scituate, R. I
Scranton, Pa
Seaford, Del
Sedalia, Mo
Selins Grove, Pa
•Selma, Ala
Seneca Falls, N. Y
St-ymour, Ind
Shakopee, Minn
Sharon, Pa
Shawneetown, III
....
Sheboygan, Wis
Shelburne Falls, Mass
Shelby, Ohio
Shelbyville, Tenn
Shelbyville, Ind
Shelbyville, 111
Shenandoab, Iowa
Sherburne, N. Y
Shippensburg, Pa
Sigourney, Iowa
Sing Sing, N. Y
Sioux City, Iowa
Skowhegan, Me
Slatersville, R. I
Slatington, Pa
Smithfield, R . I
Smithneld, Ohio
Smyrna, Del
Somers, N. Y
Somerset, Ky
Somersworth, N. H
Somerville, N. J
Souderton, Pa
South Bend, lad
South Berwick, Me
South Danyers, Mass
South Haven. Mich . . ,
South Norwalk, Conn
South Reading, Mass
South Weymouth, Mass
Southbridge, Mass
g,
Sh
Somhport. C
Conn
Sparta, Wis
Spartanburg, S. C
Spencer, Mass
Spring City, Pa
Springfield, Vt
Springfield, Mass
Springfield, Ky
Springfield, Tenn
Springfield, Ohio




_

Page.
109
598
646
506
109

1-

Springfield, 111
Springfield, Mo
St. Albans, Vt
St. Charles, 111
St. Charles, Mo
St. Clair, Mich
St. Clairsville, Ohio
St. Johns, Mich
St. Johnsbury, Vt
St. Johnsville, N. Y
St. Joseph, Mich
St.Joseph, Mo
St. Louis, Mo
St. Paul, Minn
St. Pei , Min
•it.
Stafford Springs, Conn
Stamford, Conn
Stanford, Ky
"taunton, Va
Sterling, HI
Steubenville. Ohio
StiUwater, Minn
Stockbridge, Mass
Stockton, Cal
Stouington, Conn
Strasburg, Pa
Streator, III
Sturgis, Mich
Suffield, Conn
Sullivan, Ind
Sunbury, Pa
Susquehanna Depot, Pa
Sycamore. Ill
Syracuse, N. Y
Swanton, Vt

77
758
677
177
318
356
460
470
558
.'. 599
647
179
761
491
758
759 I
559
318 |
759 j
760 j
318 j
319
479 I
320 j
320 |
320 |
420 j
199 i
T.
421 j
439
737 Tama City, Iowa
422 j Tamaqua, Pa
483 j Tarentum, Pa
321 I Tarrytown, N. Y
599 I Taunton, Mass
728 ! Tell City, Ind
422 \ Torre Haute, Ind
647 Thomaston, Me
693 Thompson, Conn
• 180 Thorn town, Ind
560 Three Rivers, Mich
516 j Tiffin, Ohio
600 Tilton, N . H
: . . . 647 Titusville, P a
717 Toledo, Ohio
321 Tolland, Conn
423 | Tom's River, N. J
717 j Topeka, Kans
322 j Towanda, P a
717 j Townsend, Mass
78 I Tremont, P a
209 ! Trenton, N . J
423 I Trinidad, Col
209 j Troy, N. Y .
560 ] T r o y , Ohio
439 T u n k h a n n o c k , P a
322 ! T u r n e r ' s Falls, Mass
506 ( Tuscola. Ill
87 ! Tuskaloosa, Ala
356 !
423 I
U.
600 j
79 \ Union, S. C
173 • Union City, P a .
677 Union City, Ind
236 Union City, Mich
186 [ Union Mills, P a
180 ! Union Springs, N. Y
3 80 ;Uniontown, P a
236 U p p e r S a n d u s k y , Ohio
693 Urbana, Ohio
475 Utica, N. Y
181 Uxbridge, Mass
424
110
V.
181
506 Valparaiso, I n d
517 Van Wert, Ohio
560 Vandalia, 111

773
Page.
648
738
110
649
739
678
562
678
Ill
322
678
739
739
728
729
"237
237
507
460
649
562
729
183
759
238
424
649
679
238
601
424
425
650
323
112

718
425
425
324
184
601
602.
79
238
602
679
563
97
426
563
239
356
746
426
185
427
357
755
324
565
427
185
650
484

475
427
603
680
427
327
428
565
566
328
185

603
567
651

774

REPORT OF THE COMPTROLLER OF THE CURRENCY.

Vergennes, Vt
Vernon, N.Y
Vevay, Ind
Vincennes, Iud
Vincentown, N. J
Virginia, 111

Page.
112
329
603
604
357
651

„

W.
Wabash, Ind
Waco, Tex
Wakefield, Mass
Wakefield, R . I
Walden, N. Y
Waldoboro', Me
Waltham, Mass
Ware, Mass
Wareham, Mass
Warner, N. H
Warren, R.I
Warren, Pa
Warren, Ohio
Warren^burg. 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
Watseka, 111
Waukegan, 111
Waukesha, Wis
Waverly, N. Y.
Waynesboro', P a
Waynesburg, P a
Waynesville, Ohio
Webster, Mass.
Webster City, Iowa
Wellington, Ohio
Wells River, Vt.
Wellsborough, Pa
Wellsburg, W . Va
Wellsville, Ohio
West Chester. P a
West G reenville, P a
West Killingly, Conn
West Meriden, C o n n . .
West Randolph, Vt
West Troy, N. Y
West Union, Iowa
West Waterville, Me
West Winfield, N. Y
West Winsted, Conn
Westboro', Mass




,

604
491
186
209
329
80
186
186
187
97 !
210 '
428
567
74 L
330
605
652
195
330
358
429
453
605
718
568 !
112 |
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330
719
187 i
331
693 ;
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332 •
652 I
653 i
694
332 I
429 ,
430 ;
568 i
187 j
7!9 j
568 !
113 \
430
466
569
430
376
240
240
113
333
719
82
333
241
188

Westerly, R. 1
Westfield, Mass
Westfield, N. Y
Westminster, Mass
Westminster, Md
Weston, W. Va
Westport, Conn
Weymouth. Mass.
Wheeling. W. Va
Whitehall, N. Y
Whitewater, Wis
:
Whitinsville, Mass
Wickford, R. I
Wilkes Barre, Pa
Williansburgh, Ohio
Williamsport, Pa
Williamsport, Md
Wilmington, Del
Wilmington, N. C
Wilmington, Ohio
Wilmington, 111
Wilson. N. C
W i u :hendon, Mass
Winchester, N. H .
Winchester, V a . . .
Winchester, K y . . .
Winchester, I n d . . .
Windhum, Conn
Windsor, Vt
Winnsboro', S. O.
Winona, Minn
Winsted, Conn
Winston, N. C
Winterset, Iowa
Winthrop, Me
Wiscasset, Me.
Woburn, Mass
Wolf borough, N. H
Woodbury, N. J
Woodstock, Vt
Woodstock, 111
Woodstown, N. J
Woonsocket, R. 1
Wooster, Ohio
Worcester, Mass
Wrentham, Mass
Wrightsville, Pa
Wyandott, Kans..
Wyoming, Iowa..

*

'....

Page.
211
188
33$
189<
451
466
241
189
466
334694
189
212
431
569
432
452
440
471
569
653
471
90
97
461
507
605
241
113
475
730
241
471
720
82
82
190
98
358
114
653
358
2)2
570
190
193
434
746
720

X.
Xenia, Obio.

571
Y.

Yankton, Dak
Yarmouth Port, Mass
Yonkers, N. Y
York, Pa
Youngstown, Ohio
Ypsilanti, Mich

766
193
335
434
571
680
Z.

Zanesville, Ohio