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ANNUAL KEPORT COMPTROLLER OF THE CURRENCY TO THE FIRST SESSION OF THE FIFTY-FIRST CONGEES THE UNITED STATES. DECEMBER 2, 1889. T W O YOL U M E S. VOLUME I. WASHINGTON: GOVERNMENT PRINTING OFFICE, 1889. TREASURY DEPARTMENT, Document No. 1277, 2d ed. Comptroller of the Currency. TABLE OF CONTENTS. PaSe. Report submitted to Congress OiJerations under the National banking system during the past year Statement of national banks organized during the year States leading in numerical accessions Number and capital of banks organized and closed since establishment of system Suggestions in respect to the perpetuity of the system Effect of the establishment of the system upon Government securities A uniform currency provided Effect upon discount and exchanges Effect upon rates of interest Increased security of the Union Investment value of Government bonds Suggestions as TO relief necessary to the welfare of the system Excess of bonds now held by the banks Reduction of duty on circulation Comparative statements of the national banks for six years Resources and liabilities at close of business September 30,1889 Highest and lowest point, resources and liabilities Suburban banks contiguous to reserve cities Organization of national banks in the Indian Territory Statement of national banks closed during the year Original and converted banks Shareholders of national banks State taxation of national banks Extension of corporate existence Circulating notes Decrease of circulation Banks without circulation Security for circulation Interest-bearing funded debt of the United States and amount held by national banks Bonded debt at stated dates Market prices ot United States bonds Investment value for five years Bond purchases by the Treasury Bond withdrawals by national banks Issues and redemption of circulating notes Additional circulation issued and retired during the year National-bank notes received for redemption during the year National-bank notes received and destroyed yearly since establishment of the system Notes of banks reducing circulation, and of failed and liquidating banks Duty, redemption charges, and assessments ..*. Amounts collected during past year Lost or unredeemed notes and percentage of redemption Notes of State banks and percentage of redemption Plates and dies Loans in central reserve cities, other reserve cities, and country Loans when reserve is insufficient Semi-annual publication of reports of condition Examiners of national banks Legal decisions National banks in voluntary liquidation 3 3 4 5 5 G 7 9 10 11 13 16 16 18 18 19 20 21 21 22 24 25 25 25 29 31 31 33 33 34 35 30 37 37 38 38 40 41 42 42 43 43 43 44 48 48 52 53 54 57 58 II TABLE OF CONTENTS. Power of the courts to appoint receivers for national banks in voluntary liquidation .Receiverships Dividends paid to creditors of failed banks Inactive receiver ships Transactions of the clearing-house associations State, savings, private banks, loan and trust companies Concl usion Page. 59 62 67 68 69 75 81 APPENDIX. Names and compensation of officers and clerks 85 • Expenses of the office for the fiscal year 86 Index to digest of decisions of the courts in cases affecting national banks 87 Digest 89 National banks organized, in liquidation, and in operation, with capital, bonds*and circulation, October 31,1889 114 Authorized capital stock each month fiom January 1,1874, to November 1, 1889, with amount of bonds, circulation, and lawful money deposited for redemptions , 115 Summary of the state and condition of national banks reporting during the year ended September 30, 1889 118 Comparative statement of the national banks for twenty years from 1864 119 National gold bank notes issued, redeemed, and outstanding 120 National-bank notes issued during the year 120 National-bank notes issued, redeemed, and outstanding, by denominations, since the establishment of the system . 121 Increase or decrease in capital, bonds, and circulation of all national banks, with net decrease, October 31, 1889 124,128 Additional circulation issued and lawful money deposited to October 31,1889 129 National-bank notes outstanding and the amount and kind of United States bonds on deposit.. 130 Increase or decrease of circulation quarterly and for the year ended October 31,1889 131 Minimum amount of bonds required and the amount actually held October 31,1889 132 National banks with capital of $150,000, under and over, and the increase or decrease of capital during the year 134,136 Classification of loans and discounts * 138 Movement of reserve weekly in New York City 139 Lawful money reserve 140 Ratios of capital and surplus to earnings and dividends 142 Liabilities and required reserve 144 State of the lawful money reserve from 1883 146 Abstract of earnings and dividends 148,155 Amounts of coin and coin certificates held in 1888,1889. i 156 Earnings and dividends for semi-annual perio ds 159 Reserve held and classification by geographical divisions 161 Deposits, circulation, and reserve of national banks in New York City by months 171 Clearings and balances of banks in New York City 172 Movement of reserve of national banks in New York City for thirteen years 173 Distribution of stock of national banks in geographical divisions, and by whom held 174 Conversion of State banks 178 National banks in voluntary liquidation under sections 5220 and 5221, Revised Statutes 180 National banks in voluntary liquidation for the purpose of reorganization 190 National banks in liquidation under section 7 of the act of July 12,1882 192 National banks in liquidation succeeded by associations with same or different titles 193 National banks in the hands of receivers 194, 207 Estimated population of each State and Territory, with capital, surplus, deposits, etc., of all banks 208 Abstract of reports of condition of State banks, loan and trust companies, savings and private banks 200 Report of the condition of the National Savings Bank of the District of Columbia 225 Aggregate resources and liabilities of national banks from 1863 to 1889 231 Summary of the state and condition of national banks on dates of report during past year 251 General index 297 Condition of each national bank at close of business, September 30,1889 Vol. I I REPORT THE COMPTROLLER OF THE CURRENCY. DEPARTMENT OF THE TREASURY, OFFICE OF COMPTROLLER OF THE CURRENCY, Washington, D. C, December 2, 1889. SIR : In compliance with the provisions of section 333 of the Revised Statutes of the United States, I have the honor to submit for the consideration of Congress the twenty-seventh annual report of the Comptroller of the Currency, covering the operations of this Bureau for the year ended October 31, 1889. During this period a fair degree of prosperity has attended the operations of the associations belonging to the national banking system, and in every department, excepting that of circulation, a gratifying increase in volume of business is exhibited. The number of banks now in operation is greater than at any former period, and the additions made during the year have exceeded the average of the twenty-seven years since the inauguration of the system. The withdrawals for purpose of liquidation have not been numerous, and the number becoming insolvent has been conspicuously small. A satisfactory increase is observed in the totals of capital stock, surplus fund, and undivided profits. These three items exhibit the real investments of the shareholders. An increase in deposits is met by a corresponding extension in the line of loans and discounts. The earnings and dividends have been satisfactory to the stockholders when compared with the net returns from money invested in other enterprises. In a general way it may be said that, considered as banks of discount and deposit, the associations under the supervision of this Bureau have successfully met the requirements of the Several communities in which they are located, and kept pace in growth, strength, and enterprise with the general prosperity which has attended business operations as a whole during the twelve months just closed. No change was made by Congress during its last session in the law regulating the organization of new banks. Within the year 211 banks have been organized, having an aggregate capital of §21,240,000. United States interest-bearing bonds amounting to $4,378,550, were by them deposited with the Treasurer of the United States in trust, to secure the redemption of circulating notes. The number of bunks in existence October 31, 1889, was 3,319, having in capital stock $620,174,305, bonds deposited to secure circulation $145,068,150, and bank-notes outstanding $202,023,415, including $71,810,130 represented by lawful money deposited to redeem circulation still outstanding. 3 REPORT OF THE COMPTROLLER OF THE CURRENCY. The following table gives the number of banks organized during the year ended October 3.1, 1889, in each State and Territory, with their aggregate capital, bonds, and circulation : States and Territories. Texas Pennsylvania.. Nebraska "Washington ... Missouri ... Kansas Kentucky Colorado". Io Illinois New Jersey Alabama Tennessee Oregon Georgia Virginia •Massachusetts Minnesota Michigan Ohio Dakota New York •Wisconsin Montana Maryland Indiana California Maine Louisiana New Hampshire North Carolina Florida District of Columbia. "West Virginia Connecticut Idaho Arkansas Utah Xo. of banks. JSomls Capital. ; deposited, iCirculation i issued. 36 10 16 $3. 200, 000 j $692, 550 1, 490,000 ! 326, 750 1, 268, 750 1 \ 360J 000 ! 315, 000 12 - 3,,250,000 | 287, 500 10 635, 000 j 158, 750 9 1,,425,000 ! 281,250 910, 000 ; 187, 500 600,000 150, 000 425, 000 ! 106, 500 450, 000 ! 113,000 375, 000 94, 500 100, 000 400.000 ' 250, 0U0 62,500 200, 000 ! 50, 000 300, 000 j 75, 000 75, 000 300.1 00 : 62, 500 250, COO | 300, OuO ' 75, 000 800,100 I 130, 000 200,000 43, 750 315,000 ! 79, 000 250,000 ' 6 i 500 ', 225, 000 57, 500 225, 000 56, 250 150, 000 37, 500 325, 000 68, 750 350, 000 62, 500 260, 000 65, 000 125,000 31, 250 1 150,000 37, 500 1 50,000 j 12, 500 1 200, 000 ! 50, 000 1 i 50,000 j 15,000 1 50, 000 i 12, 500 1 50, 000 ! 12, 500 1 50,000 i 12, 500 1 250,000 j 50, 000 211 ( 21,240,000 i 4,378,550 $595, 395 294, i 75 242, 055 283, 500 258, 750 142,875 253, 125 168, 750 135, 000 95, 850 101, 700 85, 050 90, 000 56, 250 45, 000 67, 500 67, 500 56, 250 67, 500 117, 000 39, 375 71,100 56, 250 51, 750 50, 625 33. 750 61, 875 56, 250 58, 500 28,125 33, 750 11,250 45, 000 13, 500 11, 250 11, 250 11, 250 45, 000 3, 912, 975 The location of these new associations is a matter of much, interest, as tending to show that local prejudices are giving way, and that the increase is most conspicuous, proportionately, in the States and Territories toward which emigration is now chiefly tending, without reference to other conditions which have heretofore operated unfavorably to the growth of the system. Texas, with 36 banks, leads all the others in respect to the number organized, but is exceeded by the State of Washington, with 13 banks, if we "take into consideration their relative populations. The increase apparent in Pennsylvania is also worthy of remark, as the addition of 16 banks makes a total of 328, the largest number in any State. Massachusetts still leads in point of capital stock, and New York in respect to deposits and volume of business. If population be considered, the State of Massachusetts will be found to have also the largest amount of capital invested in national banks per capita, closely followed by the new State of Montana. A consideration of the facts developed by this, and the tables found in subsequent pages of this report, seems to verify the statement that the system, established by the national bank act, is not only adapted to the changed conditions developed by the lapse of a quarter of a century, but it is also suited to the wants of the inhabitants of widely separated States, living under varied social conditions, and transacting business in accordance with customs as dissimilar as climatic and race differences can produce upon this continent. REPORT OF THE COMPTROLLER OF THE CURRENCY. 5 The States now affording* the most cordial support to the system are conspicuous among those whose citizens are chiefly interested in the pursuits of agriculture, mining, manufacturing, and commerce, respectively. The lave leading States in point of accessions numerically, during the year, are Texas, Pennsylvania, Nebraska, Washington, and Missouri. The live severally containing the largest number of active banks are Pennsylvania, New York, Massachusetts, Ohio, and Illinois. The five ranking highest in point of capital stock are Massachusetts, New York, Pennsylvania, Ohio, and Illinois. Those showing the largest average per capita of capital stock, based on an estimate of present population, are Massachusetts, Montana, Rhode Island, Connecticut, and New York. All rank in the order named. These comparisons are made to show how completely the banks operating under national authority have become incorporated into the financial systems of all the States, and how well adapted they are to perform the functions of commercial banks under the varied conditions existing within the extreme limits of the national domain. The following table exhibits the number of banks organized, failed, and liquidating, and the net increase numerically each year since 18G3. NUMBER AND AUTHORIZED CAPITAL OF BAXKS ORGANIZED AND THE NUMBER AND CAPITAL OF BANKS CLOSED IN EACH YEAR ENDED OCTOBER :U SINCE THE ESTABLISHMENT OF TEIE NATIONAL BANKING SYSTEM, WITH THE YEARLY INCREASE OR DECREASE. Closed. Net yearly crease. Organized. In liquidation. Year. No. '. Capital. 1863.. 1864 1865 1866.... 1867 1868 1869 1870 1871 1872 1873 1874 1875 1876 1877 1878 1879 1880 1881 1882 1883 1884 1885 1886 1887 1888 1889 :$16, 378, 700 i 134 : 453 79,366, OHO ,014 242, 542, 982 515, .150 , i 62 260, 300 ! 10 210, 000 12 500, 000 9 736, 000 i 22 ! : 170 19,519,000 175 18, 988, 000 602, , 68 ' 7, 700 745,500 ! 71 ; 6, ; 107 12, 104,000 36 3, 189, 800 29 i 589, 000 775, 000 28 ,38 ' 595, 000 57 '• 374,170 86 I 651, 050 038, 227 ! 30, 300 654, 350 262 I 28, 042, 230 """ 000 358' 0()0 546, 000 053, 000 240, 000 Total . . . 4,148 626, 513,182 Deduct de- j j crease. N o Capital. 85 25 25 34 41 $330,000 650,000 : 2,160,000 ! 2,445,500 ! 3,372,710 ! 2,550,000 ! ! 1,450,000 2.180,500 3,524,700 2,795,000 • 3, 820,200 ' 2,565,000 I 2,539,500 ' 4,237,500 j 3,750,000 ! 570,000 I 1,920,000 I 16,120,000 ; 7, 736, 000 ; 3,647,250 i 17, 856, 590 ' 1,651,100 i 2, 537, 450 | : 4,171, 000 : 4,316,000 ! 700 98,896,000 Net yearly decrease. Insolvent. N o . Capital. N o . Capital. N o . Capital. 134 $16,378,700 450 : 70,366,950 : $50, 000 1,007 242,162,982 500, 000 56 ; 7, 365, 150 1,170, 000 930,300 j 410. 000 10 ;$l,645,500 50, 000 9 ! 1,922,710 7 250, 000 64,000 159 18, 069, 000 1, 806,100 158 15, 001, 400 36 253, 000 3, 825,000 250, 000 I 48 3, 700, 500 ooo ! 64 7, 283, 800 1, 000, 340, 200 965, 000 j 3, 344,ooo ! ! 3, 294, 500 2, 612,500 4, 075,000 1, 230,000 1, 385, 000 45 5,104,170 700, 000 60 7, 731, 050 146 i 12,357,000 1,561, 220 ! 20, 668, 350 250, 150 i 11,109,980 1, 285, 600, 56 1, 518, 590 650, 141 19, 056, 900 1, 550, 192 26, 458, 550 1,900, 90 5, 982, 000 168 16, 674, 000 250, 130 126,208,900 3,387 515,653,782 i 69 : 14,245,500 ! 69 14,245,500 '• ; 6 REPORT OF THE COMPTROLLER OF THE CURRENCY. In the foregoing table it will be seen that the net increase in the number of associations during the year, after deducting the failed and liquidating, is 168, as compared with 90 the previous year, and 110 as compared with the average of the preceding ten years. This exhibit taken alone would indicate a very satisfactory condition; but other facts must be taken into consideration before it can be definitely determined whether or not the growth of the system has kept pace with the increased demand for banking facilities. The Comptroller has taken some pains to ascertain as to the total number of accessions to the banking systems of the country during the past ten years, with a view to a comparison of the ratio of growth of the threeclasses known as national 'banks, State banks, and private bankers. The data thus obtained are unofficial, in respect to banks other than national, and somewhat meager and unsatisfactory. It seems quite certain, however, that organizations under State statutes are proportionately increasing. This tendency is not attributable to changes which have taken place in Federal legislation, nor to loss of prestige on the part of banks belonging to the national system. Neither is it due to,more favorable enactments recently on the part of the legislatures of the various States. It appears to be attributable to a change of conditions which threatens the growth and permanency of the entire national banking system. The latter must keep pace with the growth of the nation, or pass into a state of stagnation and decay. If good, means should be taken to remove all "obstacles to its progress; if bad, the law authorizing the organization of new associations should be promptly repealed. Is it not the duty of Congress at this time to settle the important questions involving the prosperity and perpetuity of the most extensive, complete, and successful banking system, that has ever existed in any country ? Is it not true that the present system has served the people more acceptably than the State institutions which covered the field prior to 1863? Has any other ever furnished such complete security to depositors, such low rates of interest to borrowers, and such prompt, reliable, and cheap service in the way of collections and exchanges ? Has any other ever furnished a superior circulation to the people, a more effective line of agencies for facilitating the operations of the General Government, or has any done more to unify and harmonize the financial interests of all portions of the country? Has not the wisdom of those who framed the national-bank act been vindicated, and have not the expectations of the founders been more than realized ? The necessities of the Government in the earlier years of the late conflict developed the fact that the State banks then in existence were not at all adapted to the requirements at such a time of either the people or the nation, and previous experience had demonstrated their inadequacy in prosperity and peace. So it is not surprising that plans looking to a more complete system should have been early considered by those charged with the management of the national Treasury. The Hon. Salmon P. Chase, in his report as Secretary of the Treasury, in December, 1861, in discussing the principal provisions of the proposed national-bank act and the j)robable advantages to be derived therefrom, used the following language: Its principal features are, first, a circulation of notes "bearing a common impression and authenticated by a common authority : second, the redemption of these notes by the associations and institutions to which they may be delivered for issue ; and third, the security of that redemption by the pledge of United States stocks^ and an adequate provision of specie. REPORT OF THE COMPTROLLER OF THE CURRENCY. 7 In this plan the people, in their ordinary business, would find the advantage pf uniformity in currency ; of effectual safeguard, if effectual safeguard is possible, against depreciation; and of protection lYoin losses in discounts and exchanges; while in the operations of the Government, the people would find the further advantages of a large demand for Government securities, of increased facilities for obtaining the loans required by the war, and of some alleviation of the burdens on industry through a diminution in the rate of interest, or a participation in the profit of circulation, without risking the perils of a great money monopoly. A further and important advantage to the people may be reasonably expected in the increased security of the Union, springing from the common interest in its preservation, created by the distribution of its stock to associations throughout the country, as the basis of their circulation. It will be observed that, while the needs of the Government as a borrower at that time were great, and its purpose to provide funds for the conduct of the war paramount, the projectors of the national banking system anticipated other and important benefits to accrue from the adoption of the measure under discussion. The people individually and collectively were expected to realize advantages that were fully understood and clearly stated. From the above quotation it will be seen that the successful establishment of the new system was expected to result in—(1) A large demand for Government securities. (2) A uniform currency, guarded, as far as practicable, against depreciation. (3) Protection from losses in discount and exchanges. (4) Diminution in the rates of interest. (5) Increased security of the Union. .DEMAND^FOPJ GOVERNMENT fSKCUHITIESv.'CIlEATED. The national-bank act was passed at a time when the General Government was engaged in the prosecution of a great war and was of necessity a borrower of immense sums. The desire on the part of the then Secretary of the Treasury to open a new market for the bonds of the United States was most conspicuous among the causes which led to its enactment. A successful inauguration of the system could be obtained only by offering such advantages as would induce private bankers, and those operating under State charters, to organize under the nationalbank act, and become subject to its provisions. The movement in this direction for a time was very slow, for it subjected the new associations to many unwelcome restrictions and visitations, and gave a degree of publicity to their operations which was then looked upon with disfavor by many bankers who were entitled to public confidence and by all who were not. The obscurity which had hitherto surrounded the transactions of corporations and firms holding themselves forth as bankers was to be in a large degree dispelled by the publicity of the new system, and depositors afforded an opportunity to learn the exact capital employed by the institution favored with their accounts. They were to be able to inform themselves as to the amount and, in a general sense, as to the character of the resources which were relied upon to furnish funds for the repayment of depositors. Those who, as bankers, were operating withinsufficient capital or none at all, those who were employing their deposits in such a way as to incur large risks at high rates of interest, those who were diverting the funds of which they were the temporary custodians into speculative channels or were themselves excessive borrowers—in short, all those who were conducting their banking operations in violation of those salutary rules which the experience of centuries has evolved and formulated, were inclined to look with great disfavor upon the national system. 8 REPORT OF THE COMPTROLLER OF THE CURRENCY. So also those banks which had become conspicuous for their conservative and successful management were reluctant to abandon the form of organization under which disaster had been averted during X>eriods of great financial danger and distress, and permanent success achieved. Thus the first impulse of nearly all engaged in banking, the weak and the strong, the foolish and the wise, the reckless and the conservative, was to oppose the formation of associations under the nationalbank act. Chief among the influences which caused the banks and bankers of the country to assume a more favorable attitude toward the system was the gain to be derived by the new associations by reason of the power to issue circulating notes. Those possessed of moneyed capital are proverbially timid, and no class of men engaged in active business are more indisposed to favor innovations than those engaged in banking. Hence it was futile to hope for a general conversion of the banks operating under the liberal charters granted by the legislatures of the several States into associations subject to the stringent provisions of the national-bank act, unless substantial inducements could be offered by way of increased profits. The gain incident to the right to issue circulating notes proved sufficient for the purpose, when coupled with the tax of 10 per cent, imposed by Congress upon the circulation of the State banks. At this time, and for several years thereafter, this right was valuable to the national banks on account of their ability to purchase at par the 6 per cent, bonds of the United States, which they were permitted to deposit as security for note-issues. The interest on these bonds was paid in gold coin, aud the latter brought a high x>remiuin in the depreciated paper money then current. This valuable franchise conferred upon the national banks as a class, unsought and in fact resisted, was deemed necessary to the successful establishment of the new system, and a sufficient excuse, if any was needed, for the bestowal of this privilege was, in the judgment of Secretary Chase and his advisers, found in the necessities of the Government as a borrower. So rapid and general was the change from the old systems to the new that 1,513 national banks were in operation on October 2,1865, possessing a capital, including surplus and undivided profits, of $464,220,864, owning United States bonds to the amount of over $400,000,000. In addition to the United States bonds taken by the newly established banks and deposited as security for the redemption of their circulating notes, large amounts of these securities were subscribed for and carried as investments, and were also held for sale to the patrons of the various associations. Thus the latter became not only the creditors but the agents of the Government for the placing of its interest-bearing obligations, and were the means of widely distributing and popularizing the various issues as they appeared, in this manner replenishing the coffers of the Treasury without dangerously diminishing the volume of currency in the great commercial cities, or producing an unwholesome contraction of loanable funds at the principal financial centers. Throughout the entire period of the creation and refunding of the public debt, which followed the successful inauguration of the national system, its associations rendered valuable aid to the Government. At a later date when resumption was determined upon, their support and co-operation was of very great value in preparing for, inaugurating, and maintaining specie payments. REPORT OF THE COMPTROLLER OF THE CURRENCY. 9 It is not the purpose of the Comptroller to unduly magnify the value of the services rendered by those then charged with the management of national banks, but to recall the facts of history in vindication of the wisdom of those who were chiefly responsible for the existence of the system, and to remind those upon whom has been devolved the duty of making laws for the nation that an agency so potent for good in the years of financial trial should now have such consideration and relief as will result in its perpetuation, so that its services can again be at command if similar financial exigencies should arise in the future. It would in this connection be profitable to consider what would have been the increased power for good in case the national banks in operation in 18G5 had been in existence in 1801. UNIFORM CURRENCY. The circulation issued to and by the associations thus created possessed the advantages predicted by its authors. It has been uniform in every essential particular, uniform in its appearance, in its security, in its method of redemption, and in its equivalency to lawful money at all times and in all places within the territorial limits of the United States. Those who are conversant with the heterogeneous character of the bank circulation in use prior to 1801. will be able to comprehend the advantages resulting from this uniformity. The currency taxed out of existence was open to most serious objections. The banks organized under the laws of the several States were permitted to issue notes dissimilar in appearance, in the amount and value of the securities pledged for their redemption, and in the mode and cost of converting the various issues into lawful money. The hindrances and losses imposed upon the conduct of all business by reason of a mixed circulation of this character were very serious, but are of necessity imperfectly understood by the present generation, which has been favored with a circulation u bearing a common impression, authenticated by a common authority, and secured by the pledge of United States stocks.'' The note-issues last described have so fully met the requirements of a commercial people that a return to the use of paper money, to be issued under State authority, is highly improbable, if not quite impossible. Whatever change may take place in the paper circulation of this country, it seems clear that no plan can secure the support of the people of this country which is not national in its character. The steady extinguishment of the public debt and the consequent decrease in the volume of securities available as a basis for national-bank notes, indicate the ultimate withdrawal of the latter unless the payment of United States bonds is arrested by the operation of forces not now apparent. Even now the necessary purchases of the Secretary of the Treasury, added to the ordinary demand for securities of this class, have advanced the premium on United States bonds to such an extent as to leave no profit to the banks on account of circulation. A lower range of premiums on present issues of bonds can be brought about only by increasing the supply or diminishing the demand. An increased supply is not possible under present conditions, and a diminished demand on the part of the general public is not to be expected. The national banks and the United States Treasury are, however, the principal factors in maintaining and advancing premiums, and a falling off in the requirements of either would tend toward lower prices. Any legislation tending to bring the revenues of the Government nearer to its necessary and proper expenditures would necessarily diminish the demand for bonds. A reduction of the minimum amount of bonds re- 10 REPORT OF THE COMPTROLLER OF THE CURRENCY. quired to be deposited by national banks as security for circulating notes would have a like effect. It is well known that a prejudice has always existed in a greater *or less degree against national banks on account of their possessing the power to issue notes for circulation. Other objections have been urged, but with very little effect upon the public mind. The activity of those inimical to the system was most conspicuous when the profits resulting from circulation were largest, and hence has now almost entirely disappeared. All have come to understand that the right to issue notes was not necessary to tlie success.of the banks, and was conferred upon them under the plea of public necessity and not as a class privilege. It has never been claimed by those in the conduct of these associations that they were entitled to any privileges at variance with the public good. Neither is it deemed just nor wise to now lay upon them the burden of a circulation which yields no profit to the banks, unless such action is necessary to the welfare of the people. DISCOUNT AND EXCHANGES. The currency furnished by the national banks and by the Government itself has been chiefly distinguished for its uniformity in all essential qualities, among which absolute security and redemption at commercial centers without cost or discount are most valuable. The effect upon charges for discount and exchange has been very beneficial to those engaged in any form of commercial or industrial activity directly and indirectly, in almost equal degree, to all classes of consumers. This reduction has been greatly facilitated and increased by the general establishment of banks under national authority, having ample capital, and conducted for the most part by intelligent and experienced officers. The value of a complete system of such agencies, located at every local trade center, available for collection of checks, drafts, and bills, furnishing prompt and reliable service, and at uniform and moderate cost? in the liquidation of all forms of bank and commercial credits, can not be overstated. The saving to the people of the United States by reason of reduction in rates of discount and exchange has never been fully understood or appreciated. It would be interesting to know its extent, but no reliable data are at hand upon which to base even a reliable estimate. It is quite probable, however, that it would exceed in amount the entire sum received as interest on the United States bonds deposited to secure circulation by all the national banks since the establishment of the system. Comptroller Knox, in his report tor 1878, used the following language: Few persons have a just conception of the many advantages possessed by a homogeneous currency, fully secured, the issue of a single system, redeemable at a common point, and exempt from the discount occasioned by an irregularity of value in different localities. Great pains have been taken to obtain an estimate of the amount of exchange issued annually upon New York by the Western and Southern States. The amount drawn upon New York alone is estimated at nearly §3,000,000,000 annually ; and ii. probably will not be an exaggeration to say that"not less than $4,000,000,000 are annually drawn in exchange by'the West and*South upon the East. The amounts drawn upon each other by the banks in the commercial cities and States of the East is also great. In 1859 the average cost of Southern and Western exchange upon New York was not less than from 1 to 1^ percent. If this latter rate should be restored, the cost of exchange alone would be $(50,000,000 annually; while if the rate were but one-half of 1 per cent., which was the current rare in the State of New York in the year 1800, a loss in exchange of $20,000,000 annually would ensue, to say nothing of the loss upon the issue of the banks not properly organized. It is quite probable that the estimate made by my predecessor was too low rather than too high. It is well known that the increase in REPORT OF THE COMPTROLLER OF THE CURRENCY. 11 volume of business is in a. greater ratio than that of population, and Mr. Kuox's estimate was made eleven years ago. Modern improvements in the construction of railroads and steam-ships have so shortened time and reduced rates that the inhabitants of all the continents have been brought into more intimate relations. The telephone and telegraph have so facilitated correspondence that time has been practically annihilated. The tendency toward consolidation apparent in all systems which serve the public is the outgrowth of a new principle which is entering into the development of all economic forces. Uniformity and unity are now the conspicuous tendencies of the times. The marvelous growth of our country in the products of the farm and the factory makes necessary a wider range of commercial activity and a broader field for the distribution of commodities. All these extensions of trade relation emphasize the importance of reducing to the minimum the cost of converting local indebtedness into the form of funds available at commercial centers. To this end no impediments should be allowed to prevent the growth of the national banking system. DIMINUTION IX KATES OF INTEREST. A reduction in current rates of interest was expected to result from the successful introduction of the national system. That this was greatly to be desired is fully understood by those conversant with the situation prior to 1803. The wonderful expanse of country known as the Mississippi Valley, unsurpassed in fertility, but destitute of all the modern agencies and appliances necessary to the development of its wonderful natural resources, was making rapid strides in point of population and material progress. The Pacific States, and the Territories lying immediately east of the coast range, were attracting the more hardy and adventurous emigrants, and great numbers were passing through the wonderful prairies of the midland districts, unattracted by the opportunities there afforded, en route to the mining regions then but recently discovered. These vast areas were just emerging from a state of nature and capital was needed to supplement and utilize the comparatively superabundant labor struggling at great odds and surrounded by disadvantages so well understood by those familiar with pioneer life. Capital, not abundant anywhere, was chiefly held by residents of New England and the Middle States. Timidity was then, in a more marked degree even than now, the most conspicuous characteristic of its possessors. Only in exceptional cases did they overcome this tendency to extreme caution and permit their loanable funds to find employment in that new region, where it could be invested so advantageously, with respect to both borrower and lender. This situation was greatly aggravated by the insecure character of the bank notes then constituting the chief circulation in most of the States west of the Alleghanies. These issues were made by the authority of the various States, and therefore radically unlike in the value of the securities pledged for their ultimate redemption when any were required, and in the cost of their conversion into lawful money, or funds at par in Eastern cities. The discount to which they were subjected in conversion into New York city funds ranged from 1 to 5, and even 10 per cent., at the local banks where exchange was sold. Notwithstanding these adverse conditions, the advance in price of the real estate of the Western borrower was so rapid and his necessities so pressing that he gladly became a borrower at rates which would now be deemed ruinous. 12 REPORT OF THE COMPTROLLER OF THE CURRENCY. It would be startling to the present generation of financiers if a true history of the transactions could be written covering the five years immediately preceding the passage of the national-bank act. The interest burden imposed upon production was without a parallel. No reliable data are accessible respecting transactions outside of the larger cities. A careful consideration however of such facts as have been brought to my attention convinces me that the average rate of interest prevailing to-day, having in view all classes of loans and the entire country, is very little, if any, in excess of one-third the rate so prevailing thirty years ago. It is capable of demonstration that the TTnited States Government can borrow at one-third the rate it was obliged to pay just prior to the time when Secretary Chase was engaged in preparing the report from which quotation has been made. To what extent the national banking system has been instrumental in this reduction of interest rates can only be estimated. The business of every bank is to deal in money, and interest is its chief source of profit. Its capital, its circulation, and its deposits are the sources from which its loanable funds are derived. Interest rates are governed by the law of supply and demand. Every national bank increases the supply when it dedicates its capital to the business of loaning and discounting, when it takes out its circulating notes, and when it accumulates deposits. The latter, prior to their coming into possession of the bank, are necessarily unavailable for loans. It is composed of the working balances of merchants, manufacturers, and others engaged in active business, the surplus income of professional men, the unexpended wages of laborers, and the cash proceeds of the farmers' harvest. By far the greater part of these are sums held temporarily, awaiting the convenience of the owner, to be utilized in the settlement of accounts, in the purchase of property, or in the jmyment of current expenditures. Any agency which can bring these comparatively insignificant sums from their hiding places and consolidate them into a permanent fund available for loans certainly increases the supply. That agency is most effective which, for any reason, possesses in the greatest degree the confidence of the public. And, again, the organization of national banks has been the most potent factor in bringing the lenders of the older into satisfactory relations with the borrowers of the newer States, to the great gain of all. Eastern capitalists have been induced to become stockholders in associations located in the sparsely settled States, where no other form of investment could tempt them. The extent to which this is true is not fully understood. For example, if the group of States known as Division Xo. 0 is taken, composed of Iowa, Minnesota, Missouri, Kansas, and Nebraska, it will be found that the capital of the 520 associations in operation there on June 30, 1889, is represented by 647,501 shares, of which 212,305 are held by non-residents, mostly located in the extreme east. Xo. of banks. States. Iowa Minnesota Missouri St. Louis Kansas City r St. Joseph." Kansas Nebraska Omaha Total 131 57 39 . . 10 162 107 6 520: Shares Shares held Aggregate number held by by nonresidents. residents. of shares. i 82, 868 : 95, 229 i 24, 046 32, 591 28, 813 , 7. 237 80; 516 1 60, 825 ! 23, 071 435,196 j 22,532 46,471 5,264 19,409 39,187 2, 763 50,575 16,175 9, 929 105, 400 141, 700 29, 310 52, 000 68, 000 10,000 131, 091 77, 000 33, 000 212,305; 647,501 REPORT OF THE COMPTROLLER OF THE CURRENCY. 13 In Division No. 8, comprising* the States and Territories known as North Dakota, South Dakota, Idaho, Montana, New Mexico, Utab r Washington, Wyoming, and Arizona, it will be found that more than one-third of the total number of shares of national banks are held by non-residents : residents, 82,196 shares; non-residents, 47.654 shares. Territories. Dakota Idaho Montana New Mexico "Utah "Washington Wyoming Arizona.! of : /X o .V.; banks. | Slmres held Shares held I Aggregate number of by ivsi- ! by nonsli ares. dents. residents. 59' 8 : 10! 9; 8i 31. 9; 1 Total 144 19,483; \i, 0(55 15,808 6, 207 11,757 20,170 5,191 515 : 18,517 1, 935 5,842 8,543 2,243 8,530 0,559 I 485 j 82,190 \ 47, C54 88,000 5,000 21,650 9,750 14,000 28,700 11,750 1,000 129, 850 The facts here stated show conclusively that the national system has been of great service in localizing for use at obscure and distant points large sums of money which otherwise would not have found employment there. Whatever opinion may be entertained in regard to the part borne by the national banks in bringing about so remarkable a diminution in the prevailing rates of interest, it is a matter of history that the reduction has been simultaneous with the growth of the system, and a fair consideration of all the facts leads the impartial investigator to the conclusion that it has been one of the most potent factors in bringing about the salutary results which are everywhere apparent. INCREASED SECURITY OF THE UNION. Secretary Chase was deeply impressed with the idea that anything looking to the preservation of the Federal Union should be encouraged. When he prepared his iirst report to Congress, from which I have quoted, the cords which had so long bound the States together were apparently giving way, and dissolution seemed possible, if not probable. In recommending the establishment of the national banking system he felt that he was about to strengthen those weakening ties, and his purpose to do so was expressed in unmistakable terms. No doubt he expected the system to long survive the war, and to become thoroughly established in all parts of the United States. Every association was to become the creditor of the nation to the extent of the bonds purchased, and every individual who received and disbursed the national currency was to become to a like extent pecuniarily interested in maintaining the value of the bonds pledged for its redemption. Nor was this all. The interchange of products between the States was expected to continue through all the years of the nation's life, creating a necessity for collecting agencies and banking facilities by way of loans and discounts arising out of those business relations, which a secure and uniform banking system would greatly aid to establish, and go far toward making lucrative. UTILITY OF THE NATIONAL BANKING SYSTEM. The Comptroller has thus called attention to the purposes and expectations expressed by Secretary Chase, in order that a proper conception might be had of the causes which led to the revolution which took place under his leadershix> in the banking affairs of the nation. The exigencies of the General Government were great at that time and heroic 14 REPORT OF THE COMPTROLLER OF THE CURRENCY. treatment necessary. Nothing less than what was deemed an absolute necessity could have induced any financier to attempt the overthrow of the various State systems which had been in operation, in one form or another, for more than a half century. Jefferson has said, "The revenue of the State is the State." It is growing to be more and more true, as demonstrated by the results of modern warfare, that that nation is most formidable in war which can Command the largest revenues and utilize its credit with the greatest promptness. The rapid extinguishment of our national debt, which has taken place since the close of the late war, has given the United States greater influence in its intercourse with other nations than any exhibition of strength which could have been made in the way of organizing armies, building navies, or constructing coast defenses. It is wise to remember that it may be impossible for this Government to always remain at peace with other nations, and that wise statesmanship will encourage a state of preparation adapted to every possible emergency. The present system of national banks is one of the agencies already created to our hand, which will be found very valuable should the United States again become a borrower. It was established only by great effort, and has attained its present power for good through a quarter of a century of severe trial. It is a national institution, deriving its authority and franchises from Congress and looking to the Federal courts for the vindication of its rights. It is under national supervision, direction, and protection, and yet in proper degree amenable to State and local authority. It is national in all essential qualities as well as in name. It was from the beginning clothed with the power to issue circulating notes, which were practically, if not in terms, guaranteed by the United States. As has been said earlier in this report, this franchise was not conferred as a favor to the banks, but to make a market for Government bonds, and to provide a bank-note circulation to take the place of the greatly inferior notes of State banks which had up to that time enjoyed a substantial monopoly, furnishing a currency insecure, unstable, of fluctuating value, and entirely untaxed by the national authority. The fact that the light of issue thus conferred upon the national banks subsequently proved of value should have excited no prejudice against them, and whatever unfounded feeling of this kind has heretofore existed, has now in a very large degree passed away. The increasing popularity of the system is due somewhat to the dissipation of prejudices based upon misinformation as to the facts, but in a far greater measure to a general knowledge of the faithfulness with which it has served the whole people, not only in regard to the various interests discussed by Secretary Chase, but also as to all the great trusts committed to its care. It is a matter of congratulation that the record of the results attained has been so faithfully kept, and that the facts have had such wide dissemination through the reports of my predecessors for the past twenty-seven years. It will not be deemed indelicate for me to say that those reports have been conspicuously able and exhaustive, and in respect"to comprehensiveness and accuracjr of statistical information without a parallel among similar publications in any country. The facts disclosed are worthy of careful consideration. Of the 4,148 associations which have entered the system, only 130 have become insolvent, or about 3.13 per cent. Of these, 30 have paid in full all proved claims, principal and interest, G have paid principal in full and interest in part, 13 have paid principal only, 45 have paid in part and 36 are not yet closed. REPORT OF THE COMPTROLLER OF THE CURRENCY. 15 The total of claims proved against the 130 failed banks was $53,374,660, upon which has been paid $35,090,572, and assets remain undistributed valued at $3,439,300, reducing the loss to creditors of failed banks for the entire system during twenty-seven years to $14,844,988. This represents an annual loss of only §549,807. The present gross liabilities of national banks by reason of deposits are $1,917,335,106. Their average liabilities of this character for the past twenty-seven years have been $985,614,815. It will be seen that the average annual loss is but .055 per cent, of the average annual deposits. The Comptroller has no official data at hand as to recent losses by failures of banks other than national. In his report for 1879 Mr. Knox gives a statement of losses by reason of the failure of State and savings banks, and private bankers, for the three years ended January 1, 1879, which shows a total loss of $32,616,661, and an average annual loss of $10,872,220. This is in marked contrast with the average annual loss in the national system, the latter being based upon a very much, larger capital and volume of business. It is unnecessary to attempt to demonstrate what is conceded on the part of all those well informed. Experience has established beyond controversy that no system has ever approached it in security furnished depositors. This security attaches to all forms of checks, drafts, certificates, etc., which are used for the transfer of bank credits, and which form about 95 per cent, of the actual currency of the country. It is well known that only about 5 per cent, of the volume of bank transactions involves the use of real money. The coining of money was deemed of such, great importance that it was forbidden to the States by the Federal Constitution, and the right to issue bank notes and other forms of paper money is now conferred by Federal statutes exclusively. The importance of having a just standard and a sound currency can hardly be overstated. This being true of money which is used chiefly to settle balances, what shall be said in regard to the importance of maintaining the solvency and convertibility ol the currency based upon bank credits, with which V5 per cent, of all transactions are liquidated? The question now propounded for the consideration of Congress is, shall this system, which has so effectively served the purposes of the General Government and is so generally satisfactory to the people, be relieved of the unnecessary burdens now imposed by law, or shall it be allowed to suffer through neglect or indifference? It has been asserted in the preceding pages of this report that the growth of the system during the past five years, although large, has not kept pace with the growing necessities of the people for banking facilities 5 that a large number of banks have been organized during this period under State authority, which might and would have entered the national system but lor onerous ami unnecessary burdens imposed by law. This is not attributable to any change in the law, either by Congress or the legislatures of the several States, and it is therefore well to examine into any change of conditions which may have taken place. It is ascertained by referring to a table prepared by Mr. E. B. Elliott, then Government Actuary, and found on page 18 of Comptroller Cannon's report for 1884, that the average price of United States four per cent, bonds of 1907, daring the twelve months ended September 30, 1884, was 121.5529 per centum, and the rate realized to investors was 2.737 per centum per annum. By reference to a table on page 37, prepared by the Government Actuary, Mr. Jos. S. McCoy, it will be observed that the average price of like bonds for the twelve months ended' Sep- 16 REPORT OF THE COMPTROLLER OF THE CURRENCY. tember 30, 1889, was 128.01 per cent., realizing to investors only 2.16 per cent, per annum. This indicates an increase of 6.46 in premium upon bonds having five less years to run, and a decrease of .57 per cent, per annum in the rate realized to investors. When it is remembered that there was an average profit of not more than one-half of 1 per cent, upon circulation in 1884, it will be easy to understand how unfavorably this increase of premium on United States bonds affects the banks, and how it must necessarily have deterred many from organizing under the Federal statutes during the past live years. It is now apparent that the national banks not only fail to make a profit on circulation, but suffer a loss thereon, greater or less in proportion as the rate of interest realized on loans and discounts at the place where the particular bank is located is high or low. The following statement, prepared by the Government Actuary, indicates the loss or gain to banks under the several conditions stated: A national bank investing October 1, 1889, in Government bonds, 4 per cents, redeemable July i, 1907, at 127^, under the following conditions, realizes the accompanying rates of interest: The interest at 4 per cent, on the par value of the bonds to be re-invested quarterly; the interest, at the market rate on 90 per cent, of the par value, less 5 per cent..of this—redemption fund—to be re-invested quarterly; the 1 per cent, tax payable semi-annually, and the re-investment being semi-annual; the cost of redemption, averaging $1.4549 on one thousand dollars for the past year, payable annually, and the re-investment being annual. Then, when money is worth 6 per cent., the banks realize 5.661 per cent. When money is worth 5 per cent, the banks realize 4.936 per cent. When money is worth 4.763 per cent, there is neither gain nor loss. The present relief necessary to the welfare of the system can be realized by (1) a reduction in the minimum deposit of bonds required to secure circulation; (2) an increase in the percentage of circulating notes issued upon said bonds, and (3) a reduction in the semi-annual duty levied upon circulation. The laws now in force require that each bank having a capital of $150,000 or less shall keep on deposit with the Treasurer, United States bonds, the par value of which is equal to one-fourth of its capital stock. Every bank the capital of which exceeds $150,000 is obliged to maintain a deposit of $50,000, par value, in bonds for a like purpose. Ninety per cent, of the par value of bonds thus deposited is issued to the associations in circulating notes. A tax, called a semi-annual duty, is levied upon the circulation, and paid by the banks, equal to 1 per cent, per annum. The reduction in the bond deposit can be objected to only upon the ground that it might lead to a contraction of the volume of currency. In answer to this it can truly be said that the effect of the present law is to contract the circulation, and that this contraction, if not arrested, will go on with increasing rapidity until the entire issue of bank notes has disappeared. The issue of notes under present conditions is a burden, and of such a serious character that in the near future it may arrest the formation of new banks and cause the liquidation of those already in operation, in both cases operating in the line of contraction. The plan of relief proposed will remove the burden in large part and tend to a wider distribution of that which remains. It is useless to endeavor to maintain the present volume of circulation by obliging national banks to deposit bonds to secure note issues at an actual loss, and that loss continually increasing, because each association is free to go into liquidation whenever those representing two-thirds REPORT OF THE COMPTROLLER OF THE CURRENCY. 17 of its stock so determine. That the right to carry on business under a national title is of great value, in most cases, is true, but a time may come when the gradually-increasing burdens now imposed will pass the point of endurance, and those most loyal to the system be forced to reluctantly withdraw. That a refusal to grant the relief which both justice and expediency seem to demand, will cause a contraction, is true beyond the shadow of a doubt, while the adoption of the measures of relief i>roposed may arrest and prevent it. On September 30,1889, there were in operation 3,290 national banks and the minimum of bonds required to be deposited by them was $95,297,283. The actual amount so deposited was $146,471,700, showing an excess of $51,174,417 then voluntarily held, over legal requirements. This excess on October 4,1888, was $79,879,220, showing a decrease during the past twelve months of $28,704,803. The banks holding this excess are among the older institutions, which have secured a valuable business, and are not inclined to change a condition of things which may have existed from the birth of the associations, and which for one reason or another it may be thought impolitic to disturb. These considerations will no doubt continue, but will operate with decreasing force as the unprofitableness of the situation becomes greater and more apparent. In any event, it is certain that the retirement of this excess will be greatly delayed by the adoption of the measure of relief proposed. In the opinion of the Comptroller the law governing national banks should be amended so as to produce the following modifications: (1) The minimum deposit of bonds to secure circulation should be fixed at 10 per centum of the capital stock in respect to all associations having a capital of $300,000 or less, and for all banks hnving a greater capital a minimum deposit of $30,000 in bonds should be required. (2) Circulation should be issued to the par value of the bonds deposited. (3) The semi-annual duty on circulation should be so reduced as to equal one-fourth of 1 per cent, per annum. The banks now in operation from which reports were received under the last call had of bonds on deposit to secure circulation, $146,471,700, and circulating notes outstanding, secured thereby, $128,450,600. The minimum deposits of bonds required of these banks aggregate $95,297,283, upon which they would be entitled to $85,767,555, in circulating notes. It will be observed that the bonds deposited exceed the minimum requirement by $51,174,417, said excess representing circulation to the amount of $46,056,976. It is quite clear that this excess will certainly be reduced and in time entirely disappear, producing a contraction of $46,056,976, in noteissues unless some relief is afforded by Congress. It is equally clear that the banks having on deposit this excess will be disposed to let it remain undisturbed if the proposed amendments are adopted, for it must be presumed that they have an intelligent comprehension of their interests, and will be likely to continue at a profit, the course which they have heretofore felt constrained to maintain even at a loss. On September 30, 1889, there were in operation 2,921 national banks having each a capital of $300,000 or less, and 369 having capitals in excess of that sum. As has been stated, the minimum of bond deposits now required of these banks aggregates $95,297,283. If the law is amended as proposed the minimum of bond deposits required will be $43,891,581, making possible a withdrawal of $51,405,702 in bonds, securing $46,265,132 in circulating notes. This would greatly exceed the 9460 CUR 2* 18 REPORT OF THE COMPTROLLER OF THE CURRENCY. limit of probable contraction, for it is fair to presume that the banks now maintaining a deposit in excess of legal requirements would decline to withdraw the bonds thus released. Upon a careful survey of the entire field it is the opinion of the Comptroller that the proposed legislation, taken as a whole, would tend to arrest the present contraction rather than to accelerate it, for the following reasons: (1) The j)resent excess now held at a loss will be continued, and probably increased, if a profit is apparent. (2) The banks now holding an excess will not avail themselves of the privilege of withdrawal afforded by a reduction of the minimum. (3) The organization of new banks will be nearly or quite doubled, and the new deposit of bonds received from this source will be maintained eveu under the reduced requirements. (4) The withdrawal of bonds by reason of banks going into voluntary liquidation will be greatly reduced. (5) The addition of 10 per cent, in circulation will apply to all bonds now on deposit, as well as those which may be hereafter pledged, adding nearly $15,000,000 to the circulation upon present holdings. The operation of these various influences would tend to prevent any considerable reduction in the amount of bonds held to secure circulation, while the increased percentage of note-issues would operate to neutralize the effect of possible withdrawals, and might go so far as to increase rather than contract the total volume of national-bank circulation. In any event, the provisions of section 9 of the act of July 12, 1882, would still be in operation, limiting the deposit of lawful money on withdrawal of bonds to $3,000,000 during any calendar month. The reduction of duty on circulation is to be commended from every point of view. The maintenance of the present tax is unjust to the banks, because it is imposed on account of a privilege now utterly valueless. It was originally levied because there was a profit on circulation and the revenue was needed to meet the expenditures incident to the conduct of a great war. Both these conditions are changed, the profit to the banks has disappeared, and the revenues of the Government are excessive. The duty collected on national-bank notes during the last fiscal year was $1,410,331.84, and the total amount paid in Federal taxes to June 30, 1889, by the banks of the system, on capital, deposits, and circulation, was $137,664,135.57. The reduced rate of duty would produce a sum in excess of the expenditures made by the General Government on account of the banks } for, in addition to the tax on circulation, they are assessed for the cost of redemption by the Treasurer, for the cost of plates and for examiners* fees aggregating during the last fiscal year $274,691.46. If the proposed reduction in duty had gone into effect June 30, 1888, the receipts during the last fiscal year from that source would have been $352,582.96, which would have more than covered any expenditures by the Government on behalf of the system not covered by the special assessments above mentioned. In submitting the recommendations set forth in the preceding pages, it should be said that I have been largely influenced by the increasing accessions to the national banking system from the Western and Southern States, and the evidence daily accumulating that it is not only adapted to the wants of that vast area, now inadequately supplied with banking facilities, but that this adaptation is becoming fully appreciated. It is of the greatest importance to that region that the abundant capital of REPORT OF THE COMPTROLLER OF THE CURRENCY. 19 the older States should be utilized, and through no other agency can this be so effectually accomplished. TT, With this in view, it should be remembered that the burden of the enforced bond deposit is felt most severely where the current rate of interest is highest and where banks organize with smallest capital. Banks with capital stock ranging from $50,000 to $150,000 are now called upon to deposit bonds equal to 25 per cent, thereof, while in the case of banks with $1,000,000 the requirement is 5 per cent., and with $5,000,000 capital only 1 per cent. The modification proposed will not only prove beneficial in a marked degree to the interests of the West and South, but every State and Territory will participate in the relief afforded. COMPARATIVE STATEMENTS OF THE NATIONAL BANKS FOR SIX YEARS. The following table exhibits the resources and liabilities of the national banks for six years, in round numbers, at nearly corresponding dates from 1884 to 1889, inclusive. A statement for preceding years will be found in the Appendix, pages 119 and 120. Sept, 30, 1884. RESOURCES. Oct. 7, 1886. Oct. 5, 1887. Oct. 4. 1888. | 2,664 I banks. Loans Bonds for circulation Other United States bonds Stocks, bonds, etc Due from banks Heal estate Specie Legal-tender notes National-bank notes .1 Clearing-house exchanges United States certificates of deposit Due from U. S. Treasurer Other resources Oct.l, 1885. 2,714 banks. 2,852 banks. 3,049 banks. banks. 3,120 Sept, 30, 1889. 3,290 banks. Millions. Millions.! Millions. Millions. Millions, Millions. 1,306.1 ! 1,451.0 307.7 I 258.5 31.8 32.4 77.5 81.8 235.3 241.4 51.3 54.1 174. 9 1 156.4 69.7 62.8 23.1 22.7 84.9 95.5 18.8 5.9 14.9 j 14.0 36.9 I 37.4 1,587.5 ! 1,628.1 177.6 189.1 63. C 34.7 96.3 256.3 282.5 58.0 61.1 165.1 181.3 73.7 82.0 21.9 21.3 88.8 74.2 6.2 12.3 9.3 9.0 40.8 42.1 1,817.3 146.5 48.5 109.3 335.4 69.4 164.3 86.8 20.9 136.8 12.9 7.4 42.8 2, 279. 5 Total 1,245. 3 327.4 30.4 71.4 194.2 49.9 128.6 77.0 23.3 66.3 14.2 17.7 33.8 2,432.9 ! 2,513.9 2,620.2 2,731.4 2,998. 3 524.3 147.0 63.2 289.8 993.0 246.4 15.8 527.5 146.6 59.3 269.0 1,116.7 299.7 14.1 548.3 157.3 66.5 228.8 1,189.5 308.6 14.9 578.5 173.9 71.5 167.3 1,274.7 329.6 24.7 588.4 183.1 70.3 155.4 1, 350. 7 358.1 25.4 612.6 197.4 84.9 128.5 1, 522. 0 425.3 27.6 2, 279. 5 2,432.9 2, 513.9 2, 620. 2 2,731.4 2, 998.3 LIABILITIES. Capital stock Surplus fund Undivided profits Circulation Due to depositors Due to banks Other liabilities Total 20 REPORT OF THE COMPTROLLER OF THE CURRENCY. The following table presents an abstract of the resources and liabilities of the national banks at the close of business on September 30, 1889; the condition of the banks in New York City, the three central reserve cities, other reserve cities and the country being tabulated separately. Central reserve cities. I Other reserve1 cities ™ York ' New Y o r k ' -* ! e JT-tt iChicago, and j g, St. Louis. 45 banks. j 70 banks. 228 banks, Country banks. i 2,992 banks. j , . | A Sg r e gate. ! 3,290 banks. Resources. $303, 898,166 j$389, 754; 488 j $415,421,412 $970, 553, 839•$1, 805, 729, 739 Loans and discounts 35*\ 625 | 452, 580 9, 753, 072 11, 527, 964 1, 322, 312 Overdrafts 5,065,000 ! 6, 465, 000 146,471, 700 Bonds for circulation 13, 686, 000 126, 320, 700 Bonds for deposits 5,840,000 • 6, 640, 0U0 23, 207, 000 44, 063, 000 14,217, 000 256,100 , 2, 508, 300 4, 438, 200 United States bonds on hand 668,150 1,261,750 21,049,744 i 25, 344, 970 66, 672, 944 109, 313, 635 Other stocks, bonds, etc 17, 295, 721 132, 423, 322 189,136, 281 56,712,959 Due from reserve agents 117,869,749 Due from other national b a n k s . . 27,391,330 41,297,120 33, 065, 201 43, 507, 428 Due from other banks and bank! ers 3,547,845 7,711,333, 6,981.402 13,724,776 28,417,511 Banking-house furniture and fixtures 10,596,002 ; 11,538,483 12,694,200 34,484,215 58, 716, 898 Other real estate and mortgages owned 10, 660, 276 615,426 ; 894, 779 1,787,366 7, 978,131 849,216 8, 525, 925 1, 073, 304 5,554, 894 Current expenses 1, 897, 727 3,159,594 16, 613, 918 1, 306, 021 12, 004, 746 Premiums 3V 303,151 3,379,077 ; 17, 059, 787 Check and other cash items 3, 492, 880 11,132, 936 2, 433, 971 Exchanges for clearing-house . . . 99,338,483 j 104,962,207 ' 28, 941, 929 2,879,026 i 136, 783,162 1,185,299 i Bills of other national banks 20, 875, 528 2,357,894 j 3,537,417 14,980,217 | i Fractional currency, nickels, 43, 827 124, 035 487,850 j 682,035 70,150 ! and cents 59, 087, 892 76, 008, 019 ! 37, 850, 442 50,467, 988 ! 164, 32*t), 449 Specie 18, 209, 227 28,633,124 j 22, 406, 575 35, 712, 394 86, 752,093 Legal-tender notes United States certificates of de7, 360, 000 8,100, 000 | 4, 335, 000 510, 000 12, 945, 000 posit F i v e per cent, redemption fund . 214, 425 5, 520,490 6, 405, 058 607,143 277,425 | Due from United States Treas289, 468 190, 674 465, 096 976, 738 urer 320, 968 | Total . 569, 726, 745 717, 368, 895 i 710, 072, 387 570,849, 364 2, 998, 290, 646 1, Liabilities. 48, 850, 000 70,150, 000 Capital stock 33, 094, 329 39, 889, 329 Surplus fuud 13,932,772 16, 740, 546 Undivided profits 4, 090, 540 National-bank notes outstanding 4, 979, 090 24, 348 State-bank notes outstanding . . . 24, 348 203,537 Dividends unpaid 357, 910 284, 647,681 348,700, 490 Individual deposits 5, 972, 298 United States deposits 6, 733, 297 274, 806 294, 497 Deposits of United States disbursing officers. 132,816,648 162, 999, 330 Due to national banks 66,102,104 Due to other banks and bankers. 45, 694,786 192,954 Notes and bills rediscounted 205, 000 Bills payable Total 142,675,110 ! 399, 758, 985 45,072,351 i 112, 433, 081 14,408, 033 53,718,290 11, 984, 005 111, 487, 505 4,048 52,015 1, 423,116 1, 819, 029 342,927,321 I 783, 839, 749 13, 963, 369 20, 891,948 1,286,657 3, 355,491 88,584,415 43, 064, 764 1, 281,129 3,398, 069 41,431, 448 23,160, 226 15, 308,428 3, 593,169 612, 584, 095 197,394, 761 84, 866,869 128,450, 600 80,411 3, 600, 055 1, 475, 467, 560 4J, 588, 614 4, 936, 645 293, 015,193 132, 327, 094 16, 782,511 7,196, 238 569,726,745 K Other reserve cities are Boston, Philadelphia, Baltimore, Albany, Pittsburgh, Washington, New Orleans, Louisville, Cincinnati, Cleveland, Detroit, Milwaukee, Kansas City St. Joseph, Oroaha, and San Francisco r In former reports a statement was submitted showing in a condensed form the changes occurring in the items of resources and liabilities of the national banks at stated periods from January 1, 1866, to date of last report of condition made by the banks, and the following statement is perpetuated for purposes of comparison. The aggregate of the 21 REPORT OF THE COMPTROLLER OF THE CURRENCY. several; items is expressed in round numbers, the dates of highest and lowest points being given. It will be seen that capital, surplus, undivided profits, and deposits have increased from $995,542,378 in January, 1866, when operations under the national-bank act were fairly under way, to $2,370,313,284 on September 30, 1889, and that loans and discounts amounting to $500,650,109 have reached the sum of $1,805,729,738, which is nearly quadruple, and upon reference to other pages in this report that the number of active banks has increased from 1,582 to 3,290, or only about double. The holdings in bonds have decreased from $440,380,350 to $194,972,900 5 the highest amount, $712,437,900, having been held in April, 1879. The specie held by the banks amounted to $16,909,36 *; was only $8,050,330 in 1875 ; amounted to $185,176,450 on May 13, 1889, the highest point reached, and to $164,326,448 on September 30,1889. January 1, 1866.' | j Highest point reached, 30,1889. Amount. Capital Capital, surplus, and undivided profits. Circulation Total investments in United States bonds Individual deposits Loans and discounts Cash: National - bank notes Legal - t e n d e r notes Specie , ! j Lowest point reached. Date. Amount. Date. $403, 357, 346 $612, 584, 095 $612,584, 095 Sept. 30,1889 i$403, 357, 346 Jan. 1,1866 475, 330, 204 894, 845, 724 894, 845, 724 . . d o 475,330,204 . . . . d o 213, 239, 530 128, 450, 600 341, 320, 256 Dec. 26,1873 128, 450, 600 Sept. 30,1889 440, 380, 350 194,972, 900 712, 437, 9C0 Apr. 4,1879 194, 972, 900 ...do 520, 212,174 1,475,467,560 1,475,467,560 .Sept. 30,1889 501, 407, 586 Oct. 8,1870 do 500, 650,109 Jan. 1,1866 500, 650,109 1,805,729,738 1,805,729,738 20,406, 442 20, 875, 528 28, 809, 699 Dec. 31,1883 187, 846, 548 86, 752, 093 205, 793, 579 Oct. 1,1866 16, 909, 363 164, 326, 448 185,176, 450 May 13,1889 11,841,104 Oct. 7,1867 52,156, 439 Mar. 11,1881 8, 050, 330 Oct. 1,1875 The following comparative statement gives the percentages of loans and discounts, United States bonds, and specie to the entire fund with which the banks do business which is made up of capital, surplus, undivided profits, circulation, and deposits. In 1866 the percentage of circulation to capital, surplus, and undivided profits was about 45 per cent., and is now about 14 per cent. Loans and discounts United States bonds Specie 86.64 SUBURBAN BANKS CONTIGUOUS TO RESERVE CITIES. The rapid growth of our large cities is causing them to absorb outlying suburbs and contiguous towns. In these latter are frequently located national banks of small capital, organized for the accommodation of local tradesmen and not at all adapted to the business of banks in reserve or central reserve cities. In cases where annexation brings these smaller banks within the limits of reserve cities perplexing questions arise as to title, capital, and reserve. For example, during the present year the towns of Lake and Hyde Park were annexed to the 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. city of Chicago. Located in this territory are five national banks: The National Live Stock Bank, capital $750,000; the Drovers' National Bank, capital $250,000; the First National Bank of Englewood, capital $100,000 5 the Calumet National Bank, capital $50,000: and the Oakland National Bank, capital $50,000. There are now located within said city two associations with the title of u First National Bank." The title of a bank when organizing is subject to the approval of the Comptroller of the Currency, who is entirely free to exercise his discretion in the matter. His power ends, however, with approval, and no change can take place, except through, the action of the association itself under the provisions of section 2 of the act of May 1,1886. As the similarity of names is very undesirable for many obvious reasons, it is important that there be lodged with the Comptroller some power to bring about a change in title in case either or both of the associations interested should neglect or decline to move in the matter. Attention is also called to the fact that three of the associations above referred to possess less than $200,000 capital. The closing paragraph of section 5138, Eevised Statutes of the United States, reads as follows: No association shall be organized in a city the population of which exceeds fifty thousand persons with a less capital than two hundred thousand dollars. These banks having been organized in conformity with law are undoubtedly entitled to continue the exercise of their corporate powers, notwithstanding the fact that the amount of their capital stock is below the minimum required in the section quoted. Another difficulty presents itself, however, when the question of reserve is considered. At the time of their organization the national banks located in the townships of Lake and Hyde Park were required by law to keep a reserve equal to 15 per centum of their capital, of which reserve three-fifths might consist of balances due from approved associations in reserve cities. These banks are now located in u Chicago, which is a central reserve city, and the law requires that every bank located in such city shall at all times thereafter have on hand, in lawful money of the United States, an amount equal to at least 25 per centum of its deposits." Which provisian of law now applies to the banks under discussion ? Are they or any of them obliged by law to maintain a reserve of 25 per cent? And, if not, can they legally enter into any engagement to do so % Again, can these banks or any of them be approved as reserve agents for associations located outside of central reserve cities % The law evidently presumes that only banks having a capital of $200,000 and maintaining a reserve of lawful money in its own vaults equal to 25 per cent, of its deposits shall be eligible for approval as reserve agents in central reserve cities. The Comptroller has no doubt that this was the intention of those who framed the law, and therefore has declined to approve as reserve agents any banks among those named, except such as have at least $200,000 capital, and which have, through their boards of directors, entered into an agreement to maintain the maximum reserve. It is apparent, however, that legislation is needed to make clear the rights and duties of these and other associations similarly situated. ORGANIZATION OF NATIONAL BANKS IN THE INDIAN TERRITORY. The recent opening of the Territory of Oklahoma for settlement attracted great attention, and vast numbers of immigrants entered upon its soil so soon as they could lawfully do so, prepared to make farms, build cities, and carry on business in all its forms. As early as March, REPORT OF THE COMPTROLLER OF THE CURRENCY. 23 1889, applications for authority to organize national banking associations within that Territory were received by the Comptroller of the Currency. In course of time these applications became numerous and urgent, and questions new and novel were thereby raised for consideration. Section 5146, Revised Statutes of the United States, requires that— Every director must, during his whole term of service, be a citizen of the United States/and at least three-fourths of the directors must have resided in the State, Territory, or District in which the association is located for at least one year immediately preceding their election, and must be residents therein during their continuance in office. This provision of law seemed to present an insurmountable obstacle to the organization of national banks in the tract of country under discussion prior to the expiration of one year from the lawful opening to settlement, as citizenship could only date from the latter event. In addition to this there were other difficulties, such as the absence, in an essential degree, of law, courts, and officers, necessary to the proper conduct of the banking business. While the Comptroller considered these objections fatal to a present favorable consideration of the pending applications, yet the situation was so peculiar, and the importance of a proper solution so apparent, that the legal questions involved were referred through the Secretary of the Treasury to the Department of Justice. On the 18th day of May last the Attorney-General transmitted his opinion, which fully sustained the position taken by the Comptroller. After reciting section 5146, Eevised Statutes of the United States, above quoted, and setting forth the impossibility of complying with its requirements on the part of the persons making the applications, he further says: The legislation authorizing national banking associations to be established in a Territory has in view, I think, a Territory regularly organized, with a government and a system of laws for the protection of persons and property, and not a territory like Oklahoma, without any government at all and destitute of laws for the regulation of the civil relations of its people—a territory without rules of property, and without even customs to take the place of legislation. It was not to a territory in the condition of Oklahoma that Congress could have referred in section 5197 of the Revised Statutes, which declares that any association may charge on loans or discounts made, or on notes, bills of exchange, or other evidences of debt, " interest at the rate allowed by the laws of the * * * Territory * * * where the bank is located and no more, except," etc. Nor could Congress have had such a territory in contemplation when it directed in section 5226 that on the failure of a national banking association to redeem its circulating notes they should be protested " b y a notary public," and yet have omitted to provide the territory with such an officer for the purpose. It is not necessary to look further into the legislation on this subject to establish the proposition that there is no authority to make the dangerous experiment of locating a national banking association in a country destitute of the laws and sanctions that are essential to the safety of a bank. Very soon after an adverse decision had been made upon the applications above considered, certain persons applied for authority to organize a national banking association at Muscogee, in the territory of the Creek Nation. In this case it was stipulated that the directors should be citizens of the United States, and it was also practicable to so constitute the board of directors that at least three-fourths of its members should have resided in the territory for at least one year immediately preceding their election. After citing the various treaties in force between the United States and the Creek Nation, the Attorney-General, in his opinion upon the questions raised, used the following language: 24 REPORT OF THE COMPTROLLER OF THE CURRENCY. The effect of these provisions would seem to he to invest the Creek Nation with the right of self-government to the extent, certainly, of making it entirely safe to say that the various national hanking laws are not in operation in the Creek territory, and could only be in operation there by re-enactment by the legislative authority of that Nation. ' * * * It follows, then, necessarily, that a national bank can not he established in Muscogee or any other place where the national banking laws can not have effect as the law of the United States. The sufficiency of the laws and the means provided for their enforcement at the place named in the application were not in this case considered. The application was rejected upon the higher ground that the national-bank act is not operative within the territory named. NATIONAL BANKS CLOSED DURING THE YEAR ENDED OCTOBER 31, 1889, IN EACH STATE AND TERRITORY, WITH CAPITAL AND CIRCULATION. Name and location of bank. Date of an- ; thority to i Date of clos- ' Capital p commence stock. ing. business. Circulation. Issued. Re- Outstanddeemed. ing. First National Bank, Alameda, Cal $27,000; $10,130 i $16, 870 I Aug. 26, 1879 Sept, 4,1888 $100,000 San Diego National Bank, San 15, 300 100, i 00 22, 500 | 7,200 Diego, Cal | Aug. 23,1887 Nov. 7,1888 National Exchange Bank, Au200, 000 ! 97,520 \ 29, 670 67, 850 burn, N. Y i June 28,1865 Nov. 16,1888 National Bank of Dayton, 50,000 I 8,210 11,250 j 3,040 Wash j Oct. 5,1887 Nov. 21,1888 First National Bank, Colby, 50, COO i 11,250; 3,700 7,550 Kans I May 27,1886 | Nov. 21, 1888 First National Bank, Russell 50,000 • ; 8,850 10,690 i 1,840 Springs, Kans Nov. 21,1888 | Aug. 18,1887 First National Bank, Columbia, 7,250 50, 000 j 4,000 Dak 11,250 i j June 12,1885 Nov. 26,1888 I Citizens' National Bank, Kin; 11,250 50,000 i 2,500 8,750 man, Kans June 28,1887 Dec 24,1888 Farmers' National Bank, Stan45, 000 10, 870 200, 000 : ford, Ky 34,130 Sept, 14, 1870 Dec. 31,1888 Ohio National Bank, Cleveland, 400, 00 ! 57, 763 16, 530 Ohio Jan. 14, 1869 ; Jan. 1,1889 41, 233 Bowery National Bank, New 2'0,000 j York, N.Y 217, 71w 61, 060 .' June 16,1865 [Jan. 2,1889 156, 650 Second National Bank, Ionia, 5, 752 Mich 50,000 ! 21, 870 .[ July 6,1872 ' Jan. 8,1889 16,118 California National Bank, San Francisco, Cal ?00, 000 i 45, 00 i . Nov. 23,18c6' Jan. 14,1889 45, 000 First National Bank, Johnstown, N.Y 100, 000 ; . Mar. 13,1879 ! Jan. 16,1889 86, 590 24, 353 62, 237 First National Bank, Canan; i Jan. 26,1889 daigua, N. Y 75,000 I 17,100 14,710 2,390 i Pendleton National Bank, Pen- . Feb. 16,1864 ' dleton, Oregon Feb. 4,1889 50, 000 11,250 7, 910 3,340 \ Iowa City National Bank, . | Apr. 2,1887 Feb. 7,1889 Iowa City, Iowa 200, 000 45, 000 36,170 8,830 i Fleming County National Nov. 14,1882 ' Feb. 9,1889 Bank, Flemingsburgh, Ky. .. 50, 000 26, 621 20, 898 5,723 Merchants' National Bank,' El Feb. 11,1876 : Feb. 26,1889 100, 0C0 ' Dorado, Kans 22, 500 18, 520 3,980 Merchants' National Bank,De& . I Jan. 3,1888 ! Mar. 1,1889 Moines, Iowa 100, 000 22,500 15, 825 6,675 Norwich National Bank, Nor- | Feb. 16,1882 Mar. 15,1889 wich, Conn 220, 000 77,150 15,640 61, 510 First National Bank, Frank- . June 29,1865 Mar. 27,1889 lin, Nebr 13, 000 60, 000 10, 076 2,924 Farmers and Mechanics' Na- .[ Aug 11,1886; Apr. 3,1889 26,100 tional Bank, Buffalo, N. T . . . 200,000 23, 746 2,354 National Bank of Lebanon, June 2,1864 ! Apr. 7, 1889 Ky 45, 000 100,000 ; 35,495 9,505 First National Bank, Du Bois ' July 24,1869 ! Apr. 8,1889 City, Pa 11, 250 50,000 9,370 1,880 | First National Bank, Anuka. June 6,1883 Apr. 22,1889 11, 250 Minn 50, 000 11,250 First National Bank, Cimar- Oct. 21,1882 i Apr. 27,1889 10,170 ron, Kans 1,880 50, 000 8, 290 Traders' National Bank, San July 14,1887 Apr. 29, 1889 22, 500 Antonio, Tex 3,770 100, 000 18, 730 Meiyjhants' National Bank,Du- Feb. 14,1883 May 20,1889 45, 000 luth, Minn 4.830 200,000 40,170 "Wright County National Bank, Feb. 10,1886 June 19,1889 11, 250 Clarion, Iowa 1,350 9,900 50, 000 Sept. 9,1887 REPORT OP THE COMPTROLLER OF THE CURRENCY. 25 NATIONAL BANKS CLOSED DURING THE YEAR ENDED OCTOBER 31, 1889, IN EACH STATE AND TERRITORY, WITH CAPITAL AXD CIRCULATION—Continued. Name and location of bank. | Date of au- I ; thority to of commence , Dateing.clos-i Capital stock. business. Circulation. Issued. National Bank of Lawrence, Kans Oct. 14,1865 June 29, 1889 $100, 000 : National Bank of Le Roy, > N.Y Jan. 3,1885 1 June 29,1889 i 100,000 ; Halstead National Bank, Hal- ; stead, Kans Jan. 29,1886 j June 29,1889 i 50,000 I Farmers' N a t i o n a l B a n k , I 50,000 ! Mount Sterling, Ky | Jan. 11,1875 ! July 1,1889 I ; First National Bank, Key Port, I 50,000 | N.J j Apr. 23,1884 ; July 1,1889 National Bank of Huntsville, 50,000 Ala ! Sept. 15,1865 ; July 3,1889 ' Adams N a t i o n a l Bank,! 50,000 | Adams,N. Y Dec. 23,1882 July 10,1889 German National Bank, Newton, Kans ! July 19,1889 j 60, 000 First National Bank, Clay Cen- Mar. 17,1886 50, 000 ter, Nebr ". Aug. 8,1889 ; Vernon National Bank, Ver- Oct. 19,1886 60, 000 non, Tex j Aug. 17,1889 Butler National Bank, Butler, July 2,1889 Mo ... Sept. 10,1881 I Aug. 23,1889 : 66, 000 Second National Bank, Leba50, 000 non, Tenn Sept. 17,1870 Sept. 18,1889 | National Bank of Kinderliook, I Apr. 17,1865 Oct. 1,1889 ' 125, 000 N.Y- I Total. ReOutstanddeemed. ing. $49,809 | $3,840 $45, 969 22,500 ; 3,080 19, 420 11,250 j 3,130 j 195,680 8,120 14,200 . 181, 480 11,250 1,720 : 9,530 44, 900 2,940 ' 41, 960 12, 240 1,310 ; 10, 939 13, 500 1,250 ; 12,250 11,250 11, 250 14,850 | 200 14, 650 11,250 | 11,250 28,290 ! 28, 290 | 4,566,000 | 1,521,053 j 299,706 J 1, 221, 347 Of the above banks 41 went into voluntary liquidation and 2 failed. CONVERTED AND ORIGINAL BANKS. The national banks are composed of two classes, namely, those primarily organized as such under acts of Congress, and those originally incorporated under special law or organized under general law of the several States. The mode of procedure prescribed by section 5154 of the Revised Statutes of the United States for conversion is very simple, and converted banks are permitted to retain certain features and privileges appertaining to the former corporation. The shares of such a bank may continue to be for the same amount each as they were before the conversion, and a bank which is a stockholder in another bank may continue to hold its stock. They may also retain and keep in operation branch banks under certain conditions. Tables in the Appendix, p. 178, present a history of the two classes of banks. SHAREHOLDERS OF NATIONAL BANKS. A table in the Appendix, p. 174, shows in detail the distribution of national-bank stock, and was compiled from reports received from the banks as of the first Monday in July, 1889. Aggregates are shown by geographical divisions, and the details as to ownership in groups. STATE TAXATION OF NATIONAL BANKS. Since the decision of the Supreme Court of the United States in the Mercantile National Bank suit, the text of which may be found in the Comptroller's report for 1887, page 109, no cases of considerable im- 26 REPORT OF THE COMPTROLLER OF THE CURRENCY. portance have arisen, in which the power of the courts has been invoked for the application of the statutory law of the United States, where there was either an apparent or actual injurious discrimination in the rate of taxation as between shares of stock of national banks and other moneyed capital in the hands of individual citizens; and yet, notwithstanding the definition of moneyed capital formulated by the Supreme Court, there still remains an uncertainty in many localities with respect to the exact line of demarcation beyond which taxing officers can not legally go, in view of the fine distinctions which it is possible to draw when moneyed capital may be said to be merged into personal property discriminate^7 favored or exempted from taxation by the statutes of a State. The court said that credits, money loaned at interest, and demands against persons or corporations are more purely representative of moneyed capital than personal property so far as they can be said to differ, and that shares of stock in railroad, mining, insurance companies, or any other corporations of that description is not moneyed capital in the hands of individuals, while shares of stock or other interests owned by individuals in all enterprises in which the capital employed in carrying on its business is money where the object of the business is the making of money by its use as money, is moneyed capital. These distinctions are perceived by the courts, but are not equally visible to the business community and the assessors. Hence occasional friction develops a suit wherein the issue turns upon a single point and determinate only through the perspicuity of the court. Broadly illustrated, the capital invested in railroad, mining companies, and some other corporations is represented by right of way, improvements, such as buildings and bridges, rolling stock, machinery, real estate, etc., and it is that into which the money has been converted which is used to make money instead of the money itself, whereas the capital of a national bank is money which is not converted into any other form, but is used as money represented by loans, credits, discounts, etc., to earn additional money. Probably in most cases the friction has been engendered by the method or manner of taxation, with which the General Government has no concern, having voluntarily surrendered control, and the Comptroller is frequently appealed to for expressions of opinion as to the legality of an assessment for taxation. Attempts have been made by county and municipal authorities to assess the capital of an insolvent national bank, and for non-payment of a tax levied, the attachment of personal property of the bank threatened, although the capital was wholly inactive, if not totally lost, and notwithstanding the opinion of the Supreme Court that the personal property of an insolvent national bank in the control of a receiver is exempt from State taxation. (Rosenblatt v. Johnson, 104 U. S., 462.) The variations in the manner of taxation by the several States are illustrated by the variety in forms of assessment, namely, a tax on the capital stock in solido; on shares of stock at their market instead of par value ; on the amount of capital and surplus combined ; where different rates of taxation are prescribed for different classes of moneyed capital; where discriminations are m^de as to deductions for personal indebtedness ; where shares of stock are taxed at their cash value, surplus, undivided profits, and other values included; where surplus is taxed against the bank independent of a tax against the stock in the hands of shareholders; where the banks themselves are required to pay the tax assessed on the shares of stock, etc. It seems clearly to have been the original intention of Congress to con- REPORT OF THE COMPTROLLER OF THE CURRENCY. 27 fine State taxation to shares of stock in the hands of individuals, and taxation in any other form was neither anticipated nor foreseen as tending to injurious or illegal discriminations, but as the same section of the statutes giving the taxing power expressly waives a present right to place a restriction upon the manner of taxation, the courts generally uphold the applicability of State statutes and thus give legal sanction to much of the variety in the forms of assessment above illustrated. The Supreme Court (Van Allen v. the Assessors, 3 Wall., 573) pronounced the illegality of a tax on the shares of stock of a national bank, upon the ground of unjust discrimination, where under State statutes a tax was laid upon the capital of State banks, as it was found that a tax on capital was not equivalent to a tax on shares of stock. The most recent decisions of lower courts appear to be harmonious in expressing the view that the tax authorized by Congress is a several tax upon the shares of each individual shareholder as distinguished from a tax in solido on the bank itself, but even this view would not be rightly applicable if an unjust discrimination was created thereby. In a recent case the grounds of complaint were substantially as follows: (1) That other corporations received the benefit of relief from taxation upon all non-taxable securities which formed a part of their capital, in which relief their shareholders participated; whereas, under the method of taxation complained of, the bank's shareholders were deprived of such relief to the extent of nearly one-half the amount of its original capital. (2) The tax being assessed against the cashier of the bank, and not against the shareholders, the latter were deprived of the privilege accorded by the city to the owners of other moneyed capital, of deducting the amount of the debts they owed from the value of the bonds and securities which they held, in estimating the amount on which they were taxable. Upon a review of the decisions, and those of the Supreme Court of the United States in particular, it appears that each case which has been adjudicated piesented special facts, those facts differing in every case ; but, as the courts say, the paramount question involved in all the cases has been as to whether or not the tax complained of injuriously discriminated against national-bank shareholders and in favor of other moneyed capitalists in such a manner as to discourage investments in the shares of national banking assoications. The constitutions of some States require that taxation shall be equal and uniform, and that no species of property shall be taxed higher than any other species of property, but no one doubts that every State has the inherent power to discriminate in favor of a particular species of property whenever, in the interests of public policy, discrimination or exemption is necessary for the encouragement of enterprises which develop the resources, increase the prosperity, and add to the wealth of the State. Whatever the differential status may be with respect to the statutes of the several States, the prohibition against the taxation of nationalbank shares at a greater rate than that imposed upon other moneyed capital in the hands of individual citizens can not be evaded by the assessment of equal rates of taxation upon unequal valuations; hence, where State statute authorizes individuals to deduct the amount of debts owing by them from the assessed value of their personal property and moneyed capital subject to taxation, the owners of shares of national-bank stock are entitled to the same deduction. (People v. Weaver, 100 U. S., 559.) 28 REPORT OF THE COMPTROLLER OF THE CURRENCY. The courts have expressed a doubt as to whether Congress, in authorizing the States to tax the shares of national banks under legislation of their own, prescribing the manner and place of doing so, intended to authorize cities, counties, and towns to exercise the same power, and the Comptroller is frequently appealed to with respect to the legality of what is concurrently called a license, privilege, or occupation tax. In the case of McCulloch v. The State of Maryland, 4 Wheat., 316, it was held that Congress had the right to authorize the incorporation of banks, and that a bank thus incorporated had a right to establish its offices for discount and deposit within any State, and that when so established the State could not tax it. The principle therein announced has been repeatedly re-affirmed in subsequent decisions of the Supreme Court, the right of a State being limited to the imposition of such a tax as Congress might authorize. The distinction between the right to tax property and to tax business in cases of agencies working under Federal authority is also weJl settled by the same court. To constitute a privilege the occupation or business transactions must be such as the State legislature could forbid it to be pursued or done, and which only could be pursued or done under a license issued by the authority of a State. The national banks are authorized to pursue their banking business by virtue of acts of Congress, and as the State legislature has no power to prohibit the exercise of the privilege so conferred by Congress, it seems clear that it was not in their contemplation to permit national banks to be included among the privileges which might be taxed. The right therefore to conduct the business of a national bank is not in any way dependent upon a license to be obtained from a State or any of its municipalities, and it was so held in Mayor v. First National Bank of Macon, 59 Ga., 648 ; The City of Carthage v. First National Bank of Carthage, 71 Mo., 508; National Bank of Chattanooga v. Mayor, 8 Heiskell, 814. The Suj)reine Court has said that so far as the policy of the Government in reference to national banks is concerned it is indifferent how the States may choose to tax certain corporations, or the interests of individuals in them, or whether they are taxed or not, but it is just here that opinions differ as to the local effect of these discriminations or exemptions upon the prosperity or success of the national banks in any particular State, and out of this diversity of opinion contentions arise. Congress might not have permitted the States to exercise the power of taxation with respect to national banks at all. It is a granted and not an inherent power. With liberality, however, the power was given, the effect of which has been to compensate the States for the loss of tax collections on circulating notes of State banks which Congress subsequently taxed out of existence as a necessary protection to the currency feature of the national banking system. The national bank act, June 3, 1864, declared that the tax imposed under the laws of any State upon the shares of any association authorized by the act should not exceed the rate imposed upon the shares in any of the banks organized under the authority of the State where the association is located, bat in the re-enactment of the statute in 1868 this proviso was omitted, leaving but a single guide to the intention of Congress, and while the construction placed by the Supreme Court upon section 5219 of the Revised Statutes now constitutes the rule for the determination of discriminations, legal contests will be developed from time to time until Congress amends the law, either by changing the basis upon which a State tax may be laid, or by amending the restrictive clause by explanatory enactment defining the term other KEPORT OF THE COMPTROLLER OF THE CURRENCY. 29 moneyed capital in the hands of individual citizens in language unmistakably conclusive. EXTENSION OF THE COEPORATE EXISTENCE OF NATIONAL BANKS. Under the provisions of the act of July 12, 1882, two associations applied for and obtained an extension of their corporate existence during the past year. The following table shows the number and capital of all extended banks and their geographical location : States and Territories. Alabama Arkansas Colorado Connecticut Delaware District of Columbia. Georgia Illinois Indiana Iowa , Idaho Kansas Kentucky Louisiana Maine Maryland Massachusetts Michigan Minnesota Missouri No. of Banks. 2 1 3 73 11 2 6 48 32 25 1 3 11 2 53 29 200 19 9 8 States and Territories. Capital. No. of Banks. Montana Nebraska... . . . New Hampshire New Jersey... . New York North Carolina . South Carolina.. Ohio Oregon Pennsylvania-.Rhode Island . . . Tennessee Texas Vermont Virginia . West Virginia Wisconsin $350, 000 250, 000 460, 000 22, 450, 820 1,503,185 500, 000 1,450,000 6, 240, 000 4,157, 000 2, 095, 000 100, 000 300, 000 3,150, 000 1, 300, 000 8, 630, 000 12, 069, 000 85, 962, 500 1,575,000 2, 275, 000 3,150, 000 Capital. 19 ; $500, 000 750, 000 4, 655, 000 9, 783, 350 72, 672, 4G0 650, 000 850, 000 14, 854, 000 250, 000 44, 704, 390 ] 9 959, 800 1, 850, 000 625, 000 5, 256, 000 2,010,000 1,341,000 1, 685, 000 1,243 ! 340, 969, 505 1 3 36 48 222 3 3 e S> 1 167 59 7 . 4 29 io: : n Total The following table shows how many of these banks will reach the expiration of their corporate existence daring each year from 1890 to 1902, inclusive, with their capital and circulation: Years. No. of banks. Capital. Circulation. Capital. Circulation. 24 25 39 50 108 132 $3, 419, 000 2, 679, 000 4, 995, 000 7, 807,100 14, 669,150 21,177, 300 $1,171, 295 1,198, 350 2,270, 700 2,153, 330 3, 702, 350 5, 352, 350 833 116,015,350 37, 027, 000 No. of banks. Years. i 1890 1891 1892 1893 1894 1895 1896 58 97 100 38 63 76 23 $9, 333, 000 12, 358, 900 13, 815,100 4, 701,000 7, 628, 000 11, 259, 000 2,173, 800 $2,361,275 : 4,040,685 ' 4, 562, 760 l 1,982,925 2, 812, 720 4, 431, 610 986,650 1897 1898 1899 1900 1901 1902 Total... £ The number, capital, and circulation of the national banks of which the corporate existence expired between October 31,1888, and October 31,1889, are shown by the following table, and the number of extended banks is also indicated: Date. No.banks Capital. Circula- No.banks expired. tion. extended. ! Circulation. 1888. November $50, 000 400, 000 100,000 100, 000 50,400 90, 000 45, 000 650, 000 230, 400 $50,000 | $45,000 $45, 000 1889. January February April Total * IAquVdation . () * 1 100,000 : 90,000 ... ( ) * 2 150,000 135,000 30 REPORT OF THE COMPTROLLER OF THE CURRENCY. The corporate existence of 58 national banks with an aggregate capital of $9,3:33,000, bonds $2,628,250, and circulation $2,361,275, will expire during the year 1890 as shown in the follovVing table: NATIONAL BANKS OP WHICH THE CORPORATE EXISTENCE WILL EXPIRE DURING THE YEAR 1890, WITH THE DATE OF EXPIRATION, THE AMOUNT OF CAPITAL STOCK OF EACH BANK, THE UNITED STATES BONDS ON DEPOSIT WITH THE TREASURER, AND THE AMOUNT OF CIRCULATION ISSUED THEREON. Title of bank. 1697 1698 1778 1701 1700 1784 1706 1712 1721 1730 1757 1737 1720 1716 1767 1717 1715 1719 1332 1722 1718 1723 1731 1752 1728 1743 1726 1857 1724 1741 1758 1773 1764 1738 1786 1753 1744 1733 1739 1736 1749 1811 1755 1785 1745 1766 1812 1750 1754 1763 1790 1765 1768 1772 1762 1761 1800 1774 First National Bank, Port Henry Howard National Bank, Burlington New Orleans National Bank First National Bank, Springfield Baxter National Bank, Rutland Bellefontaine National Bank Monmouth National Bank Moniteau National Bank, California First National Bank, Watseka Muskegon National Bank First National Bank, Sioux City First National Bank, Hightstown Fayette National Bank, Lexington Citizens' National Bank, Alexandria First National Bank, Springfield First National Bun k, Sterling Salem National Bank Jacksonville National Bank Northern National Bank, Big Rapids .... First National Bank, Decatur First National Bank, Ottawa First National Bank, Tuscola First National BaDk, Lapoer First National Bank, Holly First National Bank, Richmond National Security Bank, Philadelphia Iowa National Bank of Ottumwa First National Bank, Port Huron First National Bank, Chariton First National Bank, San Francisco First National Bank, Charlotte First National Bank, Morris First National Bank, Mason Loudoun National Bank, Leesburgh First National Bank, Sigourney Keeseville National Bank Merchants' National Bank, Burlington State National Bank, Springfield South Bend National Bank City National Bank, Selma First National Bank, Appleton First National Bank, Indianola First National Bank, Lanark First National Bank, Kewanee Hastings National Bank Citizens' National Bank, Raleigh First National Bank, Cassopolis First National Bank, Santa F6 Merchants' National Bank, Richmond First National Bank, Fort Scott Madison National Bank, Richmond Central National Bank, Columbia First National Bank of Saginaw German National Bank, Evansville Washington National Bank First National Bank of Niles First National Bank, Cheyenne State National Bank, New Orleans Total Expiration of Capital corpoState. rate ex- stock. 1 istence. U.S. bonds. < 1890. : . : Apr. 28 ; $100,000 $100, 000 . June 7 I 300,000 : 50, 000 200,000 I 50, 000 ! Aug. 6 i 50,000 ' 12, 500 .! Aug. 10 I 300,000 i 150, o:o • | A u g . 12 100,000 i 50,000 100,000 ' 25, 000 . I Aug." 26 ' 50,000 • 20,000 Til.... .! Aug. 27 | 50,000 ; 50, 000 Mich . . I Aug. 27 | 100,000 i 25, 000 Iowa.. Aug. 30 ; 100,000 50, 000 N.J .. Sept. 2 150, 000 37, 500 Sept. 8 ; 300, 000 120, 000 Sept. 10 j 100, 000 30, 000 i Sept. 14 150, 000 37, 500 Sept. 15 100, 000 50, 000 Ill Sept. 16 50, 000 12, 500 Ill Sept, 17 200, 000 100,000 Mich .. Sept. 19 150, 000 37, 500 Mich ... Sept. 20 50, 000 12, 500 Kans ... Sept. 23 100,000 25, 000 Ill Sept. 26 113, 000 30, 000 Mich ... Oct. 1 75, 000 25, 000 Mich ... Oct. 1 60, 000 Ky . . . . Oct. 3 250, 000 30, 000 50, 000 Pa Oct. 8 250, 000 50, 000 Iowa . Oct. 14 100, 000 25,000 Mich ... Oct. 15 135, 000 50, 000 Iowa Oct. 17 50, 000 12, 500 Cal Oct. 20 1,500, 000 50, 000 Mich ... Oct. 24 75, 000 18, 750 111. Oct. 27 50, 000 12, 500 Mich ... Oct. 28 50.000 15, 000 Va. Oct. 31 100, 000 100, 000 Iowa ... Oct. 31 50, 000 12, 500 N.Y.... Nov. 4 100, 000 Iowa ... Nov. 7 100,000 100,000 25, 000 Ill Nov. 9 200, 000 50, 000 Ind. j Nov. 9 100, 000 Ala.... Nov. 12 400, 000 100, 000 207, 000 Wis . . . Nov. 14 100, 000 25, 000 Iowa ... Nov. 15 50, 000 12, 500 Ill Nov. 22 50, 000 20, 000 Ill Nov. 23 100, 000 25, 000 Mich ... Nov. 25 100, 000 25, 000 N.C . . . Nov. 30 100, 000 25, 000 Mich ... Nov. 30 50, 000 12, 500 N.Mex Dec. 2 150, 000 40, 000 Va Dec. 7 200, 000 60, 000 Kans ... Dec. 12 300, 000 50, 000 Ky ..... Dec. 12 200,000 50, 000 S.O. —. Dec. 20 100, 000 25, 000 Mich .., Dec. 22 200, 000 50, 000 Ind. Dec. 24 250, 000 50, 000 Iowa .. j Dec. 26 100,000 25, 000 Mich . j Dec. 29 100, 000 25, 000 ! Wyo... Dec. 29 200, 000 50, 000 Dec. 31 425, 000 La 50, 000 N.Y.. Vt La Mo Vt Ohio.. Ill . Mo ... Circulation. $90, 000 45, 000 45, 000 11, 250 135, 000 45, COO 22, 500 18, OOO' 45, 000 22, 500 45, 000 33, 750 108, 000 27, 000 33, 750 45, 000 11, 250 90, 000 33, 750 11, 250 22,500 27, 000 22, 500 27, 000 45, 000 45, 000 22, 50O 45, 000 11, 250 40, 850 16, 875 11, 250 13, 500 90, 000 11, 250 90,000 22,500 45, 000 90, 000 186, 300 22, 500 11, 250 18, 000 22, 500 22, 500 22, 50011, 250 36, 000 54,000 45, 000 45, 000 22, 500 45, 000 45, 000 22, 500 22, 500 45, 000 45, 000 9,333,000 2,628,250 2,361, 275 REPORT OF THE COMPTROLLER OF THE CURRENCY. 31 CIRCULATING NOTES. The actual circulation outstanding on September 30, 1889, for which the banks are responsible, was $131,225,172, this amount being exclusive of $72,437,560 also in circulation, but represented by lawful money deposited by the banks for redemption purposes whenever the notes are received by the Treasurer. The minimum deposit of the bonds required of the 3,290 national banks in operation September 30,1889, was $95,297^283, upon which only $85,767,555 of the national-bank circulation could be issued. These banks held, on September 30, $146,471,700 of bonds and were responsible for $42,683,045 of circulation more than the minimum. Of the 3,290 banks, 2,361 have a capital not exceeding $150,000, nor less than $50,000, each, the aggregate capital amounting to $195,478,610. The remaining 929 have a capital of over $150,000 each, the aggregate amounting to $417,105,485. If an amount of bonds equal to the total capital were deposited to secure circulation the whole body of banks might have a circulation amounting to $551,325,685, or $465,558,130 more than the present minimum. A table in the Appendix, page 132, shows by State and geographical divisions this information in detail. The following table shows the number of banks organized, by fiscal years, from July 1,1882, to July 1,1889, capital stock, amount of bonds deposited, and circulation issued thereon: Year. No. Capital. Minimum bonds required. Bonds actually Per cent. Circulation deposited. of excess. issued. July 1,1882, to July 1,1883 251 $26, 552, 300 $5,155, 500 $7,116,400 July 1,1883, to J uly 1,1884 218 19, 944, 000 4, 016, 000 4, 676,100 July 1,1884, to July 1,1885 142 15, 205, 000 3,061,250 3, 332, 800 July 1,1885, to July 1,1886.. ..*..... 163 17, 553, 000 3, 404, 500 3, 715, 500 July 1,1886, to July 1,1887 217 31, 444, 000 4, 986, 000 5, 051, 300 July 1,1887, to July 1,1888 164 16,734, 000 3, 308, 500 3, 324, 750 Ju?y 1,1888, to July 1,188Q 156 15,970,000 3,155, 000 3,166, 300 Total 1,311 143, 402, 300 27, 086, 750 30, 383,150 28 14 8 8 1 0.5 .36 $6,404,760 4, 208, 490 2, 999, 520 3, 343, 950 4, 546,170 2, 992, 275 2,849, 670 27,344, 835 The foregoing table is perpetuated to show by comparison the falling off in the amount of bonds deposited in excess of the requirement, and it will be seen that the percentage of excess has fallen from 28 per cent, in 1882->83 to .36 in 1888-'89. Of the 156 banks organized during the past fiscal year 82 have a capital of $50,000 each, amounting to $4,100,000; 63 have a capital of over $50,000 and not exceeding $150,000, and 11 have an aggregate capital of $5,550,000. The 11 largest banks deposited the exact amount of bonds required by law with one exception, and of the remaining 145 banks only 8 deposited bonds in excess of the requirement. By reference to the Appendix, pages 132 and 133, statements will be found showing by geographical divisions detailed information with respect to the minimum amount of bonds required, bonds actually held, and circulation outstanding September 30, 1889. Notwithstanding the accession of new banks to the system and the consequent deposit of bonds and issue of notes, the outstanding circulation steadily decreases from year to year, the chief cause being the surrender of circulation by banks desiring to reduce and regain possession of their bonds. By referring to page 38, it will be seen that the total withdrawal of bonds for transfer to the Secretary for purchase 32 REPORT OF THE COMPTROLLER OF THE CURRENCY. amounted to $12,555,450, and that only $1,925,250 were deposited by way of substitution. The following table shows by comparison for live years the amounts of lawful money deposited and the consequent decrease of circulation: TABLE SHOWING THE DECREASE OP NATIOXAL-BANK CIRCULATION DURING EACH OF THE YEARS ENDED OCTOBER 31, FROM 1884 TO 1889, INCLUSIVE, AND THE AMOUNT OF LAWFUL MONEY ON DEPOSIT AT THE END OF EACH YEAR. National-bank notes outstanding October 31, 1883, including notes of national gold banks $352,013, 787 Less lawful money on deposit at same date, including deposits of national gold banks 35,993,461 $316,020,326 National-bank notes outstanding October 31, 1884, including notes of national gold banks Less lawful money on deposit at same date, including deposits of national gold banks 333,559,813 41,710,163 Net decrease of circulation 24,170,676 Net outstanding as above, October 31, 1884 National-bank notes outstanding October 31, 1885, including notes of national gold banks Less lawful money on deposit at same date, including deposits of national gold banks 291,849,650 315,847,168 39,542,979 Net decrease of circulation 276,304,189 15,545,461 Net outstanding as above, October 31, 1885 National-bank notes outstanding October 31, 1886, including notes of national gold banks Less lawful money on deposit at same date, including deposits of national gold banks 276,304,189 301,529,889 gl, 819,233 Net decrease of circulation 219,710,656 56,593,533 Net outstanding as above, October 31, 1886 National-bank notes outstanding October, 31, 1887, including notes of national gold banks Less lawful money on deposit at same date, including deposits of national gold banks Net decrease of circulation 219,710,656 272,041,203 102,826,136 „ Net outstanding as above, October 31, 1887 National-bank notes outstanding October 31, 1888, including notes of national gold banks Less lawful money on deposit at same date, including deposits of national gold banks 169,215,067 50,495,589 169,215,067 239,385,237 87,018,909 Net decrease of circulation 152,366,328 16,848,739 Net outstanding as above, October 31, 1688 National-bank notes outstanding October 31, 1889, including notes of national gold banks Less lawful money on deposit at same date, including deposits of national gold banks Net decrease of circulation 291,849,650 * 152,366,328 202,023,415 71,816,130 130,207,285 22,159,043 The gross decrease of circulation, including the notes of gold banks and those of failed and liquidating associations, was $37,361,822. REPORT OF THE COMPTROLLER OF THE CURRENCY. 33 BANKS WITHOUT CIRCULATION. A number of national banks did not originally take circulating notes for issue, and others eventually deposited lawful money and surrendered their circulation. The following is a list of these banks, the amount of capital and bonds being given : Capital. Title of bank. 'Chemical National Bank of Now York, N. Y National City Bank of New York, N. Y American Exchange National Bank of New York, N. Y . National Bank of Washington, I), O Chestertown National Bmk of Chestertown, Md First National Bank of Houston, Tex , Mechanics' National Bank of Now York, N. Y . .. Metropolitan National Bank of Washington, I). C National Park Bank of New York. N. Y First National Bank of Butte, Mont Merchants' National Bank of New York, N. Y . . . Bonds. ! $300, 000 i 1, 000, 000 5, 000, 000 200, 000 j 50,000 | 100,000 ! 2, 000, 000 300, 000 2, 000, 000 100, 000 2, 000, 000 Total. . j 13, 050, 000 $50, 000 50, 000 50, 000 50, 000 12, 500 25, 000 50, 000 50, 000 50,000 25, 000 50, 000 462, 500 SECURITY FOR CIRCULATING NOTES. The security for circulating notes of national banks is limited by the act to United States registered bonds bearing interest, and the following table shows the amount of such bonds held by the Treasurer of the United States as security on June 30, of each year from 1805 to 1889 inclusive, and the amount owned and held by the banks for other purposes, including those deposited with the Treasurer to secure public deposits : United States bonds held as securitv for circulation. : Years. I per cent, bond nds, 1865 . 1866 . 1867 . 1868 . 1869. 1870 . 1871 . 1872 . 1873. 1874. 1875 . 1876. 1877 . 1878 . 1879 . 1880 . 1S81 . 1883.. 1884. 1885 . 1886 . 1887 . 1SSS . 1889. $170, 382, 500 241, 083, 500 251, 430, 400 250, 726, 950 255, 190, 350 247, 355, 350 220, 497, 750 173,251,450 160. 923, 500 154, 370, 700 136, 955,100 109, 319, 450 87, 690, 300 82,421, '200 56, 0-42, POO 58, 056. 150 61,901,800 Continued a t 3^ per cent. : 25, 142, GOO 5 p e r cent, bonds. £ per cent, bonds. 4 p e r cent, bonds. $65, 576, 600 86, 226, 850 89, 177,100 90, 768, 950 87, 661, 250 94, 923, 200 139, 387, 800 207,189, 250 229, 487, 050 236, 800, 500 239, 359, 400 232, 081,300 2<>6, 651, 050 $44, 372, 250 48, 448, 650 199, 514, 550 35, 056, 550 144,616,300 37, 760, 950 139, 7."8. 650 32, 600, 500 172, 348, 350 Continued a t 3.-Vpercent. : 32, 752, 650 202, 487, 6.-)() 7, 402. 800) 39,408, 500 3p.-rM-nts: 3S;>, 700. 200, S77, 850) 172,412,550 46, 546, 400 Pacifies: 3, 520, 000 142 24<>, 850 48, 483, 050 3, 565 (;00 107 7^2, 100 50, 4S4, 200 3, 175, 000 5 205 950 67, 743,100 3.181,000 37, 500 69, 670, 300 4, 324, 000 42,409, 900 9460 CUR- $19,162,000 118,538,950 126, 076, 300 93, 637, 700 Total. United States bonds held for other purposes at nearest date. Grand total. 1*235,959,100 $155,785,750 $391,744,850 I 327,310,350 121,152, 950 448,463,300 84, 002, 650 424, 610, 150 i 340,607,500 80, 922, 500 422, 418, 400 ' 341,495,900 55,102,000 397, 953, 600 342,851,600 43, 980, 600 386,259,150 342, 278, 550 39, 450, 800 399, 336, 350 359, 885, 550 31, 868, 200 412, 308, 900 380, 440, 700 25, 724,400 416,134,150 390,410,550 25, 347,100 416, 518, 300 391,171,200 26, 900, 200 403, 214, 700 376,314,500 45,170, 300 | 386,565,050 341,394,750 47,315,050 i 386,028,650 33S, 713, 600 68, 850, 900 : 418,397,300 349, 546, 400 76, 603, 520 i 430, 858,120 354, 254, 600 42,831,300 ! 404,483,350 361, (552, 050 63, 849, 950 : 424, 3::8, 350 360, 488, 400 43, 122, 550 ; 400, 935, 250 97, 429, 800 357, ll>, 700 104, 954, 650 353, 029, 500 34,094, 150 | 387,123,650 111,690,900 330, 619, 850 31, 203, 000 ! 361, 852, 850 117,901,300 114,14?,, 500 115, 842, 6">0 105, 423, 850 101, 387, 550 312 145, 200 275, 974, 800 191, 966, 700 178 312, 650 148 121, 450 32,195,800 31,345,550 33,147,750 63,618,150 51.642,100 ! 344,341,000 ! 307,320,350 , 224,814,450 ! 241,930,800 199,763,550 34 EEPORT OF THE COMPTROLLER OF THE CURRENCY. The following table gives similar information for the years ended October 31, from 1882 to 1889, inclusive. An examination of this and the foregoing table will disclose the changes which have occurred in the holdings of the several classes of bonds by the banks: United States bonds held as security for circulation. Year. ber of ; i Pacific 6 ! banks. 14i per cent.;! 4 per cent, i 3 per cent. ! per cent, j i Total. bonds. bonds, j bonds. bonds. I I ! ! United States bonds held for other purposes at nearest date. Total. _._ 1882 1883 1884 1885 1886 1887 1888 1889 . . . 950) 2, 301 $33, 754, 650 $104, 927, 500 $40, 621, 550< I, 526, 000 $362, 505, 65! $37, 563, 750 $400, 069, 400 179, 675, *602, 000) !, 463, 000: 352,877,300 30,674,050 383,551,350 2,522 41,319,700' 106,164, 850 201, 327, 7505 671 49,537,450 116,705,450 155,604,400 | 1,469,000 325,316,300 30,419, e 3,469,000 325,316,300 355, 735, 900 - -- • 727 49, 047, 250:116, 39J, 650 138,920,650 ' 3, 505, 000 308,364, 550 31, 780,100 310,144,650 115, 383, 150 69, 038, 050 3, 586, 000 245, 444, 050 32,431,400 277, 875, 450 868 57,436,850 061 69,696,100 : 115,731,400 144, 500 3,256,000 188,828,000 34, 071, 350| 223,499,350 3,468,000: 170,003,350! 60, 715, 050| 230,718,400 151 66,121, 750 100,413,600 None. 4,553, 000i 145,668,1501 48,501,200 194,169,350 319 41,066,150 100, 049, 000 None. ! I I * Three and one-half per cent. A table will be found in the Appendix, p. 115, showing on the first day of each month, from January 1, 1874, to November 1, 1889, the amount , of authorized capital stock of the national banks, the amount of bonds on deposit to secure circulation, the amount of circulation secured by the bonds, the amount of lawful money deposited to redeem outstanding circulation, and the total amount outstanding, including notes of gold banks. INTEREST-BEARING FUNDED DEBT OF THE UNITED STATES. In order to preserve the continuity of statements made in previous reports with, respect to changes in the funded debt of the United States and their effect upon the holdings of national banks, it is proper to repeat that the public debt reached its maximum August 31, 1865, and amounted to $2,844,640,626, the non-interest-bearing obligations to $461,616,311, leaving the interest-bearing debt $2,383,033,315. On October 31, 1889, the interest-bearing debt had been reduced to $852,635,172. EEPORT OF THE COMPTROLLER OF THE CURRENCY. 35 The following table shows the classes of bonds available as security for the circulating notes of national banks, the authorizing acts, dates of maturity, rates of interest, and intermediate changes: BONDED DEBT AT DATES NAMED. Date. 6 per cent, j 5 per cent, j 4$ per cent.* 4 per cent.t i 6per cent.} j Total. Aug. 31, 1865. J u n e 30, 1866. J u n e 30, 1867. J u n e 30, 186S. J u n e 30, 1869. June30, 1870. J u n e 30, 1871 J u n e 30, 1872 J u n e 30, 1873. J u n e 30, 1874. June 30, 1875. J u n e 30, 1876. J u n e 30, 1877. J u n e 30, 1878. J u n e 30, 1879. J u n e 30, 1880. J u n e 30, 1881. $199,792,100 | $908,518,091 i $1,258,000 $1,109, 568,191 198, 528, 435 I 1,008,388,469 j 6, 042, 000 '•• 1,212, 958, 904 198, 533, 435 : 1,421,110,719 j 14, 762, 000 i 1,634, 406,154 221,588,400 1,841,521,800 ! 29, 089, 000 ! 2,092, 199, 200 1 221, 589, 300 1,886,341,300 i 58, 638, 320 2, 166, 568, 920 221, 589, 300 ! 1, 764, 932, 300 64, 457, 320 ! 2,050, 978, 920 274, 236, 450 1,613,897,300 ! 64, 618, 832 : 1,952, 752, 582 414,567, 300 i 1,374,883,800 64,623,512 '• 1,845, 074,612 414, 567, 300 , 1,281,238,650 64, 623, 512 1,760, 429, 462 510, 628, 050 ! 1,213,624,700 j 64, 623, 512 1,788, 876, 262 607,132,750 ! 1,100,865,550 ' 64, 623, 512 '•• 1,772, 621, 812 1 711,685,800 984,999,650 : 64, 623, 512 1,761, 308, 962 703, 2G6, 650 $140, 000, 000 i 854,621,850 64, 623, 512 i 1,761, 512, 012 703 266, 650 ' 738,619,000 240, 0U0, 000 $98, 850, 000 64, 623, 512 i 1,845, 359,162 646,1*05, 500 310,932,500 250, 000, 000 679,878,110 64, 623, 512 ! 1,952, 339. 622 481,8(54,900 i 235,780,400 ; 250, 000, 000 739, 347, 800 64,623.512 i 1.774, 616,612 439, 841, 350 i 196,378,600 250, 000, 000 739, 347, 800 64,623,512 • 1,090, 191, 262 • Continued a t ! Continued a t • 3i- per cent. 3i p e r cent. 401,503,900 250,000,000 739,349,350 64,623,512 1,514,433,912 June 30, 1882. ! ~58, 957, 150 : 32, 082, €00 1 ! F u n d e d into 3 p e r cents, } 250, 000, 000 : 737,942,200 : 64,623,512 1,388,852,662 June 30, 1883.. act J u l y 12, 1882. 304, 204, 350 250,000,000 737,661,700 64,623,512 1,276,897,362 224, 612, 150 J u n e 30. 1884 250,000,000 : 737.719,850 64,023,512 1,246,533,862 191,190,500 J u n e 30, 1885. 250,000,000 737,759,700 64,623,512 , 1,196,429,812 144, 040, 600 J u n e 30, 1886. 19, 716, 500 250,000,000 737,800,600 ! (54,623,512 1,072,140,612 J u n e 30. 1887. 222,^07,050 714,177,400 fi-j'623,512 1,001,007,962 J u n e 30, 1888. 189,639.000 670,095,350 64,623,512 880,357,862 J u u e 30, 1889. 126,609,350 647,288,850 64,623,512 838,521,712 Oct. 31, 1889. * Funded loan 1891; authorizing act, J u l y 14,1870, and January 20, 1871; date of maturity, 1891. t Funded loan 1907 ; authorizing act, J u l y 14,1870, and JanuarV 20, 1.S71: date of maturity, 1907. t Pacific railroad bonds; authorizing act,'July 1, 1862, and July'2, 1864; date of maturity, 1895 to 1899. The Xavj pension fund, amounting to $14,000,000 in 3 per cents, the interest upon which is applied to the payment of naval pensions exclusively, and $113,460 of refunding certiiicates arc not included In, the table". .36 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARKET PRICES OF UNITED STATES BONDS. The investment value of these bonds declines as they approach maturity, notwithstanding which the 4 percents were quoted on November .1, 1888 and 1889 at almost precisely the same figure. The following table will show the movement in prices of the two classes during the past year: •OPENING, HIGHEST, AND LOWEST PRICES OF UNITED STATES REGISTERED 4-J- PER CENT. AND 4 PER CENT. BONDS, IN NEW YORK, FOR EACH WEEK FROM NOVEMBER 2, Ib88, to NOVEMBER ^, 1889. [Compiled by the Government Actuary.] 4 per cent. 4£ per cent. Week ending— Nov. 9,1888 Nov. 10, 18>8 Nov. 23, 1888 Nov. 3 0 , 1 8 8 8 . . . . Dec. 7, LV88 Dec. 14, 1888 Dec. 21,1888 Dec. 28, 1888 J a n . 4, 1889... J a n . 11,1889 J a n . 18,1889 J a n . 25,1889 Felh 1,1889 Feb. 8, 1889 Feb. 15,1889 Feb. 22,1889 Mar. 1,1889 Mar. 8,1889 Mar. 15,1889 Mar. 22.1889 Mar. 29,1889 Apr. 5,1889 Apr. 12,1889 Apr. 19,1889 A p r . 26,1889 May 3,1889 May 10,1889 May 17,1889 May 24,1889 May 31,1889 J u n e 7,1889 J u n e 14,1889 J u n e 21,1889 J u n e 28,1889 J u l y 5,1889 J u l y 12,1889 J u l y 10,1889 J u l y 26,1889 Aug. 2,1889 Aug. 9 , 1 8 8 9 . . . . .Aug. 16, 1889 Aug. 23,1889 Aug. 30,1889 Sept. 6,1889 Sept. 13,1889 Sept. 20,1889 Sept. 2 7 , 1 8 8 9 . . . . . Oct. 4,1880 Oct. 11,1889 Oct. 18,1889 Oct. 25,1889 Nov. 1,1889 N o v . 8,1889 i ! Opening. 107}-107$ • 107J-107A : 107g-l()7g 107£-l°4 j 108-108* , 108 -108§ ' 1(-81-1U84 1084-1082 108^-109 1081-1083 1081-10!) : 1 O -109! P 109-1091 : ' 107f-108£ 108"-108$ ' 107-~-108$ '. 1O7£-1O84 ! 107*-108$ ' 1075-1081 ' 107J-108J ; lO7g-l°8i i 108-1081 108-108* i 1073-108$ 108 -108J i l08$-108g: 106g-107i 1062-1071 1002-1071 ; 1062-1071 ; 1064-107 i 1064-107 I 1062-1071 ! 1062-1071 1 1002-1071 | 1062-1071 1 1062-1071 ! 1062-1071 ! 10(:'-107i ; 1052-1061 ! ]05-K<>6£ : lO.^-lOCi i 1052-1061 '• 1052-1061 10f>2-106 i 1052-1061 ., 105g-106$ .1 1052-1061 i 105f-l(K)i 1 10">i-100 105J-106 10:'»J-106 104g-104J Highest.. ! Lowest, Lowest. 107^-1074 • 107-1-1074 107^-108 : 108 -108* i 108 -108.V i 108$-108Ji : 108^-l()8|10^-108$ ! 1084-109 j 108JJ-108& ; 109 -1091 ! 10!) -109^ i 109 -1094 I 107^-108| 108 -1081 ; 107|-108$ I 107^-1118$ i 1072-1081 ! 108 -108$ 107|-108$ 108 -1081 108 -1084 108 -1084 108 -1084 108J-108I 108$-108§ 10fi|-107i 10tiJ-107i 1062-107^ 1002-107J 1064-107 106|-107i 1052-106£ 1052-106-1 1052-1061 1052-1061 ; 1052-1001 1052-1061 io:2ioi 1052-106! 1054-106* 1054-106 1054-106 107j{-107| J07|-108$ 108 -1084 108 -1084 1081-1084 1081-103 1084-^ 108"-108* 1084-109" 109 -1091 1O7|-1C8" 1075-108 107^-108 107fi7-108$ 1071-108$ 107^-108$ 1072-1084 1071-108$ 107|-1084 108 -1081 1O7|-1O8$ 107|-108 108 -1081 ] O #-107! f 1062-1071 106^-107 1062-107! 1064-107 1064-107 1061-107 1062-107! 1062-1071 1062-1071 1062-107! 1062-1071 1062-1071 1051-106$ 1052-106$ 1052-1061 1052-106 1052-1061 1052-106 1052-106 1O52-1O5| 105|-l()6$ 1052-1OG 105|-lUG 105.1,-106 10f>i-100 $4 127 -127ft ! 127 -1274 127g-127i 1264-127 1261-126J i 1274-127^ ! : 1281-1284 128$-128! 128$-128! 128 -1281 128 -l'J 127 -127f 127i127i 127§-128$ 127^-1271 127 -127$ 1262-127$ 127 - 1 2 7 | 127 -1274 1264-127 126 -1264 1264-1261 1274-1271 127|-127| 1274-128 128J-129 128|-129 1274-128 127|-128 1281-1281 128!-128| 1288-1281 1284-1284 3281-128$ 128|-129$ 129§-129f 129§-129f 129-1-1294 129§-129| 129g-129| 128 -128} 128 -1284 128 -1284 1284-1281 1284-128| 128f-128f 128|-1284 1281-1284 1284-128J 128$-128j 128 -1281 128 -1281 128 -1281 1271-128$ 127 -1271 127 -127i 127 -127$ 126|-127! 127 -127f 127 -127^ 127 -127$ 127 -127 127 -127$ 127 -127$ 37 REPORT OF THE COMPTROLLER OF THE CURRENCY. INVESTMENT VALUE OF UNITED STATES BONDS. The following table, prepared by the Government Actuary, shows the fluctuations in price and investment value of the 4 and 4J per cent, bonds at quarterly periods from 1885 to 1889, inclusive: 4J per cent, bonds. | I Kate of inHate of inAverage terest real- A verago terest realized by price flat. ! ized by price flat. investors. i investors. Date. j Per cen t. ! Per cent. Per cent. 112.7788 2. 655 121.9086 112. 4350 2. 488 121.8028 112.7525 2. 365 122. 6462 2. 250 I 112.9421 J 23. 4004 1885 : January April July October 1886: January April " ' October 1887: January.... April.! July October 1888 : January April.: July October 1889: January 4 per cent, bonds. i ! I I i j i 112. 7000 112.4759 111.8156 ! 111.9855 I 2.208 2.150 2.149 2. 003 110.2775 110.1947 109.1475 108.5553 Per cent. 2. 726 2.721 2.668 2.619 ! „ „ 2.607 2.444 2. 420 2. 289 2.290 j 2.019 I 2.340 i 2. 339 ! 127.8325 129.2451 127. 8425 125. 7885 2. 320 2. 227 2.284 2.390 108. 237; 107.1025 107.5175 108.4213 2.289 2.478 2.195 3.693 126.1275 124.6400 127. 4*25 11:8. 1204 2.341 2.409 2. 23G 2.178 108.1848 107. 0048 ' 10L8241 j j 123.4325 | 126. 2980 126.4975 128. 6659 1.254 1. 240 1.421 : 1.645 127.2837 129.1902 128.3894 127.1944 2.20S 2.080 2.109 2.160 i 108. 9255 • April July October ! i ! i BOND PURCHASES BY THE TREASURY. During the past year the purchase of the 4 and 4} per cents, by the Government has been continuous, the total purchases amounting to $189,138,800 since Treasury circular of April 17, 1888, was issued. The purchases made during the year ended October 31,1889, were as follows : Month. November, 1888 December, 1888 January, 1889 February, 1883 March. 1889 April. 1889 May, 1889 June, 1889 July, 1889 August, 1889 Septetn ber, 1889 October, 1889 Total 4 per cent, j 4£i>ercent. bonds. ; bonds. $780, 000 152, 200 2, 450 4, 802, 950 121, 600 126,650 J 5, 500 12, 940, 850 7, 756, 000 8,102, 700 34,800,900 , Total. $10, 275,150 5, 874, 550 7,914,200 10,395,900 7, 694, 400 6, 605, 600 6, 138, 650 2,761,550 4, 594, 050 3, 349, 350 2, 873, y00 2,212,450 $11, 055.150 6, 026, 750 7, 914, 200 10,398,350 7, 694, 400 11,408,550 6, 260, 250 2,891,200 4, 609, 550 16, 290, 200 10, 629, 800 10, 315,150 70,692,650 105, 493, 550 38 EEPORT OF THE COMPTROLLER OF THE CURRENCY. BOND WITHDRAWALS BY NATIONAL BANKS. It is difficult to estimate the full effect of bond purchases by the Secretary of the Treasury upon the volume of circulation of the national banks, for while $12,555,450 of bonds were withdrawn and directly transferred for purchase, less than $2,000,000 being substituted, the total withdrawals amounted to more than $24,000,000; but undoubtedly the $12,000,000 not withdrawn for transfer were either placed on the market upon a fractional advance in price or were purchased by the Secretary directly from the banks after withdrawal. The following table shows the class and amount of bonds withdrawn by the banks for transfer and purchase under Treasury circular of April 17, 1888, and the class and amount of bonds deposited in substitution from October 31, 1888, to November 1, 1889 : Withdrawn. United State3 bonds in substitution. Date. lenT ;4 Percent. Total. $70, 000 . 50,000 . 520,000 . 591, 000 195, 000 . 131,250 . 56, 500 . November, 1888 . . $2, 724, 300 $779, 000 $3, 503, 300 December, 1888 . . 064, 900 156, 250 821, 150 .January, 1889 i 905, 000 . 905, 000 F e b r u a r y , 1889... j 1, 254, 000 . 1, 254, 000 March, 1889 580,000'. 580, 000 April, 1889 734, 500' 182,500 917,000 May, 1889. 397, 000: 91, 250! 4H8, 250 J u n e , 1889 ! -3(57^500 42, 500 410, 000 J u l y . 1889 i 351,000 351, 000 A u mist, 1889 25, 000 25,000 September, 1889.. l,571,5U()j 122, 50!)' 1, 449, 000 October, 1889 j 13o'750 lJ5i)8i5Oo| l', 729, 250! Total P. It. II. 4 per cent.! .0, 000:. Total. $70, 000 133, 000 670, 000 601,000 195,000 131,250 56, 500 50, 000 $3, 433,300 688,150 235, 000 653, 000 385, 000 785, 750 431, 750 410, 000 332, 500 25, 000 1, 571, 500 1, 679, 250 283,000 1, 925,250 10, 630, 200 $8 3, 000 150, 000 18, 500 18, 500 . . : 50, 000 I 8,256,450 4, 299, Ouo| 12,555,450| 1,632,250' 10,000: Total withdrawn upon deposit of lawful money. ISSUES AND REDEMPTIONS. The following table gives the number and amount of national bank notes of each denomination which have been issued and redeemed since the organization of the system, and the amount outstanding October 31, 1889: Number of notes— Amount- Denominations. Issued. : Redeemed. Outstanding. Ones 23,169,677 Twos 7,747,519 Fives 106, 531, 924 Tens 45,136,19!) Twenties 14,090,211 Fifties 1,919,945 One hundreds : 1,443,840 Five hundreds ' 23, 894 One thousands : 7,379 Fractions outstanding. ; Total 22,794,643' 7,653,429 95, 205, 555; 38,622,111 11,634,316 1,695,014 1,: 56, 018 23, 475 7,327, 375, 034 94, 090 11, 326, 369 6,514,088 2, 455, 895 224,931 187, 822 419 200, 070, 588 178, 891, 888 Notes of gold banks are not included in this table. Issued, i Redeemed, j Outstanding. $23,169, 677 15,495,038 532, 659, 620 451, 361, 990 281, 804, 220 95, 997, 250 144, 384, 000 i i , 947, ooo; 7, 379, 000, $22, 794, 6431 15 306, 858 476, 027, 775i 386,221,110! 232, 686, 320' H, 750, 700; 125, 601, 800! 11,737,500: 7, 327, OOOJ $375, 034 188,180 56, 631, 845 65,140,880 49,117, 900 11, 246, 550 18, 782, 200 209, 500 52, 000 25V 084 201, 21,178, 700 1, 564,197, 795 1, 362, 453, 706 769,173 REPORT OF THE COMPTROLLER OF THE CURRENCY. 39 The discrepancy in the amount of circulating notes outstanding October 31, which will become apparent when the several statements in this Report are compared, is explained as follows: In the table on page 38, notes of national gold banks amounting to $156,652 are not included, and the table ou page 32 includes $97,590 representing notes redeemed and destroyed to be reissued. The total issues of incomplete currency during the year are shown by the vault account, as follows : National-bank currency in vaults October 31, 1888 $44,169,170 Amount received from Bureau of Engraving and Printing during the year ended October 31, 1889 30,428,600 Total 74,597,770 Amount issued to banks during the year $30, 611,860 Amount canceled during the year, not having been issued... 1, 06*2, 880 31,674,740 Balance in vaults 4*2,923,030 The act of July 12,1882, provided that at the expiration of three years from the date of the extension of the charter of an association lawful money should be deposited for the redemption of the full amount of circulating notes of the bank then outstanding which were issued prior to such date, and the act also provided for the issue of new circulating notes bearing such devices as to make them readily distinguishable from notes previously issued to the bank. The inconvenience of issuing, concurrently, notes differing both in color and design to extended banks and to those organized subsequent to the passage of the act suggested the propriety of issuing the new series to the newly organized associations. Formerly notes in denominations ranging from one dollar to a thousand dollars were issued, but the issue of ones and twos ceased when specie payments were resinned by the Treasury, and since July 12, 1882, no denomination has been issued representing more than one hundred dollars. The following table shows the amount of new currency issued to replace notes redeemed and destroyed under the provisions of the act of June 20, 1874, the amount issued to replace notes redeemed by lawful money deposited under the act of July 12, 1882, and the amount issued to both old and new banks upon bonds deposited for the purpose of obtaining additional circulation. The table also shows the amount of circulation redeemed under the act of June 20, 1874, establishing the National Bank liedemption Agency of the Treasury at Washington. REPORT OF THE COMPTROLLER OF THE CURRENCY. 41 requirements relating to redemptions, except those of keeping good a deposit of lawful money with the Treasurer equal to o per cent, of their circulation, and the payment of a pro-rata annual assessment for the cost of redemption. ; During the past year the receipts of the National Bank Redemption Agency amounted to $84,116,462.16, of which amount $36,473,400, or 43 per cent., was received from New York city, and $10,089,615 from banks in the city of Boston. The amount received from Chicago was $5,637,021; from Philadelphia, 5,200,893; from Baltimore, $2,386,483; from St. Louis, $1,985,025; from New Orleans, $1,572,000; from Cincinnati, $1,480,291; from Providence, $763,000, and from Pittsburgh, $650,640. A certain proportion of notes received for redemption are fit for circulation, and are returned to the issuing banks. These notes amounted, during the year ended October 31, 1889, to $14,353,470. The following table exhibits the amount of national-bank notes received monthly lor redemption by the Comptroller of the Currency during the year ended October 31, 1889, and the amount received during the same period at the Eedemption Agency of the Treasury, together with the total amount received since the passage of the act of June 20, 1874 : Received by the Comptroller of the Currency. From na- ! From the Redemption tional banks \ in connection with reduc, For reduction of circuFor re- , tion of lation and placement ; circula'ion replacement with under with new new notes, act of J un< notes. , 20, 1874. Months. November, 1888 December, Is88 January, 1889 February, 1889 March, .1889 April, 1889 May, 1889 J u n e , 1889 July, 1889 August, 18 49 September, 1889 October, 1889 Insolvent iind liquidating national banks. 2:iO $1,748,000 j $2, 089, 289 420 2,087,420 2, 094, 351 3, 308, 490 3 ; 495 3, 562, 922 2, 851, 320 30 2,943,712 1, 993,810 17, 5(0 1,967,004 J, 752, 825 75 1, 896, 334 ' 230 2,314,925 , 2, 593, 396 , 930 2, 497, 370 2, em, 072 : 025 2, 02(5, 990 , 2, 330, 80:j 1, 355, 450 1, 560, 80;{ : 870 .1, 791, 405 , 1, 746, 587 1.616,215 1, 121,244 50 $1,619,845 1, 4Vi, 303 1, 926, 694 1, 580, 398 1,219,696 1, 176, 002 1,485,209 1, 530, 280 1,232,612 811,295 1, 008, 209 670, 746 , , '. , : i ; ; : i Received from June 20. 1874 to October 31 1 1888 ' Grand total , 92,930:25,344,220 : Agency. Total. $5, 462, 364 6,663,494 8,801,601 7,375,460 5,198,010 4,825,236 6, 403, 760 6,902,252 5, 592, 430 3,727,623 4,551,071 3,408,255 26, 770, 117 ' 15, 704, 289 j ! | ! ! i ! ', j ! | $5, 805, 923 7, 692, 436 12, 256, 553 7, 164, 265 5, 735, 355 6, 035, 826 9, 039, 602 7, 911, 337 6, 510, 302 5,644,911 4,710,379 5, 579, 573 07,911, 556 ! 84,116,462 i 16,503,695 794,308,145 224,506,194 • 99,294,790 1,134,612,824 16, 596. 623 819, 652, 365 251,276,311 ; 114, 999, 079 1,202,524,380 Notes of gold banks are not included in the above table. Received at United States Treasury Redemption Agency. ! i 1,899,039,275 1,983,155,737 42 REPORT OF THE COMPTROLLER OF THE CURRENCY. The following table exhibits the amount of national-bank notes received at this office and destroyed yearly since the establishment of the system: Prior to November 1,1865 During year e n d e i October 31— 1866 1867 1868 1869 1870 1871 1872 1873 1874 1875 1876 1877 1878 1879 $175,490 I j 1,050,382 3,401,423 4,602,825 8, 603, 729 14, 30o, 689 i 24,344,047 1 30,211,720 36,433,17i ! 49,939,741 ' 137,697,696 98,672,716 i 76,918,963 '• 57,381,249 ] 41,101,830 ; During year ended October 31— 1880' 1881 1882 1883 1884 1885 .' 1886 1887 1888 1889 Additional amount of insolvent and liquidating national banks Total $35,539,660 54,941,130 74,917,611 82,913,766 93,178, 418 91, 048, 723 59,989,810 47,726,083 59,568,525 52,207,627 ' j ! i j | j j I 125,555,207 j 1,362,427,231 Notes of gold banks are not included in tbe above table. There was in the vault of the redemption division of this office awaiting destruction at the close of business October 31, 1888. $104, 770 Received during the year ended October 31, 1889 67, 943,901 Total Withdrawn and destroyed during the year Balance in vault October 31, 1889 68, 048, 671 67, 944, 251 104,420 REDEMPTION OF NOTES OF BANKS REDUCING CIRCULATION, OF THOSE IN VOLUNTARY LIQUIDATION, AND OF FAILED BANKS, UNDER THE ACT OF JUNE 20, 1874. This act provides for a reduction of the outstanding circulation of an association upon the deposit of lawful money with the Treasurer of the United States in sums of not less than $9,000, and the act of July 12, 1882, requires a deposit of lawful money for the retirement of the old circulation of banks whose corporate existence has been extended. Under these acts and on account of liquidating and insolvent banks $436,908,216 of lawful money has been deposited with the Treasurer, including $2,663,720 deposited for the redemption of notes of national gold banks and $97,589,135 for the redemption of national-bank notes under the act of July 12, 1882. During the year ended October 31, 1889, $27,303,972 in lawful money was deposited, $24,971,198 of which was by banks reducing circulation, $1,702,526 by banks in voluntary liquidation, and $630,248 by banks retiring old circulation issued prior to the extension of their corporate existence. The total amount deposited prior to and under the acts of June 20, 1874, and July 12,1882, is $451,213,026, and of this sum $67,554,341 was deposited by banks in liquidation. Deducting from the total deposit the amount of circulating notes redeemed and destroyed without reissue, which was $379,31)6,896, there remained in the hands -of the Treasurer on October 31,1889, $71,816,130 in lawful money for the redemption and retirement of national-bank circulation, including $156,652 for the redemption of the circulating notes of national gold banks. Prior to June 20,1874, national-bank notes amounting to $10,431,135 were redeemed and destroyed without re-issue, $368,965,761 having been redeemed, destroyed, and retired since that date. The latter amount includes $2,507,068 of the notes of national gold banks and $63,487,032 of the notes of national banks whose corporate existence has been extended. 43 REPORT OF THE COMPTROLLER OF THE CURRENCY. There are no national gold banks now hi existence, and the lawful money on deposit with the Treasurer of the United States, amounting' to $156,652, represents the remaining outstanding circulation of these banks. DUTY, REDEMPTION CHARGES, AND ASSESSMENTS. National banks are still subjected to semi-annual duty by the Government of one-half of 1 per cent, upon the average amount of their notes in circulation during the preceding six months, and are also required under the provisions of the act approved June 20, 1874, to pay the cost of the redemption of their notes at the office of the Treasurer of the United States, and the cost of the plates from which their notes are printed. In addition to this the banks are also required to pay the fees of the national-bank examiners appointed under the provisions of section 5240 of the Revised Statutes, the amount of such fees being prescribed by that section as amended bv the act approved February 19, 1875. The duty and assessments collected during the past year were as follows : Semi-annual duty on circulation Cost of redemption of notes by the United States Treasurer Assessment for cost of plates, new banks Assessment for cost of plates, extended banks Assessment for examiners' fees, sec. 5240, Kevised Statutes $1,410,331.84 131,190. 67 12,200. 00 575. 00 130, 725. 79 Total 1,685,023.30 The following table is a comparative statement of taxes assessed as semi-annual duty on circulation, cost of redemption of notes, cost of plates, and examiners' fees for the past seven years: Tears. 1883 1884. 1885 . 188') 1887.. 1888.. 1889.. Senii-aimnal duty on circulation. $3,132,000.73 j 3, 024. 668. 24 2,794,584.01 I 2,592,021.33 ; 2,044,922.75 , 1, 616, 127. 53 ! 1,410,331.84 ! Total . 16,614,662.43 ' Cost of redemption of notes by United ' States Treasurer. Assess- Assessment Assessments for for cost men t for cost of of plates, examiners' plates, new extended : fees (see. banks. banks. 5240 K. !•}.). $147,592.27 j $25,980.00 $34,120.00 ' $94,606.10 i 1 60, 896. 65 18,845.00 1, 950. 00 09, 642. 05 13,150.00 ! 97, 800. 00 107,781.73 181,857.16 168, 243. 35 14,810.00 i 24, 825. 00 107,272.83 18,850.00 I 138,907.00 1,750.00 110,219.88 : 14,100.00 ' 141,14\48 3,900.00 121,777.86 ! 12,200.00 j 131, 190.67 575.00 130,725.79 I 1,069,888.58 117,935.00 ; 164,920.00 772,026 30 ' Total. $3, 434, 305.16 3,306,001.94 3,195, 172. 90 2, 907, 172. 51 2, 314, 709. 63 1, 897, 046. 87 1, 085, 023. 30 18,739,432.31 The total tax collected from the national banks up to July 1, 1889, amounted to $7,855,887.74 on capital, $60,940,067.1.6 on deposits, and $08,868,180.07 on circulation, making a total of $137,664,135.57. LOST OR UNREDEEMED 33ANK NOTES. Section 6 of the act of July 12, 1882, provides that at the end of the three years from the date of the extension of the corporate existence of each bank, the association so extended shall deposit lawful money with the Treasurer of the United States sufficient to redeem the remainder of the circulation which was outstanding at the date of its extension. It also provides that any gain that may arise from the failure to present such circulating notes for redemption shall be for the benefit of the 44 REPORT OF THE COMPTROLLER OF THE CURRENCY. United States, and that the new circulating1 notes to be issued in the place of the old shall bear such device as shall readily distinguish them from the circulating notes previously issued. The Hon. John Jay Knox in his report as Comptroller for 1875 presented a table from data obtained from a series of reports of the superintendent of the bank department of the State of Xew York, exhibiting the amount of notes which had been issued to banks organized in that State, and the amount remaining at the expiration of the six years' notice required to be given by the banks before they were by law relieved from the obligation to redeem them. Returns were in this way obtained from 280 banks either incorporated or organized under the safety fund or the free banking system of the State of Xew York. The maximum amount of circulation issued to them was $50,754,514, and the amount of unredeemed circulation at the date of the report named was $1,336,337, or 2.G3 per cent, of the highest amount issued. The maximum amount of circulation issued to 30 State banks in the State of New York which are still in operation either as national or State associations was $7,703,010, while the amount remaining unredeemed in October, 1875, was $142,305, or only 1.83 per cent, of the highest amount issued. The1 amount of circulation issued to 240 State banks in Wisconsin was $7,505.40.•; and the amount unredeemed was $134,747. the percentage of unredeemed notes being 1.78 only. The maximum issue to 210 State banks in the six New England States was $39,245,380, while the amount remaining was but $702,707, the proportion of the latter to the former being 2.02 per cent. The returns from 332 State banks in New York, New Jersey, Delaware, and Maryland show their maximum circulation to have been $05,004,170, while the amount unredeemed was $1,707,428, and the percentage was 2.00. The percentage of unredeemed notes of 25 State banks in Ohio, having a circulation of $2,190,381, was 2.79. The greatest amount of circulation of 707 State banks, in twelve States, was $114,071,340, and the amount outstanding $2,090,282, the proportion unredeemed being 2.40 per cent. He said: It is probable that, under the national system of redemption, the proportion of national-bank notes which will ultimately be redeemed is much greater than that of the State-bank notes under previous systems. The highest amount of circulation issued to fifteen national banks which failed previous to 1870 was $1,554,400, and the amount outstanding on November 1, 1883, was §9,298, and the percentage unredeemed .6 per cent, of the amount issued. These notes had had a circulation of from five to six years only, which accounts for the small amount remaining outstanding. The highest amount of circulation issued to eight national banks which failed previous to 1873 was $1,642,293, and the percentage was 1.47 per cent., and these notes had had a circulation of from four to nine years. Tables were also given by him in his report for 1883 showing the figures in detail, from which the preceding figures are derived, giving the date of the organization of each bank, the circulation outstanding, and the percentage unredeemed in the years 1875,778,783. Other tables in the report and appendix gave further details as to the redemption of circulation of banks that had become insolvent or were placed in liquidation at various dates, the circulation of which had been outstanding for different periods prior to their insolvency or liquidation, with the percentage of notes remaining unredeemed at the date of the report. Mr. Knox further said in this report that— The issues of Treasury notes of the series of 1869-1374 have not been so largely reduced by redemptions. The national-bank notes for years have done the work, while a considerable portion of the legal-tender notes have been held in the vaults as REPORT OF THE COMPTROLLER OF THE CURRENCY. 45 reserve. These legal-tender notes held by the banks have recently been replaced by coin to a considerable extent, hut the banks yet held on October 2, 1883, $80,642,997. When these are assorted a considerable amount of the first three issues will be returned for redemption. The highest amount of the first issue of legal-tender notes outstanding at any one time was"#449,497,222, on February .8, 1864. These notes were first issued on April 2, 1862, and the issue ceased on April L9, 18(59. The amount outstanding and the amount redeemed since November 1, 1882, are shown in the following table, from which it will be seen that the amount outstanding on November 1, 1883, was $11,473,855, being a percentage of 2.55 on the highest amount outstanding. The amount- of Treasury note's payable in gold issued from July 17, 186L, to December 31, 1862, was $60,0(0,000, in denominations of live, ten, and twenty dollars; and the amount remaining outstanding on the 1st of November last (1883) was -$58,800, the proportion unredeemed being a little less than one-tenth of 1 per cent. The points to be considered in determining* the amount of gain whicli •will ultimately accrue to the Government from the issue of legal-tender notes, national-bank notes, and silver certificates are— 1. The length of time such redemption has continued; 2. The length of time any given series of notes had been in circulation before its redemption began ; and 3. All the circumstances and law whicli might cause some peculiar use of the notes which would either hasten or retard their presentation for redemption. As has been seen from that portion of Mr. Knox's report quoted in reference to the first three series of legal-tender notes, the use of these notes by the national banks for reserve greatly retarded their redemption. The paper-money issues of the Government since 1801 are, even when in process of redemption, still in use. Legal-tender and national-bank notes of the earliest issues still pass current with those of the latest. There is no special incentive to return any of them for redemption, and the higher the credit of the Government the less the incentive. It is only as they become mutilated and unfit for circulation that the public return them to the Treasury. The notes of national banks, insolvent or in liquidation, being assumed by the Government, remain in circulation, the same as legal-tender notes or the notes of banks in operation, This condition of things points to the conclusion that even the comparatively small percentages of unredeemed notes will be further reduced with the lapse of time, and that the ultimate amount remaining unredeemed will probably be less than the percentage of State-banknote circulation. The result of my investigations is that the percentage of ultimate loss upon unredeemed national bank or Treasury notes is even less than the estimate of Comptroller Knox, namely! to IJper cent, of circulation for twenty years. Tables of three groups of banks, prepared by my predecessor, are given, to which interestingdata are added, for the purpose of comparison, a column showing the percentage of insolvent bank-notes remaining unredeemed November I. 1889. The following table shows the highest amount of circulation issued to 15 banks which failed prior to 1870, to 8 banks whicli failed prior to 1873. and to 17 banks which failed prior to 1870, with the amount of the circulating notes of each bank and group of banks outstanding November 1, 18S9, and the percentages of the notes unredeemed to the total issued on November 1, 1875, 1878, 1883, and 1889. It also shows the total circulation issued to these banks, the total amount outstanding 46 REPORT OF THE COMPTROLLER OF THE CURRENCY. November 1,1889, and the percentages of notes unredeemed at the lastnamed dates: Percentage unredeemed. Circulation. Xame and location of bank. Date of i organization. \ 1 ; First National Bank. Attica, N.Y. Venaiigo National IBank, Franklin, Pa Merchants' National Bank, Washington, D. C First National Bank, Medina, N.Y.... - ... Tennessee National Bank, Memphis, Tenn First National Br.nk, Selma, Ala First National Bank, New Orleans, La National Unadilia Bank, Unadilla, N. Y Farmers and Citizens' National Bank, Brooklyn, N. Y Ci oton National Bank, New York, N.Y First National Bank, Bethel,Conn. First National Bank, Keokuk, Iowa National Bank of Yieksburir, Miss ?.. First National Bank, Rock ford, 111 First National Bank of Nevada. Austin, Nev Jan. 14,1864; $44,000 j May 20,1865, 85, 000 Dec. 14,1864 ' I Feb. 3,1864 ! I June 5,1865 ! Aug. 24,.1805 180,000 | $243 i 1 . 1 0 j I 73 227 | 40,000 ; 90,000 i 85,000 • 656 | • i 1.28 244 | ! 1.17 312 j .99 439 , 1.19 I 1883. 1889. .79 .63 .52 • .37 .27 .81 | .50 .36 .55 .78 | .68 i .81 | .61 .50 ! .57 j .35 .52 Dec. 18,1863 i J July 17,1865 , 100, 000 '• June 5, 1865 \ 253,900 Sept. 9,186.1 May 15,1865. 180,000 ' 26,300 ; 350 • 195 .82 i 1.97 ; .49 | 1.14 | Sept, 9,1863 90,000 : 366 j 1.20 I Feb. 14,1865 25,500 : 67 I 1.88 ' May 20,1864 45,000 : 312 ; 2.31 1.41 .84 .70 June 13, 1865 129,700 ' 1,038 , 3.71 1.73 1.11 .80 180,000 | 1,165 \ 1.55 1.18 i 230 ! .94 .51 | 1,155 ; 1.05 ! i Total and average percentage, 15 banks Ocean National Bank, New York, N.Y Union Square National Bank. New York, N. Y Eighth National Bank, New York, N.Y Fourth National Bank, Philadelpliia. Pa AVav.rly National Bank, W11verly,'X. Y First National Bank, Fort Smith, Ark Scandinavian National Bank, Chicago, 111 Wallkill National Bank, Middletown, N. Y : "": j Outatand- i ingNovem-i 1875. I 1878. : ber 1,1889. ; Issued. 1,554,400 I G, 999 j 1.39 ! .85; Feb. 6,1866 May 7,1872 800,000 . ! 7,783 .65 .23 .33! .45 .64 : .29 .80 ' .19 .74 .75! .55 .41 .so: .46 ! .86 ; .60 j June 6,1865 1 Mar. 13, 1869 | Apr. 16,186i i J Feb. 20,1864 | j Ma;> 29,1865 | .83 j .26 .45 6.10 \ 2.55 : 1.53 4.33 1.97 ! .91 .54 5.43 • 2.41 I 1.47 1.08 .97 50,000 j 271 243,393 ! 2,628 379,000 j 1,400 5.88 2. 74 i 1. 4 1 .80 71,000 j 953 6.93 3.20 ! 9 .04 1.34 45,000 1 1 485 6.20 2.61 ! 1.41 ; 413 11.52 2.87 : .83 \ .31 1,340 10.05 3.48 i 1.88; 1.13 15, 273 6. 70 I 2. 66 ; 1.47 | .93 2, 680 15.39 ; 5.30 ' 1.45 ! .60 1, 336 11.02; 3.56 ' 1.84 I i 1.34 1.88 1.08 135,000 ! July 21,1865 118,900 j Total and average per cent- ; age, 8 banks : Crescent City National Bank, Xew ; Orleans, La . . ' F e b . 15,1872 Atlantic National Bank, New ; York, N. Y July 1,1865 First National Bank, Washington, D.C July 10,1863 National Bank of the, Commonwealth, New York. X. Y July 1,1865 Merchants'National Bank,Peters- j burg, Va Sept. 1,1865 First National Bank, Petersburg, \ Ya "...i July 1,1865 First National Bank, Mansfield, i Ohio ....i May 24,1864 New Orleans National Banking ' Association, New Orleans, La .. j May 27,1871 First National Bank, Carlisle, Pa. July 7,1863 First National Bank, Anderson, '•• Ind i July 21,1863 First National Bank, Topeka, Kans ! Aug. 23,1866 1, 642, 293 450,000 I i 100, 000 450, 000 8,441 32.80 ' 7.85.;. 3. 28 ! 234, 000 3,518 38.05 ' 7.73 ; 1.50 360, 000 4,630 49.15 ; 11.88 ' 2.59 ! i 3.35 ! 179, 200 2,820 53.05 3.81 ! 1.57 90,000 ' 1,288 43.12 ! 9.22 3.05 j 1.43 360,000 I 45,000 ! 5,500 635 30.97 ' 7.79 8.43 2.22 3.01 1.53 1.41 8.75 i 3.19 1.98 9.99 '; 3.24 i 1.44 11.65 i 1.30 43.40 I 45,000 ! 890 ! 1,296 90,000 40.03 : 54.17 47 REPORT OP THE COMPTROLLER OF THE CURRENCY. Pereentatje unredeemed. Circulation. Name and location of bank. Date of | organization.! | First National Bank, Norfolk, Va Feb. 23,1864 Gibson County National Bank, | ; Princeton, Ind -.! Nov. 30,1872 • , First National Bank of Utah, - -• - - -~- ~ Nov. 16,1869 Salt Lake City, Utah Cook County National Bank, July 8,1871 i Chicago, 111 First National Bank, Tiffin, i Ohio Mar. 16,1865 Charlottesville National Bank, j Cliavlottesville, Ya I July 19,1865 Total and average per- ! centage, 17 banks . Total and average percentage, 40 banks $95,000 ; i ! Outstandg ; ber 1,1889. Issned. 1875. ! 1878. I 1883. j 1889. $1,640 48.21 , 11.28 3. 69 : 2 98 : 1, 169 118,191 49. 50 85 9. 54 2. 28 ' 99 i 285,100 4"», 000 2,547 2. 58.88 ' 12.44 81 j 4. 28 1,184 '• 05.07 12.85 146,585 1. 73 ; 370 I r.3. ^7 ! 17.64 43,800 ; 90 2. 63 i 5.91 , 1. 83 , 136, 870 2,080 : 95,00 23.37 42.624 ; 41.81 , 9.76 2.91 ! 1.36 ; 333, 569 | f C4, 89G 1.02 ! 23. 06 ' 5.79 : 1. 98 ; It is quite possible that the low-loss rate exhibited by the first group may be exceptional, but uo facts are disclosed which render such a result probable. On the contrary, the gradual reduction of the percentage seems to be uninterrupted, and may continue indefinitely. It is possible, if not probable, that the ultimate loss to note-holders, by reason of loss or destruction, will not exceed one-half of 1 per cent, of the total issue of the associations comprising the national system. The highest amount of the first issue of legal-tender notes outstanding at any one time was $449,479,222, on February 3, 1864. These notes were first issued on April 2, 1862, and the issue ceased on April 19, 1869. The amount outstanding and the amount redeemed since November 1, 1878, are shown in the following table, from which it will.be seen that the amount outstanding on November 1, 1889, was $8,124,926, being a percentage of 1.81 on the highest amount outstanding. i November 1— 1878 1879 1880 . . . 1881 1882 1883 1881 1885 . . 1886 1887 1888 1889 . Outstanding. Redeemed dur- Percentage ing the year. unredeemed. $18,312,584 16, 271, 277 14, 947, i*95: 13, 833, 300 i 12,518,833 11 473 853 '• 10,611,210 9, 926, 815 9, 133,133 8,736,412 i 8, 390, 293 8,124, 920 ; $2,041,307 1,323,382 1,114,595 1,314,467 1, 044, 980 862, 043 084, 395 793, 682 390,721 346,119 205,307 4.07 3.02 3.33 3. 08 2.79 2.55 2.36 2. 21 2.03 1.94 1.87 1.81 The amount of demand Treasury notes, payable in gold, issued from July 17, 1861, to December 31, 1862, was $00,000,000, in denominations of five, ten, and twenty dollars; and the amount remaining outstanding on November 1,1889, was $5(3,442.50, the proportion unredeemed being less than one-tenth of 1 per cent. 48 REPORT OF THE COMPTROLLER OP THE CURRENCY. PLATES AND DIES. Section 331 of the Eevised Statutes of the United States, provides that— There shall be assigned from time to time, to the Comptroller of the Currency, by the Secretary of the Treasury suitable rooms in the Treasury building for conducting: the business of the Currency Bureau, containing safe and secure fire-proof vaults, in which the Comptroller shall deposit and safely keep all the plates not necessarily in the possession of engravers and printers, and other valuable things belonging to his department, etc. Section 5173 of the Eevised Statutes reads as follows: The plates and special dies to be procured by the Comptroller of the Currency for the printing of such circulating notes shall remain under his control and direction. * * * Section 5174 of the Eevised Statutes further provides that— The Comptroller of the Currency shall cause to be examined, each year, the plates, dies, but pieces ^bed pieces), and other material from which the national-bank circulation is printed, in whole or in part, and file in his office annually a correct list of the same. Suchmaterial as shall have been used in the printing of the notes of associations which are in liquidation or have closed business shall be destroyed under such regulations as shall be prescribed by the Comptroller of the Currency and approved by the Secretary of the i reasnry. The expenses of any such examination shall he paid out of any appropriation made by Congress for the special examination of national banks and bank-note plates. The provisions of law above quoted set forth the duties of the Comptroller of the Currency so far as they relate to the custody and control of plates ami dies used in printing notes for national banks, and were applicable to the conditions which existed prior to the erection and occupancy of the building* where the engraving of the plates and the printing of the notes are now carried on. These plates are now necessarily deposited in vaults situated in the building occupied by the Bureau of Engraving and Printing, and it is unreasonable that the Comptroller of the Currency should still be in any sense held accountable for their safe keeping, while in fact it is a physical impossibility for him to have any oversight over them. It is entirely proper that the Comptroller should still have access to them, and such control as will enable him to require the preparation of new plates, and to examine and inventory them, and destroy such as are no longer needed. No change in the law in this respect is necessary. It is, however, recommended that the Chief of the Bureau of Engraving and Printing, who is now, and has been for many years, the actual custodian of these plates and dies, be made also ths legal custodian. The new plates are engraved and prepared in his bureau upon the requisition of the Comptroller of the Currency, and never pass out of the former's custody until they become useless by reason of wear or the closing of the association for which they were prepared, and then they are destroyed under rules provided for by law. The employe in charge of the vault where this property is stored is under the direction and control of the Chief of the Bureau of Engraving and Printing, and is borne upon his rolls. The Comptroller holds that the plates arc " necessarily in the possession of engravers and printers.'7 It seems entirely proper, therefore, that existing conditions be recognized by legal enactment, and the -responsibility be placed where the power resides. LOANS. The following table gives a classification of the loans of the national banks in each of the central reserve cities of New York, Chicago, and St. Louis, in other reserve cities classified in groups of four each, and 49 REPORT OF THE COMPTROLLER OF THE CURRENCY. in the rest of the country at nearly the same dates in each of the last four years: OCTOBER 7, 1886. On United! On other On single j No. of States | stocks, banks, bonds on j bonds, etc., I demand, ion demand. security. ; j I New York Chicago St. Louis Group No. 1, 4 cities* Group No. 2, 4 cities* Group No. 3, 4 cities* Group No. 4, San Francisco* Country! Total Total. 45 $2, 002, 551 ] $91, 636, 791 646, 007: $135,447, 027 $24, 32, 058, 515 15: 85, 900 10, 663, 006 12,593,921!: 8, 291, 968 355, 373 5 1,028 430 123 40, 321 2,590; | 258. 210 69, 005! 325,339 10, 000! 563,717i 168, 072, 545 35, 235, 704 38, 967, 756 886, 241 626, 849, 753 36, 617, 888 33, 499, 662 6, 239, 954; 7, 440, 098 7, 958, 224 7,715,715 2, 157,857 304, 737 41,008,812 110, 677, 5341 $253, 732, 376 55,401, 342 9, 675, 771 238, 448, 305 48, 984,761 54, 967, 034 3, 358, 835 779, 099, 816 2,852! 3, 314, 721 j 196,415,477 198,128, 533; 1, 045, 809, 509 1, 443, 608, 240 OCTOBER 5, 1887. New York Chicago St. Louis Group No. Group No. Group No. Group No. Country 47 $1, 445, 900; $95, 075, 844i $17, 585, 496 $143, 906, 941 $258, 014,181 34, 754, 972 500' 10,821,735! 15, 498, 986 61, 076,193 ! 18 8, 920, 936 1,182,214; 279, 603 10, 382, 753 \ 5 | 126: 56, 805; 37, 717, 725; 32. 464, 759 177, 884. 888 248,124,177 7, 710, 369i 6,111,182 35, 5«8| 827 49, 450, 807 j 4lj 60,430 8, 087, 2221 7, 887, 689 43, 232. 749 59, 256, 060 | 35! 48,400 ; 1,117,443s 8, 213,092 20, 827, 885 30,165, 920 | 21 ! 7,500: , . , 693, 790, 281 863, 575, 555 i 2,756' 1,413,918! 44, 335, 893j 124,035,463 1, 4 cities* 2, 4 cities* 3, 4 cities* 4, 4 cities* Total 3, 049 3, 033, 453j 206, 048, 445 212, 076, 270; 1,158, 887,479 1, 580, 045, 647 : I OCTOBER 4, 1888. New York Chicago St. Louis Group No. 1, 4 cities* Group No. 2, 4 cities* Group No. 3, 4 cities* Group No. 4, 4 cities* Country 46 $2,132,159!$108, 466, 001; $28, 626,295, 19! 359,296' 9,631,825 14,155,001; I 921,854' *""* '" 306, 450i 4 1 148, 7701 44, 271, 164 41,430,120, 128: 7, 182, 779| 10, 765! 7, 806, 794 41; 33; 75, ooo: 6, 570, 938 7, 260, 665! 8,501,966: 1, 205, 596, 221 1, 200 2, 847i 577, 484' 42, 586,172 135, 967, 639: Total $153, 271, 026, $292, 495, 481 41,129,615: 65, 275, 737 6,988,242 8, 216, 546 182,567,237 268,417,291 37,435,637 52, 435, 975 42,188, 407 56, 095, 010 21, 303, 327 31, 012, 089 721, 900, 938,156 3,140, 3,304,674, 221,460,344 243, 430, 915; 1,206,690,352 1,674,886,285 S E P T E M B E R 30, 1889. ; On demand j On time, On paper j with U. S. j withU. S. with in- ;bonds,otherj bonds,othbonds, i er bonds, banks jr"";r;:;r M "! dorsers, oth- j stocks, or ! stocks, or banks erwiseuu- ! curea. , 8 e c i i r e ( j # ! collaterals j collaterals '• as security.! as security. On paper N e w York . Chicago. St. Louis . . Group No. 1, Group No. 2, Group No. 3, Group No. 4, 4 4 4 4 45 $31, 866, 578J $119, 366, 417!$109, 579, 495 15,947,7081 31,275,073 12,702,7791 866,900! 7,863,955 1,846,6211 "129| 43, 237, 334! 145, 457, 842 54,280,694! 8, 308, 2831 29, 328, 014 43j 9, 770, 705J , 33 8,618,618| " , ' 8,337,0561 39, 473, 645! 23 9, 051, 215! 3,432,808 16, 140, 667 54, 314, 240| 2,992 154, 475, 783 636, 484, 540 3,290 272, 372, 410 1, 025, 390,153 254, 264, 398 cities*. cities*. cities*. cities*. Country Total Total. $43, 085, 676: $303, 898,166 12,455,5151 72,381,075 2,897,770 13,475,246 43,847,643 286,823,504 12, 056, 470 59, 463, 472 6,419,197 62,848,516 7,661,230! 36,285,921 125, 279, 276| 970, 553,839 253, 702, 777jl, 805, 729, 739 * Group No. 1,(Boston, Albany, Philadelphia, and Pittsburgh. Group No. 2, Baltimore, Washington, New Orleans, and Louisville. Group No. 3, Cincinnati, Cleveland, Detroit, and Milwaukee. Group No. 4, Kansas City, St. Joseph, Omaha, and San Francisco. t Kansas City, St. Joseph, and Omaha were not reserve cities in 1886. 9460 CUR 4* 50 REPORT OF THE COMPTROLLER OF THE CURRENCY. In the table below is given a full classification of the loans in New York city alone for the last five years: Oct. 1,1885. Oct. 7,1880. ; Oct. 5,1887. Oct. 4,1888. Sept. 30,1889. 46 banks. 45 banks. Loans and discounts. 44 banks. I 45 banks. 47 banks. On indorsed paper $114,013,775 $121,381,380 $115,316,625 $117,707,044 $119, 369, 404 28, 62(5, 295 31, 866, 578 On single-name paper 25,331,820 j 24,046,008 ! 17,585,496 2,132,159 1,124,109 2,002,550 : 1, 445, 900 On U. S. bonds on demand 3, 286,124 108,466, 001 108, 258,112 91,636,791 95, 075, 844 On other stocks, et -.,on demand; 80, 687, 205 201, 878 211,432 146, 885 113,494 On real-estate security I 215, 885 43, 078,085 13,854,215 35, 450, 48828, 443,431 All other loans 13,289,229 Total ' 23C,823,598: 253,732,376 258,014,181 292,495,481 j 303,898,166 I ; The subjoined tables bring forward to the latest date the usual summary of information as to the course of deposits and reserves since the act of June 20,1874, went into effect. They show the amount of deposits and the state of the reserve at about October 1 of each year, in each central reserve city, in all the reserve cities, and in the States and Territories, with a general summary embracing all active national banks. NEW YORK CITY. Date. Classification of reserve. E e s e r v e held Keserve " No.of j Netde- required —banks.l posits, j (25 per 1 « .. I i^, , I -^ ^ I-r. i cent) * A „,„„„+' RatioAto i C l l o l l . Other Jaw- \ Due from I Redempcent). , A m o q n t . , d i t s | Specie. : f u l m o l i e y . j agents, i tionfund. I Oct. 2,1874 Oct. 1,1875 Oct. 2,1876 Oct. 1,1877 Oct. 1,1878 Oct. 2, 1879 Oct. 1,1S80 Oct. 1,1881 Oct. 3,1882 Oct. 2,1883 Sept. 30,1884 Oct. 1,1885 Oct. 7,1886 Oct. 5,1887 Oct. 4,1888 Sept. 30,1889 Average for 16 years .. .Millions.\ Millions. Millions. Per 8.3 204.6 51.2 60.5 ' 202.3 50.7 !: 60.7 197.9 47 j 49.5 48.1 174.9 47 i 43.7 , 50.9 189.8 47 : 47.4 I 53.1 210. 2 47 | 70.6 268.1 52.6 ; 47! 62.5 48 268.8 67.0 ' 50 254. 0 67.2 '• 64.4 70.8 48 266.9 63.5 ! 90.8 44 255. 0 66.7 63.7 ' 115.7 44 312.9 77.0 282.8 45 78.2: 80.1 284.3 47 70.7 ' 96.4 342.2 46 71.1 i 84.9 338.2 45 85.5 ! 84.5 I 48 48; 47 253.4 63.3 72.2 : cent. Millions} Millions. \ Millions. Millions. • 33.4 14.4 52,4 i 1.5 29.9 5.0 ' 54.4 1.1 30. 7 14.6 45.3 0.8 27.5 13.0 0.8 34.3 26.8 13.3 1.1 36.5 25.3 19.4 1.1 32.6 26.4 58. 7 0.9 31.0 23. 3 50.6 1.0 10.9 25.4 44.5 1.0 38.9 26.5 50.3 0.9 39.7 35.6 03.1 0.7 27.0 37.0 91.5 0.5 23.7 27.2 64.1 0.4 12.5 28.2 63.6 0.4 16.1 28.2 73.9 0.3 22.1 25.1 59.1 0.2 25.6 ! 28.5 CHICAaO. Oct. 5,1887 Oct. 4,1888 Sept. 30,1889 18 19 ! 20 64.6 69.3 78.7 16.2 17.3 19.7 19.7 21.0 25.0 30.5 I 30.2 | 31.7 I 12.9 13.1 15.3 6.7 7.8 9.6 0.05 0.05 0.05 1.3 1.0 1.6 1.3 1.1 1.6 0.03 0.02 0.01 ST. LOUIS. Oct. 5,1887 Oct. 4,1888 Sept. 30,1889 10.3 i 7.9 ! 12.0 ! 2.6 2.0 3.0 2. 7 2. 1 3.2 ' 26.4 27.0 | 26.7 i *A11 in cash. REPORT OF THE COMPTROLLER OF THE CURRENCY. 51 RESERVE CITIES.*! Date. Reserve held. Reserve No. of Net de- required (25 per banks. posits. Ratio to cent.). Amount. deposits. 182 188 189 188 184 181 184 189 193 200 203 203 217 223 224 228 Oct. 2,1874 Oct. 1,1875 Oct. 2,1876 Oct. 1,1877 Oct. 1,1878 Oct. 2,1879 Oct. 1,1880 Oct. 1,1881 Oct. 3,1882 Oct. 2,1883 ept.30, 1884 Oct. 1,1885 Oct. 7,1886 Oct. 5,1887 Oct. 4,1888 Sept. 30,1889 Classification of reserv 3. Other law- Due from Redempful money. agents. tion fund. Specie Millions. Millions. Millions. Per cent. Millions. 4.5 221.4 55.3 76.0 34.3 1.5 223. 9 56.0 74.5 33.3 4.0 217. 0 54.2 76.1 35.1 5.6 204.1 51.0 67.3 33.0 9.4 199. 9 50.0 71.1 35.6 288. 8 57.2 83.5 36.5 11.3 289.4 72.4 105. 2 36.2 28.3 335.4 83.9 100.8 30.0 34.6 318.8 79.7 89. 1 28.0 28.3 323.9 81.0 100.6 31.1 26.3 307.9 77.0 99.0 32.2 30.3 364.5 91.1 122.2 33.5 42.0 381.5 95.4 114.0 29.9 44.5 338.5 84.6 100.7 29.7 36.3 384.9 96.2 116.9 30.4 40.0 419.0 104.8 121.9 29.1 37.8 Millions. Millions. Millions. 3.7 36.7 31.1 3.6 37.1 32.3 3.0 37.1 32.0 3.0 34.3 24.4 3.2 29.4 29.1 3.5 33.0 35.7 3.7 25.0 48.2 3.7 21. 9 40.6 3.5 24.1 33.2 3.4 30.1 40.8 3.1 33.3 32.3 2.9 34.9 42.4 2.2 26.0 41.3 1.2 23.2 40.0 0.9 24.5 51.5 0.6 26.7 56.7 * Reserve 25 per cent., one-half in cash. t Includes Chicago and St. Louis up to October 5, 1887. STATES AND TERRITORIES.* Reserve Date. Oct. 2,1874 Oct. 1,1875 Oct. 2,1876 Oct. 1,1877 Oct. 1,1878 Oct. 2,1879 Oct. 1,1880 -Oct. 1,1881 Oct. 3,1882 Oct. 2, 1883 Sept. 30,1884 Oct. 1,1885 Oct. 7,1886 Oct. 5,1887 Oct. 4,1888 Sept. 30,1889 Reserve held. Classification of reserv e. No. of Net de- required banks. posits. (15 per RedempRatio to cent.).* Amount. deposits. Specie. Other law- Due from tion fund. ful money. agents. I ! i i 1,774 1.851 1,853 1,845 1, 822 1,820 1,859 1, 895 2, 026 2, 253 2,417 2, 467 2,590 2,756 2, 847 2, 992 Millions. 293.4 307.9 291.7 290.1 289.1 329. 9 410. 5 507. 2 545.8 577. 9 535. 8 570. 8 637.6 690.6 739.2 807.6 Millions. .Millions. Ter cent. Millions. Millions. Millions. Millions. 2.4 44.0 100.6 34.3 33.7 52. 7 11.9 1.6 i 46.3 100.1 32. 5 33.7 53.3 11.6 2.7 ! 43.8 99.9 34.3 31.0 55. 4 10.8 4.2 i 43.6 95.4 32.9 31.6 48.9 10.7 8.0 4']. 4 106.1 36.7 31.1 56.0 11.0 49.5 124. 3 37.7 11.5 30.3 71.3 11.2 61.6 147.2 35.8 21.2 28.3 86.4 11.3 70.1 158. 3 31.2 27.5 27.1 92.4 11.4 81.9 150.4 27.5 30.0 30.0 80.1 11.3 86.7 157.5 27.2 31.2 30.8 84.1 11.3 80.4 156.3 29.2 35. 2 30.9 79.7 10.5 85.6 177.5 31.1 41.5 29.9 95.9 10.2 8.7 95. 6 1S6. 2 29.2 47.8 30.1 99.5 6.6 103. 6 190. 9 27.6 50.8 32.6 100. 9 6.2 110.9 209. 8 28.4 50. 2 34.5 119.0 5.5 121.1 224.6 27.8 50. 5 36. 2 132.4 SUMMARY. Oct. 2,1874 Oct. 1, 1875 Oct. 2,1876 Oct. 1,1877 Oct. 1,1878 Oct. 2,1879 Oct. 1,1880 Oct. 1,1881 Oct. 3,1882 Oct. 2,1883 Sept. 30,1884 Oct. 1, 1885 Oct. 7,1886 Oct. 5,1887 Oct. 4,1888 Sept. 30,1889 2,004 2,087 2,089 2,080 2,053 2, 048 2,090 2,132 2,269 2,501 2,664 2,714 2, 852 3,049 3,140 3, 290 719.5 734.1 706. 6 669.1 678.8 768.9 968.0 1, 111. 6 1,118. 6 1,168. 7 1,098. 7 1, 248. 2 1, 301. 8 1, 388.4 1, 543. 6 1, 655. 5 150.1 152.2 147. 5 138. 3 140.8 159.3 201.0 227. 2 225.' 1 234.4 221.1 254.9 261.7 278.0 311.9 333.1 244.9 235.1 236. 7 210.8 228.1 260.9 323.0 321. 6 303.9 328.9 346.1 415. 4 377.2 394.2 446.2 459.6 34.0 32.0 33.5 31.5 33.6 33.9 33.4 28.9 27.2 28.1 31.6 33.3 29.0 28.4 28.9 27.8 21.3 8.1 21.3 22.8 30.7 42.2 108.2 112.7 102.8 107.8 128.6 175. 0 156.4 165.1 178.1 164.3 122.8 125. 2 113.4 100.2 97.0 95.9 64.3 59.9 72.0 80.6 91.2 88.5 68.7 79.9 90.1 99.7 * Reserve 15 per cent., two-fifths in cash in bank. 83.8 85.6 87.4 73.3 85.1 107.0 134.6 133.0 113.3 124.9 112.0 138. 3 140.8 140.9 170.5 189.1 17.1 16.3 14.6 14.5 15.3 15.8 15.9 16.1 15.8 15.6 14 3 13.6 11.4 8.3 7.6 6.4 52 REPORT OF THE COMPTROLLER OF THE CURRENCY. In the preceding tables the specie held represents the aggregate of gold and silver coin and Treasurer's certificates and clearing house gold certificates. A table will be found in the Appendix, page 156, showing the amount of each kind of coin and certificate held by the banks io each State and reserve city in October, 1888, and September, 1889. MAKING OF LOANS WHEN RESERVE IS INSUFFICIENT. Section 5191, Eevised Statutes of the United States, provides that— Whenever the lawful money of any association in any of the cities narneci shall be below the amount of Ub per centum of its * * * deposits, and whenever the lawful money of any other association shall be below 15 per centum of its * * * deposits, such association shall not increase its liabilities by making any new loans or discounts otherwise than by discounting' or purchasing bills of exchange payable at sight, nor make any dividend of its profits until the required proportion, between the aggregate amount of its * * * deposits and its lawful money of the United States^ has been restored. This section originally required that the reserve be kept against both circulation and deposits. The act of June 20, 1874, repealed so much of the section as required a reserve to be held against circulation, leaving it to apply exclusively to deposits. The purpose of the section seems to be reasonably clear, but its language is somewhat ambiguous. It is difficult to understand how an association can u increase its liabilities by making new loans or discounts." This ambiguity has given rise to much correspondence, and the section should be so amended as to clearly express the duty of those charged with the management of an association which may be deficient in its legal reserve. It was undoubtedly the purpose of those who framed the act to require such action on the part of the officers of banks so delinquent as would most speedily restore the required reserve and at the same time least incommode its customers. The discounting or purchasing of bills of exchange payable at sight was not forbidden, as it might seriously interfere with the shipment of commodities ready for delivery and under contract, or it might prevent the liquidations daily taking place by drafts against actually existing credits at commercial centers. Discounts and purchases of this class of paper would not permanently lock up any funds of the bank, but, on the contrary, would tend to facilitate its accumulating the reserve required. It seems clear, however, that funds should be called in from the sources most speedily available, whether that be from balances with banks other than reserve agents, paper maturing, or the sale of securities most readily marketable. An association is iu certain contingencies placed where the commands of the law are diametrically opposed. On the one hand it is commanded to maintain a certain percentage of reserve, and on the other it is required to pay its debts. The latter duty is unquestionably paramount. Having paid its debts at theexpenseof its reserve, however, it should x>roceed with all reasonable diligence to replace the deficiency, even though it thereby becomes unable to grant usual and ordinarily proper accommodations to its customers. This matter should have proper consideration and the language of the law relieved from all ambiguity. LIMITATION OF LOANS. Section 5200 Revised Statutes of the United States, provides that the total liabilities to any association of any person, or of any company, corporation, or firm, for money borrowed shall at no time exceed one- REPORT OF THE COMPTROLLER OF THE CURRENCY. 53 tenth part of the amount of the capital stock of such association, actually paid in. This restriction is a salutary one as applied to the majority of banks, and especially those in the smaller cities and villages, where very little commercial or business paper is offered for discount, and a large part of a bank's funds is employed in direct loans or invested in some form of accommodation paper. The anxiety to employ idle money and the importunities of local borrowers frequently lead bank officers to make excessive loans to certain favored customers, thereby incurring increased risk and doing a wrong to the regular customers of the bank, whose interests are subserved by an equitable and proper distribution. The limitations of the law can here be invoked, and the importunate borrower refused without offense. In the larger cities, and especially at those points where grain and other products are largely marketed and stored, this restriction has proven irksome and unprofitable. In the judgment of tiie Comptroller, an amendment to the law should be made which would base the present 10 per cent, limit upon capital and surplus. This should apply to all banks, and should be accompanied by a. provision preventing au association from withdrawing any part of its surplus except upon approval of the Comptroller. In reserve cities this limit might be extended to 20 per cent, of capital and surplus, provided that every loan in excess of the 10 per cent, limit be authorized by action of the board of directors, duly recorded, and upon security of receipts for grain, cotton, or other staple products, issued by responsible warehouse and elevator companies. The 20 per cent, limit might also be made to apply to loans secured by marketable bonds of the highest grade, to be selected by some competent supervisory agency. Loans upon United States bonds need no limitation. It is claimed that loans in excess of the present limit are frequently unavoidable, and it is well known that in many cases careful and conservative bankers feel obliged to directly or indirectly ignore this provision of the law. All necessity for a course which tends toward the weakening of respect for all legal enactments should be done away with, so long as such a change is consistent with successful bank management. SEMI-ANNUAL PUBLICATION OF REPORTS OF CONDITION. Associations located in the reserve cities have long been very desirous of receiving more frequent information as to the condition of the banks with which they are in daily correspondence. The second volume of the Comptroller's Annual Report to Congress now contains a detailed statement of the condition of each national bank as set forth in the report of condition called for on or about the first day of October in each year. It is proposed to issue a supplemental volume containing like information based upon the call made by this office for a date nearest to the first day of the following April. Not only do the associations acting as reserve agents greatly desire this, but there seems to have been developed a very general feeling that such a publication is both practicable and necessary. As an evidence of this, the Comptroller begs leave to call your attention to the following preamble and resolutions passed by the American Bankers' Association at 54 REPORT OF THE COMPTROLLER OF THE CURRENCY. the convention held at Kansas City, Mo.? on the 26th day of September last: Whereas it is manifestly desirable and to-the interests of the bankers of the United States that more frequent reports of the condition of the national banks be published in book form by the Comptroller of the Currency; and Whereas the tax upon the circulation of the national banks has created a surplusof earnings beyond the total expenses of the same since the organization of the office of the Comptroller of the Currency: Resolved, That the Comptroller be requested to publish a detailed report showing the condition of all the national banks separately during the first half of each year, and take the proper steps to secure the necessary appropriation by legislation or otherwise. BesoJved, That a copy of these resolutions be sent to the Comptroller of the Currency and to the Secretary of the Treasury. This request comes from an association representing banks organized under both national and State authority and private bankers, and i& entitled to favorable consideration. The Comptroller is decidedly in favor of the semi-annual publication of reports of condition. In order to do this, however, an increase in clerical force will be necessary, as well as an increase in the amount appropriated for printing and binding. It is estimated that the time necessarily employed in preparing the manuscript 7 for the printers would be equal to the services of one clerk of class tw o for one year. The cost of printing, binding, and folding an edition of 4,250 copies is placed at $10,000. I recommend that the necessary appropriation be made. EXAMINERS OF NATIONAL BANKS. Examiners of national banks are appointed by the Comptroller of the Currency with the approval of the Secretary of the Treasury. No limitation is put upon the number who may be so appointed, no term of office is fixed, no territoiial limits are established lor the several socalled districts, neither is oath ot office nor official bond required. The importance to which the office has now attained through a gradual process of evolution was not fully anticipated by the framers of the national-bank act. That portion of section 5240 of the Eevised Statutes of the United States, which provides for their appointment, reads as follows: The Comptroller of the Currency, with the approval of the Secretary of the Treasury, shall, as often as shall be deemed necessary or proper, appoint a suitable person or persons to make an examination of the affairs of every banking association, who* shall have power to make a thorough examination into all the affairs of the association and, in doing so, to examine any of the officers and agents thereof on oath, and shall make a full and detailed report of the condition of the association to the Comptroller. The office is created and its duties set forth in the section quoted, and no other provisions of law are applicable thereto except such as provide for compensation, its amount, and the manner of its assessment upon the several associations. Under the authority contained in this brief section, examiners of national banks are appointed, commissioned, and directed in the discharge of their very important and delicate duties. On October 31, 1889, the close of the year covered by this report, there were thirty examiners of national banks in the employ of this Bureau, and during the said year the sum of $140,137.98 was paid to them as compensation. From this gross sum these examiners were required to pay all their expenses, including those paid out for traveling and hotel bills, which amount to a large sum, as the proper discharge of REPORT OF THE COMPTROLLER OF THE CURRENCY. 55 their duties makes it necessary for them to be absent from their homes almost continuously during the entire year. The office created by the section quoted is one of great and growing importance. The person selected for the position of examiner should be a man of intelligence, integrity, and experience. His habits and character should be such as to make him a welcome visitor to banks managed by officers most exacting in these regards. He should be firm as well as courteous, exacting proof without expressing doubt, and withal so discreet as to be safely trusted with the knowledge of those confidential relations existing between the bank and its customers. Upon occasions he must be firm, prompt, and self-reliant, not hesitating to assume 7grave responsibilities when the safety of an association is in jeopard} , or where the laws have been grossly and willfully violated. He should be capable of imparting information without seeming officious, and to so conduct himself at all times as to establish the most agreeable relations between the banks under his supervision and the Bureau of the Currency which he represents. The report made upon the affairs of an association by a capable examiner is the chief medium through which the Comptroller arrives at a proper understanding of its financial condition, and upon which he bases his determinations as to criticisms to be made or remedies to be applied. A thoroughly capable corps of examiners goes far toward making the administration of the Comptroller a success. Without it, failure to a greater or less degree is inevitable. The benefits derived from the visits of a competent examiner are, as a rule, fully appreciated by the managers of the associations themselves. This is evidenced by commendatory communications received by the Comptroller. In some cases increased compensation is voluntarily suggested. In others, more frequent visitations are solicited. The friendly attitude above outlined seems to be more frequently assumed by banks possessing ample capital and transacting an extended business. In these cases the number of employes is great, and the opportunities for dishonesty and unfaithfulness multiplied. The chief officers of such an association are in a large degree prevented from personally supervising all the multifarious details which are necessary to the conduct of the business of our larger institutions. The presence, therefore, of the examiner, assisted by competent assistants, is very welcome to the officers responsible for the safety of the great interests committed to their care. The visitation is, of course, without notice, and the details of every branch are brought simultaneously under the scrutiny of experts. It would seem, to one not in possession of the facts, that the board of directors, who ought to be in daily or at least weekly session, and upon whom is devolved bylaw the responsibility of management, would be the first to discover improper practices on the part of officers and clerks. The records of this Bureau, however, show that such is not the case. In almost every case where fraud, forgery, embezzlement, or theft has been found to exist the discovery has been made by the examiners whose only knowledge of the bank, its officers, clerks, customers, and affairs generally is acquired by annual or, possibly, semi-annual visits, and those of necessarily brief duration. Fortunately these gross violations of the law are comparatively infrequent in the national system. Losses by reason of them are quite large enough, and yet it would be a matter of great satisfaction to know, if it were possible, how much those, actually occurring have been reduced by timely exposure, and how many have been entirely prevented by reason of the known 56 REPORT OF THE COMPTROLLER OF THE CURRENCY. thoroughness of these unannounced visitations, and the reputed integrity and sagacity of the examiner. This attempt to vindicate the utility of the work performed by the examiners of national banks has been made because of occasional criticism on the part of those usually well informed and evidently made in good faith. National banks, as a rule, are honestly, intelligently, and faithfully managed. This is evidenced by the success which has been so uniform and so long continued. For example, there have been only two cases of insolvency in the entire system during the year ended October 31, 1889, and those involve very small losses. This general condition of success, and the high character as a whole of those who have charge of the associations composing the system, tend to cause a feeling of unwarranted security. This success is not a matter of accident, neither is it an effect without an adequate cause. That cause should be sought for and its potency for good increased rather than diminished. The laws regulating the system are undoubtedly wise, and admirably adapted to the end in view. Experience has demonstrated this. That they might be improved in some particulars all will admit; that the restraints imposed are in some exceptional cases irksome and apparently unnecessary, is quite true. Nevertheless, the changes which might prove salutary in one locality, would be very likely to work evil in another, so diversified are the interests involved in a system which covers a continent. The first step toward the success now achieved was taken when the national-bank act was passed, and upon its provisions as a foundation is reared the present noble superstructure. Law, however, is powerless for good without proper administration, and lor this purpose the Bureau of the Currency was established. The Comptroller is, itis true, its chief executive, yet he must act through the agencies provided. Chief of all these agents are the examiners of national banks. That their visitations have been in any case productive of evil it would be hard to believe. That they are productive of no good may, in certain cases, be true. While they may not be necessary to the success of institutions conducted by trained bankers of unquestioned integrity and conspicuous ability, yet it is hard to imagine a case where thorough supervision and intelligent criticism are not productive of good. The competent and faithful clerk is sustained and encouraged by the knowledge that his work will meet the eye of one prepared to comprehend and commend its excellence. The inexperienced and the ignorant are educated, and the reckless and the unprincipled restrained through the medium of these inspections. That some bank officers look upon the work of the examiners as unnecessary and inquisitorial, is not to be wondered at. Bank officers are not always obedient to the law. These are exceptional cases, but they are quite numerous enough. It is unfortunately true that the high sense of honor which is characteristic of bankers as a class, is conspicuously absent in the case of some officers in charge of national banking associations. They come into the system because of the confidence inspired by reason of the restraints imposed by the law, and then systematically proceed to disregard its restrictions and evade its requirements in a mauner utterly at variance with that spirit of integrity and loyalty which should characterize the conduct of every man upon whom is devolved the administration of such sacred trusts. By indirection every safeguard is broken down and ultimate security is sacrificed upon the altar of present gain. To such associations the examiner is unwelcome, just in proportion as he is competent and faith- REPORT OF THE COMPTROLLER OF THE CURRENCY. 57 ful. Fortunately these cases are very rare. Their existence is reluctantly admitted and such conduct commented upon for the benefit of those well-managed and lawfully-conducted associations whose managers sometimes grow restive under friendly criticism, which seems to them to be technical and unprofitable. Conscious of the rectitude of their own conduct, and fully persuaded as to the trustworthiness of their entire force, they are repelled by a review of their work which is apparently predicated upon suspicion and distrust. To this class it is proper to say, that all law must be general in its application; that if any banks are examined all must be; that examinations must be made it the success of the system is to continue; that the value of the franchise they possess and prize is based upon the faithful administration of the law at all points. The interest of one association is the interest of every association. The success of any one adds to the confidence of the public in the trustworthiness of every other, and the failure of one takes from the value of the franchise of each of those which survive. Obedience to the law is the talisman which may be trusted to avert discredit, and confidence can be established and retained only by a faithful adherence to those financial formulas which are the outgrowth of the experience of centuries, and are embodied, to a greater extent than anywhere else, in the laws under which the national banking system is now operating. In some of the reserve cities the examiners are obliged to employ assistants. It would be quite impracticable for one person, no matter how rapid or skillful he might be, to properly examine one of the larger banks without aid. The law makes no provision for the appointment of assistants; hence they are now selected to act in the capacity of clerks, and are paid by the examiner such salaries as may be agreed upon. Although they are employed in a subordinate capacity it seems quite important that these assistants should be selected with as much care as is exercised in choosing the examiners. It is due to the banks that any person put in charge of their cash or their securities, even temporarily, should be of such integrity and discretion as would fit him for permanent employment in any of the associations to be examined. His habits should be above criticism, and his sense of honor so high as to make it certain that none of the confidential matters developed by examinations would ever be improperly used. The law should be so amended as to provide for the appointment of assistants by the Comptroller, upon recommendation of the examiner. The Comptroller should also have power to fix their compensation, the same to be paid from the fees received by the examiner. Both the examiner and the assistant examiner should be required to take an oath of office, and give bonds for the faithful performance of their duties and for the proper disposition of the moneys and securities which may come into their possession. LEGAL DECISIONS. The Digest of National Bank Cases, presented in former reports, will be found in the Appendix, page 87, extended by the addition of the syllabi of decisions announced during the last twelve months under appropriate heads. The incorporations in this Digest, as made from year to year, are mainly confined to an exhibition of such decisions of the higher courts as involve the application of principles affecting the statutory status of 58 REPORT OF THE COMPTROLLER OF THE CURRENCY. national banks with respect to their powers and obligations. Questions involving points of law apparently unadjudicated, arising out of the affairs of active as well as insolvent banks, are being continually presented to the Comptroller for an opinion, and while he is not a judicial officer of the Government, litigation is sometimes averted through his arbitrament. NATIONAL BANKS IN VOLUNTARY LIQUIDATION. Sections 5220 and 5221 of the Revised Statutes of the United States are as follows: SEC. 5220. Any association may go into liquidation and be closed by the vote of its shareholders owning two-thirds of its stock. SEC. 5221. Whenever a vote is taken to go into liquidation it shall be the duty of the board of directors to cause notice of this fact to be certified, under the seal of the association, by its president or cashier, to the Comptroller of the Currency, and the publication thereof to be made for a period of two months in a newspaper published in the city of New York, and also in a newspaper published in the city or town in which the association is located, or if no newspaper is there published, then in the newspaper published nearest thereto, that the association is closing up its affairs,, and notifying the holders of its notes and other creditors to present the notes and other claims against the association for payment. Originally the statutes provided that at any time after the expiration of one year from the publication of notice, an association might pay to the Treasurer of the United States the amount of its outstanding notes in lawful money of the United States and take up the bonds which it had on deposit with the Treasurer as security for such circulating notes, leaving the bank to choose whether it would then take up its bonds or not. In 1868 and 18G9 the attention of Congress was called to the fact that under this provision an association might go into liquidation, pay its depositors and creditors, and while it could do no business, nor have an existence as a bank of discount and deposit, yet it might reap the benefits of a circulation which would remain outstanding for a consider* able length of time beyond the expiration of the year during which noteholders weie supposed to present their notes for redemption. The statutes were amended by an act approved July 14,1870, in this particular by requiring that within six months from the date of the vote to go into voluntary liquidation the association should deposit lawful money sufficient to redeem all its outstanding circulation, excepting associations winding up their affairs in good faith for the purpose of consolidating with other associations. Another important amendment was that giving the Comptroller of the Currency power to sell the bonds of an association upon failure to make the required deposit of lawful money within thirty days after the expiration of the prescribed period of six months. The effect of these changes in the law was to more rapidly take the notes of these associations out of circulation and to relatively improve the appearance and condition of the whole body of circulating notes, and this effect was greatly increased by the passage of the act of June 20, 1874, which made it the duty of the Treasurer, assistant treasurers, designated depositaries, and national-bank depositaries of the United States to assort and return to the Treasury for redemption the notes of such national banks as had failed or gone into voluntary liquidation, and of such as thereafter failed or went into liquidation. Eedemptions of notes of liquidating banks, which in 1870, amounted to less than $65,000, rose to $1,226,000 in the year following the approval of the Act of July 14, and to $2,570,000 in 1873. REPORT OF THE COMPTROLLER OF THE CURRENCY. 59 POWER OF THE COURTS TO APPOINT RECEIVERS FOR BANKS IN VOLUNTARY LIQUIDATION. On page 69 a tabulated statement will be found accounting for all liquidating banks which have passed out of the system, and it will be noticed that out of 551 which passed out for the purpose of liquidating* their affairs 9 were afterward placed in the hands of receivers by the Comptroller. In several of these cases some friction arose out of the question as to whether or not State authorities had the power to appoint receivers for national banks which had once passed beyond the Comptroller's supervision. The appointment of receivers for these liquidating banks by the Comptroller seems to have resulted from an exhibition of the fact that they were inchoately insolvent and unable to pay their creditors, or in one or two instances became insolvent through the recovery by judgment creditors of specific assets supposed to belong to the bank, the true ownership having been developed by proceedings in equity. In 1873 it was held by the circuit court, northern district of Illinois (Irons v. The Manufacturers' National Bank, 6 Biss., 301), that in cases not within the special provisions of the national banking act a national bank might be proceeded against in the same manner as any other debtor or corporation. The Manufacturers' National Bank had gone into voluntary liquidation, and an exhibit filed in court by certain creditors disclosed the fact that application had been made to the Comptroller of the Currency for the appointment of a receiver, but inasmuch as the bank had deposited lawful money, released its bonds, and all relations between the bank and the Bureau of the Currency had ceased from that time, the Comptroller was of the opinion that he had no authority to appoint a receiver. The court took this view of the matter. In a later case the circuit court, western district of Tennessee (Wright v. Merchants' National Bank, 1 Flippin, 561), subjected the former opinion to modification by saying that in the absence of action on the part of the Comptroller of the Currency the court had the power to appoint a receiver upon the application of a judgment creditor, subject possibly to his being superseded by the action of the Comptroller. It has also been held that where a national bank is insolvent and in process of voluntary liquidation, and its affairs are being greatly mismanaged by its managing agents, to the injury of its creditors and stockholders, and some of the creditors and stockholders are being favored to the injury of others, a receiver may be appointed at the instance of one of the stockholders not favored, and a provisional receiver may be appointed in such a case, even where the bank only has been made a defendant. (Elwood v. First National Bank, Kansas 21, p. 673). It appears that Congress did not by the Act, June 30,1876, leave the Comptroller authority over the assets of a national bank which has gone into voluntary liquidation, after a court of competent jurisdiction has, under a creditor's bill, appointed a. receiver and taken possession of the assets, and instituted proceedings to enforce the liability of shareholders. Where a creditor's bill is pending under said act to enforce the liability of stockholders an action brought by the Comptroller against one of the stockholders will be abated. (Harvey v. Lord, 10 Fed. Eep., 236.) Experience in the supervision of the affairs of insolvent banks ha&. developed the fact that in almost every case assets have been overvalued or have depreciated in value, and this is probably equally true of <60 REPORT OF THE COMPTROLLER OF THE CURRENCY. the assets of banks in voluntary liquidation. Appreciation or depreciation of assets is, however, not necessarily considered after depositors and -creditors have been paid in full, for then all remaining assets belong to the stockholders, who become in a stricter sense the members of a priTate corporation whose duty is only to themselves. A single case will illustrate the result of permitting a bank to pass beyond the Comptroller's supervision before the depositors and creditors are paid in full. In 1888 the stockholders of a bank took the proper steps required by the statutes as prerequisite to placing the bank in voluntary liquidation. Its report of condition and that of the nationalbank examiner on near dates to that of the resolution of the stockholders in pursuance of the provisions of section 5220 indicated that the bank was in good condition and unquestionably solvent. Soon after the doors were closed to banking business it appeared that the bank was in fact hopelessly insolvent, and it was charged that the directors of the association abandoned the assets and funds to certain officers of the bank, who distributed them among particular persons in such a manner as to cause a deficit in the amount due depositors represented by a large sum of money. The courts have held with respect to the continuity of corporate entity that proceedings in conformity with the bylaws should continue as if the bank were an active concern, yet in this •case no meetings appear to have been held by the directors, special or annual, and neither depositors nor stockholders were able to obtain satisfactory information with respect to the condition of affairs. The president and cashier of the bank absconded, and it is charged that they embezzled a considerable part of the funds of the bank by the sufferance, permission, and connivance of the directors. Some of the creditors filed a bill in equity in a federal court to enforce the individual liability of the stockholders, and the court appointed a receiver, who instituted legal proceedings against the directors for damages occasioned by their mismanagement of the affairs of the bank. No application was made to the •Comptroller by any of the depositors for the appointment of a receiver, as it was possibly regarded as useless, and the situation was not known to him until after an appointment had been made by the court. It is obvious that in such cases depositors are almost defenseless, the damage always preceding a discovery by them, and that if the Comptroller's supervision had been continuous, with authority to create a receivership under wise provisions of law establishing a limit of time within which all creditors must be paid, and an uninterrupted authority to examine into the affairs, the prolonged peculations of the dishonest managers might have been prevented and the depositors saved harmless. Leaving the question untouched as to whether or not the Comptroller has authority to take cognizance of the affairs of a liquidating bank in any way, it seems reasonable to assume that when he is convinced on information that such a bank is unable to pay its depositors and creditors in full, its condition being that of insolvency, the courts would not seriously oppose action by the Comptroller; for, if it were otherwise, dishonest managers might consider it for their interests to attempt deceptions as to the true condition of an association, misleading the Comptroller as well as the stockholders, and throw the bank into voluntary liquidation so as to escape governmental supervision of the assets and possible resultant criminal prosecution by the Department of Justice. In the total absence of anything to the contrary in the statutes, however, it seems to have been the intention of Congress to permit an .association to liquidate its own affairs without the interference or supervision of the Comptroller, and therefore no preliminary action was made REPORT OF THE COMPTROLLER OF THE CURRENCY. 61 obligatory except such as was deemed necessary for the protection of note-holders and the redemption of outstanding circulation. Reports of condition are not required, and neither advice nor suggestion is sought for from the Comptroller, nor offered by him, as to the methods adopted by the management to close the affairs of the association, and so far as official record is concerned the association, except as to past history, is as completely blotted out as if it had never existed. Notwithstanding the silence of the statutes in this matter, it is obvious that no other than a solvent association should be permitted to avail itself of the privilege of liquidating its own affairs, for otherwise creditors would be deprived of that protection which grows out of an intelligent and economical governmental supervision, no pecuniary interest of the Government being involved. Complaints are not infrequent from stockholders that the management of a liquidating bank is incompetent or guilty of irregularities with respect to remaining assets, and the Comptroller is requested to instruct a national-bank examiner to take charge of the bank, or to examine and report. It sometimes happens that full control of assets is obtained by a few individuals or even a single person, and creditors and stockholders are persistently refused satisfactory information with respect to their individual interests. Sometimes depositors have been induced to accept in settlement of their accounts shares of stock or certificates of deposit issued by a corporation organize d in the meantimeunder State statute in which certain affairs of the liquidating national bank have been purposely merged, and a call is made upon the Comptroller to remedy the evils. To all such applications it can only be said that nothing can be found in United States statutes giving the Comptroller authority to interpose in such cases, and that a remedy can only be applied through the action of local courts. liecurring to the language of section 5220 it will be seen that the power to place a national bank in voluntary liquidation resides absolutely with the stockholders, a two-thirds vote being sufficient, and that the statutes give the Comptroller no expressed authority to either approve or disapprove of the proceeding. If the Comptroller may use discretion when occasion seems to require, such power is latent and its existence only to be inferred. In the past the circumstances connected with certain cases have justified the application of this implied authority for the protection of depositors and creditors, and an association insolvent in fact has been prevented from liquidating its own affairs while stockholders have been permitted to raise funds to make good a deficit, pay depositors and creditors in full, and then go into voluntary liquidation. Lapse of time alone develops the applicability of remote statutes tomodern conditions and their sufficiency. Experience with newly created or modified conditions, not provided fur and requiring legislative enactment, is the only safe guide to what is wise, prudent, or necessary. A careful estimate of statutory law relating to national banks in voluntary liquidation both with respect to the past and in anticipation of the future leads to the irresistible conclusion that in order that the system may be improved and the security of creditors increased (sec. 333, E. S. U. S.) Congress should amend the national-bank act in the following important particulars: (1) The Comptroller should be authorized to cause a special examination of a bank upon receiving the required notice of voluntary liquidation whenever deemed necessary, and should have authority to withhold his approval of voluntary liquidation whenever, in his judgment,. €2 REPORT OF THE COMPTROLLER OF THE CURRENCY. the bank is not in a solvent condition, and able to pay its creditors and depositors within a specified period of time. (2) A certain and limited period of time should be fixed within which all creditors must be satisfied, in default of such satisfaction a receiver t o be appointed in the discretion of the Oomptrolier. (3) Monthly reports of condition under oath should be sent to the Comptroller or oftener as he may require, until depositors and creditors are satisfied in full, notice of which should also be sent to the Comptroller under oath. (4) The Comptroller should be authorized to appoint a receiver at any time before the claims of depositors and creditors are satisfied upon application of creditors, or stockholders who are also creditors, if after an examination the interests of depositors and creditors in his judgment demand such action. RECEIVERSHIPS. Under the provisions of the national-bank act, approved June 3, 1864, the Comptroller is authorized to place the affairs of a solvent national bank in the hands of a receiver for failure to restore capital which has become impaired, to make good a deficiency in required reserve, to sell shares of its own stock taken for debt, to redeem its circulating notes, for certifying checks unlawfully, and in subsequent acts for refusal to pay judgments obtained in the courts, for violations of any of the pro visions of the national-bank act, and whenever in the judgment of the Comptroller a bank apparently solvent is in an insolvent condition. The duties of a receiver and the supervisory powers of the Comptroller are prescribed in general terms which govern and command a large field of practical operation, embracing almost every question which arises out of commercial law. The Comptroller appoints a receiver and sustains a relation to a trust similar to that of a State court to local •cases of trusts, bankruptcy, or insolvent estates controlled by State statute. This relation is created at the moment when compulsory action is necessary with respect to a solvent association, as well as when an overt act of insolvency is committed by the management of a bank, such as the closing of the doors to business, failure to redeem the notes of the bank, etc. Under existing law the entire amount of bonds on deposit to secure the circulating notes of an association would be forfeited to the United States if such association failed to redeem its notes within thirty days after notice of refusal to redeem had been received by the Comptroller, but as such notes issued, as they are, on deposits of United States bonds never exceed 90 per cent, of the par value of the bonds, and as these bonds have been marketable at a premium on all dates since the establishment of the national banking system, no case has occurred where the failure of a national bank to redeem its notes has been the actual cause for placing its affairs in the hands of a receiver. The statutes provide that when certain conditions exist the Comptroller may forthwith appoint a receiver, but there is necessarily an interval of time before a permanent appointment, at least, can be judiciously made, for sometimes a prudent selection from among local residents is impracticable, and geographical distances and localities are inimical to an accurate knowledge of the financial condition of communities or of local values. For these reasons, and in vi^w of the obstacles presented to the immediate appointment of a receiver, not REPORT OF THE COMPTROLLER OF THE CURRENCY. 63 only by remoteness of locality, but by dissimilarity in either business customs or local usages, the temporary services of a national-bank examiner become necessary to the proper conduct of such affairs of a b'ank as require prompt attention. If the immediate appointment of a receiver were peremptory, and the courts should hold that an association could not be permitted under present law to resume business after its affairs had once been placed in the hands of a receiver, however temporary his incumbency, much injury to creditors'as well as stockholders might result, as it sometimes happens that temporary embarrassment, caused by defalcation of officers or depreciation of values precipitating an overt act of insolvency, is overcome through the efforts of energetic stockholders who, by voluntary assessment or the assumption of individual responsibilities, place the bank upon a firmer footing than before. Two cases of this character occurred during the past year, and it is gratifying to refer to the fact that the directors promptly made sacrifices in the interests of depositors and creditors to save the associations from receiverships, and to predict that the lesson taught as the result of their inattention to the affairs of the banks and the operations of their officers will in both cases effectually prevent future embarrassment or disaster. The examiner's position while in charge of the affairs of an insolvent association is one of delicacy. His powers are circumscribed, but there are responsibilities which he must assume in order to protect the interests of all concerned which arise out of matters of immediate and great moment, for all the cash and other assets are in his sole charge as well as moneyed interests of persons or corporations haviug dealings with the bank, but in no wayindebted to it. He can neither institute nor defend suits, nor can he make settlements, recognize, allow, or compromise claims, but he must, b\^ a speedy, intelligent, and thorough examination of a complicated mass of affairs, which is generally found to exist after a failure occurs, place himself in a position to determine questions affecting those whose interests would be jeopardized or perhaps rendered valueless by delayr He must be prompt and efficient in discovering criminal violations of law by officers or directors, and promptly place an officer of the Department of Justice in possession of facts upon which arrests may be made or indictments found. As the number of national banks is increased from year to year by new organizations, the labor incidental to the supervision of insolvent trusts is proportionately augmented, and while the ratio of failures is not determinable by any fixed rule, the affairs of receiverships command more and more of the Comptroller's attention and that of subordinates possessing particular knowledge of special branches of the law and the faculty of applying business principles to assist receivers in solving the many and constantly increasing questions of compromises and settlements involving law, facts, or equity, so that unnecessary and expensive litigation may be averted and the interests of creditors remain unimpaired, lieceivers are required to make quarterly reports of the condition of their respective trusts in detail, all collections and disbursements being accounted for, the latter, except in small matters of current expenses, having primarily received the approval of the Comptroller. In the earlier history of the national banking system a proper supervision by the Comptroller was as important as it is now, but the growth of the system, with consequent increase of failures and adjudications by the courts, increasing in number and varying in character, have neces- 64 REPORT OF THE COMPTROLLER OF THE CURRENCY. sarily brought the Comptroller into closer connection with the details of receiverships, to the end that equal justice may be done to depositors and creditors, whatever the locality of the trust may be. While Congress has provided in general terms for the conduct of receiverships, and the methods by which their affairs are to be wound up, the necessity of a proper provision in this connection with respect to the clerical organization connected with the creation of the Bureau of the Currency seems to have been overlooked, and the clerical labor involved in the supervision of the affairs of receiverships has been performed by those whose compensation has not been commensurate with the responsibilities. FAILED BANKS. Two national banks, with an aggregate capital of $250,000, were placed in the hands of receivers during the year, as shown in the following statement. In one case creditors have received 75 per cent, of the principal, and in the other case 30 per cent. The causes of failure are commented upon below. STATEMENT OF FAILED BANKS, THEIR SURPLUS AND LIABILITIES ACCORDING TG» LAST REPORT OF CONDITION. Name and location of banks. Date of auDate ! Receiver thority to commence of failure, j appointed. business. As shown at date of last report of condition in each case. j Surplus, Q ^ Date of last Capital, j d i v i d e d - ; liabili- report of condition. profits, I California N a t i o n a l Bank, San Francisco. Cal JNov. 23,1886 Dec. 1 7 , 1 8 8 8 ^ . 14,1889! $200, 000J $26,668; $443, 560 Oct. 4,1888 ;. First National Bank, Anoka, Minn jOct. 21,1882 Apr. 6,1889|Apr.22,l ^ j 50, 000j 4, 98s| 108, 551 Feb. 26,1889Total. 250, 000! 31, 65V 552, 111 *Total as per report, except capital, surplus, circulation, undivided profits, and unpaid dividends. The California National Bank of San Francisco, Cal., closed its doors December 17, 1888. There appears to have been from the organization of the bank a lack of harmony and a diversity of opinion among the officers and directors, causing at times considerable contention with respect to the management of the bank's affairs. The cashier on various occasions usurped authority vested only in the board of directors, rendering the bank liable for the payment of kiting drafts representing large sums of money, which were practically squandered in railroad, coal mining, and mercantile enterprises. These kiting drafts were drawn on correspondents in New York City, and were carried as cash on the books of the bank. Doubtful and worthless paper had accumulated until about one-half of the capital stock was thus represented. Early in December some of the irregularities were discovered, and at a meeting of the board of directors, held December 10, the cashier was suspended. Shortly afterward one of the drafts referred to was protested, and this, together with the collapse of a mercantile enter- REPORT OF THE COMPTROLLER OF THE CURRENCY. 65 prise, the proprietor of which was a large debtor to the bank, and whose acceptances in some cases turned out to be forgeries, were the immediate causes of suspension. A dividend of 65 percent, was distributed among the creditors within ninety days after the appointment of a receiver, and since then 10 per cent, more has been paid, making 75 per cent, in all up to November 1. The First National Bank of Anoka, Minn., did not open its doors for business after the usual hour for closing April 6, 1889. The bank was wrecked by and through the dishonesty of the cashier, who used his position as an officer of the bank, and also the name of the bank, to furnish the means for the purpose of carrying on speculations in wheat, lumber limits, and real estate. On the evening of the 5th it was surmised that the cashier had absconded, and the national-bank examiner being in the place was requested to take charge. During the following day it was not only discovered that the cashier had fled to Canada, but that he had taken with him about $15,000 in cash which had been obtained by overdrawing accounts with correspondent banks, and had also endorsed the bank's name on paper representing more than double that amount, of which there was no record on the books. Besides this, he had obtained possession of his bond as cashier, upon which there were twelve sureties, no copy or list being in existence. One dividend, amounting to 30 per cent., has been paid to the creditors of the bank. During the year legal proceedings were instituted for the forfeiture of the charter of the Commercial National Bank of Dubuque, Iowa, under the provisions of section 5239, Revised Statutes of the United States, a suit against directors for damages to follow. The result has been delayed because the court held that the information should show by proper averment that some act or transaction in violation of the provisions of the title was done, and that the directors were either the doers thereof or knowingly permitted it to be done. The effect of this opinion was to introduce in the first stage of proceedings the question of innocence or guilt of directors individually or collectively for the doing of a specific act or acts or knowingly permitting the same to be done, for which it was sought to hold them liable in their personal and individual capacity. If this is a proper construction of the statutes, and preliminary proceedings for forfeiture of the charter should develop and fasten the liability, a separate action seems to be necessarily confined to the ascertainment of the amount of damages. As will be seen elsewhere, the creditors of the Lancaster National Bank of Clinton, Mass., have received the principal of their claims in full. The largest claim against the trust was represented at the date of failure by the receivers of the Lancaster Savings Bank, three in number, who were winding up the affairs of that institution under the auspices of the court. The absconding president of the national bank was one of the receivers, and subrogated to his own use a considerable part of the savings bank funds on deposit in his bank. Questions of law and fact at once arose with respect to the liability of the trust, and as to what vested authority one of the savings-bank receivers possessed in acting for his colleagues in the matter of withdrawing trust funds. Preliminary findings of a referee and decisions of the lower courts being unfavorable to the national bank, and assets proving sufficient to pay 100 per cent, on all claims, the matter was compromised under order of the court by the payment of a fixed sum not quite equal to the amount originally claimed. 9460 CUR 5* 66 REPORT OF THE COMPTROLLER OF THE CURRENCY. The affairs of four national banks have been closed during the past year and final dividends have been paid to their creditors. Name and location of bank. Second National Bank, Xenia, Ohio People's National Bank, Helena, Mont Hot Springs National Bank, Hot Springs, Ark Henrietta National Bank, Henrietta, Tex Total Proportion I Date of of J appointment dividends interest on j of receiver. principal. paid. Per cent. I May 9,1888 100 I Sept. 13,1878 40.7285 ! June 2,1884 100 Aug. 17,1887 100 Per cent. 100 100 100 Out of 4,148 national banks organized since February, 1863, only 130, or about 3.13 per cent., have been placed in the hands of receivers 5 this includes 9 whicb had been previously placed in liquidation by their stockholders, but upon their failing to pay their depositors the Comptroller appointed receivers to wind up their affairs. Of the 130 failed banks, 30 have paid creditors in full, principal and interest; 6 have paid principal and a part of the interest, and 13 have paid the principal only. The affairs of 94 of the 130 banks have been finally closed, leaving 36 in process of settlement, of which 8 are virtually closed, with the exception of pending litigation, leaving 28 receiverships in active operation. The total amount so far paid to creditors of insolvent national banks has been $35,090,572 upon proved claims amounting to $53,374,660. The amount paid during the year has been $1,706,447, besides $356,674 paid lor dividends declared prior to November 1,1888, on claims proved since that date. Assessments amounting to $14,125,350 have been made upon stockholders of insolvent national banks under section 5151 of the Eevised Statutes of the United States. From this source the gross collections amount to $6,127,137, of which there has been received during the past year $780,966. Suits are pending in some cases. In the Appendix, page 200, a table will be found, showing, under various heads, amounts collected from the assets of each of the 130 insolvent national banks, the amounts disbursed, and the purpose. All moneys and assets are accounted for, and the figures supply all information necessary to the ascertainment of percentages and loss. 67 REPORT OP THE COMPTROLLER OP THE CURRENCY. DIVIDENDS, TWENTY-NINE IN NUMBER, PAID TO CREDITORS OF INSOLVENT NATIONAL BANKS DURING THE PAST YEAR, WITH THE TOTAL DIVIDENDS IN EACH CASE, UP TO NOVEMBER 1, 1889. Name and location of bank. Date of appointment I of receiver. Lowell National Bank, Lowell, Mich I) First National Bank, Auburn, N.Y Do Do State National Bank, llaleigh, N. C Do. Do Second National Bank, Xenia, Ohio. First National Bank, Corry, Pa. First National Bank, Buffalo, N.Y. People's* National Bank, Helena, Mont First National Bank, Bozeraan, Mont National Bank of Surater, S.C Lancaster National Bank, Clinton, Mass f Do Date. Amount Percent. Per ct. 40. 90. $35, 893.25 Sept. 19,1888 Dec. 1,18 Apr. 20,1889 j 45,166. 57 40. 50. Feb. 20,1888 Dec. 17,1888 ! Feb. 19,1889 I Mar. 27,1889 I 76, 597. 04 39,433. 51 39, 542.18 10. 5. 5. Mar. 31,1888 Dec. 20,1888 i Feb. 16,1889! June 3,1889 j 31, 072. 50 32,307.45 16, 303. 23 10. 10. 5. 35. 40. 45. 30. 40. 45. May 9,1888 Dec. 29,1888 j Oct. 11,1887 Jan. 31,1889 ! 68, 387.16 20. 100. 43, 502. 61 25. 75. Apr. 22,1882 Feb. 5,1889 j Sept. 13,1878 Feb. 12,1889 j Sept. 14,1878 Feb. 12,1889 j 4,473.45 .50 43.50 1,189.72 .7285 40. 7285 403.65 | r 100 .575 | 98.925 Aug. 24,1887 Feb. 18,1889 i 15, 067. 86 20. ! 100. Jan. 20,1886 Mar. 22,1889 i Oct. 15,1889 | 34, 316. 25 17,158. 07 20. 10. | 90. 1 100. i 05. First National Bank, LivingsAug. 25,1884 ton, Mont. Henrietta National Bank, Henrietta, Tex Aug. 17,1887 California National Bank, San Jan. 14,1889 Francisco, Cal Do Pacific National Bank, Boston, Mass JMay 22,1882 Mechanics' National Bank, Newark, N.J Nov. 2,1881 Do Fidelity National Bank, Cincinnati, Ohio June 27,1887 Hot Spring's National Bank, Hot Springs, Ark Jane 2,1884 Fifth National Bank, St. Louis, Mo Nov. 15,1887 First National Bank, Albion, Ang. 26,1884 N.Y. Richmond National Bank, July 23,1884 Richmond, Ind. First National Bank, Anoka, Apr. 22,1889 Minn . Total. ProporTotal tion of dividends interest paid de- paid dePer cent. positors . positors Dividends paid during the past year. Apr. 1,1889 5, 264.41 20. Apr. 20,1889 12, 502. 75 10. Apr. 27,1889 Aug. 31,1889 292, 882. 23 45,182. 71 65. 10. May 3,1889 47, 942.14 2. May 10,1889 June 22,1889 129, 678. 95 33, 694. 58 4.885 1.27 i 100. 100 i I 65. ! 75. 57. 66.135 67.405 June 15,1889 388,280.84 10. 35. June 29,1889 3, 285. 50 9. 100. Aug. 5,1889 108, 601. 75 10. 90. Oct. 1,1889 109, 959. 22 28.50 28.50 8,1889 7,317.23 Oct. 14,1889 21,040.68 Oct. 1,706,447.49 2. 73. 30. 100 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. INACTIVE RECEIVERSHIPS. A number of banks remain in the hands of receivers, the affairs ot which have been practically liquidated, the receiverships being kept open because of pending suits or the possession of assets which can not be readily disposed of, but which ought not to be sacrificed. In such cases expenses are reduced to the lowest possible figure, the receiver being compensated for actual services only as a rule. The receiver's incumbency is perpetual, subject only to revocation of commission, resignation, or death, as it is not the practice to formally release him from responsibility, even though the affairs of a trust are finally closed. On a few occasions assets of a trust have been discovered or unexpectedly realized upon some time after the close of a receivership. In such cases the services of a receiver may be necessary to pass a legal title. By comparison with the report of 1888, it will be noticed that during the year two trusts have passed out of this category, namely, the People's National Bank of Helena, Mont., and the Hot Springs National Bank of Hot Springs, Ark., and that three have been added to the list, namely, the First National Bank of Livingston, Mont., the Mechanics7 National, Bank of Newark, N. J., and the National Bank of Sumter, S. O. A part of the assets of the first-named bank consisted of mining interests having a considerable nominal value. The mines have been bonded from time to time, and would-be purchasers have invested funds for development. Prospectively the interests of the trust are worth all that is claimed, and eventually the stockholders may be re-imbursed to some extent for payments made on account of an assessment levied by the Comptroller upon the shares of stock held by them. The affairs of the Mechanics' National Bank of Newark, N. J., have been kept open awaiting the termination of vexatious litigation. A large amount of money was involved, and the result reached during the past year was favorable to the trust. Some small matters are still unsettled, but the receivership is regarded as practically closed. The creditors of the National Bank of Sumter, S. C, have received additional dividends during the year, making a total of 100 percent., which is equivalent to the principal of all proved claims. The cashier's bond was put in suit and realized. Legal proceedings have been instituted against brokers, through whom the cashier carried on speculative transactions, and, if favorable results are reached, the stockholders may be reimbursed in part for payments made on account of an assessment of 39 per cent, levied upon their holdings of stock of the bank. The following is a list of the receiverships that are in an inactive condition : Name and location of bank. Date of appointment of receiver. First National Bank, Albion, N. Y First National Bank, Anderson, Ind Third National Bank, Chicago, 111 Central National Bank, Chicago, 111 First National Bank of Union Mills, Union City, Pa German American National Bank. Washington, D. C First National Bank, Monmouth, 111 Mechanics' National Bank, Newark, N. J Aug. 26,1884 Nov. 23,1873 Nov. 24,1877 Dec. 1,1877 Mar. 24,1883 Nov. 1,1878 Apr. 22,1884 Nov. 2,1881 *And interest. Dividends paid. Per cent. 28.50 39 *100 60 65 50 95 67. 405 REPOET OF THE COMPTROLLER OF THE CURRENCY. 69 The total number of national banks organized since February 25, 1863 is 4,148, of which 3,319 are now in operation, 829 having passed out of the system accounted for as follows : Passed into voluntary liquidation to wind up their affairs Less number afterward placed in the hands of receivers 551 9 Passed into liquidation for purpose of reorganization Passed into liquidation upon expiration of corporate existence Placed in hands of receivers 542 79 *79 130 Less restored to solvency and resumed business 830 1 Total passed out of system *Thirty-eight of these have been reorganized. 829 TRANSACTIONS OF THE NEW YORK AND OTHER ASSOCIATIONS. CLEARING-HOUSE The membership of the New York Clearing-House Association comprises 43 national banks, twenty State banks, and the subtreasury at New York, making sixty-four members in all. There are 88 banks in New York City; and two national and 23 State banks, not being members of the association, clear through banks that are members. The following information with respect to the operations of the clearing-house associations in the country has been kindly furnished by Mr. W. A. Gamp, manager of the Glearing-House Association at New York City: COMPARATIVE STATEMENT FOR TWO YEARS OP THE TRANSACTIONS OF THE NEW YORK CLEARING-HOUSE, SHOWING AGGREGATE AMOUNT OF CLEARINGS, AGGREGATE BALANCES, AND THE KINDS AND AMOUNTS OF MONEY PASSING IN SETTLEMENT OF THESE BALANCES. Kinds of money and amount of each kind. Aggregate balances. Dollars. Year ended— Aggregate clearings. Dollars. Treasury certificates for Legal U. S. legal tenders gold certenders, and tificates. U. S. gold sec.5193, minor S. Ke- coin. ct'fs series U.vised of 1888. Statutes. Bank of America gold certificates. Dollars. Dollars. Dollars. Dollars,! Percentages to balances. 30, 863, 686, 609 1, 570,198, 527 889,197, 000 *655, 033,000 18,195. 000 7, 773, 527! 98. 3 + Oct. 1,1888 "\ Oct. 1,1889.... 34* 796, 465, 529 1, 757, 637,473"784,031,000 t945,765, 000 18, 835, 000,9, 006,473: 98.4-f Increase... 3,932, 778, 920 187, 438, 946 290, 732, 000 640,000 1, 232, 946 Decrease .. 105,166, 000 1 1.6+ 1.5+ *When the Government ceased issuing gold certificates, December 1, 1878, the New York banks agreed to have a common depositary for gold coin. The Bank of America performed this function. None of its certificates are now outstanding;, the last having been canceled in July, 1888. t These certificates, known as the series of 1888, are issued under the act of July 12, 1882, by the Treasurer and the assistant treasurers offcheUnited States, upon deposits of gold coin, in denominations of $5,000 and $10,000 only, and are payable to order. In New York City they are, as a rule, made payable only to a member of the Clearing-House Association, and the members are thus enabled to settle clearing-house balances with lawful money of large denomination. 70 REPOET OF THE COMPTROLLER OF THE CURRENCY. Following is a comparative statement of transactions of the New York Clearing-House for thirty-six years, showing for each year the number of banks, aggregate capital, cleariugs, and balances, average of the daily clearings and balances, and the percentage of balances and clearings: • No. of banks. Tears. 1854 1855 1856 1857 1858 1859... 1860... . . 1861.. 1862 . . . . 1863 . . 1864 . . . . . 1 8 6 5 . . . „_ 1866.. 1867 . . 1868 1869... 1870.. 1871 . . 1872.. 1873.. 1874.. 1875.. 1876.. 1877.. 1878.. 1879.. 1880.. 1881.. 1882 . . 1883 . . . . . 1884.. _ . 1885.. 1886.. 1887 . . 1888.. 1889 50 48 50 50 46 47 50 50 50 50 49 55 58 [ 58 59 59 61 62 61 59 59 59 59 58 57 59 57 60 61 63 61 64 63 64 63 63 Clearings. Capital.* $47, 044,900 48, 884,180 52, 883, 700 64, 420, 200 67,146, 018 67,921,714 69, 907, 435 68, 900, 605 68, 375, 820 68, 972, 508 68, 586, 763 80,363,013 82, 370, 200 81, 770, 200 82, 270, 200 82, 720, 200 83, 620,200 84, 420, 200 84, 420, 200 83, 370,200 81, 635, 200 80, 435, 200 81,731,200 71, 085,200 63,611,500 60, 800, 200 60,475, 200 61,162, 700 60, 962, 700 61,1<>2, 700 60,412,700 58, 612, 700 69, 312, 700 60, 862, 700 60, 762, 700 60, 762, 700 168,948,790 $5,750, 455,987 5, 362, 912, 098 6, 906, 213, 328 8, 333,226, 718 4, 756, 664, 386 6, 448, 005, 956 7, 231,143, 057 5,915,742,758 6, 871, 443, 591 14, 867, 597, £49 24, 097,196, 656 26, 032, 384, 342 28, 717,146, 914 28, 675,159,472 28, 484, 288, 637 37, 407, 028, 987 27, 804, 539, 406 29, 300, 986, 682 33, 844, 369, 568 35,461, 052, 826 22, 855, 927,636 25, 061, 237, 902 21, 597, 274. 247 23, 289, 243, 701 22, 508, 438, 442 25,178, 770, 691 37,182,128,621 48, 565, 818, 212 46, 552, 846, 161 40, 293,165,258 34, 092, 037, 338 25, 250, 791, 440 33, 374, 682, 216 34, 872, 848, 786 30, 863, 686,609 34, 796, 465, 529 Balances paid in money. Average daily clearings. Average daily balances paid in money. $297, 411, 494 289,694,137 334,714,489 365, 313, 902 314,238,911 363, 984, 68B 380, 693,438 353, 383, 944 415, 530, 331 677,626, 483 885, 719, 205 1,035, 765,108 1, 000, 135,106 1, 144, 963, 451 1,125, 455, 237 1,120, 318,308 1, 036, 484, 822 1,209,721,029 1,428, 582, 707 1, 474, 508, 025 1, 286, 753,176 1, 408, 008, 777 1, 295, 042, 029 1, 373, 996, 302 1, 307, 843, 857 1,400,111,063 1,516,538,631 1,776,018,162 1, 595, 000, 245 1, 568, 983,196 1, 524, 93C, 994 1, 295, 355, 252 1,519,565,385 1. 569, 626, 325 1. 570,198, 528 1, 757, 637, 473 $19,104, 505 17,412,052 22, 278,108 26, 968, 371 15, 393, 736 20, 867, 333 23, 401, 757 19, 269, 520 22, 237, 682 48, 428, 657 77, 984, 455 84, 796, 040 93, 541,195 93,101,167 92, 182,164 121,451,393 90, 274,479 95,133,074 109, 884, 317 115, 885, 794 74, 692, 574 81, 899, 470 70, 349, 428 76, 358,176 73, 555, 988 82, 015, 540 121, 510, 224 159,232,191 151 637, 935 132,543, 307 111,048,982 82, 789, 480 109, 067, 589 114, 337,209 101,192,415 114, 839, 820 $988, 078 940, 565 1, 079,724 1,182, 246 1, 016, 954 1,177, 944 1, 232, 018 1,151, 088 1, 344, 758 2, 207, 252 2, 866, 405 3, 373, 828 3, 472, 753 3,717,414 3, 642, 250 3, 637, 397 3, 365, 210 3, 927, 666 4, 636, 632 4, 818, 654 4,205, 076 4,603, 297 4, 218, P.78 4, 504. 906 4, 274,000 4, 560, 622 4, 956, 009 5, 823, 010 5, 195, 440 5,161,129 4, 967, 202 4,247, 069 4,965,900 5,146, 316 5,148,192 5, 800, 784 +878, 602, 922, 007 :39, 086,454, 205 179, 629, 614 3, 543, 226 Balances to clearings. Per ct. 5.2 5.4 4.8 4.4 6.6 5.6 5.3 6.0 6.0 4.6 3.7 4.0 3.7 4.0 4.0 3.0 3.7 4.1 4.2 4.1 5.7 5.6 5.S 5.9 5.8 5.6 4.1 3.5 3.4 3.9 4.5 5.1 4.5 4.5 5.1 5.0 4.4 * The capital is for various dates, the amounts at a uniform date in each year not being obtainable, t Yearly average ior thirty-six years. \ Totals for thirty-six years. The clearing-house transactions of the assistant treasurer of the United States at New York for the year ended October 1, 1889, were as follows: Exchanges received from clearing-house $416,987,196. 88 Exchanges delivered to clearing-house 133,262,237.14 Balances paid to clearing-house 285,993,918.10 Balances received from clearing-house 2,268,958.36 Showing that the amount paid by the assistant treasurer to the clearing-house was in excess of the amount received by him 283,724,959.74 The debit balances were paid to the clearing-house as follows: United States gold certificates Legal tenders and change $285,844,000.00 149,918.10 285,993,918.10 71 REPORT OF THE COMPTROLLER OF THE CURRENCY. COMPARATIVE STATEMENT OF THE EXCHANGES OF THE CLEARING-HOUSES OF THE UNITED STATES FOR OCTOBER, 1889, AND OCTOBER, 1888. Comparisons. Clearing-house at— Exchanges for ! Exchanges for October, 1889. j October, 1888. Increase. Decrease. [ New York Boston Philadelphia... Chicago St. Louis San Francisco . New Orleans... Baltimore Pittsburgh Cincinnati Kansas City . . . Louisville Providence Detroit Milwaukee St. Paul Minneapolis... Omaha Cleveland Columbus Denver Memphis Indianapolis... Hartford New Haven Peoria Springfield St. Joseph Worcester Duluth Portland Norfolk G-alveston Los Angeles... Grand Rapids.. Lowell Syracuse Wichita Sioux City Richmond Topeka Tacotna Buffalo Total Increase. $3,617,761,324 $3,194, 301, 364 $423, 459,960 472, 338, 749 453,271,178 I $19, 067,571 307, 553, 909 340,194, 718 32, 640, 809 323, 057,170 330,190, 038 7,132, 868 83, 430, 317 95, 632, 681 12,202,364 I 87, 702,944 82, 022,519 ""'5,680,' 425 42, 257, 637 "9,306,961* 51, 558, 598 61, 987, 682 58, 863, 605 ' " 3 , " 124,077 56, 877, 983 "7," 362,'783 I 64, 240, 766 45, 911, 050 53, 412, 850 7, 501, 800 41,228,195 42, 771, 908 1,543,713 24, 812, 647 32, 637, 307 7, 824, 660 24, 748, 800 25, 967, 500 1, 218, 700 24, 075, 334 23, 623, 635 451, 699 24, 265, 352 24, 956, 637 691, 285 19, 262, 066 21, 057, 959 1, 795, 893 27, 377,185 31,131, 969 3, 754, 784 16, 763, 220 IK, 423, 377 1,660,157 I 16, 042, 033 19, 880, 694 3,838,661 ! 10,121,500 11, 983, 200 1,863,700 j 12, 804, 031 18, 965, 363 6,161, 332 11, 783, 630 11,861,818 78,188 8, 564, 210 9,416, 729 852,519 8,603,088 9,512,213 909, 125 5, 576, 345 6, 028, 910 452, 565 6,899, 276 6,631,341 267, 935 6, 078,161 5, 604, 758 473, 403 5, 519, 738 6, 217,191 "'*697," 453 5, 074, 835 5, 644, 023 569, 188 6, 365, 690 11, 521, 332 5,155,642 5, 338,186 5, 013, 220 324, 966 4,472,511 5,780, 841 "1," 308," 330 14, 398,173 10, 252, 789 i 4,145, 384 2, 752, 223 3,617,492 ! """865," 269 3,218,765 I 2,777,446 j 441,319 ! 3,886,201 i 520,131 ] 3,366,070 | 381,891 3,774,075 | 3,392,184 i 531,450 ! 2, 957, 668 j 2,426,218 ! 3, 507, 934 | 3, 507, 934 New ! 987,929 | 8, 073, 656 ! 9,661,585 1,749,485 , 1,644,575 104, 910 ; 2, 956, 918 !New i 14, 088, 356 34,088,356 I New • 5, 558, 265,.619 5, 033, 813, 234 524,452,385 |. 5, 033, 813, 234 | 561,175,696 j 36,723,311 I. 524, 452,385 36, 723, 311 72 REPOET OF THE COMPTROLLER OF THE CURRENCY. COMPARATIVE STATEMENT O F T H E E X C H A N G E S OF T H E C L E A R I N G - H O U S E S OF T H E U N I T E D STATES F O R T H E W E E K S E N D E D N O V E M B E R 2, 1889, AND NOVEMBER 3, 1888. Exchanges for week ended November 2, 1889. Clearing-house at— New York Boston Philadelphia Chicago St. Louis San Francisco New Orleans Baltimore Pittsburgh Cincinnati Kansas City Louisville Providence Detroit Milwaukee St. Paul Minneapolis Omaha Cleveland Columbus Denver Memphis Indianapolis Hartford New Haven Peoria Springfield St. Joseph Worcester Duluth Portland Norfolk Gal ves ton Los Angeles Grand Rapids Lowell Syracuse Wichita Sioux City Richmond Topeka Tacoma. Buffalo Total Increase j ' ! ! j j I j j i j ! i i I I i : Exchanges for j ! week ended ! j November 3, i ! 1888. ; Comparisons. Increase. $792,903,318 100,452,586 I 88,406,858 ; 67,098,753 | 17,810,402 : 18,992,400 ! 12,833,159 i 13,493,934 I 13,527,593 i 11,718,300 i 8,407,195 7,539,062 5,167, 000 4, 849, 723 6, 063, 681 5,128, 582 6, 616,594 4, 060, 080 4, 194, 710 2,187, 500 3, 579.119 3, 225, 248 2,100, 426 1, 968, 573 1,156,653 1,420, 471 1, 183, 180 1, 229, 904 1, 385, 063 1,171,699 1,226, 759 1,106,421 2, 529, 392 641, 900 685, 404 658, 894 1, 111, 148 578, 608 836, 068 1, 978, 979 296, 359 640, 743 2, 959, 737 $671,138, 259 $121, 765, 059 109, 704,891 69, 839, 510 i 18,567,348 j 10,622 I 67, 088,131 1,020,598 16, 789, 804 I 20, 652, 79C 10, 376, 131 !" "2^457^ 028 178, 273 13, 315,661 2, 593,466 10, 934,127 > 10,872,300 ! 846,000 8, 542, 864 6, 449, 279 1,089,783 5,199, 400 4, 643, 970 " " 205,' 753 675, 662 5, 388, 019 1, 008, 950 4,119, 632 6, 784, 565 4,131, 714 3,516,311 678,399 | 2, 250, 700 2, 860, 951 3, 307, 758 309,135 1 1, 791, 291 315,732 i 1, 652, 841 1,034,008 322,645 ! 1, 498,108 1,149, 040 "34,140 21, 225 1, 207, 679 1,073, 744 311, 319 2, 228, 220 1,165, 634 61,125 1,495,617 338, 567 2.190. 825 682; 370 "154," 496' 530, 908 772, 915 450,194 660, 954 33,070 545, 538 836,068 (New) 90,369 1,888,610 318,571 640, 743 (New)... 2, 959, 737 (New) . . . . 1,225,122,178 1, 079, 793, 640 1, 079, 793, 640 145, 328, 537 158, 493, 674 13,165,136 145, 328, 538 Decrease. $9, 252, 305 1, 660, 390 134, 669 " ~ 32,'400 167, 971 71,634 63, 200 82510 77, 637 1,056,521 * 389*i96 """40*470 22,212 13,165,136 REPORT OF THE COMPTROLLER OF THE CURRENCY. 73 The following tables show the transactions of the clearing-houses located in forty-three cities for the year ended September 30, 1889, from official returns received from the manager of the New York ClearingHouse, comparisons being made with the year ended September 30, 1888, the increase or decrease in the exchanges and balances being indicated : COMPARATIVE STATEMENT OF THE BALANCES OF THE CLEARING-HOUSES OF THE UNITED STATES FOR YEARS ENDED SEPTEMBER 30; 1889, AND SEPTEMBER 30, 18c8. Clearing-house at— New York Boston Philadelphia . . Chicago St. Louis San Francisco. New Orleans . . Baltimore Pittsburgh Cincinnati Kansas City... Louisville Providence Detroit Milwaukee St. Paul Minneapolis . . . Omaha Cleveland Columbus Denver Memphis Indianapolis . . Hartford New Haven Peoria Springfield St. Joseph Worcester Duluth Portland Norfolk Oalveston Los Angeles... •Grand Rapids . Lowell Syracuse Wichita Sioux City Richmond' Topeka Tacoma Buffalo Total. Increase. i Balances for ; Balances for Comparisons. No. of : year ended | year ended |_ banks, i September I September I 30,1889. 30,1888. | Increase. Decrease. 64 , 54 j 41 i l ., 757, 637, 473 552, 348,116 328, 464,139 330, 511,467 158, 684, 842 126, 935, 065 60, 275, 050 93,693,402 114,119,133 86, 537,800 17 i 15 ! 23 ! 19 i 18 | 80, 627, 929 11 : 81, 245, 600 21 29, 527, 432 34 45, 716,227 16 34,917,191 11 3*, 396, 088 14: 39, 237, 733 16 8 No record 11 No record 32, 322, 332 29, 374, 983 22, 207, 382 28, 667, 376 15,434,104 19, 531,156 19, 797, 964 15, 539, 595 13,852,215 21, 978, 939 11,539,628 6, 748, 565 25, 359, 050 7, 925, 300 32, 897, 363 10, 370, 993 8, 958, 530 2, 646, 333 5, 774, 532 No record 3. 939. 031 14, 708,152 4, 308, 448,210 3. 781,681, 527 526,766,683 I $1, 570,198, 528 $187,438,945 =. 502, 980, 813 49,367,303 j . 305, 238, 423 23,225,716 L 301, 387. 886 29,123,581 !. 141,142, 096 17, 542, 746 !. 121, 091, 092 5,843,973 | . 53, 726,186 6,548,864 j . 89, 604, 272 4,089,130 . 99, 552,128 14,567,005 . 70, 969, 900 15,567,900 i. 67, 619, 594 ; 17, 741, 600 i 36,422,898 j 34,537,980 ; 34, 053, 304 I 32,514,595 j 27,423,673 j No record j No record. 15, 640, 765 24, 012,189 25, 096, 548 24, 930, 316 13, 788, 891 18,060, 330 17, 626, 378 19, 096, 231 13, 813, 833 26, 987, 462 10,145,041 6, 932, 332 No record 10, 572, 388 30, 896, 978 10, 079, 280 7, 797, 597 No record New No record New New New 3, 781, 681, 527 13,008,335 ! 63,504,000 ! $6,895,466 "ii,"i78,247 863, 887 5, 881,493 11, 814, 060 16, 681, 567 5,362,794 2, 889,166 3, 737, 060 1, 645, 213 1, 470,826 2,171,586 3, 556, 636 "5,008,523 1, 394, 587 183, 767 25,359,050 ~2,647," 088 2, 000, 385 291, 713 1,160, 933 2, 646, 333 5, 774, 532 3, 939, 031 14,708,152 547, 947, 329 21,180, 646 526, 766, 683 21,180,646 74 REPORT OF THE COMPTROLLER OF THE CURRENCY COMPARATIVE STATEMENT OF THE EXCHANGES OP THE CLEARING-HOUSES OF THE UNITED STATES FOR YEARS ENDED SEPTEMBER 30, 1889, AND SEPTEMBER 30, 1883. Clearing-houses at— Exchanges for j Exchanges for year ended year ended No. of banks. September 30, « September 30, 1889. I 1888. New York Boston Philadelphia .. Chicago , St. Louis San Francisco. New Orleans .. Baltimore Pittsburgh Cincinnati Kansas City Louisville Providence Detroit Milwaukee St. Paul Minneapolis Omaha Cleveland Columbus Denver Memphis Indianapolis ... Hartford New Haven Peoria , Springfield St. Joseph Worcester Duluth Portland Norfolk Galveston Los Angeles .. Grand .Rapids.. Lowell Syracuse Wichita Sioux City Richmond Topeka Tauonia Buffalo Total. Increase . $34,796, 465, 529 $30,863, 686, 609 4, 763, 543, 730 4,288,878,016 3, 546, 854, 097 3,155,190,237 3, 327,108, 659 3, 089, 288, 194 952, 804, 686 886, 812,201 848, 571, 603 823, 436,263 488, 017, 828 450,792, 897 643, 338, 736 614, 399, 374 629, 665,173 566,135,994 553, 632, 450 518,620,450 450,056,139 382, 284, 073 342,164, 731 295, 711, 094 256, 760, 700 248,135, 800 218, 695, 351 176,097,171 222, 609, 808 249, 199,173 194, 026, 801 202, 076,602 230, 626, 745 204, 040, 477 201, 250,166 166,007, 003 160,430,904 185, 773, 547 113, 647, 539 *124, 280, oil 206, 287, 399 127, 579, 797 125, 985, 832 105, 908, 056 99, 205, 807 99, 576, 811 97,132, 017 88, 625, 091 62, 460, 840 60, 704, 610 77, 111, 095 67, 296, 258 61,031,898 56, 3H3,130 67, 820, 459 69, 449, 822 54, 868, 239 51, 286, 739 89,4.0,117 113, 280, 043 53, 970, 298 50,156, 342 43,168,168 44, 877,181 71, 865, 673 57,165,444 36, 873, 242 63, 050, 981 32, 897, 363 31, 025,179 34, 332, 319 32, 986, 992 .38,171,027 33, 845, 318 35,110, 860 35, 628, 078 19,175, 915 N e w 105, 556, 028 83, 493, 221 19,578,525 15, 738, 635 15, 720, 358 N e w 78, 723, 031 N e w 619 54, 494, 754, 586 48, 750,866, 813 48,750,886,813 5, 743, 867, 773 k Estimated. Comparisons. Increase. Decrease. $3,932, 778,920 474, 665, 714 391, 663, 860 237, 820, 465 65, 992,485 25,135, 340 37, 224, 931 28, 939, 362 63, 529,179 35,012,000 67, 772, 066 46, 453, 637 8, 624, 900 $42,598,180/ 26, 589, 365 8,049, 801 26, 586, 268 35,243,163 25, 342, 643 10, 633, 072 78, 707, 602 20, 077,776 371, 004 8, 506, 1, 756, 9, 814, 4,648, 926 230 837 768 1, 629, 36a 3,581, 500 "23," 859,' 92& 1, 709, 013 14, 700, 229 26,i77,73» 1, 872,184 1, 345, 327 4, 325, 709 517, 218 19,175,915 22, 062, 807 3,839, 890 15, 720, 358 78, 723, 031 5,840, 730,216 96,862,443 5, 743, 867,773 96, 862,44a REPORT OF THE COMPTROLLER OF THE CURRENCY. 75 From the foregoing tables it will be seen that the exchanges in New York City during the past year amounted to about 64 per cent, of the whole sum, and the balances in that city to nearly 41 per cent, of the total balances. A table will be found on p. 139 of the Appendix, compiled from returns made to the clearing-house by the national banks in New York City,, exhibiting the movement of their reserve, weekly, during October, for the last thirteen years. STATE, SAVINGS, PRIVATE BANKS, LOAN AND TRUST COMPANIES. The annual report issued by this Bureau in 1873 contained, in compliance with the fourth provision of the act of February 19, of that year, the first general information relative to the condition of banking institutions, other than national, given from this office. Official returns were received that year from only eight States and the District of Columbia. The aggregate surplus and undivided profits, and deposits of all mutual savings-banks, loan and trust companies, and the Freedman's Savings Bank and Trust Company, with its branches, were $31,348,189 and $669,329,917 respectively; the State banks and stock savings-banks had an aggregate capital of $42,705,834, surplus and undivided profits of $12,137,400, and deposits of $110,754,034. Through the courtesy of the authorities of thirty States and Territories where returns of this nature are required, the Comptroller has secured all the information received by them relative to banking institutions operating under State and Territorial authority. This information, generally transmitted in a form to show aggregate results, jthough in a few instances in detailed reports as made to the executive officers, exhibits the condition of 2,187 incorporated institutions and 635 private banking concerns—2,822 in all. The returns of the 2,187 corporations officially obtained comprise statements of condition of 1,353 commercial banks operated under State charters, aggregate capital $145,899,089, surplus and undivided profits $59,714,907, deposits, $473,484,147 ; of 64 loan and trust companies, capital $32,162,600, surplus and undivided profits $29,957,630, deposits 253,187,987; and of 770 savings-banks, of which 604 report no capital, and 166 report capital aggregating $17,305,538. The aggregate surplus and undivided profits of the 770 savings-banks is $136,161,333, and their aggregate deposits amount to $1,320,344,592. Six hundred and thirty-five private banks report capital to the amount of $15,542,062, surplus and undivided profits of $3,635,307, and deposits of $29,347,035. In order to obtain as complete information as possible relative to banks not subjected to State or Territorial supervision, the names and addresses of over 5,000 banks and bankers were secured, and to each was mailed a circular letter, inclosing a blank form, requesting a report of condition as of date June 30,1889. The request was complied with by over 2,400 banks and bankers. Subsequently about one-half of the banks so responding were found to be included in those reported officially by executive officers, so that the number from which returns are classified as unofficial is 1,142, comprising 689 private banks and 453 incorporated institutions. These 1,142 institutions are located in States and Territories in which reports are not required to be made to local authorities, or to be published, and consist of 318 commercial banks, having an aggregate capital of $20,752,493, surplus and undivided profits of $5,126,130, and deposits of $33,600,334; 56 loan and trust com- 76 REPORT OF THE COMPTROLLER OF THE CURRENCY. panies with capital of $27,283,337, surplus and undivided profits of $8,8k-J5,484, and deposits of $46,424,912; 79 savings-banks, of which 46 report capital amounting to $6,006,310. The aggregate surplus and undivided profits of the 79 savings-banks is $10,909,428, and their aggregate deposits amount to $124,046,733. The 689 private banks report capital to the amount of $22,496,628, surplus and undivided profits $8,186,799, and deposits $53,836,683. A comparison of these returns with those of last year will show an increase of 602 institutions reporting officially, a decrease of 165 reporting unofficially, a net gain of 437. The returns indicate an increase of about 11 per cent, in the number of institutions reporting, and nearly D per cent, in aggregate assets. Since the Comptroller's last report it is known that at least 337 banks have been organized with a capital exceeding $17,000,000. As much interest attaches to the operations of the savings-banks of the country, a special effort has been made to collect and tabulate all obtainable information relative thereto. The abstract p. 220, shows returns, official and unofficial, from mutual and stock savings banks, separated and aggregated, the average amount due each depositor in <each class by States, the average of all by classes, and the average of all banks combined. In 1888 reports were received from 801 savings-banks, of which 628 were mutual institutions; this year 849 reported, of which 637 are mutual. Of the latter number all but 17 are located in the New England States and in New York, New Jersey, Pennsylvania, Delaware, and Maryland. Information relative to the rates of interest paid is not sufficiently complete and accurate to permit of a statement giving the exact average rate, but it is probably about 4 per cent., the figures given showing that the rates range between 3 and 5 per cent. It might be interesting to compare the earnings of the mutual savingsbanks with those of savings-banks having capital stock, but it has been impossible to ascertain the earnings of the latter, owing to the fact that few institutions report dividends paid and interest allowed depositors. The benefit to depositors in each class, however, appears to be about the same. In the Appendix tables will be found, showing by States and Territories, the condition of these banks as obtained from official sources, and from banks direct, classified as unofficial returns; aggregate resources and liabilities of each class, and from both sources; comparative statements of condition of State banks, 1872 to 1889; loan and trust companies, 1884-1885 to 1888-1889; savings-banks, 1884-1885 to 1888-1889; growth of savings-banks, as shown by deposits, by States, 1849-1850 to 1888-1889; and deposits in savings-banks, number of depositors, and .average amount due each, by States, in 1887-1888 and 1888-1889. REPOKT OF THE COMPTROLLER OF THE CURRENCY. 77 The following tables present summaries of this information: AGGREGATE RESOURCES, LIABILITIES, AND CONDITION OF STATE BANKS, LOAN AND TRUST COMPANIES, AND SAVINGS AND PRIVATE BANKS, ORGANIZED UNDER STATE AND TERRITORIAL, LAWS. (FROM OFFICIAL SOURCES.) ; State banks. Loan and trust, companies. i 1, 353 banks. 64 banks. I Savingsbanks. 770 banks. Private banks. Total. 635 banks. 2, 822 b a n k s . RESOURCES. $29,208, 798 $25,380,657 , $537,785,441 $2,173,163 Loans on real estate $594, 548, 059 Loans on collateral security 139, 005, 092 6, 725, 254 88, 322, 957 153,211,063 ! other than real estate '. 387, 264, 366 42,346, 139 j 68, 320, 288 25, 731, 267 343, 631, 070 480, 028, 764 Other loans and discounts 801, 489 722, 659 2, 626, 792 20,971 , Overdrafts 4,171.911 2,980,922 144,441,587 125, 278 United States bonds 26,56.', 689 ! 174,110, 476 State, county, and municipal ; 250, 758,198 320,250 i 3, 323, 567 300 254,402, 315 bonds j 8. 887,196 78,984, f>66 144,500 ! Railroad bonds and stocks I 88, 016, 262 428,185 41, 821, 693 3,400 • Bank stocks I 42,253,278 23, 752, 980 98, 352, 605 31,783,929 Other stocks and bonds 1, 267, 919 155,157,433 Due from other banks and | 19", 282,168 57, 806, 070 j 6, 044, 922 bankers i 71,270,490 154, 403, 650 Real estate, furniture, and fix22, 034, 544 9, 516, 861 26, 364, 893 tures 3,792,267 61, 708, 565 Current expenses and taxes L, 672, 676 161,103 I 260,812 279,326 ! 2, 373, 917 paid 19, 854, 529 23, 047, 399 4,810,039 | 174, 242, 731 Cash and cash items 126, 530, 764 4, 965, 290 10, 691, 842 1,081,493 I 25, 438, 537 Other resources _ 8, 699, 912 Total 729, 231, 004 337, 693, 398 1, 478, 441, 975 i 52, 753, 887 : 2, 598,120, 264 LIABILITIES. 17, 305, 538 145, 899, 089 32,162,600 Capital stock 20, 877, 998 117, 864, 651 44, 938, 615 Surplus fund 9, 079, 632 18, 296,682 14, 776, 292 Other undivided profits 5, 298, 950 Debenture bonds outstanding .. 120,139 State-bank notes outstanding... 621,018 213,945 5, 642 Dividends unpaid 253,187, 987 16,607,386 Individual deposits 473, 484,147 1, 303, 737, 206 Savings deposits — State, county, and municipal 274, 469 139, 425 deposits Deposits of State, county, and 669, 227 103, 532 municipal disbursing officers.. Due to other banks and bank40,912,502 2, 612, 026 917, 863 ers X14, 260, 260 3, 329, 006 7, 670, 550 Other liabilities 337, 693, 398 1, 478, 441, 975 Total \ 729,231,004 15, 542, 062 2, 816, 752 818, 555 210,909, 289186, 498, 016 42, 971,161 5, 298, 950 120,130 850, 907 10, 302 29,347,035 j 772, 626, 555 1, 303, 737, 206 413, 894 772,759 1,414,907 2, 804, 274 45, 857, 298 28, 064, 090 52, 753, 887 2, 598,120, 264 78 REPORT OF THE COMPTROLLER OF THE CURRENCY. AGGREGATE RESOURCES, LIABILITIES, AND CONDITION* OP STATE BANKS, LOAN AND TRUST COMPANIES, AND SAVINGS AND PRIVATE BANKS. (FROM UNOFFICIAL SOURCES.) State banks, j trust I ! companies. | 318 banks. 56 banks. i?XJS?8" banks> 79 banks. Private banks. Total. 689 banks. 1,142 banks. RESOURCES. Loans on real estate Loans on collateral security other than real estate Other loans and discounts Overdrafts United States bonds State, county, and municipal bonds.. Railroad bonds and stocks Bank stocks Other stocks and bonds Due from other banks and bankers.. Real estate, furniture, and fixtures.. Current expenses and taxes paid Cash and cash items Other resources Total $1,919,571 ' $27,968,388 $29, 587, 703 $6, 213, 572 9, 260, 235 32, 992, 757 10, 39, 1, 1, 444, 932 70, 800 663, 552 175, 922 307, 268 1, 925, 349 8, 548, 890 3,220, 893 354,124 6, 679, 400 240, 916 66,804,609 40, 398, 991 2,145,129 62, 986 630, 512 442,180 10, 465, 202 309,127 1, 923, 379 5,801,872 4, 938. 545 276, 915 5, 381, 997 2, 829, 862 $65,689,234 396, 466 749, 267 010, 554 296, 259 814, 383 470, 627 514, 770 1, 948, 904 13, 708, 251 5, 682, 111 536, 503 7,101, 827 763, 956 81,866,753 81,118,453 1, 530,194 16,479, 614 31, 301. 381 33, 570, 566 1, 573,126 9, 264,446 31, 787, 519 17,129,228 1, 500, 654 26, 044, 357 5, 901, 859 90, 207,450 404, 757, 384 6,006,310 I 22,496,628 9,360,882 | 5,449,764 1,548,546 j 2,737,035 76, 538, 768 22,608,402 10,439, 439 11, 603, 862 22 295, 934 136,415, 519 121, 493,143 21,811,061 6, 231, 300 11, 722 14, 482, 043 29, 381, 266 22,458,815 441, 961 3, 466, 814 3, 728, 506 3, 287, 679 333,112 6, 881,133 2, 067,125 103,575,085 j 144,170,240 LIABILITIES. Capital stock 20, 752,493 3, 091, 849 Surplus fund , 2,034,281 Other undivided profits Debenture bonds outstanding 22 State-bank notes outstanding 141,820 Dividends unpaid 33, 600, 334 Individual deposits Savings deposits State, county, and municipal de- !j 323,943 posits Deposits of State, county, and mu72, 002 - nicipal disbursing officers 2, 254, 529 Due to other banks and bankers . . . 4, 533, 336 .Other liabilities Total. 66, 804, 609 27,283, 337 4, 705, 907 4,119, 577 11, 603, 862 58,036 j 46,424, 912 24,533 16, 318 401, 546 8,937,057 39,054 2, 553, 590 121,493,143 57,024 53, 836, 683 1,089,208 46,763 j 3, 777 74,460 3, 043, 715 103, 575, 085 144,170, 240 563, 025 2, 017,453 2, 355, 869 655,122 4, 747,988 18, 869, 977 90,207, 450 404,757,384 79 REPORT OP THE COMPTROLLER OF THE CURRENCY. AGGREGATE RESOURCES, LIABILITIES, AND CONDITION OF ALL STATE BANKS, LOAN AND TRUST COMPANIES, AND SAVINGS AND PRIVATE BANKS. Official. Unofficial. Total. 2,822 banks. | 1,142 banks. | 3,964 banks. RESOURCES. Loans on real estate Loans on collateral security other than real estate. Other loans and discounts Overdrafts United States bonds. State, county, and municipal bonds . Railroad bonds and stocks Bank stocks. Other stocks and bonds Due from other banks and bankers . Real estate, furniture, and fixtures . Current expenses and taxes paid Cash and cash items Other resources $594, 548, 059 387, 264, 366 480, 028, 764 4,171, 911 174,110,476 254, 402, 315 88, 016, 262 42, 253, 278 155,157,433 154, 403, 650 61, 708, 565 2, 373, 917 i 174,242,731 I 25,438,537 ' 2, 598,120, 264 j Total. $65, 689, 234 81,866,753 81,118,453 1, 530,194 16, 479, 614 31, 301, 381 33, 570, 566 1,573,126 9, 264, 446 31,787,519 17,129, 228 1, 500, 654 26, 044, 357 5, 901, 859 $660, 237,293 469,131,119 561,147,217 5,702, 105 190, 590, 090 285, 703, 696 121, 586, 828 43, 826,404 164,421, 879 186 191,169 78, 837,793 3, 874, 571 200, 287, 088 31,340,396 404, 757, 384 j 3, 002, 877, 648 LIABILITIES. Capital stock Surplus fund Other undivided profits Debenture bonds outstanding State-bank notes outstanding Dividends unpaid Individual deposits Savings deposits „• State, county, and municipal deposits Deposits of State, county, and municipal disbursing officers Due to other banks and bankers Other liabilities Total. 210,909,289 I 186,498,016 42,971,161 I 5,298,950 I 120,139 ! 850,907 ' 772, 626, 555 1, 303, 737, 206 413, 894 772, 759 45, 857, 298 28, 064, 090 2, 598,120, 264 76, 538, 768 22, 608,402 10, 439,439 11, 603, 862 22 295, 934 136, 415,519 121, 493,143 1, 089, 208 287,448, 057 209,106, 418 53,410,600 16,902,812 120,161 1,146, 841 909,042, 074 1, 425, 230, 349 1, 503,102 655,122 4, 747, 9K8 18, 869, 977 1,427,881 50, 605. 286 46, 934, 067 404,757,384 3, 002, 877, 648 80 REPORT OF THE COMPTROLLER OF THE CURRENCY. N U M B E R , CAPITAL, STOCK, S U R P L U S AND U N D I V I D E D P R O F I T S , AND D E P O S I T S O P ALL STATE BANKS, L O A N AND T R U S T COMPANIES, AND S A V I N G S ( M U T U A L ANX> STOCK) AND P R I V A T E BANKS, 1888-'8(J. OFFICIAL. Classes. State "banks Loan and t r u s t companies Savings-banks (mutual) Savings-banks (stock) Privatebanks i No. i [ banks. ' .'. j Total 1353 64 604 166 635 2822 ; i Surplus and undivided profits. Capital. : $145,899,089 $59,714,907 i 32,162,600 I 29, 957, 630 I ! 129, 139, 330 17.305,538: 7,022,003 ! 15,542,062 i 3,635,307 Deposits. $473, 484,147 253,187,987 1,166,134,245 154, 210, 347 29, 347, 035- 229,469,177 2, 076, 363, 761 Surplus and undivided profits. 210,909,289; Deposits. UNOFFICAL. Classes. State banks Loan and trust companies . Savings-banks (mutual) ... Savings-banks (stock) Private banks No. banks. 318 56 33 46 689 1,142 Total. Capital. $20, 752, 493 27, 283, 337 $5,126,130 6,006,310 j 22,496,628 76, 538, 768 8, 825, 484 8, 852, 948 2, 056, 480 $33,600, 334 8,186, 799 46, 424, 912 104, 252, 768 19, 793, 965 53, 836, 68a 33, 047, 841 257, 908, 662 OFFICIAL AND UNOFFICIAL. Classes. State banks Loan and trust companies Savings-banks (mutual) . . Savings-banks (stock) Private banks Total No. banks. 1,671 120 637 212 ! 1,324 Capital. ! Surplus and i undivided [ profits. $136, 651, 582 $64, 841, 037 59,445, 937 23, 311, 848 38, 038, 690 ; 3,964 i 287,448,057 38,783,114 137, 992, 278 9, 078, 483 11, 822,106 Deposits. $507, 084, 481 29!), 612, 8991, 270, 387, 013 174, 004, 312" 83,183,718 262, 517, 018 ! 2, 334, 272, 423 A table in the Appendix, page 208, shows, by States and Territories, the estimated population of each on June 1, 1889, and the aggregate capital, surplus, undivided profits, and individual deposits of national and State banks, loan and trust companies, and savings and private banks in the United States, .at date of reports of the various classes nearest thereto, the average of these per capita, and the per-capita average of such resources in each class of banks, from which it appears that the estimated population of the United States was 64,403,000, and total banking funds $5,201,671,790, an average of $80.77. The percapita averages of such resources in each class of banks are : National banks, $35.98; State banks, $11.47; loan and trust companies, $6.18 ^ savings-banks, $25.07, and private banks, $2.07. The distribution of the circulating medium of the country, as shown by the cash holdings of the national, State, private banks, and savings institutions, on or about the close of the fiscal year ended June 30? 1889, is exhibited in the table following. The total cash on hand in the 3?9(J4 institutions reporting officially and unofficially is $200,287,088, REPOET OF THE COMPTROLLER OF THE CURRENCY. 81 of which $27,340,167 is assumed to be gold, that amount including $20,349,790 held by the California banks, $ 1,514,3L8 silver coin, 838,534.570 legal tenders, national-bank notes, and coin certificates, 817,835,227 specie, and $115,062,737 representing cash, not classified. STATEMENT SHOWING THE AMOUNT OF GOLD, SILVER, ETC., HELD BY NATIONAL BANKS OX JULY 12, 1889, AND OTHER BANKING INSTITUTIONS ON OR ABOUT THE SAME DATE. National banks. Classification. Gold coin Gold certificates Gold certificates, (clearing-house* Silver, dollars Silver, fractional Silver certificates National-bank notes Legal-tender notes Fractional currency Specie, not classified Cash, not classified Total Other (C964) banking institutions. $73, 907, 010 $27, 340,167 69, 517, 790 8, 744, 000 6, 786, 780 ! > 4,495.682 ;$ 1, 514, 381 12, 452, 057 j 24, 761, 487 ':} | 97,45(5,832 [$ *38, 534, 576 j 719, 274 ;. ! I 17, 835, 227 ! | 115, 062, 737 I 298,841,462 200,287,088 Total. $101, 247, 777 69, 517, 790 744, 000 12, 796, 793 12, 452, 057 160, 752, 895 719, 274 17, 835, 227 115, 062, 737 499,128, 550 * A n d coin certificates. CONCLUSION. In concluding this report the Comptroller desires to say that he has purposely avoided the discussion of the various plans which have been suggested for substituting other securities for United States bonds as a basis for circulation, and has confined himself to the presentation of those changes in the law which will be generally accepted as practicable, and which will be most likely to meet favorable consideration by Congress. That such substitution may be safely made is considered practicable by many who are regarded as authority upon banking questions. That an acceptable plan will eventually be evolved from the necessities of the situation is probable. But the consideration of propositions looking to the adoption of untried measures involves a delay which is fraught with danger to the national banking system in its present exigency. The adoption of the amendments proposed in this report will meet present urgent necessities and afford an opportunity for mature deliberation before adopting more radical measures. On October 31, last, the bonded debt of the United States was $838,521,712, of which amount $647,288,850 becomes payable in 1907. During the eighteen years wThich must expire before these bonds mature, many changes in present conditions are likely to take place which will afford relief to the national banks. The receipts of the Government will no doubt be brought nearer in amount to its necessary expenditures, and the present rapid payment of the public debt arrested. It is even possible that the Government may become a borrower within the period named, for we can hardly expect that it will escape the complications which are incident to national existence even under the most favorable conditions. In any event it is highly probable that some modification will be made as to the rate of interest now paid by the Government upon its bonds so as to bring their par and market value nearer to equality and render it unnecessary for the banks to carry such heavy premium accounts. 9460 CUR 6* 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. It is assumed by the Comptroller that a large majority of the people of the United States are opposed to the substitution of long-date bonds for the existing issues, and that any extension of the time when the interest-bearing debt is to become payable would meet with disfavor. It is practicable, however, to reduce the interest on the debt by a process which would work a saving to the Government and not extend the time when the bonds could be called in for payment. The present purchases by the Government for the sinking-fund of 4 per cent, bonds net 2.16 per cent, per annum, which represents, substantially, the rate at which the Government can now borrow upon twenty-year bonds. New bonds could be issued in all respects like the 4 per cents now outstanding, except in the rate of interest which could be reduced to 2\ per cent. These new bonds could be exchanged for fours, h\ paying the holder the present value, at 4 per cent., of the difference in interest between 2£ per cent, and 4 per cent., for the period intervening between the date of exchange and the maturity of the bonds. This is a plan which has many able advocates and seems to me to be advantageous to both the Government and the bond-holders. It would furnish a basis for national-bank circulation much more acceptable than the present bonds. The Government now realizes but 2.16 per cent, annual interest on bond-purchases, while, under the plan proposed, it would save 4 per cent, upon the prepayments. This subject, however, will undoubtedly be fully discussed in the report of the Secretary of the Treasury, and is noticed here, briefly, only by reason of its connection with national bank-note circulation. The Comptroller can not close his report without expressing his high appreciation of the integrity, loyalty, and efficiency of the officers and clerks with whom he has been associated in the conduct of the affairs of the Bureau. He desires especially to gratefully acknowledge the valuable services rendered in the compilation of the statistical matter included in this report. EDWARD S. LACEY, Comptroller of the Currency. The SPEAKER OF THE HOUSE OF REPRESENTATIVES. APPENDIX. NAMES AND COMPENSATION OF OFFICERS AND CLERKS IN THE OFFICE OF THE COMPTROLLER OF THE CURRENCY, OCTOBER 31, 1889. Xame. Edward S. Lacey Jesse I). Abrahams .. Georgo M. Coffin Watson W.Eldridge. Andrew J. Hay Thomas McGrain George B. Faxon Hopkins J. Hauford Theodore O. Ebaugh Charles J. Stoddard Charles E. Brayton Edward A. Demaray Willis J. Fowler John A. Hebivw T. May Edmund E. Schrein Charles McC. Taylor Walter Taylor Thomas P. Kane Harriet M. Black Sarah F. Fitzgerald Edward S.May Washington K. McCoy Isaac C. Miller Joseph K, Miller Frank E. Patterson Charles A. Stewart William D. Sw-an* Ephraim S. W ileox George II. Wood William E. Colladay Eliza R. Hyde R. Le Roy Livingston Mary L. McCormick Morris M. Ogden Carrie L. Pennock Margaretta L. Simpson Arthur M. Wheeler Eveline C. Bates Margaret L. Browne Willard E.Buell Sarah F. Cartwright Therese E Tilley Anna M. Whiteside Frederick Widdows Eliza M. Barker Alice M. Kennedy Lafayette J. Garner Thomas H.Austin Philo L. Bush Louisa Campbell . George B. Chamberlin. Virginia H. Clarke Sarah G. Clemens Geraldine Clifford Mary L. Conrad Bessie P. Cowe!l Edward W. Creccy William S. Davenport Elizabeth E. Ege Mary K. Ellis Mary E. F^wer Margaret E. Goodin" Mary B. Harvell....1; Salary. Grade. Comptroller Deputy Comptroller. Chief of division do do . do . Superintendent Teller Book-keeper Assistant book-keeper Fourth-class clerk. do do .do do . : do do Stenographer Third-class clerk -lo ; do do do - -' do j do . ! do . .do . ! do do Second-class clerk do ! do . ' do I do i ..do J do do First-class clerk .do . .do . do . .do . .do . ; do . j Clerk. » j do ... j Engineer.. Clerk ! do ... .do . .do . .do . .do . .do . .do . .do . .do . j do . do . .do . .do . .do . .do . * Additional as bond clerk, $200. $5, 000 2,800 2, 200 2, 200 2, 200 2,200 2, 000 2,000 2, C O O 2, 000 1, 800 1, 800 1,800 1,8(10 | i 1,800 1, 800 1, 800 1, 800 1,000 1, 000 1, 600 1,600 1, 600 1,(300 1, G O O 1, 000 1,600 1,600 1,6(0 1,600 1,400 1, 400 1,400 1,400 1,400 1,400 1,400 1, 400 1, 200 .1, 200 1, 'J00 1,200 1, 200 1,200 1,200 1, 000 1,000 1,000 900 900 900 900 900 900 900 900 900 900 9(0 900 900 900 900 900 86 REPORT OF TIIE COMPTROLLER OF THE CURRENCY. NAMES AND COMPENSATION OF O F F I C E R S AND CLEKKS I N T H E O F F I C E O F COMPTROLLER OF T H E CURRENCY, OCTOBER :\l, lrfc?9—Continued. Name. L u c r e t i a W . Knowlton E m m a Lafayette ( harles E . Lewis George R . M a i hie Loren H. Milliken Franklin L. Mitchell Margaret F. Ogden Mary E. Oliver William W. Ponltney Marie Richardson Francis M. Richardson Hannah Sanderson Eliza A. Saunders Ebenezer South all Mathilda C. Stoffregen Warren E. Sullivan Sarah A. W. Tiffey Julia C. Townsend William Griffiths Silas Holmes Frank B. Reynolds John F. Robertson Langston W. Allen W. Frank Robey Samuel M. Freeman Richard S. Camper John Earle Daniel H. Mason Herman Stiebeling I Grade. Clerk do do do do do do do do do . . . . do do . . . do do do do do do Messenger. ... Assistant messenger. do do Watchman . do Fireman Laborer do do ! do Salary. $900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 900 8iO 720 720 720 720 720 720 660 600 660 (360 EXPENSES OF T H E OFFICE OF T H E COMPTROLLER OF T H E CURRENCY FOR T H E Y E A R E N D E D J U N E 30, 1889. For special dies, plates, printing, e t c F o r salaries F o r salaries, reimbursable by national b a n k s $41, 632. 80 101,547.32 15, 938. 85 T h e contingent expenses of t h e office are not paid b y t h e Comptroller, b u t from t h e general appropriation for contingent expenses of t h e T r e a s u r y D e p a r t m e n t ; no separate account of them is k e p t . A DIGEST OF NATIONAL-BANK CASES. CONTENTS* I. Constitutional law. (1) Powers of Congress ; (2) Powers of the States. IT. Powers and liabilities of national banking associations. (1) Implied powers; (2) As to collateral securities; (3) Special deposits; (4) Government securities; (5) Certified check; (6) Purchasing check; (7) Stocks; (8) Deposits to secure performance of contracts; (9) Loans in excess of one-tenth capital; (10) Real estate; (11) Certificates of deposit; (12) Lien on dividends; (13) Contracts and obligations of old corporation ; (14) Place of business; (15) Circulating notes; (16) Business of liquidating association. III. Ultra vires. (1) Dealing in stocks; (2) Purchasing negotiable paper; (3) Lending credit; (4) Mortgages on real estate; (5) When association can not set up want of power. IV. Stock. (]) Purchasing its own stock; (2) Lien en stock; (3) Maybe attached; (4) Capital set free belongs to shareholders ; (5) Contract to give shares for business; (G) Transfer of stock; (7) Subscriptions to increase of capital stock ; (8) Specific performance of contract to sell. V. Shareholders. (1) Estopped to deny incorporation ; (2) Individual liability. VI. Officers. (1) Tenure of office; (2) Bonds of officers ; (3) Directors must act as a board; (4) Borrowing of association ; (5) Liability for violations of law; (6) Directors of converted banks; (7) Retirement of directors. VII. Interest. (I) What interest associations may take; (2) On claims against insolvent and liquidating associations ; (3) Usury. VIII. Insolvent associations. (1) Not subject to bankrupt act; (2) What constitutes insolvency; (3) Assets a trust fund; (4) United States has no priority; (5) Claims for torts; (6) Preferences; (7) Basis for estimation of dividends; (8) Set-off; (9) Claim for breach of contract of lease. IX. Receivers. (1) Officer of the United States ; (2) Whom he represents ; (3) How far subject to Comptroller's orders; (4) Power of courts to appoint; (5) Debtors of association can not question legality of appointments; (6) Receiver's decision not final; (7) Sale by; (8) Contracts of; (9) Expenses of receivership for association which has gone into liquidation. * Cases which turned upon a peculiar state of facts, and many which hut reiterate settled principles, have been omitted; also, a few which are reported so badly or so meagerly that the precise points decided do not clearly appear. 87 88 REPORT OF THE COMPTROLLER OF THE CURRENCY. X. Taxation. (I) What may be taxed : (2) Rate ; (3) Valuation ; (4) Exemptions; (5) Collection of tax from association; (G) License tax; (7) Powers of taxing-officers; (8) Enforcement of taxes ; (9) Location of association for taxing purposes. XL Jurisdiction. (1) Jurisdiction of Federal courts prior to the act of July 12,1882; (2) Jurisdiction of Federal courts subsequent to act of July 12,1882; (3) Jurisdiction of State courts; (4) United States can not be subjected to jurisdiction of court; (5) Citizenship. XII. Suits. (1) By and against associations; (2) By shareholders; (3) By receivers; (4) By creditors of insolvent association; (5) For usury; (6) To enforce liability of shareholders; (7) Execution; (8) Attachments; (9) Abatement; (10) Estoppel; (11) Suits against liquidating associations ; (12) Transitory and local suits ; (13) Survival of suits. XIII. Evidence. (1) Certificate of Comptroller ; (2) Evidence of insolvency; (3) Necessity for assessment by Comptroller. XIV. Crimes. (1) Under United States laws; (2) Under State laws; (3) Term " United States currency" in penal statutes. REPORT OF THE COMPTROLLER OF THE CURRENCY. 89 I. CONSTITUTIONAL LAW. 1. POWERS OF CONGRESS: (a) Congress has the constitutional power to incorporate banks. (McCulloch v. Maryland, 4 Wheat, 316 ; Osborn v. Bank of the United States, 9 Wheat, 738.) (b) Congress has power to clothe national banking associations, as to their contracts and dealings with the world, with any special immunities and privileges exempting them, in their trade and intercourse with others, from the laws and remedies applicable in like cases to other citizens. (The Chesapeake Bank v. The First National Bank of Baltimore, 40 Aid., 269.) \c) Thus, the provision of the banking law that no attachment, injunction, or execution shall issue against a national banking association before fin;$l judgment in any suit, action, or proceeding in a State court is constitutional. (Ibid.) (d) The tax imposed on State or national banks paying out the notes of individuals or State banks used for circulation is constitutional. (Veazie Bank v. Fenno, 8 Wall, 533.) '(•e) So is the tax imposed on them for paying out the circulating notes of municipal corporations. (2/erchants' National Bank of Little Boek v. United States, 101 U. S..I.) (/) Such a tax is not a direct tax within the meaning of the clause of the Constitution which declares that "direct taxes shall be apportioned among the several States according to their respective numbers." (Veazie Bank v. Fenno, and Merchants1 National think of Little, Rock v. United Slates, supra.) (g) Congress having, in the exercise of undisputed constitutional powers, undertaken to provide a currency for the whole country, may secure the benelit of it to the people by appropriate legislation. '(Veazie Hank v. Fenno, supra.) (h) Congress has the power to divest the United States courts of their jurisdiction of suits by or against national banking associations. (National Bank of Jefferson v. Fare et al, U. S. C. C. (E. I). Texas), 25 Fed. Rep., 209.) 2. POWERS OF THE STATES : (a) National banking associations, being instruments designed to aid the Government in the administration of a branch of the public service, can not be controlled by the States, except in so far as Congress may see proper to permit. (Farmers and Mechanics' Bank v. Dearing, 91 U. S., 29.) (b) No authority from the State is necessary to enable a State bank to convert itself into a national banking association. (Casey v. Galli, 94 U. S., 673.) (c) National banking associations located outside of a State are subject to its restraining acts prohibiting all corporations, not authorized by the law of the State, from keeping therein offices for the purpose of discount and deposit. (National Bank of Fairharen v. The Bhanix Warehousing Company, 6 Hun, 71.) (d) It is competent for a State by penal enactments to protect its citizens in their dealings with natioual banking associations located within the State. (State v. Fuller, 34 Conn., 280; see also Taxation and Jurisdiction.) II. POWERS AND LIABILITIES. 1. IMPLIED POWERS : To the enumerated powers of national banking associations are to be superadded all the powers incidental to the business of banking. (Pattison v. Syracuse National Bank,fcON Y., 82.) 2. AS TO COLLATERAL SECURITIES : (a) A national banking association may take stock of a corporation as collateral security for a loan. (Shoemaker v. The National Mechanics' Bank, 2 Abb. U. S., ±16;*CatifieldY. The State National Bank of Minneapolis, U. S. C. C. (Dist. Minn.), 1 Northwestern Reporter, 173.) (b) And it may take for such purpose the stock of another national banking association. (National Bank v. Case, 99 U. S., 628.) NOTE.—But this point was not necessary to the decision of the case, 90 REPORT OF TUP: COMPTROLLER OF THE CURRENCY. '2. As TO COLLATERAL SECURITIES—Continued. (c) A national banking association may take a pledge of personal chattels as security for a loan. (Pittsburgh Locomotive and Car Works v. State National Bank of Keokuk, U. S. C. C. (Eighth Circuit, 1875), 2 Cent. L. J., 692.) (d) A national banking association may take as security for a loan the indorsement of a married woman, charging her separate estate. Such security is to be treated as personal security, within the meaning of the banking law, and not as a mortgage. (Third National Bank v. Blake, 73 N. Y., 260.) (e) A national banking association may take as collateral security for a loan a warehouse receipt for merchandise. (Cleveland, Brown <r Co. v. Shoeman, J 40 Ohio St., 17(1) ( / ) A national banking association may take as security for a loan the stock of a corporation whose entire capital is vested in real estate. Such a loan does not amount to a lending upon mortgage. (Baldwin v. Canfield,26 Minn., 43.) (g) An agreement by a natior.al banking association to the effect that, in case a note discounted by it shall not be paid, a mortgage given by the maker to his indorser shall inure to the benefit of the association, is not inhibited by the national banking law. (First National Bank v. JJ'ire, 36 Iowa, 443 ; see also National Bank v. Matthews, 98 U. #., 621.) (//) A national banking association having taken a mortgage on real estate to secure a debt previously contracted may, in order to protect itself, pay off a prior lien on the said real estate; and the lien which it thus acquires it may enforce. (Ornn v. Merchants'1 National Bank, 16 Ivans.. 341; Holmes v. Boyd,<dQ Ind., 332.) (i) Where a national banking association has taken collaterals to secure a loan, and, after the loan has been repaid, holds them to secure future advances, it is not a gratuitous bailee ; and it is responsible for the loss of such collaterals occasioned by its lack of ordinary care and diligence, though at the time the bailor was not indebted to it. (Third National Bank of Baltimore v. Boyd, 44 Md.t 47.) 3. SPECIAL DEPOSITS: (a) A national banking association may receive special deposits. The provision in section 5228, Revised Statutes, authorizing an association "to deliver special deposits" implies that it may receive them as a part of its legitimate business; and this implication is as effectual as an express declaration to the same effect would have been. (National Bank v. Graham. 100 U. S., 699.) (b) National banking associations have power to receive special deposits either gratuitously or otherwise. (Pattison v. Syracuse National Bank, 80 N. Y., 82.) (c) But the executive officers of an association can not bind it as a gratuitous bailee, unless they have a special authority from the board of directors so to do, or there exists a general custom or usage to that effect. (First National Bank of Lyons v. Ocean National Bank, 60 N. T., 278.) 4. GOVERNMENT SECURITIES : (a) National banking associations can engage in the business of dealing in and exchanging Government securities. ( Van Leuvenv. First National Bank, 54 N. ¥., 671; Yerkes v. National Bank of Port Jervis, 69 N. Y., 383; Leach v. Hah, 31 Iowa, 69.) (b) And where an association receives United States bonds of cue class for the purpose of having them converted into bonds of another class, it is not a mere mandatary, but is responsible for the failure to deliver the bonds on demand. (Leach v. Hale, supra.) 5. CERTIFIED CHECK: A national bankingassociation in a y " certify " a check. A "certified" check is not within the meaning of section 5183, Revised Statutes, which prohibits the issuing of post-notes or any notes to circulate as money other than such as are authorized by the national banking law, (Merchants7 National BankY. State National Bank, 10 Wall., 604.) 6. PURCHASING CHECK: A national bank may buy a check drawn upon another bank; and whether the check is payable to order or to bearer is immaterial. (First National Bank of Bo Chester v. Harris, 108 Mass., 514.) 7. STOCKS : (a) A national banking association, in the compromise of a claim growing out of its legitimate business, may take railroad stock. (First National Bank of Charlotte v. National Exchange Bank of Baltimore, 92 U. S., 122.) REPORT OF THE COMPTROLLER OF THE CURRENCY.. 91 7. STOCKS—Continued. (b) And when necessary to do so, it may pay the difference between the value of the stock and the amount of the claim. (Ibid.) (c) A national banking- association may take and hold the coupons of municipal bonds, and may maintain actions thereon. (First National Bank ofNorth J>ennington v. Town of Bennington, U. S. C. C. (Dtet. Ft.), Browne's N. B. Can., 437; see also Lyons v. Lyons National Bank, 19 Blalch., 279.) 8. DEPOSITS TO SECURE PERFORMANCE OF CONTRACT : A national banking association may receive a deposit to be held by it as security for the faithful performance of a contract between the depositor and another. (BushneU v. The Chauiauqua County National Bank, 10 Hun, 378.) NOTE.—But the court put the decision upon the further ground that even were the contract ultra vires, the association, having received the deposit, was 'estopped from setting up its want of power. 9. LOANS IN EXCESS OF ONE-TENTH CAPITAL : (a) Sec. 5200, Revised Statutes, which provides that the total liabilities to any association of any person, etc., shall not exceed one-tenth part of the capital stock paid in, was intended onK for the guidance of the association, and, though its franchises may be liable to forfeiture for violation of the law, the association -may recover of the borrower the full amount of the loan. (Gold Mining Company v. Rocky Mountain National Banl\96 U.S., 640 ; 0'Hare v. Second National Bank of Titusville, 77 Pom. St., 96 ; Shoemaker v. The National Mechanics1 Bank, 2 Abb. U.S.. 416 ; Stewart v. National Union Bank of Maryland, 2 Abb. U. S., 424.) (b) A note is not illegal because at the time it was discounted by the association the maker was indebted to the association in a sum equal to more than one-tenth part of its capital. (O'Hare v. Second National Bank of Titusville, supra.) (c) And a court of equity will not enjoin an association, at the instance of the borrower, from transferring to innocent third persons notes and securities, on the ground that the notes represent part of a loan made in excess of 10 per cent, of t i e capital of the association. (Elder v. First National Bank of Ottawa, 12 [Cans., 238.) (d) Where a State bank makes a loan to one person of an amount in excess of one-tenth part of its capital, and is afterward converted into a national bank, it may, after conversion, extend the time for payment of such loan without violating section 5200, Revised statutes. (Allen v. The First National Bank of Xenia, 23 Ohio St., 97.) 10. REAL ESTATE: (a) Where a national banking association acquires real estate which it is not authorized to take, the conveyance to it is not void, but only voidable. And the title of the association to such real estate is good until assailed in a direct proceeding by the Government. (Reynolds v. Crawfordsville Bank, 112 U. S., 405 ; see also'National Bank v. Maiihews, 9S U. s', 62L ; National Bankv. Whitney, 103 U.S.. 99: Swope \. LcffingweU, 105 U. S., 3 ; Foriier v. New Orleans Bank, 112 U. S., 439.) (b) The amount of real estate which a national banking association may purchase to secure a pre-existing debt is not limited to the exact amount of the debt, but as much may be purchased as is necessary to secure the debt due, so long as the security of such debt is the real object of the purchase. (Upton v. National Bank of South Reading, 120 Mass., 153.) (c) Where the purpose is to secure a debt previously contracted, a national banking association may take a conveyance of real estate worth more than the debt, and pay the difference between the debt and the value of the property. (Libbyv. Union National Bank, 99 III., 6<;2.) (d) Where a national banking association sells real estate it may take a mortgage thereon to secure the payment of the purchase-money. (Neiv Orleans National Bank v. Raymond, 29 La. Ann., 355.) 11. CERTIFICATES OF DEPOSIT: National banking associations may issue certificates of deposit. Such certificates are not post-notes within the prohibition of section 5183, Revised Statutes. (Huntv. Appellant. Supreme Court of Mass., May 7, 1886; Riddle v. First National Bank, U. S. C. C. (TV. D. Penn.), 27 Fed. Rep., 503.) 12. LIEN ON DIVIDENDS : An association has an equitable lien upon dividends declared for any just debt due to it from the shareholders. (Hager v. Union National Bank, 63 Me., 509.) 92 REPORT OF THE COMPTROLLER OF THE CURRENCY. 13.. CONTRACTS AND OBLIGATIONS OF OLD CORPORATION : (a) Where a State bank has been converted into a national banking associa> tion it may enforce all contracts made with it while a State corporation. {City National Bank v. Phelps, 97 JS\ Y., 44.) (b) And it is liable, after the conversion, for all the obligations of the old institution. {Coffee v. The National Bank of Missouri, 46 Mo., 140 ; Kelsey v. The National Bank of Crawford, (59 Penn. St., 426.) {a) A national banking association organized as the successor of a State bank may take and hold the assets of the bank whose place it takes, though there was not in form a conversion from a State to a national corporation, but the organization of a new corporation. {Bank v. Mclntire, 40 Ohio St., 528.) {(I) And such association will be liable to the depositors of the former bank. {Bans v. Exchange Bank, 7VMo., 182.; 14. PLACE OF BUSINESS : (a) The provision requiring lt the usual business " of the association to be transacted " at an office or banking-house in the place specified in its organization certificate" must be construed reasonably; and a part of the legitimate business of the association which can not be transacted at the banking-house may be done elsewhere. {Merchants' Bank v. State Bank, 10 Wall., 604.) {b) Although the general business of a national banking association is to be transacted at its place of business, yet, if the association is fully advised of the facts, and does not object, and there is no fraud, its officers, when acting within the general scope of their authority, may bind it by acts done at another place. {Burton v. Barley, 9 Bis*., 253.) (c) Under Revised Statutes, section 5190, providing that "the usual business of each national banking association shall be transacted at an office or banking-house located in the place specified in its organization certificate," a national bank can not make a valid contract for the cashing of checks upon it at a different place from that of its residence, through the agency of another bank. {Armstrong v. National Bank of Springfield, 38 Fed. Rep., 883.) (d) Whatever the terms of such an arrangement, being made before the date of the drawee bank's certificate of authorization, it is invalid under Revised Statutes, section 5136, providing that no banking association "shall transact any business except such as is incidental and necessarily preliminary to its organization, until it has been authorized by the Comptroller of the Currency to commence the business of banking." {Ibid ) 15. CIRCULATING NOTES : The circulating notes of a national banking association are valid, though they do not bear the imprint of the seal of the Treasury. Such imprint was intended to be simply evidence of the contract, and forms no part of the contract itself. (United States v. Bennett, 17 Blatch., 357.) 16. BUSINESS OF LIQUIDATING ASSOCIATION : After an association goes into liquidation there is no authority on the part of its officers to transact any business in its name so as to bind its shareholders, except that which is implied in the duty of liquidation, unless such authority has been expressly conferred by the shareholders. {Richmond v. Irons] 121 U. S., 27.) III. ULTRA VIRES. 1. DEALING IN STOCKS : (a) A national banking association is not authorized to act as a broker or agent in the purchase of bonds and stocks. {First National Bank of Allen town v. Hoch, 89 Penn. St., 324 ; Weckler v. The First National Bank of Hagerstown, 42 Md., 581.) {b) A national banking association can not deal in stocks. The prohibition is to be implied from the failure to grant the power. {FirstNational Bank v. National Exchange Bank, 92 U. S., 122.) NOTE.—But see as to its power to deal in Government securities, Powers, 4. 2. PURCHASING NEGOTIABLE PAPE* : A national banking association can not purchase negotiable paper. {Lnzear v. National Union Bank of Baltimore, 52 Md., 78; First National Bank of Rochester v. Pier son, 24 Minn., 140; see also Farmers and Mechanics1 Bank v. Baldwin, 23 Minn , 198. But see Smith v. The Exchange Bank of Pittsburgh, 26 Ohio St., 141.) REPORT OF THE COMPTROLLER OF THE CURRENCY. 93 3. LENDING CREDIT : (a) Ansiiional banking association can not lend its credit. (Johnston v. Charlottetrille National Bank, 3 Hughes, 657 ; Seligman v. Cliarlottesviile National Bank, 3 Huglus, 047.) (b) A national hanking; association can not guaranty the paper of n, customer for his accommodation. (Seligman v. ('harlottcsville National Bank, supra.) (c) The accommodation paper of a national hanking association is void in the hands of one who takes it: with knowledge of its character. (Johnston v. Cliarlottesville National Bank, supra.) 4. MORTGAGES ON RKAL ESTATE; (a) National hanking associations are by implication prohibited from taking mortgages on real estate as security for contemporaneous loans. (National Bank \\ Matthews, 98 U. 8., 021; Fowler v. Scully, 72 Penn. St., 450; Kansas Valley National Bank v. Rowell, 2 .Dill., 371; Commonwealth Bank v. Clark, 4 Mo., 59; Crocker v. Whitney, 71 N. Y., 1.61; Fridley v. Bowen, 87 77/., 151.) (fc) But where such security lias been taken, no one but the Government can be heard to complain that the association has exceeded its powers. (National Hanky. Matthews, supra; National Bank v. Whitney, 103 U. $.,99: Swopev. Leffingicell, 105 J7. S., 3: lleijnoldsY. National Bank, 112 £7. £., 405; Fortier v. National Bank, 112, l\ /?.', 439.) NOTE—These decisions overrule, on this point, Kansas Valley National Bank y. liowell, 2 Dili., 371 ; Crocker v. Whitney, supra; Fowler v. Scully, supra; Afaltheivs Y. Skinker, 02 Mo., 329; IFooda v. People's National Bank of Pittsburgh, H3 Perm. St., 57 ; Fridley v. Bowen, supra. 5. WHEN ASSOCIATION CAN NOT SET UP WANT OF POWER : Where a national hanking association has entered into a contract which it was not authorized to make, a party who has enjoyed the benefit of such contract can not question its validity. (Casey v. La Soci6te de Credit Mobiliery 2 Woods, 77 ; German National Bank v. Meadowcroft, 95 III., 124.) IV. STOCK. 1. PURCHASING ITS OWN STOCK: Where a national banking association purchases shares of its own stock, and divides them among its directors, to whom the shares are transferred upon the stock books, the transaction is void, and no title passes. (Meyers v. Valley National Bank, U. S. D. C. (K. Dist. Mo.), 13 National Bankruptcy Register, 34.) 2. LIEN ON STOCK: (a) A national banking association can not acquire a lien on the stock of a shareholder. And a by-law prohibiting a transfer until all liabilities of the shareholder to the association are discharged, or a provision to that effect in the certificates of stock, is void. (Bullard v. National Bank, 18 Wall., 589; Bank v. Lanier, 11 Wall., 369; Conklinv. The Second National Bank, 45 2V. Y., 655.) (b) A national banking association can not take a pledge of its stock to secure a deposit made by it with another bank. Such a transaction amounts to a lending upon the security of its own shares. (Bank v. Lanier, supra.) (c) Though a bank is prohibited from lendiug money upon the security of itsown shares, yet, if the shares have been sold and the proceeds applied to the payment of the debt, the courts will not aid the shareholder to recover the value of the shares. He can dispute the validity of the transaction only while the contract is executory, and the security still subsists in the possession of the bank. (National Bank of Xenia v. Stewart, 107 V. S.t 676.) 3. MAY BE ATTACHED : The stock of a shareholder indebted to it may be attached by the association and sold on execution. (Ragar v. Union National Bank, 63 Me., 509.) 4. CAPITAL SET FREE BELONGS TO SHAREHOLDERS : When a national banking association reduces its capital stock the amount of capital thus released belongs to the shareholders pro rata, and must be returned to them ; and it can not be retained by the association fora surplus. (Seeley Y.New York National Exchange Bank, 8 Daly, 400; S. C , 4 Abb. N. C.y 61; affirmed, 78 N. Y., 608.) 94 KKTOKT OF THE COMPTROLLER OF THE CURRENCY. 5. CoNTI!A< TS TO GIVE SHARES VOU IJL'SIXKSS : W l i ' i c an association has made or ratified a contract to give a person a certain number of the shares of its stock, upon condition tJiat lie will continue to <!'.> Ins business with it, and derives the benefit from this contract, the other party may recover of the association the value of the shares. {Rich v. State Sational Bank of Lincoln, 7 Xcbr., 2)31.) C. TKAXSFKI? OF STOCK: '«) The transfer of shares in national banking associations is not• governed by different rules from those which are ordinarily applied to the transfer of shares in other corporate bodies. (Johnson v. Lajiin, 10)-> U. S., 800.) (b) The entry of the transaction in the books of the association is required, not for the translation of the title, but for the protection of the parties, and miiers dealing with the association, and to enable it to know who are its stockholders/ (Ibid.) (c) A shareholder in a national bank, while it is a going concern, has the absc hue right, in the absence of fraud, to make a bona iide and actual sale and transfer of his shares, at any time, to any person capable in law of purchasing and holding the same, and of assuming the transferred liabilities in respect thereto ; and this right is not, in such cases, subject to the control of the directors or other stockholders. (Johnson v. Lajiin, 5 Dill., 65.) (d) Under the pretense of prescribing the manner thereof, an association can not clog the transfer with useless restrictions. (Johnson v. Laflln, supra.) (e) When a shareholder, acting in good faith, delivers his certificates of stock, with a blank power of attorney for making the transfer, and receives the purchase-money, the sale is complete and the title passes. (Ibid.) (f) Where a cashier, who is intrusted by the directors with the duty of transferring the stock of the association, refuses, for insufficient reasons, to transfer shares, and the association subsequently becomes insolvent, the owner of the shares may maintain an action against the receiver for the injury sustained. (Case v. Citizens' Baitk, 100 U.S., 446.) {(j) Where a shareholder who has sold his stock has delivered to the bank the c» rtificates of stock and a power of attorney with the request that the transfer be made upon the books of the bank, and has had no reason to suppose that such transfer was not made, he will not, should the bank afterward become insolvent, be held liable as a shareholder, although he still appears as such on the books of the bank. (Whitney v. Butler, 118 U.S., 655.) {') Hut where the president of the bank is himself the purchaser of the stock, then the delivery of the certificates and power of attorney to him with the request to make the transfer upon the books of the bank would not be sufficient to discharge the seller from liability as a stockholder. (Richmond v. Irons, 121 U.S., 27.) (i) Where a shareholder of a national bank makes a bona fide sale of his stock, and goes with the purchaser to the bank, indorses the certificate, and delivers it to the cashier of the bank, with directions to make the transfer on the books, he has done all that is incumbent upon him to discharge his liability, and he is not liable, though the cashier failed to make the transfer, upon the subsequent suspension of the bank, for an assessment made by the Comptroller of the Currency, under Revised Statutes, section 5151, to pay the bank's debts. (Hayes v. Shoemaker, 39 Fed. Rep. ,319.) 7. SUBSCRIPTIONS TO INCREASE OF CAPITAL STOCK: (a) Where one subscribes for shares in the increase of the capital of a national banking association in a certain amount, such subscription and payment are upon the implied condition that the increase shall be in the exact amount so fixed ; and if such amount is changed, the subscriber may avoid the subscription and recover the amount paid in. (Eaton v. Pacific Bank, 144 Jtfrtw. ,5*60.) (b) And the certificate of the Comptroller of the Currency that the amount of the increase in another sum has been paid in, which amount includes what was paid by the dissenting subscriber, will not be conclusive upon such subscriber. (Ibid.) (c) But if such subscriber has assented to or ratified the change he will be held a shareholder. (Delano v. Butler, 118 U. S., 634.) (d) National banks have no authority to increase their capital stock except as provided by Revised Statutes, sec. 5142, and act of Congress May 1, 1886; and where an increase is attempted to be made without obtaining the consent of two-thirds of the stock, the payment in full of the amount of such increase, and the certificate and approval of the Comptroller of the Cur- IMPORT OF TILE COMPTROLLER OF THE CURRENCY. 95 7. SCBSCKIPTIOXS TO IXCREASI: OF CAPITAL STOCK—Continued. HMICV, as required l)ty those statutes, the proceedings arc invalid, and preliminary subscriptions to such increase can not be enforced. (Armstrong v. Stan age at «•/., .'37 Fed. Hep., y>0^.) (e) \ subscriber wlio has made payments on his subscription to the proposed increase, believing that", the statutory requirements would be complied with ; s entitled to have the amount thereof ailowed as a claim against the assets < fthe bank in the receiver's hands. (Ibid.) 8. Sl'ECII- I.: PHRFOItMAXCti OK COXTKACT TO S^LL : A spi*;:iiic performance of a contract to sell the stock of a national banking association will not be enforced in favor of a purchaser who places his claim lor equitable relief upon the ground that he desires to obtain control of the association. Such an object is contrary to public policy. (Foil's Appeal, HI Penn. St., 434.) V. SHAREHOLDERS. 1. ESTOPPED TO DENY IXCOUPORATIOX: A shareholder who has held himself out to the world as such is estopped to deny that the association was legally incorporated. (Casey v. Galli, 94 U. £.*, 073; Wheelockx. Kost, 11 111., 296.) 2. IxDivnrjAL LIABILITY: (a) The question whether there is a deficiency of assets, and when it is necessary to enforce the individual liability of shareholders, is for the Comptroller to determine ; and his decision in this matter is final and conclusive. (Kennedy v. Gibson, 8 Wall., 498; National Bank v. Case, 99 U. S., 628; Casey v. Galli, 94 V. 5., 673.) (b) The amount contributed by each shareholder should bear the same proportion to the whole amount of the deiicit as his own stock bears to the whole ;i mount of the capital stock at its par value. And the solvent shareholders can not be made to contribute more than their proportion to make good the deficiency caused by the insolvency of other shareholders. ( United States v. Kiiox, 102 U. S., 422.) (c) A shareholder who disposes of his stock will continue to be liable thereon until the transfer is noted on the books of the association. (Boicdell v. Farmers and Merchants1 National Bank of Baltimore, U. S. C. C. (D. Md., 1877), lirowne's N. B. Cas., 147.) (d) The individual liability of a shareholder adheres to his estate after his death until his place as a member of the association is taken by some new shareholder. (Davis v. Weed, U. S. I). C. (Dist. Conn.), reported 44 Conn., 569.) (e) The receiver has a valid claim against the estate generally of a deceased shareholder who died prior to the insolvency of the bank, but; whose stock has not been transferred. (Richmond v. Irons, 121 U. S., 27; Davis v. Weed, supra.) (f) And the fact that the title to the stock of a deceased shareholder vests in his administrator does not relieve the estate from the burden of an assessmeut. (Davis v. Weed, supra.) (g) Nor will the fact that the administration is complete, and all the assets have been distributed, defeat an action brought to recover the assessment. (Ibid. But see Witters v. Sowles.) (h) One who appears on the books of the association as the owner of shares of its stock is individually liable, though he hold the stock merely as collateral security. (National Bank v. Case, 99 1U. 8., 628; Moore v. Jones, 3 Woods, 53; Bowdell Y. Farmers and Merchants National Bank of Baltimore, supra) Hale v. Walker, 31 Iowa, 344; Wheelock v. Kost, supra.) (i) But where a pledgee, for the express purpose of avoiding a personal liability, and before the association becomes insolvent, or is in danger of insolvency, transfers the stock to au irresponsible person, he, the pledgee, will not be liable to contribute as a shareholder. (Anderson v. Warehouse Company, 111 U. 8., 479.) (j) And where stock has been transferred as collateral security for a loan, with the understanding that in case of default in the payment of the loan the shares shall be sold, the transferee, upon default made, and before the bank closes its doors, may sell the stock for a nominal consideration, though his purpose be to avoid a personal liability ; and such a transaction can not be set aside as a fraud upon the creditors of the association. (Magruder\. Colston 44 Md., 349.) NOTE.—The court put the decision upon the ground that the sale was in pursuance of a stipulation which formed a part of the contract between the 96 REPORT OF THE COMPTROLLER OF THE CURRENCY. 2. INDIVIDUAL LIABILITY—Continued. original owner and his transferee. See also Tlolyoke Bank v. Burnham, 11 Cush., 187, upon the authority of which the Maryland case was decided. (7i) If the trusteeship of one who holds stock in trust, does not appear upon the books of the association he will be individually liable. (Davis v. Essex Baptist Society, U. S. I). C. (Dint. Conn,), reported U Conn., 582.) (I) A transfer of shares for the purpose of avoiding liability, though made u out and out," is void. (National Bank v. Case, supra', Bowdenv. Santos, 1 Hiiglies, 158.) (m) And where a shareholder, who has knowledge of the insolvent condition of the bank, transfers his shares, without consideration, to a person unable to respond to the assessment, the transfer may be set aside and the individual liability of the transferrer enforced. (Bowden v. Johnson, 107 U. S., 251.) (n) The real owner of the stock is liable as a stockholder, though when he purchased the stock he had it transferred upon the books to another. (Davi$ v. Stevens, 17 Blatch., 259.) NOTE.—The ca>e of the owner of the stock is thus different from that of a pledgee. (See Anderson v. Warehouse Company, supra.) (o) Where shareholders have assessed themselves to the amount of the par value of the stock for the purpose of restoring impaired capital, the contributions made in pursuance of such assessment, though all used in paying the debts of the association, will not so operate as to discharge the shareholders from their individual liability. (Delano v. Butler, 118 U. £., 634.) {})) The individual liability of the shareholders of an insolvent association may be enforced for the purpose of paying all of its liabilities, and not merely for the purpose of paying its u debts," technically so called. (Stanton v, Wilkeson, 8 Ben., 357.) (q) The individual liability of the stockholders must be restricted in its meaning to such contracts, debts, and engagements of the association as have been duly contracted in the ordinary course of its business. And, therefore, creditors of an association who make settlements after the Association is put into liquidation and receive from the president payment of their claims in paper of the association, or the individual notes of the president himself, indorsed or guaranteed in the name of the association, are not to be considered as creditors of the association entitled to subject the stockholders to individual liability; for these are new contracts. (Richmond v. Irons, 121 U. S.,27.) (r) The individual liability of the stockholders is enforcible only in behalf or all the creditors, and any security given by a stockholder for his liability in this respect should likewise be for the benefit of all the creditors. Accordingly, a mortgage of all the individual property of a stockholder, made after the bank has closed it doors, for the purpose of securing a single depositor, is void as against a judgment obtained against such stockholder in an action by the receiver to recover the amount of his individual liability. (Gatch v. Fitch, 34 Fed. Hep., 566.) (s) Where a married woman is by the State law capable of holding stock in a national bank in her own right, she is liable to an assessment upon her shares, though the law of the State does not authorize married women to bind themselves by contracts for the payment of money. The law annexes her obligations by its own force ; no act or capacity to act on her part is required. ( Witters v. Sowles, 35 Fed. Rep., 640; S. C, 32 Fed. Rep., 767.) (t) While it is undoubtedly the rule as regards stockholders that orie put upon the books as a stockholder without his consent can not be held for any liability in respect to such stock, yet where the person to whom the stock: is transferred is a director of the bank, and is concerned in the managemeut of its affairs, he must be presumed to have knowledge of the fact that the stock stood in his name, and if he has not repudiated the transfer to himself, is liable as the holder of such stock. (Brown v. Finn, 34 Fed. Rep., 124.) (M) In such case the mere return of the dividends paid upon the stock to the person by whom the transfer was made will not be a sufficient repudiation thereof. (Ibid.) 3. WHEN LIABILITY DISQUALIFIES FROM VOTING : The provision of section 5144, Revised Statutes, which disqualifies shareholders * whose liability is past due and unpaid," from voting at meetings of share* holders, applies only to liability for unpaid subscriptions for stock. ( United States, ex rel. v. Barry, 36 Fed. Rep., 246.) REPORT OF THE COMPTROLLER OF THE CURRENCY. 97 VI. OFFICERS. 1. TENURE OF OFFICE : (a) The officers of a national banking association can hold tlieir positions only by the tenure specified in section 513(5, Revised Statutes, viz, the pleasure of the board of directors. (Harrington v. First National Bank of Chittenango, S. C.N. Y., 187'}; Tliomp. N. B. Cas., 761; see also Taylor v. Hntton, 4'3Bard,f 195.) (b) Directors of national banking associations may remove the president, both under the law of Congress and the articles of association, where the latter so provide. The power exists though the association has adopted no bylaws. (Taylor v. Jlutton, supra.) 2. BONDS OF OFFICERS : (a) Ifc is not necessary that national banking associations shall signify their approval of the official bonds of their officers by memoranda entered upon the journals or minutes of the directors. The acceptance is to be presumed from the retention of the bond, and from the fact that the officer is permitted to enter upon or continue in the discharge of his duties. (Grover v. The Lebanon National Bank, 10 Hush., 23.) (b) Where the sureties of an officer can reasonably be presumed to have been deceived by the statement of the condition of the bank published just prior to the execution of the bond, and to have been led to think that there was no deficit, whereas there had been a misapplication of a large part of the funds by the officer whose bondsmen they became, which fact would have been ascertained had the directors exercised ordinary diligence, the sureties are discharged from their liability. (Grocer v. The Lebanon National Bank, supra.) 3. DIRECTORS MUST ACT AS A BOARD : The election of an individual as a. director does not constitute him an agent of the corporation with authority to act separately and independently of his fellow members. It is the board duly convened and acting as a unit that is made the representative of the association. The assent or determination of the members of the board acting separately and individually is not the assent of the corporation. The law proceeds upon the theory that the directors shall meet and counsel with each other, and that any determination affecting the association shall be arrived at and expressed only after a consultation at a meeting of the board, attended by at least a majority of its members. (National Bank v. Drake, 35 Kans., 564.) 4. BORROWING MONEY OF ASSOCIATION : An officer may, in the ordinary course of business, borrow money of the association. (Blair v. First National Bank of Mansfield, U. S. C. C. (N. D. Ohio) 1877, 10 Chicago Legal News, 84.) 5. LIABILITY FOR VIOLATIONS OF LAW : (a) All directors who participate in and assent to a loan in excess of one-tenth of the capital of the bank, in violation of section 5200, Revised Statutes, will be liable to the bank for all damages sustained by it in consequence of such loan. (Witters v. Soivles, U. S. C. C. (D. V.), 3L Fed. Rep., 1.) (b) If a cashier, without authority from the directors so to do, makes a loan in excess of one-tenth of the capital of the association, he will be liable, in case of loss, for the amount of the excess. (Second National Bank of Oswego v. Burt, XIV New York Weekly Digest, 290. Reversed in Court of Appeals on ground that transaction was discount of bill of exchange drawn against actually existing values, 93 N. Y., 233.) (c) The directors of a national bank will not be held liable for loss occasioned to the bank through the frauds of a co-director in which they had no part and which were perpetrated without their connivance or knowledge. It is not sufficient to charge them, with liability that the frauds might have been prevented by the exercise OR their part of a proper degree of supervision over the affairs of the bank. (Movius v. Lee, U. S. C. C. (N. JJ. N. Y.)} 30 Fed, Rep., 298.) 6. DIRECTORS OF CONVERTED BANKS : (ft) When a State bank is concerted into a national banking association all of the directors at the time will continue to be the directors of the association until others are appointed or elected, though some of them may not have joined in the execution of the articles of association and organization certificate. (Lock-wood v. The American National Bank. 9 R. /., 308.) 94G0 CUR 7* 98 REPORT OF THE COMPTROLLER OF THE CURRENCY. 6. DIRECTORS OF CONVERTED BANKS—Continued. (b) And, semble, that the directors of a bank at thu time of its conversion into a national banking association are not required to take the oath of directors. (Ibid.) (c) But even were the oath required, a majority of all who were directors at the time of the conversion, and not merely a majority of those who take the oath, are necessary to constitute a quorum. (Ibid.) 7. RETIREMENT OF DIRECTORS : (a) The law providing no particular mode by which a director is to resign from the board, an oral resignation would be as good as any. (Movius v. Lee, 30 Fed. Rep., 298.) (b) The president being the head of the board, a resignation to him is a resignation to the boaid. (Ibid.) (c) A director is not prohibited from resigning during the year. The apparent purpose of the provision in regard to the term of office is to make it conform to the time of the new7 election, and not to absolutely require every director to serve the full term. (Ibid.) VII. INTEREST. 1. WHAT INTEREST ASSOCIATIONS MAY TAKE : (a) The provision in section 30 of the act of 1864 " that where, by the law of any State, a different rate is limited for banks of issue organized under State laws, the rate so limited shall be allowed for associations organized in any such State under the act," is enabling, and not restrictive; and, therefore, a national banking association in any State may stipulate for as high a rate of interest as by the laws of such State a natural person may, although State banks of issue are restricted to a less rate. (Tiffany v. National Bank of the State of Missouri, 18 Wall., 409.) (b) But it is not to be inferred from Tiffany v. National Bank of Missouri that whatever by the laws of the State is lawful for natural persons in acquiring title to negotiable paper by discount is lawful for national banks, (National Bank v. Johnson, 104 U. S.f 271.) (c) The interest which a national banking association may charge is limited to the rate allowed to the banks of the State generally; and the fact that a few of the State banks are specially authorized to take a higher rate is not a warrant for a national banking association to do so. (Duncan v. First National Bank of Mount Pleasant,U. S. D. C. (W. 1). Fenn., 1878), 11 Bank Mag., 787; Gruber v. First National Bank, 87 Fenn. St., 468.) (d) Where the State law does not limit the rate of interest which may be charged on loans to corporations, a national banking association located in that State can not charge more than 7 per cent, interest on such loans. (In re Wild, 11 Blaich., 243.) {e) Where by the statutes of the State parties are authorized to contract for any rate of interest, national banking associations in that State may likewise contract for any rate, and are not limited to 7 per cent. (Hinds v. Marmelejo, 60 Cal, 229 ; National Bank v. Bruhn, 64 Tex., 571.) 2. ON CLAIMS AGAINST INSOLVENT AND LIQUIDATING ASSOCIATIONS : (a) A depositor in a national banking association wThich has become insolvent is entitled to interest on his deposit. (National Bank of Commonivealth v. Mechanics' National Bank, 94 U. S., 437.) (&) He is entitled to interest from the date of the suspension of payments; and f no demand upon the association is necessary. (Chemical National Bank v. Bailey, 12 Blatch., 480.) (c) Claims, when proved to the satisfaction of the Comptroller, are upon the same footing as if put in judgment, and therefore bear interest; and the fact that, under certain circumstances, there might be thus a compounding of interest will not defeat the right to interest. (National Bank of Commonwealth v. Mechanics7 National Bank, supra.) (d) But where a creditor has obtained judgment against an insolvent national banking association for the full amount of his claim and interest, he is not entitled to interest upon the face of the judgment, but only upon the amount of the claim at the time of the failure. ( RTiile v. Knox, 111 U. S., 784.) (e) The creditors of an insolvent national banking association in the hands of a receiver are entitled to interest on their claims during the period of administration. (Chemical National Bank v. Baileys supra.) REPORT OF THE COMPTROLLER OF THE CURRENCY. 99 2. ON CLAIMS AGAINST INSOLVENT AND LIQUIDATING ASSOCIATIONS—Continued. ( / ) The assessments made by the Comptroller upon the shareholders of an insolvent association bear interest from the date of the order. (Casey v. Galli, 94 TJ. S., 673.) (g) In the case of book accounts in favor of depositors, interest begins to run against an association in liquidation from the date of the suspension of business. (Richmond v. Irons, 121 U. S., '27.) 3. USURY: (a) The usury laws of the States do not apply to national banking associations. (Farmers and Mechanics'' Bank v. Bearing, 91, TJ. #.,29; Central National BankY. Pratt, 115 Mass., 539; First National BankY. Gorlinghouse, 22 Ohio St., 492; Davis v. Randall, 115 Mass., 547; Hintermister v. First National Bank, 64 N. Y., 212.) (b) And the remedies provided by the State1 for the taking of usury can-not be resorted to. (Farmers and Mechanics Bank v. Bearing, supra; Wiley v. Starbuck, 44 Ind., 298.) (c) The taking of illegal interest by a national banking association does not render the contract void. (Farmers and Mechanics1 Bank v. Bearing, supra.) (d) It does not invalidate an indorsement or a guaranty of the notes upon which the usurious interest was paid. (Gates v. First National Bank of Montgomery, 100 TJ. S., 239 ; Lazear v. National Union Bank of Baltimore, 52 Md.,78.) (e) But usury destroys the interest-bearing power of the obligation ; and there will be no point of time from which it can bear interest. (Lucas v. Government National Bank, 78 Penn. St., 228.) ( / ) The usury works a forfeiture of the entire interest accruing after maturity and before judgment, as well as that which accrues before maturity. (Shunk v. The Fir at National Bank of Gallon. 22 Ohio St., 508.) (g) The discounting of business paper by a national banking association at a higher than (lie legal rate is usurious, though the law of the State fixes no limir. to the rate which natural persons may take for the discount or purchase of such paper. (Johnson v. National Bank of Gloversville, 74 N. Y., 329: affirmed in National Bank v. Johnson, 104 TJ. S., 271.) (h) By charging more than legal interest on overdrafts, a national banking association loses the right to recover any interest at all. (Hard National Bank of Philadelphia v.'Miller, 90 Penn. St., 241.) (i) The liabilities of antecedent parties to a note or bill will not be affected by the usurious character of the transaction between the payee and the association ; and the association may recover the full amount of the note or bill from the maker or acceptor. (Smith Y. The Exchange Bank of Pittsburgh, .26 Ohio St., Ul.) (j) Usurious interest which has been paid to a national banking association can not be applied by way of payment or set-off in any action bv the association to recover the amount of the loan. (Barnet v. Muncie National Bank, 98 TJ. S., 855.) (k) Nor can the penalty for taking the usurious interest be recovered by way of counter-claim in such action, but a separate action must be brought therefor. (Ibid.) NOTE.—This case overrules portions of the decisions in Lucas v. Government National Bank, supra ; Overholt v. National Bank. 82 Penn. St., 490; Cake v. The First National Bank of Lebanon, 83 Penn. St., 303. (/) A director is not by reason of his position estopped from setting up the defense of usury in an action brought against him by the association. (Bank of Cadiz v. Slemmo7is,M Ohio St., 142.) (m) Where a national banking association has discounted notes for another bank at a usurious rate of interest, the fact that the other bank has charged illegal interest on those notes to its customers will not afreet its right to set up the defense of usury in av action by the association. (Third National Bank of Philadelphia v. Miller, supra.) (n) The amount which may be recovered from the association as a penalty is twice the amount of interest paid, and not simply twice the amount in excess of the legal rate. (Crocker v. First National Bank of Chetopa, TJ. S. C. C. (Eighth Circuit), 3 Am. L. T. [N. S.], 350; Overholt v. National Bank of Mount Pleasant, 82 Penn. St., 490; see also Barnet v. Muncie National Bank, supra.) 100 REPORT OF THE COMPTROLLER OF THE CURRENCY. VIII. INSOLVENCY. 1. NOT SUBJECT TO BANKRUPT ACT: National banking associations were not subject to the bankrupt act while that act was in force. (In re ?Janufac1'urtra' Rational Bank, 5 Hiss., 499.) 2. WHAT CONSTITUTES INSOLVENCY : The term '* insolvency/' as used in section 524*2, Revised Statutes, forbiding transfer of the assets of national banking associations after, or in contemplation of, such insolvency, has the same meaning as it had when applied to traders in the bankrupt act; that is, it does not mean an absolute inability of a debtor to pay his debt at some future time, upon a settlement and winding up of his affairs, but a present inability to pay in the ordinary course of business. (Case v. Citizens7 Bank of Louisiana, 2 Woods, 23 ; Market Bank v. Pacific National Bank, 30 Hun, 50.) 3. ASSETS A TRUST FUND: Upon the appointment of a receiver all the assets of the association become in his hands a trust fund which the statute of limitations does not touch or affect. (Kiddle v. First National Bank, U. S. C. C. (W. D. Penn.), 27 Fed. Hep., 503.) NOTE.—But. this point was not necessary to the decision of the case, for suits against insolvent corporations are by a law of Pennsylvania expressly excluded from the operation of the statute. 4. UNITED STATES HAS NO PRIORITY: (a) Section 3466, which gives the United States a priority for all claims it has against insolvent debtors, does not apply to the case of an insolvent national banking association. (Cook County Rational Bank v. United States, 107, U. S., 445.) (b) And as against the proceeds of the bonds deposited to secure circulation the United States can set off no claim, except for money advanced to redeem the notes. (Ibid.) (c) And upon the failure of an association its five \)er cent, redemption fund can not be retained by the Treasurer to pay taxes due to the United States, but the fund passes to the Comptroller as an asset of the association. (Jackson v. United States, 20 CL Cls., 293.) 5. CLAIMS FOR TORTS : Claims arising out of the non-feasance or malfeasance of the association should be paid ratably with the debts, technically so-called. (Turner v. The First National Bank of Keokuk et al., 26 Iowa, 562.) 6. PREFERENCES: (a) A preference, to be within the meaning of section 5242, Revised Statutes, must be given to an existing creditor to secure a pre-existing debt. A transfer by an insolvent bank to secure a contemporaneous loan is not a violation of the law. (Casey v. La Societe de Credit Alobilier, 2 Woods, 77.) (b) The insolvency need be in the contemplation of the bank only. It need not be known to the person to whom the transfer is made. (Casey. Citi~ Zens' Bank of Louisiana, supra.) (c) After the directors of an insolvent association have voted to close its doors, any transfer of assets whereby a creditor secures a preference must be presumed to be made with an intent to prefer. (National Security Bank y. Price, 22 Fed. Hep., 697.) (d) Where the officers of an association which is in danger of insolvency,/or the purpose and in the expectation of preventing a failure, make a pledge of securities to a depositer to induce him not to withdraw his deposit, such a pledge is not a preference within the meaning of section 5242, Revised Statutes, and will not be set aside when the association afterwTard is declared insolvent. (Roberts v. Hill, 23 Fed. Rep., 311.) (e) Where an insolvent association receives a deposit a short time before closing its doors, its officers knowing of the insolvency at the time, the receipt of such deposit is a fraud upon the depositor, and no title passes to the association ; and, therefore, the depositor may reclaim the whole amount of the deposit; and as he claims under his original title, and not under a transfer from the association, such reclamation does not amount to a preference. (Cragie et al. v. Hadley, 99 N. Y., 131. REPORT OF THE COMPTROLLER OF THE CURRENCY. 101 6. PREFERENCKS—0Olltill IIO«1. ( / ) But a creditor will not have a lieu upon the funds of the association because checks given in settlement of balances were fraudulent, and were given at a time when the bank was hopelessly insolvent, and its officers were contemplating flight;. (Citizens' National Bank v. Dowelf 35 Fed. Rep., 340.) (#) Where the proceeds of an item endorsed "for collection and return" were mingled with other moneys of the bank, if it was a breach of trust it was a conversion and plaintiff became a simple contract creditor, with no preference at law. {Philadelphia National Bank v. Doted, if. S. C. C., N. C.) 7. BASIS FOR ESTIMATION OF DIVIDENDS : In estimating the dividends to be paid out of the assets of an insolvent association, the value of the claims at the time when the insolvency is declared is to be taken as the basis of distribution. ( White v. Knox, 111 U. S., 784.) 8. SET-OFF: (a) A person liable upon a note to an insolvent national bank may set off against his indebtedness the amount of his deposits with the bank. (Plait v. Beniley^ Thorn. N. B. Cas., 758.) (b) But a debtor can not set off the amount of a deposit assigned to him after the act of insolvency committed. (The Venango National Bank v. Taylor, 56 Penn. St., 14.) (c) Where a note has not matured when the bank which has discounted it becomes insolvent, the maker, in an action against him by the receiver, can not set off the amount of his deposit with the bank at the time of the insolvency. (Armstrong v. Scott, 3(> Fed. Rep., 63.) 9. CLAIM FOR BREACH OF CONTRACT OF LEASE : Where a national bank has leased a banking-house for along term of years, and subsequently becomes insolvent, but during the time it continued business had not defaulted in paying the rent, the lessor has no claim against the receiver by reason of the insolvency or dissolution of the corporation or the forfeiture of its franchises, or by the refusal of the receiver to take under the contract, and pay the rent. (Fidelity Safe Deposit and Trust Co. v. Armstrong, 33 Fed. Rep., 507.) IX. RECEIVERS. 1. OFFICER OF THE UNITED STATES : A receiver, when appointed by the Comptroller, with the concurrence of the Secretary, is an officer of the United States. (Stanton v Wilkeson, 8 Ben., 357.) 2. WHOM HE REPRESENTS : He represents the bank, its stockholders, and its creditors; but he does not in any sense represent the Government. (Case v. Terrell, 11 Wall., 199.) 3 . HOW FAR SUBJECT TO COMPTROLLER'S ORDERS I (a) The clause of section 50, act of 1864, which prescribes that the receiver shall be "under the direction of the Comptroller," means only that he shall be subject to the Comptroller's direction, not that he shall not act without orders. He may bring suit to collect assets without having been instructed to do so by the Comptroller. (Bank v. Kennedy, 17 Wall.) (b) The receiver of a national bank is the instrument of the Comptroller, and may be removed by him. (Kennedy v. Gibson, 8 fl7all., 505.) 4. POWER OF COURTS TO APPOINT : (a) The power of the Comptroller to appoint a receiver is not exclusive; it does not oust the courts of equity of their authority in the matter; and therefore a court of competent jurisdiction may place the bank in the hands of a receiver in cases where, according to the rules of equity, it may pursue such a course with regard to insolvent corporations generally. (Irons v. Manufacturers' National Bank, 6 Biss., 301; Wright v. Merchants' National Bank, I Flippin, 56L.) (&) Where a bank has gone into voluntary liquidation, and the Comptroller has no power to appoint a receiver, a proper court, in a case where such action is necessary to protect the interests of a creditor, will appoint a receiver for it. (Irons v. Manufacturers'1 National Bank, supra.) 102 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4. POWER OF COURTS TO APPOINT—Continued. (c) Where a, national bank is insolvent, and in process of voluntary liquidation, and its affairs are being greatly mismanaged by its managing agents, to the injury of its creditors and stockholders, and some of the creditors and stockholders are being favored to the injury of others, a receiver may be appointed in such a case, even where the bank only has been made a defendant. (Elwood v. First National Bank, 21 Kans., 073.) 5. DEBTORS OF ASSOCIATION CAN NOT QUESTION LEGALITY OF APPOINTMENT: The legality of the appointment of the receiver can not be questioned by the debtors of the bank when sued by him. The bank may move to have the appointment set aside, but the debtors can not. (Cadle v. Baker, 20 Wall., 650 ; see also Plait v. Beebe, 57 N. Y., 339.) 6. RECEIVER'S DECISION NOT FIXAL : The decision of a receiver rejecting'a claim is not final. The claimant still has the right to sue. (Bank of Bethel v. Fahquioque Bank, 14 Wall., 383.) 7. SALE BY : (a) The receiver can not sell the real or personal property of the bank without an order from a court of competent jurisdiction. (Ellis v. Little, 27 Kans., 707.) (b) Nor can he sell upon terms in conflict with the order. (IMd.) (c) And under an order permitting him to sell the property of the bank he can not exchange, trade, or barter it for other property. (Ibid.) (d) A sale made by a receiver under order of a court is to all intents and purposes a judicial sale. (In re Third National Bank, 9 Bias., 535.) 8. CONTRACTS O F : (a) As the power of a receiver of a national bank appointed by he Comptroller is limited, a person dealing with him in his official capacity is bound as a matter of law to have knowledge of his authority to act, and if contracts and agreements are entered into with the receiver in excess of his authority as conferred by law, the parties contract at their own peril, and the estate of the bank can not be charged for the default or inability of a receiver acting outside of his functions as receiver and beyond the duties which it involves. (Ellis v. Little, 27 Kans., 707.) (b) The receiver can not charge the estate of the bank by any executory contract, unless authorized so to do by the provisions of tin? national banking law, and the order of a court of competent: jurisdiction obtained upon the terms of said law. (Ibid.) 9. EXPENSES OF RECEIVERSHIP FOR ASSOCIATIONS WHICH HAVE GONE INTO LIQUIDATION : Where, after an association has gone into liquidation, a receiver is appointed at the instance of the creditors, the expenses of such receivership must be paid by the creditors. The shareholders can not be made individually liable for such expenses. (Richmond v. Irons.) X. TAXATION. 1. WHAT MAY BE TAXED: (a) A State can not tax the capital stock of a national bank, as such. The tax must be assessed upon the shares of the different stockholders. (Collins v. Chicago, 4 Biss., 472.) (b) The entire interests of the shareholders may be taxed without any deduction for that portion of the capital which is invested in United States securities. (Van Allen v. The Assessors, 3 Wall., 573.) (c) New shares issued by a national banking association cannot be taxed until the increase of capital has been approved by the Comptroller of the Currency. (Charleston v. People's National Bank, 5 S. C, 103.) (d) The manifest intention of the law is to permit the State in which a national bank is located to tax, subject to the limitations prescribed, all the shares of its capital stock without regard to their ownership ; and, therefore, a national bank may be taxed upon the shares which it holds in another national bank. (Bank of Redemption v. Boston, 12(3 U. S., (JO.) (e) The undivided surplus of a national banking association, unless invested in Federal securities, may be lawfully taxed by the State. (North Ward National Bank of Newark v. City of Newark, 10 Vroom, 380; First National Bank v. Peterborough, 56 N. H., 38.) REPORT OF THE COMPTROLLER OF THE CURRENCY. 103 1. WHAT MAY BE TAXED—Continued. (/) But, of course, if the surplus is taken into consideration in estimating the taxable value of the shares, it is not, to be taxed separately. (North Ward National Bank v. City of Newark, supra.) NOTE.—Hut it has been held in Maryland that the stock of an association represents its whole property, and where a tax is assessed upon the shares a separate tax upon the real or personal estate amounts to double taxation ; and, therefore, where the organic laws of the State prohibit double taxation, such a tax upon the property of an association is void. (County Commissioners v. Farmers and Mechanics' National Hank, 48 Md., 117 ; see also National State Bank v. Fount/, 25 Iowa, 311, wherein it was held that the States could tax only the shares eo nomine and the real estate.) (g) The surplus fund of a national hanking association is not excluded in the valuation of its shares for taxation. (Strafford National Bank v. Dover, 59 iVr. II., 316.) ih) Where shares of stock are assessed at their actual cash value, without any deduction for the real estate owned by the association, the real estate should not be taxed eo nomine. (Commissioners of Rice County v. Citizens' National Bank of Faribanlt, 23 Minn., 280.) (i) The States can not tax the circulating notes of national banking associations. (Hornev. Greene, 52 Miss., 452; Contra Board of Commissioners v. Elston, 32 Ind., 27. See also Ruffin v. Board of Commissioners, 69 JV. C, 498; Lily v. The Commissioners, 69 N. C, 300.) 2. RATE: (a) Where the State banks are taxed upon their capital, no tax can be imposed upon the shares of national banking associations ; for as the capital of the State banks may consist of the bonds of the United States, which are exempt from State taxation, a tax on capital is not equivalent to a tax on shares. (Van Allen v. The Assessors, 3 Wall., 573j Bradley v. The People, 4 Wall,, 459.) (1)) But though the tax upon the State banks is not eo nomine a tax on shares, yet if it is equivalent to such a tax, the shares in the national banking associations located in that State may l>n taxed. (Frazer v. Seibern, 16 Ohio St., 614; YanSlyke v. State, 23 Wis\, 656; Boy noil v. State, 25 Wis., 112.) (c) Where by local legislation different rates are prescribed for different classes of moneyed capital, the rate imposed upon shares of national banks should approximate as closely as may be to the rate imposed upon other moneyed capital of the same or similar class, viz, shares of State banks. (City National Bank v. Paducah, U. S. C. C. (Sixth Circuit, 1877), 5 Cent. L. J., 347.) (d) Congress meant no more than to require of the States, as a condition to the exercise of the power to tax the shares in national banks, that they should, as far as they had the capacity, tax in like rnanuer the shares of banks of issue of their own creation. (Lionberger v. Rouse, 9 Wall., 468.) (e) Therefore, where a State has previously contracted with the banks which it has chartered that they shall not be taxed above a certain rate, a tax upon national-bank shares at a greater rate is not invalid, if this rate is not greater than that assessed upon all the moneyed capital within the State, except that of the State banks. (Ibid.) (/) Any system of assessment of taxes which exacts from the owner of the shares of a national banking association a larger sum in proportion to the actual value of those shares than it does from other moneyed capital, valued in like manner, taxes the shares at a greater rate, notwithstanding that the percentage of tax on the valuation is the same as that applied to other moneyed capital. (Peltonv. Commercial National Bank, 101 U. S., 143.) 3. VALUATION: (a) In estimating the value of the shares for the purpose of taxation reference may be had to all the property and values of the bank. (Saint Louis National Banky. Papin, U. S. C.C. (Eighth Circuit), 3 Cent. L. J., 669.) (b) If no excessive valuation is complained of, and a correct result is arrived at, equity will not restrain the collection of a tax because the method of computation was erroneous. (Ibid.) (c) The shares may be valued for taxation at an amount exceeding their face value, if this amount is not at a greater rate than the valuation set upon other moneyed capital in the State. (Hepburn v. School Director's, 23 Wall., 480.) (d) Under the statute of New York, shares in national banking associations should be taxed at their real or market value. (People v. The Commissioners of Taxes and Assessments, 94 U. S., 415.) 104 REPORT OF THE COMPTROLLER OF THE CURRENCY. 3. VALUATION— Continued. (e) Where shares in national banking associations are purposely valued proportionally higher than the other moneyed capital in the State, the assessment is void. (Pelton v. National Bank, 101 U. S., 143.) (/) And the collection of what is in excess of the rate imposed on the other moneyed capital may be enjoined. {Ibid.) (g) It is not required that the States should abandon systems of taxation of their own banks, or of money in the hands of their other corporations, which they may think the most wise and efficient modes of taxing their own corporate organizations, in order to make that taxation conform to the system of taxing the national banks upon the shares of their stock in the hands of the shareholders; all that is necessary is, that the system of State taxation of its own citizens, of its own banks, and of its own corporations shall not work a discrimination unfavorable to the holders of the shares of the national banks. (Davenport Bank v. Davenport, 1 23 U. S., 83.) *: 4. EXEMPTIONS : (a) The intention of Congress was that the rate of taxation of the shares should be the same as, or not greater than, the tax upon the moneyed capital of the individual citizen which is subject and liable to taxation. (People v. The Commissioners, 4 Wall., 244.) (b) Therefore, it is not a ground of objection to the validity of a tax on shares that, while deductions for United States bonds are made from the personal estates of individuals and the capital of Stare corporations, no deductions are made on account of the capital of national banking associations invested in such bonds. (Ibid.) (c) The fact that by the statutes creating them, which statutes were passed prior to the national banking law, State banks are entirely exempt from taxation will not render a tax upon the shares of national banking associations void. (City of Richmond v. Scott, 48 Ind., 568.) (d) And a State tax upon shares in national banking associations is not rendered invalid by an exemption of the shares of other corporations the capital of which consists of property required to be listed for taxation as.such. (Mclver v. Robinson, 53 Ala., 456.) (e) Merely a partial exemption of other moneyed capital will not invalidate a tax upon shares in national banking associations. (Hepburn v. School Directors, 23 Wall, 480.) (/) But though Congress did not contemplate that there should be an absolute equality (which in the nature of things is impossible), yet it did intend that there should be a substantial equality; and therefore, if the exemptions in favor of other moneyed capital are so palpable as to show that there is a serious discrimination against capital invested in the shares of national banking associations, the tax will be declared unlawful. (Boyer v. Boyer, 113 U.S., 690.) (g) A State law wrhich does not permit a deduction to be made from the assessed value of bank shares for all debts due by the holder thereof, while authorizing such a deduction to be made from the assessed value of moneyed capital otherwise invested, is void. (People exrel. Williams v. Weaver, 100 U. S., 539, reversing S. C, 67N. Y., 516, and overruling People v. Dolan, 36 N. r.,59.) (h) In the assessment and taxation of shares of national-bank stock, the owners thereof, having no other credits or moneyed capital, are entitled to deduct their bona fide debts from the value of such shares of stock. (Wasson v. Bank (Ind.), 8 N. E. Rep., 97.) (i) Revised Statutes, section 5219, providing that shares of national-bank stock may be taxed as part of the personality of the owner, and that each State may tax them in its own manner, except, that the taxation shall not be at a greater rate than is imposed on other " moneyed capital" owned by citizens of the State, and that the shares of non-residents shall only be taxed in the city wherein the bank is located, do not authorize the taxation of the stock of a bank insolido by the city in which it does business, but only the shares of individual owners residing in the city are taxable, and they must be taxed separately, in order that the owner may deduct from their vaiue the amount of his personal indebtedness, where the State laws or municipal ordinances permit such deductions, and require equality of taxation. (First National Bank of Richmond v. City of Richmond, etal, 39 Fed. .Rep., 309.) (j) The main purpose of Congress in fixing limits to State taxation on investments in the shares of national banks, was to render it impossible for the State, in levying such a tax, to create and foster an unequal and unfriendly competition by favoring institutions or individuals carrying on similar business REPORT OF TPIE COMPTROLLER OF THE CURREFCY. 105 4. EXEMPTIONS—Continued. and operations and investments of a like character; and the language of the law is to be read in the light of this policy. And, therefore, the exemption of shares of stock in corporations, the business of which does not come into competition with that of the national banks (e. g., railroad companies, mining companies, manufacturing companies, and insurance companies), does not invalidate a tax upon national-bank shares. Capital thus employed is not "moneyed capital" within the meaning of the act of Congress. (Mercantile Bank v.New York, 121 U. £., 138.) (k) Bonds issued hy a State, or under its authority by its public municipal bodies, although they undoubtedly represent moneyed capital, yet as from their nature they are not ordinarily the subject of taxation, are not within the reason of the rule established by Congress for the taxation of nationalbank shares, and the fact that theStateexenipts them from taxation does not deprive it of the right to tax shares of stock of national banks in the State. {Ibid.) (I) Although deposits in savings-banks constitute moneyed capital in the hands of individuals within the terms of any definition which can be given of that phrase, yet they are not within the meaning of the act of Congress in such a sense as to require that, if they are exempted from taxation^ shares of stock in national banks must thereby also be exempted from taxation ; for it can not be supposed that savings-banks come into any possible competion with national banks. {Ibid.) 5. COLLECTION OF TAX FROM THE ASSOCIATION : (a) A State tax upon shares is valid, though the tax is collected from the bank. {National Bank v. Commomcealth, 9 Wall., 353.) {b) And the State may require the banks to pay a tax rightfully laid upon the shares. (Ibid.) (c) And where the tax on shares is payable by the association, the collection of the tax may he enforced by distraint of its property. {First National Bank v. Douglas County, 3 Dill., 330.) (d) But where the tax laws of the State make the bank the mere agent for paying the tax on shares, and direct it to retain so much of the dividends as will answer that purpose, other agents being required to pay taxes for their principals only when they have under their control the property, money, or credit of such principals, the bank can not be made liable unless it has the control of the property, etc., of its shareholders, or has dividends in its possession, or has failed to retain them. (Hershire v. The First National Bank, 35 loiva, 272.) 6. LICENSE TAX : (a) National banking associations can not be subjected to a license or privilege tax. (Mayor v. First National Bank of Ma con, 59 Ga., 648 ; City of Carthage v. First National Bank of Carthage, 71 Mo., 508; National Bank of Chattanooga v. Mayor, 8 Ileiskell, 814.) (I)) A State law prohibiting the establishment of banking companies in the State without authority of the legislature was not intended to apply to hanking corporations created by authority of Congress, since such corporations may he legally established in the State without the consent of the legislature. {Stetson v. City of Bangor, 56 Me., 274.) 7. POWERS OF TAXING OFFICERS : (a) Municipal officers can not assess a tax upon the shares of national banking associations until authorized to do so by some law of the State. (Stetson v» City of Bangor, 56 Me., 274.) (b) The officers of a national banking association can not be compelled to exhibit to the taxing officers of a State the books of the association showing the deposits of its customers. (First National Bank of Young si own v. Hughes, 17. S. C. C. (N. D/Ohio, 187*), Browne's N. B. Cas.y 176.) (c) The only remedy for the making of a false return to the auditor by the cashier of a bank, of the resources and liabilities of the bank for the purposes of taxation, is afforded by revised statutes of Ohio, sec. 2679, which provides that the auditor may examine the books of the bank, and any officer or agent of it under oath, and make out the statement, and any officer of the bank may be fined not exceeding $100 for failing to make the statement, or for willfully making a false one. (Miller v. First Rational Bank, Ohio, 21 N. E. Htj)^, 860.) (d) A national banking association is not exempt from examination by internalrevenue officers when it has in its possession any articles subject to an in- 106 REPORT OF THE COMPTROLLER OF THE CURRENCY. 7. POWERS OF TAXING OFFICERS—Continued. ternal-reveuue tax. Such an examination is not the exercise of a visitorial power, and, therefore, is not prohibited by the provision of section 5241, Revised Statutes, that the national banks shall not be subject to any visitorial powers except those authorized by the national-bank act or vested in the courts of justice. (United States v. Rhawn, U. S. I). C. (E. D. Penn.), Thomp. N. B.'Cas., 358.) (e) Where by the tax laws of a State a perpetual lien for taxes attaches to property only by virtue of a levy thereon, and such levy is not made prior to the insolvency of the bank, the taxing officers of the State will be restrained, at the instance of the receiver, from levying upon the property of an insolvent national bank, and selling it, for the purpose of collecting a tax. ( Woodward v. Ellsworth, 4 Colo., 580.) (/) A State may require the cashiers of national banking associations located within its territory to transmit lists of the shareholders to the taxing-officers of the various towns in which the shareholders reside. (Waite v. Dowley, 94 U. 8.., 5'27.) 8. ENFORCEMENT OF TAXES: A tax duly assessed upon shares may be enforced in accordance with the general laws of the State on that subject. (Weld v. City of Bangor, 59 Me., 416.) 9. LOCATION OF ASSOCIATION FOR TAXING PURPOSES: An association Which opens an office for the purpose of receiving deposits in another place than that in which it was organized does not become " located n in that place for purposes of taxation. (National State Bank of Camden v. Pierce, U. S. C. C. (E. B. Penn.), 18 Alb. L. J., 16.) XI. JURISDICTION. NOTE.—The jurisdiction of the Federal courts in national-bank cases was very materially changed by the proviso to the fourth section of the act of July 12, 1882. The proviso is as follows : " Provided, however, That the jurisdiction for suits hereafter brought by or against any association established under any law providing for national banking associations, except suits between them and the United States, or its officers and agents, shall be the same as, and not other than, the jurisdiction for suits by or against banks not organized under any iaw of the United States which do or might do banking business where such national banking associations may be doing business when such suits may be begun. And all laws and parts of laws of the United States inconsistent with this proviso be, and the same are hereby, repealed." The jurisdiction of the United States circuit courts in suits by or against national banks is thus denned by section 4, act March 3, 1887 : " S E C . 4. That all national banking associations established under the laws of the United States shall, for the purposes of all actions by or against them, real, personal, or mixed, and all suits in equity, be deemed citizens of the States in which they are respectively located; and in such cases the circuit and district courts shall not have jurisdiction other than such as they would have in cases between individual citizens of the same State. "The provisions of this section shall not be held to affect the jurisdiction of the courts of the United States in cases commenced by the United States, or by direction of any officer thereof, or cases for winding up the affairs of any such bank." 1. JURISDICTION OF FEDERAL COURTS PRIOR TO THE ACT OF JULY VZ, 1882: (a) National banking associations may sue in the Federal courts. The word " b y " was omitted from section 57 of the act oj: 1864 by mistake. (Kennedy v. Gibson, 8 Wall., 505.) (b) A national banking association may sue and be sued in the circuit court for the district in which the association is located, irrespective of the amount in controversy and the citizenship of the parties. (County of Wilson Y. National Bank, 103 U. 8., 770; Mitchell v. Walker, U. S. C. C. (W. D. Penn., 1879), Browne's N. B. Cas., 180; Commercial Bank of Cleveland v. Simmons, U. S. C. C. (W. D. Ohio), 10 Alb. L. </., 155.) (c) But where the amount in controversy does not exceed live hundred dollars, the association can not sue in a Federal court outside of the district in which it is established. (St. Louis National Bank v. Brinkman, U. S. C. C. (D. Kans.), I Fed, Rep., 45.) REPORT OF THE COMPTROLLER OF THE CURRENCY. 107 1. JURISDICTION OF FEDERAL COURTS, ETC.—Continued. (d) A national banking association located in one State may bring an action in the circuit court of the United States sitting within another State against a citizen of that State. (Alanufacturcrs"1 National Bank v. Baack. 8 Blatch.. 147.) (e) When a. national bank is sued in a Federal court the suit must be brought in the district in which the bank is located. And service upon an officer of the bank in another district will not give the court of that district jurisdiction of the cu use. (Maine v. Second National Bank of Chicago, H Biss., 26.) ( / ) A United States district court has jurisdiction of a suit in equity by or against a national banking association located within the district. (First National Bank of Pittsburgh v. Pittsburgh and Castle Shannon Hailroad Company, 1 Fed. Hep., 190.) (g) A circuit court has no jurisdiction of a suit by a. private person to compel the Comptroller of the Currency and the Treasurer of the United States to disclose what disposition has been made of the United States bonds deposited with the Treasurer by a. national banking association, and for a decree directing those ofticers as to their duty regarding such bonds. ( Van Antwerp v. Bulburd. 7 Blatch., 425 ; Van Antwerp v. Hulburd, 8 Blateh., 282.) (h) Section 380, Revised Statutes, which y>rovides that "all suits and proceedings arising out of the provisions of law governing national banking associations, in which the United States or any of ITS officers or agents shall be parties, shall be conducted by the district attorneys of the several districts under the direction and supervision of the Solicitor of the, Treasury," does not enlarge the jurisdiction of the circuit court, and*can not beheld to confer jurisdiction in such suits or proceedings upon a court not having, independently of this section, authority to entertain them. (Van Antwerp Y. Huibnrd, 7 Blatch., 426 supra.) (i) National banking associations, being corporations organized under the laws of the United States, are entitled as such to remove into the circuit courts of the United States suits brought against them in the State courts. (Cruiksliank v. Fourth National Bank, 21 Blatch.. 322; see also Removal Cases, 115 U. S., 1.) (j) A United States district court has jurisdiction to authorize a receiver to compromise a debt. (Matter of Platt, 1 Ben., 534.) (k) An action at common law U) recover a debt due to the bank may be instituted by a receiver in a United States district court, he being an officer of the United States within the meaning of section 563, Revised Statutes. (Platt v. Beach, 2 lien., 303 ; StantoriY. IVitkcson, 8 Ben., 357.) (I) The power of a national banking association to take a mortgage upon real estate is a question which the party raising it should be permitted to litigate in a, Federal court; and he should not be sent into the State courts to try this question on the distribution of surplus moneys in a foreclosure suit, or in a suit brought by the party holding the alleged invalid mortgage. (In re Duryea, U. S. D. G. (S. D. N. Y.), 17 National Bankruptcy Register, 495.) 2. JURISDICTION OF FEDERAL COURTS SUBSEQUENT TO ACT OF JULY 12, 1882: (a) The tenth subdivision of section 629, Revised'Statutes, which confers upon the circuit court of the United States jurisdiction of all suits by or against any national banking association established in the district for which the court is held, has been repealed by the proviso to section 4 of the act of July 12, 1882. (National Bank of Jefferson v. Fare et ah, (J. S. C. C. (E. D. Tex.), 25 Fed. Rep., 200.) (I) The object of this proviso was to deprive the United States courts of jurisdiction of suits by or against national banking associations in all cases where banks organized under State laws could not likewise sue or be sued in such courts. (National Bank of Jefferson v. Fare et al., supra.) (c) But the proviso does not affect the right of the receiver of an insolvent association to sue in a Federal court. (Hendee v. Connecticut and P. R. R. Co., 26 Fed. Rep., 677.) (d) Nor would the act of July 12, 1882, take from the circuit court jurisdiction of a suit brought against a director for negligent performance of his duties; for as such suit rests upon the requirements of the United States laws, and by-laws made pursuant thereto, it is a case arising under the laws of the United States. ( Witters v. Foster, U. S. C. C. (D. Vt.), 28 Fed. Rep., 737.) 3. JURISDICTION OF STATE COURTS: (a) State courts have jurisdiction of suits by and against national banking associations. ( Bank of Bethel v. Pahquioque Bank, 14 fVall.,'383; see also Ord- 108 REPORT OF THE COMPTROLLER OF THE CURRENCY. 3. JURISDICTION OF STATE COURTS—Continued. way v. Central National Bank, 47 J/itf., 217, and Clajfi'm v. Houseman, 93 £7. >S\, 130.) (h) Where a national banking association is sued in a State- court the suit must be brought in the city or county in which the bank is located. (Cadlev. Tracey, 11 Blatch., 101; Crocker v. Maine National Bank, 101 Mass., 240.) NOTE.—But the New York court of appeals has held that the provision of the national.banking law as to (lie jurisdiction of State courts is permissive only, and not mandatory, and that a State court, in a proper case, may entertain a proceeding against a national bank located in another State. {Cooke v. The State National Bank of Boston, 52 JV. F., 1)6; Robinson v. National Bank of New Berne, 81 N Y., 385 ; see also Adams v. Daunis, 29 La. Ann., 315.) And in Talniar/e v. Third National Bank, 27 Hun, (31, the supreme court of New York said: "The words of restriction to the place where said 'association is situated' apply to the county and municipal courts and not to the State courts. In the State courts of general jurisdiction a national banking association can be sued whenever an individual can be for the same cause." In Cooke v. The State National Bank, Chief Judge Church questioned the constitutional right of Congress to deprive the State courts of jurisdiction in such cases. (c) A State court can entertain an action brought to recover of a national bank* ing association the penalty for taking usury. (Ordwatj v. The Central National Bank, 47 Md., 217; 'ffadev. McVay, 31 Ohio St.. 231; Bletzv. Columbia National Bank, 87 Perm, St., 87.) (d) The State courts have jurisdiction of an action brought by a shareholder on behalf of himself and other shareholders to recover of the directors of an insolvent association damages for injuries resulting from their negligence and misconduct. (Brinckerhoff v. Bostwick, 88 N. Y., 52.) (e) A State court lias no power to make an order directing the receiver of a national bank, who has been appointed by the Comptroller of the Currency, to pay a judgment obtained against the bank before the receiver was appointed. {Ocean National Bank v. Cavil, 7 Hun, 237.) (/) State courts have no jurisdiction of the case of an embezzlement of the funds of the association by one of its officers. (Commonwealth v. Felton, 101 Mass., 204; Commonwealth, ex, rel. Torrey v. Eetrur, 92 Perm. St., 372.) (g) The defense of usury may be set up in action brought in a State court. {National Bank of Winterset v. Eyre, 52 Iowa, 114.) 4. UNITED STATES CAN NOT BE SUBJECTED TO JURISDICTION OF COURT: Neither the Comptroller nor the receiver by putting in an appearance to a suit can subject the United States to the jurisdiction of a court. {Case v. Terrell, 11 'Wall., 195).) 5. CITIZENSHIP: A national banking association is for jnrisdictional purposes a citizen of the State in which it is located. (Davis v. Cook, 9 Nev., 134.) XII. SUITS. 1. B Y AND AGAINST ASSOCIATIONS : (a) Suit may be brought against a national banking association though it is in the hands of a receiver. (Bank of Bethel v. Pahquioque Bank, 14 Wall., 383; Security National Bank v. National Bank of the Commonwealth, 2 Hun, 287; Green v. The WallWl National Bank, 7 Hun, (53.) (b) Where the tax on shares is collected from the association it may bring a suit to enjoin the collection of an illegal tax. (Cttmmings v. National Bank, 101 V. S.] 153; Peltonv. Commercial National Bank, lQl"(T. £.,143; Boyerr. Boyer, \U U. S., 143.) (c) A state law authorizing national banking associations which have been converted from State banks to use the name of the original corporation for the purpose of prosecuting and defending suits is not in conflict with the national banking law, and therefore proceedings based upon a judgment obtained before the conversion may be instituted by such association in its former corporate name. (Thomas v. Farmers' Bank of Maryland, 4fi Md., 43.) (d) A national banking association is a foreign corporation within the meaning of a State statute requiring corporations created by the laws of any other State or country to give security for costs before prosecuting a suit in the courts of the State. (National Park Bank v. Gunst, 1 Abb. N. C, 292.) KEPORT OF THE COMPTROLLER OF THE CURRENCY. 109 1. BY AND AGAINST ASSOCIATIONS—Continued. (e) As a national banking association can acquire no title to negotiable paper purchased by it, it can maintain no action thereon in a Stale where the person suing must be owner of the paper. (First National Bank of Rochester v. Pierson, 24 Minn., 140.) (/) But in a IState. where the holder may sue without respect to the ownership an association may bring suit upon paper so acquired. (National Pemberton Jiauk v. Porttr, 125 Man*., 333; Atlas National Hank y. Saver y, 127 Mass., 75.) (g) Suits brought by a receiver can not be settled or compounded upon an order of the Comptroller; this can be done only with the authority of the court. (Case v. Small, 2 Woods, 78.) 2. BY SHAREHOLDERS: (a) A shareholder of a national banking association can not maintain an action against the directors to recover damages sustained for neglect and mismanagement of the affairs of the association whereby it became insolvent and its stock was rendered worthless. Such an action can be brought only by the corporation itself. (Comcay v. JIalsey, 15 Vroom, 462.) (b) Bat where the receiver refuses to bring an action against negligent directors to recover the amount which the shareholders have been compelled to contribute to pay the debts of the association, an action against such directors may be brought by a shareholder on behalf of himself and the other shareholders. (Nelson v. Burrows, 9 Abb. JV. C*, 280.) (c) And when the receiver is a director, and one of the parties charged with misconduct and against whom a remedy is sought, the action may be brought by a shareholder on behalf of himself and the other shareholders. (Brinckerhoffv. Bostwick, 88 N. Y., 52.) 3. BY RECEIVERS : (a) A receiver may sue either in his own name or the name of the bank. (National Bank v. Kennedy, 17 Wall., 19.) (b) Suits and proceedings under the act in which the United States or their officers or agents are parties, whether commenced before or after the appointment of a receiver, are to be conducted by the district attorney under the direction of the Solicitor of the Treasury. (Bank of Bethel v. Pahquioque Bank, 14 Wall,, 383,) (c) But section 380^ Revised Statutes, is directory merely, and the employment of private counsel by the receiver can not be made a ground of defense to a suit brought by him. (Ibid.) (d) Receivers may sue in the courts of the United States by virtue of the act without reference to the locality of their personal citizenship. (e) The provisions of the codes that every action must be brought in the name of the real party in interest, except in the case of the trustee of an express trust, or of a person authorized by statute to sue, does not apply to the receiver of a national banking association suing in a Federal court held in a State which has adopted the code procedure; for the right of the receiver to sue is derived from the national banking law. (Stanton v. Wilkeson, 8 Ben., 357.) (/) Under section 1001 of the Revised Statutes no bond for the prosecution of the suit, or to answer in damages or costs, is required on writs of error or appeals issuing from or brought to the Supreme Court of the United States by direction of the Comptroller of the Currency in suits by or against insolvent national banking associations, or the receivers thereof. (Pacific National Bank v. Mixter, 114 U. S., 463.) 4. BY CREDITORS OF INSOLVENT ASSOCIATION : The creditors of an insolvent association must seek their remedy through the Comptroller, in the mode prescribed by the statute ; they can not proceed directly in their own names against the stockholders or debtors of the bank. (Kennedy v. Gibson, 8 Wall., 498.) 5. FOR USURY: (a) The penalty for all illegal interest paid to a national banking association within two years prior to the commencement of proceedings may be recovered in a single action, whether the amount was in one payment or in several. (Hinlermister v. First National Bank, 64 N. Y., 212.) {b) Where a bankrupt has paid usurious interest, his assignee may bring an action against the association to recover the penalty. ( Wright v. First NationaV Bank of Greensburgh, U. S. C. C. (Dist. Ind.] 1878); Crocker v. First 110 REPORT OF THE COMPTROLLER OF THE CURRENCY. 5. FOR USURY—Continued. National Bank of Chetopa, U. S. C. C.• (Eighth Circuit, 1876); 3 Am. L. T. N. S., 350.) (c) The party who paid the usurious interest is the only party to the note who is entitled to sue for the penult}'. (Lazear v. National Union Bank of Maryland, 52 Md., 78.) 6. TO ENFORCE LIABILITY OF SHAREHOLDERS: (a) When the full personal liability of shareholders is to be enforced the action. must be at law. (Kennedy v. Gibson, 8 Wall., 505; Casey v. Galli, 94 U.S., 673.) (b) And it may be at law, though the assessment is not for the full value of the shares; for, since the sum each shareholder must contribute is a certain, exact sum, there is no necessity for invoking the aid of a court of equity. (Bailey v. 'Sawyer, 4 Dill., 463.) (c) But the suit may be in equity. (Kennedy v. Gibson, supra.) 7. EXECUTION: A judgment against a national bank in the hands of a receiver only establishes the validity of the claim; the plaintiff can have no execution on such judgment, but must wait pro-rata distribution. (Bank of Bethel v. Pahquioque Bank, 14 Wall., 383.) 8. ATTACHMENTS : (a) When a creditor attaches the property of an insolvent bank he can not hold such property against the claim of a receiver appointed after the attachment suit was commenced. Such creditor must share pro rata with all others. (First National Bank of Selma v. Colby, 21 Wall., 609; Harvey v. Allen, 16 Match., 29.) (b) No State court can issue an attachment against the funds of a national bank. Although the provision forbidding attachments was evidently made to secure equality among the general creditors in the division of the proceeds of the property of an insolvent bank, its operation is by no means confined to cases of actual or contemplated insolvency; but the remedy is taken away altogether and can not be used under any circumstances. The effect of the provision in section 5242, Revised Statutes, is to write into all State-attachment laws fin exception in favor of national banks, and all such laws must be read as if they contained an exception in favor of national banks. (Pacific National Bank v. Mixfer, 124 U.'S., 721.) NOTE.—This case overrules the decision of the New York Court of Appeals in liodinson v. National Bank of New ilerne (81 N. Y., 385), where it was held that the national banking law does not prohibit attachments against the property of national banks, except in cases where an act of insolvency has been committed 1or is con tempi :ted. (See also National Shoe and Leather Bank v.Mechanics National Bank, 89 N. Y., 467; Raynor v. Pacific National Bank, 93 N. Y., 371; South-wick v. First National Bank of Memphis, 7 Hun, 96.) (c) Nor can an attachment be issued by a circuit court of the United States; for as by the law of Congress all power of issuing attachments against national banks before judgment has been eliminated from State statutes, there can be no laws of the State providing for such a remedy on which the circuit court can act. (Ibid.) 9. ABATEMENT: An action brought by the creditor of a national bank is abated by a decree of a district or circuit court dissolving the corporation and forfeiting its franchises. (First National Bank of Selma v. Colby, 21 Wall., 609.) 10. ESTOPPEL: (a) A shareholder against whom suit is brought to recover the assessment made upon him by the Comptroller will not be permitted to deny the existence of the association, or that it was legally incorporated. (Casey v. Galli, 94 U, S., 673.) (b) Where one sued by a national bank is accustomed to deal with it as such, and does so deal with it in respect to the matter in suit, he is estopped from denying its incorporation. (National Bank of Fairhaven v. The Phamix Warehousing Company, 6 Hun, 71.) 11. SUITS AGAINST LIQUIDATING ASSOCIATIONS : A national bank which has gone into voluntary liquidation will continue to exist as a body corporate for the purpose of suing and being sued uutil its affairs are completely settled. (National Bank v. Insurance Company, 104 U. S., 54 ; Ordway v. Central National Bank, 47 Md., 217.) REPORT OF THE COMPTROLLER OF THE CURRENCY. Ill 12. TRANSITORY x N LOCAL SUITS: Vi > The provision of the banking law, section 5198, Revised Statutes, which requires that actions brought against national banking associations in State courts shall be broughtin the county or city in which the association is located, applies only to transitory actions ; it was not intended to apply to actions local in their character. (Casey v. Adams, 102 U. S., 6(5.) 13. SURVIVAL OF SUITS : Whether a suit against a director for negligent performance of his duties, as required by the statutes of the United States and the by-laws of the association, will survive against the executor or administrator depends upon State laws. (Witters v. Foster, U. 8. C. C. (Dist. VU), 25 Fed. Rep., 737.) XIII. EVIDENCE. 1. CERTIFICATE OF COMPTROLLER: (a) The certificate of the Comptroller of the Currency that an association has complied with all the provisions required to be complied with before commencing the business of banking is admissible in evidence upon a plea of nul tiel corporation ; and such certificate, together with proof that the association has been acting as a national banking association for a long time is amply sufficient evidence to establish, at least prima facie, the existence of the corporation. 7 (Mix v. The National Bank of Bloomington, 91 III., 20. See also Merchants National Bank of Batufor v. Glendon, 120 Mass., 97.) (b) The certificate of the Comptroller that the association has complied with all the provisions of law touching the organization of associations removes any objection which might otherwise have been made to the evidence upon which he acted. (Casey v. Galli, 94 U. 8., 673; Thatcher v. West Ewer National Bank, 10 Mich., 196.) (c) And in a suit against the association or its shareholders such certificate of the Comptroller is conclusive as to the completeness of the organization. (Casey v. Galli, supra.) (d) A letter from the Comptroller directing the receiver to institute suit, if not objected to at the time, is sufficient evidence that the Comptroller has decided that the enforcement of the individual liability of the shareholders is necessary. (Boicdcn, v. Johnson, 107 U. S., 251.) 2. EVIDENCE OF INSOLVENCY: (a) It is not necessary that the facts upon which the Comptroller bases his action in appointing a receiver should be established by what is competent legal evidence; but he is left to be satisfied as best he can be, under the peculiar circumstances of each case, of the facts and the necessity for the exercise of his authority. (Plait v. Beebe, 57 N. Y., 330.) (1)) A return of null a bona upon an execution issued against the property of a national bank is proof of its insolvency. (Wheelock v. Kost, 77 III., 296.) 3. NECESSITY FOR ASSESSMENT BY COMPTROLLER: It is not essential, in an action to enforce the individual liability of the shareholders of an insolvent national banking association, to aver and prove that the assessment was necessary; for the decision of the Comptroller on this point is conclusive. (Strong v. Southivorth, 8 Ben., 331; Kennedy v. Gibson, 8 Wall., 505; Casey v. Galli, 94 U. S., 673.) XIV. CRIMES. 1. UNDER UNITED STATES LAWS: (a) The willful misapplication of the moneys and funds of a national banking association, made an offense by section 5209, Revised Statutes, must be for the use or benefit of the party charged or of some person or company other than the association. (United States v. Brition, 107 U. S., 655.) (b) The exercise of official discretion in good faith, without fraud, for the advantage or the supposed advantage of the association is not punishable ; but if official action be taken in bad faith, for personal advantage and with fraudulent in tent, it is punishable. ( United States v. Fish, 24 Fed. Rep., 585.) (c) It is not necessary that the officer should personally misapply the funds of the association. He will be guilty as a principal offender though he merely procures or causes the misapplication. (Ibid.) (d) A loan in bad faith, with intent to defraud the association, is a willful misapplication within the meaning of the statute. (Ibid.) 112 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1. UNDER UNITED STATES LAWS—Continued. (e) It is no defense to a charge of embezzlement-., abstraction, or misapplication of the funds of a national banking association that the funds were used with the knowledge and consent of the president and some of the directors. The intent to defraud is to be conclusively presumed from the commission of the offense. (United States v. Taintor, 11 Blatch., 374.) (/) Where the president, charged as a trustee with the administration of the funds of the bank in his hands, converts them to his own use without authority for so doing, he embezzles and abstracts them within the meaning of section 5*209, Revised Statutes. (In the matter of Van Campen, 2 Ben., 419.) (g) If, with intent to defraud the association, an officer allows a firm in which he is a member to overdraw its account, he will be guilty of misapplying the funds of the association. (Ibid.) (h) As the national banking law makes the embezzlement, abstraction, or willful misapplication of the funds of a national banking association nnerely a misdemeanor, a person who procures such an offense to be committed can not be punished under a State statute which provides that a person who procures a felony to be committed may be indicted and convicted of a suhstantive felony. (Commonwealth v. Felton, 101 Alass., 204.) (i) An indictment charging defendants with aiding and abetting a director in a willful misapplication of the money of an association must state facts to show that there has been such misapplication committed by the director. ( United States v. Warner, U. 8. C. C. (S. I). X. Y.), Feb. 13, 1886, 26 Fed. Rep., 616.) (j ) Allowing the withdrawal of the deposit of one indebted to the association can not be charged as a misapplication of the money of the association. (United States v. Britton, 108 U. S., 193.) (h) It is not a willful misapplication of the moneys of the association within the meaning of section 5209, Revised Statutes, for a president who is insolvent to procure the discounting by the association of his note not well secured. (Ibid.) (I) To constitute the offense of a willful misapplication of the moneys, funds, or credits of the association within section 5*209, Revised Statutes, it is not necessary that the person charged with the offense should have been previously in the actual possession of such moneys, funds, and credits under or by virtue of any trust, duty, or employment committed to him. Nor is it necessary to the commission of this offense that the officer making the willful misapplication should derive any personal benefit therefrom. When the funds or assets of the bank are unlawfully taken from its possession, and afterward willfully misapplied by converting them to the use of any person other than the bauk, with intent to injure and defraud, the offense as described in the statute is committed. ( United States v. Harper, 33 Fed. Rep., 471,) (m) This criminal act may be done directly and personally, or it may be done indirectly through the agency of another. If the officer charged with it has such control, direction, and power of management by virtue of his relation to the bank as to direct an application of its funds in such manner and under such circumstances as to constitute the offense of willful misapplication, and actually makes such direction, or causes such misapplication to be made, he is equally as guilty as ii: it was done by his own hands. (Ibid.) (n) Any entry on the books of the bank which is intentionally made to represent what is not true or what does not exist, with intent either to deceive its officers, or defraud the association, is a false entry within the meaning of the statute. ( United States v. Harper, 33 Fed. Rep., 471.) (o) It n,ay be made personally or by direction. (p) The erasure of figures already written in the books of a national bank, and the substitution of other figures which falsify the state of the account, constitute a " false entry" within the meaning of section 5209, Revised Statutes, by which it is declared to be a misdemeanor to make " any false entry in any book, report, or statement of the association with intent to injure or defraud," etc. ( United States v. Crecelius, 34 Fed. Rep.,, 30.) (q) Where false entries are made by a clerk at the direction of the president, the latter is a principal. (In the matter of Van Campen, supra ; United States v. Fish, supra.) (r) Prior to the act of February 26, 1881, a notary public holding his commission under a State had no authority to administer the oath required by section 5211, Revised Statutes ; and, therefore, a cashier who made oath before such notary to a false statement of the condition of his association was not guilty of perjury. (United States v. Curtis, 107 U. S., 671.) KEPOET OF THE COMPTEOLLEE OF THE CUEEENCY. 113 1. UNDER UNITED STATES LAWS—Continued. (s) To constitute the offense of willful abstraction by an officer, defined by the statute, it is necessary that the money or funds of the association should be withdrawn by the officer or by his direction ; that such taking or withdrawing should be without the knowledge or consent of the bank, or of its board of directors, that the money or funds so taken or withdrawn should be converted to the officer's own use, or for the benefit and advantage of some person other than the association, and that this should be done with intent to injure and defraud the association. (United States v. Harper, 33 Fed. Rep., 471.) 2. UNDER STATE LAWS : (a) An officer of a national banking association can not be punished under State laws for embezzliug the funds of the association. (Conimonivealth ex rel. Torrey v. Ketner, 92 Penn. St., 372; Commonwealth v. Felton, 101 Mass., 204.) (b) But where the offense committed by an officer is properly a larceny of the funds, and not an embezzlement, he may be indicted under a State law. (Commonwealth v. Barry, 116 Mass., 1.) (c) And an officer may be punished under State laws for making false entries in the books of the association with intent to defraud it. (Luberg v. Commonwealth, 94 Penn. St., 85.) (d) The officers of a national banking association may be prosecuted under State statutes for fraudulent conversion of the property of individuals deposited with, and in the custody of, the association. (Commonwealth v. Tenney, 97 Mass., 50; State v. Fuller, " 4 Conn,, 280.) 3 3. TERM " U N I T E D STATES CURRENCY'7 IN PENAL STATUTE: The circulating notes of national banking associations are included in the phrase " United States currency " when used in a penal statute. (State v. Gasting, 23 La. Ann., 1609.) 9460 CUE 8* 114 REPORT OF THE COMPTROLLER OF THE CURRENCY. N U M B E R O F BANKS ORGANIZED, IN LIQUIDATION, AND IN OPERATION, WITH T H E I R CAPITAL, BONDS ON D E P O S I T , AND CIRCULATION ISSUED, R E D E E M E D , AND O U T STANDING ON OCTOBER 31, 1889. Banks. States and Territories. Circulation. Capital i U. S. bonds ! In In stock paid.! on deposit. ; Organ- liqui- operized. da- ation. ; tion. 10 5 14 16 4 14 Maine New Hampshire] "Vermont | Massachusetts.. Rhode Island . . . Connecticut? . . . . 87 I 56 ! 63 272 ; ! 64 98 ' Eastern States.. 640 • New York j New Jersey ! Pennsylvania... J Delaware j Maryland. .. '. Dist. Columbia.. 431 114 317 91 103 : 12 53 328 381 18 18 : 55 "" 3 ! 52 9 5 i 14 187 j Virginia : West Virginia..| North Carolina South Carolina Georgia Florida .1 Alabama Mississippi Louisiana Texas Arkansas Kentucky Tennessee 44 28 24 14 8 5 18 35 16 2 Southern States : Missouri Ohio Indiana Illinois Michigan "Wisconsin Iowa Minnesota Kansas Nebraska 14 19 i 142 j ii! 92 ; 63 ! $10, 811,550 $4,580,950 ; ! 6,325,260 3,373,550 ' ; 7,466,000 2, 744,900 | 96,957,500 20, 684, 900 ; 20,284,050 3,274,300 j 23,924,370 6,330,450 : 577 165,768,730 ; 40,989,050 Middle States... i 1, 002 30 i 77 51 49 256 60 84 6 2 4 2 4 8 3 18 17 j ! ; 815 186, 655, 980 4,130,300 1,90(5,000 2,526,000 1, 798, 000 3, 769, 250 975, 000 3, 984, 000 1,140, 000 3, b85, 000 14, 741, 827 1, 250, 000 8 i 74 | 14,676,100 46 I 8,105,000 30 20 19 16 29 14 26 12 15 134 61 222 98 188 '113 63 134 58 162 120 92 308 I 158 I : 254 I 158 | 95 I 187 | 81 { i 195 i 132 ; 46, 237, 800 1,320,100 '« 557,650 I 696,250 j 492,250 ; 845, 500 305, 000 982,500 311,250 1,108,800 3,300,050 335, 000 : 3, 046, 750 ; 1,469,500 | 14, 800, 600 ! i 3 32 50 11 8 25 9 10 74 40 4 545.526,155 i 482,174,741 J *i3,351, 414 68, 573, 328, 735 ; 504, 941, 893 386, 842 12, 157,170 7, 511, 800 6, 586, 370 5, 502, 405 8, 313, 230 512,720 I 5,279,560 i 589,940 ! io, 717,210 ; 7,399,800 ! 1,428,690 34,305,825 : 11,213,470 10, 646, 400 T510/770 6, 536, 285 975, 515 5, 712.144 874,226 4, 972, 667 529, 738 7, 093, 592 1, 219,638 265, 567 247,153 4,147,416 1,132,144 309, 033 280, 907 8, 974, 069 1, 743, 141 4, 410, 979 2, 988, 821 1,035,817 392, 873 29, 509, 452 4, 796, 373 9, 684,121 1, 529, 349 93. 297, 542 18, 220, 648 17,394,265 ; 100,454,880 51,925,615 51,420,925 28,376,790 12,933,310 i 22,499,610 12, 278, 430 8,556,080 | 6,703,900 ! 1,006,500 10,648,550 4,608,050 5, 710, 000 2, 969, 750 5, 89o, 750 1,656,750 2, 765, 000 10,725,000 1, 966, 700 14,445,000 13, 2.")4, 100 3,250,500 11,104,200 ; 2,368,700 15,123,643 2, 270, 622 86, 074, 382 14, 380, 498 45, 933, 583 5, 992,032 45, 238, 787 6, 182,138 24, 737, 446 3, 639, 344 11,129, 165 1, 804,145 19,148, 580 3, 351, 030 10, 366, 959 1,911,471 5, 453, 825 3,102, 255 4, 542, 083 2,161,817 312, 543, 805 ; 267, 748, 453 44, 795, 352 9 69,500 ! 282,000 i 2,590,000 ! 569,800 j 4, 590, 000 i 1,076,500 ! 1,375,000 ! 287,500 i 495,000 ' 150,300 ! 2,100', 000 i 505,600 ! 1.175, 000 298, 750 i 975,000 ; 307,500 j 019500 4,019,500 ! 1,063,500 ! 3,641,000 ! 740,000 100.000 25, 000 8,475,400 I 1, 596, 250 248,820 ' 1, 752,140 4,909,760 ! 1,630,390 I 471,310 ! 1,918,250 ' 579,620 1,491,780 i 2,465, 730 ; 1,702,120 ! 101,110 I 4,009,880 I 264 : 30, 417, 900 ; 6, 690, 200 21, 280, 910 41 3 8 "5" 20 9 9 62 36 "" i California 44 12 4 3 7 Pacific States & Territories . . . 310 46 ! Add for mutilated notes Total currency banks ... Add gold banks. $36,630,990 > $30, 711, 656 ! 919, 334 $5, 23, 798, 665 '\19, 855, 670 3, 942, 995 31,897,550 I 28, 480, 221 3, 417, 329 304,115,515 ; 270,638,143 I33, 477, 372 (.3,914,435 | 57,306,466 \ 6, 607, 969 85, 169,000 i 75,182,585 j 9,986,415 111, 518,190 16,467,210 41,354,000 12, 354, 500 30, 914, 000 15, 674, 600 Western States.! 1,660 j Nevada Oregon Colorado Utah Idaho Montana Wyoming New Mexico Dakota Washington Arizona Outstanding/ 278,967,415 i 248,913,256 30, 054,159 85,201,060 21,860,600 44, 799, 393 6, 910, 667 14,0d8,350 5,116,500 ; 51,710,060 68, 550, 605 15, 833, 000 192, 452,115 | 167, 403, 860 25,048,255 2,133, 985 1,377,500 '• 7, 204, 705 ' 5, 732, 531 1, 472,174 14, 792, 610 1,270,200 ! 37, 744,160 J 33, 533, 926 4,210,234 '•80,000 ! 5, 250, 280 ! 4, 558, 927 691, 353 1, 969, 370 443 ! 62, 692, 477 536 I Redeemed. Issued. 1 37 200, 253 48, 567 1,102,106 650, 034 3, 710, 590 1, 199,170 1,232,211 398,179 366, 136 105,174 1, 378, 700 539, 550 189, 775 389, 845 264, 572 1, 227, 208 973,166 1, 492, 564 973,105 729,015 ; 32, 270 68,840 ! 2, 368, 525 \ 1,641,355 14, 265, 993 ! 7, 014, 917 I ! : i 97,590 1, 564,197, 795 1, 362,428, 622 201, 769,173 I 3,465,240 3,308,588 156,652 United States... 4,148 j 1830 ;t3,318;617, 723,447 |145,668, 150 1,567,663,035 1,365,737,210 ;202,023,415 ^ I n c l u d i n g $71,816,130, for which lawful money has been deposited with the Treasurer of the United States to retire an equal amount of circulation which has net been presented for redemption. tOne bank restored to solvency and resumed business, making total going banks 3,319. REPORT OF THE COMPTROLLER OF THE CURRENCY. 115 STATEMENT SHOWING THE AMOUNT OF AUTHORIZED CAPITAL STOCK OF THE NATIONAL BANKS ON THE FIRST DAY OF EACH MONTH FROM JANUARY 1, 1874, TO NOVEMBER 1, 1889, THE AMOUNT OF UNITED STATES BONDS ON DEPOSIT TO SECURE CIRCULATION, THE AMOUNT OF CIRCULATION SECURED BY THE BONDS ON DEPOSIT, THE AMOUNT OF LAWFUL MONEY TO REDEEM CIRCULATION, AND THE TOTAL AMOUNT OF NATIONAL BANK NOTES OUTSTANDING, INCLUDING NOTES OF NATIONAL GOLD BANKS. U. S. bonds « . ; Authorized on deposit to ^ capital stock, secure circu- | T ^ U - b i lation. - Date. January February March.." April May June July August September October '. Novem ber December 1874. ' $499, 003, 401 $393, 000, 900 498, 032,201 392, 644, 300 498, 159,901 392, 506, 950 497, 505, 901 i 392, 809, 200 49" 020,901 1 392,937,100 392, 863, 000 497, 657, 401 391,171,200 498, 777, 401 388,566, 100 500, 347, 401 38-"), 889,100 500, 706, 401 3S5, 649, 150 502 181,401 385, 421, 750 502, 931,401 385, 378, 250 503: 301,401 Lawful money on deposit to rt deem circulation. $34S, 624, 953 :i48, 255, 299 348, 203, 489 348,505,184 348,323,390 348, 290, 340 347,182, 820 344,851.526 342, 310, 386 342, 270, 676 342, 367, 844 342, 685,175 Total national-bank notes outstanding. $2, 223, 283 2, 776, 278 3, 081, 323 3,120, 623 3, 360, 932 3,560, 162 4, 798, 212 7, 867, 254 11,057,679 11,707,870 11,709,402 12,021,071 $350, 848, 236 351,031,577 351, 284, 812 351, 625, 807 351,684,322 351, 850, 502 351,981,032 352,718,780 353, 368, 065 353, 978, 546 354, 077, 246 354, 706, 246 385,128, 250! 342, 333, 837 384,174,950 ; 341, 121,249 3H2, 076. 650 ! 338, 948, 494 380, (t | 600 337.855,479 i ii , 379, 506, 900 336,697,831 379, 126,400 : 336, 110, 532 : 376,314,500 : 3-.4, 6:>8, 341 I 374,894.362 333,678,611 ' 373, 956, 762 333,324,225 371,489,262 331, 239, 470 367,549,412 327,578,260 365,836,912 j 326, 725, 728 : 11,794,413 13,152,121 15, 300, 850 17, 593, 099 18, 349, 762 18, 344, 941 19, 709, 667 19,440, 077 18,535,727 19,300, 112 20, 638,642 21, 095,102 354,128,250 354, 273, 370 354, 249, 344 355, 448, 578 355, 047, 593 354, 455, 473 354, 408, 008 353,118, 688 351,859,952 350, 539, 582 348, 216, 902 347, 820, 830 511, 155, 865 | 510, 619. 965 j 510,189,171 ; i 509,701,671 ; 507. 881, 671 I 506,013,371 I 506,008.371 505, 226,171 | 504,971,171 504, 027,171 502, 752,171 502, 652, 171 363,601,662 361,430,4(52 356,732,150 3^0,216.350 346,715,350 344,463,850 341,394,750 340, 071, 850 338, 673, 850 337, 955, ^00 337. 727, 800 338, 261, MM) 324,484,539 | 321,319,645 : 318,413.293 : 312, 850, 786 310,084,721 ! 307,912,468 305,417,013 303,756,276 302,847,886 ! 301,819.811 ! 301, 658,372 , 301,844,917; 21,995,217 22,648,8*4 24, 405, 780 27,627,308 28,755,191 28,753,402 27, 581, 323 25, 982, 339 23,087,016 22, 532, 933 21,582,936 20,114,674 346, 479, 756 343, 9(58, 529 342,819,073 340, 478, 094 338, 839, 912 336, 605, 930 331, 998, 336 329, 738, 615 325, 934, 902 324, 352, 744 323, 241, 308 321,959,591 501, 392,171 i 497, 335, 071 ! 496,770,571 j 494, 783, 571 I i 493,821,771 i 493,126,271 ; 487,868,771 \ 487,221,771 48(5,605,271 J 48(5, 44!), 271 480,677, 771 486, 742, 771 ! 338,191,300 338, 885. 450 338,866,550 340, 537, 600 340,732,100 340,415, 100 338,713,6(10 337, 761, 600 337,684,650 338, 002, 450 343, 048,900 345,130, 550 302, 020, 242 302,201,132 302, 416, 700 303, 523, 225 : 304,407,450 ' 304 766,940 303,108, 350 302,239,212 302,440,152 302. *-85, 797 3i i5,094, 140 308, 642, 795 19,575,364 18,160,486 16, 728, 336 16, 146, 363 15,3*6,137 14, 329, 272 13.940,522 14,426,746 14,246,546 14,438,272 , 13, 113.091 ' 11, 988, 924 321, 595, 606 320, 361, 618 319, 145,036 319,669,588 319, 793, 587 319,096,212 317, 048, 872 316,065,958 316.686,608 317,324,069 318, 207, 231 320,631,719 11,782,090 11,839,305 11,688, ;Y19 12. 184, 6K2 12,315,257 11,552,02:* 11,493,452 10, 910. 967 10,294,370 9,988, 127 9, 629, 918 9,935,217 321,672,505 322.079,310 3 .•1,989, 991 322, 193,514 323, 141,679 323. 98S, 085 324,514,284 323, 906, 559 323,449, 162 3'3, 147,719 322. 460, 715 323, 291, 056 •-.... 1875. January February March April May June July August September October November December j | I j 503, 347, 901 503, 467, 901 503, 858,521 505, 763, ;:oo 500, 103, 8ul 508, 531,2*3 509, 386, 283 510, 706, 283 510, 903, 171 511 084. 471 5ii; 613, 765 510, 686, 765 1876. January February March..': April May June July August September October November December 1877. January February March April May ~ J u n 'e July August September October November December 1878. January February March. / . April May June July August September October Novem ber December ! 4^5, 557. 771 484, 836, 371 482, 952, 071 , 482,144,671 ; 481,019,671 ! 480, 6C0, 571 | 479, H27. 996 • ! 477, 675, 99(5 i 477. 698, 296 ; 476, 335, 39(5 j 473, 865, 396 ! 473, 8.19, 396 ; 346, 187, 550 309, 890, 415 346, 302, 050 310,240,005 346, 522, 550 310,301,472 346. 336, 250 310.00^,832 347. 711, 850 310,820,422 349, 166, 450 312.435,462 349, 546, 400 313,020. 832 348, K80, 900 312,995.592 349, 049, 450 j 313, 154,792 349, 560, 150 313.159,592 349, 408, 900 312,^30,797: 349, 795, 000 313, 355, 839 116 REPORT OF THE COMPTROLLER OF THE CURRENCY. STATEMENT SHOWING THE AMOUNT OF AUTHORIZED CAPITAL STOCK OF THE NATIONAL BANKS ON THE FIHST DAY OF EACH MONTH, KTC.—Continued. ; \ Authorized 'capital s' ' Date. U . S . bonds on deposit to Circulation secured by U. S. bonds. secure,, Lawful money on deposit to Total [national-bank e S o i T ^ •*»*»«• 1879. January February March..." April May June July August g S t b September October November December • . 4 6 2 5 396 $349, 068, 000 • $471,609, 348, 939, 200 469, 995, 856 467, 778, 606 | 350, 690, 400 I 465, 890,006 ' 351,196,400 464,608, 206 i 352, 250, 550 463,223, 515 I 353, 422, 300 i 462,843, 5 1 5 : 354, 254, 600 I 462, 822, 515 i 353, 201, 800 6 462,567, 5 1 5 : 355, 638, 950 7 463,117, 515 i 359. 030, 500 462, 392, 515 i 363, 802, 400 461, 842, 515 . 365, 194, 900 $313,218,189 j $10, 573, 485 312,725,809 ' 11, 673, 960 313,691,639 ; 12, 354, 531 314,244,779 12, 882, 417 315,628,352 : 13,516,558 316,335,919 13, 203, 462 317,315,679 12, 376, 018 316.412,560 ; 13, 545, 677 317.534,289 | 13,258,698 3201868,979 ; 13, 403, 261 324,054,279 ! 13,127,139 326.684,059 ! 13, 381, 719 $323, 791, 674 324, 399, 769 326,046,170 327,127,196 329,144, 910 329, 539, 411 329, 691, 697 329, 958, 237 330,792. 987 334, 272', 240 337,181, 418 340, 065, 778 13, 613, 697 16,945,310 18, 604,197 18,959,687 19, 410, 910 19, 882, 033 20, 262, 697 20, 266, 967 20,153, 448 20, 848, 3(33 21, 035, 977 21, 500, 091 342, 387, 336 343, 730,909 343, 636, 987 344, 385, 077 344, 930, 650 345,183, 733 344, 505, 427 344,153, 687 344, 056, 778 343, 904, 893 343, 834,107 343, 706, 641 1880. January February March April May June July August September October November December 362, 728, 050 363, 656, 050 363, 003, 650 362, 715, 050 361,652,050 361,152, 050 361, 113,450 359, 935, 450 359, 748, 950 359, 808, 550 328, 773, 639 326, 785, 599 325, 032, 790 325,425, 390 325. 519, 740 325,301,700 324, 242, 730 323, 886, 720 323, 903, 330 323, 056, 530 322, 798,130 322, 2U(), 550 467, 039, 085 466,981,78£ 46(5, 640, J 85 46(5,890,185 i 467, 542, 685 i 468,557,685 ! 4(39,382,685; 470, 322, l:85 ' 471, 28J, 935 i 472, 565, 935 ; 466, 307, 335 : 467, 9U7, 335 359, 823, 550 359,811,050 645, 739, (Jbo 351,480,000 ; 354, (583, < 00 358, 829, 900 360, 488, 400 362,684,000 364,285.500 365,751,500 I 369,608,500 • 371,336,100 322, 832,101 322, 654, 721 305, 587, 202 30:), 0M, 317 316,226,247 318, 497, 814 321,148,399 323, 478, 586 325, 324, 746 326, 513, 546 329,180,122 331,729,532 21, 523,102 21, 895, 977 38, 447, 716 38, 538,105 36, 374, 320 35, 653, 904 33, 894, 276 33, 846, 027 32, 675, 940 32, 237, 394 31,164,128 30, 438, 878 344, 355, 203 344, 550, 698 344,034,918 347, 572, 422 352, 600, 567 354,151, 718 355, 042, 675 357, 324, 613 358, 000, 686 358, 750, 940 360, 344, 250 362,168, 410 371,692,100 332, 398, 922 371,270,200 : 331,682,622 370, 602, 700 331,230,311 369,900,700 331,242,702 366,355,650 327, 729, 622 364, 079, 350 323,919,522 320,312,832 361, 212, 700 362, 736, 500 , 319, 805,161 361,452,350 320, 769, 739 362,043,250 323, 487, 353 362,505, 650 324, 304, 343 362,174, 250 323, 820, 480 30, 023, 066 30, 913, 792 30, 713, 969 30, 383, 935 33, 340, 677 35, 955, 812 38, 429, 202 39, 017, 62 L 39, 745,163 39, 401, 781 38,423,404 38, 723, 848 362,421,988 362, 596, 414 361, 944, 280 361,626,637 361, 070, 299 359, 875, 334 358, 742, 034 358, 822, 782 360, 514, 902 362, 889, 134 362, 727, 747 362, 544, 328 i ' I 492,076,635 i 494,199, 635 498,262,135 498, 017,135 500,269,135 : 505,379,135 ! 507, 208,135 : j 510,283,135 ! 513, 543, 135 i j 515,528,135 j 516, 608,135 ' ! 516,348,135 ; 360,531,650 359, 567, 450 358,163, 800 357,201,400 357, 339, 750 356, 588. 600 356, 596! 500 357, 298, 500 355, 674, 150 353, 308, 650 352, 877, 300 351,174, 600 322,386,120 i 321,626,353 ' 320,235,601 319,849,810 319,899,521 319,013,856 319,249,806 319,461,846 : 318,367,216 j 316,278,06(3 316,020,326 314, 573.106 i 40, 265, 049 40, 540, 877 41, 084, 788 39, 945, 249 39, 368, 605 39,150,326 37, 565, 704 36, 310, 284 36, 222, 005 37, 064, 605 35, 993, 461 36, 385, 055 362, 651,169 362,167,230 361, 320, 389 359, 795, 065 359, 268,126 358,164,182 350,815,510 355, 772,130 354, 589, 221 353, 342, 671 352, 013, 787 350, 958,161 i ! I 518,031,135 j 517, 380, 635 | I 519,104,635 i ! 521,573,635 j 523,348,635 ! 525,992,165 | 347, 538, 200 343,475, 550 341, 533, 050 339,116,150 337. 618, 650 336, 257,150 310,953,321 ; 307,828,001 ; 306, 100,465 303,699,075 302,533,855 , 301,238,845 39,529,507 i 41,671,892 ' 40,532,837 j 41, 015, 561 40, 571, 613 39, 768, 855 350, 482, 828 349, 499, 893 346, 633, 302 344, 714, 636 343,105, 468 341,007,700 , i j : j 1881. January February March April May June July.... August September October November December 367,021,000 364, 765, 900 461,557,515 J 461,715,515 i 462,407,585 i 464,177,585 464,507,585 j 464,915,185 j 465,2u5,185 < 465,915, 185 ! 466,267,285! 4t56, 245, 085 ; 466,590,085 j 467, 639, 085 ! | i | ' ' I • j 1882. January February March April May June July August September October November December I 470,018,135 ; 472,303,135 \ 473,866,240 i 475,411, 240 .! 478,013,940 I ! 482,954,940 | 486,511,335 1 487, 803, 635 ! ' 487,538,635 I j 489,741,635 | | 491,591,635 j j 493,176,635; 1883. January February March..' April May June.... July August September October November December • 1884. January February March April May June REPORT OF THE COMPTROLLER OF THE CURRENCY. 117 STATEMENT SHOWING THE AMOUNT OF AUTHORIZED CAPITAL STOCK OF THE NATIONAL BANKS ON THE FIRST DAY OF EACH MONTH, ETC.—Continued. Date. July August September October November December January February March April May June July August September October Novem ber December January February March .." ApTil May June J.uly August September October November December January February March..' April. May June July August September . October November.. December .. January February March April May June July August 1884. ' | $528,784,165 $334,147, 850 $299, 369, 370 i 530, 784,165 332, 5887600 297, 983,165 j 532,274,165 331, 371,100 297,136, 455 532,749,165 329,186, 000 295, 375,959 j 532, 554,165 325, 316, 300 291, 849, 650 | 531,875,165 320, 244, 700 287, 277, 980 1885. ; 1886. 1887. 529,910,165 530, 380,165 530,590, 165 531,151,165 531, 241,165 530, 830,865 531, 540, 465 532, 328,465 532, 749, 965 532,034,965 532, 877, 965 533, 447, 965 : : 534, 378, 265 i 535, 398, 265 : 537, 896, 965 ! 538, 652, 065 540, 414, 565 ; 543, 669, 565 545, 206, 565 i 549, 542,665 .< 550, 252, 565 ! 553, 002, 565 i 552, 775,165 ' 553, 855,165 ' i 555, 865,165 I 557, 684,165 ; 559, 986, 665 561,321,665 564, 346, 665 571^583,665 574, 703, 665 578, 826, 215 581, 046, 215 582, 683, 715 583,188, 715 584, 203, 715 1888. September October November December. January February March April May June July August September October November ; U.S. bonds Circulation ! Authorized on deposit to secured by ! capital stock, secure circu- U. S. bonds. ; lation. 584, 726, 915 586, 505, 915 588, 785, 915 589, 637, 915 591,437,915 592,467,915 592, 852, 915 594, 631,915 ! 595,313,915 596,041,015 596, 796, 015 597, 457, 315 318, 655, 050 285, 496, 055 i 284,127, 895 j 317,282,600 315, 854, 500 282, 772, 315 ] 315, 386, 850 282, 336, 725 : 315, 127,450 282, 434, 075 i 313, 428, 700 280,631, 610 ; 312,145, 200 279, 528, 1 7 5 : 277, 826, 775 ! 310,225,150 309, 768, 050 277, 371, 525 i 309, 074, 550 277,149, (561 i 308, 364, 550 276, 304, 189 | 3C 7, 544,250 275,821, 779 : Lawful money on Total deposit to j redeem cir- |national-bank I notes outculation. I standing. $40,130, 513 39, 913, 971 39, 495, 690 40, 453, 269 41,710,163 44, 235, 274 43, 662, 568 42, 784, 663 41,888,596 39, 881, 941 38, 468, 630 38, 032, 217 39, 541, 757 39, 503, 567 39, 613, 802 40, 274, 772 39, 542, 979 41, 704, 029 42, 976, 706 46, 951, 839 52, 049, 017 56, 826, 227 58, 555, 047 61, 580, 662 61,922, 499 62,151, 745 62,505,757 . 68, 828, 505 81,819,233 ; 88, 781, 909 $339,499, 883 337, 897,136 336, 632,145 335,829, 228 333, 559, 813 331, 513, 254 329,158, 623 326, 912, 558 324, 660, 911 322, 218, 666 320, 902, 705 318, 863, 827 319, 069, 932 317, 330, 342 316, 985, 327 317,424,433 315,847,168 317, 525, 808 317,443.454 318,017,432 318, 096, 505 316, 231, 527 313, 877, 588 311, 838, 294 309,010,460 306, 826, 757 304, 674, 004 303, 511, 241 301, 529, 889 299, 307, 51U 306, 008, 750 302, 257, 000 296, 780, 400 289, 729, 650 285, 447, 950 279, 537, 400 275, 974, 800 273, 549, 800 270,524,350 261, 848, 900 245,444, 0.10 234,991,800 274, 466; 748 271,065,593 206, 047, 488 259,405,300 i 255, 322, 541 250, 257, 632 247, 087, 961 244, 675, 012 242,168, 247 i 234,682,736 j 219,710,656 I 210, 525, 601 229, 438, 350 223. 926, 650 213, 639,150 206, 938, 000 2C2, 446, 550 200, 939,100 191, 966, 700 189,445, 800 190, 096, 950 189, 917, J 00 188, 828, 000 187, 147, 000 205,316,106 200, 268, 346 191, 004, 726 185, 009, 551 181, 026, 016 179,309, 020 171, 629, 341 169, 303, 430 169, 951, 385 169,931,680 169,215,067 16?, 863, 819 91,455,875 b2,80U, 395; 296, 771, 981 *J8, 039, 485 ' 293, 074, 741 1U2,114, 7U4 289, 044, 211 106, y?y, 2yy ! 287,124, 255 285, 005, 315 103, Ool, »7l ! 282, 360, 891 10i.58o.447 279, 217, 788 1U7, 150, 847 276, 454, 277 104, 3U, 124 274, 264, 509 1O4, 902,170 272, 893, 850 102, 826,136 272,041,203 102, 019, 176 269, 882,995 184, 444, 950 182, 764, 950 182, 161,700 181, 863, 700 182, 033,450 180, 005,150 178,312,650 177,438, 800 176, 508, 850 173, 280, 250 170,003,350 166, 796, 550 165, 205, 724 163, 833, 205 163, 235, 505 162, 743,135 162,891,912 161,134, 338 159, 642, 657 158, 874, 203 158,133, 712 155, 365, 068 152, 366, 328 149,487, 373 103,193,15 102, 024, 952 99,492,361 | 97,427,882 I 95, 692,133 ! 94,675,310 ! 92,719,664 90,758,447 : 88,294, 850 i 88,236,639 • 87,018,909 86, 955, 794 j 268, 398, 878 265, 858,157 262, 727, 866 260,171,017 258, 584, 045 255, 809, 648 252, 362, 321 249, 632, 650 246,428, 562 243,601,707 239, 385, 237 236,443,167 163, 480, 900 160, 463, 950 157, 485, 700 154, 590,150 151, 522, 350 149, 829, 850 148,121,450 147, 758, 450 148,150, 700 147, 037, 200 145, 668,150 146, 372, 588 143, 580, 313 14C, 874, 515 138,193, 798 135, 375, 463 133,769,313 132, 244, 437 131, 890, 777 132,101,128 131,225,172 130, 207, 285 87,287,439 : 85,688,716 , 83,520,212 ; 83,032,333 83, 320, 725 81,753,704 79,134,526 76,273,662 I 73, 701, 013 j 72, 437, 560 71,816,130 233, 660,027 229, 269, 029 224, 394, 727 221, 226,131 218,696,188 215, 523, 017 211, 378, 963 208,164,439 205, 802,141 203, 662, 732 202, 023, 415 1889. 598, 239, 065 599, 709, 365 600, 684, 365 602,404, 365 603, 264, 365 607, 390, 365 609, 670, 365 612, 535, 365 614,925, 365 617, 844, 365 620,174, 365 118 REPORT OF THE COMPTROLLER OF THE CURRENCY. SUMMARY OF THE STATE AND CONDITION OP EVERY NATIONAL BANK REPORTING DURING THE YEAR ENDED SEPTEMBER 30, 1889. I December 12. ; February 26. | May 13. I 3,150 banks. [ 3,170 banks. I 3,206 banks. July 12. September 30. 3,239 banks. 3,290 banks. RESOURCES. Loans and discounts $1,665,573,336. 43$1,695,473,463.17 $1,731,232,440. 40 $1,770,125,236.98 $1,805,729,738.94 Overdrafts 10,981,527.24 8,594,026.22, 8,419,494.27 8,929,290.68 11, 527, 964. 23 TJ. S. bonds to secure circulation ! 162, 820, 650. 00 156, 728, 200. 00 149, 545, 850.00 147, 502, 200. 00 146, 471, 700.00 U. S. bonds to secure deposits | 48, 949, 000. 00 46, 384.000. 00|1 44, 882, 000. 00 44, 832, 000. 00 44, 063, 000. 00 6, 810,100. 00 U. S. bonds on band . I 6, 374, 400. 00 6, 395/000. 00 6, 690, 800. 00 4, 438, 200. 00 Other stocks, bonds, etc .: 102, 276, 898.17] 102,215,066.01; 103,030,575.31 106,712,474,80 109, 313,635.01 Due from approved ' ! reserve agents . . . i 156,587,199.27 192,702,196.35! 187,372,295,47 192,590,073.67 189,136, 281.01 Due from other nai tional banks j 107,175,402. 59 101, 327, 319.18 107, G91, 577.44 108, 999, 878. 96 117, 869, 749.37 Due from Stat banks and bankers. 24, 217,165. 51 24, 651,712. 33; 26, 924, 218. 24 25, 956, 516.98 28,417, 511. 26 Banking-house furniture and fixtures 63, 436, 066. 74 66, 248,183.93 66, 855, 303. 68; 67, 377,183.12 58, 716, 898. 20 Other real estate and mortgages own«-d . k 10,660,275.53 Current expenses and taxes paid . . . 11,342,192.45 7,418,190.08 8, 984, 846.65 3, 760, 961.17 8, 525, 924. 84 16, 681, 256. 56 16, 729, 244. 88 17, 058, 275.44 17,126, 726. 31 16,613,917.93 Premiums paid Checks and other cash items . 14,140, 858.12 12, 676,652.11 15, 049, 325.16 14, 350, 765. 37 17,059,786.57 Exchanges for clear91, 765, 292. 99 84, 111. 547. 63; 101,452, 588. 44 101, 552, 062. 67 136, 783,162. 26 ing-house 21, 728, 238. 00 22,411, 826. 00; 25, 722, 720. 00; 24, 761, 437.00 Bills of other banks . 20, 875, 528.00 Fractional currency, 629,150. 98 nickels and cents.. 719, 273. 63 8, 370. 01 682,034. 93 717, 823. 63 *Specie, viz : Gold coin 70, 825,187.96 73, 751,133 64 74, 597, 5(i6.20 73, 907, 610. 01 71, 601, 529. 94 Gold Treasury certificates 66,010,950.00 75, 334,420.00 78, 861,210. ooj 78,256,120. 00 69, 517, 790. 00 Gold clearinghouse certificates 8, 744, 000.00 7, 399, 000. 00': 7, 619, 000. 00; 9, 614, 000. 00 7, 375, 000. 00 Silver coin—dol6, 786, 730. 00 lars 7, 086, 626. 00 6, 990,879. Oo| 6, 700, 739. 00; 5, 543. 006. 00 Silver Treasury 8, 812, 844. 00 10,863,380.00; 11,955,291.00' certificates 12,452,057.00 10, 067, 062. 00 Silver c o i n — 3,276, 200.54 4,199,200. 361 4, 052, 734. 66 4, 495, 681. 97 fractional 3, 728, 900. 90 Legal-tender notes .. j 82, 555, 060. 00 88, 624, 860. 00| 97, 838, 385, 00 97,456, 832. 00 86, 752, 093. 00 XJ. S. certificates of i deposit for legal9, 220, 000. 00 tender notes 13, 355, 000. 00 14, 890, 000. 00 12, 945, 000. 00 13, 785, 000. 00 Five per cent, redemption fund ; 7,141, 434.41 6,457, 820. 66 with Treasurer 6, 565,288.47. 6, 405, 058.18 6, 860,148. 44 Due from Treasurer, i other than redemption fund 1,246,391.04 1,066,950.97 1,001,712.61 1,161, 617. 26 976, 737. 81 Aggregate *Total s p e c i e . . 2, 777, 575, 799. 00 2, 837,406, 213. 93 2, 904, 947, 517. 45 2, 937, 976, 370. 24 2, 998, 290, 645.91 185,176,450. 86 175, 903, 868. 98 164, 326, 448. 84 LIABILITIES. C a p i t a l s t o c k p a i d i n -; 593, 848, 247. 29 596, 569, 330.701 599,472,742.88 Surplus fund... . • 187, 292,409.97 192,458, 759. 90' 193,746,169.52 1 Other undivided I I profits 88,302,639.01 76,901,041.65! 83,956,827.81 172, 734, 278. 50 182, 284, 803. 00 605,851,640.50 196,911,605.90 612,584,095.00 197, 394, 760. 55 72,532,956.94 84, 866, 869.13 National-bank circu- j latiou outstanding. lation outstanding.!: 143, 549, 296. 50, 137, 216,136. 50 131,128,137. 00 128, 867,425. 00 128,450,600.00 State-bank circulation outstanding .. 82,354.50 82,347.50 81,899.50 81,008.50' 80,410.50 Dividends unpaid...! 1,267,930.191 1,338,706.37: 2,007,667.72 3,517,596.07! 3,600,054.96 Individual deposits . 1, 331, 265, 617. 08 1, 354, 973, 535. 80 1,422, 042,136.92 1,442,137, 979. 08 1,475.467, 560. 37 U. S. deposits 46,707,010.38; 43,554,480.27 42,965,811.22 43,247,864.17 41, 588, 613. 71 Deposits of IT. S". disbursing officers . . . 4,415,608.41; 4,544,501.55: 4,136,285.33 3,451,189.34' 4, 936, 644.66 Due to other national banks 252, 291,134. 80; 289, 753, 579.16 286, 229, 670. 64 295, 841, 107. 17 293, 015,192. 86 Due to State banks and bankers 108,001, C06.46! 127,751,135.48 124,755,971.73 131,383,466.80 132, 327, 094. 47 Notes and bills re- | discounted 14,844,303.00: 9,249,531.33! 10,340,502.04 10,133,196.24 16, 782, 511. 36 Bills payable. 5,707,581.41 3,013,127.72; 4,083,695.14 4,019,334.53 7,196, 238.34 Aggregate 2, 777, 575, 799.00 2, 837,406, 213. 93 2, 904, 947, 517.45 2, 937, 976, 370. 24 2, 998, 290, 645. 91 BEPORT OF THE COMPTROLLER OF THE CURRENCY. 119 COMPARATIVE STATEMENTS or H I E NATIONAL BANKS FOR TWENTY YEARS. Oct. 3, 1864. Oct. 2, 1865. Oct. 1, I Oct. 7, j Oct. 5, i Oct. 9, j Oct. 8, 1869. 1870. 1866. 1867. 1868. 508 banks. 1,513 banks. 1,644 banks. RESOURCES. 1,642 banks. 1,643 ! 1,617 ! 1,648 banks, i banks, i banks. ; i Millions. Millions.'. illions. Millions. Millions.;Millions. Loans.... 93.2 Bonds for circulation I 108.1 Other United States bonds Stocks, bonds, etc 34.0 ! Due from banks ! 2.2 Real estate Specie , 44.8 : Legal-tender notes 4.7 ; National-bank notes j Clearing-house exchanges : United States certificates of deposit, j Due from United States Treasurer . . j 10.1 Other resources | Total 487.: 609.7 338.6 80.3 21.5 103.6 20.6 12. 8 157. 4 j 11.8 134. 6 ' 657. 7 340.5 74.1 20.7 j 110.1 | 22. 7 is!i 156.1 11.8 143.2 26.3 8.6 i Millions. 9.6 ! 6U3. 331. 427.7 1 95. 15. 107.3 122. 14.7 17. 18.1 9. 190. 0 202. 16.2 17. 72.3 1U3. 297.1 ; 1,359.8 682.9 i 339.5 44.6 ' 22.2 i 100.8 •• 25.2 23.0 : 129.6 ! 10.8 ' 108. 8 I 715.9 340.9 37.7 23.6 109.4 27.5 18.5 122.7 12.5 79.1 •I- 1,527.0 ! 1,499.5 22.9 1,559.6 i 1,497.2 ! 1,510.7 LIABILITIES. Capital stock Surplus fund Undivided profits Circulation outstanding Due to depositors ". Due to banks Other liabilities 86.8; 2.0 j 6.0 1 >• 45.2 I ; 122.2 j : 34.9; i i ! Total 393.2 38.7 32.4 171.3 549.1 174.2 .9 297.1 j 1, 359. 8 420.1 : 66.7 33.8 297.9 568.2 ; 112. 8 ; 415.5 53.3 32.6 290.0 598.0 137.5 .1 1, 527. 0 ' 1, 499. 5 I Oct. 2, 1871. ; 1,767 banks. RESOURCES. Loans Bonds for circulation ; Other United States bonds j ! Stocks, bonds, etc Due from banks Real estate Specie | Legal-tender notes ! Xational-bank notes I Clearing-house exchanges - . i United States certificates of deposit. 1 Due from United States Treasurer.. Other resources i Total.. 420.6 78.0 36.1 298.7 603.1 123.1 426.4 ! 86.2 | 40. 7 296.0 523.0 I 118.9 6.0 430.4 94.1 38.6 293.9 512.8 130.0 10.9 1, 559. 6 | 1, 497. 2 ! 1, 510. 7 ' I : Oct. 3, Sept. 12, 1872. i 1873. Oct. 2, 1874. Oct. 1, 1875. Oct. 2, 1876. Oct. 1, 1877. 1.919 banks. 2,004 banks. 2,087 ! 2,089 banks, i banks. 2,080 banks. 1,976 banks. Millions. Millions.'- Millions. Millions. Millions. Millions. Millions. 831.6 877.2 ; 944. 2 954.4 • 984.7 931.3 891.9 364.5 382.0 i 383. 3 388.3 370.3 337.2 33ft. 8 45.8 27.6 i 23. 6 28.1 47.8 • 28.0 45.0 24.5 23.5 I 23.7 33. 5 34.4 27.8 34.5 143. 2 128.2 144.7 134.8 129. 9 149. 5 146.9 30. 1 3L\ 3 42.4 38.1 45.2 34.7 43.1 13.2 10. 2 8. 1 22.7 19.9 21. 2 21.4 76.5 66.9 107. 0 102.1 92.4 80.0 84.2 18.5 15.6 14.3 15.8 16.1 If). 9 18.5 87.9 74.5 115.2 125. 0 100. 3 109. 7 100.0 48.8 33.4 20.6 42.8 29.2 19.6 16.0 16.7 i 20. 3 19.1 28.7 19.1 I 41.2 18.3 25. 2 17.3 1,730.6 1,755.8 1,830.6 1,877.2 1,882.2 1,827.2 1,741.1 LIABILITIES. Capital stock Surplus fund Undivided profits Circulation outstanding Due to depositors Due to banks Other liabilities Total 458.3 ; 101.1 i 42. 0 317. 4 631.4, 171.9 8. 5 479.6 i 110.3 i 46. (i 335. 1 628. 9 143. 8 11. 5 491.0 120.3 54.5 340.3 640.0 173.0 11.5 ! ; ! : 493. 8 129.0 51.5 ! 334.2 i 683.8 ; 175.8 i 9.1 I 1,730.6 ' 1,755.8 I 1,830.6 : 1,877.2 504.8 134.4 53. 0 319. 1 679.4 179. 7 11.8 1,882.2 499.8 132.2 46.4 292.2 6(56. 2 179.8 : 10.6 479.5 122.8 44.5 291.9 630.4 161.6 10.4 1,827.2 '. 1,741.1 120 REPORT OF THE COMPTROLLER OF THE CURRENCY. COMPARATIVE STATEMENTS OF THE NATIONAL BANKS, ETC.—Continued. Oct. 1, 1878. Oct. 2, 1879. Oct. 1, 1880. Oct. 1, 1881. Oct. 3, 1882. Oct. 2, 1883. 2,053 2,048 banks. 2,090 banks. 2,132 banks. 2,269 banks. 2,501 banks. Millions. 1, 243. 2 357.6 37.4 66.2 198.9 46.5 102.9 63.2 20.7 ' 208.4 8.7 17.2 28.9 Millions. banks. Millions. Millions. 834.0 878.5 347.6 357.3 94.7 71.2 36.9 39.7 138.9 167.3 46.7 47.8 42. 2 30.7 64.4 69.2 16.9 16 7 82.4 113. 0 26.8 32.7 16. 5 17.0 24.9 22.1 RESOURCES. Loans . Bonds for circulation Other United States bonds Stocks, bonds, etc Due from banks Real estate Specie ^Legal-tender notes National-bank notes Clearing-house exchanges United States certificates of deposit Due from United States Treasurer Other resources Millions. Millions. 1, 041. 0 1,173.8 357.8 363.3 43.6 56.5 48.9 61.9 213.5 230.8 48.0 47.3 109.3 114.3 56.6 53.2 18.2 17.7 121.1 189.2 7.7 6.7 17.1 17.5 23.0 26.2 1,767.3 1, 767.3 1, 868. 8 2, 105. 8 466.2 116.9 44.9 301.9 668.4 165.1 7.9 Total 454.1 114.8 41.3 313. 8 736. 9 201.2 6.7 457.6 120.5 46.1 317.3 887.9 267.9 8.5 1, 309.2 351.4 . 30.7 71.1 208.9 48.3 107.8 70.7 22.7 96.4 10.0 16.6 28.9 2, 358.4 > 2,399.8 2, 372. 7 463. 8 128.1 56.4 320. 2 1, 083.1 294. 9 11.9 483.1 132. 0 61.2 315.0 1,134. 9 259.9 13.7 509.7 142.0 61.6 310.5 1, 063.6 270.4 14.9 2,358.4! 2,399. S 2, 372. 7 LIABILITIES. Capital stock Surplus fund Undivided profits Circulation outstanding . . . Due to depositors Due to banks Other liabilities : Total 1,767.3. 1,868.8, 2,105.8 STATEMENT OF NATIONAL GOLD BANK NOTES, ISSUED, REDEEMED, AND OUTSTANDING OCTOBER 31, 1889. Issued. Fives Tens Twenties Fifties One hundreds Five hundreds One thousands Total Unpresented fractions of notes, to be deducted from notes redeemed and added to amount of notes outstanding Total : Itcdeemed. $364,140 746,470 722,580 404,850 809,700 342,500 75,000 Denominations. : ! ! 3,465,240 $338,425 708,510 675, 700 390,050 783, 500 337, 500 75,000 $25, 715 37, 960 46, 880 14, 800 26, 200 5,000 3,308,685 156, 555 +97 -97 i STATP:MENT O F NATIONAL i ! i Outstanding. BANK N O T E S I S S U E D DURING ,' 3, 308, 588 156, 652 THE YEAR ENDED OCTO- BER 31, 1889, WITH THE TOTAL AMOUNT REDEEMED AND OUTSTANDING. I Issued Total issued | Total issues during the j previous I to Octojber year. | years. 31, 1~" Denominations. Ones Twos Fives Tens . T I Twenties Fifties One h u n d r e d s . . Five hundreds. One thousands. Total redemptionsto October 31, 1889. $23,169, 677 15, 495, 038 520, 506, 800 442, 223, 330 275, 754,140 94, 893, 350 142, 217, 600 11, 947, 000 7, 379, 000 $22, 794, 643. 00 15, 306, 858. 00 476, 027, 775. 00 386,221,110.00 232, 686, 320. 00 84, 750, 700. 00 125,601,800.00 11, 737, 500.00 7, 327, 000. 00 , | $12,152,820 $ 9,138, I 9138 660 6, 050, 080 1,103, 900 2,166, 400 $23,169,677 15, 495, 038 532, 659, 620 451, 361,990 281,804, 220 95, 997, 250 144, 384, 000 11, 947,000 7, 379, 000 g 31 « $375,034. 00 188,180. 00 56, 631,845. 00 65,140, 880.00 49,117, 900. 00 11,216,550.00 18, 782, 200. 00 209, 500. 00 52, 000.00 Total I 30,611,860 1,533,585,935 !l, 564,197, 795 1, 362,453, 706. 00 201, 744, 089. 00 Unpresented fractions of notes, to be deducted from notes redeemed and added to amount of currency outstanding -25,084.25 +25,084.25 Total 1,362,428,621.75 J201, 769,173. 25 STATEMENT OF NATIONAL-BANK NOTES ISSUED, REDEEMED, AND OUTSTANDING, BY DENOMINATIONS AND AMOUNTS, ON OCTOBER 31, IN EACH YEAR FROM 1864 TO 1889, INCLUSIVE. [NOTE.—First issue December 21, 1863, ami first redemption April 5, 1865.] ! ! Ones. 1864..J Issued Redeemed Tens. Twenties. ; $19, 708, 260 $6, 536, 920 Fifties. $2,491,300 One i hundreds. ' $2,903,400 Five hundreds. 1 One thou, sands. ! Total. $58, 813, 980 $250, 000 i Outstanding.. i 26, 924,100 Issued Redeemed 1865 Fives. $26,924 100 Twos. $2,020,167 i $1, 346, 778 19, 708, 260 84, 796, 000 104, 820 53,493,210 195,800 : : 6, 536, 920 2, 491, 300 28, 209, 500 26, 580 10, 349, 700 46, 550 2,903,400 : REPORT OI Tear, i 58, 813, 980 H 15, 033, 600 89, 500 5, 440, 500 '< $4,404,000 1, 000 205, 099, 455 464, L50 a 250, 000 o o Outstanding 1, 346, 778 84, 691,180 53, 297,410 28,182,920 10, 303,150 14, 944. 100 5, 446, 500 4,403,000 i 204, 635, 205 7,699,1*2 7, 680 i 5,156, 012 11, 700 111,115,620 153, 175 75,807, 000 225, 390 42,278,700 42, 060 16, 473, 700 76, 050 24, 057, 500 172, 700 6, 669, 500 302, 500 4,728,000 507, 000 294, 585, 214 1, 498, 255 Outstanding 7,691,502 5,144, 3L2 110, 9(52, 445 75,581,610 42, 236, 040 16, 397, 050 24, 484, 800 6, 367, 000 4,221,000 293, 080^959 Issued Redeemed 8,396.179 ' 58, 606 i 5, 622, 722 42, 356 113, 535, 300 753, 855 77, 899, 270 510, 620 43, 615. 720 198.080 17, 469, 850 432, J100 26, 243, 600 877, 000 6,691,500 671, 500 4, 728, 000 1, 563, 000 304,202, 141 5,107, 317 Outstanding 8, 337, 573 ' 5, 580, 366 112,781,445 77, 388, 050 43,417,040 17, 037, f,50 25,360,600 6, 020, 000 3,165, 000 299, 094, 824 w 8 947,798 272,997 5 990,468 156,016 115.738,140 2, 515, 095 .79 227 620 1, 300, 500 44, 430, 700 759, 700 17, 775 4f.() 880,!»."() 20 7(50 600 1,598,000 6 744 500 909, 000 4 746 000 1,858,000 310 367 276 10, 250, 318 o Outstanding 8,674,801 5, 834, 452 113, 223, 045 77, 927,120 43, 070, 940 10, 894, ")00 25, 108, C00 5, 835, 500 2,888,000 300,116, 958 H Issued Redeemed 9, 663, 5*4 973,427 6, 468, 392 497, 538 118, 674, 740 5,146,030 81,107,820 2, 847, 390 45,490,040 1, 490, 400 18, 205, 350 1,502,050 27, 520, 300 2, 708, 100 6. 838, 500 li 347, 000 4, 769, 000 2, 501, 000 318, 743, 726 19, 018, 935 o Outstanding 1867... 2,020,167 : Issued Redeemed 1866 8,690,157 5, 970, 854 113, 528, 710 78, 200, 430 43, 993, 040 16,703,300 24,818,200 5,491,500 2, 268, 000 299,724,791 10, 843, 693 2,752,688 7, 256, 558 1,437,318 124, 376, 620 9, 035, 250 85,118,950 5, 000, 500 48, 208. 980 2, 701, 900 19,180, (iOO 2, 501, 050 23,067,200 4, 587, 500 6, 980, 000 2, 096, 000 4, 779, 000 3, 380, 000 335,411,601 33, 552, 326 ft o Issued Redeemed 1868... 1869 . . . 1870 Issued Redeemed .; 8,091,005 5,819,240 115,341,370 80, 058, 390 45, 507, 020 16, 679, 550 24,079,700 4, 884, 000 1, 399, 000 301,859,275 1871...; Issued Redeemed 8, 482, 434 3,114, 890 142,195, 820 17, 014, 975 98, 246, 300 9, 689, 570 56,132,010 5, 076, 520 21, 806, 850 4, 277, 250 32, 365, 500 7,846,100 7, 326, 500 3, 078, 000 4, 843, 000 : 12, 673, 867 5, 471, 799 1 4,028,000 384, 072, 311 59, 597,104 Outstanding i 7,202,068 5,367, 544 125,180, 845 88, 556, 730 51, 055, 520 17, 529, 600 24, 519, 400 4, 248, 500 815, 000 324,475, 207 Outstanding i : H O w STATEMENT OF NATIONAL-BANK NOTES ISSUED, REDEEMED, AND OUTSTANDING, BY DENOMINATIONS AND AMOUNTS—Continued. Year. 1872... Ones. sued | Redeemed I Outstanding 1873... Issued.. Redeemed . j Outstanding 1874... Redeemed... Outstanding. Twos. Fives. Tens. $14,297,300 $9,565, 2o6 $159, 666, 740 $112, 534,520 7,919,388; 4,816,778 29,803,335 j 16,997,020 6,377,972! Twenties. | Fifties. One hundreds. $64, 513, 760 I $24, 859, 950 $36,779,700 8,777,040 j 6,309,000; 11,098,900 129, 863, 405 ; 95,537,500 55,736,720 174, 472, 280 ! 125, 603, 990 45,709,815! 25,730,700 72, 164, 380 • 27, 987, 100 ! 41,661,000 13, 061, 420 | 8,448, 800 j 14,405,700 8,233, 000 4,829,000 5,634,583 128,762,465; 99,873,290 59,102,960; 19,538,300 I 27,255,300 3, 404, 000 10, 550, 259 .11. 078, 226 11,143,606 j 7,110,038 5,406,653 I 3,968,188 196,215, 680 j 133, 370, 760 79, 242,180 ! 33, 348, 500 49, 250, 200 65,208,025) 39,127,070) 19,832,160 i 11,577,800! 19,657,200 8, 657, 000 5,838,000 131,007,655 j 94,243,690 2,819,000 59,410,020 j 21,770,700 . 29,593,000 | 18, 048. 176 i J2, 079, 504 14,092,126 9,233,246 1876... Issued Redeemed . 18,851,264, 12, 614, 896 | 258, 917, 640 '. 200, 086, 520 \! 121, 729, 840 ; 49,281,750 1 71,092,000 15,556,708 ! 10/249,092 161,910,280 i 103,692,140 57,444,920 ; 25,789,200 ! 39,578,500 1877... IKS ucd Redeemed Outstanding. 1878... Issued Redeemed.. Outstanding 3, 956, 050 ; 3,294,556 j 20,618,024 16,815,568 3, 802, 456 22, 480,415 18,194, 196 4,286,219 235, 275, 920 124,633,860 174,105,070 105, 921,280 I 44,209,250! 64,585,800 76,085,320 ; 40,489 280 | 19,051,850 ; 29,942,800 2, 846, 258 j 110, 642, 060 98,019,750 1 65,432,000 | 25,157,400; 34,643,000 2,365,804 13,793,936 11,111,052 97, 007, 360 j 96, 394, £ 64,284,920 j 23,492,550 ! 31,513,500 284, 084, 240 i 222,660, 640 135, 525, 060 53,990, 05076. 733, 700 190, 579,340 \ 124,347, 790 : 70,470,560: 31,733,950 47,931,700 2, 682, 884 j 93, 504, 900 j 98,312, 850 j 65, 054, 500 2,982,146 ! 92,539,275 I 102,981,440 1 67,819,780 . 20,968,800 \ 27,106,400 1880... Issued Redeemed. 23,169,677 20, 875, 215 2,294,462 $434, 960, 786 93, 969, 961 618, 000 j 340, 990, 825 5,158.000 4,530,000 481,196,161 132, 848, 487 628, 000 348, 347, 674 5, 250, 000 > 532, 962, 805 4,683,000! 184,176,899 567,000 j 348,785,906 1, 986,500 8] 108, 500 1,237,000 ! 493,000 i 343,176,018 "57549T000 747,768,7io 5,272,000 2, 492, 498 | 97, 911, 820 J 109, 736, 240 26,913,600 ; 72, 252, 160 j 21. 325, 900 277,000 ; 319,867,070 9, 906, 000 j 5, 678, 000 ! 8, 807, 500 ! 5, 411, 000 ' 823, 079, 650 507, 208, 460 ! 315,871, 190 1,188, 500 j 267,000 642,500 i 314,000 j 319,640,560 10, 270, 000 I 6,350,000 1 945,281,215 5, 643, 500 ! 6,057,000 ! 610, 160, 297 628,500 293,000 ! 335,120,918 15, 495, 038 j 345, 659, 880 ; 272, 031, 680 ! 165, 327,960 ; 62, 694, 250 87,951.000 10,366,500 6,373,000 1 989,068,985 61, 13, 8*7, 778 i 245, 749,120 j 158, 211,100 | 90, 096, 400 j 41, 274, 950 000,100 ! 9, 742, 000 6,124,000 ! 647,020,663 1,607,260 99, 910, 760 ! 113, 820, 580 ! 75, 231, 560 i 21, 419, 300 26,890,900 , o o 624,500 O r1 427,601,340 15,035,530 305,956,440 241,572,930 : 146,883,340 57,379,900 81, 292, 300 10, 090, 000 ! 6, 214, 000 i 886, 904, 855 54,185, 900 ; 9, 447, 500 | 5, 9tO, 000 i 567, 264, 295 12,053,384 j 213,417,165 138,591,490; 79,063,560. 36,411,100 23,169,677; 15, 495, 038 I 327, 892, 200 i 259,042, 230 i 157, 399, 020 60,589,050! 85,074,000 13, 002, 540 I 229, 980, 380 ! 149,305, 990 j 85,146, 860 i 39,263,150 160, 400 58, 19,000,477 3,569,200 $4,933,000 4,315,000 9, 223, 000 5, 540,000 ! 668, 988, 000 7,236,500 ! 5,047,000 j 325,811,982 22, 256,100 \ 28, 802, 000 1879... Issued Redeemed. Outstanding. Outstanding. 3, 877, 000 4, 748,478 1875... Issued Redeemed . Outstanding Outstanding. $7,810,500 3,933,500 15, 520,189 i 10, 390, 222 9, 891, 606 j 6,241,446 4,148,776 18,550,950; 25,680,800 Five ; hundreds.. 249, 0 00! 342, 048, 322 SO o 1881... Issued Redeemed Outstanding 1882 Issued Redeemed Outstanding 1883. Issued Redeemed Outstanding 1884 Issued Redeemed Outstanding 1885... I s s u e d Redeemed Outstanding 1886... Issued Redeemed Outstanding 1887 .. Issued Redeemed Outstanding 1888... Issued Redeemed Outstanding 1889 . Issued Redeemed Outstanding 23,169, 677 21, 838, 565 15, 495, 038 14, 572, 868 308, 062, 520 294, 775,190 267,582,440 ; 173,466,350 178.816,340 98, 099, 840 67, 879, 700 44,594,500 95, 973, 200 66, 020, 200 10, 964, 500 10, 247, 500 7,154,000 6, 943, 000 1, 062, 290,16S 703, 365, 263 1,331,112 922,170 100,480,080 i 121,308,840 80, 716, 500 23, 285, 200 29, 953, 000 717, 000 211, 000 358, 924, 902 23,169, 677 22, 353, 877 15,495,038 14, 968, 280 393, 487,120 j 320. 422, 600 296,566,165 ! 1971709,340 195, 035, 680 111,434, 140 72, 667, 200 49, 009,100 103, 513, 800 71, 913, 000 11,378,500 10, 440, 000 6,' 990,' 000 1,142, 366, 615 781,383,902 815, 800 526, 758 83, 601, 540 23, 658,100 31,600,800 938. 500 207, 000 360, 982, 713 23,169, 077 22, 593, 909 15, 495, 038 15,141,806 417,236,040 i 345,440,860 325, 712, 835 j 227,123, 550 211, 576, 920 128, 492, 760 77,801,450 54, 535,150 111,474,200 78,912,500 11,566,500 10,683,500 7, 287, 000 7, 092, 000 1,221,047,685 870, 288, 010 575, 708 353, 232 91,523,205 I 118,317,310 83, 084,160 23, 266, 300 32,561,700 883, 000 195, 000 350, 759, 675 96, 920, 955 122, 713, 260 : 7, 379, 000 1,3027693,995 969, 641, 051 7,156, 000 r 0 (J ~237lO9, 677" 22, 671, 936 15,495,038 15, 206, 570 440,50'), 940 371,821,020 35% 196,785 ; 260,501,070 228,841,820 149,635,240 83, 051, 500 60, 828, 650 119,977,000 87, 454, 300 11,853,000 10, 990, 500 497, 741 288, 468 85,309,155 j 111,319,950 79, 206, 580 22, 222, 850 32, 522, 700 862, 500 223, 000 332,452,944 23,169, 077 22, 731, 963 15, 495, 038 15, 257, 754 466,042,000 398.040,010 246, 363, 460 384,085,330 < 293,828,720 171, 275, 940 87, 927, 650 67, 288,100 128,770,600 97,192, 200 11, 947, 000 11, 363, 500 7, 379, 000 7, 238, 000 1,385,134,435 1,070,261,507 437,714 237, 284 81,956,670 ! 104,211,290 75, 087, 520 20, 639, 550 31, 578, 400 583, 500 141, 000 314, 872, 928 H 23 109 677 22, 757, 987 15 495 038 15, 279, 612 488 336 800 ' 416,959 700 4U5, 546, 320 j 317,672,780 258 912 360 187, 957,120 90, 759, 700 72, 565, 050 134 2O'? 100 105, 533, 000 11 947 000 11, 569, 000 7 379 000 7, 290,000 1,447 161 375 1,146,170, 869 O F 82,790,480 i 99.286,920 378, 000 89, 000 300, 990, 506 L 1,483,917,475 1,212,265,888 O 411,690 215, 4'6 23, 109,677 22, 776, 403 15, 405, 038 15, 293, 440 393, 274 201, 598 23,169, 677 22, 783, 281 15, 495, 038 15, 298, 872 386, 396 196,106 23,169,677 22, 794, 643 15,495, 038 15,306,858 375, 034 188,180 X K O p 70, 955, 240 18, 194,650 28, 669,100 502, 277, 620 ! 427, 627, 990 266, 022, 900 425,853,955 j 337.999,280 201, 838, 860 92,481,650 76. 807,150 137,516,600 112, 745, 300 11,947,000 11, 6i(j, 500 64, 184, 040 15,674,500 24, 771, 300 300,500 74, 000 271,651,587 520,506,800 i 442,223,330 453,086,540 , 364,436,600 275,754, 140 218,}-06, 920 94, 893, 350 81,230,400 142, 217, 600 119, 872, 000 11,947,000 ll,70ii, 500 7, 379, 000 7, 320, 000 1,533,585,935 1,294,541,113 K 67,420.260 : 77,786,730 56, 947, 220 13,662,950 22, 345, 600 240, 500 59, 000 239, 044, 822 O 532, 659, 620 451, 301, 990 281, 804, 220 476,027,775 j 386,221,110 232, 088, 320 95, 997, 250 84, 750, 700 144,384,000 125, 601, 800 11,917,000 11,737,500 7, 379, < 00 1, 564,197, 795 7, 327, 000 1, 362, 453, 706 P3 11,246,550 18, 782, 200 209, 500 76, 423, 665 j 89, 628, 710 56,631,845 65,140,880 49,117,900 7, 379, 000 7, 305, 000% 52, 000 201, 744, 089 K O 124 REPORT OF THE COMPTROLLER OF THE CURRENCY. Banks organized during year ended October 31,1889. Banks existing October 31,1888. States and Territories. No. Maine New Hampshire... "Vermont Massachusetts Rhode Island Connecticut Capital. - Bonds. 75 !$10,660, 000 $5,005,950 $4, 528, 896 49 | 6,205,000 3, 764, 800 3,311, 422 7, 566, 000 3, 241,400 2,623, 864 49 253 96, 540, 500 28,472, 650 25, 035,173 60 20, 284, 050 5, 031,800 4,150,145 84 24,194, 370 8,102, 250 7, 563, 557 No. j Capital. 2 ! 2 I Bonds. $350,000 125,000 $62, 500 31, 250 300,000 75, 000 570 jl65,449,920 | 53,618,850 47,213, 057 825. 000 24,162, 993 5, 672, 007 16, 873, 038 46, 708, 038 2, 133, 985 1,599,200 14, 589, 960 2, 004, 950 1,827,000 ' 830,000 3,846,300 1,153, 850 2, 066, 000 (362, 650 1,356,825 1,954,159 655, 368 994, 626 655, 552 24,463,245 5, 616, 530 67, 500 315,000 550, 000 1, 450, 000 Division No. 2 . . i 721 !l67, 367, 920 I 51.905,000 $56, 250 28,125 "ii,'25O 50, 000 322 86,753,710 j 26,931,250 86 ! 13,383,350 ! 6,704,750 313 I 67,230,860 I 18,269,000 Circulation. Division No. 1. New York New Jersey Pennsylvania Delaware Maryland Dist. of Columbia.. "Virginia W e s t Virginia Division No. 3. North Carolina South Carolina Georgia Florida Alabama Mississippi Louisiana Texas Arkansas Kentucky Tennessee 120 18 2, 376, 000 16 1,774,200 25 3,461,000 13 897, 92<> 22 3, 586, 080 12 1,105, 000 13 3, 425, 000 100 11,839,850 7 950, 000 69 13, 644, 400 42 7, 730, 000 6,250,650 766, 000 4S3, 500 894, 500 280, 000 826, 000 3.52, 500 1,418,800 2, 634, 000 412,500 3, 2(52, 000 1, 512, 000 25 181, 250 56,2f)0 50,000 75, 000 15, 000 50, 625 45, 000 67,500 13, 500 196, 250 176, 625 2,315,000 225,000 ! 200,000 300, 000 50, 000 775, 000 7 163,125 150,000 j 33, 750 200,000 50,000 j 375,000 403,710 ! 871,620 227,368 j 776,937 292,150 : 1,439,721 2, 352, 558 , 346,104 • 3,160,511 1, 254, 085 37,500 50,000 12,500 94,500 45, 000 11, 250 85, 050 ! 65, 000 i 692, 550 i 12, 500 ' 281, 250 100, 000 58, 500 595, 395 11,250 253,125 90,000 260,000 3,245,000 50, 000 1,425,000 400, 000 Division No. 4 6,155,000 1,345,800 12, 049, 600 4,709,300 5, 674, 000 3, 036, 000 1, 699, 000 10,775,334 4,269,965 5,002,730 2, 988,425 1,497,494 117, 000 33, 750 95, 850 67, 500 56, 250 1,925,000 I 411,500 2810,183 1, 682, 051 1,415,468 2,849,805 1, 674, 288 Colorado Nevada California Oregon Arizona j 34 i 2 \ 38 ! 27 ; 1 Division No. 7.. i 102 United States 907,215 i 63,440 i 1,623,225 | 503,700 22,500 : 132 14,412,000 3, 652, 050 3,120, 080 3, 825, 000 450, 000 1, 975, 000 900, 000 900,000 1, 865, 000 1,175, 000 -Dakota Txlaho Montana New Mexico. Utah Washington. Wyoming Division No. 8.. 3,465,000 I 1, 008, 000 282, 000 70, 500 8,175, 000 2, 028. 750 2, 390, 000 519, 800 100, 000 25, 000 1, 005, 000 117,800 500, 600 257, 500 390, 000 408, 750 248, 750 897^ 49T 94, 766 450, 735 228, 893 351, 000 496,3 20 150, 000 62, 500 287, 500 158, 750 268, 750 135,000 56, 250 258, 750 142,875 242, 055 / 900, 000 187, 500 168, 750 2 5 325, 000 250, 000 68, 750 62, 500 61,875 56, 250 14 I 1, 475, 000 I 318, 750 286, 875 200, 000 50, 000 225, 000 43. 750 12, 500 57,500 39,375 11, 250 51, 750 1 '• 250,000 13 1, 360, 000 50, 000 315, 000 45, 000 283, 500 229, 875 22 J 2, 085, 000 | 478, 750 430, 875' 3151 1596,796,015 ;170, 003, 350 152,239,308 I 211 j 21,385,000 14,378,550 3, 912, 975 11, 090, 000 I 2, 928, 400 \ 2, 748, 886 j REPORT OP THE COMPTROLLER OP THE CURRENCY. among banks existing October 31, 1888, and number of banks concerned in such increase. States and Territories. Capital. ; No. Maine . ... New Hampshire... Vermont Massachusetts Rhode Island Connecticut 1 2 500,000 , 550,000 ' 3 1 $11,250 $12,500 2 3 j 6 I 12,500 •. 11,250 Capital. ; Bonds. i Circnla; tion. No. : $350, C O O 175, 000 $62, 500 43, 750 $56, 250 39, 375 800, 000 75, 000 67, 500 50,000 : 12, 500 11,250 12 ; 1, 375, 000 ; 193, 750 174, 375 1 8 Division No. 2 . Delaware Miaryland Dist of Columbia Virginia West Virginia Division No. 3 . North Carolina South Carolina Georgia Florida A labama Mississippi Louisiana Texas . . . Arkansas Kentucky Tennessee i 150, 000 368, 050 ; 40,000 i 25,000 : 10, 000 9, 000 • 22, 500 9, 000 ' 4 315,000 • 89, 000 7 i 700,000 .' 138, 000 24 1, 818, 050 : 336, 750 80,100 124, 200 303, 075 10 New York New Jersey Pennsylvania 518, 050 ; 45,000 ; 40, 500 35 j 2,833,050 ;' 563. 750 507, 375 225, 000 200,000 ' 300, 000 ! 50,000 56, 250 50, 000 85, 000 15, 000 50, 625 45, 000 76, 500 13, 500 i i 10,000 • 9,000 1 1 10,000 9, 000 1 3 1 2 2 8 2 1 ; 2! Division No. 4 . 22 3: Ohio Indiana Illinois Michigan . » Wisconsin 5 25,000 115,000 : 50, 000 i 100, 000 35,000 345,000 ! 200,000 ! 500,000 : 60,000 1,430,000 : 115,000 ;' 25,000 ; 4?,7> 0 0 0 I5 1 10 775, 000 206, 250 185, 625 150, 000 25, 000 315, 000 100,000 475,000 35, 000 260, 000 3, 590, 000 250, 000 1 995 000 460, 000 37, 500 6,250 78, 500 25, 000 176, 500 8,750 65, 000 778, 800 12,500 281,250 102, 500 33, 750 5,625 70,650 22, 500 158, 850 7, 875 58, 500 673, 020 11,250 253, 125 92, 250 7,585,000 1 572, 550 r 387, 395 2,500 2, 250 1 1 7 2 7 2 2 44 3 10 7 220,750 204, 075 86 25, 875 5, 850 24, 300 16.875 19,125 7 3 11 7 6 915, 000 158, 750 175,000 ; 44, 000 860 000 133,500 775. 000 93, 750 335, 000 83, 750 142, 875 39, 600 120,150 84, 375 75, 375 92, 025 6,250 , 28,500 i 12,500 ! 82,000 i 8, 750 ; 5. 62') 25, 050 11,250 73, 800 7, 875 86,250 , 77, 625 28,750 : 6,500 27,000 1 18,750 i 21,250 ! 3 3 475, 000 85, 000 15 1,135, 000 102,250 34 3,060,000 , 513, 750 402, 375 4 2 15 160,000 500, 000 1, 000, 000 250, 000 775, 000 52,500 ; 12,500 | 25,000 1 37,500 : 167,750 : 47, 250 11,250 22, 500 33, 750 150, 975 7 16 12 31 760,000 i 750, 000 : 4,250,000 , 885,000 i 1,870,000 : 202, 500 75, 000 312, 500 196, 250 43(j, 500 182, 250 67, 500 281, 250 176, 625 393, 030 28 2, 685, 000 295,250 1 265, 725 77 8,515,000 1 222, 750 1,100,655 400,000 Division No. 5 25,000 I 22, 500 10 1,300,000 , 212, 500 191, 250 275, 000 56,250 50, 625 5 5 600, 000 125, 000 250,000 , 62, 500 112, 500 56, 250 2,350,000 j 400, 000 360, 000 350, 000 50, 000 765, 000 75, 000 500, 000 1 890,000 72, 900 11,250 74, 250 22, 500 56, 250 410, 625 . . Division No. 6 . Colorado California Oregon Arizona ; Circulation. Total increase m capital, bonds, and cii dilation, and number of banks concerned in such increase. 1 Division No. 1 . Iowa Minnesota Missouri Kansas Nebraska ,$50,000 | Bonds. 125 -. - 3 Division No. 7 . 6 675,000 81,250 ; 73,125 20 3 150,000 37,250 I 33, 525 7 5 1 2 8 540,000 75,000 i 250,000 530,000 25, 000 • 25, 000 j 12, 500 : 141,250 ; 22. 500 22, 500 11, 250 127,125 8 1 3 21 241,000 i 216,900 41 3, 630, 000 j 719, 750 647, 775 1,014,000 i 912, 600 315 29,923,050 5, 392,550 4, 825, 575 Dakota Idaho M^ont?na New Mexico Utah "Washington AVyoiniug Division No. 8 . United States : i 19 1,543,000 104 8,538,050 : i 81, 000 12, 500 82, 500 25, 000 62, 500 456, 250 126 REPORT OF THE COMPTROLLER OF THE CURRENCY. i Decrease in capital, bonds, and circulation, with number of banks concerned in such decrease. States and Territo- ,"' ries. i No. Capital. Division No. 1 . New York Nev^ Jersey Pennsylvania ; Bonds- . Circulation. No. I ! ' M^aine New Hampshire . "Vermont Rhode Island Connecticut By banks existing October 31, 1888. Failed and liquidating banks. 1 $220, 000 1 8 i ' $50, 000 . k $45,00C 71 11 24 Capital. Bonds. $50,000 • 50, 000 100 000 273, 000 'CircuLttion. $487, 500 : 422,500 : 7,875,250 757,500 2, 729, 300 $438, 750 380, 250 446 850 7, 087, 725 681, 750 2, 453, 940 573,000 ! 12, 7G8, 550 11, 489, 265 100,000 | 220,000 50, 000 45,000 129 8 1,100, 000 50, 000 1 1 50, 000 263, 500 12, 500 12, 500 237, 150 11,250 i 11,250 ' 73 15 43 275, 000 10 1, 200, 000 288,500 259,650 ; 131 541, 700 266, 700 4Ut'). 5 0 0 ! 4, 803, 650 1, 713, 750 2, 940, 250 4, 368,100 1, 542, 375 2. 646, 225 i Division No. 2 . . . Division No. 3 . North Carolina {South Carolina Georgia Florida Alabama Mississippi .... Louisiana Texas .Arkansas Kentucky Tennessee Division No. 4,. i i 1 50,000 50,000 45,000 9, 457, 650 8, 556, 700 4 4 ;; 4 307, 700 182,500 180, 000 118,750 276, 900 164,250 162,000 lOd, 875 15 788, 950 710,025 2 1 Delaware Maryland Dist. of Columbia. V"ir<rinia West Virginia 67, 250 37, 500 127, 500 60, 525 33, 750 114,750 3 1 20, 000 18, 000 375, 000 71, 750 100,000 334, 000 132, 500 337, 500 64, 570 90, 000 300,600 119, 250 2 200, bob 50, 000 22,500 } 600, 000 50, 000 180,000 12, 500 162,000 11,250 ! 2 7 2 5 2 175, 000 8 900, 000 292, 500 240, 750 [ 25 175, 000 1, 265, 500 1, 138, 945 Ohio Indiana Illinois Michigan Wisconsin Division No. 5 . 1 400,000 56, 000 50,400 j 26 45, 000 2, 403, 800 265, 250 97 500 35,' 000 126,000 2,163, 420 238, 725 87 750 31,500 113, 400 2, 927, 550 2, 634, 795 Iowa. 25, 000 25, 000 258. 000 97, 500 58, 500 25, 000 31, 250 232. 200 87, 750 52, 650 22, 500 28,125 100,000 470, 250 423, 225 .. Missouri Kansas Nebraska Division No. 6 . 1 ! 2 5 1 50, 000 12, 500 11,250 2 450, 000 68, 500 61,650 > 3 2 1 8 2 350, 250, 66, 510, 110, 000 000 000 000 000 87, 500 62, 500 17, 500 127, 500 27,500 16 1, 286, 000 322, 500 Colorado Nevada California Oregon Arizona Division Ko. 7 . 3 1 400, 000 50, 000 105, 000 12, 500 4 450, 000 Dakota 1 50, 000 78,750 56, 250 15, 750 114, 750 24, 750 8 4 35, 000 45 80, 000 ! J ! I j 9 2 4 3 2 290,250 j 20 . . . i 50, 000 2 95 000 85 500 94,500 i l , 250 4 565, 000 508, 500 117,500 105, 750 '; 6 660, 000 594, 000 12, 500 11,250 ! i " r\ o Vi n T Montana New Mexico Utah Washington Wyoming Division No. 8 . United States 2 1 50, 000 12, 500 2 100, 000 25, 000 43 4, 606, 000 1,164,500 50 000 67 500 o 165, 000 148, 500 11 250 ! 22. M)0 4 1,025,550 : 375 1 215, 000 1,469,700 216, 000 28, 553, 450 25, 762, 955 REPORT OF THE COMPTROLLER OF THE CURRENCY. 127 Increase and decrease during year ending October 31,1889. States and Territories. Increase. Capital. -! Iowa Minnesota Missouri Kansas Nebraska Division No. 6 Division No. 7. Dakota Idaho Montana New Mexico. Utah Washington n Wyomin g Division N o . 8 United States 15,000 150, 000 25, 000 ! . 315,000 < 25,000 I 100, 000 ! 106, 500 425,000 8, 750 35, 000 260, 000 3,390,000 657, 050 : 250, 000 1,150,000 410,000 \ 6,510,000 1 $425,000 378, 750 496, 500 7, 800, 250 757, 500 2, 766. 800 1,051,700 I 9,182,400 I $382, 500 340, 875 446, 850 7, 020, 225 681, 750 2, 487, 690 11,359,890 797,300 8, 308, 975 307, 700 126. 250 130, 000 33, 750 537, 900 29, 750 31, 250 49, 000 26, 775 28,125 44,100 310, 000 279, 000 87, 500 232, 750 42, 500 78, 750 209, 475 38, 250 782,750 | 13,500 j. . 276,900 113, 625 117,000 30, 375 597, 700 $13;500;. ! ; 704,475 22,500 j. 95,850 I. 7,875 . 585, 950 712, 175 I = = 2, 213, 820 1 915, 000 175,000 825,000 725,000 335, 000 83,750 75,375 i 2, 975, 000 182,250 164, 025 410, 000 450, 000 4,184, 000 ; 350, 000 1, 735, 000 236, 500 43, 750 377, 750 212,850 39, 375 340,155 ! 7,129, 000 \ 658, 000 592,380 L. 1, 300, 000 117, 500 105,750 L i : : Colorado. Nevada California Oregon Arizona : j Circulation. . i 1, 051, 700 i 4, 978,150 I 525,150 4, | i 1,588,250 1, 429, 425 2, 354, 400 ! 2,016,000 225, 000 ! 200, 000 '•.. 300, 000 : 50,000 ! $15,000 775,000 .Bonds, 370,000 i 12,624,800 2,143, 050 i Division No. 3 Division No. 5 952,000 i |. 650, 000 ;. 1, 45)3, 050 :. Division No. 2 Division No. 4 $100, 000 270, 000 Delaware Maryland District of Columbia . Virginia "West Virginia Ohio Indiana Illinois Michigan Wisconsin Circulation, i Capital. 527, 000 New York New Jersey Pennsylvania North Carolina South Carolina Georgia Florida Alabama Mississippi Louisiana Texas Arkansas Kentucky Tennessee ; $300, 000 125,000 Maine New Hampshire. Vermont Massachusetts. -Rhode Island Connecticut Division No. 1 Bonds. Decrease. I i j 98, 500 200, 000 200, 000 j \ 88, 650 445,000 • 2,459,800 I • ! 106,500 53,500 95, 850 48,150 40, 275 2, 664, 550 2, 398, 095 143, 000 85, 000 128,700 76, 500 228,000 | 205, 200 545,000 490, 500 545,000 ' 490, 500 102, 500 50, 000 44, 750 445, 000 92, 250 102,500 92, 250 45,000 1,700,000 167,500 150, 750 300,000 50,000 765,000 75,000 500, 000 i j ! ! [ 68, 500 12,500 32, 500 25, 000 61,650 11,250 0, 750 22, 500 1,840, 000 . 443, 750 i 3, 530, 000 ; 582, 250 '9,375 ! 501, 525 I 25,714,050 ! 2,402,300 2,134, 355 j 1, 8(56, 700 26, 727, 700 24, 097, 285 128 REPORT OF THE COMPTROLLER OF THE CURRENCY. SUMMARY. I Net increase | canital. Net decrease bonds and circulation. Bonds. Division Division Division Division Division Division Division Divi sion No. 1 No. 2 No. 3 No. 4 No, 5 No. 6 No. 7 No. 8 .! i i ; ' i j * Increase. $582,000 1. 091, 350 775, 000 6. 510, 000 2, 530, 000 7,129,000 1, 700, 000 3, 530, 000 377, 500 339, 750 *479,75O *4©9,275 j United States $12, 624, 800 9,182, 400 582, 700 *14,55O Circulation. 23,847,350 24, 325, 400 21, 962, 93a $11, 359, 89a 8, 308, 975 524, 400 *7,7©O 2,482, 300 2, 234, 070 *43O,OOO 387,180 REPORT OF THE COMPTROLLER OF THE CURRENCY. 129 TABLE SHOWING BY STATES THE AMOUNT OF NATIONAL-BANK CIRCULATION ISSUED, THE AMOUNT OF LAWFUL MONEY DEPOSITED IN THE UNITED STATES TREASURY TO RETIRE NATIONAL-BANK CIRCULATION FROM JUNE 20, 1874, TO OCTOBER 31, 1889, AND THE AMOUNT REMAINING ON DEPOSIT AT THE LATTER DATE. Lawful money deposited to retire national-bank circulation since June 20,1874. Additional States and Territories. circulation is- For resued since demption ' T o retire cir-' ' I of notes of j under act i der act of j I liquidating! of June 20, Lly 12,1882. | banks, i 1874. Maine New Hampshire Vermont Massachusetts Rhode Island Connecticut New York New Jersey Pennsylvania Delaware Maryland District of Columbia.. Virginia West Virginia North Carolina South Carolina Georgia Florida Alabama Mississippi Louisiana Texas Arkansas Kentucky Tennessee Missouri Ohio Indiana Illinois Michigan Wisconsin Iowa Minnesota Kansas | Nebraska 1 Nevada i Oregon i Colorado ' Utah ! Idaho I Montana j Wyoming j New Mexico | Dakota j Washington j Arizona I California Lawful money deposited prior to June 20, 1874, and remaining at that date Total $3, 420, 819 2,138,430 3,776,015 37, 538, 315 5,152, 955 8, 268, 520 44,157, 525 6,140, 565 28, 688, 900 914, 810 3, 356, 395 610,150 1, 830, 320 640, 894 1, 495, 310 312, 480 1,147,950 I 281,980 i 911,570 I 345,340 ' 2,624,410 ! 3,484,240 j 612, 700 I 7,112, 850 ! 2, 005, 715 i 3, 842, 335 j 17, 873,126 j 7, 699, 440 ; 7,050,935 ! 4, 985, 060 j 2, 787, 940 : 4, 592. 699 I 2, 374, 815 3,331,135 • 2, 715,115 i 76.950 j 562,380 | 1, 583, 740 I 544,400 ! 115,020 ! 735,590 j 179,725 I 281, 250 I 1, 343, 675 1, 229. 890 75, 590 2, 726, 350 $786, 500 $3, 857, 590 465, 983 1, 9tt4, 350 1, 059,277 4, 827, 353 1, 907,105 50, 770,438 257, 768 8, 572, 391 1, 070, 531 12,833,197 9,152,132 ! 53, 526, 550 1,400,038 i 8, 232,189 4, 451, 735 I 34,421,312 I 500, 650 181,800 : 6,187,790 i 899, 740 455,664 1,176, 419 ! 2, 305, 275 810, 240 951,380 j 330,480 i 2, 104,610 33,750 j 1,899,475 330, 925 1, 611, 355 19, 210 7,790 192, 978 1, 031, 320 38, 450 666, 413 3, 446, 900 167, 380 1, 078, 788 55, 880 358,120 1, 512, 055 8, 649, 967 956, 441 2,192, 032 1, 333, 405 6,157, 021 7,531,476 19,211,919 5,189, 860 11,484,391 3, 780, 444 | 11,836,851. 2, 918, 655 j 5, 536, 526 1, 219, 990 ! 2,493,139 1,824,713 ; 4, 716, 013 1,004,754 i 2, 569, 831 1,026,860 ! 900 020 190,720 ! 1, 148, 275 13, 500 180, 860 498, 970 347, 475 527, 550 161, 191 74, 250 329, 210 J 89, 940 15, 750 15, 500 285, 200 153, 58'J 295, 905 51,250 374, 600 50, 590 2,500 147,490 1, 261, 750 $2, 581, 035 1, 467, 900 1, 916, 642 24, 639, 387 6,010,801 6, 424, 047 15, 526, 446 3, 072, 436 15, 885, 390 458, 645 3, 665, 625 76, 310 699, 630 549, 945 84, 800 110, 480 547, 910 ii3,'792"i 802,250 ' 105,792 i 81,700 i 1,301,993 i 292, 742 ! 601,629 5, 053, 934 1,255,924 1, 549, 480 380, 814 • 646,000 : 018, 715 i 407, 420 61,811: 221,980 82,"i5()" I 263,810 j 29,470 j its. Lawful money on deposit with the United States Treasurer at date. $7, 225,125 $1, 778,250 978, 969 3, 838, 233 7, 803, 272 1, 243, 405 77, 316, 930 15, 528, 699 14, 840, 960 3,139, 995 20, 327, 775 4, 887, 805 78, 205,128 10, 302, 606 12, 704, 663 2, 682,454 54, 758, 437 10, 520, 085 395, 209 959, 295 2.147, 845 10, 038, 215 168, 335 1, 431, 714 545,739 4,181,324 332,0232,311,565 158, 651 2, 519, 890 154, 793 2, 043, 705 369, 79& 2,490,190 ! 27,000! j 6,075 1,338,090 193, 257 38, 450 i 957 4,915,563 j 585, 609 1, 351, 960 j 148, 668 495, 700 : 125, 299 11, 464, 015 ! 1, 853,103 505, 494 3,441,215 ; 741, 405 8,092,055 I 31, 797, 329 | 5, 675, 594 17,930,175! 1; 853, 822 17,166, 775 : 1.148, 768 8,835,995 j 684, 218 372, 755 4, 359,129 I 651, 526 7,159,441 I 3, 982, 005 j 306, 270 230, 365 1,988,691 : 160,119 1,560,975 ' 13, 500 ! 1, 523 274,030 ! 100, 604 1,110, 255 ; 163, 675 688,741 j 127, 764 74, 250 I 407 548, 620 ! 82, 807 15,750 i 170 300, 700 ! 31,169 449, 485 45,660 425, 850 39, 795 53, 090 4,830 1, 409, 240 483,100 3, 813, 675 *234,276,318 54, 733, 457 J281, 981, 903 97, 589,135 438,118,170 * This includes circulation issued under act of July 12, 1882. t Exclusive of $156,652 on deposit to retire circulation of national gold banks. 9460 CUR 9* t71,659, 478 130 REPORT OF THE COMPTROLLER OP THE CURRENCY. STATEMENT SHOWING THE AMOUNT OF NATIONAL-BANK NOTES OUTSTANDING, THE AMOUNT OF LAWFUL MONEY ON DEPOSIT WITH THE TREASURER OF THE UNITED STATES TO REDEEM NATIONAL-BANK NOTES, AND THE KINDS AND AMOUNTS OF UNITED STATES BONDS ON DEPOSIT TO SECURE CIRCULATION AND PUBLIC DEPOSITS ON OCTOBER 31, 1889, WITH THE CHANGES DURING THE PRECEDING YEAR AND PRECEDING MONTH. October 31, 'September 30, 18P8. 1889. NATIONAL-BANK NOTES. Total circulation. Total amount ontstanding at the dates named Additional circulation issued during the intervals : To new banks To banks increasing circulation $239,196, 250 $203, 504, 570 3, 662,000 1, 607, 730 522, 390 121, 725 Aggregate Surrendered and destroyed during the intervals.. Total amount outstanding October 31, 1889* . 244, 465, 980 42, 599, 217 204,148, 685 2, 281, 922 201, 866, 763 201, 866, 763 Decrease in total circulation since October 31,1888 Decrease in total circulation since September 30, 1889.. Circulation based on United States bonds. 37,329,487 1,637,807 152, 366, 328 5, 269, 730 Aggregate. Retired during the intervals: By insolvent banks By liquidating banks By reducing banks Total retired during the intervals Outstanding against bonds October 31,1889 Decrease in circulation since October 31,1888 . . . Decrease in circulation since September 30,1889 131, 225,172 644,115 157, 636, 058 | Amount outstanding at the dates named Additional issued during the intervals as above. 131, 869, 287 I ; j j ! 109, 080 875, 785 26,443,908 11,250 1, 650, 752 27,428, 773 1, 662, 002 130,207,285 130, 207, 285 22,159, 043 3,017,878 October 31, .1888. October 31, 1889. Circulation secured by lawful money * Amount of outstanding circulation represented by lawful money on deposit with the Treasurer of the United States to redeem notes: Of insolvent national banks Of liquidating national banks Of national banks reducing circulation under section 4 of the act of J u n e 20, 1874 Of national banks retiring circulation under section 6 of the act of July 12, 1882 Total lawful money on deposit.. Lawful money deposited in October, 1889 National-bank notes redeemed in October, 1889 Decrease in aggregate deposit since October 31,1888 Decrease in aggregate deposit since September 30, 1889.. $1,099,076 6, 552, 061 $847, 983 6, 062,110 32, 446, 211 30, 647, 282 46, 732, 574 34,102,103 86, 829, 922 71, 659, 478 1,651,962 2, 271, 882 15,170, 444 To secure circulating notes. 619, 920 To secure public deposits. United States registered bonds on deposit. Pacific railroad bonds, 6 per cents. Funded loan of 1891,4£ per cents . Funded loan of 1907, 4 per cents ... Total on deposit October 31,1889 $4, 553,000 41, 066,150 100, 049, 000 $1,403, 000 10, 447, 500 32, 657, 500 145,668,150 44, 508, 000 * Circulation of national gold banks not included in the above, $156,652. REPORT OF THE COMPTROLLER OF THE CURRENCY. 131 STATEMENT OF MONTHLY INCREASE OR DECREASE OF NATIONAL-BANK CIRCULATION FOR THE YEAR ENDED OCTOBER 31, 1880, PRECEDED BY QUARTERLY INCREASE OR DECREASE SINCE JANUARY 14, 1875. National-bank circulation, j Increase. Issued. From Jan. 14 to J a n . 31, 1875 For quarter ending— Apr. 30, 1875 J u l y 31, 1875 Oct. 31, 1875 Jan. 31, 1876 Apr. 30, 1876 July 31, 1876 Oct. 31, 1876 Jan. 31, 1877 Apr. 30, 1877 July 31, 1877 Oct. 31, 1877 Jan. 31, 1878 Apr. 30, 1878 J u l y 31, 1878 Oct. 31, 1878 J a n . 31, 1879 Apr. 30, 1879 J u l y 31, 1879 Oct. 31, 1879 J a n . 31, 1880 Apr. 30, 1880 July 31, 1880 Oct. 31, 1880 J a n . 31, 1881 Apr. 30, 1881 July 31, 1881 Oct. 31, 1881 Jan. 31, 1882 Apr. 30, 1882 July 31, 1882 •Oct. 31, 1882 Jan. 31,1883 Apr. '30, 1883 July 31, 1883 Oct. 31, 1883 J a n . 31, 1884 Apr. 30, 1884 July 31, 1884 • Oct. 31, 1884 Jnn. 31, 1885 Apr. 30, 1885 J u l y 31, 1885 •Oct. 31, 1885 J a n . 31, 1886 . Apr. 30, 1886 . July 31, 1886 . Oct. 31, 1886 . Jmi. 31, 1887 . Apr. 30, 1887 . J u l y 31, 1887 . Oct. 31, 1887 . J a n . 31, 1888 . Apr. 30, 1888 . J u l y 31, 1888 . Oct. 31, 1888 . Dec, Jan., Feb., Mar., Apr., May, June, July, Ana;., Sept., Oct., $255,600 | $537,580 , I 4, 409, 220 4,124,165 1,915,710 2, 504, 600 877, 580 1,107,110 2,604,390 : 3,188,630 4, 363. 010 3, 000, 230 5, 754, 1G0 6, 725, 5*5 3,036,760 4,252,980 . 2, 276, 360 3, 097, 060 7, 039, 300 3, 674, 830 9, 122, 300 7, 289, 805 3,163, 820; 1,748,660 1,199,930 2,244,780 : 12,690,890 ! 9,569,410 ' 6,484,550 : 5,625,200 ' 2,991,400 i 4, 054, 740 9,792,910 4, 588, 850 3, 638, 650 3, 527, 100 2, 755, 600 2,748,270 2,052,294 ; 2, 778, 9150 ! 2,792, 170 1,265,520 2,125,260 : 2,160,110 5, 591,760 7,751,794 4, 701), 384 : 1,469,325 : 1,566,700: 1,243,550: 2, 961, 775 2,936,670 • 4,021,350 ' 6, 144, 629 ; 7,755,416 i 6,188,531 i 1,049,765 i 3,336,804 * 5,423,930 j 5,553,971 3,852,731 ' 5,425,539 I 9,663,984 j 8, 564, 727 4, 759, 015 5, 005, 596 4, 984, 399 3,516,321 2,701,885 1, 906, 720 3, 453, 080 2, 924,430 747, 327 1, 822, 988 2, 715, 524 1, 754, 558 674,129 1.555,766 2, 427, 398 1, 535, 760 1,361,534 4, 426, 596 4, 734, 578 3,182,551 3, 354,153 4,414,865 5,741,456 5,611,497 4, 927, 020 6, 510, 245 6, 808, 245 6, 3(59, 273 5, 172, 714 8, 430, 804 7, 88'J, 997 6, 833, 874 7,812,055 8, 135,112 5, 7*1,673 6, 758,154 5,581,261 8,397, 163 8, 425, 486 6, 468, 227 9, 580, 973 11,014,057 11, 307, 718 8,421,529 12,190,159 15,005,579 15,115,185 11, 277, 768 $281,980 : . 1,072,416 : . " I 648, 070 2, 349, 733 5, 216, 312 959, 306 7, 367, 742 6, 615, 676 1, 608, 054 678. 738 335, 830 873, 246 8, 264, 294 4, 834, 832 3, 301, 999 2, 271, 047 1, 423, 465 1, 686, 716 4,181, 413 338,170 2,871,595 3, 341,145 3, 613, 673 2, 424, 444 6, 378, 510 5, 105, 037 4,041,704 6, 576, 535 6, 009, 852 3, 571, 563 1,166,394 2,170, 533 j "3," 696," 7 79 6,956,161 4,901,527 8, 837, 423 8, 052. 282 8, 371, 048 4, 400,179 6, 045, 530 7, 250,163 8, 926, 654 10, 228, 003 156, 925, 657 2, 942, 070 2, 773, 509 4,385,480 4, 863, 223 3, 239, 724 2, 507, 043 3,127, 431 4,122, 893 3,165, 115 2, 353, 068 2,128,188 1, 629, 277 Total Surrendered to this office and retired from Jan. 14, 1875, to Oct. 31, 1889 $1, 299, 765 3, 638, 261 1, 348,131 4,547, 959 8,556,874 5, 960, 337 1, 570, 385 642, 586 1, 9o4,169 2, 237, 839 ! 4,023,700 ! 1,130, 039 ! 797, 900 1888 1888. 1889. 1889. 1889. 1889. 1889. 1889. 1889. 1889. 1889 1889. Grand total Decrease. Retired. 194,162, 678 15, 792, 058 229,511,818 379,936,49:3 . 59,560,061 20!>. 954, 736 132 REPORT OF THE COMPTROLLER OF THE CURRENCY. TABLE, BY STATES, TERRITORIES, AND RESERVE CITIES, EXHIBITING THE NUMBER OF BANKS IN EACH, WITH THEIR CAPITAL, MINIMUM AMOUNT OF BONDS REQUIRED BY LAW, BONDS ACTUALLY HELD, AND CIRCULATION OUTSTANDING THEREON ON SEPTEMBER 30, 1881). United States bonds. States, Territories, and reserve cities. No. Maine New Hampshire . "Vermont Massachusetts ... Boston Rhode Island Connecticut Division No. 3. N o r t h Carolina South Carolina Georgia Florida Alabama Mississippi Louisiana New O r l e a n s . . Texas Arkansas Kentucky Louisville Tennessee Division No. 4. Ohio Cincinnati.. Cleveland . . Indiana Illinois Chicago Michigan Detroit Wisconsin Milwaukee. Division No. 5 . Iowa Minnesota Missouri St. Louis Kansas City. St. Joseph .. Kansas Nebraska Omaha Division No. 6., $2, 082, 500 1,536,315 1,541,500 8, 059,375 2, 750, 000 2, 439, 250 3, 430, 825 $4, 536, 000 3, 285, 750 2, 9G7, 500 16,812,050 2, 885, 000 3, 861, 400 7,155, 8l)0 $3, 977, 963 2, 917, 50O 2, 635, 710 15, 022, 271 2, 580, 530 3, 424, 972 6, 397,152 577 21, 839, 765 j 41, 504,100 36,956, 098 16,151, 950 5, 065, 000 598, 000 4, 940, 500 12, 285, 800 2, 537, 500 1, 515, 500 14,312,380 4, 090, 540 504, 820 4, 373, 232 10, 770, 295 2, 265, 230 l,319,52o 43, 094, 250 \ 37, 636, 017 165, 678, 730 267 ; 45 6 89 259 i 44 24 New York Xew York City . Albany New Jersey Pennsylvania Philadelphia Pittsburgh Delaware Maryland Baltimore District of Columbia . Washington Virginia W e s t Virginia ; Minimum re; quired. Circulation outstanding Held Septem- September 30,1889. ber 30,1889. 7 7 ; $10,811,550 6,325,260 : 51 7,466,000 49 201 . 45,067,500 55 : 51, 800, 000 60 20,284,050 84 : 23,924,370 Division No. 1 . Division No. 2 Capital. : ! 34,531,000 48, 850, 000 1, 550, 000 13,823,350 34, 342, 600 23, 508, 000 10, 430, 000 7, 541,165 2, 237, 500 300, 000 2, 790, 837 7,448,145 2, 187,500 1,175,000 734 i 167, 035, 010 is ; 35 17 20 '; 129 2,133, 985 3,051,280 • 11,713,260 ! 252,000 1,097,350 ! 4,120, 700 1, 906, 000 455, 202 749, 985 850, 000 50, 000 355, 589 841, 350 487,500 1, 291, 5dO 1,187,250 850,000 250,000 430,000 1,121, 250 690,000 ! ! i j ! | 1,149,120 1,013,855 745, 760 179,980 269, 400 1, 004, 975 610, 745 24,874,575 19 16 : 29 i 13 ; 6 rj 8 64 9 45 23, 680,147 j : i . I i 3, 789, 626 5,820,000 |~ 4, 973, 835 2,426, 000 1, 798, 000 3, 752, 200 950, 000 3, 953, 200 1, 130,000 560, 000 3, 125, 000 14, 325, 7."0 1,200,000 10,167,900 4.151,500 8, 030, 000 544, 000 437, 000 750, 000 237, 500 709,550 282, 500 140, 000 450, 000 ?,, (47, 68h 262, 500 2, 210, 725 450, 000 1,213,750 736, 250 437, 250 945, 500 292, 500 962, 500 338, 750 140, 000 1, 050, 000 3,170,050 322, 500 2,721,750 500, 000 ], 334, 000 611,255 391, 120 839, 680 239,190 838, 080 298, 390 124, 735 922, 745 2, 693,175 288, 850 2,427,160 449, 890 1,195,450 382 55,569,550 10,795,213 12, 951, 050 ; 11, 319, 720 199 | 13 ' 9: 97 ; 168 : 20 j 104 ! 8! 24,649,000 8, 900, 000 6, 750, 000 12, 284, 500 14,599,000 16,300,000 11, 249, G O O 4,400,000 4,925,000 850,000 : : ' 5,487, 500 650, 000 450, 000 2, 726, 125 3, 006, 000 1, 000, 000 2, 462, 250 400, 000 1,218,750 150, 000 8,319,500 890, 000 605, 000 4,415,050 4, 520, 500 1, 150,000 2, 817, 750 400,000 1, 324, 250 300, 000 7, 359, 996 768, 890 538,120 3,937,195 3, 970, 825 G94, 550 2, 508, 690 337, 300 1,187,486 270, 00O 679 | 104, 907,1C0 ; 18,150,625 24,742,050 ! 21,573,052 58 i 3i : i 133 ! 57 I 4L ! 5 ! 10 I 3 ! 161 i 111 : 10,585,000 14,366,320 3,009,410 5,000,000 6, 800, 000 1, 000, 000 13,182,100 7, 485, 000 3,500,000 2, 546,250 1, 535, 330 752, 352 250, 000 500,000 I 125, 000 3,070,525 ! 1,846,250 ; 375, 000 i 3, 012, 500 1, 687, 300 810, 250 250,000 500, COO 150, 000 3,169, 500 1, 883, 250 375, 000 529 : 64,927,830 11,000,707 i 11,837,800 1 2, 670, 778 1, 466, 550 719, 315 194, 000 450, 000 134, 950 2, 826, 395 1, 676, 735 337, 500 10,496,223- REPORT OF THE COMPTROLLER OP" THE CURRENCY. 133 TABLE, BY STATES, TERRITORIES, AND RESERVE CITIES, EXHIBITING THE NUMBER OF BANKS IX EACH, ETC.—Continued. United States bonds. States, Territories, and reserve cities. No. Colorado Nevada California San Francisco Oregon Arizona Division No. 8 United States Circulation outstanding t b M i n i m u m re- Held Septem- S 30,1889. quired. ber 30,1889. 39 2 35 2 31 1 ! ' $4, 290, 000 282, 000 5, 750, 000 2, 500, 000 2, 590, 000 100. 000 $916, 250 70, 500 1,162,500 100, 000 560, 000 25, OuO $1,126,500 70, 500 1, 281. 250 100, 000 569, 800 25,000 $951. 040 63, 430 1, 067, 350 89, 350 508, 320 22, 500 110 Division No. 7 Dakota Idaho Montana New Mexico Utah •Washington Wyoming Capital. 15,512,000 2, 834, 250 3,173, 050 2, 701, 990 9827500 122, 500 473, 750 250, 000 275, 000 859, 450 2413, 750 1, 024, 750 130, 300 505, 600 277, 500 287, 500 875, 000 248, 750 891,950 110, 570 402, 030 249, 750 213, 750 704, 640 214, 975 01 8 20 9 8 35 9 150 3 ?90 3, 930, 000 490, 000 2, 645, 000 975, 000 1,350,000 3,514.300 1, 175, 000 14, 079, 300 012,584.095 3, 206, 950 3, 349,400 2, 793, 665 95, 297; 283 146,471,700 128, 450, 600 134 REPORT OF THE COMPTROLLER OF THE CURRENCY. TABLE, BY STATES, TERRITORIES, AND RESERVE CITIES, EXHIBITING THE NUMBER OF BANKS IN EACH WITH CAPITAL OF $150,000 AND UNDER, FOR THE YEAR'S 18d8 AND 18di), AND THE INCREASE OR DECREASE IX J3AXKS AXD CAPITAL DURING THE . INTERVAL. October 4, 1888. S e p t e m b e r 30,1889. Increase. \ States, Territories, and reserve cities. No. Capital. No. Capital. No. Decrease. No. Capital. Capital. ... _ • "Massarlni softs Boston 61 $5, 41 ; 4, 36 i 3 87 10 260, 405, 560 177 000 000 000 GO O 62 43 36 92 $5,260,000 : 4,525.260 ! 3 56'* 000 10 437 500 25 34 2, 757, 000 3, T±v, 300 1 2 $120, 260 5 260, 000 25 33 Division No. 1 New York New York City Albany. Pennsylvania X h iladelp liia * Pittsburgh Division No. 2 Delaware Maryland 2, 757, 000 1 50, 000 283 29, 838, 800 292 30, 269, 060 9 430,260 211 1 18, 949, 060 150, 000 212 1 19,164,660 150, 000 1 215,000 57 188 1 1 5 108 350 17, 257,3-'l 150, 000 100, 000 "9 200 1 1 5 163 350 17, 992. 580 ir>o, (;•()(.' 100, 000 2 12 55 000 735, tif)9 459 41,715,331 474 42, 720, 590 15 1, 005, 259 14 28 1, 016, 700 2, 165, 000 14 32 1,0:'0,800 2, 3i)9, 580 3 6 7 3 Y<{)0 i i i ; 4, 100 234, 580 : District of Columbia "Washington "Virginia West Virginia :::::: IS 18 100, 000 1,491,000 1,610,000 1 22 18 100, 000 1,765, 400 1, 550, 000 4 Division No 3 79 6, 382, 700 87 6, 835, 780 8 |. 274, 400 513,080 , 160? 000 25, 000 391 L O O ' 53, 010 209, 200 25 000 60. 000 North Carolina South Carolina. GrOor <T ia Florida Alabama Mississippi Louisiana Texas A rk«i lisas Kentucky Louisville Tennessee $60,666 13 13 19 13 13 12 4 1,116, 000 1,123,000 1,611,000 896, 090 1 069 000 1,105,000 300 000 24 13 16 12 5 1, 276, 000 1,148, 000 2. 002, 200 950, 000 1 278,200 1, 130, 000 360 000 1 85 7 °25 700 5dO 000 3, 787, 900 110 5 41 8 790 750 450 000 4, 242, 9U0 25 36 14 5 3 1 60, 000 1. 565. 050 50 000 5 455,000 I : 31 2, 390, 000 34 2, 655, 000 3 265,000 244 21,124, 590 287 24, 283, 050 43 156 13,460,0.0 157 13, 550, 000 1 74 151 6, 584, 500 11, 674, 000 77 157 0, 904, 500 12, 224, 000 3 6 88 6, 974, 000 91 7, 249, (.00 3 275, 000 3, 830, 090 54 4, 075, 000 2 245. 000 521 42, 522, 500 536 44, 002, 500 Iowa Minnesota Missouri 123 38 33 8, 548, 000 2, 589 500 2, 231, 000 127 40 39 8, 985, 000 2,741,320 2. 609, 410 K a n s a s City St. J o s e p h Kansas Nebraska Omaha 1 151 95 1 100, 000 1 151 10, 254, 700 5, 735, 000 ! 107 : 1 100, 000 100, 000 10,282,100 6, 585, 000 100, 000 442 29, 558, 200 466 31, 402, 830 ! 3,208,460 j Division No. 4 Ohio Cincinnati Cleveland Indiana Illinois . Chicago Michigan Detroit "Wisconsin Milwaukee Division No. 5 Division No. 6 ... . 50,000 90, 000 • :;;::;;; ;;T" 320.000 550,000 15 ! 1, 480, 000 ; 4 2 6 437, 000 151 820 378,410 12 27, 400 rf50. 000 24 ! 1.844.630 REPORT OF THE COMPTROLLER OF THE CURRENCY. 135 TABLE, BY STATES, TERRITORIES, AND RESERVE CITIES, EXHIBITING THE NUMBER OF BANKS IN EACH, ETC.—Continued. Stales, Territories, and reserve cities. Colorado Nevada California San Francifcco Ore°"on Arizona .-. ; : : : October 4,1888. September80,1889. Increase. ... _ _ _ _ : _ ... _ I No. j Capital. No. Capital. No. Capital. -7 $1 ' j 2 4 ! 2, i 24 ! 1 ::.::: II Division No. 7 Dakota Idaho Montana New Mexico . . -*. Utah "Washington •Wyoming . Division No. 8. United States $9 065 000 i 82,000 . 2,050,000 . 757 800 i 82, 000 225, 000 31 1 22 410 000 100,000 28 ! 1 i 1 640 000 100,000 .. 83 5,937,000 : : • 7 7 i 5, 574, 800 ; i ' 3, 625, 000 430, 000 • ' | 1,200,000 : i 900, 000 450, 000 o o , 11,655,00 575,000 7 i 60 3,730,000 ; 8 490, 000 17 : 1,295,000 ' 800,000 . 8 500,000 5 31 , 2, 637, 800 575,000 . . 7 i 124!8, 835, 000 136 10,027,800 : 2,229. ; 185,551,921 2,361 195,478,610 1 ! : i 58 7 15 9 4 537, 200 2 1 2 105,000 . 60,000 . 95,000 8 Capital. 230 000 8 1 No. $307 °00 4 Decrease. ._ _ _ _ 50, 000 982, 800 2 2 1 13 ; 1,292,800 135 10,311,689 : $175, 000 i 175, 00C 100, 000. 1 100, O C O 3 385, 000 136 REPORT OF THE COMPTROLLER OF THE CURRENCY. TABLE, BY STATES, TERRITORIES, AND RESERVE CITIES, EXHIBITING THE NUMBER OF BANKS IN EACH, WITH CAPITAL EXCEEDING $150,000, FOR THE YEARS 1888 AND 1889, AND THE INCREASE OR DECREASE IN BANKS AND CAPITAL DURING THE INTERVAL. October 4, 1888. September30,1889. States, Territories, and reserve cities. M^aine New Hampshire Vermont . . Massachusetts Boston Rhode Island Connecticut . Division No. .1 New York . . New York City . ... Albany New Jersey Pennsylvania.-. Philadelphia Pittsburgh Division No. 2 No. 14 8 13 111 55 35 51 Capital. $5, 400, 1, 800, 4, 000, 34, 563, 51,400, 17, 527, 20, 521, 000 000 000 000 000 050 070 287 135,211,120 59 45 6 28 58 42 23 16, 48, 1, 8, 16, 22, 10, 093,100 950, 000 750, 000 210, 000 334, 970 858, 000 330, 000 261 124, 526 070 Delaware Maryland Baltimore District of Columbia Washington Virginia West Virginia 4 3 17 1 6 8 2 1,113,185 651,700 11,713,260 252, 000 1,475,000 2, 355, 300 356, 000 Division No. 3 41 Sonth Carolina Oeorgia . Florida Alabama Louisiana New Orleans .. Texas Arkansas Kentucky Division ^No. 4 Ohio Cincinnati Chicago Michigan Detroit Milwaukee Division No. 5 Iowa Missouri St. Louis Kansas Nebraska . Omaha ....... . Division No. 6 No. 15 8 Capital. Increase. No. $5,551,550 1, 800, 000 3, 900,000 34, 030, 000 51, 800, 000 17, 527, 050 20, 201, 070 1 285 135, 409, 670 1 13 109 55 35 50 55 44 6 30 59 43 23 Decrease. Capital. Capital. No. $151, 550 j $100,000 67, 000 400, 000 2 1 2 1 1 4 965, 050 1 1,176, 700 390,000 1 390, 000 1 775 000 775, 000 200 000 . . . . . . 5 122, 350 -j 726, 700 250, 000 200 000 122, 350 1 4 450, 000 15 050 500, 000 260 124, 314, 420 420, 000 1 15, 366, 400 48, 700, 000 1 550, 000 8, 660, 000 16,350,020 23, 358, 000 10,330,000 320, 000 3 618, 550 200 000 955*. 000 300 000 . 2 1,113,185 651, 700 11, 713, 260 252, 000 1, 597, 350 2, 355, 300 356, 000 17, 916, 445 42 18, 03,8, 795 3 5 1,150, 000 650, 000 1, 750, 000 5 3 5 1,150,000 650, 000 1,750,000 8 2,475 000 9 2 675 000 1 8 15 2 24 9 11 200, 000 2 925,000 4, 580, 000 450,000 6, 315, 000 3,651,500 5, 325, Ono i 9 17 3 23 9 11 200, 000 3 195 000 5, 535,000 750 000 5, 925, 000 4,151 500 5, 375, 000 91 29,471, 500 95 31, 286, 500 5 2, 205, 000 11 099 8 900 6, 750, 5,380 2 375 16,300, 4, 000, 4,400, 850, 850, 000 000 000 000 000 000 600 000 000 000 1 160 000 60, 904, 600 2 1, 710, 000 1 " "Y 1 i 2 1 250, 000 200, 000 1, 800, 000 200, 000 700 000 300 000 400, 000 450,000 7 4, 300, 000 1 41 13 9 20 12 19 13 8 4 3 10, 8, 6, 5, 3 15, 4, 4, 3 17 1 •7 939, 000 900, 000 650, 000 3f'O, 000 150 000 250, 000 000,600 000. 000 850, 000 850, 000 42 13 9 20 11 20 13 8 4 3 142 59, 969, 600 143 6 18 1 4 10 1 9 2 6 1, 600, 000 11, 375, 000 200, 000 3, 200, 000 6, 600, 000 200 000 2, 600,000 500, 000 2, 950, 000 57 29, 225, 000 17 2 5 10 2 10 4 7 63 1,600 000 11, 625, C O O 400, 000 5, 000, 000 6, 800, 000 900 000 2 900 000 900,000 3, 400, 000 33, 525, 000 2 1 5fiO 000 50 000 100, 000 1 1, 050 000 400, 000 I REPORT OF THE COMPTROLLER OF THE CURRENCY. 137 TABLE, BY STATES, TERRITORIES, AND RESERVE CITIES, EXHIBITING THE NUMBER OF BANKS IN EACH, ETC.—Continued. Octo ber 4, 1888. Septeinber30,1889. . States, Territories, and reserve cities! No. 11 I Division No. 7 $1,700, 000 200, 000 3, 250, 000 2, 700, 000 950, 000 No. Capital. No. Capital. 8,800, 000 - Division No. 8 United States 8 $2, 225, 000 1 200 000 13 3, 700, 000 2 2, 500, 000 950, 000 3 1 450, 000 27 9, 575, 000 3 975, 000 200,000 1 No. Capital. 200,000 1 1 1 3 D ecrease. $525, 000 2 1 Colorado Nevada California San Francisco Oregon Arizona Dakota Idaho "\TmitaTl^ New IVTexico Utah Washin °'ton Wyoming Capital. Iiicrease. 600, 000 175,000 450, 000 676, 500 2 750, 000 2 1 2 400,000 200, 000 600, 000 3 1 3 4 2 1, 350, 000 175, 000 850, 000 876, 500 600, 000 7 1, 950, 000 14 4, 051, 500 7 929 417,105, 485 12, 997, 450 $200,000 1 ' 200,000 2,101,500 30 1 | 911 407, 069, 735 12 2, 961, 700 138 REPORT OF THE COMPTROLLER OF THE CURRENCY. CLASSIFICATION OF THE LOANS AND DISCOUNTS OF THE NATIONAL BANKS IN THE RESKKVK CITIES AND IN THE STATUS AND TERHITOKIES ON SEPTEMBER 30, 1889. On demand, On paper j On papor with l \ S. with one or bonds, other Cities, States, and j No. of | with sir.gle more indors- bonds, stocks, Territories. banks. | name, j unsecured. ers, otherwise j or collaterals, unsecured, New York City Chicago St. Louis Boston Albany Philadelphia Pittsburgh. Baltimore "Washington New Orleans. Louisville Cincinnati Cleveland Detroit Milwaukee Kansas City . St. Joseph '. Omaha San Francisco ] j \ j I j | ! ! j j ' j i | • I ! T o t a l of c i t i e s , i Maine New Hampshire Vermont 45 20 5 55 6 44 24 17 8 9 9 13 9 10 3 8 i stocks, or col-i | laterals as j j security. | Total. 578. 24 $119, 366,416. 94 $109, 579, 495. 52 $43, 085, 675.-r>9 $303, 898,166. 29 12, 702, 778.99 12, 455, 515.01! 72,381,075.55 708.18 " 275, 073. 863, 955. 897, 69. 94. 13, 475, 245. 98 1, 846, 620. 95; 900.08! i 799, 782. 65; 146, 974, 044. 01 29, 141, 042. 40' 311.171 73, 816,307. !- 23, 385, 497.13 086. 40! 3, 397, 977. 43; 4, 677, 407. 8, 758, 968. 65 ; 610, 072.31; 94, 558, 176. 47 782. 76: 42, 495. 860. 17, 207, 460. 58! ' 18, 052, 291. 18: 36.532.314.41 143. 86! 24, 468, 265. 1, 4, 533, 613. 4i): 185, 900. i:i: 29,616,461.05 218. 03' 14, 319,652. 4, 425, 690. 09 463, 454. 14 753. 78 1, 501, 979. 2S1 5, 607, 851. 76 3, 588, 664. 607, 512. 82! 13,141,437. 13 278. 19 2, 649, 79 ?. 41 6, 158, 852. 260, 814. 799, 603. 06 11, 097, 721. 88 242. 33 844, 032. 48 1, lit'.i. 587, 456. 47; 25, 000, 987.42 , 600, 964. 6"-i 13,' 259, *75. 3, T--52, 690. 9!) , 160, 927. 93j 18, 506, 992. 87 249, 2J2.38' 12, 538, 940. 2, 657, 902. 41 ! 904, 115.571 14,932,218.38 234, 520. 05 11, 144,669. 1, 648, 013.18 530, 159. 86(5, 697. lf> I 4,408,317.81 533! 911.46 477, 549. (52 947, 627. o i l , 184. 751 17,400,531.89 874, 558. 3J 1,067, 1(51.67 000. 970. 212, 295. h7i 7S1.61 3, 036. 981. 36 362, 933. &X ; 770 924, 363.80 10, 522; 372. 36 L'0"). 47 517, 032. 67 440, 298. 13, 385. 85 2, 386, 669.76 5, 326, 034. 90 1, 485, 680. 44 $31, ! 15, 298 117, 896, 626. 87 388, 905, 612. 87; 199, 950,159. 08 128, 4.3, 501. 55; 835,175, 900.17 1, 0U9, 290. 9(i 2 014,888.53 : 1,487, 763, 51: 1,234, 106.36J 586, 368. 86' 1, 407, 771.891 6, 837, 424. 92 11, 689, 514.21* 1,101,584.04 4,499, 913.47; 4,166,448.01 5, 574, 401. 4Gj 7, 530, 422. 37. 7, 839, 747. 05; 6,772,836.34 3, 188, 427.23^ 1, 668, 543. 45 8, 724, 644.43 190,169.07 414, 314, 47 ; 383, 202. 47 614, 144.11 ! 19,190.88 76, 163.37, 877, 850. 43, 1, 466, 110.82! 1, 817, 30 253, 360. 85' 667, 547. 82 346,589. 84 369, 575. 85 1, 647, 043. 35 1,265,922,28 1, 824, 676.97; 74, 087. 07 2> 9, 602. .19, 709, 778. 63 2, 408, 380. 72 ' 322, 597. 65 620, 185.65' 63, 762. 44 232, 248.91 714, 638. 65 5, 618, 724. 61 ! 284, 402. 33 888, 973.47 68!), 913. 7:; 2, 398, 457. 95 2, 748, 478. H6 3,149, 475. 24' 2, 369, 229. 83 6,415, 437. 84 1,091,640.98 2, 598, 112. oil 1, 474. 998. 83 5, 432, 766. 391 518, 02(5. 60 : 2,631, 132.84 566, 439. 31 i 1, 805, 169. 73 720. 242. 90 : 4, 722, 918. 41 j 1, 646. 440. 05! 5, 398, 680. 84 ; 853, 349. 30, 110, 143.871 258,122.50! 6, 719, 159.89 20I,630.35 : 4, 094, 389, 67 852, 267. 96 2, 193, 703. 70 143, 994.25! 795. 01 2, 710, 960.11s 3, 069, 885.46; 397. 294. 3f 1, 418, 520. 651 47, 973. 80 90, 598. 60! 4, 565, 208. 251 35, 619. 36 132, 434.72! 44,611.33 887, 476.65 56,153.70 375, 588. 95 115,555.25 599, 193. 99i 664, 323. 21 1, 728, 409. 23! 23, 285, 52 773, 142. 83 • ; ; Massachusetts Rln de Island ' Connecticut '. New York j New Jersey • Pennsylvania I Delaware i Maryland. i District of Columbia "Virginia ; West Virginia '' North Carolina South Carolina-... 1 Georgia Florida Alabama Mississippi Louisiana Texas Arkansas Kentucky Tennessee Ohio Indiana Illinois Michigan Wisconsin Iowa Minnesota Missouri Kansas Nebraska Colorado Nevada California Oregon Arizona Dakota Idaho Montana New Mexico Ttah Washington "Wyoming Total of country b a n k s . . . United States. j as security, On tirne.w th i U. S. bonds, j other bonds, i 20, 739, 952. 80 10, 842, 715. 77 13,280,618.41 101,695,979.89 35,993,391.27 46,314,245.03 104, 081, 517. 50 45, 053, 834. 77 90,981,650.84 5, 618, 692. 068, 277, 282. 70 343, 038. 65 12, 650, 085.43 4, 563, 238. 93 5, 817, 924. 97 6,140,318.48 9,463,801.90 2,403,416.07 8,178,024.47 2, 750, 002. 87 1, 269, 869. 22 28, 624, 740. 77 3, 198, 572. 69 19,421,754.48 21, 464, 980. 77 58, 006, 500. 33 29, 281, 989. 93 39, 793, 008. 7130, 081, 077. 62 16, 571, 829. 54 26, 379,160.1036, 993, 756. 34 6, 047, 813. 27 23, 797, 263. 98 17, 022, 452. 65 16, 747, 288. 91 657, 483. 58 14,160, 491. 93 8, 505, 574. 62 161,671. 44 7, 660,153. 85 831, 576. 5210, 622, 946. 99 2, 062, 733.93 3, 206, 837. 50 10, 484, 790. 03 2, 307, 786. 26 54, 314, 239, 40J125, 279, 275. 79 970, 553, 838.77 3,290 ;272, 372, 410.07 1,025,390,153.25 254,264,398.481253,702,777.141,805,729,738.94 REPORT OF THE COMPTROLLER OF THE CURRENCY. 139 M O V E M E N T O F THR R E S E R V E , W E E K L Y , O F T H E NATIONAL BAXKS I N N E W YORK CITY, DURING OCTOBER, FOR T H E LAST T H I R T E E N YEARS, C O M P I L E D FROM R E TURNS MADE TO THE CLEARING-HOUSE. 'Ratio of reserve to Specie. Week ending— October 6,1877 October 13, 1877 October 20, 1877 October 27,1877 October 5,1878 October 12. 1878 October 19, 1878 October 20, 1878 October 4,1879 October 11,1879 Octob.r 18. 1879 October- 25,1879 October 2. 1880 October 9, 1880 October 10,1880 October 23, 1880 October 30, 1880 October 1, 18S1 October 8,1881 October 15, 1881 October 22, 1881 October 29, 1881 October 7, 1882 October 14, 1882 October 21, 1882 October 28, 1882 October- 6, 1883 October 13,1883 October- 20,1883 October- 27, 1883 October 4,1884 October 11,1884 October J 8. 1884 October 25, 18^4 October 3, 1885 October .10, 1885 October 17, 1885 October 24. 1885 October 3(>i 1885 October 2, 188(5 October 9,188(5 October 1 (5. 18S0 October 23,188(5 October- 30, 3886 . October 1,1887 October 8,1887 October- 15,1887 October 22,1887 . October 2H, 1887 October 0, 1888 October 13, 1888 October- 20, 1888 October 27,1888 October 5,1889 ()etober 12,1889 October 19, 18S9 October 2(5,1889 ,. Le<jal tenders. Total. '• Circnla- I j tion and ; Deposits • deposits. $36,1 OS, 300 ' $50, 833, 900 ' • $14, 6(55, 060 35,178, 900 i 49, 905, 400 14, 72(5, 500 j 49,189, 100 14,087,400 ! 35, 101,700 ! 34, 367, 800 : 49, 576, 800 15, 209, 000 38,304,900 14, 995, 800 53, 300, 700 49. 869, 700 1.2, 184, COO : 37,6*5, 100 i 36, 576', 000 13, 531, 400 50,107,400 35,690,500 : 53, 074, 700 1 •, 17,384,2(10 34, 368. 1 00 ; 53, 347. 600 : 18, 979,600 ! 32.820,300 ; 53, 722,110 • 20,901, 800 29, 3o5, 200 24,686,500 : 53,991,700 : 25, »i3<J, 0\>0 26, 713, 900 : 52, 349, 900 ! 59, 82,'5, 700 11, 129,100 70, 952, 800 1 62,521,300 10, 785, 000 73, 300, 300 02, 7(50, 600 ! 10, 939. 200 73, 699, 800 1 ; 60,888,200 10, 988, 200 71, 870, 400 61,471.600 10, 925, 000 72, 396, 600 , 54,954,600 ! 12, 150.400 i 07, 105, 000 53,287,900 ' 12,153,800 i 65,441,700 i 51,008,800 ; 12,452,700 : 63,461,000 '• ' 12,496,500 i 66,512,700 j 54,016,200 • 68,909,100 : 55,961,200 j 12, 947, 900 65,400.500 .! 47,016,000 j 18, 381, 500 ! 48,281,000 i 18,002,700; (56, 283^ 700 49,518.200 ; 17,023,900 : 60, 542, 1C0 I \ .48,374,200 I 17,204,700 i 65, 578, 900 , *51, 586, 700 ! 20, 122, 500 , 71,709,200 ' '•. 50, 894, 000 ! 21, 145, 800 j 72, 039, 800 67, 982, 600 ! 47,262,900 ' 20, 719,700 i 46,372,800 1 6(5, 990, 400 20, 617,6': 0 i 67, 470. 600 1 25,817,300! 93, 287, 900 i 68 922, 500 27, 654, 100 1 96, 576, 600 J 67,570,-100 ! 27,875,500 95, 454, 900 j 1 07, 038, 000 ! 27,354,200 ' 94, 992, 200 24, 516, 600 i 116,868.200 ! 92,351,000 J 93,042,500 I 23, 002, 000 [ 116, 644, 500 i j 91,945,300 1 22,221, 100 I 114, 106,400 87,309, K'O ' 21, Of 9, 800 ! 108, 308, 900 j 84,054,000 I 21,874,900 : 106, 829, 500 '• 64, 111, 700 '•14, 607, 700 ; 78, 719, 400 ' 1 65. 723, 800 ! 13,209,100 ' 78, 932, 900 ; 65, 2l'8, 600 I 13, 133, 100 i 78,301, 700 65, 668. 400 I 12, 8o3, 800 ' 78, 472, 200 i : 79, 372, 300 60, 195, 100 ' 13,177,200: 64, 619, 200 ! 15, 767,500 ; 80. 386, 700 64,317,500 ! 16,229, 700 ; 80, 587. 200 64, 6(53, 100 ! 16,885,400 • 81,518,500 64,918,700 I 16, 735, 500 : 81,654,500 66, 005, 800 ! 17,542,600 , 82, 848, 400 97, 6J 5, COO 74,411,300 I 23, 204, 30() 73, 901, 500 I 22,017,800 I 05,919,300 81,457,700 21,386,800 ! 102, 844, 500 81,212,600 ! 21,329,800 : 102, 542, 400 58,407,200 I 27,257,900 i 85, 665, 100 59,565,900 j 24,873,400 , 84, 439, 300 62, 537, 900 | 23, 570, 300 ' P6,108, 200 62, 403, 200 ; 22,715,200 ; 85,118, 400 Per cent. Per cent. 27.0 29. 5 2(5. 7 29. 2 29.0 26.5 ; 26.8 29.4 28. 4 25. 7 24.4 27. 0 27. 3 28. 5 25! 8 23.3 25.8 25. 9 23. 4 23. 5 26.1 23.0 25. f. 25.4 26* 4 27. 2 25. 4 25.5 27'1 24' 8 26. C 25. 0 26.7 23. 1 24.8 24.9 23.1 23. 2 25. 0 26.6 24.6 •JR. 6 27.4 24.0 26.3 24.7 20 6 25.0 26.8 24.8 26. 5 25. 5 27.0 25.4 26.8 24.5 25.8 24.5 25.9 34.5 36. 3 35.2 36. 9 34.8 36.5 34. 6 36. 3 30. 0 37.1 35. 8 37. 0 34. 9 36.0 33. 5 34.5 34. 1 3.3. 0 27.1 27.0 • 27. 0 27.7 26. 7 27. 4 26.9 27.7 27. 1 27. 9 27. 7 28.?. 28. 2 27.4 28. 1 27. 3 28.2 27.4 28.0 27.' 8 27. & 27. 4 27.8 2*. 4 29. 3 29. !> 29.8 29.3 25. 6 25. 3 25.6 25.3 25.9 20.2 25.8 26.2 140 REPORT OF THE COMPTROLLER OF THE CURRENCY. LAWFUL-MONEY RESERVE OF NATIONAL BANKS, AS SHOWN BY R E - Cities, States, and Territories. 1 j New York City . 2 Chicago "... 3 St. Louis Total of central reserve cities... Ratio of reserve. $338,146, 798 $84, 536, 699 78,731,278 ! 19, 682, 820 11,980,997 ; 2, 995, 249 $84,871,545 24, 947, 435 3,199,589 Percent. 25.10 31.69 26.71 428,859,073 • 107,214,768 113,018,569 26.35 Deposits. 45 20 5 70 Boston Albany Philadelphia.... Pittsburgh . . . . Baltimore Washington... New Orleans . . Louisville Cincinnati Cleveland Detroit Milwaukee Kansas C i t y . . . St. Joseph . Omaha San Francisco. Total of reserve cities Total of all reserve cities 1 Maine 2 New Hampshire 3 Vermont 4 Massachusetts 5 i Rhode Island 6 Connecticut 7 | ew York N 8 I New J e r s e y 9 Pennsylvania 10 Delaware 11 , Maryland 12 !District of Columbia , 1 3 ; Virginia 14 W e s t Virginia N o r t h Carolina 15 I 16 ' South Carolina 17 I Georgia 18 | Florida 19 i Alabama 20 j Mississippi 21 !Louisiana 22 Texas 23 !A r k a n s a s 24 ! K e n t u c k y 25 Tennessee 26 ; Ohio 27 ; I n d i a n a 28 ! Illinois : 29 ! Michigan 30 ! Wisconsin 31 |Iowa 32 j Minnesota 33 Missouri 34 ! K a n s a s 35 |N e b r a s k a 36 ! Colorado 37 ! Nevada 38 California 39 !Oregon 40 ! Arizona 41 i D a k o t a 42 j I d a h o 43 Montana 44 ; N e w Mexico Utah... 45 Washington 46 W y o m i n g 47 Total of country banks Total United States Reserve required. 25 per cent. Reserve held. No. of banks. 124,778, 804 10,151, 868 92,181,952 33, 042, 635 21, 688, 593 8, 311, 038 13, 220, 382 8, 995, 570 30, 673, 840 14, 626,140 15,582,680 6, 200, 537 19, 172, 336 3, 556, 647 12, 986, 952 3, 859, 539 31,194, 701 2, 537, 967 23, 045, 488 8, 260, 659 5,417,148 2, 077, 759 3, 305, 091) 2, 248, 893 7, 668, 460 3, 656, 535 3, 895, 670 1, 550,134 4, 793, 084 889,162 3, 246, 738 964, 885 37, 098, 236 3, 319, 427 24, 305, 642 9, 213, 875 6, 311, 369 2, 484, 073 2,818, 160 2, 424, 543 9, 466, 727 4,194, 340 4,616,459 2,215,516 6, 851, 621 1,031,911 4,308,169 1, 252, 051 419,009,513 77 51 49 201 60 84 267 89 259 18 35 1 30 20 19 16 29 13 u\ G i 127 ! 64 ! • 45 i 199 . 168 • 104 58 : m i 57 41 j 161 i 111 i 39 ; 35 ! 31 ' 1 61 8 20 9 8 35 : 9: 2, 992 121,912,119 847, 868, 586 I 228 234, 930, 688 3,621,015 2, 318, 416 2,103.757 16,467,717 4, 723, 705 9, 390, 695 24, 427, 133 : 12,159,607 i 24,883,339 , 1,381,866 i 1,976,333 351,720 i 2, 564, 059 | 1, 116,289 , 873, 108 800,375 ! 1,674,819 i 572,708 i 2,302,300 " 473,246 | 267,939 ! 6, 619, 045 ; 530,696 ! 2,894,104 i 2,946,401 ! 13,923,051 ! 11, 353, 788 i 11,921,233 6,379,858 j 3,732,176 6,450,703 I 6,461,369 • , 1,884,308 j 6,084,041 i 2,950,939 I 9,124,953 i 62,445 ! 3,963,616 i 1,985,832 ! 31,349 i 1,606,738 ! 387,672 i 2,711,535 I 488,032 ! 1,516,809 ! 3,205, 80S | 607,547 30. 67 29.80 28. 00 25. 09 27. 06 28. 53 25.45 26. 40 28.66 29.72 24.69 43.28 21.25 27. 73 22.22 20.44 27.04 23.38 34.95 28.10 29.27 31.00 20.19 22.36 20.54 28.82 38.12 30.81 26. 72 24.80 28.83 22. 89 34.67 32.24 24.89 40.42 15.22 28.13 22. 74 19.22 24.13 34. 20 25. 78 23.42 37. 46 24. 04 31.90 807, 628, 795 ; 121,144, 318 j 224, 634,194 | 27. 81 11, 805, 588 ; 7, 780, 857 : 7,513,890 ! 66,821,124 ! 17,457,666 : 32,914,000 i 9i, 969, 383 46,061,190 80, 834, 443 4, 648, 870 8,004,827 ' 812, 568 12, 063, 975 4, 025, 087 3, 928, 902 3, 916, 385 6, 193, 649 2, 449, 769 6,758, 157 1, 683, 987 915, 323 21,350,243 2, 627, 987 12,941,356 14,344,173 I 48,312,141 29, 782, 699 I 38, 687,196 ; 23,872,024 j 15, 047, 016 22,377,234 ; 28,227,095 | 5,435,666 18, 873, 055 11,857,828 22, 577, 798 j 410,300 ! 14, 091, 244 i 8,731,860 ! 163,123 I 6, 657, 58 L 1,133,470 10,519,402 i 2, 084, 059 I 4,048,979 | 13,010,751 i 1,904,285 ! 3, 290 1, 655, 497, 381 1,770,838 1,167,128 1,127, 083 10, 023,169 2,618,635 4, 937, 100 14, 395, 408 6, 909,178 13, 025,166 697,331 1, 200, 724 121,885 1, 809, 596 60;}, 763 589, 335 587. 45S 929, 047 307,465 1, 013, 723 252, 598 137,298 3, 202, 536 394,198 1,941,203 2,151, 626 7, 246, 821 4,467,405 5, 803, 079 3, 580, 894 2, 257, 052 3, 356, 585 4, 234, 064 815, 350 2, 830, 958 1, 778, 674 3, 386, 670 61, 545 2,113,688 1. 309, 779 24,468 998, 638 170. 021 1, 577, 924 312,609 I 607,347 ! 1,951,613 i 285,643 j 333, 111, 465 | 459, 564. 832 J 27.76 REPORT OF THE COMPTROLLER OF THE CURRENCY. PORTS OF CONDITION AT CLOSE OF BUSINESS Held. Legal tenders. Specie. United States Due from re- I Redemption certificates s e r v e a . e n t , ; ! ™ * ^ I of deposit. i $84,322,274 I $84,657,120 I $59, 087, 893 ! $18, 209, 227 ! 15,342,793 9,082,892 ; 19,631,070 I 24,895,685 : 1,577,334 1,341,005 I 2, 983, 999 I 3,188, 339 • 106, 937, 343 ! 112, 741,144 76,008,020 | 28,633,124 j ! 15,532,438 1, 255. 604 j 11,465,651 4, 096, 243 2, 689, 449 1,032,129 ! 1,628,923 ' 1,113,197 ; 3,814,205 I 1,815,350 i 1,938,835 ' 768,317 | 2, 385, 292 ! 44.1,206 ' 1, 615, 586 480,192 4,360,485 j 227, 313 4, 219, 394 i 2,438,998 ; 994,110 j 603,573 979,817 937, 739 2, 500, 389 1,102,000 954, 986 370, 280 1, 295, 500 178, 474 1,174,709 8,808 52, 072, 617 630,767 | 408,130 : 407,370 I 3, 707, 900 I 977,967 : 1,846,416 J 5,470,335 : 2,676.676 : 4,995,056 ; 256,478 : 4150,860 ; 44, 254 i 701, 758 ! 229,309 i 224,004 ! 227,317 ! 356, 506 I 141,721 i 389,1?8 94,942 ! 52,399 i 1,226,784 i 152,250 ; 729,610 ; 837,066 I 2, 755, 958 1, 709, 247 2, 242, 731 1, 382, 814 879, 358 1, 289, 396 1, 664,162 311, 764 1, 076, 909 678,200 1, 336, 144 23, 349 824,010 513, 655 9, 337 382, 273 65, 603 622, 879 120, 049 237, 764 766, 021 109, 780 985, 502 558,078 i 608,933 5,163,073 i 1,407,031 | 2,811,918 ! 8, 282, 739 I 3,823,310 i 8,881,559 ! 539,243 ! 834,083 ! 243,106 • 1, 223, 899 j 54(5,701 : 531, 090 , 009, U66 : 1, 203, 052 270,527 ! 1,004,673 298, 030 i 168,479 ! 3, 5^5, 134 232,805 ! 1,140, 055 i 1, 714, 609 : 6,409, 801 4,493, 321. 4, 474, 864 2, 216, 038 1, 458,129 2, 435, 899 2, 899, 971 069, 306 2, 232, 767 1,114, 864 3, 069,158 43,414 2, 618,126 1, 096,113 30, 224 749, 416 213,303 1,180, 502 212,820 627, 977 1, 528, 256 235, 797 46, 249, 532 86, 690, 381 205, 259, 492 264, 023, 542 732,113 i 401,140 ! 405,233 ! 3,246,531 I 700,114 1, 931, 098 5,153, 357 1. 834,177 5,142, 596 286, 952 512, 598 203, 690 519,992 271, 345 203, 278 215,431 489, 717 108, 813 401, 782 124, 505 98, 402 1,118, 227 135, 600 601,273 821, 735 3, 018, 710 2,272,998 . 2,481,471 ; 1,347,125 I 951, 759 ! I,245,6fi4 | 2,099,023 I 355,609 j 1,159,086 j 708,957 ! 1,915, 354 1 43,298 2, 468, 553 1, 048, 461 17, 224 435,197 136,202 j 743,019 I 166,700 I 569, 799 j 1,352,062 I 211,591 j 50,467,987 ! 253, 389 156, 938 203, 700 1, 696,542 706, 917 880, 8->0 2, 909, 382 1, 979, 133 3, 728,963 242, 291 321, 485 39, 170 703, 9u7 ''75 410 2 ( 5 7 ! 8L2 277,425 8,100,000 215,000 j 250, 000 1,600,000 I : 12,435,000 | 113,858,462 | 51,039,699 220, 000 ; I | j 220, 10, 10, 10, 000 000 000 001 , ! i 30, 000 I I 10, 000 35,712,394 164, 326, 449 j 8Q, 752, 093 129, 825 26, 760 114,187 68,173 38, 250 13, 500 47, 250 22, 498 40, 050 25, 835 18,000 13.500 22, 500 6, 750 15, 565 4, 500 9 10 11 12 13 14 15 16 56, 712, 959 607,143 56,712,959 884,568 : 2, 441, 593 1,613,534 1, 3?6,160 10, 851, 240 3,142, 956 6,257,717 15, 424, 824 8,118, 808 15, 404, 253 780, 480 1, 093, 070 97, 304 1, 292, 400 193,920 : 1 140,804 , 2 108,658 ! 3 753,404 j 4 173,718 ! 5 321,060 : 6 719,570 217, 489 537, 527 56,137 48, 574 11,250 47, 700 30, 490 29, 324 J9.166 37, 783 13, 101 40, 752 15, 243 6, 300 135, 575 13,572 117, 177 58, 961 356, 927 , _„ 194,287 i 27 196,251 j 28 123,800 ! 29 58, 658 30 133, 096 31 73, 659 32 35, 940 33 138, 686 34 83,175 35 46, 311 36 3,172 37 53, 663 38 25, 640 39 1,125 40 42, 955 41 5,863 42 20, 727 43 12, 487 44 12, 938 45 36, 562 46 11,194 47 '612, 094 171,243 433, 3.S4 £!.?• | i $21,688,497 1,991,317 8, 174,268 3, 637, 206 1, 986, 959 795, 404 1, 163, 931 992, 389 4, 065, 464 2,116,261 2,423, 758 1, 082, 862 3, 835, 268 529, 825 2. 010, 222 219, 268 f);<9, o;<8 i ' 394, 713, 1 ( 5 7 , 71.4 6 0 2 , 891 I 1 7 3 , 525 • 7 0 , 017 | 2 , 4 6 6 , 907 i 97, 145 544, 782 892, 874 3, 361,091 2, 220,323 1, 983,3 9 3 868, 913 506, 370 1,190, 235 800, 948 313, 697 1, 073,681 405, 907 1,153, 804 116 149, 573 47, 652 13, 000 314, 219 77, 101 437, 483 46, 120 58, 178 176, 194 24, 206 $214, 425 51, 750 11, 250 $7, 360, 000 470,000 270,000 4,335,000 37,850,442 ! 22,406,575 159,009,960 ; 177,333,161 30, 1889.* Classification of reserve held. Cash reserve. Required. SEPTEMBER 141 1, 310, 875 159, 973 93, 100 2, 8i)8, 330 284, 319 1, 630, 872 1,172, 8;U 7, 156, 323 0, 600, 180 7,250,118 4,039,900 i 2,215,389 3,881,708 3, 487, 739 ; 1,179,062 ! 3, 712,588 ! 1,752,900 : 6,009,484 j 15,859 ! 1,291,827 864, 079 814, 367 168, 506 1, 510, 306 262, 725 875, 894 1, 640, 990 360, 556 510,000 | 132,423,322 j 5,520,491 j 12,945,000 j 189,136,281 j 6,405,059 J 142 REPORT OF THE COMPTROLLER OF THE CURRP^NCY. TABLE, BY STATKS AND RESERVE CITIES, OF THE RATIOS TO CAPITAL, AND TO FROM MARCH 1, 1885, Ratio of dividends to capital for six months ending — States, Territories,anvlj reserve cities. Ratio of dividends to capital and surplus for six months end' ing— 2 ! ss 1 P. ct. P.ct. P.ct. 4.1 4.3 3.7 New Hampshire •2 3.6 3.6 Vermont 3.5 •3 3.6 3.4 4 Massachusetts 2.8 Boston ; 5 2.5 3.3 6 Rhode Island 3.7 3. 6 7 Connecticut 3.7 8 New York New York City.. 4.5 9 4.3 6.2 Albany 10 4.3 4.5 11 New Jersey 4.4 3.8 12 Pennsylvania 3.7 4.6 13 4.5 Philadelphia 3.8 14 3. 6 Pittsburgh 4.8 15 Delaware 4.4 4.2 16 Maryland 4.6 3.8 17 3.7 Baltimore 18 District of Columbia. 4.0 4.0 3.4 19 3.4 Washington 4.2 20 Virginia 4.9 3.9 21 West Virginia 3.9 4.5 22 North Carolina 4.3 I 4.3 23 South Carolina 4.0 3.7 24 Georgia 3.8 3.0 25 Florida 1.5 4.5 26 Alabama 3.9 27 Mississippi 7.3 5. 4 | 3. 1 28 Louisiana 4.0 4.0 29 New Orleans 3.9 3.7 30 Texas 3.3 5.9 31 Arkansas 3.8 4.9 32 Kentucky 3.8 3.7 33 Louisville 3.5 3.6 34 Tennessee 4.4 5. L 35 Ohio 3.7 3.7 36 ! 3.3 3.5 Cincinnati 2.8 3.2 37 '\ Cleveland 4.6 4.3 38 Indiana 4.9 5.0 39 Illinois 4.3 4.6 40 Chicago 4.5 4.7 41 Michigan 4.7 4.7 42 Detroit 4.1 6.1 43 Wisconsin 44 Milwaukee 4. 9 | 8. 0 45 Iowa 46 Minnesota 47 Missouri 48 St. Louis 49 Kansas City 50 I St. Joseph 51 |Kansas 52 !Nebraska 53 I Omaha. 54 Colorado 7.7 55 I Nevada 10.0 10.0 56 California 4.5 8.9 57 i San Francisco . . . 4.0 4.0 58 i Oregon 5.8 4.6 59 : Arizona 60 j Dakota 4.0 61 i Idaho 62 i Montana. 63 i New Mexico 64 j Utah 65 I Washin gton GQ ; Wyoming 1 Maine Average P.ct. P.ct 4.1 , 3.5 3.8 3.7 3.4 3.4 3.3 3.4 2.6 2.7 3.1 3.2 3.7 3.6 3.7 3.8 5.5 4.5 4.9 6.6 4.4 4.5 3.7 5.0 4.4 4.1 3.6 3.6 4.3 4.4 4.3 4.3 3.7 3.6 4.0 4.0 3.2 3.7 3.2 3.7 3.7 3.9 3.8 3.9 7.3 | 4.3 3.3 ; 3.7 1.4 | 4.6 4.8 I 4.3 3.3 ! 5.6 4.0 ! 4.0 3.5 I 5.5 4.4 ! 7.0 3.9 ; 5.4 3.8 ! 3.8 3.6 . 3.8 8.1 i 4.7 3.7 j 3.8 2.8 ! 3.2 3.1 I 2.9 4.4 J 4 . 9 5.2 4.9 3.8« 4.0 4.2 5.1 3.7 4.2 4.6 4.9 6.4 4.0 4.9 5.4 4.2 4.3 3.9 3.7 3. 8 3. 5 2.2 4.8 4. 1 7.1 3.3 3.7 4.3 4.1 7.1 4.7 3.3 6.5 3.9 4.0 ; P. ct. P.ct. P. ct.\P. ct. P. ct. P.ct. P. ct. P. ct. P.ct. 3. 8 3. I 3.8 3.9 3.9 3.3 3.5 3.5 3.2 I 3.7 : 3.8 3.9 3.9 3.9 3.1 3.1 3.0 3.1 ! 3.5 3.7 3.4 3.7 3.5 3.0 2.7 2.9 2.9 3.4 3.5 3.3 3.5 3.3 2.8 2.6 2.6 2.5 2.7 2.8 2.0 2.9 2.8 2.3 2.2 2.1 2.1 3.2 3.2 3.2 3.2 3.2 2.8 2.7 2.6 2.5 3.7 3.4 3. t 3.5 3.5 2.9 2.8 2.8 2.8 4.2 4.0 4.1 3.9 3.9 3.0 3.0 3.0 2.9 4.6 4 3 4.6 4.3 4.2 3.0 2.9 2.8 3.2 3.8 5.4 5.0 5.0 5.7 3.5 2.0 2.5 2.4 4.7 4.5 4.4 4.4 4.6 3.4 3.4 3.3 3.3 3.7 3.8 3.9 3.9 4.0 2.9 2.8 2.8 2.7 4.0 3.7 3.6 3.6 3.6 3.0 3.0 2.9 2.8 3.8 3.8 3.8 3.6 3.7 2.8 2.7 2.6 2.6 4.3 4.7 4.7 4.7 5.1 3.5 3.6 3.3 3.2 4.7 4.0 4.2 4.0 4.2 3.2 3.1 3.5 3.2 3.7 3.5 3.7 3.7 3.8 3.0 2.9 2.9 2.9 4.0 4.0 4.0 4.0 4.0 3.2 3.2 3.2 3.2 3.1 3.2 3.2 3.3 4.6 2.7 2.7 2.6 2.5 3.7 3.8 3.8 4.4 3.8 3.0 2.9 3.7 2.4 3.5 4.1 3.2 4.0 3.9 3.1 2.9 3.1 2.9 3.0 3.8 3.1 3.8 3.4 3.6 3.0 3.4 2.5 3.8 8.3 4.5 4.5 4.5 3.0 3.0 2.8 5.0 2.5 5.7 3.8 3.7 3.1 4.3 2.7 2.7 4.9 3.9 3.9 3.2 4. 5 2.7 2.0 1.4 1.3 3.8 3.3 3.4 4.0 3.8 3.9 3.8 3.3 3.4 2.8 4.1 3.6 4.4 6.5 5.1 2.8 6.6 3.0 3.0 1.6 2.0 2.0 2. 0 3.7 3.7 3.6 3.6 3.8 3.0 3. 5 ; 4. 3 3.7 4.6 4.3 4.2 j 2.8 2.6 2.6 3.3 2.5 5.1 5.0 4.6 7.1 3.2 ] 3.0 4.5 3. 1 3.9 5. L4.6 3.9 3.1 4.0 3. 7 i 3. 8 3.0 3.2 | 3.0 4.0 3.7 3.7 ! 3.7 2.7 ! 2.9 i 2.9 2.8 3.7 3.7 3. 7 ; 3.4 4.3 3.7 ! 4.2 6.9 3.6 3.7 3.7 i 3.9 3.1 3.0 ; 3.1 3.1 4.1 3.4 3. 6 ! 3.4 2.7 2.9 ! 3.1 2.4 3.2 2.7 2.9 2.9 2.0 2. 5 2. 8 2.7 2.6 3.4 4.2 1.4 3.9 4. 1 5.7 ! 4.2 2.9 3.6 3.7 4.9 5.2 5.0 4.9 3.9 3.7 3.8 3.1 3. 5 | 4. 1 3.7 4.4 3.9 3.9 3.5 3.7 3.5 4.6 | 5.6 4.4 4.3 4.4 4.2 3.8 3.9 3.3 4.3 4.2 3.6 3. 6 3.8 3.9 4.0 3.9 5.8 4.9 5.8 5.3 4. 8 ! 3. 8 3.3 4.8 4.2 6.5 6.5 20.3 4.9 4. 9 4. 2 3.2 5.2 4.0 5.0 5.6 4.5 5.1 4.9 3. 6 4.1 3.7 3. 6 4.6 4.2 4. 1 3.6 3.2 3.3 3.5 3.7 3.2 4.7 4.8 4.2 4.7 5.2 2.9 7.4 4.0 2.9 3.7 3.0 18.9 2. 5 3. 5 2.7 2.2 2.9 4.1 3.9 4.2 4. 0 ! 4.2 3.3 3. 3 3.3 3.3 8.5 ;i 5.3 5.8 4.7 4.2 4.4 3.4 4.8 4. 5 ! 4. 2 6.4 5.6 5.5 5.2 5.2 4.2 4.5 5.0 j 4.3 3.1 3.1 3.4 3.2 3.9 5.3 8.2 10.2 9.3 5.8 5.9 6.0 4.7 6.1 4.0 4.0 4.8' 4.4 6.0 7.5 6.0 3.9 5.6 4. 1 7.5 4.7 4.4 3.6 3.5 3.0 1.9 1.9 1.9 3.8 4.0 3.5 3.5 3.5 3.3 |17.4 l. 4.0 3.7 3.9 5.3 5.1 I 6.0 I 6.0 6.0 6.0 4.1 I 4.0 ! 4.0 5.6 3.2 4.1 3.3 2.6 I 4.9 | 7.7 4.9 1.1 13.0 '{'&' 1.5 ! 4.2 ! 3.3 2.1 0.9 0.7 L 4 4.9 3.8 , 4. 3 3.8 6.7 5.1 4.5 3.9 5.3 i 5.4 5.1 7.3 4.3 2.7 3.8 3.0 4. 5 • 4. 2 5.2 4.5 7.9 3.6 3.5 6.2 1 7 2.3 2.9 3.2 3.2 ; 2.5 i 1.1 2.8 4. 0 j 4. 0 3. 9 3. 9 I 3. 0 : 3.0 3.1 3.0 NOTE.—Figures printed in bold-face typo in REPORT OF THE COMPTROLLER OF THE CURRENCY. C A P I T A L AND SURPLUS OF TIIK TO S E P T E M B E R 1, 1889. EARNINGS AND DIVIDENDS OV NATIONAL I * "E i a is i _..i i CO . P.ct.l P.Ct P.Ct P.ct. P . ct. P. ct. P. ct P.ct ! P. ct P.ct P.ct. P.ct 3.9 4.0 3.1 4.1 I 3.4 1.8 3.1 j 2.9 j 3.3 3.1 ! 3.1 !' 3.1 3.8 i 3.7 4.0 3.7 3.1 4.2 3.1 j 3. 7 3.0 3.0 ! 3.1 I 3.1 3.6 ! 3.3 3.7 3.5 4.1 3.1 2.8 ' 2.0 I 2.3 2.9 ! 3.0 \ 2.8 ! £ 6 2.6 ! 2.7 2.5 2.7 2.5 ! 2.2 I 2.5 2.5 ! 3.0 2.9 3.8 2.8 2.5 2.2 2.3 3.0 2.8 3.3 I 3.0 2.2 i 1 . 4 ; 1.7 2.1 j 2.3 i 2.3 2.6 2.6 2.7 ! 2.7 I 2.7 2.6 3.4 3.4 2.6 I 2.2 i 2.5 3.5 I 3.4 2.8 2.9 J 2.7 i 2.7 2.7 3.6 i 3.3 2.9 I 2.0 2.7 i 2.1 ! 2.4 I 3.2 3.0 3.0 3.3 I 3.1 ; 3.1 3.9 I 4.4 4.2 ' 4.1 3.0 I 2.9 ! 3.2 ! 4.1 2.8 2.8 j 2.6 ' 2.8 4.6 ! 5.9 5.6 !! 4.6 2. 6 2.8 ! 2.9 I 3.0 i 4.4 1.6 3.8 2.2 !• 3.2 ! 2.9 2.8 2. 4 I 5.4 2.9 4.4 3 1 ' 4.1 1.0; 3.4 3.4 I 3.3 : 3.2 4.9 I 5.1 5.0 , 5.2 3.2 3.2 j 3.3 I 3.2 ! 4.0 3.6 3.8 2.8 i 2.8 I 2.8 4.0 3.7 3.5 4.6 2.8 2.9 i 3.7 i 3.1 1 2.7 2.7 ! 2.5 [ 2.4 3.6 3.9 2.4 2.4 i 2.7 ! 3 . 4 ! 3.4 3.7 ! 3.7 3,5 2.6 2.7 I 2.6 ; 2.6 3.7 4.2 2.4 4.6 i 5.0 2.4 3.3 ! 2.6 3.2 4.3 3.1 i 3.4 ! 3.4 3.9 4.5 3.4 4.6 3.6 5.0 ! 4.4 i 4.4 4.0 3.2 3.8 3.5 i 3.0 j 3.1 3.6 4.1 3.9 3.0 3.0 3.6 ! 3.5 i 3.4 2.8 2.8 3.0 4.0 2.8 2.7 i 2.8 2.9 • 2.8 ; 3.0 2.7 3.8 3.2 3.2 3.6 3.9 3.8 3.2 3.2 i 3.2 3.2 3.7 • 3.6 j 3.6 : 4.0 3.1 2.9 2.4 4.5 5.1 2.4 2.4 : 2.4 3.2 4.8 ! 4.8 4.3 1.5 3.6 2.7 3.2 4.1 2.7 i 2.7 j 2.7 3.1 4. 1 4.3 2 . 7 : 3.8 : 4.7 3.7 3.1 2.8 i 3 3 ' 2.6 3.4 3.2 i 3.3 I 2.9 3.2 3.1 , 2.5 3.1 3.6 3. 2 2.5 i 3.1 2.9 4.2 3.0 3.6 j 4.0 2.9 2.5 3.7 2.7 4.3 I 3 . 0 2.6 I 5.7 ; 3.1 3.6 ! 4. 1 j 5.3 i 7.1 3.1 3.3 3.1 3 . 9 : 2.4 ; 2.8 4.3 I 2 . 9 '• 2.8 5.7 j 3.5 : 5.5 i 4.3 2.4 3.3 : 3.8 4.3 5.2 i 4.2 4.4 4.4 6.1 3.4 2.8 4.6 7.7 ! 6.6 3.4 7.3 • 3.9 6.8 3.6 3.2 ! 2.7 4.8 4.7 ' 7. 0 11.4 3.3 4.9 2.8 6. 0 ' 7.0 3.0 4.9 2 . 4 '• 3.4 6.1 8.8 ! 6.1 9.0 3.5 5,4 2.9 9.2 5.1 , 5.0 3. 6 2.8 ! 1.4 3.8 •' 4 . 3 : 8.0 1.7 5.4 1.7 1.6 ' 4.2 3.0 4 . 1 2.6 | 2.9 2.9 4.8 3.1 4.2 3! 8 2.5 I 4.4 2.6 6.2 0.4: 3.6 | 4.6 8.0 4.5 4.0 6*7 5.7 4.3 5.7 4.1 3.5 4.9 5.2 7.9 6.5 •! 6.4 4.8 4.2 7. 3 4.2 13. 0 ! j 4.1 3.3 5.9 5.6 2.9 3.2 4.1 i 3.7 3.6 3.9 3.8 3. 0 3.1 4.3 3.3 3.6 i 3.0 3.0 : 2.9 2.5 4.7 ! 3.0 3.2 3.1 3. 3 5. 6 ! 3.9 3.0 ! 3.4 6.4 3.0 5.8 j 5.7 4.9 3. 1 2.8 . 5.3 6.2 3.5 3.1 i 3 . 1 •• 3.3 ; 3.5 4.2 3.0 3.5 j 3.7 2.9 I 3.6 3.9 3. 0 3.1 6.5 2.8 3.5 4.1 ! 2.7 ! 2.7 I 2.8 2.4 ; 3.0 3.4 ; 3.7 2.8 ^ 3 2 2 4 3.2 I 3.9 i 2.6 i 2.3 | 2.3 3.4 2*2 4.0 j 5.9 2.5 2.5 3.2 3.8 4.3 • 3 . 8 | 3.2 ! 3.0 4.5 4.4 3.2 i 3.3 5.0 3.9 4.7 f 5.3 ! 3.7 j 3.7 ! 3.6 5. 0 3.7 : 5.0 3.8 5.9 2.7 5.1 i 9 ' t 4.5 ! 6.8 j 3.2 2.8 ' 3.1 2.8 i 1.6 3.3 4.0 4.6 3.6 5. 2 . 5 . 5 • 7.0 j 5.8 ; i 4.3 I 3.8 3.5 j 4.3 3.5 8.6 5.3 ! 4.9 3.4 3.5 4.8 . 5 . 0 j 3.8 3.2 3.4 I 5,9 3.6 5.6 4.9 5.0 : 5. 7 4.7 j 6.3 3.9 4.5 3.8 I 5.4 4.8 3.7 4.1 7.4 4.7 6.6 ; 5 . 2 ; 6.6 I 3.6 2.5 4.0 1.3 4.0 j 12.9 3.4 3.4 4.7 5.4 4.3 ' 5.1 5.7 I 4.7 4.3 4.0 4.5 4.9 3.6 3.9 4.0 4.9 4.7 5.2 ; 5.5 4.3 j 6.8 3.6 3.9 4.6 3.5 3.4 3.1 2.7 5.0 4.0 4.8 ! 5.8 4.3 i 4.9 3.2 3.8 5.5 3.9 3.4 4.3 3.8 3.5 6.4 5.1 I 2.4 4.7 3.6 3.7 2.6 2.7 2.1 15.8 2.7 2.0 3.6 5.0 3.6 3.7 3.6 3.8 5.2 3.6 8.4 2.5 2.4 2.4 3.9 2.4 15.3 3.8 i 7.1 5.0 4.5 5.0 4.0 8.1 I 7.6 j 7.7 9.0 3. 6 3.8 I 7.5 6.7 ' 6.7 4.5 5.5 4.9 4.6 4.4 i 7.5 4.4 7 . 2 j 6.8 ' 3.1 7.2 2.5 7.2 ! 3.7 2.5 2.7 3.4 i 2.5 5."8" 6.0 3.5 19.3 7.6 6.7 6.3 9.1 5.1 4.3 ! 8.1 4.2 6. 7 4.4 3.2 8.4 10.0 2.9 3.5 9.2 5.8 8.6 8. 0 3. 5 4.4 j 8.5 6.7 i 9.7 3.3 6.2 j 3.8 4.6 6.3 7.0 3.9 3.1 ' 7.6 6.5 6. 5 7.3 4.9 1.8 1.7 3,1 2.7 3.3 3.4 j 2.1 3 5 1.8 1.8 3.3 3 . 2 • 10.4 : 3.5 4.7 3.0 15.3 9.8 I 11.7 11. 5 9.5 7.3 3.1 3.3 11. 8 13.1 5.7 5.5 1.4 5.2 5.0 "4." 8* "6.T 3.3 3.3 3.2 3.5 4.0 i 6.1 4.5 2.6 5.1 I 5.8 6.1 3.4 4.2 6.2 7.8 4.1 1.0 10.9 ! 6.0 7.0 40.0 3.4 2.6 3.4 1 2 7.7 8.2 8.0 1.7 0.7 6.4 ! 4.8 9.4 5.2 3.2 3.6 5.9 4.1 2.6 ! 5.7 I 7.2 j 5.5 5.0 3.7 3.4 3.1 5.5 3.7 3.4 3.4 3.7 7.0 5.3 4.7 3.1 3 . 5 ! 5 . 7 • 8.8 6. 1 5.1 3.5 4.3 8.5 10.1 j 6.1 ! 7.1 7.2 2.9 3.7 12.9 3.2 5.7 6.2 5.7 1.7 0.9 5.4 2.6 7.5 2.0 1.4 1.9 8.6 j 7.6 P.Ct. 2.9 3.0 2. 9 ll\ 1:1 i if! l 3.0 3.0 3.0 BANKS Ratio of earnings to Capital and surplus for six months ending— Ratio of dividends to capital and surplus for six months ending— 3.1 143 3.0 2.9 . 3.2 column for 1886 signify percentage of loss. 3.3 4.0 4.0 4.5 ' 4.5 P.ct. P.ct. P.ct 4.4 3.9 3.6 4.0 3.7 3.0 3.3 3.4 2.9 4.1 5.2 2.6 4.9 3.8 3.2 4.1 4.6 5.5 3.7 3.4 4.8 3.6 3.6 5.1 5.5 5.5 6.6 4.1 8.6 7.0 1.4 5.3 8.4 3.8 '2.5 5.1 4.2 3.6 4.4 3.6 4.4 5.6 4.9 4.7 7.3 4.0 4.0 3.4 3.9 3.5 3.3 4.7 4.9 3.4 5.0 4.6 3.5 3.8 4.9 4.3 4.1 4.2 4.8 4.8 4.3 4.2 4.8 3.7 4.6 4.3 5.9 4.6 5. 3 5.7 7.4 4.1 4.1 5.1 4.3 4.2 3.8 4.6 5.8 5.5 4.5 5.0 5.5 8.6 4.9 3.9 4.3 4.5 5.2 0.6 6.0 6.5 3.0 9.8 13.0 9.4 5.0 11.5 9.5 5.0 5.9 7.6 5.0 7.9 10.6 3.6 10.0 4.8 4.6 4.9 4.9 5.6 7.7 5.1 7.0 5.4 9.8 6.1 6.6 5.6 8.5 12. 5 6.7 8.0 8.3 5.8 12.3 10.9 1.8 6. 5 4. 7 5. 9 8. 5 10.3 1.4 4.3 ; 4.3 4.5 4.3 3.2 3.7 3.4 3.4 2.5 3.2 4.3 4.9 5.4 5.6 4.1 3.8 3.9 4.7 4.8 3.0 4.1 (18 5. 8 ! 19 4.7 I 20 4.5 5.1 7.1 3.7 5.7 6.1 8.8 5.1 G. 2 6.1 7.9 4.0 3.1 3. 7 ! 34 4.1 4.0 3.8 4.4 5.3 5.3 4.7 4.7 6.0 4.7 5.1 3.3 4.2 4.8 4.9 8.5 3.7 6.1 4.9 10. 0 6.1 6.2 6.8 7.9 58 8.6 i 59 4. 1 I 60 I 61 ! 62 ! 63 I 64 65 166 144 REPORT OF THE COMPTROLLER OF THE CURRENCY. L I A B I L I T I E S O F T H E NATIONAL BANKS, AND T H E R E S E R V E R E Q U I R E D AND H E L D A T T H R E E D A T E S I N T H E YEARS 1884, 1885, 188;;, 1887, 1888, and 1889. STATES AND TERRITORIES EXCLUSIVE OF RESERVE CITIES. Reserve held. Date. I N o . o f Net de- Reserve i b a n k s . deposits. required. Classification of reserve. Other | D u e K e d e m p lawful I f r o m j tion m o n e y , iA g e n t s . J f u n d . Ratio to Amount. deposits. I Millions. IMillions. Millions. 2,340 I 576.0 ' 8 6 . 4 162.5 2,376 ! 544.7 8 1 . 7146.0 2,417 | 535.8 ; 8 0 . 4 156.3 !P e \ 2 i2 i 2 r cent. 8 . 2 6 . 8 9 . 2 M i l l i o n s Millions. Millions. 31.5 83.7 ' 10. 932. 0 66.8 j 1 0 . 7 30.9 79.7 , 1 0 . 5 A p r . J u n e Sept. 24,1884 20,1884 30,1884 M a y J u l y Oct. 6,1885 1,1885 1,1885 2,432 i 2,442 I 2,467 I 540.3 552. 2 570.8 81.1 ; 82.8 85.6 171.0 ! 170.3 ! 177.5 | 30.2 28.1 29.9 90.0 i 92.1 i 95.9 | M a r . J u n e Oct. 1,1886 3,1886 7,1886 | 2, 5 1 8 ! 2,552 ! 2,590 , 596.1 6U.7 637. 6 89. 4 91. 8 95. 6 181.6 i 18L.6 , 186.2 j 27.7 29.7 30.1 , 98.9 I 93. 5 | 99.5 ! 9.8 9. 3 8.7 M a y A u g . Oct. 13,1887 1, 1 8 8 7 5, 1 8 8 7 682.8 683.0 690.6 102.4 102. 4 103. 6 198. 9 | 189. 5 i 190.9; 32.9 i 31.3 I 32:6 ! 107. 8 j 102.6 100.9 , 6.8 6.6 6.6 Apr. J u n e Oct. 30,1888 30,1888 4,1838 2, 6 7 6 ! 2,724 i 2, 7 5 6 1 I 2,809 : 2,829 ! 2,847 i 707.5 711. 8 739.3 : 106.1 106. 8 110. 9 193.9 199.2 209.8 33.8 i 31.5 ! 34.5 I 102.8-i 112.2 118.9 6.4 6.3 6.2 M a y J u l y Sept. 13,1889 12,1889 30,1889 2,914 I 2,944 2, 992 769.8 i 789.1 i 807.6 ! 115. 5 118.4 121. 1 223.9 ; 229.3 ! 224. 6i 37.2 36.2 127.8 ; 133. 3 ! 132. 4 5.6 5.6 5.5 51.0 I 49.1 i 50.2 ! 29.1 29.1 27.8 10.1 10.0 10.2 NEW YORK CITY. 70. 5 57. 9 63. 7 75. 2 69.1 90. 8 26.6 i 29.8 i 35.6 ! 40.5 43.5 63.1 24.9 I 24.9 | 27.0 | 0.8 0.7 0.7 297.7 • ' 312.7 312.9 74. 4 78. 2 78. 2 123. 5 132. 8 115. 7 41.5 ! 42. 5 ! 37.0 ; 90.5 | 96.5 | 91.5 j 26.4 ' 37.5 ! 23.7 j 0.6 0.6 0.5 ; 80.9 74.2 70.7 101.2 89.9 ! 77.0 | 31.3 j HO. 3 ! 27.2 77.2 i 57.9 64.1 23.5 ! 3 1 . 5 '• 12.5 j 0.5 0.4 0.4 299. 7 294. 0 284. 3 74.9 73.5 71.1 82.8 i 82.6 ! 80. 1 | 27.6 '• 28. i : 28.2 ! 03.6 05.0 63.6 18.8 ! 17.2 j 16.1 j 0.4 0.4. 0.4 46 46 46 316. 7 338.4 342.2 i 79.2 84.6 85.5 94. 8 102. 7 96.4 29.9 30.3 i 28.2 ' 69 4 73 4 73 9 25.0 28.8 22.1 0.4 0.4 0.3 45 45 45 361.0 359.2 ! 338.2 ! 90.2 89.8 84.5 103. 7 97. 384. 9 28.7 j 27.1 25.1 71.5 61.8 I 32.0 35.3 25.6 0.2 0.2 0.2 A p r . J u n e Sept. 24,1884 20,1884 30,1884 47 45 44 282.2 231.8 254.9 M a y J u l y Oct. 6,1885 ! 1,1885 1, 1 8 8 5 44 45 44 Mar. J u n e Oct. 1,18K6 3,1886 7,1886 45 45 45 323.6 296.8 282.8 M a y A u g . Oct. 13,1887 1, 1 8 8 7 5,1887 46 46 47 A p r . J u n e Oct. 30,1888 30,1888 4,1888 M a y J u l y Sept, 13,1889 12,1889 30,1889 ! CHICAGO. M a y A u g . Oct. 13,1887 1,1887 5,1887 18 18 18 68.0 66.3 64.6 17.0 16.6 16.2 20.7 ! 22.0 <• 19.7 | 30.4 33.1 30.5 13.0 14.6 12.9 7.6 7.2-1 6.7 0.05 0. 0 5 0.05 A p r . J u n e Oct. 30,1888 30,1888 4,1888 18 19 19 71.3 71.8 69.3 17.8 18.0 17.3 21.2 22. 5 21.0 ; 29.7 31.4 30i2 13.4 14.1 13.1 7.8 8.4 7.8 0.05 0.05 0. 0 5 M a y J u l y Sept. 13,1889 12,1889 30,1889 19 19 20 74.3 77.6 78.7 18.6 19.4 19.7 26.4 i 24.7 ! 25.0 I 35.5 31.8 31.7 14 6 15 1 15.3 9.6 i 9.6 0.05 0.05 • 0.05- REPORT OF THE COMPTROLLER OP THE CURRENCY. 145 LIABILITIES OP THE NATIONAL BANKS, AND THE RESERVE REQUIRED AND HELD AT THREE DATES, ETC.—Continued. ST. LOUIS. Reserve held. Date. Xo. of Net de- Reserve banks. posits. required. May 13,1887 Aug. 1,1887 Oct. 5.1887 5 5 5 Apr. 30,1888 J u n e 30,1888 Oct. 4, 1888 Specie, Millions. Millions. 8.7 8.9 7.9 2.2 2.7 2.6 2.2 2.2 2.0 7.5 11.3 12.0 4 5 5 1.9 2.8 ,0 3.3 3.4 2.7 Other lawful money. Due i Redempfrom ; tion agents. ; fund. Per cent. Millions. Millions. Millions. Millions. 36.4 1.5 1.8 0.03 31.9 1.6 0.03 1.8 26.4 0.03 1.3 1.3 3.5 3.7 2.1 3.5 4.6 3.2 9.1 10.8 10.3 4 4 4 May 13,1889 July 12,1889 Sept. 30,1889 Millions. Classification of reserve;. 40.1 42.0 27.1 1.6 1.8 1.0 1.8 1.9 1.1 0.03 0.03 0.02 46.8 40.1 26.7 1.9 2.2 1.6 1.7 2.3 1.6 0.01 0.01 0.01 OTHER RESERVE CITIES.* Apr. 24,1884 | J u n e 20,1884 j Sept, 30,1884 | 202 204 203 338.0 i 302.8 308.0 ! 84.5 75.7 77.0 104.1 ! 91.1 : 99.0 : 30. 8 30. 1 32. 2 28.8 i 29.7 . 30.3 ; 33 3 29 g 33 3 33. 8 28.4 32.3 3.2 3.1 3.1 May July Oct. 202 202 203 346.5 \ 356.5 j 364.5 86.6 89.1 91.1 124.0 123.4 122.2 35.8 34.6 33.5 39.9 38.8 35.0 40.9 40.7 42.4 3.0 2.9 2.9 Mar. 1, 1886 i June 3,1886 ! Oct. 7,1886 ! 205 212 217 378.0 : 387.2 I 381.5 i 94,5 96.8 95.4 124.0 122.8 113. 9 32.8 I 31.7 ! 29.9 ! 40.2 I 41.0 ' 41.9 i | 49.3 j 50.5 ! 44.5: 28.2 30.2 26.0 43.9 39.6 41.3 5! 5 May 13,1887 Aug. 1,1887 Oct. 5,1887 210 221 223 345.1 335. 5 338. 5 86.3 8IJ. 9 84.6 106.1 98.4 i 100.7 I 30.7 29 3 i 29.7 ; 38.0 34.8 ! 36.3 j 26.4 24.2 23.2 40.2 ! 37.7 ; 40.0 : 1.4 1.2 1.2 Apr. 30,1888 June 30,1888 Oct. 4,1888 221 I 2^4 355.4 ] 372.5 j 384.9 ; 88.8 93. I 96. 2 105.9 i 113.4 ' 116.9 j 29.8 30.4 • 30.4 j 36.7 j 42.9; 24. 5 23. 6 24. 4 43.7 ! 45,9 i 40.0 51.5 j 1.0 1.0 0.9 May 13,1889 July 12, 1889 : Sept. 30, 1889 224 i 415.3 i 427.8 ! 419.0 i 103.8 106. 9 104. 8 132.8 ! 131.4 I 121.9 ! 32.0 31.0 29.1 43.7 i 43.5 , 37.8 ' 28.9 27.9 26. 7 59.6 i 59.3 56.7 i 0.7 0.6 0.6 6,1885 ! 1,1885 1, 1885 224 I 226 228 2.2 SUMMARY. Apr. 24,1884 June 20,1884 Sept, 30,1884 2,589 2, 625 2, 664 1,196. 2 1, 079.3 1,098.7 241.4 215, 3 221.1 341.8 306.2 346.1 28.6 28.4 31.6 114.7 109.6 128. 6 89.7 86.8 91.2 122. 5 95.2 112. 0 14.9 H. 5 14.3 May July Oct. 6,1885 1,1885 1,1885 2,678 2, 689 2,714 1,184. 5 1,221.4 1, 248.2 242.1 250.1 254. 9 418.5 426. 5 415.4 35.3 34.9 33.3 177.4 177.6 174. 9 96.5 102.6 88.6 130. 9 132. 8 138.3 13.7 13.5 13.6 Mar. 1,1886 J u n e 3,1886 Oct. 7,1886 2,768 2,809 2, 852 1, 297. 6 1, 295. 7 1, 301. 8 264.8 262. 8 261.7 406.8 394.2 377. 2 31.3 30.4 28.9 171.6 157.5 156.4 79.4 91.6 68.7 142.8 133. 0 140.8 12.9 12.2 11.4 May 13,1887 Aug. 1, 1887 Oct. 5,1887 2,955 3,014 3,049 1, 404. 7 1, 389. 7 1, 388. 4 282,9 279.1 278. 0 411.9 396.0 394. 2 29.3 28. 5 28.4 167.3 165.1 165.1 87.6 82. 3 79.9 148.1 140. 3 140.9 8.8 8.3 8.3 Apr. 30,1888 June 30, 1888 Oct. 4,1888 3,098 3,120 3,140 1, 459. 6 1, 503. 5 1, 543. 6 294.1 304.7 312.0 419.3 441.5 446.2 28.7 29.4 28.9 172.1 181.3 178.1 92.9 94.3 90.0 146.5 158.1 170.5 7.9 7.8 7.6 May 13,1889 July 12,1889 Sept. 30,1889 3,206 3, 239 3, 290 1, 627. 9 1, 665.0 1, 655. 5 330.0 337.3 333.1 490.3 487.3 459.6 30.1 29.3 27.8 185.2 175.9 164.3 111. 2 112.3 99.7 187.4 192.5 189.1 6.8 6. 5 6.4 *Includes Chicago and St. Louis up to 1887. 9460 CUR- -10* 146 REPORT OF THE COMPTEOLLER OF THE CURRENCY. STATE OF THE LAWFUL-MONEY RESERVE OF THE NATIONAL BANKS AS STATES AND Dates. 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 Oct. 2,1883.. Dec. 31,1883.. Mar. 7,1884.. Apr. 24,1884.. June 20,1884.. Sept. 30,1884.. Dec. 20,1884.. Mar. 10,1885.. May 6,1885.. July 1,1885.. Oct. 1,1885.. Dec. 24,1885.. Mar. 1,1886.. June 3,1886.. Aug. 27,1886.. Oct. 7,1886.. Dec. 28,1886.. Mar. 4,1887.. May 13,1887., Aug. 1,1887.. Oct. 5,1887.. Dec. 7,1887., Feb. 14,1888.. Apr. 30,1888.. J u n e 20,1888., Oct. 4,1888., Dec. 12,1888., Feb. 26,1889.. May 13,1889., July 12,1889.. Sept. 30,1889. I banks' j 2,253 2,280 2,314 2, 340 2, 376 2, 417 2,417 2, 425 2, 432 2. 442 2,467 2, 485 2,518 2, 552 2, 589 2, 590 2, 612 2, 644 2,676 2,724 2, 756 2; 787 2,809 2, 827 2, 847 2, 858 2,878 2, 914 2,944 2, 992 de P°sits' $577, 880, 812 579,512,711 573, 619, 524 575, 995, 025 544, 660, 331 535, 807, 406 520, 283, 576 537, 613, 418 540,281,214 i 552, 196, 593 570, 838. 327 580, 879, 155 596, 051, 483 611,733,799 623, 886, 736 637, 564,136 651,697,492 675, 355, 824 <i82, 845, 855 682, 963, 777 690, 622, 007 684, 059, 721 707, 423,152 707, 530, 013 711, 849, 213 739, 325, 350 730, 883, 243 757, 591, 413 769, 817, 794 789, 081, 203 807, 628, 795 Reserve required. $86, 685, 688 86, 930, 753 86,046,715 86, 399, 253 81, 699, 049 80, 371,110 78, 042, 536 80, 642, 012 81, 042,182 82, 829, 489 85, 625, 749 87,131, 873 89, 407, 722 91,760,069 93, 583, 010 95, 634, 620 97, 754, 624 101, 303, 374 102, 426, 878 102,444, 566 103,593,301 102, 608, 958 106,113, 472 106,129, 502 106, 777, 382 110, 898, 802 109, 632, 486 113,638,712 115, 472, 669 118,362,180 121,144, 318 RESERVE 9 10 11 12 13 14 15 16 17 18 19 29 21 22 23 24 25 26 27 28 29 30 31 Oct. 2,1883. Dec. 31.1883. Mar. 7,1884. Apr. 24,3884. June 20,1884. Sept. 30,1884. Dec. 20,1884. Mar. 10,1885. M a y 6,1885. July 1,1885. Oct. 1,1885. Dec. 24,1885. Mar. 1,1886. June 3,1886. Aug. 27,1886. Oct. 7,1886. Dec. 28,1886. Mar. 4,1887, M a y 13,1887. Aug. 1,1887, Oct. 5,1887 Dec. 7,1887. Feb. 14,1888. Apr. 30.1888. June 30,1888. Oct. 4,1888. Dec. 12,1888 Feb. 26,1889. M a y 13,1889. July 12,1889. Sept. 30,1889. 248 249 249 249 249 247 247 246 246 247 247 247 250 257 260 262 263 265 279 290 293 292 290 289 293 293 292 291 292 295 298 590, 785, 930 612,621,435 642, 682, 644 620,221,832 534,629, 056 562, 888,105 588, 299, 710 626, 616, 971 644, 259, 607 669,199, 214 677, 333, 060 666, 672, 097 701, 576,125 683, 992, 858 656, 759, 355 664, 245,121 671, 648, 508 712, 504, 320 721, 869, 242 706, 708, 847 697, 767, 889 695, 790,194 747, 718, 913 752, 040,152 791, 629, 383 804, 241,438 774, 053, 284 840,117,539 858, 084, 652 875, 916,968 847, 868, 586 147, 696, 483 153,155, 359 160, 670, 660 155, 055, 456 133, 657,263 140, 722, 026 147, 074,927 156, 654, 242 161, 064, 902 167, 299, 805 169, 333, 265 166, 668, 024 175, 394, 031 170,998, 214 164,189, 838 166, 061, 280 167, 912,127 178,126, 082 180, 467, 310 178, 677, 212 174,441, 972 173, 947, 548 186,929, 728 188, 010, 038 197, 907, 346 201,060, 359 193, 513, 321 210, 029, 385 214, 521,163 218, 979, 242 211, 967,147 REPORT OF THE COMPTROLLER OF THE CURRENCY. 147 SHOWN BY THEIR REPORTS FROM OCTOBER 2, 1883, TO SEPTEMBER 30, 1889. TERRITORIES. Reserve held. Amount. $157,493,584 167,741,690 167,008.072 162, 466, 064 145, 997, 562 loO, 304, 733 161,864,287 175, 030, 558 171,011,833 170. 245,483 177! 470, 8(4 181, 357, 249 181,591,775 181. 552, 648 188,847,786 186,191, 889 192, 278, 974 203, 307, 527 198, 863, 737 189,537,562 191), 919,164 18o, 803, 160 201, 787, 492 193, 936, 932 199,159, 391 209, 844, 956 200, 111, 504 224, 480, 351 223, 875, 655 229, 353, 725 224, 634,194 Ratio to liabilities. Per cent. 27.2 28.6 29.1 28.2 26. 8 29.2 31.1 32. 6 31.6 30. 8 31.1 31.2 30.4 29.6 30. 2 29.2 29.5 30.1 29.1 27.7 27.6 27.2 28.5 27.4 28.0 28.4 27.4 29.6 29.1 29.1 27.8 Classification of reserve held. Specie. Legal tenders. $31, 253,194 $30, 245, 600 33,178, 829 32, 695, 299 33, 471, 053 29, 859, 218 36, 352, 684 30, 944, 404 36. 407, 051 31, 448, 254 35; 238, 175 30, 392, 840 34,587,231 29, 943, 391 38, 852, 692 30, 134,197 40, 736, 669 29, 508, 036 40, 065. 640 27, 473, 329 41,467, 335 29, 375, 936 42, 195, 802 28, 898, 910 45,138, 994 27, 257, 991 49, 082, 2d9 29, 256,191 47,370,313 28,214,619 47, 824, 967 29, 672, 277 50, 326, 8! 9 31, 879,137 50, 884,172 30, 643, 368 51,145, 531 32,418,634 48, 955, 455 30, 878, 291 50, 821, 078 32,129, 936 51, 696, 357 31, 997, 316 51, 835, 866 32, 264, 784 50, 988, 350 33, 260, 054 49,123, 698 31, 021, 956 50,188, 336 33, 789, 747 50, 661, 056 33, 326, 867 52, 214, 875 34, 734, 244 53, 549,166 36, 235, 912 53. 312, 874 36, 758, 352 50, 467, 987 35,712,394 United States Due Redempcertificates of from reserve tion fund with deposit. agents. Treasurer. $585, 000 610, 000 595, 000 550, 000 575, 000 500, 000 565, 000 665, 000 '• 35, 000 635,000 500,000 530, 000 475, 000 465, 000 460, 000 460, 000 500,000 555, 000 545, 000 470, 000 475, 000 520, 000 510, 000 515,000 505, 000 680, 000 530, 000 855, 000 705, 000 485, 000 510, 000 $84,119, 7:58 88, 057, 473 92, 267, 704 83, 664, 761 66,843,814 79, 652, 119 86, 489, 195 95. 289, 830 89, 991, 054 92, 068, 593 95, 954. 541 99, 687, 965 98, 901, 439 93,459,713 103, 642, 532 99, 493, 068 101,746.037 113, 943; 928 107, 857, 035 102, 597, 807 100, 879, 879 95, 002, 425 110,693,685 102, 759, 410 112, 183, 937 118, 950. 556 109, 573. 502 130, 841, 596 127, 753, 288 133, 246, 766 132,423, 322 $11, 290, 052 11,200,089 10, 815, 097 10, 954,155 10, 723, 443 10, 521, 599 10, 279, 470 10, 088, 839 10,141,074 10,002, 921 10,172, 992 10, 044, 572 9, 818, 351 9, 289, 535 9,160, 322 8, 741, 577 7, 826, 981 7, 281, 059 6, 897, 537 6, 636, 009 6, 613, 271 6, 587, 062 6, 483,157 6,414,118 6, 324, 800 6, 236, 317 6, 020, 079 5, 834, 636 5, 632, 289 5, 550, 733 5,520,491 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 40, 798, 990 38, 942,133 46, 437, 308 38, 827,197 28, 403,338 32, 340, 900 34, 672, 781 41,172, 443 40, 912, 049 40, 661, 809 42, 402, 609 39, 551, 479 43, 904, 247 39, 567, 423 40, 072, 689 41,271,509 40, 371, 942 49, 217, 253 40, 210, 839 37, 672, 349 39, 993, 709 37, 957, 340 44, 647,555 43, 718, 493 45, 949, 662 51, 508, 038 47, 013,696 61,860, 599 59, 619, 008 59, 343,308 56,712, 959 4, 271, 832 4, 087, 595 4, 027, 585 3, 944, 410 3, 809,102 3, 786, 688 3, 615, 312 3, 560, 564 3, 535, 850 3, 501,437 3,424,960 3, 360,192 3,134, 897 2, 908, 991 2, 708, 591 2, 616, 438 2, 229,148 1, 999, 696 1, 913, 048 1, 705, 980 1, 697,171 1, 581, 441 1, 510, 032 1, 473, 832 1, 441, 037 1, 319, 085 1,121, 355 1, 025, 512 932, 917 907, 087 884, 568 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 CITIES. 171, 448, 008 182, 221, 554 198, 511, 843 179, 371, 793 160, 231, 029 189, 850, 706 208, 349,105 235, 974, 313 247, 455, 612 256, 223,121 237, 894, 989 215, 991, 777 225, 227, 964 212, 639, 672 187, 891, 591 190, 985, 722 200, 813, 518 214,686,473 212, 950,477 206, 466,135 203, 291, 575 196, 092, 726 227, 815, 221 225,407,142 242, 342, 965 236, 321, 317 228,126, 466 259, 776, 653 266, 431, 684 257, 944, 870 234, 930, 688 29.0 29.7 30.9 28.9 30.0 33.7 35.4 37.7 38.4 38.3 35.1 32.4 32.1 31.0 28.6 28.7 29.9 30,1 29.5 29.2 29.1 28.2 30.5 30.0 30.6 29.4 29.5 30.9 31.1 29.5 27.7 76, 564, 789 81, 097, 329 88, 609, 073 78, 392, 023 73, 254, 631 93, 371, 299 105,159, 848 128, 263,181 136, 678, 750 137,546, 852 133,405, 237 123,158, 550 126, 476, 925 108, 377, 660 101, 630,179 108, 562, 730 116, 656, 737 120, 794, 734 116,170,136 116,148, 755 114, 264, 376 107, 544, 286 121, 994, 748 121, 085, 661 i32,168, 579 127,799. 480 122, 073, 222 130, 069, 926 131,627, 286 122, 590, 995 113, 858, 462 40, 437, 397 47, 864, 497 45, 987, 877 46, 768,164 45, 468, 958 46, 651, 819 46, 426,164 40, 883,125 47, 828, 963 52, 228, 023 40, 362,183 38, 686, 556 39, 756, 895 50,400, 597 35, 825,132 33,140, 045 35, 860, 691 35, 584, 790 47,176, 454 43, 599, 051 41, 621, 319 43, 364, 659 50, 052, 886 50, 314,156 50, 973,687 47, 309, 714 49, 228,193 53, 890, 616 61. 602, 473 60, 698, 480 51, 039, 699 9, 375, 000 10, 230, 000 13, 450, 000 11, 440, 000 9, 295, 000 13, 700, 000 18,475, 000 22, 095, 000 18, 500, 000 22, 285, 000 18, 300,000 11, 235, 000 11, 955, 000 11, 385, 000 7, 655, 000 5, 395, 000 5, 695, 000 7, 090, 000 7, 480, 000 7, 340.000 5, 715, 000 5, 645, 000 9, 610, 000 8, 815, 000 11, 810, 000 8, 385, 000 8, 690, 000 12, 930, 000 12,650, 000 14, 405, 000 12,435, 000 148 REPORT OF THE COMPTROLLER OF THE CURRENCY. ABSTRACT OP REPORTS OF EARNINGS AND DIVIDENDS OF NATIONAL BANKS States, Territories, and reserve cities. Division No. 4. Ohio Cincinnati... Cleveland... Indiana Illinois Chicago Michigan. Detroit "Wisconsin Milwaukee.. Division N o . 5 12, 698, 960.19 $10, 660, 000 6,251,800 7, 466, 000 44, 540, 500 51,150, 000 | 20,284,050 I 24,154, 370 j 269 ! 46 j 6 i 85 245 43 24 ; I ! | 34, 887, 760 49,100, 000 1, 760, 000 13, 338, 350 33,587,390 23,008.000 ! 10,430,000 i 10,975,591. 33, 021, 906. 1,276,500. 5. 424, 780. 12, 919, 9-Jt. 11, 394, 803. 5, 010, 303. 718 ! 166,101, 500 i 80, 023, 805.44 Division No. 2. Division No. 3. $879, 203. 47 518,690.50 609, 645. 73 3, 676, 725. 95 3, 771, 364. 00 1, 416, 034. 29 1,827,296.25 568 ! 164, 506, 720 j 44, 904, 039. 79 I 209, 410,759. 79 Division No. 1. New York New York City Albany New Jersey Pennsylvania Philadelphia Pittsburgh North Carolina... South C a r o l i n a . . . Georgia Florida Alabama Mississippi Louisiana New Orleans . Texas Arkansas 32 ! Kentucky 33 | Louisville 34 Tennessee $2, 589, 453.18 | $13,249,453.18 7.791,378.64 1, 539, 578.64 j 9,140, 905.19 1, 674, 905.19 59,006,651.05 14,466,151.05 64, 446, 2B6. 93 13,296,286.93 4,387,4G0.91 j 24,671,510.91 6, 950, 253. 89 i 31,104, 623. 89 75 49 49 197 54 60 84 Maine New Hampshire . -Vermont Massachusetts... Boston Rhode Island Connecticut Delaware Maryland Baltimore District of Columbia Washington Virginia W e s t Virginia Gross earnings. j No. of n a T ^ j . a l . f o r k ! banks. U a p i t a i 8 t o c * v 45, 863,351.02 • 82,121, 906.97 3, 026,500.00 18, 763,130.39 46, 507,310.06 34, 402,803.08 15, 440,303.92 246,125, 305. 44 2,993,185.00 2,133,985 i 859, 200. 00 2, 852, 700 3, 882, 061. 80 1,029,361.80 11,713,260 ! 3, 907, 000. 00 15, 620, 260. 00 252,000 312,000.00 60, 000. 00 1,575,000 ' 2,192, 000.00 617,000. 00 3,846,300 5, 446, 565. 42 1, 600, 265.42 1,856.000 2, 313, 543. 93 457, 543.93 i • 121 24,229,245 j 8,530,371.15 18 16 25 13 21 12 5 8 100 7 60 9 42 ~~~2, 276, 000 i 577, 514.92 1,773,000 I 806,500.00 3,471,000 1,048,936.85 900,000 | 106,300.00 3,544,100 J 746,885.01 1,105,000 277,300.88 500, 000 ! 101, 033. 31 2,925,000 ! 1,471,000.00 11,937,800 I 3,123,049.61 950,000 231,000.00 10, 517, 900 2, 455, 884.64 3,651,500 998,279.15 7, 720, 885 1, 713, 642. 72 336 51, 272,185 ! 13, 657.327.09 64,929,512.09 197 13 9 96 163 19 101 8 57 3 24, 399, 000 | 8,900,000 6, 650, 000 12,161, 500 14,824,000 : 15,250,000 ! 10,974,600 I 4,400,000 I 4, 800, 000 j 850,000 I 30,165,146.15 10,812,000.00 7, 757, 000.00 15, 835, 949.85 19, 575,146. 78 20, 751, 000.00 13,504,411.36 4, 936, 000. 00 6,195,141.76 1, 240, 000. 00 5, 766,146.15 1, 912, 000.00 1,107, 000.00 3, 674, 449.85 4, 751,146. 78 5, 501, 000. 00 2,529,811.36 536, 000. 00 1,395,141.76 390, 000. 00 \ 666 103,209,100; 27,562,695.90 32, 759, 616.15 4, 219, 536. 06 9, 016, 599. 50 317, 877.13 1, 643, 961. 74 3,656,021.56 2, 3X5, 430. 00 1,059,878.48 22, 299, 304.47 218,283.81 327, 415. 75 997, 975. 77 26, 086. 30 198,647.07 620. 489.79 186, 090. 64 2, 474, 989.13 2,853,514.92 234, 977. 94 2.579, 500.00 256, 250. 65 4, 519, 936. 85 385, 726. 69 1, 006, 300. 00 125, 277.92 4, 290,1)85.01 355, 562. 03 1, 382, 300. 88 137, 302. 52 601, 033. 31 77, 774. 73 4, 396, 000. 00 553, 340. 28 15, 060, 849.61 1,711,541.70 156, 964. 23 1,181, 000. 00 865, 570. 54 12, 973, 784. 64 335, 350.22 4, 649, 779.15 832,464. 77 9,434,527.72 ! 6,028,104.22 2, 393, 636. 57 908, 429. 58 516, 213.94 1,407, 633.65 1,872,681.63 2, 259, 563.13 1,204,989.15 547, 556. 67 662, 690. 71 219, 659. 52 130, 771, 795.90 11, 993, 054. 55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 149 IN THE UNITED STATES FROM SEPTEMBER 1, 1838, TO MARCH 1, 1889. ! Charged ott". Ratios. Net earnings. Dividends. Losses and Expenses and premiums. taxes. Net earnings to capital and surplus. Dividends to capital Dividends and sur- i to capital. plus. 1 $97, 092. 61 73,132. 84 82, 521.72 501, 819. 39 367, 810. 91 298, 629.60 323, 764.13 $415,050.00 243, 554.00 279, 930. 00 1, 580, 457.80 1, 488, 684.40 645, 252. 25 855.234.81 4.41 3.98 3.99 3.04 ! 3.09 ! 3.49 ! 3.30 3.13 3.13 3.06 2.68 2.31 2.62 2.75 4,021,977.13 6, 932, 211. 86 5, 508,163.26 3.31 2.63 3.35 486, 241. 06 993,192. 72 61, 243. 66 188, 836. 85 540, 314. 95 307,116. 06 97, 508. 06 1, 579, 280. 40 3, 971, 873. 02 154,666.79 522, 809. 57 972, 547. 73 877, 279. 89 382, 540. 49 2,154, 014. 60 4, 051, 533. 76 101, 966. 68 932, 315. 32 2,143,158. 88 1, 201, 034. 05 579, 829. 93 1, 377, 694. 62 2,117, 889.09 88,160. 00 592,484. 00 1, 294, 986.10 820,148.17 376, 750.00 3.00 2.58 2.91 3.16 2.78 2.38 2.44 3.95 4.31 5.04 4.44 3.86 3.56 3.61 2, 674, 453. 36 i | $584,561.25 310, ;»18. 05 364, 790.37 1, 792, 892. 24 1, 991, 386. 93 861,424. 77 1, 026, 938. 25 1, 744, 771. 20 i i ! : $197, 549. 61 135, 339. 61 162, 333.64 1, 382, 014. 32 1,412,166.16 255, 979. 92 476, 593. 87 8, 460, 997. 89 11,163, 853. 22 6, 668, 111. 98 4.54 2.71 4.01 12,039.84 27, 686. 67 93. 293. 54 a, 832.18 9,493.19 67,185.76 15, 303. 02 59,746.21 131,610.83 260, 995. 67 8, 992.55 83,171. 71 191,214.58 72,157. 73 146, 497. 76 168,118. 25 643, 686. 56 13, 261. 57 105,982.17 262, 089.45 98, 629. 89 100, 961. 82 115,229.58 433, 308.30 10, 080. 00 52, 000. 00 168, 522. 00 73, 946.75 4.89 4.33 4.12 4.25 4.83 4.81 4.26 3.37 2.97 2.77 3.23 2.37 3.09 3.20 4.73 4.04 3.70 4.00 3.30 4.38 3.98 228, 834. 20 807,889.28 1,438,205.65 954, 048.45 4,39 2.91 3.94 20, 342. 80 21,918.24 43, 123.45 4, 335. 89 42, 326. 48 2. 638. 28 22, 795, 39 134, 032. 28 270, 413. 51 21, 939.19 71, 675. 95 13,713.35 33, 353.22 93,248.11 109,173.07 174, 252, 97 74, 772.49 126, 662. 55 53, 413.96 27, 010.54 186,579,26 , 579,046.07 ! 47,042,47 i 257, 391. 02 131,753.00 322, 459. 67 121,387.03 125,159,34 168, 350, 27 46,169.54 186, 573. 00 81, 250. 28 27, 968, 80 232,728,74 856,082.12 87,982.57 536, 503. 57 189,883.87 476, 651. 88 85, 580. 00 80, 490, 00 107, 810,00 28, 500. 0') 142, 454, 00 49. 000. 00 10, 000, 00 135, 750. 00 601, 325. 00 56, 500. 00 393, 745. 00 136, 060. 00 288, 035.40 4.25 4.85 3.72 4.59 4,35 5,88 4.65 5.29 5. 68 7.45 4.13 4.08 5.05 3.00 3.12 2.39 2.83 3.32 3.54 1. 66 3.09 3.99 4.78 3.03 2.93 3.05 3.76 4.54 3.11 3.17 4.02 4.43 2.00 4.64 5.04 5.95 3.74 3.73 3.73 3,136,691.01 2,115,249.40 4.83 708, 608.03 248, 077, 83 87, 229. 96 7, 543.47 191,490.40 154, 637, 55 191,952.82 140, 333. 40 44, 223. 93 51, 674. 72 21,038.45 1,138,202.53 2,182,805.18 ! 842,536.78 : 362,139.08 : 215, 440. 85 486, 537. 76 588,015,77 930, 475,11 457, 837. 63 254, 672,28 267,815.05 74,190. 22 4, 479, 660. 53 1,303,021.96 459,060.54 293, 229.62 729, 005. 49 1,130,028.31 1 137,135. 20 606, 818.12 248, 660.46 343, 200. 94 ; 124,430.85 6,375,191.49 894, 920. 64 320, 500. 00 192, 000. 00 693, 880. 00 734,570. 00 678, 000. 00 470,213,43 176, 000, 00 254, 008. 01 42, 000.00 j 4,462,092.08 4.70 4.93 3.37 4.97 4.61 3.49 3.76 4,32 4.25 3.78 4.61 5,77 5,48 4.49 5.04 5.54 10.03 4.88 | 1 2 3 4 5 6 7 3.89 3.90 3.75 3.55 2.91 3.18 3.54 3.26 3.67 3.60 2.89 5.71 4.96 4.45 4.34 4.00 5.29 4.94 3.41 ! 4.32 15 16 17 18 19 20 21 22 23 ?4 25 26 27 28 29 30 31 32 33 34 4.13 2.97 2.96 2.48 4.38 3.75 3.27 3. 53 3.57 4.10 | 3.39 ! 8 9 10 11 12 13 14 ! i ! i 35 36 37 38 39 40 41 42 43 44 150 REPORT OF THE COMPTROLLER OF THE CURRENCY. ABSTRACT OF REPORTS OF EARNINGS AND DIVIDENDS OF NATIONAL BANKS IN States, Territories, and re- No. of banks. Capital stock. serve cities. Iowa Minnesota Missouri St. Louis Kansas City. St. Joseph — Kansas Nebraska Omaha Division No. 6. Colorado Nevada California San Francisco . Oregon 131 56 34 4 10 2 165 99 7 59, 223,100 11,291,468.90 34~ 2 34 2 27 3, 235, 000 282, 000 5, 375, 000 2, 500, 000 2, 390, 000 1, 226, 014. 60 98, 000. 00 1,126,597.11 425, 000. 00 476, 650.00 13,782,000 Division No. 7 . Division No. £ ; 100, 000 3,525, 000 450, 000 1, 950. 000 975, 000 850, 000 1, 805, 000 1,175, 000 131 3,147 Capital and surplus. Gross earnings. $10, 332, 750 $2, 802, 814. 45 $13,135,564.45 ! $1,230,544.18 16,784,802.39 1, 506, 545. 23 2,614,802.39 14,170, 000 3,048,022.54 I 287, 868. 74 617, 022. 54 2,431,000 4, 040, 000. 00 ' 496, 584. 49 840, 000. 00 3, 200, 000 7, 325, 500.00 j 725, 500. 00 801, 543. 39 6, 600, 000 410,000.00 i 110, 000. 00 116,311.01 300, 000 1, 570, 504. 64 1,921,748.55 14,093,848.55 12, 772,100 7,599,830.97 i 947, 763. 97 6, 367, 250 1, 232, 580. 97 3,477,000.00 ; 467, 999. 46 427, 000. 00 3, 050, 000 508 Arizona Dakota Idaho Montana New Mexico . Utah Washington.. Wyoming United States Surplus. 10,830,000 I 70,514,568.90 •, 7,425,665.11 4,461,014.60 j 3*0, 000. 00 : 6,501,597.11 ' 2, 925, 000. 00 ' 2, 8(56, 650. 00 ; 899, 263.11 41, 563. 61 804, 201. 29 215, 573. 31 381,498.17 3,352,261.71 15, 888, 85, 495, 209, 481, 762, 248, 20, 035. 02 559, 391. 77 73, 038. 71 441,683.74 141,440.48 229, 826. 02 402, 013.42 129, 285. 96 000. 00 280. 00 500. 00 000. 00 350.00 000. 00 900. 00 500. 00 3,185,530.00 j 14,015,530.00 593,153,850 ; 192,507,490.98 785,661,349.98 1, 996, 715.12 67, 258. 892, 28 REPORT OF THE COMPTROLLER OF THE CURRENCY. 151 THE UNITED STATES FROM SEPTEMBER 1, 1888, TO MARCH 1, 1889—Continued. Charged off. Ratios. N e t earn- Dividends ings to cap- to capital ital and and sursurplus. plus. Dividends to capital. 4.83 4.59 4.86 4.91 5.65 7.68 5.09 7.00 5.38 4.02 3. 06 3.78 2.00 3.57 2.44 3.63 4.40 2^53 5.11 3. 63 4.73 2.53 3. 96 3.33 4.17 5.25 3.21 5.20 3.51 4.18 9.83 7.72 6.60 5.63 8.52 4.19 4.45 3.86 3.29 3.10 5. 78 6.00 4.66 3.85 3.72 Losses and premiums. Expenses and taxes. Net earnings. $109, 879. 35 240, 669.27 18, 629.98 83, 970.11 105,991.76 43, 3M.I 1 33,914.39 24, 269. 55 53, 891. 83 $485, 887. 64 495,142. 47 121,241.66 214,316.88 281,737.64 41,476.60 788, 537. 38 391,263.41 226, 888. 90 $634, 777.19 770, 733.49 147, 997.10 198, 297. 50 413, 813. 99 31, 490. 30 748, 052. 87 532,231.01 187, 218. 73 714, 560. 35 3, 046, 492. 58 3, 664, 612.18 131, 293. 68 10. 03 98,172.49 2, 250. 01 27, 326.10 329, 460.10 12,211.7.6 280, 317. 02 48, 673. 53 109, 987. 99 438, 509. 33 29, 341. 82 425, 711. 98 164,649.77 244,184. 08 259,052.31 780, 650.40 1, 302, 396.78 639, 820. 00 7.60 3.73 4.64 5, 015. 23 224, 243. 07 28, 002. 74 177, 095. 40 62, 384. 37 52, 518. 95 108, 885. 44 63, 271. 07 14, 394. 79 296,737.15 42, 801.98 204, 772. 50 68, 306.11 163, 398. 55 280, 698.60 25, 557. 59 6, 000. 00 199,000. 00 22, 000. 00 41, 400. 00 37, 250.00 62, 500.00 81,100. 00 20, 500. 00 12.50 6.72 8.00 8,33 5.77 12.28 10. 93 1.80 5.22 4.51 4.11 1.69 3.15 4.70 3.16 1.44 6.00 5.65 4.89 2.12 3.82 7.35 4.49 1.74 625.00-, 38, 411. 55 2, 233. 99 59, 815. 84 10, 750. 00 13, 908. 52 12, 429. 38 40, 457. 30 Dividends. $527, 750. 00. 514, 350. 00 115, 070. 02 81, 000. 00 261, 500. 00 10, 000. 00 533, 218. 00 334, 350. 00 98, 000. 00 2, 475, 238.02 187, 16, 250, 96, 88, 050. 920. 750. 250. 850. 00 00 00 00 00 178, 631. 58 721, 416. 27 1, 096, 667. 27 469, 750. 00 7.82 3.34 4.32 7, 647,113.56 24, 501, 889. 26 35,109, 889. 46 23, 292, 473.19 4.47 2.96 3.93 45 46 47 48 4S 50 51 52 53 54 55 56 57 58 5& 60 61 62' 63 64 6566 152 REPORT OF THE COMPTROLLER OF THE CURRENCY. AB3TBACT OF REPORTS OF EARNINGS AND DIVIDENDS OF NATIONAL BANKS IN States, Territories, and re- No. of Capital stock. serve cities. banks. Maine New Hampshire . Vermont Massachusetts ... Boston Rhode Island Connecticut Division No. 1 Surplus. Capital and surplus. •I 76 $10, 655, 000. 00 49 6.205,000.00 49 I 7, 466, 000. 00 198 45,067, 500.00 55 51,400, 000. 00 60 20.284,050 00 84 24, 024, 370. 00 $2, 658, 509.48 1, 545, 632. 20 1, 689, 267. 93 14,563,291.52 13, 745, 337. 55 4, 405, 909. 77 6, 869, 004. 75 $13, 313, 509.48 7, 750, 632. 20 9,155, 267. 93 59, 630, 791. 52 65,145, 337. 55 24, 689, 959. 77 30, 893, 374. 75 ! 571 165,101,920.00 45,476,953. 20 210, 578, 873.20 34, 346, 060. 00 Tl,~234, 964.11 48, 850, 000. 00 33,094,329. 28 1, 550, 000. 00 1, 278, 500. 00 13, 358. 350.00 5, 547, 351.35 34, 002, 390. 00 13, 355, 584. 86 23,108, 000. 00 11,719,303.08 10, 430, 000. 00 5,177, 477. 97 45,581,024.11 81, 944, 329. 28 2, 828, 500. 00 18, 905, 701. 35 47,257,974.86 34, 827, 303.08 15, 607, 477. 97 4,129,176.81 8, 495, 556. 75 319,995.27 1, 844,168. 46 3, 566, 888. 31 2, 527, 239. 81 1,171, 564. 61 22, 054, 590. 0 2 New York New York City . Albany. New Jersey Pennsylvania Philadelphia.... Pittsburgh 265 45 Division No. 2. 13,214,709.15 81, 307, 510.65 246, 952, 310.65 2,133, 985. 00 2, 876, 700. 00 11,713,2(50.00 252, 000. 00 1, 575, 000. 00 4, 054, 000. 00 1, 856, 000. 00 885, 086.00 1,074, 039. 51 3, 923, 600. 00 60, 000. 00 686, 000. 00 1,660,219.00 477, 270. 07 3, 019, 071.00 3, 950, 739. 51 15, 636, 860. 00 312, 000. 00 2, 261, 000. 00 5, 714, 219.00 2,333, 270. 07 123 24, 460, 945.00 8, 766, 2J 4. 58 33, 227,159. 58 I 2, 422, 597. 50 18 16 27 13 24 12 5 9 109 7 63 9 43 Division No. 3 . North Carolina . . . South Carolina... Georgia , Florida Alabama. , Mississippi Louisiana New Orleans. Texas Arkansas Kentucky Louisville Tenness.ee 2, 276, 01.-0. 00 1, 798,000.00 3, 651, 000, 00 900, 000. 00 3, 829, 000. 00 1,130, 000. 00 500, 000. 00 3, 125, 000. 00 12, 936, 680. 50 1,150, 000. 00 10, 218, 350.00 3, 051, 500. 00 7, 830, 000. 00 588,154. 53 842, 500.00 1,128, 524. 40 130, 875. 00 958, 388.02 311, 300.00 108, 000. 00 1, 550,125. 00 3, 269, 982. 60 237, 000. 00 2, 381, 028. 66 1,003,923.02 1, 740, 062. 03 2, 804,154. 53 256, 705.40 2, 640, 500.00 351, 419. 02 4, 779, 524. 40 466, 028.46 1, 030, 875. 00 145, 528. 71 4, 787, 388.62 482, 366.14 1, 441, 300. 00 199, 379.18 60S, 000. 00 80, 076.10 4,675,125.00 616, 931.45 1, 665, 545. 92 16,206,663.10 179,407. 05 1, 387, 000. 00 864, 525. 98 12, 599, 378. 60 340, 475. 85 4, 655, 428. 62 903, 907. 94 9, 570, 0*62. 03 355 : 52, 995, 530. 50 Division No. 4. Ohio Cincinnati . Clev eland.. Indiana Illinois Chicago Michigan Detroit . . . . Wisconsin Milwaukee $807, 336. 47 516, 910.25 547,198. 97 3, 846, 853. 04 4,484, 473. 33 1,131,881.56 1,880,055.53 721 165,644,800.00 Delaware Maryland Baltimore District of Columbia. Washington Virginia AVest Virginia Division No. 5 Gross earnings. 6,552,297.20 30, 482.167.06 10, 898, 000. 00 7, 814, 000. 00 16,098,096.98 20,177, G99. 48 21, 030, 000. 00 13, 8:J7,132. 03 4, 952, 000. 00 6, 340, 834. 02 1,240, 000.00 2,462, 825. 83 884, 639.55 579, 399. 82 1, 398, 438. 04 1, 962, 142. 70 2, 325, 288.38 1,211, 597. 37 523, 309. 30 681, 897. 36 148, 28,5. 88 674 104,122,100. 'JOJ 28, 747, 829. 57 , 132, 869, 929. 57 12,177, 882. 23 197 13 97 167 19 104 8 57 3 1 14.249,890.46 j 67,245,399.96 i 214, 046.27 341, 504. 25 893, 789. 80 26, 265. 42 2.36, 8-7.46 512, 387. 05 177, 747. 25 24, 399, 000. 00J 8, 900, 000. 001 0, 750, 000. 00! 12, 284, 500. 00) 15,169,000.00; 15, 250. 000. 00. i 11,244,000.00! i 4, 400, 000. 00; ! 4, 875, 000. 00 ! 851), U00. 00 6 083,167. 06 I i, 998,, 0U0. 00 i 1, 064, 000. 01) | 3.813,596.98 j 5,008,699.48 \ 5,780,000.00 ! 2,592,53^.03 \ 552, 000. 00 i 1,465, 8".J4. 02 j 390,000.00 : REPORT OF THE COMPTROLLER OF THE CURRENCY. 153 THE UXITED STATES FROM: MARCH 1, 1889, TO SEPTEMBER 1, 1889—Continued. Charged off. Ratios. ~Net earnings. Dividends. Losses a n d premiums. Expenses and taxes. $95, 635. 73 132, 868. 95 62,143. 74 654, 356. 03 535, 037. 66 244, 570. 89 416, 723.19 $196, 299.28 137,188. 57 148, 511. 00 1,172, 825. 82 1, 748, 479. 32 2(52,165.63 487, 014. 21 $515,401.46 246, 852.73 336, 544. 23 2,019,671.19 2, 200, 956.35 625,145. 04 976, 318.13 $411, 350.00 243, 800. 00 260, 430. 00 1, 485, 352. 00 1, 430, 500. 00 641, 852.25 833, 802. 00 2,141, 336.19 4,152, 483.83 6, 920, 889.13 556, 215. 46 793, 587. 63 36, 807. 54 266,762.12 430. 782. 28 245,237.18 102,928.82 1, 596, 846.70 3, 676, 648.79 129, 969.48 511, 438. 46 1,194, 081. 25 944, 282. 26 455, 745. 83 1, 976,114. 65 4, 025, 320.33 153, 218. 25 1, 065, 967. 88 1,942,024.78 1, 337, 720. 37 612,889.96 2, 432, 321. 03 8,509,012.77 9, 988.40 26, 898. 71 88, 717. 90 4. 482, 28 36, 842. 33 32, 645.75 15,073.91 N e t earn- Dividends ings to cap- to capital ital and a n d sursurplus. plus. Dividends to capital. 3.87 3.18 3.68 3.39 3.38 2.53 3.16 3.09 3.15 2.84 2.49 2.20 2.60 2.70 3.86 3.93 3.49 3.30 2.78 3.16 3.47 5, 307, 086. 25 3.29 3. 52 3.21 1, 347, 934. 54 2, 263, 356. 00 88, 000. 00 609, 324. 00 1, 357, 794. 43 830, 350. 00 383, 000. 00 4,34 4.92 5.42 5.64 4.11 3.84 3.93 2.96 2,76 3.11 3.22 2.87 2.38 2.45 3. 92 4.63 5.68 4.56 3.99 3,59 3.67 11,113, 256. 22 6, 879, 758. 97 4,50 2.79 4.15 61,408. 51 125, 098. 72 334, 610. 54 9,010,45 88, 228. 88 209, 826.48 57, 814.18 142, 649. 36 189, 506.82 470, 461. 36 12, 772. 69 131,786.25 269, 914. 82 104,859,16 107, 961. 82 120,043.00 447, 029. 92 10, 080. 00 72, 000. 00 155, 522. 00 72,730. 00 4.72 4.80 3.01 4.09 5. 83 4.72 4.49 3.58 3. 04 2.86 3.23 3.18 2.72 3.12 5. 00 4.17 3.82 4.00 4.57 3.84 ?,. 92 214, 649. 28 885, 997. 76 1, 321*950.46 985, 366.74 3.98 2.97 4.03 30,561.44 46, 990.22 128,468.88 16, 285.16 29, 710. 61 12,374.65 18,103.22 127,037.18 122,114.82 7, 563, 51 98, 896.44 50, 209. 08 201, 680. 71 79, 288. 58 118, 080.70 162, 014. 74 70, 215. 70 158, i 90.82 59, 385. 86 31,202.10 199, 184. 21 557,198, 02 62, 483. 38 255, 473. 20 118,657.12 347, 421. 36 146, 855.38 186, 348.10 175, 544.84 59, 027. 85 394, 564. 71 127, 618. 67 30, 770. 78 290, 710. 66 98C. 233. 08 109, H60. 16 510.156. 34 171, 609. 65 354, 805. 87 77, 500. 00 81, 120. 00 157, 250. 00 40. 500. 00 145, 504.00 73, 000. C O 10. 000. 00 119, 750. 00 560, 670. 02 81,500.00 387, 805. 00 130,060.00 260, 450. 00 5.13 7.06 3,67 5.73 0.15 8.85 5. 00 0. 22 6. 09 7.88 4.05 3. 09 3.71 2.70 3.07 3.29 3.93 3.04 5.06 1.64 2. 50 3.46 5.88 3.08 2. 92 2.78 3.45 4.51 4.31 4. 50 3.80 6.40 2, 00 3, 83 4. 33 7. 09 ?>. 80 :\, 73 a. 4o 889, 995.92 324, 169. 73 118, 888. 44 89, 528. 34 160, 883. 83 158.458.56 248.177. 98 124,709.32 24, 055.48 46, 783. 69 21, 730. 8!) 1,317,392.26 3.12 3.18 1, 237, 982. 50 436, 016. 33 298,416.84 704, 574.42 1,069,471.91 1,110, 264. 32 656, 748. 80 234, 873. 78 382,163. 30 58,177.05 958,040,21 3().~), 500. 00 195.000.00 517, 503. 00 744, 525. 00 590,000.00 490,180. 00 171,000.00 234, 475. 00 42, 000. 00 4.00 4. 00 3. 82 4. 38 5 30 5. 28 4. 75 4.74 6. 03 4.69 3.14 2.80 2. 50 3.21 3.69 2.81 3.54 3.45 3.70 3.39 3. 93 3,43 2,89 4.21 4 91 a. 87 4.36 3. 89 4.81 4 94 4, 671, 800. 72 6,188, 089. 25 4, 248, 223. 21 4.60 3. 20 4. OS ; 8 9 It 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 4. 03 900. 673. 60 329, 734. 78 191, 454. 04 532, 979. 79 734,212.23 966, 843. 08 430,139. 25 264, 440.04 252, 950. 37 OS, 309, 9t 1 2 4 3 5 b 7 2,218,695.70 3, 443. 605. 49 2,137,115.02 35 36 37 38 39 40 41 42 43 44 154 REPORT OF THE COMPTROLLER OF THE CURRENCY. ABSTRACT OF REPORTS OF EARNINGS AND DIVIDENDS OF NATIONAL BANKS IN States, Territories, and re- No. of ^ a p i-t+a l•> o c,^lnl I st k Surplus. serve cities. banks. i C i Iowa... Minnesota Missouri St. Louis Kansas City. St. Joseph. . . Kansas Nebraska Omaha | Division No. 7. ! ! | $2,884,899.18 14,110, 000. 00, 2, 872,190. 00 3,200,000.00: 6, 800, 000. 00: 300, 000. 00; 12, 787,100. 00; 7, 030, 000. 00; 3, 300, 000. OUj 2, 640, 409. 46 613, 397.90 840, 000. 00 846, 500. 00 81, 500. 00 1, 957, 406. 02 1, 255, 576. 09 452, 500, 00 $13. 304, 899.18 16; 750, 409.46 3, 485, 587. 90 4, 040, 000. 00 7, 646, 500. 00 381, 500, 00 14, 744, ")()«. 02 8, 285, 576. 09 3, 752, 500. 00 $1, 276, 022. 97 1, 501, 64.0. 22 310, 831. 90 357, 749. 71 750, 256. 22 100. 920. 94 1, 413; 162, 06 1,019,739.32 48_', 323.47 512 ! 131 $10,420,000.00; 56 39 4 10 2 159 104 7 Division No. 6. Colorado Nevada California San Francisco Oregon 60,819,290.00: 11,572,188.65: 72,391,478.65 7,212,655.81 35 2 33 2 28 Division No. 8. 4, 9y(), 030.71 5, 000. 00 6,(501,716.36 2, 950, 000. 00 2,949,311.53 100 Arizona Dakota Idaho Montana New Mexico . Utah Washington.. Wyoming United States Capital and Gross earnsurplus. , ings. 100,000.00 3, 800, 000. 00 475, 000. 00 2,165,000.00 975, 000. 00; 1,150,000.00; 2, 244, 400. 00! 1,175, 000. 00^ 138 12,084,400.001 20, 000. 00 955, 053. 70 95, 800. 00 541, 000. 00 223, 300. 00 424, 500. 00 895, 800. 00 239, 000. 00 120, 000. 00 4, 755, 053. 70 570, 800. 00 2, 706, 000. 00 1,198,300.00 1,574,500.0.0 3,140, 200.00 1,414,000.00 15, 428.19 509. 780.53 63, 640. 88 471,189. 08 142,172. 94 182,411.17 501, 683. 50 110,625.46 3,394,453.70 ! 15,478,853.70 1, 996, 931. 75 j 3,194 . 599,451,185.50; 197,128, £84. 41 i 796,580,069.91 18, 065, 089.41 155 REPORT OF THE COMPTROLLER OF THE CURRENCY. THE UNITED STATES FROM MARCH 1, 1889, TO SEPTEMBER 1, 1889—Continued. Charged off. Losses and premiums. Expenses and taxes. $99,116.51 210. 651.21 40,053.41 22,199. 60 40, 446.17 25,362.11 219,518.52 43, 575. 77 30, 078. 67 $492,139,06 734, 556. 07 124, 307.41 143, 308. 32 333, 292. 51 43, 273. 83 641,034.32 466, 470.63 268, 508. 79 731, 001. 97 3, 246, 890. 94 126, 356. 80 103,142.25 3, 061. 51 10, 302. 34 370,813.00 12, 828. 40 266, 253.39 51, 426. 91 121,064.36 242. 862. 90 125.00 63, 904. do 225. 00 203, 043. 07 12, 321. 42 6, 239. 50 16,170. 39 31, 910, 50 Ratios. X e t earnings. $684, 767. 40 556, 441. 94 146, 471.08 192, 241. 79 376, 517. 54 32, 285.00 552,609. 22 509, 692. 92 183, 736. 01 Dividends. $516, 006.29 449, 450. 00 150, 709.11 111,000.00 286,500.00 58, 500. 00 558. 013. 00 369,112. 89 129, 000. 00 Net earn- Dividends ings to cap- to capital ital and and sursurplus. plus. Dividends to capital. 5.15 3.32 4.20 4.76 4.92 8.46 3.75 6.15 4.90 3.88 2.68 4.32 2.75 3.75 15.33 3.78 4.45 3.44 4.95 3.10 5.25 3.47 4. 2J 19.50 4. 36 5. 25 3. 91 2, 628, 291.29 4.47 3.63 4.32 284. 85 577. 78 605.17 674.60 034. 39 214,800.00 16 920.00 236, 000. 00 100, 000. 00 97, 850. 00 10. 05 (i. 12 6.20 6. 80 7.93 4.34 4.40 3.12 3.39 3.26 5. 86 6 00 4.41 4. 00 3.90 822, 386. 06 1,368,176.79 665, 570. 00 7.67 3.73 4.68 4, 998. 93 250,457.15 26, 528. 17 139, 894. 30 59, 118.15 42, 747. 00 163, 447. 76 58, 755, 39 10, 304.26 195,418.73 36, 887. 71 128, 251.71 70, 733. 37 133, 424. 67 322, 065. 35 19. 959.57 6,000.00 123,175.00 5, 500. 00 19,900,00 65, 750. 00 49, 000. 00 178,350.00 26, 500. 00 8. 59 4.11 6.46 4.74 5. 93 8.47 10.26 1.41 5.00 2.59 0.96 0.74 5.49 3.11 5.68 1.87 6.00 3.24 1.15 0.92 6. 744. 26 7.95 2. 26 45 46 47 48 49 50 51 52 53 3, 234, 762.90 497, 23, 409, 200, 237, 333, 939. 53 745, 946. 8.") 917, 045. 37 474,175. 00 5. 92 3.06 3. 92 8, 303, 499. 08 25, 253, 214. 72 34, 508, 375. 61 23, 325, 587. 08 4.33 2.93 3. 89 54 5f> 56 57 58 59 60 61 62 63 64 65 66 156 REPORT OF THE COMPTROLLER OF THE CURRENCY. TABLE, BY STATES, TERRITORIES, AND RESERVE CITIES, EXHIBITING THE AMOUNT OF EACH KIND OF COIN AND COIN CERTIFICATE HELD BY THE NATIONAL BANKS ON OCTOBER 4, 1888, AND SEPTEMBER 30, 1889. OCTOBER 4,1888. States, etc. Maine New Hampshire Vermont Massachusetts Boston Rhode Island Connecticut Gold coin. Gold I Silver coin. Gold Silver clearing- , TreasTreashouse : ury cerurycercertifi- I tificates. Dollars.! Fractional, tificates. cates. I $608, 811. 76 $8,400? 272, 931. 70 7,780, 324, 242.49 7,600i 2,075, 139.18| 239,520 3, 995,172.09| 6, 619, 800j 399, 863. 35i 67,670! 1, 288,182. l l ! 182,770| Total. I ! ; j ! ; j ! Division No. 1... 8, 964,342.68j 7,133, 54<)| $36,088 $28, 894. 911 $35,303 $717, 497.67 397, 288.50 71,483: 28,661.80, 16r432 5, 045 405, 733. 85 40,823 ; 28,02:1.36: " " 315,188 200, .r4:5. 74' 140,162 2, 970, 552.92 108,687' 81, 0*7. 76' 693, 321 j 11,498,027.85 87, 102 658, 748. 04 59,372' 44, 740. 69 86,480 1, 795, 931.78 134, 863^ 103, 636. 67; 766, 504 New York 3,489, 057.48| 1, 216, 790, New York City ... 1,138, 669. 50 64,305,120| Albany j 402,960.50'' 535, 700! New Jersey ! 1, 091.490. 591 309, 470! Pennsylvania j 3, 748, 764.42 284,1601 Philadelphia | 2, 264, 915.00 172,450 $8, 890, 000 Pittsburgh 2,130, 858. 70 823,100: | 515, 548.93 1, 063, 845 18, 443, 780.61 385,126! 266,313.301 255,317 612.603.78 362, 213; 219,845.6411,771,348 797,196.14 18, 500; U, 000 979,331.50 8,171.00i 194, 80S1 107,949,0l! 171,323 875, 037. 60 541,141 251,439.41' 191,152 , 016,656.83 346, 946 169, 237.19 548,152 12 391, 700.19 94, 708 3 240, 9P9. 23 154,299 38, 0i)3. 5:< Division N o . 2 . . . i20, 266, 716.19 67, 646, 790 8, 890, 000J2, 003, 030 1, 060, 959.083, 046, 000 102, 913, 495. S;7 131,453.50 Delaware 322, 302. 12 Maryland 1, 385, 293.50 Baltimore 96, 471. 00 District of Columbia . . 201, 783. 00 W a s h i n g t o n . . . i.. 394, 598.00 Virginia "West V i r g i n i a 225,096.13 22,640 44,180 468, 680 "116, 500 531, 040 9, 480) 10, 400 46, 450 69, 25 L 101, 658 4,000 13,165 87, 756 19,157! Division N o . 3 . . . 2, 756,997. 25 1, 202, 920 160, 598. 00 108, 983. 00 144, 273. 63 39, 353. 00 306. 792. 00 64, 869. 50 12,480.00 123, 442, 00 481,531.20 33,175. 00 389, 062. : < $) 290, 748. C O 392,423. 00 N o r t h Carolina South Carolina Georgia Florida Alabama Mississippi Louisiana N e w Orleans Texas Arkansas Kentucky Louisville Tennessee Division No. 4...! 2, 547, 730.69 Ohio Cincinnati Cleveland Indiana Illinois «., Chicago Michigan Detroit Wisconsin Milwaukee - ! 50, 873 63, 84ll 191, 526i 46, 468 j 52, 607! 32, 122 j 26, 065! 114,592: 416,152! 25, 523! 67, 570 43, 630; 215,062 420 55, 500 3,580 19, 520 4,000 4, 500 127,920 139, 590 14, 270 41, 390 1, 500 117, 100 529, 290: Division No. 6. 7. 332, 326. 67 820,190; 645, 303 5,123, 743. 06 228, 899.10 10' 17,418. LO, 200, 948. 05 8, 562| 19,142. 05 531, 923. 66 24, 005. 08 116, 6191 107, 338.39 1, 385| 16, 552. 39 437, 392.36 45, 2931 13,180.36: 149, 680.15 40, 185, 8 503.65 136, 949.05 76, 736' 16, 668.05: 933, 120. 85 61,523. 8-'v 505, 6431 49, 749. 95 218, 363| 1, 305, 386.15 120, 750.10 40, 210; 7,572.10 550, 901. 69 36, 895; 15, 984. 33 342, 300. 75 1, 4001 5, 022. 75 836, 713.85 72, 270: 39, 858, 85 5, 882, 304.15 45,973 3, 023, 827. 66 292,133| 116,657.86 869, 721.25 60, 552 11,671.75 156,500 988, 826.41 39,132 14,904.91! 25, 000 205,120! 62, 733. 891 40, 376 2,150, 521.51 98, 558 2, 621, 931.42 247,130| 104, 820. 92 215, 851; 254, 807.10 416, 725 13, 071, 241. 60 20, 575 1, 385, 425. 60 135, 933; 45,064.67 12, 535 1, 089, 554. 86 45, 385, 53, 500. 36 949, 014. 41 93, 807| 46, 524. 54| 11, 371 20, 233' 9, 040. 00 8, 534 593, 184.00 Division N o . 5 . . 20, 347, 939. 72 3, 484,160,. 75,680 5,880 9,000, 355,000' 251,200: 50, 260: 24, 260 15,960 32,950; 177, 025. 81! 11,346,531! 295,181.461,163,571 2, 422, 423. 80 146,640 369, 997. 50 271,000 729, 789. 50 180,000! 1, 729, 041. 62 113,250' 1, 972. 502. 50 198,020 9, 757,108. 50 2,426, 750; 1, 154, 512. 93 29,340: 972,174. 50: 5,960 785, 011. 87! 12,300 455, .377. 00; 100,000 Iowa Minnesota Missouri St. Louis Kansas City St. Joseph Kansas Nebraska Omaha •. 341, 497J 37, 894: 268,188. 59 536, 499.41 65, 154' 39,'.'>'M.'.W 249, 872; 2, 244, 840. 86 229. 271. 50 6, 980: 5, 260. 50j 953, 086.50 14, 974. 50 192,624' 018, 431. 05 84, 470; 42, 127. 05 272, 925.15 8, 309| 9, 9t>3. 02 29, 7f> 1. 01) 35,612,29 1, 355, 276i I ' , 719, 726. 00 176, 286' 265,136' 34, 539 20,000i 72, 817i 4, 378; 134, 3281 69, 250 i 67, 536 74, 774.07! 91, 569. 40 8, 621.51 7, 878. 001 38, 738. 97^ 3,668.70 48,451.101 22, 980. 85! 28, 685.12! 844, 270 325, 367. 72 806,147 26, 743, 248. 72 58, 790 12,160 8, 58' 92, 400 87,120 26, 327 63, 947 32, 582 11, 540 1, 626, 264. 65 2,169, 216.64 281, 414. 51 962, 497. 00 1, 504, 628.47 174, 373. 70 1,238, 505. 90 736, 498. 30 1, 022,208. 22 393, 453 9, 715, 607. 39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 157 AMOUNT OF EACH KIND OF COIN AND COIN CERTIFICATE HELD BY THE NATIONAL BANKS, ETC.—Continued. OCTOBER 4, 1888—Continued. States, etc. Gold coin. Colorado Nevada California San Francisco Oregon Arizona $1, 334,134. 6) 46, 727. 50 2, 2H6,137.90 928, 622. 50 87.i, 572. 50 14,010.00 Division No. 7 . . . i 5,485,205.05 Dakota Idaho Montana N e w Mexico . Utah Washington.. AVyoming 371, 101, 736, 108, 323, 679, 198, | Gold Silver coin. Silver | Treasi clearing! I ury cerIhouae cer! tificatea. Dollars. i Fractional, itificates. $6, 490 . 60i. 122,180j. 3,650 $180, 000 12,190 . 144,570 845.10 784. 50 950. 00 269. 50 808. 30 997. 70 992. 60 127,330 50, 879 6, 762, 48, 589 8, 557: 6, 213 42, 344 4, 927: -. ! 168,271 Total. $1, 455, 536.21 55, 546. 59 2, 616, 790. 98 1,142,170.82 20, 843' 940, 619. 30 I 15,947.10 285 52, 220 105,237.951 85,046 6,226,601.00' 21,154. 901 1, 217. 35J 11,744.00 4, 522. 35 5, 597. 45 7, 804. 29 4, 804.40 9, 496: 6,1171 32, 524 2.100 5, 009! 8, 895: 792 470, 615. 00 117, 510. 85 870, 407. 00 124, 448. 85 396,127. 75 749, 740. 99 210,176. 00 ".6,844.74! 64,933 2,939,026.44 !7o7222~9O5. 95 81, 088, 790 9, 070, 00017, 051, 9313, 255, 891. 69,7, 298, 298 177, 987, 816. 64 SEPTEMHEB 30, 1889. Gold Gold clearingTreasGold coin. i u r y c e r - jhousecerj tificates. tificates. States, etc. Maine New Hampshire Vermont Massachusetts Boston Rhode Island Connecticut $74, 457• $28, 756. 56; 5, 629 2, 845. 091 ] 13, 289: 42, 964. 08i 14, 643 15, 255.32i. 13, 979. 80, 18, 034 500 1,437.10'. 180,000! 226,552 17,240 1, 630 40,600 1,000 55,500 10,700 660 2, 521, 647. 70 Division No. 8 . . . United States I Gold Treaa* nryoep. tificates. . Silver coin. $611,151.51 $4,830i 276, 224. < > K, 5, 300! 317, 710. 80 10, 210.' 2, 201, 966. 47i 294,200, 4, 457, 576. 00: 5, 369, 820 421,327.25! 89, 5601 1,305, 898. 51 i 262,820! $39, 928 $36,167.5!,' 56, 872 37, 729. 89 25, 589! 39, 073.69i 252, 370, 247,%212. 02'• 87,897 86, 117. 54 j 71,292.71 41, 795:' 91, 519; 112, 373. 23 Division N o . l . . 9, 591, 854. 59 6, 036, 740 New York New York City . . Albany Now Jersey Pennsylvania Philadelphia Pittsburgh 595, 9701 * 232,797.64 1,036,370! 7, 096, 549. 50 48, 925, 260! 329, 347. 701 450, 000 1,071. 65-4. 42.: 189,270 3, 670, 770. 53! 350, 740 1, 573, 046. 00 467,430 $7, 000, 000 1,743,812.00 974, 000| . . Silver Treasu r v certificates. Total. $732,113 02 $40, 036 401,139. 94 25, 014 405,233. 49 12, 650 250, 783 3,246,531 49 703,018 10, 704, 428. 54 76,139 700,113 96 158, 487 1, 931, 097. 74 629, 966. =>!)' 1, 266, 127 18,120, 658.18 362, 5241 5,153, 357. 34 253,903. 267,762.70; 220, 699J 2o5, 586. 02; 2, 589, 7981 59, 087, 892. 52 824, 036. 70 17,1601 6,047.0:i 21,482| 104, 23'"' 172,035.35 296, 980 i 1, 834, 176.77 464, 605: 267,0*3.43! 389, 397 5,142, 505. 96 217, 425] 182, 861. 02 757, 031 10,197, 793. 02 111). 502! 52, 607. 95| 179, 576 3, 069, 497. 95 Division No. 2 . . 18, 717, 977. 79 52, 393, 070 7, 000, 000 1, 397, 531 1, 203, 983. 47j 4, 596, 788| 85, 3o9. 350. 26 Delaware '. Maryland , Baltimore > District of Columbia. \ Washington. ' Virginia : W e s t Virginia 138, 871. OOi 11, 890: 301, 597. 971 50, 670! 1,024,545.50 1,343.040! 98, 840. 50! 90, 000! 108,076.00: 601,020; 311,021.50! H, 730-1 216,166. 68j 13, 800' Division No. 3 . . 2,199, 119. 15, 2.119,150' N o r t h Carolina South Carolina Georgia Florida Alabama Mississippi Louisiana Nevr O r l e a n s . . . . . . Texas Arkansas Kentucky Louisville Tennessee 155, 029. 76 95,171. 00 . 215, 454. 38 46, 536. 90' 163,601. W 33, 641. 50' 15, 267. 50' 68, 241. 00; 472,210.55 34,144. 50' 444, 211. 50! 330,711.50! 454,167. 50! Division N o . 4 . . j 2,528, 389. 09. 570'. 21,920, 1,860] 13.170J. 1, 800] 8, 0401 58,9001 71,290 12,200 . „ 41,370 63,500 118,060 412,680 : 225,000 ! i ' 225,000 42,155 41, 350! 54, 3941 3, 783 11,247! 79, 684 13,778' 246, 3'91 6a,844 57, 593. 93, 5781 48,190' 108, 060' 33,051 14, 092 46, 232 234,301: 38, 889| 51,5071 1 23,7601 1 122,8231 ...: 935,526; 71, 120; 77,104! 287, 84QI 9,89l! 201, 611! 84. 927; 15, »5G 286,951.64 512, 597. 9 > 1 !, 977, 050. 38 203, 995. 75 941,536.00 519. 992. 33 271, 344. 93 347,298.78 1,254,068] 5,477,961.87 22,915.64! 41, 876. 02| 42, 230. 88 "1,481.25! 19, 582. 00, 35, 629. 83 i 11,744.25 175,459.8' 40, 393. 24, 570. 40, 800. 10, 762, 28, 635. 14, 649. 8, 988. 38. 379. 59. 236. 6, 745. 27, 370. 8, 654. 38,110. 158 REPORT OF THE COMPTROLLER OF THE CURRENCY. AMOUNT OF EACH KIND OF COIN AND COIN CERTIFICATE HELD BY THE NATIONAL BANKS, ETC.—Continued. SEPTEMBER 30,1889—Continued. States, etc. Ohio Cincinnati Cleveland Indiana Illinois Chicago Michigan Detroit Wisconsin Milwaukee Silver Silver coin. Gold I Gold Treas Treas' iclearingGold coin. !I ury cer- house cerury cerI tificates. tificates. Dollars. Fractional. tificates. $2,425,974.67 $109,300 312,000: j 317,739.00 240, 000 ! 631, 680.00 256,750 i 1,680,614.69 190,390 , 1,837,(507.81. ill, 594, 795. 00 2,622,000 39,240 ! 1,082, 062. 69 57,370 j 995, 425. 50 11,880 j 806, 332.15 120,000 ! 602,185.00j ; $254, 1 50, i 31, ; 151, 211, i 221, i 118, 1 50, 60, 12. Division No. 5 . . 21, 974, 416. ol| 3, 958, 930 Iowa Minnesota Missouri St. Louis Kansas City St. Joseph Kansas Nebraska Omaha 902, 414.10 1,752, 621. 30: 251,010.20: 1,061, 101.00! 1,284,739.50' 148, 987. 50! 849, 880.59 546, 096.15 950, 567.32 Division No. 7 . Dakota Idaho ontana New Mexico Utah Washington "Wyoming United States 741, 673.22 1, 471, 283' 29, 309, 513. 73 58, 976 25, 6621 31, 096J 81, 000 162,110 66, 967 85, 027 57, 859 22, 946 591, 643 10, 268, 561. 68 784, 358 409, 943.02: 28, 790! 50i 24, 550| $110, 000 140. 410| 40, 000 1, 390 76, 934 804 141,314 7,500 19, 868 142 43,207.80; 3,713.65! 52,423.331 4, 800.00! 24,138. 23( 1, 076.70! 5, 721, 746.52 195,190 246, 562 76,990 17,190j 200 26, 778 9, 220 47, 285 13, 062 19, 003 51, 079 7,030 159, 990 173, 457 Division No. 8 .. 3,120, 608. 63i $3,018,709.62 990, 824. 40 935, 243. 97 2, 272, 998. 49 2,481,471.45 15,342,793.19 1, 347,124.66 1, 219, 714. 55 951, 759. 40 748, 874. 00 145, 479 82, 674.65 199,643 113,786.93 40, 955 22, 257. 64 25, 200 15, 032. 60 80, 227 40, 736. 45 14, 458 5, 989.55 134. 444 63, 584.90 57, 780 33, 492. 32! 86, 172 32, 387. 98 735, 200j. 348, 812.10 109, 630. 00 614, 095. 00 147,122. 50 . 457,235.53 1, 248, 730. 00; 194, 983. 50, $76, 972i 292, 400 25, 0001 84, 679 i 98,129! 769,150! 34, 005! 61, 423! 22, 825 6,700! 56,120 7,310 10, 290 395, 000 130, 540 80,460 26,150 13,730 15, 600 1, 738, 927. 52! 38, 590. 001 2,118, 974. 50 824, 265. 001 984, 984. 50 16, 005.00:. Division No. 6 . . 7,747,417.661 Colorado Nevada California San Francisco ... Oregon Arizona 1,163, 211 $151,936.95 17. 977. 40 6; 834.97 99, 572. 80 144, 057. 64 135, 375.19 73, 262.97 54, 999. 05 49, 836.25 7, 820.00 Total. 16, 560 7,000 42, 050 150, 000 1, 245, 663. 75 2, 099, 023. 23 355, 608. 84 1, 577, 333.60 1, 698, 352. 95 316, 862. 05 1,159, 086.49 708, 957.47 1,107, 673. 30 27,495 140 21,291 2, 500 18,080 1, 915, 354.32 43, 297. 65 2, 468, 552. 83 1, 019, 475. 00 1, 048, 460. 73 17, 223. 70 129,359.71| 69,506 6, 512, 364. 23 20, 238.46| 3,663.48i 24, 684. 20 5, 790.551 8, 217. 651 22,159. 50' 6,462.40' 22, 808 6,689 14, 905 725 8,353 12, 903 2, 915] 435,196.56 136,202.48 743,019.20 166, 700.05 569,799.18 1,352,061.50 211, 590, 90 91, 216. 24: 69, 298 3, 614, 569. 87 71, 601, 529. 94 66, 010, 950 7, 375, 000 5, 543, 006j 3, 728, 900.90 10, 067, 062 164, 326, 448. 84 KEPOET OF THE COMPTROLLER OF THE CURRENCY. 159 EARNINGS AND DIVIDENDS OF THE NATIONAL BANKS, ARRANGED BY GEOGRAPHICAL DIVISIONS, FOR SEMI-ANNUAL PERIODS FROM SEPTEMBER 1,1880, TO SEPTEMBER 1,1889. Ratios. N *f : Capital. I Surplus, dividends. Geographical divisions. banks i • . • ^™-| 3^ Jlljfi,, rt I fi+3 j §'tf ,2 ' ^'e? J3 !S Sept., 1880, to March, 1881: ! New England S t a t e s . . . < Middle States Southern States Western States : Total l 550 657 178 702 \Pr.ct.\Pr.ct.Pr.ct. $165, 623,120 fc38, 944, 841 $5,900,861 $6,757,787 : 3.6 I 2,9 ! 170,739,045 53, 53(5, 248 6, 974, 934 9,162, 771 j 4.1 ! 3.1 , 5,898,107 1,264,398 1,905,690 : 4.2 | 3.5 i 30,448,700 4, 737, 324 6, 625,773 i 5. 3 ! 4. 2 ' ; 90, 034, 000 24, 102, 592 2, 087 . 456, 844, 865 122, 481.788 March, 1881, to Sept., 1881: N ew England S t a t e s . . . 550 Middle States 660 Southern States j 181 Western States i 709 Total Total 165, 373,120 171. 560, 315 30,973,950 91,027,100 553 666 188 730 162,650,870 171,488,315 31, 672, 700 94, 542, 600 Total Total. Total. Total. 5, 952, 275 7,123, 339 7, 367, 409 10,210,373 1, 333, 715 1, 981, 226 5, 261, 976 7, 768, 661 2.9 3,3 3.4 3. 9 4.0 5.3 6.1 5.8 4. 3 ; 3. 3 | 5. 0 4.3 3.4 4.6 5, 729, 842 6, 732, 530 7,194, f,28 . 9,704,251 1,289,862 2,062,960 6,662,821 7,737,893 3.5 4.1 4.0 6.5 2.8 3.1 3.2 5.1 3.3 4.2 5.2 6.0 20, 896, 553 26, 237, 635 4.4 3.4 4.3 816 I 109, 099, 800 25,881,856 ; 5, 518, 844 8,133, 477 3.5 I 2.8 4.3 j 3.2 4.1 j 3.3 5.1 4.1 3.0 4.2 5.2 6.0 2, 267 j 483, 091, 342 137, 570,105 ; 20, 285,102 26, 432, 934 4.2 i 3.3 4.2 ! 2,137 , 460,354,485 131,21)1,889 * 19,915,375 27,083,599 J2,197 i 473, 947, 715 5;,7 687 207 i 41,033,296 j 58, 491, 696 i 7, 503, 078 2'v .'42. 802 .70, 931 165, 653, 070 , 41,341,246 l 5,819,093 6, 200, 443 ! 174,375,472 • 62,118,694 7, 542,146 9, 900, 021 33,963,000 ! 8,228,309 I 1,405,019 2,198, 993 166, 793, 070 j 41, 727, 679 , 5, 861,182 ! "6, 651, 595 3.5 173,915,465 63,453,454 ! 7,556,795 i 9,960,635 4.3 35, 685, 300 | 9, 084, 011 j 1, 415, 529 2,433, 336 4.0 118.246,305 i 26.967,043 \ 5,560,070 j 8,528,648 4.7 2,359 565 715 248 963 494,640,140 ;i41,232,187 j 20,393,576 ,27,574,214 4.1 5, 726, 356 167,478,070 41,863,161 175,317,315 64, 841,178 | 7, 639,670 38, 214, 310 9,854,923 1, 700,113 126,959,605 29, 041, 587 I6, 016, 667 3.4 4.4 4.4 4.7 2.8 3.2 3.2 3.8 6, 095, 915 9. 529, 978 2, 950, 096 9,418, 775 3.2 4.2 5.4 5.9 4.3 2.7 3.2 3.5 3.9 2.9 4.0 6.1 6.0 3.2 I 4.3 4.0 4.2 4.3 2.6 ! 2.9 j 3.3 3.5 I 2.7 3.4 5.3 4.7 3.9 3.0 3.7 4, 388, 812 7,474, 752 2,426, 858 7, 310, 780 3.4 4.1 4.2 4.2 2.7 3.0 3.4 2.1 3.1 4.5 4.3 2,650 I 522,899,715 1148,771,121 ! 20,437,650 21, 601,202 3.9 3.0 I 3.2 2,491 ! 507,969,300 ;145,600,849 21,082,806 27,994,764 4.1 2,582 | 518,605,725 ,147,721,475 j 20,171,667 24, 368, 019 Sept., 1884, to March, 1885: New England States... 567 732 Middle States 278 Southern States ,073 Western States Total. 4.2 3.5 4.5 5.1 6.4 March, 1884, to Sept., 1884 : 551, 603 5, 738, 456 New England States... 568 ! 167, 600, 370 41, 905, 9055,! _.„: I 175, 767, 355 64,580,406 ; 7, 089, 673 8,198, 912 17, 723 Middle States 1, 691, 520 2, 747, 018 Southern States 264 40,638,300 110,726,209 5, 838, 871 7, 683, 633 1, 027 134, 599, 700 30, 508, 955 Western States Total. 3.3 ! 2.9 ' 3.2 ! 3.5 ; 4.3 March, 1883, to Sept., 1883: New England States... Middle States Southern States Western States Sept., 1883, to March, 1884: New England States... Middle States Southern States Western States 40,703,776 57,470,278 6, 928, 882 26,188, 953 19,499,968 29,170, 542 3.6 4.4 4.1 5.1 3.3 4.1 5.2 5. 8 3.7 4.3 4.2 5.6 ! March, 1882, to Sept., 1882: • : j New England States . . ! 555 16"., 515, 870 Middle States j 678 j 173, 270, 315 Southern States \ 194 , 32.212, 70'> 770 ; 102, 948, 830 Western States. Sept., 1882, to March, 1883 : New England S t a t e s . . . Middle Star es Southern States Western States 18, 877, 517 24, 452, 021 i 4.1 39,878.448 , 6,005,608 , 8,166,022 55, 747, 501 ; 7, 558, -107 jli, 925, 7*4 6,530,694 1,282,120 2,300,624 25, 08L, 751 : 4, 653, 833 6, 778, 112 458,934,485 127,238,394 2,100 Sept., 1881, to March, 1882: i New England S t a t e s . . . 1 Middle States '. Southern States j Western States i 2b ' 167, 173, 42, 139, 400. 370 212,145 648, 400 638, 800 , | 41,413,826 ! 5,661,537 64,741,009 i 7,156,680 1, 790, 726 11,527,942 5, 828,707 31,088,344 160 REPORT OF THE COMPTROLLER OF THE CURRENCY. EARNINGS AND DIVIDENDS OF THE NATIONAL BANKS, ETC.—Continued. No. of hanks Capital. Surplus. 3 Dividends. Net earnings. is It Q March, 1885, to Sept., 1885 New England States... 562 $165, 668, 370 $40, 786, 007 $5, 391, 401 $4, 725, 395 6, 953, 332 7, 297,159 Middle States 731 172, 907, 352 64, 247, S88 1, 655, 261 2, 282, 782 43, 500, 300 11, 505,477 Southern States 287 6, 218, 477 - 7, 718, 959 Western States 1, u85 142, 523, 580 30, 364,123 Total •.... 2,665 Sept,. 1885, to March, 1886: New England States... 559 738 Middle States 294 Southern States 1,117 Western States Total 2. 708 March, 1886, to Sept., 1886: New England States... 563 744 Middle States 303 Southern States 1,174 Western States ., Total 2, 784 Sept., 1886, to March, 1887: New England States... 563 754 Middle States 313 Southern States Western States 1, 225 Total 2,885 March, 1887, to Sept., 1887: New England S t a t e s . . . 566 764 Middle States. 343 Southern States 1,269 Western States Total 2, 942 Sept., 1887, to March, 1888: New England States... 567 780 Middle States 358 Southern States 1,339 Western States Total 3, 044 X 093 2.3 3.1 4.2 4.5 3.9 3.0 3.3 381 324 274 687 3.2 4.0 4.4 4.6 2.6 2-9 3.4 3,8 2.8 3.9 4.7 5.2 21. 335, 436 27,527, 666 4.0 3.1 4.0 736,479 789,135 553, 055 834, 050 3.2 4.2 4.3 4.2 2.5 3.0 3.4 3.5 3.2 4.0 4.0 4.7 21,147,142 11, 912, 719 3.9 3.0 4.0 480 6,176, 707 627 12, 072,419 870 2, 646,393 610 10, 803, 275 3.2 4.3 4,6 4.4 2.6 3.0 3.6 3. 6 3.0 4.8 4.5 548, 355, 770 163, 731, 900 22,148, 587 31, 698, 794 4.0 3.1 4.5 43,118, 790 76, 574,179 13, 247, 285 38,314, 299 5, 355, 787 7,224,781 7, 357, 400 11, 360, 893 2,137,328 3, 268, 973 7,153, 305 10, 953, 427 3.2 4.2 4.1 4.3 2.6 2.9 3.3 3.5 3. 5 4.5 5.0 5.4 558, 544, 541 171, 254, 553 22, 003, 820 32, 808, 074 3.9 3.0 4.5 769 527 403 447 5, 426,178 6,187, 595 7,346,515 11, 201, 708 2, 298, 039 3, 257, 542 C, 017, 876 11, 954, 449 3.3 4.0 4.3 4.5 2.6 3.7* 3.0 4.2 4.8 5.5 577,136,748 179, 397,147 23, 088, 607 32,601,294 4.0 3.0 4.3 5, 349, 582 6, 739, 240 7, 504,822 11, 544. 258 2, 139,937 3, 105, 262 8,338,710 11, 370, 432 3.2 4.1 4.0 4.6 2.6 2.8 3.1 3.8 3.2 4.3 4.4 5.1 23,443,051 32, 759,192 4.0 3.0 4.3 3.3 4.0 4.1 4.3 2.6 Z. 2 3.5 3.3 45 4.8 5.3 3.9 3.0 4.5 3.2 4.1 4.0 4.2 2.5 2.8 3.1 3.4 3. 3 4.5 5.1 4.9 3 9 2.9 , 4.3 4.1 3.1 4.2 524, 599, 602 146, 903, 495 165, 172, 44, 148, 203, 435, 437, 879, 920 295 400 580 41,128, 67, 583, 12, 053, 32, 767, 387 309 524 699 530, 956,195 153, 532, 919 165, 352, 320 173, 628,875 45, 444, 000 153,138, 453 41, 70, 11, 33, 581, 845 044,187 967, 321 470,425 537, 563, 648 157, 064, 778 165, 175, 46, 161, 164, 176, 51, 165, 252, 873, 213, 016, 837, 635, 515, 556, 164, 405. 183, 382, 53,124, 176, 224, 370 735 240 425 370 656 315 200 920 395 400 033 41, 897, 73, 445, 12,463, 35, 926, 43, 80, 14, 40, 459, 679, 258, 999, 072 033 050 745 583,529,145 184,416,991 20, 218, 471 22, 024, 295 5, 7, 1, 6, 5, 7, 1, 6, 375, 226 044, 535 909,190 946,485 338, 635 328, 798 994, 537 485,172 5, 318, 7, 574, 2,143, 7, 111, Sept, 1888, to March, 1889: New England States... 568 : 164,506,720 44, 904, 040 : 5, 508, 163 793 184, 628,445 86,496,367 Middle States 7, 379, 692 1 382 i 56, 974, 485 15,715, 136 Southern States 2, 357, 718 1,404 Western States 8, 045, 400 187, 144,200 45.391,957 Total 3,147 593, 253, 850 :192,507.500 March, 1889, to Sept., 1889: New England States... 571 165,101,920 Middle States.. : 796 1 184,195,745 Southern States 403 ! 58, 905, 530 Western States 1,424 ! 191,247,990 5, 925, 9, 484, 2, 705, 9,412, 6, 9, 2 8, 6, 932, 212 12,241,399 3,497, 410 12, 438, 868 23, 290, 973 ; 35,109, 889 i 45, 476, 953 ! 5, 307, 086 6, 920, 889 ! 87,936,236 1 7, 636, 874 12,060,433 16, 387, 359 i 2, 365, 3(58 ! 3,818,379 47, 328, 336 8, 016, 259 11, 708, 674 Total 3,194 General average 2, 629 | 523,371,025 154, 523,161 i 21,197,883 28, 436, 957 Pr. ct. Pr. ct. Pr. ct. 3.3 • 2. 6 2.9 4.0 3.0 3.8 3.6 4.5 i March, 1888, to Sept., 1888 : New England States... 568 164,649,820 44,197,418 793 ! 184, 220. ;>7f» 82, 998, 759 Middle States 369 54, 802, 800 14, 844, 534 Southern States 1, 363 179,865,950 42, 370, 280 Western States Total capital and surplus. Earnings to capital and surplus. Geographical divisions. Dividends to Ratios. 599,451,185 ',197,128,884 j 23,325,587 34, 508, 375 5! 4 5.5 i REPORT OF THE COMPTROLLER OF THE CURRENCY. 161 TABLE SHOWING, BY GEOGRAPHICAL DIVISIONS, THE RESERVE CITIES AND CENTRAL RESERVE CITIES, THE NUMBER OF BANKS IN OPERATION AT EVERY DATE ON WHICH REPORTS OF CONDITION HAVE BEEN MADE, FROM MARCH 11,1882, TO SEPTEMBER 30, 1889, INCLUSIVE, TOGETHER WITH THE AMOUNT OF RESERVE REQUIRED AND THE AMOUNT H E L D AT P:ACH OF THOSE D A T E S , AND T H E CLASSIFICATION O F T H E R E - SERVE HELD, SHOWING AMOUNTS AND PERCENTAGES IN EACH CASE. [Division No. 1.—Maine, New Hampshire, Vermont, Massachusetts, Rhode Island, and. Connecticut, excluding: reserve cities.] Reserve held. Amount of | ; No. reserve reDates. ! of required, 15 Classification of reserve held. Lawful money (6 per cent.). With reserve gents (9 per cent.). Ratio. Amount. ! Ratio. Amount. 1882. Mar. 11. May 19. "i July 1 . Oct. 3... Dec. 30 . -I - 502 503 504 505 507 $14, 962, 799 i 15, 068, 764 i 15, 505, 375 : 16, 296, 302 i 16, 254, 969 i 'Perct.1 Perct. $29, 478, 618 I 29. 55 $7, 223, 511 31,457,478 I 31.31 7, 495,171 29,835,966 28.86 7,585,373 29, 332, 584 ! 27. 00 7,916, O'>2 33,151,031 i 30.59 8,197.588 Five per cent, redempRatio. tion fund. \Perct.\ ; 7.24 ! $17, 716, 653 ! 17.76 !$4, 538, 454 ! 7.46 i 19,488, 807 19.40 I 4,473, 500 1 7.34 j 17,833,751 17.25:4,416,842 7.29 ! 16,949,161 ; 15.96 i 4,467,401 i 7.56 ! 20, 509, 426 j 18. 93 i 4, 444, 017 1883. Mar. 13.. Mayl... June 22 . Oct. 2 Dec. 31 .. 507 509 510 511 512 15,342,235 28, 288, 564 • 27.66 i 7,552,020 15,309,763 I 27,968,728 j 27.40 i 7,495,846 j 15, 369, 906 i 28,844,230 < 28.15 j 7, 685, 718 31,164,435 i 28.93 ; 7, 650, 678 I 16,161,030 16, 426, 477 34, 548, 821 ' 31.55 •8,144, 345 I 7.38 . 7.34 ! 7.50 I 7.10 7.44 16, 299,167 16, 040,299 16, 722, 029 19, 099, 067 21, 965,101 15.94 15.72 16. 32 17. 73 20. 0(3 4, 437, 377 4,432, 583 4, 436,483 4,414, 690 4, 439, 375 1884. Mar. 7.... Apr. 24... June 20 .. Sept. 30 .. Dec. 20 ... 7,875,750 | 7.40 | 20, 374, 517 19.15 8,138,314 | 7.59 j 18, 787,103 17.52 8.17 8,231,410 14. 972, 792 14.87 8,199, 770 I 7.88 , 19,833, 278 19.05 8,273,291 8.16 i 19, 211,124 18,94 514 514 514 514 515 I j ! I 15, 959, 007 j 32, 510, 901 30.56 16, 081, 733 !31,256,427 i 27.15 15,103, 686 27,470,663 \ 27.28 15,614, 046 32,199, 345 ' 30.93 15, 216,181 31, 576, 643 31.13 514 511 512 506 506 j j ! ! ! 15, 553, 913 16, 093, 617 16, 589, 066 17, 218, 577 17,150, 864 33, 563, 396 34, 886, 766 34, 597, 448 34, 416,314 32, 831, 670 507 510 509 510 511 ! I | i ; 17,185, 207 16, 473, 718 17, 388, 516 18, 295, 909 17, 815, 957 32, 588, 870 28.44 32,509,786 j 27.91 31, 345, 788 ] 27.04 35,762,441 29.32 27.98 33, 229, 398 j 9,772,588 10,304,208 10,316,259 10,335,491 10, 888, 902 17,464,118 17, 918,113 17,228, 499 17, 758, 954 17, 341, 009 34, 081, 099 33, 354, 311 28, 645,014 32, 079, 549 29, 625, 990 29.27 27.92 24.94 27.10 25.64 10,261,663 ! 8.81 10,470,249 : 8.77 8.88 10,202,657 8.51 10,081,047 8.92 10, 316, 792 21,137,117 18.15 2, 682, 319 20, 384, 444 17.06 2, 499, 618 16,106,385 14.02 2, 335, 972 19, 698, 402 16.64 2, 300,100 17, 045,118 • 14.74 2, 264, 080 18,229, 528 18,287,862 18, 929,571 19, 889, 593 19, 338, 797 33, 096, 440 32, 928, 907 35,172, 829 36, 547,994 33, 598. 583 27.23 27.01 27.87 27.56 26.06 8.18 8.53 7.96 8.11 10,784,645 ! 8.37 20, 928,685 20, 330, 966 22, 986, 251 23, 704, 062 20, 835, 576 4, 260, 634 4, 331, 010 4, 266, 461 4,166, 297 4, 092, 228 1885. Mar. 10.. May 6 . . . Julyl . . . Oct. 1 . . . . Dec. 24 .. 32.37 32.52 31.31 29.98 28.71 8,416,689 • 8,641,121 ! 8,951,595 | 9, 549, 345 ! 9,562,800 I 9.12 8.05 8.10 8.32 8.36 21,146, 721 22,184,176 21, t:37, 813 20, 832, 605 19, 311, 376 20.39 20.68 19.58 18.15 16. 89 3, 999, 986 4, 061, 469 4, 008,040 4,034, 364 3, 957, 494 8.53 8.85 8.90 8.47 9.17 18, 969, 980 18, 555, 748 17, 449, 280 21, 995, 854 19, 338,260 16.56 15.93 15.05 18.03 36.28 ! 3,846,302 . 3,649,830 j 3,580,249 i 3,431,096 i 3,002,236 1886. Mar.l . . . June 3 . . . Aug. 27 .. Oct.7.... Dec. 28 .. '• i I ! • 1887. Mar. 4... May 13 .. Aug.l... Oct. 5 Dec. 7 . . . 511 513 512 512 514 1888. Feb. 14 .. j 514 Apr. 30.. 514 June 30.. 515 Oct.4.... 515 Dec. 12... 516 9,937,633 10,402, 526 10,047,520 ; 10,745,765 i 17.22 2,230,122 16.68 2,195, 415 18.21 2,139, 058 17.88 2, 098,167 16.16 1, 978, 362 1889. Feb. 26 ... May 13 ... July 12 ... Sept. 30... 517 518 521 522 19, 631, 288 I 36, 075, 905 27.57 20, 634, 607 40, 294,495 29.29 21, 622, 302 40, 580, 347 28.15 21, 643, 953 38, 925, 305 26.97 9460 CUR 10,535,537 | 8.05 23, 657,943 11,125,890 8.09 27, 409, 248 11, 779,205 i 8.17 27, 066, 971 11, 534, 535 ! 7. 99 25, 693, 206 18.08 19.92 18. 77 17.81 1, 882, 425 1, 759, 357 1,734,171 1, 697, 564 162 REPORT OF THE COMPTROLLER OF THE CURRENCY. TABLE SHOWING, BY GEOGRAPHICAL DIVISIONS, THE RESERVE CITIES AND CENTRAL RESERVE CITIES, THE NUMBER OF BANKS IN OPERATION, ETC.—Continued. [Division No. 2.—New York, New Jersey, and Pennsylvania, excluding reserve cities.] Reserve held. Classification of reserve held. Amount of i reserve re- ! Lawful money (6 With reserve No. quired, 15 Fire Dates. i of per cent.). agents (9 per cent.). per cent, of per cent, banks net deposits. Amount, j Ratio. redemption fund. Amount, j Ratio. j 1882. Mar. 11.. May 19.. July 1 . . . Oct. 3 Dec. 30 . . 507 514 515 515 521 $24, 24, 25, 25, 26, 513, 825, 243, 702, 500, 805 609 576 599 579 Perct. , Per ct. Perct \ 8.90 $30, 249, 865 18-51 $3,122,723 $47,919,202 j 29.32 $14, 546, 614 49, 038, 897 ; 29. 63 15,827,208 ! 9.56 30,100, 831 18-19 | 3 110 8M 47,501,012 28.23 15,228,446 ! 9.05 29, 217, 784 17- 36 i 3? 054,782 47, 834, 868 27.92 15.881,906 9.27 28, 868, 395 16.85 ! 3,084,567 9.43 28, 338, 020 16.04 | 3,066,200 48,071,228 ! 27.21 16,667,008 1883. Mar. 13.. May 1 . . J u n e 22 . Oct. 2 . . . Dec. 3 1 . . 525 532 537 545 549 26,151, 831 26, 557, 410 26,409,027 ; 26, 885,132 I 26, 992, 446 ; 48, 45, 50, 48, 50, 550 i 554 561 I 563 i 560 i 27,003,470 27, 240, 954 25, 502, 692 25, 245, 939 24, 531, 549 53,829,445 53,358,232 45,241.638 49,189,650 50, 799, 720 559 ! 559 ! 561 ! 557 567 | 25, 258, 857 25, 204, 559 25,615,062 26,291,732 26, 843,401 55, 463, 538 53,071,039 51, 945, 847 56, 170,958 58,345, 580 570 571 572 572 575 27, 453, 354 27, 533, 873 28, 253, 322 28, 830, 549 28, 792, 675 56, 026, 945 : 30. 61 54,618,391 : 29.75 56.916,208 : 30.21 54,836,089 j 28.53 53, 341, 795 ' 27. 79 576 580 586 587 591 29. 020, 465 54, 867, 767 29, 685, 015 50,2G8, 209 29, 837, 428 51,361,676 30, 064, 960 52, 990, 784 30, 090,137 i 52, 172, 378 593 596 598 601 603 31,181,582 ; 57,520,460 i 27. G7 31,422,827 55,782,017 ! 26.63 ! 31,184,265 , 56,274,855 | 27.07 ; 32,659,379 62,056,372 I 28.50 '• 32,191, 080 57, 440, 1?43 ! 20 77 603 607 603 615 32,774,651 33,020,608 33, 539,199 34,329,752 307, 564, 817, 979, 577, 519 935 552 043 804 27.71 25,74 28.86 27.33 28.11 15,232,686 16, 603, 462 16,240,341 16, 912, 419 17, 734,066 8.74 9.38 9.22 9.44 16, 983, 453 18, 854, 082 18, 801, 649 18, 694, 389 18, 036, 445 | | | ! ; 9.43 i 10.38 ! 11.06 i 11.11 j 11.03 ! 30,026,506 25,905,781 31,528,884 29, 011, 331 29,840,086 17.22 14.63 17.91 16.19 16.58 3, 048, 327 3, 055, 692 3, 048, 327 3, 055, 293 3, 003, 652 33,924,115 ! 18.84 31,556,160 17.38 23,558,015 ! 13.86 27,634,801 j 16.42 29, 977, 889 ! 18.33 2,921,877 2, 947, 990 2, 881, 974 2, 860, 460 2, 785, 386 1884. Mar. 7 . . . Apr. 24.. June 20 . Sept. 30.. Dec. 20.. i 29.90 '• 29.38 j 26.61 | I 29.23 ; 31. 06 ! ! 1885. Mar. 10.. May 6 . . . July 1 . . . Oct. 1 . . . . Dec. 24.. 32.94 i 31.58 i 30.42 i 32.05 I 32. 60 18, 925, 754 11. 24 20, 044, 604 11.93 19,178,305 11.23 20,055,448 , 11.44 18,913,441 10.57 33,766,999 20.05 2, 770, 785 30,202,857 i 18.01 2, 763, 578 30,033,212 I 17.59 2, 734, 330 33, 297, 308 ' 19. 002, 818, 202 36, 653, 591 20.48 j 2, 778, 548 18,960,011 ! 10.36 20,795,357 j 11.33 20,185, 336 | 10. 71 20,192,341 i 10.51 20, 360,434 i 10. 61 34,334,359 |18.76 2, 732, 575 31,241,898 i 17.02 2,581,136 34,176,300 ;18.14 2, 554, 572 32,249.120 i 16.78 2, 394, 628 30, 849; 802 i 10.07 2,131, 559 I 19,405,628 20,193,151 19,291,157 19, 775, 576 20, 038, 795 33,449,631 34,160, 474 30,226,408 31,370,441 30,215,646 1886. Mar. 1 . . . June 3 . . . Aug. 27.. Oct. 7.... Dec. 28.. 1887. Mar. 4 . . . May 13. . Aug.l... Oct. 5 . . . . Dec. 7 . . . 28. 36 28.48 25.82 26, 44 20.01 10.03 10.20 9.70 9. 87 9.99 17.29 15.20 I 15. 05 15.01 2, 012, 508 1, 914, 584 1,844,111 1, 844, 767 1,817,937 20,111,377 j 9.67 20,936,380 ! 9.99 19,371,217 ! 9.31 21, 624, 500 9. 93 20, 803, 560 9. 69 35, 617, 574 I 17.13 33, 006, 277 i 15.78 35,146, 229 I16.91 38, 705,110 I17.78 16.30 34, 986, 054 ! 1,791,509 1, 779, 360 1, 757, 400 1, 726, 702 1, 051, 329 21,144, 626 21,670,363 21, 675, 391 20, 987, 608 40, 351, 399 I 18.47 39,393,056 !17.89 41,229,456 18.43 39,007,885 17.04 1,587,653 1,522,775 1, 483, 803 1,474,586 i17.26 1888. Yeb. 14.. Apr. 30.. Juue 30. Oct. 4 . . . . Dec. 12.. 1889. Feb. 26.. May 13.. July 12.. Sept. 30.. i 63, 083, 678 28. 96 I 62,586,794 I 28.43 ! 64, 388, 65U | 28. 78 < 61, 470, -J79 ! 26. 86 \ ! I j 9.84 9.69 9.17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 163 TABLE SHOWING, BY GEOGRAPHICAL DIVISIONS, THE RESERVE CITIES AND CENTRAL RESERVE CITIES, THE NUMBER OF BANKS IN OPERATION, ETC.—Continued. {Division No. 3.—Delaware, Maryland, Virginia, West Virginia, and the District of Columbia, excluding reserve cities.] Reserve held. No. of banks! Dates. Amount. | Ratio. 1882. Mar. 11... i May 1 9 . . . July 1 Oct. 3 Dee. 30 . . . 73 74 74 76 77 Classification of reserve held. ! Lawful money (6 i "With reserve Five per cent.). ! agents (9 per cent.). per cent, redemption fund. Amount, i Ratio.! Amount, i Ratio. Amount of reserve required, 15 $3, 326, 580 3,229, 343 3, 293, 618 3, 600, 294 3, 559, 250 Per ct. $6,300,888 j 28.41 $2,702,126 5,846,228 ! 27.16 2,8*7,270 6,330,795 : 28.83 2, 951, 218 2, 883, 425 7,027,363 29.28 6, 432, 974 27.11 2, 943, 333 Per ct. 12.18 | 13.32 i 13.44 ! 12.01 i 12.40 ! Per ct. $3,212,987 : 2, 597,775 ! 3,000,277 : 3, 752, 436 ! 3,098,400 : 14.49 $1,385, 775 381,183 12.07 379, 300 13.66 391,502 15.63 391,241 13.06 1883. I Mar. 13... Mayl.... J u n e 22 . .; Oct. 2 Dec. 3 1 . . . i 1884. 2,337,863 i 9.94 2, 713,896 I11.54 2,774,761 : 11.49 3,088,038 •11.15 3,018,536 11.33 3,527,516 j 3,528,471 ! 3,621,398 I 4,152,516 ! 3, 998, 036 I 5, 733, 788 5,790,224 6,406,495 7,383,800 6, 620, 987 83 88 88 3,877,353 i 3, 812, 038 i 3, 513,153 3,702,825 : 3,365,854 6, 822, 590 i 26. 36 i2,873,867 6, 446, 814 i 25. 37 !3,045,651 5, 375,113 I 22. 95 !2,975,931 6, 837,101 | 27. 70 ! 3,220,417 6,467,992 ! 28.82: 2, 942, 926 3, 361, 044 2, 854,130 2,919,436 3,286,346 3, J 62,147 6, 282, 532 j 28. 04 : 3, 043, 637 5, 624, 698 29. 56 2,985,242 5,311,397 ! 27.29 2, 758, 277 7, 338, 927 I 33. 50 3,134, 687 7,070,981 : 33.54 2, 887, 760 3,163, 328 3, 259,103 3, 490, 359 3, 525, 434 3,459, 845 6, 579,113 6,761,881 7, 337, 721 7,125, 856 6, 826, 991 31. 20 3, 079, 948 14. 60 31.12 3,414,420 15.71 31.53 ; 3, 313, 468 ; 14. 24 30.32 3,405,443 ! 14.49 29.60 3,124,102 13. 54 3, i 714, 380 3, 541, 988 3,434,211 3, 681,532 3, 789, 907 3, 748, 997 6, 685, 225 6, 233, 763 6,591,665 6, 641, 421 6, 728, 437 28.31 3,061,122 12.96 27.16 : 3,351,755 ! 14. G4 26.86 ; 3, 397,925 j 13.84 I 26.29 3,402,471 ! 13.47 26.92 3,329,980 ! 13.32 3, 827, 479 I 3, 789, 898 \ 3,902,911 ; 4,364,275 j 4,-159,106 i 6, 737, 364 ' 26.40 3,272, 849 6, 554, 763 ! 25. 94 3, 340, 776 3,320,174 6, 688, 570 ! 25. 71 : 8,474,938 ! 29.13 , 3,672,305 7, 612, 357 i 27.45 :3, 502, 069 4, 210, 619 4,129, 743 4, 262, 053 4, 433, 299 7, 830, 630 ! 27.90 i3, 583, 377 7,338,116 I 26.65 i 3, 852, 493 7, 356, 738 ! 25. 89 i3, 634, 247 7,390,267 25.00 ' 3, 387,152 387,871 384, 861 387,949 3,008,054 2,691,467 3,243,785 ! 3,901,193 3,210,691 12.79 11.44 13.44 14.09 12.05 391,760 3,582,688 3, 027, 832 2,025,960 3,246,528 3,164,161 13.86 11.91 8.65 13.15 | 14.10 ! 366, 035 373, 331 373, 222 370,156 360, 905 2,895,186 2, 289, 321 2,199, 965 3, 850, 486 3, 825, 340 12.92 12.03 : 11.30 I 17.57 i 18.15 i 343, 709 350,135 353,155 353, 754 357, 881 3,153, 202 3, 034,136 3,414,134 3, 414, 702 14. 95 13.97 15.96 j 14.53 | 14.80 345, 963 313, 325 309, 873 306, 279 288,187 3,370,568 2,640,664 2,952,617 3, 004, 141 3,157, 971 14.27 11.53 ; 12.03 11.89 12.64 253, 535 241, 344 241,123 234, 809 240, 476 12.83 13.22 12.76 12.62 12.63 3,236,123 2,988,503 . 3,150, 750 i 4,582,280 ; 3, 898,858 12.68 11.83 12.11 15.75 14.06 228, 392 225, 484 217, 646 220, 353 211,430 12.77 13.99 12.79 11.46 4,043,241 3,283,684 3, 528, 845 3, 808, 964 ' Mar.7 . . . . Apr. 24... June 20 ..; Sept. 30 .. Dec 20 . . . 1885. 24.38 24.61 26.54 26.67 24.82 77 ; 77 ; 78 ' 82 ! 82 : 11.12 ; 11.98 12.71 13.05 13.12 : 88 ; 87 i Julyl.... 87 ! Oct. 1 . . . ; 88 : Dec. 24...! 80 Mar. 1 0 . . . May 6 . . . i 13.58 ! 15.69 : 14.17:! 14.31 13.70 1886. Mar. 1 . . . : 89 June 3 . . . ! 90 Aug. 27...! 91 Oct. 7 i Doc. 28 ...; 1887. Mar. 4 ; ' May 13.. Aug.l... Oct. 5 . . . Dec. 7 . . . 1888. Feb. Apr. June Oct. Dec. 14.. 30.. 30.. 4... 12.. ! i j ; 1889 Feb. 26.. May 1 3 . . July 12.. Sept. 30 . 98 102 104 j 14.40 j 11.93 } 12.42 ! i 12. 89 ! 204, 012 201, 939 193, 646 194,151 164 REPORT OF THE COMPTROLLER OF THE CURRENCY. T A B L E SHOWING, B Y GEOGRAPHICAL D I V I S I O N S , T H E R E S E R V E C I T I E S AND CENTRAL, R E S E R V E C I T I E S , T H E N U M B E R OF BANKS I N OPERATION, ETC.—Continued. [Division No. 4.—North Carolina, South Carolina, Georgia, Florida, Alabama, Mississippi, Louisiana, Texas, Arkansas, Kentucky, and Tennessee, excluding reserve cities.l Eeserve held. Dates. Amount of No. reserve required, 15 of per cent, of banks net deposits. Classification of reserve held. Lawful money (6 per cent.). Amount. I 1882. May 11.. May 19 .. Julyl... Oct. 3 . . . . Dec. 30.. 141 144 148 154 159 Amount. Perct. $5,185,281 $10, 013, 832 j 28. 97 4,915, 899 10,118,504 30.87 5,115, 956 10, 326, 820 I 30.28 5, 266, 274 9, 392, 645 I 26. 75 5, 978, 914 12, 718, 655 ' 31. 91 1883. Mar. 13.. May 1... June 22 . Oct. 2 . . . . Dec. 31... With reserve agents (9 per cent.). Ratio. I Ratio. Per ct, $5, 466, 058 1 15. 81 5,419, 385 16.54 5, 227,153 15.33 4, 771, 326 13.59 6, 340,182 15.91 $3, 758, 544 3, 906, 752 4, 313, 224 3, 827,425 5, 584, 656 Five per cent, redemption fund, Per ct 10. 87 11.92 12.65 10.90 14.01 $789, 230 792, 367 786, 443 793, 894 793, 817 14.92 13.46 12.39 9.30 11.48 771, 001 791, 585 802, 359 798, 216 802, 505 I 164 169 175 191 197 6,116, 981 6,190,892 6,143, 331 6, 267, 968 6, 761, 077 13, 254,160 12, 890,743 12, 353, 975 10, 275,182 12, 940, 873 201 204 208 216 220 6, 816, 062 6, 874, 431 6,449,163 6, 042,864 6,491, 216 226 229 232 232 235 32.50 31.23 30.16 24.59 28.71 6, 396, 960 6, 543, 434 6, 475, 724 6, 589, 276 6, 968,159 15.69 !i 15.85 15.81 ! ! 15.77 15.46 I 6,086,199 5, 555, 724 5, 075. 892 3, 887, 690 5,170,209 13,644,672 i 30.03 12, 348, 517 i 26. 95 11,364,136 ': 26.43 11,168, 565 j 27. 72 14,560,732 | 33.67 6, 883, 358 6, 803,162 6, 826, 409 6, 334, 635 7, 007,016 15.15 : •14.84 i 15.88 j 15.72 ! 16.19 ! 5,979,687 ! 13.16 4, 762, 025 I 10.39 3,782,006 ! 8.80 4, 087, 448 I 10.15 6,806,367 ! 15.73 6, 669,784 6, 483, 495 C, 442, 590 6, 388, 330 7,142, 914 15,098,820 ; 33.96 13,065,477 i 30.23 12,404,357 | 28.88 11,874,404 ' 27.88 15, 834, 011 ! 33, 25 7, 964, 807 7, 563, 398 7,159, 393 6, 826, 279 8, 001, 784 17.91 17.50 16.67 16. 03 16.80 6, 385,184 4, 765, 739 4, 532,187 4, 322, 638 7,141, 940 14.36 11.03 10.55 10.15 15.00 748, 829 736, 340 712, 777 725, 487 690, 287 240 245 251 251 253 7, 583, 952 7,493,063 7, 301, 499 7, 520, 093 8, 863, 744 16, 308, 788 15, 598, 452 13,956,929 13, 597, 692 21,096,851 i 32.26 !8,523,863 j16.86 j 31.23 j 8,108,413 i 16.23 28.67 ! 7,650,399 15.72 ; 27.12 j7,565,181 15.09 35.70! 9,659,357 16.35 7,114,169 6, 863,196 5, 699, 062 5,474, 973 10, 914, 071 14.07 13.74 11.71 10.92 18.47 670, 756 626, 843 607, 468 557, 538 523, 423 265 279 290 296 301 9, 951, 682 22, 483, 366 i 33.89 10, 365, 065 15.62 9, 403, 413 18, 093,369 28. 86 9, 623,458 15.35 9,227,123 15,981, 046 25. 98 8, 924, 833 14.51 9,183,326 , 16, 341, 034 26. 69 9, 728, 521 15.89 9, 671, 142 18, 963, 708 29.41 10,375,365 16.10 11, 607, 039 7, 965, 043 6, 555, 611 6,100,154 8, 072, 837 17.50 12.71 10.66 9.96 12.52 511, 262 504, 868 500, 602 512, 359 515, 506 16.47 15.22 14.56 15.02 14.34 9, 353,121 7, 522, 773 8, 027, 614 6, 338, 284 9, 382,165 13.70 11.54 12.44 9.96 13.79 507, 774 506, 670 500,475 484, 872 487, 612 15.91 15.52 15.03 13.97 14,122,446 10, 385, 059 9, 301, 242 8, 756, 707 18.42 14.03 12.64 11.36 479, 530 478, 236 480, 751 487, 014 1884. Mar. 7 . . . Apr. 24.. June 20 . Sept. 30.. Dec. 20.. 781, 627 783, 330 755, 721 746, 482 747, 349 1885. Mar. 10 .. May 6 . . . Julyl .. Oct. 1 . . Dec. 24 . 1886. Mar. 1 . . June 3 . . Aug. 27 . Oct 7 . . Dec. 28 . . 1887. Mar. 4 . . May 13 . . Aug. 1 . . Oct. 5 . . . Dec. 1... 1888. Feb. 14.. Apr. 30 . June 30 . Oct. 4 . . . Dec. 12.. 305 307 313 318 321 10,241, 743 21,109, 205 | 30. 92 i 248, 310 11, 9, 775,180 17, 945,763 \ 27. 54 9,916,320 9, 683,437 17, 925, 94? 27.77 9, 397, 854 9, 543, 970 16, 380, 467 25. 74 9,557, 311 10, 201, 944 19, 622,145 j 28. 85 9, 752, 368 324 339 346 364 11,495,298 i 11,100,507 I 11,035,036 | 11,566,487 : i 1889. Feb. 26.. May 13 . . July 12 . Sept. 3o . 26, 797, 309 22, 345, 576 20,836,091 20, 014, 741 ! 34. 97 12,195, 333 ! 30.20 , 11, 482, 281 i 28.32 ! 11, 054, 098 j 25. 96 ! 10, 771.020 REPORT OF THE COMPTROLLER OF THE CURRENCY. 165 TABLE SHOWING, BY GEOGRAPHICAL DIVISIONS, THE RESERVE CITIES AND CENTRAL RESERVE CITIES, THE NUMBER OF BANKS IN OPERATION, ETC.—Continued. [Division No. 5.—Ohio, Indiana, Illinois, Michigan, and Wisconsin, excluding reserve cities.] Reserve held. Dates. Amount of reserve reNo. quired, 15 i of banks per cent, of •, Amount. 503 512 514 519 523 Lawful money (6 | With reserve i per cent.). I agents (9 per cent. ).< - 1 - lve | b * • ! percent, redempAmount. Ratio. I Amount, j Ratio. tion fund. Ratio. 1882. Mar. 11 May 19 !l " July 1. Oct. 3.. Dec. 30 ---i 1883. Classification of reserve held. $19, 032,152 $27,890,100 18, 777, 697 37, 819,405 37, 703, 899 18,063,931 19, 272, 709 35, 969, 848 35, 817, 290 18,845,485 Perct. 29. 78 30.22 29.82 27.99 28.51 ! Perct. ! Perct. $17,235,102 13.58 $18, 689,973-: 14.73 $1,965,025 17, 572, 569 i 14.04 18,358,481 14,67 1,888,355 16,982,358 1 13.43 18, 910, 821 ; 14, 96 I 1, 810, 720 17, 205, 670 13.39 16,875,972 i 13.13 \ 1,888,206 17,947,739 13.57 16,905,680 13.46 i 1,863,871 I 19, 081, 960 18, 892, 570 18, 680, 838 18,563, 099 17, 961, 597 36, 507, 835 34, 009,157 32, 831,223 34, 705, 552 34, 790, 630 16,401,301 17, 003, 342 15, 616, 973 16, 503, 659 16, 853, 215 12.89 13.50 12.54 13.34 14.07 ; I j ! ! 18, 281, 364 14.38 1, 825; 170 15,146, 613 12. 03 1, 859, 202 15, 394, 648 I 12, 36 i 1, 819, 607 16,347,350 I 13,21 ! 1,854,543 16,142, 536 I 13.48 ! 1, 794, 879 574 572 17,808,933 17,392,601 16,640,340 ; 15,784,480 15,040,275 34, 832, 320 i 29.34 : 16, 461, 984 32, 294, 594 j 27.81 !16,913,978 16,186,847 30, 968, 073 j 29.15 ' 16,127, 236 31, 545,494 ! 29. 98 i 33,478, 235 33. 39 15. 563, 364 13.87 14.59 14.59 15.33 15.52 ! i ! i ! 16, 636, 811 13, 623, 182 13, 081, 876 13. 764,179 16, 332, 719 567 568 567 570 570 15, 800, 692 15, 954, 519 16,118, 869 16, 501,187 16,497,191 36, 876,186 35, 963,168 36,162, 987 37, 477, 345 36, 226, 910 571 575 582 580 576 17,184, 663 17, 452, 850 18, 315, 951 18, 438,101 18, 828, 474 38, 467, 958 33.57 ! 36, 682, 622 31.53 | 41,364,412 !33.88 39,891,410 ' 32.45 | 40, 251, 058 32.07 J 582 584 594 598 600 19,446,236 20, 082,778 20, 814, 218 20, 570, 959 20, 237, 953 42,186, 629 • 32. 54 ' 41, 866, 938 ! 31. 27 44,475,533 i 32.05 40, 983, 916! i 29. 88 39,116,212 28.99 603 606 609 611 615 620 622 624 626 22,108,190 22, 532,982 23,197, 384 23, 355, 251 Mar. 13 -! 530 536 May 1.. 544 June 22 . 554 Oct. 2.... Dec. 31.. 554 27.17 1 27.00 ! 25.14 ! 28.04 29,05 1884. Mar. 7... Apr. 24.. June 20.. Sept. 30.. Dec. 20 .. 558 560 14.01 1,733,525 11.75 1,757,434 11.79 | 1,699,350 13.08 1,654,079 16.29 1,582,152 1885. Mar. 10.. May6... July 1... Oct'.l . . . Dec. 24 . . 35.07 16, 882, 609 33.81 37,117,106 33.65 i 15, 936,895 34. 07 ! 17, 019, 462 32.93 . 16, 050, 698 1886. Mar.l... June 3 . . Aug. 27 . Oct. 7.... Dec. 28 . . 16,692,494 ! 14.57 ! 20, 284, 810 17, 849, 509 ! 15. 34 | 426, 446 17, 17,118, 272 ! 14. 02 |22,867,315 17,974,624 ! 14.62 ! 20,594, 220 20, 18, 082, 937 j 14. 41 ! 974,170 17.78 14.98 18.73 16.75 16.71 1, 490, 654 1,406, 667 1, 378, 825 1, 322, 566 1,193, 951 | 18, 037, 638 19, 111, 576 18, 401, 230 19,171,016 18, 425, 529 i 13. 91 14.27 13. 26 13.98 13.66 i 23, 012, 354 17. 75 21, 673, 404 I 16.19 25,021,687 I 18.03 20, 771, 852 I 15.14 19,629,800 I 14.55 20, 788, 469 40, 918,158 i 29. 52 18, 290, 041 20, 795, 516 39,175, 386 ! 28. 26 18, 869, 677 20, 756, 627 39, 806, 200 ! 28. 77 17, 754, 453 21, 297, 373 I 42, 224, 352 29. 74 18, 466, 510 21,150, 669 42, 096, 506 ; 29. 85 18, 089, 328 13.20 13.61 12.83 13.01 12.83 21,600,663 19, 298, 656 21, 045, 051 22, 763,433 23, 025,148 15. 59 1, 027, 454 13.92 1, 007, 053 15.21 1, 006, 696 994,409 16.03 982, 030 16.33 18, 299, 545 19, 984,145 20, 064,249 19, 052,153 12.42 13.30 12.97 12.24 26, 888, 639 24, 287, 408 27, 489, 594 27, 327, 970 18.24 16.17 17.78 17.55 1888. Feb. 14 .. Apr. 30.. June 30.. Oct. 4 . . . Dec. 12.. 17.54 . 1,517,679 16.30 !I 1,509,305 17.45 1,487,958 17.21 1,522; 993 16. 96 ; 1, 522, 596 I 1887. Mar. 4 . . . May 13 .. Aug.l... Oct. 5 . . . Dec. 7 . . . 16.03 ] 18, 475, 898 16.09 ! 17,336,757 14.83 18, 738,134 15.47 18, 934, 890 14.59 18,653,616 1,136, 637 1, 081, 958 1, 052, 616 1, 041, 048 1, 060, 883 1889. Feb. 26.. May 13.. July 12.. Sept. 30.. 46,152,837 45,216,707 48,488,996 47,310,106 ! 31.31 i 30.10 i 31.35 ' 30.39 964, 653 945,154 935,153 166 REPORT OF THE COMPTROLLER OF THE CURRENCY. T A B L E SHOWING, B Y GEOGRAPHICAL D I V I S I O N S , T H E R E S E R V E C I T I E S AND CENTRAL R E S E R V E C I T I E S , T H E N U M B E R O F BANKS I N OPERATION, ETC.—Continued. Division No. 6.—Iowa, Minnesota, Missouri, Kansas, and Nebraska (Omaha transferred to division No. 9, October 5, 1887; Kansas City and St. Joseph transferred to division No. 9, May 13,1887), exeluding reserve cities, J I Dates. 1882. Mar. 11.. May 19.. Julyl... Oct.3 . . . Dec. 30.. Amount of No. reserve reof quired, 15 banks p e r c e n t. of net deposits. I Reserve held. I Classification of reserve held. Lawful money (6 per cent.). Amount, "With reserve agents (9 per cent.). Amount. Five per cent, redempRatio. tion fund. Per ct. $5, 719,125 i 13.11 5,557,107 ! 12.43 5,865,877 ! 12.67 5,934,099 ; 12.34 6,513,480 1 13.35 $5,665, 681 6, 323, 635 5, 866,168 5,440, 789 5, 975,158 Per ct. \ 12. 99 $465,161 14.14 467, 997 12.68 460,311 11.32 491, 205 12.25 496,908 26.09 ! 28.26 i 25.90 i 26.00 : 6,048,070 ; 11.79 6, 926, 476 ! 12. 6, 739, 738 11.66 7, 240, 980 11.95 7,756,"" 12.55 7, 237,137 6,496, 862 9,100, 816 7, 922, 362 7, 788, 201 14.11 12.17 15.75 13.08 12.60 500, 858 505,298 490, 974 529, 585 523, 099 26.16 26.85 26.21 26.70 27.55 7, 297,414 8, 463, 096 9, 366, 090 8,130, 878 7, 734, 917 11.69 13.07 14.72 13.32 13.42 8, 526,486 8,406, 680 6,806, 044 7, 677, 976 7, 642, 884 13.66 12.98 10.69 12.58 13.26 510, 868 515, 330 510,451 494, 324 496, 651 29.45 ! 29.73 I 29.96 ; 27.30 i 27.30 ' 8, 442, 274 8, 803,813 8, 868, 049 8, 896, 805 9, 309, 286 13.76 13.69 13.16 12.68 13.28 9,131,647 I 14.89 9,806,853 I 15.25 10,827,681 16.07 9, 768,829 13. 92 9,315,121 ! 13.29 12.19 13.77 12.43 13 35 !; 13.76 10,043,854 11,339,220 13, 74V, 424 10,422,066 10, 848,107 j Ratio. I Amount. Per ct. 157 $6, 541, 424 $11, 849, 967 27.17 165 12, 348, 739 27.62 6, 707, 034 171 ! 6, 945, 887 12,192,356 26.33 184 j 7, 211, 774 11,866,093 24.68 197 ! 7, 314, 811 12, 985, 546 26.63 Ratio. 1883. Mar. 13.. May 1... June 22.. Oct. 2 . . . . Dec. 31.. ! 13, 786/065 13, 928, 636 16, 331, 528 15, 692, 927 16, 068,106 207 216 227 257 270 7, 692, 300 8, 007, 308 8, 669, 016 9, 087, 854 9,269, 439 287 298 9,365,609 ; 16,334,768 9, 712,119 i 17, 385,106 9,546,762 , 16,682,585 9,158,231 : 16,305,178 8, 643,147 l 15, 874, 452 1884. Mar. 7... Apr. 24.. June 20 . Sept. 30. Dec. 20.. 329 329 1885. Mar. 10.. May 6... Julyl... Oct.l Dec. 24.. 336 340 346 359 363 9,202,146 ! 9,643,675 j 10,105,532 10,526,279 10, 511, 542 377 391 404 406 418 10,872,988 j 19,373,302 12,203,046 I 23,020,432 12,349,300 ! 24,464,927 12,377,733 ' ±L, 931, 867 12 811, 418 ' 23, 053, 002 18,064,151 19,112,996 20,186,373 19,159,727 19,128,184 490, 23d 502, 33d 400,643 494, 093 503, 777 1886. Mar. 1... June 3 . . . Aug. 27.. Oct. 7.... Dec. 28.. 26.73 28.30 29. 72 26.58 26.99 8, 838.140 11, 204, 906 10, 229, 545 11, 019, 342 11, 752, 951 13.86 13.94 16.70 12.63 12.70 491, 308 476, 306 487, 953 490, 459 451, 944 16.33 ! 16.04 ! 17.10 | 14.27 I 12.79 ! 450, 387 422, 619 422,236 431,193 438, 326 1887. Mar. 4 . . . May 13.. Aug.l... Oct. 5 . . . . Dec. 7... 14,184,873 427 13, 368,183 428 438 I 12, 435, 313 455 ! 12, 258, 402 462 ! 11, 440, 774 27, 26, 25, 22, 20, 752, 343 29,35 11,860,366 i 12.54 723, 837 29. 99 ! 12,010,369 j13.48 056, 695 30.22 I 10,458,690 ;12.62 367, 310 27.37 i 10,275,484 I 12.57 023, 408 26. 25 I 9,831,122! 12.89 460 i 11, 915, 472 12,191,175 468 471 12, 423,419 476 12, 646, 574 12,102, 288 480 24,167, 651 24, 217, 974 25, 363, 696 23, 898, 707 20,169, 802 487 : 12,420,637 490 j 12,585,262 497 ! 12,925,286 503 13,015,631 22, 812, 398 ' 27. 55 10, 019,197 ; 12.10 j 23, 606, 074 ! 28.13 :10.460.419 12. 47 24, 386, 425 28. 30 i10,374,952 12.04 23,831,360 i 27.46 ' 9, 352, 807 ; 10. 78 15,441,590 14,290,849 14,175, 769 11,660,633 9,753,960 j 1888. Feb. 14.. Apr. 30.. June 30.. Oct. 4 . . . . Dec. 12.. 30.42 10,418,840 I 13.12 29.80 10,851,912 13.35 30.62 10,547,101 I12.73 28.35 10,011,697 '11.87 25.00 I 10,197,298 '12.64 13,308, 830 "16, 75 ! 12,924,379 !15.90 14,367,358 i 17.35 13,436,321 15.94 11.80 9, 520,418 i 439, 981 441.683 449, 537 450, 689 452, 086 12,336,471 ! 14.90 12,687,257 15.12 ! 13, 553, 976 15.73 j 14, 013. 997 16.15 ! 456,730 458,398 457,497 464,556 1889. Feb. 26.. May 13.. July 12.. Sept. 30. . REPORT OF THE COMPTROLLER OF THE CURRENCY. 167 T A B L E S H O E I N G , B Y GEOGRAPHICAL D I V I S I O N S , T H E R E S E R V E C I T I E S AND C E N T R A L R E S E R V E C I T I E S , T H E N U M B E R O F BANKS IN OPERATION, ETC.—Continued. [Division No. 7.- Colorado, Nevada, California, and Oregon, excluding reserve cities.] Reserve held. Classification of reserve held. Amount of — ] No. reserve reLawful money (6 I With reserve of quired, 15 j agents (9 per cent.). Five per cent.). banks per cent, of \ . per cent, net deposits. Amount. ; Ratio. redemption fund. Amount, j Ratio. | Amount, j Ratio. Dates. 1882. | Mar. 1 1 . . . May 19...; j July 1 Oct. 3 I Dec. 3 0 . . . ! 1883. .$2, 576, 675 2, 696, 322 2, 693, 926 2, 868,124 2, 871, 064 $5,408,452 5,872,661 5, 682, 235 6, 241, 813 6, 379, 306 Per ct. [Per ct. I [Per ct. i 31.53 $2, 542, 858 i 14. 83 ; , 758, 864 16. 08 $ $2 , | 32.72 2,637,314 14.69 3,122,481 17.40 "~ •" i 31.69 2,461,625 13.72 \ 3,109, 475 17.34 ' 32.69 2, 794, 278 14. 63 ! 3, 330, 785 17.44 ! 33.37 3,166, 266 16. 56 ! 3, 096,131 16.20 : Mar. 13...I Mayl.... J u n e 22 . . ! Oct. 2 . . . . ; Dec. 31 . . . | 1884. 30 31 32 32 33 $106, 730 112, 866 112,135 116, 750 116, 909 i 33 34 38 43 ! 42 I 2, 2, 2, 3, 3, 866, 867 890, 642 984, 656 206, 008 241,147 6, 081, 382 5, 487, 840 6, 355, 648 5, 839, 540 6,447,703 31. 86 28. 5L 31.97 27.35 29.88 • " I ! ; i 3, 594, 598 3,133, 202 3, 203,157 3, 098, 370 3, 558, 027 18.83 16.28 16.11 14.51 16.50 2,374,534 | 12.44 2, 240, 755 11. 64 3, 033, 366 15.26 2, 619, 307 12.27 2, 763,101 12. 80 112, 250 113, 883 119,125 121, 863 126, 575 i i 3, 009, 761 3, 028, 531 2, 748, 621 2,660, 548 2, 560, ?77 5, 626, 902 5, 791, 614 5,492, 659 5, 798, 359 5, 524, 939 28.08 ! 28.68 I 29.97 32.69 ! 32.36 ! 3, 217, 309 3, 207, 082 3, 664, 908 3, 346, 017 3,180, 260 16.05 15.88 20.00 18.86 18. 63 2, 287, 585 2, 462, 898 1, 717, 837 2, 341,155 2, 239, 427 11.46 12.20 9.37 13.20 13.12 122,008 121, 634 109, 914 111, 187 105, 252 Mar. 10.. May 6 . . . JnlV 1 - Oct. 1 . . . Dec. 2 4 . . 2, 663, 353 2,683.438 2,721,004 2, 920, 866 3,189, 900 5, 978, 551 5, 699, 692 5, 697, 478 6, 635, 005 7, 038, 522 33.67 31.86 31.41 34.07 33.10 3, 450, 529 3, 336, 534 2, 966, 876 3, 260, 554 3, 732, 709 19.43 I 18.65 16.36 16.74 17.55 2, 419, 586 2, 256,198 2, 626,141 3, 264, 417 3,192, 688 13.63 12.61 14.48 16. 76 ! 15. 01 108,436 106, 960 104,461 110, 034 113,125 Mar. 1. Juno3 . . . Aug. 27...! Oct. 7 Dec. 2 8 . . . 3,329,624 7, 529, 982 3,598,749 7, 672, 897 3,863,286 ! 8, 288, 012 3,971,589 • 7, 896, 910 4,329,961 ! 9,221, 771 3,465,653 3,527,877 4,075,587 3,072,731 3,828,979 j15. 61* i14.70 :15.82 j13.87 j13.26 116, 814 110,093 116,038 119, 966 115, 853 Mar. 7 . . . J Apr. 24...! J u n e 20 . . ! Sept. 30 . . ! Dec. 20 . . 43 i 43 45 46 47 1885. Mar. 4 May 1 3 . . . Anfif.l...Oct. 5 Dec. 7 1888. 4, 674, 444 5,276,435 5, 719, 220 6, 330, 097 6, 291, 325 ! 10,289,333 11,540,554 11,799,916 13, 784, 605 12, 882, 230 33.92 i 31.98 ; 32.18 ! 29.83 • : 31.95 j 3, 947, 515 4, 034, 927 4, 096, 387 4,104, 213 5, 276,940 I 5, 672, 302 33.02 ; 32.8 L i 5, 990, 889 6,134/729 30.95 i 7, 276. 703 32.66 i 30.71 ! 7, 540. 479 17.78 16.82 15.91 i 15. 50 j 18. 28 18.20 | 4,504,028 j 14.45 17.03 ; 5,438,612 I 15.46 16,09 i 5,548,590 ! 14.55 17.24 6,385,396 ' 15.13 17.98 5, 218, 778'••12. 44 113, 611, 116, 122, 122, 18.19 16.28 16 05 ! 15.75 ! 17.16 003 053 507 506 973 | Feb. 14...! Apr. 30...J June30...j Oct. 4....! Dec. 12...| 1889. 71 75 83 86 86 j ! i ! ! 87 94 96 98 96 i j I I | 6,149,731 ; 12,446,902 | 30.36 7, 457, 014 6, 042, 609 ! 11,396,749 | 28.29 6, 557, 882 5 924, 963 j 11, 634, 948 j 29. 46 6, 338,182 6,036,317 ! 12, 503, 944 i 31. 07 6, 338, 048 5,935,642 11, 717, 229 j 29. 61 !6, 789, 2G5 4,861,593 4,708,066 5, 171,147 6, 034, 811 4, 800. 478 11.86 I 11. (59 | 13.09 i 15. 00 I 12.13 ! 128,295 130, 801 125,619 131, 085 127, 48f> 6,297,797 6,459,741 6,870,159 8,181,249 15.20 15.10 15.93 17.86 126,875 129,379 130,400 128,786 | Feb. 26...I 98 M a y 13... j 102 July 12... 102 Sept. 3O..i 107 6,215,145 6,418,048 6, 469, 509 6, 871, 682 13, 833, 283 i 33.39 j 7,408,611 I 17.88 13, 674, 031 . 31. 96 ! 7,084,911 i 16.56 ! 14, 12"), 458 i 32. 75 \ 7,124, 899 I 16. 52 15,136,846 ' 33. 04 I 6,826,811 14.90 j I \ ! j 168 REPORT OF THE COMPTROLLER OF THE CURRENCY. T A B L E SHOWING, B Y GEOGRAPHICAL DIVISIONS, THE R E S E R V E CITIES AND CENTRAL R E S E R V E CITIES, T H E NUMBER OF BANKS IN OPERATION, ETC.—Continued. [Division No. 8.—Arizona, Dakota, Montana, New Mexico, Utah, Washington, and Wyoming.] Classification of reserve held. Reserve held. Dates. Amount of No. reserve required, 15 of banks per cent of net denosits Amount. Lawful money (6 With reserve Five per cent.). agents (9 per cent.). per cent, Ratio. redemption fund. Amount. Ratio. Amount. Ratio. 1882. I $1,144, 970 1, 340, 349 1, 379, 900 1, 662, 285 1, 815, 318 $1, 864, 032 2, 242, 753 2, 335, 024 2, 686, 299 3, 276, 376 Per ct. 24.42 25.10 25.38 24.24 27.07 $1,234, 034 1, 346, 771 1, 265, 644 1, 566, 209 1, 893, 011 Per ct 16.17 15.07 13.76 14.13 15.64 $547, 357 803, 072 970, 470 1, 019, 233 1,276,446 Per ct. 7.17 8.99 10.55 9.29 10.55 $82,641 92,910 98,920 100,857 106, 919 54 55 60 70 74 1, 857, 414 2, 072, 505 2, 234, 510 2,362, 081 2, 280, 534 3,171, 854 3,196, 343 3, 787, 433 3, 453,105 3, 746, 766 25.62 23.13 25.42 21.93 24.64 1, 944, 893 1, 946, 749 1, 946, 924 2, 000, 374 2, 450, 974 15.71 14.09 13,07 12.70 16.12 1,118, 433 1,139,293 1, 726,181 1, 331, 438 1.177, 548 9.03 8.25 11.59 8.46 7.75 108, 528 110,301 114,328 121, 293 118,244 78 84 87 87 86 2, 206, 520 2, 256, 846 2,194, 632 2,162,177 2,193, 537 3, 3, 3, 3, 3, 474 760 695 041 574 23.16 23.83 23.26 22. 64 24.49 2, 332,136 2,421, 783 2, 377, 061 2, 077, 673 2, 357, 403 15. 85 16.10 16.25 14.41 16.12 955, 815 1, 038, 881 899, 284 1, 066, 754 1,114, 624 6.50 6.90 6.15 7.40 7.62 118, 523 124,096 126, 350 118, 614 109,547 86 89 92 94 107 2,132, 223 2,124, 749 2, 317, 930 2, 492, 432 2, 633, 914 3, 703, 384 3, 587, 997 3, 939, 596 4,420, 239 4, 881, 391 26.05 25.33 25.48 26. 60 27.80 2, 525, 590 2, 387, 887 2, 354, 579 2, 600, 691 3,166, 234 17. 77 16.86 15.24 15.65 18.03 1, 008, 609 1, 089,153 1,473,460 1, 704, 733 1, 594, 293 7.52 7.69 9.53 10.26 9.08 109,185 110, 957 111, 557 114, 815 120, 864 Mar. 1 . . .107 J u n e 3 . . . 109 Aug. 27... 113 Oct.7 . . . . 114 Dec.28 . . . 111 2, 643, 604 2, 745, 657 2, 615, 777 2, 675, 213 2, 852, 550 4,716,817 4, 688,187 5,173, 789 5,149,624 5, 258,108 26.86 25.61 29.67 28.87 27.65 3, 057, 426 3, 091, 659 3,135, 269 3, 360, 609 3, 560, 333 17.41 16.89 17.98 18.79 18.70 1,535,412 1,471,191 1, 913,185 1, 669, 970 1, 577, 946 8.74 8.04 10.97 9.36 8.25 123, 125, 125, 119, 119, 121 125 128 128 130 3, 019, 568 3, 258, 730 3, 501, 233 3, 630, 696 3,787,621 4, 961, 765 4,782,756. 5, 626, 017 5, 730. 545 6, 290, 797 24.65 22.02 24.13 23.68 24.91 3, 3, 3, 3, 4, 418, 756 357, 718 492, 525 715,196 255, 601 16.98 15.46 14. 96 15.35 16.85 1, 421, 601 1, 303, 545 2, 0J 0, 740 1, 888, 860 1, 908, 315 7.06 6.00 8.57 7.80 7.56 121,408 121, 493 122, 752 126, 489 126, 881 131 130 130 132 131 3, 3, 3, 4, 4f 779,467 824, 435 972,189 461, 321 552, 960 5, 791, 312 5, 935, 373 6, 292, 050 7, 758,182 7, 853, 939 22.98 23.28 23.76 26.08 25.88 3, 3, 3, 4, 4, 874, 586 887, 931 874,153 241, 947 599, 390 15.38 15.25 14.63 14.26 15.15 1, 787, 096 1, 919, 790 2,289, 537 3, 386, 255 3,124, 805 7.09 7.63 8.65 11.39 10.29 129,630 127, 652 128, 360 129, 980 129, 744 133 138 144 151 4, 782,884 5, 050, 912 5, 311, 411 5, 928,263 7,894,311 8, 813, 862 9,191, 020 10, 555, 490 24.76 26.18 25. 96 26.71 4, 4, 4, 4, 617, 893 829, 576 849,185 778, 295 14.48 14.34 13.69 12.09 3,143, 660 3, 847, 235 4, 206, 523 5, 633, 344 9.86 11.43 11.88 14.25 132, 137, 135, 143, Mar. 1 1 . . . May 19 . . . Julyl.... Oct. 3 . . . . . 38 41 Dec. 30... 48 1883. Mar. 13... May 1 . . . . June 22 . . Oct. 2 . . . . Dec. 31 . . . 1884. Mar. 7 . . . . Apr. 2 4 . . . J u n e 20 . . Sept. 30 . . Dec. 2 0 . . . 406, 584, 402, 263, 581, 1885. Mar. 10... MayC... July 1 . . . . Oct. 1 Dec. 2 4 . . . 1886. 977 339 335 045 829 1887. Mar. 4 . . . . May 1 3 . . . Aug. 1 . . . . Oct. 5 Dec.7 . . . . 1888. Feb. 14 . . . Apr. 30... J u n e 30 .. Oct. 4 . . . . Dec. 1 2 . . . 1889. Feb. 2 6 . . . May 1 3 . . . July 1 2 . . . Sept, 30 .. 758 051 312 851 REPORT OF THE COMPTROLLER OF THE CURRENCY. 169 T A B L E SHOWING, B Y G E O G R A P H I C A L D I V I S I O N S , T H E R E S E R V E C I T I E S AND C E N T R A L R E S E R V E C I T I E S , T H E N U M B E R O F BANKS I N OPERATION, ETC.—Continued. (Division No. 9.— Reserve cities—Boston, Albany, Philadelphia, Pittsburgh, Baltimore, Washington, New Orleans, Louisville, Cincinnati, Cleveland, Chicago, Detroit, MilwauKee, St. Louis, and San Francisco.] Classification of reserve held. Reserve held. Dates. Amount of ; | No. reserve re- j quired, 25 i I of Ibanka per cent, of ; . net deposits. Amount. j Lawful money (12$ ' With reserve | per cent.). |agents(12|percent-). Ratio.: Amount. Ratio.: Amount. ' Ratio. Five per cent, redemption fund. 1882. Mar. 11.. Mav 19.. Julyl... Oct. 3 Dec. 30 . . 192 192 193 193 195 $77,032,003 80, 294, 028 81,760,651 79, 694, 569 77, 095, 866 ; $93,401,093 j 102, 352, 999 ! 95,874,953 j 89,143, 583 j 95, 051, 887 Per ct. Per cV --Perot. $3,730,051 30.31 ! $54,818,246 • 17.79 $34, 852, 796 I 11.31 31.87 59,318,593 !j 18.47 39,467, 976 i 12.29 3, 566,430 29. 32 57, 206, 564 17. 49 35,233,042 10.77 3,435, 347 27.96 52,413,086 ;< 16.44 33, 213, 032 10.42 3, 517,465 30.82 54,211,536 17.58 37, 282,190 12.09 3,558,161 1883. Mar. 13.. May 1 . . . June 22.. Oct. 2 . . . . Dec.31 . . 3,542,326 3,568, 243 3,564,354 3,413,838 3, 320, 311 198 199 200 200 202 77,419, 867 ! 78, 644, 546 I 83,005,153 | 80, 961,109 ! 83, 046,150 ; 202 202 204 203 203 85,297,591 \ 111,255,631 i 32.61 61, 563, 512 18.04 84, 514, 593 ! 104,165, 958 ! 30. 81 62,160, 250 18.39 75, 708, 561 ' 91,103, 676 ! 30. 08 59, 623, 045 19.69 76,984,342 j j 99,022,475 j 32.16 iO 63, 03, 078, UV2 ZU. 578, 992 20.65 70, U»4, d4Z WJ, 1)22,470 j 64. j 78,739,375 ; 103,685,153 j 32.92 66,011,790 20.96 202 202 202 203 202 83, 462, 537 86, 628, 766 89,118, 594 91,118, 639 91,151,185 205 212 215 217 218 I 94, 506, 304 124, 034, 337 | 32. 81 96,810,237 122, 784,157 ! 31. 71 93,802,959 | 110, 584, 456 : 29.42 95, 363, 719 i 113,951,757 ' 29.88 94,305,102 112. 821, 235 j 29. 91 77,446, 733 20. 49 43, 80, 738, 933 ; 85 20. 39, 68,232,506 18.19 40, 70,489,135 i 18.48 j 41, 70,633,785 18.72 40, 220 210 221 223 223 99, 518, 660 124,447,510 31.26 86, 270, 869 106,121,301 30.75 83, 889.166 98, 389, 974 , 29. 32 84, 621,164 100, 714, 633 I 29. 75 84, 031, 602 97,132, 024 i 28. 90 73, 631, 556 64, 496,954 59, 504, 534 59, 524, 848 i 58, 086, 213 18.50 49, 217, 253 ! 12. 36 | 1, 598, 701 18.69 40, 210, 839 ! 11. 65 j 1,413, 508 17.73 37,672,349 | 11.23 j 1,213,090 17.59 39,993,709 ! 11.82 ! 1,196,076 17.28 ' 37,957,340 11.29 j 1,088,471 Feb. 14... Apr. 30... June 30... Oct.4 Dec. 12... 222 221 224 224 223 88, 281, 912 ! 107, 045, 750 30.31 88,841,975 j 105 914,479 29.80 93,119, 904 j 113, 399, 111 30,44 96,217,307 116,864,734 :30.36 92,796,351 ! 110,791,225 j29.85 61, 380, 008 61, 211, 749 66, 493, 977 64, 447, 941 62, 971, 624 17.38 17. 22 17.85 16.75 16. 98 Feb. 26... May 13... July 12... Sept. 30... 223 224 226 228 89, 91, 103 100, 105, 796,888 787, 852 900.990 638, 235 535, 835 29.00 29.18 31.29 31.08 31. 54 | 49, 661, 801 54,129,582 59, 515, 283 56, 425, 407 63, 273, 391 16.04 17.21 17.93 17.42 18.91 ' 36, 592, 761 34, 090, 027 40, 821, 353 40, 798, 990 38, 942,133 11.82 10.84 12.29 12.60 11.64 1884. Mar. 7 - . . Apr. 24 . . June 20.. Sept. 30.. Dec. 20 . . 46,437,308 j 13.61 i 3,254,811 38,827,197 i 11.49 ! 3,178,511 28,403,338 | 9.38 j 3,077,293 32, 00 340, 900 i 10. 50 j 3,102, 583 34,672,781 i 11.01 i 3,000,582 1885. Mar. 10.. May 6 . . . Julyl... Oct.l Dec. 24 . . 1886. Mar.l... June 3 . . . Aug. 27... Oct. 7 Dec. 28.. ; 118, 522, 306 123, 962, 577 j 123, 423, 045 | 122,186, 751 : 117, 043, 608 ! 35. 50 i 35. 77 ! 34. 62 ; 33. 52 32.11 74, 383, 404 80,109, 098 79, 828, 139 76,907,632 74,674,927 22.28 23.12 22.39 21.10 20.48 41,172,443 40, 912, 049 40, 661, 809 42, 402, 600 39, 551,479 904, 247 567, 423 072, 689 271, 509 371, 942 12.33 ! 2,966,459 11.81 ! 2,941,430 11.41 2,933,09? 11.63 2,876,510 10.88 2, 817,202 11.61 10. 22 10. 68 10. 82 10. 70 2,683,357 ! 2,477,801 i 2,279,261 '. 2,191,113 I 1,815,508 1887. Mar.4.... May 13*.. Aug.lt... Oct.5 Dec. 7.... 1888. 100,132, 732 i 129,178, 251 32, 25 i 66, 585, 765 I 16. 62 103, 814, 057 I 132, 810, 931 31.98 72,531,581 i 17.47 | 106,953,841 i 131, 366,426 30.71 71,388,356 I 16.69 I 104, 752, 379 121, 912,119 29.10 64,592,017 I 15.42 44,647,555 12.63 1, 018,187 984,237 43, 718,493 12. 30 955,472 45, 949, 662 12.34 51, 508, 038 ! 13. 38 908, 755 805, 905 47,013,696 i 12.67 j 61, 860, 599 15.44 59,619,008 14.36 59,343,308 13.87 56,712,959 13.54 731, 887 660, 342 634,762 607,143 * Kansas City and St. Joseph included from May 13,1887, and Chicago and St. Louis transferred to Division No. 10. f Omaha included from August 1,1887. 170 REPORT OF THE COMPTROLLER OF THE CURRENCY. T A B L E SHOWING, B Y GEOGRAPHICAL D I V I S I O N S , T H E R E S E R V E C I T I E S AND C E N T R A L R E S E R V E C I T I E S , T H E N U M B E R OF BANKS I N OPERATION, ETC.—Continued. [Division No. 10.—Central reserve cities—New York, Chicago, and St. Louis.J Chicago. New York City. Dates. Amount of reserve Ratio of No. of required, b a n k s . 25 per cent, of net deheld. posits. St. Louis. I Amount Amount ; of reserve Ratio of reserve Ratio No of j required, of No. of required, of banks. 25 per cent, reserve banks. 25 per cent, reserve of net de- | held. or net deheld. posits. posits. 1882. $63, 66, 69, 63, 64, Mar. 11. May 19. July 1.. Oct. 3 . . . Dec. 30. 982, 708, 337, 503, 391, 629 718 260 245 245 ; Per ct. \ i 25.16 I 26.14 25.99 I 25.36 I 26.14 Per ct. Per cL 1883. 62, 63, 69, 66, 69, Mar. 13.. Mayl... J n n e 22 . Oct. 2 . . . Dec. 3 1 . . 437, 901 422, 340 809, 640 735, 374 509,209 23.59 25.48 28.81 26.53 27.58 1884. 75, 373. 069 70, 540,863 57, 948, 702 63, 737, 684 68, 335, 552 Mar. 7 . . . April 2 4 . J u n e 20.. Sept. 30.. Dec. 20 . . 28.94 26.65 29.82 35.63 38.29 1885. 73,191, 705 40.12 74,436,136 j 41.48 78,181,211 42.47 78, 214, 626 I 36.98 75, 516, 839 | 32. 76 Mar. 10. May 6 . . July 1.. Oct.l... Dec. 24 . 1886. Mar.l.. June 3 . Aug. 27. Oct. 7 . . . Dec. 28 . 80, 887, 727 74,187, 977 70, 386, 879 70, 697, 561 73, 607, 025 31.28 30.28 27.46 27.24 29.89 78, 607, 422 74,921,637 \ 73,497,514 i 71,084,776 i 72,379,059 j 28.70 27.64 28.11 28.18 27.18 1887. Mar.4.. May 13. Aug.l-Oct. 5 . . . Dec. 7 . . 45 46 46 47 47 | ! I j i $16,993,940 ! 30.41 ' 16,579,934 ! 33.14 I 16,161,735 I 30.53 ' 15, 537, 512 l: 28. 80 ' $2, 280, 8G4 2, 710, 600 2, 574, 297 1, 999, 375 36.40 31.89 26.44 29.79 34.05 40.11 42.10 27.07 28.90 1888. Feb. 1 4 . . Apr. 30.. J u n e 30 . Oct. 4 . . . Dec. 1 2 . . 46 i 80,277,202 46 i 79,168,388 84, 608, 091 85, 539, 988 82, 639, 532 30.29 ! 29.93 ! 30.34 i 28.16 i 29.12 i 18 16,167, 806 '31.68 ; 18 17,822,500 ! 29.75 19 17, 961, 506 ! 31.37 30.24 19 I 17,332,756 30. 88 19 S 16,056,945 2, 202, 808 2,177,175 2, 217, 845 1,970, 308 2, 020, 493 45 91, 069, 618 45 90, 257, 748 45 i 89,801,522 45 j 84,536,699 28.72 i 28.73 . 27.08 ! 25.10 , 19 i 16,813,643 ' 33.60 19 I 18 564,211 ; 35.50 : 19 i 19,411,765 31.79 20 19,682,820 31.69 : 2,013,392 1, 885,147 2,812,114 2,993,249 1889. Feb. 2 6 . May 1 3 . . J u l y 12.. Sept. 30.. ! j | i KEPORT OF THE COMPTROLLER OF THE CURRENCY. 171 AVERAGE WEEKLY DEPOSITS, CIRCULATION, AND RESERVE OF THE NATIONAL BANKS OF NEW YORK CITY, AS REPORTED TO THE NEW YORK CLEARING-HOUSE, FOR THE MONTHS GIVEN, IN THE YEARS 1883, 1884, 1885, 1886, 1887, 1888, AND 1889. Liabilities. Week ended— | Reserve. ; Circulation. Net deposits. Total. Specie. Legal tend Ratio to ^abilities. Total. " Per cent. I i Sept. Sept. Sept. Sept. Sept. Oct. Oct. Oct. Oct. 1,1883 j$15, 622, 600 $269,961,000 268,805,500 8.1883 I 15,527,000 272,325,100 15,1883 15,519,700 22,1883 15, 394, 600 271,728,200 268,496,600 29,1883 15,184,800 6, 1883 15, 069,100 265,592,500 268,942,000 13,1883 15,164, 200 262,535,700 20,1883 15,252,900 27.1883 15, 336, 200 258,589,600 Sept. Sept. Sept. Sept. Oct. Oct. Oct. Oct. 6.1884 14,221,000 ' 251,527,200 13.1884 14,132,300 ! 251,654,700 20,1884 14,081,400 ! 254,141,200 27,1884 14,083,300 i 252,765,500 4,1884 13,578,400 256, 69*6, 800 11,1884 12, 884, 700 261, 801, 600 18,1884 |12, 752, 700 I 261,527,700 25.1884 \ 12, 910, 900 261, 405,400 Sept. Sept. Sept. Sept. Oct. Oct. Oct. Oct. Oct. 5.1885 12.1885 19,1885 26,1885 3.1885 10,1885 17,1885 24,1885 31.1885 Sept. Sept. Sept. Sept. Oct. Oct. Oct. Oct. Oct. Sept. Sept. Sept. Sept. Oct. Oct. Oct. Oct. Oct. Nov. Nov. 4,188G i 11,1886 18.1886 ! 25,1886 i i 1886 ; 9.1886 ! 16,1886 ! ! 23, 1886 30.1886 i 8, 059, 200 283, 366, 700 8, 058, 000 282,417,800 8,104, 800 281, 466, 500 8,136,100 j 283,170,900 8,161,800 282, 295, 800 8,110, 700 I 281,170,758 8,215,900 i 295, 713, 900 8,246,400 ! 283, 693, 500 8, 234, 900 j 284, 522, 500 3.1887 10.1887 17,1887 24,1887 1,1887 8,1887 15,1887 22,1887 29,1887 5.1887 12.1887 Sept. Sept. Sept. Sept. Sept. Oct. Oct. Oct. Oct. Nov. 1.1888 8,1888 15.1888 22,1888 29,1888 6,1888 13,1888 20,1888 27.1888 3.1888 Sept. Sept. Sept. Sept. Oct. Oct. Oct. Oct. Nov. Nov. 7.1889 3,961,900 14.1889! 3, 973,100 21,1889 3,931,300 28,1889 ! 3, 945, 500 5,1889 i 3,957,100 12,1889 ! 3, 943, 900 19,1889 ! 3, 893, 200 26,1889 i 4, 037.400 4, 2,1889 '• 053, 600 3, 991, 200 $285, 584, 500 $53, 529,000 ,$21,729, 000 $75, 258, 000 284, 332, 500 ! 52,601,400 i 21,074, 500 73, 675, 900 287, 844, 800 j 53,397,400 20,662,700 74, 060,100 287,122, 800 | 49,360,600 i 22,443,300 71, 803, 900 283, 681,400 50, 067, 900 20, 566, 800 70, 634, 700 280, 661, 600 51, 586, 700 20,122, 500 71, 709, 200 284,106, 200 50, 894, 000 21,145, 800 72, 039, 800 277, 888, 600 47,262,900 20, 719,700 67,982,600 273, 925, 800 46, 372, 800 20, 617, 600 66, 990, 400 26.35 25.91 25.73 25.01 24.90 2o. 51 25.36 24.47 24.46 89,960,700 ! 89,480,000 90, 677, 500 89,677,700 | 93,287,900 i 96,576,600 95,454,900 94,992,200 j 33.85 33.67 33.81 33.61 34.52 35.16 34.80 34.63 28,701,900 131,623,000 ! 28, 842, 300 129,097,600 ! 27, 662, 800 124,996,000 ! 26, 014,800 121,052,000 • 24, 516, 600 116,868,200 j 23,002, 000 116,644,500 I 22,221,100 114,166,400 j 21, 059, 800 J108, 368, 900 j 21, 874, 900 106,829,500 I 39.70 39.04 38.01 87.07 35.97 35.83 34.89 33.47 33.03 27.60 27.66 27.52 28.14 27.10 27.02 25. 72 26.88 27.11 8,112, 000 281, 345,100 | 289, 457,100 8,115, 600 279,915.600 ' 288, 031, 200 8,126, 000 279,288,500 j 287, 414, 500 8,235,300 I 278,573,000 286, 808, 300 8,202,500 I 281,647,300 ! 289, 849, 800 8,186,800 i 285,703,700 ! 293, 890, 500 8,199,100 ! 289,861,500 i 298, 060, 600 8,216,200 289,542,800 ! 297, 759, 000 8,115,100 289,601,900 i 297, 717, 000 8, 046,100 289,954,700 '<• 000, 800 298, 8, 033, 700 ! 288,289,700 \ 296, 323, 400 61, 371, 600 19, 071, 400 80,443,000 | 63, 403, 700 • 929, 300 80, 333, 000 16, 63, 823, 900 15, 876, 700 79,700,600 i 66,714,600 i 15, 252, 200 81,966,800 ' 64,111,700 14, 607, 700 78, 719,400 65,090,900 :13, 069, 500 78.160, 400 65, 028, 600 13,133,100 78.161, 700 65, 688, 400 12,803,800 78, 472, 200 66,188,100 13,177, 200 79, 365, 300 59,175, 700 18, 786,100 77, 961, 800 58,851,300 17, 769, 000 76,620,300 59, 052, 900 16,389,600 75,442,500 60,635,900 16,259,600 76,895,500 64, 6J9, 200 15,767,500 j 80,386,700 I 64, 317, 500 16,269,700 :80,587,200 ! 64, 663,100 16, 885, 400 81, 548, 500 ! 64,918,700 16, 735, 800 81,654,500 j 66, 005, 800 17,542,400 ; 83, 548, 200 , 64, 639, 800 17,810,700 82,450,500 j 63, 791, 600 18,070,800 81,862,400 | 349, 247, 600 7, 770, 400 | 341,477,200 '• 7,850,400 ! 336,495,600 344, 346, 000 7, 892, 900 ! 312, 995, 600 320, 888, 500 7,927,700 ; 333, 959, 700 341, 887, 400 6,836,400 i 336, 016, 200 342, 852, 600 6, 515, 300 •349, 506, 800 356, 022, 100 6,516,700 i 337,755, 000 344,271,700 6,488,700 343, 953, 000 350, 441, 700 6, 484, 500 343, 813, 200 350, 297, 700 6,363,200 343, 587, 300 349, 950, 500 73,344,200 69, 844, 500 69, 723, 700 70, 054, 900 74,146, 500 74 411,300 73, 901, 500 81,457,700 81, 212, 600 80,140, 200 30, 867, 300 104,031,500 ! 28,797,600 98,642,100 : 28, 238, 900 97,962,600 i 26,320,600 96,375,500 i 24, 994,100 89,140,600 | 23, 204, 300 97,615,600 : 22,017,800 :95,919,300 21, 386, 800 1102,844,500 21, 329, 800 102,542,400 : 21,700,800 101,841,000 349, 306,100 350,574,100 346, 230,100 344, 488, 200 338, 948, 600 333, 867, 300 332,118, 800 329 365,500 329, 689, 200 324,157,900 65, 635,100 63, 824, 300 60, 894, 900 60, 375, 900 58, 407, 200 59, 565, 900 62, 537, 900 62,403, 200 62, 450, 000 61, 240, 500 31,687,500 30,527,100 29,468,400 28,933,700 27,257,900 24,873,400 23,570,300 22,715,200 22,748,700 20,416,800 I 9, 704, 700 321, 859, 000 I 9,753,300 320, 910, 000 9, 735, 800 319, 060, 800 ' 9, 808, 000 316, 767, 000 315, 002, 600 i : 9, 921, 200 315, 596, 200 ' 9, 954, 000 3 J 7, 296, 700 '10,006,000 | 313, 767,200 i 9,989,800 | 313, 399, 700 265, 748, 200 265, 787, 000 268, 222, 600 266, 848, 800 270, 275, 200 274, 686, 300 274, 280,400 274, 316, 300 64, 899, 900 64, 288, 200 65, 409, 500 64, 302, 000 67,470, 600 68, 922, 500 67, 579, 400 67, 638, 000 331, 563, 700 102, 921,100 330, 663, 300 100, 255, 300 328, 796, 600 97, 333, 200 326, 575, 000 95, 037, s.OO 324, 905, 500 92, 351, 600 325, 517, 400 93,642,500 327,250, 700 91,945,300 322, 773, 200 87, 309,100 328, 389, 500 84,954,600 25, 060, 800 25,191,800 25, 268, 000 25, 375, 700 25, 817, 300 27, 654,100 27,875, 500 27, 354, 200 i 345, 344, 200 346, 601, 000 342, 298, 800 340, 542, 700 334, 991, 500 329, 923, 400 328, 225, 600 325, 328,100 325, 635, 600 320,166, 700 291,425,900 290,475, 800 289, 571, 300 291,307,000 290,457, 600 289, 281, 458 303, 929, 800 291, 939, 900 292, 757, 400 ! ' i i ' j ! | ' i 97,322,600 : 94,351,400 | 90,363,300 ! 89,309,600 i 85,665,100 ! 84,439,300 • 86,108,200 ' 85,118,400 ! 85,198,700 ! 81,657,300 26.93 26.60 26. 25 26.81 27.73 27.42 27.36 27.42 28.06 27.67 27.63 29.79 28.65 30.53 28.02 28. 92 27.42 27.86 29.35 29.27 29.10 27.86 26.91 26.10 25. 93 25.27 25. 29 25.93 25.84 25.84 25.19 172 REPORT OF THE COMPTROLLER OF THE CURRENCY. CLEARINGS AND BALANCES OF THE BANKS OF NEW YORK CITY FOR THE WEEKS ENDED AT THE DATES GIVEN. Week ended— Clearings. Sept. Sept. Sept. Sept. Oct. 6,1884.. 13,1884.. 20,1884.. 27,1884.. 4,1884.. Oct. 11,1884.. Oct. 18,1884.. Oct. 25,1884.. Nov. 1,1884.. Nov. 8,1884.. Nov. 15,1884 Nov. 22,1884 Nov. 29,1884 $463, 912, 628.57 422, 613, 919. 74 492, 069, 873. 06 491, 357, 661. 20 554, 662, 698. 69 496, 582,476. 56 518, 575, 214.89 605,195, 931. 55 458, 532, 568.11 477, 210, 695. 35 527, 541, 755. 74 j 555J 71l| 509. 01 459,294,007.66 Sept. 5,1885 Sept. ~ " 12,1885. Sept. 19,1885 Sept. 26,1885. Oct. 3,1885 Oct. 10,1885. Oct. 17,1885, Oct. 24,1885 Oct. 31,1885 NOT 7,1885 Nov. 14,1885 1 ' Balances. Sept. Sept. Sept. Sept. Oct. Oct. Oct. Oct. Oct. Nov. Nov. | 1 ! ! 4,1886 11,1886 18,1886 25,1886 2,1886 9,1886 16,1886 23,1886 30,1886 6,1886 13,1886 ; i ; ; i ; j Sept. 3,1887 Sept. 10,1887 Sept. 17,1887 Sept. 24,1887 Oct. 1,1887 Oct. 8,1887 Oct. 15,1887 Oct. 22,1887 Oct. 29,1887 Nov. 5,1887 Nov. 12,1887 Sept. Sept. Sept. Sept. Sept. Oct. Oct. Oct. Oct. Nov. Nov. 1,1888 8,1888 15,1888.... 22,1888 29,1888 6,1888 13,1888 20,1888 27,1888 3,1888 10,1888 Sept. Sept. Sept. Sept. Oct. Oct. Oct. Oct. Nov. Nov. 476,800,526.79 484,537,657.96 480,733, 380.21 471,652, 048.41 572, 076,277. 97 659, 560, 549. 70 702, 000, 829. 74 828,373,048.53 695,214,389.87 775,416,616.98 779,244, 286.61 22, 990, 787.52 23,969,367.46 24, 410, 868.93 22, 978, 989. 63 30,158,232.32 28,462,678. 38 29, 632, 037. 42 30,475, 583.77 29, 590, 574. 77 30, 751, 563. 50 27, 323,721.40 485,535,545.80 520,437,476.86 590,366,037.81 691, 723, 056. 66 744,533,107.30 830,726,858.70 774,127,054.20 734,586,056.19 625,098,064.48 735, 609, 027. 93 704,572,284.86 28, 387, 297.77 21, 865,163.40 28, 050, 351. 78 25, 603, 758. 94 31, 285,172.38 29, 964, 285.79 30, 952, 375. 99 27, 767, 549.66 26, 607, 923. 82 31, 825,400.11 28, 065, 256.87 629,926,782.37 562,627,925.28 628,634,786.18 659.048,314.43 575, 717, 723. 42 676,201,491.67 718,896,811.83 742,551,452.60 647,590,728.82 706,280,839.34 602,240,351.60 ' ! | ! ! \ ; : i I 1 : | j '. * Five days. j 29, 322, 367. 47 22, 329, 268.73 31,404, 534.44 30,974, 062. 90 31, 069, 309.36 29, 825, 323. 74 31,170,113.34 33, 350, 889.58 29, 809, 361.75 31,289,781.13 23,758,351.99 501,823,033.31 538,170,073.22 643,165,583.40 762,313,474.79 635,316,704.00 811,518,650.80 722,328,937.35 667,105,762.02 I 683,132,608.85 ' 671,138,259.14 I *539, 072, 637.58 ! 26, 231, 528. 08 34, 047, 518. 67 34, 285,911.38 33,177,594.55 34,537,541.08 38,746,427.25 44, 039,134.77 38,103,879.02 35, 700, 246.69 34,892,969.62 *26, 376, 380. 51 *627, 373, 821. 30 i 701,255,721.43 I 662,991,757.61 i 634,910,008.09 I 832,631,300.57 I 825,030,373.92 793, 010, 506. 54 ! 748,911,481.81 ! 792,903,317.71 i *701, 716, 737.44 | \ 7,1889.. 14,1889. 21,1889. 28,1889.. 5,1889.. 12,1889.. 19,1889.. 26,1889., 2,1889.. 9,1889.. $21,278,921.75 22,793,219.60 21,412,397.53 22,028,008.11 32, 658, 517.10 26, 358, 572.40 28, 696, 794. 93 27, 673,214. 95 23,225,190.59 28, 269, 591. 59 26,823, 261.26 26,496, 903.13 21, 392,407. 63 *25, 336,644.45 30, 544, 372.50 29,963, 064.91 30,127,935.53 37,583,096.94 39, 074, 871.21 31, 739, 904 87 30, 394, 788. 30 31, 650,051. 09 1 4 29, 618, 059.24 ! ! REPORT OF THE COMPTROLLER OF THE CURRENCY. 173 TABLE SHOWING THE MOVEMENT OF THE RESERVE OF THE NATIONAL BANKS IN NEW YORK CITY DURING OCTOBER FOR THE LAST THIRTEEN YEARS. Ratio of reserve to— Week ended— Specie. I Legal tendj ers. Total. Circula- tion and Deposits. deposits. ~ r October 6,1877. October 13,1877. October 20,1877., October 27,1877.. October 5,1878.. October 12,1878. October 19,1878., October 26,1878. October 4,1879. October 11,1879. October 18,1879. October 25,1879. October 2,1880.. October 9,1880.. October 16,1880.. October 23,1880.. October 30,1880.. October 1,1881.. October 8,1881.. October 15,1881.. October 22,1881.. October 29,1881.. October 7,1882.. October 14,1882.. October 21,1882.. October 28,1882.. October 6,1883.. October 13,1883.. October 20,1883.. October 27,1883.. October 4,1884.. October 11,1884.. October 18,1884.. October 25,1884.. October 3,1835.. October 10,1885.. October 17,1885.. October 24,1885.. October 30,1885.. October 2,1886.. October 9,1886.. October 16,1886.. October 23,1886.. October 30,1886.. October 1,1887.. October 8,1887.. October 15,1887.. October 22,1887.. October 29,1887.. October 6,1888.. October 13,1888 . October 20,1888.. October 27,1888.. October 5,1889.. October 12, J889.. October 19,1889.. October 26,1889.. $14, 665, 600 14, 726, 500 14, 087, 400 15,209. 000 14, 995, 800 12,184, 600 ! 13, 531, 400 | 17, 384, 200 18, 979, 600 20, 901, 800 24, 686, 500 25, 636, 000 59, 823, 700 62, 521, 300 62, 760, 600 60,888, 200 61, 471, 600 54, 954, 600 53, 287, 900 51, 008, 300 54, 016, 200 55, 961, 200 47, 016, 000 48,281, 000 49, 518,200 48, 374, 200 51, 586, 700 50, 894, 000 47, 262, 900 46, 372, 800 67, 470, 600 68, 922, 500 67, 579, 400 67, 638, 000 92,351,600 93, 642, 500 91, 945, 300 87, 309,100 84, 954, 600 64, 111, 700 65, 723, 800 65, 228, 600 65, 608, 400 66,195,100 64, 619, 200 64, 317, 500 64, 663,100 64, 918, 700 66, 005,800 74,411,300 73, 901, 500 81, 457, 700 81, 212, 600 58, 407, 200 59, 565, 900 62,537,900 I 62,403,200 I Per cent Per cent. $36,168, 300 $50, 833, 900 35,178, 900 49, 905,400 35,101, 700 49,189,100 49, 576, 800 34,367, 800 53, 300, 700 38, 304, 900 4y, 869, 700 37, 685,100 36, 576, 000 50,107, 400 53, 074, 700 35, 690, 500 34,368,000 ! 53, 347, 600 32,820,300 i 53, 722,100 29,305,200 i 53, 991, 700 26,713,900 | 52,349,900 i 11,129,100: i 70,952,800 ! 73,306,300 • 10,785,000 73,699,800 ! 10,939,200 71,876,400 I 10,988,200 72,396,600 !| 10,925,000 \ 12,150,400 i 67,105,000 12,153,800 • 65,441,700 i 12,452,700 I 63,461,000 12,496, 500 ! 66,512,700 12,947,900 i 68,909,100 65,400,500 18,384,500 18, 002, 700 66,283,700 66,542,100 17, 023, 900 65, 578, 900 17, 204, 700 71,709,200 , 20,122, 500 72, 039,800 21,145,800 67,982,600 20, 719, 700 66,990,400 i ! 20, 617, 600 93,287,900 ; 25,817,300 96,576,600 i 27, 654,100 95,454,900 j 27,875,500 j 94,992,200 i 27,354,200 j 116,868,200 ! 24,516,600 11C, (.44, 500 I 23,002,000 j 114,166,400 ! 22,221,100 108,368,900 I 21,059,800 106, 829, 500 j 21, 874, 900 78,719,400 ! 14, 607, 700 78,932,900 I 13, 209,100 78, 361, 700 ! 13,133,100 78,472,200 • 12, 803, 800 79,372,300 • 13,177,200 80,386,700 ! 15, 767, 500 80,587,200 16, 229, 700 % 81, 548,500 ! 16, 885,400 81,654,500 ! 16, 735, 500 82,848,400 I 97,615,600 ! 17, 542, 600 95,919,300 I 23, 204, 300 102,844,500 22, 017, 800 102,542,400 ! 21, 386, 800 21,329,800 j 85,655,100 I 84,439,300 ! 27, 247, 900 24,873,400 ! 86,198,200 j 23,570,300 ! 85,118,400 22,715,200 ': 27.0 26.7 26.5 26.8 25.7 24.4 24.7 25.8 23.3 23.4 23.5 j 23.0 i 25.4 i 25.4 25.5 ; 24.8 25.0 23.1 23.1 23.2 ; 24.6 25.6 24.0 24.7 25.0 24. 8 ! 25.5 j 25.4 24.5 24. 5 34.5 35.2 34.8 34.6 36.0 35.8 34.9 33.5 33.0 27.1 27.0 26.7 26.9 27.1 27.7 27.4 27.3 27.4 27.8 27.4 27.8 29.3 29.3 25.3 25.3 25.9 25.8 29. 5 29.2 29.0 29.4 28.4 27.0 27.3 28.5 25.8 25.9 26.1 25.5 26.4 27.2 27.1 26.6 26.7 24.8 24.9 25.0 26.6 27.4 26.3 26.6 26.8 26.5 27.0 26.8 25.9 25.9 36.3 36.9 36.5 36.3 37.1 37.0 36.0 34.5 34.1 27.9 27.7 27.4 27.7 27.9 28.5 28.2 28.1 28.2 28.6 27.9 28.4 29.9 29.8 25.6 25.6 26.2 26.2 174 REPORT OP THE COMPTROLLER OF THE CURRENCY. DISTRIBUTION, BY STATES, ETC., NUMBER, AND PAR VALUE, AT $100 EACH, OF SHARES Number of shares' held by— No. of | banks. State, etc. NonState State residents. residents. Maine New Hampshire. Vermont Massachusetts... Boston Rhode Island Connecticut 76 51 49 195 60 60 84 265 45 New York C i t y . Albany New Jersey Pennsylvania Philadelphia.... Pittsburgh \ i ; i , ] i j ! I Division No. 4 . Ohio Cincinnati.. Cleveland . . Indiana Illinois Chicago Michigan Detroit Wisconsin Milwaukee . Division No. 5 . 6,917 5,968 10, 222 40, 564 42,204 13,784 26,110 76, 931 4,581 I 711 i 49, 459 450 • 70, 278 345, 546 9,084 282, 872 15, 576 ! 159, 070 6,842 146, 854 10,031 I I 18,257 169,131 I 817 I 16, 652 j 17, 982 j 15,714 | 3,868 340, 264 447,544 14, 693 132, 351 340, 309 224, 490 100, 505 727 il, 421, 377 1242,421 1, GOO, 156 Division No. 2 Division No. 3 324,953 319, 369 14,683 118, 432 326,142 216,366 101,432 254 44 25 18 ! 17,047 ; 3,743 1,376 34,541 133,000 ! 8,133 1, 985 j 535 13,175! 2,575 29 | 32,154! 8,809 19 j 15,861 2,699 Delaware Maryland Baltimore District of Columbia Washington Virginia West Virginia North Carolina . . South Carolina . . Georgia Florida Alabama Mississippi Louisiana New Orleans . Texas Arkansas Kentucky Louisville Tennessee Savings Religbanks, ious, charita- Munic- loan AII ; Natural ble, and ipal other : persons, educa- corpo- trust corpo- ! tional rations. institucomtions. panies. 575 1,508,878 1145, 769 1,131, 010 j 47, 275 Division No. 1 New York 22 23 24 25 26 27 28 29 30 31 32 33 34 99, 683 57, 332 64, 438 395, 111 490, 796 187,384 214,134 Same, in detail, held by— "i j 125 \ 247,763 \ 27,870 18 16 27 13 24 12 5 9 114 7 63 9 45 i 18,991 ! 3,769 16,419 ! 1,561 j 24,815 ; 11,945 ! 7, 226 ' 2, 274 ! 32,181 i 6, 260 | 8,495 ! 2,805 ; 4,853 i 22,277 : 106, 936 ! 10,282 ; 95,359 i 31,766 | 70, 972 ; 147 >• 8,973 29, 442 ; 1,218 ! 7, 170 i 4,749 ; 8, 328 362 I 450,572 88,641 199 13 9 97 167 20 104 8 58 3 17,372 I 13, 726 i 4, 479 I 12,194 11,926 " 22, 427 11, 854 2,694 4,263 3,286 229,168 75, 274 58, 521 110,651 140,414 130, 573 100, 642 41,306 44, 987 5, 214 I 337 23,954 3 I 12,835 80 | 3, 686 577 I 78,819 83 232,034 513 33,048 878 81,256 465, 632 2, 471 1,330 35, 396 i 634 10 I 2,007 56 1,441 5,946 4 3,766 1,236 4,565 145 685 1,374 934 782 107 346 9,721 92 832 65 240, 722 ! 11, 681 : 22, 685 ' 16,786 i 33,893 9,400: 38,056 11, 225 i 4,969 , 30,353 I 133,530 ! 11,500 101, 152 | 35,457 , 78,500 : 273 649 20 31 944 706 247 531 j 50,520 20, 204 158 I 33, 999 434 j 113, 045 9,155 ! 2,325 66 15, 347 12 ! 38, 500 598 i 1 302 17,302 | 1, 258 ; 8 5 i 172 : 29 i 273 250 17, 255 110 373 1,365 19, 626 | 2, 615 29 874 1,758 40 202 55 2,195 727 278 82 527,566 | 1,397 j. 243,729 530 200 83, 803 65 100 62, 283 317 121,572 74 151,599 73 151,345 20 111, 980 54 43, 810 40 10 49, 225 8,488 678 ! 936,750 104, 22 L |1, 027, 834 [ 1, 183 j 304 402 1,613 19 18 500 41 148 1,080 183 20 I 185 i 583 ' 552 240 652 540 66 7,305 2,945 1,636 4,265 309 504 1,155 153 25 15 12 8,074 3,576 REPORT OF THE COMPTROLLER OF THE CURRENCY. 175 OF STOCK OF NATIONAL BANKING ASSOCIATIONS ON THE FIRST MONDAY IN JULY, 1889. Number of shareholders owning specific amounts. Number of shareholders. i Total ;_ _ , Dumber i j | I i shares ' ! • J I issued, • | ; ; j reduced j j I j i to par j Natural! Corpo- l-R~saii-jaT1tf ! value of ! persons.' r a t i o n s . ! R e d e n - i $100 each.; i ; 106,600 63,300 74,660 ! 435,675 533,000 201,168 ! 240,244 5,842 3,451 3,256 22, 896 17, 316 10,673 11, 764 12, 827 8,277 481 8,260 21,153 9,850 3,764 Over j Over $1,000 I $5,000 8,156 4,028 2, 071 2,378 7,613 4,054 3,878 31,052 21, 344 12, 744 14,142 5,190 2,746 2,322 21, 218 11,458 7, 9,191 2,023 1,081 1,261 ,372 7,130 4,252 4,093 2,251 6,970 133 1, 1,894 1,282 309 15, 078 15, 247 614 9,349 23, 047 11,132 4, 073 388 216 281 1,401 2,636 792 788 7,613 4,054 3,878 31,052 21,344 12, 744 14,142 7,966 5,568 6,872 5,807 292 248 6,172 2,718 15, 280 6,484 6,208 ! 3,798 2,066 i 1,461 fi, 654, 647 343,210 | 488,500 j 15,500 135,084 i 344,124 232,080 : 105,300 ! 1,663,798 77, 069 20, 790 35, 917 141,133 2,520 15, 750 40, 963 18, 560 1,744 2, 069 5,232 145 563 1.678 903 275, 633 12, 334 22/760 17, 980 36, 7(50 9, 500 38, 441 11, 300 5, 000 31,250 136, 378 11, 500 102, 529 36, 515 79, 300 867" 1,075 1, 226 295 913 358 97 811 3,453 273 4,082 1, 3.32 2, 477 539, 213 17, 259 246,540 ' 89, 000 63,000 122,845 152,340 : 153, 000 112,496 i 44,000 i 49,250 ! 8,500 I •1,040,971 64,612 13,928 '• 78,540 ! 1,334 2, 002 4,716 114 470 j 1,369 ! 723 1,775 2,119 5,572 150 571 1,703 911 871 1,114 1,258 296 923 362 111 819 3,484 273 4,139 1, 353 2, 492 13,964 8,088 1,362 871 2,564 4,699 1,604 3,530 668 1,355 144 69 64 4 10 17 23 11 8 2 1 7,218 1,227 769 2,152 4,135 1,286 2, 923 533 1,140 35 24, 885 209 21, 418 3,531 I 17,495 199 106 422 581 341 618 143 217 8,157 ! 1,426 875 2,574 4, 716 1,627 3,541 676 ' 1,357 145 3, 676 : 25, 094 j 3,755 330 124 878 2,269 344 1,546 111 i 575 52 3, 028 557 299 1,011 1,590 506 1, 33V 303 471 1,302 499 415 627 795 685 632 235 299 19 9, 984 , 9,170 I 5, 508 ; ! ! ! | I ! j I I 72 40 37 58 62 92 26 27 12 6 8,157 1,426 875 2,574 4,716 1,627 3,541 676 1,357 145 432 25, 094 176 REPORT OF THE COMPTROLLER OF THE CURRENCY. DISTRIBUTION, BY STATES, ETC., NUMBER, AND PAR VALUE, AT $100 EACH, OF SHARES ; Number of shares held b y - State, etc. 50 51 52 53 No, of , banks. Iowa Minnesota. Missouri. St. Louis Kansas C i t y . | St. Joseph . . . . Kansas • I Nebraska Omaha 131 57 39 I 5 10 3 162 107 Division No. 6. 54 Colorado 55 Nevada 56 | California San Francisco . 57 58 Oregon Division No. 7 United States Beligious, charita- MunicNatural |ble, and ipal persons, i educa- corpo| tional rations. institu-i tions. ! Savings banks, loan All and ' other trust t corpoand insurance rations. companies. 301 165 60 75 220 225 495 60 104, 028 136, 532 29, 096 50, 268 62, 698 9,675 125, 257 76,32L 32,775 201 208 95 30 520 i 435,196 1212, 305 I 626, 650 991 30 18, 229 1,601 ! 31 170 | 200 477 485 40 ; 82,868 22,532 95, 229 ! 46,471 24, 046 i 5,264 32,591 19,409 28,813 i39,187 7, 237 2,763 80, 516 ' 50,575 60,825 i 16,175 23,071 ; 9,929 36 30,377 • 2,093 j 2 48,682 i33 22,833 2 31 • 22,745 ; 104 144 3,235 ' i I ! i , ! l j 6,773 36,949 727 ! 2, 820 6,818 i 55,218 2,167 ' 24, 523 3,155 25, 375 71 416 72 I 126, 730 | 19, 640 j 144, 885 j 72 19,483 !18, 517 3, 065 i 1,935 15,808 > 5,842 6,207 | 3,543 11,757 2,243 20,170 8,530 6,559 5,191 485 I 515 Dakota Idaho Montana New Mexico. Utah "Washington . Wyoming Arizona Division No. 8 NonState State residents. residents. Same, in detail, held b y - 36,445 4,945 21, 645 9,410 i 13,968 ! 28,586 i 11,457 j 1,000 82,196 i 47, 654 i 127,456 5, 209,462 888, 521 5, 426, 279 | 72, 320 1,000 4,587 154 1,456 4,874 100 5, 214 619 225 10 ; 1,193 220 1,463 55 5 159 32 104 113 "~92~ 181 10 180 i 1,931 463 4, 325 572, 510 22,549 NOTE.—The difference in the amount of capital stock, as shown by this table and by the reports of three months just preceding that date, and other banks increased their capital stock. REPORT OF THE COMPTROLLER OF THE CURRENCY. 177 OF STOCK OF NATIONAL BANKS, ON THE FIRST MONDAY IN JULY, 1889—Continued* ! Xuniber of shareholders owning speciiic amounts. hareholders. Owning Over I Over shares to $1,000 j $5,000 i the par value of and less iand less than than 3,791 3,054 1,187 1,274 1, 843 216 4,897 1,871 165 105, 400 141, 700 29, 310 52, 000 68, 000 10, 000 131, 091 77, 000 33, 000 38,000 | 5,000 21, 650 9, 750 14, 000 28, 700 11,750 1,000 1,151 137 282 278 412 559 165 129, 850 i 2, 990 | 6, 097, 983 | 241,192 597 71 199 117 369 388 58 4 17 2 1 32 1 4 4 571 68 84 173 44 175 111 1, 803 ; 1, 228 1,168 139 283 290 413 563 169 6 3, 031 11,166 | 200, 038 j 52, 320 252,358 : , : ' 620 63 90 153 184 246 30 3 325 43 95 89 167 139 59 1, 389 ! 215 33 85 44 59 167 74 1 917 141,685 i 81,522 27,434 11 45 46 47 48 | 49 50 ! 51 52 53 1,368 139 283 290 413 563 169 47 3,031 ~Ty 7lT [252, 358 condition September 30, is accounted for by the fact that seventy banks were organized during the 9460 CUR 12* WHOLE NUMBER OF STATE BANKS CONVERTED TO NATIONAL B\NKING ASSOCIATIONS, THEIR CAPITAL AT DATE OF CONVERSION, PRESENT CAPITAL AND SURPLUS, SPECIFYING SUCH AS HAVE SINCE GONE INTO VOLUNTARY LIQUIDATION, AND SUCH AS HAVE BECOME INSOLVENT. Tear. 1863 1864 1865 1866 1867 1868 1869 1870 1871 1872 1873 1874 . 1875 1876 1877 1878 1879 1880 1381 1882 1883 1884 1885 1886*.. . 1887f 1888J 1889§ Total * To November 1. Whole number converted. Voluntary liquidation. Existing. Number. Capital at date of con" version. Present capital. Surplus. $9, 610,000 71,965,200 56, 951, 000 250, 000 $3,486, 28, 785, 30,424, 96, 12 150 284 6 12 145 218 3 3 1 250, 000 50, 000 169, 000 1 5 5 4 11 7 1 2 3 4 9 5 1, 000, 000 1, 378, 000 1,110, 000 855, 000 2, 244, 000 850, 000 161, OflO 680, 000 710,000 1, 285, 000 1,147, 000 1,445,700 940, 300 925, 000 50, 000 850, 000 2,100, 000 1, 380, 000 350, 000 885, 000 1, 500, 666 310, 000 170,000 280, 000 216, 500 489,800 272. 000 37,830 332. 000 252, 000 485, 500 426,400 811,180 381, 550 260, 980 1,760 139, 000 659, 000 297, 975 19, 322 17, 047 68, 821, 388 2 5 7 10 6 11 13 16 1 5 10 11 7 8 601 ° 3 7 10 6 11 11 11 1 5 8 11 7 8 504 $(3,110,000 66, 689, 500 57, 975, 000 860, 000 152, 230, 500 925, 000 1,030,000 605, 000 1, 410, 000 975 000 14l|000 | 800 000 769,000 1, 435, 000 1, 340, 000 1, 863, 200 1, 630, 300 1, 050, 000 100, 000 950, 000 2, G10, 000 1, 500, 000 300, 000 935, 000 160,694,700 t From November 1, 1886, to November 1,1887. 000 778 766 000 Number. Capital at date of conversion. Capital at date of liquidation. Surplus at date of liquidation. Number. 3 14 1 2 52 2 1 2 $200, 000 12, 916,200 275, 000 50, 000 200, 000 $250, 000 •11,002,200 250, 000 200, 000 100, 000 $38, 900 2, 082, ion 52, 200 11,100 29, 700 3 2 278, 000 150, 000 200, 000 150, 000 250 000 200, 000 2f>0 000 130, 000 15 500 12,000 1 50, 000 50, 000 4, 500 5 305, 000 300, 000 50, 000 50, 000 75 14, 924, 200 13,032,200 V O S 11,200 1 $417, 000 4,401,100 3, 410, 300 35, 000 13, 500 2 Insolvent. Capital at Capital at date of condate of version. failure. 00 $367, 000 4,371,100 2, 500, 000 H W H a o 130, 000 130, 000 2 J From November 1,1887, to November 1,1888. 1 250, 000 350, 000 500 1 50, 000 50, 000 2, 30(),~200 22 8, 658, 400 7,768,100 o H W O O § From November 1,1888, to November 1,1889. Percentage of capital of national banks, organized as such, that went into voluntary liquidation. Percentage of capital of national banks, organized as such, that went into insolvency Percentage of capital of national banks, organized as such, that are in existence 14.5 3. 3 82. 2 Percentage of capital of converted banks that went into voluntary liquidation Percentage of capital of converted banks that went into insolvency Percentage of capital of converted banks that are still in existence 7. 4. 2 88. 8 Percentage of increase of capital of national banks organized as such Percentage of increase of capital of converted banks 17. 8.2 o WFIOLB NUMBER OP NATIONAL BANKS OF PRIMARY ORGANIZATION UNDER THE NATIONAL-BANK LAWS, CAPITAL AT DATE OF ORGANIZATION AND PRESENT CAPITAL AND SURPLUS SPECIFYING SUCH AS HAVE SINCE GONE INTO VOLUNTARY LIQUIDATION AND SUCH AS HAVE BECOME INSOLVENT. Voluntary liquidation. Existing. Tear. I Present capital. Capital at date of organization. Capital at date of liquidation. Insolvent. Surplus a t date of liquidation. Number. Capital a t date of organization. Capital at date of failure. $15,259, 200 149 $8, 004, 300 $25, 699, 600 33 $3, 620, 000 $5, 569, 500 $40,153, 900 $61, 957, 500 $20,360,185 4, 310,000 1, 558, 900 31 6,166, 000 4 450, 000 500, 000 11,848,100 19, 293, 450 8, 843, 758 20, 936,700 5, 243,400 150 20 19, 200, 000 2, 525, 000 106, 383, 000 110, 798, 875 3, 610, 000 37, 283, 490 800, 000 8 176, 000 775, 300 100, 000 5,135, 000 2,341, 388 150, 000 2, 730,000 150, 000 2 14, 300 150,000 850, 000 1, 800, 000 620, 000 400, 000 4 127, 500 100, 000 800, 000 100, 000 410, 000 450, 000 169, 000 960, 000 4 350, 000 193, 000 810,000 350, 000 150, 000 150, 000 80, 000 2, 661,000 24 564, 900 300, 000 3, 380, 000 350, 000 1, 514, 704 4, 773, 000 4, 038, 000 3, 040,000 34 656, 000 1,100, 000 3, 000, 000 1, 400, 000 5, 518, 377 15,113, 900 11,568,000 4, 305,000 49 595,100 1, 450, 000 1,485,000 4,198,120 3,893,100 12,761,100 9, 024, 700 925, 000 13 116, 700 370, 000 1,125, 000 350, 000 1, 334, 742 4, 711, 000 4, 655, 000 1, 350,000 22 86, 900 350, 000 350, 000 1, 320, 000 1, 602, 639 4, 508, 000 3, 726, 500 1, 250,000 15 111,800 50, 000 50, 000 3, 360, 082 1, 2G0, 000 10, 977, 000 9, 762, 000 300, 000 5 42, 400 775, 770 350, 000 2,177, 800 1, 970, 800 150, 000 21,000 300,000 I 1,011,30 1, 398, 475 150,000 2, 749, 000 1, 864, 000 250, 000 21, 400 829, 325 250, 000 1, 760, 000 I 1, 625, 000 350. 000 60,000 702,511 32, 500 60,000 400, 000 3,805,000 ; 2,400, 000 6 50, 000 950, 000 50, 000 86, 800 1, 408,194 750, 000 5,847,100 I 4,522,100 12 555, 000 1, 870,000 1, 050, 000 102, 100 1, 936, 000 9,565,000 ! 2, 814, 283 7, 685, 000 000 21 225. 000 2, 015, 225, 000 10,125, 526 168,200 2, 215, 000 32,407, 000 27, 683, 000 24 550, 000 3, 085,000 350, 000 4, 948, 301 218, 000 2, 865, 000 26, 734, 000 22, 032, 000 10 50, 000 4, 311, 545 1,050, 000 50, 000 31,000 1, 050, 000 20, 921, 920 16, 669, 000 2, 631, 001 5 350, ooo : 24, 500 350, 000 14, 743, 000 13, 443, 000 2, 301, 823 12 1, 000, 000 1, 000, 000 845, 52, 400 895, 000 16, 625, 000 14, 708, 000 000 i 2, 239, 356 200, 000 9 200, 000 500, 20, 500 500, 000 31,166, 000 28, 496, 000 1 615, 891 100, 000 I 1,000 100, 000 10, 584, 750 11, 503, 000 227, 884 100, 000 17,047 100,000 20, 375, 000 20,475, 000 _ 1 "68,256, 18^287,647 "107 j 13, 755, 000 I 18, 560, 800 79; 4907600 • 380,375,100" 451,889,395 ; 128, 556, 325 "625" Sfovember 1, 1887, to November 1, 1888. § From November 1,"1888, to November 1,1889. To November 1. t From November 1, 1886, to November 1, 1887. 900 r SUMMARY OF NATIONAL BANKS ORGANIZED AND DISSOLVED SINCE FEBRUARY 25, 1863, AND NUMBER EXISTING NOVEMBER 1, 188;). 292 69 433 23 7 5 2 36 108 96 38 46 78 22 21 18 23 40 83 205 206 168 137 129 204 124 203 2, 816 1863 1864 1865 1866 1867 1868 1869. 1870.. 1871 1872 1873 1874 1875 1876 1877. 1878 1879 1880. 1881 1882 1883... 1884 1885 1886* 1887t 18881 1889§ Total . r Surplus. dumber. Num- ! l n liquidation, volunber. i t a r y or by expiration. Number. Converted from State s y s t e m . Other b a n k s Total 601 3, 548 149 | •d C w O o W O F F l ooo I Failed. Remarks. a P e r cent. 75 625 700 O g Dissolved. B a n k s organized. w 84 17 Of 700 banks which h a v e gone into voluntary liquidation, 542 took t h a t step for t h e purpose of winding u p t h e i r affairs, 79 for t h e purpose of reorganization, and 79 w e n t into liquidation by reason of expiration of charter, 38 of them h a v i n g since been reorganized. CO 180 REPORT OF THE COMPTROLLER OF THE CURRENCY. NATIONAL VISIONS STATES, LATION BANKS THAT HAVE GONE INTO VOLUNTARY LIQUIDATION UNDER THE PROOF SECTIONS 5220 AND 5221 OF THE REVISED STATUTES OF THE UNITED WITH THE DATES OF LIQUIDATION, THE AMOUNT OF THEIR CAPITAL, CIRCUISSUED AND RETIRED, AND CIRCULATION OUTSTANDING, OCTOBER 31, 1889. Circulation. Name and location of bank. Date of liquidation. Capital. Issued. I Retired. Outstanding. First National Bank, Peim Yan, N. Y.* . Apr. 6,1864 | First National Bank, Norwich, Conn *... j May 2,1864 j Second National Bank, Ottumwa, Iowa t-1 - - - do ; Second National Bank, Canton, Ohio 1 . . . \ Oct. 3,1864 First National Bank, Lansing, Mich.t | Dec. 5,1864 First National Bank, Columbia, Mo Sept. 19,1864 $100, 000 $90, 000 $89, 875 $125 First National Bank, Carondelet, Mo . . . | Mar. 15,1865 ; 30, 000 25, 500 111 25, 389 First National Bank, Utica, N. Y.* June 9,1865 j Pittston National Bank, Pittston, Pa j Sept. 16,1865 ! 200, 000 Fourth National Bank, Indianapolis, Ind. j Nov. 30,1865 j 100, 000 100,000 I 99, 300 700 Berkshire National Bank, A dams, Mass. \. j Dec. 8,1865 j 100, 000 National Union Bank, Rochester, N. Y..I Apr. 26,1866 i 400, 000 192, 500 191, 443 1,057 First National Bank, Leonardsville, N. Y July 11,1866 50, 000 45, 000 44, 405 595 Farmers' National Rank, Richmond, Va ; Oct. 22,1866 100,000 85, 000 83, 2.38 1, 762 Farmers'National Bank,Waukesha, Wis | Nov. 25,1866 100,000 90, 000 89, 530 470 National Bank of Metropolis, Washington. D. C Nov. 28,1866 200, 000 180, 000 176, 907 First National Bank, Providence, Pa j Mar. 1,1867 100, 000 90, 000 1,285 88, 715 National State Bank, Dubuque, Iowa ...\ Mar. 9,1867 150, 000 127, 000 1,375 125, 625 First National Bank of Newton, Newtonville, Mass Mar. 11,1867 150, 000 130,000 1,323 128, 677 First National Bank, New Ulm, Minn . . Apr. 18,1867 60,000 54, 000 53, 205 795 National Bank of Crawford County, Meadville, Pa Apr. 19,1867 300, 000 Kit tanning National Bank, Kittanning, Apr. 29,1867 200, 000 City National Bank, Savannah, Ga.t May 28,1867 100, 000 500, 000 Ohio National Bank, Cincinnati, Ohio . . . July 3,1867 450, 000 443, 830 6,170 200, 000 First National Bank, Kingston, N. Y . . . Sept. 26,1867 180, 000 177, 654 2,346 First National Bank, BlufFton, Ind . .. Dec. 5,1867 50, 000 45, 000 44, 566 434 National Exchange Bank, Richmond, Va . . . do 200, 000 180, 000 179, 245 755 First National Bank, Skaneateles, N. Y. Dec. 21,1867 150, 0C0 135, 000 133, 651 1,349 First National Bank, Jackson, Miss 100, 000 Dec. 26,1867 45, 500 45, 350 150 100, 000 First National Bank, Downingtown, Pa Jan. 14,1868 90, 000 88,941 1,059 100, 000 First National Bank. Titusville, Pa .. Jan. 15, 1868 86,750 85, 745 1,005 Appleton National Bank, Appleton, Wis. Jan. 21,1868 45, 000 50, 000 663 44, 369 National Bank of Whitestown, N. Y , Feb. 14,1868 45, 500 120, 000 45, 223 277 First National Bank, New Brunswick, N.J Feb. 26,1868 100, 000 90, 000 88, 629 1,371 First National Bank, Cuyahoga Falls, I 50, 000 Ohio ! Mar. 4,1868 45, 000 44, 451 549 First National Bank, Cedarburgh, Wis . . Mar. 23, 1868 100, 000 90, 000 553 89, 447 Commercial National Bank, Cincinnati, Ohio. Apr. 28,1868 500, 000 345, 950 343, 505 2,445 100, 000 Second National Bank, Watertown, N. Y. July 21,1868 90,000 1,160 88, 840 First National Bank, South Worcester, N.Y Aug. 4,1868 175,500 157, 400 155. 741 1,659 National Mechanics and Farmers' Bank, Albany, N.Y 350, 000 314, 950 312,930 2,020 Second National Bank, DesMoines,Iowa. Aug. 5,1868 50, 000 42, 500 42,132 368 First National Bank, Steubenville, Ohio. Aug. 8,1868 150, 000 135, 000 133, 042 1, 958 First National Bank, Pluraer, Pa Aug. 25,1868 100, 000 87, 500 1, 403 First National Bank, Danville, Va Sept. 30,1868 50, 000 45, 000 365 44, 635 First National Bank, Dorchester, Mass.. Nov. 23,1868 150, 000 132, 500 2,083 130, 417 First National Bank, Oskaloosa, Iowa Dec. 17,1868 75, 000 67, 500 530 66, 970 Merchants and Mechanics' National, Bank, Troy, N. Y I Dec. 31,1868 300, 000 184, 750 183,106 1,644 National Saving* Bank. Wheeling, W.Va. Jan. 7,1869 100, 000 90, 000 89, 350 650 First National Bank, Marion, Ohio ! Jan. 12,1869 125, 000 109, 850 108, 924 926 National Insurance Bank, Detroit, Mich. I Feb. 26,1869 200, 010 85, 000 84, 423 577 National Bank of Lansiugburgh, N. Y . . . Mar. 6,1869 150,000 135,000 133, 723 1,277 National Bank of North America, New York, N.Y Apr. 15,1869 1, 000, 000 333, 000 330, 602 2, 398 First National Bank, Hallowell, Me Apr. 19,1869 60,000 53, 350 52, 876 474 First National Bank, Clyde, N. Y Apr. 23,1869 50, 000 44,000 43, 260 740 Pacific National Bank, New York, N. Y. May 10,1869 422, 700 134, 990 134, 042 948 Grocers-' National Bank, New York, N. Y. June 7,1869 390, 000 85, 250 84, 866 384 Savannah National Bank, Savannah, Ga June 22, 1869 100, 000 85, 000 84, 445 555 First National Bttnk, Frostburiih, Md . . . July 30,1869 50, 000 45, 000 268 44, 732 Aug. 30,1869 First National Bank, La Salle, 111 45, 000 50, 000 495 44,505 National Bank of Commerce, Georgetown, D. C Oct. 28,1869 100, 000 90, 000 945 89, 055 * New bank with same title, t Never completed organization. \ Consolidated with another bank. KEPORT OF THE COMPTROLLER OF THE CURRENCY. 181 NATIONAL BANKS THAT HAVE GONE INTO VOLUNTARY LIQUIDATION UNDER THE PRO- VISIONS OF SECTIONS 5220 AND 5221 OF THE REVISED STATUTES, ETC.—Continued. Circulation. Name and location of bank. Date of liquidation. Capital. Issued. Miners' National Bank, Salt Lake City, Utah Dec. 2,1869 First National Bank, Vinton, Iowa Dec. 13,1869 National Exchange Bank, Philadelphia, Pa Jan. 8,1870 First National Bank, Decatur, 111 . Jan. 10,1870 National Union Bank, Owego, N. Y I Jan. 11,1870 First National Bank, Berlin, Wis j Jan. 25,1870 Central National Bank, Cincinnati, Ohio, ! Mar. 31,1870 First National Bank, Dayton. Ohio ! Apr. 9,1870 National Bank of Chernuiig, Elrnira, N.Y. I June 10, 1870 Merchants' National Bank, Milwaukee, Wis Jnnel4,1870 First National Bank, St. Louis, Mo July 16,1870 Chenmng Canal National Bank, Elmira, Aug. 3,1870 Sept. 23,1876 Central National Bank, Omaha, Nebr .. Oct. 13,1870 First National Bank, Clarksville, Va.... Oct. 15,1870 First National Bank, Burlington. Vt Oct. 24,1870 First National Bank, Lebanon, Ohio National Exchange Bank, Lansingburgh, Dec. 27,1870 N.Y Muskingum National Bank, ZanosTille, Jan. 7,1871 Ohio Feb. 15,1871 United National Bank, Winona, Minn... Mar. 25,1871 First National Bank, Des Moines, Iowa. Saratoga County National Bank, Water- Mar. 28,1871 ford, N. Y " Mar. 31,1871 State National Bank, St. Joseph, Mo May 2,1871 First National Bank, Fenton, Mich First National Bank, Wellsburgh, W. Va. June 24,1871 Clarke National Bank, Rochester, N. Y.. Aug. 11,1871 Commercial National Bank, Oshkosh, Nov. 22,1871 Wis Fort Madison National Bank, Fort MadDec. 26,1871 ison, Iowa Jan. 6,1872 National Bank of Maysville, Ky Fourth National Bank, Syracuse, N. Y .. Jan. 9,1872 American National Bank, New York, M a y 10,1872 N.Y Carroll County National Bank, SandMay 24,1872 wich,N.H June 24,1872 Second National Bank. Portland, Me Atlantic National Bank, Brooklyn, N. Y. July 15,1872 Merchants and Farmers' National Bank, Aug. 8,1872 Quincy.Ill Aug. 9,1872 First National Bank, Rochester, N. Y LawrenceburgNational Bank, LawrenceSept. 10,1872 burg, Ind Jewett City National Bank, Jewett City, Oct. 4,1872 Conn First National Bank, Knoxville, Tenn... Oct. 22,1872 Nov. 7,1872 First National Bank, Goshen, Ind Kidder National Gold Bank, Boston, Nov. 8,1872 Mass Second National Bank, Zanesville, Ohio. Nov. 16,1872 Orange County National Bank, Chelsea, • Vt Second National Bank, Syracuse, N.Y.. Jan. 14,1873 Feb. 18,1873 Richmond National Bank, Richmond, Ind.* Feb. 28,1873 First National Bank, Adams, N. Y Mar. 7,1873 Me hanics' National Bank, Syracuse, N. Y .' Mar. 11,1873 Farmers and Mechanics' National Bank, i Rochester, N. Y Apr. 15,1873 Montana National Bank, Helena, Mont.. do . . - . First National Bank, Havana, N. Y June 3,1873 Merchants and Farmers' National Bank, Ithaca, N.Y June 30,1873 National Bank of Cazenovia, N. Y July 18, 1873 Merchants' National Bank, Memphis, ! Tenn Aug. 30,1873 Manufacturers' National Bank, Chicago, 111 "... Sept. 25,1873 $150,000 50, 000 Retired. $135, 000 42, 500 Outstanding. $133, 944 42, 283 $1, 056 217 173, 570 84,195 87, 213 43,612 420, 995 133, 790 89, 448 2,180 1,055 1,037 388 4,005 1,210 552 89, 270 178, 572 730 1,418 300, 000 100,000 100, 000 500, 000 500, 000 150,000 100, 000 175, 85, 88, 44, 425, 135, 90, 100. 000 200, 000 90, 000 179,990 I 100, 000 100, 000 5C, 000 300, 000 100, 000 90, 000 89,136 864 27, 000 270, 000 83, 000 26, 880 266, 823 84, 318 120 3, 177 682 750 250 250 000 000 000 000 100,000 90, 000 89, 362 638 100, 000 50, 000 100, 000 90. 000 45, 000 90,000 | 89,175 44, 555 89,168 825 445 832 133, 947 89, 445 49, 008 89,173 178,183 1,053 555 492 827 1,817 150,000 100, 000 100,000 100, 000 200, 000 135,000 90,000 49, 500 90,000 180,000 100, 000 90, 000 89, 238 762 75, 000 300,000 105, 500 67, 500 270, 000 91, 700 66, 980 268,478 90,828 520 1,522 872 500, 000 450,000 443, 661 6,339 50, 000 100, 000 200, 000 45, 000 81, 000 165,000 44. 393 79, 969 163, 480 607 1,031 1,520 150, 000 400, 000 135, 000 206,100 133, 585 204, 080 1,415 2, 020 200, 000 180, 000 177, 741 2,259 60, 000 100, 000 115, 000 48, 750 80. 910 103, 500 48,182 80, 014 102,176 568 896 1,324 300, 000 154, 700 120, 000 138,140 120, 000 136,378 1,762 200, 000 100, 000 180, 000 90, 000 177, 366 88, 775 2,634 1,225 230, 000 75, 000 207, 000 66, 900 207, 000 65, 950 950 140, 000 93, 800 92, 790 1,010 100, 000 I 100,000 50,000 ' 83, 250 31, 500 45, 000 82, 223 1,027 44,320 | 50,000 150, 000 ! 45, COO 116, 770 44, 240 115,191 250, 000 225, 000 222, 153 2, 847 500, 000 438, 750 432, 885 5,865 ! ! 1 j i I * New bank with same title. OI ORFL 1 3K 680 760 1,579 182 REPORT OF THE COMPTROLLER OP" THE CURRENCY. NATIONAL BANKS THAT HAVE GONE INTO VOLUNTARY LIQUIDATION UNDER THE PROVISIONS OF SECTIONS 5 2 0 AND522L OF THE REVISED STATUTES, ETC.—Continued. *2 Circulation. Name and location of bank. D a t e of i Issued. Second National Bank, Chicago, 111 Merchants' National Bank, Dubuque, Iowa Beloit National Bank, Beloit, Wis Union National Bank, St. Louis, Mo City National Bank, Green Bay, Wis.... First National Bank, Shelbina, Mo Second National Bank, Nashville, Tenn. First National Bank, Oneida, N. Y Merchants' National Bank, Hastings, Minn National Bank, Tecumseh, Mich Gallatin National Bank, Shawneetown, 111 First National Bank, Brookville, Pa Citizens' National Bank, Sioux City, Iowa Citizens' National Bank, Charlottesville, Va Farmers' National Bank, Warren, 111 First National Bank, Medina, Ohio Croton Kiver National Bank, South East, N.Y NY Sept. 25,1873 $100,000 Sept. 30,1873 Oct. 2,1873 Oct. 22,1873 Nov. 29,1873 Jan. 1,1874 Jan. 8,1874 Jan. 13,1874 200, 000 50, 000 500, 000 50.000 100, 000 125, 000 125, 000 Feb. 7,1874 Mar. 3,1874 Mar. 7,1874 Mar. 26,1874 Retired. Outstanding. $97, 500 $96, 011 $1,489 180, 45, 150, 45, 00, 92, 110, 000 000 300 000 000 920 500 175, 769 44,267 148, 233 44, 200 89,147 91, 475 108, 890 4,231 733 2,067 800 853 1,445 1,710 100, 000 50, 000 90, 000 45, 000 88, 337 44, 270 1,663 730- 250, 000 100, 000 225, 000 90, 000 222, 723 88, 735 2,277 1, 265 Apr. 14,1874 50, 000 45,000 ! Apr. 27, 1874 Apr. 28,1874 May 6,1874 100, 000 50, 000 75, 000 90,000 ; 45,000 ! 45,000 | 44, 770 230 44, 323 44, 647 1,011 677 353 May 25, 1874 Merchants' National Bank of West VirJuly 7,1874 ginia, Wheeling, W. Va Central National Bank, Baltimore, Md . July 15,1844 Second National Bank, Leaven worth, Kans July 22,1874 Teutouia National Bank, New Orleans, | La . . . | Sept. 2,1874 City National Bank, Chattanooga, Tenn.j Sept. 10,1874 First National Bank, Cairo, 111 i Oct. 10,1874 S'ov. 9, 1874 First National Bank, Olatht*, Ivans. Nov. 10,1874 First National Bank, Beverly, Ohio Union National Bank, La Favette, Ind .. Dec. 4,1874 200, 000 166,550 ; 163, 479 3,071 500,000 200, 000 450,000 j 180,000 | 443, 972 178, 525 6,0281,475 100, 000 90,000 j 87, 745 2, 255 300, 000 170, U00 100, OuO 50,U00 102,000 250,000 270,000 ' 148 001 ' 90,000 j 45, 000 90,000 224,095 267, 080 146,619 88, 470 44, 577 88, 316 219, 826 2,920 1,382 1, 530^ 423* 1,684 4,169 Dec. 7,1874 | Fla.t Mechanics' National Bunk, Chicago, 111.. Dec. 30, 1874 First National Bank, Evansville, Wis . . . Jan. 9,1875 First National Bank, Baxter Springs, Jan. 12, 1875 i Kans --do ; People's National Bank, Pueblo, Colo 42, 500 250, 000 55, 000 ] 125,900 45,000 123,480 I 44, 496 2,420 504 50,000 ; 50,000 • 36, 000 27, 000 35, 597 26, 793 90, 000 60, 400 90, 000 60,000 : 89, 59, 88, 58, r Ambler National Bank, Jacksonville, National Bank of Commerce, Green Bay, Wis First National Bank, Millersburg, Ohio.. First National Bank, Stauntou, Va National City Bank, Milwaukee, Wis.... Irasburg National Bank, of Orleans, Irasburg, Vt First National Bank, Pekin, 111 Merchants and Planters' National Bank, Augusta, Ga Monticello National Bank, Monticello, Iowa Iowa City National Bank, Iowa City, Iowa First National Bank, Wheeling, W. Va.. First National Bank, Mount Clemens, Mich First National Bank, Knob Noster, Mo.. First National Bank, Brodhead, Wis Auburn City National Bank, Auburn, N.Y First National Bank, El Dorado, Kans... .. do ...do Jan. 23, Feb. 24, Mar. 17, Mar. 25, 100, 000 100,000 100, 000 100, 000 ioo, ooo 67, 500 90, 000 Mar. 30, 1875 200, 000 169,000 ...do 100, 000 45, 000 Apr. 14, 1875 Apr. 22, 1875 125, 000 250, 000 104, 800 225, 000 May 20, 1875 May 29, 1875 June 24,1875 50, 000 50, 000 50, 000 27,000 43, 800 45, 000 June 26,1875 June 30,1875 First National Bank, Junction City, Kans j July 1,1875 First National Bank, Chetopa, Kaus July 19,1875 First National Bank, Golden, Colo Aug. 25,1875 National Bank of Jefferson, Wis Aug. 26,1875 Green Lane National Bank, Green Lane, Pa Sept. 9,1875 State National Bank, Topeka, Kans j Sept. 15,1875 Farmers' National Bank, Marshalltown, | Iowa ! Sept. 18,1875 Riehland National Bank, Mansfield, Ohio! Sept. 25,1875 * New bank, with same title. 200, 000 50, 000 141,300 i 45,000 ; 50, 50, 50, 60, 000 000 200 000 100,000 I 60,500 j 45,000 36,000 27,000 54,000 045 873 902 945 955 527 1,098 1,055 66, 334 1875 1875 1875 1875 75, 000 403 207 1,16ft 1,576 «8,424 166, 520 44, 549 102,883 220, 717 I 26,860 I 43, 394 44,403 ; i I ! 138,659 44, 462 44, 35, 26, 52, 655 634 798 897 2,480 451 1,917 4,283 140 406597 2,641 538 345 366 202 1,105 90,000 I 30,600 ; 89, 500 ! 30,437 I 500 163 50,000 27,000 ! 150, 000 | 130, 300 | tNo circulation. 26, 795 I 127,488 I 205 2,812 REPORT OF THE COMPTROLLER OF THE CURRENCY. 183 NATIONAL BANKS THAT HAVE GONE INTO VOLUNTARY LIQUIDATION UNDER THE PROVISIONS OF SECTIONS 5*^0 AND 5221 OF THE REVISED STATUTES, ETC.—Continued. Circulation. Name and location of bank. Date of liquidation. Capital. Issued. Planters' National Bank, Louisville, Ky Sept. 30,1875 Oct. 1,1875 First National Bank, Gallatin, Tenn First National Bank, Charlestown, W. Oct. 2,1875 Va I People's National Bank, Winchester, 111. Oot, 4,1875 First National Bank, New Lexington, Oct. 12,1875 Ohio First National Bank,Ishpeming, Mich.. Oct. 20,1875 Fayette County National Bank, Washington, Ohio Oct. 26,1875 i Merchants1 National Bank, Fort Wayne, Ind Nov. 8,1875 | Kansas City National Bank, Kansas ! Nov. 13.1875 | City, Mo 17,1875 ! First National Bank, Schoolcraft, Mich.. : Nov. First National Bank, Curvvensville, Pa .. 1 Dec.17,1875 j National Marine Bank, St. Paul, Minn...i Dec.28.1875 I ! Jan.11.1876 ! First National Bank, Rochester, Ind j Jan.11,1876 | First National Bank, Lodi. Obio Iron National Bank, Portsmouth, Ohio .. Jan. 19,1876 i First National Bank, Ashland, Nebr ... | Jan.26,1876 | Jan. 28,1876 : First National Bank, Paxton, 111 First National Bank, Bloomfield, Iowa . I Feb. 5,1876 ! Marietta National Bank, Marietta, Ohio I Feb.16,1876 Salt Lake City National Bank, Salt ! Feb. 21,1876 j Lake City, Utah First National Bank, La Grange, Mo ... ! Feb. 24,1876 | [Mar. 7,1876 First National Bank, Atlantic,' Iowa ! Mar. 11,1876 First National Bank, Spencer, Ind National Currency Bank, New XTork, Mar. 23,1876 Caverna National Bank, Caverna, Ky .. May 13, 1876 City National Bank, Pittsburgh, Pa May 25,1876 National State Bank, Des' Moines, Iowa June 21, 1876 j First National Bank, Trenton, Mo June 22,1876 > July 10,1876 j First National Bank, Bristol, Tenn July 11,1876 First National Bank, Leon, Iowa Anderson County National Bank, July 29,1876 Lawreiiceburgh,* Ky Auk- 7,1876 First National Bank,"Newport, Ind First National Bank, De Pere, Wis Aug. 17,1876 Second National Bank, Lawrence, Ivans. Aug. 23,1876 Commercial National Bank, Versailles, Ky Aug. 26,1876 State National Bank, Atlanta, Ga Aug. 31,1876 Syracuse National Bank, Syracuse, Sept. 25,1876 First National Bank. Northumberland, Pa ._ Oct. 6,1876 ! Nov. 14,1876 First National Bank, Lancaster, Mo First National Bank, Council Grove, Kans , ; Nov. 28,1876 National Bank of Jommerce, Chicago, 111. Dec. 2,1876 Dec 12,1876 First National Bank, Palmyra, Mo Dec. 16,1876 First National Bank, Newton, Iowa National Southern Kentucky Bank, Dec. 23,1876 Bowling Green, Ky Jan. 1,1877 First National Bank, Monroe, Iowa First National Bank, New London, Conn Jan. 9,1877 Winona Deposit National Bank, Winona, Minn Jan. 28,1877 First National Bank, South Charleston, Obio Feb. 24,1877 Lake Ontario National Bank, Oswego, : ?.:. ... do N Y : ? : First National Bank, Sidney, Ohio Chillicothe National Bank, Chillicothe, Feb. 26,1877 Ohio Apr. 9,1877 First National Bank, Manhattan, Kans. Apr. 13,1877 National Bank, Monticello, Ky Apr. 23,1877 First National Bank, Rockvilie, Ind Apr. 25,1877 Georgia National Bank, Atlanta, Ga May 31,1877 First National Bank, Adrian, Mich June 11,1877 First National Bank, Napoleon, Ohio June 30,1877 First National Bank, Lancaster, Ohio j Aug. 1,1877 j OutRetired. j standing$307, 770 44, 540 $7, 230 460 90,000 67,500 ! l 89, 029 971 808 45,000 | 44.567 433 832 45.000 ! 44.168 81,280 I 80,353 I 46.820 j 65, 991 45, 000 90, 000 59, 710 45,000 : ' 90,000 j 90,000 45,000 j 45,000 I 49,500 I 90, 000 | 46.105 | 64,911 44.382 88,018 58,145 42,980 i 88.169 j 88,937 ! 44,529 | 44,236 ! 48,340 j 87, 745 | 1,080 618 1,982 1,565 2,020 1,831 1,063 471 764 1,160 2,255 100,000 ! 50,000 | 50, 000 70, 000 45,000 ! 45,000 ' 45,000 j 63,000 j 44,018 i 44,336 | 44,378 ' 62, 378 664 622 622 100,000 ' 50, 000 : 200,000 ! 45,000 ! 45, 000 ' 68, 929 ! 43,780 ! 44,535 i 67,899 ! 1,220 465 1,030 100,000 I 50,000 ! 50,000 j 60,000 I 50, 795 I 45,000 I 45,000 45, 000 49,195 i 44,426 | 44,605 ! 43,920 j 1,600 574 395 1,080 100,000 60, 000 50, 000 100, 000 45,000 ! 45,000 I 31,500 j 67,500 J 44,620 j 44,048 i 31,205 j 66,525 i 380 952 295 975 $350, 000 75, 000 100, 000 75, 000 50,000 i 50,000 j $315, 000 45, 000 100, 000 927 100, 000 100,000 ! 50,000 j 100,000 ' 100,000 i 50,000 i 100,000 ! 100,000 i 50,000 j 50,000 I 55,000 i 150,000 i i 715 170,000 200, 000 153,000 73,725 ; 150,265 j 71,765 ! 2,735 1,960 200, 000 117,961 | 113,455 j 4,506 100, 000 50, 000 62,106 ! 27,000 ! 59,960 ! 26,817 | 2,146 183 50, 000 250,000 ! 100,000 ; 50,000 j 26,500 ! 71,465 I 46,140 I 45,000 ! 26,092 I 69,929 44, 735 43, 482 408 1,536 1,405 1,518 50,000 60,000 27, 000 ! 35,700 | 35, 177 100,000 | 38,300 ! 36, 256 2,044 100,000 ' 63. 285 61, 475 1,810 100, 000 90, 000 87, 671 2,329 275, 000 52, 000 66,405 46,200 62,021 45, 037 4,384 1,163 51, 835 43, 496 47, 860 168, 730 43, 488 42, 513 43, 922 52,149 1,990 704 1,640 4,360 1,512 987 1,078 1,851 100, 000 52,000 60,000 200, 000 100, 000 100,000 50, 000 60, 000 | 53, 825 ; 44,200 : 49,500 i 173, 090 45, 000 43, 500 45, 000 54, 000 I 310 523 184 REPORT OF THE COMPTROLLER OF THE CURRENCY. NATIONAL BANKS THAT HAVE GONE INTO VOLUNTARY LIQUIDATION UNDER THE PRO- VISIONS OF SECTIONS 5 2 2 and 5221 OF THE REVISED STATUTES, ETC.—Continued. **0 Circulation. Name and location of bank. Date of liquidation. Capital. Issued. $50, 000 First Rational Bank, Minerva, Ohio , Aug. 24,1877 j Kinnev National Bank, Portsmouth, '• I 100, 000 Ohio" Aug. 28,1877 i 50, 000 First Rational Bank, Green Bay, Wis.... Oct. 19,1877 j Rational Exchange Bank, Wakefield, i ! 70, 000 R. I ' Oct. 27,1877 j 50, 000 First Rational Bank, Union City, Ind ' Rov. 10,1877 ; 50, 000 First Rational Bank, Regaunee, Mich .. Rov. 13,1877 i 500, 000 Tenth Rational Bank, Rew York, R. Y..'! Rov. 23,1877 j 50, 000 First Rational Bank, Paola, Kans Dec. 1,1877 , Rational Exchange Bank, Troy, R. Y : Dec. 6,1877 '•• 100, 000 Second Rational Bank, La Fayette, Im\..[ Dec. 20,1877 ! 200, 000 100, 000 State Rational Bank, Minneapolis, Minn/ Dec. 31,1877 ; 200, 000 Second National Bank, St. Louis, Mo Jan. 8,1878 | ; 50, 000 First Rational Bank, Sullivan, Ind do j Uockland County Rational Bank, Rvack, I 100, 000 R.Y . " Jan. 30,1878 50, 000 First Rational Bank, Wyandotte, Kaus. Jan. 19.187R TTi'nat" ~\To + i r * T i o l Bank, Bo'one, Iowa 50, 000 First Rational P ' l - n l r T-?n/v*io T/"*TTT"Q. Jan. 22,1878 50, 000 First Rational Bank, Pleasant Hill, Mo.. Feb. 7,1878 100, 000 Rational Bank, G-loversville, R. Y Fob. 28,1878 50, 000 First Rational Bank, Independence, Mo. Mar. 1,1878 100, 000 Mar. 2,1878 Rational State Bank, Lima, Ind 50,000 Mar. 4,1878 First National Bank, Tell City, Ind 200, 000 Mar. 5,1878 First Rational Bank, X'omeroy, Ohio Eleventh Ward Rational Bank, Boston, Mar. 14,1878 200, 000 Mass 50, 000 First Rational Bank, Prophetstown, 111.. Mar. 19,1878 Mar. 26,1878 100, 000 First Rational Bank, Jackson, Mich 60, 000 First Rational Bank, Eau Claire, Wis.. - Mar. 30,1878 200, 000 First Rational Bank, Washington, Ohio. Apr. 5,1878 80, 000 First Rational Bank, Middleport, Ohio... Apr. 20,1878 Apr. 24,1878 50, 000 First National Bank, Streator, III Apr. 25.1878 50, 000 First Rational Bank, Muir, Mich Kane County Rational Bank, St. Charles. May 31,1878 50, 000 Ill June 1,1878 50, 000 First Rational Bank, Carthage, Mo Security National Bank, Worcester, June 5,1878 I 100, 000 Mass 50, 000 First Rational Bank, Lake City, Colo . . . June 15,1878 ; July 31,1878 j 100, 000 People's Rational Bank, Norfolk, Va Aug. 7,1878 100, 000 Topeka Rational Bank, Topeka, Kans, .. 100, 000 First Rational Bank, St. Joseph, Mo. . . . Aug. 13,1878 60, 000 First Rat;onal Bank, Winchestt r, Ind... Aug. 24,1878 ! Muscatine Rational Bank, Muscatine, 100, 000 Iowa 1 I Sept. 2,1878 200, 000 Traders Rational Bank, Chicago, 111 j Sept, 4,1878 100, 000 Union Rational Bank, Rah way, R. J I Sept. 10,1878 ' 50, 000 First Rational Bank, Sparta, Wis Sept. 14,1878 Herkimer County Rational Bank, Little 200, 000 Falls, R . Y . . . . . Oct. 11,1878 100, 000 Farmers' Rational Bank, Bangor, Me .. Rov. 22,1878 Pacific Rational Bank, Council Bluffs, 100. 000 Iowa i Rov. 30,1878 50, 000 First Rational Bank, Anamosa, Iowa i Dec. 14,1878 Smithfield National Bank, Pittsburgh, Pa1 Dec. 16,1878 I 200, 000 50, 000 First Rational Bank, Buchanan, Mich... Dec. 21,1878 50, 000 First Rational Bank, Prairie City, III.... Dec. 24,1878 Corn Exchange Rational Bank, Chicago, i 111 I Jan. 4,1879 500, 000 100, 0U0 Franklin Rational Bank, Columbus, Ohio 'Jan. 4,1879 Traders' National Bank, Bangor, Me . . . . j Jan. 14,1879 ! 100, 000 60, 000 | First Rational Bank, Gome, N. H , Jan. 14,1879 150,000 , First National Bank, Salem, N. C \ Jan. 14,1879 ' 51), 000 First Rational Bank, Gvanville, Ohio Jan, 14, 1879 i Commercial National Bank, Petersburg, • Jan. 14, 1879 \ 120, 000 Va First Rational Gold Bank, Stockton, Cal., Jan. 14,1879 | ' 300,000 ' 50, 000 j First National Bank, Sheboygan, Wis... Jan. 14,1879 50,000 I First National Bank, Boscobel, Wis . . . . Jan. 21,1879 120,000 I Rational Marine Bank, Oswego, R. Y Jan. 25,1879 ' 100, 000 ! Central Nation d Bank, Hightstown, R. J Feb. 15,1879 Brookville National Bank, BrookviLle, \ Ind Feb. 18,1879 ! 100,000 ' Farmers' Rational Bank, Centreville, | Iowa... ; Feb. 27,1879 j 50,000 ' Retired. Outstanding. $45, 000 $44,244 $756 90,000 45,000 88, 470 43,184 1,530 1,816 34, 650 45, 000 45, 000 441, 000 44, 350 90,000 52,167 82, 500 53, 055 45, 000 33, 279 43, 775 44, 038 418, 007 43, 333 87, 227 48, 047 79,610 48, 290 44, 245 1,371 1,225 962 22, 993 1,017 2,773 4,120 2,890 4,765 755 89, 000 45, 000 32, 400 45, 000 64, 750 27, OtiO 33, 471 44.5C0 75, 713 86, 466 44,102 31, 585 43,934 63, 224 25,250 31, 982 43, 840 71, 235 2,534 898 815 1,066 1,526 1, 750 1,489 660 4,478 89, 400 45, 000 88,400 38, 461 69, 750 31, 500 40, 500 44, 200 87, 425 44, 422 85, 585 37, 540 66, 263 31, 005 39, 935 43, 401 1,975 578 2,815 921 3,485 495 565 799 26, 300 44, 500 49, 000 29, 300 85, 705 89, 300 67,110 52,700 | 25, 708 43, 655 592 845 47, 660 29, 059 82, 350 85, 797 63, 631 50, 423 1,340 241 3,355 3, 503 3,479 2,277 44,200 43, 700 89,200 45,000 i 41, 326 39, 855 85, 566 43, 543 2,874 3,845 3,634 1,457 7,519 3,288 45, 000 44, 500 78, 750 27, 000 27, 000 170, 781 85, 812 43, 549 42, 447 74, 550 26, 507 25,180 59,160 93, 070 76,400 45, 597 128,200 34, 365 99, 8uO 53,023 88, 863 | 72, 060 i 43, 440 | • 122,150 32, 479 i 93, 748 6,137 4, 207 4, 340 2,157 6,050 1,886 6,052 178, 300 89,100 238,600 ' 45,000 43, 900 44,300 32,400 1, 451 2, 053 4,200 493 1,820 221, 381 43, 979 42, 714 41, 70S 31, 708 17,219 1,021 1,186 2, 592 89,000 84, 485 4,515 41,500 40, 728 772 REPORT OF THE COMPTROLLER OB" THE CURRENCY. 185 NATIONAL BANKS THAT HAVE GONE INTO VOTUNTARY LIQUIDATION UNDER THE PRO- VISIONS OF SECTIONS 5220 AND 5221 OF THE REVISED STATUTES, ETC.—Continued. Circulation. Date of liquidation. Name and location of Lank. Outstanding. Issued. First National Bank, Clarinda, Iowa Mar. 1,1879 $50, 000 Waterville National Bank, Waterville, Me Mar. 3, 1879 125, 000 First National Bank, Trernont, Pa Mar. 4,1879 75, 000 First National Bank, Atlanta, 1)1 Apr. 15,1H79 50, 000 Union National Bank, Aurora, 111 Apr. 22,1879 125, 000 National Bank of Menasha, Wis Apr. 26,1879 50, 000 National Exchange Bank, Jefferson City, Mo '" ' May 8,1879 50, 000 First National Bank, Hannibal, Mo May 15,1879 100, 000 Merchants' National Bank, Winona, Minn. Juno 16,1879 100, 000 Farmers' National Bank, Keithsburg, 111 July 3,1879 50, 000 First National Bank Franklin, Ky.. July 5,1879 100, 000 National Bank of Salem, Salem, Ind July 8,1879 50, 000 Fourth National Bank, Memphis, Tenn. July 19, 1879 125, 000 Bedford National Bank, Bedford, Ind... Julv 21,1879 100, 000 First National Bank, Afton, Iowa Aug. 15,1879 50, 000 First National Bank, Deer Lodge, Mont. Aug. 16,1879 50, 000 First National Bank, Batavia, 111 . . Aug. 30,1879 50, 000 National Gold Bank and Trust Company,' San Francisco, Cal '.. Sept. 1,1879 750, 000 Gainesville National Bank, Gainesville, I Ala . I Nov. 25,1879 100, 000 Fust National Bank, Hackensack, N. J.i Dec. 6,1879 100, 000 National Bank of Delavan, Delavan, i Wis ! Jan. 7,1880 50, 000 Mechanics' National Bank, Nashville, ' Tenn ! Jan. 13,1880 100, 000 Manchester National Bank, Manchester, ' Ohio do 50, 000 First National Bank, Meyersdalo, Pa J Mar. 5,1880 50, 000 First National Bank. Mifflinburg, Pa . . . Mar. 8,1880 100, 000 National Bank of Michigan, Marshall, i Mich ! May 14,1880 120, 000 National Exchange Bank, Houston, Tex Sept. 10,1880 100, 000 100, 000 Ascutney National Bank, Windsor, Vt. J Oct. 19,1880 60,000 First National Bank, Seneca Falls, N. Y Nov. 23,1880 First National Bank, Baraboo, Wis 50, 000 Nov. 27,1880 Bundy National Bank, New Castle, Ind. Dec. 6,1880 ! 50, 000 Vineland National Bank, Vineland, N. J. Jan. 11,1881 50, 000 Ocean County National Bank, Tom's i River, N. J j....do 100, 000 Hungerford, National Bank, Adams, N. Y Jan. 27,1881 50, 000 Merchants' National Bank, Minneapolis, Minn Jan. 31,1881 150, 000 Farmers' National Bank, Mechanicsburg, Ohio . . . Feb. 18,1881 100, 000 First National Bank, Green Spring, Ohio do 100, 000 First National Bank, Cannon Falls, Minn. I Feb. 21,1881 50, 000 First National Bank, Coshocton, Ohio..| do 50, 000 Manufacturers' National Bank, Three I Rivers, Mich I Feb. 25,1881 50, 000 First National Bank, Lansing, Iowa do 50, 000 First National Bank, Watertown, N. Y. May 26,1881 I 100, 000 First National Bank, Aiuericus, Ga June 17.1831 i 60, 000 First National Bank, St. Joseph, Mich..! June30,1881 50, 000 First National Bank, Logan, Ohio July 8,1881 ! 5% 000 First National Bank, Rochelle, 111 Aug. 9,1881 j 50, 000 First National Bank, Shakopee, Minn .. Aug. 10,1881 ! 50, 000 National State Bank, Oskaloosa, Iowa... Aug. 13,1881! i 50, 000 First National Bank, Hobart, N. Y Aug. 27, 1881 100, 000 Attica National Bank, Attica, N. Y Aug. 30,1881 i 50, 000 National Bank of Brighton, Boston, Mass.' Oct. 4,1881 300, 000 Clement National Bank, Rutland, Vt. *..| Aug. 1, 1881 100, 000 First National Bank, Lisbon, Iowa I Nov. 1.188L ! 50, 000 First National Bank. Warsaw, Ind I Dec. 1,1881 I 50, 000 Brighton National Bank, Brighton, Iowa.! Dec. 15,1881 I 50, 000 Merchants'National Bank, Denver, Colo. I Dec. 24,1881 120, 000 Merchants' National Bank, Holly, Mich. Dec. 31,1881 50, 000 First National Bank, Alliance, Ohio . . . Jan. 3,1882 50, 000 National Union Bank, New London, Conn Jan. 10,1882 300, 000 National Bank of Royalton, V t ....do 100, 000 *New bank with same title. -»•»•*- V^ *- VJ .1-1 C4. J. 1. I k? _A_1 CV l'J.\..» JJ-C4.X -LFCli.1 fi. j J.i\.fXl y ^ IT I. | \f f ^ m $45, 000 $44,103 110, 300 64, 600 26, 500 82, 000 44, 500 105,141 60, 447 24, 460 77, 885 43, 362 5,159 4,153 2,040 4,115 1,138 45, 000 88, 200 43, 357 82, 997 1,643 5, 203 35, 000 27, 000 54, 000 44,400 45, 000 87, 200 26, 500 45, 000 44, 300 j 34,122 25, 990 51, 570 43, 635 42, 340 85,110 25, 404 43, 820 42,110 878 1,010 2,430 765 2,660 2,090 1,096 1,180 2,190 40, 000 28, 810 11,190 90, 000 84, 761 86, 274 5,239 3,726 25, 420 1,580 90, 000 27, 000 82, 300 7,700 48, 303 30, 600 90, 000 100, 800 31, 500 90, 000 54, 000 27, 000 45, 000 45, 000 45, 550 29, 930 84, 185 95, 391 29, 536 85, 075 52, 548 26,149 44, 329 44,126 2,753 670 5,815 5,409 1,964 4,925 1,452 851 671 874 119, 405 111, 260 8,145 45, 000 41,164 90, 000 98, 268 95, 766 2,502 30,140 45,000 45, 000 53, 058 28, 935 43, 677 43, 950 51, 327 1,205 1,323 1,050 1,731 45, 000 45, 000 75, 510 45, 000 26, 500 45, 000 45, 000 45, 000 81,665 90, 000 45, 000 270, 000 43,7ol 43, 2 5 74, 825 43, 704 25,268 43, 215 43, 541 43, 205 77,125 84, 356 43, 480 254, 281 1,299 1,775 685 1,296 1,232 1,785 1,459 1,795 4,540 5,644 1,520 15, 719 43, 730 46, 580 43, 508 66, 790 43, 498 42,758 1,270 1,920 1,492 5,210 1,502 2,242 102,626 83, 799 10,192 6,201 45,000 48,500 45.000 72,000 45,000 45,000 112, 818 90, 000 ! ! j ] j 186 REPOET OF THE COMPTROLLER OF THE CURRENCY. NATIONAL BANKS THAT HAVE GONE INTO VOLUNTARY LIQUIDATION UNDER THE P R O VISIONS OF SECTIONS 5220 AND 5221 OF THE REVISED STATUTES, ETC.—Continued. Circulation. Name and location of Bank. Date of liquidation. Capital. Issued. First National Bank, Whitehall, N. T . . . Jan. 18,1882 1 National Bank of Pulaski, Tenn Jan. 23,1882 ! First National Bank, Alton, 111 Mar. 30,1882 ' Havana National Bank, Havana, N. Y . . Apr. 15,1882 First National Bank, Brownsville, P a . . . May 2,1882 Second National Bank, Franklin, Ind June 20,1882 Merchants' National Bank, Georgetown, Colo June 22,1882 Commercial National Bank, Toledo, Ohio. July 6,1882 Harmony National Bank, Harmony, P a . . July 7,1882 First National Bank, Liberty. Incl July 22,1882 Manufacturers' National Bank, Amsteri dam, N.Y Aug. 1,1882 j First National Bank, Bay City, Mich... Nov. 8,1882 First National Bank, Kipley, Ohio Nov. 10,1882 National Bank of State of "New York, New York, K.Y Dec. 6,3882 First National Bank, Wellington, Ohio.. Dec. 12,1882 Second National Bank, Jefferson, Ohio.. Dec. 26,1882 First National Bank, PainesYille, Ohio.. Dec. 30,1882 St. Nicholas National Bank, New York, N.Y .do. Fifth National Bank, Chicago, 111 do 1 First National Bank, Dowagiac, Mich.. Jan. 3,1883 | First National Bank, Greenville, 111 Jan. 9,1883 j Merchants' National Bank, East Saginaw, Mich I Jan. 9,1883 Logan County National Bank, Russellville,Ky , ! Jan. 9,1883 National Bank of Vandalia, 111 . ! Jan. 11,1883 Traders' National Bank, Charlotte, N.C .i Jan. 16,1883 First National Bank, Norfolk, Nebr... i Feb. 3,1883 I First National Bank, Midland City, Mich.* ^ Feb. 5,1883! Citizens' National Bank, New Ulm, Minn Mar. 1,1883 i National Bank of Owen, Owenton, K y . . Mar. 5,1883 | Merchants' National Bank, Nashville, Tenn: , i J u n e 30,1883 I Indiana National Bank, Bedford, Ind . . . i Aug. 25,1883 I Stockton National Bank, Stockton, Cal. 1 Oct. 1,1883 ! Wall Street National Bank, New York, I N.Y | Oct. 15,1883 j Commercial National Bank, Beading, Pa .: Oct. 23,1883 Corn Exchange National Bank, Chicago, 111.*... ! Nov. 1 ,1883 Farmers' National Bank, Sullivan, Ind. Dec. 24,1883 City National Bank, La Salle, 111.-. J a n . 8,1884 Hunt County National Bank, Greenville, Tex J a n . 22,1884 Waldoboro' National Bank, Waldob<ro', Me .. i Jan. 31,1884 Third National Bank, Nashville, Tenn.. Feb. 20,1884 Madison County National Bank, Anderson, Ind Mar. 25,1884 First National Bank, Phcenix, Ariz Apr. 7,1884 Cobbossee National Bank, Gardiner, Me Apr. 18,1884 Mechanics and Traders' National Bank, New York, N.Y Apr. 24,1884 Princeton National Bank, Princeton, N.J May 17,1884 Kearsarge National Bank, Warner, N.H... J u n e 30, ] 884 Second National Bank. Lansing,Mich.. J u l y 31,1884 First National Bank, Ellensburg, Wash Aug. 9,1884 German National Bank, Millerstown, Pa Aug. 12,1884 Exchange National Bank, Cincinnati, Ohio.. A u g . 27,1884 First National Bank, Rushville, 111 . . . .Sept, 30,1884 Mechanics' National Bank, Peoria, 111.. Oct. 4, 1884 First National Bank, Freeport, Pa Oct. 10,1884 $50, 70, 100, 50, 75, 100, Eetired. Outstanding. 000 000 000 000 000 000 $45, 000 43, 700 90,000 45, 000 67, 500 81, 060 $41, 256 40,298 84, 463 42, 729 61, 650 72,110 $3,744 3,402 5,537 2,271 5,850 8,950 50, 000 100,000 50,000 60,000 45,000 90, 000 45, 000 54, 000 43, 733 86, 320 42,150 51, 336 1,267 3,680 2,850 2,664 80,000 | 400,000 I 100,000 ! 72, 000 156,100 69, 201 68, 450 145, 594 61, 441 3,550 10, 506 7,760 800, 000 100,000 100, 000 200, 000 397, 90, 90, 162, 004 000 000 800 372, 85, 82, 147, 363 274 353 779 24,641 4,7267,647 15, 021 500, 500, 50, 150, 450, 29, 45, 59, 000 700 000 400 408, 21, 42, 53, 787 278 578 095 41,213 8,422 2,422 6,305 000 000 000 000 200, 000 101,100 91, 847 9,253 50, 000 100, 000 40, 050 90, 000 38, 280 81, 710 1,770 8,290 50, 000 45, 000 38, 800 11, 240 36, 699 10, 730 2,101 510 50, 000 5tf, 000 27, 000 48, 900 24, 600 44, 560 2,400 4,340 300, 000 35, 000 100, 000 141, 200 11, 250 90, 000 122, 270 11, 250 82, 690 18, 930 500, 000 102, 800 89, 202 13, 598 150, 000 30,000 7,310 135, 000 119, 570 15, 430 000 000 000 250 45, 000 22, 500 39,280 17, 790 5,720 4,710 17, 300 13, 810 3,490 50,000 300, 000 44,000 167, 600 38,490 150,380 5,510 17, 220 50, 000 50, 000 45, 000 11, 240 41, 820 3,180 820 700, 50, 100, 68, 10, 420 150, 000 90, 000 200, 000 85,400 100, 000 72, 500 50, 000 50, 000 50, 000 23, 586 40, 000 13, 500 50, 000 45, 000 36, 275 8,725 78,000 66, 500 72, 000 44,200 63, 582 53, 395 58, 630 35,500 14,418 13.105 13,370 8,700 11, 87T 78,123 13,080 72,320 500,000 ! 75,000 I 100, 000 50,000 5,465 67, 035 21, 730 33,337 11, 550 1,85ft 6,663 1,950 187 REPORT OF THE COMPTROLLER OF THE CURRENCY. NATIONAL BANKS THAT HAVE GONE INTO VOLUNTARY LIQUIDATION UNDER THE PROVISIONS OF SECTIONS 5 22 AND 5221 OF THE REVISED STATUTES, ETC.—Continued. *-0 Circulation. Name and location of bank. Date of liquidation. Capital. Issued. | Retired. Genesee County National Bank, Bata$50, 000 via, N.Y...-.' Oct. 11,1884 $45, 000 50, 000 22,150 Valley National Bank, Red Oak, Iowa.. Oct. 20,1884 Merchants' National Bank, Bismarck, 73, 000 22,500 j Dak Oct. 28, 1884 Manufacturers' National Bank, Minne300, 000 45,000 j apolis, Minn Nov. 1, 1884 Farmers and Merchants' National Bank, 50, 000 34,600 j Nov. 10, 1884 Uhrichaville, Ohio Metropolitan National Bank, New York, N.Y . ! Nov. 18, 1884 3, 000, 000 1,447,000 | First National Bank, Grand Forks, Dak.I Dec. 2, 1F84 i 50, 000 19,250 i I Dec. 8, 1884 ' 50, 000 11,250 j Iron National Bank, Gunnison, Colo Freehold National Banking Company, 50, 000 93, 000 Freehold, N . J ".. | Dec. 10, 1884 50, 000 ! Dec. 16, 1884 ' 11, 240 Albia National Bank, Albia, Iowa 50, 000 22,450 : First National Bank, Carlinville, 111 '....do 100, 000 90,000 ! Freeman's National Bank, Augusta, Me Dec. 26, 1884 250, 000 45,000 i First National Bank, Kokomo, Ind Jan. 1, 1885 50, 000 10,740 I First National Bank, Sabetha, Kans i Jan. 2, 1885 50, 000 11,200 j First National Bank, Wyoming, 111 Jan. 13,1885 50, 000 42, 500 : First National Bank, Tarentum, Pa ..do 60, 000 Jan. 21, 1885 30,000 I First National Bank, "Walnut, 111 50, 000 10,740 ' Farmers' National Bank,Franklin, Tenn. Jan. 24, 1885 50, 000 11, 240 I Citizens'National Bank, Sabetha, Kans. Jan. 27, 1885 100, 000 Jan. 31, 18.^5 28,100 i First National Bank, Tucson, Ariz 50, 000 16,200 j Ripon National Bank, Ripon, Wis . . ; . . . Feb. 7,1885 50, 000 27,350 j Farmers' National Bank, Franklin, Ohio. Apr. 1,1885 50, 000 Apr. 9,1885 11.250 ! First National Bank, Prescott, Ariz 50, 000 Apr. 28,1885 43,800 i National Union Bank, Swanton, Vt . . 175, 300 120,100 I German National Bank, Memphis. Tenn. M a y 6,1885 Merchants and Farmers' National Bank, May 12,1885 50, 000 Shakopee, Minn 10,240 | May 16, 1885 60, 000 First National Bank, Superior, AVis 18,900 | Shetucket, National Bank, Norwich, ! May 18,1885 100, 000 Conn 72,000 | Cumberland National Bank, Cumber- i 106,200 land, R.I I June 5,1885 125, 000 100,000 66, 800 First National Bank, Columbia, Tenn.. ! July 14,1885 25, 100 Union National Bank, New York, N.Y ' July 21,1885 1,200,000 50, 000 27, 350 First National Bank, Centreville, Ind .. Oek 3,1885 Manufacturers' National Bank, AppleOct. 10,1885 50, 000 45, 000 ton, Wis 50, 000 11, 250 First National Bank, Plankinton, Dak.. I Oct. 21,1885 250, 000 44, 960 Valley National Bank, St. Louis, Mo.... Dec. 4,1885 Jan. 6,1886 50, 000 23, 490 First National Bank, Belton. Texas Feb. 15,1886 50, 000 26, 500 First National Bank, Granville, Ohio Concordia National Bank, Concordia, Mar. 12,1886 11,240 50, 000 Kans Mar. 22,1886 50, 000 11,240 Citizens' National Bank, Beloit, Wis Mar. 24,1886 50, 000 13, 490 First National Bank, Dayton, Wash I Apr. 14,1886 100, 000 89, 520 First National Bank, Ma'comb, 111 | Apr. 20,1886 25, 760 50, 000 .First National Bank, Jesup, Iowa May 8,1886 33, 750 150, 000 Dallas National Bank, Dallas, Tex 45, 000 50, 000 First National Bank^ Lewistown, 111. . . May 12,1886 35, 490 100, 000 First National Bank, Cedar Rapids, Iowa. ! May 28,1886 1 15, 500 50, 000 First National Bank, Socorro, N. Mex.. July 31.1886 Custer County National Bank, Broken j Aug. 9,1886 50, 000 11, 240 Bow, Nebr 50, 000 11, 250 Roanoke National Bank, Roanoke, Va .. ! Sept. 16,1886 do 50, 000 39, 680 First National Bank, Brownville, Nebr.. i 50, 000 j S e p t . 25,1886 13,410 First National Bank, Leslie, Mich Mount Vernon National Bank, Mount Oct. 11,1886 51,100 45, 000 Vernon, 111 Oct. 14,1886 50, 000 45, 000 National Bank of Piedmont, W. Va . 50,000 '• 39, 310 First National Bank, St. Clair, Mich.... Oct. 20,1886 50,000 j 45, 000 ':Oct. 21,1886 First National Bank, Milford, Mich 125,000 96,140 National Bank of King wood, W. Va.... Oct. 21,1886 50,000 ! 45, 000 Merchants' National Bank, Lima, Ohio. Oct. 22,1886 50,000 i 45, 000 Hubbard National Bank, Hubbard, Ohio. Oct. 23,1886 1 Commercial National Bank, MarshallOct. 25,1886 100,000 i 22. 500 town, Iowa 500,000 i 162, 325 First National Bank, Indianapolis, Ind.. Nov. 11,1886 N o v . 27,1886 50,000 | First National Bank, Concord, Mich 11, 250 Jamestown National Bank, Jamestown, Nov. 29,1886 50, 000 Dak 11, 250 Outstanding. $41, 000 18, 570 $4, 000 3,580 20, 4oO 2,070 36,520 8,480 28,530 1,151, 200 18,150 9,440 6,070 295, 800 1,100 1,810 90, 770 13, 345 920 2,645 15, 356 6,190 995 2,360 8,170 6, 620 1, 300 1,150 2,100 2,015 3,670 1,910 8,180 29, 330 8, 930 17, 760 1,310 1,140 79, 655 10, 320 19, 805 74, 644 38, 810 9,745 8,840 34, 330 29, 380 9, 440 10, 090 26,000 14, 185 23,630 ! 9,340 35, 620 59, 058 12,942 86, 377 ! 19,823 15,319 12,463 6,000 36, 287 | 8,210 30,710 ! 17,340 8,713 3,040 14, 250 6,150 6,090 51,481 58 12,637 ! 21,350 I 20,410 I 9,350 j 8,320 11,830 60, 678 22,120 22,500 29,180 23, 084 10, 610 1,890 2,920 1,660 28, 842 3,640 11,250 15, 820 12, 406 4,890 11, 240 7,770 24, 946 9,440 3,480 14, 734 3,970 31,536 28, 930 28, 634 26, 650 57, 810 27, 640 32,199 13,464 16, 070 10, 676 18, 350 38,330 17, 360 12, 801 13,860 99, 895 8,990 8,640 62,430 2,260 6,420 4,830 188 REPORT OF THE COMPTROLLER OF THE CURRENCY. NATIONAL BANKS THAT HAVE GONE INTO VOLUNTARY LIQUIDATION UNDER THE PRO- VISIONS OF SECTIONS 5*220 AND 5221 OF THE REVISED STATUTES, ETC.—Continued. Circulation. Name and location of bank. Date of liquidation. Capital. Outstanding. Issued. First National Bank, Berea, Ohio Dec. 1,1886 First National Bank, Allerton, Iowa... Dec. 6,1886 Second National Bank, Hillsdale, Mich. Dec. 18 1886 Dec. 28,1886 Topton National Bank, Topton, Pa Dec. 31, 1886 First National Bank, Warsaw, 111 First National Bank, Hamburg, Iowa... Dec. 31,1886 Darlington National Bank, Darlington, S.C Feb. 10,1887 Union National Bank, Cincinnati, Ohio.. Feb. 14,1887 Roberts National Bank, Titusville, Pa .. Feb. 28,1*87 National Bank of Rah way, N. J Mar. 9,1887 Olney National Bank, Olney, 111 Mar. 11,1887 Metropolitan National Bank, Leavenworth, Kans M a r . 15,1887 Ontario County National Bank, Canandaigua, N.Y Mar. 23,1887 Winsted National Bank, Winsted, Conn Apr. 12,1887 Council Bluffs National Bank, Council Bluffs, Iowa May 5,1887 First National Bank, Homer, III June 22,1887 First National Bank, Beloit, Wis June 30,1887 Mystic Nation il Bank, Mystic, Conn July 7,1887 Exchange National Bank,"Louisiana, Mo. July 12,1887 Exchange National Bank, Downs, Kans. Aug. 1,1887 First National Bank, Tecumseh, Nebr... Nov. 3,1887 Third National Bank, St. Paul, Minn Nov. 4,1887 First National Bank, Marshall, Mo Dec. 6,1887 First National Bank, Greene, Iowa Dec. 15,1887 Fulton National Bank, New York, N. Y.*. Dec. 20,1887 Fayetteville National Bank, Fayetteville, N. C Dec. 31,1887 National Bank of Somerset, Ky ....do First National Bank, Richburgh, N. Y... Jan. 10,1888 Scituate National Bank, North Scituate, R.I Jan. 11,1888 National Bank of Franklin, Ind J a n . 31,1888 First National Bank, Hampton, Iowa Feb. 1,1888 First National Bank, Greens burg, Kans Feb. 10,1888 First National Bank, Central City, Nebr. Feb. 11,1888 Duluth National Bank, of Duluth, Minn Feb. 20,1888 Bismarck National Bank, Bismarck, Dak Mar. 1, 1888 First National Bank, Ashton, Dak Mar. 6,1888 Citizens' National Bank, Sioux Falls, Dak Apr. 24,1888 First National Bank, Stanton, Mich Apr. 30,1888 First National Bank, Fairmont, Nebr ... May 1,1888 First National Bank, Greenleaf, Kans ... May 9,1888 National Bank Genesee, Batavia, N. Y.. May 21,1888 Strong City National Bank, Strong City, Kans May 26,1888 Citizens' National Bank, Saginaw, Mich. June 1,1888 Saugerties National Bank, Saugerties, June 16,1888 Hyde National Bank, Titusviile, Pa ..... June 21,1888 State National Bank, Omaha, Nebr July 18,1888 Cincinnati National Bank, Cincinnati, Ohio Aug. 1,1888 First National Bank, Worthingt on, Minn. Sept, 5, 1888 South Framingham National Bank, SoutL Framingham, Mass Sept. 8, 1888 First National Bank, Grass Valley, Cal. Sept.18, 1888 First National Bank, CawkerCity, Kans Oct. 9, 1888 Merchants' National Bank, West Vir- j ginia, Mor<£antown, W. Va Oct. 4. 188S First National Bank, Alameda, Cal I Sept. 4, 1888 San Diego National Bank, San Diego, Cal Nov. 7, 1888 National Exchange Bank, Auburn, N. Y. Nov. 16, 1H88 National Bank, Dayton, Wash Nov. 21, 1888 First National Bank. Colby, Kans . . . . . ....do First National Bank, Russell Springs, Kans ....do ! First National Bank, Columbia, Dak"'". Nov. 26, 1888 ! Citizens' National Bank, Kingman, Kam Dec. 24, 1888 J Bowery National Bank, New York, N. Y Jan. 2, 1889 Second National Bank, Ionia, Mich Jan. 8, 1889 | * No circulation. $50, 000 50, 000 50, 000 50. 000 50, 000 50, 000 $45, 000 11,250 13, 892 18, 000 38, 250 13, 500 $31, 870 8,260 8,471 10,410 31, 875 8,635 $13,130 2,990 5,421 7,590 6,375 4,865 100, 000 500, 000 100, 000 100, 000 60, 000 22, 500 237, 230 75, 610 42, 500 27, 000 16, 590 155,362 48, 770 24, 965 18, 560 5,910 81, 868 26, 840 17, 535 8,440 100, 000 22, 500 13, 070 9,430 50,000 50, 000 11, 250 11, 250 8,860 7,195 2,390 4,055 100,000 | 50,000 | 50,000 i 52,450 | 50,000! i 50,000 50,000 I 500,000 100, 000 50, 000 300, 000 22, 500 11, 250 11, 250 47, 205 11, 250 11, 250 11, 700 45, 000 22, 500 10, 750 11,900 9,265 7,420 32,148 7,185 5, 925 7, 540 24, 540 13, 970 5,340 10, 600 1,985 3, 830 15, 057 4,065 5,325 4,160 20,460 8, 5B0 5,410 200,000 50,000 | 50,000 ! | 56,000 j 50,000 ! 50,000 I 50,000! 50,000 | 300,000 ! 50,000 i 50,000 j 50,000 ! 50,000 50, 000 50, 000 75, 000 39, 580 45, 000 25, 905 23,106 19, 015 17, 540 16, 474 25, 985 8,365 35, 018 11,250 11, 250 11,240 10, 710 45, 000 11, 250 11, 250 11, 250 11, 250 11, 250 11, 250 44, 434 18, 869 6,115 6, 170 4,560 6,210 19,130 6,170 5,070 4,840 5,710 5,920 4,850 19, 564 16.149 5,135 5,080 6,680 4,500 25, 870 5,080 6,180 6,410 5, 540 5,330 6,400 24, 870 5,260 17, 670 5,990 27, 330 125, 000 300, 000 100, 000 11, 250 45, 000 93, 316 74, 730 22, 500 40, 320 29, 080 9,250 52, 996 45, 650 13, 250 280, 000 75, 000 52, 510 16,875 16, 360 7,330 36.150 9,545 100, 000 50, 000 50,000 21, 720 11, 250 11,250 7,990 3,740 3,780 13, 730 7,510 7,470 110, 000 ! 100, 000 80,830 27,000 25, 640 10, 130 55,190 16, 870 100,000 200,000 50,000 50, 000 22,500 i 97,520 ; 11,250 11, 250 7,200 29, 670 3,040 3,700 15, 300 67, 850 8,210 7,550 1,840 4,000 2, 500 61, 060 5,752 8, 850 7,250 8, 750 156, 65o 16,118 50, 000 100, 000 50, 000 50, 000 50, 000 250,000 50, 000 ! ! i i 10, 690 11, 250 11, 250 217, 710 21, 870 REPORT OF THE COMPTROLLER OF THE CURRENCY. 189 NATIONAL BANKS THAT HAVE GONE INTO VOLUNTARY LIQUIDATION UNDER THE PRO- VISIONS OF SECTIONS 5220 AND 5221 or THE REVISED STATUTES, ETC.—Continued. Circulation. Name and location of bank. Date of liquidation. First National Bank, Johnstown, N. Y.. Jan. 16, 1889 Fir-t National Bank, Canandaigua, N. Y Jan. 26, 1889 Pendleton National Bank, Pendleton, Feb. 4, 1889 Oregon Iowa City National Bank, Iowa City.Iowa Feb. 7, 1889 Fleming County National Bank, FlemFeb. 9, 1889 ingsburg, Ky Merchants' National Bank, El Dorado, Feb. 26, 1889 Kans . . . . . Merchants' National Bank, DesMoines, Mar. 1, 1889 Iowa Norwich National Bank, Norwich, Conn Mar. 15, 1889 I Mar. 27, 1889 First National Bank, Franklin, Nebr Farmers and Mechanics' National Bank, Apr. 3, 1889 Buffalo, N. Y First National Bank, Du Bois City, Pa.. Apr. 8, 1889 First National Bank, Cimarion, Kans .. Apr. 27, 1889 Traders' National Bank, San Antonio, Apr. 29, 1889 Tex Merchants* National Bank, Duluth,Minn May 20, 1889 Wright County National Bank, Clarion, June 19, 1889 Iowa June 29, 1889 National Bank, Lawrence, Kans National Bank, Le Roy, N. Y ....do Halstead National Bank, Halstead.Kans ....do Farmers' National Bank, Mount SterJuly 1, 1889 ling, Ky July 1, 1889 First National Bank, Keyport, N. J July 3, 1889 National Bank, Huntsvilie, Ala German National Bank, Newton, Kans . July 19, 1889 First National Bank, Clay Center, Nebr. Aug. 8, 1889 Yernon National Bank, Vernon, Tex. *.. Aug. 17, 1889 Aug. 23, 1888 Butler National Bank, Butler, Mo Second National Bank, Lebanon, Tenn.. Sept.18, 1889 Oct. 1, 1889 National Bank, Kinderhook, N. Y Total. Capital. Issued. Retired. Outstanding. $100, 000 75, 000 17,100 $24, 353 14, 710 $62, 237 2,390 50, 000 200,000 11,250 45, 000 3,340 8, 830 7,910 36,170 20, £98 50, 000 26, 622 5,724 100, 000 22, 500 3,980 18, 520 100, 000 220, 000 60, 000 22, 500 77,150 13, 000 6,675 15, 640 2,924 15, 825 61, 510 10, 076 200, 000 50, 000 50, 000 26,100 11, 250 10,170 2,354 1,880 1,880 23, 746 9,370 8,290 100, 000 200, 000 22, 500 45, 000 3,770 4,830 18, 730 40,170 50, 100, 100, 50, 000 000 000 000 11, 49, 22, 11, 250 809 500 250 1,350 3,840 3,080 3,130 9,900 45,969 19,420 8,120 250, 000 50, 000 50, 000 60, 000 50, 000 60, 000 66,000 50, 000 125, 000 195, 11, 44, 13, 11, 680 250 900 500 250 14, 200 1,720 2,940 1,250 181,480 9,530 41,960 12,250 11,250 14, 850 11, 250 28, 290 200 14, 650 11, 250 28,290 68, 395, 710 * No circulation. 39, 761,466 36,105,179 3, 656, 287 190 REPORT OF THE COMPTROLLER OF THE CURRENCY. NATIONAL BANKS THAT HAVE GONE INTO VOLUNTARY LIQUIDATION UNDER THE P R O VISIONS OF SECTIONS 5220 AND 5221 OF TUB REVISED STATUTES OF THE UNITED STATES, FOR THE PURPOSE OF ORGANIZING XKW ASSOCIATIONS WITH THE SAME OR DIFFERENT TLTLE, WITH D \ T E OF LIQUIDATION, AMOUNT OF CAPITAL, CIRCULATION ISSUED, RETIRED, AND OUTSTANDING ON OCTOBER 31, 1889. Circulation. Name and location of bank. Date of liquidation. First Nat:onal Bank, Rondout, N. Y ! Oct. 30,1880 First National Bank, Huntington, Ind.. I Jan. 31,1881 First National Bank, Indianapolis, In,d.. I July 5,1881 First National Bank, Valparaiso, Iud... ! Apr. 24,1882 First National Bank, Still water, Minn.. I Apr. 29,1882 First National Bank, Chicago, III do First National Bank, Woodstock, 111 Apr. 30,1882 Second National Bank, Cincinnati, Ohio. Apr. 28,1882 j Second National Bank, New York, N. Y. do ' First National Bank, Portsmouth, N. H. Apr. 29,1882 | First National Bank, Richmond, Ind May 5,1882 I Second National Bank, Cleveland, Ohio. May 6,1882 i First National Bank, New Haven, Conn. . . . do ! First National Bank, Akron, Ohio May 2,1882 ! First National Bank, Worcester, Mass.. May 4,1882 '. First National Bank, Barre, Mass May 9,1882 | First National Bank, Davenport, Iowa.. do | First National Bank, Kendallville, Ind.. May 12,1882 i First National Bank, Cleveland, Ohio... May 13, 1882 I First National Bank, Youngstown, Ohio. May 15,1882 i do First National Bank, Evansville, Ind First National Bank, Salem, Ohio ....do First National Bank, Scranton, Pa May 18,1882 First National Bank, Centreville, Ind... . . . . d o First National Bank, Fort Wayne, Ind.. May 22,1882 First National Bank, Strasburg, Pa ....'do First National Ban k, Marietta, Pa May 27,1882 First National Bank, La Fayette, Ind... May 31,1882 First National Bank, McConnelsville, Ohio ....do I First National Bank, Milwaukee, Wis. do i Second National Bank, Akron, Ohio ....do I First National Bank, Ann Arbor, Mich. J u n e 1,1882! First National Bank, Geneva, Ohio do ! First National Bank, Oberlin, Ohio .do . First National Bank, Philadelphia, Pa.. June 10, 1882 | First National Bank, Troy, Ohio ....do .. Third National Bank, Cincinnati, Ohio . June 14, 1882", First National Bank, Cambridge City, i Ind June 15, 1882 ' First National Bank, Lyons, Iowa ....do., First National Bank, Detroit, Mich /une 17, 1882" First National Bank, Wilkes Barre, Pa. June 20, 1882 First National Bank, Iowa City, Iowa.. June 24, 1882 First National Bank, Nashua, N. H ....do .. First National Bank, Johnstown, Pa ....do . First National Bank, Pittsburgh, Pa ... June 29, 1882" First National Bank, Terre Haute, Ind. ....do .. First National Bank, Hollidaysburg, Pa June 30, 1882" First National Bank, Bath, Me ....do .. First National Bauk, Janesville, Wis... ....do .. FirstNational Baijk, Michigan City, Ind. ....do .. First National Bank, Momuouth, 111 ... July 3,1882 July 11, 1882 First National Bauk, Marion, Iowa First National Bank, Marlboro', Mass... Aug. 3, 1882 Oct. 3,1882 National Bank of Stanford, Ky First National Bank, Sandusky, Ohio... Oct. 6,1882 First National Bank, Sandy Hill, N. Y.. Dec. 31, 1882 First National Bank, Lawrenceburg, Ind ... Feb. 24,1883 ! FirstNational Bank, Cambridge, Ohio.. . . . . d o I FirstNational Bank, Oshkosh, Wis. ....do First National Bank, Grand Rapids, Mich ...do First National Bauk, Delphos, Ohio ...do First National Bank, Freeport, 111 ...do First National Bank, Elyria. Ohio ....do First National Bank, Troy, N. Y ...do Second National Bank, Detroit, Mich... . . . . d o Second National Bank, Peoria, 111. ....do National Fort Plain Bank, Fort Plain, N.Y .do. Capital. Issued. Retired. Outstanding. $300, 000 100, 000 300, 000 50, 000 130, 000 1, 000, 000 50, 000 200, 000 300,000 : 300,000 I 200,000 j 1,000,000 i 500,000 I 100, 000 300, 000 150, 000 100,000 150, 000 300, 000 500, 000 500, 000 50, 000 200, 000 50, 900 300, 000 100, 000 100, 000 150, 000 $270, 000 90, 000 279, 248 45, 000 83, 436 90, 000 45, 000 180,000 376, 890 286, 000 87, 400 510, 800 355, 310 114, 822 252, 000 135, 000 45, 000 90, 000 266, 462 441, 529 442, 870 110, 540 45, 000 64,525 45, 000 79, 200 99, 000 175, 060 50, 000 200, 000 100, 000 100, 000 100, 000 50, 000 1, 000, 000 200, 000 800,000 84, 640 229,170 102, 706 85, 078 90, 000 58, 382 799, 800 180, 000 609, 500 77, 857 212,212 94, 854 78, 919 81, 350 52, 494 715, 810 167,117 556, 690 6,783 16, 958 7, 852 6,159 8,650 5,888 83, 990 12, 883 52, 810 50, 000 100, 000 500, 000 375, 000 100, 000 100, 000 60, 000 750,000 200, 000 50, 000 200, 000 125, 000 100,000 75, 000 50, 000 200, 000 150, 000 150,000 50,000 45, 000 90, 000 336, 345 337, 500 88, 400 90, 000 54, 000 594, 000 141,575 45, 000 180, 000 121, 050 45, 000 45, 000 45, 000 180, 000 135, 000 90, 000 45, 000 40, 436 80, 054 317, 608 309, 585 83,195 81, 645 49, 411 546, 635 128, 528 42, 245 165, 778 111, 510 43, 552 42, 874 42,444 167, 419 126, 199 81,101 41, 000 4,564 9,946 18, 737 27, 915 5,205 8,355 4,589 47, 365 13, 047 2,755 14, 222 9,540 1,448 2,126 2, 556 12, 581 8,801 8,899 4,000 100, 000 100, 000 100,000 90, 000 80,800 47, 800 73, 408 44, 940 6,132 7,392 2,860 400,000 i 50, 000 | 100,000 100, 000 300, 000 1, 000, 000 100, 000 155, 900 45, 000 53, 500 90, 000 229, 550 363, 700 90, 000 147,049 41,149 50, 4] 2 82,125 212,142 328, 239 76, 328 8,851 3,851 3,088 7,875 17, 408 35, 461 13, 672 200,000 : 174,300 159, 361 14,939 $252, 620 $17, 380 86, 230 ' 3,770 252, 936 26, 312 2,328 42, 672 3.364 80, 092 9, 257 80, 743 2,340 42, 660 164, 425 15,575 351, 080 25, 810 265, 101 20, 899 8,915 78, 485 466, 220 44. 580 333, 460 21, 850 103, 249 11, 573 236, 861 15,139 10, 069 124, 931 40, 298 4,702 83, 599 6,401 241, 429 25, 033 " 416,185 25, 344 406, 660 36,210 102, 295 8, 245 38, 650 6,350 59, 672 4,853 38,324 6,676 73, 677 5,523 90, 355 8,645 161, 280 13, 780 191 REPORT OF THE COMPTROLLER OF THE CURRENCY. NATIONAL BANKS THAT HAVE GONE INTO VOLUNTARY LIQUIDATION UNDER THE PROVISIONS OF SECTIONS 5220 AND 5221 OF THE REVISED STATUTES, ETC.—Continued. Circulation. Name and location of bank. Date of liquidation. Capital. Issued. Logansport National Bank, Logansport, ! Iud Dec. 1,1883 i $100, 000 50, 000 National Bank of Birmingham, Ala May 14,1884 | First National Bank, Westfield, N . T . . . June 1,1884 j 50, 000 First National Bank, Independence, ! Iowa | Oct. 31,1884 i 100,000 I First National Bank, Sturgis, Mich Dec. 31,1884 | 50,000 ! National Bank of Rutland", Vt Jan. 13,1885 ; 500,000 Kent National Bank, Chestertown, Md.J Feb. 12,1885 ; 50,000 National Fulton County Bank, Glovers! ville, N.T '. Feb. 20,1885 ' 150, 000 80, 000 First National Bank, Centralia, 111 Feb. 25,1885 ! 75, 000 National Exchange Bank, Albion, Mich.! Feb. 28,1885 ! First National Bank, Paris, Mo. j Mar. 31,1885 I 100, 000 50,000 First National Bank, Yakima, Wash June 20, 1885 ! First National Bank, Flint, Mich June 30,1885 j 200, 000 200, 000 Farmers' National Bank, Stanford, Ky . Dec. 31,1888 50, 000 Adams National Bank, Adams, N. Y July 10,1889 Total. Outstanding. Retired. $16, 850 45,000 j 42, 800 $14, 290 | 41,059 j 36,169 i $2, 560 3,941 6,631 90, 43, 238, 18, 77,040 38,600 199,432 14, 750 12, 960 5, 250 39, 2fi8 3,450 000 850 700 200 i ! j | 112,708 56, 380 23, 933 70,105 11, 850 96,162 10, 870 1,310 22, 292 14, 220 6,667 19, 050 2,800 26, 338 34,130 10, 930 17,820,000 | 12,487,953 ! 11,356,390 1,131,563 135, 000 70, 600 30, 600 89,155 14, 650 122,500 ! 45,000 i 12,240 I 192 REPORT OF THE COMPTROLLER OF THE CURRENCY. NAMES OF BANKS IX LIQUIDATION UNDER SECTION 7, ACT JULY 12, 1882, WITH DATE OP EXPIRATION OF CHARTER, CIRCULATION ISSUED, RETIRED, AND OUTSTANDING OCTOBER 31, 18S9. Circulation. Name and location of bank. First National Bank, Pontiac, Mich First National Bank, Washington, Iowa First National Bank, Fremont, Ohio Second National Bank, Dayton, Ohio ... First National Bank, Girard, Pa First National Bank, Xeuia, Ohio First National Bank Peru, 111 First National Bank, Elmira, N. Y First National Bank, Chittenango, N. Y First National Bank, Eaton, Ohio First National Bank, Leominster, Mass.. First National Bank, Winona, Minn American National Bank, Hallowell, Me. First National Bank, Attica, Ind Citizens' National Bank, Indianapolis, Ind. First National Bank, North East, Pa First National Bank, Galva, 111 First National Bank, Thorntown, Ind ... Muncie National Bank, Muncie, Ind Merchants' National Bank, Evansville, Ind Saybrook National Bank, Essex, Conn... Union National Bank, Albany, N. Y Battenkill National Bank, Manchester, "Vt First National Bank, Owosso, Mich Coventry National Bank, Anthony, E. I. State National Bank, Keokuk, Iowa Tolland County National Bank, Tolland, Conn. City National Bank, Hartford, Conn West River National Bank, Jamaica, Vt. Na tjonal Bank, Lebanon, Tenn Greene County National Bank, Springfield Mo. Union Stock Yards National Bank, Chicago, 111. Total Date of liquidation. Dec. 31.1881 Apr. 11,1882 May 22,1882 May 26,1882 Juiie 1,1882 Feb. 24,1883 ....do ....do ....do July 4,1884 July 5,1884 Jul"y 21,1884 Sept. 10,1884 Oct. 28,1884 Nov. 11,1884 Dec. 23,1884 Jan. 2,1885 Jan. 13,1885 Jan. 28,1885 Feb. 6,1885 Feb. 20,1885 Mar. 7,1885 Mar. 21,1885 Apr. 14,1885 Apr. 17,1885 May 23,1885 June 6,1885 June 9,1885 Aug. 17,1885 Aug. 30,1886 Feb. 8,1888 Feb. 29,1888 Capital. Issued. Retired. $50, 000 100, 000 100, 000 300, 0(;0 100, 000 120, 000 100, 000 100,000 150,000 50, 000 300, 000 50, 000 75, 000 56, 000 300, 000 $88, 890 88, 565 90, 000 262, 941 90, 000 108, 000 45, 000 90, 000 135, 000 44, 300 244, 400 44, 200 67, 500 50, 400 87, 800 $81, 797 81, 868 82, 269 238, 266 84,185 98, 230 39, 408 82, 240 128,411 36,195 214, 920 39, 965 57, 915 44,917 67, 706 50, 50, 50, 200, 250, 24, 36, 43, 161, 90, 21, 29, 34, 132, 70, 000 000 000 000 000 550 000 740 000 8C0 039 864 920 076 904 100, 000 250, 000 75, 000 61, 200 144, 400 57, 700 52, 610 127, 785 47, 239 60, 000 100, 000 150,000 100, 000 47, 700 89, 000 45, 000 44,100 40, 629 87, 399 32,125 35, 602 550, 60, 50, 100, 90, 54, 24, 22, 69, 44, 15, 10, Outstanding. $7, 093 6,697 7,731 24, 675 5, 815 9,770 5,592 7,760 6,589 8,105 29, 480 4,235 9,585 5,483 20, 094 3, 511 6,136 8,820 28, 924 19, 896 8,590 16, 615 10,461 500, 000 45, 000 19, 068 7,071 1,601 12, 875 8,498 20, 206 9,946 9,060 12, 420 25, 932 4, 646, 000 2,618, 236 2, 248, 970 369, 266 000 000 000 000 000 000 550 500 794 054 490 080 REPORT OP THE COMPTROLLER OF THE CURRENCY. 193 NAMES O F BANKS I N LIQUIDATION UNDER SECTION 7, A C T J U L Y 12, 1882, W I T H D A T E O F E X P I R A T I O N O F CHARTER, CIRCULATION ISSUED, R E T I R E D , AND O U T - STANDING, SUCCEEDED BY ASSOCIATIONS WITH THE SAME OR DIFFERENT TlTLE, ' OCTOBER 31, 1889. Circulation. Name and location of bank. Date of liquidation. Capital. Issued. First National Bank of Kittanning, Pa.. July 2,1882 ! $200, 000 National Bank of Beaver County, New Brighton, Pa Nov. 12,1884 200, 000 National Bank of Beaver Dam, Wis ... Dec. 24,1884 ! 50, 000 Merchant's National Bank, Cleveland, Dec. 27,1884 i Ohio 800, 000 Dec. 29,1884 1, 000, 000 Union National Bank, Chicago, 111 Jan. 2,1885 First National Bank, Le Roy, N. Y 150, 000 Evansville National Bank, 'Evansville, Ind Jan. 3,1885 800, 000 National Albany Exchange Bank, Albany, N.T...1 Jan. 10,1885 300, 000 National Bank, Galena, 111 Jan. 11,1885 100,000 National State Bank, La Fayette, Ind .. Jan. 16,1885 300, 000 60,000 First National Bank, Knoxville, 111 ....do 100,000 Farmers' National Bank, Ripley, Ohio .. Jan. 17,1885 300, 000 City National Bank, Grand Rapids, Mich. Jan. 21,1885 100, 000 Lee County National Bank, Dixon, 111......do Fort Wayne National Bank, Fort Wayne, Ind Jan. 25,1885 350, 000 National Exchange Bank, Tiffin, Ohio... I Mar. 1,1885 125, 000 200,000 National Bank, Malone, N. Y M a r . 9,1885 Jefferson National Bank, Steubenville, Ohio Mar. 21,1885 150, 000 First National Bank, Battle Creek, Mich. Mar. 28,1885 100, 000 Central National Bank, Danville, Ky ... !....do 200, 000 Knox County National Bank, Mount ! Vernon, Ohio 75, 000 Apr. 1,1885 First National Bank, Houghton, Mich.. Apr. 18,1885 100, 000 National Bank. Fort Edward, N. Y 100, 000 Apr. 22,1885 National Bank, Salem, N. Y 100, 000 May 4,1885 National Exchange Bank, Seneca Falls, N.Y .! May 6,1885 100, 000 Trurabull National Bank, Warren, Ohio July 5,1885 150, 000 Attleborough, National Bank, North At- July 17,1835 100, 000 tleborough, Mass 400, 000 American National Bank, Detroit, Mich. July 24,1885 Aug. 12,1885 125, 000 First National Bank, Paris, 111 Aug. 14,1885 50, 000 First National Bank, St. Johns, Mich.... 100, 000 Second National Bank, Poutiac, Mich... Sept. 1,1885 400, 000 Italeigh National Bank of North Caro- Sept. 5,1885 lina, Raleigh, N. C 150, 000 First National Bank, Danville, Ky i Sept. 22,1885 400, 000 Ohio National Bank, Cleveland, Ohio ... Jan. 1,1889 Apr. 7,1889 100, 000 National Bank of Lebanon, Ky 13* $199,500 $182,190 $17, 310 97,300 41,100 80, 018 36, 279 17,282 4,821 228,100 62, 800 135, 000 180, 024 42, 230 112, 718 48, 076 20, 570 22,282 543, 050 420.424 122, 626 243, 900 55, 900 117,000 43, 600 87,400 45, 000 41, 500 206, 470 44,212 87, 310 36, 978 69,165 37, 700 35, 401 37, 430 11, 688 29, 690 6,622 18, 235 7,300 6,099 257,300 50, 500 65, 900 203, 963 38,197 52,190 53, 337 12, 303 13, 710 132, 600 89,200 180, 000 103,652 66, 890 135, 794 22, 310 44, 206 53, 200 45, 000 88, 900 86,100 41, 476 34, 888 72, 706 70, 900 11,724 10,112 16,194 15, 200 88, 400 132,400 84, 300 73, 924 96,170 14, 476 36, 230 15, 631 251,500 111, 500 21, 000 43, 000 123, 900 193, 430 80, 531 15, 440 33, 863 90, 788 58, 070 30, 969 5,560 9,137 33,112 130, 500 57, 763 45, 000 92, 721 16, 530 9,505 37. 779 41, 233 35, 495 8, 035, 000 4,079,113~r 3,163,346 Total. 9460 CUR Retired. Outstanding. 915, 767 194 REPORT OF THE COMPTROLLER OF THE CURRENCY. NATIONAL BANKS THAT HAVE BEEN PLACED IN THE HANDS OF RECEIVERS, AT DATE OF FAILURK, CAUSE OF FAILURE, DIVIDENDS PAID WHILE SOLVENT, REDEEM CIRCULATION", THE AMOUNT REDEEMED, AND THE AMOUNT OUTSTANDING Total dividends paid during existence as a national banking association. Organization. Name and location of bank. F i r s t National Bank, Attica, N. Y . . . Yenango National Bank, Franklin, P a . I 1176 Merchants' National Bank, Washing- ' ftO7 ton, D. C. F i r s t National Bank, Medina, N. Y . . . Tennessee National Bank, Memphis, Tenn. F i r s t National Bank, Selma, Ala First National Bank, New Orleans, La. National Unadilla Bank, Unadilla, 1463 N. Y. Farmers and Citizens' National Bank, 1223 Brooklyn, N. Y. Croton National Bank, New York, 1556 N. Y . F i r s t National Bank, Bethel, C o n n . . . 1141 F i r s t National Bank, Keokuk, I o w a . . 80 National Bank of Yicksburg, M i s s . . . 803 F i r s t National Bank, Rockford, 111... 429 First National Bank of Nevada, Aus- 1331 tin, N ev. Ocean National Bank, New York, 1232 N. Y. Union Square National Bank, New 1691 York, N. Y. 384 E i g h t h National Bank, New York, N. Y. F o u r t h National Bank, Philadelphia, 286 Pa. Waverly National Bank, Waverly, 1192 N. Y. F i r s t National Bank, Fort Smith, A r k . 1631 Scandinavian National Bank, Chicago, 1978 111. Wallkiil National Bank, Middletown, 1473 N. Y. Crescent City National Bank, New 1937 Orleans, La. Atlantic National Bank, New York, 1388 N.Y. First National Bank, Washington, D. I 26 C. National Bank of the Commonwealth, 1372 New York, N. Y. Merchants' National Bank, Peters- 1548 burgh, Ya. First National Bank, Petersburgb, Ya. 1378 First National Bank, Mansfield, Ohio. 436 New Orleans National Bank)ng Asso- 1825 ciation. New Orleans, La. First National Bank, Carlisle, Pa 21 First National Bank, Anderson, Ind . . - - 44 X J.1OI JJ* CHJA-yJUOJL MJi\XirS.j £ L J J U V J OUU -LJLLli 1660 First National Bank, Topeka, K a n s . . . 271 First National Bank, Norfolk, Ya Gibson County National Bank, 2066 Princeton, Ind. First National Bank of Utah, Salt 1695 Lake City, Utah. Cook County National Bank, Chicago, 1845 f J u l y 17,1865 150,000 J u n e 5,1865 300, 000 Sept. 9,1865 200, 000 ! May 15,1865 ! j Sept. 9,1863 J Feb. 14,1865 I May 20,1864 , | June 23,1865 j 60, 000 50, 000 50, 000 50, 000 155, 000 465 ! June 6,1865 i 1. 000, 000 $7, 500 4.9 421, 052 42.1 Mar. 13,1869 250, 000 A p r . 16,1864 250, 000 Feb. 26,1864 100, 000 May 29,1865 106,100 Feb. May 6,1866 7,1872 50, 000 250, 000 18, 000 36 59 140, 000 56 9, 424 | 24, 403 I July 21,1865 175, 000 103, 250 j Feb. 15,1872 500, 000 25, 000 5 | July 1,1865 300, 000 59,472 ! 183, 000 61 July 16,1863 500, 000 805, 000 161 July 1,1865 750, 000 429,250 57.2 Sept. 1,1865 140, 000 134, 200 95.9 July 1,1865 May 24,1864 May 27,1871 120, 000 100, 000 600, 000 97, 770 81.5 102, 666 102.6 108, 000 18 June 29,1863 July 31,1863 Aug. 23, 1866 Feb. 23,1864 Nov. 30,1872 50, 000 50, 000 50, 000 100, 000 50, 000 42, 000 31,150 46, 000 90, 500 6,000 Nov. 15,1869 100, 000 125, 000 84 62.3 92 90.5 12 125 July 8,1871 900 Mar. 16,1865 First National Bank, Tiffin, Ohio Charlottesville National Bank, Char- 1468 July 19,1865 lottesville, Va. Miners' National Bank, Georgetown. 2199 Oct. 30,1874 Colo. Fourth National Bank, Chicago, HI* . . 276 Feb. 24,1864 First National Bank, Bedford, I o w a . . . Sept. 18,1875 * Formerly in voluntary liquidation. •3* 2,236 300, 000 53r 333 100, 000 100, 000 108, 279 149, 245 150, 000 4,500 100, 000 50, 000 184,008 17.8 108.2 149.2 184 REPORT OF THE COMPTROLLER OF THE CURRENCY. 195 TOGETHER WITH THEIR CAPITAL AND SURPLUS AT DATE OF ORGANIZATION" AND CIRCULATION ISSUED, LAWFUL MONEY DEPOSITED WITH THE TREASURER TO ON OCTOBER 31, 1889. Circulation. Failures. Lawful j money de- i posited. ; Keceiver Cause of failure. $50, 000 300, 000 200, 000 Apr. 14,1865 May 1,1866 May 8,1866 W U u $44,000 I 85,000 : 180,000 | $44,000 85,000 180, 000 $43,757 84,773 179, 344 $243 227 656 50, 000 100, 000 $2,288 Mar. 13,1867 20, 435 Mar. 21,1867 T V 40,000 | 90, 000 j 40, 000 90, 000 244 312 100, 000 500, 000 4,788 Apr. 30,1867 37, 903 May 20,1867 39, 756 89, 688 84, 561 178, 835 Capital. Surplus. 4,610 20, 000 5,000 1,400 5,580 100, 000 100, 000 99, 770 230 TJ 253, 900 253, 900 252, 745 1,155 9 G 180, 000 180, 000 179. 650 350 10 N 26, 300 90, 000 25, 500 45, 000 129, 700 26, 300 90, 000 25, 500 45, 000 129, 700 26,105 89, 634 25,433 44, 688 128, 662 195 366 67 312 1,038 11 12 13 14 15 800, 000 800, 000 792, 217 7,783 16 50, 000 50, 000 49, 729 271 I 17 243, 393 243, 393 240, 765 2,628 ' 18 179, 000 179,000 | 177, 600 1,400 ; 19 TJ V B 71, 000 71,000 ! 70, 047 45, 000 135, 000 45, 000 i 135,000 ! 44, 515 134, 587 B M 118, 900 118, 900 I 117, 560 1,340 23 450, 000 450,000 ! 447, 320 2,680 24 1, 336 25 441, 559 8,441 ! 26 1,1867 Feb. 28,1868 | Mar. 3,1868 ! Apr. 24,1868 I Mar. 15,1869 Oct. 14,1869 I 200, 000 Dec. 15,18711 250, 000 40, 000 Dec. 15,1871 200, 000 33, 905 Dec. 20,1871 106,100 27,139 Apr. 23,1872 1 50, 000 250, 000 2, 509 May 2,1872 : Dec. 12,1872 j I 300, 000 500 000 750, 000 400 000 200, 000 100, 000 600,000 50, 000 50, 000 100, 000 100, 000 50, 000 439 1,165 W 150, 000 Dec. 13,1871 | 500, 000 85, 000 180,000 Sept. 6,1867 1, 000, 000 175, 000 85, 000 180, 000 Redeemed. Outstauding. Oct. 32, 000 200, 000 60, 000 300,000 50, 000 50, 000 250, 000 Issued. Aug. 20,1867 120, 000 300, 000 appointed. 17, 000 j Dec. 31,1872 3, 045 ! Mar. 18,1873 9 B U V U F TJ A 100, 000 100,000 | M 56, 000 ! Apr. 28,1873 450, 000 450,000 j 108, 000 Sept, 19,1873 \ Sept. 22,18r3 j V 56, 027 Sept. 25,1873 R 18, 302 Sept 25,1873 E 11, 801 P 16, 000 i Oct. 18,1873 | W 14,161 | Oct. 23,1873 j 25, 000 I Oct. 24,1873 ! TJ 23, 839 | Nov. 23,1873 i V 7, 000 Dec. 16,1873 ! P 3,000 June 3,1874 G 1,000 Nov. 28,1874 X 953 20 485 21 413 \ 22 234, 000 234, 000 230, 482 3,518 27 360, 000 360, 000 355, 370 4,630 28 179, 200 90, 000 360, 000 176, 380 88, 712 354, 500 44, 365 44,110 88, 704 93, 360 43, 430 2,820 1,288 5,500 29 30 31 45, 000 45, 000 90, 000 95, 000 43, 800 179, 200 90, 000 360, 000 45, 000 45, 000 90, 000 95, 000 43, 800 635 890 1,296 1,640 32 33 34 35 36 370 150, 000 18, 719 : Dec. 10,1874 \ V 118,191 118,191 117, 022 500, 000 80, 000 Feb. y 285,100 285,100 282, 553 100, 000 200, 000 20, 000 ! Oct. 22,1875 ; 22,254 | Oct. 28, i875 ! 45, 000 146, 585 45, 000 146, 585 43, 816 143, 905 150, 000 968 ! Jan. 24,1876 ' 45, 000 45, 000 44, 490 510 39 40 41 85, 700 27 000 85, 700 27, 000 82, 463 26, 530 3,237 470 42 43 200,000 30, 000 Feb. 'Feb. 1,1875 1,1876 1,1876 1,169 2,547 1,184 2,680 37 38 196 REPORT OF THE COMPTROLLER OF THE CURRENCY. NATIONAL BANKS THAT HAVE BEEN PLACED IN THE HANDS OF RECEIVERS Total dividends paid during existence as a national banking association. Organization. Name and location of bank. Charter number. 44 45 46 47 48 49 50 51 52 53 54 55 56 57 58 59 60 61 62 67 87 First National Bank, Osceola, Iowa . . . First National Bank, Duluth, M i n n . . . First National Bank, LaCrosse, Wis. City National Bank, Chicago. Ill Watkins National Bank, Watkins, N. Y. First National Bank, Wichita, K a n s . . First National Bank, Greenfield, Ohio' National Bank of Fishkill, N. Y F i r s t National Bank, Franklin, I n d . . . Northumberland County National Bank, Shamokin, Pa. F i r s t National Bank, Winchester, 111 National Exchange Bank, Minneapolis, Minn. National Bank of the State of Missouri, St. Louis, Mo. First National Bank, Delphi, Ind F i r s t National Bank, Georgetown, Colo. Date. 1776 Jan. 26,1871 1954 Apr. 6,1872 1313 June 20,1865 818 ^Feb. 18,1865 456 i J u n e 2,1864 1913 101 971 50 I Jan. [ Oct. i Apr. | Aug. 2,1872 7,1863 1,1865 5,1863 689 Jan. 9,1865 1484 July 25,1865 719 Jan. 16.1865 i $50,000 50,000 50,000 250,000 75,000 j. L I. j. L Amount. $23, 500 25,000 31, 500 182, 500 85, 450 50,000 ' 50,000 ! 200,000 $36,205 60,000 67,000 2,-976 50, 000 50, 000 Per 46.1 50 63 73 113. 36, 975 73.9 80, 30C 160.6 143, 000 71.5 222, 319 370.5 670,000 1000 71, 750 124, 000 143.5 248 1665 Oct. 30,1866 3,410, 300 1949 Mar. 25,1872 1991 May 31,1872 Lock Haven National Bank, Lock Ha- 1273 J u n e 14,1865 ven, Pa. Third National Bank, Chicago, 111 . . . . 236 Feb. 5,1864 Central National Bank, Chicago, 111 .. \ 2047 Sept. 18,1872 First National Bank, Kansas City, I 1612 Nov. 23,1865 I Mo. Commercial National Bank, Kansas 1995 June 3,1872 City, Mo. First National Bank, Ashland, Pa* .. 403 Apr. 27,1864 First National Bank, Tarrytown, N. 364 Apr. 5,1864 Y. First National Bank, Allentown, Pa*.. 161 | Dec. 16,1863 First National Bank, Waynesjburgh, 305 Mar. 5,1864 Pa.* Washington County National Bank, 1266 June 13,1865 Greenwich, N. Y. 2157 July 16,1874 First National Bank, Dallas, Tex Peoples'National Bank, Helena, Mont. 2105 M a y 13,1873 First National Bank, JSozeman, Mont.. 2027 i Aug. 14,1872 Merchants' National Bank, Fort Scott, 1927 Jan. 20,1872 Kans*. Farmers' National Bank, Platte Citv, 2356 M a y 5,1877 Mo. First National Bank, Warrensburgh, 1856 July 31,1871 Mo. German American National Bank, 2358 May 14,1877 j Washington, D. C. , German National Bank, Chicago, 111*. 1734 Nov. 15,1870 6,1865 I Commercial National Bank, Saratoga 1227 jJJune 61865 I Springs, N. Y. 49 | Aug. 5,1863 ! Second National Bank, Scran ton, Pa*1200 ; M a y 31,1865 I National Bank of Poultney, Vt ! First National Bank, Moiiticello, Ind. 2208 I Dec. 3,1874 309 | Mar. 11,1864 First National Bank, Butler, Pa First National Bank, Meadville, Pa .. 115 Oct. 27,1863 First National Bank, Newark, N. J . . . 52 Aug. 7,1863 Firyt National Bank, Brattleborough, 470 June 30,1864 Vt. Mechanics' National Bank, Newark, 1251 June 9,1865 N. J. First National Bank, Buffalo, N. Y . . . 235 Feb. 5,1864 Pacific National Bank, Boston, Mass . 2373 Nov. 9,1877 First National Bank of Union Mills, 110 Oct. 23,1863 Union City, Pa. Vermont National Bank, St. Albans, 1583 Oct. 11,1865 Vt. First National Bank, Leadville, Colo . 2420 Mar. 19,1879 City National Bank, Lawrenceburgh, 2889 Feb. 24,1883 Ind.* Surplus. Capital. 100, 000 50,000 45, 000 15, 000 153, 600 120, 0C0 200, 000 100, 000 1,000 1, 035, 000 38, 000 540, 500 100, 000 7,214 120, 000 222 25, 000 25 311.9 264.5 000 000 000 000 86, 692 86.7 205, 940 200, 000 100, 100, 50, 50, 128 862.51 19 540.5 187,131 132, 250 60, 000 50, 000 100, 000 100, 000 45 102.9 45, 10, 20, 34, 750 000 000 731 50, 000 4,000 50, 000 57, 750 45.7 10 40 69.5 130,000 250, 000 100, 000 11, 872 115.5 2,000 100, 000 100,000 50, 000 50, 000 70, 000 125, 000 100,000 500, 000 251, 802 113,000 113 392,125 92,000 7,400 139, 000 248, 400 605, 250 387, 000 392.1 92 14.8 278 354.8 484.2 387 1,198, 000 239.6 100, 000 250, 000 50, 000 287, 500 75, 000 91,955 287.5 30 183.9 200, 000 186, 000 93 60, 000 100, 000 63, 000 3, COO 105 3 REPORT OF THE COMPTROLLER OF THE CURRENCY. 197 TOGETHER WITH THEIR CAPITAL AND SURPLUS, ETC.—Continued. Failures. Circulation. Lawful money deposited. Capital. $50, 100, 50, 250, 75, 000 000 000 000 000 60, 50, 200, 132, 67, 000 000 000 0(i0 000 Receiver appointed. Surplus. Issued. Issued. Outstanding, Feb. Mar. Apr. May July 25,1876 13,1876 | 11,1876 | 17,1876 | 12,1876 V P P Y G $45, 000 45, 000 45,000 | 137, 209 67,500 $45, 000 45,000 45, 000 137, 209 67, 500 $44, 44, 44, 133, 65, 000 Sept. 000 Dec. 000 I Jan. 538 i Feb. Mar. 23,1876 ; 12,1876 [ 27,1877: 13,1877 12,1877 j B U B B M 43, 29, 177, 92, 60, 200 662 200 092 300 43, 200 29,662 177, 200 92, 092 60, 300 42, 527 28, 506 172, 699 89,102 58, 635 673 1,156 4,501 2,990 1,665 45, 000 90, 000 45, 000 90, 000 43, 827 87, 085 1,173 2,915 O 1, 693, 660 1, 693, 660 1,669, 583 W U 45, 000 45, 000 45, 000 45, 000 43, 875 44,125 V 71,200 71,200 68, 583 597, 840 45, 000 44, 940 597, 840 45, 000 44, 940 568, 420 43, 830 41, 410 44,500 ! 44,500 42, 943 1,557 75, 554 ' 89,200 j 75, 554 | 89,200 ! 71,004 85, 845 4,550 '• 3, 355 | 78,641 | 69,345 i 78, 641 69, 345 74, 307 68, 460 4, 334 885 114, 220 110, 597 3,623 $10, 000 25, 000 130, 000 3,000 12, 10, 30, 28, Cause of j failure.; 371 368 043 409 561 $629 ! 44 632 | 45 957 ! 46 3,800 : 47 1,939 i 48 I 50, 000 100, 000 2, 500, 000 50, 000 75, 000 17,135 20, 000 Mar. 16,1877 j W May 24,1877 ! M 248, 775 ; J u n e 23,1877 | 20,000 65, 000 J u l y 20,1877 A u g . 18,1877 120, 000 8, 000 ; A u g . 20,1877 , 750, 000 200, 000 500, 000 200, 000 ! Nov. 24,1877 i 10, 000 ! Dec. 1,1877: 25, 000 ! F e b . 11,1878 Y Y X 6, 392 ! F e b . 11,1878 \ Y 100,000 J 112, 500 I 100,000 ; i 250, 000 100, 000 19,000 : Feb, 28,1878 • 25, 000 I Mar. 23,1878 j I 220, 000 j Apr. 15,1878 : May 15,1878 24,077 i 56 1,125 ; 875 j 2,617 i 59 29,420 1,170 3,530 i 200, 000 j 24, 000 i J u n e 8,1878 | 114,220 | 50,000 | 100,000 ; 50, 000 50, 000 5,000 J u n e 8,1878 I 8,000 Sept. 13, 1878 j 7,000 I Sept. 14,1878 ! 13, 500 j Sept. 25,1878 ; 29,800 [ 89,300 j 44,400 i 35,328 j 50, 000 ' Oct. 100, 000 10, 600 130,000 27, 000 | 26,555 445 ! 73 45,000 ! 43, 767 1,233 ' 74 62,500 | 61, 822 678 I 75 42,795 i 86,900 ! | Nov. 1,1878 j | Xov. 1,1878 | 125, 000 ' Dec. 20,1878 I 40, 476 Feb. 11,1879 i 70,000 Mar. 15,1879 1 4, 000 : A p r . 7,1879 i 2,000 ! J u l y 18,1879 10, 600 J u l y 23, 1879 20, 000 J u n e 9,1880 ~ ' 62, 584 J u n e 14,1880 57, 000 J u n e 19,1880 42,795 86, 900 37,470 84, 337 5, 325 2,563 ; X 91,465 90,000 27, 000 71,165 89,500 ; 326,643 ! 90,000 t Nov. 2,1881 j C 449,900 ! 449,900 A p r . 22,1882 I I May 22,1882 13, 455 ! Mai-. 24,1883 ! P S S 99 500 450,000 43,000 ; 99,500 '. 93, 895 450,000 i 439, 291 43,000: 40,530 ! 500, 000 400, 000 100, 000 961, 300 50, 000 50,000 68 705 2,160 875 i 930 ! 27,000 ! 2,000 200,000 100,000 50, 000 50, 000 100, 0U0 300, 000 300, 000 29, 095 87,140 43, 525 34, 398 ! 45,000 ! j 62,500 \ 1,1878 | 500, 000 100, 000 29, 800 89, 300 44, 400 35,328 j 63 91,465 ! 90,000! 27, 000 71,165 89,500 , 326,643 90,000 85, 883 86, 8ST7 26, 277 65, 590 84,112 308, 979 80, 652 5,582 ' 3,163 723 5,575 5,388 17, 664 9,348 415, 317 34,583 ; 85 5,605 10, 709 2,470 200,000 25, 000 j A u g . 9,1883 j Y 65,200 65,200 57,523 ! 7,677 60,000 i 100,000 ! 15, 000 ' J a n . 24,1884 | , Mar. 11,1884 i I B G 53,000 I 77,000: 53,000 77, 000 49,875 I 70,740 | 3,125 ,6,260 ; " Formerly in voluntary liquidation. 90 91 198 REPORT OF THE COMPTROLLER OF THE CURRENCY. NATIONAL BANKS THAT H A V E B E E N PLACED I N T H E HANDS O F R E C E I V E R S , Total dividends paid during existence as a national banking association. Organization. Name and location of bank. Charter | mim- i ber. | Date. Capital. Surplus. Feb. 20,1864! $100,000 ! F i r s t National Bank, St. Albans, V t . . F i r s t National Bank, Monmouth, 111 . ! 2751 J u l y 7,1882 ; 75,000 j Marine National Bank, New York, I 1215 . J u n e 3,1865 j 400,000 ! N.Y. 50, 000 j $2, 000 95 Hot Springs National Bank, Hot 2887 : Feb. 17,1883 j Springs. A r k . 96 Richmond National Bank, Richmond, 2090 . Mar. 5,1873 | 270,000 Ind. 1 : 50, 000 97 : F i r s t National Bank, Livingston, 3006 J u l y 16, 1883 ' Mont. 166 Dec. 22,1863 50, 000 9 8 i First National Bank, Albion, N. Y . . . . 50, 000 9 9 • First National Bank, Jamestown,Dak 2578 Oct. 25,1881 50, 000 100 j Logan National Bank, West Liberty, I 2942 May 7,1883 Ohio. 200, 000 23,128 101 | Middletown National Bank, Middle- 1276 J u n e 14,1865 town, N. Y. 102 ,' Farmers' National Bank, Bushnell, 111 1791 Feb. 18,1871 50, 000 100, 000 103 i Schoharie County National Bank, 1510 Aug. 9,1865 S choharie, N . Y. 104 I Exchange National Bank, Norfolk, Va 1137 May 13,1865 100, 000 50, 000 105 ! F i r s t National Bank, Lake City, Minn j 1740 Nov. 29,1870 Nov. 22,1864 Lancaster National Bank, Clinton, 200, 000 32, 894 106 583 Mass. 50,000 107 F i r s t National Bank, Sioux Falls, DakJ 2465 Mar. 15,1880 i 50, 000 108 First National Bank, Wahpeton, Dak - 2024 i Feb. 2,1882 564 i Nov. 3,1864 100, 000 109 First National Bank, Angelica, N . Y . 100, 000 110 City National Bank, Williamsport, P a -j 2139 ! Mar. 17,1874 150, 000 15, 000 111 Abington National Bank, Abington, 1386 | J u l y 1,1865 Mass, t 2724 J u n e 7,1882 50, 000 112 First National Bank, Blair. Nebr 50, 000 113 First National Bank, Pine Bluff, A r k 2776 Sept. 18,1882 114 Palatka National Bank, Palatka, F l a 3266 Nov. 20,1884 50, 000 115 Fidelity National Bank, Cincinnati, 3461 Feb. 27,1886 1, 000, 000 Ohio. 50, 000 116 Henrietta National Bank, Henrietta, 3022 i Aug. 8,1883 Tex. 3082 Nov. 26,1883 50, 000 317 National Bank of Sumter, S. C 75 Sept. 4,1863 118 F i r s t National Bank, Dansville, N . Y . 50, 000 6,1864 119 F i r s t National Bank, Corry, P a 605 Dec. 100, 000 120 Stafford National Bank, Stafford 686 J a n . 7,1865 150, 000 10, 000 Springs Conn. 200, 000 121 Fifth National Bank, St. Louis,Mo... 2835 Dec. 12,1882 500, 000 122 Metropolitan National Bank, Cincin- 2542 J u l y 12,1881 nati, Ohio. 100,000 123 F i r s t National Bank, Auburn, N. Y .. 231 Feb. 4,1864 124 Commercial National Bank,Dubuque, 1801 Mar. 11,1871 100, 000 Iowa. 100, 000 125 State National Bank, Raleigh, N . C . 1682 J u n e 17,1868 60, 000 126 Second National Bank, Xenia, Ohio . 277 Feb. 24,1864 50, 000 127 Madison National Bank, Madison, 3597 Dec. 7,1886 Dak. 1280 J u n e 14,1865 50, 000 128 Lowell National Bank, Lowell, Mich 129 California National Bank, San Fran- 3592 Oct. 20,1886 200, 000 cisco, Cal. 130 F i r s t National Bank, Anoka, M i n n . . 2800 Sept. 14,1882 50, 000 92 93 94 Total. Amount. $197, 15, 659,643 197 20 164.9 3,000 274, 000 101.5 170,500 |341 ""4," 000* I "h" 356,000 178 38, 500 77 337,500 !337.5 90, 142 1180.2 285,000 142.5 10,000 12,000 186,000 38, 500 307, 382 I 20 I 24 186 i8.5 204.9 23, 000 46 2,784 .3 12, 250 24.5 13, 500 27 75, 825 151.6 168, 500 168.5 306, 000 204 75, 215, 000 000 37.5 43 266,000 266 146, 806 146.8 278, 000 453.3 5,000 10 159,494 318.9 18, 000 .22,358,400 484, 690 16, 394, 700 * Formerly in voluntary liquidation, t Kestored to solvency. A Defalcation of officers. B Defalcation of officers and fraudulent management. C Defalcation of officers and excessive loans to others. D Defalcation of officers and depreciation of securities. E Depreciation of securities. F Excessive loans to others, injudicious banking, and depreciation of securities. G Excessive loans to officers and directors and depreciation of securities. H Excessive loans to officers and directors and investments in real estate and mortgages. I Excessive loans to others and depreciation of securities. J Excessive loans to others and investments in real estate and mortgages. K Excessive loans and failure of large debtors. L Excessive loans to officers and directors. 000 000 Per cent. 36 73. 3 REPORT OF THE COMPTROLLER OF THE CURRENCY. 199 TOGETHER WITH THEIR CAPITAL AND SURPLUS, ETC.—Csiltinuetl. i j ii Circulation Failures. | Receiver appointed. Capital. ! Surplus. 100,000 50, 000 50, 000 Redeemed. Outstanding. P B T $89, 980 27, 000 260,100 $89, 980 27,000 260,100. $79, 438 21,920 238, 875 $10, 542 5,080 21, 225 92 93 94 J u n e 2,1884 E 40, 850 40, 850 31, 960 8,890 95 H 158, 900 158, 900 133,900 25, 000 96 Autr 95 1884 X 11 240 11 240 10 395 845 07 20,000 Aug. 26,1884 12, 500 Sept. 13, 1884: 1,000 Oct. 18,1884 B E P 90, 000 18, 650 23, 400 90, 000 18, 650 23,400 77, 667 17, 527 19, 700 12, 333 98 1,123 99 3,700 100 180 50,000 j Issued. 33,000 July 23,1884 50, 000 250,000 ; i Cause of failure. $40, 000 Apr. 22,1884 15,000 Apr. 22,1884 225,000 May 13,1884 $100, 000 ; 75, 000 400,000 1 1 i Lawful money deposited. . 200, 000 ; | 40, 000 Nov. 29,1884 I 149, 000 176, 000 149, 009 26, 991 101 50,000 50,000 7,500 Dec. 17,1884 15, 000 Mar. 23,1885 L B 44,000 38, 350 44,000 38, 350 38, 672 30, 860 5,328 102 7,490 103 300,000 50, 000 100, 000 150, 000 Apr. 9,1885 10, 000 Jan. 4,1886 20, 0 00 Jan. 20,1886 O E B 228, 200 44, 420 72, 360 228, 200 44,420 72, 360 187, 407 35, 537 55,160 40, 793 104 8,883 105 17,200 106 J J A D 10, 740 17,120 89, 000 43,140 2"> 425 10,740 17,120 89, 000 43,140 25, 425 8,050 12, 960 66,147 28, 470 • 25, 425 2,690 4,160 22, 853 14, 670 107 108 109 110 111 11, 000 Sept. 8,1886 20, 000 Nov. 20,1886 J u n e 3,1887 50, 000 June 27,1887 TJ V V B 26,180 15, 030 19,210 10, 000 26,180 26, 280 19, 210 90, 000 20, 075 15,030 13, 475 80, 003 6,105 11, 250 5,735 9,997 122 113 114 115 8, 000 Aug. 17,1887 K 11, 250 11, 250 7,840 50, 000 50, 000 100, 000 100, 000 150, 000 50, 000 50, 000 50, 000 1, 000, 000 50, 000 30,447 4,000 20,100 12, 500 25,300 : M a r . i l , 1886 Apr. 8,1886 Apr. 39,1886 ! May 4,1886 i An jr. 2 lflftfi 3,410 116 Aug. 24,1887 Sept. 8,1887 Oct. 11,1887 Oct. 17,1887 A B V B 11, 250 4,480 29, 379 139,048 11,250 15, 730 73, 829 139, 048 6,100 4,480 29, 374 80,948 300, 000 1, 000, 000 30, 000 Nov. 15,1887 180, 000 Feb. 10, 1888 F V 44, 430 277, 745 44, 430 277, 745 24, 710 131, 450 19, 720 121 146, 295 122 150, 000 100, 000 Feb. 20,1888 20, 000 Apr. 2,1888 R V 63, 446 39, 670 63,446 62,170 31, 405 34,973 32, 041 123 27,197 124 100, 000 150, 000 50, 000 Apr. 11,1888 14, 000 May 9,1888 3,000 J u n e 23,1888 B V S 48," 470" 22, 500 48, 470 11, 250 20," 265* 22, 500 125 28,205 126 11, 250 127 50, 000 2oO, 000 10, 000 Sept. 19,1888 . 10,000 Jan. 14,1889 w 27, 800 27, 800 45, 000 15,118,191 15, 404, 641 50, 000 50, 000 100,000 200, 000 50, 000 26, 208, 900 10, 000 15, 000 10,183 24, 000 4,300 Apr. 22,1889 4, 088, 738 Q B 11, 600 5,150 11, 250 44, 455 58,100 117 118 119 120 16, 200 128 45, 000 129 11, 250 130 11, 250 14, 343, 688 1, 060, 953 M Failure of large debtors. N Fraudulent management. O Fraudulent management, excessive loans to officers and directors, and depreciation of securities, P Fraudulent management and depreciation of securities. Q Fraudulent management and injudicious banking. R Fraudulent management, defalcation of officers, and depreciation of securities. S Fraudulent management, injudicious banking, investments in real estate and mortgages, and depreciation of securities. T Fraudulent management, excessive loans to officers and directors, and excessive loans to others. U Injudicious banking. V Injudicious banking and depreciation of securities. W Injudicious banking and failure of large debtors. X Investments in real estate and mortgages and depreciation of securities. 200 REPORT OF THE COMPTROLLER OF THE CURRENCY. INSOLVENT NATIONAL BANKS, DATES OF ORGANIZATION, APPOINTMENT OF R E TEM, WITH AMOUNTS OF NOMINAL AND ADDITIONAL ASSETS, AMOUNTS COLLECTASSETS, EXPENSES OF RECEIVERSHIP, CLAIMS PROVED, DIVIDENDS PAID AND Name and location of bank. 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 38 39 40 41 42 43 44 45 46 47 48 49 50 51 52 53 54 55 56 57 58 59 60 61 62 63 64 65 Date of organization. Capital stock. Receiver appointed. Jan. 14,1864 $50,7)00 Apr. 14,1865 First National Bank, Attica, N. T May 20,1865 300, 000 May 1,1866 Venango National Bank, Franklin, Pa Dec. 14,1864 200, 000 May 8,1866 Merchants' National Bank, Washington, D. C Feb. 3,1864 50, 000 Mar. 13,1867 First National Bank, Medina, N. Y June 5,1865 100, 000 Mar. 21,1867 Tennessee National Bank, Memphis, Tenn Aug. i 24,1865 100, 000 Apr. 30,1867 First National Bank, Selma, Ala Dec. 18, 1863 500, 000 May 20,1867 First National Bank, New Orleans, La July 17,1865 120, 000 Aug. 20,1867 National Unadilla Bank, TJnadilla, N. Y. _ 300, 000 Sept. 6,1867 Farmers and Citizens' National Bank, Brooklyn, N. Y . June 5,1865 200, 000 Oct. 1,1867 Croton National Bank, New York, N. Y "..'. \ Sept. 9,1865 60, 000 Feb. 28,1868 First National Bank, Bethel, Conn j May 15,1865 100,000 Mar. 3,1868 First National Bank, Keokuk, Iowa Sept. 9,1863 ! 50, 000 Apr. 24,1868 ~ ~ " Feb. 14,1865 I National" Bank of Viuksburg, - " Miss 50, 000 .Mar. 15,1869 May 20,1864 First National Bank, Rockford, 111 250,000 Oct. 14,1869 June 23,1865 First National Bank of Nevada, Austin, Nev Ocean National Bank, New York, N. Y ' June 6,1865 1, 000, 000 Dec. 13,1871 200, 000 Dec. 15,1871 Union Square National Bank, New York, N. Y ' Mar. 30,1869 250,000 Dec. 15,1871 Eigh th National Bank, New York, N. Y ! Apr. 6,1864 •' " " Feb. 26,1864 200, 000 Dec. 20,1871 Fourth National Bank, Philadelphia, ~ Pa May 29,1865 106,100 Apr. 23,1872 Waverly National Bank, Waverly, N. Y . . Feb. 6,1866 50, 000 May 2,1872 First National Bank, Fort Smith, A r k . . . . May 7,1872 250, 000 Dec. 12,1872 Scandinavian National Bank, Chicago, 111 175, 000 Dec. 31, 1872 Wallkill National Bank, Middletown, N. Y '; July 21,' 1865 500, 000 Mar. 18, 1873 Crescent City National Bank, New Orleans, La ! Feb. 15, 1872 300,000 Apr. 28, 1873 | Atlantic National Ban k, New York, N. Y j July 1, 1865 500, 000 Sept. 19, 1873 \ First National Bank, Washington, D.C j July 16, 1863 750, 000 Sept. 22, 1873 National Bank of the Commonwealth, New York, N. Y.i July 1, 1865 400,000 Sept. 25, 1873 Merchants'National Bank, Petersburg, Va ! Sept. 1, 1865 200, 000 Sept,25, 1873 i First National Bank, Petersburg, Va ! July 1, 1865 Fiivst " • - ~ - -National Bank, Mansfield, Ohio 100,000 Oct. 18, 1873 I — ~ — ~- • May 24, 1864 New Orleans National Banking Association, New Or600, 000 Oct. 23, 1873 May 27, 1871 leans, La. First National Bank, Carlisle, Pa '..... July 7, 1863 50,000 Oct. 24, 1873 J u l y 31, 1863 First National Bank, Anderson, Ind 50, 000 Nov. 23, 1873 Aug. 23, 1866 First National Bank, Topeka, Kans 100, 000 Dec. 16, 1873 Feb. 23, 1864 First National Bank, Norfolk, Va 100, 000 June 3, 1874 Nov. 30, 1872 Gibson County National Bank, Princeton, Ind 50, 000 Nov. 23, 1874 First National Bank of Utah, Salt Lake City, Utah . . . Nov. 15, 1869 150,000 Dec. 10, 1874 July 8, 1871 Cook County National Bank, Chicago, 111 500, 000 Feb. 1, 1875 Mar. 16. 1865 First National Bank, Tiffin, Ohio. 100,000 Oct. 22, 1875 July 19, 1865 I 200, 000 Oct. 28, 1875 i Charlottesville National Bank. Charlottesvil'e, Va. f\n-t Ol\ 1 QHA Miners' National Bank, Georgetown, Colo Oct. 30, 1874 150, 000 Jan. 24, 1876 | Fourth National Bank, Chicago, 111.* Feb. 24, 1864 200, 000 Feb. 1, 1876 | First National Bank, Bedford, Iowa Sept. 18, 1875 j 30, 000 Feb. 1, 1876 j First National Bank, Osceola, Iowa Jan. 26, 1871 j 50, 000 Feb. 25, 1876 First National Bank, Duluth, Minn Apr. 6, 1872 100, 000 Mar. 13, 1876 First National Bank, La Crosse, Wis ! June20, 1865 j 50, 000 Apr. 11, 1876 City National Bank, Chicago, 111 \ Feb. 18, 1865 ' 250,000 May 17, 1876 Watkins National Bank, Watkins, N. Y j June 2, 1864 ! 75, 000 J«iy 12, 1876 First National Bank, Wichita, Kans i Jan. 2, 1872 60, 000 Sept.23, 1876 j First National Bank, G reenfield, Ohio* ' Oct. 7, 1863 50,000 Dec. 12, 1876 National Bank of Fishkill, N. Y j Apr. 1, 1865 200, 000 Jan. 27, 1877 First National Bank, Franklin, Ind ! Aug. 5. 1863 ; 132, 000 Feb. 13, 1877 Northumberland County National Bank, Shamokin, Pa. { Jan. 9, 1865 , 67, 000 Mar. 12, 1877 First National Bank, Winchester, 111 | July 25, 1865 ! 50, 000 Mar. 16, 1877 National Exchange Bank, Minneapolis, Minn ! Jan. 16, 1865 j 100, 000. May 24, 1877 National Bank of the State of Missouri, St. Louis, Mo ..i-Oct. 30, 18(56 I 2, 500, 000 June 23, 1877 First National Bank, I )elphi, Ind Mar. '25, 1872 ! 50, 000 July 20, 1877 First National Bank. Georgetown, Colo May 31. 1872 75, 000 Aug. 18, 1877 Lock Haven National Bank, Lock Haven, Pa ! June 14, 1865 120, 000 Aug.20, 1877 Third National Bank, Chicago, 111 i Feb. 5, 1864 750, 000 Nov. 24, 1877 Central National Bank, Chicago, 111 Sept.IS, 1872 j 200, 000 Dec. 1, 1877 First National Bank, Kansas City, Mo Nov. 23, 1865 i 500, 000 Feb. 11, 1878 Commercial National Bank, Kansas City, Mo June 3,1872 100, 000 Feb. 11, 1878 First National Bank, Ashland, Pa.* ...'. Apr. 27, 1864 112, 500 Feb. 28, 1878 100, 000 Mar. 23, 1878 First National Bank, Tarry town, N. Y Apr. 5, 1864 REPORT OF THE COMPTROLLER OF THE CURRENCY. 201 CEIVER AND CLOSING, SINCE THE ORGANIZATION OP THE NATIONAL BANKING SYSED FROM ALL SOURCES, LOANS PAID AND OTHER DISBURSEMENTS, LOSSES ON REMAINING ASSETS RETURNED TO STOCKHOLDERS. Nominal assets at date of suspension. I Additional assets received since date of Estimated Estimated Estimated suspension. good. doubtful. worthless. $50, 823 83, 713 18, 424 50, 000 116, 422 853,148 36, 748 1,175, 656 255,235 39, 486 98, 240 21, 584 7,000 129, 721 1, 867, 641 364, 973 229, 617 653, 658 86, 493 15, 800 100, 000 127, 769 379, 020 336, 833 1, 000, 000 1,435,113 342, 260 100, 000 94, 483 300, 000 $28, 053 57, 029 860, 929 2,029 395, 412 96, 556 276,400 69, 857 121, 683 144, 903 4,809 79, 652 49, 959 811 497,292 736, 997 $115, 538 818,154 $13, 692 27, 741 $208,106 986, 637 860, 929 101,072 78, 415 701,116 86, 856 272, 757 65, 361 83, 830 125, 057 5,400 26, 579 57, 732 156,575 19, 449 121,017 21,572 12,212 13,426 91,412 942, 283 91, 355 165, 442 30, 371 42, 236 124, 832 11,895 49, 409 126, 925 471, 991 349,125 1, 987, 239 212, 910 1,691.113 487, 071 140, 337 316, 375 94,112 38,182 760, 661 2, 934, 756 468, 223 1,181,465 653, 658 196, 504 61, 511 392, 966 227, 871 40, 000 14,174 100, 000 50, 000 110,450 58, 852 1, 277, 690 473, 372 252, 250 50, 000 173, 378 100, 000 37,494 25, 000 168,100 25, 000 148, 920 283, 550 55, 386 80, 000 85, 000 56, 350 32,011 204, 600 1,250,163 120, 000 105, 218 190, 069 131, 227 26, 858 19, 938 118,300 25, 000 478, 917 44, 582 18, 387 57, 675 194, 665 262, 909 86, 492 58,188 67, 246 112, 026 67, 541 66, 025 135,231 i 90, 704 935,999 ! 2, 818, 966 175,254 ! 6, 250 34,368 j 52, 627 220,481 ! I 150,650 1,330,215 631, 797 157,438 I 161,441 1,118,118 313, 726 52,349 ! 74, 724 107,318 : 41, 584 100, 994 29, 267 103, 057 78, 857 80, 297 29, 055 3,274 151, 439 63, 620 257, 655 28,077 50, 000 25, 000 77, 723 51, 296 6,300 619, 836 140, 000 169, 520 20, 000 27,323 29, 752 74, 376 18, 093 35, 000 453, 037 86, 014 59, 226 Total assets. 453, 593 321, 722 79, 409 7,954 376, 870 65, 802 9,359 5, 737 35, 8.: 5 65, 097 85, 805 9,105 67,531 51,403 200, 909 25,941 I 79,101 124,371 633,744 6, 596 629,113 24, 990 330, 704 170, 712 405,000 51,175 19, 070 1.33, 467 32, 517 6, 537 24, 866 25,102 168, 603 128, 337 215, 724 404, 431 103, 609 43, 225 21, 095 654,185 807, 572 2, 493, 414 2, 766, 509 1,019,841 272, 634 296, 910 1, 431, 055 Loss on Offsets assetscom allowedand i sold11 *"} 0 * P 0 ^ under a^f+iari settled. | order i of court. $114, 236 796,197 686, 605 93, 638 380,383 i 6,845 j 179, 894 I 929, 289 58,645 j 132, 806 55,342 ! 400, 903 30,641 ! 187, 586 1,570 70,122 33,454 123, 409 4,608 57, 938 274 317, 742 219, 750 285, 736 1, 254, 358 101, 719 38,911 ' 379,794 303, 504 15,780 ; 56,011 37, 629 *"6,"2ii*i 224, 703 22, 084 30,378 j 285, 346 8,949 161, 013 98, 460 765, 356 280, 955 589,213 368, 992 616,642 103, 842 146,764 I 3, 225 182, 231 5,735 715, 584 8,964 $18,661 69,445 2,574 115, 304 51,294 7, 068 332,984 99, 927 10,410 167, 702 203, 098 26, 951 14, 241 118, 083 217,912 2,191 3, 542 55,917 125,178 3.595 j 12,816 54, 332 229, 432 2,869 I 196, 231 15,258 452, 953 j 1, 948, 095 678, 349 j 2, 699, 787 60,447 I 18,439 i 342, 059 84, 709 24,882 I 30, 696 ! 563, 089 58,715 8,701 j 237, 356 27, 287 186, 254 2,100 227, 236 3, 084 6,266 3,510 I 75, 604 9, 635 49, 929 3,043 i llo,213 15,162 30, 319 1,139 I 111, 780 186,064 13,816 169, 912 4, 29G 44, 815 85, 019 48, 381 86, 248 1,104, 007 470, 908 .161,439 3,151 21, 738 18, 635 148, 825 17, 409 3,681 67, 345 58, 051 376 44, 344 558, 418 13,192 49, 441 223, 375 369, 806 60,311 24, 217 203, 792 219,983 8,487 14, 770 99, 588 226, 937 6,537 14, 270 117,173 368, 717 21, 498 18,411 139, 309 433, 400 4, 822,109 j 166, 831 1, 771, 699 201,578 62, 774 13, 478 1,310 746, 506 36, 598 30, 398 606, 580 4:50, 471 41,324 34, 350 143,664 I 59, 323 303, 338 2, 596, 054 310,813 ; 505, 664 7,245 16,073 i 79,038 19,817 ! 1, 856, 661 1, 482, 725 22,559 184, 971 6, 723 22, 962 67,396 ! 8, 859 ! 176. 831 16, 072 ; 274, 750 20,289 I 164, 949 j 53, 473 • , : i I 112,818 { 1 59 60 61 62 63 64 65 202 REPORT OF THE COMPTROLLER OF THE CURRENCY. INSOLVENT NATIONAL BANKS, DATE OF ORGANIZATION, APPOINTMENT OF R E SYSTEM, WITH AMOUNTS OF NOMINAL AND ADDITIONAL ASSETS, 1 Xominal | • value of ! Collected : remaining |from assets, ] assets. 1 2 3 4 i 5 6 7; 81 9! 10 II1 12, 13 : 14 15 16 17 18 19 20 21 22 28 ; 24 25 : 26! 27! 28 29 30 31 32 33 34 35 36 37 38 39 40 41 ! 42 43 ' 44 1 45 46 i 47! 48 I 49; 50 51 52 53 54 55 56 57 58 59 60. 61 62 64| 65: $75, 209 120,) 95 174, 264 33, 287 91, 608 162, 386 999, 305 79, 904 $200 1, 234, 868 268. 844 68, 645 159,512 31,566 37, 908 223,169 1, 394, 662 276, 649 762, 760 "50,154 124, 713 23, 882 162, 052 175, 409 512, 698 548, 099 1,447,103 1, 808, 304 299, 357 ' 122,645 108, I 706, 944 507 56, 942 80,420 ; 74, 452 58, 064 67, 835 91, 969 67, 251 30, 332 298, 739 196, 903 188,135 291, 357 42,341 22, 080 196,790 22,165 48, 488 73, 145 80, 597 584, 718 86,180 64, 071 13, 707 321, 851 105, 703 111,908 103,227 207, 910 2, 846, 622 103,235 103, 328 245,483 861, 309 1, 364, 609 144, 916 274, 465 351, 377 94, 613 47, 941 109, 801 ' holders. Total collections from all sources, $1,164 | 1, 245 16, 488 4, 000 Loans paid: ! and other j Dividends I Legal exi disburse- i paid. penses. i ments. $76,373 : 122. 240 190,752 j 37, 287 ! 91,608 169,886 ! 38,224 ; 1, 037, 529 82, 029 2,125 j 1, 234, 868 268, 844 97, 580 28,935 1 8,936 | 168, 448 31, 566 37, 908 223,169 348,961 j 1, 743, 623 276, 649 898, 932. '136,172' I 350, 154 10, 079 42, 795 109,707 228,580 | 5,200 | 19, 675 11,400 303, 813 2,250 37, 597 66, 535 93,619 106, 451 11, 269 1,100 "42,212" 4,510 . 58,826 ""i5,"552" • 2,664 122,127 91, 930 43, 232 8,044 9,540 245,108 47,949 "65," 132" 16, 455 $70, 811 101, 387 165, 769 $275 816 32, 305 935 65, 335 507 132, 608 17, 477 884, 429 7,054 58, 661 18, 655 1.138, 870 72, 399 ' 143, 307 208 86, 737 15, 5 >7 134,929 3,786 16,654 ! 2,926 29,277 I 4, 932 163,982 ! 203,170 1,326,487 i 72, 365 175,920 I 596,482 263,065 I 342,054 I 77, 568 2,296 15,142 143, 209 "i,"300" 175,430 6,248 549, 427 18,964 661,816 35, 839 16, 393 1, 374, 339 747, 428 746,153 259, 487 20, 315 125, 637 4,545 107, 258 862, 263 ""3," 630* 4,350 46, 634 57, 004 31, 668 101, 545 62, 646 19, 002 228, 412 108, 318 226, 308 135, 797 18, 258 12, 624 34, 536 3,928 88, 697 3,616 65,783 ! 5,385 545,593 ! 63,475 60,647 1,579 59,121 16,773 9,456 388, 856 173, 512 136, 474 89, 715 202, 753 2,165, 388 81, 941 73, 890 254, 647 1, 071, 774 177, 254 316, 828 52, 514 33,105 I 107,575 $6, 463 11,281 1,258 6,182 12, 247 43,183 6,673 28, 677 17,134 5,315 3,977 1,773 2, 705 9,091 76, 648 10, 437 9,436 3, 085 362 6. 037 16, 709 25, 376 27, 330 24, 241 13, 637 728 250 1, 270 67, 569 1,267 4,718 6,075 8,232 1,166 42, 067 "21*495" 3,946 4,731 1,367 2,077 8,804 5,060 13, 802 592 2,200 2,751 25, 040 5,146 966 2,082 1,898 79, 802 2,690 11, 987 6,668 11, 901 12, 077 5,444 576 3,974 5,546 Receiver's salary and other expenses. $5, 562 14, 390 13, 427 2,908 19,156 24, 524 92,440 9,442 48, 666 35, 983 5,320 14, 008 9,353 3,000 45,164 137, 318 16,713 j 29,766 ; 8,100 ; 8,264 : 1,878 S 21,564 19, 817 28, 638 51, 445 37,128 53, 287 18, 827 11, 858 11, 362 76, 858 4,691 12, 291 8,278 19, 230 4,309 10,164 37, 874 13, 689 31,642 8,604 10,348 9,274 7,935 10, 005 8,879 19,880 13, 874 1,529 4,164 25, 082 9,716 12, 903 10, 669 12, 046 161, 036 10, 919 17, 251 24, 271 62, 393 14, 679 27, 314 1,604 5,013 13,135 REPORT OF THE COMPTROLLER OF THE CURRENCY. CEIVER, AND CLOSING, SINCE THE ORGANIZATION OF THE NATION \ L AMOUNTS COLLECTED FROM ALL SOURCES, ETC.—Continued. •s»ISS 125,000 52, 500 50, 000 300, 000 300, 000 500, 000 200, 150, 34, 50, 12 50 12 4,185 794 000 000 000 000 75,000 50 000 250, 000 60, bob 8,739 26, 720 3,626 200 30, 000 140, 000 132,000 67, 000 50, 000 53, 000 625,000 72, 000 38, 695 6,038 200, 000 36, 871 5,849 35, 000 $122, 089 434, 531 669, 513 82, 338 376, 392 289, 467 . 119, 313 , 127,801 1, 191, 500 170, 752 68, 205,256 ! 33, 870 ! 09,874; 170,012 ; 1, 282, 254 | 157,120 ! 378,722 , 645,558 ! 79,864 i 15,142 : 254,901 ! 171,468 i 657,020 i 597,885 , 1,619,965 I 796,995 ! 992, 636 167, 285 175, 081 1, 429, 595 67, 292 144,506 j 55,372 ; 176,601 : 62, 646 ' 93,021 ! 1,795,992 i 237,824 j 376, 756 j 177,512 35,801 | 56,457 i 34,535 I 91,801 i 135, 952 703, 658 59, 226 97, 464 35,023 352, 062 185,760 175, 952 140, 735 227, 355 1, 935, 721 133,112 196, 356 254, 647 1, 061,598 298, 324 392, 394 75,175 29, 204 118, 371 23. 37 24.70 39.15 17.333 46.60 79 45. 90 96 88.50 100 68.33 49. 20 41.90 92. 70 100 100 100 100 100 100 57.46 100 84.83 100 100 100 34 76 57.50 62 73. 50 39.50 58. 30 57. 50 100 24. 391 14. 941 66 62.56 76. 50 51 22. 50 100 100 48.40 77.512 100 70 27 100 100 81.59 63.60 89.179 100 100 37. 6483 100 100 60 100 100 100 90.-50 . ' i : i j j . i i i ! j ! 203 BANKING Finally closed. J a n . 2.18G7I F e b . 2,1885! M a y 14,1883 j i J u l y 28,1870 ! j F e b . 4,1870 i j Nov. 25,1882 I ' Sept. 28,1882 : ! Dec. 19,1874 j Nov. 18,1874 : , Aug. 15, 1872 I ! Apr. 7,1881 ! j Nov. 30,1872 i .! Nov. 25, 1882 I Dec. 4, 1875 ! ! May 10, 1884 ' Apr. 20,1882 Nov. 16,1874 Sept. 1,1875 Feb. 13,1872 Oct. 2,1877 ; Jan. 3,1«76 i Feb. 15, 1886 i J a n . 8, lXtfO | J u n e 1, 1881 i __ Apr. 29,1884 ! 25 July 24,1876 | 26 Mar. 31,1883 I 27 May 1,1876 28 May 15.1876 • 29 " Nov. 30,1883 j 30 Mar. 21,1887 ; 31 Dec, 6,1882 j 33 Sept. 11,1878 i 34 J u n e 2,1883 , 35 \ Sept. 18,1876 ! 36 M a y 14,1879 37 Nov. 20,1883 38 Mar. 19, 1879 39 Apr. 5, 1886 40 J u n e 2,1884 41 Mar. 4,1886 42 Mar. 28,1883 43 Feb. 28,1878 44 Jan. 31, 1881 45 J u l y 20,1882 | 46. Feb. 28,1885 : 47 May 23,1888 48 J u l y 14,1880 ! 49 Nov. 25,1882 | 50 Aug. 11,1884 51 Sept. 14,1881 j 52" Jan. 18,1883 53 J u l y 23,1881 54 I J u n e 10,1880 j 55 | Mar. 26,1888 | 56 Oct. 15,1881 . . ! O c t . 5,1885,' . . M a r . 3,1882; : 64 46 30 50 100 100 100 100 July Mar. Aug. June 6,1881 9,1882 5,1879 20,1882 204 EEPORT OF THE COMPTROLLER OF THE CURRENCY. INSOLVENT NATIONAL BANKS, DATE OF ORGANIZATION, APPOINTMENT OF R E SYSTEM, WITH AMOUNTS OF NOMINAL AND ADDITIONAL ASSETS, Name and location of bank. 66 67 68 69 70 71 73 74 75 76 77 78 79 80 81 .82 83 84 85 86 122 123 124 125 126 127 128 129 130 Capital stock. Receiver appointed. .$250, 000 , Apr. 15,1878 First National Bank, Allentown, Pa.* | Dec. 16,1863 100, 000 • May 15,1878 First National Bank Waynesburg, Pa.* j Mar. 5,1864 Washington County National Bank, Greenwich, N. Y . June 30,1865 200, 000 i Jrtne 8,1878 50, 000 June 8,1878 First National Bank, Dallas, Tex I July 16,1874 100, 000 Sept. 13,1878 People's National Bank, Helena, Mont May 13,1873 50, 000 Sept. 14,1878 First National Bank, Bozeman, Mont Aug. 14,1872 50, 000 • Sept. 25,1878 ; Merchants' National Bank, Fort Scott, Kans.* Jan. 20,1872 ! 1 Farmers' National Bank, Platte City, Mo ! May 5,1877 50, 000 ! Oct. 1,1878 ! 100, 000 1 Nov. 1,1878 First National Bank, Warrensburg, Mo j July 31,1871 \ 130, 000 1 Nov. 1,1878 I German American National Bank, Washington, D. C..| May 14,1877 j j German National Bank, Chicago, 111.* \ Nov. 15,1870 D00, 000 Dec. 20,1878 100, 000 ! Feb. 11,1879 i Commercial National Bank, Saratoga Springs, N. Y . . . ; June 6,1865 ! Aug. 5,1863 200, 000 Mar. 15, 1879 Second National Bank, Scranton, Pa.* May 31,1865 100, 000 Apr. 7,1879 National Bank of Poultney, Vt Dec. 3,1874 50, 000 July 18,1879 First National Bank, Moriticello, Ind Mar. 11,1864 50, 000 July 23,1879 First National Bank, Butler, Pa Oct. 27,1863 100, 000 J u n e 9,1880 First National Bank, Meadville. Pa Aug. 7,1863 300, 000 June 14,1880 First National Bank, Newark, N. J June 30,1864 300, 000 June 19,1880 First National Bank, Brattleboro', Vt . . . June 9,1865 Mechanics' National Bank, Newark, N. J . 500, 000 Nov. 2,1881 Feb. 5,1864 100, 000 Apr. 22,1882 First National Bank, Buffalo, N. Y 961, 300 May 22,1882 Pacific National Bank,. Boston,, Mass. Nov. 9,1877 50, 000 "• Mai-. 24,1883 First National Bank of Union Mills, Union City, P a . . . j Oct. 23,1863 200, 000 '• Aug. 9,1883 Vermont National Bank, St. Albans, Vt I Oct. 11,1865 First National Bank, Leadville, Colo.. 60, 000 ! Jan. 24,1884 Feb. 24,1883 City National Bank, Lawrenceburgh, Ind. 100, 000 I Mar. 11,1884 Feb. 20,1864 First National Bank, St. Albans, Vt 100, 000 :1 Apr. 22,1884 July 7,1882 First National Bank, Monmouth, 111 75, 000 Apr. 22,1884 Marine National Bank, New York, N. Y I June 3,1865 400, 000 j May 13,1884 Hot Springs National Bank. Hot Springs, Ark | Feb. 17,1883 50, 000 June 2,1884 .Richmond National Bank, Richmond, Ind j Mar. 5,1873 250, 000 1 July 23,1884 First National Bank, Livingston, Mont ". July 16,1883 50, 000 Aug. 25,1884 First National Bank, Albion, N. Y I Dec. 22,1863 100, 000 i Aug. 26,1884 First National Bank, Jamestown, Dak j Oct. 25,1881 50, 000 1 Sept. 13,1884 ! Logan National Bank, West Liberty, Ohio ' May 7,1883 50, 000 Oct. 18,1884 Middleto wn National Bank, Middletown, N. Y I June 14,1865 200, 000 ! Nov. 29,1884 Farmer*' National Bank, Bushnell, 111 , Feb. 18,1871 50, 000 1 Dec. 17,1884 Schoharie County National Bank, Schoharie, N. Y i Aug. 9,1865 50,000 Mar. 23", 1885 Exchange National Bank, Norfolk, Va ' May 13,1865 300, 000 ! Apr. 9,1885 First National Bank, Lake City, Minn. | Nov. 29,1870 50, 000 I Jan. 4,1886 Lancaster National Bank, Clinton, Mass j Nov. 22,1864 100, 000 ! Jan. 20,1886 First National Bank, Sioux Falls, Dak j Mar. 15,1880 50,000 ! Mar. 11,1886 First National Bank, Wahpeton, Dak ! Feb. 2,1882 50, 000 I Apr. 8,1886 First National Ban k, Angelica, N. Y ! Nov. 3,1864 100, 000 I Apr. 19,1886 City National Bank, Williamsport, Pa ! Mar. 17,1874 100,000 May 4,1886 Abington National Ba -k, Abington, Mass. j ! J u l y 1,1865 150, 000 ! Aug. 2,1886 ! First National Bank, Blair, Nebr ! June 7,1882 50, 000 1 Sept. 8,1886 j First National Bank, Pine Bluff, Ark i Sept. 18,1882 50,000 | Nov. 20,1886 ; i Palatka National Bank, Palatka, Fla Nov. 20,1884 50, 000 ; June 3,1887 i Fidelity National Bank, Cincinnati, Ohio ! Feb. 27,1886 1, 000, 000 ! June 27,1887 Henrietta National Bank, Henrietta, Tex Aug. 8,1883 50, 000 Aug. 17,1887 National Bank of Sumter, S. C \ Nov. 26,1883 50, 000 I Aug. 24,1887 First National Bank, Dansville,N. Y Sept. 4,1863 50,000 ! Sept. 8,1887 First National Bank, Corry, Pa j Dec. 6,1864 100, 000 ! Oct. 11,1887 Stafford National Bank, Stafford Springs, Conn Jan. 7,1865 200,000 I Oct. 17,1887 ; Fifth National Bank, St. Louis, Mo Dec. 6,1882 300, 000 i Nov. 15,1887 Metropolitan National Bank, Cincinnati, Ohio i June 23,1881 1, 000, 000 I Feb. 10,1888 ; First National Bank, Auburn, N. Y ; Jan. 13,1864 150, 000 i Feb. 20,1888 Commercial National Bank, Dubuque, Iowa i Mar. 4,1871 100, 000 ! Apr. 2,1888 : State National Bank, Kaloigh, N. C • June 2,1868 100, 000 ! Mar. 31,1888 : Second National Bank, Xenia, Ohio • Jan. 1,1864 150, 000 i May 9,1888 1 Madison National Bank, Madison, Dak ! Nov. 29,1886 50, 000 ! June 23,1888 i Lowell National Bank, Lowell. Mich i June 14,1865 50, 000 | Sept. 19,1888 ! California National Bank, San Francisco, Cal j Oct. 20,1886 200, 000 I Jan. 14,1889 First National Bank, Anoka, Minn Sept. 14,1882 50, 000 ! Apr. 22,1889 — 100 101 102 103 104 105 106 107 108 109 110 111 112 113 114 115 116 117 118 119 120 Date of | organization. • - - • - - - - - - ~ . ~ . M a r Total 1 9 1 8 7 9 26, 208, 900 " Formerly in voluntary liquidation. REPORT OF THE COMPTROLLER OP THE CURRENCY. 205 CEIVER, AND CLOSING, SINCE THE ORGANIZATION OF THE NATIONAL BANKING AMOUNTS COLLECTED FROM ALL SOURCES, ETC.—Continued. Nominal assets at date of suspen| Estimated Estimated ! Estimated good. doubtful. I worthless. Additional assets received since date of suspension. $132,445 i $185, 220 15,869 j 42, 284 311, 324 27,894 i 236, 971 36,245 ; 48,149 67,423 95,251 ! 166,151 32, 559 76,046 ! 39, 010 333 15,543 21,225 46, 588 9,561 18,691 42, 296 194,457 j 90, 953 11, 578 139,514 256, 286 37, 923 101,971 ! 475, 052 104, 966 167, 503 133,169 28, 969 101,178 264, 908 104, 858 97, 257 18, 384 68,078 6,734 4,374 23, 646 134, 716 34, 737 12, 647 22, 545 115, 012 12, 863 64, 041 418, 951 55, 895 51, 574 302, 654 1,114, 503 78, 286 185, 002 488, 892 65,526 696, 987 648, 710 1,416,793 1, 397, 334 161, 699 46, 829 16, 309 124,114 520, 917 118, 618 56, 042 102,112 72,197 14, 500 2,554 13, 993 96, 873 217, 314 49, 951 96, 543 172, 940 9,688 816, 916 1, 568, 940 3, 496, 495 31, 058 | 27,190 27, 774 367,109 72, 356 171, 319 33,543 I 15, 304 22, 255 55, 763 ! 44, 446 113, 329 7, 519 29, 826 29, 352 60, 096 22, 695 600, 810 53, 692 """i67,"075"i 3,874 62,229 ! 13.170 39, 593 28,010 | 96, 891 938,816 j 1, 273, 711 1, 441, 378 91, 996 7,291 I 57,487 8,094 • 138, 707 144, 850 3,821 j 137, 859 48, 510 44, 884 i 21, 410 66, 085 70,458 ; 59, 810 28, 459 24,398 ! 154, 879 26, 825 5,462 ! 122, 551 168,164 6, 834 ! 8.000 235, 474 4,909 i 50, 793 82, 612 8,791 i 32, 092 15, 646 2, 464, 079 915,577 2, 494, 511 j 35, 999 12, 995 74.171 66, 081 159 ' 17, 449 37,572 I 8,397 66,710 : • 156, 586 20,239 ! 60,869 208, 243 119,869 '• 61,622 580, 321 929,388 ! 125,236 ! 787, 598 j 510,790 i 268, 961 -160,617 15,112 i 333, 506 324, 872 i 137,561 : 152, 390 176,652 ! 78,496 181, 870 214,560 j 20,025 : 91,153 17,136 1,316 ! 55, 535 71,124 216, 704! i 400, 002 61, 519 17,225 83, 776 $19, 879 1 35, 836, 834 ! 25, 321, 675 ! 21, 252, 689 Loss on asTotal assets. orderof I $339, 715 $2,171 60, 014 1,861 ! 13, 749 i 589, 938 4,305 I 156.122 67, 942 361, 903 21, 090 136,479 1, 892 i 85, 248 1,944 | 72, 492 33,375 ! 330,363 I 61,147 j 494,870 29,881 711,870 I 17,085 i 346,726 I 47,591 j 518,535 j 19,560 ! 203,279 ! 15, 017 1 49,771 l 23,503 i 209,603 ! 19.198 | 169,618 41,173 ! 580, 060 43,895 ! 398.123 I 231,058 j 1.608.849 I 36,445 j 1.287.850 ! 403,625 ; 3,866,462 i 23,596 i 248,433 ! 20.199 | 783,848 ' 35,590 ! 265,941 ; 32,646 1,599 | 69,374 ; 433,512 ; 29,853 ! 309,024 : 851,246 I 6,733,597 i 92,429 6, 407 732,798 i 122,014 71,969 I 867 I 425,978 : 212,440 70,009 ! 3, 312 56, 057 138,848 ! 934,515 ! 112, 938 91,172 11, 899 4. 803 ! 169,297 I 182,840! 3,836, 745 ; 57,994 I 214,768 ! 359,003 67,352 : 198, 524 : 8, 334 136,487 4,108 166, 525 7, 798 35,202 ! 241,304; 21,633 ! 317,810 255, 747 i 5,439 141,989 i 3,675 j 1,790 I 58,319 69,342 | 5,943,509 i 25,696 ; 148, 861 69,159 2,919 ! 67, 790 4,372 ! 25,506 ! 269,041 29,177 * 418,158 61, 028 ; 1,632,359 7,111 ! 2,588,897 : 113,318 I 1,053,680 ; 692,558 : 19,068 ' 471,498! 4,895 i 544, 578 69,652 ! 130,388 : 2,074 ! 171,132 43,157 763,188 i 84, 963 149,032 ; 3,333 8, 337, 364 settled. $20, 608 $268, 000 71.4 47, 239 67 18, 541 6,972 $279,987 68 30, 088 106, 292 69 12,492 32, 372 70 20,141 7,700 71 65, 804 178" 72 10, 947 8,207 73 55, 255 118, 507 74 165, 846 42, 883 75 521, 783 6,170 . 76 101, 810 69, 659 17,475 77 36,737 | 203, 982 78 72, 754 3,353 25, 729 79 8,411 64 80 11,920 ! 106, 562 81 26, 043 3,345 ! 26, 439 82 86, 953 154, 945 , 83 801 4,902 "302," 654* 84 66, 364 85 73, 925 57, 521 86 172, 063 199, 843 87 565, 779 71, 770 4, 376 19,141 5, 541 18,418 8.971 90 16, 017 52 ! 91 37, 533 ! 92 9,888 ! 93 5,075 595, 289 23, 929 ! 94 31, 402 18,517 j 95 5,381 32, 233 1 96 243, 993 ' 97 84 23,118 ; 98 140, 720 42, 269 i 99 5 49,155 100 70, 553 11,140 101 3,436 22, 034 41,079 : 102 350 3,411 84, 292 508 103 207, 421 188, 920 104 65,573 105 584 31,095 ! . 18, 716 106 19,154 \. 54, 016 107 106,873 | . 1,168 108 10,211 i 77,725 '109 1, 284 816 70,715 110 4,104 38,917 111 76,059 ! 3,721 43,697 112 2,358 ! 5,645 57,000 : . 127 113 44,068 114 310,057 746,283 I 115 37,585 116 6,594 I 1,7)57" 883 117 421 13,310 i 118 8,358 i 4,419 119 10,146 : 133,585 120 10,556 162,246 ! ! 279,315 : 121 16,000 ' 1,164,063 122 17,528 123 70,367 I 22,436 124 69, 526 61, 406 1125 8, 553 6,722 39,557 161,275 126 13, 275 127 990 i 2,001 128 31.997 ' 1,841 129 55; 814 17, 599 130 2,042 90, 748, 562 j 7, 832, 977 t Restored to solvency. court. Nominal value of assets ret u r n e d to stockholders. 22, 537, 833 3, 086, 609 206 REPORT OF THE COMPTROLLER OF THE CURRENCY. XNSOLA'ENT Nominal value of NATIONAL BANKS, DATE OF ORGANIZATION, APPOINTMENT OF R E S Y S T E M , WITH AMOUNTS OF NOMINAL AND ADDITIONAL ASSETS, Collected | Total Collected remaining from assets. assets. holders. ! 661 67 68 69 70 $250, 854 71 30,065 I 72 73 """32," 51.9" 74 75 ""160*448' 76 77 78 $54, 536 16,447 123, 430 16, 500 23, 622 1,810 2,880 $51,107 12, 061 284, 438 19,742 66,185 78, 573 19, 266 20,819 156, 601 125, 693 183, 917 157, 782 205, 062 96, 605 SO 29,419 11,877 81 91,121 82 113, 791 83 338,162 84 89, 766 851 101,952 1, 366, 608 86 i 601, 750 456, 516 87| 2,019,182 : 1,081,658 24,174 148,113 549, 476 209, 690 90 i 112, 897 ; 125, 655 91 i. 16, 577 92 j ""256*683" I 130, 008 93 i 48,981 254, 968 94; 2, 810, 823 3, 303, 556 95 . 37,129 96! 284, 521 172, 051 97| 26, 023 22, 744 158, 609 84, 380 20, 849 100 5,145 i 52, 010 101! 404, 333 ; 504, 712 102 , 46, 332 103 I 76,822 7,675 104 j 1, 814, 099 1, 626, 305 105 148, 611 89, 995 219,197 106 i 41, 401 107! 83, 953 28, 446 108| 77, 305 109 j 165,669 110 1 198, 513 111 204, 047 112 j. 60,315 24, 547 113 I 14, 251 114 j, 115 3,198, 423 1, 688, 746 104.682 116 67, 219 117 11, 843 118 109, 823 119 120 263, 871 881, 573 121 309,225 122 1, 391, 306 123 342, 088 618, 795 124 210, 940 350, 686 161, 381 125 j 294,842 330, 471 126| 127! 114,175 13, 222 128 i 42, 354 94, 940 129! 271, 274 418, 501 130 i 104,101 42, 889 17, 062,419 40,228,724 16,277 52, 361 80, 257 "54*956"; " "i, 677* 23,001 267, 311 64, 655 495, 550 13,450 639,168 8, 321 118,187 4,990 23, 732 7,898 64,150 271, 474 19,169 75, 741 94, 200 23, 503 139, 899 50, 000 1,400 161, 959 58,115 3,000 36, 700 226,455 """.7 "999*! 34,630 j 219,397"! "63,366 16, 000 6,127,137 $105, 643 28, 508 407, 868 36, 242 89, 807 80, 383 22,146 20, 819 172, 878 178, 054 264,174 157, 782 260, 012 96, 605 34, 096 114,122 113, 791 605, 473 154, 421 1, 862,158 469, 966 1, 720, 826 156, 434 327, 877 130, 645 40, 309 137, 906 319,118 3, 575, 030 56, 298 360, 262 41, 013 178, 580 20, 849 75, 513 644, 611 96, 332 78, 222 1, 788, 264 148, 611 277, 312 44, 401 65,146 77, 305 165, 669 198, 513 204, 047 60, 315 14, 251 1, 915, 201 104, 682 85, 218 11, 843 144 '453 263, 871 1,100, 970 1, M l , 306 405, 454 226, 940 161, 381 330, 471 13, 222 94, 940 418, 501 42, 889 46,355, 861 Receiver's Loans paid and other Dividends Legal ex- salary and other exdisbursepaid. I penses. penses. ments. $1, 576 114, 220 9,762 2,125 272 1,633 47, 315 52,092 49,466 2, 021 57, 745 53 10 8,420 •10, 037 1,910 187,152 5, 099 3,392 17,306 17, 427 451, 267 63, 546 6,359 6,515 1,893 6,075 164,163 231 9,066 4,986 625 16,177 "i06,*424' 82" 19, 517 $79, 725 21,710 262, 887 29, 377 66, 810 69, 437 16, 670 11, 803 100, 870 87. 260 182, 572 137, 428 166, 587 88,176 20, 758 82, 060 96,176 528, 305 99, 847 1, 790, 932 389, 222 1, 366, 352 118, 740 268, 450 80,864 26,809 i 72,967 ' 225, 648 ' 2, 716, 810 i 39, 812 i 267,507 ! 25,006 j 109,959 . 8,807 I 42, 487 ! 520, 676 86, 263 56,131 , 1, 447, 716 ! 131, 024 i 244, 981 10, 208 50,153 135,574 117, 878 82, 946 37, 971 9,492 1, 362, 405 86,442 75, 343 306 1,017 13, 837 782, 390 4,231 5,810 1,983 1,169 2 1,185 57, 865 15, 061 130, 508 255, 495 977, 537 400, 998 356, 707 173, 031 146, 748 318, 554 5, 328, 062 35,090, 572 80, 760 338, 870 21, 041 1,792 7,167 3.225 19,338 i 2,973 I 46, 755 ' 41, 322 68, 803 8,162 12, 263 6,888 2,223 6,511 9,025 76, 631 4,745 4,644 2, 552 18, 207 52 5,012 21,062 i 1,825 I 4,817 I 50, 729 192 1,686 3,946 1,840 1,155 1,425 198 324 28,242 1,990 2,937 4,021 522 882 16, 599 630 5,422 1,067 1,115 1,810 • 463 1,335 327 185 1,309,281 I $13,336 4,483 4,950 6,040 11, 883 8,187 3,716 3,005 8,176 21,147 32,136 12,119 24, 551 7,517 11,296 16, 475 6,739 22, 690 10, 832 24, 392 31, 791 87, 330 17, 514 36, 031 22, 707 7,885 18,131 18, 858 131, 412 11, 029 22, 298 12, 678 12, 737 5,475 9,313 18, 332 8,244 15, 345 49, 961 2,314 16, 534 10,836 9,560 6,607 7,321 5,208 4,279 8,846 1,348 38,284 I 8,463 I 3,594 5,728 4,917 3,988 21, 874 11, 572 11, 870 7,157 5,899 4,622 5,020 2,432 7,114 1,899 ~*V528,884 REPORT OF THE COMPTROLLER OF THE CURRENCY. 207 CEIVER, AND CLOSING, SINCE THE ORGANIZATION OF THE NATIONAL BANKING AMOUNTS COLLECTED FROM ALL SOURCES, ETC.—Continued. Balance in h a n d s of Comptroller or receiver. Amount returned to shareholders in cash. Amount of assessment upon s h a r e holders. $15, 682 3,420 12, 679 $108 6,598 829 884 859 240 7,651 ! 25,103 ! 40,769 ; 79 5, 721 11,189 12, 018 11,133 15,087 i ! ! ! 22,991 48,160 198, 910 712 2,267 1,377 31, 318 16, 808 78, 466 1, 929 75, 695 14, 850 5,045 14, 425 2,968 3,149 5,172 75, 229 10, 074 13, 498 3,329 466, 753 *7,~787' 3,344 2,094 8,200 2,489 71,123 "195," 71.6" 27, 224 39, 875 5,636 4,316 7,737 9, 228 | 14, 325 I 4,703 1,283,860 j $90, 424 36,109 262, 887 77,104 168, 048 70,191 27, 801 32, 449 50 000 156, 260 130, 000 282, 370 121, 750 197, 353 128, 832 160,000 132, 461 81, 801 10, 000 21,182 50,000 108, 385 93, 625 300, 000 580, 392 75, 000 104, 749 500, 000 2. 654,690 100,000 i 894, 767 961,300 2, 397, 111 186, 993 50,000 I 401, 492 200,000 | 202, 285 60,000 46, 441 50,000 i 294, 521 100,000 : 237, 570 75,000 : 400,000 : 4, 531,171 36, 526 25,000 i 365, 931 250,000 ' 26,322 32,500 ! 385, 822 100,000 i 8,131 50,000 . 84, 978 200, 000 | 650, 854 50,000 j 86, 258 50,000 140, 333 300,000 ; 2,895, 515 127, 524 70, 000 244, 981 50, 000 52, 659 50, 000 111, 467 63, 669 130, 772 116, 626 80,452 56,666 84, 383 9,379 1, 000, 000 3,890, 544 82,156 19, 500 75, 343 50, 000 144, 355 60, 000 174, 010 247, 920 300, 000 1, 086, 026 398, 236* 150, 000 792, 715 100, 000 432, 578 326, 074 311,028 31, 758 90, 111 452,134 70,136 $125, 36, 160, 50, 100, 21, 17, 000 000 000 000 000 500 000 815, 202 ! 14,125, 350 i Amount of claims p roved. 53, 374, 660 Dividends, per cent. 88 60 100 38.10 40.7285 98. 925 60 100 100 50 100 100 100 100 98 81 100 100 100 67.405 43.50 57 65 67.50 40 81.10 25 95 60 100 73 95 28.50 100 50 80 100 40 50 100 100 20 45 100 100 100 100 45 100 35 100 100 75 100 90 100 45 4o 100 90 75 30 Interest, dividends, per cent. Finally closed. Mar. 9,1885 Sept. 7,1885 July 5,1879 Mar. 24,1885 Feb. 12,1889 Feb. 12,1889 Apr. 8,1881 Oct. 10,1879 Mar. 15,1881 Mar. Jan. Apr. Aug. Feb. Aug. Feb. Feb. Oct. 1,1884 17,1881 24,1886 1,1881 6,1883 6,1887 4,1882 18,1885 12,1885 66 67 68 69 70 71 72 73 74 75 76 77 78 81 82 83 84 85 90 91 92 93 94 Sept. 25,1889 95 96 97 98 Oct. 29,1885 99 100 101 F e b . 10,1888 102 103 104 J u n e 1,1886 105 106 107 108 Mar. 2,1888 109 A u ? . 18,1887 110 Feb. 17,1887 111 Apr. 30,1887 112 113 Oct. 17,1887 114 115 July li| 1889 116 117 118 119 Oct. 20,1888 120 121 June 27J1888" 122 123 124 125 Jan. 21,1889 126 127 Oct. 25,1886 100- 100 100 "ioo" 100 100 100 100 100 "ioo" ioo "ioo" 100 129 130 208 REPORT OF THE COMPTROLLER OF THE CURRENCY. T A B L E SHOWING, B Y STATES AND T E R R I T O R I E S , T H E ESTIMATED POPULATION O F EACH ON J U N E 1, 1889, AND T H E AGGREGATE CAPITAL, SURPLUS, U N D I V I D E D .PROF- ITS, AND INDIVIDUAL DEPOSITS OF NATIONAL AND STATE BANKS, LOAN AND TRUST COMPANIES, AND SAVINGS AND P R I V A T E BANKS I N T H E U N I T E D STATES ON J U N E IJO, 1 8 8 9 ; T H E AVERAGE OF THESE P E R CAPITA O F POPULATION, AND T H E P E R CAPITA AVERAGES OF SUCH RESOURCES I N EACH CLASS O F BANKS AND I N ALL. | Estimated States and Territories. | All banks. Loan and ! National State trust Savings Private I banks. banks. compa- banks. banks. nies. 1889.* Capital, etc. Maine New Hampshire Vermont Massachusetts Rhode Island Connecticut New York New Jersey Pennsylvania Delaware Maryland District of Columbia. Virginia West Virginia North Carolina South Carolina Georgia Florida Alabama Mississippi Louisiana Texas Arkansas Kentucky Tennessee Ohio Indiana Illinois Michigan Wisconsin Iowa. Minnesota Missouri Kansas Nebraska Colorado Nevada California Oregon Arizona Dakota Idaho Montana New Mexico Utah Washington Wyoming Total I Aver- ! Aver- Aver- Aver- Aver- Average per! age per age per age per age per age per ! capita. • capita. capita. capita. capita. capita. : 665, 000 $71, 516,188 $107. 54 79,281,762 208. 08 381, 000 334, 000 36, 013, 618 107.82 691,154,129 328. 65 2,103,000 343,000 ; i 113,448,036 330. 75 709,000 188, 316, 973 265. 61 5,880,000 i 1, 585, 798, 303 269. 69 1,391,000 i 104, 367,155 75.03 5,112, 000 j 508, 567,436 99.48 169,000 ' 13, 276, 612 78.56 1,120, 000 92, 739. 257 82.80 236, 000 . 13,462,916 57.04 1, 940, 000 32, 632, 709 16.82 858, 000 8, 331, 491 9.71 1, 752, 000 12,160, 920 6.94 1, 317, 000 12,074, 315 9.16 1,951,000 27, 299, 595 13.99 382, 000 4, 846, 045 12.68 15, 588,777 9.55 1, 633, 000 10,181, 571 7.15 1,423, 000 1,195, 000 29, 058, 640 24.31 2, 446, 000 40, 849, 034 16.70 1,175, 000 5, 857, 337 4.98 1, 995, 000 74, 633, 877 37.41 1, 913, 000 33, 727, 492 17.63 3, 854, 000 191,112, 594 49.58 2, 250, 000 63, 852, 418 28.38 3,699/000 200, 502, 832 54.20 2,181,000 102,345, 329 46.92 1,801,000 68, 866, 001 38.23 2, 006, 000 38.64 77,518,050 1, 238, 000 79,482, 237 64.20 145, 866, 720 55.44 2, 631, 000 57, 512, 932 35.11 1, 638, 000 1, 027, 000 62, 228, 438 60.59 397,000 ; 30, 646, 803 77.19 1, 053, 634 14.43 73,000 1,197,000 : 234, 858, 085 196.20 289,000 | 12, 481, 634 43.18 942, 872 9.92 95,000 737,000 : 15,175, 702 20.59 1, 956, 500 24.77 79,000; 15, 256,129 145. 29 105,000 ! 3,466,990 21.40 162,000 I 8, 961,199 40.18 223,000 ! 18, 015, 973 70.10 257,000 : i 4, 384, 530 106. 94 41,000 $39. 34 40. 64 49.88 143.73 123. 92 91.70 86.79 46.06 60.47 46.01 44.29 52. 04 8.65 6.87 4.05 5.03 5.50 9.81 6.92 2.36 16. 0L 14.50 3.19 17.05 12.98 34.23 20. 42 37.74 24. 96 15.92 17.48 36.40 17.77 20.55 31.87 64.43 9.47 23.34 40.87 3.11 14.87 21.64 134. 63 20.32 25. 79 55.16 76.55 i 64,403, 000 I 5, 201, 671, 790 ! 80. 77 35.98 $0.26 8.78 9.42 38.72 4.45 9.16 10.10 6.41 8.17 2.77 2.17 1.56 6.88 1.13 1.33 4.79 7.28 .54 1.62 20.36 3.60 4.33 2.50 3.72 2.29 17.36 6.38 18.98 32.18 9.75 8.43 10.33 4.96 84.83 1.83 6.81 1.64 10.66 1.08 1.12 14.67 30.39 11.47 j $2.52 2.99 *65. 68 164.19 57.94 "27." 58* 157.34 20.50 177. 55 6.37 157.63 38.87 104. 71 24.14 13.13 14. 62 22.45 31.97 5.00 .07 •. .19 2.48 1. 24 ""." 82" I .25 3.89 1.11 2.49 2.02 1.77 1.22 1.05 7.77 1.33 5.29 18.21 .03 8.47 3.48 .49 .60 .38 2.10 .53 .09 .37 1.74 .48 .13 1.41 .17 3.25 4.13 3.56 1.46 4.92 5.20 2.85 3.47 3.04 19.07 2.43 79.68 8.35 .48 .11 3.09 3.13 2.95 i 10.32 .27 6.18 i 25.07 j 2.07 * The estimate of population was prepared, at special request, by Mr. Joseph S. McCoy, Government Actuary. ABSTRACT OF REPORTS OP CONDITION OF State Banks, Loan and Trust Companies, Savings and Private Banks, 1888-'89, ARRANGED BY STATES AND TERRITORIES. NOTE.—Under the heading "official" are placed reports from State officers, and under the heading "unofficial" reports from other sources. 9400 CUR 14* 209 210 EEPORT OF THE COMPTROLLER OF THE CURRENCY. ABSTRACT OF REPORTS OF CONDITION OF STATE BANKS AND LOAN AND KESOUKCES. Loans on Date of re- I No. of port. banks Loans on collateral I Loans security and real estate. ' other than ! discounts. j real estate. Location. STATE BANKS—OFFICIAL. New Hampshire Rhode Island Connecticut New York New Jersey Pennsylvania Virginia | North Carolina Mississippi Louisiana Kentucky Ohio Indiana Illinois Michigan I Wisconsin Iowa Minnesota Missouri ! Kansas* J Nebraska Colorado California Utah Washington Wyoming Nov. 14, 1888 Nov. 21,1888 8 Oct. 1,1888 .| June 8,18^9 145 Jan. 1,1889 13 81 ' Nov. 30,1888 67 | ! July 12, 1889 j June 30,1889 20 j 30 Feb. 15,1889 June 30,1889 do 106 ; Sept. 30,1888 48 i Oct. 31, 1888 37 | Aug. 12,1889 16 I Sept. 30,1*89 29 July 1, 18S9 67 June30,1880 i 80 i Aug. 10,188!) I 67 I M;ir. 3, 18f9 j 2G0 I Juno 2\), 1889 I ] 1)0 ...; June30,188!) 101 18 ' do ' J u l y 1, 18^9 ; June 30, 1889 i do !.... do Total STATE BANKS—UNOFFICIAL. Delaware Marvland West Virginia South Carolina Georgia Florida. Alabama Texas Arkansas Tennessee . . . Kansas Nevada Oregon Arizona Dakota Montana New Mexico . $55, 919 $19, 223 $2, 399, 541 4, 613, 723 148,714,398 4, 830, 851 4,330,963 j 25.080.C64: 304, 649 4, 319, 078 366, 312 347, 538 12, 601, 775 2.197,920 3, 778, 862 5, 675, 941 33, 386, 765 7, 524, 619 4, 024, 382 8, 833, 066 3,310,315 21, 240, 865 9, 945, 086 18, 338,141 ' 3," 487," 836' " 50," 333," 085* 880, 159, 14, 932, 36, 305, 808 736 639 200 658 186,710 12,189, 722 10, 000 156, 009 13, 726, 779 5,651,445 2, 242. 457 41, 481J301 122, 569 1,848,393 868, 655 29, 208, 798 j 88, 322,957 .343, 631, 070 i j 3 10 13 11 26 3 12 5 j June 30,1889 I do . j do j . . . do . ; do . do . .do . ..do . ..do . ..do. ..do . ..do . ..do. do . ..do. do . ..do . 9 33 149 2 377,828 i 80,063 | 64,285 i 96,117 | 345,447 | 35,350 I 13,400 i 37, 648 19, 053 L7, 794 496, 691 46, 200 30, 040 99, 500 138,645 71,510 318 1,919, 571 1,671 31,128, 369 Total. Total—official and unofficial 915, 414 219,010 1,192,114 j 3, 585, 512 100,457 ! 1, 989, 998 1, 279, 411 380, 681 8, 687, 064 2, 289, 464 240,133 1,165 976, 912 612, 866 472, 248 294, 056 832, 819 258, 978 4, 469,858 336, 664 8, 252, 285 2, 672, 225 60, 507 133, 896 371,110 55, 044 211,403 336,967 428, 560 430, 828 92,637 36, 647 36, 059 9, 260, 235 32,992, 757 97, 583,192 376, 623, 827 LOAN AND TBUST COMPANIES—OFFICIAL. Maine New Hampshire Massachusetts Rhode Island Connecticut New York Illinois Total Sept. 30,1888 Apr. -,1889 I Oct. 31,1888 Nov. —, 1888 I Oct. 1,1888 j j Jan. 1,1839 | Aug. 12,1889 ] |. 305, 2, 495, 9, 375, 1, 294, 051 748 911 347 39. 554 319, 652 15, 967,116 6,162, 221 788, 700 14, 981, 377 11, 909, 600 130, 722, 520 64 2, 274, 210 13, 501, 033 10, 800, 819 25,380,657 1153,211,063 42, 346,139 38, 877, 358 138, 336 238,118 320, 990 514, 720 233, 700 75, 763 1, 057,118 216, 576 472, 654 258, 595 29. 331 9,942 100,913 LOAN AND TBUST COMPANIES—UNOFFICIAL.! Iowa....... Minnesota Missouri........ Kansas . . . . . . Nebraska.. Dakota do . . . do .do ....do .. do ....do Total. Total—official and unofficial 3, 848, 7, 808, 1, 638, 7, 055, 2, 051, 5,161, 404, 332 045 958 879 310 239 625 27, 968, 388 j 40, 398, 991 ! I 120 53, 349, 045 >, 054 2,145,129 44, 491,5 * The official returns from Kansas are not included in the total, having been received too late REPORT OF THE COMPTROLLER OF THE CURRENCY. 211 TRUST COMPANIES, FROM OFFICIAL AND UNOFFICIAL SOURCES, IX 188; i >ai i\ nunicipal, \ bonds and rtx.„ i ,.J i / STOCKS. $139,447 762,184 7, 977, 404 471. 663 5, 627, 050 1, 378, 031 84, 835 299. 227 558, 852 1, 108, 289 1, 349, 442 169, 889 246, 230 15, BOO 1, 907, 352 $73, 700 647, 750 ! 10,000 j. 89, 250 121, 085 106, 554 119,110 73, 839 142,164 238, 772 109, 570 797, 623 111,819 114. 000 15, 092 $2, 427 178. 601 1,030,003 17, 490, 23t> 619,489 5,286,191 1, 212, 515 704, G49 1. 633, 202 79, 875 i 4,2:54,400 i 1, 553, 591 | 817,732 ! 2, 578, 084: • 640, 254 5. 548. 231 1,464,508 2, 690, 0«>2 12, 207, 774 1, 837, 1, 126,474 796, (574 527, 26, 724 672, 239 143,511 ,454 $5, 337 223, 977 201, 984 12, 095 295, 718 776, 040 177,197 22, 590 767,172 186, 691 431,485 50, 829 156, 502 50, 641 273, 034 53, 702 337, 083 11, 503 088,530 I 17,921 640,457 I 96, 445 233.513 i 32, 255 4>5.104 i 19,881 150,460 • 26, 379 665, 802 : 35, 867 70:>, 207 i 1%, 684 ' 127, 831 945,140 474,'J41 140,512 54:), 960 ! 73, 99S 337 ; 53, 053 134,756 ' 745 I 3, 022 0, 521 147,'570 3, 875 7:1 31,783,1)29 : 71,270,490 ;22, 031,544 j 1,672, 104,099 | 130,353 362, 731 616,443 ' 30 J, 875 85,511 I 123, 824 52, 320 ! 2, 943, 645 538, 745 21,415 39, 422 72, 366 401, 569 70,192 297, 080 48, 636 458, 506 132, 935 841, 476 2,145, 737 1, 172, 255 10, 402 20, 204 32, 791 46, 342 50, 514 58, 557 97, 033 189, 435 75, 344 164,326 9, 892 22, 808 20, 8f>6 12,316 ! 7J.712 25, 973 137, 080 3, 307 16, 977 507 1,010 3, 755 12, 605 4,800 95, 322 5,101 20, 381 11, 615 5,740 37, 052 121, 757 4,433 5,104 6,095 16. 534 2, 643 177 354,124 , 026, 800 2, 065, 269 600, 000 1,662 ! 1,191 23,835,716 19,309 60,513 2, 308, 677 7, 060, 714 40, 810 154, 386 4,710 27, 591 945, 165 116, 520 1,207,120 4,149 515, 004 220, 500 834,642 294,173 | 4, 619 1, 233, 049 20, 068, 377 15, 877, 559 8,086,740 i 841, 957 1, 619, 949 141,114 I '"23*489" | 19, 282,168 9, 516, 861 161,103 198, 723 27, 228 4,350 195, 777 48 15, 566 488 87, 350 2,500 155,177 15, 500 48, 600 176,654 7,925 17,137 29,371 36,351 I 5,319 i 4,158 I 1,139, 885 i 4, 360, G94 23,926 210, 830 56, 847 186, 377 790, 071 238,127 134, 952 448, 350 94,166 16, 214 24, 782 30 276,915 ! 19,352,398 737,312 14, 455, 406 for the general compilation. The unofficial returns indicate approximately similar result 1 g 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 2a 212 REPORT OF THE COMPTROLLER OF THE CURRENCY. ABSTRACT OF REPORTS OF CONDITION OF STATE BANKS AND LOAN AND TRUST RESOURCES—continued. Cash and cash items. Other resources' \ New Hampshire Rhode Island Connecticut New York N ew Jersey Pennsylvania "Virginia North Carolinia Mississippi Louisiana Kentucky Ohio. Indiana Illinois. Michigan. Wisconsin. Iowa . Minnesota... Missouri Kansas Nebraska Colorado California . . . Utah "Washington. Wyoming . . . $7, 250 110,854 466, 948 69, 776, 796 370, 635 2, 962. 369 959, 089 502, 289 939, 021 2, 028, 348 3, 723, 961 1,102, 878 456, 927 1, 538, 949 329, 544 3,120, 055 816, 528 2,123, 437 17,471,642 2, 753,044 553, 044 408,218 16, 077, 557 13, 031 488,581 182,813 122, 811 2 378,^08 1,917 1, 269, 757 13, 854 30, 026 2 70, 838 170, 451 46,050 4 134, 380 4 4 2 3,731 4 698,665 7,374 42, 807 6,406, 936 3 340 5 Tota l. 126, 530, 764 Location. LIABILITIES. Total. STATE BANKS—OFFICIAL—Continued. i $98, 775 3,180.568 7,116i 622 249, 516, 769 6, 568,157 47, 448, 469 16, 836, 919 4,109, 761 6, 977, 050 8, 762, 420 43, 928, 567 17, 095, 482 5,841,256 13, 925, 447 5, 419, 911 32, 600, 340 13,170,103 24, 983,429 93, 776,197 21,119, 874 9,448, 792 4,142, 246 108, 597, 362 253,355 3, 970, 596 1, 402,411 $50, 000 $15, 281 1, 766, 685 2, 390, 000 220, 000 27, 765, 700 10, 260, 647 1, 454,150 464, 018 8, 280, 893 2, 403, 829 3, 801, 615 879,911 1, 235, 944 216, 472 1,660,148 347,460 2,130, 200 250, 000 13, 877, 886 3, 329, 589 3, 472, 750 466, 378 1, 850, 000 299, 618 2, 371, 500 885, 904 1, 660, 782 238, 711 3, 940, 800 1, 665, 935 4, 416, 743 646, 272 6, 308, 000 793, 550 14,113,173 7,680,113 8,191, 521 649, 199 3, 545,400 198, 798 910, 000 182,920 37, 560, 595 13, 367, 834 100 000 867, 200 55, 000 368, 925 70, 375 8,699,912 ! 729,231,004 145,899,089 ;44, 938, (515 STATE BANKS—UNOFFICIAL. Delaware Maryland West Virginia.. South Carolina . Georgia Florida Alabama Texas Arkansas Tennessee Kansas Nevada Oregon A rizona Dakota Montana New Mexico 64, 566, 198, 215, 1, 835, 345 043 220 282 998 92, 901 245, 626 172, 960 203,850 850, 079 1, 776, 373 32, 467 47, 236 110,157 96, 489 156, 690 14,684 Total . 6, 679, 400 Total—official and unofficial.. 133, 210,164 3 1 306 ! 1, 575 j 53,321 ! 27, 888 | 394 | 1,855 j 5 | 23,528 ! 56,481 I 53,661 | 4 I 4,317 I 3,492 ; 11, 017 | 3, 065 ! 4 I 240, 916 . 1,883,118 7, 420, 323 2, 840, 746 2, 486,493 17, 556, 218 450, 206 2,470, 600 1, 379, 847 1, 929, 673 7, 024, 017 17, 066, 921 397,401 543,411 695, 968 1, 334, 325 1,122,933 202, 409 656, 000 2, 497, 500 676, 320 718, 922 4,103, 600 80, 000 840, 375 505,100 498,000 1, 874, 689 6, 778, 254 200, 000 139, 533 220, 000 644, 200 240, 000 80,000 92, 017 422, 842 125, 669 59, 904 1, 251, 708 15, 000 .15, 613 82,178 157,591 261, 262 529, 859 396 5,830 33, 000 31, 630 5,000 1,750 66, 804, 609 ! 20,752,493 3,091, 849 8,940,828 j 796,035,613 j: 166, 651, 582 48, 030, 464 LOAN AND TRUST COMPANIES—OFFICIAL. Maine New Hampshire Massachusetts lib ode Island Connecticut New York Illinois 172,233 20,197 8, 303, 657 376, 355 156, 367 7, 676, 933 3,148, 787 70, 781 3 84, 747 215, 025 3 I, 583,132 11, 599 Total. 19, 854, 529 4, 965, 290 1, 870,192 3, 036, 708 62,981,635 12.075,801 4j 799, 916 236,261,610 16, 667,536 5. 1. i; 20, 2, 485. 000 7,000 97, 089 550; 000 1,619,931 200, 000 500, 000 227, 833 036, COO 587,000 17, 647,895 804, 000 1, 278, 250 337,693,398 \ 32,162, 600 20, 877, 998 LOAN AND TRUST COMPANIES—UNOFFICIAL. Pennsylvania Iowa -f. M i i i i n ' • of a K;< Total T tal— official sinil unofficial. 5, 032, 050 '.id, 377 121, 028 112,890 73, 528 1, 7Gii 7C8 1, 028, 231, HU. 622, 201, 249, 152, '», 38 , !U7 •J. •-.9. t'G'J (i67 202 64(5 240 095 036 070 69, 459,4f)S) 9, 012, 785 4,186, 213 10,147, 979 4, 013, 5')8 5, 897, 570 857, 541 17, 110.922 1,436, 600 2, 070, 215 8, 311 900 1, 971, 700 810, 000 572, 000 3,890,122 139, OH) 110,->3:» 122, OOd 194, {'lit 190, \AU 103,575,085 27, 283, 3 3 ' 4,70;>. 1/07 441,208,483 REPORT OF THE COMPTROLLER OF THE CURRENCY. 213 COMPANIES, FROM OFFICIAL AND UNOFFICIAL SOURCES, ETC.—Continued. LIABILITIES—continued. Other undivided i 'tState-bankj; Dividends Individual I notes. unpaid. profits. State, 1 Deposits of i State, ,; county, and Due Other j to other i liabilities, i banks. officers. $31, 748 :. 1,070,294 ; . 3, 819, 658 i 1180.826,561 . ! 4,077,2*0 : 35, 180, CYi-S ' 10,777, 110 ' . 2,220,464 , . 4.593.978 • . 8,582 : * 49, 070 5. 899, 60 L : 359,155 22! «D8, 84(> :. 19,732 ! I. 4,213 12! 44:5, 120 3,47U, 610 : 930 10. 275. 604 2, 595 2,951,635 ; $139, 425 25,657.781 i 7,271,515 : . 4, 592 15, 553, 819 . 111, 174 62, 80D. *J70 ; 10,677,^04 I 18,781 : 4,061,742 3,900 2, 888, 842 50, 610, 800 137, 9(5 S 44S 2, 794, 248 : 960 788. 373 $644 8,580 $3,139 ! 4, 832 9,556 ! 8,065 i.. , 34,619 71,065 i 16,511 14 $173, 636 249, 124 ; 8,790,594 : 198,199 985,967 : 390,201 : 128,060 216,454 419,915 ! 798, 762 294,158 209, '-'02 157, 285 4-15, 379 849,990 ; 1, 421, 340 j 255,090 : 121,102 i 11,493 ' 53.117 j 18, 504 ! 14,776,292 I 120,139 27, 900 111,745 64,591 97, 942 588, 795 17, 948 1*6,038 62, 072 29, 114 191, 443 545, 013 12, 984 16, 952 14, 109 43, 903 62, 440 1,292 41, 365 1, 365 9,176 49, 400 360 1,766 437 215 34, 069 180 3,487 2, 034, 281 22 16,810,573 ! 64,226 ••• 1 1 , 4 4 7 621,018 473,484,147 120,161 Debentures bonds. 100, 000 1, 797, 350 1, 748, 677 266, 635 92,176 6, 511, 478 3,401, 600 384, 993 141,820 139, 425 930,331 4, 142, 605 I 1,513,667 8,448 . 1, 183, 442 27,000 ; 7,491,533 : 56,064 316.898 ; 1,175,720 j 12, 723 i 676, 787 ! 25, 469 1,214,511 i 4,549.099 I 41,810 : 8, 116,751 . 133,593 ! 148,895 368,048 i 379, 59r 487, 621 18,836 | 812,451 92, 380 33,600,334 ! 323,943 I 762,838 |507,084,481 i 463, 368 I $1,102 1 2 3 1, 821, 297 4 82, 014 5 85, 000 6 546,198 7 89, 230 8 50, 054 9 $158,234 423, 452 $(S46, 816 19, 397, 089 257, 877 431,127 10, 000 425, 367 219,577 108, 956 4, 992 2, 679, 061 203, 041 20, 699 119, 930 52, 501 12,411 255, 536 211,816 197, 329 62, 257 204, 566 1,395,824 380,194 876, 052 8,447,311 69, 847 142, 039 1, 072 6, 436, 638 3, 893 112, 069 11, 331 669, 227 40, 912, 502 47, 552 187,149 3.336 ! 18,182 : 11, 982 20, 356 7, 001 11,145 72, 002 26, 824 98, 248 ,061,215 159, 909 6,829 4, 661 56, 421 470, 054 34, 946 10, 046 49, 264 35,683 3, 042 2, 686 2, 254, 529 597,926 555,156 110, 663 626, 942 34,410 621,435 1 88, 514 25 143, 943 26 : 7, 670, 550 128,718 17, 095 423, 862 288, 523 2, 935, 721 20, 000 118, 456 9,430 5, 003 42, 077 448,183 3 4 5 6 7 8 9 10 11 12 3, 002 : 13 "68,'965'iH i 16 24, 301 I i7 4, 533, 336 741, 229 43,167, 031 12,203,886 j 1,119, 053 482, 221 206,911 i 49,428,587 i 5,264,266 2,309 <• 3,160,730 183,796,208 4,116 9, 936, 922 6,275 66, 228 280, 268 2, 259, 255 94, 304 92,326 4, 711, 301 3 5,044,900 I 4 5 6 7 9, 079, 632 541,167 159, 028 152, 044 114, 402 58, 294 86, 380 8,262 6, 575,182 416,100 1, 858, 025 692, 705 1, 904,150 157, 700 40, 943 831 3, 539 115,555 200,179 27,156 4, 343 15, 222 j 42, 582,152 . ! 486,333 . 2, 278, 931 199, 493 679, 844 2, 831, 802 192,406 2, 709, 524 45, 057 8, 937, 057 58,036 46,424,912 271,981 299,612,899 11 12 13 14 15 16 17 18 19 20 21 22 23 16,318 3,013,572 23, 197,317 ABSTRACT OF REPORTS OF CONDITION OF STATE BANKS, 1872-'73 TO 1888->89. 1872-'73.* Total . Liabilities: Capital stock Circulation . . . Surplus Undivided profits.. Dividends u n p a i d . . Deposits Due to banks Other liabilities Total . 1874-'75. 1875-76. 1876-77. 1877--78. — banks. Resources: Loans and discounts _. Overdrafts United States bonds Other stocks, bonds, and mortgages Duo from banks ... Heal estate, fuinitui e, and fixtures Other resources Expenses Cash items Specie Legal-tender and other notes 1873-74 — banks. 551 banks. 633 banks. 592 b a n k s . 475 banks. $119, 332, 341 237,104 1, 544, 296 9,617,667 12, 605,100 3, 209, 233 944,079 886, 348 18, 977, 324 3, 020,139 8.447, 776 $154:, 377, 672 212, 772 i, 1 961, 447 \ 16 437, 815 i 19, 050, 043 > 5, 372,186 1, 164, 999 1, 284, 344 1,434,018 10 ], 980, 083 ' 25, 126, 706 $176,308,949 377,297 344,984 23, 667,950 19,851,146 9, 005, 657 4,909,190 1, 353, 066 8, 624, 086 1,156,456 26,740, 215 $178, 983, 496 348, 604 869,144 19, 364, 450 23, 096, 812 8,561,224 C, 863, 0*3 1,559,404 9, 059, 547 1,926,100 27, 623, 988 $266,585,314 $169, 391, 427 •516,565 319, 959 929,260 I 2,150,880 23,209,670 j 19, 398, 287 25,201,782 I 25, 107,149 12,609,160 ! 11,092,118 6,442,710 i H), 694,390 1,211,416 914,726 9, 816,456 7, 320, 845 2,319,659 3, 041, 676 34,415,712 28, 480, 374 178,881,407 ! 237, 402, 0F8 272, 338, 096 42, 705, 834 174, 714 2,109,732 i 10,027,668 • 33,492 | 110,754,034 i 8,838,355 | 4,237,578 i 59,305,532 153,432 ! 2,942,707! i 12,363,205 337,290 137,591,961 : 14,241,004 | 10,403,357 i 110, 949, 515 69, 084, 980 | 80,425,634 ; 388,397 ! 387,661 177,653 i 7,027,817 i 5. 6fi5, 854 I 6,797,167 : : 10,457,346 18. 283, 507 9,002,133 393,419 335, 904 83, 722 22(5, 054, 538 1C5.871.4S9 , 157,928,058 : 9, 412, 876 10, 530, 844 : 13,307,398 ;; • 8, 327,183 11, 567, 789 10,791,058 178, 881, 407 237, 402, 08S 272,338,996 : 278,255,852 i 278, 255, 852 j 383,257,704 ! 383, 257, 704 | | 1878-79. 1879-'8O. 616 banks. 620 b a n k s . $191,444,093 447, 302 7, 739, 203 21, 916, 024 22,169, 065 14, 264, 835 9, 221, 760 801, 005 8, 767, 391 1,979,701 37, 088, 961 $206, 821, 194 528,543 7,142, 532 17,117,117 36,180,435 14,227,927 5, 801, 796 878, 696 11,176, 374 6, 201, 617 48, 828, 255 315,839,340 354, 904,486 H W 90, 8! 6, 575 283, 308 18,816,496 6,721,615 474, 567 208,751,611 18, 462, 707 10, 577, 607 o 142,764,491 10, 348, 911 9, 215, 603 104,124,871 i 389,542 ! 16,667,574 ; 5,666,221 : 501,831 i 166,958,229 , 13,093,069 j 8,438,003 ! 277,911,831 j 315,839,340 j 354,904,486 277,911,831 I 95,193,292 388, 298 7, 98?, 996 11,693,(164 324,176 *In compliance with House resolution, making it one of tins duties of the Comptroller of the Currency, the Annual Report for 1873 contained the first report of State and savings-banks uiado to this Chfioe, aud was tiio first call of tiuit diameter ever mule upon State by Federal officer. w o o F El w o o a w O j ABSTRACT OF REPORTS OF CONDITION OF STATE BANKS, 1872-'?3 TO 1888-'89—Continued. 1880-'81. 652 banks. Resources: I Loans on real estate |. Loans on collateral security other ! than real estate L Loans and discounts < $250,819,420 1, 335, 310 Overdrafts I United States bonds i 12, 048, 452 [State, county, and municipal ! bonds !. Railroad bonds and stocks j. Bank stocks ;. Other stocks, boml s, etc j 24, 904, 903 Due from banks j 46, 657, 328 13, 914, 238 Heal estate, furniture, etc i 10, 542, 266 Other resources ; 965, 327 Expenses • 16, 900, 325 Cash items ; Specie ! 17, 071, 445 23, 797, 046 Legal tenders, etc ; Total. 418, 956, 060 ! 1881-'82. C72 banks. I 754 banks. Total 92, 922, 525 274, 941 20, 976,167 7, 943,466 r>t»7,171 261,362,303 1883-'84. ; 1884-'85. , 1883-'86. 817 b a n k s , i 975 b a n k s . I 849 banks, • 1883-'87. j 1887-'88. ! 1888-89. j 1,413 b a n k s . ! 1,403 b a n k s . ! 1, 671 b a n k s . $31,128, 369 •I$272, 520, 217 ! $322, 358, 227 I $331, 049, 510 $347, 880, 520 '• $331,183, 626 $435,854,364 \ $432,002,663: 1,196, 369 1, 392, 961 1,262, 725 1, 349, 998 j 1,169, 388 ! 2,395,610 i 2,001,781 ; 8, 739,172 5,287, 606 \ 2, 337, 705 2, 994, 806 : 4, 392, 421 | 2,530,156 i 2,097,634 ; 19,780,527 ! 49, 919, 183 ' 13,037,939 ! 12,306.578 j 999, 944 ! 18, 54(5, 073 17.201,4 89 24, 586, 682 22. 083, 304 .58; 709, 516 13, 592, 71)1 G, 943, 700 918,403 35,118, 379 17,429, 817 25, 302, 316 438, 834,173 I 512,137, 026 _ = Liabilities: Capital stock Circulation Surpl us Undivided profits Dividends unpaid . I n d i v i d u a l deposits State, county, and municipal deposits . Deposits of State, county, a n d municipal disbursing otftcers.. Due to banks , Other liabilities 1882-'83. _ • = • _ = ! 32, 644, 859 59, 062, 405 15,873,312 i 5, 791, 111 1,130, 883 25, 972, 922 29, 867, 724 30, 994, 221 521, 077, 7C6 • 553, 562, 76: 27, 194, 693 30,544,699 •49, 747, 429 64, 774, 881 14, 605, 853 20.475,102 15; 237; 643 8, 224, 886 047, 782 2, 123,672 51* 668, 218 110, 845, 718 24, 734, 684 14 726, 940 528,695, 920 i 684, 781, 845 ! 110,020,351 j 125, 258, 240 98,129 177,554 i 31,483,942 j 30, 669, 575 12,718,894 : 11,574,730 493, 926 473, 735 ; 325,365,669 | 344, 307, 996 109, 611, 596 103, 430 27, 813, 508 10, 095, 7<'() 430, 699 342, 882, 7G7 31,452,019 ! 48, 836, 689 ! 15. 058. 411 ; 7,671,876 ! 1,025,237 28,219,414 J 25, 376, 565 : 28,787,615 ' 34, 787, 037 58, 778, 206 i 20,240,654 ! 14, 710, 237 j 1, 76fe, 158 ; 105, 314, 947 671, 707, 317 97, 583,192 376, 623, 827 3, 071, 724 3, 051, 722 983, 802 320, 422 310, 668 33,709, 278 79, 819, 380 25, 2o5, 437 b, 940, 828 2, 020, 800 133, 210,164 [ 796, 035, 613 o w H O O o H O F W O _ 91,808,213 ! 286,391 ! 23,148, 050 i 8,902,579 ! 481,858 ; 281, 835,496 ! 102,454,861 187,978 25,762, 738 11,287, 623 442, 652 334,995, 702 141,000,377 j 228,956 i 38,519,720 ! 14,452,490 i 749,749 | 446, 560. 022 i 154,931,868 i 148,434 i 41,374,468 | 15,510,620 1,045,459 j 410,047,842 j 106, 651, 582 120,161 48, 030, 464 16, 810, 573 762, 838 507, 084, 481 a 463, 368 | 18, 870,466 16, 039, 021 18, 262, 172 14,109,414 418,956,060 438, 834,173 20,651, 930 16, 353, 542 512,137,026 j 27,125,108 13, 712, 513 521,077,766 29, 950, 453 11,209,706 553,562,761 I 27, 800, 280 9, 957, 880 528,695,920 32,445,414 ! 34, 538,942 \ 14,109, 684 j 10,825,117 i 684, 781, 845 I 671, 707, 317 741, 229 43,167, 031 12, 203, 886 796, 035, 613 a 216 EEPORT OF THE COMPTROLLER OF THE CURRENCY. LOAN AND TRUST COMPANIES—OFFICIAL AND UNOFFICIAL. AGGREGATE RESOURCES AND LIABILITIES OF LOAN AND TRUST COMPANIES FROM 18rf4-'85 TO 1888-'89. 1884-'85. 1S85-'8S. 1886-'87. 1887-'88. 1888-'89. 40 banks. 42 banks. 58 banks. 120 banks. 120 banks. Resources and liabilities. Resources. Loans on real estate ) ($16,269, 993 $46, 606, 390 Loans on pers'l andcollat'l security > $141, 5*2, 649 $156, 828, 458 I 36,544,018 175, 033, 893 29, 060, 365 Other loans and discounts ) (143, 282, 819 135, 919 24, 311 419 12,810 Overdrafts 25, 376,400 27, 985, 658 28, 787, 717 22, 899,766 United States bonds 2, 006, 479 f 178,148 State, county and municipal bonds] 15, 702,430 Railroad bonds and stocks ( AO out ~i« I 7,400,348 660, 468 Bank stocks ( 29, 750, 2C0 43, 816, ,16 '132;651 Other stocks, bonds, and mortgages) 36,428,878 31, 309, 770 Due from other banks and bankers. 23,458,985 16,160,112 I 18,795,503 19, 791, 922 8, 759, 291 Real estate, furniture, and fixtures. 13, 951, 791 9, 774, 575 11, 087, 272 302, 052 Current expenses and taxes paid... 605,173 433, 509 10, 040, 533 19, 664, 497 788, 298 Cash and cash items 644, 510 16, 822,224 19, 212, 421 6, Other resources 9, 023, 654 3, 439, 646 2, 949, 767 Total. 248, 389, 683 278, 314, 591 : 319,125, 657 383, 653, 477 $53, 349, 045 193, 610, 054 44,491,268 83, 957 27,193, 201 3, 765, 747 19, 352, 398 737, 312 25, 676, 359 25, 084, 040 14, 455, 406 438, 018 25, 236, 526 7, 795,152 441, 268, 483 Liabilities. Capital stock Surplus fund Other undivided profits Debenture bonds Dividends unpaid '. Individual deposits State, county, ajid municipal deposits Deposits of State, county, and municipal disbursing officers Due to other banks and bankers... Other liabilities Total. 26, 428, 600 27, 644,150 36, 355, 769 53, 243, 510 10,695,984 21,671,152 ! 15,841,793 24,105, 371 8, 508, 000 2,849,549 i 11,351,526 11,846,316 14, 420, 537 19, 251 38,900 581,255 198,319 188,417, 293 214,068,415 240,190,711 257, 878,114 38, 084 197, 893 14,122, 662 59, 445, 937 25, 583, 905 13,199, 209 16, 902, 812 271, 981 299, 612,899 26, 300 24, 533 192,243 : 5, 606, S97 I 2, 046, 965 11, 855,182 i 9,159, 6i2 I 19, 888, 036 16, 318 3, 013, 572 23,197, 317 248, 389, 683 278,314,591 319,125,657 i 383,653,477 441, 268, 483 218 REPORT OF THE COMPTROLLER OF THE CURRENCY. ABSTRACT OF REPORTS OF CONDITION OF MUTUAL AND STOCK RESOURCES. Location. Title. Loans on ;hanks Loans on collateral Loans ami j Oversecurity real estate. other than ! discounts. I drafts. I real estate. i MUTUAL SAVINGS BANKS—OFFI- j CIAL. j Maine New Hampshire Vermont ! Massachusetts | Rhode Island. : i Connecticut.. ! New York. , New Jersey District of Columbia Ohio Indiana Wisconsin j i Nov. 1, 1888 55 j Mar. 20, 1889 69 20 I June 29,1889 j Oct. 31,1888 176 Nov. 21, 1888 38 Oct. 1, 1888 85 Jan. 1,1889 125 ....do 25 June 30,1889 1 Sept, 30,1888 4 Oct. 31,1888 5 June 30,1889 1 13, 589, 770 '"315," 338" 4, 944, 511 2, 098, 468 1, 559, 766 191,014 39, 779 604 459,740,287 125, 231, 039 ! 25, 287, 975 Total. SAVINGS BANKS—OFFICIAL. Vermont North Carolina Louisiana Michigan : 5 ! Iowa 6 Illinois California Utah ! $6,407,247 $6,361,832 |. ! 28,321,999 $8,840 198 ! 8,842,996 1,492,675 139, 999 127,326,276 91, 886,108 24,171,192 8, 702, 743 571, 092 43, 335, 589 7, 988, 640 2, 834,723 216,075,139 3, 918, 398 i June 29,1889 ...do ....do Sept. 3U, 1889 June 29,1889 Aug. 12,1889 July I , " " June SO, 1889 ! 967,805 2, 365, 250 73, 347 87, 679 11,186, 306 720, 859 5, 028, 872 64, 332, 572 7, 056, 517 78, 045,154 13, 774, 053 43, 032. 313 801, 489 770 537, 785, 441 139, 005, 092 68, 320, 288 801, 489 1 166 Total Total, mutual and stock savings banks—official... 75,197 249, 245 $1, 775 13, 002, 871 109,794 14, 343,105 14,583, 867 626,' 373 264, 008 514, 020 MUTUAL SAVINGS BANKS—UNOFFICIAL. 1 2 3 4 5 I Pennsylvania ! Delaware I Maryland I West Virginia I Minnesota ! 13,483,312 i 2,444,477 ; 5,368,300 39, 794 1,955,102 11, 64r», 116 7, 080 3, 302,436 4,718 143,420 f 8, C O O 82.3, 558 107, 705 3, 653 259, 859 3fO 33 I 23,290,985 15,102,770 1,254,775 | 702 June 30, ] do... I do . . . j . . . . do . .do. Total. 164 238 I STOCK SAVINGS BANKS—UKOFFT1 CIAL. Pennsylvania... Maryland South Carolina. Georgia Alabama Texas Tennessee Ohio Dakota Jime 30,1889 ....do ....do ....do ....do ....do ....do ....do ....do 897,157 204,195 478, 259 473, 544 Total, all savings banks . 1,717,898 255, 726 103, 592 815, 563 279, 246 919,832 282, 835 948, 459 530, 964 1,195,173 4, 453 5,402 17, 603 4, 218,408 2,150 79 23, 556 4, 590, 676 16,843 6, 296, 718 Total Total, mutual and stock— unofficial i ' ! | 6, 708, 291 4, 976, 525 29, 587, 703 21, 811, 061 6, 231, 300 1,798 11, 722 849 567, 373,144 160,816,153 I 74,551,588 813,211 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 219 SAVINGS BANKS, FROM OFFICIAL AND UNOFFICIAL SOURCES, 1888-'89. itESOUUCER—continued. State, county, R a i l r o a d municipal, bonds and etc., stocks. bonds. U.S. bonds. Bank stocks. Current; Real expen- J Cash estate, ses and ! and cash and taxes ; items. fixtures. paid. : A l l other Due from other bonds and stocks. $1,139,014 51,604,213 $1,314,585 l$13,085,393 $9,387,818 $2, P>03, 575 $1,534, 297 \ 216,050 6, 706, 212 8, 661, 612 2,194, 844 I 5, 599, 994 ! $971, 039 659,577 i 137, 229 176, 760 2, 757, 957 214,970 | ! 433.801 i 232,144 111,952 8,892,003 4,430, 373 4,130, 216 36, 614, 988 29,155,651 27,413,568 | 581, 250 I 2, 750, 000 6,741,040 10,264,071 3, 231, 405 ' 2, 740, 773 1,630,371 I 21,413,694 6,292,681 I 1, 960. 030 ; 4, 442, 075 3,060,836 121,345.160 159,908,319 i57, 97.", 229 35, 365, 845 7, 695, 586 7, 399,145 ! 7,194, 762 9, 001, 658 1,101, 530 1, 580, 835 135,950 33, 939 309, 000 $9, 220 25,139 | 9 548,021 7, 732, 383 1, 095, 778 ' "30i,~966' 14, 858 2, 255, 000 131,549 I 10 123, 580 130,160 i 9,806 406,596 I 11 113, 056 9, 570 3,745 12 3,978 2, 000 143,582,039 246,456,158 78, 882, 846 41, 658, 613 80,174, 61546, 792, 405 22, 860, 072 33, 884 16, 672, 860 25, 650 1,031,353 5, 845 150, 950 261, 900 3,113,892 101,720 161,885 ! 37, 989 135, 533 25, 917 j 6,100 12,141 5,867 3,072 38, 767 104,140 ! 9, 960 1,195 I 44,575 5, 242, 377 617, 787 166, 461 1, y53, 998 577,642 1, 789,159 411,885 807, 091 . 870, 801 2, 049, 763 149, 439 ; .17,246,554 1, 730, 703 ! 261, 748 2, 828,457 , 65,150 27,363 39, 227 2, 395 101, 720 j 163,080 18; 177, 990 j 11, 013, 665 j 3, 504, 226, 928 821 571, 998 859, 548 4,302, 040 6, 374, 539 260, 144,441,587 250,758,198 78, 984, 566 '41, 821, 693 98, 352,605 57, 806, 070 [26, 364, 893 812 23, 047, 309 6,106,550 J18, 308,433 j 14, 223, 998 49, 824 52, 001 .1 179,000 ! 3,000 7, 890, 000 ! 9, 079, ! : 6, 897, 623252, 518 794 5,677 55,000 : 1,164,437 :. 14,051,550 28,737,341 21,124,621 37, 650 j 3,000 l 6,000 i 107, 235 354, 943 10,750 6,625 31, 000 974,613 ! 93, 246 I 726,700 | 146,155 ! 2,022,029 130,135 5, 060,025 1 162, 326 ' 5,089 • 2 1 701 2 3«J9, 831 133,607 219,731 533 513 3 215 2f 266 4 104, 713 16, 214 59^ 267 5 1, 794, 559 ! 1, 018, 290 j 2, 689,114 285, 045 3, 357 33,320 1, 065, 494 81, 081 59, 811 I 38, 643 174,045 I 14,936 I 75. 732 73, 005 136, 605 37, 783 127, 532 161,262 300, 937 I 2, 020, 547 723 16,301 1, 334,194 j 87, 018 1, 672, 255 I 2, 710, 216 j 14,482,043 29,381,266 |22, 4."8, 815 j 441,961 50,000 | 882,078 32,000 6,798 342, 843 60,640 467, 050 112, 210 301,108 i 430, 493 643, 925 ! • 226, 690 6C8 34, 062 1,137 74, 506 10, 993 71, 443 6,850 88, 358 7,570 15, 000 3,916 19, 516 4,945 65, 757 7,978 3, 233 4, 070 598, 565 5, 676, 772 161,308 i 1 22,460 ! 2 272,058 ; 3 41, 332 ! 4 174,702 I 5 44.K83 I 6 239, 470 247, 439 589 48, 067 j 1, 204, 3(51 3,466, 814 I 3, 728, 506 j 3, 287, 679 ;333,112 6, 881,133 158,923,630 '280,139,464 101,443,381 42,263,654 101,819,419 J61, 534, 576 29,652,572 \593, 924 <29, 928, 532 220 REPORT OF THE COMPTROLLER OF THE CURRENCY. ABSTRACT OF REPORTS OF CONDITION OF MUTUAL AND STOCK SAVINGS - Other '•• Divi- j undivided I dends profits, unpaid. i I MUTUAL SAVINGS-BANKS— OFFICIA L—contin ued. 3 Vermont * Massachusetts. 5 i Rhode Island 6 | Connecticut 7| New York 8 I New Jersey. 9 District of Columbia. 10 Ohio 11 Indiana 12 I Wisconsin Total . Total $1, 682, 205 $1, 024, 867 2,174, 746 3, 083, 264 451, 813 417, 940 9, 749, 557 5, 946, 996 76, 769 2, 123. 366 3, 689, 953 2, 217, 786 ::::::::! 92, 009,091 2, 888, 280 26, 329 346, 053 32. 634 195,698 ! 1,983 10, 289, 927 1,297,662,720 ! STOCK SAVINGS-BANKS—OFFICIAL. Vermont North Carolina Louisiana Michigan Iowa Illinois California Utah $43, 786,168 62, 727, 699 14, 563, 078 331, 206, 866 60, 976, 361 111, 816, 976 615, 889, 796 33, 776, 541 1,180, 408 18, 605,909 3, 082, 253 50,665 j j $648,194 418, 945 159, 824 778,433 173, 674 524, 640 6, 206, 975 1, 307, 986 48, 013 22, 077 3 1,163 3 5 1 2,501 2 77, 370 312,117 9,916 I 4, 845, 450 396,164 1, 073, 589 40, 834, 249 17,185, 340 19, 753, 716 96, 032, 676 658, 071 112,918,112 |16, 221, 218 \ 140, 634 $530, 000 I 10, 000 3,603 7,872 90,000 I 58, 893 100, 000 5,160, 495 847, 838 1,149, 353 419, 006 3, 256, 400 196, 874 2, 930, 200 732,890 | 299, 706 5,138, 443 3,141,327 j. 100,000 14,007 . 401,915 I 180,779,255 17, 305, 538 140 5,414 4, 946, 539 j 2, 075, 464 5,642 T o t a l , mutual and I stock savings-banks— 10,691,842 1,478,441,975 17, 305, 538 117,864,651 J18, 296, 682 5,642 official MUTUAL SAVINGS - BANKSUNOFFICIAL. Pennsylvania.. Delaware Maryland West V irginia. Minnesota Total. 238, 610 1 350, 703 2 5,024 72,447,100 3, 794, 079 35, 262, 625 56, 325 4, 415, 678 594, 340 115, 975, 807 6, 597, 938 254, 803 915, 291 140 110, 000 432, 820 73, 864 370, 545 1,051 96,496 7, 878,172 j 974, 776 STOCK SAVINGS-BANKS—UNOFFICIAL. Pennsylvania Maryland South Carolina Georgia Alabama Texas Tennessee Ohio Dakota Total Total, mutual and stock—unofficial.. 15, 912 19,202 2,568 1, 303, 071 3 12, 002 116, 773 3,251 3 4, 947, 874 692, 200 653,183 192, 343 3, 343, 533 301,000 2,443, 937 335, 492 1, 417,487 700,000 655, 450 100, 000 2, 079, 888 539, 850 12, 570, 447 3, 092, 925 82, 634 52, 500 J, 472, 785 28,194,433 2, 067,125 144,170, 240 278, 497 14, 500 137,115 50, 985 59, 422 100, 000 96, 020 746,171 32, 056 3,055 29, 813 7,006 1,042 116,479 20, 873 2,347 15, 015 33, 204 23,666 43, 259 3,000 268, 966 7,589 5,454 6, 006, 310 I 1, 482, 710 i 573, 770 I 39, 054 6, 006, 310 9,360,882 I 1,548,546 39, 054 Total, all savingsbanks I . . . 12, 758, 967 1, 622, 612, 215 23,311,848 127,225,533 ; 19, 845, 22844,696 REPORT OF THE COMPTROLLER OF THE CURRENCY. 221 BANKS, FROM OFFICIAL AND UNOFFICIAL SOURCES, 1883-'89—Continued. j i i 1 j 1 Individual I deposits (not savings). i LIABILITIES—continued. i Deposits of State, county, county, and and municipal municipal disbursing deposits. officers. State, Savings deposits. ! No. of Average deposit. Due depositors. Other to other liabilities. banks. 1 1 1 $40 969 663 57, 300, 590 13,693,158 1 315,185, 070 ! 1 57, 699, 884 105, 850, 078 523 677 515 30 696 529 1 154 079 17 083, 856 2, 776,119 47, 704 i 1 ' $18, 621 1,176 000 77,802 978 50, 787 16, 607, 386 137, 602, 961 I j $8,556,192 j 8, 666, 407 i 16,607,386 1, 303, 737,206 124,562 145, 021. 49, 067 983, 202 123,102 287, 776 1 362 852 114 627 11,059 *43, 448 11, 696 519 $328. 91 1 395.12 1 2 3 279.07 320.57 4 468. 71 5 6 367.82 384 25 7 267 79 8 104. 35 9 393. 20 10 237. 36 11 91.91 12 18, 621 2, 370, 524 1,166,134, 245 4,108,169 223, 801 914, 555 24, 015, 207 13,125, 058 7, 620, 982 87,101,913 493, 276 $109,433 169, 099 167 325, 243 57, 721 59,159 203 190 191, 732 3, 256, 931 358.04 56, 647 70, 724 1 115,505 64,611 650, 993 1 12,692 *5, 001 2,889 99, 245 *43, 669 29, 605 *114, 034 6,056 323. 68 44.75 316. 56 241. 98 300. 56 257.42 763. 82 81.45 76 $103, 532 $274,469 ... 606, 244 188, 002 104, 920 274,469 | 103,532 899, 242 958,482 313,191 103,532 917, 863 3, 329, 006 3, 570,122 4 5 6 7 8 439. 36 274, 469 1 ?, 3 365.21 1 i 127,795 62 741 0 9 l 3 465 41L 33, 883, 972 55 133 3, 979,436 127, 795 104.124, 973 \ 15, 000 207, 515 15,050 120, 996 1, 850 16, 797 302. 34 230. 26 280. 04 29.80 236.91 2,855,091 | 362, 208 287. 47 5, 618 1,891 13, 550 *31,474 1, 765 1,069 11, 734 i *21,661 431 396.51 200. 56 199. 06 61.56 133. 77 247. 06 109. 89 383. 77 55.51 188, 624 ! 89,193 | 194.73 74, 460 3,043,715 | 451,401 | 269.14 1 0, 37L , 7; 1 i 4, 021, 523 ! 354.40 1 2, 227, 612 379, 269 2, 697, 264 1, 937, 497 236,108 264,110 1, 289,527 8, 312. 856 23, 927 43, 763 2,425,795 17, 368,170 46, 763 ?,."».":;. r>30 121.493,14-. 40, :en 1,714,452 19, 780 21,672 66,156 320,126 116, 079 46, 221 121, 309 2, 675, 321 i; 77, 817 j 1 | 101,951 | 15, 000 i l 3,000 3,777 9,849 18, 004 9, 849 5, 024 15, 981 753 59, 460 2 10,472 56,112 8,806 51,595 56, 987 4,650 I 4 !9, l.i\»7G L, v:\ ::i0, u* 3,777 107, 309 992, 323 1 I * Partially estimated. 1 3 4 5 1 2 3 4 5 6 7 8 8 222 REPORT OF THE COMPTROLLER OF THE CURRENCY. SAVINGS-BANKS—OFFICIAL AND UNOFFICIAL.* AGGREGATE RESOURCES AND LIABILITIES OF SAVINGS-BAXKS FROM 1884-\*$5 TO 1888-'S9. 1885-'86. 1884-'85. i 1886-'87. 18S7-'88. 1888-'S9. 801 banks. 849 banks. Resources and liabilities. 646 banks. 638 banks. ! 084 banks. Resources. $389, 953, 928| $18,372,642' Loans on real estate Loans on personal and collateral 133,716,9021 127,677,702 security Other loans and discounts -IOverdrafts 191, 980, 698i 197,171, 307; United States bonds State, county, and municipal bonds. 228, 993, 2501 241, 051, 536J 59, 585,489 63, 511, 735 Railroad bonds and stocks 38, 460, 603 39,029,813' Bank stocks Other stocks, bonds, and mortgages. Due from other banks and bankers 46,125,014 43, 689,103 Real estate, furnituie, and fixtures. 30, 984, 883' 3-\174,810 Ourrent expenses and taxes p a i l . . . 166,636 142, 71.7. 13,423,0fS4 19, 757, 911! •Cash and cash items Other resources 68, 445, 304' 79,451,562; i Total. $457,441,666 $501, 067, 089 $567, 373,144 145, 553,135 37,904,817 90,125 180, 248, 754 215, 764, 815 74, 408, 931 40, 067, 680 50, 684, 227 55,109, 727 29, 639, 750 1,761,450 18,005,235 70, 980,412 165,177,626 76, 909, 500 158, 201 183, 527, 275 287, 449,125 89, 715, 358 41,196,166 54, 661, 636 57,103,157 28,989, 343 475, 407 21,565,317 11, 940, 849 160, 816,153 74,551,588 813, 211 158, 923, 630 280,139, 464 101, 443, 381 42, 263, 654 101, 819, 419 61, 534, 576 29, 652, 572 " 593,924 29, 928, 532 12, 758, 967 ._ .; I, 203, 025, 69b! 1, 260, 840, 941 1, 377, 660, 724 1, 519, 936, 049 1, 622, 612, 215 •I.-: Liabilities. Capital stock. Surplus fund Other undivided profits Dividends unpaid Individual deposits (savings) Individual deposits (not sayings).. State, county, and municipal deposits ... Deposits of State, county, and municipal disbursing officers Due to other banks and bankers. -. Other liabilities Total. 10,090,886 16,350,321 23,311,848 88, 647, 315! 96, 924, 117! 119, 695, 310109,636,940 127,225, 533 13,106,359 15,326,391 7,204.933 845, 228 23, 059, 342 19, ! ! 193, 3X6 44,696 37, 488 , 095,172,147,1,141, 530, 578 1, 235, 736, 1,304,196,550 1,425,230, 349 069 : 19,160, 976 321, 232 | 6, 099, 877 7, 059, 85^ 90, 788 4, 649, 372 10, 680 1,054, 810! 5, 5tf9, 918! 107, 309 992,323 6, 372, 721 1, 203, 025, 698 1, 260, 840, 9411, 377, 660, 724 1, 519, 936, 049 1, 622, 612, 215 k Official only prior to 1886-'87. REPORT OF THE COMPTROLLER OF THE CURRENCY. 223 TABLE, BY STATES, OF THE AGGREGATE DEPOSITS OF SAYINGS-BANKS, WITH THE NUMBER OF THE DEPOSITORS AND THE AVERAGE AMOUNT DUE TO EACH, IN 1887-'88 AND 18S8-'S9. 1887-'88. States. Number of depositors California. Dakota . . . Utah Total I dumber of depolt. .... $38,819,643 ! 53, 9S9. 079 ! 16,602,066 ; 30J, 948, 624 j 55,363,283 j 102,189, 934 ' 505,017,751 I 29, 060,189 ! 55, 469, 516 i 3,187,886 ! 32,413,087 j 923, 958 I $325. 58 i 385.36 j 288.63 i 320.66 ! 460.81 i 367.04 ! 381.12 i 274.42 ! 280.58 ; 235.72 263. 75 [ 97.84 . 1,448 I 8,800 11,939 127, 186 ! 3,243,811 i 1,761,282 I 87.83 308.61 : 147. 52 i 2, 33G Maine « i : New Hampshire Vermont Massachusetts ; Rhode I s l a n d ! Connecticut New York New J e r s e y Pennsylvania Delaware ' Maryland District of Colombia Wt-st Virginia :. N o r t h CJaroliii'-i I South Carolina . . . . . . g Alabama . Louisiana Texas Tennessee Ohio Indiana Illinois Michigan Wisconsin Iowa . Minnesota 119,229 139, 967 57, 520 944, 778 120,144 278, 415 1, 325, 062 105, 895 197, 695 A m o u n t of deposits. 1888-'89. 6-34, 098 *81, 749 11,205 *34,494 *8S, 529 31,802,484 2. 615, 967 l i , 830, 854 22, <M't, 800 389.02 ! 236. 14 : 342.98 ; 259.10 l *30, O'l4 10. 9G2 *100, 263 11,268,079 3, 786, 366 77, 718. 534 312.90 ; 223.22 ; 731.38 ; 13, 524 122, 800 9, 443 284.28 4, 00!) 469, ©57 117.26 3, 838, 291 1,364,190,550 ! 355.41 • Partially estimated. 124,562 | 145,021 ! 61, 759 i 983,202 | 123,102 287, 776 ! 1,362,852 ! 114, 627 ! 213,133 : 15,050 ] 122, 887 ' 11,059 : 1,850 *5, Oul I 13,550 ! *31,474 | 1, 765 | Amount of deposits. Average to each depositor. $40, 969, 663 57, 300, 590 17, 801, 327 315,185,070 57, 6«9, 884 105, 850, 078 523, 677, 515 30, 696, 529 64, 968, 633 3,465,411 34, 263, 241 1,154, 079 55,133 223, 801 2, 697, 204 1, 937, 497 236,108 914, 555 264,110 1, 289, 527 ! 25, 396, 710 712 2, 776,119 7, 620, 982 24. 015. 207 47, 704 13.125,058 3, 979, 430 87,101, 913 23, 927 493, 276 $328. 91 395. 12 288. 24 320.57 468.71 367. 82 384. 25 267. 79 304. 82 230.26 278. 81 104. 35 29. 80 44. 75 199. 06 61. 56 133. 77 310. 50 247. 06 109. 89 390. 06 237.36 257.42 241.98 91.91 300. 56 236. 91 763. 82 55. 51 81.45 4,021,523 | 1,425,230,349 l 354.40 l', 069 | 11,734 ! *65,109 11,696 29, 6).'» 99. 245 519 * 3, 669 18, 797 *114, 034 431 6, 056 TA::L:: SHOWING THE GROWTH OF SAVINGS-BANKS, AS INDICATED BY DEPOSITS, IN MILLIONS AND THOUSANDS OF DOLLARS, IN THE STATES Minn. 1 ! Dak. Utah. | Mich. Ind. Ohio. Tenn. 4 < A Tex. d ft S.C. D.C. Md. Del. > Penn. w Conn. 6 Mass. Year. Me. NAMED, FROM 1849-'5O TO 1888-'8i).* 1,642 199 12,112 1,777 282 13, 660 1,496| 5,466 20 833 lf-5 - ' 5 1 . i 2,010 407 15, 554 1 907 fi fiQ£ 24, 007 38 - I - 52 !«»-, >_• \'i 2,508 705 18,401 2,474 8 135 27 542 o 922 902 23, 370 3,309 8,765 39 8'M 18 »> " i 3,341 897 25, 937 4,104 9, 650 33' 454 I8.")i-T)') 897 97 9Qfi 4 834 10 845 36,013 867 3, 537 i r>-".")6 1 876' T) 272 5, 798 12^ 162 41 700 920 3,748 183 57 18f>7 ' 5 8 908 3,589 820 33, 016 6,079 12 5 6 ' 41 4^'} 968 4,139 18"8-V>9... 941 33, 915 6, 350 14, 052 48,195 923 4, 860 1,112 39, 424 7,766 16 565 58 178 1* i>-*GO 1,539 5 591 1 929 45 054 9,164 19, 338 67' 440 lf6J-61 1 1, 709 5,654 M 4 9 44, 785 9,283 19, 984 64, 083 18Gi--'62 1 i 1, 876 6, 500 1. 678 50, 404 9, 560 23 147 76 538 l"6>-'63 1M;;>_'64. LI 129 9 6 955 93 786 5 500 2, Ml 7 662 1 Qfi^ 1 | ; 3, 673 7 8311 1 709: *w iVifi 12, 815 29^ 142 111, 738 6 571 l<<34-'65 r j 18ii;3-'C6 7 00r> 3,337 7 858 1 589 >9 936 13, 533 27, 319 115 473 6 450 i i8H6-'67 3,946 10,483 1,816 67,' 732 17, 752 31,180 131, 769 7, 620 1 1867-'(i8...jl7,3r)G 5, 599 13, 542 2, 046 80 432 21 414 36, 284 151,128 9,432 ]8o8-'6i).. 123,819 8, 032 i« 380 9 209 94, 838 24,409 41, 804 169,809 11 546 10, 840 18, 759i 2, 746 112 119 27 067 47, 905 194, 360 15,429 li-:09-70..-28, 894 l ]870-71...,-36, ;")56 16, 598 21, 472^ 3 172 135; 745 30 709 55 298 230, 749 •JO, 002 1 3 7 1 - 7 2 . . . 144,230 22, 788 24, 701 3, 836 103,704 30,290 62*, 718 267,906 2r>,2'.;v ... ! | 1872-73 iM Arn 26 154 20 671 4 479 184 797 42, 584 68, 523 285, 287 28, 754 i 1 1 8 7 3 - 7 4 . . . 57, 833 29, 557 28, 829 5, 012 °02 195 46 617 70, 769 285 520 30,0131 I ! 1874-75 00 0 9 7 31, 052 30, 215 6,005 217, 452 48,' 772 73, 784 303, 936 22 045 """ i 1875-76... 70, 0G3 30. 758 31,198 6,671 237, 849 51,311 76 489 319 260 32 727 19 544i 1 io, 042 280 187(5-77... 31,186 •^0 G6222 339 6, 816 243, 341 50, 542 78* 524 '316 677 29, 319 17,577 1 Q29 19. 739: 382 i 1 8 7 7 - 7 8 . . . 70, 985 25, 708 28, 794 6 723 244, 597 48,103 77,'214 312, 823 16, 297 17, 924 8 623 !1 928 19,'981 281 - 8,797 1,664 . . . 2,010 1 8 7 8 - 7 9 . . . 57, PAG21,165 26, 282 6, 753 209, 861 42, 807 72,515 299, 075 15, 395 19, 924 9,711 1,186 368 18?!)-'80... 47. 720 20,978 28, 205 9, 075 206, 379 43, 096 72, 842 319, 259 17, 470 23. 95fi 123.824 463 10, 902 1,331 18J-0-'tfl... 51, 865 23, 27? 3>, 098 10, 659 218, 048 44, 756 76,519 353,630 19 864 26, 895 25, 990 549 12,417 1,634 1J-K !->.>... 5% £09 26, 475 36, 181 12, 675 230, 444 46, 772 80, 522 387, 833 25 322 90 014 1 S91 UR 12, 970 1,755 27, 205 690 38<v-V{ .. i6 '.'7 '9 504 39,3 25 14 051 94.1 Q11 48, 321 84, 942 412,147 27 344 ' ... 1 2. 108 28,337I 622 18.-: - \ - l . . 5:' Ui:V 31,372 42, 092 13, 724J252, 608 50,128 88, 098 431, 080 29, 323 34^ 031 ( 1 42.827 13, 699 262, 720 51, 079 90, 615 437,108 24 018 25 2fi2 28 663l 729 12 605:2'l71 3 196 ihH - > ' i .. 5 8 JM4 Y> >14 30, 543 794 12, 823(2,131! ... 3,655 ... 0 \ > -j 15,1.12 j46,' 632 14, 254 274, 998 51, 816 92, 481 457, 050 25,' 336 37j 530 18W.-/-.5 . . 11 15 066 2. 312;14 Ofil 9 9 6 9 3,892 ]« * >7 . . r 11 1 7 **' 17, 215ISO. 293 15 587 9Q1 1Q8 53, 285 97, 425 482, 487 27 482 49 9-102,771 19, 021 835 > 664 31,802 2,646 ll'f 831 22,944 71.71 i .8, 8^0 53*, 939 16,602 302,949 55, 363 102,190 505, 018 29,060 55; 470 3,188 32,413 924 11, 268 3,786 469 127 3,244 1,761 18K7-' K. . 915 264 i,*290 25, 397 2, 776 7,621 24, 015 48 13,125 3,979 24 493 1S8*- >:> .. 87,1,2, ; 0,970 57, 301 17, 801 315,185 57, 700 105, 850 523, 678 30, 697 64, 969 3,465 34, 203 1,154 55 224 2,697,1,937 184 ( "}) > tsy H O 50 H H ft H O o H O ..... • 1 ; ; • : a !'\)r tin- y«*:i l-'4O-'5O to 1875, inclusive, from E . W. Keyes' History of Savings-Banks in t h e United States (verified officially, except , Mid l:hu-le slr.a\); for l i t e r years from returns compiled in this Bureau. the roturns from California, H ft H O a so w a REPORT OF THE COMPTROLLER OF THE CURRENCY. 225 REPORT OF THE CONDITION OF THE NATIONAL SAVINGS-BANK OF THE DISTRICT OF COLUMBIA, AT WASHINGTON, IN THE DISTRICT OF COLUMBIA, AT THE CLOSE OF BUSINESS ON THE 30TH DAY OF SEPTEMBER, 1889. DR. CE. EESOUECES. LIABILITIES. Loans and discounts (see schedule).. $655,753.49 j Undivided profits | ! $15, 630.10 United States bonds on hand (par Individual deposits subi 300,000.00 ! ject to check value), 4 per cents I $1,158,117.55 ! Stocks, securities, judgments, claims, | Time certificates of do\ 147,300.00 , posit etc. (see schedule) \ 1,000.00 Due from State and private hanks 1,159,117.55 3,441.5!) ', and bankers 4,252.70 ; Current expenses and taxes paid 46,650.00 Premium on United States bonds Checks and other cash items (see I 3,800.00 I schedule) Bills of other banks 300.00 ; Fractional paper currency, nickels, and cents .". 49. 87 Specie, viz: Gold coin $150.00 Silver dollars 50. 00 Silver treasury certificates 4,950.00 Fractional silver coin.. 50. 00 5,200.00 ! 8,000.00 ;| Legal-tender notes. Total 1,174,747.65 Total i 1,174,747.65 SCHEDULES. Loans and discounts. On demand, on United States bonds $7, 000. 00 On demand, on stocks, bonds, and other personal securities 319, 335. 75 On demand, on mortgages, and other real-estate security sanctioned by section 5137, R. S.. 329, 417.74 Total 655,753.46 Stocks, securities, judgments, claims, etc. District of Columbia 5s District of Columbia 6s United States Electric Light State of Georgia 7s State of Pennsylvania 4s Total $50, 000 37, 500 20, 000 30, 000 9,800 147,300 I, Benjamin P. Snyder, president of The National Savings-Bank of the District of Columbia, do solemnl\r swear that the above statement is true, to the best of ray knowledge and belief, and that the schedules on back of the report have been carefully filled out, and fully and correctly represent the true state of the several matters therein, contained. BENJAMIN P. SNYDEE, President. The highest rate of interest paid by the bank is 2 per cent. Number of depositors, September 30,1889,11,435. DISTRICT OF COLUMBIA, County of Washington: Sworn to and subscribed before me this 2d day of October, 1889. WILLARD H. MYERS, Notary Public. Correct. Attest: 9460 CUR ANDREW WYLIE. } LEWIS CLEPHANE. > Directors. M. G. EMERY. ) 15* 226 REPORT OF THE COMPTROLLER OF THE CURRENCY. ABSTRACT OF REPORTS OF CONDITION OF PRIVATE BANKS, RESOURCES. Date of report. Location. No. of banks. Loans on Loans on collateral I Loans and j security real estate. I other than discounts. ! I real estate. OFFICIAL. North Carolina Wisconsin Missouri Nebraska California I Juno July Mar. June ; July r .' 30,1889 1,1889 30,1889 ; 30,1889 1,1889 Total. 11 $129, 579 .112 95 | " 6 2 5 , 0 3 6 383 | 34 ! "i," 417," 948 $505,456 ! $1,631 ! 170, 096 ! 5, 680, 966 i 5,404,581 j 15,037,454 J 644,521 j 5,011,216 j 635 | 2,173,163 \ 6,725,254 j 25,731,267 UNOFFICIAL. I 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 Connecticut Xew York New Jersey Pennsylvania Maryland South Carolina Georgia Florida Alabama Louisiana Texas Arkansas Ohio Indiana Illinois Michigan Minnesota . Kansas Colorado. Oregon Dakota Idaho Utah Washington , ' June 30, 1889 j . . . do j j do do j do j do i do j do i do ! do ; do ; do do i do . ' . . . do . i do . do . do . .do . ; do . • do ; do ; do i... do i do Total Total, official and unofficial 4 27 3 30 4 2 6 11 4I 2 ' 21 j 2 • 67 43 104 42 125 43 77 9 2 53 3 4 1 G8i) j j 1, 324 I • : i ' 37, 998 407,843 135, 728 561, 155 18,850 10,052 44, 096 39, 841 52,119 10, 3dO 561, 535 5 000 1,015,200 409, 074 1,142, 537 516, 530 507, 284 385, 582 192, 730 6,790 159, 588 8, 900 34, 750 53, 424 204, 735 197. 940 181, 224 5, 500 75, 299 17, 062 189. 587 46| 186 12, 655 1, 005, 076 128, 261 1, 000, 859 1,151,863 ! 1,709,268 j 559,162 j 1,384,152 j 562,755 I 1,125,756 ! 51,344 j 665,686 ! 39,100 • 29,572 ' lH, 799 1, 897, 493 132, 781 5, 902, 068 137, 748 13, 500 436, 595 106, 585 414, 259 16, 621 987, 347 16, 337 6, 240, 900 3, 894,106 5, 635, 203 1, 306, 009 5. 568, 941 l| 969, 016 2, 065, 243 453, 432 60, 606 948, 300 49, 954 1, 262, 920 50, 808 6,213,572 10,396,406 ; 39,749,267 \ 8,386,735 17,121,720 65,480,534 | REPORT OF THE COMPTROLLER OF THE CURRENCY. FROM OFFICIAL AND UNOFFICIAL SOURCES, IX 1869, $133, 682 1, 369, 025 1,779,561 2, 388, 812 373, 842 226 24,588 . 4,021 . . 98 890 777 55 659 67 495 233 984 23 611 222 223 37, 491 70 166 43, 006 16, 360 23, 849 986 258 | . . i 64, 090 ! 896,200 ! • 182,801 ! 25, 568 : 31,425 : 50 ' . : . . . . 6,230 34,100 1,142 45,283 : ! 56,491 I i 359, 077 112,198 112,442 24, 612 10,597 21,129 7,482 2,138 55, 806 : 1, 010, 554 ,1, 2!)6, 259 , 9,104 33, 709 534 25,860 I 382,088 1,750 1 12,596 : io, 900 13,704 : 20,686 3, 500 13,738 '• 31, 865 5, 000 162, 090 15, 250 15, 200 35, 50 L US, 300 19, 900 61!873 5. 454 2:1 250 •4. OOU 75, 148 3, 488 194,058 299, 539 404,168 5,128 31, 055 28, 728 177, 275 24, 3i)8 57, 396 90, 217 3,103 814, 383 470, 627 . 514,770 1, 948, 904 jl, 733, 213 ,1,421,537 j 814, 083 ~4707(327"';"7>14,T70~ 3",Yl6T^3": 227 61, 437 442, 097 64,025 2,614,121 32, 073 12,102 38,130 : 174,425 87, 855 57, 355 400, 071 69, 748 1,835,723 1, 888,932 2, 030,015 298, 449 1, 307, 457 400, 590 652, ;Ui8 173, 370 U),i:>4 246, :;ii 21, 507 71.5, 710 1,700 13, 708, 251 $79, 979 597, 902 468, 334 1,750,933 895,119 7,525 ; 1,646 ! 196,175 ! 2,832 j 31,913 ! 3, 479 j 266, 594 i 27,635 ! 29,228 ! 524 3,879 ! 1, 596 314, 745 i 7,724 97,633 : 7,508 37, 696 ! 4,408 2,950 ; 1,119 430,613 I 12, 774 9,229 i 3, 600 575, 358 [ 65, 037 450,609 ! 25, 636 783, 199 ; 84, 573 177,716 ! 24.231 , 16 848,858 I 86,528 : 17 276,923 i 52,507 ; 18 037,784 I 83,372 | 126,617 I 1, 813 21,260 j 250, 234 I "32," 790" 44, 171 i 1, 366 50,439 , 2, 056 4,763 ! 1,749 25 5, 682, 111 536, 503 "8157829" 228 REPORT OF THE COMPTROLLER OF THE CURRENCY. ABSTRACT OF REPORTS OF CONDITION OF PRIVATE BANKS, FROM RESOURCES—continued. LIABILI- TIES. Location. Capital. OFFICIAL—continued. North Carolina. Wisconsin Missouri Nebraska California $153, 690 ; 889,827 1,005,130 1,317,608 1, 443, 784 i 110,919 | 3! 651,787 i 318,780 ! 4, 810, 039 I 1, 081,493 ; Total., $1,074,687 : 9, 181,102 | 9, 702, MG 22,014,785 j 10, 780, 647 i $297, 990 1, 419, 911 1, 348, 500 8, 370, 629 4,105, 032 52, 753, 887 15, 542, 062 376, 405 3, 577, 688 636, 246 11, 026, 430 255, 204 141, 357 1, 001, 704 749, 046 816, 367 152, 743 4,157,149 255,146 12, 998, 531 10,135, 479 13, 599,182 3, 276,179 11, 056, 290 4, 019, 299 5, 558, 020 982, 943 148,114 2, 568, 067 269, 806 2, 379, 833 70, 222 57, 000 896, 650 106, 500 1,150, 862 49, 300 72, 000 472, 021 192,655 295, 000 75, 000 1, 396, 446 105,000 2, 675, 475 2, 583, 901 3, 368, 408 961,420 3, 604, 797 853, 215 2,028, 005 161,500 64, 467 1,110,006 10, 000 197, 000 10,000 UNOFFICIAL. Connecticut New York New Jersey Pennsylvania Maryland South Carolina Georgia Florida Alabama Louisiana Texas Arkansas Ohio Indiana Illinois Michigan Iowa Minnesota Kansas Colorado . Oregon Dakota Idaho CTtah , Washingion. I • Total Total, official and unofficial j I ; \ 23,248 224, 067 26,159 672, 266 14,057 7, 797 18,141 66, 061 78,933 32,284 456,076 13, 703 1, 318, 934 923, 315 1,070,002 249,004 800,557 241, 511 452, 694 75,572 ! 5,502 I 159,456 ! 18,820 145,031 8, 037 ; -j 7,lul,827 ; 1,093 | 28,331 477 17, 641 1,777 2! 4 I 38,176 ; 19,459 | 129,619 | 55,560 1,262 162, 081 29, 524 150,913 7,117 31,337 18,949 5,002 5,347 60,002 274 2 • ' ! i j I I 763,956 | 90,207,450 ; 22,496,628 11, 911, 866 ; 1, 845, 449 ! 142, 961,337 j 38, 038, 690 REPORT OF THE COMPTROLLER OF THE CURRENCY. 229 OFFICIAL AND UNOFFICIAL SOURCES, IN 1889—Continued. LIABILITIES—continued. Surplus. Other undivided profits. Dividends j Individual unpaid. ; deposits. State, county, and I Deposits ! of State, ! county, and Due to other banks. Other i liabilities. deposits, i ^ V c e r s ^ 553, 286 1,002,242 556, 651 639, 785 2,816,752 j 186, 518 786,408 i 1, 388 3,000 | 30,000 I 74,003 i 47,000 I 8,000 i 48,648 | 666,370 | 263,104 I 552,680 149,498 ! 880,419 | 128, 688 458,326 i 2,500 j 121, 626 3, 005 1,037,083 1,500 ! $34, 541 18, 884 26, 482 738, 648 $535, 535 6, 876,008 6, 764, 839 0,302 i 9, 917,408 5, 253, 245 818, 555 10, 302 I 29, 347, 035 2,547 ! . 90,946 j 22,971 i. 161,168 1,906 ! . 4,563 I. 7,264 i. 11,312 I 36,092 ! . 4,901 i. 80,820 I. 640 ! . 250,899 j 216,652 542,413 83,683 462, 462 232, 283 249, 022 12,618 2, 642 ; . 113,178 . . . 135,143 . 4,323 . , 6,587 ' . . 290,910 200 j 2,370,946 $7, 066 389,983 66, 691 2, 006 8, 660, 865 100,137 37,452 2, 352 222,091 ; 388,954 '< 178 7,067 403, 782 6,459 64,841 : 1,919,250! 40,861 99,295 ] 25,000 . 11,943 8,928,294 i 40,252: 4,345! i 6,218,311 ! 79,552 ! 33,335 8,704,175; ! 94,740 | 521 ! 1,983,813: 10,962 | 5,488,930: 1,180 81,155 1,300 2,311,085 139,180 i 1,647 i 2, 241,24(J 73,892 369 i 788, 836 2, 976 i 73,755; 933,973 : 14,614 I 99, 075 1,150 : 1,004,550 : 52,134 5,449,764 j 2,737,035 ~8^2(^516 ^555759(7 , $32,250 I $109, 583 302,009 i 11, 004 444,219 j 116, 384 119,843 I 2, 301, 304 516,586 j 265, 999 I 57,024 j 53,836,683 ! 83, 1 , 414, 907 $435 | 7,500 ! 33,373 j 5,000 'hi', 115 9,900 45,449 196,434 41,705 3,952 112, 702 26,338 15,241 4,052 i i i : : 2,369 7,460 ; 5,587 16,822 5,675 178,967 5,458 2,804,274 \ ! ; ! •• 20,361 8,105 36,926 52,781 97,015 16,990 261,262 15,489 I 1 ! 2 i 3 4 5 6 9,066 '7 '' 8 8,273 28,034 | 9 1 10 534,243 126,981 111 554 '' 24,657 12 271,145 j 108,704 13 335, 855 237,325 14 104,665 157,061 15 28,170 54,160 16 123,087 301,558 17 50,759 : 276,451 18 193,953 296, 688 964 9,128 2,197 : 5, 053 41,187 231,114 22 8,432 13,001 23 64, 360 5,057 24 1 25 693,969 , 563,025 2,017,453 , 2,355,869 . ~693,969 !~ 563,025 3, 432, 360 5,160,143 230 REPORT OF THE COMPTROLLER OF THE CURRENCY. PRIVATE BANKS—OFFICIAL AND UNOFFICIAL. AGGREGATE RESOURCES AXD LIABILITIES OF PRIVATE BANKS IX 1837, 1838, ANI> 1889. 1887. 1888. 1889. Resources and liabilities. 1,001 banks. 1,203 banks. 1,324 banks. Resources. ; Loans on real estate $17, 588, 540 Loans on personal and collateral security other t ban real estate.! 63, 774, 934 Other loans and discounts j 24, 365, 262 Overdrafts | 1, 858, 778 United States bonds ; 4, 354, 656 State bonds 356, 234 Railroad bonds and stocks 2, 904, 872 Bank stocks : 592, 991 ; Other stocks, bonds, and mortgages 6, 743, 050 Due from other banks and bankers • 22, 226, 065 Real estate, furniture, and fixtures 9, 757, 816 Current expenses and taxes paid '• 751,547 Cash and cash items j 15, 663, 724 Other resources 3, 539, 870 Total. Liabilities. $9, 574, 069 6G, 607, 009 26, 795, 379 2, 072, 386 1, 718, 722 762, 404 1,168, 584 695,492 4, 417, 689 20, 900, 891 10,110,310 908, 572 14, 827,171 3,154, 578 | 174,478,339 I 163,713,256 j 142,961,337 __ Capital i 40, 079, 438 j 40, 842, 074 Surplus fund j 12, 238, 065 j 9, 588, 238 Other undivided profits j 5, 925, 835 | 5, 289, 748 Dividends unpaid ' 170, 055 : 84, 658 Individual deposits ! 96, 580, 457 ! 94, 878, 842 State, county, and municipal deposits j 946,192 I 2, 419, 440 Deposits of 'State, county, and municipal disbursing officers.. I 1,158, 905 j 3,064,039 Due to other banks and bankers I 5, 813,151 i 4, 901, 448 Other liabilities : 11,566,241 ' 4, 644, 769 Total $8, 386, 73517,121, 720 65, 480, 534 1, 733, 213 1,421,537 814,683 470, 627 514, 770 3, 216, 823 19, 753,173 9, 474, 378 815, 829 11,91.1,866 1, 845, 449 174,478,339 • 163,713,256 38, 038, 690 8, 266, 516 3. 555, 59G 67,326 83,183, 718 693, 969 563, 025 3, 432, 360 5,160,14a 142, 961; 337 AGGREGATE RESOURCES AND LIABILITIES OF THE NATIONAL BANKS FKOM OCTOBER, 18C3 TO OCTOBER, 1889. 231 232 REPORT OF THE COMPTROLLER OF THE CURRENCY. AGGREGATE RESOURCES AND LIABILITIES OF THE NATIONAL JANUARY. APRIL. JULY. OCTOBER 5. Resources. 66 b a n k s . $5, 466, 088. 33 5, 662, 600. 00 106, 009.12 Due from nat'l and other b'ks 2, 625, 597. 05 177, 565. 69 53, 808. 92 2, 503.69 Checks and other cash items Bills of nat'l and other banks. Specie and other lawful mon'y 492,138. 58 764, 725. 00 1,446, 607. 62 Total 16, 797, 644.00 1864. JANUARY 4. APRIL 4. JULY 4. OCTOBER 3. 139 b a n k s . 307 b a n k s . 467 banks. 508 b a n k s . Loans and discounts U. S. bonds and securities..Otheritems $10, 666, 095.60 15,112, 250.00 74, 571.48 $31, 593, 943.43 41,175,150.00 432,059. 95 Due from other b'ks and b'kra Real estate, furniture, e t c . . . . Current expenses % 786,124. 58 381,144. 00 118,854.43 4,699,479. 56 8, 537, 908. 94 755, 696. 41 352, 720. 77 Checks and other cash items. Bills of nat'l and other banks. Specie and other lawful mon'y 577, 507. 92 895, 521. 00 5, 018, 622. 57 2, 651, 916. 96 1, 6G0,000. 00 22, 961,411. 64 5, 057,122. 90 5,344,172. 00 42, 283, 798. 23 7,640,169.14 4,687, 727. 00 44, 801,497.48 37,630,691. 58 114, 820, 287.66 252,273, 803. 75 297,108,195. 30 Total $70, 746, 513. 33 92, 530, 500.00 842, 017. 73 15,935, 17, 337, 1, 694, 502, 730.13 558. 66 049. 46 341. 31 $93, 238, 657.92 108, 064, 400. 00 1,434, 739. 76 19,965, 14, 051, 2, 202, 1, 021, 720.47 396. 31 318. 20 569. 02 JANUARY 2. APRIL 3. JULY 3. OCTOBER 2. 638 banks. 907 banks. 1,294 banks. 1,513 b a n k s . Loans and discounts IT. S. bonds and securities. - . Otheritems $166,448, 718.00 176, 578, 750. 00 3, 294, 883.27 $252,404,208.07 277,619, 900. 00 4, 275, 769. 51 $362,442, 743.08 391, 744, 850.00 12, 569,120. 38 $487,170,136.29 427, 731, 300.00 19, 048, 513.15 Due from national banks Due from other b'ks and b'krs Keal estate, furniture,fcto Current expenses Premiums paid 30, 820,175.44 19, 836, 072. 83 4,083,226.12 1,053, 725. 34 1, 323, 023. 56 40, 963, 243.47 22, 554, 636. 57 6, 525,118. 80 2,298, 025.65 1, 823, 291. 84 Checks and other cash items Bills of nat'l and other banks. Specie Legal tenders and frac'l cur'y 17, 837,496. 77 14, 275,153. 00 4, 481, 937. 68 72,535, 504. 67 512, 568, 666. 68 Total.. 539. 59 028. 01 257. 28 775. 56 210. 31 89,978,980. 55 17, 393, 232. 25 14, 703, 28L 77 4, 539, 525.11 2,585,501.06 29, 681, 394.13 13, 710, 370. 00 6, 659, 660. 47 112,999, 320. 59 41, 314,904. 50 21, 651, 826. 00 9,437. 060.40 168,426,166. 55 72,309,854.44 16, 247,241. 00 18,072,012.59 189,988,496.28 771, 514, 939.10 1,126,455,481.66 1,359, 7C8,074,49 76, 26, 11, 2, 2, 977, 078, 231, 338, 243, * Including amonnt due from national banks. REPORT OF THE COMPTROLLER OF THE CURRENCY. 233 1863. BANKS FROM OCTOBER, 1863, TO OCTOBER, 1889. JANUARY. APRIL. JULY. OCTOBER 5. Liabilities. 66 banks. Capital stock .- $7,188, 393. 00 128, 030. 06 8,497,681.84 981,178.59 2, 360. 51 Individual and other deposits. Duo to nat'l and otherbaniis*. Other items Total 16, 797, 644. 00 1863. JANUARY 4. APRIL 4. 139 banks. 307 banks. $14,740, 522. 00 JULY 4. 467 banks. OCTOBER 3. 508 banks. Xationalb'knotes outstanding Individxial and othor deposits Due to nat'l and other banks* Other items Total $75, 213,945. 00 $86, 782, 802. 00 1, 625, 656. 87 1,129,910.22 3, 094, 330.11 2, 010, 286.10 5, 982, 392. 22 30,155. 00 19,450,492. 53 2,153, 779. 38 822, 914. 86 9, 797, 975.00 51,274,914.01 6, 814, 930. 40 3,102, 337. 38 25, 825, 665. 00 119,414,239.03 27, 382, 000. 37 213, 708. 02 45, 260, 504. 00 122,100, 536. 40 34, 862, 384. 81 43, 289. 77 37, 630, 691. 58 Undivided profits $42, 204, 474, 00 432, 827.81 Capital stock 114, 820, 287. 66 252, 273, 803. 75 297,108,195.30 1§65. JANUARY 2. 907 backs. 1,294 banks. $135,618,874.00 $215, 326,023.00 $325,834,558.00 $393,157, 206.00 8,663,311.22 12, 283, 812.65 Undivided profits JULY 3. 638 banks. Capital stock APRIL 3. 17,318,942.65 17,809, 307.14 31, 303, 565.64 23,159,408.17 38, 713, 380.72 32, 350,278.19 OCTOBER 2. 1,513 banks. National b'knotes outstanding 66,769,375.00 98,896,488.00 131,452,158. 00 171,321,903.00 Individual and other deposits United States deposits 183,479, 636.98 37,764, 729.77 262, 961,473.13 57,630,141.01 398, 357, 559.59 58, 032,720.67 500, 910, 873. 22 48,170, 381.31 Due to national banks Dae to other b'ks and bankers* 30.619,175.57 37,104,130.62 41,301,031.16 59, 692, 581.64 78, 261,045.64 79, 591, 504.93 90, 044, 837.08 84,155,161.27 Other items 265, 620.87 578, 951.37 462, 871.02 944, 053.70 Total 512,568,636.68 771, 514, 939.10 1,126, 455, 481.66 1, 359, 768, 074.49 * Including State bank circulation outstanding. 234 REPORT OF THE COMPTROLLER OP THE CURRENCY. AGGREGATE RESOURCES AND LIABILITIES OF THE NATIONAI J 866. JANUARY 1. APRIL 2. JULY 2. OCTOBER 1. 1,582 banks. 1,612 banks. 1,634 banks. 1,644 banks. Resources. Loans and discounts U.S. b'dsdop'd to securecirc'n OtherU.S.b'dsand securities. Oth 'r stocks, b'ds,and mortg's Due from national banks Duo from otherb'ksand b'k'rs Heal estate, furniture, etc C u r r e n t expenses P r e m i u m s paid Checks and other cash items. Bills of nationaland other b'ks Specie Legal tenders and fract'l cur'y Total $603, 314, 704. 83 331, 843, 200. 00 94, 974, 650. 00 15, 887, 490. 00 107, 650,174.18 15, 211,117.16 17,134, 002. 58 5,311,253.35 2,493, 773.47 103, 684, 249. 21 17, 437, 779. 00 9, 226, 831. 82 205, 793, 578. 76 93, 254, 551.02 14, 658, 229.87 15, 436, 296.16 3,193,717.78 2, 423, 918.02 $528. 080, 526. 70 315,8,0,300.00 125,625,750.00 17, 379, 738. 92 87, 564, 329.71 13, 682,345.12 15, 895, 564.46 4, 927, 599. 79 2, 233, 516.31 89, 837,684.50 20, 406,442.00 19, 205, 018. 75 187, 846, 548. 82 105, 490, 619.36 18, 279, 816.00 17, 529, 778.42 189, 867, 852. 52 $550, 353, 094.17 326,483, 350.00 121,152,950.00 17,565,911.46 96, 696,482.66 13, 982,613.23 16, 730,923.62 3, 032, 716. 27 2, 398, 872.26 96, 077,134.53 17,866,742.00 12,629, 376.30 201,425, 041.63 1, 404, 776, 619. 29 1,442, 407, 737.31 1,476, 395, 208.13 1, 526, 962, 804. 42 $500, 650,109.19 298, 376, 850.00 142,003,500.00 17, 483, 753.18 1867. JANUARY 7. Premiums paid Checks and other cash items. Bills of national banks Bills of other banks Specie Legal tenders and fract'l cu'y Compound-interest notes... Total JULY 1. OCTOBER 7. 1,648 b a n k s . Loans and discounts U.S.b'ds dep'd to secure circ'n TJ.S.b'ds dep'd to aec're depts TJ.S.b'ds and see'tieson hand. Oth'r stock3, b'ds,and ruortg's Due from rational banks Due from other b'ks and b'k'rs Heal est ate, furniture, etc APRIL 1. 1,642 banks. 1,636 banks. 1,642 b a n k s . $608, 771, 799. 61 339, 570, 700. 00 36, 185. 950 00 52.949,800.00 15, 073, 737.45 $597, 648, 286. 53 338, 863, 650. 00 38. 465, 800. 00 46, 6:59, 400. 00 20,194, 875. 21 $588, 450, 396.12 337,684,250.00 38. 368, 950. 00 45, 633, 700.00 21,452,615.43 $609,675,214.61 308,640,150.00 37, 862,100.00 42, 460, 800.00 21,507,881.42 92. 552, 206. 29 12, 990, 157. 49 18, 925, 315. 51 2, 822, 675.18 2, 800, 398. 85 101, 430, 220.18 19, 263. 718. 00 1,176,141!. 00 19, 726. 043. 20 104,872,371.64 82, 047, 250. (10 94,121,186. 21 10, 737, 392. 00 19, 625, 693. 81 5, 693, 784.17 3, 411, 325. 56 87, 951,405.13 12, 873, 785. 00 825, 748.00 11, 444, 529.15 92, 8G1, 254.17 84, 065, 790.00 92, 308, 911. 87 9. 663, 322. 82 19, 800, 905. 86 3, 249,153. 31 3, 338, 600. 37 128, 312,177. 79 16,138, 769. 00 531, 267. 0) 11,128, 672. 98 102, 534, 613. 46 75, 488, 220. 00 95,217,610.14 8, 389, 226. 47 20, 639, 708 23 5, 297,494.13 2, 764,186. 35 134, 603, 231.51 11, 841,104. 00 333, 209. 00 12, 798, 044. 40 100, 550, 849.91 56, 888, 250.00 1,465, 451,105. 84 1, 494, 084, 526.01 1, 499, 469, 060.17 1, 511, 222, 985.40 1868. JANUARY 6. Total JULY 6. OCTOBER 5. 1,642 banks. Loans and discounts U.S.b'ds dep'd to secure circ'n U.S.b'dsdep'd to sec're dept's U.S.b'dsand sec'ties on hand. Oth'r stocks, b'ds, and mortg's Due from national banks Due from otherb 'ks and b'k'rs Heal estate, furniture, etc C urrent expenses Premiums paid Checks and other cash items. Bills of nation*! banks Bills of other banks Fractional currency Specie Legal-tender notes Compound-interest notes Three per cent, certificates.. APKIL 6. 1,643 banks. 1,640 banks. 1,643 b a n k s . $616, 603,479. 89 339,0t>4, 200.00 37, 315, 750. 00 44,164. 500. 00 19, 365, 864. 77 $628, 029,347.65 339, 686, 650. 00 37,446. 000 00 45, 958, 550.00 19, 874, 384. 33 $655, 729, 546.42 339, 569,100. 00 37, 853,150. 00 43,068, 350.00 20, 007, 327.42 $657, 668, 847. 83 340, 487,050.00 37, 360,150.00 36, 817,600. 00 20, 693,406.40 99, 311, 446.60 8,480,199. 74 21,125, 665.68 2, 986, 893. 86 2, 464. 536. 96 95, S00, 60a 35 7, 074, 297.44 22,082, 570. 25 5, 428, 460. 25 2, 660,106. 09 114, 434, 097.93 8, 642,456. 72 22, 699, 829. 70 2,938,519.04 2,432, 074.37 102, 278, 547. 77 7, 848,822.24 22, 747, 875.18 5, 278,911. 22 1, 819, 815. 50 109, 390,266.37 16, 655, 572. 00 261, 269.00 1, 927, 876. 78 20,981,601.45 114, 306, 491. 00 39, 997, 030.00 8, 245, 000. 00 114,993, 036.23 12, 573, 514. 00 196,106. 00 1, 825, 640.16 18, 373,943.22 84. 390, 219.00 38, 917, 490.00 24, 255, 000. 00 124, 076,097. 71 13, 210,179.00 342, 550.00 1, 863, 358.91 20, 755,919. 01 100,166,100 00 19, 473, 420. 00 44, 905, 000.00 143,241,394.99 11, 842, 974. 00 222,668.00 2, 262, 791.97 13,003, 713.39 92, 453, 475.00 4, 513, 730. 00 59, 080, 000.00 1, 502, 647, 644 10 1,499, 668, 920. 97 1, 572,167, 076. 26 1, 559, 621, 773.49 REPORT OF THE COMPTROLLER OF TIIE CURRENCY. 235 B A N E S FROM OCTOBER, 1863, TO OCTOBER, 1889—Continued. 1 §66. JANUARY 1. Liabilities. APRIL 2. JULY 2. OCTOBEK 1. 1,582 b a n k s . 1,612. b a n k s . 1,634 b a n k s . 1,644 b a n k s . Capital stock $403, 357,346.00 $409, 273, 534,00 $414,270, 493.00 $415, 472, 369. 00 Surplus fund 43, 000,370, 78 28,972, 493. 70 44,687,810. 54 30,964,422.73 50,151,991.77 29, 286,175.45 53,350, 277. 64 32, 503, 486. 69 213, 239, 530. 00 45,449,155.00 248, 886, 282. 00 33, 800,865.00 267, 798, 678. 00 19, 996,163. 00 280, 253, 818.00 9,748, 025. 00 522,507,829. 27 29, 747, 236.15 534,734,950.33 29,150,729. 82 533, 338,174.25 36, 038,185.03 3, 066, 892. 22 564,616, 777. 64 30,420, 819. K0 2, 979, 055. 77 94,709,074.15 23,793, 584. 24 89, 067, S01. 54 21,841, 641.35 96, 406, 726. 42 25, 951,728. 99 110,531,957.31 26,980, 317. 57 1, 401, 776, 619. 29 1, 442,407, 737.31 1, 476, 395, 208.13 1, 526, 902,804.42 National b'k notes outstand'g State banknotes outstanding'. U. S. deposits Dep'tsofU.S.disb'sing officers Due to national banks Duetootherb'ks and bankers Total 1§67. JANUARY 7. APRIL 1. JULY 1. OCTOBER 7. 1,6-18 b a n k s . 1,642 b a n k s . 1,636 b a n k s . 1,642 b a n k s . Capital stock Surplus fund Undivided profits National b'k notes outstand'g State banknotes outstanding. Individual deposits IT. S. deposits Dep's of U.S.disb'sing officers $420,229, 739.00 $419, 399,484.00 $418, 558,148.00 $420,073,415.00 59,992, 874. 57 26, 961, 382. 60 60,206, 013. 58 31,131, 034 39 63, 232, 811.12 30, 656, 222.84 66, 605, 587.01 33,751,446.21 291,436,749.00 6, 9U1, 499.00 292, 788,572. 00 5,460, 312. 00 291, 7C9, 553. 00 4,484,112. 00 293,887,041.00 4,002,153. 00 558, 699, 768.06 27, 284, 876. 93 2, 477, 509.48 512,046,182.47 27, 473, 005. 66 2,650, 981. 39 539,590, 076.10 20, 838, JiOl. 53 3, 474,192. 74 540, 707, 837. 51 23,002,110. 92 4,352,379.43 Due to national banks Due to other b'ks and bankers 92,761,908.43 24, 416, 588. 33 91,156,890.89 23,138, 020. 46 80,821,751.60 22, 059, 2G7.08 93,111,240.89 19,641,940.20 1,405, 451,105. 84 1, 404,084, 526. 01 1, 4!)9, 469, 0G0.17 Total 1,511,222,085.40 1§6§. JANUARY 6. APRIL 6. JULY 6. OCTOBER 5. 1,642 b a n k s . 1,643 b a n k s . 1,640 b a n k s . 1,643 b a n k s . Capital stock Surplus fund Undivided profits National b'k notes outstand'g State bank notes outstanding. $420, 260, 790. 00 $420,676, 210. 00 $420,105, 011.00 $420, 634,511.00 70, 586,125. 70 31,399, 877.57 72, 349,119. 60 32, 861, 597. 08 75, 840,118. 94 33, 543, 223.35 77,995, 761.40 36,095,883. 98 294, 377, 390. 00 3, 792,013.00 295, 336,044. 00 3,310,177.00 294, 908,264. 00 3,163, 771.00 295,769, 489. 00 2, 906, 352.00 Individual deposits U.S. deposits Dep'tsof U.S.disb'si'g officers 534, 704,709. 00 24, 305,638. 02 3, 208,783. 03 532,011,480.36 22, 750, 342. 77 4, 976, 682.31 575, 842, 070.12 24, 603, 676. 96 3, 499, 389.99 580, 040, 820. 85 17, 573, 250. 64 4,570, 478.16 Due to national banka Duo to other b'ks and 'jankers 98,144, 669. 61 21, 867, 648.17 94, 073, 631. 25 21,323, 636. 60 113, 306, 346. 34 27, 355, 204.56 90,414,397.28 23,720, 829.18 1,572,167, 076. 26 1,559,621,773.49 Total 1, 502,647, C44.10 1,499,668,920.97 r 236 REPORT OF THE COMPTROLLER OF THE CURRENCY. AGGREGATE RESOURCES AND LIABILITIES OF THE NATIONAL 1869. APBIL 17. JANUARY 4. Resources. 1,628 banks. Loans and discounts d. S. bonds to securecirc'lat'n U. S. bouds to secure deposits. €T. S. b'dsandsec'tiesonhand. Qth'r stocky b'ds, and mortg's Due from redeeming agents X)ue from other national b'nks Due from State b'ksandb'k'rs Real estate, furniture, etc ... Premiums paid Checks and other cash items. Bills of other national banks. Fractional currency Specie Legal-tender notes Three per cent, certificates.. Total 1,620 banks. $644, 945, 039. 53 338, 539, 950. 00 34, 538, 350. 00 35, 010, 600. 00 20,127, 732. 96 65,727, 070. 80 36, 067, 316. 84 7, 715, 719. 34 23, 289, 838. 28 3, 205, 990. 81 1, 654, 352> 70 142, 605, 984. 92 14,684,799.00 2, 280, 471. 06 29,6>26, 750. 26 88, 239, 300. 00 52,075, 000. 00 1, 540, 394, 266. 50 $662, 084, 813. 47 338, 379, 250. 00 29, 721, 350. 00 30, 226, 550 00 20, 074, 435. 69 57, 554, 382. 55 30, 520, 527. 89 8,075, 595. G O 23, 798,188. 13 5, 641,195. 01 1, 716, 210. 13 154,137,191. 23 11, 725, 239. 00 2, 088, 545.18 9,944,532. 15 80, 875, 161. 00 51,190, 000. 00 JUNE 12. 1,619 b a n k s . $686, 347, 755. 81 338, 699, 750. 00 27, 625, 350. 00 27, 476, 650. 00 20, 777, 560. 53 62, 912, 636. 82 35, 556, 504. 53 9,140, 919. 24 23, 8'»9, 271.17 5, 820, 577 87 1, 809, 070 01 161, 614, 852. 66 11, 524, 447. 00 1, 804, 855. 53 18, 455, 090, 48 80, 934,119. 00 49, 815, 000. 00 OCTOBER 9. 1,617 b a n k s . $682, 883,106. 97 339, 480,100. 00 18, 704, 000. 00 25, 903, 950. 00 22, 250, 697.14 56, 669, 562. 84 35, 393, 563. 47 8,790,418.57 25,169,188. 95 5, 646, 382. 96 2, 092, 364. 85 108, 809, 817. 37 10, 776,023. 00 2, 090, 727. 38 23, 002,405. 83 83, 719, 295. 00 45, 845, 000. 00 1, 517, 753,167. 03 1, 564,174,410. 65 1,497, 226, 604. 33 JANUARY 22. MARCH 24. JUNE 9. OCTOBER 8. DECEMBBTl 28. 1,615 banks. 1,615 banks. 1,612 banks. 1,615 banks. 1,648 banks. L o a n s and discounts. $688, 875, 203. 70 $710, 848, 609. 39 $719, 341,186.06 $715, 928, 079. 81 $725, 515, 538. 49 B o n d s for circulation 339, 350, 750 00 339, 251, 350. 00 338, 845, 200. 00 340, 857,450. 00 344,104, 200. 00 15, 381, 500. 00 16,102, 000 00 Bonds for deposits . . 17, 592, 000. 00 15, 704, 000. 00 15,189, 500. 00 22, 323, 800. 00 27,292,150. 00 IT. S. bonds on hand. 24, 677,100. 00 28, 276, 600.00 23, 893, 300. 00 23,614, 721.25 20,524,294.55 Other stocks and b'ds 21, 082,412. 00 23,300, 681.87 22, 686, 358. 59 74, 635,405. 61 66, 275, 668. 92 64, 805, 062. 88 73,435,117. 98 D u e from red'g ag'nts 71, 641. 486 05 36,128, 750. 66 33, 948, 805. 65 37, 478,166. 49 29, 510, 688.11 Due from nat'l banks 31, 994, 609 26 10, 430, 781. 32 9. 824,144.18 9, 202,496. 71 9. 319. 560. 54 10,238,219.85 D u e from State banks 26, 593, 357. 00 27,470, 746. 97 28, 021, 637. 44 26, 002,713. 01 26,330,701.24 Real estate, e t c 6, 324, 955. 47 6, 905, 073. 32 5, 871, 750. 02 3,469, 588.00 Current expenses... 6, 683,189. 54 2,491, 222.11 2, 439, 591.41 3, 076, 456. 74 3, 251, 648. 72 P r e m i u m s paid 2, 680, 882. 39 13, 229, 403. 34 111, 624, 822.00 11, 267, 703.12 Cash items 11. 497, 534.13 12, 536, 613. 57 76, 208, 707. 00 75, 317, 992. 22 83, 936, 515. 64 Cl'r'g-house exch'gs. 79, 089, 688. 39 17, 001, 846. 00 National b a n k n o t e s . 15, 840, 669. 00 14,226,817.00 16, 342, 582. 00 12, 512, 927. 00 2,150, 522. 89 2, 285, 499. 02 Fractional currency. 2,184, 714. 39 2, 078,178. 05 2, 476, 966. 75 26, 307, 251. 59 Specie 31, 099, 437. 78 18, 460, 011.47 48, 345, 383. 72 37, 096, 543. 44 80, 580, 745. 00 Legal-tender n o t e s . . 87, 708, 502. 00 82,485, 978. 00 94, 573, 751.00 79, 324,577. 00 Threepercent.cert'fs 43, 820,000. 00 43, 570, 000. 00 43,465, 000.00 43,345, 000. 00 41, 845, 000. 00 Total 1,546,261,357.44 11,529,147,735. 85 .1,565,756,909.67 1,510,713,236.92 1,538,998,105 93 1871. MARCH 18. APRIL 29. JUNE 10. OCTOBER 2. DECEMBER 16. 1,688 banks. 1,707 banks. 1,723 b a n k s . 1,767 banks. 1,790 b a n k s . Xonns and discounts. $767, 858, 490. 59 $779, 321, 828.11 Bonds for circulation 351, 556, 700. 00 354,427, 200. 00 Bonds for deposits.. 15, 231, 500. 00 15, 236, 500. 00 U. S. bonds on hand. 23, 911, 350. C 22,487, 950. 00 O Other stocksand b'ds 22, 763, 869. 20 22, 4J.4, 6I>9.05 Due from red'g ag'nts 83, 809,188. 92 85, 061, 016. 31 Dae from, nat'l banks £0,201,119.99 38, 332, 679. 74 Due from State banks 10, 271, 605. 34 11, 478,174. 71 Real estate, etc 28, 805, 814. 79 29, 242, 762. 79 6, 764,159. 73 Current expenses... 6 694, 014.17 4, 414, 755. 40 Premiums paid 3, 939, 995. 20 Cash items 11, 642, 644. 74 12, 749, 289. 84 Cl'r'g-house exch'gs. 100, 693, 917. 54 130, 855, 698.15 National bank notes. 13,137, 006. 00 16, 632, 323. 00 Fractional currency. 2,103, 208.16 2,135, 763. 09 'Specie 25, 769,166. 64 22, 732, 027. 02 Legal-tender notes.. 91,072, 349. 00 106, 219.126. 00 Threeper cent.cert'fs 37, 570, 000. 00 33, 935, 000. 00 Total $789,416, 568.13 $831, 552, 210. 00 $818, 996, 311. 74 357, 388, 950. 00 364, 475, 800. 00 366, 840, 200. 00 15, 250, 500. 00 23,155,150. 00 28, 087, 500. 00 24, 200, 300. 00 17, 798,650. 00 17, 675, 500. 00 23,132, 871. 05 24, 517,059. 35 23, 061,184. 20 92, 369, 246. 71 86, 878, 608. 84 77. 985, 600. 53 39, 636, 579. 35 43, 525, 362. 05 43, 313, 344. 78 13, 069, 301.40 11, 853, 308. 60 12, 772, 669. 83 29 637, 999. 30 30, 089, 783. 85 30, 070, 330. 57 7, 330, 424.12 6, 295, 099. 46 6,153, 370. 29 5, 956, 073. 74 5, 026; o8.">. 97 5, 500, 890.17 13,101, 497. 95 14, 058, 268. 86 13, 784, 424. 76 102, 091, 311. 75 101,165, 854. 52 114, 538, 539 93 19,101, 389. 00 14,197,653.00 13, 085, 904. 00 . 2 160, 713. 22 2, 095, 485. 79 2, 061, COO. 89 19 924, 955.16 13, 252, 998. 17 29, 595, 299. 56 122 U37, 600. 00 109, 414, 735. C O 93, 942, 707. 00 30, 690, C O 00 25, 075, 000. 00 O 21, 400, 000. 00 1,627,032,030. 28 1,694.440,912.94 1,703,415,335.65 1,730,566,899. 72 1,715,861,897.22 REPORT OF THE COMPTROLLER OF THE CURRENCY. 23 T BANKS FROM OCTOBER, 1863, TO OCTOBER, 1889—Continued. JANUARY 4. Liabilities. APRIL 17. JUNE 12. OCTOBER 9. 1,628 b a n k s . 1,620 b a n k s . 1,619 b a n k s . $419, 040, 931.00 $420,818,721.00 $422, 659, 260. 00 $426,399,151.00 81,169. 936. 52 35, 318, 273. 71 82, 653, 989.19 37, 489, 314. 82 82, 218. 576.47 43, 812, 808. 70 86,165, 334.32 40, 687, 300.92 Nat'l hank notes outstanding. State bank notes outstanding. 294. 476, 702. 00 2, 734, Gt>9.00 292, 457, 098. 00 2, 615, 387.00 292, 753, 286. 00 2, 558, 874.00 293, 593, 645.00 2, 454, 697.00 Individual deposits TJ. S. deposits Dep'tsU.S. disburs'g officers. 568, 530, 934.11 13,211,850.19 3, 472, 884.90 547, 922,174. 91 10,114, 328. 32 3, 665,131.61 574, 307, 382. 77 10, 301, 907. 71 2,454, 048. 99 511, 400,196.63 7,112, 646.67 4, 516, 648.12 Due to national banks Due to State banks andb'k'rs. 95, 453,139.33 26, 984, 945. 74 92, 662, 648.49 23, 018, 610.62 100, 933, 910.03 28, 046, 771. 30 95, 067, 892.83 23, 849, 371.62 2,464, 849. 81 1, 870, 913.26 2, 392, 205.61 1, 735, 289.07 3, 839. 357.10 2,140, 363.12 1, 517, 753,167.03 1, 564,174,410. 65 1,497, 226, 604.33 Surplus fund Undivided profits Notes and bills re-discounted. Total 1, 540, 394, 266.50 1,617 b a n k s . 1970. JANUARY 22. JUNE 9. OCTOBER 8. 1,615 b a n k s . Capital stock MARCH 24. 1,615 b a n k s . 1,612 b a n k s . 1,615 b a n k s . $426, 074, 954.00 $427, 504, 247.00 $427, 235, 701.00 $430, 399, 301. CO DECEMBER 28. 1,648 b a n k a . $435, 356, 004.00 Surplus fund Undivided profits . -. 90,174, 281.14 34, 300, 430. 80 90, 229, 954. 59 43,109, 471.62 91, 689, 834.12 42, 861, 712.59 94, 061, 438.95 38, 608, 618.91 94, 705, 740. 34 46, 056, 428. 55 Nat'l bank circulat'n. State bank circulat'n 292, 838, 935.00 2, 351, 993.00 292, 509,149.00 2, 279,469.00 291,183, 614. 00 2, 222, 793.00 291, 798 640. 00 2,138, 548.00 296, 205, 446.00 2, 091, 799.00' Dividends unpaid... 2,299, 296.27 1, 517, 595.18 2, 462, 591. 31 2, 242, 556.4» Individual deposits. U. S. deposits Dep'tsU.S. dis.offic's 546, 236, 881. 57 6, 750,1H0.19 2, 592, 001.21 516, 058 085. 26 6, 424, 421. 25 4, 778, 225.93 542. 261, 563.18 10, 677, 873.92 2, 592, 967.54 501,407, 586.90 6, 807, 978.49 4, 550,142.68 507, 368, 618. 67 6, 074, 407.90 4,155, 304. 25 Due to national banks Due to State banks.. 108, 351, 300.33 28, 904, 849.14 109, 667, 715. 95 29, 767, 575.21 115, 456, 491. 84 33, 012,162. 78 100, 348. 292. 45 29, 693, 910. 80 106, 090, 414. 53 29, 200, 587. 2» Notes re-discounted . Bills payable 3, 842, 542. 30 1, 543, 753.49 2, 462, 647. 49 2, 873, 357.40 2,741,843.53 2, 302, 756. 99 3, 843, 577. 67 4, 592, 609. 76 4,612,131.08 4, 838, 667.83- Total 1,546,261,357.44 1,483,416.15 1,529,147,735.85 1,565,756,909.67 1,510,713,236.92 1,5^8,998,105.93 1871. MARCH 18. Capital stock Undivided profits Nat'l bank circulat'n. Statebank circulat'n. APRIL 29. JUNE 10. OCTOBER 2. DECEMBER 16. 1,688 b a n k s . 1,707 b a n k s . 1,723 b a n k s . 1,767 b a n k s . 1,790 b a n k s . $444, 232, 771.00 $446, 925, 493.00 $450, 330, 841. 00 $458, 255, 696.00 96, 862, 081. 66 43, 883, 857.64 301, 713, 460. 00 2, 035, 800.00 97, 620, 099. 28 44, 776, 0L10. 71 $460, 225, 866.00 98, 322, 203.80 45, 535, 227. 79 101,112, 671.91 42, 008, 714. 38 101, 573,153 62 48, 630, 925. 81 306,131, 393. 00 307, 793, 880. 00 1, 982, 580. 00 1, 968, 058.00 315, 519,117.00 1, 921, 056.00 318,265,481.00 1, 886, 538.00 Dividends unpaid . . . 1, 263, 767. 70 1,408, 628. 25 4, 540,194.61 1, 393,427. 98 Individual deposits.. U. S. deposits Dep'tsU.S. dis.offic's 561.190, 830.41 6, 314, 957.81 4, 813, 016.66 611, 025,174.10 6. 521, 572. 92 3, 757, 873. 8-4 602,110, 758.16 6,265,167.94 4, 893, 907. 25 600, 868. 486, 55 20, 511, 935.98 5, 393, 598. 89 596, 586. 487. 54 14, 829, 525. 65 5, 399,108.34 Due to national b'nks Due to State banks.. 118,904.865.84 37, 311, 519.13 128, 037, 4C9.17 36,113, 290. 67 135,167,847.69 41, 219, 802. 96 131, 730, 713. 04 40, 211, 971.67 118, 657, 614.16 38,116, 950. 67 Notes re-discounted. Bills payable 3, 256, 896.42 5, 248, 206.01 3, 573, 723.02 5, 740, 964. 77 3,120, 039.09 5, 278, 973. 72 3, 964, 552. 57 4, 528,191.12 4, 922, 455. 7& 5, 374, 362.67 Total 1,627,032,030.28 2,235,248.46 1,694,440,912.94 1,703,415,335.65 1,730,566,899.72 1, 715, 861, 897.22 238 KEPORT OF THE COMPTROLLER OF THE CURRENCY. AGGREGATE RESOURCES AND LIABILITIES OF THE NATIONAL FEBRUARY 27. APRIL 19. JUNE 10. OCTOBER 3. DECEMBER 27. 1,814 b a n k s . 1,843 b a n k s 1,853 banks. 1,919 banks. 1,940 b a n k s . Resources. Loans and discounts $839. 665, 077.91 $844,902,253.49 $871, 531,448.67 $877,197, 923.47 $885, 653, 449.62 Bonds for circulation 370, 924. 700.00 374,428, 450.00 377,029, 700.00 382,046,400.00 384, 458, 500.00 15,169,000.00 15,409,950.00 15,479, 750.00 16, 304, 750. 00 Bonds for deposits.. 15,870, 000.00 19, 292,100. 00 16,458, 250.00 12,142, 550.00 10, 306,100.00 21, 323,150.00 U. S. bonds on hand 21,538,914.06 22, 270, 610.47 23, 533,151. 73 23,160, 557.29 Other stocks and b'ds 22, 838, 388.80 82,120,017.24 91, 564, 269.53 80, 717, 071.30 86,401, 459.44 Due from red'g ag'ats 89, 548, 329.93 36, 697, 592. 81 39,468, 323.39 34,486, 593. 87 42, 707, 613. 54 Due from nat'l banks 38, 282, 905. 86 12, 299, 716.94 13, 014, 265.26 12, 976, 878.01 12. 008, 843.54 D u e from State banks 12, 269, 822.68 30, 809, 274.98 31,123. 843.21 32, 276,498.17 33, 014, 796.83 30, 637, 676. 75 Real estate, etc 7,026,041.23 6, 719, 794.90 6, 310, 428. 79 8, 454, 803.97 6, 265, 655.13 C u r r e n t expenses . . . 6, 544, 279.29 6, 616,174. 75 6, 546, 848.52 7, 097, 847.86 6, 308, 821. 86 Premiums paid 12,461,171.40 13, 458, 753. 80 14,916,784.34 13, 696, 723. 85 12,143,403.12 Cash items 88, 592, 800.16 110, 086, 315. 37 90,145, 482. 72 Clear'g-houso exch'gs 93,154, 319. 74 114,195, 966. 36 18,492, 832.00 16, 253, 500. 00 15, 787, 296: 00 19, 070, 322.00 15, 552, 087.00 National-bank notes 2,143,249.29 2,009, 4«4.12 2,151, 747. 88 2, 270, 576.32 2, 278, 112. 24 Fractional currency 24, 433, 899.46 24, 250, 044.14 10, 229, 756. 79 19, 047, 336.45 25, 507,825. 32 Specie 97, 865, 400.00 105,732,455.00 122,994,417.00 105,121,104.00 102, 922, 369.00 Legal-tender notes . 6, 710, 000. 00 12,650, 000. 00 TJ.S.cer'fs of deposi 7,140, 000. 00 4,185, 000. 00 12, 005,000.00 Three percent.cert'fs 18, 980, 000.00 15, 365, 000.00 Total 1,719,415,657.34 1,743,652,213.55 1,770,837,269.40 1,755,857,098.24 1,773,556,532.43 18 7 3 . FEBRUARY 28. 1,947 b a n k s . APRIL 25. JUNE 13. SEPTEMBER 12. DECEMBER 26. 1,962 b a n k s . 1,968 b a n k s . 1,976 b a n k s . 1,976 b a n k s . Loans and discounts. $913, 265, 189. 67 $912, 064, 267.31 $925. 557, 682. 42 $944, 220,116.34 $856, 816, 555. 05 Bonds for circulation 384, 675, 050. 00 386, 763, 800.00 388, 080, 300. 00 388, 3;JO, 400. 00 389,384,400.00 14, 805, 000. 00 15, 9:55, 000.00 16, 235, 000.00 14, 815, 200. 00 Bonds for depoaits . . 15, 035, 000.00 8, 824,850.00 9, 789,400.00 9, 613, 550.00 10, 436, 950. 00 8, 630, 850.00 U. S. bonds on hand 23, 709, 034. 53 22, 912,415.63 22, 449,146.04 24, 358,125.06 Other stocks and b'ds 22, 063, 306. 20 96,134,120. 66 97,143, 326. 94 88, 815, 557. 80 73, 032, 04G. 87 Due froin red'g ag'nts 95, 773, 077.10 43, 328, 7i>2. 29 41. 413, 680.06 38, 671, 088. 63 40, 404, 757. 97 Due from nat'l banks 39, 483, TOO. 09 12, 022, 873.41 14, 073, 287. 77 12, 883, 353. 37 11,185, 253. 08 Due from State banks 13, 595, 679.17 34, 601, 823.21 34, 820, 562. 77 34, 216, 878.07 34, 023, 057. 77 35, 556, 746.48 Real estate, etc 6, 985, 436.99 7,154, 211.69 7,410,045.87 6. 97 7, 831.35 8, 678, 270.39 Current expenses . . . 7, 752, 843.87 7, 890, 902.14 7, 559, 987. 67 7, 205, 259. 67 7, 987,107.14 Premiums paid 11, 433, 913. 22 13, 030, 482. 58 11,425,21)9.00 11,701,711.50 12, 321, 972.80 Cash items 88, 926, 003.53 91, 918, 520. 59 94,132,125. 24 62, 881, 342.16 Clear'g-houseexch'gs 131, 38U, 81)0. 95 16,103, 842.00 20, 394, 772. 00 19, 310, 202. 00 15, 998, 779.00 21, 403,179. 00 National-bank notes 2, 302, 775.26 2,197, 559. 84 2,198, 973. 37 2, 289, 680.21 2, 287, 454. 03 Fractional currency. 19, ^08,409.45 27, 950, 086. 72 16, 86S, 808. 74 17, 777, 673. 53 26, 907,037.58 Specie 92, 522, 6G3. 00 108, 719, 500.00 Legal-tender notes.. 97,141,1K)9. 00 100, 605, 287. 00 106, 381, 491. 00 20, 610, 000.00 22, 3G5, 000. 00 18, 370, 000. 00 24,010, 000.00 U.S.cert'l's of deposit 18, 460, 000. 00 305, 000.00 710, 000. 00 1, 805, 000. 00 Three per cent.cert'fs Total 1,839,152,715.21 1,800,303,280.11 1,851,234,860.38 1,830,627,845.53 1,729,380,303.61 18 7 4 . FEBRUARY 27. MAY 1. JUNE 26. OCTOBER 2. DECEMBER 31. 1,975 banks. 1,978 b a n k i . 1,983 banks. 2,004 banks. 2,027 banks. Loans and discounts $897, 859, 600.46 $923,347 030. 79 $926,195,671. 70 $954, 394, 791. 59 $955, 862, 580. 51 Bonds for circulation 389, 614, 700.00 3*9, 249,100.00 390, 281, 700.00 383,254, 800. 00 382, 976, 200. 00 14,890,200.00 14,890,200.00 14,691,700.00 Bonds for deposits . . 14,600,200.00 14, 714, 000. 00 10,152, 000.00 10, 456, 900.00 11, 043,400.00 13,313, 550. 00 U. S.bonds on hand 15, 290, 300. 00 25,460,400.20 27,010, 727.48 25, 305, 736.24 27,807, 826.92 Other stocks and b'ds 28, 313,473.12 94, 017, 603.31 97, 871, 517.06 83, 885,126.94 Due from res've ag'ts 101,502,861.58 80,488, 831.45 41, 291, 015. 24 45, 770, 715.59 39, 695, 309.47 Due from nat'l banks 36, 624, 001.39 48.100, 842. 62 12,374,391.28 12,4G9, 592. 33 11,196, 611.73 Due from State banks 11, 496, 711.47 13,655,573.07 36, 708, 006. 39 37, 270, 876.51 36,013, 741.50 38,112,926. 52 Real estate, etc 39,190, 683.04 7, 547, 203.05 7, 550,125.20 6,998, 875. 75 7, 658, 738. 82 Current expenses . . . 5, 510, 566.47 8, C80, 370. 84 8, 563, 262. 27 8,741,028.77 8, 376, 659.07 Premiums paid 8, 626,112.16 11, 949, 0_0. 71 10, 496, 257.00 10, 209, 955. 50 12,296,416.77 Cash it ems 14, 005, 517.33 94,87,', 790.52 63, £96, 271. 31 97,383,687.11 112, 995, 317.55 Dlear'g-house exch'gs 62, 768, 119.19 20, 673, 452. 00 23, 527, 991. 00 18, 450. 013. 00 National-bank notes. 20, 00?,, 251. 00 22,532, 336.00 2.187,180.69 2, 263, 898. 92 2,5IO9, 919. 73 2, 224, 943.12 Fractional currency. 2, 392, 668.74 32, 509, %9. 26 22, 326, 207. 27 33, 305, 803. 58 21, 240, 945. 23 Specie 22, 436, 761. 04 80,021, 946.00 Legal-tender n o t e s . . 102, 717, 503. 00 101,692, 9:.0.00 103,108,350.00 82, 604, 791.00 40,135, 000. 00 47, 780, 000.00 42, 825, 000.00 TJ.S.cerffs of deposit 37, 235, 000.00 33, 670, 000. 00 91,250.00 20, 349, 950.15 Dep. with U. S. Treas 21, 043, 084.36 Total 1,808,500,529.16 1,867,802,796.28 1,851,840,913.64 1,877,180,942.44 1,902,409,638.46 REPORT OF THE COMPTROLLER OF THE CURRENCY. 239 BiJTCts FROM OCTOBER, 1863, TO OCTOBER, 1881)—Continued. FEBRUARY 27. Liabilities. 1, 814 b a n k s . APRIL IB 1,643 b a n k s . JUNE 10. OCTOBER 3. DECEMBER 27. 1,853 b a n k s . 1, 919 b a n k s . 1, 940 b a n k s . $464, 081, 744. 00 $467, 924, 318.00 $470,543, 301. 00 $479, G29,174. 00 $482,606, 252. 00 Surplus fund Undivided profits ... Nat'l bank circulation State bank circulation 104, 312, 525. 81 46,428,5<J0. »0 105,181,943 28 50, 234, ay«. 32 110, 257, 516. 45 46, 623, 764. 50 111, 410, 248. 93 5«, 702,411. 89 321,634, 675. 00 325, 305, 752.00 \ 763, 885. 00 1, 830, 563. 00 327, 092, 752. 00 1, 700, 935. 00 333, 405, 027. 00 1,5G7,143.00 336, 289, 285. 00 1,511, o96. 00 Dividends unpaid... Individual deposits.. IT. S. deposits Dep'tsU.S.dis.officers 1,454, 0U. 06 3,149, 749. 61 1, 356,934. (8 593, 645, 666.16 620, 775, 265. 78 6,355, 722.95 7,114, 893. 47 3,416,371.16 5,024,699.44 618, 801, 619. 49 613, 290, 671.45 G, 'Mi, 014. 77 7,853,772.41 ff, 4(i.'<, 953. ii 4, 563, 833. 7i> 598,114,679.26 7,8G3, 894. 93 B 130,597.74 Due to national banks Due to State banks.. 128, 627, 494. 44 39, 025,165.44 120, 755, 565. 86 35,005,127.81 132, 804, 924.02 110, 047, 347.67 30,878, 82o. 42 33, 7ti9, 083. 82 124, 218, 392. 83 34,794, 9t;3.37 Notes rediscounted.. Bills payable 3, 818, 686. 91 6, 062, Sdd. 91 4,225,622. 04 5,821,551. 76 Total 103, 787, 082.62 43,310,344.46 1, 451, 746. 29 1, 561, 914.45 4, 745,178. 22 5, 942, 479. 34 1,719,415,657.34 1,743,652,213.55 1,770,837,269.40 5, 549, 431. 88 6, 040, 562. GO 6, 545, 059, 78 G, 940, 416.17 1,755,857,098.24 1, 773,55G, 532.43 1 § 7 3• FEBRUARY 28. Capital stock Surplus fund Undivided profits .. Nat'l bank circulation State bank circulation Dividends unpaid ... Individual deposits . U. S. deposits Dep'tsU.S.dis.officers Due to national banks Die to State banks.. Notes rediscounted. Bills payable Total APK1L 25. JUNE 13. SEPTEMBER 12. DECEMBER 26. 1, 947 b a n k s . 1,962 b a n k s . 1, 968 b a i i k s . [1, 976 b a n k s . 1, 970 b a n k s . $484, 551, 811. 00 $487,891,251.00 $490,109, 801. 00 $491, 072, 616. 00 $100,266,611.00 114,681,048.73 48, 578, 045.28 115, 805, 574. 57 52,415,348.46 116, 847, 454. 62 55,'oQG,154. 69 120, 314,499. 20 54, 515,131. 76 L20, 961, 2G7. 91 58, 375,169.43 336, 292, 453,00 1, 368, 27L 00 338,163,864. 00 338,788,504.00 1, 280, 208. G O 1, 224, 470. 00 339,081, 799. 00 1,188, 853. 00 341, 320 256. 00 1,130, 585. 00 1, 402, 547. 89 1, 2G9, 474. 74 656,187, 551. 61 616.848,358.25 641 121, 775.27 622, 685, 563. 29 7, 044, US. 34 7, 829. 32V. 73 8, liOl, 0l»l. 95 7, 880, 057. 73 5, 835, 696. 60 8, O'JS, 560.13 4,425, 750. 14 6, 416, 275.10 1,465, 893. 60 540, 510. 602. 78 7, €80, 375. 26 4, 705, 593. 36 137, 859, 085. 67 40, 741, 788. 47 133, 672, 732. 94 39, 298,148.14 114, 906, 666. 54 36, 598, 076. 29 5, 515, 900. 67 7, 215,157. 04 5, 887, 512. 36 5, 480, 554. 09 3, 811, 487. 89 7,754,137.41 1,462, 336.77 134,231,842.95 126, 631, 926. 24 38,124, 803. 85 35,036,433.18 5,117, 810. 50 5, G72, 532. 75 1,839,152,715.21 5,403, 043. 38 7, 05i), 128.39 1,400, 491. 90 1,800,303,280.11 1,851234,800.38 1,830,627,845.53 jl, 729, 380, 303. 61 FEBRUARY 27. Capital stock Surplus fund Undivided profits -.. Nat'l bank circulation State bank circulation MAY 1. JUNE 26. OCTOBER 2. DECEMBER 3 1 . 1,975 b a n k s . 1, 978 b a n k s . 1, 983 b a n k s . 2, 004 b a n k s . 2, 027 b a n k s . $490, 859,101.00 $490,077, 001. 00 $491, 003, 711. 00 $493,765,121.00 $495, 802,481.00" 123, 497, 347.20 125, 561, 081. 23 50,236, 919. 88 54, 331, 713.13 126,239,308.41 58, 332, 965. 71 128, 958,106, 84 51,484, 437. 32 130, 485, 641. 37 51, 477, 629. 33 340, 267, 649.00 1, 049, 286. 00 338, 538, 743.00 1, 009, 021.00 333, 225, 298.00 964, 5€7. 00 331,193,159. 00 860, 417. 00 339, 602, 955. 00 1,078, 988.00 Dividends unpaid ... Individual deposits.. U. S. deposits Dep'taU.S.dis. officers 1,291, 055. 63 2, 259,129. 91 1,242, 474. 81 3, 516, 276. 99 6,088,845. 01 59.1 350, 334.90 7, 276, 959. 87 5, 034, 624.46 649,286, 298.95 7, 994, 422. 27 3, 297, 689. 24 622, 863.154.44 7, 322, 830. 85 3, 238, 639. 20 669, 068, 995. 88 7, 302,153. 58 3, 927, 828. 27 682, 846, 607.45 7,492, 307. 78 3, 579,722. 94 Due to national banks Due to State banks.. 138, 435, 388. 39 135, 640, 418. 24 48,112, 223. 40 48, 683, 924. 34 143, 033, 822. 25 50, 227,426.18 125,102,049.93 50, 718, 007. 87 129,188, 671.42 51, 629, 602. 36 4, 436, 256. 22 4, 352, 560. 57 4,197, 372. 25 4,950, 727. 51 6, 365, 652. 97 5, 398, 900. 83 Notes rediscounted-. Bills payable Total 3, 448, 828. 92 4, 275, 002. 51 4, 581,420. 38 4, 772, 6G2. 59 1,808,500,529.16 1,867,802,796.28 |1,851,840,913,04 1,877,180,942.44 1,902, 409, 638.46 240 REPORT OF THE COMPTROLLER OF THE CURRENCY. AGGREGATE RESOURCES AND LIABILITIES OF THE NATIONAL 1 8 7 5MARCH 1. MAY 1. JUNE 30. OCTOBER 1. DECEMBER 17.. 2,029 b a n k s . 2,046 banks. 2,076 banks. 2,088 b a n k s . 2,086 b a n k s . Besources. Loans and discounts. 5956, 485, 939.35 $971, 835, 208. 74 $972, 926, 5^2.14 $084,601,434.40 $962, 571, 807. 70 Bonds for circulation 380, 682, 650. 00 378, 026, SOO. 00 375,127,900.00 370, 321, 700.00 363, 618,100 00 Bonds for deposits .. 14,492, 200. 00 14, 372, 200. 00 14,147,200.00 14, 007, 200.00 13, £81. 500 00 XJ. S. bonds oivhand - 18, 062,150. 00 14, 297, 650. 00 12,753,000.00 13, 089, 950. 00 16, 009, 550, 00 Other stocks and b'ds 28, 268, 841.69 29, 102, 107. 10 3 :, 010, 316.18 33,505,045.15 31, 657, 960. 52 Due from res've ag'ts 89,991,175.34 60, 620. 878. 75 8i>, 788, 803. 73 85, 701, 259. 82 81,462,682.27 Due from nat'l banks 44, 720, 394.11 46, 0::0, 5!>7. 57 48, 5J 3, 388. 80 47, 028, 769. J 8 44,8:51,891.48 Duefrom Statebanks 12, 724, 243. 97 12, 094, 086. 39 11, 625, 647.15 11, £63, 768. £0 11, 895, 551.08 42,366,647.65 39, 4i:0, 952.12 41, 583, 311.94 40,312,285.99 40, 860, 020.49 Real estate, etc 7, 841, 213.05 9, 218, 455.47 7, 706, 700.42 4, 992. 044. 34 Current expenses ... 7,71)0,581.86 8,670,091.18 9,006, 880. 92 9,442, 801. 54 8,434, 453. 14 8, 742, 393.83 Premiums paid 12, 758, 872.03 11, 734, 762.42 11, 238, 725. 72 13,122, 145. 88 12, 433,100.43 Cash items Clear'g-houseexch'gs 81,127, 706. 39 116,970.8:0.05 88, 924, 025. 93 75, 142, 863.45 67,886,967.04 Bills of other banks. 18, COO, 397.00 19,504,610.00 24, 261, 961.00 18, 5-8, 837.00 17,166,190.00 2,505,631.78 2, 901, 023.10 2, 702, 326. 44 2. 620, 504. 26 Fractional currency. 3, 008, 592.12 8. 050, 329. 73 17, 070. 905. 90 16, 667, 106.17 10, 620, .r: 61.64 18, 959. 582. SO Specie , Legal-ten «ler notes.. 78, 508. 170. 00 84,015,028.00 87, 492, 895. 00 76,458,734.00 70, 725, 077.00 U.S.cert'fs of deposit 37, 200,000. 00 38,615,000.00 47, 310, 000. 00 48,810.000,00 31, 005, 000.00 Dae from U. S. Treas 21, 007, 919. 76 21,454,422.29 19, 640, 785.52 19, 686, 960. 30 19, LOJ, 256. 68 Total 1,869,819,753.22 1,909,847,891.40 1,913,239,201.16 1,882,209,307.62 1,823,469,752.44 1 §7 6 . MARCH 10. MAT 12. JUNE 30. OCTOBER 2. DECEMBER 22. 2,001 b a n k s . 2,089 b a n k s . 2,091 banks. 2,089 banks. 2,082 b a n k s . Loans and discounts. $950,205,555.62 $939, 895, 085.34 $933, 686. 530.45 $931, 304, 714.06 $929, 066, 408.42 Bonds for circulation 354, 547, 750.00 344, 537, 350. 00 339,141,750.00 337,170,400.00 336, 705. 300.00 14, 757, 000.00 Bonds for deposits . . 14, 216, 500. 00 14,128, 000. 00 14, 328, 000. 00 14,698,000. 00 31, 937, 950. 00 TJ. S. bonds on hand . 25, 910, 650. 00 26, 577, 000. 00 30, 842, 300. 00 33,142,150.00 30, G05. 195. 82 32, 482, 805. 75 34,445,157.16 31, 565. 914. 50 O t h e r p t o c k s and b'ds 30, 425, 430.43 86, TV.). 083. 97 87, 980, SOO. 90 87, 326, 950.48 83,789, 174.65 D u e from res've ag.'ts 99, 068, 360.35 44, 328. 009. 46 47,417,029.03 47, 525, 089. 68 44,011,604.97 D u e from nat'l b a n k s 42, 341, 542.67 11,202, 19:588 10, £80, 507. 95 12, 061, 283. 08 12,415.841.97 D u e from S t a t e b a n k s 11,180, 562.15 41, 937, 617.25 42, 183,958.78 42, 722, 415. 27 43,121,942.01 43.4f 8, 445.49 Real estate, e t c 8. 296, 207. 85 6. 820, 573. 35 5, 025, 540. 38 9, 818. 422. 88 6, 987,644.46 C u r r e n t expenses 10, 946, 713.15 10,414,347.28 10,621,634.03 10, 8U,30Q.66 10, 715, 251.16 P r e m i u m s paid 9, 517, 868. 86 9, 693, 186. 37 11,724,502.67 10, 658. 709. 26 12, 043,139.68 Cash items 56,8u6r6:!2.6:{ 75, 328, 878. 8i 68,027,016.40 87, 870, 817.06 Clrar'g-houseexch'ga 58, 863,182.43 17, 521. 663. 00 Bills of other b a n k s . 18. 536, 502. 00 20, 347, f!64. 00 20, 308, 422. 00 15, 910, 315.00 3, 215, 594.30 2, 771, 886. 26 1, 087, 807. 44 1,146.741.94 1, 417, 203.66 Fractional currency. 29, 077, 345. 85 21, 714, 594.36 25,218,460.02 32, 999, 647. 89 21,360,767.42 Specie 90, 8:.6, 876. 00 84, 250, 847.00 66, 221,400.00 Lejral-tender notes . . 76, 768. 446. 00 79,858.601.00 26, 095. 000.00 U. S. cert'fsoideposii 30, 805, 000. 00 27, 380, 000. 00 27, 955, 000. 00 23, 170,000.00 16, 911,180. 20 17, 063,407. 65 16, 359, 491. 73 16, 743,695.40 D u e from U. S. Treas 18,479,112. 79 Total 1,834,369,941. 70 1,793,306,002.78 1,825,760,967.28 1,827,265,367.61 1,787,407,093. 76 1 8 7 .7. JANUARY 20. APRIL 14. JUNE 22. OCTOBER 1. DECEMBER 28. 2,083 b a n k s . 2,073 banks. 2,078 b a n k s . 2,080 banks. 2,074 b a n k s . Loans and disconnts. $920, 561, 018. 65 $911, 946,833.88 $901,731, 416.03 $891, 920, 593.54 $881, 856, 744.87 Bonds for circulation 337,590, 700.00 339, 658, 100.00 337, 754, 100. 00 336, 810, 950. 00 343, 809, 550.00 Bonds for deposits . . 14,782, 000.00 15. 084, 000. 00 14, 971, 000. 00 14, 903, 000.00 13, 538, 000.00 U. S. bonds on hand . 31,988,650.00 32; 964, 250.00 32, 344, 050. 00 30, 088. 700.00 28,479, 800.00 Other stocks and b'ds 31, 819, 930.20 32, 554, 504.44 35, 653, 755. 29 34, 435, 905.21 32.169,491.03 D u e from res've ag'ts 88, 698, 308. 85 84, 942, 718. 41 82,132,009.96 75,960,087.27 73, 284. 133.12 D u e from nat'l b a n k s 44, 844, 616.88 42,027,778.81 44. 567, 303.63 44,123, 924.97 45.217,246.82 D u e from State banks 13, 680, 990. 81 11,911,437.36 11, 246, 349. 79 11,415. 761.60 11,479, 945.65 Heal estate, etc 43, 704, 335.47 44, 736, 540. 09 44,818,722.07 45, 229, 983. 25 45,511,932.25 Current expenses . . . 4,131, 516.48 7, 842, 296. 86 7, 910, 864. 84 8, 958,903.60 6, 915, 792. fO P r e m i u m s paid 10, 901, 714.50 10,494, 505.12 10, 320, 674. 34 8. 841, 939.09 9, 219,174.62 Cash items 10, 295, 404.19 10, 410, 623. 87 10, 090, 088.46 10, 265,059.49 11,674, 587.50 Clear'g-houseexch'gs 81,117,880.04 85, 150, 422. 74 57,861,481.13 74, 525, 215. 89 64, 664,415.01 Bills of other b a n k s . . 18, 418, 727. 00 17,942,693.00 20,182, 948.00 20. 312, 692. 00 15,531,467.00 Fractional currency. 1, 238, 228. 08 1, 114, 820. 09 1, 055, 123. 61 778, 084. 78 900, 805. 47 Specie 49, 709, 267.55 27, 070, 0:tt. 78 21, 335, 996. 06 22, 658, 820, 31 32, 907, 750. 70 Legal-tender n o t e s . . 72, 689, 710.00 72, 351, 573. 00 78, 004, 386. 00 66, 920, 684.00 70, 568, 248.00 U.S.cert'fs of deposit 25, 470, 000.00 32,100,000.00 44, 430, 000.00 26, 515, 000.00 32,410,000.00 D u e from U, S. T r e a s 16,441,509.98 16, 291, 040. 84 17,932,574.60 16,493,577.08 16, 021, 753.01 Total 1,818,174,517.68 1,796,603,275.29 1,774,352,833.81 1,741,084,663.84 1,737,295,145.79 REPORT OF THE COMPTROLLER OF THE CURRENCY. 241 B A N E S FROM OCTOBER, 1863, TO OCTOBER, 1889—Continued. MARCH 1. MATl. JUNE 30. OCTOBER 1. DECEMBER 17. 2,029 b a n k s . Liabilities. 2,046 b a n k s . 2,076 b a n k s . 2,088 b a n k s . 2,086 b a n k s . $496, 272,901. 00 $498, 717,143. 00 $501, 5G8, 563. 50 $504, 829, 7G9. 00 $505, 485, 865.00 Snrplns fund Undivided profits ... Nat'l bank circulation State bank circulation Dividends unpaid ... Individual deposits U. S. deposits Dept'sU.S.dis.officers 1, 601, 255.48 2, 501,742. 39 6,105, 519. 34 647, 735, 879. 69 7, 971,932. 75 5, 330, 414.16 695, 347, 677. 70 6, 797, 972.00 2, 766, 387. 41 686, 478, 630. 48 6, 714, 328. 70 3,459, OGl. 80 664, 579, 619. 39 <it 507, 531. 59 4, 271,1G5.19 618,517,245.74 6, G52, 556. G7 4, 232, 550. 87 Due to national banks Due to State banks.. 137, 735,121. 44 55, 294, 663.84 127, 280, 034. 02 53,037, 582. 89 138, 914, 828. 39 55, 714, 055.18 129, 810, 681. 60 49,918, 5J0. 95 119,843, 665.44 47,048,174. 56 Notes re-discounted. 4, 841, 600. 20 Bills payable 4, 786, 436. 57 Total 1,869,819,753.22 5, 671, 031. 44 6, 079, 032. 94 4, 261, 464. 45 5,758, 299. 85 5, 254, 453. 66 6, 590, 234.43 5, 257,160. 61 7,056, 583. 64 131, 249, 079.47 51, 650, 243. 62 131, 604, 608. 66 55,907, 619. 95 133,169, 094.79 52,160,104. 68 134, ?M, 076. 41 52, 964,953. 50 133, 085, 422. HO 59,204,957.81 324, 525, 349. 00 824, 876.00 323, 321, 230. 00 815, 229. 00 318,148, 406. 00 786, 844. 00 318, 350, 379. 00 772, 348. 00 314, 979. 451.00 752,722. CO 4, 003, 534v 90 1,909,847,891.40 1,913,239,201.16 |l,882,209,307.62 1, 353, 396. 8fi 1,823,469,752. 44 1 § 70. MARCH 10. MAY 12. JUNE 30. OCTOBER 2. DECEMBER 22. 2,091 b a n k s . 2,089 b a n k s . 2,091 b a n k s . 2,089 b a n k s . 2,082 b a n k s . $504, 818, 666.00 Capital stock 133, 091, 739. 50 Surplus fund Undivided profits ... 51,177,031.26 Nat'l bankcirculation 307,476,155. 00 State bankcirculation 714,539. 00 Dividends unpaid ... 1,405, 829.06 Individual deposits . 620, 674, 211. 05 6, 606, 394. 90 U. S. deposits Dept'sU. S. dis. officers 4, 313,915.45 Due to national banks 139, 407, 880. 06 Due to State banks.. 54, 002,131. 54 Notes re-discounted . 4, 631, 882, 57 Bills payable 6, 049, 566.31 Total 1,834,369,941. 70 $500,982, 006. 00 $500, 393, 796.00 $499,802,232.00 $497,482, 016. 00 131, 795,199.94 49,039, 278. 75 131, 897,197. 21 46, G09, 341.51 132, 202, 282.00 46,445, 215. 59 131, 390, 664. 67 52, 327, 715.08 300, 252, 085. 00 667, 0G0. 00 294, 444. 678. 00 658, 938. 00 291, 544, O'JO. 00 628, 847. 00 292,011,575.00 608, 548. 00 2,325, 523. 51 6,116, 679. 30 3, 848, 705. 64 1, 286, 540. 28 612, 355, 096. 59 8, 493,878.18 2, 505, 273. 30 641, 432, 886. 08 7, 667, 722. 97 3,392,939. 48 651, 385, 210.19 7, 256, bOl. 42 3, 746, 781. 58 619,350.223.06 6, 727,155. 34 4, 749, 615.39 127, 880. 015. 04 131, 702,104. 87 46, 700, <M)9. 52 51,403, 995. 59 131, 535, 969. 04 48,250, 111. 63 122,351,818.09 48,685, 392.14 4, 464, 407. 31 6,154, 784. 21 4, 553,158.76 5.882, 672.15 4, 653, 4C0. 03 5, 650,126.87 [1,793,300,002. 78 1,825,760,967.28 1,827,265,307.61 1 JANUARY 20. 2,088 b a n k s . Capital stock Surplus fund Undivided profits ... Nat'lbank circulation Statebankcirculation Dividends unpaid ... 3, 867, 622.24 6,173, 006. 03 1,787,407,093.70 §7 7 . APRIL 14. 2,073 b a n k s . JUNE 22. OCTOBER 1. 2,078 b a n k s . 2,080 b a n k s . DECEMBER 28. 2,074 b a n k s . $493, 634, 611.00 $489, 684, 645. 00 $481, 044,771.00 $479,467, 771.00 $477,128,771.00 130, 224,169. 02 37,456, 530.32 127, 793, 320. 52 45, 609,418. 27 124, 714, 072. 93 50, 508, 351.70 122, 776,121. 24 44, 572,678.72 121, 618,455. 32 51, 530, 910.18 292, 851, 351. 00 581,242. 00 294,710,313.00 535, 903. 00 290, 002, 057. 00 521, 611. 00 291, 874, 236.00 481, 738.00 299, 240,475. 00 470, 540. 00 2, 448, 909.70 1, 853, 974. 79 1, 398,101. 52 3, 623, 703.43 Individual deposits . U. S. deposits Dept'sU.S.dis.officers 659, 891, 969. 76 7, 234, 696. 96 3,108, 316. 55 641, 772, 528. 08 7, 584, 2fi7. 72 3, 076, 878. 70 636, 267, 529. 20 7,187, 431.67 3, 710,167. 20 616,403,987.12 7,972, 714. 75 2,376, 983.02 604, 512, 514. 52 6, 529, 031. 09 3.780, 759.43 Due to national banks Due to State banks. Notes re-discounted . Sills payable 130. 293, 566. 36 49, 965, 770. 27 125,422,444. 43 48, 604, 820.09 121, 443, 601. 23 48, 352, 583. 90 115, 028, 954. 38 46. 577,439. 88 115, 773, 660. 58 44, 807, 958.79 4, 000, 063. 82 6,483, 320. 92 3, 985, 459. 75 5, 909, 241. 94 2, 953,128. 58 6, 249, 426. 88 3, 791, 219. 47 6,137,116. 83 4, 654, 784. 51 5, 843,107. 03 Total 1,818,174,517.68 1,796,6.03,275.29 1,774,352,833.81 1,741,084,663. 84 9460 C M 16* 1,404,178.34 1,737,295,145.79 242 REPORT OF THE COMPTROLLER OF TIIE CURRENCY. AGGREGATE RESOURCES AND LIABILITIES OF THE NATIONAL 1878. MAT 1. JUNE 29. OCTOBER 1. DECEMBER 6. 2,063 b a n k s . Resources. MARCH 15. 2,059 b a n k s . 2,056 b a n k s . 2,053 b a n k s . 2,055 b a n k s . Loans anddisconnts. $854, 750, 708. 87 Bonds for circulation 343, 871, 350.00 Bonds for deposits .. 13,329,000.00 V. S. bonds on hand. 34, 881,600.00 Other stocki and b'ds 34, 674, 307. 21 Due from res've agt's 86.016,990. 78 Due from nat'l banka 39,692,105.87 Due from State banks 11,683, 050.17 45, 792, 363. 73 Heal estate, etc Current expenses ... 7, 786, 572.42 7, 806, 252.00 Premiums paid 10,107, 583.76 Cash items Clear'g-house exch'gs 66, 498,965. 23 Bills of other banks. 16, 250, 569. 00 697,398. 86 Fractional currency. 54, 729, 558.02 Specie Legal-tender notes .. 64, 034, 972.00 U. S. cert'fs of deposit 20, 605,000. 00 Due from U. S. Treas. 16, 257,608.98 Total $847, 620, 392.49 $835, 078, l?X13 $833, 988, 450.59 $826,017,451.87 345, 256, 350. 00 347, 332,100. 00 347, 556, 650.00 347, 812. ;,uO. (JO 28,371, 000. 00 47,936, 850.00 19, 536,000. 00 49,110, 8oO. 00 46, 785, 600. 00 44, 255, 850. 00 33, 615, 700. 00 40, 479, 900.00 36, 694,996. 24 36, 859, 534.82 34, 697, 320.53 35, 816, 810.47 85, 083, 418.51 78, 875, 055.92 71, 331, 219. 27 81, 733,137.00 40, 545, 522. 72 41, 897, 858. 89 41,492,918.75 43,144, 220. 68 12, 314, 698.11 12, 232, 316.30 12, 413, 579.10 12,259.856.09 46, 702, 476.26 46,153,409.35 45, 901, 536.93 46, 728,147.36 6, 272, 5G6. 73 4, 718, 618.66 7, 239, 365. 78 7, 608,128. 83 7,134, 735.68 7, 335,454. 49 7, 574, 255.95 6, 978, 768. 71 10,989. 440. 78 11, 525, 376. 07 10, 982,432.89 9, 985, 004.21 82, 372, 537.88 87, 498, 287.82 95, 525,134.28 61,998, 286.11 16, 929, 721. 00 17, 063, 576.00 18, 363, 335.00 19, 392, 281.00 515, 661. 04 610, 084.25 661, 044. 69 496, 864.34 46, 023, 756. 06 29, 251, 4C9. 77 30,688,606.59 34, 355, 250. 36 64, 428, 600.00 71, 643, 402. 00 67, 245, 975.00 64, 672, 762.00 32, 690, 000. 00 32, 520, 000.00 20, 995, 000. 00 36,905,(100.00 16, 543, 674. 36 17,940, 918.34 16, 798, 667.62 16, 364, 030.47 1,729,465,956.90 1,741,898.959.05 1,750,464,706.51 1,767,279,133.21 1.742,826,837737~ 1 879. JANUARY 1. APRIL 4. JUKE 14. OCTOBER 2. DECEMBER 12. 2,051 b a n k s . 2,048 b a n k s . 2,048 banks. 2,048 b a n k s . 2,052 b a n k s . $878,503,097.45 357, 313, 300.00 18, 204.650.00 52, 942,100.00 39, 671, 916.50 107, 023, 546.81 46, 692, 994. 78 13, 630, 772.63 47, 817,169.36 6, 111, 256. 56 4,332,419.63 11, 306,132.48 112,964, 904.25 16, 707, 550.00 396, 065.06 42,173,731.23 69, 196, 696.00 26, 770, 000. 00 17,029,065.45 $933, 543, 661.93 364, 272, 700.00 14, 788, 800.00 40, 677, 500.00 88, 836, 369. 80 102,742,452. 54 55, 352, 45(J. 82 14, 425, 072. no 47, 992, 332.99 7,474,082.10 4,150, 836. 17 10, 377,272.77 112,172, 677.95 16, 406, 218. 00 374,227.02 79, 013, 041. 59 54, 715, 096. 00 10,860,000.00 17, 054, 816.40 Loans and discounts $823, 906, 765.68 Bonds for circulation 347,118, 300.00 Bonds for deposits-.. 66,507,350.00 U. S. bonds on hand . 44, 257, 250.00 Other stocks and b'ds 35, 569,400.93 Due from res've agt's 77,925,068.68 Due from nat'l banks 44,161, 948.46 Due from State banks 11, 892, 540.26 47, 091,964.70 Real estate, etc Current expenses . . . 4. 033, 024.67 Premiums paid...... 6, 366, 048.85 13, 564, 550. 25 Cash items Clear'g-house exch'gs 100, 035, 237.82 Bills of other banks. 19, 535. 588.00 475, 538.50 Fractional currency. 41,499, 757.32 Specie Legal-tender notes .. 70, 561, 233.00 U. S. cert'fs of deposit 28, 915, 000.00 Due from TJ. S. Treas. 17,175,435.13 Total.-. $814, 653, 422.69 $835, 875, 012.36 348, 487, 700. C 352, 208, 000.00 O 309, 348,450.00 257, 088, 200.00 62,180, 300.00 54, 601, 750.00 37, 617, 015.13 36, 747,129.40 93,443,463.95 74, 003, 830.40 48,192, 531. 93 39,143,388.90 11,258,520.45 10, 535, 252.99 47,461, 614. 54 47, 796,108.26 6, 913, 430.46 6, 693, 668.43 5, 674,497. 80 6, 609, 390.80 10, 209, 982.43 10,011, 294.64 83,152, 359.49 63, 712,445.55 16, 685,484.00 17,068, 505.00 446, 217.26 467,177.47 42, 333, 287.44 41,148, 563.41 67, 059,152.00 64,461,231.00 25,180, 000.00 21, 885, 000.00 17, 029,121. 31 16, 620, 986. 20 1,800,592,002.25 1,984,068,936.53 2,019,884,549.16 1,868,787,428.19 1,925,229,617.08 1880. FEBBUART 2 1 . APRIL 23. JUNE 11. OCTOBER 1. DECEMBER 31. 2,061 banks. 2,075 banks. 2,076 banks. 2,090 b a n k s . 2,095 banka. Loans and discounts. $974,295,360.70 $992,970,823.10 Bonds for circulation 361,901,700.00 361, 274, 650.00 Bonds for deposits... 14,917,000.00 14, 722,000.00 TJ. S. bonds on hand. 36,798,600.00 29,509,600.00 Other stocks and b'ds 41, 223, 583 33 42, 494,927. 73 Due from res've agt's 117, 791, 386. 81 103,964.229.84 Due from nat'l banks 53,230,034.03 54,493,465.09 Due from State banks 14,501,152.51 13, 293, 775. 94 Real estate, etc 47, 845,915. 77 47,808, 207.09 Current expenses ... 6,404, 743. 54 7,007,404.19 Premiums paid 3, 79 L, 703.33 3, 908, 059. 27 Cash items 10, 320, 274.51 9,857, 645.34 Clear'g-house exch'gs 166, 736,402.64 99,357,056.41 Bills of other banks. 15,369, 257.00 21, 064, 504.00 Fractional currency 397,187.23 395, 747.67 Specie 89,442,051.75 86,429, 732.21 Legal-tender notes.. 55, 229,408.00 61, 048, 941.00 U.S. cert'fs of deposit 10, 760,000.00 7,890, 000.00 Due from U. S. Treas. 16,994, 381.37 17,226, 060. 01 Total $994,712,646.41 $1,040,977,267.53 $1,071,356,141.79 357,789,350.00 359,512, 050.00 358.042,550.00 14,827,000.00 14, 727, 000.00 14,726,500.00 28,605, 800.00 28,793,400.00 25,010.400.00 48,863,150.22 48,628'372.77 44,947. 345.75 184,562,778.70 126.155,014 40 115,935,668.27 69,079,326.15 56, 578,444.69 63,023,796.84 17,111,241.03 13,861, 582.77 15.881,197.74 47,784,461.47 48,045.832.54 47,979, 244.53 4,442,440.02 6,386,182.01 6, 778, 829.19 3,288,602.63 3,488,470.11 3, 702, 354.60 14,713,929.02 9,980,179.32 12,729,002.19 122,390,409.45 121,095,249.72 229,733,904.59 21,549,367.00 21,908,193.00 18,210,943.00 389.921.75 367,171.73 387,226.13 107,172,900.92 99, 506, 505.26 109,346,509.49 59,216.934 00 64,470, 717.00 56,640,458.00 6,150,000.00 12,510,000.00 7,655,000.00 17,125,822.37 17,103,866.00 16, 9S9, 083.78 2,038,066,498.46 1,974,600,472.95 2,035,493,280.15 2,105,786,625.82 2,241,683,829.91 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 243 BANKS FROM OCTOBER, 1863, TO OCTOBER, 1889—Continued. 1878. MARCH 15. Liabilities. MAYl. JUNE 29. OCTOBER 1. 2,063 b a n k s . 2,059 b a n k s . 2,056 b a n k s . 2,0;>3 b a n k s . $473, 952, 541. 00 Capital stock 120, 870, 290.10 Surplus fund Undivided profits ... 45, 040, 851. 85 Eat'l bank circulat'n 300, 926, 284. 00 439, 339. 00 State bank circulat'n Dividends unpaid... 1,207,472.68 Individual deposits. - 602, 882, 585.17 7, 243, 253. 29 U. S. deposits Dep'sU.S.dis.officers 3,004, 064. 90 Due to national banks 123, 239,448. 50 Due to State banks.. 43, 979, 239. 39 Notes re-discounted. 2,465, 390. 79 4, 215,196.23 Bills pavable 1,729,465,956.90 Total DECEMBER 6. 2.055 b a n k s . $471, 971,627. 00 $470, 393, 366. 00 $466,147, 436. 00 $464, 874, 996. 00 118,178, 530. 75 116,897,779.98 40, 482, 522. 64 40, 936, 213. 58 116,402,118.84 44, 040,171. 84 301, 884, 704. 00 299, 621, 059. 00 301, 888, 092.00 426, 504. 00 413, 913. 00 417, 808. 00 303, 324, 733. 00 400, 715. 00 119,231,126.13 43,938, 961. 98 1, 930, 6G9. 58 5,466, 350.52 3,118, 389. 91 1 473,784.86 621, 632,160. 06 620.236,176 82 22, 686, 619. 67 41,654,812.08 2, 903, 531. 99 3, 342, 794. 73 598- W.5, 775. 56 40, 269, 825. 72 3,451, 436. 56 109, 720, 396. 70 117, 845,495. 88 122,496,513.92 44, 006, 551. 05 43, 3G0, 527. 86 42, 636,703. 42 120, 261. 774. 54 41, 767, 755. 07 625,479,771.12 13, 811,474.14 2, 392, 281.61 2, 834, 012. 00 4, 270, 879. 74 2,453, 839. 77 5, 022, 894. 37 3, 007, 324. 85 4, 502, 982.92 3, 228,132. 93 4, 525, 617. 45 1,741,898,959. 05 1,750,464.706.51 11,767,279,133.21 1,742,826,837.37 JANUARY 1. APRIL 4. JUNK 14. OCTOBER 2. 2,051 b a n k s . 2,048 b a n k s . 2,048 banks. 2,048 banks. DECEMBER 12. 2,052 banks. $462,031, 396. 00 $455, 611, 362. 00 $455,244, 415. 00 $454, 067, 365. 00 $454,498, 515. 00 116, 200, 863. 52 114, 823, 316.49 114, 321. 375. 87 114,786,528.10 Surplus fond 41,300,941.40 Undivided p r o f i t s . . . 36, 836, 269. 21 40, 812, 777. 59 45. 802, 845.82 115,429, 031. 93 47, 573, 820. 75 N a t ' l bank circulat'n 303, 506, 470. 00 304, 467,139. 00 352,452. 00 State b a n k circulafc'n 388, 368. 00 321, 949,154. 00 322, 502. 00 Capital stock Dividends u n p a i d . . . 5,816, 348. 82 2,158, 516. 79 307, 328. 695. 00 313, 786, 342. 00 339, 927. 00 325, 954. 00 1,309, 056.13 2, 658, 337.46 Individual d e p o s i t s . . 643, 337, 745. 26 598, 822, 604. 02 648, 934,141. 42 719, 737, 568. 89 59,701,222.90 303, 463, 505. 69 248, 421, 340. 23 11, 018, 8G1>. 74 U. S. d e p o s i t s . . . 3, 556, 801. 25 2, 6S9,189. 44 3, 682, 320. 67 Dep's U.S.dis.officers 3, 469, 600. 02 D u e to national b a n k s 118, 311, 635. 60 110,481,176.98 Due to State b a n k s . . 44, 035, 787. 56 43,709,770.14 Notes re-discounted . Bills payable Total 2, 926, 434. 95 3,942, 659.18 2, 224,491. 91 4,452, 544. 48 137, 360, 091, 60 149,200,257.16 50, 403, 064. 54 52, 022,453. 69 2, 226, 396. 39 4, 510, 876. 47 2,205,015.54 4,208,201.80 1, 305, 480.45 755, 459, 966. 01 6. 923, 323. 97 3, 893, 217. 43 152,484, 079. 44 59, 232, 391. 93 2,116, 484. 47 4, 041, 619. 70 1,800,592,002.25 1,984,068,936. 53 '2,019,884,549.16 1,808,787,428.19 1, 925, 220, 617.08 1 1§§O. FEBRUARY 21. 2,061 b a n k s . $454, 548, 585. 00 Capital stock 117, 044,043. 03 Surplus fund Undivided profits .. - 42,863, 804. 95 Nat'l bank circulat'n 320, 303,874. 00 State bank circulat'n 303,452. 00 Dividends unpaid ... Individual deposits.. U. S. deposits Dep's U.S.dis.ofiicers Due to national banks Due to State banks.. Notes re-discounted. Total 1, 365, 001.91 APRIL 23. JUNE 11. OCTOBER I. DECEMBER 31. 2,075 b a n k s . 2,076 banks. 2,090 b a n k s . 2,095 banks. $456, 097, 935.00 $455, 909, 565.00 $457, 553, 985. 00 $458, 540, 085. 00 117, 299, 350. 09 118,102, 014.11 48, 226, 087. 61 50,443, 635.45 120, 518, 583. 43 46,139, 69o. 24 121, 824, 629. 03 47, 946, 741. 64 320, 759,472. 00 299, 790.00 318, 088, 562.00 290, 738. 00 317, 350, 030. 00 271, 045. 00 317,484, 496. 00 258, 499. 00 1,542,447.98 1, 330,179. 85 3,452, 504.17 6,198, 238. 38 848, 926, .'99. 86 791, 555, 059. 63 833,701,034.20 873, 537, 637. 07 1, 006, 452, 852. 82 7,89H,lC0.94 7,856,791.97 7,92 n, 988. 37 7, 680, 905. 47 7, 548, 5?8. 67 3, 489, 501. 01 3, 069, 880. 74 3, 220, 606. 64 3, 344, 386. 62 3, 026, 757. 34 170, 245, 061. 08 157,209,759.14 65, 439, 334. 51 63,317,107. 96 1, 918, 788. 88 4,181, 280. 53 2,616,900.55 4, 529, 967. 98 171, 462,131. 23 67,938, 795. 35 192,124, 705.10 75, 735, 677. 06 2, 258, 544. 72 5, 260, 417.43 3,178, 232. 50 5, 031, 604. 96 192,413,295. 78 71,185, 817.08 3, 35 i. 697.18 4, 6!!6r 876. 05 2,038,066,498. 46 1,974,600,472.95 2,035,493,280.15 2105,786,625.82 2, 241,683, 829.91 244 REPORT OF THE COMPTROLLER OF THE CURRENCY. AGGREGATE RESOURCES AND LIABILITIES OF THE NATIONAL 1 §8 1 • MARCH 11. MAY 6. JUNE 30. OCTOBER 1. DECEMBER 31. 2,094 b a n k s . 2,102 banks. 2,115 banks. 2,132 b a n k s . 2,164 b a n k s . Resources. Loans and discounts. $1,073,786,749.70 $1,093,649,382.18 $1,144,988,949.45 $1,173,796,083.09 $1,169.177,557.1,6 Bonds for circulation 339,811,950.00 352,653.500.00 358,287.500.00 363,385,500.00 368,735.700.00 14.851,500.00 15,240.000.00 15,265.000.00 Bonds for deposits .. 15,540,000.00 15.7.15, C O 00 O 46,620,150.00 44.116,500.00 48,584,950.00 U. S. bonds on hand . 40,866:750.00 31,884.000. 0049.545.154.92 52.908 123.98 58,049,292.63 Other stocks and b'ds 61,952,402.95 62,663.'J18. 93 Due from res'veag'ts 120,81:0.091.09 128,017,627. Q3 156,258,637.05 132,968,183.12 123,530.465.7562.295.517.34 63,176,225.67 75,703,599.78 Due from nat'l banks 78,505,446.17 77,633.i;02. 77: 17.032,261.64 16,938,734.56 18,850.775.34 Due from State banks 19,306.826.62 17,644.704. 62: 47,525,790.02 47,791.348.36 47,834,060.20 Heal estate, etc 47,329,111.16 47,445,050.46 7,810.930.83 6,096.109.78 4,235.911.19 Current expenses... 6.731; 936.48 4.647,101.04 3.530,516.71 4,024.763.60 4,115,980.01 Premiums paid 4,138,485.71 3,891,728.72 10,144 682. 87 11,826,603.16 13,5:!4,227.31 Cash items 14,831,879.30 17,337,964. 78 Clear'g-houseexeh'gs 147,761.543.96 196,633,558.01 143,960.236.84 189,222,255.95 217,214,627.10, 17,733.032.00 25.120.P33.00 21,631.932.00 Bills of other banks. 17,732,712.00 24,190.534.001 386,569.63 380,950.21 373,140.23 Fractional currency 373,945.96 360.361.52. 105,156,195.24 122,628.502.08 128.638 927. 50 114.334,736.12 Specie 113.680,639. 60; 52,150,439.00 62.5l6.v96 00 58,728.713.00 Lejzal-tender notes .. 53,156,441.00 60.104,387. 00i 6,120,000.00 8|045.(<<;0. 00 9,540.000.00 TT.-S. cert's of deposit 6,740.000.00 7,930.000.00! 17,015,269.83 18,450,600.14 17,251,868. 22 Due from U. S. Treas 17,472,595.96 18,097,923.40 Total 2,140,110,944.78 2,270,226,817.76 2,325,832,700.75 2,358,387,391.59 2,381,890,866.85 1S§2. MARCH 11. MAT 19. JULY 1. OCTOBER 3. DECEMBER 30. 2,187 b a n k s . 2,224 b a n k s . 2,239 banks. 2,269 banks. 2,308 b a n k s . Loans anddisconnts. $1,182,661,609. 53 $1,189,094 830.35 $1,208,932,655.92 $1,243,203,210. 08 $1,230,456 213.97 355,789.550.00 36O,15: 357,631,750.00 367,333,700.00 Bonds for circulation 357,047,650.001 15,920.000.00 15,920 000.00 16.111,000.00 16,093,000. 00 16,344 000.00' Bonds for deposits . . 27,242,550.00 29,662 700. 00 21314,750.00 28,523,450.00 15,492.150.00 U. S. bonds on h a n d . 66,691.399.56 65.274 909.32 66.168,916.64 64,430,686.18 66 998.620.36] Other stocks and b'ds 113,277,227.87 117,452,719.75 124,189.945.23 122,006,306.751 118,455,012.38 Due from res've agt's 68,516,841.06 68,301,645.12 66,883.512.75 76.073,227.761 75,366,970.74 D u e from nat'l b a n k s 17,105,468.44 15,921,432.07 16.890 174.92 18.405,748. 49i 16,344,688.66 Due from State b a n k s 46,537,066.41 47,073,247.45 46,956.574 28 46,993,408.41 j 46,425,351.40 Real estate, etc 7,238,270.17 8,494,036.21 6,774.571.86 5,130,505.531 3,030 464.69 Current e x p e n s e s . . . 6,515,155.03 3,762,382.59 5,062.314.52 6.472,585.82! 5,494,224.35 Premiums paid 14,784,025. 21 13,308,120.70 12,295.256.96 16,281,315.671 20,166.927.35 Cash items 208,366,540.08 162,088.077. 94 155,951,194.811 159,114.220.08 107.270 094.71 Clear'g-houseexch'gg 20,689,425.00 19,440,089.00 21,405,758.00 25,220.186.00 25,344,775.001 Bills of other b a n k s . 396,367. 64 389,508.07 390.236.36 373,725. 83 401,314. 70! Fractional currency. 102,857,778.27 109,984,111.04 112,415.806.73 111.694.262.54 106,427.159. 40j Specie 63,313,517.00 56,633.5V2. 00 65,969.522.001 64.019.5 i 8.00 68,478.421.00 Legal -tender n o t e s . . 8,645,000. 00 9,445.000.00 10,395.000. 001 11,045,000.00 8,475,000. 001 TT.S. cert's of deposit. 17,161,367.94 17,720,701.07 17,099.385.14i 16,8^0,407.40 17,954,069.42 D a e from U. S. Treas Total.. 2,309,057,088. 72 2,277,924,911.13| 2,344,342,686.90 2,399,833,676. 84 2,3C0,793,467. 09 1883. MARCH 13. MAY1. JUNE 22. OCTOBER 2. DECEMBER 31. 2,343 b a n k s . 2,375 banks. 2,417 b a n k s . 2,501 b a n k s . 2,529 b a n k s . Loans and discounts $1,249,114,879. 43 $1,262,339,981. 87 $1,285.591.902.19$1 ,309,244,781.64 $1, 354,002,S00. 00 354,746.500. '354,480.250. 351,412,850.00 Bonds for circulation 17,116.000. 00 16,799.000. 16,949.000. 17,081,000.00 Bonds for deposits . . 16,978 150. 00 15,870,600. 17,850.100. 13,593.050.00 U. S. bonds on hand . 68,340,590. 68,428,685. 68.552.073. 03' 71,114,031.11 Other stocks and b'ds 109.306.8 JO. 126.0 i0.954. 62 121,024,154. 124.918.728.71 Due from res've a<rts 68,477,9 L8 66 ;G4.O:J8. 67,263,503. 65,714,229.44 Due from nat'l banks 19,382.129. 19.451.498. 16,993,341. D u e from Statebanks 18.266,275.05! 47,155,909. 47.50^,103. 47,063,305. 48.337.605.02i Real estate, etc 7,754.958, 8,8:29.278. 8,949.615. 6 808 327. 30; Current expenses... 7,798.4L5. 8.079.726. 7,41-0.939. 8.064.073.60i P r e m i u m s paid 15.461.030. 11.100.701. 11,360.731. 13.58.1.049.94 Cash items 145.5)90.998. 90.792,075. 93,353,211.76 107.790. i»U5. Ciear'g-houseexch'gB 22,655 833, 26,279.856. 22,675,447.00 19^739,526. Bills of other b a n k s . 446.318, 456,447. 443.851.12 431.931. Fractional currency. 103.607,266, 115,354,394. 107 817,983.53 97962,366. Specie 68.250,4(58, 73.8:',2.458. 70.672.997.00 60,848 068. Legal-tender n o t e s . . 8.41:0.000. 10.685,000. 9.970 000.00 8,405,000. U. S. cert's of deposit 17,497,694, 17.407,606, 16.586,712. C O 16,726.451. D u e from U. S. Treas Total 2,298,918,165.11 2,360,192,235.85 2,364,833,122.44 2,372,656,364.82 2,445,880,917. KEPOET OF THE COMPTKOLLER OP THE CURRENCY. 245 BANES FROM OCTOBER, 1863, TO OCTOBER, 1889—Continued. 18 8 1. MAECH 11. MAT 6. JUNE 30. DECEMBER 31. Liabilities. 2,094 banks. Capital stock 2,102 banks. 2,132 banks. 2,164 banks. 122, 470, 996.73 54, 072, 225.49 Nat'l bank circulation State bank circulat'n 298, 590, 802.00 309, 737,193. 00 252, 765. 00 252, 647.00 1,402,118. 43 128,140, 617. 75! I'iD, 807, 403. 92 56, 372,190. 92; 54, 221, 816.10 124, 405, 926. 91 126,679,517.97 54, 906, 090.47 54, 684,137.16 Surplus fund Undivided p r o f i t s . . . Dividends u n p a i d . . . 2,115 banks. $458,254, 935. 00 $459, 039, 205. 00 $460, 227, 835. 00 $463, 821, 935. 00 $465, 859, 835. 00 2,617,134. 37 312, 2?3. 352. 00 320, 200, 060. 00! 325, 015,161. 00 212, 967. 00 244, 399.00i 241, r701.00 t " ""•' i 5,871, 595. 59 6, 372, 737.13 3, 836,445. 84J Individnal deposits.. TJ. S. deposits Dep's U.S.dis. officers 933, 392, 430. 75 1, 027, 040, 514.101, 031, 731, 043.42 1, 070 997, 431. 71 1,102, 670,163. 71 7,381,149.25 9,504,081.25 8,971.826.731 8,476.089.74 8,796.078.73 3,839,32-4.77 3,371,512.48 3,272,610.45 3,631,803.41 3,593,726.83 Due to national banks D u e to State b a n k s . . 181, 677, 285. 37 191, 250 091. SO 223, 503, 034.19 80, 700, 506. 08 91,0.:5, 599. 65 71,579, 477.47 Notes re-discounted. Bills payable Total 2, 616, 203. 05 4, 581, 231.47 2,2:::o, 053.02 5,109,128. 57: 3,091,165. 30 4, 664, 077.12 4,122. 472. 79 4. 482, 325 25 2,140,110,944. 78 2,270, 226, 817. 76 2, 325, 832, 700. 75J2, 358, 387, 391. 592, 381, 890: 666. 85 MARCH 11. 2,187 banks. Capital stock. 2, 908, 370.45 4, 493, 544. 77 205, 862. 945, 80 197, 25:!. 226. 01 89, 047,471.00 79, 380. 429. 38 MAY 19. 2,224 banks. OCTOEKR 3. 2,269 b a n k s . 2,239 banks. DECEMBER 30, 2,308 banks. $469,390, 232.00; $473, 819,124.00 $477,184,390. 00j $483,104, 213. 00 $484, 883,492. 00 129, 233, 358. 24 131, 079, 251.16; 131, 977,450. 77 135, 930. 969. 31 62, z±r. IQQ lo 52,128, 817. 73; 61,180, 310. 53 55, 343, 816. 94 R?. 345,199.19 Surplus fund Undivided profits. 130, 924,139.66 60,475, 764. 98 Nat'lbankcirculation State b a n k circulat'n 323, 651, 577. 00 315, 671, 236. 00 308,921, 898. 00' 314, 721, 215. 00 315, 230, 925 00 241, 319. 00 221,177.00 241, 527. 00 235,173.00! 207, 273.00 Dividends u n p a i d . . . 1,418,119.12 I 1, 950, 554. 88 6, 634, 372. 20; 3,153, 836. 3C 6, 805, 057. 82 Individnal deposits.. 1,036, 595, 098. 20 1, 001, 687, 693. 74 1, 0C6. 707, 248. 75 1,122,472. 682.40 1, 066, 901, 719. 85 9, 741,133. 36 8, 817,411. 21 8, 853, 242.16 9,817,224.44; 9, 022, 303. 56 U . S. deposits 3, 493, 252. 88 3, 372, 363. 96 2, 8G7, 385. (33! 3, 627, 846. 72l 3, 786, 262. 20 Dep's U.S.dis. officers Due to national b a n k s D u e to State b a n k s . . Notes re-discounted. Bills payable Total.. 187,433, 824. 90 192, 067, 865. 26 194, 808, 025.46 180, 075, 749. 77 194. 491, 260. 60 78, 359, 675. 85 78, 911, 787. 20 84, 066, 023. 66; 79, 885, 052. 22 77, 031,165. 82 3, 912, 992. 38 4,428,531.51, 3, 754. 044. 38 5, 008, 343. 00! 4.195, 210. 99' 5, 637,665. 88 5, 747, 614. 68 4, 848, 517.18 6, 703,164. 45 3, 850. 050. 54 2, 309, 057, 088. 72 2, 277,924, 911.13J2, 344, 342, 686. 90|2, 399, 833,676. 84j2, 360, 793, 467.09 1883. MARCH 13. 2,343 banks. Capital stock JUNE 22. 2,375 banks. OCTOBER 2. DECEMBER 31. 2,417 banks. 2,501 banks. 2,529 banks. $490 456, 932. 00 $493, 963, 069. 00 $500, 298, 312. 00 $509, 699, 787. 00 $511, 837, 575. 00 Surplus fund Undivided profits... ^., •„,. 39 138, 331, 002 06; 141, 991. 789.18! 144, 80n, 252.13 136, 922, 884. 44 137, 775. 004.w 59, 840, 913.64 60, 739, 878. 851 68, 354,157.15j 61, 560. 652. 04! 58,787,945.91 Nat'l bank circulation State bank circulat'n 312, 778, 053.00 313, 519, 993. 00| 311, 903, ?02 00; 310, 517, 85700' ' 184,; :. 00 198,162. 001 206, 779. 00 189, 253. 001 Dividends u n p a i d . . . 1, 389, 092. 96 2, 849, 629.87 1,454, 232.01 3, 229, 226. 81; 304,944,131.00 181,121. 00 7, 082, 682. 28 Individual deposits.. 1, 001, 111, 400. 55 1,067, 962. 238. 3C 1, 043,137, 763.11 1, 040, 437, 700. 57 1,106, 453, 008. 23 10,026,777.79 U . S. deposits 9, 613, 873. 33 11, 624, 894. 57 10,130, 757. 88: 10. lg:i, 190. D5 3, 618,114. 79 3, 743, 326. 56.' 3? 980, 259.1:8 3, 768, 862. 0-i Dep's U.S.dis. officers 3, 787, 225, 31 Due to national banks D u e to State b a n k s . . Notes re-discounted, bills payable Total. 191, 296. 859 14 180, 445. 876. 92 191, 150, 676. 43 183, 828. 070. 27 84, 7-44, SG6. 35 83, 002, 073. 01 80, 251, 968- 26 78,544,128. I 5,197, 514.12 7, 3R7, 537. 40 5,101,458. 60! 5, 557, 18«. m' 3, 137, 259. 77| 4, 053, 252.81j 3. 660, 724. 79| 3,361.061.00; 200, 807, 280. 06 84, 776,421. 60 8, 248, 562. 67 4,306,297.78 2, 298, 918,165.11 •, 360,192, 235. 85,2, 364, 833,122.44:2, 372, 656, 364. 8212,445, eSO, 917.43 246 REPORT OF THE COMPTROLLER OF THE CURRENCY. AGGREGATE RESOURCES AND LIABILITIES OP THE NATIONAL 1§§1. MARCH 7. Resources. APlilL 24. 2,563 banks. 2,589 b a n k s . 20. 2,625 banks. SEPTEMBER 30. DECEMBER 20. 2, 664 banks. 2,664 banks. Loans and discounts $1,321,548,289.62 $1,333,433,230. 54'$1.269.862,935. 96 $1,245,294,093. 37 $1,234,202,226.44 Bonds for circulation 339,81(3,150.00 337, 342, !)uo. 334. 346, 300. 00, 327, 435, 000. 00 317. 586, 050. 00 Bor.ds for deposits 16, 850, 000. 00 17,135, 000. 17, 060, 000. 00: 16, 840, 000. 00 16, 740, 000.00 TJ. S. bonds on hand. 18, 672, 250.00 15, 560, 400. 14. 143, 000. 00^ 13, 579, 600. 00 12, 305, 900 00 Others tocks and b'ds 73, 155, 984. G O 73,424, 815. 72, 572, 306.93 71, 363, 477.46 73,449, H52. 07 Duo from res've ag'ts 138, 705, 012. 74 122, 491, 951. 95, 247,152.62: 111, 093,019.65 121,161, 976.80 Duo from nat'l banks 64, 638, 322. 58 68. 031, 209. 64, 891, 670.13| 66, 335, 544. 57 69, 459, 884.451 Duo from State banks 17, 937,976.35 18,145, 827. 1G, aO6, 500.91! 15, 833,982.98 18, 329, 912.01 49,418, 805. OS Real estate, etc 49.067,126. 50,1 M\ 083. 00 49, 900, 886. 91 49, 889, 936.06 7, 813. 880.50 8, 866, 558.09 6, 913, 508. 85 9, 670, 996.14 Current expenses . . . 8. 054, 296. •#,742,601.42 Premiums paid 9, 826, 386. 10, 605, 343.49 11, 632, 631.68 11,923,447.15 11, 383, 792.5" Cash items 11, 237, 975. 11, 382, 292. 69 13,103, 098. 55 11,924,152. 89 10, 335, 000. 00 1. 620, 000. 00 1, 870, 000. 00 Cl'g-honse loan cert's 68,403,373.30 83, 531, 472. 69,498,913.13 66, 257,118.15 75,195. 955.95 Clear'g-houseexe'gs 23,485,124.00 26, 525,120. 23,380,695.00 23,258, 854.00 22, 377,965.00 Bills of other banks . 491, 067. 76 489, 802. Fractional currency. 469, 023. 89 456, 778. 26 473, 046.66 122,080,127. 33 114, 744, 707. Specie . . : 139, 747, 079. 53 109,661,682.11 128, 009, 474. 75, 847, 095. 00 77, 712,628. Legal-tender n o t e s . . 76, 917, 212.00 77, 044, 659.00 76. 369, 555. 00 14,045, 000.00 11, 990, 000. U.S. cert's of deposit0, 870, 000.00 14, 200, 000.00 19, 040 000. 00 16,465, 785.66 Due from U.S. Treas. 17,468, 976. 17, 739, 906.28 15, 442,306.52 3i 17,022,999.34 Total 2, 390, 500, 638.51 2, 396, 813,834.92 2, 282, 598, 742.96j2, 279,493, 880.07 2, 297,143,4 474.27[. 1885. MARCH 10. MAY 6. JULY 1. OCTOBER 1. DECEMBER 24. 2,671 banks. 2,689 b a n k s . 2,714 b a n k s . 2,732 banks. 2,678 banks. Loans and discounts $1,232,327,453.69 $1,241,450,649. 7^ $1,257,655,547.92 $1,306,143,990.46 $1,343,517,559.96 ., <J-*O, O i l , *>Olt, VU Bonds for circulation 313,106,200.00 312,168, 5G0.00 310,102, 200.00 307, 657, 050.00 304, 776, 750. 00 17, 457,000. 00 17,607, 000. 00 16, 740, 000.00 Bonds for deposits.. 16,815,000.00 18,012,000.00 14, 329,400. 00 U. S. bonds on hand. 14, 588,800.00 14,769,250.00 14,607, 650.00 12,665,750.00 77,495. 230. 25 Other stocks an db'ds 77, 249,159.42 75, 019, 208.99 75,152,919. 35 77,533, 841. 38 Duefromres'veag'ts 136, 462,273.26 130,903,103.77 132, 733, 904.34 138, 378,515.15 139, 239, 444. 80 Due fromnat'l banks 78, 967, 697. 86 79,452,309. 67 77, 220, 972. 29 67,866,656.57 66, 442,054.87 Due fromStatebanks 17, 987, 891.44 17, 572, 822.65 17,180, 008.46 17, 348,938.11 18,553,946.46 50, 729,896. 08 51, 293, 801.16 49,886, 378.87 49,699,501.42 Real estate, etc 51, 963, 062. 01 6, 853, 392. 72 3, 533, 759.49 7, 096, 268. 06 7, 877, 320. 27 Current expenses... 9,416,971.01 12, 511, 333. 41 12, 690, 663.41 12, 358, 982. 70 12, 330, 437. 60 Premiums paid 11, 802,199. 86 14, 347, 579. 53 Cash items 12,810, 187. 64 17, 214, 373. 52 11, 276, 626.48 11, 228, 856. 82 1,110, 000. 00 GTg-house loan cert's 630, 000. 00 1, 380, 000.00 1,430, 000. 00 1, 530, 000.00 84, 926, 730. 76 Clear'g-house exc'gs 92, 351, 296. 77 72,259,129. 39 113,158,675.32 59, 085, 781.99 23, 062, 765. 00 Bills of other banks 23,178, 052. 00 23,465, 388.00 26, 217,171.00 22, 013, 314. 00 477,055.17 Fractional currency 415, 082.64 489,927.18 513,200.12 519,529.96 1, 605, 763. 69 1,670, 961. 77 Trade dollars - 167,115, 873. 6f 177,433,119. 30 177, 612, 492. 02 174,872, 572. 54 165, 354, 352. 37 Specie 69,738,119. 00 67, 585, 466. 00 79,701,352.00 71,017,322.00 77,336,99U. 00 Legal-tender notes. 18 800,000.00 11, 765, 000. 00 22, 760, 000. Of 22, 920, 000. 00 19,135, 000. 00 U.S. cert's of deposit 14, 897,114. 24 14,981, 021. 79 15, 079,935. 8i 15,473, 270. 84 14, 617, 897.02 Due from U.S.Treas. Total. 2, 312, 744,247.352, 346, 682,452.99 2,421,852,016.47i2,432,913,002.38 2,457,675,256.13 1§S6. MARCH 1. JUNE 3. AUGUST 27. OCTOBER 7. DECEMBER 28. 2,852 banks. 2,875 banks. 2,849 banks. Loans and discounts $1,367,705,252 80 $1,398,552,099.71 $1,421,547,199.22 $1,450,957,054.93 $1,470,157,681.13 " Bonds for circulation 296,661,400. "" 279,414,400.00 270, 315,850.00 258, 498, 950. 00 228,384,350.00 ' " 00 Bonds for deposits.. 18,637, 000. 00 18, 810, 000.00 19, 984,900. 00 20,105,900. 00 21,040, 900. 00 U. S. bonds on hand. 16,580,050.00 12,535, 550.00 14, iiiJS, 950. 00 12,326,500.00 10, 576, 200.00 Other stocksand b'ds 80, 227, 388.98 83,347,119. 93 82,439,901.64 81,825, 266.40 81,431, 000.66 Bue from res' ve ag'ts 142,805, 686. 91 133, 027,136. 53 143,715,221.45 140, 764,579.01 142,117, 979. 28 Due from nat'l banks 76,933, 579.67 77, 632,198.47 78,091,411. 58 80, 526, 615. 77 88,271,697.96 Due fromStatebanks 18,834,235.88 17, 720, 924.26 18, 387, 215.76 20,140, 256. 27 21,465,427.08 Real estate, etc 52,262,718.07 53,117,564.42 53, 834,583.58 54, 090, 070.94 54, 763, 530. 37 7, 438, 741.12 10, 283,007. 79 5,837,175.21 8, 684, 672.33 Current expenses... 7, 705,850. 57 13,298, 269. 23 13, 641,463. 72 14, 303, 529.55 15,160,621. 67 Premiums paid 12,237,689.15 13,277,169.64 10,408, 981. 58 13,218, 973.44 Cash items 15,135,538.48 12,181,455.80 85, 000.00 205, 000. 00 Cl'g-houseloan cert's 505,000. 00 Clear'g-house exc'gs 99,923, 656.84 76,140, 330. 60 62,474,605.90 95, 536, 941.15 70, 525,126. 92 Bills of other banks. 20, 503, 303.00 25,129,938. 00 21, 602, 661.00 22, 734, 085.00 26,132,330.00 451, 308. 89 452,361. 34 Fractional currency 434, 220.93 447, 833. 09 470,175.18 1, 713, 384.35 1,857,041.56 1, 889, 794. 55 1, 827, 364. 20 Trade dollars 1,681, 530.65 Specie 171, 615, 919. 39 157, 459, 870. 4!) 149, 000. 492.10 156,387,696.00 166,983, 556. 01 Legal-tender notes.. 67,014, 886. 00 79, 656, 788. 00 64,039,751.00 62,812,322.00 67, 739, 828. 00 U. S. cert's of deposit 12,430,000.00 11, 850, 000. 00 8,115, 000. 00 5, 855, 000.00 6,195, 000. 00 5% fund with Treas. 12, 953, 248. 20 12,198, 526. 43 11, 868, 912. 52 11, 358, 014.97 10,056,128. 39 1, 416, 892. 00 1, 599, 303. 36 2, 592, 042. 94 975, 376.96 Due from U. S. Treas 1, 513,019.67 2,768 banks. Total 2,809 banks. 2, 494, 337,129. 44|2,474, 544,481. 89 2,453,666, 930.07 2, 513, 854, 751.17 2, 507, 753, 912.95 REPORT OF THE COMPTROLLER OF THE CURRENCY. 247 BANKS FROM OCTOBER, 1863, TO OCTOBER, 1839—Continued. 1884. MARCH 7. Liabilities. Capital stock., Surplus fund Undivided profits . . . Nat'l bank circulati'n State bank circulati'n Dividends unpaid . . . APRIL 24. 2, 563 b a n k s . 2,589 b a n k s . SEPTEMBER 20. DECEMBER 20. 2,625 banks. 2, 664 b a n k s . 2, 664 b a n k s . $515, 725, 005. 00 $518,471, 844. U0 $522, 515, 990700 $524, 271, 345. 00 $524,089, 065. 00 145, 741, 679. 63, 644.861. 146, 047, 958. 07 67,450,459.00 145, 763, 416.17 70, 597, 487.21 147. 055, 037. 85 63, 234, 237.62 146, 867,119. 06 70, 711, 3G9.95 298, 791,610. 180, 589. 297, 506, 243.00 180,576.00 295,175, 334.00 179, 666.00 289, 775,123. 00 179, 653.00 280,197,043. 00 174,645.00 1,415, 889. 58 1, 384, 686. 71 3, 686t 160. 33 1, 331,421.54 Individual deposits.. 1,046,050,167. 901L. 060, 778, 388.06 11, 233, 495. 77 "24 9,956, 875. U. S. deposits 3, 588, 980. 50 3, 856,461, Dep'sU. S. dis. offic'rs 979, 020, 349.63 10, 5^0, 759.44 3, 664, 326.13 975,243,795.14 10, 307, 909. 9L' 3, 703, 804. 34 987,649,055.68 10,655,80.J. 72 3, 749,1)63.85 192, 868, 942. 31 155, 785, 354.44 70, 480, 617.11 86, 778,138. 85 173, 979,149.80 72,408, 206, 85 187, 296, 348.30 72,572,384.43 11, 343, 505.55 4, 262, 244.57 11, 895, ooo. oo; 11, 008, 595. 0 4, 580,862.15 8,433, 724.67 3,415,524.07 1,422, 901.91 Due to national banks Due to State banks.. 207,461,179. 63 88,466, 363. Notes re-discounted. Bills payable Cl'g-liouse loan cert's 6, 234,202. 2,968,740. Total 7, 299, 284. 58 3,193,635.20 2, 390, 500, 638.51 2,396, 813, 834.92;2, 282, 5D8, 742.962, 279, 493, 880. 0 , 297,143,474.27 MARCH 10 Capital stock Surplus fund' Undivided profits . . . Nat'l bank circulati'n State bank circulati'n Dividends unpaid ... Individual deposits.. U. S. deposits MAY 6. JULY 1. OCTOBER 1. DECEMBER 24. 2,671 b a n k s . 2.678 b a n k s . 2, 689 b a n k s . 2,714 b a n k s . 2,732 b a n k s . $524, 255,151.00 $525,195, 577. 00 $526, 273, 602.00 $527, 524, 410.00 $529,360,725.00 145, 907, 800. 60, 296,452. 145,103, 776.01 60,184,358.12 146, 523, 799.94 52, 229, 946. 61 146, 624,642.06 59, 335, 519.11 150,155,549.52 69, 229,645.82 274,054,157. 162, 581. 00 273,703, 047.00 144, 498.00 269,147,690.00 144, 489.00 268, 869, 5^7. 00 136, 898.00 267,430,837.00 133, 932.00 1, 301, 937.73 2, 577,236.08 6,414, 263.98 3, 508, 325.38 1, 360,977.27 996, 501, 647.40 1,035, 802,188. 56 1,106, 376, 516.80 1,102,372,450.35 1, 111, 429. 914.98 11,690,707.52 10,995,974.68 11,552, 621.98 12,058. 708.36 Dep's U.S. dis. offic'rs 3,039,646. 3,330, 522.70 3, 027, 218.02 2, 714,399.37 3,005,783.11 Due to national banks 205, 877, 203. 199,081,104.40 203, 932, 800. 05 213, 534, 905.08 216,564,533.96 Due to State banks.. Notes re-discounted. Bills payable 82,190, 567. 81, 966,092.25 88, 847, 454.78 86,115, 061.25 85, 060,162.27 6, 299, 722. 1,850,462. 5,736,012.02 2,167,333.33 5, 864, 000. 85 2, 074,259.76 8,432,792.64 2,191,3fcO. 16 Total. 9,93?, Sr>8. 24 1,951,598.60 2, 312,744, 247.35 2, 346,682,452.99 2, 421, 852,016.47|2, 432,913, 002.38 2, 457,675,256.13 1886. MARCH 1. Surplus fund Undivided profits... N a t ' l b a n k circulati'n AUGUST 27. OCTOBER 7. DECEMBER 28. 2, 768 b a n k s . Capital stock JUNE 3. 2, 809 b a n k s . 2, 849 b a n k s . 2, 852 b a n k s . 2, 875 b a n k s . $533, 360, 615. 00 $539,109, 291.72 $545, 522, 598.00 $548,240, 730.00 $550, 608, 675.00 152, 872, 349.01 59, 376, 381.80 153,642, 934. 86 67, 662,886.02 157. 003, 875. 60 62,211,565.63 157, 249,190. 87 66, 503,494.72 159, 573, 479.21 79, 298, 286.13 256, 972,158.00 244, 893,097.00 238, 273, 685.00 228, 672, 610.00 202, 078, 287.00 133, 931.00 132,470.00 128, 336.00 125, 002.00 115, 352.00 2,227,810.59 1, 590, 345. 06 State b a n k circulati'n 1, 534, 905.58 Dividends u n p a i d . . . 1, 526, 776.66 1, 863, 303.62 1,152, 660, 492.06 1,146, 246, 911.43 1,113,459,187.35 1,172, 968, 308.64 1,169, 716, 413.13 Individual deposits.. 12,414,566.52 13,670,721.76 14,295.927.74 13,842,023.69 13,705,700.73 3,019,018.72 2,798,864.55 2,884,8ti5.62 2,721,276.77 4,276,257.85 U. S. deposits D e p ' s U . S. dis. ofl&c'rs 219, 778,171.80 204,405, 273.11 Due to national b a ' k s 92, 663, 570.46 90, 591,102. 81 90, 366, 354. 90 90, 246,483.31 254, 533.23 91,5 D u e to State b a n k s . . 8, 376, 095. 20 8, 718,911.71 7, 948, 698.27 10, 594,176.56 9,1 159, 345.79 Notes re-discounted. 1,174, 874.29 1,145, 240.26 1, 381, 095.01 2, 067, 693.48 2,4 444, 958.36 Bills payable 218, 327,437. 33 218, 305, 950. 54 223, g 842, 279.46 ,494,337,129:44 2,474, 544,481.89,2, 453, 666, 930.07J2, 513,854, 751.17 2, 507,753, 912.95 Total 248 REPORT OF THE COMPTROLLER OF THE CURRENCY. AGGREGATE RESOURCES AND LIABILITIES OF THE NATIONAL MARCH 4. Resources. MAY 13. AUGUST 1. OCTOBER 5. DECEMBER 7. !, 909 b a n k s . 2, 955 b a n k s . 3,014 banksT 3, 049 b a n k s , j 3, 070 b a n k s . Loans anid discounts $1,515,534,674. 67;$l,560,291,810. 73 $1,560,371,741. 05 $1,587,549,133.76 $1,583,941,484. 96 Bonds for circulation 211,537,150. 200, 452, 300. 00 189, 032, 050. 00 189 0S3,100.00 186, 431, 900. 00 22, 976, 900. Bonds for d e p o s i t s . . 26, 402, 000. 00 27, 757, 000.00 42, 203, 000. 00 24, 990, 500. 00 U . S. bonds on h a n d . 9, 721, 450. 7, 808, 000.00 6, 914, 350. 00 6, 988, 550. 00 8,157, 250.00 O t h e r stocks and b'ds 87, 441, 034. 88, 374, 837. 99 88, 831, 009.96 90, 775, 413. 31 88, 031,124.15 D u e from resv'e agt's 163,161,181. 148, 067, 874. 43 140,270,155.75 140, 873, 587. 98 132, 959, 765. 34 D u e from n a t ' l b a n k s 86,460, 829. 93, 302, 413. 94 98, 227, 065. 30 105,576,841.99 299, 487, 767. 80 D u e from State b a n k s 21,725,805. 30, 952,187. 86 22,103, 677.18! 21,995,356.41 22, 746,190.43 55,128, 600. 56, 954, 622. 58 Heal estate, etc 57,968, 159.711 58, 825,168.16 55, 729, 098. 76 8, 064, 292. 5,158, 940. 86 Current expenses... 8, 253, 890. 72 10,600,817.35 7,781,151.97 15, 537, 721. 17,353,130.17 P r e m i u m s paid 17,288,771.35; 18, 797, 205. 79 16,806,431.83 13, 308, 520. Cash items 16, 914, 070. 02 14,691,373.38i 13,326,455.77 13, 065, 663. 79 89, 239,194. Clear'g-house exc'gs 88, 775, 457. 99! 85, 097, 380.41 86, 829, 363 73 128, 211, 628. 48 22, 235, 206. Bills of other b a n k s . 22, 962, 737. 00! 21, 937, 884.00) 23, 447, 294. 00 25,188,137.00| Fractional c u r r e n c y . 577, 878. 564, 266. 72! 540, 594. 501 554, 906. 55 556,186. 75; 1,803, 661. 63,671.97) T r a d e dollars 509. 25; 328.09 184, 203. 08 Specie 171, 678, 906. 165,104,210.28i 165, 085, 454. 38 159, 240, 643.48 167,315,665.62 Legal-tender n o t e s . . 66,228,158. 74,477,342.00; 73,751,255.001 75, 361, 975.00 79, 595, 088. 00 TJ. S. cert's of deposit 7, 645, 000. 7, 810, 000.. 00 i 6,190, 000. 00| 6,165. 000. 00 8, 025, 000. 00 5 % fund w i t h T r e a s 9, 280, 755. 8,341,988.771 8. 310, 442.35' 8,168, 503. 20 8, 810, 585. 35 D u e from U.S.Treas. 1, 856,195. 660,818.42' 985,410.141 1, 068,117. 43 1,113,554.81 Total 2, 581,143,115. 05,2, 629, 314, 022. 42 2, 637, 276, 167. 72;2, 620,193, 475. 592, 624,186,330. 55 IK**. FEBRUARY 14. Resources. JUNE 30. OCTOBER 4. DECEMBER 12. 3, 077 banks. 3,120 b a n k s . 3,140 b a n k s . 3,150 b a n k s . Loans and discoun ts $1,584,170,370. 51 $1,606,397,923. 95 $1,628,124,561, 83 $1,684,180,624.27 $1,676,554,863. 67 00 181,042,950. Bonds for circulation 181, 845,450. " ' 177, 543,900. 171, 867, 200. 00 162, 820, 650. 00 56, 863, 000. 00 Bouds for deposits.. 55,788, 000, 54, 208, 000. 00 56, 643, 000, 48, 949, 000.00 6,450, 500. 00 U. S. bond s on hand. 7, 830,150. 7, 639, 350. 6, 507, 050. 00 6, 374, 400.00 94,153, 688. 97 Other stocks and bd's 96,265,812, 95, 296, 917, 99, 752, 403.73 102,276,898.17 Due from res've ag'ts 155, 341, 240.86 146, 477, 902. 158,133, 598. 170,458,593.83 156,587, 199.27 92, 9«0, 682. 48 Due from nat'l banks 101, 689,774, 95,519,102. 99,821,000.57 107,175, 402. 59 21, 880, 069. 60 Due from State banks 22, 714, 258, 22, 709, 703. 24, 217,165. 51 23, 767, 260. 53 59, 366, 247. 85 61,101, 833, 60, 111, 356. 63, 436, 066. 74 Real estate, etc 62,634,791.74 5, 685, 313, 6, 531, 237. 71 9, 843, 637. 11, 342,192.45 Current expenses... 8, 498, 758. 28 18, 903, 434, 19, 779, 498. 56 19, 501, 481. 16,681,256.56 Premium s paid 17,615,898.02 16,855,801, 12, 255,978. 69 14, 644, 675 14,140, 858.12 Cash items 15,071,024.30 74, 229, 763, 73,418, 037. 29 117, 270, 706. 91, 765, 292. 99 Clear'g-house exc'gs 102, 439, 751. 67 21,343,405, 23,145, 206. 00 24, 434, 212. 21, 728, 238.00 Bills of other banks 201,600,818.00 632, 602. 662, 722. 628, 387. 42 683,148. 93 Fractional currency. 684, 268.41 371. 351. 763. 56 437, 59 419. 05 Trade dollars 173r830, 614. 62 172,074,011. Specie 178, 097, 816, 64 172, 734, 278.50 181,292,276. 82, 317, 670. 00 Legal-tender notes.. 83, 574, 210. 81,995,643. 81, 099, 461. 00 82, 555, 060. 00 10,120, 000. 00 TJ. S. cert's of deposit 9, 330, 000. 12,315,000. 8. 955, 000. 00 9, 220, 000. 00 7, 993,189. 22 5 % fund with Treas 7, 887, 950. 7, 765, 837. 7, 555, 401. 72 7,141,434.41 1, 240, 035. 56 Due from TJ. S. Treas. 1, 361, 033. 1, 236, 675. 935, 799. 31 1, 246, 391. 04 Total 2, 664, 366, 304. 44 2, 732,423,198.19 2, 731, 448, 016.16|2, 815, 751, 341.07 2, 777, 575, 799. 00 1 § §9. FEBRUARY 26. Resources. MAY 13. JULY 12. SEPTEMBER 30. 3,170 b a n k s . 3,206 b a n k s . 3,239 b a n k s . 3,290 b a n k s . Loans and discounts Bonds for circulation Bonds for deposit D. S. bonds on hand Other stocks and bonds Due from reserve agents Due from national banks Due from State banks Real estate, etc Current expenses Premiums paid $1, 704, 067, 489. 39 $1,739,651,934.67 $1,779,054,527.66 $1,817,257,703.17 156,728,200.00 149, 520, 850. 00 147, 502, 200. 00 146,471,700.00 46, 384, 000. 00 44, 882, 000. 00 44 832, 000. 00 44, 063,000. 00 6, 395, 000. 00 6, 690, 800. 00 6,810, 100.00 4, 438, 200. 00 102, 215, 0(56. 01 103, 030, 575. 31 106,712,474.80 109, 313, 635. 0L 192,702,196.35 187, 372, 295.47 192,590,073.67 189,136,281.01 101, 327, 319.18 107,091,577.44 108, 999, 878. 96 117,869,749.37 24,651,712.33 26,924,218.24 25. 956, 516. 98 28,417,511.26 6(i, 248,183. 93 66, 855, 303. 68 67, 377,183.12 69, 377,173. 73 7,418,190.08 8, 984. 846. 65 3, 760. 961. 17 8, 525, 924, 84 ... 16, 7-!9, 244. 88 17, 058, 275. 44 17, 12(i, 726. 31 16, 613, 917. 93 Cash items 12,676,652.11 15,049,325. 16 14,350,765.37 17, 059, 786. 57 Clearinghouse exchanges .. 84,111,547.63 101,452,588.54 101, 552, 062. 67 "•.36, 783,162. 26 Bills of other banks 22, 411, 826. 00 25, 722, 720. 00 24,761,487.00 20, 875, 528. 00 Fractional currency 717,823.63 698, 369. 91 719, 273, 63 682, 034. 93 Specie 182, 284, 803. 00 185,176,450.86 175,903,868.98 164, 326, 448. 84 Legal-tender notes 88, 624, 800. 00 97, 838, 385. 00 97, 456, 832. 00 86,752,093.00 TJ. S. certificates of deposit .. 13, 785, 000.00 13, 355, 000. 00 14,890,000.00 12, 945, 000. 00 H % fund with Treasurer 6,860, 148.44 6, 565, 205. 97 6, 457, 820. 66 6,405,058.18 Due from U. S. Treasurer ... 1, 066, 950. 97 1,001,795.11 1,161,617.26 976, 737.81 Total 2, 837, 406, 213. 93 2, 904, 922, 517. 45 2, 937, 976, 370. 24 2, 998, 290, 645. 91 REPORT OF THE COMPTROLLER OF THE CURRENCY. 249 BANKS FROM OCTOBER, 1863, TO OCTOBER, 1833—Continued. 188 MARCH 4. 2,909 b a n k s . Liabilities. Capital stock Surplus fund Undivided profits... Nat'l bank circulat'n State bank circulat'n 7. MAY 13. 2,955 b a n k s . OCTOBER 5. DECEMBER 3,049 b a n k s . 3, 014 b a n k s . 3, 070 b a n k s . $555, 351,765.00' $565, 629, 068.45 $571, 648, 811. 00 $578, 462, 765. 00 $580, 733,094.42 164, 337,132.72 67, 248, 949.16 172, 348, 398.99 62, 294. 634. Of 173, 913, 440.97 71, 451,167. 02 175,246,408.26 79, 899, 218. 06 186, 231,498. 00, 106,100.00 176, 771, 539.00 98, 716.00 166, 625, 658. 00 98, 697. 00 167, 283, 343. 00 98,699.00! 164,904,094.00 98, 676. 50 1, 441, 628.17 Dividends unpaid... 167, 411, 521.03 70,153, 368.11 1, 977, 314. 40 2,239,929.46 2, 495,127. 83 1, 343, 963. 98 Individual deposits. 1, 224,925, 698, 26 1, 266, 570, 537.67 1, 285, 076, 978. 58 1, 249, 477,126. 95 1, 235, 757, 941.59 15, 233, 909. 94: 17, 556, 485.93 38, 416 27687 19186 712 77 20, 392, 284 03 20 392 284. 03: 38 416, 276.87 19,186, 712. 77 U. S. deposits 4, 277,187. 61 3, 779, 735.14 4, 515, 024. 05 4, 831, 666.14' 4, 074, 903. 62 Dep's U. S.dis.offic'rs 249, 337,482.40 Total . 235, 966, 622.46 227,491, 984.15: 223, 088,927.85 102, 089, 438,63 103, 603, 598.14 102, 094, 625.68| 98, 809, 344. 66 7, 556, 837.10 2,082,374.21 Due to State banks. Notes re-discounted. Bills payable 244, 575, 545.12 103, 012, 552.48: Due to national ba'ks 10,132, 799. 64 2, 567, 953.30 11,125, 236. 08 2, 985, 987. 60 17, 312, 806. 39 4, 888, 439.43, 16, 268, 247. 74 5,105,112. 57 2, 581,143,115.05 2, 629,- 314, 022.42 2, 637, 276,167. 72 2, 620.193, 475. 59 2, 624,186,330.55 18 8 8. FEBRUARY 14. APRIL 30. JUNE 30. OCTOBER 4. DECENBER 12. 3,077 b a n k s . 3,098 b a n k s . 3,120 b a n k s . 3,140 b a n k s . 3,150 b a n k s . Liabilities. Capital stock . $582,194, 263. 75 $585, 449, 487. 75 $588, 384, 018. 25 $592, 621, 656. 04 $593,848, 247. 29 Surplus fund Undivided p r o f i t s . . . 179,533, 475. 38 66, 606, 930. 87 180, 053, 507. 27 78,196, 768. 91 183,106,435. 70 70, 296,173. 67 185, 520, 564. 68 77, 434, 426. 23 187,292, 469. 97 88, 302, 639. 01 N a t ' l b a n k circulat'n S t a t e b a n k circulat'n 159, 750,193. 50 98, 652. 50 158, 897, 572. 00 94, 878. 50 155, 313, 353.50 82, 372. 50j 151, 702, 809. 50 82, 354. 50; 143, 549, 296. 50 82, 354.50 Dividends unpaid- - . 1, 534, 314. 51 1, 766, 496.41 7, 381, 894. 42 2, 378,275. 70 1, 267, 9C0.19 I n d i v i d u a l deposits. 1, 251, 957, 844.42 1,309,731,015.16 1, 292, 342, 471. 28 1, 350, 320, 861.111, 331, 265, 617. 08 55,193, 899.19 54, 691, 454. 69 54,679,643.93 52,140,562.97 46,707,010.38 U. S. deposits 4, 255, 362. 02 4, 789, 093. 63 3,690,652.65 3,993,900.51 4,415,608.41 D e p ' s U.S.dis.offic'rs 241, 038, 499. 93 237, 056, 940. 91 248, 248, 440. 03 260, 697, 968. 60 252, 291,134. £ D u e to national b a ' k s 105, 539, 405. 53 104, 502, 668. 21 109,871,372.41 114,936, 397.15 108, 001, 606.46 Due to State b a n k s . 12, 724, 238. 71 12, 866, 72185 13,096,119.551 17, 305, 750. 61 14, 844, 303.00 N o t e s re-discounted. 4, 469, 076. 04 3, 796, 739. 99 5,707,581.41 6,615,813.47! Bills payable 4,955,068.27; Total 2, 664, 366, 304.44 2, 732, 423,198.19 2, 731, 448, 016.16J2, 815, 751, 341. 07 2, 777, 575, 799. 00 1 8 89. FEBRUARY 26. Liabilities. MAY 13. JULY 12. 3,170 banks. 3.206 b a n k s . 3,239 banks. SEPTEMBER 30. 3,290 banks. $596, 569, 330. 70 $599, 472, 742. 88 $605, 851, 640. 50 $612, 584, 095. 00 Surplus fund Undivided profits 192, 458, 759. 90 76, 901, 041. 65 193, 746,109. 52 83, 956, 827. 81 196, 911, 605. 90 72, 532, 956. 94 197, 394, 760. 55 84,866, 869.13 National bank circulation . . State bank circulation 137, 216,136. 50 82, 347. 50 131,128,137.00 81,899.50 128, 867, 425. 00 81, 008. 50 128, 450, 600. 00 80, 410. 50 1,338,706.37 2, 007, 667. 72 3,517,596.07 3, 600, 054.96 1, 354,973, 535. 80 Individual deposits 43, 554, 480.27 U. S. deposits 4, 544, 501. 55 Deposits U. S. dis. officers . . 1, 422, 042,136. 92 42, 965, 811.22 4,136, 285. 33 1, 442,137, 979. 08 43,247,864,17 3, 451,189. 34 1, 475, 467, 560. 37 41, 588, 613. 71 4, 936, 644. 66 289,753,579.16 127, 751,135.48 286, 204, 670. 64 124,755,971.73 295, 841,107.17 131,383,466.80 293, 015,192. 8(5 132, 327, 094. 47 9, 249, 531. 33 3, 013,127. 72 10, 340, 502. 04 4, 083, G95.14 10,133,196.24 4, 019, 334. 53 16, 782,511.36 7,196, 238.34 2, 837, 406, 213.93 2, 904, 922, 517. 45 2, 937, 976, 370. 24 2, 998, 290, 645. 91 Capital stock Dividends unpaid Due to national banks Due to State banks Notes and bills re-discounted Bills payable Total. . A SUMMAKY OF THE STATE AND CONDITION OF THE NATIONAL BANKS DECEMBER 12, 1888, FEBRUARY 26, MAY 13, JULY 12, AND SEPTEMBER 30, 1889. Arranged by States, Territories, and Reserve Cities. NOTE.—The abstract of each State is exclusive of any reserve city therein. 251 252 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, MAINE. DECEMBER 12. Resources. FEBRUARY 26. 76 b a n k s . 76 banks. MAY 13. JULY 12. 76 b a n k s . 76 b a n k s . Loans and discounts. >20, 415. 414.11 $19,449,021.93 4, 661, 000.00 4, 873, 500. 00 Bonds for circulation. 170, 000. 00 Bonds for deposits... 170, 000. 00 300.00 U. S. bonds on hand.. 500. 00 898, 296, 34 Other stocks and b'.ds 936, 788.10 Due from res' ve ag'ts 2, 348, 325. 70 1, 697, 519. 29 Due from nat'l banks 583, 500. 39 395, 987.80 Due from State banks 2,124.48 19, 348. 80 Heal estate, etc 546,413.85 549,421.93 79,135. 09 42,286. 39 Current expenses 175, 847.14 159, 492. 04 Premiums paid 213, 262. 68 180, 304. 88 Cash items 115, 478. 29 90, 755. 63 Clear'g-house exch'gs 268, 965.00 327, 451. 00 Bills of other banks.. 3,611.31 Fractional currency. 4, 574.66 729, 553. 38 Specie 712, 746. 41 216, 238. 00 Legal-tender notes .. 249, 820. 00 U. S. cert's of deposit. 211,152.00 203,194.00 5 % fund with Treas. Due from U. S. Treas. 10,190.00 | 5,270.50 $19, 910, 692. 31 4, 523, 500. 00 170, 000. 00 300.00 879,137.62 2, 093, 433, 20 553, 484. 83 33, 819. 84 529, 905.17 62, 393.12 164,672.62 148, 029.18 106,216.51 320, 662. 00 4, 451.11 711, 126.95 204, 730. 00 $20,492,536.77 4,523, 500. 00 170,000. 00 300. 00 926, 999. 51 2, 309, 819.62 660, 616.11 28, 333. 00 549, 343. 26 16,104. 07 157, 357. 23 222, 025, 59 90,126.17 348,433. 00 5,138.86 717, 235.01 215,416.00 197, 807. 00 6, 460.00 197, 497.50 8, 380. 00 ~31, 288, 067. 35 i 30,447,803.77 30, 620, 821.46 31, 645,161. 70 Total. NEW SEPTEMBER 30. 77 b a n k s . $20/784, 050. 75" 4, 536, 000.00 170, 000. 00 300. 00 978, 617. 85 2, 441, 592. 73 670, 050.43 29, 502. 51 558, 548.35 48, 818. 09 160, 647. 44 262, 040.27 102, 774. 63 325, 928.00 4, 574.26 732,113. 02 253, 389. 00 193,920.00 9,410. 00 32, 262, 277. 33 HAMPSHIRE. 51 banks. 51 banks. 49 banks. 49 banks. 49 banks. Loans and discounts. $10,055,737 68 ~$9, 887, 081.16 $10, 067, 055. 77 $10,155, 900. 35 $10, 903, 368. 66 3, 360, 750.00 3, 285, 750. 00 3, 552, 000. 00 3, 552, 000. 00 Bonds for circulation. 3, 677, 000. 00 350, 000.00 350, 000.00 400, 000. 00 350,000.00 Bonds for deposits... 450, 000. 00 2, 950. 00 6, 500.00 100. 00 5, 450. 00 U. S. bonds on hand.. 100. 00 1, 780, 206. 99 1,811,050.84 Other stocks and b'ds 1, 938, 304.69 1, 897, 672. 32 1, 774, 658. 09 2,130, 647. 91 Due from res've ag'ts. 1, 259, 963. 25 1,613,533.55 1, 396,122. 73 1, 623, 409. 01 Due from nat'l banks. 402,154. 39 224, 677. 08 307, 032. 81 175, 916. 82 187, 007. 07 Due from State banks 211, 645. 01 48, 465. 84 91,171. 68 141, 850. 33 75, 548. 70 205, 914. 20 214,748.82 | 209, 471. 49 215,617.47 211, 376. 77 Real estate, etc 23, 677. 33 58,438.09 ! 51, 435.22 42,170. 24 49, 823. 80 Current expenses 175, 258.97 250,578.69 ! 181, 269. 08 215, 887. 08 197, 965.72 Premiums paid 183,143.62 i 167, 732. 87 161,594.55 187, 420. 06 128, 826.66 Cash items Clear' g-house exch'gs 214,541.00 239, 270. 00 226,151. 00 217,320.00 277, 218. 00 Bills of other banks.. 6, 571.13 6, 497.16 5, 674. 25 6, 659.17 7,139. 61 Fractional currency. 390, 295. 43 401,139.94 379, 363. 69 364,145. 87 364, 499. 81 Specie' 138, 688. 00 153,414. 00 183, 878. 00 156, 938. 00 139, 977. 00 Legal-tender notes .. TJ. S. cert's of deposit. 149, 544. 50 163, 870. 00 157, 925. 00 158, 405. 00 146, 803. 85 «> % fund with Treas. 6, 870. 91 3, 781. 40 6, 030. 00 3, 020. 00 3, 340. 00 D ue from U.S. Treas. Total 19,469,987.01 18,836,720.65 19,136,071.01 19,942,427.08 19, 928, 899.43 VERMONT. 49 banks. 49 banks. | 49 banks. 49 banks. .49 banks. Loans and discounts $12, 866,388.32 $12,730,455.15 $12, 818, 350. 54 $12,801, 577. 28 $13, 331, 481. 37 3,162, 500. 00 Bonds for circulation. 3,444,000.00 2, 967, 500. 00 2, 967, 500. 00 2, 967, 500. 00 388, 000.00 Bonds for deposits... 438,000.00 I 388, 000. 00 388, 000. 00 388, 000. 00 | 20, 700. 00 U. S. bonds on hand.. 23, 650. 00 45, 050. 00 26,400. 00 21, 400. 00 Other stocks and b'ds 855, 236. 77 900, 274. 67 i 784, 860. 94 852,198. 69 864,527.02 Due from res've ag'ts 1,191, 095. 26 I 1, 029, 563.28 1, 227, 892.12 1,616,605.29 1, 386,166. 35 Due from nat'l banks 147, 474. 01 189, 074.19 I 148, 361. 85 178,571.88 159, 257. 66 Due from State banks 59, 799. 55 68,913. 82 I 79, 571. 09 104, 781. 09 84,136. 82 Real estate, etc 259, 213.63 225, 289. 24 j 258, 276.11 255, 994. 74 254, 683.41 26,817. 42 Current expenses 66,918.63 I 55, 221.10 12,738. 47 36, 257. 37 171,131. 04 Premiums paid 182, 349. 88 172, 743. 06 159,018.63 158, 930. 32 65,391.61 Cash items 86, 410. 06 85, 661.59 69, 887. 87 71, 778. 71 Clear'g-house exch'gs 107, 316. 00 Bills of other banks.. 124,190. 00 107, 668. 00 113,481.00 107, 497.00 Fractional currency. 5, 896. 62 6, 270. 94 5, 389. 66 4, 446. 69 5,133.26 Specie .'.. 416, 872. 93 413, 033. 95 402, 343. 30 400, 520. 29 405, 233. 49 Legal-tender notes . . 164, 933.00 203,194.00 205, 522,00 233, 299. 00 203, 700. 00 TJ. S. cert's of deposit. 5 % fund with Treas. 143,220.00 ! 120, 737. 50 108, 657. 50 131, 542. 50 119,157.50 Due from U.S. Treas. 2,000.00 !1, 559. 20 1, 250. 00 Total 20,574,272.90 | 19,742,843.51"I" 19,874,708.06 20, 313, 397. 59 20, 546, 371.11 REPORT OF THE COMPTROLLER OF THE CURRENCY. 253 arranged by States and reserve cities. MAINE. DECEMBER 12. FEBRUARY 26. MAY 13. JULY 12. 76 b a n k s . 76 b a n k s . 76 b a n k s . 76 b a n k s . $10, 685, 000.00 $10, 650, 000. 00 $10, 655, 000. 00 $10, 660, 000. 00 $10, 811, 550. 00 Surplus fund Undivided profits 2, 558, 839.14 1,580,011.49 2, 622, 853.18 1, 333, 608. 08 2, 627,687. 95 1, 478, 347. 87 2, 658, 509.48 1,312,515.02 2, 665, 509. 48 1, 492, 882.17 Nat'1-bank circulation State-bank circulation 4, 295, 583. 00 4, 088, 233. 00 4, 014, 883.00 3, 995, 478.00 3, 977, 963. 00 Liabilities. Capital stock Dividends unpaid SEPTEMBER 30. 77 b a n k s . 39,181. 86 58, 326. 06 52, 589. 62 114, 918. 00 95, 640. 85 10, 810, 428. 29 90, 756.26 76, 973. 64 10, 599, 347. 50 78, 998. 35 81, 305.39 10, 530, 373. 34 80, 384.17 85, 825. 31 11, 533,148. 52 93, 808.94 73, 701. 78 11, 973, 544. 80 92, 982. 68 72,122.99 Due to national banks Due to State banks... 626, 213 22 130, 699. 60 423, 067. 23 190, 596.17 537, 982, 50 121, 612.17 548, 239. 06 103, 418. 60 488, 813.11 149,140. 91 Notes re-discounted.. Bills payable 116, 200. 00 278,180.85 88, 423. 74 233, 045. 07 184, 600. 00 251, 535. 53 240, 958.05 310, 466. 25 104, 595. 62 337, 531. 72 31, 288, 067. 35 30, 447, 803.77 30, 620, 821. 46 31, 645,161. 70 32,262, 277. 33 Individual deposits .. U. S. deposits Dep'ts U. S. dis. officers Total NEW HAMPSHIRE. 49 b a n k s . 49 b a n k s . $6, 205, 000. 00 $6, 205, 000. 00 $6, 205, 000. 00 $6, 317, 800. 00 $6, 325, 260. 00 Surplus fund Undivided profits 1, 495,114. 46 809, 338. 59 1, 536, 089.24 669, 368. 65 1, 537,189. 24 698, 822.11 1, 545, 632. 20 606, 318. 83 1, 539, 982. 20 714, 257. 35 Nat'1-bank circulation State-bank circulation 3,271,420.00 6, 829. 00 3,149, 945.00 6, 829. 00 3,162, 850. 00 6, 828. 00 2, 947,149. 00 6, 828. 00 2, 917, 500. 00 6, 828. 00 Capital stock 49 b a n k s . 51 b a n k s . 51 b a n k s . 20, 958. 62 23, 345. 49 35, 241.48 59, 418. 98 24, 480.4 L I n d i v i d u a l deposits . . U. S. deposits D e p ' t s U.S.dis.officers 6,205,341.97 406, 375. 75 81,954.25 5, 883, 628. 99 342, 314. 33 93, 960. 63 6,144, 561. 69 296, 471. 24 73, 922.47 7, 015, 622. 38 319, 080. 98 65, 321. 06 6, 907,185. 34 311,945.05 76, 992.15 D u e to national b a n k s D u e to State b a n k s . . . 706, 319. 72 251, 642.08 553,197. 87 334, 494. 86 642, 206. 55 304,167. 97 708, 033. 20 328, 002.11 757,401.67 318, 287. 00 Notes re-discounted.. Bills payable 9, 500. 00 192. 57 38, 546. 59 3, 643. 46 25,166.80 22, 309. 74 910.00 28, 542. 44 • 147. 82 19, 469, 987. 01 18, 836, 720. 65 19,136, 071. 01 19, 942~427~.~08 Dividends u n p a i d Total 19, 928, 899. 43 VERM ONT. 49 b a n k s . 49 b a n k s . 49 b a n k s . $7, 466, 000. 00 i$7, 466, 000. 00 $7, 466, 000. 00 $7, 46b', 0U0. 00 $7, 466, 000. 00 Surplus fund Undivided profits 1, 647, 026. 41 905,133, 91 1, 664, 005.19 714, 557. 25 1,604,005.19 901, 944.19 1, 691,177. 08 664, 600. 70 1,741,467.93 723,371. 70 Nat'1-bank circulation State-bank circulation 3, 070, 840. 00 3,434. 00 2,811,020.00 3, 434. 00 2, 645, 955. 00 3, 434. 00 2, 644, 865. 00 3, 434. 00 2,635,710,00 3, 434, 0i) Capital stock 49 b a n k s . 49 b a n k s . 8, 927. 08 13, 90C. 19 G, 130. 77 44,114.63 15, 229. 44 Individual d e p o s i t s . . U. S. deposits D e p ' t s U.S.dis.officerfc 6, 510, 965 57 466, 477. Co 10, 670. 61 6, 277, 532.82 410, 894.10 14, 851. 61 6, 367,187. 56 411,289.73 10, 823. 05 6,840,325.68 413, 288. 97 5, 653.18 7,111,542.28 406, 298. 89 21,890.18 D u e to national b a n k s D u e to State b a n k s . . . 303, C07. 81 67,181. 30 224, 922. 44 34, 587. 93 265, 424.16 45, 829. 70 342, 503. 93 91,176. 95 252,189.10 57, 631. 09 Notes re-discounted.. Bills payable 89, 009.19 25, 000. 00 96, 231. 98 10, 000. 00 85,784.71 106, 457.47 83,673.34 27, 933. 36 20, 574, 272. 96 19, 742, 843. 51 19, 874, 708. 06 20, 313, 397. 59 20,546,371.11 Dividends unpaid Total 254 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, arranged MASSACHUSETTS. DECEMBER 12. Resources. Loans and discounts. Bonds for circulation. Bonds for deposits... U. S. bonds on hand.. Other stocks and b'ds Due from res've ag'ts Due from nat'l banks Due from State banks Real estate, etc Current expenses Premiums paid Cash items Clear'g-house exch'gs Bills of other banks.. Fractional currency. Specie Legal-tender notes .. U. S. cert's of deposit. 5 % fund with Treas. Due from U. S. Treas. Total FEBRUARY 26. MAY 13. JULY 12. SEPTEMBER 30. 198 b a n k s . 198 b a n k s . 200 b a n k s . 201 b a n k s . 201 b a n k s . $94, 996, 655. 44 20,678, 650. 00 1, 475, 000. 00 94, 850. 00 4, 932, 491. 41 8, 384, 479.67 935, 081. 30 100, 711. 45 2, 381, 434.87 542, 705. 50 839, 966. 66 751,294. 28 83, 947.13 1, 222, 033. 00 36, 561. 54 2,912,946.15 1, 519, 044.00 190, 000.00 916,968.75 29, 203.10 $95,184,519.31 19, 696,150.00 1, 475, 000. 00 93, 450. 00 4, 969, 076.27 10, 386, 365.40 892, 553. 24 179, 238. 36 2,453, 975. 74 496, 865. 79 837, 899. 51 590, 451.43 44, 264. 64 1,180, 535.00 47, 537. 66 2, 825,123. 83 1, 391,145. 00 200, 000. 00 866,196. 25 72, 720. 60 $98, 223, 794. 06 $101,116, 889.33 $101,826,338.55 17,350,150.00 17, 212, 650. 00 16, 812, 650. 00 1,475,000.00 1,475, 000. 00 1, 475, 000.00 92, 800. 00 93, 800.00 114, 950. 00 5, 010,133. 76 5, 221, 055. 92 5, 021, 288. 84 11, 964, 044.44 10, 082, 227. 82 10, 851, 240. 21 1,131,810.92 1, 205, 547. 35 1, 330, 050. 89 138, 632.83 138,118. 80 120,463.33 2, 565, 054.44 2, 612, 216. 23 2, 694,141. 53 230, 459. 02 258, 819.24 . 276,637.78 764, 427. 63 762,468. 84 732, 973.16 716, 155. 62 814, 810. 00 808, 798. 83 72, 568.79 53, 433. 76 69, 376.70 1,128, 294. 00 1, 440, 607. 00 1,180,252.00 41,104.95 40, 302. 60 40, 845.92 3, 050, 170. 96 3,216,308.88 3, 246, 531. 49 1,539, 834. 00 1, 689, 602. 00 1, 696, 542. 00 210, 000. 00 210, 000. 00 220, 000. 00 774, 550. 75 768, 813. 25 753, 403. 75 18, 947.40 27, 990.00 30, 290. 00 143,024, 024.25 143, 883, 068. 03 146, 497, 933. 57 CITY 55 b a n k s . 149, 301, 774. 98 55 b a n k s . 55 b a n k s . OF BOSTON. 55 b a n k s . Loans and discounts. $136, 834,144.47 4, 605, 000. 00 Bonds for circulation Bonds for deposits... 3, 505, 000. 00 152, 350. 00 U. S. bonds on hand.. Other stocks and b'ds 3, 664, 035.11 Due from res've a,g'ts 15, 871,446. 28 Due from nat'l banks. 13, 001, 246.18 451, 261.16 Due from State banks 2, 633, 469.23 Eeal estate, etc 703, 374.19 Current expenses 644, 282.42 Premiums paid 281, 788.10 Cash items Clear'g-house exch'gs 7, 384, 212. 53 Bills of other banks.. 1. 443, 247. 00 14, 788. 76 Fractional currency 9,985,841.11 Specie Legal-tender notes .. 3, 860, 398. 00 435, 000. 00 IT S. cert's of deposit. 207, 225. 00 4% fund with Treas . 102, 582.25 Due fromU. S. Treas 205, 780, 691.79 Total 148, 440, 661. 02 55 b a n k s . $143, 491, 474.98 $143, 905, 063. 79 $147, 778, 935. 60 $147,122, 258.11 3, 445, 000. 00 2,885, 000.00 2, 885, 000. 00 2, 885, 000. 00 3, 205, 000. 00 2, 755, 000. 00 2, 605, 000. 00 2, 605, 000. 00 47, 950. 00 45, 000.00 178,150.00 20, 250. 00 3, 588, 902.15 3, 626, 554.49 3, 700, 367. 78 4,170,101.27 20, 712, 301. 34 26,271,245.20 22, 787, 805. 97 21, 688, 496. 59 9, 908, 335. 33 .12, 008, 527. 25 10, 958, 750. 63 13, 263, 523.08 141,568. 54 777,199. 30 490, 886.28 348,015.29 2, 583, 345. 70 2, 600, 700. 90 2, 597, 364.12 2, 597, 807. 96 1, 090, 085.12 221, 869. 51 546, 768. 50 81,118.32 679, 461.66 618,966.26 608, 892. 90 559, 567. 45 229, 033. 98 236,151. 35 365, 773. 72 480, 595.00 9, 894,146.58 9, 083,142. 58 12, 263, 250. 95 10, 623, 218. 20 1, 096, 951. 00 1, 047, 541. 00 1, 518, 887. 00 973,172. 00 19, 493.53 17, 861. 25 15, 067. 65 13,991.33 9,310,944.14 11, 936, 861. 08 12, 298,161. 25 10, 704, 428. 54 3, 900, 900. 00 3, 628, 803. 00 4, 515, 317. 00 4, 360, 485. 00 975, 000. 00 285, 000. 00 185, 000.00 215, 000. 00 155, 025. 00 129, 825. 00 129, 825. 00 129, 825. 00 32,352. 50 53, 000. 00 88, 559. 55 44, 650. 00 214, 507, 271. 55 222,133, 311. 96 226, 517, 763. 90 222, 886, 503.14 RHODE ISLAND. 1 60 banks. Loans and discounts. ,,$36,124, 919. 22 Bonds for circulation. 4, 058, 900. 00 150, 000.00 Bonds for deposits... 45, 050. 00 TJ. S. bonds on hand.. Other stocks and b'ds 1,590,918.69 Due from res've ag'ts. 2, 395,158. 52 Due from nat'l banks. 1,018,109.33 170, 536.34 Due from State banks 712,790. 57 Real estate, etc 119, 757. 54 Current expenses 235, 939. 22 Premiums paid 130, 553.64 Cash items 301,091.61 Clear'g-house exch'gs 354, 520.00 Bills of other banks.. 10, 846. 30 Fractional currency. 692, 849. 48 Specie 638, 584. 00 Legal-tender notes .. TJ. S. cert's of deposit. 5% fund with Treas. 181, 348. 00 Due from TJ. S. Treas. 9,020.00 48, 940,892. 46 Total 60 b a n k s . 60 b a n k s . 60 b a n k s . 60 b a n k s . $35, 885, 331. 85 4, 008, 900. 00 150, 000. 00 45, 050. 00 1,519,705.26 2, 372, 486.20 839, 834. 81 82, 051.46 732, 673. 26 83, 827.99 216, 239. 22 122, 353. 96 272,949.16 320, 646. 00 14, 273. 32 724, 276. 05 614, 085.00 $35, 773, 568. 76 3,861,400.00 150, 000. 00 30, 050. 00 1, 593, 447. 48 2, 686. 057. 97 769,857. 75 56, 952.82 738, 246. 33 105, 397.23 247, 932. 55 98, 835. 23 473, 340. 04 335,133. 00 12, 262.19 696, 111. 70 627, 612. 00 $36, 300, 277. 47 3, 861,400.00 150,000.00 30, 050. 00 1, 689, 267. 56 2,917,003.44 1,001,145.46 ,48,061.05 719, 043. 08 58, 912.39 245,671.21 197, 636.12 426, 814. 03 397, 368. 00 11,391.81 731, 635. 76 673, 768. 00 $36,009,125. 65 3, 861, 400. 00 150, 000. 00 30, 050.00 1, 645, 792. 56 3,142, 955. 76 956, 477. 53 49, 499. 63 739, 208. 42 97,118. 28 242, 771. 21 93, 960.92 397, 812.10 334,761. 00 10,497. 83 700,113. 96 706, 917. 00 177, 275.50 11, 282. 50 i73, 718.66 20, 732. 50 173, 088.00 12, 573. 00 173, 718. 00 23, 052. 25 48,193, 241. 54 48,450, 655. 55 49, 645,106.18 49, 365, 232.10 REPORT OF THE COMPTROLLER OF THE CURRENCY. 2 5 5 by States and reserve cities—Continued. MASSACHUSETTS. DECEMBER 12. FEBRUARY 26. MAY 13. 198 b a n k s . 198 b a n k s . 200 b a n k s . 201 b a n k s . $45,140, 500. 00 $45, 067, 500. 00 $44, 987, 790. 00 $45, 049, 430. 00 $45,067, 500. 00 Surplus fund Undivided profits 14,425, 505. 59 5,312,195,08 14,478, 668. 30 5, 702, 087. 98 14, 566, 343.60 5,163, 075. 83 14, 571, 525. 90 5, 537, 831. 40 14, 550, 788. 52 4, 908, 293.77 Nat'1-bank circulation State-bank circulation 18, 407,364.00 17, 431, 055. 00 15, 457, 554. 00 15, 328, 652. 00 15, 022, 271. 00 Liabilities. Capital stock JULY 12. SEPTEMBER 30. 201 b a n k s . 116, 752.40 94,469.12 162, 261.19 203, 549. 95 771, 978. 28 Individual deposits.. X . S. deposits T Dep'ts U. S.dis. officers 55, 518, 416. 84 1, 597, 258. 65 3, 380.77 56, 999, 842. 07 1, 595, 259. 61 5,995. 06 62, 058, 620. 37 1,597,061.45 2, 093. 28 62, 792, 301. 03 1, 599, 985. 38 1,176. 97 64, 743, 043. 37 1, 594, 909.19 2, 085.57 Due to national banks Due to State banks . . 2,162, 225. 95 217, 318. 65 2, 038,869. 01 260, 966. 36 1,867, 550.97 412, 252. 98 2, 708, 786.30 299,472. 99 2, 032, 303. 77 376, 947. 02 Notes re-discounted.. Bills pay able 83,106. 32 40, 000. 00 198, 355. 52 10, 000. 00 213, 329. 90 10, 000. 00 296, 524. 66 51, 424. 44 183, 341. 29 48, 313. 20 143, 024, 024. 25 143, 883, 068.03 146, 497, 933. 57 148, 440, 661.02 149, 301, 774. 98 Dividends unpaid Total CITY 55 banks. Capital stock Surplus fund Undivided profits Nat'1-bank circulation State-bank circulation $51, 400, 000.00 OF BOSTON. 55 banks. 55 banks. | 55 banks. 55 banks. $51,400,000.00 ! $51,400,000.00 \ $51,800,000.00 $51,800, 000. 00 13, 643, 523. 51 5, 081, 424. 33 13,643,623.51 13,725,337.55 13, 744, 970.24 6, 605, 550. 33 ! 4, 843, 218. 21 5, 845, 267.31 13, 678, 485.21 4,197, 755. 87 4,108, 340. 00 2, 586, 535. 00 2, 580, 530. 00 42, 546. 29 Dividends unpaid 30,128.29 64, 818. 79 40, 348. 29 1,131, 351. 29 Individual deposits-.. U. S. deposits Dep'ts U. S.dis. officers 87,814,493.10 3, 699, 069. 57 54, 278.18 91, 291, 046. 57 100, 286, 309.83 102, 933, 985. 06 3, 381, 243.61 2,661,014.61 2, 739, 548. 26 51, 274. 34 272, 563. 66 49, 849. 08 99, 755, 264. 63 2, 675, 407. 84 83, 984.20 Due to national banks Due to State b a n k s . . . 28, 876, 459. 84 10, 781, 556. 97 31, 895, 941. 44 13,137, 503. 40 32, 956, 212.11 13, 336, 757. 20 33, 340, 951. 54 12, 999, 772. 56 Notes re-discounted.. Bills payable 279, 000.00 4, 000.00 32, 015, 493. 31 14, 757, 355. 77 3, 000. 00 "i, 411." 58*1 643," 666." 66 I Total . 205, 780, 691. 79 214, 507, 271. 55 ] 222,133, 311. 96 j 226, 517, 763. 90 I 222, 886, 503.14 RHODE I S L A N D . Capital stock . 60 b a n k s . j 60 b a n k s . j 60 banks. 60 banks. 60 banks. $20, 284, 050. 00 $20, 284, 050. 00 $20,284,050.00 ; $20,284,050.00 j $20, 284, O5o7o6 Surplus fund Undivided profits 4, 341,110. 81 2, 317, 590.45 4, 342, 459. 80 2,141, 294. 04 4, 389,131. 69 2,162,179. 80 4, 408, 363. 66 1, 946, 724. 38 4,417, 989. 51 2, 042,104. 32 Kat'1-bank circulation State-bank circulation 3,606,102. 00 885. 00 3, 545, 802. 00 881. 00 3,438, 217.00 881. 00 3, 423, 267. 00 3, 424, 972. 00 66, 089. 90 Dividends unpaid 77, 764.16 Individual deposits .. U. S. deposits Dep'ts U.S.dis.officers 15, 255, 222. 64 92, 970.28 56, 877. 32 14, 946, 672. 70 55, 594. 25 96, 979. 27 Due to national banks Due to State b a n k s . . . 1, 892,125. 61 1, 001, 352. 44 1, 750, 202. 31 951, 542. 01 Notes re-discounted.. Bills payable 1, 516. 01 25, 000. 00 91,791.21 176, 525. 80 219, 400. 20 15, 276,140. 77 109, 844.98 46, 733. 99 15,867, 362. 31 86, 776. 87 59, 202. 46 16, 036, 833. 21 83,408.12 73, 276.45 j Total 48,940,892.46 1,278,537.38 i 1,348,147.73 1, 999, 463.15 1, 388, 370. 55. 1, 574, 208.47 1, 208, 989. 82 25, 000. 00 48,193,241.54 48,450,655.55 49,645,106.18 49,365,232.10 256 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, arranged CONNECTICUT. DECEMBE1112. FEHUUAllY 26. MAY 13. JULY 12. SEPTEMBER 30. 84 b a n k s . 85 banks. 84 b a n k s . 84 b a n k s . 84 b a n k s . $45, 520, 056.19 7,720,400.00 2, 255, 000. 00 158,150.00 3, 991, 507.19 6, 261, 239. 61 2, 333,154. 81 232,716.64 1, 687, 015. 26 127,196. 07 677, 608. 40 257, 452. 92 268, 773. 80 573,110.00 20, 075.43 1,848,671.07 883, 741. 00 $45, 265, 558. 70 7,425.400. 00 2, 255, 000. 00 100,950. 00 4, 044. 6.11. 54 7,814,411.58 2, 783, 691.49 297, 521. 04 1, 089, 593. 40 235, 283.17 636, 749. 65 383, 283. 07 270,167. 67 671, 441. 00 19, 830. 23 1, 972, 573. 42 987, 952, 00 346,291 50 14, 026. 02 334,137. 75 17, 530. 00 326, 070. 50 22, 328.42 321, 060. 35 50, 920. 00 75,176, 245.91 77, 205, 685. 71 78, 564, 855.09 77, 072, 436.80 265 b a n k s . 267 b a n k s . Loans and discounts $44,811,820.47 8,447,900.00 Bonds for circulation. 2,405, 000. 00 Bonds for deposits . . 53,150.00 U. S. bonds on hand.. 3,824,373.85 Other stocks and b'ds 5, 771, 200. 30 Due f rom(res' ve ag'1 s. 2, 608, 044. 86 Due from nat'lbanks. 239, 661. 73 Due from State banks 1, 702, 076. 91 Real estate, etc 270, 683. 71 Current expenses 705, 821. 81 Premiums paid 299, 758. 42 Cash items 244, 003. 77 Clear'g-house exch'gs 640, 82(3. 00 Bills of other banks.. 18,110. 71 Fractional currency. 1, 860, 939. 79 Specie 890, 211.00 Le sal-tender notes . . U. S. cert's of deposit. 361, 803. 37 5 96 fund with Treas. 39,090.50 Due from IT. S. Treas. 75,175, 077.19 Total $46, 435, 458. 60 $46, 439,147. 07 7, 245, 800. 00 7,155,800.00 2, 255, 000. 00 2, 255, 000. 00 102, 200. 00 80, 400. 00 4, 040, 907. 03 4,125,430.11 «, 010, 667. 90 6, 257, 716. 52 2, 732, 411.28 3,419,618.94 369, 219. 35 322,133. 48 1, 706, 483. 62 1, 703, 990. 69 130,497.41 187, 559. 08 618,158. 56 586, 551.10 399, 747.14 398, 236. 61 237, 006. 72 449, 721. 76 795, 212. 00 487, 501. 00 20, 440.16 19, 732.35 2 034 623 40 1 931 097 74 1, 082, 623. 00 880, 820. 00 NEW YORK . 269 banks. | 266 banks. 267 banks. Loans and discounts $101, 749,360. 40 $100, 829, 759. 09 $101,849,268.91 $102, 216, 257.93 $104, 584, 847. 52 17, 065, 600. 00 16, 329, 950. 00 Bonds for circulation. 17, 577, 600. 00 16, 229, 950. 00 16,151, 950. 00 2, 327, 000. 00 2, 027, 000. 00 Bonds for deposits... 1, 800, 000. 00 1, 800, 000. 00 1, 800, 000. 00 600, 300. 00 644, 800. 00 U. S. bonds on hand.. 597, 900. 00 554, 800. 00 544, 550.00 Other stocks and b'ds 9, 239, 445.48 8, 562, 660. 79 8,881,545.70 8, 935, 642. 67 9, 083, 370.22 16,361,012.87 Due from res've ag'ts I 14, 964, 013 28 16,101, 294. 72 16,188, 893.28 15, 424, 823. 57 2, 728, 366.13 3, 275, 567. 96 Due from nat'l banks, j 3, 719, 235. 83 3, 285, 533. 22 3,166, 964. 98 825, 663. 39 758, 893.31 856, 460. 10 Due from State banks' 865, 443. 38 896, 155.43 3, 428, 661. 70 4,101,326.74 4, 050,103. 87 Heal estate, etc 3, 986, 531. 86 3, 967, 922. 07 718,219.16 376, 855. 72 600, 423. 28 Current expenses 162, 919.35 464, 024. 33 1,195, 733. 77 1,173, 678. *6 1,184, 903. 74 Premiums paid 1,146, 210.16 1,190, 055. 39 1, 597, 766. 04 1, 303, 348. 20 1, 954, 388. 04 Cash items 1, 667, 940.85 1, 746, 995. 27 55, 960. 02 35, 845. 42 Clear'g-house exch'gs57, 646. 99 36,478.25 69, 186. 29 1, 265, 066. 00 1,231,852.00 Bill s of other b a n k s . . 1, 279, 307. 00 1,437,513.00 1, 039, 868. 00 43,139.47 Fractional currency. 54, 073. 37 53, 408. 81 53, 668. 61 51, 152. 20 5, 534, 420. 88 5, 523, 812. 05 Specie 5, 202, 793. 90 5, 374, 441. 53 5,153, 357. 34 3,125, 757. 00 Legal-tender notes . . 3, 385, 571. 00 3,443,081.00 3, 603, 864. 00 2, 909, 382.00 300, 000. 00 U. S. cert's of deposit 565, 000. 00 425, 000. 00 205, 000. 00 220, 000.00 778, 752. 67 5 96 fund with Treas. 756,010.45 727,341.25 719, 569.75 718,981.25 36, 724.19 Due from U. S. Treas. 22, 0G7. 74 37,130. 09 26, 577. 24 37, 656.14 Total | 109,127, 319. 88 167, 523, 933. 74 NEW 46 banks. 168, 933, 259. 90 YORK 45 banks. 168,270, 901. 98 169, 221, 830. 50 45 b a n k s . 45 b a n k s . CITY. 45 banks. Loans and discounts $284, 369, 363. 50 $306, 779,150. 40 !$306.186, 810.10 $309, 839, 925. 83 $304, 248, 791.42 Bonds for eire illation 6, 020, 000. 00 5, 515, 000. 00 I 5, 065, 000. 00 5, 065, 000. 00 5, 065, 000. 00 Bonds for d e p o s i t s . . . 6, 490, 000. 00 6,140,000.00 6,140, 000.00 6, 290, 000. 00 5, 840, 000. 00 U. S. bonds on h a n d . . j 1, 882, 000. 00 1, 613, 850. 00 1,640,350.00 1,946,550.00 256,100.00 Other stocks and b'ds! 19, 634, 360.13 20, 595, 872. 93 21, 289, 720. 33 21, 096, 367.10 21, 049, 743. 87 Due from res've a g ' t s . ' Due from nat'l b a n k s , j 26,919,416.94 : 20, 689, 830. 07 24, 553, 524. 08 24, 487, 000. 50 27, 391, 330. 26 Duo from State banksi 3,203,803.34 : 2, 826, 054, 29 3, 853, 098. 01 3, 498, 777.17 3, 547, 844. 84 Heal estate, etc 10,351,915.41 i 10, 442, 321.57 10, 519, 933. 40 10, 587, 363. 71 11,211, 427. 35 Current expenses 1,894,683.77 599, 923. 81 1, 068, 621.14 L75, 968.74 849, 215. 75 Premiums paid j 1,557,506.40 ! 1, 551, 639. 97 1,605, 296. 41 1, 697, 346. 91 1,159, 593. 54 Cash items i 2,259,832.07 ! 1, 943, 438.83 | 2, 806, 410.81 2, 563, 603. 95 3, 379, 076. 73 Clear'g-house exch'gs^ 62,291,032.70 i 53, 624, 192.29 ! 70, 471, 904.85 66, 758, 889. 20 99, 338, 482. 76 Bills of other b a n k s . . 1, 640, 621. 00 ! 3,130, 186. 00 1, 793, 821. 00 i 1, 676, 451. 00 1.185, 299. 00 Fractional c u r r e n c y . 56, 345. 98 55, 032.18 i 48, 470. 91 43, 826. 76 41, 919. 02 540. 54 Specie 70,333,275.62 | 76, 469, 730. 99 61, 817, 825. 29 59, 087, 892. 52 71, 495, Legal-tender notes . . 20,143,770.00 • 21, 774, 599. 00 26, 328, 036 00 18, 209, 227. 00 25, 949, 046. 00 U. S. cert's of deposit. 4, 430, 000. 00 ' 6, 130, 000. 00 8, 930, 000. 00 7, 360, 000. 00 6, 080, 000. 00 5 % fund with T r e a s . 234, 675.00 257,150.00 ! 213,825.00 214, 425.00 213, 625. 00 122.63 970. 53 Due from U. S. T r e a s . 338, 455,346.81 i 544, 493, 30 289, 468. 43 379, Total | 524, 342, 374.99 | 540, 965, 968. 76 562, 491, 022. 88 553,565~900~61 569, 726, 745. 23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 257 by States and reserve cities—Contiuued. CONNECTICUT. DECEMBER 12. j FEBRUARY 26. I Liabilities. 84 banks. i | $ 24 > 194 - 370.00 Capital stock..". M A Y 13. 7,533,887.50 ' 4, 764.00 6, 918, 302.25 1, 804, 839. 72 6, 820, 627. 50 4, 764.00 JULY 12. 84 banks. $24, 024,370.00 SEPTEMBER 30. 84 banks. $23, 924, 370. 00 6, 917, 703.09 2,284, 873.27 6, 867, 079.83 1, 760, 605.02 6, 871, 379.83 2,190, 547. 56 6, 616, 417.50 4, 317. 00 6, 433,122. 50 4, 317. 00 6, 397,152.50 4, 317. 00 84 banks. $24, 234, 370.00 | $24,019, 370.00 6,918,516.58 2,287,902.45 j Surplus fund , Undivided profits j Nat'1-bank circulation State-bank circulation 85 banks. 35, 782. 84 81,158.67 37,494. 95 114, 657.00 59, 607. 90 Individual deposits.. U. S. deposits Dep'ts U.S.dis. officers 27, 384, 228. 88 2, 449, 501. 53 12,241.39 29, 370, 034. 74 2, 297, 297. 20 16, 877. 00 30, 935, 217.12 2, 298, 954.12 13,265. 00 32,360,521.83 2, 304, 247. 77 7,450.14 29,913,712.15 2, 295, 703. 38 16,175.59 Due to national banks Due to State b a n k s . . . 3, 483, 704.36 663, 954.62 2,860,722.08 i 577,514.76 \ 3,252,061.15 \ 731,889.09 j 3, 688, 962.29 981, 352. 74 4,254,686.25 1, 053, 089.72 Notes re-discounted.. Bills payable 186, 223. 04 20, 000. 00 109,737.99 ! 80,000.00 ! 46,123.42 ! 48,000.00 j 18,168. 97 91, 694.92 78, 77,205,685.71 I 7) 564, 855. 09 77, 072, 436. 80 Dividends unpaid Total i 75,175,077.19 75,176,245.91 NEW YORK. I 269 banks. ! Capital stock.. $34, 887, 760.00 ; 267 banks. 266 banks. $34, 646, 060. 00 $34, 446, 060.00 • 10, 766, 099.98 ; 10, 945, 631.02 j 7,710,418.56 ; 6, 510, 534. 07 Nat'1-bank circulation' 15,676,378.50 ! 15,125, 653. 50 24,191.00 : 24,190.00 State-bank circulation j Surplus fund Undivided profits Dividends unpaid j 69, 974.15 265 banks. 267 banks. $34,329,060.00 j $34,531,060.00 10, 886, 832.46 | 11,056,818.75 ! 7, 530, 736. 81 6,557,680.72 | 11,251,418.75 7,253,644.41 14, 531, 255. 00 | 14,368,915.00 24,190.00 j 24,190.00 14, 312, 380.00 24,190.00 196,273.68 72, 906.19 92,385, 443. 70 92,641,454.42 : 92,399, 443.96 2, 077, 256. 58 1,850,310.71 i 1, 827, 435.64 69,847.75 j 128,452.19 J 121, 787. 72 60, 737. 72 92, 995, 774.82 1, 740, 302.32 220, 866.34 62,782.30 | Individual deposits . . U. S. deposits Dep'ts U.S.dis.officers 90, 938,128.66 2, 343, 724. 46 114, 852.61 Due to national banks Due to State banks... 4, 483, 970.42 1, 339, 001. 71 3, 539, 243.08 I 1,634,749.70 | 4, 340, 672.19 1, 546, 351.46 4, 837, 901.18 1,595,928.43 4, 612, 824. 02 1,498, 884.01 Notes re-discounted.. Bills payable 662, 326. 83 119, 729.43 426,942.09 ! 68,408.10 ! 849, 628.38 94, 534.04 749, 272.42 206,194.48 630, 600.39 76, 979. 25 Total 169,127,319. 167,523,933.74 j 168,933,259.96 168,270,901.98 I 169,221,830.50 N E W YOR K CITY. 46 banks. Capital stock ! 45 banks. $49,100, 000. 00 $48,850, 000.00 Surplus fund Undivided profits 45 banks. 45 banks. 45 banks. $48,850, 000. 00 $48,850, 000.00 $48, 850,000.00 31,689, 363. 26 13, 772,775. 39 32, 854,906. 97 13, 520,182. 05 33, 052, 906.97 11, 967, 798. 86 33,094,329.28 13, 932, 772.21 4, 989, 670.00 24,360. 00 Nat'1-bank circulation State-bank circulation 32,771,906.97 11, 766, 502.31 4,448, 430.00 24, 358. 00 4,151, 810. 00 24, 358.00 4, 043, 640. 00 24,348. 00 4, 090,540. 00 24, 348. 00 Dividends unpaid 126, 611.04 140,127.69 151,263.82 371, 569.45 203, 536.69 Individual deposits.. 257, 972, 557.89 U. S. deposits 6,565,911.55 Dept's U.S.dis.officers 256,254.64 246, 095, 253.26 6,198, 236.99 238, 525.71 272, 098, 702.18 6, 205, 554. 60 236,936. 04 261, 460, 362.42 6,199,961.27 157, 627.58 284, 647, 681.19 5, 972, 297.70 274, 806.26 Due to national banks 119, 382, 207. 52 Due to State banks... 40, 462, 663.70 142, 898, 227.87 47,489, 399. 96 137, 601, 502.60 46, 745,806.62 139,484, 698.71 47, 952, 987.35 132,816,647.51 45,694,786.39 45, 000.00 50, 000. 00 540,965, 968.76 562, 491, 022. 88 Notes re-discounted.. Bills payable Total 524, 342, 374.99 9460 CUR 17* 12*5,666.00 553, 565, 900.61 569,726,745.23 258 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, arranged C I T Y OF A L B A N Y . Eesources. Loans and discounts. Bonds for circulation. Bonds for deposits... TJ. S. bonds on hand.. Other stocks an&b'ds Due from res've ag'ts. Due from nat'l banks. Due from State banks Real estate, etc Current expenses Premiums paid Cash items Clear'g-house exch'gs Bills of other banks.. Fractional currency. Specie Legal-tender notes .. TT. S. cert's of deposit 5 % fund with Treas. DuefromTJ.S. Treas. Total FEBRUARY 26. MAY 13. JULY 12. 6 banks. 6 banks. 6 banks. 6 banks. $8,505,420.91 948, 000. 00 100,000. 00 $8, 778, 680. 25 898, 000. 00 100, 000. 00 335, 064.44 1,518,465.77 882,619.41 50, 839.90 407, 953. 38 $8,818, 818. 24 648, 000.00 200, 000. 00 100, 000. 00 402, 046. 92 1, 652, 098.71 980, 302.10 148, 234.16 402, 950.07 $8, 760, 832.02 598, 000.00 200,000. 00 343, 464. 52 2, 058, 806. 21 986,064. 88 71, 218.28 368, 062. 62 $8, 641, 717.33 648,000.00 200, 000. 00 100, 000. 00 381,722.48 2, 069, 387.90 1, 081, 553. 64 166, 772.39 403, 002.13 870. 00 244.31 979. 20 038. 00 740.09 927, 099. 25 216, 557. 00 150, 000. 00 40, 407. 50 2, 847. 71 114, 870.00 97,615.84 125, 314. 21 86, 233. 00 708. 25 890, 677.72 200,144.00 160, 000.00 40, 410. 00 8, 282.50 121, 250.63 105, 725. 81 154, 710. 62 106,313.00 585. 74 869,121.02 233, 298.00 170, 000.00 29,160.00 4, 660. C O 120,188.13 42, 020. 94 108, 297.19 101, 027. 00 862. 86 849,731.95 291, 350. 00 170, 000. 00 28, 540.00 2, 000.00 120,188.13 42,178. 35 697, 655. 78 66, 436.00 690. 88 824, 036. 70 227, 313. 00 250, 000.00 26, 760. 00 15, 081, 820.48 14, 695, 878.67 15, 486, 980. 69 15, 066, 468.27 15, 676, 946. 03 DECEMBER 12. 100, 43, 128, 90, NEW 86 banks. 74,751,214.94 6 banks. 284, 784. 99 1, 991, 316. 54 973,155. 40 188, 068. 30 425, 529.94 JERSEY. 86 b a n k s . Loans and discounts - $43, 867, 505.71 $43, 329, 671. 23 6, 540, 750. 00 6, 206, 750. 00 Bonds for circulation. 1, 850, 000. 00 920, 000. 00 Bonds for d e p o s i t s . . . 9, 250. 00 5, 350. 00 TJ. S. bonds on h a n d . . 4, 787, 910.15 Other stocks and b'cls 4,664, 089. 89 D u e from res've ag'ts 8,104, 908.20 7, 349, 835.24 D u e from n a t ' l b a n k s 1,618, 035.36 1,787,401.77 D u e from State banks 260,147. 99 252, 079. 90 1, 888, 964. 35 1, 985, 617. 89 Real estate, etc 326, 427. 69 179, 251.86 C u r r e n t expenses 541,442.12 549, 794. 64 P r e m i u m s paid 848, 549. 64 1,003, 54.7.13 Cash items Clear'g-house exch'gs I. 425, 168.00 445, 057.00 Bills of other banks . j 26, 065. 64 28, 923. 97 Fractional c u r r e n c y ! 1, 796, 669. 05 1, 797, 445. 95 Specie 2, 130, 810. 00 2, 202, 280. 00 Legal-tender notes - . 10, 000. 00 10, 000. 00 TJ. S. cert's of deposit. 289, 187. 59 271, 982. 25 5 % fund with T r e a s . 15,130. 00 16, 480.00 D u e from TJ. S. T r e a s . Total SEPTEMBER 30. 73,591,271.27 j 87 b a n k s . $43,364,141.48 5, 759, 250. 00 920, 000.00 18, 900.00 4, 774, 590. 61 7, 292,166. 77 2,309,216.27 287,611.01 2, 069, 156. 06 247, 350. 73 555, 142. 91 997,102. 66 472, 223.00 24, 566. 98 1, 839,172. 77 2,123, 974. 00 10, 000. 00 255,172. 25 17, 070. 00 88 b a n k s . 89 b a n k s . $13, 983, 234. 86 $45,112, 524. 27 4, 940, 500. 00 5, 359, 750. 00 970, 000. 00 970, 000. 00 17,400.00 19, 750. 00 4,978,411.24 5, 577, 671. 95 8,118, 807. 58 8,107, 770. 56 2, 022, 221.97 2, 023, 478. 35 356, 835. 35 377, 443. 69 2, 214, 200. 38 2, 082, 346.41 222, 388. 26 107, 491. 21 605, 361. 45 60d, 390. 25 1, 072, 577.00 971,120.37 484, 929. 00 25, 058.48 1, 984, G05. 74 2, 359, 543. 00 10, 000. 00 233,143.25 21,910.00 426, 880. 00 30, 966. 91 834,176. 77 979, 133.00 10, 000. 00 217, 489.50 7,160. 00 73,336,807.50 ! 74,704,026.41 j 75,738,644.39 PENNSYLVANIA. 248 banks. Loans and discounts. Bonds for circulation Bonds for deposits .. U. S. bonds on hand.. Other stocks and b'ds Due from res've ag'ts Due from nat'lbanks. Due from State banks Real estate, etc Current expenses Premiums paid Cash items Clear'g-house exch'gs Bills of other banks.. Fractional currency. Specie Legal-tender notes .. TJ. S. cert's of deposit. 5 % fund with Treas. Due from U. S. Treas. Total 250 banks. 254 b a n k s . 255 b a n k s . $84, 897, 807. 02 $84, 690, 788. 04 $80,530,938.91 $86, 760, 460. 99 13,416,300.00 13,127, 050. 00 12, 322, 800. 00 12, 397, 800. 00 830, 000. 00 730, 000. 00 730, 000. 00 730, 000. 00 386, 300. 00 382, 350. 00 242, 750.00 241, 800. 00 11,402,084.63 11,198, 571. 02 11, 707, 578. 36 11,337,551.39 12, 672, 206.24 15,884, 577. 82 16, 000,194. 48 16, d32, 791. 67 3, 471, 882. 77 2, 949,101. 68 3,681,616.67 3, 6(58, 330.17 1. 402, 686. 78 1, 399, 491. 20 1, 706, 910. 24 1, 571, 867. 70 3, 947, 909.46 4,267,113.39 4, 858, 369. 97 4,439,771.05 412,110. 85 469, 856. 08 201,624.05 423, 748. 50 1,189,981.00 1,164,531.26 1,199, 910.11 1,178, 921. 98 818, 363.76 702,391.69 802, 832.70 827,315.48 1,059,012.00 51, 839.11 4, 892, 978.16 3, 002, 925.00 10, 000. 00 583,387. 97 50, 313. 46 1, 059,198. 00 61, 753.69 4, 620,156. 51 3, 030, 351. 00 10, 000. 00 559, 661.38 31, 959. 28 144,498, 088. 21 146, 398, 905.14 1, 058, 062.00 66,168. 73 5 101 291 12 3, 343, 402. 00 10, 000. 00 540, 262. 00 33, 328.43 149, 589, 620.03 1,318,819.00 68, 609. 01 4 956 187 18 3, 343, 397. 00 10, 000.00 531, 678.50 34, 052.28 150,821, 571.64 259 b a n k s . $91,292,651.14 12, 285, 800. 00 730, 000. 00 242,100. 00 12, 147, 742.19 15, 4t«4, 252. 85 4, 385,405. 27 1, 682, 556.15 4, 492, 222. 65 536, 281. 55 1,198, 846.68 1, 207, 560. 89 1,176,129. 00 58, 564. 62 5 142 51)5.96 3, 728, 963.00 10, 000. 00 537, 526.90 71, 381. 91 • 156, 390, 580. 76 REPORT OF THE COMPTROLLER OF THE CURRENCY. by States and reserve cities—Continued. CITY Liabilities. Surplus fund Undivided profits OF ALBANY. FEBRUARY 26. MAY 13. JULY 12. 6 banks. 6 banks. 6 banks. $1, 750, 000.00 $1, 750, 000.00 $1, 550, 000. 00 $1, 550,000.00 $1,550,000.00 1,274, 000.00 273, 480.48 1, 276, 500. 00 213, 979. 20 1, 276, 500.00 235, 936. 59 1, 278, 500.00 230, 569.14 1,278, 500.00 266,442.24 726, 920.00 713, 570.00 533, 790. 00 540,700.00 504,820.00 DECEMBER 12. 6~banks~~ Capital stock 259 Nat'1-bank circulation State-bank circulation SEPTEMBER 30. 6 banks. 365.76 907.97 2,134.62 19,933.14 15,457.12 Individual deposits.. U. S. deposits Dep'ts U .S.dis.officers 7, 440, 998.02 109,180.52 732.08 7, 035,150.00 108, 677. 91 1, 322. 09 8, 012,860.08 219, 294.35 705.55 7, 647,409.35 219, 723. 86 276.14 8,596,213.18 216,254. 62 3, 222. 98 Due to national banks Due to State banks... 2,969,982.80 536,160.82 2,934, 918.94 660,852. 56 2, 919, 488.96 736, 270.54 2, 620,463.87 958,892.77 2,337,944.92 908, 090.97 15, 081, 820.48 14, 695, 878. 67 15,486, 980. 69 15,066, 468. 27 15, 676,946.03 Dividends unpaid Notes re-discounted Bills payable . . . . Total NEW Capital stock. JERSEY. 87 b a n k s . 88 b a n k s . $13,371, 900.00 | $13,398,400.00 $13,439,790.00 $13,524,640.00 $13,823,350.00 86 banks. 86 b a n k s . | 89 b a n k s . Surplus fund Undivided profits 5,197, 431.73 2, 582,130.33 5, 399, 780.39 2, 271,521. 35 5, 504, 780. 39 2> 503, 661.16 5, 615, 351.35 2, 285, 792. 59 5, 639, 851. 35 2, 741,970.58 Nat'1-bank circulation State-bank circulation 5, 847, 681.50 7,827.00 5, 500, 631.50 7,827.00 5,104,201.50 7,827.00 4,698, 881.50 7, 827.00 4, 373, 231.50 7, 827.00 38,419.11 ; 51, 692.15 43,128.94 122, 895.44 77, 695.88 41, 699, 285. 34 \ 1,931,153.32 12,104.62 I 42,175, 936. 47 940,739.77 14, 833.87 41,508,953.71 936, 223.04 25,504.53 42, 643, 459.70 927, 848. 32 47,468.61 44, 031, 411. 84 990, 842.32 18,179.46 Dividends unpaid Individual deposits. . U. S. deposits Dep'ts U. S.dis.officers Due to national banks Due to State b a n k s . . 3,150,478.01 i 423,535.34 ; 2, 870, 345.05 498, 392. 36 3,223.523.13 5^0,545.46 • 3, 782, 598.45 484, 568.28 3, 366, 685.09 382, 312.72 199,268.64 I 290, 000. u0 i 281,171. 36 180, 000.00 353,668.64 • 1(55,000.00 317, 692.01 245, 003.16 118,336.65 166, 950.00 73,336,607.50 j 74,704,026.41 75, 738, 644. 39 Notes re-discounted Bills payable Total . 74,751,214.94 ] 73,591,271.27 PE NNS YL VANI A. 254 banks. 255 banks. $33, 760, 912.29 j $33, 993, 652. 00 $34, 077, 600. 00 $34,162, 580.00 j 12,592,398.41 ! 12; 988, 353. 08 1 3, 955, 557.70 | 3, 690, 251. 34 J 11, 490, 835. 00 Nat'i-bank circulation! 11,769,771.00 1,543.00 1,543.00 State-bank circulation1 13,129,512.80 3, 727, 278.44 13,321,113.83 I 3,370,738.41 j 13,346,460.75 4,495,870.97 10, 848, 505.00 1, 543. 00 10, 814, 430. 00 1, 543. 00 10, 770, 295. 00 945.00 248 banks. Capital stock | 250 b a n k s . Surplus fund Undivided profits i 107, 394.13 442, 672. 26 76,430,166.50 | 79, 425, 662. 37 729, 887. 92 825, 000. 45 21, 374. 65 9, 920.95 81, 713, 567.07 735, 585.41 13,748.42 204, 396 40 Dividends unpaid | 259 b a n k s . $34, 342, 600.00 426,905.72 i 160,268.44 i Individual deposits.. U. S. deposits Dep'ts U. S.dis.officers' Due to national banks Due to State banks... 4, 046, 581.89 401, 075. 51 3, 026, 969.45 447, 287.76 4,178,167. 72 518,456. 68 Notes re-discounted.. Bills payable 427, 273. 83 73, 490. 28 395,154.16 20,490.28 184, 392. 95 18, 590. 28 144,498,088.21 140, 398, 905.14 Total 83, 266, 654. 01 87, 098, 044.47 735.243.01 I 739,153.91 7, 888.99 j 13,105.61 3, 917,151. 98 • 669,431.89 ; 97,400.52 I 30,490. 28 | i 4,192, 786.02 712,007.85 377,176.53 141, 866. 21 149, 589, 620. 03 750, 821, 571.64~; 156, 390, 580.76 260 REPORT OF THE COMPTROLLER OF THE CURRE NCY. Abstract of reports since October 4, 1888, arranged CITY OP PHILADELPHIA. SEPTEMBER 30. DECEMBER 12. I FEBRUARY 26. Resources. Loans and discounts. Bonds for circulation Bonds for deposits... TJ. S. bonds on hand.. Other stocks and b'ds Due from res'veag'ts. Due from nat'l banks Due from State banks Real estate, etc Current expenses . -. Premiums paid Cash items Clear' g-house exch'gs Bills of other banks.. Fractional currency. Specie Legal-tender notes .. TJ. S. cert's of deposit 5 % fund with Treas. Due from TJ. S. Treas. Total 43 b a n k s . 44 b a n k s . 43 b a n k s . $87, 575, 689.23 $88,107, 503. 51 $91,163,433.76 2, 737, 500. 00 2, 487, 500. 00 2, 737, 500.00 1, 310, 000. 00 1, 310, 000, 00 1, 350, 000. 00 600. 00 . 600. 00 600. 00 3, 847, 923.45 3, 960, 293.15 3, 811,590. 76 9,471,313.77 6,976, 564. 67 10, 624, 351.75 7,134,267.60 6,501,492.80 6,105, 821.40 1, 375, 576. 91 1, 056, 464. 67 1,051,440.50 3,490, 665. 00 3, 725, 397. 01 3, 635, 808. 93 123, 434. 95 525, 852. 43 218, 088. 97 420,595.01 461,677.69 440, 759. 79 892, 761. 67 743, 671. 79 788, 035. 00 8, 004, 066.43 7,875,110. 23 8, 513, 507. 51 355, 369. 00 373, 056.00 357, 787. 00 36, 075. 06 38,151.84 40, 419. 41 10, 359,151. 90 12,243,117.84 10, 788,439. 57 4, 539, 642. 00 4, 766, 962. 00 4, 746, 290. 00 2, 670, 000. 00 2,010,000.00 720, 000. 00 111,937.50 123,187. 50 123,187. 50 26, 527. 82 46, 663. 82 53, 944.00 140,439,728.27 $96, 466, 667.97 $94, 574, 301.95 2, 537, 500.00 2, 537, 500. 00 1, 260, 000. 00 1, 260, 000.00 600. 00 600. 00 4, 434, 902. 33 4, 519,168.31 9, 486, 341. 35 8,174, 267.89 6, 285, 344. 06 7, 392, 513. 87 914, 507, 49 978, 436.31 3,694,891.20 3, 646, 087. 75 675, 808. 39 299, 045.14 431, 694.16 428, 668.16 722, 649. 61 736, 852. 08 10, 348, 246.32 10,173,150. 57 253, 606.00 335,138. 00 47, 924.16 47,114. 01 12, 023, 798. 66 10,197, 793.02 4,816,181.00 4, 219, 394.00 1, 600, 000. 00 2,140, 000. 00 114,187.50 . I l l , 937. 50 51. 017. 82 27,427. 82 144,699,326.33 I 149,948,315.50 I 156,244,353.40 151,720, 961. 00 CITY OF P I T T S B U R G H . 24 b a n k s . Loans and discounts. Bonds for circulation. Bonds for deposits .. TJ. S. bonds on hand.. Other stocks and b'ds Due fromres'veag'ts. Due from nat'l banks. Due from State banks Real estate, etc Current expenses Premiums paid Cash items Clear' g-house exch'gs Bills of other banks.. Fractional currency . Specie Legal-tender notes .. TJ % fund with Treas. 5 S cert's of deposit Due from TJ. S. Treas. Total 24 b a n k s . $32,940,459.28 $32, 267, 406.86 1, 615, 500.00 1, 615, 500. 00 600, 000. 00 600, 000. 00 1,450. 00 104,600.00 370, 471.14 374, 333.10 3. 524, 947.73 4, 799, 992.16 1,974,838.88 2, 539,194. 77 388, 673. 73 308, 954.87 1,759, 738.06 1,919,118.21 152,646.87 122,496. 96 180, 692. 86 208. 374. 90 223, 081. 46 252, 049. 55 1,315,771.03 1, 922, 899.43 417, 623.00 487, 971. 00 10,464. 85 11, 845. 57 3 118 467 60 3 431 714 40 1, 864, 219.00 2,147,115. 00 24 b a n k s . 24 b a n k s . 24 b a n k s . $33, 566, 782.59 1, 615, 500. 00 600, 000. 00 111, 550. 00 349, 962.73 4, 493, 599. 55 2,281,267.99 298, 056. 96 2,046, 247.56 141, 335. 30 210, 339. 33 211,606.98 1, 540, 443. 32 603, 760.00 11, 590.09 3 430 815. 30 2, 552, 842. 00 $35, 075, 683. 29 1,615,500.00 600, 000. 00 102, 600. 00 425, 005. 82 4, 955, 975. 75 2, 583, 062. 60 316,005.39 2, 006, 801.19 66, 615. 95 235, 566. 05 265, 978. 93 1, 739, 994. 63 490, 952. 00 10,058.18 3 296 072. 89 2,104, 201.00 $36, 567, 874.11 1, 515, 500. 00 600, 000. 00 103, 750. 00 421, 505.82 3, 637, 206. 20 1, 939,672. 01 271, 232. 67 2,120, 940.45 188, 818. 37 228, 691. 05 287,171.74 1, 824,437. 01 388, 638, 00 10,480. 61 3 069, 497. 95 2, 438, 998.00 72, 672.50 12,160.09 72, 672. 50 27, 050. 00 72, 672.50 19, 850. ©0 T\ 672. 50 17, 080. 00 68,172. 50 32, 339.70 50,543, 878.08 53,213, 289.28 54,158, 222. 20 55. 979, 826.17 55, 714, 826.19 DELAWARE. 18 b a n k s . Loans and discounts. Bonds for circulation Bonds for deposits .. TJ. S. bonds on hand . Other stocks and b'ds Due from res've ag'ts. Due from nat'l banks. Dae from State banks Real estate, etc Current expenses .. Premiums paid Cash items Clear'g house exch'gs Bills of other banks . Fractional currency . Specie Legal-tender notes .. TJ. S. cert's of deposit 5 % fund with Treas. Due from TJ. S. Treas. Total 18 b a n k s . 18 b a n k s . 18 b a n k s . 18 b a n k s . $5, 334,320.66 1, 599,200. 00 50, 000. 00 $5,475, 369.17 1,496,000.00 50, 000. 00 $5,165,387.10 1, 479, 000. 00 50, 000. 00 $5, 397, 067.17 1,291, 500. 00 50, 000. 00 $5, 623, 650.51 1,291, 500.00 50, 000. 00 273, 815.03 1,152, 648.84 256, 355. 99 71, 618. 62 270,140. 37 39, 734.28 123, 204. 79 48,506. 59 25, 656. 86 52,081.00 3, 235.18 238, 792. 89 176,409. 00 10, 000. 00 71, 876.51 7, 508.17 266,128. 97 859, 044. 95 193, 388. 20 47, 627. 54 294,411.02 16,052.82 113,100. 52 40, 013.20 24, 325. 67 66, 969. 00 3, 672. 32 236, 498. 99 206, 545.00 10, 000. 00 65, 830. 00 9, 250. 00 285, 719.41 856, 292.47 243, 660.14 69, 325. *6 298, 810.28 30, 657.18 120, 828. 02 22, 352.15 48, 541.24 80, 543.00 3, 930.96 262, 786. 35 204,422.00 10, 000. 00 63,115.00 2, 700.00 293, 026. 49 976, 049.62 275, 298.73 60, 556. 01 304, 678.76 5, 972. 70 109, 374.37 39,223.12 45,239.61 81, 689. 00 3, 909. 83 224,664.15 187, 730.00 10, 000. 00 58, 067.50 1,450.00 316, 764. 77 786,486.31 234,087. 56 45,178.46 315, 980. 23 26,323.44 108,436.87 42, 217.80 70, 637. 39 70, 567.00 3, 840.05 286, 951. 64 242,291.00 10, 000. 00 56,137.50 480. 00 9, 805,104. 78 9,474,227,37 9, 298, 070.66 9,415,497.06 9,581,530.53 REPORT OF THE COMPTROLLER OF THE CURRENCY. by States and reserve 261 cities—Continued. CITY OF PHILADELPHIA. DECEMBER 12. Liabilities. Capital stock JULY 12. 43 banks. 43 banks. .. $23,108, 000. 00 $23,108, 000. 00 $23,108, 000.00 43 banks. SEPTEMBER 30. 44 banks. MAY 13. FEBRUARY 26. 44 banks. $23, 408, 000. 00 $23, 508, 000.00 11, 444, 803. 08 1, 983, 306. 04 11, 489, 803.08 2, 462, 979. 98 11, 679, 303. 08 1, 877, 819.85 11, 724, 303. 08 2, 205, 712. 61 11,724, 303. 08 3, 068, 623. 94 2. 416,174. 00 2, 439,164. 00 2, 212, 750. 00 2, 203, 470.00 2,265,230.00 85, 067. 06 55,116. 51 224,156. 71 97,804.11 49, 472.46 Individual deposits.. U. S. deposits Dep'ts U.S.dis. officers 80, 039,908. 60 1,371, 748. 93 80,197, 422. 33 1, 371, 773. 20 86,382,531.49 1, 380,277. 35 90, 397, 808. 44 1, 351, 658. 87 85, 269, 616.41 1, 352, 000.00 Due to national banks Due to State b a n k s . . . 15,768, 890. 86 4,146, 829. 70 18, 089, 066. 62 5,436, 000. 61 17, 956, 274. 83 5,127, 202.19 19, 347, 381. 56 5,478, 214. 73 19, 080, 384.19 5, 403, 330. 92 75, 000". 00 50, 000. 00 Surplus fund. Undivided profits Nat'1-bank circulation State-bank circulation Dividends unpaid Bills payable Total 30, 000. 00 140,439, 728.27 144, 699, 326. 33 149, 918, 315. 50 156, 244, 353. 40 151, 720, 961. 00 CITY OF PITTSBURGH. 24 banks. Capital stock 24 banks. 24 banks. 24 banks. 24 banks. $10,430, 000.00 $10,430, 000. 00 $10,430, 000.00 $10, 430, 000.00 $10, 430, 000.00 Surplus fund Undivided profits 4, 993, 150. 77 1,102, 368. 75 5, 010, 303. 92 1, 067,579.12 5, 088, 596. 80 1,137,811.21 5,162, 909. 05 931, 298.20 5,167, 909. 05 1, 330, 782.10 Wat'1-bank circulation State-bank circulation 1, 431, 450. 00 1, 418, 520. 00 1, 416, 310. 00 1,413, 640. 00 1, 319, 520.00 81, 282. 25 75, 762. 63 166,400.13 153, 000.63 101,114. 63 Individual deposits. U. S. deposits Dep'ts U.S.dis. officers 26, 764, 496. 48 462, 657.10 208, 470.17 28, 507, 009. 59 488, 706. 29 185, 913. 03 29, 088,172.20 572,956. 76 95, 434. 98 30, 734, 775.01 510, 953. 90 170,148. 81 29, 885, 914. 30 443, 952. 78 212, 333. 25 Due to State banks... Due to national banks 3,203, 583.86 1, 854,195.73 3, 902, 038.14 2,127, 396.56 3,915,465.81 2, 247, 074. 31 4,154, 700. 38 2, 312,400.19 4, 232, 647.45 2, 590, 652. 63 Notes re-discounted.. Bills payable 12, 222. 97 Dividends unpaid Total 50, 543, 878. 08 53, 213, 289. 28 54,158, 222.20 55, 979, 826.17 55, 714, 826.19 18 banks. $2,133,985.00 18 banks. $2,133,985.00 D ELAWARE. 18 banks. Capital stock. 18 banks. $2,133, 985.00 $2,133, 985. 00 $2,133,985. 00 831, 300.00 331, 209. 96 859, 200. 00 244,187.26 864, 200. 00 301, 917. 31 883,450. 00 226, 428. 51 885, 086.00 284, 719. 92 1, 408, 880.00 574.50 1, 312, 960.00 574. 50 1, 310, 880. 00 574. 50 1,140, 500. 00 574. 50 1,149,120.00 574.50 Surplus fund Undivided profits !N"at'l-bank circulation State-bank circulation 18 banks. Dividends u n p a i d . . . 8, 677. 55 12, 170. 69 8, 951. 36 29, 312. 50 8,441.96 Individual deposits . . U. S. deposits Dep'ts U.S.dis.officers 4,704,191.43 38, 746. 03 6, 253. 97 4, 463, 726. 95 38, 882. 25 6,117. 75 4,254, 645.79 39, 580. 93 5, 369.67 4,531,820.76 37, 387. 35 4,125.45 4, 684, 560.99 38,294.46 6, 457. 63 Due to national banks Due to State b a n k s . . . 295, 374. 82 17, 711. 52 296, 572.42 21,893.68 i 310,191.49 32, 595. 50 324, 568. 56 7, 016. 51 44,500.00 ! 15, 000. 00 i 34,126.00 51, 000. 00 26, 705.00 32, 000.00 9, 208, 070. P 6 ! > 9.415,497.06 Notes re-discounted.. Bills payable Total 18, 200. 00 10, 000. 00 9, 805,104. 78 | 307, 371.49 12,050.69 j 67,994.79 | 15,000.00 9.474,227.37 9, 581, 530. 53 262 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, arranged MARYLAND. DECEMBER ]2. Resources. Loans and discounts Bonds for circulation. Bonds for deposits .. TJ. S. bonds on hand.. Other stocks and b'ds Due from res've ag'ts Due from nat'l banks Due from State banks Real estate, etc Current expenses Premiums paid Cash items Clear'g-house exch'gs Bills of other banks.. Fractional currency. Specie Legal-tender notes .. TJ. S. cert's of deposit. 5 % fund with Treas. Due fromTJ. S. Treas. Total FEBRUARY 26. MAY 13. JULY 12. 32 b a n k s . 32 banks. 32 b a n k s . 34 b a n k s . SEPTEMBER 30. 35 b a n k s . $7, 644, 694. 09 1, 243, 500.00 280, 000. 00 59, 300.00 985, 420. 30 1,064,281.51 551, 438.43 61, 003. 32 377, 939. 39 71, 022. 57 133,315.57 28, 931. 74 $7, 465, 802. 07 1, 243, 500.00 280, 000. 00 37. 800. 00 981, 974. 90 1,250,615.01 470, 230.86 56, 996. 95 375, 090. 75 36, 820. 26 125, 706. '20 43, 699. 57 $7, 962, 032. 55 1, 206, 000. 00 280, 000. 00 20, 500. 00 1,011,464.32 941, 494. 03 437, 564. 96 67, 771. 84 379,424.18 58, 489. 75 127, 269. 70 33, 599. 76 $8, 064, 929. 23 1,174, 750. 00 280, 000. 00 20, 600. 00 1,023,141.74 958,311.40 383, 456. 95 62, 675.16 378, 220. 78 20, 645. 49 128, 363. 53 49, 686. 79 $8, 348, 839.98 1,187, 250. 00 280, 000. 00 21, 300.00 1, 038, 527. 81 1,093,675.64 528, 529. 26 55, 964.20 394, 692. 58 71,174.87 133, 949. 90 43,852. 51 47, 342. 00 4, 844. 86 501, 811. 33 267, 484. 00 43, 499. 00 5,183. 05 536, 088. 38 310,187. 00 52, 232. 00 6, 250. 62 586 606 10 433, 875. 00 45,084.00 6,106. 51 547 005.93 354, 994. 00 57, 213. 00 5, 448.74 512, 597. 99 321, 485. 00 50, 303.35 8, 270. 00 51, 577. 75 8, 000. 00 50, 980. 25 205.00 46, 434.12 2, 090. 00 48, 574.12 13, 380, 902. 46 13, 322,771. 75 13, 655, 760. 06 13, 54H, 495. 63 14,143, 075. 60 CITY OF BALTIMORE. 17 b a n k s . Loans and discounts $26, 661, 387.31 Bonds for circu lation 900,000. 00 Bonds for deposits -. 550, 000. 00 U. S. bonds on hand. Other stocks and b'ds 904, 357.43 Due from res Ve ag'ts. 2,569,215.80 Due from nat'l banks. 1,904,911.47 Due from State banks 297, 451. 07 Real estate, etc 950, 236. 83 173,437. 98 Current expenses 40, 900. 00 Premiums paid 63, 816.16 Cash items Clear'g-house exch'gs 1,428, 954.45 222, 543. 00 Bills of other banks.. 12, 615.12 Fractional currency. 2, 572, 968. 51 Specie Legal-tender notes .. 1, 495,682. 00 830, 000.00 U. S. cert's of deposit. 40, 500.00 5% fund with Treas. Due from U. S. Treas. Total. 17 b a n k s . 17 b a n k s . $27,205,276.47 j $28, 384, 090. 39 850,000.00 850, 000. 00 550,000.00 350, 000.00 50,000.00 I 804,135.18 , 855, 640.18 1, 967,154.45 1, 610, 096.12 1, 596, 780. 93 1, 625, 619. 66 196, 847.61 275, 324.86 972, 429.65 995,132. 97 71,329. 92 146, 844. 53 62, 762. 50 37, 271. 41 54, 252. 24 : 57, 828.13 1,181,438.10 i 959, 834. 69 216,121.00 ! 244, 285.00 12,148. 39 • 7, 460. 85 2,758,093.40 ; 2, 825, 247. 66 1,478,288.00 \ 1,135, 216.00 ! 1, 410, 000. 00 660, 000. 00 36,530.00 ! 37,150. 00 28,410.00 I 2, 050.00 41,618,977.13 I 41,501,797.84 ; 41,059,092.45 17 b a n k s . 17 b a n k s . $28, 838, 634. 32 850, 000. 00 350,000.00 $29, 632,330.16 850, 000. 00 350, 000. 00 899, 248.18 1,986,959.11 1, 336, 062. 01 259, 724. 72 1, 075,167. 99 153, 948. 25 33, 030. 00 72, 728. 80 1, 578, 449.96 175, 565. 00 7, 939.62 2, 977, 050. 38 994,110. 00 315, 000. 00 38, 250. 00 43, 585, 556. 78 ' 42, 735, 564.18 DISTRICT OF COLUMBIA. 1 bank. Loans and discounts Bonds for circulation. TJ. S. bonds on hand.. Other stocks and b'ds Due from res've ag'ts. Due from nat'l banks Due from State banks Real estate, etc Current expenses Premiums paid Cash items Clear'g-house exch'gs Bills of other banks.. Fractional currency. Specie Legal-tender notes .. U. IS. cert's of deposit 5% fund with Treas. Due from TJ. S. Treas. Total 1 bank. 1 bank. 1 bank. $414, 639. 23 250, 000. 00 $366, 335.05 250, 000.00 • $348, 069. 45 250, 000. 00 $321,531.91 250, 000. 00 $343,118. 37 250, 000. 00 15i, 200. 00 208, 762.18 58, 426. 25 4, 229. 91 637.77 23, 000. 00 6, 675.54 25, COO. 00 5,015.04 101, 200. 00 199, 930.00 135, 616. 68 18,801.92 532. 20 23, 000. 00 1, 548.24 21, 500.00 17, 595. 86 101, 200. 00 258, 642. 50 209, 335.55 20, 027. 01 1, 736.53 23, 000. 00 5, 229. 33 21, 500. 00 5, 040. 56 101, 200. 00 262, 017. 50 184,810.38 10, 251. 53 2,031.86 23, 000. 00 141.45 19, 500.00 3, 973. 64 262, 017. 50 97, 304.27 12, 270. 83 627. 09 23, 000.00 3,712.88 19, 500. 00 11, 936. 53 4, 385. 00 37.17 192,017.00 38, 790. 00 5, 455. 00 19.47 199, 556.50 53, 920.00 4, 655. 00 26.23 200, 345.25 60, 685.00 3, 557. 00 47.54 196, 266. 75 51, 791. 00 5, 275. 00 33. 63 203, 995.75 39,170. 00 11, 250. 00 11, 250. 00 11, 250. 00 11, 250. 00 11, 250. 00 1, 394, 065. 09 1, 406, 260. 92 1,520^742.41 1,441,370.56 1, 384, 411. 85 1 bank. ioi, 266. oo EEPORT OF THE COMPTROLLER OF THE CURRENCY. 263 by States and reserve cities—Continued. MARYLAND. Liabilities. DECEMBER 12. JULY 12. FEBRUARY 26. MAY 13. SEPTEMBER 30. 34 b a n k s . 35 b a n k s . 32 b a n k s . 32 b a n k s . 32 b a n k s . $2, 852, 700. 00 $2, 865, 500. 00 $2,876, 700. 00 $2, 982, 000. 00 $3,051,280.00 972, 528.80 425, 327.37 1, 029,361. 80 325, 845. 84 1,049,736.51 406, 559.20 1, 073,789. 51 289, 849. 89 1, 074, 039. 51 377, 416.06 1, 084,920.00 1, 082, 530. 00 1, 046, 790.00 970, 605.00 1, 013, 855. 00 24, 001.86 17,125.59 16, 518. 24 37, 898. 94 21, 393.78 Individual deposits .. U. S. deposits Dep'ts U.S.dis.officers Due to national banks Due to State banks... 7, 226,133.50 308, 000.00 7, 250, 532. 38 308, 000. 00 7, 426, 078. 34 308, 000. 00 7,348,151.92 308, 000. 00 7, 732, 646.10 308, 000. 00 352, 273. 69 59, 831.60 297, 467. 75 49, 669. 56 340,851.16 47, 713. 63 345, 074. 60 43,211.77 379, 386. 29 46, 558. 86 Notes re-discounted.. Bills payable 10,185. 64 65, 000. 00 84, 738. 83 12, 000. 00 101, 812. 98 35, 000. 00 97, 914. 00 50, 000. 00 8, 500. 00 * 130,000.00 13, 380, 902. 46 13, 322, 771.75 13, 655, 760. 06 13, 546, 495. 63 14,143, 075. 60 Capital stock Surplus fund Undivided profits Nat'l -bank circulation State-bankcirculation Dividends unpaid Total CITY OF BALTIMORE. 17 b a n k s . 17 b a n k s . 17 b a n k s . 17 banks. 17 b a n k s . $11,713, 260.00 $11, 713,260. 00 $11,713,260.00 $11, 713,260. 00 $11, 713, 260. 00 Surplus fund Undivided profits Nat'1-bank circulation State-bank circulation Dividends unpaid 3, 840, 000.00 1, 340,950.38 3, 907, 000. 00 1, 051,804.26 3,907,000.00 1, 328, 741. 84 3, 923,600. 00 864,272. 75 3, 923, 600. 00 1,180, 501. 34 799, 310. 00 4, 048. 00 744, 720. 00 4, 048. 00 758, 860. 00 4, 048. 00 752, 400. 00 4, 048. 00 745, 760. 00 4, 048. 00 50, 639. 79 55, 370. 60 55,481, 75 166, £16. 70 52, 869. 61 Individual deposits... U. S. deposits Dep'ts U.S.dis. officers Due to national banks Due to State banks... 19, 666, 930.92 562, 720.18 22, 076. 93 19, 357, 211. 72 401,956.82 19,239, 089. 73 397, 797. 92 21,411, 393. 77 392, 890.30 20,125, 675. 07 392, 083. 46 3, 036, 277. 05 582, 763. 88 3, 670, 684.98 595, 741.46 3, 091, 704. 08 563,109.13 3, 834, 397. 59 522, 977.67 3, 850, 610. 51 597,156.19 Capital stock Notes re-discounted.. Bills payable Total 150, 000. 00 41,618,977.13 41, 501, 797. 84 DISTRI CT OF 41, 059, 092. 45 COLUMB I A . 1 bank. Capital stock 1 bank. 1 bank. $252, 000. 00 $252, 000. 00 $252,000.00 60, 000. 00 72, 498. 59 60, 000.00 62, 038. 22 Surplus fund Undivided profits Nat'1-bank circulation State-bank circulation 42, 735, 564.18 43, 585, 556. 78 j 1 bank. 1 bank. $252,000.00 ; 60,000.00 ! 72,627.16 ! $2.52, 000. 00 60,000.00 59,819.09 CO, 000. 00 67, 994.33 190,000.00 , 179, 980. 00 i 221,100.00 209, 600.00 199, 550. 00 ! I Dividends unpaid 2, 868. 00 3, 232. 00 Individual deposits.. U S deposits Dep'tsU S dis officers 760, 350. 68 804, 458. 65 922,222.37 864,065.01 Due to national banks Due to State banks . 24, 988. 95 258.87 14, 932. 05 11,250.88 10, 014. 46 6, 594. 22 1, 394, 065. 09 1, 406, 260. 92 1,520,742.41 1,441,370.56 1, 384, 411. 85 3, 092. 00 j 5,472.00 ! 3, 508. 00 : 814, 335.30 Notes re-discounted.. Bills payable Total j 264 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4 , 1888, arranged CITY OF WASHINGTON. DECEMBER 12. Resources. FEBRUARY 26. MAY 13. JULY 12. 7 banks. 7 banks. 7 banks. 7 banks. $4, 728, 002. 66 580, 000. 00 150,000.00 827, 950. 00 352, 567. 52 808, 478.10 401, 635. 99 19, 071. 60 724, 318.80 16, 846. 76 114,491.28 132,8D0. 57 114, 677. 65 18, 244. 00 6,191. 63 964,001.80 603, 611. 00 100, 000.00 21, 600. 00 $4, 822, 327.02 430, 000. 00 150, 000. 00 935, 350. 00 474, 208. 05 1, 214, 872. 44 528, 325. 90 15, 593. 30 691, 788. 95 53,255.74 134,614.50 106, 370. 49 80, 760.41 22, 148. 00 6,125. 52 1, 078, 683. 30 834, 246. 0() 140, 000. 00 14,850. 00 $5, 407, 363. 83 400, 000. 00 150, 000. 00 949, 850.00 553, 277. 71 1,191, 379. 24 345,488.40 15, 442. 37 703, 057. 95 9, 863. 58 130, 321.16 107, 007. 85 118,070.14 13, 482. 00 6,921.87 908, 081.50 529, 700. 00 150, 000. 00 12, 550. 00 $5, 616, 719. 63 430, 000. 00 150, 000.00 681, 750.00 569, 684.62 795, 464. 37 515,786.20 16, 689. 48 715, 916. 01 38,137. 53 66, 844.72 150, 534. 43 100, 701. 31 28, 822.00 7, 720. 52 941, 536.00 603, 573. 00 130,000.00 ' 13, 500. 00 10, 684, 579. 36 11, 733, 519. 62 11, 701, 857. 60 11, 573, 379. 82 Loans and discounts $4, 549^ 617. 62 580, 000. 00 Bonds for circulation 150, 000. 00 Bonds for deposits... 808, 200. 00 TJ. S. bonds on hand.. 363, 202. 83 Other stocks and b'ds 718,981.86 Due froni res've ag'ts. 283,137. 47 Due fromnat'lbanks. 24, 731. 96 Due from State banks 723, 515. 65 Real estate, etc 63, 945. 94 Current expenses P r e m i u m s paid Cash items C l e a r g-house exch'gs Bills of other b a n k s . . F r a c t i o n a l currency. Specie Legal-tender notes . . U . S. cert's of deposit. 5 % fund with T r e a s . D u e from TJ. S. T r e a s Total 113,995.65 101, 822. 75 84, 822. 71 14,412.00 6, 826.13 903, 570. 30 757, 037.00 90, 000.00 21, 600.00 2,879. 00 10, 362, 298. 87 SEPTEMBER 30. 8 banks. VIRGINIA. 26 banks. 28 banks. 26 banks. I 30 banks. Loans and discounts $11,187,170.98 ;: $11,493,449.29 $11, 796,159.11 ! $12, 220, 685.46 1,105,000.00 1,053,750.00 1,103, 750. 00 ! 1,121, 250. 00 Bonds for circulation. 1,464,000.00 1,415,000.00 • 1,365,000.00 i 1, 365, 000. 00 Bonds for deposits... TJ.S. bonds on hand.. •IOther stocks and b'ds 841, 292. 44 813, 602. 69 835, 452. 38 776,104. 71 Due from res've ag'ts. 1,066,061.46 1, 228, 372. 07 * , 393,138.18 1,042,387.61 Due fromnat'lbanks. i 696, 845. 99 600, 325. 98 611, 486.15 646,351.41 Due from State banks! 296, 466. 06 316, 704. 57 399, 898. 05 i 368, 679. 79 401, 400. 74 433, 933. 05 412,640.27 i 406, 797.18 Real estate, etc 135,807.18 ; 41,677.70 114,680.01 7, 536. 13 Current expenses ! 362,246.69 | 360, 707. 03 360, 970. 56 345, 272. 56 Premiums, paid I 266,364.15 I 210, 680. 50 269, 873.44 339, 665.10 Cash 1items i 26, 868. 44 12, 544. 01 63,919.41 j 23, 605. 78 Clear g-house exch'gs 222, 872. 00 • ' 330, 073. 00 230, 063. 00 Bills of other banks..! 218,607.00 7,723.92 | 6, 822. 61 Fractional currency.! 7. 241. 32 7, 981.33 597, 562. 81 644, 395. 34 j 587, 349.43 599,161. 73 Specie ; 912,802.00 | 935, 764. 00 908, 743. 00 Legal-tender notes... l 864, 097. 00 TJ. S. cert's of deposit. 49,175.00 47, 418.75 5 % fund with Treas. j 44, 978. 75 ! 49, 218. 75 Due from TJ. S. Treas. j 319.66 , 2,128. 50 ! 19.00 ! 3, 757.50 Total ' 19,915,485.31! 19, 934, 449.12 i 20,242,415.17 20,415,070.11 30 b a n k s . 47, 699. 75 20, 969, 402.93 WEST VIRGINIA. 19 b a n k s . Loans and discounts. $4, 074,993. 61 675, 000. 00 Bonds for circulation. 75, 000.00 Bonds for deposits... 17, 000. 00 TJ. S. bonds on hand.. 75, 600. 00 Other stocks and b'ds 395,129. 57 Due from res'veag'ts. 305, 703. 72 Due from nat'lbanks. 72, 963. 52 Due from State banks 226, 582.11 Real estate, etc 50,852. 51 Current expenses 41, 420. 74 Premiums paid 27,492. 27 Cash items Clear'g-house exch'gs Bills of other banks.. 92, 403. 00 Fractional currency. 1, 739.58 Specie 268, 492.77 Legal-tender notes . . 251, 075. 00 TJ.S. cert's of deposit. 5 % fund with Treas. 28, 825. 75 Due from TJ. S. Treas. 4, 053. 63 Total 6, 684, 327. 78 19 b a n k s . $4, 083, 440.21 675, 00<4 00 75, 000. 00 39, 500. 00 87, 085. 00 404, 826. 41 324, 368. 21 67, 151.52 229, 390. 52 18, 029. 22 44, 068.84 18, 713. 88 99,024. 00 2,102. 71 282, 629.74 296, 506. 00 19 b a n k s . $4, 391, 748. 92 675, 000. 00 75, 000. 00 14, 500, 00 87, 700. 00 234,173. 98 235, 074. 20 52, 658. 95 233,101.17 35, 799.55 45, 928. 55 19,234. 84 81, 2, 290, 269, 19 b a n k s . $4, 328, 370. 77 675, 000. 00 75, 000. 00 14, 500. 00 111, 646. 70 343, 612. 07 231, 450. 91 88, 354. 66 242, 886.44 3, 335.07 42,053.17 23, 280.82 , 112,694,471.93 ' 1,121,250.00 ; 1,365,000.00 i 600.00 ; 847,447.51 I 1,292,460.32 ! 529,106.82 i 258,185. 36 438,521.16 I 84,851.33 t 344. 825. 56 ' 473, 983.90 37, 007. 95 204, 729.00 5, 363. 01 519, 992. 33 703, 907. 00 20 b a n k s . $4, 582, 614. 69 690, 000. 00 75, 000. 00 14,500.00 208, 514. 20 539, 037. 90 389, 475. 60 90, 664.19 243, 077.17 27, 474. 01 43, 382. 53 15,752.90 497. 00 411.39 890.07 557.00 80, 569. 00 2, 454. 26 285, 649. 54 268, 240.00 30, 374.75 3, 422. 83 29,175.45 2, 067. 73 28, 674. 75 1,102. 43 3C, 489. 75 822. 83 6, 780, 633. 84 6, 775, 518. 80 6, 846,180. 59 7, 588, 509. 51 88, 2, 271, 275, 934.00 008. 81 344. 93 416.00 REPORT OF THE COMPTKOLLER OF THE CURRENCY. 265 by States and reserve cities—Continued. CITY OF WASHINGTON. DECEMBER 12. FEBKUAKY 26. 7 banks. $1, 575, 000. 00 7 banks. $1, 575, 000.00 Surplus fund Undivided profits 567, 000. 00 275, 891.18 617, 000. 00 157, 674. 77 Nat'1-bank circulation State-bank circulation 421,110. 00 411, 690. 00 "T.i abilities Capital stock MAY 13. JULY 12. SEPTEMBER 30. 1 banks. i 7 banks. $1,575,000.00 1 $1, 575, 000.00 $1, 697, 350. 00 622,000.00 ; 249,385.92 ; 673, 000.00 159,231.45 686, 000. 00 208,413.77 295,400.00 j 268, 650. 00 269,400. 00 8 banks. 1,431.00 2, 778. 00 7, 779. 00 2, 207.50 Individual deposits . . U.' S. deposits Dop'tsU S dis officers 7,153, 712. 26 135, 256. 46 7, 612, 486.45 125, 633. 00 8,639,761.39 ! 125,068.37 8, 639, 393.10 125, 265.15 8,315, 723.54 122, 627.32 Due to national banks Due to State banks.. 165, 638. 95 42, 259.02 132,458.96 24, 858.18 153,134.47 ! 46,966.47 j 178, 910. 68 49, 628.22 220, 314.15 26, 343.54 Notes re-discounted.. Bills payable 25, 000. 00 25,000. 00 25,000.00 I 25, 000. 00 25, 000.00 11, 733, 519. 62 1 11, 701, 857.60 11, 573, 379. 82 Dividends unpaid 1,803.00 i 10, 362, 298 87 Total 10, 684, 579. 36 VIRGINIA. 26 banks. 26 banks. 28 banks. 30 banks. 30 banks. $3, 846,300. 00 Nat'1-bank circulation State-bank circulation $3, 962, 514. 50 $4, 076, 500. 00 $4,120, 700.00 1,600, 265. 42 430,493. 23 1, 600, 265.42 619, 891. 89 1, 659, 919.00 372, 293.27 1, 660. 219.00 556,136. 84 980, 200. 00 Surplus fund Undivided profits $3, 846. 300. 00 1, 516,193. 44 677,847. 60 Capital stock 932,165. 00 944, 385.00 962, 595. 00 1, 004, 975.00 2,174.65 2, 592.15 3,011.15 16, 932. 65 3, 304. 65 Individual d e p o s i t s . . U. S. deposits Dep'ts U.S. dis. officers 10, 072, 239.47 1, 475,130. 02 90, 994. 31 10, 232.433.27 1, 385, 491.61 138, 092. 91 10, 210,954.82 1, 326, 394. 51 149, 815. 07 10, 675,152. 35 1, 343, 473. 63 108, 637. 53 10, 645, 888. 08 3, 307, 040. 92 155, 786. 69 Due to national banks Due to State b a n k s . . . 573, 686. 65 550, 782. 92 670, 458. 56 554, 488. 52 640, 694. 44 374, 094. 27 551 061.73 384, 334. 08 506,177.40 474,806.75 Notes re-discounted. . Bills payable 59, 893. 75 69, 625. 00 141, 249. 45 278, 230. 60 133, 000. 00 135,129. 20 129, 041. 67 245, 325.93 289, 041. 67 19, 915, 485. 31 19, 934, 449.12 20, 242, 415.17 20, 415, 070.11 20,969, 402. 93 Dividends unpaid Total WEST VIRGINIA. 19 banks. $1, 856, 000.00 Capital stock.. Surplus fund... Undivided profits j i Nat'1-bank circulation j State-bank circulation! 19 banks. $1, 856, 000.00 19 banks. $1, 856, 000. 00 19 banks. $1, 856, 000. 00 20 banks. $1, 906.000. 00 436, 734.19 200, 207.39 457, 840. 01 109, 317. 23 460, 548. 56 182, 897. 57 477, 996.46 90, 534.50 477, 996.46 164, 953. 83 579, 255.00 582,135. 00 596, 295.00 598, 515. 00 610, 745.00 j 18, 579. 00 21, 522. 30 19,185. 00 34, 871. 00 22,147.00 Individual deposits-.. U. S. deposits Dep'ts U.S.dis.officers; 3,281,258.46 82, 500. 00 3, 478, 203. 69 82, 500. 00 3, 360, 746. 55 82, 500. 00 3, 470, 387.74 82, 500. 00 4,009,374.41 82, 500. 00 Dividends unpaid Due to national banks! Due to State banks...! 156,054.71 I 65,996.03 ! j Notes re-discounted.. I Bills payable Total 7,400.00 !. 343.00 '. I 6, 684, 327. 78 ' 6, 780, 633.84 | 129, 364. 63 65, 231.82 138, 833. 04 71, 477. 24 | 180, 456. 42 106,120.12 17,749.67 5, 000. 00 131,366.56 I 61,749.05 j 23,065.61 i 2,000.00 , 28, 216. 27 6, 846,180. 59 | 7, 588, 509.51 6, 775, 518.80 ! 266 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, arranged NORTH CAROLINA. DECEMBER 12. FEBRUARY 26. ...... 18 banks. 18 banks. $4, 927, 096.91 Loans and discounts. \ $4, 884, 730.50 Bonds for circulation. 716, 000. 00 716, 000. 00 Bonds for deposits...! 100,000.00 100, 000. 00 TJ. S. bonds on hand ' 312, 230. 26 Other stocks and b'ds 266,471.64 Due from res've ag'ts.! 612, 982. 98 826, 639. 67 Due from nat'lbanks. i 402,851.15 431,344. 82 Due from State banks] 83, 283. 90 87, 522.98 Real estate, etc ; 238, 717.48 220, 862. 58 Current expenses \ 61,755. 53 34, 576. 67 Premiums paid 76,414.39 74, 941. 01 Cash items i 75, 391. 28 38, 222. 90 Clear'g-house exch'gs' 114, 913.00 Bills of other banks.. 87,514.00 Fractional currency.! 1, 551.56 2, 266.18 Specie i 198, 237.07 281, 911. 51 Legal-tender notes . . 313, 727.00 338, 913.00 Resources. 1 5 % fund with Treas 1 Due from U. S. Treas. Total ! 31, 524. 66 690.00 8,151,843.14 SO i 16 banks. Loans and discounts. $4, 615,968. 26 468, 500. 00 Bonds for circulation. 625, 000.00 Bonds for deposits... 28,100. 00 TJ. S. bonds on hand.. 902, 523. 07 Other stocks and b'ds 651, 446.52 Due from res've ag'ts. 264, 464. 88 Due from nat'l banks. 198, 372. 03 Due from State banks 182, 291. 84 Heal estate, etc 86, 037. 70 Current expenses 47,671. 88 Premiums paid 112, 055. 17 Cash items Clear'g-house exch'gs Bills of other banks- 93, 643. 00 Fractional currency. 5,213.18 Specie 257, 603. 00 Legal-tender notes . . 442, 057.00 TJ. S. cert's of deposit. 5 % fund with Treas. 21, 082.00 Due from IT. S. Treas. 4,100.00 Total 97 006,129.53 31, 529. 50 1, 850. 00 8, 540, 820. 99 MAY 13. 18 banks. $5,200, 923.62 718, 000. 00 100, 000.00 JULY 12. SEPTEMBER 30. 18 b a n k s . . 19 b a n k s . $5, 390, 648. 71 $5, 897, 256. 35 716, 000.00 736,250.00 100, 000. 00 100, 000. 00 303, 260. 49 646, 873. 94 352, 737. 39 73, 246. 59 243, 881. 71 53, 930. 00 88, 546. 89 54, 244.33 323,473.36 451, 532. 37 223, 948. 83 77,143. 86 245, 699.18 6, 748. 54 83, 259. 39 33,321.04 367,748.32 312,693. 78 208, 329.18 96, 875.37 259, 688. 31 40, 548, 85 93,681.27 80, 716.21 115,298. 66 3, 220. 71 321, 772. 88 279, 301.00 76,101. 00 3,445. 22 291, 720.45 254,165. 00 129, 765. 00 3,763. 44 263, 277. 85 267, 812.00 28, 509. 50 2, 496. 00 8, 586, 243. 05 30, 870.66 4,149. 00 8, 312, 225. 95 29, 323. 75 2, 325. 75 8, 890, 055.43 16 b a n k s . 16 banks. UTH CA ROLINA 16 banks. 16 banks. $5, 038, 545. 88 437, 250. 00 625, 000.00 3,100. 00 922,988.07 325, 564. 76 410,219.49 88, 383. 53 193, 904. 49 27, 474.52 32,843.75 52,265.46 $5, 770, 787. 37 437, 250. 00 575, 000. 00 3,100. 00 751, 738.05 146,765.12 128, 324. 55 85, 835. 27 198, 507.10 78,958.41 25, 031.25 45, 699.21 $5, 983, 753.14 ~$6,255,341.39 437, 250. 00 437, 250. 00 575, 000. 00 575, 000. 00 5,100.00 100.00 721, 876. 57 732, 380. 23 171, 242.88 201,147. 01 223, 528. 05 113,931.06 148, 569.67 54, 424.46 203, 206.20 202, 823. 43 42, 007. 32 3, 947. 90 16, 859. 37 21, 859. 37 74, 862. 23 27,757. 99 73, 875.00 5, 935. 79 328, 909.65 413, 523. 00 62, 486.00 4, 904.89 273, 033. 59 289,188. 00 30, 803. 00 3, 303.22 332,856.78 239, 352. 00 75, 940. 66 2, 669. 93 215, 430.90 394, 535.00 18, 886.90 22,996.40 19, 675. 50 10,418.00 19, 676.25 1, 599. 00 19,166. 25 3, 999.00 9, 021, 666.69 8,906,702. 31 8, 981, 964. 84 9, 586, 584. 76 GE OR GI A. 25 banks. Loans and discounts. Bonds for circulate on. Bonds for deposits... XT. S. bonds on hand Other stocks and b'ds Due from res've ag'ts. Due from nat'l banks. Due from State banks Real estate, etc Current expenses Premiums paid Cash items Clear'g-house exch'gs Bills of other banks'.. Fractional currency Specie Legal-tender notes . . F. S. cert's of deposit. 5 %fnnd with Treas. Due fromU. S. Treas. Total 25 banks. 29 b a n k s . 27 banks. 27 b a n k s . 369, 416. 85 819,177.43 347, 606. 68 240,632.15 481, 583. 38 44, 45G. 85 82, 865. 20 123, 627. 96 $7, 928, 591. 43 962, 500. 00 150, 000. 00 1, 000. 00 376,117.93 640, 242.67 353,299. 08 321, 344.74 457, 373.73 92, 789. 41 133, 486. 32 120,806. 79 $8,136, 095. 51 920,500.00 150, 000. 00 1, 000. 00 347, 684.18 520, 483.70 315, 911.90 185, 099. 28 482, 852.47 12, 876. 90 130,362.18 81, 641. 73 $9, 693, 916. 83 945, 500.00 150, 000. 00 1, 000. 00 339, 621. 45 433, 384.39 332, 885. 53 335, 856. 00 483, 957. 41 70, 444.15 136, 560. 07 138, 004.36 232, 914. 00 4, 033. 78 510,176.98 475,134. 00 411,111.00 5, 985. 56 679, 033. 23 610, 449. 00 326,106.00 9, 702. 58 780, 693. 03 523, 754.00 243,431.00 7, 634.29 635, 975.68 531, 034. 00 227, 032. 00 8, 229. 91 489,717.19 713,935.00 41, 338. 00 31, 366. 59 44, 004. 61 21, 441.17 41, 68*. 15 33, 333. 52 39,799.85 10, 863. 58 37, 783,25 5, 030.11 13,161, 366. 84 13, 063, 480. 61 13, 252, 829. 38 12, 753, 246.25 14, 542, 857. 65 $8,005, 093.99 997, 000.00 150, 000.00 $7, 635, 089. 54 997, 000. 00 150,000. 00 407,457. 90 666,142.47 456, 580. 31 309, 972. 65 479,172.27 124, 264.14 80, 612. 59 190,107.17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 267 by States and reserve cities —Continued. NO RTH C AROLIN A. DECEMBER 12. FEBRUARY 26. MAY 13. JULY 12. 18 b a n k s . 18 b a n k s . 1$ b a n k s . 18 b a n k s . $2, 276, 000.00 $2, 276, 000. 00 $2, 276, 000.00 $2, 426, 000.00 Liabilities. SEPTEMBER 30. 19 b a n k s . Capital stock j $2,276,000.00 Surplus fund Undivided profits ! i 562, 242. 99 357, 719.16 574, 242. 53 ! 282, 572. Ii9 i 578, 242. 53 366, 850. 26 586,154. 53 284,414.00 * 593,517.92 351, 006.99 Nat'1-bank circulation j State-bank circulation 601,160. 00 601, 220. 00 598, 990. 00 599, 330.00 611, 255.00 Dividends unpaid 4,564.30 4,113. 84 2, 692. 50 4, 783. 50 3,121. 50 3, 692, 404. 08 77,352.46 32, 647. 54 4, 312, 855. 81 87, 225. 58 22, 774.42 4, 291, 653. 84 75, 984.01 34, 015.99 3, 955,276.19 97,307.76 12, 872. 24 3, 945, 545. 78 82, 610. 50 27, 389. 50 Due to national banks j Due to State banks... ; 192,136.15 90, 381.18 152, 546.20 76, 564. 40 140,227.12 88, 719. 32 108, 804.18 78, 208. 97 157, 071. 67 69, 508. 33 Notes re-discounted.. Bills payable 255, 235.48 10, 000.00 150, 705. 92 132, 867. 48 264, 074. 58 45, 000. 00 503, 028. 24 120, U00.00 8,151, 843.14 8, 540, 820.99 8, 586, 243. 05 8, 312, 225.95 8, 890, 055. 43 1 Individual deposits .. i >• TJ. S. deposits Dep'ts U.S.dis.officers Total j S O UTH CAROLINA 16 b a n k s . 16 b a n k s . 16 b a n k s . 16 b a n k s . $1, 773, 000. 00 $1, 798, 000. 00 $1, 798,000.00 $1, 798, 000.00 $1, 798, 000. 00 Surplus fund "Undivided profits 787, 800.00 888, 661. 94 806, 500. 00 845, 286. 87 836, 500. 00 935, 127. 95 842, 500.00 811, 732.82 842, 500. 00 864, 271.38 !N"at'l-bank circulation State-bank circulation 392, 210. 00 353,100. 00 366, 870.00 368, 555.00 391,120.00 Capital stock Dividends unpaid 16 b a n k s . 10, 829. 50 13, 250.00 11, 644.50 22, 484. 50 13, 515. 50 Individual deposits... TJ. S. deposits Dep'ts TJ.S.dis.oflicers Due to national banks Due to State banks... 3, 840, 071. 55 635, 680.18 42, 424. 81 3, 758, 923. 65 613, 379.43 55, 088. 95 3, 466, 002. 21 568, 610.10 52, 860. 95 3,171, 322. 50 601,973. 71 24, 503. 00 3,124, 972. 74 577, 346. 06 44, 281.86 227, 386.68 275, 564.87 236, 249. 22 481, 888. 57 168, 259. 06 294, 483.37 262. 296. 40 330, 986. 74 295, 326.94 308, 980. 41 Notes re-discounted.. Bills payable 12, 500.00 120,000. 00 20,000.00 40, 000. 00 143, 344.17 265, 000.00 360,110.17 387, 500. 00 661, 269.87 665, 000.00 9, 006,129.53 9, 021, 666. 69 8, 906, 702.31 8, 981, 964. 84 9, 586, 584.76 25 b a n k s . 25 banks. 27 b a n k s . 27 b a n k s . $3,471, 000. 00 $3,471, 000. 00 $3, 651, 000. 00 $3, 661,560. 00 $3, 752, 200. 00 1, 055,460.30 752,193. 62 1,109, 943. 46 572, 087. 03 1, 064, 936. 85 725, 045. 28 1,127, 914.01 539,980.71 1,127, 914. 01 683, 061.07 850, 670. 00 811, 540. 00 831, 630. 00 797, 920.00 839, 680.00 Total G-E ORGI A. Capital stock Surplus fund Undivided profits Nat'1-bank circulation State-bank circulation Dividends unpaid 29 banks. 2, 058. 00 4, 525. 00 3, 611. 03 16,136. 50 4, 093. 50 Individual deposits.. U. S. deposits Dep'ts U.S.dis.officers 5, 326, 350. 24 92,192. 64 93, 606. 26 5, 903, 010. 37 92, 560. 52 81, 058. 66 5, 812, 890.15 88/994. 21 83, 304. 69 5, 392,124. 58 89, 444. 02 66, 388.47 6, 214, 364. 84 68,125.62 99,208.10 Due to national banks Due to State banks... 363, 774.97 336, 239. 68 398, 539. 27 352, 938. 03 364, 090. 42 325, 246. 70 243, 383.12 335, 020. 63 327, 672. 92 375, 958. 68 Notes re-discounted.. Bills payable 495, 712.80 322,108.33 266, 278. 27 202, 080. 05 100, 000.00 406, 010. 43 77, 363.78 1, 000, 578. 91 50, 000. 0G 13,161, 366. 84 13, 063, 480. 61 13, 252, 829. 38 12, 753, 246.25 14, 542, 857.65 Total 268 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, arranged FLORIDA. DECEMBER 12. FEBRUARY 26. MAY 13. JULY 12. 13 banks. 13 b a n k s . 13 b a n k s . 13 b a n k s . 13 b a n k s . $2, 278, 712. 86 292, 500. 00 200, 000. 00 $2,458,941.96 292, 500. 00 200, 000. 00 Loans and discounts - $1, 966, 876. 32 280,000.00 Bonds for circulation. Bonds for deposits . . 200, 000. 00 TJ S bonds on hand 126, 263.13 Other stocks and b'ds 324,130. 95 Due from res've ag'ts. 116,153. 91 Due from nat'l banks. 73,209.55 Due from State banks 176,132. 29 Real estate, etc 32, 644. 08 Current expenses 62, 052. 57 Premiums paid Cash items 25, 097. 72 Clear' "--house exch'gs Bills of other banks.. lie, 4oi. 66 1, 553. 77 Fractional currency. 84, 461. 33 Specie 159,439.00 Legal-tender notes . . TJ. S. cert's of deposit. 11, 871. 97 5 % fund with Treas. Dn « from U S Treas $2,127,022.16 280, 000.00 200, 000. 00 5, 900. 00 115, 924. 34 340,697.34 260, 047. 06 100, 377. 24 189, 504. 56 38,181.16 64, 047. 82 47, 675.45 $2,196, 736. 64 280, 000. 00 200, 000. 00 136,104.00 1, 733. 78 '104, 294. (55 177, 242. 00 98, 792.66 1,129. 89 148, 033.25 172, 580. 00 12, 062. 57 12, 598. 50 964 57 3, 756,337. 59 4, 200, 814.13 Total 119, 647, 295, 109, 200, 43, 62, 44, 385. 04 507. 90 456. 24 311.14 805.52 636. 43 345.94 072. 41 4, 633, 355. 47 140, 438, 296, 72, 202, 25, 62, 32, 472.40 827.45 011. 52 577. 69 559. 95 552. 41 200. 32 828. 52 93, 230. 00 1, 021. 27 142, 740. 50 169, 384. 00 12, 853. 50 1 464 57 4, 462, 936. 96 SEPTEMBER 30. 137,739.48 283, 020. 23 110,321.21 64, 560. 86 199, 590.46 40, 066. IS 60, 530.91 28, 354.47 110, 1, 108 167, 236. 680. 812 714. 00 80 60 00 13,161. 00 1 324 57 4, 278, 554. 73 ALABAMA. 22 b a n k s . 22 banks. Loans and discounts. Bonds for circulation. Bonds for deposits . XT. S. bonds on h a n d . . Other stocks and b'ds Due from res've ag'ts. Due from nat'l banks Due from State banks Real estate, etc Current expenses Premiums paid Cash items Clear'g-house exch'gs Bills of other b a n k s . . Fractional currency. Specie Legal-tender notes . . U. S. cert's of deposit. 5 % fund with Treas. Due from IT. S. Treas. 24 b a n k s . 25 b a n k s . 25 b a n k s . $7, 011,164. 29 875, 500. 00 300, 000. 00 $6, 877,349. 69 900, 500. 00 300, 000. 00 $7,186, 325. 72 918, 000. 00 300, 000. 00 $7, 772, 407.27 912, 500.00 250, 000. 00 $8, 274, 806. 79 962, 500.00 250, 000. 00 833,137.55 1, 056, 695. 80 494, 415. 48 252, 833. 02 441, 644. 66 103, 451. 82 119, 717.15 36,499.50 892, 99i. 91 1, 273, 236. 20 809, 586. 92 302, 984.47 455, 656.16 38, 573. 51 116, 404.65 89, 823. 84 826, 416. 87 1, 051, 526. 63 923, 244. 73 338,984.41 471, 061. 80 104, 290. 32 126, 568. 70 56, 310. 36 808, 266. 87 894, 450. 93 716,306.15 260, 412.19 481, 867. 68 16, 390.18 134,311.33 70, 043.82 816,886.96 1, 316, 874. 98 745, 957. 40 235, 493. 86 499, 504.48 69, 765.17 133,371.34 68, 484.16 794. 00 520. 65 445.19 272. 00 198,123. 00 3, 503. 90 417, 375. 6s) 357, 854.00 232, 975.00 4,037.48 401,782.05 602, 891. 00 174, 2, 327, 407, 861. 531. 069. 701. 00 89 07 00 161, 2, 398, 420, 053. 00 792. 82 780. 94 094. 00 226, 3, 527, 424, 38, 732. 50 3, 804. 69 41, 309. 50 10, 647.19 37, 210. 00 3, 365. 54 40, 752. 50 1,765.54 12,480, 06679*T Total 37, 847. 50 4, 997.25 13, 082, 365.30 13, 536, 718. 07 13,334,388.55 14, 657, 848.71 MISSISSIPPI. 12 banks. $2,521,814.13 Loans and discounts 332, 500.00 Bonds for circulation Bonds for deposits... U. S. bonds on hand.. 30, 000.00 Other stocks and b'ds; 80, 791.18 Due from res Ve ag'ts 286, 746. 96 Due from nat'lbanks. 156,324.47 Due from State banks 45, 033. 00 74, 788. 08 Heal estate, etc 45, 595.02 Current expenses t 35, 843. 07 Premiums paid ! 30, 913.50 Cash items Clear'g-house exch'gs 24, 068.00 Bills of other banks..! 993. 01 Fractional currency.! Specie j 192, 363. 00 Legal-tender notes . . 166, 850. 00 TJ. S. cert's of deposit. • 5 % fund with Treas. j 14,812.50 Due fromTJ.S.TreJis , 320.00 Total I ' 4,039,755.92 12 b a n k s . 12 b a n k s . 12 b a n k s . 12 b a n k s . $2, 271, 654. 75 332, 500. 00 $2, 430,100. 92 338, 750. 00 $2, 597, 289. 55 338, 750. 00 $2, 894, 714. 53 338, 750. 00 60, 318.19 763, 920. 78 249, 238. 37 73, 455. 04 80, 684. 34 18,114. 96 32, 615. 96 37, 613. 84 109, 797. 50 499, 069.39 153, 030. 53 82, 942. 77 89, 209.11 39, 201. 31 60, 937. 41 13,794. 50 128, 416. 24 168, 485. 28 68,557.42 46. 309. 23 88'015.77 4, 860. 78 58, 474.43 13, 630. 72 151, 617. 71 159, 972. 97 60, 259. 20 49, 924. 54 88, 194.58 30, 531. 66 58, 474. 43 24, 279. 34 39, 000. 00 1, 592. 88 180, 053. 35 276, 952. 00 30,151. 00 2, 223. 90 158, 605. 31 174, 753. 00 23, 2, 179, 133, 623. 00 374.30 577. 65 409.00 21, 105. 00 1, 613.41 124, 504. 65 173, 525. 00 13,642.50 10,669.25 15, 242. 50 11, 280.00 3, 876, 085.12 4, 203, 988. 52 13,152. 50 7, 450. 00 4,438,316.96 j 15, 072. 50 18,281.45 ! 4, 215, 920. e REPORT OF THE COMPTROLLER OF THE CURRENCY. 269 by /States and reserve cities—Continued. FLORIDA. DECEMBER 12. FEBRUARY 26. SEPTEMBER 30. MAY 13. JULY 12. 13 b a n k s . 13 banks. 13 banks. 13 b a n k s . $900,000. 00 $900, 000. 00 $900,000.00 $950,00D. 00 13 b a n k s . $950, 000. 00 Surplus fund Undivided profits 101, 320.00 91, 455. 20 106, 300. 00 90, 430. 60 118, 300. 00 96, 380. 73 130, 650. 00 72, 077. 83 130, 875.00 105, 632. 00 Nat'1-bank circulation State-bank circulation 197, 600. 00 194, GOO. 00 197, 360.00 201, 440.00 239,190.00 Liabilities. Capital stock • 18.00 702. 00 790. 00 485. 00 50.00 Individual deposits . . TJ. S. deposits Dep'ts IT. S.dis. officers 2, 022, 225.38 146, 822. 38 67, 222. 77 2, 531,448. 65 200, 823.61 6, 915. 97 2, 866, 071.17 203, 902. 21 3, 659. 98 2, 596, 546.38 205, 332. 56' 1,730.83 2,352,328.43 196,161. 57 11,165. 61 Due to national banks Due to State banks... 80, 985.47 54, 949. 44 81, 895.16 52, 596. 76 102, 465.73 93, 315.18 129, 303. 72 94, 963.91 104, 247.39 70, 934. 36 Notes re-discounted. Bills payable 47, 696.45 46, 042. 50 12, 801.38 22, 000.00 41,110.47 10, 000. 00 58,406.73 22, 000. 00 88, 970. 37 29, 000.00 3, 756, 337. 59 4, 200, 814. IB 4,633, 355. 47 4, 462, 936.96 4, 278, 554.73 Dividends unpaid Total AL AB AM A. 22 banks. 22 banks. 24 banks. 25 banks. $3, 574, 000. 00 $3, 689, 000. 00 $3, 829, 000. 00 $3, 891,100. 00 $3, 953, 200.00 Surplus fund Undivided profits 725,601. 65 619, 498.12 795, 641.39 512, 379. 30 904, 222.24 635, 658.15 937,888. 62 442, 486. 02 938, 388. 62 543, 529. 30 Xat'1-bank circulation State-bank circulation 752, 710.00 767, 615. 00 806,145. 00 758, 730.00 838, 080. 00 Capital stock 25 banks. 4,165.00 4,112. 20 1, 843.00 15, 049.00 2, 501.00 Individual deposits... U. S. deposits Dep'ts U. S.dis. officers 5, 349, 605. 23 291, 426. 35 3,440.35 6,146, 958.22 286, 645. 76 11, 945.44 6, 099, 677.05 285, 062. 69 6, 544. 23 6, 008, 817.88 242, 286. 54 5, 351. 94 6,739,138.84 235, 884.25 13, 608.69 Due to national banks Due to State b a n k s . . . 241,412. 98 118, 848. 82 319, 385.59 143,424.11 368,466.83 161, 332. 08 305, 434.48 111, 266.81 361, 015. 34 207, 464.05 Kotes re-discounted.. Bills payable 695, 958.48 103, 400. 00 325,258.29 80, 000.00 418,766. 80 20, 000. 00 575, 977. 26 40, 000. 00 702, 038.62 123, 000.00 12,480, 066798; 13, 082, 365.30 13,536, 718. 07 137334, 388. 55 14, 657, 848.71 Dividends unpaid Total MISSISSIPPI. 12 b a n k s . 12 b a n k s . 12 banks. 12 b a n k s . $1,105,000. 00 $1,105,000.00 $1,130, 000.00 $1,130,000.00 $1,130,000.00 Surplus fund Undivided profits 242,289.59 151, 697. 81 277, 300.88 109,354.67 267,300.88 162,147.65 311, 300.00 72,258.29 311,300.00 112,647.24 .Nat'1-bank circulation State-bank circulation 292, 960. 00 286, 800.00 282, 300.00 282, 530.00 298,390.00 Capital stock 12 banks. 25.00 470. 00 930. 00 4,167.00 95.00 Individual deposits... U. S. deposits Dep'ts U. S.dis. officers 1,926, 814.74 2, 545, 967. 06 2,191, 554.14 1,849,971.61 1,660,341.39 Due to national banks Due to State banks... 78, 357. 46 15, 330.46 56,592.94 27, 002.16 42, 007.28 38, 397. 68 55, 893. 77 10, 928. 99 125, 052.20 29,787.18 Notes re-discounted.. Bills payable 162, 280. 86 65, 000.00 29, 704. 25 125.00 101,157.97 125.00 151, 535.46 7, 500.00 518,875.51 17, 500.00 4, 039, 755.92 4, 438,316. 96 4,215, 920.60 3, 876, 085.12 4,203,988.52 Dividends unpaid Total 270 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4,1888, arranged LOUISIANA. Resources. DECEMBER 12. 5 banks. Loans and discount s $1, 356,678. 54 125, 000. 00 Bonds for circulation 100, 000. 00 Bonds for deposits .. 20, 000.00 IT. S. bonds on hand.. 48, 364. 60 Other stock and b'ds 159, 634.28 Due from res've ag'ts 21, 908.15 Due fromnat'l banks 31, 679. 72 Due from State banks 9,354. 34 Heal estate, etc 14, 509.17 Current expenses 26, 894. 36 Premiums paid 5,058.25 Cash items Clear'g-house exch'gs Bills of other banks . 12, 830.00 Fractional currency. 538.39 Specie 113,161. 75 Legal-tender notes .. 72, 610. 00 IT. S. cert's of deposit 5 % fund with Treas. 5,624.50 Due from U. S. Treas Total 2,123,846.05 FEBRUARY 26. MAY 13. 5 banks. $941, 490. 95 125,000. 00 100,000. 00 20,000.00 37, 064. 86 280, 728. 07 156, 757. 83 29, 546. 34 24, 355. 01 4,431. 55 11,421.88 7, 092.17 5 banks. JULY 12. 5 banks. SEPTEMBER 30. 6 banks. $948, 533.66 125, 000.00 100, 000.00 20, 000. 00 48, 720.36 174. 665.07 152,432.70 43, 547.44 25,423.01 17,161.25 11,140.63 4, 856. 24 $1,119, 862.56 125, 000.00 100, 000.00 20, 000. 00 20, 481. 01 78,199.19 48, 606. 83 20, 060.70 25, 200. 01 389. 36 10,109.38 3,180. 08 SI, 467, 371.02 140, 000. 00 100, 000.00 15, 000.00 19, 432.07 93,160.00 15, 422.43 19,406.41 27, 324.63 8,535.67 13,940. 63 9,851.46 54, 545.00 617. 63 270,022.95 85,329.00 18, 895. 00 647. 81 184, 633.60 63, 647.00 11,565.00 738. 62 173, 606.00 66, 539. 00 28,340.66 1,842.00 98, 461.85 70, 017. 00 5, 624.50 5,000. 00 5, 614.50 5, 625. 00 6, 300. 00 219.41 2,159,027.74 1,944,918.27 1,829,162.74 2,134,624.58 CITY OF NEW ORLEANS. 8 banks. 8 banks. 9 banks. 9 banks. 9 banks. Loans and discounts. $11, 501, 567.01 £L07918, 982.33 $11, 858, 781.32 #ll7541, 097.21 $13, 651, 814. 51 1, 375, 000.00 1, 050, 000. 00 1,150, 000. 00 1, 050, 000.00 1, 050, 000. 00 Bonds for circulation 600, 000. 00 Bonds for deposits . . 500, 000. 00 500, 000.00 500, 000.00 500, 000. 00 TJ. S. bonds on hand.. 40, 200. 00 203, 300.00 202, 150. 00 4, 450. 00 4, 400. 00 Other stocks and b'ds 2, 071, 889.34 1, 982, 159. 59 2,006,318.14 2, 300, 533.22 2, 271, 465.27 Due from res' ve ag'ts 1, 273, 552.30 1,163, 930.65 1,122, 448. 58 1,147, 335.99 541,414.51 Due from nat'l banks 713, 000. 44 578, 977. 93 697, 742.19 468, 730.07 606, 790. 94 Due from State banks 464, 710. 90 53U, 245. 86 737, 970. 64 343, 306. 68 388, 670.46 401,015.22 Real estate, etc 406, 706. 42 391, 990.17 400, 836. 22 394, 328. 51 11% 274. 32 149, 062. 85 42, 488. 35 8, 589. 63 Current expenses 130, 496. 43 259, 150. 01 260, 419. 79 259, 200. 21 Premiums paid 296,252.91 266, 361. 71 4, 535. 43 4, 786. 09 5, 147. 45 Cash items 6, 226. 26 11, 138.12 1, 591, 703. 76 695, 655. 74 1, 276, 628.39 Clear'g-house exch'gs 1, 350,179.13 1, 052, 755. 33 119, 226. 00 175. 004. 00 Bills of other b a n k s . . 129, 771. 00 108,712.00 156, 329. 00 10,395.11 Fractional currency . 8, 884. 78 10, 436.69 8,100. 24 7, 943. 88 1, 498, 409. 01 . Specie '... 1, 260, 782. 00 1, 299, 270. 20 627,162.15 1, 233, 372. 95 Legal-tender notes . - 1, 320, 562. 00 2, 326, 005. 00 1, 594, 848.00 979, 81.7. 00 1, 580, 846. 00 TJ. S. cert's of deposit 61, 875. 00 5 % fund with Treas. 47, 250.00 46, 250. 00 51,750.00 47, 250. 00 Due from U. S. Treas 12, 400. 00 1, 800. 00 1, 650. 00 -I Total 23,175,100.80 23, 535, 346. 67 ; 22, 907, 665. 91 j 21,144, 580.29 23, 358, 372.87 TEXAS. 100 banks. 101 banks. 110 banks. 115 banks. 127 banks. Loans and discounts $24, 836, 880. 04 $23, 554,198. 52 $25, 395, 864. 84 $26,142,589.18 $30,749,091.83 2, 634, 000.00 2, 650, 250.00 2, 860, 800.00 2, 963,050. 00 3,170, 050. 00 Bonds for circulation 450, 000.00 450, 000. 00 450, 000. 00 500, 000. 00 518, 000. 00 Bonds for deposits... 50, 000. 00 25, 000.00 TJ S bonds on hand 559, 893. 92 527, 029. 89 572, 416.35 597, 087. 51 689, 582. 66 Other stocks and b'ds 2, 998, 620. 27 1,818,138.14 1, 927, 544. 33 2,119,755.30 2, 898, 386. 10 Due from res've ag'ts. 2, 094, 313. 66 2, 099, 872. 99 1, 578, 900.86 1, 957, 832. 78 2, 330, 450. 71 Due from nat'l banks 980, 639. 06 954, 742. 77 973, 818. 43 938, 284. 42 1, 314, 807.30 Due from State banks 1,493,425.11 1, 487, 446. 97 1, 460,199. 50 1, 537, 737. 39 1,637,089.21 Real estate, etc 157, 513. 55 322, 442. 69 385, 234. 83 92, 552. 85 254, 658. 90 Current expenses 357, 839. 86 425. 691. 60 364, 034.84 469, 393. 37 586, 383. 23 Premiums paid 250, 040. 80 339, 360. 61 320, 653.09 278,177.75 383, 843.98 Cash items Clear'g-house exch'gs 546, 301. 00 Bills of other b a n k s . . 768,850. 00 492, 040. 66 572, 818.00 626, 888. 00 16, 226. 29 Fractional currency . 18, 283. 94 21, 433. 45 21,602.43 18, 350. 88 Specie 1, 331,106. 70 1, 688,447.52 1,388,060.13 1,521,625.50 1,118,226.50 Legal-tender notes . . 2,312,251.00 2,147, 049. 00 2, 011, 919. 00 2, 466, 907. 00 1, 896, 310. 00 U. S. cert's of deposit. 5 % fund with Treas. 115, 975.75 117,189.25 il9, 358.25 i 130,124.75 135, 574. 75 Due from TJ. S. Treas. 6,252.74 11, 444.21 10, 256. 96 12,817.91 ; 23,625.41 Total 39,415,854. 75 40, 512, 013.42 : 40, 887,149. 24 41, 878, 235.64 48, 859, £80.26 REPORT OF THE COMPTROLLER S OF,THE CURRENCY. 271 ates and reserve cities—Continued. LOUISIANA. DECEMBER 12. FEBRUARY 26. MAY 13. JULY 12. SEPTEMBER 30. 5 banks. 5 banks. 5 banks. 5 banks. 6 banks. $500, 000. 00 $500, 000. 00 $500, 000. 00 $500, 000.00 $560,000. 00 84, 214.06 76, 288, 58 101, 033.31 41, 336. 42 101, 033. 31 63, 258. 90 108, 000. 00 32, 271. 96 108, 000.00 57,706.72 109, 310. 00 106, 625.00 103, 865.00 102,170. 00 124, 735. 00 Liabilities. Capital stock Surplus fund Undivided profits Nat'1-bank circulation State-bank circulation Dividends unpaid 76.00 108.00 72.00 368. 00 104.00 Individual deposits.. U. S. deposits Dep'tsU.S.dis. officers 992,293. 95 110, 000. 00 1, 276, 093. 37 110, 000. 00 1, 065,434.14 110, 000. 00 938, 760.13 110, 000. 00 825, 366.32 110,000.00 Due to national banks Due to State banks .. 10,440.41 286.17 13, 094. 64 737. 00 1, 046. 05 208. 87 2, 809.46 377.45 42, 523.78 498.16 Notes re-discounted.. Bills payable 195, 936. 88 45, 000.00 10, 000.00 34,405.74 265, 690.60 40,000.00 2,123, 846. 05 2,159, 027. 74 1, 829,162. 74 2,134,624.58 Total ' CITY OP 1, 944, 918. 27 N E WORLE A N S . 8 banks. 8 banks. 9 banks. $2,925,000.00 $2,925,000.00 $3,125,000. 00 $3,125,000.00 I $3,125,000.00 Surplus fund Undivided profits 1, 424, 000. 00 500, 591.86 1, 471, 000. 00 338, 636. 06 1, 471, 000.00 593,801. 07 1,550,125.00 , 334,198.03 j 1,550,125.00 511, 911.47 Nat'1-bank circulation State-bank circulation 1, 235, 595. 00 1. 012, 645. 00 863, 445. 00 921,445.00 i 922,745.-00 Capital stock Dividends unpaid 9 banks. 36,307.58 • 9 banks. 15,228.83 11, 728.57 17, 399. 57 13, 595. 57 Individual d e p o s i t s . . . U. S. deposits Dep'ts U.S.dis. officers 12, 763, 879.05 641,489.85 14, 278, 725. 76 551, 416.88 14,091,214.70 553, 492. 43 12, 544, 317.14 551,566.47 12, 054, 463.33 551,573.22 Due to national banks Due to State b a n k s . . . 1,171, 377. 90 1, 737, 522.37 1, 631, 616. 84 1, 308, 906. 56 1,339,441.52 856,675. 62 1,083,487.82 997,133. 25 1,737,745.10 1, 424,423. 83 Notes re-discounted.. Bills pavable 283, 916. 20 480, 000. 00 Total "23^175,100.80 1,000.00 23, 535, 346. 67 22, 907, 665. 91 21,144, 580. 29 889 888 41 575,168.68 23, 358, 372. 87 TEXAS. j Surplus fund Undivided profits 101 banks. $11,837,800.00 Capital stock.. 100 b a n k s . $11,962,800.00 ; Nat'1-bank circulation State-bank circulation . Dividends unpaid 115 banks. $12,922,849.00 $13, 408, 690. 50 $14, 325, 750. 50 2, 758, 979. 94 1, 704, 302. 77 3,005,215.47 ! 997,005.79 : 2,937,170.47 I 1,484,040.89 I 3,156,701.24 906,447.71 3,175, 029. 78 1, 351, 780.82 2, 333,255.00 2,298,610.00 : 2,372,830.00 \ 2,526,520.00 2, 693,175.00 j 14,274.67 ! 3,136.00 76, 363. 00 13, 465. 00 18, 497, 231. 84 ' 323,473.65 142,053.25 , 17, 277, 922.42 332, 580.16 106, 332.71 18, 002, 037. 03 346, 256.13 104, 561. 72 21, 451, 587.91 338,157.04 173, 916.40 1,593,179.36 882,764.91 1, 687, 826. 45 775, 561. 73 1, 476, 532,12 719,910.02 1,727,885.19 705, 650.13 729,404.48 ' 66, 000. 00 968, 899.41 18, 000. 00 1,129, 216.17 25, 000. 00 2, 575, 582.99 327, 600. 00 | 39,415, 854. 75 i 40, 512, 013. 42 i 40, 887,149.24 41, 878, 235. 64 48, 859, 580. 26 3, 615. 00 Individual deposits.. ' U. S. deposits | Dep'ts U.S.dis.officers; 17,031,845.12 251,597.71 ; 174, 578. 98 Due to national banks Due to State b a n k s . . . j 1,189,342.47 748, 430.32 Notes re-discounted.. j Bills payable I 1,138,607.44 ; 243,500.00 Total 127 b a n k s . 110 banks. ; 272 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, arranged ARKANSAS. DECEMBER 12. Loans and discounts. Bonds for circulation Bonds for deposits... U. S. bonds on hand.. Other stocks and b'ds Due from res've ag'ts Due from nat'1 banks. Due from State banks Real estate, etc Current expenses Premiums paid Cash items Clear'g-house exch'gs Bills or other banks.. Fractional currency. Specie Legal-tender notes... TJ. S. cert's of deposit 5 % fund with Treas. Due from U. S. Treas. Total FEBRUARY 26. MAY 13. JULY 12. 7 banks. Resources. 7 banks. 7 banks. 8 banks. 8 banks. $2, 683,144.16 410, 000. 00 150, 000, 00 55, 700.00 46,112.57 437, 472. 63 142, 286.08 106, 461. 27 33,462. 93 7, 295. 94 84, 677. 50 42, 367.21 $2, 546, 913. 60 410, 000. 00 150, 000. 00 55, 700. 00 54, 6 »8.06 822, 048. 27 143, 001. 75 121, 865.13 28, 466. 82 1, 666. 85 74, 627. 50 20, 24d. 82 $2, 616,478.66 360, 000. 00 250, 000. 00 5, 700. 00 43, 250. 95 605,103.18 210,107.48 132, 303. 81 28,467.87 18, 831.29 72, 096. 25 4, 393. 59 $2, 838, 562.49 322, 500. 00 300, 000. 00 45,700. 00 19, 929. 41 368, 750.21 76, 009.70 97, 954.86 34,141.18 3, 510. 80 84, 893.13 6, 377.99 $3, 302, 529.32 322, 500.00 300, 000. 00 45, 000. 00 14, 530.71 284,318.99 37,169.12 48, 974. 36 33, 925/18 4, 779. 78 84,412.38 9, 880.69 71, 305.00 571. 99 152, 632.00 159, 346.00 42, 739. 00 536.11 155, 952.90 119, 358. 00 59, 845. 00 1,428. 54 167,194.80 140, 501. 00 48,017.66 594. 77 141, 327.95 123, 354.00 29, 682.00 487. 29 135, 660.15 97,145. 00 18,450. 00 709. 79 18, 385. 00 28,146. 90 16, 200.00 100 00 13, 950.00 13, 572. 50 4, 601, 995. 07 4, 794, 314. 71 4, 732, 002. 52 4, 525, 573.49 4, 764, 567.47 SEPTEMBER 30. KENTUCKY. 61 b a n k s . Loans and discounts. $18, 839, 524. 97 Bonds for circulation. 2, 949, 500. 00 Bonds for deposits... 1, 445, 000. 00 127,100.00 TJ. S. bonds on hand.. 80i», 751. 51 Other stocks and b'ds Due from res've ag'ts. 1,966, 801. 80 811, 093. 61 Due from nat'lbanks. 318, 240. 91 Due from State banks 547, 435. 60 Real estate, etc 164, 784. 78 Current expenses 377, 969. 09 Premiums paid 70, 559.20 Cash items Clear'g-house exch'gs Bills of other banks.. 207, 761.00 Fractional currency. 3, 578. 95 Specie 541, 315. 65 Legal-tender notes .. 581, 943. 00 IT. S. cert's of deposit. 5 % fund with Treas. 129,330.00 Due from IT. S. Treas. 3, 341.33 29, 895, 031.40 Total 62 b a n k s . 62 b a n k s . 64 b a n k s . $18, 356,496. 01 $18, 940, 216. 50 2, 787, 000. 00 2, 784, 250. 00 1,445,000.00 1,445,000.00 151, 400. 00 154, 800. 00 840, 25*9. 08 867, 626. 26 2, 542, 691. 82 1,929, 663.16 1, 006,676.17 834, 200. 27 361, 672. 34 300, 618. 09 583, 510. 77 584, 573. 81 64,151. 33 124, 602.14 385, 968. 67 411, 885. 98 81, 760. 44 106,100.99 $18,670,569.63 2, 734, 250.00 1, 445, 000. 00 126, 600. 00 909, 050. 60 1, 992, 207.53 781,452. 73 274, 791.70 572, 487. 37 46,164 75 415, 783. 26 101, 957.43 $19, 730, 696.90 2, 721, 750. 00 1, 445, 000. 00 127, 900. 00 913, 766. 58 1, 630, 872.16 846, 459. 61 298, 213. 46 583, 862. 76 128, 744. 47 434, 272.18 102, 978. 73 277, 002. 00 3, 444.71 604, 990. 87 677, 895. 00 206,431.00 4, 507.19 590, 205. 64 595, 839. 00 192,102. 00 5, 419.13 590, 299.07 610, 670.00 200, 634.00 4, 576.41 601, 273. 21 544,782.00 122, 574.50 4, 881. 33 120, 643. 40 3, 202. 83 118, 789. 50 50.00 117,177. 40 30, 297,415. 04 30, 004, 361. 26 29, 587, 644. 70 30, 432, 959.87 63 b a n k s . CITY OP LOUISVILLE. | Loans and discounts Bonds for circulation. Bonds for deposits... TJ. S. bonds on hand Other stocks and b'ds Due from res've ag'ts. Due from nat'l banks Due from State banks Real estate, etc Current expenses Premiums paid Cash items Clear'g-house exch'gs Bills of other banks.. Fractional currency. Specie Legal-tender notes .. TJ. S. cert's of deposit. 5 % fund with Treas Due from U. S. Treas. Total 9 banks. 9 banks. 9 banks. 9 banks. 9 banks. $9, 286, 722. 20 500, 000.00 900, 000.00 $9, 874, 366. 00 500, 000.00 900, 000. 00 $10,837, 038. 71 500, 000. 00 900, 000. 00 $11,126, 531.06 500, 000. 00 800, 000. 00 $11,224,223.39 500, 000.00 800, 000. 00 163, 564.90 907, 070.11 471,144.40 259, 039.02 194, 045.19 45, 581. 76 80, 618.75 51,134. 01 63.060. 28 55, 454.00 733. 64 383,197.55 725, 870.00 151,881.89 1, 061, 483. 92 471, 573. 81 333, 241. 88 ]94, 974. 56 49, 490. 42 141, 743. 75 42, 303. 02 51, 334. 39 76, 324. 00 1,537.28 481, 689. 70 832, 867. 00 168,407.32 678, 843. 93 432,263. 63 281,104.82 177,668.10 31,378.61 141, 743. 75 51, 514. 74 122, 651.14 51, 845.00 1, 020.76 698,871.25 984,738. 00 195, 022. 75 912, 974.68 380, 725.14 265, 054.23 178, 610. 78 34, 964. 73 134, 868.75 30,994.03 82, 880.93 73, 427. 00 722.14 592,187. 70 709, 095.00 190,152. 60 992, 388. 88 584, 722. 41 258,228. 70 250,936.30 87,480.99= 134, 868. 75. 48,947.46 55,725.99 42, 025. 00 1,259.12 471,917.40 937,739.00 22,497. 50 7, 000.00 22, 497. 50 4, 000. 00 22, 497. 50 3,000.00 22,497. 50 5, 000. 00 22,497.50 3, 000.00 14,096, 733.31 15,191,309.12 16, 084, 587.26 16, 045, 556.42 16, 606,113.49 REPORT OF THE COMPTROLLER OF THE CURRENCY. by States and reserve 273 cities—Continued. ARKANSAS. ! i DECEMBER 12. ! FEBRUARY 26. MAY 1 JULY 12. 7 banks. 8 banks. ! SEPTEMBER 30. Liabilities. 7 banks. Capital stock. | 7 banks. $950,000.00 j $1,150,000.00 | $1, 200, 000. 00 $1,050,000.00 191,000.00 ; 153,437.08 ; 196,000.00 83,581.29 368,040.00 Surplus fund Undivided profits Nat'1-bank circulation State-bank circulation 366,940.00 ; 1,203.00 ] Dividends unpaid Individual deposits .. TJ. S. deposits Dep'ts U.S.dis.officersi ! l 8 banks. $1, 200, 000. 00 221,000.00 80,631.59 237, 000. 00 43, 071.19 239, 489.26 75, 551. 44 319,800.00 : 277, 800. 00 288, 850. 00 2,687,486.56 i 117, 985.99 42,014.01 4, 824. 00 2, 705. 00 2,486,024.62 232,469.74 ! 34,279.93 I 2, 273,113.15 291, 959.25 31, 681. 04 2, 331, 742. 31 285, 857. 62 37, 364. 24 16, 651. 84 128, 616. 36 15, 427. 04" 64,196. 05 20, 856.66 2,026.00 2,440,692.65 120, 939. 85 39, 060.15 223, 384. 51 4,525,573.49 4, 764, 567.47 1,415.00 Due to national banks Due to State banks... 119,911.32 j 145,669.07 I 4, 692. 35 229, 588. 51 10, 013.98 ; 182,367.66 ; Notes re-discounted.. Bills payable 52,041.95 20,000.00 14, 000. 00 14,000.00 Total j 4,601,995.07 4,794,314.71 ! 4,732,002.52 KE NTUCKY. 61 b a n k s . Capital stock . Surplus fund Undivided profits Nat'1-bank circulation State-bank circulation 62 b a n k s . 63 banks. 62 b a n k s . $10,129, 250.00 $10, 087, 900. 00 $10, 208, 756. 00 $10,002,900.00 $10,167, 900. 00 2, 393, 533. 78 973, 479. 44 2, 273, 775. 91 716, 569. 56 2,293, 295. 01 967, 538.46 2, 334, 765. 31 632, 465.18 2, 359, 765.31 889, 868. 84 2, 627, 900. 00 2,484, 370.00 2, 459, 790. 00 2,441,730. 00 2, 427,160.00 Dividends unpaid 64 b a n k s . Total 28, 434. 50 31, 739. 00 21, 699. 00 61, 518.00 37, 824. 00 10, 771, 607. 26 1, 536, 701. 95 17, 811.12 11, 834, 606. 37 1, 533, 775. 78 20, 683.39 11, 226, 799. 82 1, 529, 226. 05 24, 792. 55 11, 283. 524.34 1, 553, 622. 81 8, 278.13 11,482, 344. 65 1, 548, 440. 60 13, 627. 80 760, 498. 85 329, 273. 77 608, 927. 00 506, 426. 92 549, 475. 53 422, 463.27 580, 345.19 450, 456. 08 672, 536. 90 531, 889.49 288, 540. 53 38, 000. 20 172, 641.11 26, 000. 00 260,134. 95 40, 390.62 228, 039. 66 10, 000. 00 279,102. 28 22, 500. 00 29,895,031.40 Individual deposits.. U. S. deposits Dep'tsU.S.dis.officers Due to national banks Due to State banks .. Notes re-discounted.. Bills payable 30, 297, 415.04 30, 004, 361. 26 29, 587, 644.70 30,432, 959. 87 CITY OF L OUISVILLE. 9 banks. 9 banks. $3, 651, 500. 00 $3, 651, 500. 00 $3, 651, 500. 00 $4,151 500.00 $4,151,500. 00 Surplus fund Undivided profits 996, 279.15 218, 687. 88 998, 279.15 258,129.16 999, 428. 62 243, 468.17 1, 003, 928. 62 341, 653. 37 1, 003, 928. 62 456, 781. 70 Nat'l-bank circulation Stat^-bank circulation 449, 890. 00 449, 890.00 445, 970. 00 444,190. 00 449, 890. 00 9 banks. 9 banks. Capital stock Dividends unpaid 9 banks. 8, 084. 50 5, 300. 00 19, 314. 00 14, 794. 00 5, 689. 00 Individual deposits.. U. S deposits Dep'ts U. S. dis. officers 4, 020, 784. 36 594,176.28 293, 636.19 4, 219, 661. 60 645, 004.43 263, 789. 86 4, 806, 237.27 735, 053. 78 180, 228. 93 4, 268, 055. 35 666, 984. 78 246, 940. 29 4, 258, 484. 49 628,445.90 206, 409. 54 Due to national banks Due to State banks .. 1, 788, 845.46 1, 585, 505.38 2, 820, 699. 07 1, 775, 055. 85 3,100, 711.11 1,802, 675. 38 2, 895, 818. 25 1, 855, 691.76 2, 737, 589. 20 2, 099, 654. 06 Notes re-discounted.. Bills payable 489, 344.11 4, 000. 00 100, 000. 00 100,000.00 60, 000. 00 96, 000.00 357, 740. 98 250, 000. 00 14, 096, 733. 31 15,191, 309.12 16, 084, 587.26 16, 045, 556.42 16, 606,113.49 Total 9460 CUR- -18* 274 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, arranged TENNESSEE. DECEMBER 12. • FEBRUARY 26. ! Resources. 42 banks. Loans and discounts.! $19,5:59, 818. 48 Bonds for circulation. j 1,401,500.00 Bonds for deposits .. 450, 000. 00 IT. S. bonds on hand..: 1, 050. 00 Other stocks andb'ds 338,503.85 Due from res've ag'ts ; 1, 292, 566. 34 Due from nat'l banks 912,^)10.58 Due from State banks 308, 454. 31 Real estate, etc 583, 937. 62 170, 657. 42 Current expenses j 210, 227.14 Premiums paid 378,162.01 Cash items i 173, 739. 61 Clear'g-house exch'gsi 281,013.00 Bills of other banks.. j 7,543.84 Fractional currency-' Specie | 693, 869. 24 675, 255. 00 Legal-tender notes .. j U. S. cert's of deposit j 59, 754. 94 5 % fund with Treas. 13, 889.44 DuefromU.S.Treas. Total * . . . . 27,212,552.82 ! MAY 13. JULY 12. i SEPTEMBER 30. 45 b a n k s . 43 banks. 45 b a n k s . 45 b a n k s . $18,140,215.47 1,301,500.00 450, 000. 00 $18, 809, 18(5. 58 1, 314, 000. 00 450, 000. 00 1, 450. 00 363," 024." 77" 370, 522. 89 2, 225, 504. 05 3,129,121.82 1,259,89."). 15 1, 559, 708. 83 257, 787. 33 369, 988. 76 595, 570. 62 588,201.71 121,06:$. 2 L 143,102.51 200, 809. 71 216, 314. 63 294, 585.32 380. 512. 61 200, f>09. 98 153,687.41 472,419.00 501,812.00 5, 069. 60 9, 370. 27 972,417.49 ! 1, 123, 091. 97 1,098,512.00 1,008,627.00 $19,497, 820.15 $21, 823,140. 21 1, 334, 000. 00 1, 326, 500.00 450, 000. 00 450, 000. 00 350. 00 20, 500. 00 354, 163.74 328,121. 62 1,172, 831. 23 2, 067. 402. 70 963, 320. 56 1, 483; 719.42 282, 837. 46 284, 445. 86 599,130.18 604, 803.15 114, 278. 98 34, 241. 63 217, 012.14 209, 265.26 318, 342. 71 263, 717. 37 106,490.12 158, 391. 88 372, 259. 00 309, 890. 00 232. 43 8, 588. 32 9, 821, 735. 37 1, 049, 428. 57 885.00 892, 874. 00 1, 079, 57,565.64 j 6,767.90 ! 57,387.0") i 14,124. 08 ! 29,338,718.80 ; 28,884,768.56 58,210.64 11,372.00 58, 960. 50 17, 618. 64 29,315,208.80 ! 29,839,672.04 OHIO. 197 banks. Loans and discounts I *-. 560, 520. 05 :53, Bonds for circulation j 9,176,300,00 Bonds for deposits .. 1,170, 000. 00 U. S. bonds on hand.. 149, 200. 00 Other stocks and b'dsj 3,164, 961.90 Due from res Ve ag'ts. 6, 692, 621. 57 Due from nat'l banks. 1, 705, 250.16 Due from State banks 493, 353. 88 1,953,081.60 Real estate, etc 291, 684. 69 Current expenses 641, 219. 72 Premiums paid 504, 612. 50 Cash items 29, 738. 19 Clear'g-house exch'gs Bills of other banks.. 1, 265, 2S8. 00 Fractional currency. 27, 931.18 Specie 3,041,057.89 Legal-tender notes .. 2, 992. 928. 00 U. S. cert's of deposit5 % fund with Treas. 389, 308.92 Due from U. S. Treas. 15; 509. 37 Total i 87,204, 567. 62 CITY 197 b a n k s . 197 b a n k s . 197 b a n k s . 199 b a n k s . $53, 789,177. 75 8, 993, 800. 00 1,155, 000. 00 184, 800. 00 3,237, 684. 97 7, 776, 521. 75 1, 941, 167. 07 440, 325. 88 2,010,412.93 388, 296. 88 645, 437. 99 492, 449. 23 35, 037. 73 1, 284, 588. 00 33, 460. 24 2, 839, 378. 95 3, 033, 674. 00 50, 000. 00 381,074.19 13,1")9. 28 $55, 018, 146. 36 8, 645, 050.00 1,155, 000. 00 160, 950. 00 3, 207, 247. 70 6, 344, 499. 78 1,911, 467. 63 407, 928.35 2, 041, 325. 68 256, 970. 02 631, 218.15 555, 330.94 42, 849. 77 1, 410, 612. 00 32, 296. 97 3,144, 504.41 3, 429, 384. 00 30, 000.00 365, 191.80 15, 132,10 $56, 229, 904. 96 8, 292, 000. 00 1,155,000.00 3, 433, 257.17 7, 544, 892. 89 1,895,810.18 516, 424. 63 2, 029, 860. 56 185, 709. 23 621, 003.40 504, 698.29 45, 629.26 1, 435, 524. 00 31, 740. 59 3, 048, 600.93 3, 364, 008. 00 30, 000. 00 354,127.13 17, 501. 87 $58,445,945.47 8, 319, 500. 00 1,155, 000. 00 194, 450. 00 3, 525, 728. 24 7, 156, 322. 82 1, 935, 327. 71 504, 769.49 2, 061, 758.18 458, 585, 60 647,192.85 532, 940. 32 143,953. 39 1, 541, 381. 00 29, 093. 57 3, 018, 709. 62 3, 361, 091. 00 30, 000. 00 356, 926. 63 21,576.44 88,805,132.66 j 90,898,743.09 93,440,252.33 88, 726, 046. 84 OF im, 050. oo CINCINNATI. 13 b a n k s . Loans and discounts. Bonds for circulation Bonds for deposits .. IT. S. bonds on hand.. Other stocks and b'ds Due from res've ag'ts Due from nat'l banks Due from State banks Real estate, etc Current expenses Premiums paid Cash items Clear'g-house exch'gs Bills of other banks.. Fractional currency Specie Legal-tender notes .. U. S. cert's of deposit. 5 % fund with Treas. DuefromU.S.Treas Total 13 b a n k s . 13 b a n k s . 13 b a n k s . 13 b a n k s . $21,031,367.97 1, 977, 000.00 4,485, 000. 00 303, 050. 00 2.331,956.31 4, 969, 644.35 2, 003, 931. 65 1, 211, 990.19 661, 806. 07 126, 065.20 787, 668. 36 116, 751. 01 321,322.10 325, 077. 00 5, 081.18 773, 088.75 1, 780, 742.00 1, 780, 000. CO 88, 965. 00 2,000. 00 $21,811,810.71 1, 827, 000.00 4. 485, 000. 00 286, 000. 00 2, 631, 704. 09 6, 38s, 044. 03 2, 017, 755. 58 1, 055, 930. 39 666, 348. 91 127, 588. 65 823,115.56 75, 753. 74 303, 012. 65 390,168. 00 4, 709. 36 770, 776. 94 1,870,187.00 1, 690, 000. 00 82, 215. 00 $23,826, 522. 29 1, 552, 000.00 4, 285, 000. 00 556,100. 00 2. 542, 305. 30 3, 575, 738.48 1, 813, 334. 01 871, 976. 39 658, 765. 58 95, 454. 06 872, 464. 74 105, 034. 29 363, 018. 55 457, 703.00 4, 242. 53 788, 383. 55 2, 227, 006. 00 . 1, 970, 000.00 69, 840. 00 3, 000. 00 $23, 843, 706.47 1, 552, 000. 00 4, 285, 000. 00 505, 050. 00 2, 505, 772.75 4, 580, 713. 64 1, 880, 515. 66 984, 414. 20 660, 820. 63 86, 628. 81 841,140. 64 70, 512. 28 402, 898. 77 337, 909. 00 5, 308. 66 802, 577. 60 2, 342, 671. 00 1, 400, 000. 00 69, 840. 00 1, 000. 00 $25, 012, 751. 71 890, 000. 00 4, 248, 000. 00 339, 850. 00 2, 317, 895. 27 4, 065, 464. 20 1, 819, 480. 88 940, 855. 55 582, 694. 53 203, 995. 09 692, 702. 00 77, 922. 94 259, 814. 60 422,146. 00 3, 698.16 990 8J4.40 2, 560, 389. 00 1, 810, 000. 00 40, 050. 00 3, 660. 00 45, 082, 507.14 47, 307,120. 61 46, 637, 888. 77 47,158, 480.11 47, 282,194. 33 REPORT OF THE COMPTROLLER OF THE CURRENCY. 275 by States and reserve cities—Continued. TENNE SSEE. DECEMBER 12. FEBRUARY 26. MAY 13. JULY 12. 42 b a n k s . 43 b a n k s . 45 b a n k s . 45 b a n k s . $7, 727,180. 00 $7,830, 000. 00 $7, 855, 000. 00 $7, 905, 000. 00 $8, 030, 000. 00 Surplus fund Undivided profits 1, 617, 654. 88 1, 067, 649. 30 1, 606, 867. 72 857, 459. 00 1, 609, 867.72 1, 0b3, 949. 69 1, 742, 762.03 787, 529. 71 1, 750, 262.03 1,048, 357.13 Natl-bank circulation State-bank circulation 1, 250, 920. 00 1,159, 800. 00 1,153, 580. 00 1, 176, 080. C O 1,195, 450. 00 Capital stock Dividends unpaid SEPTEMBER 30. 45 b a n k s . 1, 665. 00 2, 909. 00 1, 294. 00 10, 075. 00 2, 344. 43 Individual deposits .. U. S. deposits Dep'ts U.S.dis.officers 11, 491, 290. 82 350, 274. 93 74, 610.02 14, 237, 512. 44 373, 765. 86 83, 314.52 14, 032, 810. 57 351, 298.17 309,716.28 14, 400, 829. 06 354, 928. 68 82,140.44 13,137,086. 37 320, 475. 20 138, 713. 88 Due to national banks Due to State banks -. 1, 335, 766. 82 763, 485. 63 1, 446,157. 69 1, 472, 421. 22 1, 442, 828. 27 1, 007, 691.12 1, 463, 605. 82 1, 070, 424.30 1, 595,105. 80 812, 9*5. 65 Notes re-discounted.. Bills payable 1,372,055.42 160. 000.00 267, 011. 35 1, 500. 00 266, 732. 74 301, 833. 76 20,000 00 1,770, 391. 55 38 500 00 27, 212, 552. 82 29, 338, 718. 80 28, 884, 768. 56 29, 315, 208. 80 29, 839, 672.04 Total OHK D. 197 b a n k s . Capital stock Surplus fund Undivided profits Nat'1-bank circulation State bank circulation 197 b a n k s . • 197 b a n k s . 197 b a n k s . $24, 399, 000. 00 $24, 399, 000. 00 $24, 364, 000. 00 $24, 404,000. 00 $24. 649, 000. 00 5, 672, 764.79 2, 313, 220.07 5, 844,146.15 2,169, 214. 34 5, 973, 549.55 1, 924, 554. 80 6, 095, 999. 81 1, 796, 281.83 6,173, 267. 06 2, 404, 336.75 8,165, 361. 00 3, 899. 00 7,999, 531. 00 . 3,899.00 7, 666, 961. 00 3, 899. 00 7, 352, 586. 00 3, 899. 00 7, 359, 996. 00 3, 899. 00 Dividends unpaid Individual deposits... U. S. deposits Dep'ts U.S.dis. officers Due to national banks Due to State banks... Notes re-discounted . Bills payable Total 199 b a n k s . 30, 927.69 26, 858. 40 63, 015.10 86,912. 50 53,062. 00 42, 671, 523. 96 1, 030, 076. 24 176,118.96 44, 698, 746. 73 1,113, 352. 09 108,176. 55 44, 946,432. 30 1,169,498. 27 66, 603.12 47, 431,130.24 1,151,177. 91 88, 825. 46 48, 698, 303. 99 1,117,259.50 128, 849. 97 1, 473,117.20 737, 329. 82 1,142,571.45 798,731.64 1, 373, 799. 89 774, 030.12 1, 279, 718. 70 749,189. 59 1, 514, 583.47 813, 111. 59 379, 728. 89 211, 500. 00 321, 319.49 100, 500. 00 385, 789. 51 93, 000.00 365, 002. 71 94, 019. 34 301, 739. 25 222, 843. 75 87, 264, 567. 62 88r 726, 046. 84 88, 805,132. 66 90, 899, 743. 09 93, 440,252. 33 CITY OF CIN CINN A T I . 13 b a n k s . Capital stock Surplus fund Undivided profits Nat'1-bank circulation State-bank circulation 13 b a n k s . 13 b a n k s . 13 b a n k s . $8, 900, 000.00 $8, 900, 000. 00 $8, 900, 000. 00 $8, 900, 000. 00 $8, 900, 000.00 1, 801, 000. 00 785, 429. 90 1,927, 000.00 685, 778. 05 1,992,500.00 573, 075.62 2, 068, 000. 00 575, 999. 73 2, 073, 000. 00 861,267.00 1, 750, 700.00 1, 615, 700. 00 1, 367, 755.00 1, 366, 000. 00 768, 890. 00 Dividends unpaid Individual deposits .. U. S. deposits. --»--Dep'ts U.S.dis.oflrcers Due to national banks Due to State banks... 10, 360. 00 26,500.50 34, 557. 00 19, 069.50 17, 580, 057. 52 4, 825, 070. 21 17, 753, 292.27 4, 849, 756.13 18,216,456.97 4, 643, 466. 20 18,845,365.31 4, 623, 379. 50 18, 843, 627. 98 4, 605, 378. 31 6, 312, 962. 64 2, 535, 765. 87 7,789,430.15 3, 204, 204. 01 7, 568, 527. 59 2, 764, 406. 89 7. 073, 877. 40 3,108,401.17 7, 706, 297. 26 2, 941, 764. 28 585, 400. 00 571, 600. 00 585, 200.00 562, 900. 00 562, 900. 00 45, 082, 507.14 47, 307,120. 61 46, 637, 888. 77 47.158,480.11 47,282, 194.33 6,121.00 Notes re-discounted Bills payable Total 13 banks. 276 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, arranged CITY OF CLEVELAND. DECEMBER 12. Resources. FEBRUARY 26. MAY 13. JULY 12. 9 banks. 9 banks. 9 banks. 9 banks. Loans and discounts. $16, 301, 298.49 $16,~734Tl27.~02~ $17,144,940.95 $17,911,497.40 606, 000. 00 605, 000. 00 605, 000.00 Bonds for circulation. 605, 000. 00 340,000. 00 318, 000.00 Bonds .for d e p o s i t s . . . j 318, 000.00 318, 000.00 TJ. S.bonds on h a n d . . j 202,836. 51 180, 305.00 236, 913. 00 Other stocks andb'dsi 293, 635, 29 1, 667, 352. 28 2, 916, 426.94 D u e from res've a g ' t s . 1. 445,113. 65 2, 327,188. 20 D u e from n a t ' l b a n k s . '• 1,216,607.35 1,503,316.85 1, 307, 030.01 1,255, 717.03 510,802.14 D u e from State b a n k s 505, 475. 30 518, 378. 86 498, 960. 57 708, 958. 38 621,948.92 623,391.74 Real estate, etc 615, 560.25 26, 776. 23 83, 401.84 2, 764. 80 C u r r e n t expenses 55, 522. 09 18,250.00 18, 000. 00 P r e m i u m s paid 28, 000. 00 28, 000. 00 89, 661. 93 74, 223. 58 125, 593.34 Cash i t e m s 128, 709. 86 115, 093.29 104, 524. 70 173. 610. 32 Clear'g-house exch'gs 216, 594. 31 245, 501. 00 175,998.00 289,124.00 Bills oi other b a n k s . . 223,627.00 3, 288. 35 6,066.11 4, 685.46 Fractional currency. 4,422.19 993, 734. 56 941, 879. 65 Specie 901, 900.00 993,541.41 1, 066, 000. 00 1, 269, 000. 00 Legal-tender notes . . 1, 047, 000. 00 1, 217, 000. 00 15, 000 00 15, 000.00 U . S. cert's of deposit15, 000. 00 15, 000.00 26, 950. 00 27, 225. 00 5 % fund with T r e a s . 27, 225.00 26, 725.00 7, 740. 00 D u e fromU. S. T r e a s 2, 570.00 6, 960. 00 2, 900. 00 Total 24,161,850.51 j 25,936,540.67 25, 078,220. 78 j 26, 645, 959.19 SEPTEMBER 30. 9 banks. $18, 567, 881.31 605, 000. 00 318, 0C0.00 233, 803. 79 2,116, 261. 34 1,411 284.02 678, 065. 27 612, 628. 80 118, 404. 77 28, 000.00 141, 972.69 174. 397.30 226,065.00 4, 598.41 935,243.97 1,102, 000. 00 15, 000.00 25, 835.00 2, 200.00 27, 316, 641. 67 INDIANA. 96 banks. 97 banks. 97 b a n k s . 97 b a n k s . 97 b a n k s . Loans and discounts . 528,410, 842. 89 $28, 234,126. 78 $29, 222, 558.97 $28,942,441.67 $29, 598, 392.51 j 4, 647, 800. 00 Bonds for circulation. 4, 499, 800. 00 4, 415, 050. 00 4, 415, 050. 00 4, 415, 050. 00 Bonds for deposits . . 1,150, 000. 00 1,150, 000. 00 1, 350, 000. 00 1, 350, 000. 00 1,150, 000. 00 IT. S. bonds on h a n d . . 462, 950.00 440, 400.00 532, 550. 00 539,100. 00 543,100. 00 I Other stocks and b'ds 1,438,211.65 1,425,314.00 1,599,036.71 i 1,337,845.58 1, 412,480.00 Due from res've ag'ts. 4, 774, 345. 07 6,193, 796. 98 6, 666, 180. 00 I 5, 009, 723. 75 5, 071, 706. 02 Due from nat'l banks. 2, 733, 643.16 2, 982, 805.34 j 2, 255, 657. 78 2, 381, 260.15 2, 202,143. 01 Due from State banks 678, 877. 78 \ 393, 787. 91 398, 223. 53 522, 407. 89 47J, 018. 84 1.311,597.83 ! 1, 286, 939.08 1, 262, 856.63 Real estate, etc 1, 313, 210. 07 1, 316, 972. 75 192,224.90 276. 419. 24 131,141.14 Current expenses 248, 783. 60 46, 487. 43 383, 592. 24 412, 282. 59 Premiums paid 381,777.23 396, 314. 46 385,132. 42 289,632.80 I 299.250.70 Cash items 295,457.39 320, 480.72 246, 717.72 145, 049. 34 143, 833.10 Clear'g-house exch'gs 118, 134.1.2 146,957. 76 73, 467.44 912, 825.00 Bills of other b a n k s . . 936, 383. 00 1, 294, 526.00 1, 268, 151. 00 1,203,658.00 Fractional currency. 22, 643. 63 26, 212. 65 27,712.03 28, 817. 98 29, 224. 74 Specie .'. 2, 230, 405. 40 2,131, 330. 08 2, 272, 998.49 2, 297, 918. 04 2, 324, 282.20 Legal-tender notes . . 1, 727,414. 00 1, 968, 260. 00 2, 220, 323. 00 2, 236, 609. 00 2,137, 764. 00 IT. S. cert's of deposit.! 5 % fund with Treas. I 207,032.98 | 199, 966.45 194,287.25 ! 197,892.25 ' 195, 703. 73 Due from TT. S. Treas.! 11,496.17 ! 15, 696.53 16, 044. 55 13,800.47 i 15,004.87 i Total | 51,264,137.19; 51,120,094.34 52, 877, 779. 59 ' 53, 967, 075. 65 j 55, 977, 687. 31 \ ILLINOIS. J63 banks. 165 b a n k s . 167 b a n k s . 168 b a n k s . 168 b a n k s . Loans and discounts! $40, 075, 590. 91 $40, 361, 319.39 j $41,815,531.25 I $41, 461, 372. 35 $40, 346, 748. 60 4, 483, 000.00 ! 4,523,000.00 I 4, 535, 500. 00 Bonds for circulation j 4, 514, 500. 00 4, 520, 500. 00 1,495, 000.0C ! 1,545, 000. 00 1,495,000.00 Bonds for deposits... 1, 495, 000.00 1, 495, 000. 00 283, 500. 00 I 294, 900. 00 287,300.00 TJ. S. bonds on h a n d . . I 242, 050.00 288, 600. 00 2, 941, 497.16 ! 3,137,626.68 | 3, 009, 971. 66 Other stocks and b'ds' 2, 985,433. 66 3, 036, 563.32 7, 769, 614. 80 j 7, 754, 648. 27 i 7, 456, 445. 66 Duefromres'veag'ts i 6,112, 555. 21 7, 250,117.83 1, 896, 595.13 1, 306, 992.62 j Due from nat'l banks. I 1,430, 855.97 1,066,896.31 I 1, 504, 524. 41 472, 364. 65 Due from State banks 1 470, 387.12 I 332,907.92 ! 309, 487. 95 413, 406. 30 1, 784, 852. 84 I 1, 732, 828.27 1, 751, 581. 55 I Real estate, etc • 1, 676,169.72 1, 743,165.08 356, 304.13 157, 452. 85 ! 224, 442. 32 | Current expenses j 289, 482. 56 98, 555. 68 608, 317.15 584, 392.13 598, 343. 72 J Premiums paid j 5^7, 452.57 604, 044. 69 434, 666. 80 330, 8:58.44 352,656.91 Cash items ; 360, 327. 77 394. 709. 50 86, 509. 74 i 87, 808. 91 63, 526.15 Clear'g-house exch'gs; 90, 345. 59 48, 202. 56 937,801.00 | 1, 009, 927. 00 i 1, 022, 718. 00 840,881.00 Bills of other b a n k s . . j 1, 057, 971. 00 21,127.43 ! 23, 749. 35 20, 361. 08 Fractional currency.; 23, 671.12 26, 262.29 > 2,481,471.45 I 2, 597, 971.10 • 2,616, 806.86 Specie ."..j 2,430, 704,22 2, 748,454. 98 1,983,393.00 ! 1, 953, 058.00 I 2,180, 575.00 Legal-tender notes . . | 1, 773, 329. 00 2,167, 847. 00 10,000.00 { 10, 000.00 i U.S. cert's of deposit j 10, 000. 00 10, 000. 00 10, 000.00 196, 251.39 ] 197, 994.42 1 5 % fund with Treas j 201, 558.37 199,108.29 197, 828. 39 25, 611. 66 22, 691. 72 ; Due from TJ. S. Treas. | 28, 530. 06 22, 279.22 18, 802. 86 Total | 65,530,646.20 68,461,650.36 70,090,113.90 69, 289, 664.41 66, 959, 974.15 ; REPORT OF THE COMPTROLLER OF THE CURRENCY. 277 by States and reserve cities—Continued. CITY OF CLEVELAND. DECEMBER 12. JULY 12. 9 banks. 9 banks. $6, 599. 525. 00 $6 , 709,920.00 6,750,000.00 $6, 750, 000. 00 1 107, 000.00 367, 421.18 Surplus fund Undivided profits MAY 13. 9 banks. $6, 650, 000.00 Capital stock FEBRUARY 26. 9 banks. Liabilities. 1,007,000.00 532,631.25 1, 064, 000. 00 337, 484. 23 1, 064, 000. 00 523,881.48 1, 064, 000.00 706, 570. 00 543,180. 00 541, 900.00 543, 540.00 544,500.00 538,120.00 Nat'1-bank circulation State-bank circulation Dividends unpaid SEPTEMBER 30. 9 banks. 4, 664.00 991.00 28, 446.00 3. 332. 00 2, 994.00 Individual deposits.. U. S. deposits Dep'tsU.S.dis. officers Due to national banks Due to State banks... 11 977, 874.68 355, 033. 57 9, 535. 85 13, 613, 713. 79 333, 711. 49 9, 752. 51 11 807,138. 24 332, 216. 38 10, 953. 62 13, 488, 347.21 337, 904.42 8, 891.45 13, 828, 888. 80 335, 019. 32 9, 766. 75 1 020,393.11 1 176,402. 85 1,646, 092.41 1, 242, 223. 22 1 573, 272. 95 1 492, 249. 36 1,647,038.49 1, 262, 846. 92 1,483, 417.21 1,455,865.11 Notes re-discounted.. Bills payable 91, 345. 27 859, 000.00 409, 000.00 1, 179, 000.00 53, 217 22 962, 000. 00 1,142,000.00 24 161,850. 51 25,936,540.67 25, 078, 220. 78 26, 645, 959.19 27,316, 641.67 Total INDIANA. j Capital stock.. 96 b a n k s . 97 banks. 97 banks. 97 b a n k s . $12,276,995.69 $12,284,500.00 $1272847500.00 3, 772,142. 26 1, 688, 904. 65 3,811,589.17 1, 264, 735. 54 3, 767, 896.98 1, 673, 316.13 3, 924,135. 00 3,929,015.00 I 3,937,195.00 12,478.44 51,961.18 ; 22, 038.18 25, 908, 765. 64 27, 565, 430.00 1,224,408.60 j 1,008,294.90 160,318.18 j 176,737.09 28,581,945.15 i 986,086.72 ! 191,447.78 : 30, 012, 825. 33 1, 048,483.92 138, 926.34 1,555,637.67 j 1,258,114.22 j 1, 587, 912.97 1, 486,184.49 97 banks. i i $12^186, 500.00 $12,235,500.00 ! 3, 674,478. 93 3.593.155.66 j j 1.910.243.67 | 1, 411, 032.19 Surplus fund Undivided profits ' Nat'1-bank circulation: State-bank circulation!. • Dividends unpaid \ Individual deposits... j U. S. deposits | Dep'tsTT.S.dis.officersj Due to national banks Due to State banks... 4,128,985.00 I 18, 087. 04 25, 831, 604.30 1,231,411.47 156, 223.31 1, 315, 300. 66 892, 626.08 3,999,925.00 22,734.48 j 1,484,106.94 I 972,151.66 ! 26, 672. 72 Notes re-discounted . Bills payable Total 51, 264,137.19 1,352,597.75 1,077,962.73 47,043.22 ! 5, 000.00 . 22,101.08 51,120,094.34 52,877,779.59 j 53,967,075.65 18,407.97 55,977, 687.31 ILLINOIS. I 163 b a n k s . ! $14,824,000.00 | Capital stock... Surplus fund.' | 4,633,932.69 Undivided profits \ 2,599,557.91 \ Nat'1-bank circulation j 3,966,755.00 : State-bank circulation I. | i 12,498.43 ; Dividends unpaid....[ Individual deposits . . i 35, 698, 111. 93 U. S. deposits j 1,446,372.63 Dep'ts U.S.dis. officers; 113, 431. 29 165 banks. ! 3,928,435.00 j j 168 b a n k s . 168 b a n k s . 3,935,895.90 j 3,942,355.00 ! 3,970,825.00 : 28, 271.00 ; 38,641,649.82 ' 1,418,431.67 116,240.68 Due to national banks; Due to State banks.. : 783,488.72 1,013,081.79 < 828,086.22 1,288,668.90 ; Notes re-discounted.. \ Bills payable 266,415.81 , 173,000.00 : 162,330.00 ! 115,000.00 | Total 167 banks, $14, 599, 000.00 $14,951,500.00 i $15,116,500.00 $15,204,000.00 I i 4, 810,209.48 4, 847, 205. 24 : 4,997,209.48 ! 4,883,291.56 j 2, 352, 715.88 2,135,831.83 ; 1,970,331.80 | 2,530,287.82 ! 96,460.50 31,295.87 I I 40,142,683.32 I 39,311,620.28 1,399,479.43 ! 1,430,646.14 128,471.73 j 80, 618.40 663,933.00 | 1,108,180.62 i 1,009,872.45 i 1,170, 256.00 22, 929.30 38,165, 545.32 1,426, 199.27 96, 533.07 331,871.90 1, 035, 464.54 49, 794.36 26, 500. 00 106,380.39 42,000.00 I 65, 530, 646.20 , 68,461, 650. 36 i 70, 090,113.90 j 69,289, 664.41 66, 959, 974.15 43, 595. 55 106, 500. 00 278 REPORT OF* THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, arranged CITY OF CHICAGO. DECEMBER 12. J FEBRUARY 26. Resources. 19 banks. Loans and discounts. $62, 067, 085. 86 1,100, 000. 00 Bonds for circulation. 1, 000, 000. 00 Bonds for deposits... 310,350.00 TJ. S. bonds on h a n d . . Other stocks and b'ds 2, 479, 603. 90 Due from res'veag'ts Due from nat'lbanks 10,108,703.43 Due from State banks I 2, 289, 262. 76 Real estate, etc | 810,843.42 Current expenses j 94, 247. 00 138, 600.13 Premiums paid j 35, 044 90 Cash items j 4, 055, 533. 59 Clear'g-house exch'gs; 9B2, 358. 00 Bills of other banks..' 26, 788. 78 Fractional currency 12, 929, 002. 85 Specie 6, 807, 727.00 Legal-tender notes . . TJ. S. cert's of deposit 50, 000. 00 5 % fund with Treas 48, 850. 00 DuefromTJ.S. Treas 102, 301. 00 Total 105,386,302.62 j MAY 13. 19 banks. $61, 754, 692. 63 1,100, 000. 00 3,000,000.00 402,700. 00 2, 606, 056. 25 $65, 638, 714.52 1,100, 000. 00 1,000,000.00 423, 900. 00 2,245,873.33 I JULY 12. 19 banks. 11,630,467,19 2, 781,175. 06 I 843, 320.12 78, 026. 72 134,450.34 22, 255. 66 3,175, 547. 60 1,213,014.00 13, 630, 860. 05 8,666,815. 00 250, 000. 00 49, 500.00 71, 000. 00 ! SEPTEMBER 30. 20 banks. 19 banks. ! $70,163, 565. 54 ' 1,100, 000. 00 ; 1,000,000.00 385, 000.00 i 3,048,928.77 $72,467, 1,150, 800, 408, 3,149, 9, 626,144.25 ; 10, 608, 970.90 2, 876, 543. 29 2,985,905.46 : 868, 023. 39 845,175.06 i 33, 356.13 166,647.94 j 143, 520.76 134,684.04 I 52, 661.14 27,779.01 1 4,454,324.14 3, 383, 662. 21 1,652,610.00 ; 1, 220,194.00 29, 066.05 25, 834. 10 i 14,624,753.63 ! 15, 048, 200. 04 9, V15, 350.00 11,213,413.00 i 460, 000. 00 470, 000. 00 ! 49, 500. 00 ! 49, 500. 00 20,000.00 43, 000. 00 109,436,503.60 j 116,705,258.48 j 728. 03 000. 00 000. 00 850. 00 839.26 10, 975, 717.78 3, 934, 008. 86 874,239.42 90, 774.15 105, 246.99 48,177. 86 4, 877, 368.32 958, 111. 00 24, 743.11 15, 342, 793.19 9, 082, 892. 00 470, 000. 00 51, 750.00 30, 500. 00 119,639,542,22 j 124,842,740.97 MICHIGAN. 102 banks. 104 b a n k s . Total 41, 355, 926.86 8 banks. Total 21,008,249.15 032, 965. 74 840, 250. 00 50, 000. 00 8,' 000. 00 533, 333. 22 983,167. 94 461, 224. 85 184, 338. 71 486, 488. 56 212,932.39 249, 887. 53 158, 662.14 75, 782. 52 436, 077.00 16, 007. 05 530,176.35 020, 609. 00 j OF 104 b a n k s . $30,115,066.96 ! $30,~284, 076. 30 2, 817, 750.00 2,817,750.00 I 50, 000. 00 50,000.00 ! 8, 000. 00 8,000.00 I 510, 025. 65 537,412.01 ! 4, 039, 959.80 3,784,278.55 551, 004.44 460,953.69 i 193, 040. 48 215,568.52 j 1, 556, 267.02 1,501,601.71 ! 171, 490. 28 40,177.84 l 255, 029. 54 244,261.96 175,153. 58 162, 682. 65 , 75, 209.61 43,944.57 j 431,860.00 492,424.00 : 17,905.95 : 17,011.17 1, 347,124. 66 1,467,599.04 i 868, 913. 00 1,075,221.00 i 126,286.44 14,557.65 126,798. 19 7,950.15 41, 973, 575. 05 j 42, 414, 651. 34 j 43,175, 6^2. 54 CITY Loans and discounts. j $13; 697,441.00 400, 000. 00 Bonds for circulation 700, 000.00 Bonds for d e p o s i t s . . . j TJ. S. bonds on h a n d . . 5, 884.00 Other stocks and b'ds I !, 154, 372.57 D u e fromres've a g ' t s . j 721,038.25 D u e from n a t ' l b a n k s . I D u e from State banks; 324, 762. 87 158, 846. 66 Real estate, etc I 62, 092. 80 C u r r e n t expenses j 233, 625. 00 P r e m i u m s paid 46, 319. 64 Cash items 268, 598. 32 Clear'g-house exch'gs 202, 959. 00 Bills of other b a n k s . . 6,173.46 F r a c t i o n a l currency. ., 202, 040. 34 Specie 794,922. 00 Legal-tender notes . . TJ. S. cert's of deposit . 18,000.00 5 % fund with T r e a s . 11,173.24 D u e from TJ. S. T r e a s . 104 b a n k s . 104 banks. Loans and discounts i $28, 899, 991. 81 $28, 989,904.15 $30, 2, 840, 250. 00 Bonds for circulation, j 2,796, 500. 00 2, . 50, 000. 00 50, 000. 00 Bonds for deposits . . ; 26, 500. 00 TJ. S. bonds on hand..; 16, 500. 00 Other stocks and b'ds 760, 258. 38 527,189.16 Due from res've ag'ts 3, 390, 966. 78 4, 053, 450. 88 Due from nat'lbanks 421, 595. 22 549, 727. 39 Due from State banks' 130, 060.58 133, 023. 94 1,263,219.46 1, 460, 328. 03 Real estate, etc j 231,254.67 101, 869. 66 Current expenses '• 241,961 08 247,148.14 Premiums paid ; 145, 194. 05 163,997.47 Cash items ! 61, 477. 72 40, 204. 58 Clear'g-house exch'gs 404, 095. 00 373, 054. 00 Bills of other b a n k s . . I 12, 606. 03 17, 065. 37 Fractional currency. 1, 484,103. 21 1, 466,434. 76 Specie ' 900, 443. 00 808,182. 00 Legal-tender notes . . j U.S. cert's of deposit ' 124, 691. 00 5 % f u n d with Treas. 124,936.17 j 11,008.87 Due from U. S. Treas. 10, 310. 35 J 123, 860.00 11,358.39 43, 487,133. 92 DETROIT. 8 banks. 8 banks. $14, 097, 303. 31 $14, 084 373. 87 400, 000. 00 400,000.00 700, 000. 00 700, 000. 00 150.00 91, 825. 00 76, 525. 00 1, 809,160. 26 2,172,931.04 767, 542.94 618, 017.15 238, 829. 86 285, 927. 01 209, 491. 96 159, 881. G6 28, 488.14 45, 371. 67 239, 062. 50 228,664 50 ] 46, 305. 97 25,443.02 301, 574. 55 231, 559.12 282,814.00 147, 279.00 7, 335. 66 7,161. 69 1,151, 639.18 1,203,016.90 779, 950. 00 1, 058, 451. 00 8 banks. 8 banks. $13,905,171.36 ! $14,949,279.36 400,000.00'! 400,000.00 700,000.00 i 700,000.00 65, 525.00 2,021, 639. 65 751, 682.30 342, 788. 00 227, 597. 33 3, 518.62 239, 062.50 54, 451.76 247, 100. 30 257, 870.00 8, 396.31 i 1,189, 810.70 ! 951, 535.00 | 115, 525. 00 2, 423, 758.16 773, 848. 95 273,139.48 278, 602. 86 32, 360. 23 239, 062. 50 44, 015. 71 287, 641. 53 132, 764. 00 5,551.74 1, 219, 714. 55 954, 986. 00 18, 000. 00 4,192. 04 18, 000. 00 781. 89 18, 000. 00 2, 001. 89 18, 000. 00 1, 931. 74 21,133,285.83 21,503,764.06 21,386,150.72 22,850,181.81 t REPORT OF THE COMPTROLLER OF THE CURRENCY. 279 by States and reserve cities—Continued. CITY Liabilities. Capital stock Surplus fund Undivided profits OF C H I C A G O . DECEMBER 12. FEBRUARY 26. MAY 13. JULY 12. 19 b a n k s . 19 b a n k s . 19 banks. 19 b a n k s . $15, 250, 000. 00 $15, 250, 000. 00 $15, 250, 000. 00 $15, 550, 000. 00 $16, 300, 000. 00 5,331,788.78 2, 222, 629. 68 5, 601, 000.00 1, 812, 257. 37 5,601,000.00 2, 128,109. 04 5, 755, 000.00 1, 901, 451. 54 5, 955, 000. 00 2, 336, 707. 27 785, 680.00 718, 470. 00 750, 320. 00 696, 660. 00 694, 550. 00 Nat'1-bank circulation ^tate-bank circulation Dividends unpaid SEPTEMBER 30. 20 b a n k s . 3, 089. 00 6, 678. 00 49,147. 00 146, 425. 00 Individual deposits... IT. S. deposits Dep'ts U.S.dis.officers 48,125, 423. 40 1,000,290.58 18, 286. 58 46, 272, 726 82 632 044.14 11, 366. 73 54, 0?0, 005.14 851, 066. 43 16,076.91 54,914,859.48 969, 121. 63 19, 871. 26 55, 434,989. 62 760, 999.15 19, 69U. 59 Due to national banks Due to State banks... 19, 359, 643. 83 13,103, 640.51 23, 253, 633.19 15,881,916.35 23,440,139.72 14, 581, 263. 24 24, 958, 662. 41 14, 824, 768. 90 26, 221, 737. 13 16, 892, 642. 21 Notes re-discounted .. Bills payable 147, 566. 26 35, 000.00 Total 6, 353. 00 105,386, 302. 62 80, 000.00 109, 436, 503. 60 116,705,258.48 119, 639, 542. 22 124, 842, 740. 97 MI CHIG AN. 102 banks. Capital stock Surplus fund Undivided profits Nat'1-bank circulation 104 b a n k s . 104 b a n k s . 104 banks. $11, 024, 600. 00 $11,144, 600. 00 $11,176,340.19 $11,244,600.00 $11, 249, 600. 00 2,430,459.13 1, 839, 464. 92 2, 502, 645.86 1, 324, 203. 90 2, 510, 895. 86 1, 091, 722.54 2, 591, 032. 03 1, 212, 786. 89 2, 597, 532. 03 1, 592, 019. 82 2, 489, 720. 00 2, 512, 565. 00 2, 525, 210. 00 2, 496,170. 00 2, 508, 690. 00 Dividends unpaid 104 aanks. 22, 985. 05 12, 803. 95 7, 495.41 73,147. 22 11, 463. 75 Individual deposits... U. S. deposits Dep'ts U.S.dis.officers 22, 371, 845.16 45, 539. 03 3r 313.09 23, 393, 362. 32 48,178. 56 1,423.09 23,149,7 L9. 23 46, 655. 38 3, 640.43 24,186, 299. 90 41,148. 89 7,918.41 24, 320, 778, 24 42, 942. 68 4, 509. 51 Due to national banks Due to State banks... Notes re-discounted.. Bills payable 216,212.41 326, 828. 09 215, 904.16 379, 868. 08 193, 502. 62 330, 777. 60 220, 150. 22 385, 711. 85 179, 78-J. 58 502, 420. 66 579, 959. P8 5 000 00 438,020.13 778, 692.08 716,727.13 475, 394. 65 2, 000. 00 41, 973, 575. 05 42,414,651.34 Total 41, 355, 926. 86 CITY 8 banks. Capital stock 43,175, 692. 54 43, 487,133. 92 O F D E TROIT 8 banks. 8 banks. 8 banks. $4, 000, 000. 00 $4, 400, 000.00 $4, 400, 000. 00 $4, 400, 000. 00 $4, 400, 000. 00 504, 000. 00 501, 773.10 536, 000. 00 462, 6L7.43 539, 000. 00 561,501.19 55?, 000. 00 413, 599.18 557, 000. 00 505, 807.17 349, 810. 00 343, 310. 00 345, 380. 00 339,910.00 337, 300. 00 Surplus fund Undivided profits Nat'1-bank circulation State-bank circulation Dividends unpaid 8 banks. 262. 50 139. 55 197. 05 5, 479. 72 25, 442. 05 Individual deposits.. U. S. deposits Dep'ts U.S.dis.officers 10, 035,142. 80 537,241.10 200, 992. 21 9, 244, 281. 03 515, 894. 88 233,841.09 9, 665, 450. 26 621, 340. 23 126, 760.16 9, 829, 096. 69 553, 721. 52 166, 606. 96 10, 622, 489. 26 601, 807. 45 143, 650. 96 Due to national banks Due to State banks... 1,499,609.74 3,118, 849. 68 1, 848, 495. 40 3, 489, 495. 70 1, 610,183. 29 3, 553, 815. 71 1. 691,149.13 3,411,051.35 1, 962,102, 38 3, 694, 582. 54 80, 568. 02 120, 000. 00 59 210.75 80 136 17 23 536.17 21,008,249.15 21,133, 285. 83 Notes re-discounted Total 21,503,764.06 21, 386,150. 72 22, 850,181.81 280 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4? 1888, arranged WISCONSIN. Resources. DECEMBER 12. | FEBRUARY 26. I 57 b a n k s . | 57 b a n k s . MAY 13. 57 b a n k s . Loans and discounts. $15, 093, 379. 94 515, 548, 750.12 $16, 290, 827. 04 $16, 056,455. 22 $16, 670, 418.34 i 1, 324, 250.00 1,341.750.00 1, 335, 250.00 1, 316, 750. 00 1,329, 250.00 Bonds for circulation. 150, 000. 00 150,000.00 ! 150, 000. 00 150, 000.00 150, 000. 00 Bonds for deposits... 2,800.00 i 1, 000. 00 1,500.00 950.00 1,150. 00 TJ. S. bonds on hand.. j 471, 657.47 605. 802.13 492,723.80 465. 570.62 465, 911. 96 Other stocks and b'ds! 2, 215, 389. 22 2, 510,179. 44 2,133,385. 98 Due from res've ag'ts.! 2, 054, 660.42 i 2, 279,327. 39 388, 440.14 413, 927.18 i 356, 079. 20 455,322.03 332, 693.10 Due from nat'l banks i 187, 906. 54 97,914.15] 145, 948. 92 132, 073. 68 Due from State banks: 79,191.97 581,849.45 528,760.63 j 597, 666. 59 545, 303. 59 582, 638.70 Real estate, etc 74,168.15 108,838.22 ! 14,482. 62 52,640.10 108,138. 46 Current expenses | 105,390.17 104,933.67 i 105, 460. 63 108, 254. 27 109,983.64 Premiums paid J 102, 940.88 115,408.04 ! 89, 387. 55 97, 094. 60 116, 784. 05 Cash items i Clear'g-house exch'gs 197,551.00 209,712.00 262,150. 00 310,258.00 257,738.00 i Bills of other banks.. 10,175. 64 9,296.04 10,381.76 I 9, 713. 27 9, 730. 13 i Fractional currency 951, 759.40 941, 443. 57 i 932,351.98 1, 038, 612. 80 1, 051, 866. 89 I Specie 506,370. 00 557,499.00 ; 508,904.00 I 570, 378. 00 Legal-tender notes . . 508,177.00 I TJ. S. cert's of deposit. 58, 658. 35 59, 019.10 59,438.95 ! 60,643.97 i 58,351.85 5 % fund with Treas. 4,600.00 5,560.25 Due fromTJ. S. Treas 7,440.60 i 1,000.00 1,730.00 j Total. 24,017,446.00 22,447,142. 54 ; CITY OF M I L W A U K E E . 3 banks. Loans and discounts. Bonds for circulation Bonds for deposits . . U. S bonds on hand 3 Other stocks and b'ds Due from res've ag'ts Due from nat'l banks Due from State banks Real estate, etc Current expenses Premiums paid Cash items Clear'g-house exch'gs Bills of other banks.. Fractional currency. Specie Legal-tender notes . . TJ. S. cert's of deposit 5% fund with Treas. Due from TJ. S. Treas Total $4, 512, 294. 39 300, 000. 00 430, 000. 00 418, 730, 178. 41, 110, 11, 956.67 645. 70 503. 94 550. 81 000. 00 967.61 753.86 474.45 107, 999. 09 11,345.00 1, 574. 48 727, 653. 23 367, 064. 00 3 banks. ... $4,198, 046. 62 300, 000. 00 430, COO. 00 2 loO 00 491, 415.17 1, 209,130.39 250, 204. 96 67, 927. 42 120, 000. 00 3, 020.74 1, 346. 23 7, 208. 30 142, 482. 52 16, 538. 00 2,061.49 905 858 00 385, 5G9. 00 3 banks. $4, 364, 669.11 300, 000. 00 430, 000. 00 800 00 392, 706. 67 1,192, 389. 25 378, 645. 81 42,319.14 120,000.00 10, 667. 35 420. 36 3, 435. 96 104, 035. 32 14, 563. 00 2, 699.62 809 895 00 482, 9G3. 00 3 banks. 3 banks. $4, 435,437. 33 300, 000.00 430, 000.00 10 300 00 454,162.61 1, 438, 812. 94 393, 077. 70 61, 463. 22 120, 000. 00 360. 45 2, 884. 65 3, 771.16 74, 410. 03 17, 044. 00 1,571.84 741 596 50 450, 484.00 $4, 425, 974. 37 300, 000. 00 430, 000. 00 8 450.00 407,280.11 1, 082, 861. 75 231,674.23 46, 908.91 120, 000. 00 6, 938. 38 32, 974.52 6, 034.15 242,500.45 15,163. 00 2, 326. 33 748 874.00 370, 280.00 13, 500. 00 11, 800. 00 13, 500. 00 5, 000. 00 13, 500. 00 9, 000. 00 13, 500.00 14, 000.00 13, 500. 00 7,976, 083. 23 8, 551,408. 84 8, 672, 709.59 8, 962, 876.43 8,491, 740.20 IOWA. 131 banks. 134 b a n k s . 132 b a n k s . 132 b a n k s . 133 b a n k s . Loans and discounts. $23, 575, 048. 23 Bonds for circulation. 3,145, 000. 00 Bonds for d e p o s i t s . . . , 200, 000.00 TJ. S. bonds on h a n d . . 1 150.00 986, 606.19 Other stocks and b'ds 2, 519, 266.49 Due from res've ag'ts 1, 500, 294. 36 Due from nat'l banks 260, 845. 64 Due from State banks 1, 761, 320, 52 Real estate, etc 311,779.13 Current expenses 212, 400.12 Premiums paid 290, 768. 76 Cash items Clear'f-house exch'gs 560,578.66 Bills of other b a n k s . . 14, 547.10 Fractional currency. 1,322,499.03 Specie 1, 088, 467.00 Legal-tendei notes . . TJ S cert's of deposit 137, 203. 08 5 % fund with Treas. 20, 868.88 Due fromTJ. S. Treas $26, 306. 340. 62 3,185, 000. 00 200, 000. 00 150. 00 1, 096, 274.15 3, 339, 080. 57 1, 622, 538. 75 231, 437.75 1,771,857.52 133, 889. 98 233,996. 23 316, 782. 50 $26, 597, 692. 54 3, 050, 000. 00 200,000. 00 150. 00 1,044, t)73. 63 3, 273, 765. 75 1, 908, 422. 81 268,141.17 1, 695, 721. 07 286, 735. 62 238, 973. 80 295, 308.83 $26,108, 562. 58 3, 000, 000. 00 200, 000. 00 150. 00 1,047,849.04 3, 562, 813.10 1,854,901.72 261,128.37 1, 690, 775.10 73, 684. 80 240, 247.30 364, 336.74 $26, 725, 640.14 3, 012, 500. 00 200, 000. 00 150. 00 1,164,757.67 3,881,708.42 1,647,262.69 353, 828.01 1, 698, 849. 49 203, 551. 64 244, 01?.. 60 378, 502. 26 531, 695. 00 19,156.13 1,295 509.77 1, 084, 005. 00 660, 498. 00 21,203. 71 1 595 668.84 1, 240, 361. 00 134, 722. 27 8, 481. 98 40, 907, 642. 53 41, 510, 918. 22 Total 653, 403. 00 20, 386. 75 1 550 243 16 1,215,742.00 561, 282.00 18,291. 79 1 245 663 75 1,190, 235. 00 136, 885.72 12, 037. 58 133, 270. 38 11,372.85 1.33,095. 78 11, 819. 90 42, 526, 240. 07 41, 988, 866.89 42, 671, 212.14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 281 by States and reserve cities—Continued. WISC ON SIN. Liabilities. Capital stock MAY 13. 57 banks. 58 banks. $4,825,000.00 j $4,875,000.00 $4, 875, 000. 00 $4, 925, 000. 00 $4, 925, 000.00 1, 419,141. 76 510, 556, 60 1, 420, 541. 76 693, 909. 38 1, 464, 834. 02 502, 935. 00 1,466, 834. 02 693,904.60 1,183, 386.00 1,174, 670. 00 1,175, 366. 00 1,187,486.00 Surplus fund ; 1,319,945.30 784,430.11 Undivided profits j Nat'1-bank circulation! 1,183, 981. 00 ! State-bank circulation! Dividends unpaid Individual deposits... TJ. S. deposits Dep'ts U.S.dis.officer* 1,472.28 i 41, 859. 53 I 79,283.81 | ! 146, 516.77 ! 6,000.00 i. Notes re-discounted.. Bills payable 22,447,142.54 JULY 12. 11,886.45 2,142.39 i 2, 571.25 14,909,009.54 ! 15,143,163.87 135,926.12 I 140, 834. 88 | "9.14 | 6,105. 58 ; 14,403,233.61 13, 917, 718.68 128,887.40 125,541.06 I 12,219.74 15, 394.00 | Due to national banks Due to State banks... Total SEPTEMBER 30- DECEMBER 12. j FEBRUARY 26. 57 banks. j 57 banks. 45,876.76 i 103,363.97 ! 42,649.34 94, 299. 75 151,231.93 56,000.00 233, 856.15 \ 71,361 22 117,739.50 : 211,063. 91 56, 000. 00 58 banks. 2,016. 87 15,115, 990.85 128, 409.83 10, 310.97 34,243. 07 105, 832.60 241, 417.19 106, 000.00 22, 905, 801. 60 j 23, 573, 777. 43 j 23, 825, 053.99 24, 017,446.00 CITY OP MILWAUKEE. 3 banks. 3 banks. 3 banks. 3 banks. 3 banks. $850, 000. 00 $850, 000. 00 $850,000.00 $8 50, 000.00 $850, 000. 00 Surplus fund Undivided profits 370, 000.00 256,160.37 390, 000. 00 215,103. 27 390, 000. 00 255, 469. 27 390, 000. 00 221, 842. 23 450, 000. 00 184,956.77 Nat'1-bank circulation State-bank circulation 270, 000 -00 270, 000. 00 268, 800. 00 268, 280. 00 270, 000.00 Capital stock Dividends unpaid Individual deposits... U. S. deposits Dep'ts U.S.dis.officers 4, 221,168. 53 216,686. 16 230, 040.29 4, 816, 963. 68 186,811.16 260, 039. 79 5, 019, 266.06 297, 729.84 146, 736. 79 5,185, 933.49 211, 617. 67 229, 908. 77 4, 710, 793. 29 163, 048.33 271, 572.12 Due to national banks Due to State banks... 1,183,705.57 270, 234. 39 1,162, 509.73 399, 981.21 1,120,192.30 324, 515.33 1,152,287. 58 453, 006. 69 1,166,981.27 424,388.42 Notes re-discounted. . Bills payable 108, 087. 92 8, 551, 408. 84 8, 672, 709.59 8, 962, 876.43 8, 491, 740.20 Total 7, 976, 083. 23 IOWA. 131 banks. Capital stock. 134 banks. I $10, 332,750. 00 $10, 631, 228. 70 132 banks. 132 banks. 133 banks. $10, 500, 000. 00 $10,540,000.00 $10,585,000.00 Surplus fund Undivided profits 2, 712, 317. 93 1, 521, 777.13 2, 793, 686.98 \ 1,150, 044. 81 j 2, 810, 839. 37 1, 424, 013.49 2, 883, 803. 36 985,612.80 2, 886,203. 36 1,295,782.14 Nat'1-bank circulation State-bank circulation 2,773,883. 00 2,768,553.00 j 2,704,043.00 i 2,637,578.00 2,670,778.00 Dividends unpaid 23,186. 67 54, 702.42 ] 20,916.01 Individual deposits.. - 20,274,415.41 \ 20,392,125.56 i 20, 979, 688, 79 U. S. deposits 153,343.93 j 139,337.16 149, 258. 04 Dep'ts U. S. dis. officers 38, 046.12 ; 43, 769. 43 58,172. 38 j 21,181,651.25 152, 942.39 49,366.62 256, 841.15 37, 000.00 24, 795.17 I Due to national banks Due to State banks... 964, 044. 72 i 1,384,769.49 j Notes re-discounted.. Bills payable .. 697,499.63 30, 000. 00 Total . 40, 907, 642. 53 25, 350. 67 | 1,065,736.22 : 1,948,340.28 | 1, 310,363.39 2, 327, 673. 57 20,663,814.78 146,922.85 30, 601. 33 | I 1, 326, 359.67 ! 2,457,860.63 ; 503, 342.46 i 35,000.00 I 223, 404. 32 30, 000. 00 237,611.05 I 24,000.00 i 41, 510, 918.22 42, 526, 240. 07 41, 988,866. 89 1,233, 900.60 2,300,830.53 42, 671,212.14 282 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, arranged MINNESOTA. DECEMBER 12. FEBllUAKY 29. MAY 13. JULY 1 2. 56 b a n k s . Resources. 56 banks. 57 banks. 57 b a n k s . Loans and discounts.; $38,119, 461. 76 Bonds for circulation. | 1, 784, 800. 00 950, 000. 00 Bonds for deposits... i 200. 00 TJ. S. bonds on hand.. j Other stocks and b'ds 600, 691. 26 Due from res Veag'ts. 2, 252, 772. 08 Due fromnat'lbanks - 1, 502, 943. 06 Due from«State banks 612, 413. 39 2, 047, 462.24 Real estate, etc 249, 329. 82 Current expenses 234, 373.34 Premiums paid ' 139, 004.96 Cash items 566, 238.68 Clear'g-house exch'gsi! 528, 734. 00 Bills of other banks.. Fractional currency.; 8, 946.16 Specie ' 2, 893, 930. 05 Legal-tender notes ..! 880, 702.00 TJ. S. cert's of deposit, i 5% fund with Treas j 78, 858. 59 Due from TJ. S. Treas., 19, 755. 74 Total i 53,470,617.73 $36, 716, 455.15 1, 784, 800. 00 950, 000. 00 200. 00 783, 553. 96 2, 793, 793. 52 1, 373, 423. 57 446, 470. 00 2,147,149.87 116,317.19 220, 443. 13 173, 527. 55 468, 889.17 326, 543. 00 11, "60. 78 2, 870, 098. 27 584, 018. 00 76,199. 77 14, 401. 37 SEPTEMBER 30. 57 b a n k s . $37,145 472.16 j $37,436, 381. 00 1,797,300.00 i 1,699,800.00 950,000.00 j 950,000.00 $37,155, 00s*. 41 1, 687, 300. P0 950, 000. 00 649, 827. 83 3, 090, 725. 05 1, 096, 450. 71 515,133.07 2, 224, 018. 00 67, 821. 87 221, 610.25 107,114. 22 614, 417. 32 445, 551. 00 9,534. 32 2, 412, 340. 97 837, 332.00 639, 167. 34 3, 487, 739.35 1 540, 594. 93 '772, 549. 24 2, 235, 773.21 161, 366, 07 23ii, 765. 80 142, 627.76 737, 858. 74 306, 994.00 19, 251.22 2, 099. 023.23 8oo 948,00 72, 948. 00 23, 727. 79 73,658. 50 51,450. 67 692,053.29 | 2,654,151.14 I 1,154,955.52 i 392,029.70 ; 2,188, 485. 92 ! 360,497.61 , 263,431.21 ! 102,080.94 ! 486,475.19 290,415.00 9, 984.62 2, 518, 543. 03 801, 097.00 75,186.00 27, 497.94 51, 857, 344.30 | 51, *79, 656. 27 \ 52, 474, 733.40 53, 092, 076. 47^ MISSOURI. 35 b a n k s . Loans and discounts Bonds for circulation Bonds for deposits TJ. S. bonds on hand.. Other stocks and b'ds Due from res've ag'ts Due from nat'l banks Due from State banks Real estate, etc Current expenses ... Premiums paid Cash items Clear'g-house exch'gs Bills of other banks.. Fractional currency. Specie Legal-tender notes .. TJ. 3. cert's of deposit 5 % fund with Treas Due from TJ. S. Treas. Total $5, 542, 318.20 712, 750.00 37 b a n k s . 39 b a n k s . $5, 506, 551.12 750, 250. 00 $5, 733, 657. 68 795, 250. 00 26, 900.00 618, 935.18 671, 070.48 83, 401.11 102, 008. 22 331,428. 00 69, 723.32 61, 668. 45 53, 633. 66 27, 648, 961, 158, 122, 347, 43, 66, 45, 200.00 625. 43 607. 56 102. 60 562. 74 847.47 7^8. 41 332.14 226. 51 11, 300. 66 618, 339.61 1, 050, 670. 69 171, 074. 52 143,130. 78 349, 485.50 79, 492 04 85, 870.89 43, 883. 21 200,199. 00 2, 049. 60 276, 257. 03 282, 868. 00 222. H64. 00 2,128. 03 300, 736. 15 317,187. 00 209,101. 00 2, 306. 38 357, 777. 21 337,171. 00 29, 800. 75 1, 486,19 33, 759. 75 3, 240.00 9, 066,497.19 9, 557, 508. 91 39 b a n k s . C I T Y O F S T . 41 b a n k s . $5, 743, 400.58 "$60787865797 795, 250. 00 810, 250.00 11, 300. 00 619, 691.34 1, 269, 359. 57 152,901.04 96, 520.57 357, 222. 38 21, 766. 87 82, 877.14 38, 986. 92 199, 580. 2, 324. 372, 651. 302, 846. 11, 350.00 642, 921. 76 1, 179,002.00 116, 854. 41 84, 965. 22 364, 465.40 54,800. 12 90, 265. 95 63,119. .'8 00 54 20 00 182, 732. 00 2, 247. 87 355 608 84 313; 697! 00 32, 044. 75 560.00 35, 045.25 1, 1:70. 00 35, 940. 25 710. 00 10,021,115.26 10,102, 793.40 10, 487, 856. 07 L O U I S . 4 banks. Loans and discounts Bonds for circulation Bonds for deposits... TJ. S. bonds on hand.. Other stocks and b'ds Due from res've ag'ts Due from nat'l banks Due from State banks! Real estate, etc j Current expenses ; Premiums paid \ Cash items j Clear'g-house exch'gs Bills of other banks.. Fractional currency. Specie Legal-tender notes .. TJ. S. cert's of deposit. 5 % fund with Treas Due from TJ. S. Treas 4 banks. 4 banks. 5 banks. 5 banks. $8,348,921.48 210, 000.00 250, 000.00 100. 00 963,403. 03 $7, 326, 331. 60 210, 000. 00 200, 000. 00 100.00 916, 463.03 $6, 930, 749. 73 210, 000. (J0 $10,443, 555. 98 250, 01)0. 00 $13, 490, 547. 57 250, 000. 00 1, 200. 00 984, 831. 78 8, 800. 00 1,186, 854. 99 3, 200. 00 1,145, 386. 67 1, 095, 616.42 135, 089. 30 2(51,150.80 73, 342.27 79, 000. 00 25, 934. 59 479, 390.42 176, 643 00 3, 057. 92 1,127, 599. 50 1,008,417.00 190, 000. 00 9, 450. 00 9,500 00 1,991,429. 69 129, 725. 39 281,314.20 47,117. 51 74,250.00 32, 454,83 581,170. 83 312, 999. 00 3, 223.58 2, 066, 299. 50 1,126, 472. 00 190, 000. 00 9, 450. 00 11, 000. 00 1, 965. 758.99 68, 817. 92 281,314.20 79, 395. 35 26, 000. 00 23, 645.32 675, 734.17 514, 358. 00 1, 656.51 1, 851, 824. 50 1,473, 600. 00 190, 000.00 9, 450. 00 5, 500.00 2, 792, 067. 68 229, 656. 01 347, 595.42 29, 808.10 40, 845.75 31.072.91 668, 323. 49 446, 505.00 2, 7(51.36 2, 239, 908. 00 2,166, 800. 00 190, 000. 00 9, 000.00 5. 000. 00 2, 930, Oil 95 229, 479.37 347, 595.42 133, 314.25 41,180, 25 05, 625.50 746, 355. 62 214, 484.00 1. 579. 74 1, 577, 333. 60 1, 341, 005. 00 270, 0C0. 00 11, 250. 00 1, 000. 00 14,466 615.73 15, 509, 801.16 15,293,836.47 21, 088, 554. 69 22, 799,408. 947 REPORT OF THE COMPTROLLER OF THE CURRENCY. 283 by States and reserve cities—Continued. MINNESOTA. Capital stock Surplus fund Undivided profits Nat'1-bank circulation State-bank circulation DECEMBER 12. FEBRUARY 26. MAY 13. JULY 12. 56 b a n k s . Liabilities. 56 b a n k s . 57 b a n k s . 57 b a n k s . $13,970,000.00 $13, 970, 000.00 $14,005,000.00 $14,145, 000. 00 $14, 366, 320.00 2, 537, 362. 39 2,149,149.26 2, 606, £02. 39 1, 627, 601. 71 2, 604, 802. 39 2, 069, 654.23 2, 641, 922. 39 1, 431, 927. 31 2, 641, 922, 39 1, 854, 335. 09 1, 585, 530.00 1, 576, 880. 00 1, 577, 950. 00 1, 473, 875.00 1, 486, 550. 00 Dividends unpaid SEPTEMBER 30. 57 b a n k s . 6, 370. 50 10, 344. 00 9, 690. 00 87, 207.66 10, 613. 50 Individual deposits... TJ. S. deposits Dep'ts IT. S.dis. officers 25, 576, 949.83 714, 838. 36 219, 432.12 25,109, 845.39 707, 860.49 251, 454. 22 25, 275, 811. 56 657, 227.27 286, 091. 73 26,837, 605. 76 743, 015. 37 211, 049. 93 25, 769, 219. 90 523,672.58 460,181. 07 Due to national banks Due to State banks... Notes re-discounted.. Bills payable 2, 716, 589.14 3, 084,187.67 2,510,074.67 2, 718, 451.18 1, 685, 874. 05 2, 241,140.45 1, 644, 295. 45 2, 365, 419.83 2, 317, 946.49 2, 503, 458.86 867, 208.46 43, 000.00 753, 030.25 15, 000. 00 1,430,414. 59 36, 000. 00 872, 414. 70 21, 000. 00 1,123, 856. 59 34, 000. 00 53,470, 617. 73 51,857, 344. 30 51, 879, 656.27 52, 474, 733.40 53, 092, 076.47 Total MISSO URI. 39 b a n k s . 39 b a n k s . $2, 456, 000. 00 ' $2,556,000.00 $2. 838. 240. 00 $2,882,190.00 $3, 009. 410.00 585, 810. 77 321, 712. 32 617,422.54 193,428.51 .618,622.54 294, 205.19 625,147.90 145, 722. 40 606, 497.90 248,222.31 627, 365. 00 670, 575.00 665, 955.00 693, 695. 00 719, 315.00 35 b a n k s . Capital stock Surplus fund Undivided profits Nat'1-bank circulation State-bank circulation Dividends unpaid Individual deposits. • - 41 b a n k s . 1, 915. 00 1, 685.00 430. 00 10, 953. 00 975.00 4, 787, 708.39 5, 295,832. 93 5,416,552.42 5, 585, 445. 84 5, 617, 423. 43 32, 559.37 49,860.33 56, 344.64 58, 706.85 73. 588. 79 30,576. 68 61,469.91 50, 518.59 99,491.18 75, 264. 86 142, 566. 01 61, 000. 00 97, 513. 44 10, 000.00 67, 944. 64 15, 000. 00 47, 650. 76 81, 256. 39 30, 000. 00 9, 066, 497.19 9, 557, 508.91 10, 021,115. 26 10,102, 793. 40 10,487,856.07 Dep'ts U.S.dis.officers Due to national banks Due to State banks... Notes re-discounted.. Bills payable Total 37 b a n k s . CITY OF ST. L O U I S 4 banks. Capital stock 4 banks. 4 banks. 5 banks. $3, 200, 000. 00 $3,200, 000. 00 $3, 200, 000. 00 $4, 400, 000.00 $5, 000, 000. 00 840, 000. 00 268, 905. 56 840, 000. 00 212, 508. 73 900, 547. 67 239,033.95 840, 000. 00 283, 548.23 840, 000. 00 471, 066. 23 189, 000. 00 188, 400. 00 189, 000.00 180, 000.00 194,000.00 Surplus fund Undivided profits Nat'1-bank circulation State-bank circulation Dividends unpaid 5 banks. 7, 784.18 7,166. 25 18, 742. 25 14, 362. 25 7, 948. 25 Individual deposits... U. S. deposits Dep'ts U. S. dis. officers 5, 590, 229. 68 275, 000. 00 5, 472, 865.69 220, 000. 00 6, 034, 944. 70 8, 493, 082. 07 8,617,819.43 Due to national banks Due to State banks... 2,137, 831.17 1, 957, 865.14 3,132,442.47 2,236,418.02 2, 615, 534. 60 2, 096, 033. 30 3, 921,120.16 2, 956, 441. 98 3, 960, 944. 89 3, 514, 675.62 Notes re-discounted.. Bills payable Total 192, 954. 52 14,466,615.73 15,509,801.16 15, 293, 836.47 21, 088, 554.69 22, 799, 408.94 284 REPORT OF THE COMPTROLLER OF T H E CURRENCY. Abstract of reports since October 4? 1888, arranged KANSAS ! DECEMBER 12. Resources. CITY. FEBRUARY 26. 10 banks. ! MAY 13. JULY 12. 10 banks. 10 banks. 10 banks. SEPTEMBER 30. j 10 b a n k s . Loans and discounts. $14,838, 520. 06 $15,406, 456. 64 $16, 790, 414. 58 $18,182,493.36 $17,576,540.02" 500, 000. 00 500, 000. 00 500, 000. 00 500,000.00 Bonds for circulation. 500, 000. 00 800, 000. 00 800, 000. 00 800, 000.00 750,000.00 Bonds for deposits... 750, 000. 00 2, 300. 00 300. 00 300.00 TJ. S. bonds on hand. 139,150.00 1,200.00 617, 932.13 644, 501.11 Other stocks and b'dsj 1, 212, 875.88 1,163, 971.25 667, 211.11 1, 852, 917. 56 4, 338, 401. 77 Due from res've a g ' t s . | 2, 635,632.49 3,835,268.48 2, 748, 269.15 735, 951.12 605,107.48 Due from n a t ' l b a n k s . j 657, 076.32 678,417.85 645,113. 52 776, 432. 21 1, 485, 392. 29 Due from State banks 1, 715, 436. 39 1,140, 946. 89 1, 018, 045. 65 470, 867. 56 501, 304.44 499, 868. 39 510, 831. 96 529, 496. 74 Real estate, etc I 73, 371.87 78, 857.12 78, 586.39 65,423.92 84, 887.15 Current expenses j 167,325. 02 164, 249.02 ' 178, 008. 94 171,101. 05 172,131. 56 Premiums paid j 32, 264. 64 40, 487. 80 60, 652. 51 52, 729. 33 36, 257.14 Cash items i 725, 927.10 727, 033. 08 609, 078. 26 572, 074 26 618, 239. 35 Clear'g-house exch'gs| 533, 690.00 925, 623. 00 756, 957.00 404, 991.00 968, 002. 00 Bills of other b a n k s . . 4, 312. 45 5, 630. 55 5, 382. 71 3, 865.73 6, 761.69 Fractional currency.: 1, 424, 372.87 1, 719, 008. 95 1,899, 821.25 1, 698, 352.95 2,146, 012. 75 Specie i 1, 392, 546.00 1, 293, 354. 00 1,229,831.00 1,295, 500.00 1, 336,104. 00 Legal-tender notes . . ' U. S. cert's of deposit. 22, 500. 00 22, 500. 00 21, 950.00 22, 500. 00 i 21, 700.00 5 % fund with Treas. 4, 350. 00 2, 000.00 10, 074.00 3, 600.00 1,000.00 j Due from TJ. S. Treas. Total 29, 260, 207. 25 I .24,975,580.59 CITY Loans and discounts. | Bonds for circulation. j Bonds for deposits... j TJ. S. bonds on hand..; Other stocks and b'ds! Due from res've ag'ts. i Due from nat'l banks. j Due from State banks! Real estate, etc \ 11,650.00 ! 343,688.39 j 97,535.13 72,150.19 37,380.59 10,424. 29 55, 000.00 15, 053.48 17, 406. 90 6,877.00 ! 250.01 | 158,426.80 173,673.00 I Current expenses i Premiums paid " Cash items Clear' g-house exch' gs Bills of other b a n k s . . , Fractional currency. I Specie i Legal-tender notes . . ; TJ. S. cert's of deposit, j 5 % fund with T r e a s . Due from TJ. S. Treas. Total I $2, 061, 781.90 100, 000. 00 400, 000. 00 $1, 962, 747.93 100, 000. 00 400, 000. 00 4,500.00 , 30, 359, 941.46 ; OF S T . J O S E P H . 2 banks. 2 banks. 29, 760, 732. 02 i 30, 559,462.49 13,400. 00 379,181. 93 129, 873.99 110,943.49 I 37,292.24 | 4,133. 37 I 55,000.00 j 18,493.46 ! 26, 756. 89 I 7,549.00 896. 44 I 188, 245.10 172,748.00 2 banks. $3, 001,453. 80 150,000.00 400, 000.00 15, 614. 55 203, 202.02 113, 601. 05 83, 912. 75 36, 822. 34 8, 959.00 55, 000. 00 21, 657.41 23, 415. 69 13, 830. 00 715.54 222,472. 85 195, 330.00 21, 084. 55 378, 885. 58 474, 004.04 154, 867.49 40, 809.16 1, 695.13 69, 250.00 61, 051. 62 48,006. 79 42, 235; 00 684.13 278,541. 50 225,087.00 4,500.00 , 2, 000. 00 3,466, 763. 71 ! 3, 712, 795. 81 158 banks. 158 banks. 3 banks. $2,152,131.61 100,000.00 400,000.00 4, 500. 00 3,651,164.81 4,500.00 I 3 banks. $3,066,168.97 150, 000. 00 400, 000. 00 1,500.00 11, 714.55 529, 824. 66 320.640. 34 142, 878.86 40, 967.86 17, 828.15 69, 675.00 84, 673.64 101,135.40 15,550.00 527.82 316,862.05 178, 474.00 6, 750.00 5,352,155.79 j 5,455,171.2 162 banks. 161 banks. KANSAS. 160 banks. Loans and discounts j $23,173,101.17 $22,716,367.45 $22,^09^505.63 3,107, 000.00 3,132, 000. 00 Bonds for circulation, i 3,125, 750.00 750, 000.00 Bonds for deposits... \ 750, 000. 00 800, 000.00 9, 350.00 TJ. S. bonds on h a n d . . j 1, 350. 00 1, 350. 00 Other stocks and b'ds| 462, 704. 38 517, 551.31 327, 517.77 Due from res've ag'ts. j 2, 759, 391.26 4,121, 774.42 3, 554,179. 99 Due from nat'l banks i 630, 603. 62 743, 570. 02 780,740.13 Due from State banks! 324, 780. 84 480,105.48 453,567.36 1, 924, 440. 52 Real estate, etc 2,142, 579.09 2, 040,137. 04 373, 377. 96 Current expenses 309, 635.19 190, 709. 91 Premiums paid 428, 669.14 440, 218.31 422, 835. 59 Cash items I 214,475.24 194, 239. 28 177,427. 26 Clear'g-house exch'gsi 14, 051.07 14, 406.83 18, 028.91 Bills of other b a n k s . . ! 602, 633.00 611, 945. 00 719,861.00 Fractional currency.! 11, 248. 93 13, 050. 25 12, 352.10 Specie | 1, 253. 600. 32 1,214,414.20 1,199,463.47 Legal-tender notes . . ! 1,164, 404. 00 1,229, 797. 00 1,196, 269.00 TJ. S. cert's of deposit. 5 % fund with Treas. 137,106.20 136, 714. 74 : 137, 615.30 Due from TJ. S. Treas. 7,175. 28 ; 8,655.00 ; 4, 979.16 Total ! 37, 366, 862.93 ; 37, 698, 694.68 38, 533,218.51 $22, 748, 235?72~ $24,185,054.30 3,159,500.00 3,169,500.00 700,000.00 700,000.00 | 4,100. 00 100.00 668,122.49 690, 854.38 3, 763, 674. 81 3,712,588.48 911,029.33 716,866.23 409,465. 69 487,156.01 2,100,178. 49 2,184,447.69 128, 389.54 234, 993.24 472,170.51 486,383.70 202, 252. 71 234,732.00 8, 846. 09 14,976.87 731, 640. 00 649,954.00 14, 449.41 12,813.44 1, 287, 997.14 1,159,086.49 1,255, 332.00 1,073,681.00 138, 099.66 6, 683. 00 38, 710,166. 59 138,686.16 7, 425.60 39, 859, 299.6 REPORT OF THE COMPTROLLER OF THE CURRENCY. by States and reserve cities 285 Continued. K ANSAS CITY. DECEMBER 12. Liabilities. Capital stock 10 b a n k s . | $6, 600, 000.00 Surplus fund ! Undivided p r o f i t s . . . . | J Nat'1-bank circulation i State-bank circulation j Dividends unpaid 623,000. 00 539,393.96 450.000.00 FEBRUARY 26. j . ._. ... _..... , 10 banks. ; MAY 13. JULY 12. | 10 banks. $6, 800, 000. 00 $6, 800, 000. 00 846,500.00 223, 286. 39 450,000.00 871,500.00 359, 076. 37 450,000.00 | 600. 00 j 10 b a n k s . 10 b a n k s . $6,800,000.00 ! $6,800,000.00 759, 500. 00 725, 500.00 354,682.78 i 433, 381. 05 450, 000.00 SEPTEMBER 30. 1 450, 000. 00 19,156. 00 265.00 11, 512, 637.22 I 11,452, 817. 59 11, 932, 978. 86 786,976.35 785,709.67 ! 752, 760.30 3, 243. 77 I 7,133. 89 ; 1, 796. 73 11, 698, 622. 34 740, 704. 50 19, 557. 87 Individual deposits . . | U. S. deposits i Dep'ts U.S.dis. officers' 9, 743,977.26 783, 087. 91 7,995.03 Due to national banks j Due to State banks... j 2,898,195. 09 3, 067, 742.93 4,187, 039. 81 4,391,097.54 4,618,337.35 ! 4, 416, 408. 04 j 5, 013, 491. 34 4, 509, 492. 87 4,692,088.46 4,694,626.92 Notes re-discounted.. j Bills payable j 262,188. 41 , 48, 429.78 37,444.43 | 10, 000. 00 33, 500. 00 ! 24, 975, 580.59 29, 260, 207. 25 29, 760, 732.02 ' 30, 559, 462. 49 30,359,941.46 Total CITY OP ST. JOSEPH. 2 banks. Capital stock Surplus fund j Undivided profits \ Nat'1-bank circulation j State-bank circulation \. 2 banks. 2 banks. $300, 000. 00 $300, 000.00 110, 000. 00 51, 769. 57 110, 000. 00 57, 475.79 3 banks. $1, ooo, ofloVoo $300,000.00 ! $1,000,000.00 3 banks. 110,000.00 55,100.28 j 81, 500.00 51, 870. 22 81, 500. 00 23, 035. 57 i 90, 000. 00 90, 000. 00 90,000.00 i 90, 000. 00 ! 134, 950, 00 Dividends unpaid. Individual deposits...! U. S. deposits | Dep'ts U. S. dis. officers j 1, 895, 836.73 421, 796. 37 17, 613.21 Due to national banks 1 Due to State b a n k s . . . | 127,181. 50 352, 566. 33 2,106,000.28 ! 424, 716.36 j 8, .733. 99 I 1, 896, 304. 89 418,174.96 ; 21,742.47 2,599,573.07 ! 434,731.46 ! 5, 056.17 | 2, 530, 409. 02 423,437.18 15, 838. 52 370,999.50 728,760.02 i 369, 451. 37 797, 714.99 j 160,473.41 j 405,395.98 j 205, 730. 68 \ 354,111.53 ! i Notes re-discounted. Bills payable Total 100, 00.00 ; 50,000.00 i 3,466, 763. 71 3,712,795.81| 50,000.00 i 150,000.00 I 3,651,164.81 18,500.00 I 50, 000.00 5,352,155.79' 5,455,171.30 KANSAS. 158 banks. Capital stock. $12, 84S, 680.00 158 bank9. 160 banks. $12,824,100.00 I $12,900,405.00 162 b a n k s . 161 b a n k s . $13, 010,100.00 $13,182,100. 00 Surplus fund Undivided profits 1, 808, 816. 56 1, 498,165.20 1,908,807.45 , 943, 574. 67 1, 844, 670. 75 1, 207, 968. 73 1, 911, 453. 29 702, 983.67 1,879, 206. 02 957,400.87 Nat'1-bank circulation State-bank circulation 2, 807, 005. 00 2,772,460.00 ! 2,775,000.00 2, 808,665.00 2, 826, 395.00 Dividends unpaid 1, 717. 00 2,377.00 Individual deposits... 16,199, 412.45 j 16,866,535.73 ; U. S. deposits j 522,957.34 . 567,422.23 I Dep'ts U.S.dis.officers; 224,075.20 160, 656.14 j I Due to national banks j 363,442.94 ' 320,320.57 i Due to State b a n k s . . . j 288,686.51 j 374,064.26 i Notes re-discounted.. Bills payable i Total 661, 475.27 204, 500. 00 631,252.09 265, 048. 00 37, 366, 862. 93 I 37, 698, 694. 68 1, 394. 00 17,494,215.64 665, 809. 24 114, 892. 24 30,166. 00 18, 042, 698.89 548,187.08 ! 135, 772.34 j 9,135. 50 18, 837, 865. 04 431, 494. 92 259,491.04 483,481.86 j 430,672.10 I 453,738.20 505,282.19 391, 838. 50 467, 994, 78 458.410.47 ! 156.298.48 '• 406,100.83 | 155,019.10 | 462, 614. 02 153, 763. 99 _ 533, 218. 51 I 710,166. 59 I _ 38, . 38, 39, 859, 299.68 286 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, arranged NEBRASKA. Resources. ! DECEMBER 12. i 100 banks. FEBRUARY 26. 102 banks. MAY 13. JULY 12. I SEPTEMBER 30. 102 banks. 107 banks. I l l banks. $15,838,608.42 ! $16,360,362.07 I $16,302,920.32 ' $17,233, 084. 26 1, 683, 750.00 1, 736, 250.00 \ 1, 811, 250.00 1,883,250.00 Loans and discounts. $15, 829, 703. 37 Bonds for circulation -1 1, 624, 750. 00 Bonds for deposits .. | U. S. bonds on h a n d . . j 1,000 Other stocks and b'dsl 194, 244. 79 184,524.02 180,710.84 ; 186, 791. 30 Duefromres'veag'ts j 1, 317, 915. 89 1,687,810.66 1,586,895.43 '• 1, 867,404.05 Due from nat'lbanks j 294, 674. 42 305, 060. 05 361,828.80 • 442, 491.31 D u e from State banks] 103, 425. 06 123, 364. 52 102,050.07 • 107,186.63 Real estate, etc 1,129, 066. 47 1,194, 597.47 1,201,790.18 1, 248.481.23 Current expenses 240, 744. 03 164, 597. 38 261, 950. 97 • 82, 881.15 Premiums paid 160, 273. 04 176,678.26 180, 749.46 . 205, 644.15 Cash items 184, 210. 59 191,935.61 183,582.39 , 208, 022.30 Clear'g-house exch'gs Bills of other b a n k s . . 132,093,00 | 153,472.00 : 142,952.00 i 139,677. 00 Fractional currency 5,842.91 ! 8,209.98 8,834.62 9, 541.96 Specie .'.. 695, 327.35 792,269.56 800, 650. 85 755,405.14 Legal-tender notes .. 339,244.00 346,113. 00 398,467.00 i 385, 063. 00 XJ. S. cert's of deposit 5 % fund "with Treas. 69,117.75 i 75,333.75 , 76,665.75 78, 133. 75 Due from IT. S. Treas 1,160.00 : 2,693.00 150.00 i 9T 065.00 Total 22, 322,792. 67 j 22, 929, 017.68 I 23, 583,890.43 \ 23, 839, 958. 29 207, 014.85 1, 752. 900.42 495, 605. 55 128, 749.15 1, 317, 984.04 187,144. 37 227, 723.37 232, 958. 75 133, 420.00 10, 319.23 708, 957.47 405, 907.00 83,175.25 2,465.00 25, 010, 658. 71 CITY OF OMAHA. 7 banks. Loans and discounts $9, 822, 885.16 325, 000. 00 Bonds for circulation 855, 000. 00 Bonds for deposits .. U. S. bonds on hand.. 105,714. Other stocks and b'ds 1, 266, 704. Duefromres'veag'ts 786, 284. Due from nat'lbanks 505, 884. Due from State banks 704, 448. Real estate, etc 73,217. Current expenses 141,186. Premiums paid 288,114. Cash items 303, 931. Clear'g-house exch'gs 127,161. Bills of other banks.. 4, 978. Fractional currency. 1, 103, 891. Specie 703, 972. Legal-tender notes ..; U. S. cert's of deposit. 14, 525. 5 % fund with Treas. 2, 250. Due from U.S. Treas Total 7 banks. j 7 banks. 59, 535, 674.68 $10, 038,585.40 325,000.00 325, 000,00 855, 000.00 805, 000.00 100, 000.00 020.67 39,263.01 i • 57, 1,699,223.37 1, 330,917.96 636,245.88 ' 648, 082.93 581,929.83 664, 057.80 714,344.09 701, 736.07 74,219.10 ; 58, 021.93 139,830.76 201, 314.88 185,674.25 164, 009.25 286, 750. 62 412, 856.96 192,117.00 214. 650. 00 538.31 5,717.78 1,071,090.80 1,617! 190.51 482. 00 647,038.00 13. 27o. 00 550. 00 7 banks. 8 banks. !$10, 204,141. 90 $10, 577, 691.71 ; 325, 000.00 375,000.00 ; 905, 000. 00 805, 000.00 i ' 100,000.00 j i 66, 327.02 56,324.13 1, 770,936.44 2,010,221.58 j 882, 874. 95 1,000,941.21 i 745, 072.90 819,203.07 j 716, 029.05 746, 818. 58 ! * 39, 047.84 92, 726.88 | 198, 908.63 209, 627.38 j : 53, 830. 51 198,590.32 \ 397 230.20 295, 273.29 i 287, 187.00 277,072.00 5,277. 69 3,212.70 1, 511,894. 89 1,107,673.30 I 890, 566.00 1,174,709.00 12,985.00 1,100.00 i 13, 475. 00 15,565.00 700.00 50,000.00 17,135,149. 23 ; 17, 002, 950.17 . 18, 028, 549. 67 ; 19, 013, 500. 02 , 19, 915, 650.15 COLORADO. 35 banks. 36 banks. 34 banks. 36 bauks. 39 banks. Loans and discounts $14, 574, 888. 76 $14,920,226.96 \ !15, 696, 425. 08 $15, 746, 885. 51 $16, 930, 617.65 1,096,500.00 | 1, 064, 000.00 Bonds for circulation 1, 071, 500. 00 1, 064, 000. 00 1, 126, 500.00 Bonds for deposits .. j 1,100, 000. 00 ! 1,100,000.00 j 1,100, 0U0. 00 1,100,000.00 1,100, 000.00 U. S. bonds on hand.. j 26, 000.00 Other stocks and b'ds 1,051,812.68 ! 874, 892.61 1,050,279.94 840, 388. 75 898, 974.11 Duefromres've ag'ts. 3, 765, 531. 50 4, 238,486.94 2, 828, 781. 30 4, 566, 541.86 6, 009, 484.13 Due from nat'l banks • 1, 677, C49. 70 1, 770, 087. 35 1,995,673.14 2,277,353.30 2, 642,103.66 Due from State banks! 720, 888. 33 555, 726.15 575, 797. 79 ! 464, 426. 39 755, 144.67 497,184. 00 Real estate, etc j 508, 427. 80 461, 393.14 I 494, 875.83 521, 258. 87 82, 379.10 Current expenses — i 125, 488. 76 i 128,138. 79 '28, 525.19 94,564.47 Premiums paid 246 848.26 251,801.70 263,135.76 260, 565.45 280, 037.33 97,118.63 Cash items 103, 902.28 116,933.95 88, 883. 69 78,028.72 374,071.14 Clear'g-house exch'gs 438,808.13 426, 835. 21 286, 835. 09 361,112.61 370, 229. 00 Bills of other banks..; 342, 240.00 337, 359. 00 427, 672. 00 447, 712.00 4, 030.98 Fractional currency.; 6, 347.16 4, 779. 34 4, 375. 66 3, 549.43 1, 733, 561.18 Specie 1, 412, 989. 83 1, 703, 853. 86 1, 807, 451. 07 1,915,354.32 1, 042, 215. 00 Legal-tender notes ..' 1, 108, 066.00 1,163, 090. 00 1,137,107. 00 1,153, 804.00 TJ. S. cert's of deposit: 5 % fund with Treas. i 48, 217. 50 49, 342. 50 47,316.50 i 47, 420. 50 46, 310.50 Due from U. S. Treas. ! • 10, 846. 81 9, 776. 04 59,161.29 ! 7, 722. 54 11, 242.54 Total 27, 214,458.80 30, 2?4, 235.42 ' 30, 651, 029. 83 34 375, 799. 01 REPORT OF THE COMPTROLLER OF THE CURRENCY. 287 by States and reserve cities—Continued. NEBRASKA. FEBRUARY 26. j DECEMBER 12. MAY 13. JULY 12. SEPTEMBER 30. Liabilities. 100 banks. ! | 102 banks. 107 b a n k s . Surplus fund Undivided profits 1,111,701.42 868, 364, 68 Nat'1-bank circulation State-bank circulation . 1, 425, 160.00 1, 499, 600. 00 1,261, 109.74 442,680.41 1,180, 183. 9 L ! 1,172,953.71 800, 868. 38 572, 754. 70 i { 806.00 4,271.00 Individual deposits . . U. S. deposits Dep'ts U.S.dis. officers 10, 002, 329. 63 10,633,183.60 ! Due to national banks Due to State banks . . 211,482.62 469, 806. 34 196, 753. 53 551, 087. 50 282,510.01 : 520, 520. 01 . 1,652,791.98 133, 100. 00 1,285,333.44 200,000.00 1,064,415.36 156,500.00 : 22, 322, 792. 67 22,929, 017.68 Notes re-discounted.. Bills payable Total 16, 080.33 7,630.00 ll f 122, 782. 96 $7, 485, 000. 00 1, 270,137.03 707,446.88 ' 1,581,060.00 ! 1, 550,110. 00 ; Dividends unpaid I l l banks. $6,805,850.00 | $6, 905, 600. 00 ; $7, 285, 000.00 j $6,447,250.00 Capital stock 102 banks. 1,676,735.00 10, 011. 34 11,344,093.13 ; 11,795,194.85 291,998.73 I 664, 728. 40 ; 828,207.55 I 125,000.00 j 23, 583, 890.43 \ 23, 839, 958.29 ! 306,402.82 503, 993.92 1,142,360.04 113,376.83 25, 010, 658. 71 CITY OF OMAHA. 7 banks. 7 banks. $3,050,000.00 Capital stock . . . $3, 200, 000.00 &3,300, 000. 00 7 banks. 7 banks. • $3,300,000.00 : 8 banks. $3, 500, 000.00 j Surplus fund Undivided profits 418,010.00 198,106. 69 " 432,000.00 181,942.81 441,250.00 208, 404, 73 457, 500. 00 i 143, 065.45 ! 462, 500. 00 236, 208. 04 Nat'1-bank circulation State-bank circulation . 292, 500.00 291,970.00 291,870.00: 292,500.00 | 337,500.60 168.00 168.00 3,227.00 192.00 Individual deposits . . U. S. deposits Dep'ts U.S.dis. officers 7,711,735.04 662,228.69 214, 244. Si) 7, 445, 004. 24 635,278.84 253, 733.37 7,979,072.33 686,680.00 237,646.03 8,493,880.13 786,583.46 161,169.88 8,916,309.97 628,825.41 320,320.78 Due to national banks Due to State b a n k s . . . 2,143, 378. 08 1,525,363.62 2,747,004.13 : 1,612,061.44 , 2, 701, 054. 38 2,177, 740. 20 3, 059, 634. 74 2,315,939.36 2,916,307.02 2, 599, 486. 93 Notes re-discounted.. Bills payable 919,414.25 18,028,549.67! 19,013,500.02 19,915,650.15 Dividends unpaid Total ' 17,135,149.23 4, 832. 00 i 163, 787. 34 I 40, 000. 00 : : 17,002,950.17: COLORADO. 34 banks. 36 banks. 36 banks. $3, 665, 000.00 $3, 690, 000.00 $3, 715, 000. C O $4, 290, 000. 00 1, 160, 255.02 1, 018, 437.18 Surplus fund Undivided profits 35 banks. $3,465, 000.00 Capital stock 1, 236, 514.60 982, 564.08 1, 242,316.17 1, 102,243.20 1, 323, 536. 71 867, 787. 65 1, 324, 036. 71 1, 020, 400.87 954, 600. 00 959, 380. 00 939,710.00 954, 510.00 951, 040. 00 Nat'1-bank circulation State-bank circulation 39 banks. j G83.00 853.00 19, 502.65 1, 860.65 Individual deposits... U. S. deposits Dep'ts U.S.dis.officers! 17,271,266.55 945, 497.18 181,456.02 18 158, 665.16 932, 542.27 208,661.91 19, 379.193.35 ' 943,621.28 165,312.31 19, 672,158. 04 1, 031, 899. 57 104, 309. 90 21, 307, 264.76 860, 824.95 226, 805.65 Due to national banks1 Due to State banks.. 1,545, 130.68 652, 035. 53 1, 670, 534. 27 1, 090, 347. 75 1, 701, 224. 36 ! 1, 070,301.45 1, 811, 849. 70 1,121,782.92 2, 490, 088.91 1,897,026.40 20, 000. 00 197. 64 26, 739. 61 28, 614. 82 77.87 6,450.11 27, 214, 458. 80 28, 931, 802. 65 30, 651, 029. 83 34, 375, 799. 01 Dividends unpaid Notes re-discounted. . Bills payable 10,271.65 40, 041.65 • 30, 284, 235.42 i 288 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, arranged NEVADA. DECEMBER 12. , FEBRUARY 26. 2 banks. ! 2 banks. $620,640.06 ! Loans and discounts 70,500.00 ; Bonds for circulation. Bonds for deposits . . IT. S. bonds on hand.. 38,084.26 i 38, 695. 98 I Other stocks and b'ds 10,361.59 ; 17,321.75 i Due from res' ve ag'ts. 201.78 > 401.73 ! Due from nat'lbanks. 10, 487.15 i 1,573.63 ! Due from State banks 37,237.90 i 37,237.90 ; Real estate etc 1,745.97 ! 9,857.80 Current expenses 9,140.00 : 9,140.00 : Premiums paid 909.01 i 1,003.76 Cash items Clear'g-house exch'gs 1,680.00 ! 4,100.00 Bills or other b a n k s . . 53.04 I 49.89 Fractional currency. 73,045.06 | 54, 369. 25 Specie 424.00 ' 2, 066. 00 Legal-tender n o t e s . . . TJ. S. cert's of deposit. 3,172. 50 5 % fund with Treas. 3,172.50 Due from U. S. Treas 885, 709.22 Total 877, 682. 32 Resources. MAY 13. JULY 12. 2 banks. $623,322.32 70,500.00 2 banks. $610,686.54 70,500.00 22,400.00 ! 13,992.57 288.39 : 4,644.14 37, 237. 90 5, 838.94 : 9,140.00 ' 1,968.26 I 500.00 I 63.54 43, 511.30 300.00 ; 3,172.50 836,879.86 i ! SEPTEMBER 30. 2 banks. 21,381.50 ! 19,713.43 ! 165.54 ! 2,491.30 i 37,737.90 ! 166.00 i 9,140.00 ! 2,377.82 ! 720.00 45.47 57,449.20 652.00 $669, 426. 94 70, 500.00 21, 254. 50 15, 858. 99 130.39 2, 961.05 37, 737. 90 4, 498. 80 9,140. 00 1,560.13 510. 00 86.58 43, 297.65 116. 00 3,172.50 ! 3,172. 50 I 836,399.20 ; 880,252.43 i CALIFORNIA. 33 banks. 33 banks. 33 banks. $14, 073, 917. 87 $13, 938, 355. 48 1,190, 000. 00 1, 202, 500. 00 500, 000. 00 500, 000. 00 71, 200. 00 21,500.00 580, 556. 81 637, 539. 05 2, 090, 963. 77 1, 753, 964. 37 434, 373.36 383, 374. 94 430, 583. 87 509, 748. 24 1, 058, 860.72 1, 047, 753. 79 55, 397. 90 127, 270. 67 273,442. 05 252, 653. 23 131, 962. 51 170, 460.11 13, 898. 89 11,830.92 69, 504. 00 84,171. 00 2, 928.28 3. 745.12 2, 893, 705.12 2, 633, 239. 89 245, 328. 00 179, 076. 00 Loans and discounts. $14,173,485. 90 Bonds for circulation. 1,171, 250.00 Bonds for deposits... 500, 000. 00 TJ. S. bonds on hand.. 71, 200. 00 Other stocks and b'ds 646,187. 25 Due from res've ag'ts. 1, 648, 370. 02 348, 861.15 Due from nat'l banks. 484, 601. 50 Due from State banks 987, 366.12 Real estate, etc Current expenses . . . 160, 742. 65 Premiums paid 270, 682.42 Cash items 144, 842.34 Clear' g-house exch' gs 10,184. 77 Bills of other b a n k s . . 89, 332.00 Fractional currency. 2, 504. 32 Specie 2, 728, 746. 29 185, 648.00 Legal-tender notes . . TJ. S. cert's of deposit 52, 706.00 5 % fund with Treas. Due from U. S. Treas 9,092.00 23, 685, 802. 73 Total 50,968. 50 1,900. 00 24,169, 491. 65 53, 250. 00 1, 591. 00 23, 512, 023. 81 33 banks. 35 banks. $14,000, 558.03 1, 227, 500.00 500,000.00 11, 600, 00 709,458.84 1, 581, 608. 08 351, 903.36 493,189. 75 1, 070, 269. 06 47, 653. 26 256, 284.48 126,442. 04 7, 243. 23 . 78, 563. 00 2, 478. 20 2, 354, 032. 26 192, 251. 00 $14, 420, 709.43 1, 281, 250. 00 500, 000. 00 6, 400. 00 775,439. 36 1, 291, 826. 64 351, 234. 38 517,121.61 1,123, 959.04 132,841.83 273, 271.33 127,132.69 11, 349.17 64, 951. 00 2, 598.13 2, 468, 552. 83 149, 573. 00 54,167. 50 53, 662. 50 23, 065, 202.09 23, 551, 872.94 2 banks. $5,417, 082.92 100, 000.00 100, 000. 00 SAN FRANCISCO. 2 banks. Loans and discounts. Bonds for circulation. Bonds for deposits . . TJ. S.bonds on hand.. Other stocks and b'ds Due fromres've ag'ts Due from nat'l banks. I Due from State banks j Real estate, etc Current expenses Premiums paid Cash items j CJear'g-house exch'gs Bills of other b a n k s . . Fractional currency. Specie Legal-tender notes . . TJ. S. cert's of deposit. 5 % fund with T r e a s . Due from TJ. S. Treas. Total ' 2 banks. 2 banks. 2 banks. $5,109, 037.31 600, 000.00 100, 000.00 $5, 422, 819. 93 100, 000. 00 100, 000.00 142, 582. 52 357, 523.26 84, 758. 50 106,328.46 310,131. 88 335, 265.19 199, 722. 68 231, 608. 55 3, 498. 75 1, 290.90 68, 250. 00 64, 500.00 1,051.64 i 2, 762. 61 101,953.41 490, 587. 79 3,000.00 ! 16, 920. 00 161.40 ! 277.33 ,607,332.50 i 1, 610, 225.00 98,312.00 I 12,127.00 405, 484.11 65, 628.98 365, 628.19 256, 359.61 1,646.77 30, 750.00 680.08 217, 464.83 18, 490.00 121.78 1,232, 379.50 7, 518.00 i, 202, 667.75 $5,476, 643. 94 600, 000. 00 600, 000.00 100,000.00 j 100,000.00 375, 000. 00 127, 785.81 160, 536. 00 303, 346. 90 182, 071. 88 1, 679. 97 76, 500. 00 749. 07 176,391.59 1, 770. 60 334. 85 , 379, 770.00 2,745. 00 ""27," 666." 66 "27,666.66! 8,718,348.82 7,083.33 I 8,831,482.55 J 27, 666." 66 5, 677. 78 9,071,131.18 4,566.7)6" 574.67 8,230,046.45 36, 667. 78 219, 268.43 110, 478.17 277,148.91 288, 251.79 29, 000. 00 3, 877. 07 504, 029.36 6, 690.00 147.31 1, 019,475. 00 8, 808. 00 4," 500.66 875.00 8,126,299.74 REPORT OF THE COMPTROLLER OF THE CURRENCY. 289 by States and reserve cities—Continued. NEVADA. 2 banks. ' JULY 12. MAY 13. DECEMHELt 12. ; FEliKUAUT 26. Liabilities. 2 banks. 2 banks. I , SEPTEMBER 30. 2 banks. , 2 banks. Capital stock | $282, 000, 00 $282, 000. 00 $282,000.00 ! $282,000.00 $282,000.00 Surplus fund . Undivided profits j i 98, 000. 00 16,098.61 98, 000. 00 12, 190.12 98,000.00 I 22,(550.03 j 103, 000. 00 10,468.71 103, 000. 00 17, 920. 49 Nat'1-bauk circulation; State-bank circulation | 63,430.00 u3, 4:50. 00 63,430.00 | 63, 430.00 63,430.00 834, 00 504.00 16,140.00 | 1, 326. 00 287,3:15.25 303, 926. 51 255,153.01 295,888.97 ; 306, 313.55 37,892.13 27,579.39 66, 338.84 Dividends unpaid Individual deposits - . U. S. deposits D e p ' t s IT. S.dis.officers 93, 200. 81 45, 644. 55 •• Due to national banks' Due to State banks . . i 77, 562. 47 39, 739. 22 i 77.507.14 ' 37,635.68 39, 923. 55 Notes re-discounted. Bills payable Total 885,709.22 . 877, 082. 32 836, 879.86 ; 880, 252. 43 836, 399. 20 CALIFORNIA. 33 b a n k s . Surplus fund Undivided profits ; Nat'1-bank circulation State-bank circulation;. Dividends unpaid i $5,275,000.00 Capital stock . . . i 33 banks. j 33 b a n k s . 35 banks. $5,450,000.00 j $5,550,000.00 $5, 750, 000.00 1, 014, 344. 78 987,341.00 1,136,597.11 j 729,891.42 ; 1,160,097.11 i 882,070.93 j 1,228,364.11 741,677.40 1, 251, 716. 36 928, 421. 43 1,029,870.00 1,033,590.00 ; 1,045,380.00 | 1,067,770.00 \ 1,067,350.00 | Individual deposits..! U. S. deposits ; Dep'tsU.S.dis. officers! 33 banks. $5,350,000.00 2,443.00 S 3,458.75 | 1,495.50 : 2, 829.25 17,645.75 14,124,595.63 ; 14, 716, 333. 97 j14,116,189. 46 ; 13, 654, 852. 40 375,996.99 417, 430.4L ! 383,200.08 i 415,087.47 : 162, 563. 51 126, 283. 65 j 143,095.67 ! 81,818.61 Due to national banks' Due to State banks... j 231,245.62 ! 325,453.42 I 167, 982. 37 413, 411. 69 77,969.82 j 241, 925.24 ! Notes re-discounted.. | Bills payable I 151,795.22 | 79, 665.84 10,000.00 ; Total 71,020.67 i 236,965.68 i 13, 639, 233. 34 319,452.72 206, 029.44 85, 724.35 226, 511.41 74, 604. 64 I 23,685, 802.73 j 24,169, 491. 65 j 23, 512, 023. 81 ; 23, 065, 202.09 : 23, 551, 872. 94 SAN FRANCISCO. 2 banks. 2 banks. I $2, 500, 000. 00 Capital stock $2, 500, 000. 00 2 banks. 2 banks. ! $2,500,000.00 j $2, 500, 000. 00 •• 2 banks. $2, 500, 000. 00 ! 425, 000. 00 252,682.16 j 450,000.00 224,431.89 450,000.00 ; 298, 948. 79 ' 500,000.00 i 205, 079. 82 \ 500, 000. 00 279, 064. 61 Nat'1-bank circulation! State -bank ci re ulation 539,250.00 I 540,000.00 531,310.00 ; 88,900.00 I 89, 350.00 Surplus fund Undivided profits Dividends unpaid 1,123.50 ! Individual deposits..i U . S . deposits j Dep'tsU.S.dis.officers Due to national banks Due to State banks . . 2,197.25 ; 3, 870,136.02 i 86, 912. 03 i ' 3, 965, 500. 01 ; 88,339.00; 660, 781. 65 i 382,463.46 599,611.34 461,403.06 ; 948.50 : 4,198, 812.25 88,031.22 17, 674. 75 3, 559, 077. 20 84, 685.10 1, 763. 00 ; 3, 514, 825. 61 82,803.04 602,697.88 i 400,382.54 : 709,931.76 ' 564, 697. 82 749, 583. 22 408, 910. 26 9, 071,131.18 ; 8, 230,046. 45 i 8,126, 299. 74 Notes re-discounted.. j . ; Bills payable . Total j 8,718,348.82 i 94-G0 CUR 19* 8, 831, 482. 55 290 REPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of reports since October 4, 1888, arranged OREGON. DECEMBER 12. Resources. FEBRUARY 26. MAY 13. JULY 12. I SEPTEMBER 30. j 27 banks. 28 banks. 31 banks. 31 banks. j $6,903,088.39 532, 300. 00 600, 000. 00 500.00 771, 730. 37 430,939.41 454,831.71 312,955.55 309,882.92 31,658.31 97,544.58 66,976.88 $8, 022, 796. 58 569, 800. 00 600, 000. 00 10, 500. 00 754, 214. 07 453, 297. 37 480, 637.15 232,514.88 329,988.70 72, 632. 00 110, 871.26 93, 320. 82 $6,705,035.44 Loans and discounts 519.800.00 Bonds for circulation 600, 000. 00 Bonds for d e p o s i t s . . . TJ. S. bonds on h a n d . . 737, 840. 98 Other stocks and b'ds 306,005.05 • ' Due from res' ve ag'ts 481,466.84 Due from nat'l banks 532,950.66 Due from State banks 295,407.09 . Real estate, etc 78,651.13 Current expenses 92.438.26 P r e m i u m s paid 106,344.88 : Cash items Clear'g-house exch'gs 39, 355. 00 Bills of other b a n k s . . | 1, 087. 56 Fractional c u r r e n c y . 1,118, 470. 85 Specie ; 178,909.00 • Legal-tender notes ..i TJ. S. cert's of deposit I • 23, 390. 50 5 % fund with Treas. | 4,649.62 Due from TJ. S. Treas j Total i 11,821,802.86; i : ; j 26,849.00 1,097.03 I 1,347,809.29 i 72,524.00 ! 16, 306 00 1,443.03 : 1,308,216.56 53,623.00 ; 23,390.50 880.00 I 25, 640. 00 635. 00 11,984,957.94 j 13,136,436.42 31 b a n k s . 746, 339.17 702, 295. 72 i 619, 676. 36 j 408,223.42 ! 332, 095. 49 , 22,254.21 ! 103,801.73 : 108,389.16 i 758,848.45 864,078.80 548,991.19 426,566.11 ! 357,568.61 ! 60,000.49 ! 103, 701. 73 175,183.11 21,568.00 • 1, 000. 30 1,524,0X6.80 i 51,87000 ! 22, 789. 00 981.23 1,048,460.73 I 47,652.00 I 25,640.50 i 2,210.00 ! 25,640.50 1,185.00 13,900,014.62 14,382,703.52 ARIZ ON A. 1 bank. Loans and discounts • Bonds for circulation. Bonds for deposits... TJ. S. bonds on h a n d . . Other stocks and Ivds Due from res' ve ag'ts. Due from nat'l banks. Due from State banks Real estate, etc Current expenses . . . Premiums paid Cash items Clear'g-house excli'gs Bills of other banks.. Fractional currency Specie Legal-tender notes . . TJ. S. cert's of deposit. 5 % fund with Treas. Due from TJ. S. Treas. $154, 472. 78 25, 000. 00 1 bank. $161,581.00 25, 000. 00 52,512.36 14, 026.41 9, 454. 50 1, 010.47 1,250.00 145. 70 532.00 ; 15,883.45 11,500.00 ; 1,125.00 286,915.57 ; Total. 68, 385.41 52, 707. 75 10, 305. 27 9, 454. 50 4,120.91 1,875.00 134.30 1 bank. $139, 380. 92 25,000. 00 5,474.17 9, 454. 50 ?,, 423. 25 1, 250. 00 62.10 1 bank. 1 bank. $144,697.27 25,000.00 $171,249.88 25,000.00 71,988.50 ! 76, 258.19 23,416.96 ; 9,454.50 I 3, 001. 30 9, 454. 50 2, 464. 26 1, 250. 00 357. 89 153.11 1,250.00 384.34 ! ; ! 8 876. 00 3,814.00 : 779. 00 21,542.80 : 6, 000. 00 20 406. 09 14 000. 00 26,047.90 : 12,000.00 i 17, 223. 70 13, 000. 00 1,125.00 i 1 125. 00 , 1,125. 00 | 1,125. 00 10, 092. 00 303, 935. 63 | 296, 837. 44 319, 331. 58 ! 321,163. 72 DAKOTA. 58 banks. Loans and discounts. $7, 228, 914. 93 950, 000. 00 Bonds for circulation. 325, 000. 00 Bonds for deposits 20, 000. 00 TJ. S. bonds on hand.. 642, 812. 62 Other stocks and b'dsl 502, 871. 63 Due from res've ag'ts. . 749, 204. 60 Due from nat'lbanks | 138, 718. 99 Due from State banks j 848. 232. 43 Real estate, etc j 149, 514. 72 Current expenses j 129, 264. 69 Premiums paid | 122, 520. 16 Cash items I Clear'g-house exch'gs.i 124, 337. 00 Bi s of other b a n k s . . I 2,926.97 Fllctional currency . | 459, 662.17 Specie ! 360,440.00 Legal-tender notes . . I TJ. S. cert's of deposit 41, 080. 29 5 % fund with Treas 7, 718. 00 Due fromTJ. S. Treas Total 12, 803, 219.20 58 banks. $7, 369, 363. 83 962, 500. 00 316, 000. 00 20, 000. 00 609, 825. 05 537, 907. 20 651, 247. 99 115, 643.30 903, 565.41 85, 755.02 145,406. 56 98,100. 35 59 banks. $7,699,074.28 975, 000. 00 266,000.00 20, 000.00 559, 343. 02 775, 869. 60 481, 054. 66 130, 677. 74 937, 399. 39 152, 943. 02 142, 914.10 115 637. 92 74,818.00 4,470.50 405, 998. 81 336, 529.00 90,782.00 ; 5.298.51 ! 421,276.76 i 353,382.00 42, 907. 25 1, 940. 0!) 42,301.50 i 160.00 I $8, 771, 256. 57 j 569,800.00 : 600,000.00 ; .76 569,800.00 600, 000. 00 59 banks. $7, 848, 712. 66 980, 750. 00 316, 000. 00 20, 250. 00 548, 807. 57 660, 788.99 436, 595. 76 134, 694. 32 905, 296. 03 56, 319. 53 154, 294. 23 117, 246. 99 102, 5, 413, 264, 61 b a n k s . $7, 794, 446. 22 1, 024, 750. 00 316, 000.00 20, 250. 00 608,165. 72 814, 367. 25 895, 683. 87 162,723.63 940, 939.14 111,636.22 162, 699. 24 96, 223. 01 877.00 056. 76 856. 08 468. 00 119, 567. 00 4, 704.61 435,196. 56 314, 219. 00 43,632.75 310. 00 42,955.25 1, 220. 00 12, 681,978. 27 | 13,169,114. 50 J 13, 009,956. 67 13,865^746.72 REPORT OF THE COMPTROLLER OF THE CURRENCY. by States and reserve 291 cities—Continued. OREGON. DECEMBER 12. FEBRUARY 26. 27 banks. Liabilities. 28 banks. $2, 380, 000. 00 $2, 398, 750. 00 Capital stock Surplus fund Undivided profits 31 banks. $2,560, 200. 00 " $2, 585, 000. G " O SEPTEMBER 30. 31 b a n k s . $2, 590, 000. 00 486,150. 00 917, 266.55 526, 747. 00 884, 618. 42 537, 247. 00 1,009,707.60 440, 830. 00 454, 470. 00 Dividends unpaid : JULY 12. 31 banks. 475, 650. 00 826. 299. 96 | 316, 550. 00 1, 015, 253. 36 Nat'1-bank circulation State-bank, circulation MAY 13. ! 488, 995. 00 493, 315. 00 508, 320. 00 2, 297. 00 9, 891. 00 9, 522. 00 2, 802. 00 5, 099. 00 6,361,731.21 194, 262. 72 442, 918. 89 6, 373, 660. 99 164, 065. 97 417, 759. 44 7,146,477.98 250, 540. 25 387, 789.36 7, 814, 040. 50 357, 665. 68 214, 188.18 8,118,141.43 432, 366.12 199, 042. 63 Due to national banks Due to State banks... 464,179.31 179, 368. 76 632, 364. 73 220, 219. 29 538, 744.14 315,696.75 713, 078. 72 293, 546. 54 735, 648.10 219, 676. 91 Notes re-discounted..: Bills payable 10, 000. 00 771.61 15,000.00 10, 466. 56 5, 000. 00 10, 012. 58 10,176. 31 17,278.42 Individual deposits... U. S. deposits : Dep'ts U.S.dis.officers Total 1.1, 821, 802. 86 15, 000. 00 20,054.39 • 11, 984, 957. 94 | 13,136, 436. 42 13, 900, 014. 62 '; 14, 382, 703.52 ARIZ ON A . 1 bank. | 1 bank. ; $10i), 000. 00 9, 0 0 0 . 00 • 16,719.74 ; 139,195.83 Nat'1-bank circulation: State-bank circulation 158, 199.35 1 bank. 21.450.00 $100, 000.00 Surplns fund ... Undivided profits : 15,000.00 i?r 286.28 22, 000. 00 Capital stock $100, 000.00 1 bank. 1 bank. $100, 000. 00 $100, 000. 00 15,(00,00 • 16,463.63 • 20, 000. 00 5, 773. 84 20, 000 00 11, 760. 35 22,500.00 : 22, 500. 00 22, 500. 00 170,394.12 i 155, 504. 72 Dividends unpaid Individual deposits.. 17. S. deposits . Dep'tsU.S.dis.ofh'cers . - 132,458.78 Due to national banks - Due to State banks . . . - 10,415.03 663. 62 11, 398. 65 Notes re-discounted.. i. . Bills payable !.. Total . 286, 915. 57 303, 935.63 296, 837.44 319,331.58 1 321,163.72 DAKOTA. 58 banks. Capital stock. 58 banks. 59 banks. 59 banks. $3, 635, 000.00 $3, 705, 000.00 $3, 786, 917. 50 $3, 800, 000. 00 $3, 930, 000. 00 820, 862. 32 567, 534.22 893, 780. 00 321, 243. 28 892, 869. 89 455,187. 72 928, 351.14 295, 230. 00 916, 742, 75 367, 099. 71 847,310.00 859, 060. 00 859,110.00 874, 940. 00 891, 950.00 Surplus fund Undivided profits Nat'1-bank circulation 61 banks. State-bank circulation 364. 00 3, 782. 00 5, 619. 00 31, 631. 00 5, 939. 77 Individual deposits . . U. S. deposits Dep'ts U.S.dis.officers 5, 929, 775.48 304,174.29 25, 903. 75 5, £55, 884. 26 315,265.99 19, 084. 57 6,12«, 100.17 269, 837.44 14, 914. 83 5, 933, 659. 01 281,853.38 37, 885.09 6,469, 067. 79 273, 741. 72 28, 398. 86 Due to national banks Due to State b a n k s . . . 111,315.41 282, 500. 95 90, 235. 09 258, U50.56 46, 083. 01 293, 223. 24 76,711.59 280,388.93 88, 685.56 333, 875.65 Notes re-discounted.. Bills payable 224, 478. 78 54, 000. 00 300, 592. 52 60, 000.00 312,251.70 105,000.00 384, 806. 53 84, 500.00 428,201.47 132, 043.44 12,803,219.20 12, 681, 978. 27 13,169,114.50 13, 009, 956. 67 13, 865. 746. 72 Dividends u n p a i d . . . Total 292 KEPORT OF THE COMPTROLLER OF THE CURRENCY. Abstract of report a since October 4, 1.888, arranged IDAHO. DECEMBER 1 2 . I FEliUUAKY 2 0 . Resources. Loans and discounts Bonds for circulation Bonds for deposits... U.S.bonds on hand . . Other stocks and b'ds Due from res've ag'ts. Due from nat'lbanks Due from State banks Real estate, etc i Current expenses Premiums paid Cash items Clear'g-bouse exeh'gs . Bills of other banks.. ; Fractional currency. Specie Legal-tender notes .. U. S. cert's of deposit. . 5 % fund with Treas ; Due from IT. S. Treas. . Total • • ! • SEPTEMBER 30. J MAY IX. - 7 banks. 7 banks. 8 banks. 8 banks. 8 banks. $711, 274.37 117,800.00 70, 000. 00 if7(57, 416,36 117,800.00 70,000.00 8829,166.18 130,300.00 70, 000. 00 $860, 248. 09 130, 300, 00 70, 000. 00 $872,197.91 ' 130,300.00 70, 000. 00 ; 211. 931.25 126,113. 85 75,491.77 i 114,906.75 ; 70,327.43 ! 15,634.38 ! 13,632.45 [ 14,459.94 j 158,527.44 98, 080.13 162, 353. 52 70, 602. 99 78,173.38 13,007,41 13, 6^8. 70 11, 900. 57 133, 008. 82 i 125,600.59 | 181,490.71 | 75, 494.95'' 76,770.29 j 10, 030. 30 ! 10, 270.21 \ 5, 505,93 I 146,704.33 148, 874. 97 167, 771, 50 68,411.00 82, 068. 91 7, 047. 25 15, 409. 81 16, 6h8,64 206, 946.74 168,506.46 188, 464. 08 57,485.19 77,449,03 , 10,521.43 : 14,851,82 I 13, 400.64 i 30,705.00 52.03 183,308.55 95, J-84. 00 21, 390. 00 54.46 208.391.08 92, 47ft. 00 24,515.00 : : 179.77 185,170. 90: 04, 002.00 26, 265. 00 208. 08 130, 381, 77 75,203,00 ' 33, 300. 00 J 99.38 136,202.48 I 77,101. 00 • 5, 300. 00 5, 300. 00 J, 856,881. 77 1,889,921.24 5,300.00 500.00 1,939,989.05! 4,801,00 1,000.00 . 5,863.00 • 1.957,503.35: 2,062,689.16! 19 banks. 20 banks. MONTANA. 17 banks. ; Loans and discounts. $9,291,389.68 Bonds for circulation i 480, 600. 00 ; Bonds for deposits ..j 200,000.00 : U. S. bonds on hand j 10,150.00 Other stocks andb'dsj 546, 012. 75 | Due fiom res've ag'ts. 688,293.50 Due from nat'l banks 859,355.89 Due from State banks 300,586.46 i 460,587.61 ! Real estate, etc 111,772.81 ! Current expenses. . . 45,833.23 ] Premiums paid 77,816.61 j Cash items Clear'g-house exch'gs Bills of other banks . 181,831.00 Fractional currency. 3, 466. 50 Specie 845, 844. 65 Legal-tender notes . . 502, 476. 00 TJ. S. cert's of deposit. 5 % fund with Treas 21, 625.00 Due from U. S. Treas. 22, 750. 09 Total $9, 979, 677. 04 515, 600. 00 200, 000, 00 10,150, 00 513, 697. 51 828, 808, 64 671, 357.64 294, 466. 60 447, 880. 46 67,953.85 50, 958. 26 52, 740. 63 $10, 679,402,18 I $10, 858,281.69 505, 600. 00 535,600.00 | 200,000.00 J 200, 000. 00 10,150.00 10,150,00 ! 677,615.73 022,072,29 i 747,234.26 1, 510,305.78 : 767,294.49 \ 790,736.45 374, 750.10 492,735.01 428,107.48 458,359,37 60. 034, 39 13,074.92 56, 868. 88 54, 855. 14 54, 275. 30 44, 478. 59 142,840.00 5,121.85 901,68^.85 ' 504,684.00 188,923.00 ! 3,117.23 | 088,476.50 j 483,662.00 ! 154, 093. 00 2,184. 49 903, 714. 80 501,638.00 152,130.00 1,905.44 743,019.20 437, 483. 00 21,802.00 29, 292.38 23,202.00 ; 21,121.38 I 22,977.00 6,844.38 20, 727.00 6,118.84 ; 14, 650, 391.78 j 14, 619, 737. 58 ; 15, 341,793.34 \ 16,068, 531.12 | 17, 036, 346. 08 NEW 9 banks. i Loans and discounts.! $1, 893,107. 56 ! Bonds for circulation.' 277,500.00 : Bonds for deposits... i 150,000.00 I TJ. S. bonds on hand..! Other stocks and bd'sj 44, 894. 72 i Due from res've ag'ts. 250,169.22 i Due from nat'l banks. 455,900.73 i Due from State banks 69,104.92 ! Real estate, etc 174,675.79 j Current expenses 46,549.13 ! Premiums paid '[ 17,471.97 Cash items 21, 873.91 Clear'g-house exch'gs \ Bills of other banks .: 42,746.00 : Fractional currency.| 820.17 : Specie '. i 152,892.65 ! Legal-tender notes . . ! 97,398.00 ! U. S. cert's of deposit.; 5 % fund with Treas. 12, 487.00 Due from U. S. Treas. 206.00 Total 18 banks. 18 banks. ;9, 351, 828. 53 515,000.00 200,000.00 10,150.00 505, 824,45 782,786.49 : 784,930.09 . 295,988.30 457,859.73 ' 25, 350. 77 51,958.26 32,031.28 3,707,797.77 MEXIC O . 9 banks. 9 banks. 9 banks. j 9 banks. 51, 952, 036. 64 277, 500. 00 150, 000. 00 $2, 007,104.28 277,500. 00 150, 000.00 55, 237. 91 290,731.61 499, 499. 95 86, 915.42 166, 493.39 12, 834.09 17,371.97 19, 307.19 75, 405. 45 199, 976. 65 316, 535. 35 56,146.21 166, 054.89 27, 654. 59 34,840.72 16, 327.44 74, 492. 38 378,125. 39 367,479.66 80,600. 59 164, 777.28 15,638.04 40, 653.13 12, 861. 81 68, 587. 77 262, 724. 51 373,512.68 91,533.62 171, 985. 59 21, 064.73 47, 949. 03 11,801.44 27, 721. 00 863.14 150, 761. 35 62, 048.00 22, 854. 00 1,059.62 172, 595. 65 68,182. 00 31,153.00 I 1,094.79 I 179,787.85 j 87,062.00 i 28,933.00 948. 21 166, 700. 05 46,120.00 ~$2,003, 361. 25 "$2,129, 252.34 277,500.00 j 277,500.00 150,000.00 I 150,000.00 12, 487. 00 ; 12,487.00 j 12,487.00 I 520.00 ! 12,487.00 1,100.00 3,781,813.60 ; 3,584,723.85 \ 3,877,594.17 | 3,802,199.97 REPORT OP THE COMPTROLLER OF THE CURRENCY. 293 by States ami reserve cities— Continued. IDAHO. MAY 13. JULY 12. SEPTEMBER 30. 8 banks. 8 banks. 8 banks. DKCESIHEK 12. FEHKL'AKY 20. 7 banks. 7 banks. $450, 000. 00 •$450. 000.00 $475, 000. 00 85, 500, 00 79, 049. 52 8'i, 500, 00 73. *58. 84 85, S0O. 00 87, 000, 52 Liabilities. Capital stock Surplus fund Undivided profits. Nat'1-bank circulation State-ban k circulation 104,440.00 95, 800. 00 i 70,835.42 ! 104, 520. 00 105, 500. 00 1 035, 250. 37 5>;, xO7.1 * 10, 5(5(5.48 1'2, 617. G ! O 20,020.62 Due to national bank;-j Due to State banks ..«[ 1,070, 837. 19 57, 429. 09 11,892.98 1, 050. 348, 91 60.192.01 7, 481.09 12,372.00 • 27, 706, 67 10.017.28 42,022.51 1,048,641.09 65.279.11 3. 992. 01 14,581.19 i 59,154.53 ! Notes re-discounted.. Bills payable Total $490,000.00 95. 800. 00 110,589.78 110,570.00 700.00 450.00 Dividends unpaid. Individual deposits . . ] U. 8. deposits ! D e p ' t s U.S.dis.ofticersi $485, 000. 00 1, 098,104. 53 59,184.81 9, 48J. 72 12,699.83 00,259.49 10, 000. 00 .! 1, 889, 921.24 1,850,881.7 1, 939, 989. 05 1, 957, 503.35 2, 062, 689.16 M O N T A Iff A . 17 banks. 18 banks. $1, 950, 000.00 Capital stock . . $2,050,000.00 506, 000.00 1, 394, 604. 07 Surplus fund Undivided profits . . Nat/1-bank circulation State-bank circulation 416,800.00 Dividends unpaid . . j Individual deposits.. i U. S. deposits ... Dep'tsl 1 .S.dis.onicei«! Due to national banks; Due to State b a n k s . . . Notes re-discounted -. Bills payable Total 50. 00 9,104, 154.67 100,284.99 "6,1.91. 70 (588, 900. 67 j 393,614.68 I j 19,791.00 ! 18 banks. 19 banks. $2,090,000.00 496,000.00 : 1,395,439.61 $2, 415, 000.00 ; 499,000.00 1., 452, 120.04 542. 000.00 '. 1, 370, 743.16 ; 444,240.00 457, 700.10 | 9, 443,487.10 | !•>!>, 764.0J j 7.'), 41)3.45 | 416, 600. 00 9. 80S, 40.">. 11 I 129.075.78 00,591.90 . 195. 00 1,260.00 9,165,887.32 124.554. 92 74, 845. 00 20 banks. $2, 645, 000.00 547 000. 00 1, 446, 528. 51 402, 030.00 1, 250. 00 10,484,439.14 59, 712.14 126, 220. 71 51'.), 702. 04 301, 337. 65 775. 787. JG J 320,570.89 j 791, 340.97 i 415,504.80 ; 820,718.27 401, 014.16 75, 176.04 100, O-'W. 05 \ 1,300.00 76,833.40 41,833.15 ; 14, 650, 391. 78 ! 14, 610, 737. 58 15, 341, 7ii3. 34 16,068,531.12 j 17,036,346.08 NE W MEXICO. j 9 banks. $975,000.00 ! j 210, 050. 00 | 71,507.21 i $975, 000. C ! O $975, 000.00 223, 300. 00 48,560.41 223, 300.00 57, 800. 95 245, 250. 00 249, 110.00 249, 750. 00 Capital stock j $975,000.00 Surplus fund Undivided profits I I 1 8 \ 725.93 95,130.47 $975,000.00 i | 209, 350. 00 i 40, 589. 52 244, 730. 00 2V.\ 730. 00 Nat'1-bank circulation | State-bank circulation j . . 119.00 Dividends unpaid . . Individual deposits . . U. S. deposits Dep'ts U.S.dis.olncers 1,824.887.97 83, 998. 20 62,620.19 , Due to national banks Due to State banks.-j 173,980.81 38,852.95 22,752.25 ; Notes rc-discounted..: Bills payable I Total 3, 707, 797. 1 9 banks. i 9 banks. 9 hanks. 9 banks. 72. 00 72. 00 360.00 300. 00 1, 90 t, 504. 85 31, 506. 01 Iu7, 3(KU)o 1,794, h01. 91 45,676.41 105,311.32 !, 044, 707. 28 55, 475. 90 91,014.83 1,965,481.99 76, 853. 43 70, 356.62 217, (582. 30 23, 1.46. 65 91, 285. 29 28,917.46 j 140, 090.61 41, 822. 89 192,157. 23 36, 839.75 2'2, 852, 25 10,852,25 j 8,152.25 14, 300. 00 U, 781,813.66 3, 584, 723.85 | 3, 877, 594.17 3, 862,199. 97 294 REPORT OF THE COMPTROLLER OF CURRENCY. Abstract of reports since October 4, 1888, arranged UTAH. DECEMBER 12. FEBRUARY 26. 7 banks. 7 banks. Resources. Loans and discounts J $2,590,761.42 Bonds for circulation. 890, 000.00 Bonds for deposits... i 200, 000. 00 XT. S. bonds on hand..1 j 26, 900. 00 Other stocks and b'ds 444,743. 62 Due from res'veag'ts.j 627, 500. 94 Due from nat'l banks. 1 259, 880. 63 Due from State banks' 89. 755.97 Kea] estate, etc ! 152; 626. 25 Current expenses • 30, 420.40 66, 715. 50 Premiums paid Cash items i 13, 111. 43 Clear'g house exeh'gs 38,104.00 Bills of other banks.. j 246.26 Fractional currency.! 485, 927.30 Specie '..[ 70, 008. 00 Legal-tender notes.. j TJ. S. cert's of deposit.! 17,550.00 5 % fund with Treas.j Due from XL S. Treas, Total. 5,504,251.72 JULY 12. 7 banks. 8 banks. $2,681, 494.36 j 53,108, 336.11 402, 500.00 ! 387,500.00 j 200, 000.00 j 175,000.00 i 26, 900.00 ; 26,900.00 I 424, 434.87 j 424,301.42 I 403, 271.55 I 422,235.73 | 163,678.90 ! 181, 666.60 ; 90,132.93 | 107, 811.77 ! 298.25 i 178, 612. 96 I 177, 12,147.73 i 16, 438.38 • 403.00 63. 853. 00 ! QH, 8, 929.18 ! 24,530,91 ! 3,155, 599. 28 287, 500. 00 175, 000.00 26, 900. 00 424, 470.42 816, 414. 32 267, 236.10 129, 043.14 188,169. 78 8, 376.78 76, 478. 00 22,791.32 SEPTEMBER 30. ! 8 banks. J $3,326,527,98 • 287,500.00 ' 175,000.00 i 26,900.00 I 451,853.57 j 875,894.14 ] 359,229.91 I 159, 729. 86 196,114. 57 31, 595.75 76,228.00 ; 59, 758. 60 49,668.00 : 513.96 I 515,386.95 \ 51, 253. 00 I 32,462.00 ! 576.85 j 507, 818, 05 i 59,191.00 45,617.00 I 470.51 563,458.00 ! 69,677.00 i 45,869.00 871.22 j 569, 799.18 58,178.00 i 17, 550.00 16,637.50 10,687.50 I 12,937.50 5,333,519.87 5, 693, 945.09 ! 6,268,189.15: 6, 713, £ WASHINGTON. 23 banks. Loans and discounts. \ $0,471,700.87 458, 750. 00 Bonds for circulation: 100,000.00 Bonds for deposits ..! 500.00 TJ. S. bonds on hand.., Other stocks and b'dsj 644,291.17 Due from resVe ag'ts' 632, 736. ;-;2 Due from nat'l banks. 536, 452.12 Due from State banks; 159, 852. 31 339, 725. 48 Real estate, etc | 72, 483. 44 Current expenses ! 87, 482. 23 Premiums paid ! 132, 970.99 Cash items ' Clear'g-houseexch'gs; 68, 756.00 Bills of other banks.. j 879.00 Fractional currency.! 959,155. 76 Specie i 110,446. 00 Legal-tender notes .. | TJ. S. cert's of deposit.I 19, 382, 50 5 % fund with Treas ! 1, 062. 50 Due from U. S. Treas. i Total ; 10,796,626.69 25 banks. $7,469, 705.45 506, 250. 00 100,000.00 500,00 943, 939. 94 832, 146.95 856, 947.13 197,412.35 382, 402. 24 47,699.10 95, 579.45 151,142. 33 49,392.00 1, 537. 21 955, 209. 27 122,542.00 27 banks. $8, 292, 69li. 88 601, 250. 00 100, 000. 00 500.00 666, 023. 34 1,291,171.75 929, 083. 31 211,902.37 398, 489. ..1 102, 980. 84 120, 455. 39 137,701.78 31 banks. 35 banks. $9, 013, 024.23 $10, 776, 134.75 875, 000.00 711, 250. 00 100, 000. 00 100, 000.00 500. 00 25, 500.00 789,141.24 | 1,013, 924.94 ! 1, 640, 990.32 f 1,233,025.51 1, 821, 076.02 i 1, 056, 722. 28 347, 543.91 S 382, 939.43 520, 788.70 | 416, 224. 28 92, 078.23 I 36,717.65 193, 413.12 I 149, 939.33 319, 851.45 | 83, 887. 36 55,775.00 ! 84, 257.00 87,346.00 ! 4,160.54 3, 084. 57 I 1,644,83 i 1,099,603.85 j 1, 206, 890,37 j 1, 352, 061. 50 176,194. 00 147,528.00 j 176,783.00 ! 20, 392. 50 75. 00 24,804.95 355.50 12,732,932.92 14,183,365.84 28, 406. 45 2, 478. 00 15,476,919.96; 36, 561. 50 1, 000.00 19,380,535.98; WYOMING. 9 banks. j 9 banks. 9 banks. 9 banks. 9 banks. 1 $2,348, 857. 94 $2, 339, 536. 65 Loans and discounts.; $2,410,932.30 j $2,427,663.11 $2,419,334.34 248, 750. 00 248, 750. 00 248, 750. 00 248, 750. 00 248, 750. 00 Bonds for circulation.; Bonds for deposits-.. i IT. S. bonds on hand..; 79, 487.53 57, 595.15 97, 205. 31 149,199.42 210, 038.29 Other stocks and b'ds 297,119.57 ! 198,131.23 203, 503.73 222,059.39 i 3«0, 555. 55 Due from res' ve ag'ts. i 142,384.67 ! 96,457.12 i 91,139. 75 87, 243. 96 109, 954. 38 Due from nat'l banks 5, 295, 87 17,453.47 i 4, 449. 62 6, 833. 27 4, 887. 35 Due from State banks; 106, 088. 34 ; 116,509.72 ' 110, 600. 21 112, 583. 39 117, 022. 60 Real estate, etc : 16,687.93 ' 28, 080. 51 45,507.27 . 16, 67K 16 32, 408. 96 Current expenses ! 21,160.40 22,647.94 | 22, 20"-. 40 21,955.40 23, 626.28 Premiums paid | 9,485.88 i 35,807.90 • 21, 8;>S. 12 13, 277. 59 15, 278.10 Cash items , Clear' g-ho use exch'gs; 15,964.00 i 24,159.00 j 13,133. 00 16,963.00 ! 14,422. 00 Bills of other banks.. ; 1,811.00 I 1,967.93 ; 1,671.13 I 1, 808. 74 1, 727.15 Fractional currency.> 242.043.70 214,157. 95 i 197,613.80 202,407.07 ; ! 211,590.90 Specie '..', 41, 335. 00 j 34,345.00 { 46, 067. 00 35,810.00 24, 206. 00 Legal-tender notes .. • U. S. cert's of deposit, j 11,193.75 11,193.75 11,193.75 11, 193. 75 I 5 % fund with Treas 1, 000. 00 Due from IT. S. Treas 1,000.00 : Total i 3, 672, 443. 22 I 3, 519, 593. 20 3, 508, 583. 79 i 3, 514, 963. 02 j 3, 726,197.96 j REPORT OF THE COMPTROLLER OF CURRENCY. 295 by States and reserve cities—Continued UTAH DECEMBER 12. i FEBRUARY 26. Liabilities. 7 banks. Capital stock j MAY 13. JULY 12. 7 banks. 7 banks. 8 banks. SEPTEMBER 30. 8 banks. $900,000.00 : $1, 275, 000. 00 $1, 350, 000. 00 496, 000. 00 184, 919. 25 414, 500. 00 203,113.96 419, 500. 00 268, 811.41 424, 500.00 323,488. 28 267,400.00 Dividends unpaid... 51,150, 000. 00 472, 500. 00 • 213,248.84 Surplus fund Undivided profits Nat'1-bank circulation State-bank circulation $950, 000. 00 255,150.00 248, 500.00 168, 220. 00 213, 750.00 898.00 : 912.00 2, 364. 00 2, 795.00 513.00 Individual deposits.. U. S. deposits Dept'sU.S.dis.officers 3,175,403.70 ; 151,373.47 50,118. 23 3, 009, 298. 97 113,751.78 61, 694. 5.6 3, 382,139.44 123, 489. 74 39, 545. 82 3, 787, 399. 26 126, 347.00 39,943. 96 3,921, 342.92 84, 429. 65 88, 563, 09 Due to national bank s Due to State banks .. 85,288.73 : 173, 020. 75 84, 322. 32 177, 026. 28 81, 637. 88 48, 654. 25 77,271.22 102, 901.30 117, 764.70 189,635. 64 5, 693, 945. 09 6, 268.189.15 6. 713." 987. 28 Notes re-discounted Bills payable 15, 000. 00 5.504,251.72 Total 444. 71 5, 333, 519. 87 WASHINGTON. 23 b a n k s . Capital stock . Surplus fund Undivided profits j Nat'l -bank circulation j State-bank circulation |. Dividends unpaid '• 25 banks. $1, 815, 000.00 j 27 banks. $2,105, 000. 00 j $2,285,400.00 324,150. 00 893, 852.36 : 399,010.00 737, 900. 00 I 434, 362. 81 ! i 407,010.00 31 banks. i $2,675,825.00 j 744, 000. 00 i 903, 300. 00 601, 544. 54 ! 359, 837. 51 ' 445,070.00 j 558,610.00 35 b a n k s . $3,514,300.00 891, 800.00 466, 673. 94 704, 640. 00 518.00 158.00 50, 308. 00 928.00 8. 432,128, 91 104, 201.39 5, 349.97 9, 361,888. 01 103, 850.90 4, 638. 92 10,237,221.78 111,914.20 2,276. 65 12,978,632.77 99, 237. 85 16, 209. 79 226,145.40 ! 239,532.23 ; 218,241.41 278, 220. 43 314, 446. 77 322, 368. 70 349, 219. 92 228,406. 90 413, 954. 81 294,158.82 10,000.00 ', 10, 000. 00 752. 00 1,776, 535.24 : 110,497.68 1,151.78 I Individual deposits.. U. S. deposits Dep'tsU.S.dis.officers Due to national banks Due to State banks .. Notes re-discounted.. Bills payable Total 10, 796, 626. 69 j 12, 732, 932.92 j 14,183, 365.84 ; 15,476, 919.96 | 19, 380, 535.98 WYOMING. j 9 banks. ! 9 banks. Capital stock ... . ~. j $1,175, 000.00 I $1,175, 000.00 223, 500. 00 212, f 00.00 i Surplus fund 141,783.42 I 71, 881. 58 Undivided profits 222,795.00 | 223, 375.00 Nat'l bank circulation! State bank circulation;. Dividends unpaid ! 9 banks. 9 bankwS. 9 banks. $1,175, 000. 00 $1,175, 000. 00 $1,175,000.00 223, 500.00 92,654.45 238, 500. 00 42, 356.27 239,000.00 80, 781.21 219, 235. 00 216,235. 00 214,975.00 186.00 j. Individual deposits . . | 1, 832,963. 85 ! 1, 678, 912. 32 1, 660, 373.41 1, 682,470. 48 1,918, 707.03 Due to national banks Due to State banks... 19,552.81 ' 35,348.14 j 30,485.52 8, 883. 30 49, 091.30 18,042.12 96, 022. 59 24, 738.32 56, 658. 25 25,103.97 Notes re-discounted.. 10,000.00 I 22, 500.00 j 85,055.48 22,500.00 i 48,187.51 22, 500. 00 13,454. 36 26, 000.00 6,972.50 9, 000. 00 3, 672,443.22 j 3,519, 593.20 | 3, 514, 963. 02 3,726,197.96 U.S. deposits I Dep'ts U.S.dis. officers | j. !. Bills payable Total I 3, 508, 583.79 | I IN" ID IE ZXI _ AMENDMENTS: In relation to— National-bank circulation Contraction in the volume of circulation Influences operating to reduce national-bank circulation Increase of circulation to face value of bonds Bonds for new banks Reduction of semi-annual duty Reduction of minimum deposit of bonds Legislation necessary with respect to suburban banks contiguous to reserve cities State taxation of national banks Custody of plates and dies Loans and discounts when reserve is insufficient Extension of present limit of loans Semi-annual publication of reports of condition, aud necessary appropriation Appointment of assistant examiners Oath and bond of examiners and their assistants " Special examination of banks in voluntary liquidation Limited period of time for payment of creditors Monthly reports of condition of liquidating banks Appointment of receiver for liquidating banks Funding of the 4 per cent at lower rate of interest Page. 17 17 17,18 17 18 17 17 22 28 48 52 53 53 57 57 61 62 62 62 82 ASSESSMENTS : Cost of plates Examiners' fees BANKS. (See National banks; State banks: Savings banks : Private banks ; Converted State banks; Loan and trust companies.) 43 43 BONDS, UNITED STATES : Deposited by banks organized during the year ending October 31, 1889 Minimum amount of bonds required to be kept on deposit by banks in operation September 30, 1889 .' Actually deposited and minimum required each year, J882 to 1889 Outstanding interest-bearing bonds Variations in market price 4 and 4£ per cents, from November 9, 1888, to November 8, 1889. Changes in bonds on deposit as security for circulation Comparison for eight years of bonds deposited as security for circulation Additional circulation issued on Highest and lowest amount of bonds on deposit to secure circulation Purchased by Ti easury Withdrawal of bonds held as security for circulation Bonds withdrawn for delivery direct to the Treasury .• Effect of bond withdrawals upon circulation ..,„„.. Investment value of bonds withdrawn by monthly averages 4 17 3i 34 36 33, 34 34 40 21 37 38 38 38 37 BOND PURCHASES BY THE TREASURY : Purchases under circular during year Circulation as affected b.v bond withdrawals Bonds withdrawn and transferred for purchase .....,,, ,. 37 38 38 CAPITAL STOCK: Of Of Of Of Of Of Of banks reporting during the year national banks closed during the year > . national banks organized during the year ended September 30, 1889 banks failed during the year ended September 30, 1889 banks to reach expiration of corporate existence up to the year 1902 banks the corporate existence of which will expire during 1890 banks organized in fiscal years from 1882 to 1889 20 24 4 25, 64 29 30 31 •- - 297 298 INDEX. Page. CAPITAL STOCK—Continued. Of banks organized during tko year ended J u n e 30, 1889, with capital of $50,000 Of banks organized during the year ended June 30, 1889, with capital of over $50,000 Of banks organized during the year ended June 30, 1889, with capital of over $150,000 Amount of, 1866 and 1889 Variations in 31 31 31 21 21 CIRCULATING NOTES: Issued, redeemed, and outstanding, of national banks closed during the year Voluntarily maintained Issued to national banks organized during the year ended October 31, 1889 Amount issnable on bonds deposited Minimum circulation : Possible maximum circulation Circulation outstanding September 30, 1889 Decrease during the year Banks without circulation Retired since June 20, 1874 Issued to banks during the year Amount of, 1866 and 1889 Semi annual duty on 24 17 4 17 17 31 32 32 33 40 40 21 43 CLEARING-HOUSE TRANSACTIONS : New York and other clearinu-h; use associations Number of members Comparative statement of aggregate clearings and balances for 1888 and 1889 Kinds of money used and amount of each kind for 1888 and 1889 Gold certificates, Bank of America, and series 1888, United States Comparative statement of transactions of New York Clearing House for thirty-six y e a r s . . Clearing-house transactions of assistant treasurer, United States, in New York, for year ended October 1, 1889 Comparative statement of the exchanges of the clearing-houses of the United States for October, 1388 and 1889 Comparative statement for weeks ended November 3, 1888, and November 2, 1889 Clearing-house transactions in forty-three cities of the United States for year ended September 30, 1889, and comparison with previous year Comparative statement of balances of the clearing-houses of the United States for years ended September 30, 1888 and 1889 Percentages, exchanges, and balances, Newr York City # COMPARATIVE STATEMENTS OF THE NATIONAL BANKS FOR SIX YEARS Resources and liabilities of national banks at close of business September 30, 1889 69 69 69 69 69 70 70 71 72 73 74 75 19 20 CONCLUSION : Reference to amendments suggested in report Substitution of other securities for United States bonds as a basis for circulation Funding of 4 per cents and issue of a lower rate bond Efficiency of the clerical force of the Bureau 81 81 82 82 CONVERTED STATE BANKS 25 DECISIONS. (See Legal decisions.) Rendered during year In national-bank cases Digest of national-bank cases 57 89 87 DISCOUNT AND EXCHANGES: Effects upon rates of discount and exchange by establishment of system 10 DIMINUTION IN KATES OF INTEREST: Decrease in the average rate, in which the system has been instrumental Eastern capitalists as stockholders in associations remotely located DISSOLUTION. {See National bank failures ; Receiverships ; Liquidation.) National banks closed during the year In liquidation Failed Number of banks passed into liquidation since establishment of system Number of banks placed in hands of receivers since establishment of system Number of banks passed iuto liquidation by expiration of corporate oxi^tence DIVIDENDS. {See Receiverships.) 11 12 24 24 24 69 69 69 EXAMINERS: Appointment and duties of Neither oath nor bond now required 54 54 INDEX. 299 Pass- EXAMINERS— Continued. Duties and reports of examiners Appointment of assistant examiners recommended An oath of office and bond recommended 55, 56 57 57 DUTY, REDEMPTION CIIAUGE.S, AND ASSESSMENTS : Semi-annual duty on circulation Cost of redemption of notes Cost of plates Examiners' fees Comparative statement of taxes 43 43 43 43 43 EXPENSES OF THE OFFICE: Plates, printing, etc Salaries of employes 86 86 ' EXTENSION OF COBPOKATE EXISTENCE. {See National banks.) FAILURES. (See Receivers; Receiverships.) Of national banks (tairing the year ended. October 31, 1889 Causes of failure F I V E PER CENT, REDEMPTION FUND. GOLD BANKS. 64 64 (Sec Redemption.1) (See "National banks.) INCREASED SECURITY OF THE UNION : National banks as creditors of the nation 13 INTEREST-HEARING FUNDED DEBT OF THIS UNITED SLATES: Amount held by national banks Maximum public debt Interest-bearing debt October 31,1889 Bonded debt for fiscal years from 1865 to 1889 Changes in debt from 1865 to October 31, 1889 .* 33, 34 34 34 35 35 INTRODUCTION: Report submitted to Congress: Prosperity attending the operations of associations, and increase in volume of business. 3 General growth of the system 3 Number of banks organized during the year and in existence October 3J. 1889, with capital, bonds, and circulation 3 Location of bank s organized during the year, by States 4 Ratio of growth of national banks, State ba nks, and private bankers 6 Reasons why the system should be preserved 6 Demand for Government securities created by the establishment of the system 7 Prejudices against the system removed ' 8 Services and aid-rendered by the banks to the Government 8 Uniform currency 9 Its effect 9 Effect of the extinguishment of the public debt and decrease in volume of securities available as a basis for circulation 9 Causes tending to reduce premiums 9 Circulation feature no longer a necessity 10 Discount and exchanges 10 Effect upon rates of discount and exchange by establishment of system 10 Diminution in rates of interest 11 Decrease in the average rate, in which the system has been instrumental 11 Eastern capitalists as stockholders in associations remotely located 12 Increased security of the Union 13 Utility of the national-banking system 13 In case the Government should again become a borrower..• 14 Percentage of insolvent national banks to the number organized 14 Average annual loss on deposits 15 Loss by failure of banks other than national 15 Percentage of the volume of bank transactions involving the use of money 15 Average price of United States bonds and rate of interest realized to investors 15, lt> Amendment suggested to afford relief 16 Minimum deposit of bonds ami excess over requirement 17 Banks having a capital of $300,000 or less and those having a capital in excess of that amount 17 Effect of proposed amendment as to minimum requirement 17,18 Issue of circulation to par value of bonds deposited proposed 17 Reduction of semi-annual duty on circulation proposed 17 300 INDEX. Pago. ISSUES AND REDEMPTIONS. [See Circulating notes ; Redemption.) National-bank notes issued and redeemed during the year Additional circulation issued during the year Amount issued under act of July 12, 1882, during the year Circulation retired Issues of incomplete currency during the year Amount received from Bureau of Engraving and Printing during the year Amount in vaults ... 38 40 40 40 38 39 39 LAWFUL-MONEY DEPOSITS. (See Redemption.) LEGAL DECISIONS. (See Decisions.) LIABILITIES OF NATIONAL BANKS : On dates of report during the year ended September 30, 1889 LIQUIDATION. (See Dissolution.) 118 LOANS WIIKN EF.SKRVE IS INSUFFICIENT : Ambiguity in language of present law 52 LIMITATION OF LOANS : Restriction as to one-tenth part of the capital stock of an association Amendment suggested to extend the present limit 53 53 LOANS: Classification of, in central reserve cities, reserve cities, and country In New York City for past five years 48 50 LOAN AND TRUST COMPANIES : Efforts to obtain returns Official returns from Capital stock, surplus and undivided profits, and deposits Official and unofficial Gold, silver, legal tenders, and national-bank notes held Aggregate resources and liabilities, official and unofficial Aggregate resources, liabilities, and condition, from unofficial sources Number, capital stock, surplus and undivided profits, and deposits 75 75, 76 75 75,80 81 77, 80 80 80 LOST OK UNREDEEMED BANK NOTES : Provisions of law Percentages of loss on State bank circulation Percentages of insolvent bank-notes remaining unredeemed Comparative statement of loss on circulation of banks named Percentage of legal-tender notes outstanding Ultimate loss upon unredeemed national-bank and Treasury notes 43 44 45,46 46 47 45 NATIONAL HANKS : Summary of the state and condition of every national bank reporting during the year ended September 30,1889 Closed during the year Organized during the year ended September 30,1889 Aggregate capital, bonds, and circulation Organization of Capital at date of organization Present capital and surplus Number that have gone into voluntary liquidation Number that have become insolvent .. Extension of the corporate existence of Number of which the corporate existence has been extended Number to reach term of corporate existence from 1889 to 1902, inclusive Number of which period of succession terminated during the year ended October 31, 1889 Number of which corporate existence will expire during the year 1890 Number organized during fiscal years from 1832 to 1889 Number placed in liquidation Number which failed Number reorganized Gold banks Deposits, loans and discounts, cash, etc., 186(3 and 1889 Aggregate capital, surplus, undivided profits, circulation, and deposits, 1866 and 1889 Loans ami discounts Investment in bonds Specie Loans and discounts, United States bouus, and specie percentages 118 24 4 4 4 4 178 178 178 29 29 29 29 30 31 69 69 69 43 21 21 48 21 21 21 INDEX. 301 Pago. N A T I O N A L HANKS IN VOLUNTARY LIQUIDATION „ = Operations *-ii ee the, establishment of Che national-banking system P o w e r of the courts to appoint receivers for b a n k s in voluntary liquidation Result of p e r m i t t i n g a bank to pass beyond the Comptroller's supervision before depositors and creditors are paid -.. Power of t h e Comprroller to take cognizance of the affairs of a liquidating b a n k No reports of condition r e q u i r e d . „ Incompetent management, of the a Ifairs of a liquidating b a n k . ,. A m e n d m e n t s to j)resent law suggested — NATIONAL-BANK F A I L U R E S . 60 60 (L J 61 61, 62 (See Dissolution.) Causes of failure NATIONAL BANKING LAW. 58 58 59 Q4,G6 (See Amendments.) ORGANIZATION OF NATIONAL BANKS: Increase Number of national banks organized in each State and Teuitory during the year ended October 31, 1889, aggregate capirai, bonds, and circulation ORGANIZATION OF NATIONAL HANKS IN THE INDIAN TKRKiTOiir Legal objection to their forma! ion 4 4 22 , 23 PLATES AND DIES: Provisions of law relating to custody Amendment to existing law suggested 48 48 • PRIVATE BANKS: Efforts to obtain returns Official returns from Capital, surplus, and undivided profits Official and unofficial Aggregate resources, liabilities, and condition, from official sources Aggregate resources, liabilities, and condition, from unofficial sources Number, capital stock, snrplus and undivided profits, and deposits RECEIVERS. , 75 75 75 75, 76 77 78 80 (See Receiverships.) Appointed during the year RECEIVEKSHIFS Operations under present law Supervisory powers of the Comptroller Duties and responsibilities of an examiner in charge of a failed bank Number of banks failed during the year Dividends paid . ! Number of banks placed in hands of receivers since establishment of system Number of insolvent banks closed during the year Total dividends, principal, and interest paid to creditors of insolvent banks Inactive receiverships Names and location of banks Total dividends paid creditors during the year Amount of assessments upon shareholders Amount collected from that source 64 .62 62 62 63 64 67 69 66 66 68 68 67 66 66 REDEMPTION : Statutes in respect thereto , Five per cent, redemption fund Redemption charges Deposits of lawful money Amounts of national-bank currency received annually a t Redemption Agency Localities from which forwarded Notes of insolvent national banks Notes of banks reducing circulation under act of J u n e 20, 1874 Notes of banks in voluntary liquidation Total amount lawful money deposited under act of J u n e 20, 1874, on account of liquidating and insolvent banks, and under section 6, act of -July 12, 1882 Amount deposited for redemption of notes of gold banks Total amount of lawful money deposited during the year By banks in liquidation By banks reducing circulation, act J u n e 20, 1874 By banks retiring old circulation, act J u l y 12, 1882 Amounts previously deposited > Notes redeemed and destroyed without re-issue Notes redeemed and destroyed prior to J u n e 20,1874 Notes redeemed and destroyed since J u n e 20, 1874 42 41 43 42 42 41 42 42 42 42 43 42 42 42 42 42 42 42 42 302 INDEX. Page. REDEMPTION—Continued. Unredeemed bank notes Notes of gold banks Total national-bank notes received for redemption since establishment of system National-bank notes received monthly for redemption during past year by Comptroller of the Currency and at Redemption Agency . National-bank notes received by Comptroller of the Currency and destroyed each year since establishment of t he system Vault balances 43 43 42 41 42 42 REPORTS OF CONDITION: Made bv banks to office Semi-annual publication of 53 53 . RESOURCES OF NATIONAL BANKS: On dates of report during the year ended October 31. 1889 118 SAVINGS BANKS : Efforts to obtain retut us Official returns from Aggregate surplus and undivided profits Average dividends paid Gold, silver, legal tenders, and national-bank notes held Aggregate resources and liabilities » Aggregate resources, liabilities, and condition, from official sources Aggregate resources, liabilities, and condition, from unofficial sources Number, capital stock, surplus and undivided profit*, and deposits, by States ^ 75 75 75 76 81 77,79 77 78 80 SECURITY FOR CIRCULATING NOTES: Amount, in classes, of United States bonds owned by the banks pledged for circulation and public deposits Comparative statement of amount of bonds on deposit from 1882 to 1889, inclusive Decrease in amount of bonds held by national banks Decrease in amount of circulation Increase of lawful money deposited to retire circulation Bonds deposited by national banks organized during the year ended October 31,1889 Minimum bonds required of banks organized in fiscal years from 1882 to 1889 Bonds actually deposited by such banks Percentage of excess Circulation issued Changes in bonds Amount of 4 and 4^ per cent, bonds purchased for sinking-fund purposes, and amount withdrawn from deposits to secure circulation by national banks 33, 34 34 32 32 32 124 31 31 31 31 35 37, 38 SEMI-ANNUAL DUTY: On circulation , , 43 SEMI-ANNUAL PUBLICATION OF REPORTS OF CONDITION 53 Appropriation for supplementary volume containing reports of condition recommended... SHAREEIOLDERS IN NATIONAL BANKS: Number and par value of shares of stock 54 25,174 STATE BANKS: Difficulty in obtaining returns from State officers Efforts to obtain returns _ Official returns from Number of banks .Aggregate capital Surplus and undivided profits Increase in institutions reporting officially Unofficial returns from Aggregate capital Surplus and undivided profits Deposits Gold, silver, legal tenders, and national-bank notes held Resources and liabilities Estimated population of each State and Territory on June 1, 1889 Per capita average of resources Aggregate resources, liabilities, and condition, from official sources Aggregate resources, liabilities, and condition, from unofficial sources Number, capital stock, surplus and undivided profits, and deposits Converted Number of 75 75 75 75 75 75 76 78 75 75 75 81 77, 80 80 80 77 78 80 25 17 8 INDEX. 303 h STATK BANKS—Continued. Capital at date of conversion Present capital and surplus Number that have gone into voluntary liquidation Number that have become insolvent SUGGESTIONS AS TO AMENMIMENTS OF NATIONAL BANKING LAW. (See Amendments.) SUBURBAN BANKS CONTIGUOUS TO RESERVE CITIES Similarity of title Effect upon reserve requirement when suburban localities are absorbed by municipalities.. SUMMARY OF THE STATE AND CONDITION OF EVERT NATIONAL BANK HEP-ORTING DURING THE YEAR ENDED OCTOBER 31, 1880 STATE TAXATION OF NATIONAL BANKS Variations in the manner of taxation lie view of decision of th< courts 17g 178 178 178 21 22 22 118 25 26 27,28 TAX ON CIRCULATING NOTES: Total tax collected up tc 'y 1, 1889 43 UNIFORM CURRENCY : Its effect Effect of the extinguish available as a basis fo Causes tending to redu< Circulation feature no icoHger 9 > the public debt, and decrease in volume of securities f lation aiums a necessity 9 9 10 UTILITY OF THE NATIONAL BANKING SYSTEM : In case the Government should again become a borrower 14 TABLES CONTAINED IN THE APPENDIX. Officers and clerks in the office of the Comptroller of the Currency. Names and compensation Contents of digest of national-bank cases Digest Number of banks organized, in liquidation, and in operation, with their capital, bonds on deposit, and circulation issued, redeemed and outstanding on October 31, 1889 Statement showing the amount of authorized capital stock of the national banks on the first day of each month from January 1, 1874, to November 1, 1889, the amount of United States bonds on deposit to secure circulation, the amount of circulation secured by the bonds on deposit, the amount of lawful money to redeem circulation, and the total amount of national-bank notes outstanding, including national gold banks Summary of the state and condition of every national bank reporting during the year ended September 30,1889 Comparative statements of the national banks for twenty years Statement of national gold bank notes issued, redeemed, and outstanding October 31, 1889 Statement of national-bank notes issued during the year ended October 31,1889, with the total amount redeemed and outstanding Statement of national-bank notes issued, redeemed, and outstanding, by denominations and amounts, on October 31, in each year from 1864 to 1889, inclusive Banks organized during year, total number existing, increase and decrease in capital, bonds, and circulation, with number and location of banks concerned in such increase or decrease Table showing by States the amount of national-bank circulation issued, the amount of lawful money deposited in the United States Treasury to retire national-bank circulation from June 20, 1874, to October 31, 1889, and the amount remaining on deposit at the latter date.. Statement showing the amount of national-bank notes outstanding, the amount of lawful money on deposit with the Treasurer of the United States to redeem national-bank notes, and the kinds and amounts of United States bonds on deposit to secure circulation and public deposits on October 31, 1889, with the changes during the preceding year and preceding month Statement of monthly increase or decrease of national-bank circulation for the year ended October 31, 1889, preceded by quarterly increase or decrease since January 14, 1875 Table, by States, Territories, and reserve cities, exhibiting the number of banks in each, with their capital, minimum amount of bonds required by law, bonds actually held, and circulation outstanding thereon on September 30, 1889 Table, by States, Territories, and reserve cities, exhibiting the number of banks in each with capital of $150,000 and under, for the years 1888 and 1889, and the increase or decrease in banks and capital during the interval 85 87 89 114 115 118 119 120 120 121 124 129 130 131 132 134 304 INDEX. Page. Table, by States, Territories, and reserve, cities, exhibiting the number of banks in each, with capital exceeding $150,000, for the years 1888 and 1881), and the increase or decrease in banks and capital during the interval 136 Classification of the loans and discounts <.f the national banks in the reserve cities and in the States and Territories on September 30, 1889 138 Movement of the reserve, weekly, of the national banks in New York City, during October, for the last thirteen years, compiled from returns made to the clearing-house 139 Lawful money r serve of national banks, an shown by reports of condition at close of business « September 30, 1889 140 Table, by States and reserve cities, of the ratios to capital and to capital and surplus of the earnings and dividends of national banks from March 1, 1885, to September 1, 1889 142 Liabilities of the national banks and the reserve required and held at three dates in the years 1884,1885,1886,1887,1888, and 1889 • 144 State of the lawful money reserve of the national banks as shown by their reports from October 2, 1883, to September 30, 1889 146 Abstract of reports of earnings and dividends of national banks in the United States from September 1, 1888, to March 1, 1889 148 Abstract of reports of earnings and dividends of national banks in the United States from March 1,1889, to September 1,1889 152 Table, by States, Territories, and reserve cities, exhibiting the amount of eacli kind of coin and coin certificate held by the national banks on October 4,1888, and September 30,1889.. 156 Earnings and dividends of the national banks, arranged by geographical divisions, for semiannual periods from September 1, 1880. to September 1, 1889 159 Table showing, by geographical divisions, the reserve cities and central reserve cities, the number of banks in operation at every date on which reports of condition have been made from March 11, 1882, to September 30, 1889t inclusive, together with the amount of reserve required and the amount held at each of those dates, and the classification of the reserve held, showing amounts and percentages in each case 161-170 Average weekly deposits, circulation, and reserve of the national banks of New York City, as reported to the New York clearing-house, for the months given, in the years 1883, 1884, 1885, 1886, 1887, 1888, and 1889 .* 171 Clearings and balances of the banks of New York City for the weeks ended at the dates given. 172 Table showing the movement of the reserve of the national banks in New York City during October for the last thirteen years 173 Distribution by States, etc., number, and par value, at $100 each, of shares of stock of national banking associations on the first Monday in July, 1889 174 "Whole number of State banks converted to national banking associations, their capital at date of conversion, present capital and surplus, specifying such as have since gone into voluntary liquidation and such as have become insolvent 178 Whole number of national banks of primary organization under the national-bank law, capital at date of organization, and present capital and surplus, specifying such as have since gone into voluntary liquidation and such as have become insolvent 179 National banks that have gone into voluntary liquidation under the provisions of sections 5220 and 5221 of the Revised Statutes of the United States, with the dates of liquidation, the amount of their capital, circulation issued and retired, and circulation outstanding, October 31, 1889 180-189 National banks that have gone into voluntary liquidation under the provisions of sections 5220 and 5221 of the Revised Statutes of the United States, for the purpose of organizing new associations with the same or different title, with date of liquidation, amount of capital, circulation issued, retired, and outstanding on October 31, 1889 190 Names of banks in liquidation under, section 7, act July 12, 1882, with date of expiration of charter, circulation issued, retired, and outstanding October 31, 1889 192 Names of banks in liquidation under section 7, act July 12, 1882, with date of expiration of charter, circulation issued, retired, and outstanding, succeeded by associations with the same or different title, October 31, 1889 193 National banks that have been placed in the hands of receivers, together with their capital and surplus at date of organization and at date of failure, cause of failure, dividends paid while solvent, circulation issued, lawful money deposited with the Treasurer to redeem circulation, the amount redeemed, and the amount outstanding on October 31, 1889 194-199 Insolvent national banks, dates of organization, appointment of receiver and closing since the organization of the national banking system, with amounts of nominal and additional assets, amounts collected from all sources, loans paid and other disbursements, losses on assets, expenses of receivership, claims proved, dividends paid, and remaining assets returned to stockholders 200-207 INDEX. 305 Page. Table showing, by States and Territories, the estimated population of each on June 1, 1889, and the aggregate capital, surplus, undivided profits, and individual deposits of national and State banks, loan and trust companies, and savings and private banks in the United States on June 30, 1889 ; the average of these per capita of population, and the per capita averages of such resources in each class of banks and in all 203 Abstract of reports of condition of State banks, loan and trust companies, savings and private banks, 1888-'89, arranged by States and Territories 209 Report of the condition of the National Savings Bank of the District of Columbia, at Washington, in the District of Columbia, at the close of business on the 30th day of September, 1889 225 Aggregate resources and liabilities of the national banks from October, 1863, to Octobor, 1889. 231 Summary, of the state and condition of the national banks on dates of report during year ended October 31, 1889 251 Condition of each national bank at close of business September 30, 1889 Yol. I I 9460 CUR 20 ANNUAL REPORT OF THE COMPTROLLER OF THE CURRENCY TO THE FIRST SESSION OF THE FIFTY-FIRST CONGRESS OF THE UNITED STATES. DECEMBER 2, 18S9. TWO VOLUMES. VOLUME I I . WASHINGTON: GOVERNMENT PRINTING OFFICE. 1889. TREASURY I>EPA KTMENT, Document No. VZ11, 2d ed. Comptroller of the Currency. LIST OF STATES, TERRITORIES, AND RESERVE CITIES. STATES AND TERRITORIES. States and Territories. Reports. States and Territories. Reports. Page, Page. 514 Missouri 1063 Montana 575 i Nebraska 1039 Nevada ... 1025 New Hampshire 169 I New Jersey 1064 New Mexico 442 New York 4Go j North Carolina . 509 ! Ohio 499 | Oregon 1085 ' Pennsylvania 725 i Rhode Island ... 692 ' South Carolina.. 847 Tennessee 931 j Texas 578 ! Utah 527 ! Vermont 3 | Virginia 448 \ Washington 63 ! West Virginia . 788 i Wisconsin 892 j Wyoming Alabama Arizona Arkansas California Colorado , Connecticut Dakota Delaware , District of Colnmbia Florida Georgia Idaho Illinois Indiana Iowa Kansas Kentucky Lou isiaua Maine . , Maryland Massachusetts Michigan Minnesota Mississippi 911 1088 9.S5 1038 29 303 1095 197 486 618 1052 333 149 493 603 532 1098 4G 469 1101 479 826 1113 523 i CENTRAL Ci.ies. Chicago New York RESERVE CITIES. Reports. Page. 734 251 Reports. Cities. Page. Saint Louis. 925 RESERVE CITIES. Albany Baltimore Boston Cincinnati... Cleveland Detroit Kansas City. Louisville . . . Milwaukee New Orleans.-. Omaha Philadelphia... Pittsburgh San Francisco Saint Joseph' -. Washington ... 838 528 1009 391 406 1047 924 466 NOTE.—For index of towns, see page 1117 ; for index of banks by charter numbers, see page 1129. Ill REPORTS OF THE CONDITION THE NATIONAL BANKS CLOSE OF BUSINESS ON MONDAY, SEPTEMBER 30, 1889. H. Ex. 3 1 EEPOETS OF THE CONDITION THE NATIONAL BANKS AT THE CLOSE OF BUSINESS ON MONDAY, SEPTEMBER 30, 1889. MAINE. First National Bank, Auburn. JEREMIAH DINGLEY, JR., President. H. C. DAY, Cashier. No. 154. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $268, 017. 55 Capital stock paid in $150, 000. " " s o , 666." 66' Surplus fund Undivided profits . . 5, 000.00 National-bank notes outstanding.. 29, 850.17 State-bank notes outstanding Dividends unpaid 2, 671. 07 J, 080.31 Individual deposits 981. 25 United States deposits Depositsof U. S.disbursing officers. 3,124. 95 : Due to other national banks 2, 475. 00 I Due to State banks and bankers . 23. 60 7, 483. 00 Notes and bills re-discounted . 646. 00 Bills payable 00 33, 000.00 7, 940. 38 45, 000. 00 137, 662. 52 2, 250. 00 Total. 373, 602. 90 373, 602. 90, National Shoe and Leather Bank, Auburn. ABA CUSHMAN, President. No. 2270. Loans and discounts $638, 286. 47 1, 368. 25 Overdrafts 50, 000.00 XT. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand |.. _ 1, 500. 00 Stocks, securities, judgments, etc . . 65, 619. 09 Dae from approved reserve agents. 24, 925. 98 Due from other national banks Due from State banks and bankers. \... 6,000.00 Bank'g-house, furniture, and fixtures! Other real estate and mortg's owned!... 1, 986. 30 Current expenses and taxes paid... 14, 000. 00 Premiums on U. S. bonds 6, 461. 88 Checks and other cash items 4, 501. 95 Exchanges for clearing-house 9, 690. 00 Bills of other national banks 501. 08 Fractional currency, nickels, cents. 16, 440. 00 Specie 3, 887. 00 Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 847,418. 00 M. C. PERCIVAL, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding. Dividends unpaid $400, 000.00 42, 000. 00 9, 246.75 45,000. 00 1,167. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 281, 753. 89 Due to other national banks Due to State banks and bankers . . 45, 750. 36 Notes and bills re-discounted Bills payable 22,500.00 Total. 847,418.00 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. First National Bank, Augusta. No. 367. DANIEL A. CONY, President. C. S. HICHBORN, Cashier. Resources. IiOans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes V. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total. Liabilities$793, 389. 21 2, 101.30 250, 000.00 25, 480. 00 47, 540. 62 Capital stock paid in. $250, 000.00 Surplus fund Undivided profits 60,000. 00 37, 280.49 National-bank notes outstanding.. State-bank notes outstanding 223,440.00 Dividends unpaid 1,190.38 Individual deposits United States deposits Deposits of U. S. disbursing officers 583, 025. 95 "9," 554." 78" Due to other national banks 1,365.00 , Due to State banks and bankers . . 16.68 ! • 28,520.00 Notes and bills re-discounted 5,000.00 i Bills payable i i , 250. 66 Total. 1,175,407. 97 21, 661. 53 1,175. 407.97 Augusta National Bank, Augusta. SAMUEL TITCOMB, President. N o . 3271. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $215, 518.23 25," 656.66 12, 827. 97 475. 20 "5," 208." 50*" 1,200.00 17.47 13, 370. 00 587. 00 J. R. GOULD, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits . 9, 500.00 3,989. 60 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 22, 500.00 592.00 115,104. 01 13, 643. 76 10, 000. 00 1,125. 00 Total. 275, 329. 37 275, 329. 37 Granite National Bank, Augusta. DARIUS ALDEN, President Loans and discounts Overdrafts V. S. bonds to secure circulation... U. S. bonds to secure deposits V. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house.furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. N o . 498. $165, 1, 50, 50, 006.40 431. 54 000.00 000. 00 5, 400. 00 95, 765. 42 3, 970. 99 8,666.66 9, 427. 73 2, 602. 00 109. 50 6, 427. 50 3, 000.00 TKEBY JOHNSON, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits . 25, 000.00 6,417.06 National-bank notes outstanding.. State-bank notes outstanding 43, 990. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 219. 00 183, 2J 9. 08 8,927. 72 35, 618.22 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250. 00 403, 391. 08 Total. 403, 391. 08 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. First National Bank, Bangor. GEORGE STETSON, President E. G. WYMAN, Cashier. N o . 112. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation. .. j U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house, furniture, andtixturep Other real estate and niortg't* owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with U. S. Treas Due from U. S. Treasurer Total. Liabilities. $625, 866. 23 454. 14 300, 000. 00 i)0, 000. 00 33, 000. 00 22,207.45 2,478.23 ' Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. $300, 000.00 100,000.00 69,271. «4 262,843.00 1, 275.00 Individual deposits 1, 6_'8. 03 United States deposits Deposits o f U. S. disbursing officers. 305, 792.40 44, 763.59 236.41 !, 843. 93 3, 797.00 3.47 27, 445,00 1,350.00 Duo to other national banks Duo to State banks and bankers .. 3,811.24 Notes and bills re-discounted. Hills payable 13, 500. 00 3, 420. 00 Total. 1, 087, 91)3. 48 1,087,993.48 Second National Bank, Bangor. NATHAN C. AYER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bauk'g-house, furniture, aodfixturcs Other real estate and niortg's owned Current expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U . S . certificates of deposit Redemption fund with U. S. Treas. Due from U. S. Treasurer Total. No. 306. GEORGE A. CROSBY, Cashier. $654, 409. 83 Capital stock paid in 6, 780. 88 50,000.00 Surplus fund Undivided profits 25, 450. 00 National-bank notes outstanding.. 174,229.11 State-bank notes outstanding 230.71 Dividends unpaid . $150, 000.00 Individual deposits United States deposits Deposits of U.S. disbursingofiicers. 504,125. 72 Due to other national banks '"i," 619." 66" Due to State banks and bankers .. •1. 39 30,177. 50 Notes and bills re-discounted . Bills payable 1,748.69 30,000.00 207, 019.00 45,000.00 15,000.00 7, 683. 99 2,250.00 i Total. 952,893.41 952,893.41 Kenduskeag National Bank, Bangor. FRED'K W. HILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand • Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with U. S. Treas. Due from U. S. Treasurer Total. No. 518. $373, 207. 67 '"""35,000.00 48,174. 53 W. H. S. LAWRENCE, Cashier. I Capital stock paid in $100,000.00 Surplus fund Undivided profits 20,000.00 24, 368.84 National-bank notes outstanding.. State-bank notes outstanding . . 30,700.00 Dividends unpaid 5,000.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 287, 359.13 Due to other national banks Due to State banks and bankers.. 25,174.41 2, 853. 70 6, 354. 00 7.98 20, 644. 50 4, 785. 00 Notes and bills re-discounted . Bills payable 1, 575. 00 492, 602. 38 Total. 492,602.38 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. Merchants' National Bank, Bangor. ' E D W A R D H. BLAKE, President. A. P . BAKER, Cashier. No. 1437. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currencv, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit. Redemption fund with U. S. Treas. Due from U. S. Treasurer Total $447, 459. 50 509. 34 100, 000. 00 35,170.00 109, 567.11 6, 000. 00 5, 592. 43 4, 085. 00 167. 21 27,800. 70 2, 500.00 $100, 000. 00 Capital stock paid in 20, 000.00 157, 087.04 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 90, 000.00 10,225.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 355, 569. 30 Due to other national banks Due to State banks and bankers . . 9, 707.40 1, 362. 55 Notes and bills re-discounted Bills payable 4, 500.00 600.00 Total 743, 951. 29 743,951.29 Veazie National Bank, Bangor. A.B. TAYLOR, Cashier. No. 2089. CHARLES V. LORD, President. Loans and discounts Overdrafts to secure circulation... U. S. bonds U. S. bonds to secure deposits U. S. bonds on hand . -. Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-hou8e,furnituTe,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with U. S. Treas Due from U. S. Treasurer Total $248, 684. 49 $100, 000.00 Capital stock paid in 25, 000.00 Surplus fund Undivided profits 20, 000.00 10, 253. 60 28,671. 99 21, 965. 75 4, 547.38 National-bank notes outstanding.. State bank notes outstanding 22, 500. 00 3, 320.87 2, 336. 64 1, 066. 64 6, 761. 00 8.24 2, 009. 00 9, 000.00 3,117. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 191, 961. 24 Due to other national banks Due to State banks and bankers . . 6,665.16 Notes and bills re-discounted Bills payable 1,125. 00 Total 354,497.00 354,497.00 First National Bank, Bath. GALEN C. MOSES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with U. S. Treas. Due from IT. S. Treasurer Total. W. D. MUSSENDEX, Cashier. No. 2743. $426, 084.20 4,479.02 50,000. 00 8, 220. 00 79,247. 21 333.11 129. 00 3, 744. 92 2, 443.23 12, 000. 00 5, 357.00 56.60 20, 513. 50 1, 000. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $200,000.00 50,000.00 12,239.07 45, 000. 00 Dividends unpaid. Individual deposits United States deposits * . Deposits of U. S. disbursing officers. 293,680.71 Due to other national banks ...,:.. Due to State banks and bankers .. 14,768.01 170. 00 Notes and bills re-discounted . Bills payable 2, 250. 00 615, 857.79 Total. C15,857.79 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. Bath National Bank, Bath". N o . 494. ARTHUR SEWALL, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due fromTreasurer TJ. S Total. W. D. HILL, Cashier. Liabilities. $110,192.09 10, 867. 53 125,000. 00 52, 650.00 39,379.47 $125, 000. 00 Capital stock paid in . Surplus fund Undivided profits 25, 000. 00 27, 387. 54 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 111, 400. 00 863. 00 1,427.97 Individual deposits United States deposits Deposits of U. S. disbursing officers. 3. 798. 00 3. 85 3, 929. 75 3, 000. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 71, 639.30 5,625. 00 Total., 361, 289, 84 361,289. 84 Lincoln National Bank, Bath. No. 761. CHARLES DAVENPORT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks — . Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $243, 936. 75 1,868.26 50, 000. 00 22, 882. 00 15, 448. 35 5,135. 92 377. 89 2,000 00 $200, 000. 00 Surplus fund 1 Undivided profits . 40, 000.00 1,120.54 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 45,000. 00 6, 548. 50 i Individual deposits United States deposits 1,014.34 DepositsofU.S. disbursing officers. 4,178. 00 76, 731.00 Due to other national banks 3, 749. 00 7<>. 54 ' Due to State banks and bankers . 10, 807.10 Notes and bills re-discounted. 5, 672. 00 I Bills payable 2, 250. 00 369, 400. 04 Total. W M . R. SHAW, Caahier. Capital stock paid in . Total. 369,400. 04 Marine National Bank, Bath. No. 782. S. D. BAILEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks .. Due from State banks and bankers Ban k'g-house, furnit ure,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U . S. Due from Treasurer U. S Total. $164,987.53 206. 92 100, 000. 00 6,157. 44 30, 589. 63 697.15 2, 000. 00 ""*443.'65 3, 921. 69 3, 270. 00 84.22 6,782. 00 1, 550. 00 H. A. DUXCAN, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofiicers. $100, 000. 00 25, 000. 00 9, 853. 37 85,970. 00 848. 00 100, 558. 86 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1, 540.00 a09 Oon 90 Total.. 322, 230.23 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. Sagadahoc National Bank, Bath. No. FRANKLIN EEED, President. 1041. HEX isY EAMES, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks... . Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses} and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie U. S. certificates of depo&it Redemption fund with Treas. XT. S. Due from Treasurer U. S Total Liabilities. $126, 889. 64 $100,000. 00 Capital stock paid in 50,000.00 Surplus fund Undivided profits 30, 000.00 5, 593.19 2, 367.00 34, 772.97 National-bank notes outstanding.. State-bank notes outstanding 41, 520. 00 is," 666.'66' 433. 39 2, 250.00 2,172.00 19.03 5, 473.00 1, 782.50 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 62, 731. 34 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted 2, 250. 00 Total 241, 627. 03 241, 627. 03 Belfast National Bank, Belfast. No. 840. JOHN Gr. BROOKS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-honse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $305, 737.45 Capital stock paid in A. H. BRADBURY, Cashier. $150, 000. 00 50, 000.00 Surplus fund Undivided profits 33, 000. 00 20,098. 41 52, 500. 00 40, 937.41 448. 09 National-bank notes outstanding.. State-bank notes outstanding 44, 500.00 7,*5o6.*66' 356.'49 8, 703.02 664.00 Dividends unpaid Individual deposits . United States deposits DepositsofU.S.disbursingomcers 6,742. 00 Due to other national banks Due to State banks and bankers.. 9,129.80 600.00 231, 641.85 Notes and bills re-discounted 2, 250. 00 Total 484, 904. 26 484, 904. 26 First National Bank, Biddeford. ESREFP H. BANKS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks ... Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. ^. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1089. $221,118.80 348.29 100, 000. 00 19,324. 04 16, 688. 04 CHAS. A. MOODY, Cashier. Capital stock paid in $100,000.00 Surplus fund . Undivided profits 50, 000.00 18,106.04 National-banknotes outstanding.. State-bank notes outstanding 87,100.00 Dividends unpaid 610. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 781.10 11, 340.00 14. 17 4, 982.15 7, 000. 00 104, 788.48 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 25,462.07 4,500.00 386,096.59 Total . 386,096.59 REPORT OF THE COMPTROLLER OF THE CURRENCY. M A I NE. Biddeford National Bank. Biddeford. C. E. GOODWIN, Cashier. Xo. 1575. LUTHKK BRYANT, President. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . T7. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes T7. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S $258,257.49 i Capital stock paid in f 89.67 100, 000.00 Surplus fund . Undivided profits 19,166. 02 National-bank notes outstanding . 13,418.50 State-bank notes outstanding 1,109.82 i| Dividends unpaid 6, 000. 0J 8.49 Individual deposits United States deposits Deposits of U.S.disbursing officers Due to other national banks 6^050. 00 Due to State banks and bankers .. 1.49 2, 455. 00 Notes and bills re-discounted. 2,000.00 Bills payable 37, 000. 00 18,744.78 89, 000.00 343.56 101, 338.19 15, 229.95 3,100. 00 411, 656. 48 Total. $150, 000. 00 4i 1,656. 48 Total . National Village Bank, Bowdoinham. S. W. RANDALL, President. !No. 944. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankersBank'g-house,furniture,and fixtures Other real estate and niortg's o^vned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. P . KENDALL, Cashier. $68,451.57 ! Capital stock paid in . ' " 1*2,'500." 66' 8, 600. 00 5, 875.28 Surplus fund . Undivided profits $50, 000. 00 - National-bank notes outstanding. State-bank notes outstanding 11,250.00 63.00 Dividends unpaid 2, 000. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 540. 00 1.02 581.00 308.00 10, 000. 00 5,981.03 22,125. 34 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 562. 50 Total 99, 419. 37 99, 419.37 First National Bank, Brunswick. N. T. PALMER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-bouse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash nems Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie ". Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . ]STo. 192. $69, 242. 56 98, 474. 75 4, 6.58. 83 5, 344. 70 J . P. WIN'CHELL, Cashier. Capital stock paid in Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 667. 54 Individual deposits United States deposits DepositsofU.S. disbursing officers. $50, 000.00 50, 000. 00 31,826.81 11, 250. 00 1, 576.00 48, 293. 34 ' 1*343. 45 4, 278. 00 52. 60 854. 00 4, 000,00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 9,033. 38 562. 50 201, 979. 53 Total . 201, 979.53 10 REPORT OF THE COMPTROLLER OF THE CURRFNCY. MAUVE. Pejepscot National Bank, Brunswick. No. L315. H. C. MARTIN, President. L. H. STOVEE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits XL S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit . . . — Redemption fund with Treas. U. S Due from Treasurer TJ. S Total Liabilities. $29, 057.69 $50, 000.00 Capital stock paid in 50, 000.00 Surplus fund Undivided profits 10, 000. 00 2, 077. 54 25, 000. 00 9, 463.28 9,641.59 National-bank notes outstanding State-bank notes outstanding 44, 300. 00 4,200.00 479.54" 1, 600.00 2.34 284. 50 500. 00 Dividends unpaid 171.00 Individual deposits United States deposits DepositsofU.S.disbursicgofficers. 25, 230.40 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 1, 550.00 Total 131, 778.94 131, 778.94 Union National Bank, Brunswick. JOHN W. PERRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1118. $88, 772. 59 "56,666*66 21, 800.00 8, 402.21 358.43 **4*466.66 2,384.18 705.00 1.40 2,947.00 J . W. FISHER, Cashier. Capital stock paid in $50,000.00 Surplus fund Undivided profits 10, 000. 00 9, 253.16 National-bank notes outstanding . State-bank notes outstanding 45,000. 00 Dividends unpaid 942.07 Individual deposits United States deposits Depositsof U.S.disbursingotiicers 66, 825. 58 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2,250. 00 182, 020. 81 182, 020.81 Total. Bucksport National Bank, Bucksport. N. T. HILL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation ... ~U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationafbanks Fractional currency, nickels, cents. Specie m Legal-tender notes .' U. S. certificates of deposit Redemption fund with Treas. U. S. Due "from Treasurer U. S Total. No. 1079. $81, 315.67 548.51 50,000.00 2,500.00 43,154.68 30.00 EDW. SWAZEY, Cashier. Capital stock paid in . $50, 000. 00 Surplus fund Undivided profits 10,000.00 21, 517.10 National-bank notes outstanding . State-bank notes outstanding 43, 680. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingotficers. 67, 279. 54 310. 25 "2,815.85 Due to other national banks 37637." 6b" Due to State banks and bankers.. 87.77 Notes and bills re-discounted . 6,447.41 Bills payable 2, 250.00 192, 786.89 Total. 192,786.89 REPORT OF THE COMPTROLLER OF THE CURRENCY. 11 MAINE. Calais National Bank, Calais. LEMUEL Gr. DOWNES, President No. 1425. FRANK NELSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TT. S. bonds to secure deposits U. S. bonds oa hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house.. Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total. Liabilities. $270,495.95 I Capital stock paid in 593.67 i 35,000.00 ! Surplus fund Undivided profits 4, 327. 08 1, 369.32 720.71 6, 697. 89 971.60 i,238.05 4,667.00 11.95 5, 949.10 18, 610. 00 $100, 000. 00 i National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 58, 811. 35 5, 824. 67 31, 500. 00 61. 24 151, 804. 06 1, 765. 80 2,450.20 1, 575.00 352, 217. 32 Total. 352, 217. 32 Camden National Bank, Camden. GrEOEGE L. FOLLANSBEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks .... Dae from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. No. 2311. $108, 833, 09 5o,"66o.'66" 32,510.62 1,451.04 J. F. STETSON, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 4, 000. 00 679,12 8, 420. 95 2, 975. 00 3. 22 6, 800. 00 10, 000.00 7,177. 74. 45, 000.00 288. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 106, 357.30 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250. 00 900.00 Total. 218, 823. 04 218, 823.04 First National Bank, Damariscotta. ADDISON AUSTIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks .. Due from State banks and bankers Bank'g-house, furniture, andfixtures Otherrejl estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 44C. JOEL P. HUSTON, Cashier. $73, 683.01 Capital stock paid in. "'12,'500." 66' Surplus fund Undivided profits. 3, 820. 00 National-bank notes outstanding.. 61, 272. 53 State-bank notes outstanding Dividends unpaid Individual deposits ""322." 50* United States deposits 2, 265. 63 Deposits of U. S. disbursing officers. $50,000.00 15, 000.00 5, 710. 74 11, 250. 00 223.00 3,197.13 83, 686. 60 483. 92 3,415. 00 15.65 3, 332. 47 1, 000. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 562.50 165, 870. 34 Total. 165,870. 34 12 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. First National Bank, Dexter. No. 2259. C. W. CURTIS, President. C. M. SAWYER, Cashier. Resources. Liabilities. Loans and discounts .. Overdrafts IT. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer XT. S Total . $189,474.62 """25,6o6.OO 8,368.25 1, 548.45 i,"c66"66" ""'506*96 1, 589.00 18.93 6,836.65 146.00 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 20, 000.00 22, 542.12 22, 500. 00 308. 00 Individual deposits. United States deposits Deposits of U.S. disbursing officers. 72,477.35 Due to other national banks Due to State banks and bankers . Notes and bills re-disuounted. Bills payable 1,125.00 237,827.47 j Total . 237,827.47 Kineo National Bank, Dover. ELBRIDGE A. THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalTbanbs. -.-... Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Capital stock paid in . Surplus fund Undivided profits 12, 722. 70 634.83 Dividends unpaid 251.06 $50, 000.00 1,000.00 2, 701.68 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 11,250.00 48.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 91,871.28 "603*83" 2, 556. 00 23.13 8,168.50 675. 00 D u e to other national banks Due t o State banks and b a n k e r s . . Notes and bills re-discounted Bills payable 1, 556.60 562.50 Total. 158,427. 56 Total. C. B. KITTRIDGE, Cashier. No. 3690. $119,730.01 158, 427. 56 Frontier National Bank, Eastport. E. E. SHEAD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso.furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from TreasurerU. S. Total. No. 1495. GEORGE H. HAYES, Cashier. $79, 724.96 | Capital stock paid in. $75,000. 00 43, 000.00 Surplus fund Undivided profits. 30, 000.00 3, 866. 37 49, 000. 00 88, 373.55 National-bank notes outstanding . State-bank notes outstanding 38, 700.00 245.13 5, 619. 45 580. 87 9, 600. 00 38.05 5, 000. 00 3, 000.00 Dividends unpaid .. 90.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 5, 897.11 Due to other national banks Due to State banks and bankers . . 2, 563. 53 Notes and bills re-discounted . Bills payable 1.935.00 286,117. 01 Total . 286,117.01 REPORT OF THE COMPTROLLER OF THE CURRENCY. 13 MAINE. First National Bank of Bar Harbor, Eden. CHARLES C. BUKRILL, President. No. 3941. EDGAK F. BREWER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits . . . . IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks I Due from State banks and bankers j Bank'g-house, furniture',and fixture* ] Other real estate and mortg's owned' C arrent expenses and taxes paid... I Premiums on IT. S. bonds ! Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S D ae from Treasurer U. S $66, 814. 95 12, 500. 00 21,082.53 405. 75 " 2*656" 55" 3, 521. 88 1,401.18 3*746." 66 22.01 4,931.40 2, 350. 00 Capital stock paid in 1, 697. 99 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers 55, 809.65 1, 231.11 Notes and bills re-discounted Bills payable 562.50 Total 119, 988. 75 Total. $50, 000. 00 Surplus fund Undivided profits 119, 988. 75 First National Bank, Ellsworth. ANDREW P. WISWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks. .. .t Due from State banks and bankers. I Bank'g-house,furniture, and fixtures] Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie 'Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3814. $212,198, 37 293.19 12, 500. 00 21, 398. 27 7, 636. 32 580.33 3, 375.00 107. 98 530.00 15. 73 5, 500. 00 7, 660.00 $50,000.00 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding 9, 000. 00 4, 518. 81 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 196,327.76 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 241.64 1, 019.48 562. 50 Total. 272, 357.69 Total. F R E D . L. KENT, Cashier. Capital stock paid in. 272, 357. 69 Burrill National Bank, Ellsworth. CHARLES C. BURRILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. JAS. E. PARSONS, Cashier. No. 3804. $129, 922. 74 12, 500. 66 21, 281.96 1, 615. 54 1,850." 66 849. 81 3, 343. 76 3,166.45 1, 775. 00 114. 32 31,355.95 2, 860. 00 Capital stock paid in Surplus fund Undivided profits National^ank notes outstanding.. State-bank notes outstanding $50, OOoToO 10, 000. 00 4, 932. 50 11, 240.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 102, 217.73 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 2,000. 00 10, 807.80 562. 50 191,198.03 Total. 191,198. 03 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Fairfield. No. 2175. NAHUM TOTMAN, President. H. L. KELLKY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dne from Treasurer U. S $77, 292. 63 Capital stock paid in. 15, 000. 00 7, 823.24 14, 652.39 1,597.90 3, 745. 58 382. 91 1, 250.00 501. 29 1, 500.00 36.26 2, 434. 50 1, 000.00 Dividends unpaid.. 7,250. 00 1, 741. 00 13, 500.00 128.00 Individual deposits United States deposits Deposits of U. S. disbursing offic Due to other national banks Due to State banks and bankers . Notes and bills re-disconnted . Bills payable 38,149.08 8, 673.62 "*6," 450*66 675.00 125, 891. 70 Total. $50, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding., State-bank notes outstanding Total. 1257891. 70 Sandy River National Bank, Farmington. FRANCIS G-. BUTLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents-j Due from other national banks Due from State banks and bankers. j>ank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 901. $80, 353.01 159. 52 75, 000. 00 T. F. BELCHER, Cashier. Capital stock paid in $75, 000.00 Surplus fund Undivided profits 27,000.00 National -bank notes outstanding-. 15, 632. 34 State-bank notes outstanding 2, 582, 87 Dividends unpaid 20, 362. 09 3,413. 52 Individual deposits United States deposits Deposits of U. S. disbursing officers. 46, 774. 65 1, 502. 78 1, 702. 00 1.68 1, 657. 50 420.00 66, 840. 00 788.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 3, 375. 00 213,178.26 Total. 213,178.26 Gardiner National Bank, Gardiner. I. J. CARR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1174. $134, 662.75 8.10 50, 000. 00 E. L. SMITH, Cashier. Capital stock paid in. $50,000.00 Surplus fund : Undivided profits , 7, 500. 00 National-bank notes outstanding.. 2,791.64 State-bank notes outstanding 28,500.00 1,686.13 Dividends unpaid 8, 000.00 208. 53 1,011.92 2, 392. 20 Individual deposits United States deposits Deposits of U.S.disbursingofiicers. Due to other national banks 120.00 Due to State banks and bankers. 18.23 7, 684. 90 Notes and bills re-discounted. 4, 500. 00 Bills payable 44, 500.00 1, 530.00 85, 545. 00 9,387.14 2, 250.00 221,148.27 Total. 221.U8.27 REPORT OF THE COMPTROLLER OF THE CURRENCY. 15 MAINE. Merchants' National Bank, Gardiner. DAVID DENNIS, President. N o . 3219. HENRY FARRINGTON, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hoase, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. Liabilities. $178, 732.31 124. 94 25,000. 00 14,335.41 878. 52 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits. National-banknotes outstanding. State-banknotes outstanding Dividends unpaid 45.00 * "4," 000. 66 1, 710.18 1,875 00 851. 07 4, 570.00 22.82 580. 30 5, 019.00 5, 700.00 6, 835.05 21, 700. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 104,118.07 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 426.43 1,125.00 238,824.55 Total.. 238,824.55 Oakland National Bank, Gardiner. J O S H U A GRAY, No. 740. President. Loans and discounts Overdrafts . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. S. BOWMAN, Cashier. $136, 820. 74 Capital stock paid in 626.3 L 50, 000. 00 Surplus fund Undivided profits 2,426.77 10,090.00 1,144. 23 1, 610. 00 79.43 4, 544.15 4. 817. 00 $50, 000. 00 , , 10, 342.00 23, 738.77 National-bank notes outstanding. State-bank notes outstanding 44,700.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,630. 00 81,226.86 2, 771. 00 2, 250. 00 214, 408.63 Total. 214, 408. 63 Hallowell National Bank, Hallowell. JOHN GRAVES, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national bauks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiumson tJ. S. bonds Checks and other cash items..: Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. W . H. P E R R Y , Cashier. No. 3247. $99,165. 94 Capital stock paid in. $50,000. 00 566.08 12, 500.00 Surplus fund 15, 000. 00 5, 536. 93 Undivided profits 1, 000 00 National-bank notes outstanding.. 11, 250.00 10. &57.14 State-bank notes outstanding 187.91 Dividends unpaid 2, 704. 95 Individual deposits 60,281.08 United States deposits 421.91 Deposits of U. S. disbursing officers 23, 079.98 Due to other national banks 14,771.32 369.00 Due to State banks and bankers . 3.92 1, 820. 00 Notes and bills re-discounted . 3, 500. 00 Bills payable 562. 50 156, 839. 33 Total. 156, 839.33 16 REPOET OF THE COMPTROLLER OF THE CURRENCY. MAINE. Northern National Bank, Hallo well. JAMES H. LEIGH, President. N o . 532. GKORGE E. SMITH, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits XT. S bonds on hand Stocks,securities, judgments, etc... Due from approved reserve agents Due from other national banks Due from State banks and bankers Bauk'g-house, furniture, and fixture.* Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes TJ. o. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total $158, 540.91 100, 000. 00 2, 725. 00 13, 267.83 1,613.21 2,435." 51." 2,643.20 2,474.13 525. 00 23.80 365.00 4, 043. 00 Capital stock paid in $100,000.00 Surplus fund Undivided profits 25,000.00 15, 446.40 National-bank notes outstanding.. State-bank notes outstanding 90, 000. 00 Dividends unpaid 1, 817. 50 Individual deposits United States deposits Deposits of U. S. disbursing ofiicers. 58, 595.05 Due to other national banks Due to State banks and bankers... 1, 667.64 Notes and bills re-discounted 3, 870. 00 292, 526. r.9 Total 292, 526. 59 First National Bank, Houlton. WALTER MANSUR, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. o. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2749. $118, 628. 74 i2,"5oo. 66' 40, 080.49 1,407.01 " 3,666.66 784.'55 2, 550. 00 338. 16 2, 028. 00 40.45 7,110. 35 WILLIAM C. DONNELL, Cashier. Capital stock paid in. $50,000.00 Surplus fund..,,.. Undivided profits. 23, 500. 00 3, 765. 32 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid Individual deposits United States deposits Depositsof U. S. disbursing ofiicers. 99,823.09 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 700.84 562.50 189,039.25 Total. 189, 039. 25 Ocean National Bank, Kennebunk. EDWARD W. MORTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from TreasurerU. S Total. No. 1254. $132,452. 58 *25, 000.00 7, 400. 00 20, 5:S2. 03 201. 81 3, 500. 00 373. 35 1, 380. 41 7, 341. 00 3ti. 54 2, 852. 50 5, 000.00 CHAS. R. LITTLEFIELD, Cashier. Capital stock paid in Surplus fund. . Undivided profits $100, 000. 00 . . . National-bank notes outstanding.. Dividends unpaid United States deposits DepositsofU.S.disbursing officers. 20 000 00 4, 572. 09 22, 500. 00 345.00 59, 798.13 Due to other national banks , Due to State banks and bankers . . Notes and bills re-discounted Bills payable 1,125. 00 20.00 207,215.22 Total 207, 215. 22 REPOET OF THE COMPTROLLER OP THE CURRENCY. 17 MAINE. First National Bank, Lewiston. J . G. COBURN, President. No. 330. ALBERT L. TEMPLETON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits . . . U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... . Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer TJ. S Liabilities. $773,257.77 4oo, 656.66 47,323.68 618.39 "i3,"666.'6b 2, 500. 00 1, 508. 29 524.70 525.66 20,198.00 60. 55 21,093.50 2, 500.00 Capital stock paid in. 200, 000. 00 31,434.76 National-bank notes outstanding.. State-bank notes outstanding . . 359, 000. 00 Dividends unpaid 595.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 291, 514. 62 Due to other national banks Due to State banks and bankers . . 18, 569.16 Notes and bills re-discounted . Bills payable 18,000.00 1,301,113.54 Total. $400, 000. 00 Surplus fund Undivided profits. 1,301,113.54 Total. Manufacturers' National Bank, Lewiston. JOHN M. ROBBINS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and o^her cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer XJ. S N o . 2260. $387,138.73 """56," boo.bo 4,440. 00 34, 474.44 9, 079.49 "227666.'66" 4,178. 85 1, 594.87 1, 306. 30 9, 764.00 267. 51 16, 250. 00 2, 300. 00 $200, 000.00 Surplus fund Undivided profits. 33, 500. 00 3, ecO. 16 National-bank notes outstanding. State-bank notes outstanding 45, 000.00 Dividends unpaid 70.00 Individual deposits United Stales deposits Deposits of U. S. disbursing officers. 242, 888.03 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 500.00 20, 000.00 2, 250.00 545,044.19 Total. ADDISON SMALL, Cashier. Capital stock paid in. 545, 044.19 Total. Limerick National Bank, Limerick. JEBEMIAH M. MASON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, .judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. H. Ex. 3- No. 2785. $148,949.48 W M . W. MASON, Cashier. Capital stock paid i n . $50, COO. 00 i~66.66 Surplus fund. Undivid profits. divided 25,000.00 1, 8A7. 98 8, 000. 00 11,949.25 2,479.92 National-bank notes outstanding.. State-bank notes outstanding 11,250. 00 Dividends unpaid. 123.75 178. 00 .19 2, 704. 50 4,400.00 Individual deposits. United States deposits Deposits of U.S. disbursing officers. 87, 853.38 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Billa payable. . „ . . , , . . , « . , . . . 15,896.27 502.50 191, 847. 59 Total. 191, 847. 59 18 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. New Castle National Bank, New Castle. THOMAS C. KENNEDY, President Resources. Loans and discounts O verdrafts U. S. bonds to secure circulation.-. U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 953. D. W. CHAPMAN, Cashier. Liabilities. $72, 742.15 Capital stock paid in. $50,000.00 25, 000. 00 7,873.15 26,000.00 Surplus fund Undivided profits 11,500.00 National-bank notes outstanding.. 52,481. 88 State-bank notes outstanding 23, 400.00 Dividends unpaid. 255.00 1, 725.00 Individual deposits ""495." 48* United States deposits Deposits of U.S. disbursing officers. 9.C5 i, 566.06 Due to other national banks Due to State banks and bankers. 3, 047. 58 1,000.00 65,143. 59 Notes and bills re-discounted , Bills payable 1,-170. 00 171,671.7-1 Total . 171, 671. 74 North Berwick National Bank, North Berwick. FRANK O. SNOW, President. No. 1523. Loans and discounts O verdrafts U. S. bonds to secure circulation— U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $09,715.20 8,086. 53 20,000.00 C. W. GREENLEAF, Cashier. Capital stock paid in. Surplus fund Undivided profits $50,000.00 , 10,000.00 2,055. 56 National-bank notes outstanding . State-bank notes outstanding 1, 900. 00 150. 00 86. 32 003.11 1, 094.00 23.28 1, 988. 50 500.00 18, 000. 00 Dividends unpaid. 306. 00 Individual deposits United States deposits. Deposits of U.S.disbursing officers. 17,640.76 Due to other national banks Duo to State banks and bankers . . 7, 044.68 Notes and bills re-discounted . Bills payable 900. 00 105,047.00 Total . 105,047.00 Norway National Bank, Norway. HENRY M. BEARCE, President. Loans and discounts O verdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc .. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items E xchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1956. $150, 207.51 25, 000. 00 6,486.03 10,926. 05 3, 298. 24 "'"758*97' 6, 500. 00 1,011.40 1, 51 r>. 00 62.46 5, 818. 00 2, 500.00 H. D. SMITH, Cashier. Capital stock paid in Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable I $100, 000.00 16,000.00 2,902.12 22, 500.00 228.25 70,090. 32 3,448.95 6,039.02 1,125.00 221, 208. 66 Total 221,208.66, REPORT OF THE COMPTROLLER OF THE CURRENCY. 19 MAHE. Messalonskee National Bank. Oakland. No. 2231. A. P. BENJAMIN, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... X S. bonds to secure deposits L TJ. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents Due from other national banks Dufe from State banks and bankers Bank g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $110, 003. 58 2o,"666."66" Capital stock paid in j $75,000.00 Surplus fund. .* Undivided profits j ' 9,950. 00 6,638.64 National-bank notes outstanding.. 3, 5C4.98 "i," 250.' 00 309.79 4,000. 00 314. 51 57.77 432. 00 2, G30. 00 18, 000.00 State-bank notes outstanding Dividends unpaid 48.00 Individual deposits "United States deposits Deposits of U. S. disbursing officers. Duo to other national banks Due to State banks and b a n k e r s . . 126. 88 Notes and bills re-discounted. Bills payable , 900. 00 143,402.63 Total.. J. E. HAERIS, Cashier. Liabilities. Total., 143,462.63 Orono National Bank, Orono. No. 1134. SAMUEL LIBBEY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national "banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $52, 337. 79 4.5.46 12, 500. 00 2,812.50 9,713.42 3, 430. 82 4, 800. C O 357.20 3, 29'J. 87 186. 00 6, 998. 00 36. 48 7, 660. 70 1, 000. 00 ALBERT WHITE, Cashier. Capital stock paid in $50,000. 00 Surplus fund Undivided profits 9,415.00 1, 717.52 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 10,210.00 138.00 Individual deposits United States deposit? Deposits of U. S. disbursing officers. 34, 267.22 Due to other national banks Due to Stato banks and bankers Notes and bills re-discounted Bills payable 562. 50 Total 105, 747. 74 105, 747.74 Union National Bank, Phillips. NATHANIEL B. BEAL, President. Loans and discounts U. S. bonds to secure circulation .. U. S. bonds to secure deposits 1/ IS bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2267. $46, 456. (J4 50, 000. 00 13, 269. 08 676.86 2,400.00 227. 39 245.00 .19 1,262.25 161.00 J . E. THOMPSON, Cashier. Capital stock paid in Stii pin s fund Undi vided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States-deposits Deposi t s of U. S. disbursing officers. Duo to other national banks t Due to State banks and bankers.. $50, 000. 00 5,400.00 1,168. 98 45, 000. 00 111.00 15, 268.43 Notes and bills re-discounted Bills payable 2, 250. 00 116,948.41 Total 116,948.41 20 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. First National Bank, Portland. HARRISON J. LIBBY, President. No. 221. JAMES E. WEKGBBK, Cashier. Resources. Liabilities. Loans and discounts $1,000, 000. 00 $1, 635,897. 29 Capital stock paid in. Overdrafts 131, 000.00 U. S. bonds to secure circulation... 50," 000.66 Surplus fund 38, 644. 56 IT. S. bonds to secure deposits Undivided profits . TJ. S. bonds on hand 27,750.00 National-bank notes outstanding.. 45, 000. 00 Stocks, securities, judgments, etc.. 171,398. 91 State-bank notes outstanding Due from approved reserve agents. 201,019.72 Dae from other national banks 2,910.37 Dividends unpaid Due from State banks and bankers. 303. 62 171,731.31 Bank'g-house, furniture, and fixtures Individual deposits Other real estate and mortg's owned 998,123.14 Current expenses and taxes paid... 4,197.94 United States deposits Deposits of U. S. disbursing officers. Premiums on U. S. bonds. 1,253.98 Checks and other cash items 22, 240. 84 Due to other national banks 106, 876.77 Exchanges for clearing-house 10, 689.00 Due to State banks and bankers -. 58, 919. 77 Bills of other national banks 104. 70 Fractional currency, nickels, cents. 55, 423. 80 Notes and bills ro-discounted . Specie 22, 000.00 Bills payable Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treaa. U. S. 2,250.00 Due from Treasurer TJ. S 2, 378,867.86 Total 2,878,867. Total. Canal National Bank, Portland. WILLIAM W. THOMAS, President. No. 941. $1,303, 762.39 Loans and discounts 50.36 Overdrafts U. S. bonds to secure circulation... 50, 000.00 U. S. bonds to secure deposits U. S. bonds on hand 679. 00 Stocks, securities, judgments, etc .. 58, 525. 90 Due from approved reserve agents 61, 644.40 Due from other national banks . - Due from State banks and bankers 5, 000. 00 Bank'g-house,furnituie,andfixtures 9, 000.00 Other real estate and mortg's owned Current expenses and taxes paid... 3,771.08 Premiums on U. S. bonds 12, 000. 00 Checks and other cash items 33, 924. 93 Exchanges for clearing-house 9, 284. 82 Bills of other national banks 7, 265. 00 Fractional currency, nickels, cents. 600. 44 58,573.80 Specie 5, 000. 00 Iiegal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total. 1, 621, 332.18 G. C. PETERS, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $600, 000. 00 120, 000.00 181,100. 51 45, 000. 00 1, 553.87 Individual deposits United States deposits DepositsofU.S disbursing officers. 627, 718.68 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 45, 959.12 Total. 1, 621, 332.18 Casco National Bank, Portland. S. R. SMALL, President. MARSHALL R. GODING, Cashier. No. 1060. $1,784,572.46 Capital stock paid in. Loans and discounts $800, 000.00 64.80 Overdrafts 50, 000.00 Surplus fund U. S. bonds to secure circulation... 290, 000. 00 TJ. S. bonds to secure deposits 26, 475. 44 Undivided profits. U. S. bonds on hand 85, 200. 00 National-bank notes outstanding. Stocks, securities, judgments, e t c . 45, 000. 00 91, 634. 67 State-bank notes outstanding Due from approved reserve agents 10J.377.07 Due from otner national banks 5,669.41 Dividends unpaid. Due from State banks and bankers 4,425.10 45, 000.00 Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Individual deposits 790,180. 76 Current expenses and taxes paid.. 5, 947. 03 United States deposits Premiums on U. S. bonds Deposits of U. S. disbursing officers 3,484. 59 Checks and other cash items 36, 486. 56 Due to other national banks 38,439. 32 Bills of other national banks 12,834.00 Due to State banks and bankers .. 41, 993. 33 103. 08 Fractional currency, nickels, cents55,072. 00 Notes and bills re-discounted Specie 32, 500.00 Legal-tender notes 6, 648. 00 Bills payable 220, 329.72 TJ. S. certificates of deposit Redemption fund with Treas. U. S 2, 250. 00 Pue from Treasurer U. S 1,000.00 Total. Total 2,289,343.67 2, 289, 343. 67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 21 Cumberland National Bank, Portland. HORATIO N. JOSH, President. No. 1511. WILLIAM H. SOULB, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TT. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer TJ. S Liabilities. $444, 684. 80 56,666.66" 12, 806. 24 10,185. 91 Capital stock paid in. 50, 000.00 38,736. 54 National-bank notes outstanding . State-bank notes outstanding 44, 700.00 Dividends unpaid. 593.60 15, 000.00 Individual deposits 1,934. 09 United States deposits 7, 000. 00 Deposits of U.S. disbursing officers. 4, 259. 52 2, 593.11 Due to other national banks 1,807.00 35.30 Due to State banks and bankers . 2, 870. 00 Notes and bills re-discounted . 10, 160. 00 Bills payable 181, 555.83 2, 250. 00 Total. 565, 585. 97 Total. $250, 000.00 Surplus fund Undivided profits 565, 585.97 Merchants' National Bank, Portland. GEORGE S. HUNT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation -.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1023. CHARLES PAYSON, Cashier. $825,134.90 Capital stock paid in 100.42 50, 000. 00 Surplus fund 70, 000. 00 Undivided profits 300. 00 National-bank notes outstanding. '"""55," 004." i s ' State-bank notes outstanding 20,459.10 Dividends unpaid . 21, 000. 00 Individual deposits 3, 040. 75 United States deposits 8,000.00 Deposits of U.S. disbursing officers 8, 300. 53 15. 883. 78 Due to other national banks 7, 797. 00 Due to State banks and bankers. 260. 52 32,149.00 Notes and bills re-discounted. 5, 000. 00 Bills payable $300,000.00 150, 000.00 47, 773. 87 45, 000. 00 240.34 405, 354.24 39, 291. 37 36, 268. 36 100, 752. 00 2, 250. 00 Total. 1,124, 680.18 1,124, 680.18 National Traders' Bank, Portland. WILLIAM G. DAVIS, President. Loans and discounts Overdrafts , U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Ban k'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. EDWARD GOULD, Cashier. No. 1451. $552, 959.60 103. 51 172, 000.00 14, 607.95 14.801. 62 2, 949.28 106.53 16, 285.52 7, 087.00 159.18 15, 600. 00 7,474.00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers $300, 000.00 60,000.00 66,151.94 154,600.00 603.15 230,519.10 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 7, 740. 00 811, 874. 19 Total. 811,874.19 EXPORT Ot1 THE COMPTROLLER OF" THE CURRENCY. M AI I E . V Portland National Bank, Portland. FRED. E. RICHARDS, President. No. 4128. C. G-. ALLEN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $1,007.75 $151,550.00 Capital stock paid i n . " 56," 666.' oo Surplus fund Undivided profits . 9.75 National-bank notes outstanding. State-bank notes outstanding 82, 898. 27 19, 250. 00 Dividends unpaid . Individual deposits United States deposits Deposits ot'U. S. disbursing officers 14, 253. 73 500.00 15, 850.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. 1G7, 409. 75 167,409.75 Presque Isle National Bank, Presque Isle. CHARLES P. ALLEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bondsonhand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie % Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3827. $82,495. 03 A. H. JENKS, Cashier. Capital stock paid i n . 12, 500. 00 $50, 000. 00 Surplus fund Undivided profits- 7, 800.0C 1, 716. 86 National-bank notes outstflnding. State-bank notes outstanding 16,175. 09 946. 54 11,250.00 Dividends unpaid 7,100. 00 131.(18 2, 800. 00 20tf. 38 3, 617. 00 33.25 8,481.02 1, 000.00 Tndi vidual deposits United States deposits Deposits of U.S.disbursing officers 1 65, 283. 61 Due to other national banks . . . . Due to State banks and bankers . Notes and bills re-discounted Bills payable 562. 50 Total. 136, 050.47 136, 050. 47 First National Bank, Richmond. C. H. T. J. SOUTHARD, President. Loans and discounts Overdrafts • U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes' paid.. Premiumson U. S bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. Si. Due from Treasurer U. S Total N o . 322. $55, 367. 90 50, 000. 00 6, 817. 74 J. M. ODIOBNE, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $50, 000.00 9, 779. 04 846. 52 44, 300. 00 96.00 200.00 228. 80 7, 200.00 342. 37 1,150.00 28. 97 1, 049. 75 Individual deposits United States deposits Deposits of U. S. disbi irsing officers 18,123. 97 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 730.00 123,145. 53 Total 123,145. 53 REPORT OP THE COMPTROLLER OF THE CURRENCY. MAINE. Richmond National Bank, Richmond. GEORGE H. THEOBALD, President. No. 909. WM. H. STUART, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specio Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total. $170, 724. 74 86. 22 30, 000. 00 G, 200.00 7,826.15 1, 200. 00 500.00 151.00 2, 537.00 83.45 1,153.90 700. 00 $120, 000. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers - 24, 000. 00 7,208. 23 25, 000.00 804 00 46, 500.23 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,350.00 1, 000. 00 223, 512. 40 Total. 223, 512.46 Lime Rock National Bank, Rockland. GEORGE W. BERRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities Judgments, etc .. Duo from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank' g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. ». certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. T. II. MCLAIN, Cashier. No. 2097. $113, 538.85 629. 67 40, 000. 00 1, 000.00 18, 314. 41 20, 409.89 3, 500. 00 1,130.17 2, 344. 00 81.05 12,725.18 2, 000. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding . State-bank notes outstanding Dividends unpaid Individual deposits United States deposits -Deposits of U. S. disbursing officers. $105, 000.00 11, 500. 00 "3,738. 06 34,550. 00 1, 335.42 60, 680.42 Due to other national banks Duo to State banks and bankers .. Notes and bills re-discounted . Bills payable 1,800.00 217,473. 22 217,473.22 Total. North National Bank, Rockland. ADONIRAM J. BIRD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N. T. FARWELL, Cashier. No. 2371. $193,160. 30 Capital stock paid in. 5o,"666."o6" Surplus fund Undivided profits. 9, 500. 00 National-bank notes outstanding.. 22, 808. 34 State-bank notes outstanding 576. 71 200. 00 1, 000. 00 6, 245.46 11,810.00 54. 24 10, 735. 00 4, 000.00 Dividends unpaid. $100, 000. 00 20, 000.00 22, 848.76 40,100.00 235.00 Individual deposits United States deposits Depositsof U.S.disbursingofficers. 126, 328.13 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 1, 518.11 1, 310. 05 2, 250. 00 312, 340. 05 Total. 312,340.05 24 REPORT OV THE COMPTROLLER OF THE CURRENCY. MAINE. Rockland National Bank, Rockland. MAYNABD SUMNER, President. No. 1446. G. H O W E WIGGIN, Cashier. Resources. Liabilities. Overdrafts U. S. bonds to secure circulation-.. IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationarbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Duefrom Treasurer U. S Total $371,586.42 82.41 50,000.00 200.00 37, 799.66 5, 425. 90 5, 000. 00 5, 281.17 13,245. 00 53.43 9, 529. 05 5, 800.00 Capital stock paid in $150, 000.00 Surplns fund Undivided profits 50,000.00 25, 284. 99 National-bank notes outstanding.. State-bank notes outstanding 43, 240.00 Dividends unpaid 414.00 Individual deposits United States deposits Depoaitsof U. S.disbursing officers Due to other national banks Due to State banks and bankers... 232, 958.21 1,103.38 3, 252.46 Notes and bills re-discounted Bills payable 2, 250. 00 Total 506,253.04 506,253.04 Saco National Bank, Saco. R. JORDAN, President. S. S. RICHARDS, Cashier. No. 1535. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Uue from State banks and bankers Bank 'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S :... Total $127,828.07 | Capital stock paid in $100, 000.00 50,666.66 Surplus fund Undivided profits 20, 000. 00 2, 895.02 41,421.15 7,879.57 I 5, 273.83 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 42,500.00 Individual deposits United States deposits DepositsofU.S.diabursingofiicers. 81, 931.34 7,821.44. 2, 807. 26 3,799. 00 4.95 5, 231. 50 2,160. 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 3,244. 59 6, 255.82 2,250.00 350. 00 Total 256,826. 77 256,826. 77 York National Bank, Saco. RICH'D F. C. HARTLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks.:... Duo from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. JOHN C. BRADBURY, Cashier. No. 1528. $175,260,52 GOO. 17 100,000.00 8, 750. 00 49,350. 75 2,134.16 7, 500.00 100.00 23.69 6,528.00 81.04 8,873.10 5,000.00 Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable , $100,000.00 40, 000. 00 3,866.21 89,420.00 5, 219.13 121,131.70 10,684.39 4, 500. 00 1, 620.00 370, 321.43 Totals 370,321.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 25 MAINE. Searsport National Bank, Searsport. JOHN G. PENDLETON, President. No. 2642. CHAS. F. JORDAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due ironi other national banks Due from State banks and bankers. Bank'g-house, furniture, andtixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie _ Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $134, 733. 96 Capital stock paid in $50, 000.00 50, 000. 00 Surplus fund Undivided profits 12, 000. 00 9, 313. 19 6,011.00 71,158. 87 National-bank notes outstanding. State-bank notes outstanding 44, 380. 00 Dividends unpaid " Total iis.li" 2, 514. 94 1, 778. 00 28.36 6, 821.11 1, 600. 00 1, 432. 00 Individual deposits United States deposits — DepositsofU.S.disbursingofficers Due to other national banks Due to State banks and bankers... 159, 738. 77 448. 09 Notes and bills re-discounted Bills payable 2, 250.00 277, 312. 05 Total 277, 312. 05 First National Bank, Skowhegan. JAMES B. DASCOMB, President. Loans and discounts Overdrafts N o . 239. $303,166.57 U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, otc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andtixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ." Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total 150, 000.00 io'666'66" 47, 340. 51 5,473.93 8, 000. 00 16, 197.18 23, 625.00 32.17 4, 200. 00 12, 000. 00 GEORGE N. PAGE, Cashier. Capital stock paid in $150, 000.00 Surplus fund Undivided profits 50, 000. 00 15, 901. 48 National-bank notes outstanding.. State-bank notes outstanding . . . . . Dividends unpaid 129, 250. 00 868. 00 Individual deposits United States deposits DepositsofU.S.disbursing officers. 240, 765. 88 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills pavable 6, 750. 00 Total 586, 785. 36 586, 785. 36 Second National Bank, Skowhegan. R. B. SHEPHERD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bou^s Checks and other cash items ...... Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 298. $151,811.90 280. 08 125, 000.00 29, 277.07 22L.07 4,400.00 1, 677. 34 2, 050. 00 41,14 3,178. 00 1,577.00 JAMES FELLOWS, Cashier. Capital stock paid in. Surplus fund Undivided profits.. National-bank notes outstandingState-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers $125, 000.00 30, 000. 00 2, 029. 75 111,800,00 984. 00 55, 324. 85 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 5,625.00 325,138.60 Total. 325,138. 60 26 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINE. South Berwick National Bank, South Berwick. G. C. YEATON, President No. 959. J. H. PLUMER, Cashier. Liabilities. Resources. LORD 8 and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits $122, 642. 06 Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house,furniture,and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums onU. S. bonds C hecks and other cash items IE xchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S 29, i45.66 12, 901. 88 Total 100, 000. 00 1, 000. 00 128.25 1,100. 00 39.58 2, 961.00 2, 346.00 $100,000. 00 Capital stock paid in Surplus fund Undivided profits 20, 000. 00 26, 717. 33 National-bank notes outstanding.. State-bank notes outstanding 88, 940. 00 4, 994.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. •36,112.44 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 4, 500.00 276, 763.77 Total 276,763.77 Georges National Bank, Thomaston. EDWARD E. O'BRIEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers . Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S No. 1142. $149,011.47 50, 000. 00 27,411.97 84.10 4, 550. 00 4, 000. 00 3, 743. 56 1, 463. 00 12.04 3, 970. 00 1,400. 00 $110, 000. 00 8,200.00 8,191. 54 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 420. 50 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 66, 550.68 Due to other national banks Due to State banks and bankers . . 3, 333. 42 6,200. 00 Notes and bills re-discounted Bills payable 2, 250. 00 247,896.14 Total J. C. LEVKNSALER, Cashier. Capital stock paid in Total 247, 896.14 Thomaston National Bank, Thomaston. CHRISTOPHER PRINCE, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Otiier real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. F. H. JORDAN, Cashier. No. 890. $141, 332. 40 Capital stock paid in. $100,000.00 5o,"o6o."66 Surplus fund Undivided profits. 20, 000. 00 22, 728. 21 86, 900. 00 51,195. 06 National-bank notes outstanding.. State-bank notes outstanding 44, 290. 00 Dividends unpaid. 17, 400. 00 8, 000. 00 5, 833. 32 1, 085. 00 .39 3, 918.50 7,811.00 1, 256. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 182,833.68 Due to other national banks Due to State banks and bankers . . 4, 617. 78 Notes and bills re-discounted. Bills payable 2, 250.00 375, 725. 67 Total. 375,725.67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 27 MAINE. Medomak National Bank, Waldoborough. SAMUEL W. JACKSON, President. No. 1108. D. W. POTTER, Cashier. Resources. Loans and discounts 0 verdrafts -. TJ. S. bonds to secure circulation... TT. S. bonds to secure deposits X S. bonds on hand T Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. 0". S . Due from Treasurer U. S Liabilities. $87,488. 59 Surplus fund Undivided profits 10,000. 00 4, 000. 93 9, 2O0. 00 24, 274. 20 National-bank notes outstanding.. State-bank notes outstanding 39,960.00 500.50 Dividends unpaid 77.05 4, 436. 24 4, 524.00 .56 4, 889. 00 1, 800. 00 Individual deposits United States deposits Deposits of H. S. disbursing officers 83, 738.21 Due to other national banks Due to State banks and bankers Notes and bills re-discounted 1, 510.00 188,199. 64 Total $50, 000. 00 Capital .stock paid in 50, 000.00 Total 188,199.64 Merchants' National Bank, Waterville. No. 2306. JOHN WARE, President. Loans and discounts : Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Duetrom State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $238,843.89 $100, 000.00 25, 000. 00 Surplus fund Undivided profits 30, 000. 00 10,444.41 11, 500.00 5.077.37 37.50 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 9,"6o6."6o" 481. 32 505.00 115. 04 3, 265.00 2,448.00 Dividends unpaid 15.00 United States deposits Deposits of U. S. disbursing officers. 121, 811.51 Due to other national banks Due to State banks and bankers 5, 627. 20 Notes and bills re-discounted 7,000. 00 1,125.00 297, 398.12 Total H. D. BATES, Cashier. Capital stock paid in Total 297, 398.12 People's National Bank, Waterville. N. G-. H. PULSIFER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-ho use, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 880. $320, 214. 28 '"" 50,000. 00 7, 000.00 17, 338. 61 1, 889. 74 "io,"6o6."66" 744.57 12, 000. 00 2, 743.25 500, 00 242. 21 9,426.00 559.00 HOMER PERCIVAL, Cashier. Capital stock paid in $200, 000.00 Surplus fund Undivided profits 46, 000. 00 4,395. 83 National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Duo to other national banks Due to State bauks and bankers Notes and bills re-discounted Bills payable 642. 66 123,862.77 6.40 15, 000.00 2, 250.00 434,907. 66 Total 434,907.66 28 REPORT OF THE COMPTROLLER OF THE CURRENCY. MAINK. Ticonic National Bank, Waterville. N. R. BOUTELLE, President. No. 762. AARON A. PLAISTED, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from, other nat ional banks Due from State banks and bankers. Bank'g-house, furniture, andfixturea Other real estate andmortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S $161,404. 05 119.26 25,000.00 2, 877. 67 1,016.21 Capital stock paid in. . 2,000.00 3,910.23 8,810.00 42.00 2,660.00 2,400.00 000. 00 22, 000.00 3,759.45 22, 500. 00 Dividends unpaid 9,000.00 660.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 71, 287. 68 657. 29 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bill* payable 1,125.00 500.00 Total. 220,864.42 Total. $100, Surplus fund Undivided profits. National-bank notes outstanding-. State-bank notes outstanding : 220, 864.42 National Bank, Winthrop. No. 553. CHARLES M. BAILEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks [Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $171,117.16 425.60 25, 000. 00 27, 243.93 J. M. BENJAMIN, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits . 20, 000.00 5, 213. 84 National-bank notes outstanding.. State-bank notes outstanding 22, 500. Dividends unpaid 00 3, 252.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 87, 599. 29 4, 733.77 699. 00 23.67 5,467.00 2,730.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125.00 Total. 238, 565.13 238, 565.13 First National Bank, Wiscasset. No. 1549. H. INGALLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks fractional currency, nickels, cents . Specie Legal-tender notes ~, U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $111, 919. 62 F. W. SEW ALL, Capital stock paid in. Cashier. $100,000.00 5o,"6o6."66 Surplus fund Undivided profits. 30, 000.00 6, 783.09 32, 975. 00 3, 637. 75 1,675. 30 National-bank notes outstanding. State-bank notes outstanding 43, 700. 1, 626. 64 5, 674. 20 800.00 2, 000.00 20.30 1, 200.00 1, 800.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbiirsing officers. 00 978.50 34,117.22 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2, 250.00 215, 578.81 Total. 215, 578.81 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. Connecticut River National Bank, Charlestown. J. G. DINSMOUE, President. No. 537. GEORGE OLCOTT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Dae from other national banks Dae from State banks and bankers Bank'g-house,furniture,and fixtures! Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $135, 961. 80 100, 000. 00 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. Sui te-bank notes outstanding 32, 000. 00 873.18 Individual deposits United States deposits Deposits of U.S. disbursing officers. 40, 379.16 2, 500.00 2,100.00 5.58 1,200.00 1, 560. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 90, 000. 00 5,424.06 5,000. 00 5, 000. 00 Dividends unpaid 4,500.00 j| Total 263,252.34 263, 252. 34 Claremont National Bank, Claremont. J. L. FARWELL, President. No. 596. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned C arrant expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $179, 042.22 GrEO. N. FAR WELL, Cashier. Capital stock paid in. $150, 000. 00 50, 000.00 Surplus fund Undivided profits 66, 000. 00 9,379. 36 79,605.00 42, 553.35 National-bank notes outstanding. State-bank notes outstanding 40, 230. 00 13, 536.29 Dividends unpaid 1, 879.36 1,420. 00 7, 620. 00 41. 32 7, 526.00 1,610.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 121, 474.18 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 2, 250.00 Total. 387, 083. 54 387, 083. 54 Colebrook National Bank, Colebrook. G-EORGE VAN DYKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie ' Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. D ae from Treasurer U. S Total. No. 4041. $101,497.10 2.48 18, 750.00 9, 023. 91 IIAURY F . BAILEY, Cashier. Capital stock paid in , Surplus fund Undivided profits !. ! 2, 882. 41 National-bank notes outstanding-. j State-bank notes outstanding . . . . . |. 16, 875. 00 Dividends unpaid 8,191. 49 Indi vidual deposits "i,"668;79" United States deposits 5, 531. 25 Deposits of U.S. disbursing officers. 101.19 Due to other national banks 20.00 Due to State banks and bankers . . 24. 57 1, 681, 25 Notes and bills re-discounted 1, 872. 00 Bills payable $75, 000.00 | 44, 747. 93 9,042.44 843. 75 148,547.78 !| Total. 148, 547.78 30 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. First National Bank, Concord. No. 318. W. F. THAYER, President CHAS. G-. REMICK, Cashier. Resources. Loan a and diacounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits XJ. S. bonds on hand Stocks, securities, j udgmcnts, etc . . Duo from approved reserve agents Due from other national banks Due from State banks and bankers. Bank g- house, furniture, and fixtures' Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie : Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. Liabilities. $682, 983. 63 12, 698. 22 50, 000. 00 150, 000. 00 6, 400, 00 259,137.50 127, 030. 02 89, 979. 67 10, 000.00 6, 479. 50 23, 390.14 2, 800.00 575.12 19,602.50 19, 700. 00 Capital stock paid in j Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $150, 000. 00 150,000.00 47,151. 83 45. 000.00 Dividends unpaid 966.00 Individual deposits | United States deposits . . -• j Deposits of U. S. disbursing officers.! 50f>, 523. 25 121, 735.40 47, 538. 88 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 394,110. 94 2, 250.00 Total 1, 463, 026. 30 i 1,463.026.30 Mechanicks' National Bank, Concord. EDGAR H. "WOODMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due iroiu State banks and bankers Bank'g-hou8e,furniture,and fixtures Other real estate andmortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2447. $383, 892. 32 1.61 37,500. 00 44, 023. 80 126, 797.68 JAS. MINOT, Cashier. Capital stock paid in j $150,000. 00 Surplus fund Undivided profits. 30, 000.00 26, 892. 07 National-bank notes outstanding.. j State-bank notes outstanding . . . . . I 31, 010. 00 Dividends unpaid i Individual deposits United States deposits Deposits of U. S. disbursing officers. 15,137.65 Due to other national banks "i2,"37L00" Due to State banks and bankers .. 459. 86 28, 231. 20 Notes and bills re-discounted. 1,1:0. 00 Bills payable 285. 00 389, 717. 32 23, 318. 23 1,687.50 Total. 651, 222.62 651, 222. 62 National State Capital Bank, Concord. L E W I S DOWNING, J R . , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-bouse, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house...'... Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 758. $472,621.45 2, 000. 56 50, 000. 00 J. E. FERNALD, Cashier. Capital stock paid in . Surplus fund Undivided profits $200, 000. 00 100, 000.00 28, 577. 57 40, 300.00 National-bank notes outstanding.. 32, 523. O'.\ State-bank notes outstanding . . 1 . . 23,042. 86 Dividends unpaid 45, 000. 00 Individual deposits "" 6," 084." 95 United States deposits Deposits of U.S. disbursing officers. 3, 215.54 Due to other national banks 10, 356. 00 Due to State banks and bankers . . 220. 35 13, 086.00 Notes and bills re-discounted . 6, 400.00 Bills payable 255,019.69 "25," 666." 66' 420.00 58, 083. 48 2,250.00 687,100. Total. 687,100.74 REPORT OF THE COMPTROLLER OF THE CURRENCY. 31 NEW HAMPSHIRE. Derry National Bank, Derry. No. 499. JOHN W. NO YES, President. P. J. SHEPAKD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . „ Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $49, 589.91 25, 000. 00 100. 00 45,143. 00 661. 30 600.00 249. 54 4, 900. 00 19.50 250.00 38.86 3, 545. 75 735.00 Capital stock paid in $60, 000. 00 Surplus fund Undivided profits 9, 850. 00 1, 770. 60 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 21,800.00 519.00 Individual deposits United States deposits Deposits ot'U. S.disbursing officers. 38. 018. 26 Due to other national banks Duo to State banks and bankers Notes and bills re-discounted Bills payable 1,125.00 , Total 131, 957. 86 j 131, 957.86 Cocheco National Bank, Dover. No. 1087. JAMES E. LOTHROP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from othor national banks Due from State banks and bankers. Bank'g- house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . HARRISON HALEY, Cashier. $204, 678. 86 J Capital stock paid in. 1,479.21 37, 500. 00 Surplus fund Undivided profits 15, 589. 65 10, 612.45 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 1, 200.00 ""647.91 Individual deposits United States deposits Deposits of U. S.disbursing officers. $150,000.00 10, 000.00 4,300.45 33, 750.00 838.68 74. 891.43 2, 631. 58 *G," 047.' 66' 2,936.44 500.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 1, 730.04 10,000. 00 1, 687. 50 285, 510. 60 Total. 285, 510.60 Dover National Bank, Dover. OLIVER "WYATT, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house.furniture,and fixtures Other real estate andraortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Eills of other national banks Practional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1043. ISAAC P. ABBOTT, Oashier. $110,068.10 i Capital stock paid in . $100,000.00 77.03 100,000. 00 Surplus fund 20,000.00 7,958.31 Undivided profits. 28,400.48 National-bank notes outstanding.. 6, 999. 35 State-bank notes outstanding Dividends unpaid. Individual deposits 137.10 United States deposits 20, 389. 58 Deposits of U.S.disbursingofficers. 2, 897. 25 Duo to other national banks 2, 786.00 Due to State banks and bankers. 8,200.00 82, 660.00 1,088.50 80,887.59 57.51 5, 870. 00 Notes and bills re-discounted . 2, 212.00 Bills payable 4, 500. 00 292, 594.40 Total . 292,594.40 32 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. Strafford National Bank, Dover. No. 1353. WILLIAM S. STEVENS, President. E. R. BROWN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents.. Due from other national banks. ... Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and raortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit * Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $453, 682. 93 266,666.66 Capital stock paid in | Surplus fund Undivided profits $200, 000. 00 75, 000.00 7, 892.23 40, 000. 00 15, 089. 87 National-bank-notes outstanding-. State-bank nofes outstanding 39, 664. 58 Dividends unpaid 735. Individual deposits United States deposit* Deposits of U.S.disburslngofficers 455.63 1, 623.00 500. 78 15, 700. 00 2, 000.00 179, 800. 00 1, 803. 00 00 312, 486. 56 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 9, 000.00 777, 716. Total. 79 777, 716. 79 Monadnock National Bank, East Jaffrey. PETER UPTON, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand stocks, securities, judgments, etc.. Due from approved reserve agents . Due from other national banks Due from State banks and bankers.. Bank'g-house, furniture, and fixtures Other real estate and mortfi's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total No. 1242. $116, 920. 71 Capital stock paid in 70.13 25, 000. 00 Surplus fund Undivided profits 23, 862. 30 9, 989. 69 C. L. RICH, Cashier. $100, 000. 00 1.0, 054.16 5, 708. 03 National-bank notes outstanding.. State-bank notes outstanding 22, 200.00 Dividends unpaid. 6, 869. 94 470.30 6, 000.00 1,261.27 2, 255. 00 51.43 3,226. 50 703. 00 914. 59 Individual deposits United States deposits Depositsof U.S. disbursing officers. 43,142. 70 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 6, 785.99 1,125.00 197, 805.47 Total. 197, 805.47 National Granite State Bank, Exeter. B. F. FOLSOM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from Statebanksand bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, uickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1147. CHAULES E. BYINGTON, $173, 741. 70 j Capital stock paid i n . ""166,666.66 81, 230. 00 22, 077.59 Cashier. $100,000.00 Surplus fund Undivided profits. 20, 000.00 10, 594.32 National-bank notes o u t s t a n d i n g . State-bank notes outstanding 88, S60. 00 Dividends unpaid 4«4. 00 5, 000. C O 1, 373.39 25, 000. 00 175. 40 6, 892.00 57.07 8, 970.00 Individual deposits United States deposits Depositsof U. S.diebursing officers. 209, 098. 83 Due to other national b a n k s Due to State batiks aod b a n k e r s . . Notes and bills re-discounted. Bills payable 4,500.00 429, 037.15 Total. 429,037.15 REPORT OF THE COMPTROLLER OF THE CURRENCY. 33 WE W H A M P S H I R E . Farmington National Bank, Farxningtou. JOHN H. BARKER, President No. 2022. JAMES B. EDGKRLY, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation. .. TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . D lie from Treasurer TJ. S Liabilities. 5125, 446, 28 : !: Capital stock paid in 4.19 ' 25, 000. 00 Surplus fund Undivided profits 20, 000.00 National-bank notes outstanding.. 3, 891.98 State-bank notes outstanding Dividends unpaid •r)00.00 3, 450. 73 I Individual deposits p 971. 09 ! ! U i t d S t t deposits United States d i t 750.00 Deposits of U. S. disbursing officers 78.45 ; Due to other national banks 4, 253.00 Due to State banks and bankers... 62.07 5, 455. 50 Notes and bills re-discounted. 600. 00 Bills payable 12, 500. 00 3, 367. 50 22, 500.00 28.00 50, 213.69 2, 979. 70 1,125.00 Total. 191,588.89 j Total. $100, 000.00 191, 588. 89 First National Bank, Francestown. M. L. MORRISON, President. No. 576. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks. . . . Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other rational banks Fractional currency, nickels, cents. Specie . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S "ioo," ooo. bo" 42, 550. 87 530.18 899.10 12, 506. 25 26.90 215. 00 6.95 708. 30 860. 00 $100, 000. 00 Surplus fund Undivided profits 20, 000. 00 7,701.46 National-bank notes outstanding.. State-bank notes outstanding 90, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 868. 50 11, 700. 85 307. 38 4, 500.00 230, 578.19 Total. G-. W. CUMMINGS, Cashier. $67,77 4.64 Capital stock paid in. Total. 230,578.19 Franklin National Bank, Franklin. A. W. SULLOWAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks -. Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. H. Ex. 3- FRANK PROCTOR, Cashier. No. 2443. Capital stock paid in $100, 000. 00 $155. 6(52. 62 ' 447. 37 50, 000.00 13,700.00 26, 099. 61 15, 000.00 " " 9 1 8 . " 16* 4, 063. 07 6, 062. 00 28. 87 3, 242.45 2, 000. 00 Surplus fund Undivided profits 7, 511.14 24, 841. 64 National-bank notes outstanding-. State-bank notes outstanding 45, 000, 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 66.00 82, 457.12 19, 598. 25 2, 250. 00 279, 474.15 Total. 279, 474.15 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1* E W H A M P S H I R E . Great Falls National Bank, Great Falls. A, A. PERKINS, President. . No. 1180. J. A. STICKNEY, Cashier. Resources. Loans and discounts O verdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents . Dud from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $145,838.42 84.73 37, 500. 00 63, 000.00 7,243.40 Capital stock paid in. $150, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 855. 54 609.68 4,230.79 370.00 14.86 3, 231. 55 2,805.00 40, 000. 00 3, 407.74 33, 750. 00 844.00 Individual deposits United States deposits Depositsof U.S.disbursing officers.' 39,469. 73 Due to other national banks j Duo to State banks and bankers.. j Notes and bills re discounted . Bills payable 1, 687. 50 267, 471.47 Total. 267, 471.47 Somersworth National Bank, Great Falls. EDWARD HARGRAVES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 1183. $179, 752.15 452.22 100, 000.00 $100, 000.00 5, 788. 25 17, 243.13 Surplus fund Undivided profits National-bank notes outstanding.. State-bank.notes outstanding Dividends unpaid 20,000.00 32, 354. 86 90,000.00 1, 304. 05 Individual deposits United States deposits Depositsof U.S.disbursingofncers. 81,176. 60 7,166*31' 3, 890. 00 43.35 1, 745.00 2, 300.00 647. 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable "4,566.66 Total. 324,178.46 Total. H. C. GILPATRICK, Cashier. Capital stock, paid in 324,178.46 Dartmouth National Bank, Hanover. NEWTON S. HUNTINGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CHAS. P . CHASE, Cashier. No. 1145. $93,267.48 "is," 666.66 11, 929. 00 28, 277.68 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $50,000.00 18,000.00 5, 014. 33 12, 500.00 Dividends unpaid. 38.80 1,160. 00 47.61 6, 850. 00 2, 000. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 73, 731. 24 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 075. 00 159, 245. 57 Total 159, £45.57 REPORT OF THE COMPTROLLER OF THE CURRENCY. 35 NE W HAMPSHIRE. First National Bank, Hillsborough. JAMES F . BRIGGS, President. No. 1688. JOHN C. CAMPBELL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents . Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg'3 owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $38,246.46 99. 29 50, 000. 00 Capital stock paid in Surplus fund Undivided profits 10, 000. 00 2, 485. 02 32, 646.11 National-bank notes outstanding.. 30, 980. 93 State-bank notes outstanding 45, 000. 00 Dividends unpaid . 807. 59 Individual deposits United States deposits Deposits of U. S. disbursing officers 62, 200.25 "6,212." 71 "4," 533.' 00' 4.18 3, 680.00 225. 00 Due to other national banks Due to State banks and b a n k e r s . Notes and bills re-discounted. Bills payable 2, 250. 00 169, 685. 27 Total. $50, 000. 00 Total. 169, 685.27 Ashuelot National Bank, Keene. No. 946. GEORGE A. WHEELOCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid. - Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S $182, 670. 36 88.04 150, 000. 00 35, 340. 04 8, 801. 23 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 230.29 2, 424. 36. 3, 314. 4, 564. 00 44 00 00 135,000. 00 48.00 6, 500. 00 8, 370. 52 $150, 000. 00 30, 000. 00 19, 099. 49 Surplus fund Undivided profits. Individual deposits United States deposits Deposits of U.S. disbursing officers. 60, 937.18 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable , 1,061.80 15, 942. 45 6, 750. 00 3, 000.00 Total. 412, 088. 92 Total. HENRY O. COOLIDGE, Cashier. Capital stock paid i n . 412, 088.92 Cheshire. National Bank, Keene. JOHN H. ELLIOT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds.to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mort'gs owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie » Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 559. $235, 238.10 10,050.13 50, 000. 00 ROYAL H. PORTER, Cashier. Capital stock paid in. 84, 502. 00 13, 540. 87 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 12, 900.00 $200, 000. 00 50, 000. 00 28,162.10 Dividends unpaid. 794. 30 Individual deposits United States deposits Deposits of U. S. disbursing officers 45, 000.00 101, 302.65 "l2 "222." 22 2,185. 00 30.34 6,440. 75 1, 000. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted., Bills payable , 6, 688. 96 2, 250. 00 431,153. 71 Total. 431,153.71 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. Citizens' National Bank, Keene. OBED G. DORT, President. N o . 2299. H. S. MARTIN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total $109, 031. 26 3, 684.05 100, 000. 00 77, 008. 29 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 20, 000. < 0 19, 70.'. 97 National-bank notes outstanding.. State-bank notes outstanding 87, 000. 00 Dividends unpaid 443.72 1, 369. 84 3G6. 00 64.79 1,716.05 500. 00 32. 5) Individual deposits United States'deposits Deposits of U. S. disbursing officers. 56, 254. 78 Due to other national banks Due to State banks and bankers .. 679. 09 15, 014. 66 Notes and bills re-discounted 4, 500.00 Total 298, 684. 00 298,681.00 Keene National Bank, Keene. No. 877. EDWARD JOSIJN, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currencv, nickels, cents. Specie 1 Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. R. BEAT,, Cashier. $148,943.97 i Capital stock paid in 10, 105. 00 I 100,000.00 j Surplus fund 99, 340.00 1, 666. 30 737. 40 $100, 000. 00 Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. 20, (Of). CO 55, 8v>7. 98 90, 000. 00 523. 00 Individual deposits United States deposits Deposits of U. S. disbu rsing officers 97, 01:;. 48 Due to other national banks 5, 375. 00•I Due to State banks and bankers . 1. 50 8, 870. 00 Notes and bills re-discounted. 275. 00 Bills payable 12, O."9. 94 6, 331. '29 2,065.92 ' 4, 445. 60 Total. 381. 825. 69 381,825.69 Laconia National Bank, Laconia. JOHN C. MOULTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bauk'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 1645. $247, 782. 51 927. 68 50, 000. 00 11,250.00 25,780. 5 L O. W. TIBUKTTS, Cashier. Capital stock paid in $ 150, 000. 00 Surplus fund Undivided profits. 30, 000. 00 9, 585. 46 National-bank notes outstanding.. State-bank notes outstanding 43, 770. 00 Dividends unpaid 20,813.38 " i,856."n Individual deposits United States deposits Deposits of U. S. disbursing officers. 149, 688. 28 15, 272. 26 2,146. 00 540. 25 15.677.50 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 11,252.46 2, 250. 00 394, 296.20 Total . 391, 29G. 20 REPORT OF THE COMPTROLLER OF THE CURRENCY. 37 NEW H A M P S H I R E : . People's National Bank, Laconia. EDMUINTD LITTLE, Cashier. No. 4037. ALUERT G. FOLSOM, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks . . . Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C liecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie .". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $68, 384.84 12, 500. 00 1, 861.12 Surplus fund Undivided profits 1,907.08 National-bank notes outstanding.. State-bank notes outstanding 11,225.00 Dividends unpaid 585. 53 3, 687. 50 284.50 3, 940. 00 229.88 3, 389.40 12,170. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 49, 202. 69 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted 562. 00 107, 594. 77 Total $45, 260. 00 Capital stock paid in Total 107, 594. 77 Lancaster National Bank, Lancaster. GEORGE R. EATON, President. N o . 2600. Loans and discounts Overdrafts U. S. bonds to secure' circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, ami fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total.. $213, 620. 59 107. 16 32, 000. 00 24, 704. 92 F. D. HUTCHINB, Cashier. Capital stock paid in. 25, 000. 00 5, 714. 09 National-bank notes outstanding.. State-bank notes outstanding 28, 800. 00 Dividends unpaid 6, 000. 00 1, 097. 82 6, 000.00 10.00 34.00 35.6G 7, 970. 20 3,441.00 $125, 000. 00 Surplus fund Undivided profits Individual deposits United States deposits Depositsof U.S.disbursing officers. 4.00 111,943.26 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1, 440. 00 296, 461.35 Total. 296, 461. 35 National Bank, Lebanon. LEWIS C. PATTEE, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie * Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 808. C. E. COOPEE, Cashier. $188,456.18 Capital stock paid in. $100, 000.00 294.53 25, 000.00 Surplus fund 22, 500. 00 12, 969.68 Undivided profits 11, 473. 00 National-bank notes outstanding.. 22, 500. 00 19, 9ol. 80 State-bank notes outstanding Dividends unpaid . 3, 500. 00 708. 24 5, 700. 00 520. 41 3,012.00 100.26 4, 022.00 3,000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 136. 50 92, 58:3.11 16, 036. 31 """i47." 82 1,125. 00 266, 873.42 Total. 266,873.42 38 REPORT OF THE COMPIROLLER OF THE CURRENCY. NEW HAMPSHIRE. Littleton National Bank, Littleton. H. K. HALLETT. Cashier^ No. 1885. O. C. HATCH, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, aDd fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house ... Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. Liabilities. $355, 311.23 50, 000." 00* 21,000.00 1B8, 737.40 5, 823.28 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $150,000.00 30, 000.00 48,128. 27 45, 000. 00 Dividends unpaid - 92.00 Individual deposits 314, 738.45 10, 000. 00 *""862." 58" United States deposits 35.00 1, 649 00 93.99 11,628.25 2, 750.00 ^Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted.. Bills payable 12,122, 01 2,250.00 600, 080. 73 600, 080. 73 Total. First National Bank, Manchester. FREDERICK SMYTH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. CFIAS. F. M O B RILL, Cashier. No. 1153. $150, 000.00 Capital stock paid in. 30, 000. 00 Surplus fund 3, 099.24 Undivided profits . 39, 900.00 National-bank notes outstanding.. 130, 000. 00 51,174. 63 State-bank notes outstanding $167, 306.77 307. 09 150, 000. 00 100, 000. 00 15, 000. 00 2, 240. 90 14,300.00 5, 883.29 10, 309. 00 198. 76 23, 817.00 Dividends unpaid. 1,508. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 132, 014.83 98, 034.13 12, 219.96 Due to other national banks Due to State banks and bankers .. 30, 371.28 Notes and bills re-discounted . Bills payable 6, 750. 00 Total. 587, 247. 44 587, 247.44 Second National Bank, Manchester. ARETAS BLOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's ownod Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2362. $110, 221.17 1,171.93 50,000. 00 8, 588. 06 38, 203. 50 60,000.00 ( 5,500.00 1 2,322,00 : 3, 732. 00 60. 31 4, 775. 50 1, 000. 00 JOSIAII CARPENTER, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits ot U.S. disbursingofficers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable $100, 000.00 9, 575. 00 8, 679. 87 45, 000.00 3, 015. 00 120,344.89 1,209.71 2, 250. 00 287,824.47 I Total. 287,824.47 REPORT OF THE COMPTROLLER OF THE CURRENCY. 39 NEW HAMPSHIRE. Amoskeag National Bank, Manchester. MOODY CURRIER, President. . No. 574. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits XJ. S. bonds on hand Stocks, securities judgments, etc.. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks....... Fractional currency, nickels, coats Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. $572,935.11 950. 79 100, 000. 00 31, 287. CO 162, 288. 52 4, 519. 07 7*909*91" 22, 286. 00 325. 76 13, 371.60 12,000.00 G. BYRON CHANDLKR, Cashier. Liabilities. Capital stock paid in Surplus fund Udivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Duo to other national banks Due to State banks and bankers... Notes and bills re-discounted . Bills payable $200,000. 00 42, 000.00 25, 777. 20 88, 280. 00 24.00 340,823. 51 132, 303. 31 103,166 24 4, 500, 00 932, 374. 26 Total. 932,374. 26 Manchester National Bank, Manchester. NATHAN PARKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Dae from Treasurer TJ. S No. 1059. $392, 211. 30 162. 31 100, 000. 00 26,400.00 155, 478.66 3, 659.64 1, 009.09 (5, 879. 93. 34, 375. 1, 500, 00 13 50 00 Surplus fund . Undivided profits $150,000.00 '. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits DepositsofU.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 60 000 00 56, 485.52 90, 000. 00 305. 00 309,171.72 37, 215. 96 27, 513. 43 4, 500.00 730,691.63 Total. WALTER M. PARKER, Cashier. Capital stock paid in Total 730, 691.63 Merchants' National Bank, Manchester. JAMES A.WESTON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtureOther real estate and mortg's owned Current expenses and taxes paid... Premiums on 0. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. No. 1520. D. W. LANE, Cashier. $150, 000.00 Capital stock paid in Surplus fund 30, 000. 00 24,955.87 Undivided profits 000. 00 National-bank notes outstanding-. 135, 000. 00 734. 35 State-bank notes outstanding $263, 916. 78 981. 98 150, 000.00 65, 38, Dividends unpaid 4, 079. 61 *5,'4i5.'i2 2, 336. 00 7.05 11,613.25 1, 000. 00 1,014.00 Individual deposits United States deposits Deposits ol'TJ. S. disbursing officers. | 139,367.66 Due to other national banks I Due to State banks and bankers . Notes and bills re-discounted. Bills payable 69, 401. 61 6, 750.0 549,829.14 Total. 549, 829.14 40 REPORT OF THE COMPTROLLER OF THE CURRENCY. WEW H A M P S H I R E . Souhegan National Bank, Milford. No. 1070. C. S. AVEPJLL, President. F. T. SAWYER, Cashier. Liabilities. Resources. $183, 645.15 Capital stock paid in Loans and discounts Overdrafts '"*25,'o66.'6o" Surplus fund U. S. bonds to secure circulation. U. S. bonds to secure deposits Undivided profits IT S. bonds on hand 18.100. 00 National-bank notes outstanding Stocks, securities judgments, etc.. 22, 943. 38 State-bank notes outstanding Due from approved reserve agents Due fron other national banks ... Dividends unpaid Due from State banks and bankers 3. 000. 00 B.ink'g-house, furniture, and fixtures Individual deposits Ot her real estate and mortg's owned '"*868. 51 1 United States deposits 1 Current expenses and taxes paid . 6, 000. CO i, Deposits of U. S. disbursing officers Premiums on U. S. bonds 5,477.11 C hecks and other cash items Duo to other national banks Exchanges for clearing-house 4,1-23. 00 Due to State banks and bankers 25ills of other national banks 54.44 Fractional currency, nickels, cents 12, 959. 25 Notes and bills re-discounted. Specie 2,130. 00 Bills payable Ijogal-tender notes U S. certificates of deposit Iledemption fund with Treas. U. S 1,125.00 Due from Treasurer TJ. S 285,425.84 Total. Total . $100, 000. 00 45, 491. 90 3, 077. 2G 22, 500. 00 1, 387. 00 112, 969. 68 285, 425. 84 First National Bank, Nashua. GEORGE A. EAMSDELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Ot her real estate and mortg's owned Current exponses and taxes paid... P remiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 2741. $197, 877.17 5, 403. 05 25, 000. 000 14,140. 00 10, 089. 72 959. 10 1,201.51 15, 000. 00 4, 000.1)0 2, 468. 48 3, 383. 00 2, 063. 10 10, 000. 00 J. A. SPALDING, Cashier. $100, 000. 00 Capital stock paid in Surplus fund Undivided profits. National-bank notes outstanding State-bunk notes outstanding 7, 500. 00 G. 693. 40 22, 500. 00 1, 093. 65 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers - 3 56,078.52 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1,125.00 293, 865. 57 Total . 293, 865. 57 Second National Bank, Nashua. JEREMIAH \V. WHITE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total No. 2240. $219, 789. 65 Capital stock paid in 2,148.65 50,000. 00 Surplus fund F. A. EATON, Cashier. $150, 000. 00 Undivided profits 36, 013. 07 56, 459. 97 10, 000. 00 1, 386. 32 17, 676. 34 2, 706. 00 71.40 3, 758. 55 10, 000.00 16, 500. 00 7, 621. 03 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 381. 50 192, 757.42 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable . . . 2, 250. 00 412, 259.95 Total 412,259.95 REPORT OF THE COMPTROLLER OF THE CURRENCY. ^fEW 41 II A HI P S H I R K . Indian Head National Bank, Nashua. C. II. CAMPBELL, President. No. 1310. FRANK A. MCKEAX, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Duo from other national banks Due from State banks and bankers Bank'g-houso,furniture,and iixtures OMior real ('-state and mortg's owned Current expenses and taxes paid... Premiums OJ U. S. bonds Checks and other cash items Exchanges for clearing-house . . . . . Bills of other national banks Fractional currency, nickels, cents. Specie Legal»tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT. " Liabilities. $342,110.99 1,159.02 70, 000. 00 Capital stock paid in $120, 000.00 Surplus fund Undivided profits. National bank notes outstanding. State-bank notes outstanding 12, 500. 00 12,251.22 ! Dividends unpaid 27, 000. 00 35, 470.90 61, 090. 00 1,144. 00 Individual deposits 1, 948. 38 United States deposits Deposits of U. S .disbursing officers 230, 208. 33 15, 285,00 Duo to other national banks Due to State banks and bankers.. 4,019.18 312.18 15,800.00 5, 000. 00 "Motes and bills re-discounted. Bills payable Total. New Market National Bank, New Market. JOSEPH C. BURLEY, President. No. 13U0. Loans and discounts j ! Overdrafts U. S. bonds to secure circulation... j U. S. bonds to secure deposits ' U. S. bonds on baud Stocks,securities, judgments, etc — Duo trom approved reserve agents.; ! Due from other national banks Due from State banks and bankers. Bank'g-house.furniture,and fixtures Other ieal estate and rnortg's owned C urrent expenses and taxes paid.. Premiums on U. S. bonds i C iiecks and other cash items Exchanges for clearing-house | ! Bills of other national banks Fractional currency, nickels, cents.' Specie i Lbgal-tender notes | IT. S. certificates of deposit j Redemption fund with Treas. U. S .! Due from Treasurer U. S ! $80, 000.00 80, 00 J. 00 jj Surplus fund ' i Undivided profits . Xational-bank notes oucstanding. 4, 001.1.2 Si;iU-bau«i notes outstanding . . . . ... 1, 700.00 Dividends unpaid G 00 j. 00 , 3,450. 00 9. r,i 2, 0>>7, oo 000. 00 000. 00 813. 2G 71, 500. 00 210. 00 32 542.05 I Individual deposits United States deposits DeposUsof U.S. disbursingofjeors Due to other national b a n k s Due to Stare banks and bank era .. Xotes and bills re-discounted I .Jills payable 3, (5LK). 00 Total. 19 o, 0o5. 31. Total. S. A. HALEY, Cashier. $94,052.70 |j C a p i t a l stock p a i d i n . 190,005.31 First National Bank, Newport. DEXTER RICHARDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S bonds to secure deposits TJ. S. bonds on hand StocKs, securities, judgments, etc Due from approved reserve agents Due from other national banks Due from State banks and bankers Bauk'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for cJ ear ing-house - . . Bills of other national"banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit ... Redemption fund with Treas. U. S . Due from Treasurer U. S Ttftal Iso. 888. F. W. LEWIS, Cashier. $118,313.40 i Capital stock paid in i $100, 000. 00 100, 000. 00 j; Surplus fund j; Undivi ded profits 21,250.00 |j 32,090.21 i 25, 000. 00 5, 44 L. 94 'National-bank notes outstanding.. State-bank notes outstanding ..... J| Dividends unpaid . . 703.00 |i Tndividual d e p o s i t s 51.35 || ITnitc-d S t a t e s deposits Depodits of U. S. d i s b u r s i n g o u l c e r s . 88, 400. 00 806. 50 40, 059. 30 Due to other national banks •2,075.00 j Due to State banks and bankers 31.21. I 0,810. 00 1 'Notes and bills re-discounted. 1 5 .JO. 00 Bills payable , .. 23, 682.46 4,530.00 289, 890. 20 Total. 289, 390.20 42 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW HAMPSHIRE. Citizens' National Bank, Newport. No. 3404. C. M. EMERSON, President. P. A. JOHNSON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. -U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid. - Premiumson U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $86,176.08 83.03 12, 500.00 12,400.00 19, 336.97 581.90 1, 600.00 474.57 2, 800.00 2,163.65 2, 345.00 34.17 3,412.40 2, 000.00 $50, 000. 00 Capital stock paid i n . Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 3, 000. 00 3. 273. 44 11, 250.00 174.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 69, 313.43 9, 500. 00 562.50 20.00 146, 510.87 146, 510. 87 Total. First National Bank, Peterborough. No. 1179. F. LIVINGSTON, President. Loans and discounts Overdrafts . . ... U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U S bonds on hand .. Stocks, securities, judgments, etc -Due from approved reserve agents. Duo from other national banks Duo from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U S certificates with Treas. Redemption fund of deposit U. S. Due from Treasurer 0. S Total $142,487. 56 16.9L 30, 000.00 16,453. 75 18,113.04 1, 000.00 827.56 6, 900.00 459.50 4,169.66 34.28 3 285.60 W. Gr. LIVINGSTON, Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 20, COO. 00 20, C80. 48 National-bank notes outstanding.. State-bank notes outstanding 26, 280. 00 492. 00 1,168. 99 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 56, 475. 73 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 1, 350.00 225,097.20 Total 225, 097.20 Pittsfield National Bank, Pittsfield. CHARLES H. CAKPENTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. JOHN A. Goss, Cashier. No. 1020. $60,571.59 875.81 50, 000.00 Capital stock paid in. 11,631.40 Snrplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 561. 87 10, 000.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. $50, 000. 00 10.000. 00 2, 213. 99 45, 000.00 Dividends unpaid 500.00 6.54 160.00 1,000.00 30,313.22 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2, 250. 00 137,557.21 Total. 137, 557.21 REPORT OF THE COMPTROLLER OF THE CURRENCY. 43 NEW H A M P S H I R E . Pemigewasset National Bank, Plymouth. GEORGE H. ADAMS, President. No. 2587. R. E. SMITHS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks . . . Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $144, 716. 42 Capital stock paid in Surplus fund Undivided profits 6, 5U0.00 10, 412.35 16, 950. 00 17, 466.46 National-bank notes outstanding .. State-bank notes outstanding . . 18, 000.00 8, 200. 00 *"960.'96" 276. 76 220. 00 103.58 6, 027. 55 2, 700. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingoflicers. 108, 609.38 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 900.00 Total. 218, 521. 73 Total. $75, 000. 00 20,000. 00 218,521.73 First National Bank, Portsmouth. EDWARD P . KIMBALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house.. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 141, 873. 40 50,197. 82 9,393. 64 2, 550. 00 4, 000.00 Capital stock paid in. $300,000.00 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 100, 000. 00 8, 216. 94 45, 000.00 548. 00 Individual deposits United States deposits , Deposits of U.S. disbursing officers 8.344.10 Due to other national banks 8, 892. 00 Due to State banks and bankers .. 242.00 12, 725.00 Notes and bills re-discounted. 5, 000. 00 Bills payable 360,106. 41 92,175.52 17,233. 31 32, 435.00 3,165.4'2 2, 250. 00 958,880.60 Total. C. A. HAZLETT, Cashier. No. 2672. $562, 770. 63 642. 01 50, 000.00 100, 000.00 Total. 958,880. 60 National Mechanics and Traders' Bank, Portsmouth. Joiix SISE, President. No. 401. Loans and discounts $435,323.66 Overdrafts 356.37 U. S. bonds to secure circulation... 50, 000.00 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. 61,200.00 Duo from approved reserve agents. 9,783.56 Due from other national banks — Due from State banks and bankers Bank'g-house, furniture, and fixtures 10,000.00 Other real estate and mortg's owned Current expenses and taxes paid... 3, 619.70 Premiums on U. S. bonds 1, 625.00 C hecks and other cash items 33. 50 Exchanges for clearing-house Bills of other national banks 2,250.00 Fractional currency, nickels, cents. 210.30 Specie '. 9, 623. 00 Legal-tender notes 5, 000.00 U. S. certificates of deposit Redemption fund with Treas. U . S . 2,250.00 Due from Treasurer U. S Total. 591,275.09 J . p . BARTLETT, Cashier. Capital stock paid in $300,0C(UH) Surplus fund Undivided profits Undivided profits 60, 000. 00 12, 909.43 National-banR notes outstanding.. outstanding.. State-bank notes outstanding 45,000. 00 Dividends unpaid 574. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 170, 703. 21 Due to other national banks " ~ - bankers . . Due to State - - and - banks 2, 088. 45 Notes and bills re-discounted . Bills payable Total. 591, 275. 09 44 REPORT OF THE COMPTROLLER OF THE CURRENCY. I E W II A ME P S H I R E . V New Hampshire National Bank, Portsmouth. E. A. PETERSON, President. No. 1052. Resources. Loans and discounts Overdrafts -» U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Otherreal estateand mortg's owned C urrent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $320,199. 67 1,144. 54 50,000.00 30, 000. 00 31, 638. 75 105,171.08 1,761.93 6.446. 00 227. 27 13, 805.00 12, 000. 00 L. S. BUTLER, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. $100, 000. 00 30, 000. 00 6,672.18 45, 000.00 163. 00 393, 854. 27 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2, 250. 00 Total. 575, 689. 45 575, 689.45 Rockingham National Bank, Portsmouth. JOHN J. PICKERING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from Stale banks and bankers Bank'g-house, furniture, andfixtures Otfrer real estSle and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house . . . Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U, S No. 1025. $200, 000. 00 Surplus fund Undivided profits 40, 000. 00 48,815.42 4, 003.54 5,666.6t> 40, 000. 00 7, 837. 06 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 177, 540. 00 4, 533. 00 472. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 104, 863.09 1, 481. 99 Due to other national banks 2, 086 00 Due to State banks and bankers . 38.19 5, 568. 50 Notes and bills re-discounted . Bills payable 9, 000. 00 535, 245.15 Total. JOHN P. HAUT, Cashier. Capital stock paid in. Total. 535 245.15 Rochester National Bank, Rochester. JOHN MCDUFFEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks. ... Duo from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2138. $107,332.18 19.17 12,500.00 3, 000. (JO 13,135. 50 H. M. PLUM KR, Cashier. Capital stock paid in 10, 000. 00 1, 855. 45 National-bank notes outstanding State-bank notes outstanding . . . 11, 250. 00 Dividends unpaid 334. 35 Individual deposits "*672.27 1,700.00 4,441.44 9, 445. 00 251. 62 6,217.05 3,100. 00 $50, 000. 00 Surplus fund Undivided profits United States deposits DepositsofU.S. disbursing officers. 320. 00 88, 674. 44 Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 502. 50 162,711.08 Total. 162,711.08 REPORT OF THE COMPTROLLER OF THE CURRENCY. 45 N E W H A M P S II I l i J . G Citizens' National Bank, Tilton. WILLIAM T. CABS, President. No. 1333. T. CABS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits. -. U. S. bonds on hand Stocks, securities,,judgments, etc . Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $90,158.10 Capital stock paid in. $70, 000.00 "'76,'666."66' Surplus fund..: Undivided profits . . . . 10, 500. 00 4, 739. 46 National-bank notes outstanding.. State-bank notes outstanding . . 60, GOO. 00 35,511.40 Dividends unpaid. 139. 50 7,006.06 638. 40 4, 000.00 4, 021. 08 2, 098. 00 107. 78 4,812.20 1, 300. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 75, 854. 66 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2,150. 00 221, 833. 62 Total. 221, 833. 62 Winchester National Bank, "Winchester. EDWARD C. THAYER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . XT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. H. ABBOTT, Cashier. No. 887. $238, 382. 55 630.30 50,000. 00 26,153. 57 534. 39 3,000.00 750, 00 740. 89 9, 000.00 185.42 Capital stock paid in. $200,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 40, 000.00 6, 200.11 44, 080.00 138. 00 Individual deposits United States deposits Depositsof U.S.disbursing officers. Due to other national banks "2,~66(h66" Due to State banks and bankers . . 116.62 ] 3, 666. 60 Notes and bills re-discounted 3, 206. 00 Bills payable 46,109. 96 4,090. 27 2,250. 00 340, 618. 34 Total . 340,618. 34 Lake National Bank, Wolf borough. J . W. SPRINGFIELD, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. o. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total No. 1486. $154,191.35 C HAS. F . PARKER, Cashier. Capital stock paid in T -. $125, 000.00 50,000. 00 Surplus fund Undivided profits 19, 500. 00 15, 780.94 National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 15,493. 27 Dividends unpaid 6, 500.00 Individual deposits United States deposits 10,000.00 i Deposi ts of U. S. disbursing officers. 1,768.51 : Due to other national banks 3,511.00 Due to State banks and bankers . . 40.48 849.70 Bills "navable 354. 00 38,969.37 2, 250. 00 244, 604.31 Total 244,604.31 46 EEPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. National Bank, Barre. LEONARD F . ALDRICH, President. No. 2109. F. Gr. How LAND, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits XJ. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Duo from other national banks Duo from State banks and bankers. Bank'g house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes X . S. certificates of deposit T Redemption fund with Treas. XJ. S. Due from Treasurer X . S T Total $240, 668.40 287. 04 35, 000. 00 32, 500.00 12, 514. C6 16, 594. 94 2, 364.46 1, 000.00 2.500. 00 1, 062. 63 2,000.00 835. 26 Capital stock paid in .' $100, 000.00 Surplus fund Undivided profits 20, 000. 00 13,165. 59 National-bank notes outstanding.. State-bank notes outstanding 29, 700. 00 Dividends unpaid 22. 50 Indi vidual deposits United Statos deposits Deposits ofU.S.di.sbursing officers. 197,618.2.'! Due to other national banks Due to State banks and bankers.. 53.93 4, 749. 00 6, 801. 00 Notes and bills re-discounted Bills payable . . . 1,575.00 Total 360, 506. 32 360, 506.32 Barton National Bank, Barton. H. K. DEWEY, Cashier. No. 2290. AMORY DAVISON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture,and fixture? Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Total. $188,167.84 5, 000. 00 15,450.97 Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding . State-bank notes outstanding-.... Dividends unpaid 1, 500.00 """797.19 3, 550. 00 196.14 105.00 100. 40 4, 873. 25 3,500.00 $150, 000. 00 14, 700.00 3, 622. 39 33, 050. 00 180. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 60, 875. 90 Due to other national banks Duo to State banks and bankers. Notes and bills re-discounted Bills payable 1,687. 50 Total . 262,428.29 262,428.29 National Bank, Bellows Falls. JAMES H. WILLIAMS,-President. Loans and discounts Overdrafts U. S. bonds to secure circulation. - U. S. bonds to secure deposits U. S. bonds on. baud Stocks, securities, judgments, e t c line from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixture? Other real estate and raortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total.. No. 1653. $170, 709. 52 1, 348. 62 100, 000. 00 PRESTON II. IIADLEY, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided \ rofits 20, 000. 00 35, 691.49 2, 900.00 69, 281.57 National-bank notes outstanding. State-bank notes outstanding 89, 090.00 3, 434. 00 20, 000. 00 15, 000.00 Dividends unpaid 1, 577.16 22, 375.00 7,375.19 8,746.00 19, 237.69 4,130.00 Individual deposits United States deposits Deposits ofU.S.disbursing officers 877. 50 198, 087. 76 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 4, 500. 00 447,180.75 Total . 447,180.75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 47 VERMONT. First National Bank, Bennington. LUTHER E. GRAVES, President. N o . 130. GEO. F. GRAVES, Cashier. Liabilities. .Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $359,617.23 1,161.25 110, 000,00 Capital stock paid in. $110,000.00 Surplus fund Undivided profits 27,000.00 | National-bank notes outstanding.. 24, 531. 56 j State-bank notes outstanding 335.58 j Dividends unpaid 5, 000. 00 Individual deposits United States deposits .. 1,216*56 Deposits of U. S. disbursingofficers. 4, 750. 00 99. 23 15, 436.00 10, 870. 00 22, 000. 00 40, 953.94 97, 490.00 289, 012. 86 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 5, 510. 61 4, 950. 00 564,967.41 I I Total. 564, 967.41 Bennington County National Bank, Bennington. CHARLES THATCHER, President. Loans and discounts Overdrafts TJ,. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furiiiture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2395. $174,121. 86 93. 82 25,000.00 7, 303.40 600. 51 " 2," 500." 66" 2,000. 00 683.30 725. 00 38 L 79 5, 393. 00 1,451. 00 CLEMENT H. CONE, Cashier. Capital stock paid in I $100,000.00 Surplus fund Undivided profits 14, 000. 00 3,033.43 National-bank notes outstanding. J State-bank notes outstanding 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 69, 436.45 12, 408. 80 1,125.00 Total. 221,378.68 i 221, 378.68 National White River Bank, Bethel. D. C. DENISON, President. Loans and discounts O verdrafts -• U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'ghouse,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes V. S. certificates of deposit Redemption fund with Troas. U. S. Due from Treasurer U. S Total. N o . 962. $222, 343. 71 131.95 75, 000. 00 25, 707. 26 M. SYLVESTER, Cashier. Capital stock paid in . $125,000.00 Surplus fund Undivided profits . 25, 000.00 9,407. 06 National-bank notes outstanding.. State-bank notes outstanding 66,550.00 Dividends unpaid 391.75 3,000. 00 ""*832."77' Individual deposits United States deposits Deposits of U. S. disbursing officers. 116,831.31 4, 247.62 1, 527. 00 193.01 6, 821. 80 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 3, 375. 00 343, lbO. 12 Total. 343,180.12 48 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. First National Bank, Brandon. NATHAN T. SPRAGUE, President. No. 278. F. E. BKIGGS, Cashier. Resources. Loans and discounts Overdrafts II. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents Due from other national banks Duo from State banks and bankers Bank'g-lHnise,fui"nituro,and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total Liabilities. $209,660.72 , Capital stock paid in 1,009.40 i 150,000.00 i Surplus fund Undivided profits $150, 000. 00 100, 000. 00 9, 750, 90 -.\\ 59,690.00 i National-bank notes outstanding.. 2,107. L'8 !i! State-bank notes outstanding . .08 : Dividends unpaid 5,500.00 ; Tndi vidual deposits ""'446.' 61* United States deposits 7, 077. 00 Deposits of U.S.disbursing officers 775.07 Due to other national b a n k s i, 270.00 Due to State banks and bankers 78. 00 504,00 Notes and bills re-discounted 1,000.00 Bills payablo 131, 350.00 205. C O 51, 572.16 3,750.00 Total. 442,878.06 442, 878.06 Brandon National Bank, Brandon. ERASTUS D. THAYER, President. Loans and discounts Overdrafts. '. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents Due from other national banks Duo from State banks and bankers Ban k'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. W. F . SCOTT, Cashier. No. 404. $230,852.50 915.59 50, 000. 00 6,219.82 $200,000.00 Capital stock paid i n . Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid * Individual deposits 827. 86 j United States deposits 7, 400. 0:) j Deposits of U.S. disbursing officers 998. 96 Due to other national banks 272. 00 Due to State banks and bankers . 127.59 600. 00 Notes and bills re-discounted. 1,000.00 Bills payable 11, 500. 00 4, 886.13 45, 000.00 75.00 49. 003.19 2, 250. 00 310, 464. 32 Total. 310, 464.32 People's National Bank, Brattleboro. JULIUS J . ESTEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2305. O. A. MARSHALL, Cashier. $373, 040. 85 Capital stock paid in. " 50,000.66 Surplus fund Undivided profit-s National-bank notes outstanding.. State-bank notes outstanding . . . . 4, 000.00 8,211.77 $100, 000. 00 50, 000. 00 15, 029. 51 45, 000. 00 Dividends unpaid 1, 805. 91 i, 317. 34 523. 00 266.95 11, 660. 00 3, 500. 00 Individual deposits United States deposits Deposits of U. S. disbursin g officers 231, 702. 64 Due to other national banks Due to State banks and bankers .. 363. 35 Notes and bills re-discounted Bills payable 14,480. 32 2, 250. 00 456, 575. 82 Total. 456, 575.82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 49 VERMONT, Vermont National Bank, Brattleboro. GEORGE S. DOWLEY, President. No. 1430. GEORGE C. AVERILL, Cashier. Resources. Loans and discounts j Overdrafts U. S. "bonds to secure circulation.. J U. S. bonds to secure deposits ! U. S. bonds on hand i Stocks, securities, judgments, etc . . Due from approved reserve agents ' Due from other national b a n k s . . . . . Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... • Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Liabilities. $494, 346. 28 Capital stock paid in. Surplus fund Undivided profits - 100, 000. 00 76, 296. 83 125, 000. 00 35, 501.18 National-bank notes outstanding.. State-bank notes outstanding 135, 000.00 Dividends unpaid. Individual deposits United States deposits Deposits ofC.S. disbursing officers. 724. 90 65.86 17, 900.00 4, 605. 00 372, 299.01 Due to other national banks Due to State banks and bankers.. 2, 297. 38 Notes and bills re-discounted. Bills payable 6, 750.00 1,000.00 835, 893. 22 Total. $150, 000. 00 150, 000.00 Total. 835, 893.22 Howard National Bank, Burlington. F. M. VAN SICKLEN, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Tveaa. U. SDue from Treasurer U. S Total. No. 1698. $599, 660. 20 2,188. 20 50, 000. 00 81, 949.67 15, 651.29 15, 000. 00 " "27870." 63' 2,105.40 5,421.00 57.85 19, 451. 50 10, 588.00 F. H. FISHER, Cashier. Capital stock paid i n . $300, 000.00 Surplus fund Undivided profits. 60, 000. 00 25,153. 83 National-bank notes outstanding State-bank notes outstanding 44,500 00 Dividends unpaid. Individual deposits United States deposits . Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 108. 50 336, 212. 50 40,476.41 742.45 2,250.00 807,193. 74 Total. 807,193. 74 Merchants' National Bank, Burlington. CHARLES W. WOODHOUSE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand „. Stocks, securities, judgments, etc .. Due from approved reserve agentsDue from other national banks Due from State banks and bankers Bank' g-houae, furniture, andfixture; Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S». Due from Treasurer U. S Total No. 1197. ,169,702.78 181.97 500, 000. 00 50, 000. 00 12, 500. 00 128, 089. 58 56, 716. 99 643.25 5, 000. 00 88.40 831. 00 127. 83 33, 519.50 20, 424. 00 L. E. WOODHOUSE, Cashier. Capital stock paid in. $500, 000. 00 Surplus fund Undivided profits. . . 200, 000.00 30, 063.94 National-bank notes outstanding.. State-bank notes outstanding 442, 670. 00 Dividends unpaid 609. 50 Individual deposits. United States deposits Deposits of U. S.disbursing offi cers. 671, 499. 24 44, 579. 40 12, 237. 37 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 78, 005. 85 1, 840. 00 I, 979, 665. 30 Total 1, 979, 665. 30 50 REPOET OF THE COMPTROLLER O¥ THE CURRENCY. ON VE Castleton National Bank, Castleton. CARLOS S. SHERMAN, President. D. D. COLE, Cashier. No. 1598. Resources. Liabilities. Loans and discounts Overdrafts to secure circulation... U. S. bonds U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks ... Due from State banks and bankers Bank'g-house, furniture, andflxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes X S. certificates of deposit L . Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total $72, 498. 55 12, 500. 00 7, 398 94 1, 525. 29 3," ooo." 66 386.75 352. 65 505. 00 2.52 71.35 500. 00 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits 10, 000. 00 4, 617. 37 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 23,436.18 Due to other Dational banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 562. 50 99, 303. 55 99, 303. 55 Total First National Bank, Chelsea. AARON N. KING, President No. 2120. Loans and discounts O verdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand — Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $72, 229. 60 431.70 20, 000. 00 18, 512.92 13,367.97 2, 394. 53 6, 851.23 87.57 1, 950. 00 5,974. 51 251. 00 68.64 4, 427.70 C. S. EMERY, Cashier. Capital stock paid in. $75, 000. 00 Surplus fund Undivided profits . 4, 042. 93 6, 001. 28 National-bank notes outstanding.. State-bank notes outstanding 15, 000. 00 Dividends unpaid.Individual deposits United States deposits DepositsofU.S.disbursingoflicers. 47, 403.16 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 900.00 Total. 147,447. 37 147, 447. 37 Caledonia National Bank, Danville. JOHN A. FARRINGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-honse. furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J . B. MATTOCKS, Cashier. No. 1576. $137, 903.29 227.12 35, 000. 00 2,100.00 10, 344.49 360. 66 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 3, 600. 00 1, 393. 33 2, 500. 00 374.74 2,719.00 29.81 2,263.50 1,100.00 Individual deposits 32, 000. 00 272.31 31,500.00 4, 017. 50 •'•. United States deposits Deposits of U. S. disbursing oflict rs Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 32, 351.13 1, 600.00 1, 575.00 250. 00 201,740.94 Total. 201, 740. 94 REPORT OF THE COMPTROLLER OF THE CURRENCY. 51 VE RRION T. National Bank, Derby Line. AUSTIN T. FOSTER, President. No. 1368. STEPHEN FOSTER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $333,715.13 4=6,"66b. 66 Capital stock paid in Surplus fund Undivided profits. 907.50 24,483.87 3, 214.15 6, 800.00 7,000. 00 1, 568. 34 1,940.00 4.00 14, 098. 40 2, 749. 00 National-bank notes outstanding.. State-bank notes outstanding -. | $150,000.00 30, 000.00 12, 220. 05 35, 870. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 210,190. 34 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1, 800. 00 438, 280.39 Total. 438, 280.39 First National Bank, Fair Haven. R. C. ABELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. E. H. PHELPS, Cashier. No. 344. $100, 000. 00 Capital stock paid in. 20, 000. 00 Surplus fund 11,133. 41 Undivided profits. National-bank notes outstanding.. 22, 500. 00 State-bank notes outstanding 20,710.60 $223,886. 58 73.86 25, 000.00 154. 58 5, 000. 00 9, 925.00 904.35 4, 000.00 3, 441. 37 507. 00 24.85 3, 735. 00 3, 750.00 Dividends unpaid 654.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 145, 689. 34 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 2, 261.44 1,125.00 302, 238.19 Total. 302, 238.19 Allen National Bank, Fair Haven. S. ALLEN, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items E xchanges for clearing-house Bilils of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes tJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CHAS. R. ALLEN, Cashier. No. 2422. $50, 000. 00 Capital stock paid in. $93, 213.46 204.00 40, 000.00 11,937.46 781. 24 1, 610.00 ""477." 34' Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 8, 200.00 1, 454.49 35, 275. 00 63,150. 98 2,484. 36 174.00 66.32 3, 777. 50 3, 520.00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 745. 21 580.00 158, 825.68 Total. 158, 825. 68 52 REPORT OF THE COMPTROLLER OF THE CURRENCY. T. VE Lamoille County National Bank, Hyde Park. CARLOS S. NOYES, President. No. 1163. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand . Stocks,securitios, judgment, etc Due from approved reserve agents. Due from other national banks .. Due from State banks and bankers. Bank'g-house, furniture, andlfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Clucks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total E. L. NOYES, Cashier. Liabilities. $161,481.12 1,285. 53 25, 000.00 21, 374. 51 3, 000. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding . State-bank notes outstanding..... Dividends unpaid 2, 748. 00 73.28 2,474.00 3, 000. 00 25, 000. 00 1, 510.49 22, 500.00 25.50 Individual deposits 380. 35 United States deposits Depositsof U.S.disbursing officers. 3,126.88 $100, 000. 00 76, 032. 68 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted 1,125.00 Total 225, 068. 67 225, 068.67 National Bank, Lyndon. D. N. TRULL, President. Loans and discounts Overdrafts...« U. S. bonds to secure circulation -.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agonts Due from other national banks . Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. *W. J. STANTON, JR., Cashier. No. 1140. $106, 000. 00 Capital stock paid in . 21,200.00 '"""'26, 500."56' Surplus fund 22, 676. 84 Undivided profits 23, 850. 00 34, 858. 00 National-bank notes outstanding. 6, 253. 32 State-bank notes outstanding $131, 762.76 1, 500.00 1, 853.46 437. 76 6, 000. 00 1G8. 49 3,158. 00 61.81 3, 840. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 339. 00 43, 520. 26 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,192.50 Total. 217, 586.10 217, 586.10 Lyndonville National Bank, Lyndonville. CHARLES A. HARRIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks .. Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3158. LUTHER B. HARRIS, Cashier. Capital stock paid in ±9,000.66 Surplus fund Undivided profits 17, 000. 00 National-bank notes outstanding.. 5,130. 72 State-bank notes outstanding $91, Oil. 35 414. 67 1,960.66 557. 62 5, 500.00 66.99 4,064.00 62.16 1,100. 00 2, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. $75, 000. 00 2, 700.00 2, 079. 09 17,100.00 237. 00 51, 546.42 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 855. 00 148,662.51 Total. 148,662.51 53 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. Factory Point National Bank, Manchester Centre. A. L. GRAVES, President. 2STo. 3080. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. J . P . BLACK, Cashier. Liabilities. $126,143.06 """20"606*66" 24,513.22 $75, 000. 00 Capital stock paid in. 4, 000.00 2, 290. 03 Surplus fund Undivided profits 18,000. 00 National-bank notes outstanding-. State-bank notes outstanding Dividends unpaid . 1, 200.00 606.20 1, 400. 00 90.44 2, 430. 00 40.39 2,100. 00 5, 700. 00 85, 833. 23 Individual deposits United States deposits Deposits of TJ. S. disbursing ollicers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 900. 00 Total. 185,123. 31 185,123.31 National Bank, Middlebury. ALBERT A. FLETCHER, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on TJ. S. bonds Checks and other cash items Exchanges for c l e a r i n g - h o u s e . . . . . . Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 1195. $258,516.13 "266,*666."66" 20, 500.00 8, 600. 00 95,221.45 CHARLES E. PINXEY, Cashier. $200, 000. 00 Capital stock paid i n . 40, 000.00 30, 631. 55 Surplus fund Undivided profits National-bank notes outstanding .. State-bank notes outstanding 177,745.00 Dividends unpaid 132.00 5, 000.00 Individual deposits United States deposits Deposits of U. S. disbursing officers 157, 434.16 203.49 370.64 5,176.00 3, 355. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 9,000.00 TotaL 605, 942. 71 605,942. 7.1 Gray National Bank, Middletown Springs. LEONIDAS GRAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bondsonhand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 3150. $78,295. 54 108. 59 12,500. 00 6, 239.21 8,364.94 500. 00 88.39 2,000.00 744.95 35.04 694. 25 2, 739. 00 A . A. GREENE, Capital stock paid in Surplus fund . Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Cashier, $50, 000.00 5, 000. 00 7, 306. 59 11,250.00 120.00 Individual deposits United States deposits Deposits of U.S. disbursingoificers. 39,195. 82 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 562. 50 112,872.41 J Total c 112,872.41 54 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. First National Bank, Montpelier. F. L. EATON, Cashier. No. 748. JOHN A. PAGE, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. 17. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Curi eat expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. $412, 983.74 11, 033. 44 50,000.00 36, 775.00 23, 689.63 2, 934.94 18, 296. 61 803.89 668. 74 3, 082.00 25.31 8,374.45 4,296.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing onicers. Due to other national banks ... Due to State banks and bankers .. $250, 000.00 50, 000. 00 18,359. 22 44, 395. 00 208,934.80 3, 524. 73 Notes and bills re-discounted. Bills payable 2,250.00 575, 213.75 Total. 575, 213. 75 Montpelier National Bank, Montpelier. JAMES R. LANGDON, President. No. 857. Loans and discounts Overdrafts U. S. bonds to secure circulation... U . S. bonds t o secure deposits U. S. bonds on hand Stocks, securities, j u d g m e n t s , e t c . . . D u e from approved reserve a g e n t s . D u e from other national b a n k s D u e from State b a n k s and b a n k e r s . Bank'g-house, furniture, and fixtures Other real estate and mortg's owned C u r r e n t expenses and taxes p a i d . . . P r e m i u m s on U. S. bonds Checks a n d other cash items E x c h a n g e s for clearing-house Bills of o t h e r national banks Fractional currency, nickels, cents . Specie Legal-tender notes U . S. certificates of deposit Redemption fund with Treas. U. S . D u e from T r e a s u r e r U . S $266,958.93 23 50, 000. 00 188, 000.00 5, 650.00 122,100. 00 21, 053. 01 12, 417. 85 1,100. 73 5, 600. 00 73 12, 539.10 11, 548.00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable $250,000.00 60, 000. 00 46, 965. 56 45, 000. 00 83. 51 74,202.27 196, 719.49 9, 652.81 16, 594. 94 2, 250.00 699, 218. 58 Total. E. D. BLACKWELL, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstandingState-bank notes outstanding 699,218.58 Total. National Bank, Newport. ELISHA LANE, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. ROBT. J. WRIGHT, Cashier. No. 2263. $253,079. 81 Capital stock paid in. 25,666.66' Surplus fund Undivided profits 1, 000.00 National-bank notes outstanding. 23, 260.29 State-bank notes outstanding 3, 500. 00 5, 250. 00 200. 00 360. 00 . 93.79 9, 657.20 1, 507. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $100,000.00 16, 000.00 5,185. 00 22, 500.00 179, 315. 24 1, 032. 85 1,125. 00 324,033.09 Total. 324,033.09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 55 VERMONT. First National Bank, North Bennington. J. G. MCCULLOUGH, President. S. B. HALL, Cashier. No. 194. Besources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Iank'g-house,furniture,andfixtuies, Other real estate and inortg's ownedi Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treass. TJ. SDue from Treasurer XT. S Total. $217, 395.37 1,813, 76 77, 000. 00 Capital stock paid in $150, 000. 00 Surplus fund Undivided profits. 110, 800. 00 National-bank notes outstanding-. 22, 548. 55 State-bank notes outstanding 8, 690.45 Dividends unpaid. 5, 000.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 88.68 Due to other national banks 500. 00 Due to State banks and bankers - 96.21 5, 830. 00 Notes and bills re-discounted . 610, 00 Bills payable 55, 000. 00 6,142.21 66,160. 00 175, 980. 01 555. 80 3, 465.00 453,838.02 Total. 453, 838.02 Northfield National Bank, Northfield. No. 1638. GEORGE NICHOLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c Due from approved reserve agents Due from other national banks Duo from State banks and bankers Ban k'g-house, furniture, and fixt ures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total., $132,601.02 1.00 25,000.00 CHAS. A. EDGERTON, J R . , Cashier. Capital stock paid in $100,000.00 Surplus fund Undivided profits 3,100 00 National-bank notes outstanding.. 10, 685. 22 State-bank notes outstanding 22,400.00 75.00 Dividends unpaid 524. 32 15, 000. 00 3, 331. 52 Individual deposits United States deposits DepositsofU.S. disbursing officers. 39, 079.99 "674 37' Due to other national banks 1,400.00 Due to State banks and bankers . 9.08 2, 816. 50 Notes and bills re-discounted . 1, 950.00 Bills payable 1,125.00 179, 886. 51 Total. 179, 886. 51 First National Bank, OrweU. YIRTALON RICH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits 17. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 228. J . S. WILCOX, Cashier. $274, 541. 22 Capital stock paid in. 2, 785.01 50, 000. 00 Surplus fund Undivided profits 30, 050.00 31, 855. 57 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 6, 000. 00 2, 710.00 Individual deposits United States deposits Deposits of U. S. disbursing officers $100, 000.00 100, 000.00 38,391.79 44, 000. 00 12.00 126, 307. 84 462. 86 2, 583. 00 117.93 13, 006.25 2, 710.00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 10,360. 21 2,250. 00 419, 071.84 Total. 419, 071.84 56 JREPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. First National Bank, Poultney. JOHN B. BEAMAN, President. HENRY RUGGLES, Cashier. N o . 2545. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $91, 672. 31 12.49 12, 500.00 17, 996.49 497.23 $50, 000. 00 Capital stock paid in. Surplus fund fund. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 5, 775, 00 2, 781. 79 11, 250. 00 315. 00 3, 500.00 467. 84 750.00 90.00 Individual deposits United States deposits Deposits of U. S. disbursing oificers 62, 564.28 Due to othermational banks 753.00 Due to State banks and bankers. 54.41 2, 529. 80 Notes and bills re-discounted. 1, 300. 00 Bills payable 562.50 Total. 132, 686. 07 132, 686.07 National Black River Bank, Proctorsville. GEORGE S. HILL, President. No. 1383. ~ and ~ ~ ~ ~ ~ Loans ~ discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $85, 694. 42 946. 76 20, 000. 00 8, 900. 00 5, 541. 02 187.27 CHAS. W. WHITCOMB, Cashier. $50,000. CO Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . 25, 000. 00 4, 738. 66 17, 800. 00 580. 00 1,400.00 '"""42." 75 Individual deposits United States deposits Deposits of U. S.disbursing officers. 34, 811.18 657. 00 1, 343.00 87.62 3,785.00 3, 445. 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 900. 00 Total . 132,929.84 132, 929. 84 Baxter National Bank, Rutland. JOHN W. CRAMTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 1700. $640, 880.31 8, 802.66 150, 000.00 6, 500. 00 88, 410. 64 1,832. 85 G. R. BOTTUM, Cashier. Capital stock paid in. $300,000.00 Surplus fund Undivided profits. 100, 000. 00 13, 279.28 National-bank notes outstanding.. State-bank notes outstanding 131,720.00 Dividends unpaid 80.50 5, 777. 00 'l," 232." 34 Individual deposits United States deposits Deposits of U. S. disbursing officers 400, 608. 42 828.40 16, 580. 00 381.45 16, 457.10 2, 300. 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1, 044. 55 6, 750. 00 946, 732. 75 Total . 946,732.75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 57 VERMONT. Clement National Bank, Rutland. CHARLES CLEMENT, President No. 2950. EDWD. T. SMITH, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments,etc.. Due from approved reserve agents Due from other national banks . . . Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and niortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house. - Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $279,708.08 2,392.24 25, 000.00 52,000.00 39,109. 30 6,815.89 10,563. 62 Capital stock paid in $100, 000.00 Surplus fund Undivided profits. 30, 000.00 2, 592. 98 National-bank notes outstanding. State-bank notes outstanding ..'.. 22, 500. 00 Dividends unpaid 108.00 Individual deposits United States deposits DepositsofU.S.disbursing officers 265, 333. 31 3, 334.70 3, 745.00 265.13 19,400. 60 10, 538.00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted. 33, 463. 27 Bills payable 1,125.00 Total 453, 997.56 453, 997. 56 Killington National Bank, Rutland. No. 2905. E. P. G-ILSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's ovyned Current expenses and taxes paid.. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $245,229.44 358. 20 50, 000.00 859.34 GEO. K. MONTGOMERY, Cashier. Capital stock paid in. $200, 000. 00 urp "Undivided profits . 13, 000. 00 3,469. 79 National-bank notes outstanding State-bank notes outstanding . . . 45, 000. 00 Dividends unpaid 3,000.00 831. 64 1,200.00 3, 083.69 3,215.00 94.06 7, 522. 80 2,854.00 Individual deposits United States deposits Deposits of TJ.S. disbursing officers. 57,100. 69 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 576. 07 1, 291. 62 2,250. 00 Total. 320, 498.17 320,498.17 Merchants' National Bank, Rutland. JOHN N. BAXTER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S Total. No. 3311. $260,119.17 899.86 25, 000. 00 500. 00 28, 768. 54 16,759. 71 CHAS. W. MussBr, Cashier. Capital stock paid i n . ! Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $100, 000. 00 7, 000.00 3,468. 29 21,800.00 108.00 3, 700.00 517.32 5, 000. <'O 1, 933.89 714.00 248.92 10, 800. 00 1, 500.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 167, G02. 88 Due to other national banks Due to State banks and bankers... 37, 607. 24 Notes and bills re-discounted. Bills payable , '20,'66o*o6 1,125.00 357,586.41 Total . 357,586.41 58 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT, Rutland County National Bank, Rutland. WILLIAM T. W. RIPLEY, President N o . 820. HENRY F. FIELD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total . Liabilities. $572, 634.52 1,481.59 50, 000.00 4, 554. 01 9,143.63 243. 24 1,204.76 'i,779.*56 725.00 289. 39 17,101. 80 609.00 Capital stock paid in . $300,,000.00 Surplus fund Undivided profits. 75,000.00 71, 690.16 National-bank notes outstanding. State-bank notes outstanding 45, 000.00 Dividends unpaid 1, 236.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 116, 857. 58 Due to other national banks Due to State banks and bankers.. 27,655.54 24, 577. 22 Notes and bills re-discounted . Bills payable 2,250. 00 662, 016.50 Total . 662,016.50 Welden National Bank, Saint Albans. J. GREGORY SMITH, President. Loans and discounts «... Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc.-. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3482. F. STEWART STRANAHAN, Cashier. $271,731.46 Capital stock paid in . " 25,666.66 * Surplus fund Undivided profits. 20,000.00 14,251.96 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 32,307.34 678." 07 3,639.37 4, 035. 32 546. 04 1,253.00 20.22 11,126. 40 3, 550. 00 $100,000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 198,260.26 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125.00 355,012.22 Total . 355,012.22 First National Bank, Saint Johnsbury. FRANKLIN FAIRBANKS, President. Loans and discounts Overdrafts U . S. bonds to secure circulation... U. S. bonds t o secure deposits U . S. bonds on hand Stocks, securities, judgments, etc . . D u e from approved reserve agents. D u e from other national banks D u e from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items ... Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U . S. certificates of deposit Redemption fund with Treas. U. S . D u e from Treasurer U . S Total No. 489. $673, 261.53 545.79 50, 000. 00 150,000.00 23,069.67 93, 784.30 4, 580.60 17, 000. 00 20, 747.44 2,108. 23 50, 531. 25 6,1(50.15 925.00 206.59 18,781. 00 5, 783.00 J N O . C. CLARK, Cashier. Capital stock paid in $500,000.00 Surplus fund Undivided profits 63,000. 00 9,405.08 National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. D u e t o other national banks D u e to State banks and bankers. Notes and bills re-discounted Bills payable 849. 00 285, 042. 53 165,000. 00 43, 504. 58 7, 933.36 2," 250." 00 1,119,734.55 Total 1,119,734.55 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT, Merchants' National Bank, Saint Johnsbury. TV. E. PECK, President No. 2295. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bands on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer 17. S $461, 484. 67 652.17 50, 000. 00 10, 900.00 65, 700. 83 1, 303.09 20, 000. 00 1, 270.14 12, 000. 00 2, 201. 53 2, 781. 00 107. 85 5, 500. 00 15, 000.00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. $300, 000.00 31, 000. 00 6, 519. 95 45, 000.00 364. 20 268, 267.13 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250.00 651,151. 28 Total. 651,151.28 Total. HERBERT W. ALLEX, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding First National Bank, Springfield. AMABA WOOLSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved, reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 122. $155, 710; 27 1, 920.98 25, 000. 00 17, 800. 00 33,138. 60 G. L. CLOSSON, Cashier. $100, 000. 00 Capital stock paid in Surplus fund Undivided profits . 33, 700. 00 15, 918. 39 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid. 444.00 Individual deposits 73, 265.77 1, 000. 00 '480.62' 24. 00 515. 00 38.59 3,123. 70 5, 952.00 United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125. 00 245, 828.16 245, 828.16 Total. Farmers' National Bank, Vergennes. WALTER SCRANTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. D. H. LEWIS, Cashier. No. 2475. $189, 694.03 2,137.60 25, 000. 00 18, 066. 77 j Capital stock paid in. , Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $75,000.00 4,150. 00 1, 879. 65 22, 500. 00 Dividends unpaid. 4, 000. 00 1,944.44 1, 500.00 1, 356. 80 800. 00 56.39 3, 700. 00 1, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 122, 763. H 24, 088. 24 1,125. 00 250, 381. 03 Total. 250, 381. 03 60 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMONT. National Bank, Vergennes. CARLETON T. STEVENS, President No. 1364. ANDREW BOSS, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Dae from other national banks. Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on U.S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. X S . L Due from Treasurer TJ. S Total. Liabilities. $118, 524.16 780.30 150, 000. 00 59, 328.00 7, 861. «6 Capital stoc 1 paid i n . $150, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 5,000.00 1, 451. 23 900.18 3, 289..00 130.29 5, 556.50 27, 000. 00 1, 861. 57 133,180. 00 389. 00 Individual deposits United States deposits Deposits of U.S. disbursing oflicers 47,146. 95 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 6,750.00 Total. 359, 577.52 359, 577. 52 Waterbury National Bank, Waterbury. PAUL DILLINGHAM, President. Loans and discounts •. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S* bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1462. $129, 011.17 1, 057.58 50, 000.00 1, 778.00 45, 234. 99 CHAS. WELLS, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 30, 000. 00 17,195. 73 44, 300. 00 72.00 620.00 750.71. Individual deposits United States deposits Deposits of U. S. disbursing officers. 49, 978. 00 1, 404.81 425.00 70.62 4, 442.85 4, 500.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250.00 Total. 241, 545. 73 241, 545. 73 National Bank of Newbury, Wells River. W. H. CUMMINGS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1406. $466, 410.16 3,560.10 50, 000. 00 300. 00 27,979. 68 GEORGE LESLIE, Cashier. Capital stock paid in. 60, 000. 00 1G, 797.91 National-bank notes outstanding. State-bank notes outstanding 44, 965. 00 Dividends unpaid 6, 453. 58 1*391.' 67 $300, 000. 00 Surplus fund Undivided profits. Individual deposits United States deposits Deposits of U.S. disbursing officers 121.00 163,031.19 3, 563. 37 1, 300.00 79 21.764.40 8, 666. 00 Due to other national banks Due to State banks and bankers .. 5, 031. 44 3, 693. 21 Notes and bills re-discounted. Bills payable 2, 250. 00 593, 639. 75 Total. 593, 639. 75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 61 VERMONT. Randolph National Bank, West Randolph. W. H. Du Bois, President No. 2274. R. T. P u Bois, Cashier. Liabilities. Eesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on band Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. TJ. S. Due from Treasurer TJ. S $138, 056.61 Capital stock paid in $75, 000.00 12, 500. 00 23,000.47 Undivided profits i National-bank notes outstanding. . 7, 961. 41 State-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 51, 077. 38 250.'66' 219.71 164.50 408.72 3, 020.00 51.90 6, 649.00 1,500. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable , 1,125.00 Total.. 184,242. 35 Total. | Surpl 25," 666." 66" Surplus fund 184,242.35 National Bank, "White River Junction. GEORGE W. SMITH, President No. 3484. $234,667.12 Loans and discounts O verd rafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie . -• .- . . . . . . . . . U S certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total J. L. BACON, Cashier. Capital stock paid in $100,000.00 25, 000.00 Surplus fund Undivided profits 4,479. 60 37,336.91 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Individual deposits United States deposits . . Deposits of U.S. disbursing officers. 193, 003. 27 5,400.00 4, 317. 77 27. 95 1,054.80 3,000.00 310.17 3, 687.00 29.29 4,559.10 10,000.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 1,125.00 Total 325,248.99 325,248.99 "Windsor National Bank, Windsor. RIPLEY CLARK, President Loans and discounts I Overdrafts ! U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents Due from other national banks Duo from State banks and bankers Bank'g-house,furniture,andfixturcs Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3257. J . S. WALKER, J R . , Cashier. Capital stock paid in. 25, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. 15, 657.30 State-bank notes outstanding $100, 000.00 Individual deposits United States deposits.. * Deposits of U. S.disbursingofficers. 40, 732.95 14,116.44 3, 600. 00 4, 758.00 22, 500. 00 1,112. 00 37, 910. 51 Dividends unpaid 1,641.48 525.00 210.34 155. 00 31.38 3, 306 50 800.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 1,125.00 171,590. 95 Total., 171,590.95 62 REPORT OF THE COMPTROLLER OF THE CURRENCY. VERMON T. Woodstock National Bank, Woodstock. FREDERICK BILLINGS, President No. 1133. HENBY C. JOHNSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $410, 894.99 26.56 50,000.00 12, 250.00 18, 960. 27 Capital stock paid in. 60, 000. 00 17, 820. 33 National-bank notes outstanding. State-bank notes outstanding 45, 000. 00 Dividends unpaid. 5,000.00 1,055.08 6,081.00 233.42 3, 000.00 5,500.00 $300, 000. 00 Surplus fund Undivided profits Individual deposits United States deposits Deposits of U.S. disbursing officers. 2, 205.03 90, 280. 27 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2,250.00 515,305.63 Total. 515,305.63 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Abington National Bank, Abington. CHARLES N. COBB, President No. 1386. G. R. EABBAB, Cashier. Resources. Loans and discounts Overdrafts. TJ. S. bonds to secure circulation ... TJ. S. bonds to secure deposits TJ. S. bonds on hand. Stocks, securities, judgments, etc.. Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. Liabilities. $199, 341. 94 40.72 25, 000.00 3,400.00 34, 375.43 1, 929.36 Capital stock paid in. $75,000.00 Surplus fund Undivided profits. 15,000.00 19, 805.14 National-bank notes outstanding State-bank notes outstanding 21,900. 00 Dividends unpaid 375.00 16.80 1 957.00 155.53 11,683.45 2,995.00 2, 635. 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 148, 054. 59 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1,125,00 282,395.23 | Total . 282, 395. 23 First National Bank, Adams. HENRY J. Buss, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand , Stocks, securities, judgments, etc .. Due from approved reserve agents . Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. H. H. WELLINGTON, Cashier. No. 462. $150,000.00 Capital stock paid in. 50, 000.00 Surplus fund 38, 328. 81 Undivided profits. National-bank notes outstanding . 44,OOC.00 84,484. 27 State-bank notes outstanding .. $316,485.07 14.17 50,000.00 4,121. 21 *i7,666."66" 1, 476. 99 7, 263.16 1, 390. 00 115. 06 5, 760.00 7, 000.00 Dividends unpaid 140.00 Individual deposits United States deposits Deposits of U.S.disbursing officers . Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 180, 070. 73 54, 820. 39 2,250.00 Total . 517, 359. 93 517, 359. 93 Amesbury National Bank, Amesbury. E. S. FELTCH, President. Loans and discounts i Overdrafts ! U. S. bonds to secure circulation... j TJ. S. bonds to secure deposits ' U. S. bonds on hand Stocks, securities, judgments, etc .. j Due from approved reserve agents j Due from other national banks | Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 2929. F. F . MoitiULL, Cashier. $244,022.29 h Capital stock paid in 1,513.75 25, 000.00 Surplus fund Undivided profits 10,605. 01 18, 209.62 1,236. 29 1, 595.47 2, 529.48 5,400. 00 4,497.82 4,075. 00 180.78 7, 008.10 5,652.00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. $100,000.00 3, 775. 00 6, 327. Id 22,500.00 33.00 199, 554. 88 386.84 79,74 Notes and bills re-discounted Bills payable 1,125. 00 332,656. 61 Total 332, 656.61 64 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Powow River National Bank, Amesbury. GEORGE F. BAGLEY, President. No. 1049. ALBERT B. BROWN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiumson U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $609,889. 64 190.19 50,000. 00 2, 000. 00 44,127. 78 Capital stock paid in. $200,000.00 Surplus fund Undivided profits . 85, 000. 00 8,470.92 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 6, 000. 00 Dividends unpaid. 4,000.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 94.78 947.00 61.56 19,302. 00 1,000.00 15,000.00 2,250.00 748, 862. 95 403,654. 62 Due to other national banks Due to State banks and bankers... 737.41 Notes and bills re-discounted. Bills payable Total. 748, 862.95 First National Bank, Amherst. L. D. HILLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks i Duo from State banks and bankers Ban k'g-house, furniture, and fixtures] Otherroal estate and mortg's owned j Current expenses and taxes paid . . Premiums on U. S. bonds I Checks and other cash items Exchanges for clearing-house \ Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. H. T. COWLES, Cashier. No. 393. $313,125. 94 Capital stock paid in $150,000.00 267.04 50,000.00 60, 000.00 Surplus fund 15,865.01 Undivided profits 59, 000.00 National-bank notes outstanding . 53,000.00 48, 915.06 State-bank notes outstanding 28, 022. 57 10,000.00 12,611. 89 2,131. 55 852.00 200.62 7.980.95 5,878.00 Dividends unpaid 4,500.00 Individual deposits United States deposits Deposits of U.S.disbursing officers 262. 957. 57 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 12,964.75 2,398.29 2,700.00 551,685.62 551, 685,62 Total . . Andover National Bank, Andover. EDWARD TAYLOR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Duo from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 1129. Capital stock paid in. MOSES FOSTER, Cashier. $392, 387.08 50, 000.'00 5, 665.00 Surplr s fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 20, 600.00 4, 629.57 5,169.00 26.04 5, 773.90 5,000.00 Individual deposits United States deposits Deposits of U. S. disbursing ofiicers. 54,000.00 4,353. 06 45,000.00 7, 500.00 179, 571. 03 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2,250.00 540,424.09 ! Total. 540,424.09 REPORT OF THE COMPTROLLER OF THE CURRENCY 65 MASSACHUSETTS, First National Bank, Ashburnham. GrEORGE W. EDDT, President. No. 2113. FREJ-'K L. WING, Cashier. Besources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation .. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $92,257.69 " "56*666." 66 10,355.55 Capital stock paid in $50, 000.00 Surplus fund 4, 500. 00 4, 089.14 Undivided profits National-bank notes outstanding.. State-bank notes outstanding 44, 995.00 Dividends unpaid i, 375.00 23.00 320. 00 80.84 3,701.55 2,107. 00 1, 000. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers 68, 531.49 Due to other national banks .. Duo to State banks and bankers Notes and bills re-discounted . Bills payable 2,250.00 Total 173,115. 63 ' 173,115. 63 Athol National Bank, Athol. THOMAS H. GOODSPEED, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds •- Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. C. A. CHAPMAN, Cashier. N o . 2172. $190, 332. 05 25, 000.00 22,098.47 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits 7,800.00 4, 358.38 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 2, 500. 00 7157.94 1, 000. 00 510.50 1, 670. 00 217. 50 3,197. 95 7, 000. 00 21, 300.00 392. 50 Individual deposits .. United States deposits Deposits of U. S.disbursing officers. 106, 040.12 Due to other national banks Due to State banks and bankers . . 471.09 15, 033. 38 Notes and bills re-discounted . Bills payable 1,125.00 Total . 255, 395.47 255, 395.17 Miller's River National Bank, Athol. ALPHEUS HARDING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Slocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso,lurniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house...... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S . Due from Treasurer U. S Total. JL Ex. 3- No. 708. $427, 013.14 37,566.66 17, 516. 56 1,141. 26 W. D. LUEY, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding. Dividends unpaid. 5, 000.00 4,773.28 5,000.00 2, 021. 68 7,221.00 247.84 6,253. 75 6, 539. 00 $150, 000. 00 100, 000. 00 16, 918.45 33,750.00 351. 92 Individual deposits United States deposits Deposits ot'U.S.disbursing officers. 205,140. 39 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 14,498.45 1, 255.80 1,687.50 521,915.01 Total. 521,915.01 66 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. First National Bank, Attleborough. No. 2232. J O S E P H M. BATES, President. H. M. DAGGETT, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TL S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with U. S. Treas. Due from Treasurer IT. S Total. $303, 831.11 Capital stock paid in. $100,000.00 '"25," 000." 66' Surplus fund Undivided profits 38, 258. 58 2, 906. 56 """800." 66' 3,600.00 1,304.27 20, 000. 00 7, 961. 06 National-bank notes outstanding.. State-bank notes outstanding ..... 22,500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 239,881.24 Due to other national banks Due to State banks and bankers .. 6, 079. 34 Notes and bills re-discounted . 5, 700. 00 Bills payable 930. 00 5,095. 56 2, 763. 00 5,000.00 1,125.00 Total . 396, 367.86 396,367.86 First National Bank, Ayer. H. E. SPAULDING, Cashier. No. 3073. $75, 000.00 Capital stock paid in. 12, 000.00 Surplus fund 4, 821. 87 Undivided profits 17, 590.00 National-bank notes outstanding.. 3, 583. 84 State-bank notes outstanding ANDREW ATWOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reservo agents. Due from other national banks Due from State banks and bankers. Bank'g-hoUvSe, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes O". S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $174, 955. 54 868. 72 20,000, 00 Dividends unpaid. Individual deposits 1, 768.00 United States deposits 3, 300, 00 Deposits of U.S. disbursing officers. 1,719.25 850. 68 455. 00 84.16 7, 365. 85 8, 882.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Billspayable 300.00 / Total 120. 00 114, 601.17 Total. 224,133.04 224,133.04 First National Bank, Barre. N. L. JOHNSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2685. $144,741.92 56,666.66 F. A. RICH, Cashier. Capital stock paid in Surplus fund Undivided profits. 36, 027. 55 National-bank notes outstanding.. 12, 355.07 State-bank notes outstanding Dividends unpaid Individual deposits 1, 368. 79 United States deposits 12,424.12 Deposits of U. S. disbursing officers 2, 270.00 76.67 7,459. 65 Due to other national banks Due to State banks and bankers -. Notes and bills re-discounted. Bills payable $150, 000.00 15, 282.11 7, 732. 69 44, 290. 00 428.00 46,828.89 4,412.08 2,250.00 268,973.77 Total. 268,973.77 REPORT OF THE COMPTROLLER OF THE CURRENCY. 67 MASSACHUSETTS. Beverly National Bank, Beverly. No. 969. T. A. LEFAVOUH, Pr< AUG. STEVENS, Cashier. Liabilitie Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S . Due from Treasurer U. S Total $430, 374.85 63.26 100, 000.00 23, 000.00 72, 545.05 Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits . 60, 000. 00 22.759. 38 National-bank notes outstanding . State-bank notes outstanding ..'.. 88, 310. 00 Dividends unpaid Individual deposits 4.93 United States deposits 2, 531. 25 Deposits of U.S. disbursing officers. 147. 72 Due to other national banks 4, 700.00 Due to State banks and bankers .. 67.40 14, 757. 50 Notes and bills re-discounted . 1, 700.00 Bills payable 38.50 283, 229. 64 54.44 4, 500. 00 654, 391. 96 Total. 654, 391. 96 First National Bank, Boston. C. H. DKAPER, Cashier. No. 200. Loans and discounts $1, 000, 000. 00 $4, 022, 847.07 Capital stock paid in. Overdrafts 1, 000, 000. 00 U. S. bonds to secure circulation... 50," 000." 66 Surplus fund 251, 844.67 U. S. bonds to secure deposits Undivided profits . U. S. bonds on hand 45, 000. 00 7, 248. 31 National-bank notes outstanding Stocks, securities, judgments, etc -. 344, 391. 29 State-bank notes outstanding . . . Due from approved reserve agents. 140, 521. 55 Due from other national banks 60, 320. 00 Due from State banks and bankers. Dividends unpaid Bank'g-house, furniture, andfixtures 250, 000.00 2, 050, 452.57 Individual deposits Other real estate and iuortg's owned United States deposits Current expenses and taxes paid... Deposits of U.S. disbursing officers Premiums on U. S. bonds 33, 985.95 Checks and other cash items 918,175. 56 Exchanges for clearing-house 195, 070. 59 Due to other national banks 79, 489. 46 Bills of other national banks 9, 067.00 Fractional currency, nickels, cents . 90.00 Due to State banks and bankers. Specie 226,010.50 Notes and bills re-discounted. Legal-tender notes 113, 800. 00 Bills payable U. S. certificates of deposit 10, 000.00 Redemption fund with Treas. U. S. 2, 250.00 Due from Treasurer U. S ... 5,405, 282. 26 Total. 5,405,282.26 Total. JOHN CAKR, President Second National Bank, Boston. THOMAS P . BEAL, President. No. 322. Loans and discounts $4,181, 386. 37 Overdrafts 1,801.04 U. S. bonds to secure circulation... 50, 000.00 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. 848, 771. 84 601, 208.92 Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... 1, 600. 67 Premiums on U. S. bonds Checks and other cash items 2, 091. 94 Exchanges for clearing-house 284, 969. 87 Bills of other national banks 10,494. 00 Fractional currency, nickels, cents Specie 509, 976.11 Legal-tender notes 55, 000. 00 U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250.00 I>ut? from Treasurer U. S Total 6,549,550.76 E. C. BROOKS, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers Notes and bills re-discounted. Bills payable Total. $1, 600, 000. 00 850,000. 00 67, 606. !>5 45, 000. 00 65, 300. 00 J, 458, 967. 94 1, 376,153.70 86,522.11 6, 549, 550.76 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Third National Bank, Boston. No. 359. MOSES WILLIAMS, President. FJBAKCIS B. SEARS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation .. TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes pawl.. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other uational banks Fractional currency, nickels, cents Specie * Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. "I $2, 395, 227.27 6,645.03 50, 000.00 242, 285. 76 173, 468. 45 1,163.23 396,11 12, 250.00 39, 436.46 201,414.87 16, 207.00 336.44 201, 677. 60 45, 500. 00 Capital stock paid in. $1, 000, 000. 00 Surplus fund Undivided profits. 65, 000. 00 6, 423.18 National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 Dividends unpaid. 20, 692. 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 742, 556. 63 Due to other national banks Due to State banks and bankers . . 229, 027. 84 279, 358.07 Notes and bills re-discounted . Bills payable 2,250.00 3,388. 058.22 Total.. 3, 388, 058.22 Fourth National Bank, Boston. W. W. KIMBALL, President. No. 2277. A. W. NEWELL, Cashier. Loans and discounts $1,511,370.08 i Capital stock paid in. Overdrafts 437.17 U. S. bonds to secure circulation... 50,000.00 ! Surplus fund 200, 000. 00 Undivided profits. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. National-bank notes outstanding. Due from approved reserve agents. 170, 290.31 State-bank notes outstanding 122,179.10 Due from other national banks Due from State banks and bankers Dividends unpaid. Bank'g-house, furniture, audfixtuies Individual deposits Other real estatoau*! mo rig's owned Current expenses and taxes paid... United States deposits Premiums on U. 8. bonds 50, 000.00 Deposits of U.S.disbursing officers. Checks and other cash items 6, 393.08 Exchanges for clearing-house 87,211.06 Due to other national banks Bills of other national banks 19, 650. 00 Due to State banks and bankers. Fractional currency, nickels, cents 160.12 Specie 65, 213.00 Notes and bills re-discounted. Legal-tender notes 130,000.00 Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S 2,250. 00 Due from Treasurer U. S 2, 500.00 Total. 2,417, 853. 92 Total. $500,000.00 100, 000.00 19, 413.56 45,000.00 15, 000. 00 1, 252, 950.42 220, 000.00 231, 224. 84 34, 065.10 2, 417, 653. 92 Atlantic National Bank, Boston. ISAAC PRATT, J R . , President. No. 643. JAS. T. DKOWN, Cashier. Loans and discounts $1, 060, 083. 07 Capital stock paid in. Overdrafts TJ. S. bonds to secure circulation... 50," 666." 66 Surplus fund U. S. bonds to secure deposits Undivided profits. U. S. bonds on hand Stocks, securities, judgments, etc . . 343, 300. 00 National-bank notes outstanding. Due from approved reserve agents. 127, 467. 94 State-bank notes outstanding Due from other national banks 29, 844. 55 Due from State banks and bankers. 4, 427.51 Dividends unpaid . Bank'g-house, furniture, and fixtures 267, 261. 50 Other real estate and mortg's owned Individual deposits Current expenses and taxes paid... United States deposits Premiums on U. S. bonds 10, 000. 00 Deposits of U. S. disbursing officers Checks and other cash items 2, 461. 20 Exchanges for clearing-house 23, 387.04 Due to other national banks Bills of other national banks 3, 450. 00 Due to State banks and bankers . Fractional currency, nickels, cents. 123.27 Specie 1 102, 053. 00 Notes and bills rerdiscounted. Legal-tender notes 3, 687.00 Bills payable , U. S. certificates of deposit Redemption fund with Treas. TJ. S. 2,250.00 Due from Treasurer U. S Total. 2, 029, 796.08 Total . $750,000.00 300, 000.00 17,420.16 44,350. 00 23,404. 00 789,820.56 97, 705. 82 7, 095.54 2, 029,796. 08 EEPORT OP THE COMPTROLLER OP THE CURRENCY. 69 MASSACHUSETTS, Atlas National Bank, Boston. No. 654. J. G. WETHBRELL, President. CIIAS. L. LANE, Cashier. Resources. Liabilities. Loans and discounts $3,125, 685. 30 202.62 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 240,644. 36 Due from approved reserve agents. 55, 997. 06 Due irom other national banks 43, 989.80 Due from State banks and bankers. Bank'g-taou-e, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on TJ. S. bonds 6, 063. 57 Checks and other cash items. 68, 911. 52 Exchanges for clearing-house 49, 930. 00 Bills of other national banks 275. 48 Fractional currency, nickels, cents. 86, 720. 50 Specie 92, 653. 00 Legal-tender notes 60,000. 00 TJ. S. certificates of deposit 2,250. 00 Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total.. $1, 500, 000.00 Capital stock paid in Surplus fund Undivided profits 300, 000, 00 138, 440.33 National-bank notes outstanding.State-bank notes outstanding 45, 000. 00 Dividends unpaid 36, 940, 00 Individual deposits "United States deposits Deposits of U. S. disbursing officers. 1, 805, 598. 81 Due to other national banks Due to State banks and bankers . 35, 339.60 22,004.47 Notes and bills re-discount ed Bills payable Total 3,883,323.21 3, 883, 323. 21 Blackstone National Bank, Boston. 4^0. 514. JOSIAH LORING, President Loans and discounts , Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks .fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $3, 893,078.27 1, 048.12 50,000. 00 36, 086.05 487, 999.26 515, 897.65 3,184.04 300, 000. 00 1, 000. 00 8, 395. 56 102, 285.43 56,791.00 175. 46 179, 021.00 237, 000.00 JAMES ADAMS, Cashier. Capital stock paid in | $1, 500, 000.00 Surplus fund Undivided profits 200, 000. 00 32, 056. 90 National-bank notes outstanding State-bank notes outstanding . . . 45, 000. 00 Dividends unpaid. 38,437.50 Individual deposits \ 3,4S0,113. 86 United States deposits ! Deposits of U. S. disbursing officers - Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . . Bills payable 275, 992.66 308,610.92 2,250. 00 6, 000. 00 5, 880, 211.84 Total . 5,880, 211. 84 Boston National Bank, Boston. SILAS PEIRCE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents . Due from other national banks ' Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 408. $2,800,859. 36 50, 000. 00 200, 000. 00 139, 000.00 1,732, 139.46 609, 387.12 2,919.90 4, 400. 00 26, 000.00 22, 832. 02 159, 472. 32 12, 811. 00 243, 325. 00 39, 000. 00 D. B. HALLETT, Cashier. Capital stock paid i n . Surplus fund Undivided profits $1, 000, 000. 00 134, 000. 00 27, 304. 31 National-bank notes outstanding-. State-bank notes outstanding ..... 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 2, 844,173.80 175,320.31 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 24, 704. 00 1, 678, 482. 05 115, 405. 71 2, 250. 00 6,044,396.18 Total . 6, 044,396.18 70 KEPOKT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Boylston National Bank, Boston. JOSEPH T. BAILEY, President. No. 545. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... II. S. bonds to secure deposits II. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Kedemption fund with Treas. U. S Due from Treasurer U. S Total $1, 866, 0L8.76 42.77 50, 000.00 18,487.50 166, 854. 07 62, 997.74 1, 081. 73 6, 732. 75 25, 921.21 29, 821.00 182.67 98, 900.00 70, 200.00 D. S. WATERMAN, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable $700, 000. 00 210, 000. 00 94, 493. 40 45, 000. CO 21, 601. liO 1,179,143. 03 15,329.10 133, 723. 67 2, 250. 00 2,399,490.20 2, 899. 490.20 Total , Broadway National Bank, Boston. K. C. DOWNER, President Loans and discounts O verclrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits *U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-house, furniture, and fixtures O ther real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S . Due from Treasurer U. S Total No. 551. $1, 222, 362.81 Capital stock paid in. 5, 596.61 50,000. 00 Surplus fund 138, 356.12 121,358.84 8, 750. 00 12,008.18 128,536.71 11, 787. 00 43.27 36, 005.00 78,000.00 W. K. DRESSER, Cashier. $200, 000. 00 Undivided profits. National-bank notes outstanding.. State-bank notes outstanding ..*... Dividends unpaid 75, 000. 00 13,293.59 45,000.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 1,371,014.05 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 30, 000. 00 84, 746. 90 2,250.00 4,000. 00 1,819,054.54 Total. 1,819,054. 54 Bunker Hill National Bank of Charlestown, Boston. TIMOTHY T. SAWYEU, President. Loans and discounts No. 635. $1, 296, 862. 35 Capital stock paid in U. S. bonds to secure circulation 250, 000. 00 U. S. bonds to secure deposits U S bonds on hand . . Stocks, securities, judgments, etc .. Due from approved reserve agents. 372, 742. 01 Due from other national banks 35, 532. 98 Due from State banks and bankers. Bank'g-house,furniture, and fixtures 25, 000.00 Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items 39,742. 53 Exchanges for clearing-house Bills of other national banks 25,472.00 Fractional currency, nickels, cents . 50. 00 Specie 65,189. 48 Legal-tender notes 88, 292. 00 U. S. certificates of deposit Kedemption fund with Treas. U. S. 11, 250. 00 Due from Treasurer U. S 2, 210,133. 35 Total C. R. LAWRENCE, Cashier. $500, 000. 00 Surplus fund Undivided profits 300, 000. 00 78, 332. 46 National-bank notes outstanding.. State-bank notes outstanding 225, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofticers. 20, 623.00 1, 086,177. 89 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bill s payable Total 2, 210,133. 35 EEPOET OF THE COMPTROLLER OF THE CURRENCY. 71 MASSACHUSETTS. Central National Bank, Boston. No. 2103. C. H. ALLEN, President 0. IT. LUKE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfix tares Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes # U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total Liabilities. $1,311,913.01 G, 021.19 50, 000. 00 342, 003. 50 181, 002.48 79, 619. 38 Capital stock paid in $500, 000. 00 Dividends unpaid .. 1,885.13 41,755.79 5,010.00 84. 61 80. 902.64 57, 000. 00 10, 000. 00 2, 250. 00 69, 500.00 244, 669.87 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 44, 440.00 I i 15,147. 00 Individual deposits United States deposits United States deposits Deposits of U.S. disbursing officers j . Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 2,169, 007.73 Total 926, 339.11 300, 589.10 68, 322. 65 2,169, 007.73 Columbian National Bank, Boston. JOHN T. COOLIDGE, President. Loans and discounts Overdrafts D. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, secarities, judgments, etc . . Due from approved reserve agents. Due from other national banks. . Due from State banks and bankers. Bank'g-house, furniture, andfixtnres Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other ca?h items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie " . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total No. 1029. ,964,951.49 242. 42 50, 000.00 39, 046. 08 251,152.38 315,116. 77 L. W. BUIILEN, Cashier. Capital stock paid in. $1, 000, 000. 00 Surplus fund Undivided profits. 225, 000. 00 15, 984. 56 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 12, 509.73 56,231.91 21, 01G. 00 313.35 112, 315. 05 56, 000. 00 45, 000. 00 20, 000. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 1, 333, 640. 31 241,520.31 2, 250.00 2,881,145.18 Total . 2, 881,145.18 Commercial National Bank, Boston. OTIS HINMATS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3923. $651, 726. 52 50, 000.00 77, 719.43 73, 602. 43 GrEO. B. FORD, Cashier. Capital stock paid in. $250, 000. 00 Surplus fund Undivided profits. 16, 387. 54 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid 10, 000. 00 7,074.45 14, 000. 00 ' 520. 00 24, 537. 86 2, 500. 00 14.12 30, 865.40 43, 725. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 614,193. 90 Due to other national banks Due to State banks and bankers . . 55, 854. 52 7, 099. 25 Notes and bills re-discounted. Bills payable 2, 250.00 988, 535. 21 Total. 988, 535, 21 72 REPORT OF THE COMPTROLLER OF TEIE CURRENCY. MASSACHUSETTS. Continental National Bank, Boston. WILLIAM T. HART, President. No. 524. CHARLES F. SMITH, Cashier, Resources. Liabilities. Loans and discounts $2,030,041.63 Overdrafts 50, 000.00 U. S. bonds to secure circulation... 50, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 226,168. 00 Due from approved reserve agents. 79, 372.60 Due from other national banks Due from State banks and bankers. 192,157.73 Bank'g-house,furniture,au<l fixtures 38, 330. 00 Other real estate and mortg's <>\v neri 11,3:19.92 Current expenses and taxes paid... 5, 875. 00 Premiums on U. S. bond s 17,641.12 Checks and other cash items 82,339.12 Exchanges for clearing-house 33, 573. 00 Bills of other national banks 944. 51 Fractional currency, nickels, cents . 133, 630. 00 Specie 36, 600. 00 Legal-tender notes U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S. Due from Treasurer XT. S Total $1, 000, 000. 00 Capital stock paid in . Surplus fund . burplus fund Undivided profits. National-bank notes outstanding State-bank notes outstanding Dividends unpaid. 200 000.00 144; 320.43 42, 200. 00 1, 096.00 Individual deposits United States deposits DepositsofU.S.disbursingolBcers Due to other national banks Due to State banks and bankers . 1, 275, 644. 08 55, 000. C O 74,126. 03 197, 846. 69 Notes and bills re-discounted . Bills payable Total. 2,990,233.23 2, 990,233. 23 Eliot National Bank, Boston. WILLIAM H. GOODWIN, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure,deposits U. S. bonds on hand .' Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankets Bauk'g-house,fnrniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total F . HARRINGTON, Cashier. No. 536. $2, 594, 007.18 so," 666." 66' 48, 000.00 321,736.99 85,165. 28 7, 208.42 Capital stock paid in. $1,000,000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 45, 000.00 28, 056. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 321. 66 138, 447. 47 3, 720. 00 31.37 101, 599. (10 15, 300. 00 500, 000. 00 28,118. 05 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 378, 507. 95 119, 814.14 190, 291. 2:J 140, 000. 00 2,250. 00 3,429,787.37 Total 3,429,787.37 Everett National Bank, Boston. WARREN SAWYER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand , Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Trea->. U. S Due from Treasurer U. S Total. No. 1469. $1, 016,287.01 5O,"666.66 33,162.50 221, 785. 00 40, 523. 82 JOHN REYNOLDS, Cashier. Capital stock paid in. 28, 897. 39 26, 686. 06 National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 Dividends unpaid 2.08 19, 499. 94 165, 069. 56 17,107.00 98. 82 79, 245.70 43, 000. 00 $400, 000.00 Surplus fund Undivided profits Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 9, 732. 50 1,061,051.73 115, 730. 85 932.90 2, 250. 00 1,688,031.43 Total 1,688,130.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 73 MASSACHUSETTS, Faneuil Hall National Bank, Boston. No. 847. J. V. FLETCHER, President Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house.fumiture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S $2, 488, 531.58 1, 301. 57 50,000.00 10, 400, 00 125, 245. 44 113, 354.60 120, 000. 00 740. 89 100, 876. 79 17, 757. 00 365,10 197,710.00 73, 000. 00 Dividends unpaid 30, 825. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,665,819.99 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 130,160.48 58, 329. 75 2, 250. 00 3,303,435.97 Total. T. G. FILER, Cashier. Liabilities. j $1,000,000.00 Capital stock paid in. 200, 000. 00 Surplus fund 173, 300.*75 Undivided profits 45, 000. 00 National-bank notes outstanding.. State-bank notes outstanding 3, 303,435.97 Total . First Ward National Bank, Boston. No. 2112. S. H. WHIDDEX, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. GEO. W. MOSES, Cashier. $716, 708. 24 Capital stock paid in. '"" "5*6," 666." 604 urp Undivided profits. C6, 527. 51 42, 247.55 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 18.23 428. 35 20, 238. 28 2, 246. 00 617.15 59, 961. 45 10, 725.00 15, 000.00 2, 250.00 976,967. 76 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. $200,000. 00 70, 000.00 14,641.08 44, 000. 00 5, 958.00 639, 583.44 2, 785.24 976, 967. 76 Freeman's National Bank, Boston. W. A. RUST, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furnitur6,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total GEO. P. TENNEY, Cashier. No. 665. $800, 000.00 Capital stock paid in. Surplus fund 121, 035.00 20,129. 92 Undivided profits 10, 000.00 National-bank notes outstanding.. 45, 000. 00 264,994.97 State-bank notes outstanding $2,139, 672.49 1, 371. 44 50, 000. 00 92,616.62 183. 64 4, 000. 00 8, 000. 00 5,800.71 49, 853. 65 27, 700. 00 715. 72 148, 972.66 69, 983. 00 Dividends unpaid 16,122. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 1, 398, 541. 73 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 308,175.37 167,116. 88 2, 250. 00 2,876,120.90 Total. 2, 876,120. 90 74 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Globe National Bank, Boston. No. 936. C. O. BILLINGS, President. Resources. $2,325,442.71 Loajis and discoun ts 43, 903. 74 Overdrafts 50, 000. 00 IMS. bonds to secure circulation... UrS. bonds to secure deposits U.S. bonds on hand 381,137.50 Stocks, securities, judgments, etc.. 333, 620. 56 Due frorn approved reserve agents. 154, 440.36 Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid 7, 500. 00 Premiums on U. S. bonds Checks and other cash items 9, 400.00 389,091.91 Exchanges for clearing-house... 11,367.00 Bills of other national banks.... Fractional currency, nickels, cents. 71.77 131,800.00 Specie 158, 314.00 Legal-tender notes U. S. certificates of deposit Redemption fund with U. S. Treas. 2, 250.00 Due from Treasurer U. S $1, 000, 000. 00 Capital stock paid in. Surplus fund. Undivided profits. 45, 200. 00 39,102. 93 National-bank notes outstanding. State-bank notes outstanding. — 44, 990.00 20, 508. 00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers. 2,104, 842.81 Due to other national banks Due to State banks and bankers . . 689, 500.18 51,195. 63 Notes and bills re-discounted . . Bills payable 3, 998, 339. 55 Total. CHAB. H. COLE, Cashier. Liabilities. Total 3, 000. 00 3, 9<>8,339. 55 Hamilton National Bank, Boston. A. H. BEAN, President. No. 778. GEO. W. NEWHALL, Cashier. $1, 870, 268. 76 Capital stock paid in. Loans and discounts 5.08 Overdrafts U. S. bonds to secure circulation... 50, 000.00 Surplus fund U. S. bonds to secure deposits Undivided profits . U. S. bonds on hand Stocks, securities, judgments, etc.. 2, 665.00 National-bank notes outstanding.. Due from approved reserve agents. 154, 870.59 State-bank notes outstanding 321, 283. 52 Due from other national banks Due from State banks and bankers. Dividends unpaid Bank'g-house,furniture,and fixtures Individual deposits Other real estate and niortg's owned United States deposits Current expenses and taxes paid... Deposits of U.S. disbursing officers Premiums on U. S. bonds 1, 062. 25 Checks and other cash items 182, 087.14 Due to other national banks Exchanges for clearing-house Bills of other national banks 4, 403.00 Fractional currency, nickels, cents. 114.13 Due to State banks and bankers ., Specie ' 87, 206. 00 Notes and bills re-discounted . 79, 887. 00 Bills payable Legal-tender notes 10, 000. 00 U. S. certificates of deposit 2, 250. 00 Redemption fund witii U. S. Treas. Due from Treasurer U. S Total 2,766,102.47 Total. $750, 000.00 200, 000.00 46, 589. 80 45, 000. 00 15, 372. 00 1, 592, 361. 36 116, 779. 31 2, 766,102.47 Howard National Bank, Boston. REUBEN E. DEMMON, President. No. 578. S. F . WILKINS, Cashier. $2, 740, 073. 21 Capital stock paid in . $1, 000, 000. 00 Loans and discounts 1,135. 27 Overdrafts 181, 564. 59 50, 000.00 Surplus fund U. S. bonds to secure circulation... 83,135. 56 U. S. bonds to secure deposits Undivided profits U. S. bonds on hand 45, 000. 00 49, 475. 00 National-bank notes outstanding. Stocks, securities, judgments,etc.. 267, 710. 55 State-bank notes outstanding Due from approved reserve agents. 132,174. 63 Due from other national banks 2,516.19 Dividends unpaid.Due from Slate banks and bankers. 36.00 38, 939. 26 Bauk'g-house,furniture,and fixtures 14, 750. 00 Individual deposits Other real estate and mortg's owned 1, 648, 958.15 United States deposits Current expenses and taxes paid .. Premiums on U. S. bonds 2,"818."75' Depositsof U.S. disbursing officers. 11,339.02 Checks and other cash items 485. 397. 57 189, 236. 33 Due to other national banks Exchanges for clearing-house 6, 470. 00 Due to State banks and bankers . 328, 852. 67 Bills of other national banks 136.33 Fractional currency, nickels, cents. 199, 920. 00 Notes and bills re-discounted . Specie 64, 000. 00 Bills payable Legal-tender notes U. S. certificates of deposit ^Redemption fund with Treas. U. S. Due from Treasurer U. S Total 2, 250. 00 3, 772, (J4i. 54 Total. 3, 772, 944.54 BEPGRT OF THE COMPTROLLER OF THE CURRENCY. 75 MASSACHUSETTS. Lincoln National Bank, Boston. No. 2846. N. J. KUST, President E. C. WHITNEY, Cashier. Resources. Loans and discounts TJ S bonds to secure circulation. U. S. bonds to secure deposits Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes ...... TJ. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total Liabilities. $1,046,453.81 50 000.00 285, 768. 35 102, 966. 25 1, 000. 00 12, 500. 00 6, 387.49 64,013.15 5, 220. 00 2, 530.34 70, 700. 00 30 000.00 Capital stock paid in $300, 000. 00 Surplus fund Undivided profits 34, 500. 00 10,348.13 National-banknotes outstanding.. State-bank notes outstanding 45, 000. 00 7, 537. 50 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 915, 759. 02 Due to other national banks Due to State banks and bankers . . 358, 310. 76 8, 333. 1)8 Notes and bills re-discounted Bills payable 2, 250. 00 Total 1, 679, 789. 39 1, 679, 789. 39 Manufacturers' National Bank, Boston. WESTON LEWIS, President. No. 2111. F . E. SEAVER, Cashier. $1,402,156.65 Loans and discounts Capital stock paid in. 1,126.90 O verdrafts 50, 000. 00 Surplus fund. U. S. bonds to secure circulation . . . 100, 000.00 Undivided profits. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned! Current expenses and taxes paid... Premiums on TJ. S. bonds ! Checks and other cash items Exchanges for'clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total 4, 230.48 272, 311.43 160,433.99 164, 940.66" 73." 28" 25, 587. 32 1, 027.45 54, 788. 36 9,129. 00 145.93 43, 808. 50 126, 000.00 $500, 000. 00 31,700.00 44, 287. 68 National-bank notes outstanding State-bank notes outstanding . . . Dividends unpaid 45, 000. 00 I 10, 246.00 Individual deposits United States deposits Deposits of U. S. disbursing officers 1, 482, 651.12 lt'0, 000. 00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted.. Bills payable 161, 055. 23 44, 569. 26 2, 250.00 1, 500.00 2,419,509.2! Total. 2, 419, 509. 29 Market National Bank, Boston. CHARLES J . WHITMORE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items E xchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 505. $1, 989,338. 96 JOSIAH Q. BENNETT, Cashier. Capital stock paid in 50*666"66* Surplus fund Undivided profits 91,545.37 230,143. 96 87, 736. 50 3, 000. 00 6,119. 62 118.336. 79 19, 766. 00 655. 75 131,589.00 66, 476.00 $800, 000.00 70, 000. 00 22, 805. 57 National-bank notes outstanding.. State-bank notes outstanding 43, 900.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. 1,169, 810. 74 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable T 16,066.00 570. 000. 00 1U7, 315. 64 2, 250. 00 3, 000. 00 2, 799, 957.95 Total. 2, 799, 957. 95 76 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Massachusetts National Bank, Boston. WILLIAM A. FRENCH, President. No. 974. CHAS. "W. PERKINS, Cashier. Resources. Loans and discounts O v erd raft s U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer U. S Total. Liabilities. !, 001, 051.17 692.60 50, 000.00 Capital stock paid in. $800, 000. 00 126, 000. 00 5,175. 39 Surplus fund Undivided profits 21,520.00 National-bank notes outstanding. 200, 428. 21 State-bank notes outstanding 106, 053.49 7,545.39 Dividends unpaid 12, 500. 00 18, 420. 26 128, 064. 20 •13,160.00 70.50 160, 393.00 26, 300. 00 45, 000.00 16, 265.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 1,114, 294.14 Duo to other national banks Due to State banks and bankers.. 358, 000. 90 283, 713. 39 Notes and bills re-discounted. Bills payable 2, 250.00 2,748,448.82 Total.. 2, 748, 448. 82 Maverick National Bank, Boston. A S A P . POTTER, President. No. $8, 284, 914.07 Loans and discoun ts 41.73 Overdrafts 50, 000. 00 U. S. bonds to secure circulation . . . U. S. bonds to secure deposits . . . . . 2O,256."o6 U. S. bonds on hand 663, 070.12 Stocks, securities, judgment?1, etc .. 1.39H.345. 15 Due from approved reserve agents. 820, 059.16 Duo from other national banks . -. Due from State banks and bankers Bank'g-house, furniture, and fix nirr Other real estate and mortg's owned Current expenses and taxes paid... 5, 761. 38 Premiums on U. S. bonds 23, 8.'J0. 01 Checks and other cash items 782, 875. 43 Exchanges for clearing-house 40, 112.00 Bills of other national banks Fractional currency, nickels, cents. 80.39 933, 546.40 Specie 377, 750. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total 677. Capital stock paid in. J. W. WORK, Cashier. Surplus fund Undivided profits $400, 000. 00 600, 000. 00 355, 935, 25 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 45, 000. 00 20, 000. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 4, 630, 091. 24 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 5, 742,131. 76 1, 0U9, 727. 59 13,402,885.84 Total 13,402,885.84 Mechanics' National Bank, Boston. C. O. L. DILLAWAY, President No. 932. • SAMUEL A. MERRILL, Cashier. $1,104, 756.68 Capital stock paid in . Loans and discounts 1, 483. 77 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits Undivided profits. U. S. bonds on hand National-bank notes outstanding.. Stocks, securities, judgments, etc.. Due from approved reserve agents. 130, 516. 05 State-bank notes outstanding Due from other national banks 92, 219.44 Due from State banks and bankers Dividends unpaid Bank'g-house,furuiture,aridlixtures 11,913.51 Individual deposits Other real estate and mortg's owned Current expenses and taxes paid... "'i,"663.44 United States deposits Premiums on U. S. bonds Deposits of U. S. disbursing offi cers Checks and other cash items 5, 054.00 65, 029.45 Due to other national banks Exchanges for clearing-house 30,960.00 Due to State banks and bankers.. Bills of other national banks 48. 72 Fractional currency, nickels, cents. 102, 520.00 Notes and bills re-discounted. Specie 25, 000. 00 Bills payable Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S 2, 250. 00 Due from Treasurer U. S Total. 1,623,415.06 Total. $250, 000.00 50, 000.00 34, 421. 21 44, 270.00 1, 893. 50 1, 034, 666. 69 81,397.60 126, 766. 06 1, 623, 415. 06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 77 MASSACHUSETTS. Merchandise National Bank, Boston. ISRAEL G. WHITNEY, President. Resources. Loans and discounts | Overdrafts I U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers, j Bank'g-house, furniture, andfixtures! Other real estate and mortg's ownedj C urrent expenses and taxes paid... | Premiums on U. S. bonds ! Checks and other cash items j Exchanges for clearing-house i Bills of other national banks. I Fractional currency, nickels, cents.! Specie .' Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S -1 Due from Treasurer TJ. S j Total No. 2304. CHARLES H. KELHAM, Cashier. Liabilities. $698, 637.25 Capital stock paid in. 50,000. 00 Surplus fund Undivided profits.. 10,400. 00 National-bank notes outstanding.. 93, 230.45 State-bank notes outstanding 186, 427. 28 10,425. 72 10, 537. 50 6, 656. 40 23, 072. 71 5. 884.00 184.13 37,182. 50 27,850, 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $500, 000. 00 38, 250.00 9,635. 91 45, 000. 00 2.00 516, 896. 24 52, 953. 76 2,250.00 • 1,162,737.94 Total . 1,162,737.94 Merchants' National Bank, Boston. FRANKLIN HAVEN, JR., President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Ban k' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. A. P. WEEKS, Cashier. No. 475. $6, 727, 994.22 135,000. 00 55, 000. 00 153, 432. 86 1,134 629.06 529,' 517.15 141, 402.10 500, 000.00 69.54 24, 474. 85 1,108, 085. 72 87, 522. 00 2,103.16 674,436.25 149, 708. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $3, 000, 000. 00 1, 000, 000. 00 250, 087. 85 121, 500. O O ' 65, 578. 00 6, 423, 882. 75 66, 900. 63 253,107. 40 248, 333. 28 6,075.00 11, 429,449. 91 Total . 11, 429, 449. 91 Metropolitan National Bank, Boston. W. S. BLANCHARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total No. 2289. $977, 745. 37 17,249. 63 50,000.00 76, 250. 25 49,896.83 16.35 2, 500.00 6, 554.09 18, 254. 68 4, 64-2.00 131. 41 20,703.85 43, 700. 00 G. HOWE DAVIS, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $500, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 10, 540. 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. 65, 000. 00 12, 037. 96 45, 000. 00 587, 966. 62 48,749. 88 Bills payable 2,250.00 1,269,894.46 Total 1,269,894.46 78 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Monument National Bank of Charlestown, Boston. JAMES 0. CURTIS, President. No. 1005. WARREN SANGER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Dae from approved reserve agents Due from oiber national banks Due from State banks and bankers. Bank'g-bouse, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.lS. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Liabilities. $561, 820.44 302.66 50,000.00 64, 000. 00 109, 305. 97 Capital stock paid in. Dividends unpaid. 17, 758. 03 12, 362. 00 10.19 22, 679. 75 5,500.00 160, 000.00 51,261.49 45, 000. 00 9.186.00 Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks i Due to State banks and bankers ..! Notes and bills re-discounted . Bills payable 430,199. 08 342.47 2, 250.00 845, 989. 04 Total. $150, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 845.989.04 Total . Mount Vernon National Bank, Boston. THOMAS N. HART, President. No. 716. $90i, 460. 21 Loans and discounts . 11.08 Overdrafts . 50, 000.00 U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . 108, 963.17 Due from approved reserve agents. 70, 841.48 Due from other national banks Duefrom State banks and bankers . . . . Bank'g-house, furniture, and fixtures . . . Other real estate and mortg's owned . . . Current expenses and taxes paid . . . \ . . . Premiums on U. S. bonds i... 1, 064.49 Checks and other cash items . 22, 813. 82 Exchanges for clearing-house 8, 529. 00 Bills of other national banks 290. 99 Fractional currency, nickels, cents . 78, 585.02 Specie 28, 399. 00 Legal-tender notes 10, 000.00 U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S . Due from Treasurer U. S Total FRANK E. BARNES, Cashier. $200, 000.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 50, 000.00 29,492.85 43, 740. 00 6, 000. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 815, 827. 71 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 100, 000.00 41,147. 70 Total 1,286,208.26 1,286,208.26 National Bank of Commerce, Boston. CALEB H. WARNER, President. No. 554. $4,452,281.24 Loans and discounts 189. 65 Overdrafts 50, 000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand „ Stocks, securities, judgments, etc . . 575, 882. 40 Due from approved reserve agents. 500.278. 96 Due from other national banks Due from State banks and bankers. 33, 667. 60 Bank 'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items 667. 45 Exchanges for clearing-house 92, 524. 06 Bills of other national banks 81, 281. 00 190.12 Fractional currency, nickels, cents . 269.130. 55 Specie 95, 000. 00 Legal-tender notes U. S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S Due trom Treasurer U. S Total. 6,153, 343.03 <x. W. HARRIS, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. $1, 500,000.00 300, 000. 00 220, 080. 33 45, 000. 00 46,146. 96 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 856, 762. 25 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable , 1,116, 085. 54 69,267.95 Total 6,153,343.03 REPORT OF THE COMPTROLLER OF THE CURRENCY. 79 MASSACHUSETTS. National Bank of North America, Boston. ISAAC T. BURR, President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixture:Other real estate and morgt's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of d e p o s i t . . . . Redemption fund with Treas. U S. Due from Treasurer U. S Total No. 672. $2, 331,922.85 25. 71 50, 000. 00 82, 250. 00 180, 770. 93 83, 398. 21 7,186. 79 322, 719. 54 6, 689. 00 15. 15 168, 870. 00 24, 672. 00 A. F. LUKE, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $1, 000, 000.00 200, 000. 00 118, 470. 85 45, 000. 00 30,171. 00 Individual deposits United States deposits Deposits ofU.S. disbursing officers. 1, 665, 802. 70 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 139 964. 05 61 i 361. 58 2, 250. 00 3, 260, 770.18 Total 3, 260, 770. IS National Bank of Redemption, Boston. JAMES B. CASE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U, S. bonds to secure deposits U. S. bonds on hand — Stocks, securities, judgments, etc . Due from approved reserve agents. ] Due from other national banks Due from State banks and bankers -1 Bank'g-house, furniture, andfixturesj Other real estate and mortg's ownedj Current expenses and taxes paid...) Premiums on U. S. bonds i Checks and other cash items Exchanges for clearing-house ' Bills of other national banks i Fractional currency, nickels, cents. j Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . No. 515. E. H. PRESBREY, Cashier. !, 552, 683.62 Capital stock paid in. 52,295.84 I 50, 000.00 Surplus fund Undivided profits. 10, 1, 289, 481, 32, 922. 157. 009. 070. 22 82 85 82 $1,000,000.00 300, 000. 00 190,882.10 Natioual-bank notes outstanding-. State-bank notes outstanding Dividends u n p a i d . 45, 000. 00 117.00 I Individual deposits 204.10 j I United States deposits Deposits of U. S.disb ursing ofiicers 10,234.01 i 541, 727.08 Due to other national banks Due to State banks and bankers .. 1, 395, 804. 23 5,127,109.15 1, 888,733.19 Notes and bills re-discounted . Bills payable Total . 0, 947,645.67 National Bank of the Commonwealth, Boston. A. L. NEWMAN, President Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand. Stocks, securities, judgments, etc . Due from approved reserve agents . Due from other national banks Due from State bank sand bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional cuireDcy, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer IT. S Total No. 1827. $3,480, 393.19 274. 09 50, 000.00 200, 000. 00 13, 500. 00 719,173.74 748, 253. 79 25, 593. 65 300, 000.00 24, 662. 44 57, 30, 286, 25, 250. 00 416.70 624. 64 721. 00 87. 38 405, 200. 00 10, 000. 00 A. T. COLLIER, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid $500,000.00 200, 000. 00 62, 268. 01 45, 000. 00 15, 874. 00 Individual deposits United States deposits Deposits ot'XJ.S.disbursing officers. 2, 480, 591. 94 220, 000.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 2, 056, 481. 92 804,831.75 2,"256."66' 5, 650.00 6,385,050.62 Total 6,385,050.62 80 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. National Bank of the Republic, Boston. CHARLES A. VIALLE, President No. 379. H. D. FORBES, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $5,160,926.46 50, 000. 00 11,175.00 1, 474, 745. 65 486, 200. 35 Capital stock paid in $1, 500, 000. 00 Surplus fund. Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 800, 000. 00 173, 861.64 45, 000. 00 53,165. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers 417, 566. 25 3, 000.00 Due to other national banks Due to State banks and bankers .. 217,000. 00 238,000. 00 4, 265, 678. 01 Notes and bills re-discounted 567,180. 31 655, 978. 75 2, 250. 00 Total 8, 060, 863. 71 8, 060, 863. 71 National City Bank, Boston. W. R. DurEE, President Total GrEO. W. G R A N T , Cashier. No. 009. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks — Due from State banks and bankers. Bank 'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, niekels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $2,140,277.14 56,606.66 67, 800. 00 275, 376. 85 66,117.66 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends u n p a i d . 119.41 3, 805.52 30,791.24 16, 782. 00 519.87 144, 300.00 36,100.00 $1,000, 000. 00 116,707.04 825.40 45, 000. 00 115.50 Individual deposits United States deposits Deposits of U. S. disbursing offi cers. 1,165, 662.02 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 201,633.86 304, 295.87 2, 250.00 2,834,239.69 Total . 2, 834, 239.69 National Eagle Bank, Boston. ROBERT S. COVELL, President. No. 993. Loans and discounts $2,145, 289.54 Overdrafts U. S. bonds to secure circulation 5O,"666."66" U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . 19,010.00 Due from approved reserve agents. 222, 941.94 Due from other national banks 37, 487.89 Due from State banks and bankers. Bank' g-house, furniture, andfixturea Other real estate and mortg's owned Current expenses and taxes paid... 23.95 Premiums on U. S. bonds 10, 000.00 Checks and other cash items 1, 608.82 Exchanges for clearing-house 43, 874,28 Bills of other national banks 6, 524.00 Fractional currency, nickels, cents. Specie 97,110.25 Legal-tender notes 92,102.00 U. S. certificates of deposit Redemption jfund with Treas. U. S. 2, 250.00 Due from Treasurer U. S Total 2,728,282.67 WM. Gr. BROOKS, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. $1,000,000.00 150, 700. 00 33, 237. 02 43,860. 00 26,526.50 1,441,177.45 32, 781.70 Notes and bills re-discounted. Bills payable Total. 2,728,282.67 KEPOKT OF THE COMPTROLLER OF THE CURRENCY. 81 MASSACHUSETTS. National Exchange Bank, Boston. EDWARD L. TEAD, President. No. 529. JOHN J . EDDY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house. furniture, and fixtures Other real estate anil mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items . Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legaltender otes Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U.S. Total $5, 898, 839.61 81.45 50, 000. 00 39, 660. 00 695, 995. 70 346,771.38 Capital stock paid in. $1, 000, 000. 00 Surplus fund Undivided profits. 250, 000.00 133,4G8. 59 National-bank notes outstanding.. State bank-notes outstanding 45, 000. 00 Dividends unpaid 384.25 40,914.27 436,147. 68 20,140.00 16.61 683,458. 00 108, 800.00 31,041.00 Individual deposits , United States deposits Deposits otU.S.disbursing officers. 3,500,120.82 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 2,696,804.41 667,024.13 2, 250. 00 Total 8,323,458.95 8,323,458.95 National Hide and Leather Bank, Boston. GEORGE RIPLEY, President. No. 460. W. A. FAULKXEK, Cashier. $3,439,031.41 j Capital stock paid in Loans and discounts $1, 500, 000. 00 244. 36 Overdrafts 50, 000. 00 Surplus fund 300, 000. 00 U. S. bonds to secure circulation . . . U. S. bonds to secure deposits 140,219.34 I Undivided profits U. S. bonds on hand 76, 509.58 Stocks, securities, judgments, etc . . National-bank notes outstanding. 42, 300. 00 Due from approved reserve agents. 413, 237. 54 State-bank notes outstanding 263, 447.07 Due from other national banks 98.99 Due from Statebanks and bankers. Dividends unpaid 159. 00 Bank' g-house, furniture, and fixtures Other real estate and mortg's ownedj Individual deposits 1, 025, 920. 44 Current expenses and taxes paid... 15, 806. 43 United States deposits Premiums on U. S. bonds Deposits of U.S.disbursing officers 4,191. 25 Checks and other cash items 120,531.06 Due to other national banks Exchanges for clearing-house 1, 219,132. 97 2, 859. 00 Due to State banks and bankers . . Bills of other national banks 438, 098. 34 1, 750. 90 Fractional currency, nickels, cents. 176, 822. 50 Notes and bills re-discounted. Specie 99, 050. 00 Bills payable Legal-tender notes U. S. certifi cates of deposit Redemption fund with Treas. U. S. 2, 250.00 Due from Treasurer U. S Total ' 4,665,830.09 Total 4,665,830.09 National Market Bank of Brighton, Boston. GritANViLLE FULLEU, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, e t c . . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house,furniture,andfixtures Other real estate and mortg's o\v ned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit . . . . . . Redemption fund with Tieas. U. S Due from Treasurer U. S Total H. Ex. No. 806. $490, 554.26 7, 835. 53 100, 000.00 15,000. 00 18,018. 87 F . G. NEWHALL, Cashier. Capital stock paid in | $250, 000.00 Surplus fund Undivided profits. 75,000 (0 31, 964. (59 National-bank notes outstanding.. State-bank notes outstanding 89, 450.00 Dividends unpaid. ." Individual deposits ; United States deposits ... ! Deposits ofU.S.disbursing officers, j 5,388.50 236,606.55 9,937.22 j 8, 009. 00 20. 56 8,400.00 25,000.00 Due to other national banks Due to State banks and bankers . . 65.70 Notes and bills re-discounted . . Bills payable i.'ol'ro 688,475.44 , To tul. 688, 475.44 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. National Revere Bank, Boston. GEORGE S. BULLEKS, President. H. BLASDALE, Cashier, No. 1295. Resources. Liabilities. $1,500,000.00 Loans and discounts j $5, 329,675.82 Capital stock paid in. 2,154. 81 Overdrafts 300,000.00 50, 000. 00 Surplu s fund U. S. bonds to secure circulation... 90, 970. 99 300, 000. 00 TJ. S. bonds to secure deposits Undivided profits . TJ. S. bonds on hand 45, 000. 00 Stocks, securities, judgments, etc .. 21, 500.00 National-bank notes outstanding Due from approved reserve agents. 838,108. ^8 State-bank notes outstanding ... 509,489.29 |! Due from other national banks 7,486. 38 j; Dividends unpaid 45, 204. 00 Due from State banks and bankers Bank'g-house, furniture, andfixturcs 3,293,482.46 Other real estate and inortg's owned Individual deposits Current expenses and taxes paid... 330, 000. 00 United States deposits 75, 000. 00 Deposits ofTT.S. disbursing officers. Premiums on U. S. bonds 5,287.73 Checks and other cash items 2, 277, 017. 28 Exchanges for clearing-house 238, 453. 84 Due to other national banks 182, 880.62 15, G71.00 Due to State banks and bankers . . Bills of other nationafbanks Fractional currency, nickels, cents. 30. 90 446, 996. 60 Notes and bills re-discounted. Specie 222,450. 00 Bills payable Legal-tender notes IT. Is. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer TJ. S Total 8,064,555.35 Total I 8,064,555.35 National Rocklaiid Bank of Roxbury, Boston. SAMUEL LITTLE, President. No. 615. li. B. FAIKBAIRN, Cashier. $1, 349, 092.16 Loans and discounts 830.29 Overdrafts 50, 000. 00 IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand — Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from; State banks and bankers Bank'g-house, furniture, and fixtures Othei real estateandmortg'aowned Current expenses and taxes paid Premiumaon U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total Capital stock paid in. Surplus fund Undivided profits 19, 000. 00 National-bank notes outstanding.. 173, 282.8 L State-bank notes outstanding 197,424.14 12, 23Q. 06 Dividends unpaid . $300, 000. 00 150, 000. 00 41, 9ti2. 31 45, 000. 00 948. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 403, 553. 63 14*827.22 j Due to other national banks 13, 020. 00 ! Duo to State banks and bankers . 152. 86 93, 354. 40 | Notes and bills re-discounted. 7,000.00 j Bills payable 2, 250. 00 9, 000.00 Total 1,941,463.94 1,941,463.94 National Security Bank, Boston. S. A. CARLTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer XJ. S Total No. 1675. , 313, 640.12 2,002.36 50, 000.00 121,500.00 184, 670.22 107, 353.98 75, 000. 00 13, 076.03 35,811.51 22, 782.00 809. 35 113, 900. 00 61, 358. 00 CHS. R. BATT, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $250, 000. 00 200, 000. 00 74, 289. 06 45, 000. 00 7, 500 00 1,410,378.88 3.70 116, 981.93 2, 250. 00 2,104,153.57 Total 2,104,153.57 REPORT OF THE COMPTROLLER OF THE CURRENCY. 83 MASSACHUSETTS. National Union Bank, Boston. GEOKGE WHITNEY, President. No. 985. ALMARIN TUOWBRIDGK, Cashier. Resources. Liabilities. $1,982,301.49 Loans and discounts Overdrafts 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand . .... 29,031.25 Stocks, securities, judgments, etc . . 168, 924. 51 Due from approved reserve agents. 388, 390.22 Due from other national banks. . -. Due from State banks and Dankers. Bank'g-house,furniture. and fixtures Other real estate and mortg's owned Current expenses and taxes paid... 1,188.85 Premiums on U.S. bonds Checks and other cash items 10, 981. 94 Exchanges for clearing-house 82, 005. 65 Bills of other national banks 33, 786. 00 Fractional currency, nickels, cents . Specie 93, 612. 78 Legal-tender notes 25, 400. 00 U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S 3, 000.00 Total $1, 000, 000. 00 Capital stock paid in 400, 000, 00 116, 383. 22 Surplus fund , Undivided profits 45, 000. 00 National-bank notes outstanding.. State-bank notes outstanding 32, 655.00 Dividends unpaid 1,274, 585. 40 Individual deposits United States deposits Deposits of U.S.disbursing officers. 2,249.07 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted .Bills payable Total 2, 870, 872.69 1 i2, 870, 872. 69 National Webster Bank, Boston. FRANCIS A. PETERS, President. Total. C. L. RIDDLE, Cashier. No. 1527. Loans and discounts $2, 388, 374.19 Overdrafts U. S. bonds to secure circulation... 50," 666." 65' U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . 41, 614. 75 Due from approved reserve agents. 159, 507. 34 Due from other national banks 45, 983. 89 Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items 1, 612.30 Exchanges for clearing-house 288,136.50 9, 600. 00 Bills of other nationaljbanks 349. 67 Fractional currency, nickels, cents . 94, 596.15 Specie Legal-tender notes 15,100.00 U. S. certificates of deposit Redemption fund with Treas. U. S . 2, 250. 00 Due from Treasurer U. S 3, 000.00 Capital stock paid In | $1, 500, 000.00 225, 631.19 29, 516. 46 Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding . . . 45, 000. 00 Dividends unpaid 22, 479. 00 Individual deposits United States deposits Deposits ofU.S. disbursing officers. 1, 277, 498.14 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 3,100,124. 79 Total j 3, 100, 124.79 New England National Bank, Boston. SAMUEL ATHERTON, President. CIIAS. F. SWAN, Cashier. No. 603. Loans and discounts $2, 631, 686.13 O verdrafts U. S. bonds to secure circulation... 5o,"6o6."66" U. S. bonds to secure deposits... U. S. bonds on hand 28,885. 00 Stocks, securities, judgments, etc . . 204, 487. 68 Due from approved reserve agents. 367, 627. 80 Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... 500. 00 Premiums on U. S. bonds 680.70 C hecks and other cash items 79, 222. 53 Exchanges for clearing-house Bills of other national banks 7,547.00 Fractional currency, nickels, cents . 136, 721. 35 Specie 23, 300. 00 Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Trea3. U. S. Due from Treasurer U. S Total 3,532,908.20 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits $1, 000,000.00 i | 600,000.00 ' 49,880.00 45,000.00 37, 85G. 50 1,476, 057. 39 United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . 29, 962. 84 294,151.47 Notes and bills re-discounted. Bills payable Total., 3, 532; 908. 20 84 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. North National Bank, Boston. JOHN B. WITHERBEE, President. No. 525. EDWIN A.BURHANK, Cashier. Resources. Loans and discounts <• U. S. bonds to secure circulation . . IT. S. bonds to secure deposits . Stocks, securities, judgments, etc . . Due from approved reserve agents. Due fiom other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $2,983,178.42 Capital stock paid in 350, 000. 00 42, 637. 93 Undivided profits 301,709.98 232, 337. 71 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 103. 68 1,198. 55 233, 372.75 17, 520.00 35.11 211,185. 50 67, 000. 00 88,140. 00 30, 390. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 1, 699, 350. 21 Due to other national banks Due to State banks and bankers . . 507, 111. 90 434, 505.66 Notes and bills re-discounted 4,500. 00 4,152,141. 70 Total $1, 000, 000. 00 100,000. 00 Total 4,1,*2,141. 70 Old Boston National Bank, Boston. H. W. PICKERING, President. No. 1015. Loans and discounts $2,008, 293. 27 Overdrafts U. S. bonds to secure circulation... 56*006"oo" U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . 4, 640.00 Due from approved reserve agents. 264, 785. 32 Due from other national banks 38, 953.13 Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house 136, 865.19 Bills of other national banks 2, 767.00 Fractional currency, nickels, cents 153.12 Specie 88, 976. 00 Legal-tender notes 47,154. 00 U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total C. S. STODDAUD, Cashier. Capital stock paid in $900,000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends; mpaid 250, 000. 00 58, 953. 22 45, 000. 00 411.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 1,198, 039. 88 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 133, 822. 76 58, 610.17 2,644,837.03 Total. 2,644,837. 03 People's National Bank of Roxbury, Boston. GEORGE C. LEACH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks 3?ractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 595. $817, 497. 78 132.24 50, 000. 00 176, 064. 54 13,621.19 A. P . Ric IIARDSOX, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State bank notes outstanding Dividends unpaid $300, 000. 00 175, 000. 00 47, 669. 97 45, 000. 00 288. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 567, 444. 21 2, 380.16 Due to other national banks 10, 500.00 Due to State banks and bankers . . 315.86 22, 851. 00 Notes and bills re-discounted. 12, 000. 00 Bills payable 10, 705. 34 8,494.75 2, 250. 00 1,116,107.52 Total ! 1,146,107.52 REPORT OF THE COMPTROLLER OF TIIE CURRENCY. 85 MASSACHUSETTS. Shawmut National Bank, Boston. No. 582. JOHN CUMMINGS, President. JAS. P. STEARNS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash itemi Exchanges for clearing-house Bills of other national banks cents. Fractional currency, nickels, Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S Due from Treasurer U. S Total. $3, 617, 571. 86 361.41 50,000.00 1,000,000.00 Capital stock paid in I $1, 000,000. 00 Surplus fund divided profits. Dndivid 195,000.00 10,815.43 930, 79C. 94 j National-bank notes outstanding . 494,195. 50 i State-bank notes outstanding 1, 090, 827.87 21, 742. 08 Dividends unpaid . 45,000.00 30, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 4, 897, 592. 36 1,060,081.53 17, 083. 57 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 344, 739. 77 986,621.65 7, 452.92 154, i; 1, 233, 17, 000. 00 077. 59 859. 80 227. 00 810.14 280, 9t>2. 20 183, 769.00 500, 000.00 2,250.00 9, 086, 934.31 Total 9,086,934.31 Shoe and Leather National Bank, Boston. J. C. ELMS, President. No. 646. Loans and discounts Overdrafts U. S. bonds to secure circulation,... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total $2, 017, 094.58 7.78 50, 000.00 100, 000. 00 JAMES E. PATCH, Cashier. Capital stock paid in $1,000, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 198, 908. 95 152, 814. 31 2, 348. 45 69, 800.00 71,935.41 45, 000.00 Dividends unpaid •.' 1, 287. 00 Individual deposits 12,097. 38 United States deposits 25, 843. 75 ! Deposits of U.S. disbursing officers, j 1, 077. 99 121, 565. 07 Due to other national banks 5,016. 00 Due to State banks and bankers . . 37. 50 146, 205. 00 Notes and bills re-discounted. 36, 350. 00 Bills payable 930,121. 08 110, 000. 00 622,493.51 20, 979. 76 2, 250. 00 Total 2,871,616.76 2,871, 616. 76 State National Bank, Boston. No. 1028. A. W. STETSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. • Due from approved reserve agents j Due from other national banks j Due from State banks and bankers ' Bank'g-house,furniture,and fixtures' Other real estate and mortal's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents.; Specie j ( Legal-tender notes U, S. certificates of deposit Redemption fund with Treas. IT. S.; Due from Treasurer U. S | Total i 674,151.48 230, 437. 64 Gr. B. W A R R E N . Cashier. Capital stock paid in = 339, 349. 21 , 98. 93 50, 000. 00 400,000.00 Surplus fund Undivided profits I National-bank notes outstanding. State-bauk notes outstanding Dividends unpaid 22. 66 17, 800.00 1,083.52 310,177. 66 10,448.00 5.26 263, 390. 00 171,208.00 Individual deposits United States deposits Deposits of U.S. disbursing officei s Due to other national banks Due to State banks and bankers . . | $2, 000, 000. 00 400, 000. 00 17,918.90 45, 000. 00 43,802. 50 3, 332,697. 77 405, 000.00 181, 934.40 52, 068. 82 Notes and bills re-discounted . Bills payable 2,250.00 j | 8,000.00 | 6,478,422.39 Total. 6, 478,422.39 86 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Suffolk National Bank, Boston. No. C29. A. L. EDMONDS, President. EDW. TYLER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total , $3,604,152.41 50,000.00 12,000.00 793, 200. 74 661,195.11 270." 666.66 3, 875.00 222, 562. 00 37, 017. 00 328,878.13 25, 400. 00 Capital stock paid in $1,500, 000. 00 Surplus fund Undivided profits 295,000. 00 64,005.12 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 43, 800. 00 30, 910.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2,559,578.56 Due to other national banks Due to State banks and bankers . . 714, 344. 97 802, 891.74 Notes and bills re-discounted Bills payable 2, 250. 00 6, 010, 530. 39 6, 010, 530. 39 Total Traders7 National Bank, Boston. F. S. DAVIS, President. Total A. N. COOKIS, Cashier. No. 1442. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S $1, 069,292.86 101.98 50, 000.00 2, 242. 92 123, 485.02 74, 835. 68 6, 410. 86 2,093. 75 1,148. 39 62, 690.39 12, 919.00 77,783. 50 27, 693.00 Capital stock paid in. $u00, 000. 00 Surplus fund . . Undivided profi 25, 000. 00 9, 958. 23 National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 Dividends unpaid. 753.33 Individual deposits United States deposits Deposits of U. S. disbursing officers 858, 256. 24 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 53, 723.34 20, 256.21 2,250.00 1,512,947.35 Total 1,512,947.35 Tremont National Bank, Boston. AARON HOBAKT, President. No. 625. AMOS T. FROTHINGHAM, Cashier. Loans and discounts $3,724,766.85 Capital stock paid in. $2, 000,000.00 Overdrafts 9.79 310, 000.00 U. S. bonds to secure circulation... 50,000.00 Surplus fund 173, 510.94 U. S. bonds to secure deposits Undivided profits. U. S. bonds on hand 119,000. 00 National-bank notes outstanding.. 45, 000. 00 Stocks, securities, judgments, etc .. 443, 302.59 State-bank notes outstanding Dae from approved reserve agents 124, 740. 61 Due from other national banks 2,974. 51 Dividends unpaid Due from State banks and bankers 1,993.50 Bank'g-house, furniture and fixtures Other real estate ami mortg's owned! Individual deposits 1, 852, 097.15 16, 284.82 United States deposits Current expenses and taxes paid... Premiums on U. S. bonds 2, 000. 00 Deposits of U. S. disbursing officers. Checks and other cash items 11,027.41 Exchanges for clearing-house 149,718.25 Due to other national banks 501,081.90 Bills of other national banks 1,764.00 Due to State banks and bankers . . Fractional currency, nickels, cents . 15.66 Specie 110,400.00 i Notes and bills re-discounted . Legal-tender notes 119,429.00 ; | Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S . 2, 250. 00 Due from Treasurer U. S Total 4,883,683.49 Total 4,883,683.49 REPORT OF THE COMPTROLLER OF THE CURRENCY. 87 MASSACHUSETTS. Washington National Bank, Boston. No. 601. N BACON. President. W. IT. BRACKETT, Cashier. i Liabilities. Resources. 7296,"97L~13~j Capital stock paid in Loans and discounts $750, 000. 00 6.16 Overdrafts 50,000.00 Surplus fund 300, 000.00 U. S. bonds to secure circulation... 20, 017.15 TJ. S. bonds to secure deposits Undivided profits. U. S. bonds on hand 133,793. 34 National-bank notes outstanding. 44, 040. 00 Stocks, securities, judgments, e t c 79, 455.31 State-bank notes outstanding Due from approved reserve agents 57, 040. 57 Due from other national banks 19, 208. 00 Due from State banks and bankers. Dividends unpaid. Bank'g-hou8e,furniture,and fixtures Other real estate and mortg's owned Individual deposits 590,685. 85 Current expenses and taxes paid .. United States deposits Deposits of U. S. disbursing officers. Premiums on TJ. S. bonds 0, 638.44 Checks and other cash items 34, 096.92 Due to other national banks 10, 951. 57 Exchanges for clearing-house 14,305.00 Due to State banks and bankers .. 22.47 Bills of other national banks 25.17 Fractional currency, nickels, cents. 30, 943. 00 Notes and bills re-discounted . Specie 30, 000. 00 Bills payable Legal-tender notes U.S. certificates of deposit 2, 250.00 Redemption fund with Treas. TJ. S. Due from Treasurer U. S 1,735,525.04 Total 1,735,525.04 Total . Brockton National Bank, Brockton. DAVIS S. PACKARD, President. N o . 2504. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national bauks Due from State banks and bankers, j Bank'g-house,furniture,and fixturesOther real estate and mortg's owned' Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house.. Bills of other national banks Fractional currency, nickels, cents Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Capital stock paid in. Surplus fund Undividei> profits. d 11,400.00 National-bank notes outstanding.. 159, 329. 47 State-bunk notes outstanding Dividends unpaid.. Individual deposits United States deposits Deposits ot'U.S.disbursing officers 5, 815.13 10.102. 00 15. 48 15,704.50 25, 000.00 Dut to other national banks j Due to State banks and bankers . Notes and bills re-discounted Bills payable $100,000.00 16, 000. 00 11,317.98 43, 460. 00 3,168. 00 515, 943.79 102. 03 2, 250. 00 Total 689, 991.80 Total. C. R. FILLEBROWN, Cashier. $409,615.21 214.50 50, 000.00 689, 991. 80 Home National Bank, Brockton. RUFU8 P. KINGMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks - -. Due from State banks and bankers. Bank'g-house, furnituro,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickel*, cents Specie Legal-tender notes 17.Is. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. FRED. B. HOWARD, Cashier. No. 2152. $662,178.34 Capital stock paid in. $200, 000. 00 222.70 50, 000. 00 Surplus fund 40, 000.00 77,936.16 1, 600.00 Undivided profits 26, 000.00 National-bank notes outstanding.. 45, 000. 00 200,507.58 State-bank notes outstanding Dividends u n p a i d . 72, 000. 00 442.21 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks 30, 933. 00 j Due to State banks and bankers .. 20D, 44 20, 202. 05 |j Notes and bills re-discounted 30, 000. 00 ]; Bills payable 6, 087.00 726,522.16 1, 000.00 2, 250.00 1,090, 545. o2 1 1 Total . 1, 096, 545.32 88 REPORT OF THE COMPTROLLER OF THE CURRENCY'. MASSACHUSETTS. Brookline National Bank, Brookline. J. ANSON GUILD, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3553. R. S. SWAN, Cashier. Liabilities. Capital stock paid in. $267, 252.23 265.05 25,000.00 $100,000.00 4, 200. 00 8, G09. 45 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 15, 237.95 22, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. LOO 5, 500.00 384. 08 3, 000. 00 193,808.10 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2,0)7.00 45.24 12, 790.00 2, 000. 00 1, 125.00 Total . 331,617.55 331, 617. 55 Charles River National Bank, Cambridge. WALTER S. SWAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. EBEN SNOW, Cashier. No. 731. $512, 067.48 30.46 25, 000. 00 Capital stock paid in $100,000. 00 Surplus fund Undivided profits j National-bank notes outstanding.. | State-bank notes outstanding 63,150.00 47, 910. 54 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 5, 000.00 2, 500. 00 18, 315. 86 50,000. 00 2, 976. 77 22, 500. 00 4, 016.00 549, 995.79 Due to other national banks Due to State banks and bankers . 11, 214. C O 36.22 25,139.00 17,000.00 Notes and bills re-discounted. Bills payable 1,125. 00 1, 000.00 Total . 729, 488. 56 I 729,488.56 First National Bank of Cambridge, Cambridgeport. D. U. CHAMBERLIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits.... U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 433. $549,752.31 2,124. 77 150, 000. 00 W. A. BULLARD, Cashier. | Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 50, 637. 59 50, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. $200, 000. 00 100,000.00 65, 378.84 135, 000. 00 9, 036. 00 356, 437.38 15, 852.91 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 19, 050.00 590.24 20, 889.50 395.13 6, 750.00 866, 247.35 il Total. 866,247.35 REPORT OF THE COMPTROLLER OF THE CURRENCY. 89 MASSACHUSETTS. Cambridgeport National Bank of Cambridge, Cambridgeport. A S A P. MOUSE, President. No. 1228. WILL F. ROAF, Cashier. Liabilities. Resources. Loans and discounts O rerdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band S'ocks, securities, judgments, e t c . . Due from approved reserve agents. Dae from other national bauks Dae from State banks and bankers Bank'g-house, furniture, and fixtures] Otber real estate and m o r t i s owned! C arrant expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-bouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TT. S. certificates of deposit Redemption fund with Treaa. TT. S. Due from Treasurer U. S * $250, 420. 86 61.72 50, 000. 00 8, 000. 00 6, 059. 99 Surplus fund Undivided profits. National-bank notes outstanding State-bank notes outstanding . . . Dividends unpaid 20, 000.00 32,198.32 44, 997. 00 352.00 27, 000. 00 5, 750. 00 1, 213. 03 Individual deposits United States deposits Deposits of U. S. disbursing officers. 171,063.58 Due to other national banks 1,970.00 29.11 Due to State banks and bankers . 6, 700. 00 Notes and bills re-discounted. 2, 000. 00 Bills payable 5, 000. 00 2, 250.00 368, 615. 90 Total. $100, 000. 00 Capital stock paid in. 368, 615. 90 Total . National City Bank of Cambridge, Cambridgeport. E. DRESSER, President. No. 770. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits V. S. bonds on hand Stocks, securities, j udgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $362, 512. 09 100. 00 25, 000. 00 $100, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 50, 000.00 27,124. 94 22, 500. 00 6, 172. 80 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 268,172.45 1, 895. 86 5,166.00 30. 33 740. 75 650. 00 10, 000. 00 1,125. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 473, 970.19 Total. H. B. DAVIS, Cashier. Capital stock paid in. 473, 970.19 Total. Neponset National Bank, Canton. CHARLES H. FRENCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. J Bank'g-house,furniture,andfixturesj Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. N . W. DUNBAR, Cashier. No. 663. $283, 290. 25 325. 83 225, 000. 00 120, 281. 75 5, 030. 76 4, 000.00 13, 500. 00 5,152. 85 1, 330.00 44.01 8,927.10 3, 000. 00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers $250, 000. 00 50, 000.00 23, 156.02 399,800.00 10, 374. 00 146, 677. 53 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 10,125. 00 680, 007. 55 Total. 680,007. 55 90 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS, First National Bank, Chelsea. "WILLIAM H. PEARMAIN, President. No. 533. W A L T E R TVHITTLESY, Cashier. Liabilities. Resources. Loans and discounts ...„ Overdrafts U. S. bonds to secure circulation — U. S. bonds to secure deposits U S bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,audfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Capital stock paid in Surplus fund Undivided profits 631.00 National-bank notes outstanding.. 66, 349. 35 State-bank notes outstanding. $907, 313. 90 33.78 50, 000.00 84,457.64 5,807.44 112.77 7, 243.64 10,438.00 202. 00 30, 945. 00 9, 881.00 Dividends unpaid $300, 000. 00 100, 000. 00 128, 009. 23 45,000. 00 4, 390.00 Individual deposits United States deposits Deposi ts of U. S. d lsbursin g officers. Due to other national banks Due to State banks and bankers.. 592,162. 61 6, 603. 68 Notes and bills re-discounted Bills payable 2, 250. 00 500. 00 Total 1,176,165. 52 1,176,165. 52 First National Bank, Chicopee. No. 1056. EMERSON GAYLORD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, Judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $296, 620.49 123. o2 40, 000. 00 11,022. 50 25, 970.76 2,49.9.17 F. B. DOTEN, Cashier. Capital stock paid in Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United Statos deposits Deposits of U.S. disbursing officers 258.90 Due to other national banks Due to State banks and bankers.. 9,142. 83 Notes and bills re-discounted . 7, 900. 00 Bills payable $150, 000.00 52, 000. 00 8, 808. 96 35, 320. 00 6, 894. 00 143, 524.52 284, 69 1,800.00 Total . 396, 832.17 396, 832.17 First National Bank, Clinton. CHARLES G-. STEVEXS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andtixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie " Legal-tender, notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 440. $414,512.05 C. L. S. HAMMOND, Cashier. Capital stock paid in "" "56,066." 00' Snrplus fund Undivided profits 4, 997. 00 100, 061. 09 417. 62 400.00 95, 074. 07 ""2," 817." 26 168.00 747. 00 399. 55 8,615.00 17,700.00 National-bank notes outstanding.. State-bank notes outstanding $200,000.00 40, 000.00 35, 245.07 45, 0C0.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 377,913.57 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 2, 250.00 698,158. 64 Total . 698,158.64 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS Concord National Bank, Concord. GEORGE HEYWOOD, President. No. 833. HENRY F. STONE, Cashier. Resources. Liabilities. Loans and discounts I Overdrafts I TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand. Stocks, securities, judgments, etc . . Duo from approved reserve agents. Due from otiier national banks Due from State banks and bankers. Bauk'g-houae, furniture, and fixtures Other real estate and mortg'sowned C urrent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer IT. S $199, 605.72 Capital stock paid i n . 3G. 69 40, 000. 00 Surplus fund Undivided profits 65,129.26 * National-bank notes outstanding.. State-bank notes outstanding 36,000.00 45, 814.44 32,100. 00 Dividends unpaid. 900. 00 Individual deposits 114, 291. 86 2, 000. 00 573.81 United States deposits Deposits of U. S. disbursing officers. 181. 58 5, 092. 00 5.74 7, 281. 50 7,400. 00 Duo to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 800. u0 Total. 329,106. 30 Total. $100, 000. 00 329,106. 30 Conway National Bank, Conway. CARLOS BATCHELDER, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks . Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 895. $204, 054.62 69.06 40, 000. 00 1, 000. 00 5, 637.06 527.29 "4,"566."66'|j 2,048.7)7' 8, 235. 60 73. 05 W. Gr. AVERT, Cashier. $150, 000. 00 Capital stock paid i n . Surplus fund Undivided profits 30, 000.00 4, 038.15 National-bank notes outstanding.. State-bank notes outstanding 36, 000.00 Dividends unpaid 117. 50 Individual deposits United States deposits Deposits of U.S. disbursing oiiicers. 54,178. 01 Duo to other national banks 105.00 Duo to State banks and bankers . 36.01 2, 838. 50 Notes and bills re-discounted . 3, 340. 00 Bills payable 1, 800. 00 70.00 Total. 274, 334. 26 274, 334.26 First National Bank, Danvers. GILBERT A. TAPLEY, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and ta,xes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 594. $282,442.33 39.63 37, 500. 00 1, 266. 53 21, 960. 41 B. E. NEWITALL, Cashier. Capital stock paid i n . $150, 000. 00 Surplus fund Undivided profits 30, 000.00 861.37 National-bank notes outstanding.. State-bank notes outstanding 32,140. 00 Dividends unpaid . 3,187. 50 10,834. 58 10,140.45 39.25 280. 34. 8, 642. 4, 626. 00 07 50 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 163, 304. 38 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1, 687. 50 379,493. 25 Total. 379, 493.25 92 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Dedham National Bank, Dedham. L E W I S H. KINGSBUEY, President. No. 669. EDWIN- A. BROOKS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits II. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso, furniture, and fixtures Other real estate and niortg's owned Carrent expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other caah items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S Due from Treasurer U. S Total Liabilities. $489, 089.79 !i Capital stock paid in. $300, 000. 00 4, 710. 00 50, 000.00 Surplus fund 65, 000. 00 50, 694.55 Undivided profits . 25,400.00 National-bank notes outstanding.. j 43,735.00 28, 355.42 State-bank notes outstanding, ! Dividends unpaid. 3, 526. 95 2,195. 90 1. 593. 00 139. C8 16, 998. 75 18, 262.00 1, 555. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 182, 436.94 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250. 00 643.421.49 643,421.49 Total. Cambridge National Bank, East Cambridge. DANIEL R. SORT WELL, President. Loans and discounts Overdrafts I U. S. bonds to securo circulation...: U. S. bonds to secure deposits ; U. S. bonds on hand Stocks, securities, judgments, etc . J Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds ! Checks and other cash items ' Exchanges for clearing-house Bills of other national banks ! Fractional currency, nickels, cents.! Specie | Legal-tender notes j U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 449. $329,817.40 13,469.40 25, 000.00 37, 678.76 J. C.BULLARD, Cashier. $100,000.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 20, 000. 00 14,432.98 22, 500. 00 Dividends unpaid 3, 447. 00 i .*. Individual deposits United States deposits I. Deposits of U.S.disbursing officers.'. 49, 111. 47 Due to other national banks 21, 551.00 Due to State banks and bankers . 140. 00 17,933.63 Notes and bills re-discounted . 10, 000.00 Bills payable 343, 739. 48 1, 707. 20 1,125. C O 505,826.66 | Total. 505, 826. 66 Lechmere National Bank, East Cambridge. L E W I S HALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents . Duo from other national banks . . Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie • Legal-tender notes U. S. certificates of deposit.. Redemption fund with Treas. U. S .' Due from Treasurer U. S Total . No. 614. $270,980.72 G E O . A. LLOYD, Cashier. Capital stock paid in I $100, 000.00 j 100, 000.00 23, 293. 73 17, 994.89 Surplus fund ' Undivided profits | National-bank notes outstanding..: State-bank notes outstanding . . Dividends unpaid. 12,000.00 7, 650. 31 2,341. 00 60. 76 3, 051. 25 2, 289. 00 Individual deposits United States deposits DepositsofU.S.disbursingofncers. 70,000.00 11, 885. 34 90, 000.00 5, 311. 00 166, 965. 34 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 4, 500. 00 444,161.68 | Total . 444,161.68 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 93 MASSACHUSETTS. First National Bank, East Hampton. SAMUEL T. SEELYE, President. No. 428. C. H. JOHNSOX, Cashier. Resources. Liabilities. Loans and discounts 0 verd rafts U. S. bonds to secure circulation... U. S. bonds to secure deposits ; Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,fiirniture,audfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes t U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $323, 246. 20 Capital stock paid in Surplus fund Undivided profits 60,000.00 17,238.98 22, 950. 00 18,283.84 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 10, 000. 00 Dividends unpaid 21.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 107, 458. 76 Due to other national banks 140. 00 Due to State banks and bankers .. 131.91 3,848.25 Notes and bills re-discounted 2, H20. 00 Bills payable 5.511.50 1,126. 94 433.10 2, 250. 00 435,230.24 Total $200, 000. 00 50,000.00 Total 435, 230. 24, Martha's Vineyard National Bank, Edgartown. JOSEPH T. PEASE, President. No. 1274. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $184, 259, 32 25,000. 66 3, 400. 00 8,223.74 2, 860. 42 2, 500. 00 .25 "12.50 490. 00 .84 3, 784. 80 1,160. 00 $100, 000. 00 Surplus fund Undivided profits 41, 861.81 12, 036. 26 National-bank notes outstanding.. | State-bank notes outstanding j 22,495.00 Dividends unpaid i 3,168. 00 Individual deposits ; ! United States deposits Deposits of U.S. disbursing officers i 53, 255. 80 Due to other national banks Due to State banks and bankers... '• Notes and bills re-discounted . Bills payable 1,125. 00 232, 816. 87 Total. C. H, PEASE, Cashier. Capital stock paid in Total. 232,816.87 National Bank, Fairhaven. C. H. MORTON, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers j Bank'g-honse,furniture,and fixtures. Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes "IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S. -----™ Total. No. 490. iEuiiEN NYE, Cashier. $169,553.30 Capital stock paid in. 416.37 i 40, 000. 00 ' Surplus fund Undivided profits , 11,175 00 17. 514. 06 252. 59 $120, 000. 00 j j National-bank notes outstanding.. j State-bank notes outstanding .."...;, 36, 000. 00 j 250. 00 Individual deposits j 1,433.18 ! United States deposits j 4,000.00 j Depositsof U.S. disbursingofficers. j 63,296. 66 2, 000. 00 Dividends unpaid 16, 000. 00 15, 2U4. 14 14. 00 i Due to other national banks 285.00 ; Due to State banks and bankers. 30.37 842.50 ! Notes and bills re-discounted . 1,919.00 i Bills payable • 481. 57 1,800.00 j| 251,235.37 I Total. 251, 235. 37 94 REPORT OF THE COMPTROLLER" OF THE CURRENCY. MASSACHUSETTS. First National Bank, Fall River. JOHN S. BRAYTOX, President. No. 25G. EVERETT M. COOK, Cashier. Liabilities. Resources. Loans and discounts ! $1,019,488.51 verdras Overdrafts. if)2(J6o.(;6 TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. 1(56,159.36 Due from approved reserve agents. 33, 427 39 Due from other national banks. 7, 975. 08 Due from State banks and bankers. 25, 000. 00 Bank'g-house, furniture, and fixtures! Other i eal estate and mortar's owned "2,097.90 Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items . . . Exchanges for clearing-house 22, 639. 00 Bills of other national banks 945.94 Fractional currency, nickels, cents. 20, 090. 60 Specie . . . 30,'600.00 Legal-tender notes U. S. certificates of deposit 7, 290. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in 80, 000. 00 100, 850. 63 National-bank notes outstanding. State-bank notes outstanding 142, 300. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. 743, 681. 35 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable...! 37,182. 40 Total 1,504,014.38 Total. $400, 000.00 Surplus fund Undivided profits 1,504,014.38 Second National Bank, Fall River. LEOKTINE LINCOLN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixlures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Sx>ecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 439. $331, 333. 86 C. J . HOLMES, Cashier. Capital stock paid in "iso/ooo.oo $150, 000. 00 Surplus fund Undivided profits 75, 000. 00 12,387. 53 15, 000.00 69,180. 65 31.15 National-bank notes outstanding.. State-bank notes outstanding..... 2, 047.60 Individual deposits United States deposits Deposits of U. S. disbursing officers. 135, 000. 00 Dividends unpaid 223, 286.49 438. 00" 7,105. 00 126. 06 5, 864. 80 10, 431. 00 I Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable , 2, 634.10 "e," 750." 66 Total. 598, 308.12 598, 308.12 Fall River National Bank, Fall River. GUILFOHD H. HATHAWAY, President. Loans and discounts . Overdrafts U. S. bonds to secure circulation - - U.S.bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixt ures Other real estate and iuortg's owned Current expenses and taxes paid-.. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 590. $527, 913.94 50, 000.00 F . H. GIFFORD, Cashier. Capital stock paid in. Surplus fund Undivided profits. $400,000.00 100,000 00 24, 317. 41 79, 967. 87 National-bank notes outstanding.. 96,132. 74 State-bank notes outstanding 7, 698. 89 i Dividends unpaid. 45, 000. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 248, 642. 06 Due to other national banks 4,424.00 : Due to.State banks and bankers .. 592.5S0 4,899.15 i Notes and bills re-discounted . 29,128. 00 j Bills payable 1,431.91 "b',lib', bo \ 4,016.57 7, 882. 50 2, 955. 92 10, 880.00 2,250.00 3, 000. 00 830,271.38 Total. 830, 271. 38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 95 MASSACHUSETTS. Massasoit National Bank, Fall River. No. 612. B. D. DAVOL, President. E. W. BOUDEN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from appro veil reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.Ts. certificates of deposit Redemption fund with U. S. Treas . Due from U. S. Treasurer Liabilities. $634, 030.67 50,000.00 50, 000.00 105, 849. 04 8, 600. 08 Capital stock paid in. 125, 000. 00 45, 53(3. 34 National-bank notes outstanding State-bank notes outstanding 45, 00Q. 00 Dividends unpaid. 48, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 458, 210. Gl 54,103.13 519. 50 1,040.70 6, 806. 00 793. 55 16, 759. 30 19, 216. 00 Due to other national banks \ Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 16, 590.52 104.72 2, 250. 00 945, 064.82 Total. $200,000.00 Surplus fund Undivided profits. 945, 064. 82 Total. Metacomet National Bank, Fall River. WALTER C. DURFEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks. . . . Due from State banks and bankers Bank'g-house, furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S. 1 Total N o . 924. 810, 706.70 33.45 50, 000. 00 12, 213. 00 94, 224.20 70, 000. 00 7,467.57 1, 730. 02 1, 677. 06 9,870. 00 231.23 14,197. 55 15, 000. 00 G E O . H. BORDEN, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid - $500,000.00 125, 000. 00 61,511.75 45, 000. 00 942.50 Individual deposits United States deposits Deposits of U.S. disbursing officers. 357, 264.76 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 421.77 2, 250. 00 540. 00 1,090,140.78 Total 1,090,140.78 National Union Bank, Fall River. DANIEL WILBUR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J . T. BURRELL, Cashier. No. 1288. $374,277. 54 Capital stock paid in.., $200,000.00 257. 66 50, 000. 00 Surplus fund 16, 761. 75 17, 216. 15 Undivided profits 7, 660. 92 National-bank notes outstanding.. 43, 450. 00 44,159.93 State-bank notes outstanding Dividends unpaid 1, 283. 07 6, 300. 00 535. 24 3, 704. 00 275.78 12, 887.15 8, 675. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers - 287. 50 234, 550. 89 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2, 250. 00 512, 266. 29 Total. 512, 266. 29 96 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Pocasset National Bank,'Fall River. "WEAVER OSBOUN, President. No. 679. E. E. HATHAWAY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand. ... j Stocks, securities, judgments, etc.. | Due from approved reserve agents Due from other national banks ; Due from State banks and bankers.! Bank'g-house,furniture,andfixtures Other real estate and uiortg's owned! Current expenses and taxes paid... Premiums on U. S. bonds I Checks and other cash items i Exchanges for clearing-house Bills of other national banks | Fractional currency, nickels, cents.; Specie Legal-tender notes TJ. S. certificates of deposit . . Redemption fund with Treas. U. S Due from Treasurer U. S Liabilities. $425,801.97 Surplus fund Undivided profits JO, 000. 00 64,256.71 24, 440. 01) 222. 942. 85 1, 858. 98 National-bank notes outstanding.. [ State-bank notes outstanding . . 90, 000.00 ! Dividends unpaid. 89,572.53 j| Individual deposits 2, 099. 29 ! United States deposits j Depositsof U.S. disbursing officers. . 11, 162.13 ; i Due to other national banks | ""8," 567. 66 |I Due to State banks and bankers..., 522.37 I 40,276.05 Notes and bills re-discounted. 11,337.00 I Bills payable 1,170. 50 470, 282. 37 23, 449. 96 53, 920.63 4, 500. 00 943,080.17 ; Total. $200, 000. 00 Capital stock paid in. 100, 000. 00 Total. 943,080. 17 Falmouth National Bank, Falmouth. No. 1320. SILAS JONES, President. Loans and discounts I Overdrafts I U. S. bonds to secure circulation... j U. S. bonds to secure deposits ; U. S. bonds on hand j Stocks, securities, judgments, etc.. Due from approved reserve agents | Due from other national banks j Due from State banks and bankers.! Bank'g-house, furniture,and fixtures] Other real estate and mortg's owned Current expenses and taxes paid... i Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $92, 884.17 15.29 100, 000. 00 13,650.00 16, 730.93 G. E. DEAN, Cashier. Capital stock paid in. $100,000. 00 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 90,000. 00 255. 00 2, 700. 00 591.10 17, 500. 00 1,125.61 6, 000. 00 197.03 Individual deposits United Statos deposits Deposits of U.S. disbursing officers 55, 359.10 ' Due to other national banks 235. 00 : Due to State banks and bankers . 44. 11 376. 86 Notes and bills re-discounted . 1, 452. 00 Bills payable 4, 500. 00 251,811.13 Total. 251,811.13 Fitchburg National Bank, Fitchburg. B. N. BULLOCK, President. Loans and discounts j Overdrafts J U. S. bonds to secure circulation... j U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers, 1 j Bank'g-house, furniture.and fixtures Other real estate and mortg'a owned' Current expenses and taxes paid... j Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house j Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U, S Due from Treasurer U. S Total. No. 1077. $661, 065.29 50,000.00 46,608. 51 1, 087. 36 W. J . STEARNS, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . Individual deposits . United Mates deposits 2, 500. 00 ! 1,998.37 , Depositsof U.S. disbursing officers. i Due to other national banks "5," 387.'66 "Ij Due to State banks and bankers .. 190. 68 20, 860. 20 Notes and bills re-discounted . 3, 000.00 Bills payable $250, 000. 00 140,090. C O 1, 684.27 45,000. 00 7,767/00 305, 762.72 44, 663.17 70.25 2, 250.00 794,947.41 Total. 794,947.41 REPOKT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Rollstone National Bank, Fitchburg. HENRY A. "WILLIS, President. No. 702. W. B. TEXNEY, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house BilJs of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duefrom Treasurer U. S Total Liabilities. $492,470.72 $250, 000. 00 Capital stock paid in 125,000.00 100, 000.00 Surplus fund Undivided profits 140, 000. 00 8, 359. 72 4, 268. 81 135,162.21 National-bank notes outstanding . State-bank notes outstanding 110,300.00 8, 039. 00 Dividends unpaid 59*024.26' 6, 579. 06 41,000.00 10, 214. 40 6,134.00 30. 55 30, 142. 50 4,000, 00 5, 625, Individual deposits United States deposits Deposits of U.S. disbursing officers. 390, 256. 73 110, 000. 00 Due to other national banks Due to State banks and bankers . 2, 696.00 Notes and bills re-discounted Bills payable , 00 1,019,651.45 Total 1,019,651.45 Safety Fund National Bank, Fitchburg. HENRY ALLISON, President. No. 2153. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks . . . Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $389,106. 26 "266," 666.'66' WALTER SCOTT JKNKS, Cashier. Capital stock paid i u T . . . ~ . . . . . . . . Surplus fund Undivided profits $J00, 000.00 j 36, 500. 00 7, 835.21 i 43,7 33.38 National-bank notes outstanding.. State-bank notes outstanding 180, 000. 00 Dividends unpaid 2, 414. 98 270.00 Individual deposits | United States deposits . Deposits of U. S. disbursing officers. 240, 094.19 i," 365.18 2, 341. 00 153.98 15, 716. 45 1, 900. 00 Due to other national banks Due to State banks and bankers j ' 1, 061. 83 1 Notes and bills re-discounted Bills payable j 9, 000. 00 C65, 761. Total. 23 665,761.23 Wachusett National Bank, Fitchburg. OMON H. LAWRENCE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgment?, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums oc U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S 7 G-. E. CLIFFORD, Cashier. Capital stock paid in Surplus fund Undivided profits 7, 463.00 68,114.99 32, 756.39 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $250, 000.00 250, 000. 00 2tf,301, 13 90, 000. 00 600. 00 "30,000"66* Individual deposits "3," 680.' 22*' United States deposits | Deposits of U.S.disbursing officers.' " 4,035.49 Due to other national banks ' 13, 048. 00 Due to State banks and bankers ..|. 85. 38 57,546.55 Notes and bills re-discounted . 900.00 i Bills payable 635, 354. 75 46, 573.11 4,500.00 1,300,834.99 , Total . H. Ex. 3- No. 2265. Total l,300,834.£ 98 REPOKT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Franklin National Bank, Franklin. JAMES P. RAY, President. No. 1207. M. FARSUM, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulat ion ... , IT. S. bonds to secure deposits j U. S. bonds on hand Stocks, securities,judgments, etc ..i Due from approved reserve agents.! Due from other natioual banks Due from State banks and bankers Bank'g-bouse,furniture,anil fixturesOther real estate and m o r t i s owned. Current expenses and taxes paid. .! Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . i Due from Treasurer TJ. S 100, 000.00 I Surplus fund I Undividod profits , i National-bank notes outstanding.. 19, 01)7. 73 I State-bank notes outstanding 40, 000. 00 13, 515. 78 90, 000.00 Dividends unpaid. 1, 819. 00 Individual deposits 782. 31 || United States deposits i Deposits of U.S.disbursing officers.. i 'I Due to other national banks j 8, 290. 00 , Due to State banks and bankers..; G. 11 3, 990. 00 10, 000. 00 113,043.70 Notes and bills re-discounted . Bills payable 4, f>00. 00 ! 458, 978.48 j Total. $200, 000. 00 $312, 312. 30 Ii Capital stock paid in. Total. 458,978.48 First National Bank, Gardner. J O H N D. EDGELL, President. Loans and discounts | Overdrafts j IT. S. bonds to secure circulation . . . i TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and ban kers Bank'g-house,furniture,and fixtures1 Other real estate and mortg'aovrnedj Current expenses and taxes paid... j Premiums on U. S. bonds I Checks and other cash items i Exchanges for clearing-house .". Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S No. 884. Cashier. $150, 000. 00 30, 000. 00 10, 399. 00 33, 750. 00 Dividends unpaid 20,000.00 | i Individual deposits 1, 302. OS United States deposits 8, 000. 00 Deposits of U.S.disbursing oflicers. 36.00 199,636.11 9U5.57 463. 00 345.21 3 850.00 10 :*00. 00 10, 0'H). 00 1 687.50 Duo to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 423,821.11 Total. VOLNEY W . H O W E , $290, 625 93 i Capital stock paid in 129.27 37, 500. 00 Surplus fund Undivided profits 800.00 : i 500.00 ! National-bank notes outstanding.. 29,091.05 i State-bank notes outstanding Total. 423,821.11 Georgetown National Bank, Georgetown. GEORGE H. CARLETON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation.... U. S. bonds to secure deposits j U. S. bonds on hand I Stocks, securities, judgments, etc . . j Due from approved reserve agents i Dueftom other national banks j Due from State banks aud bankers : Bank'g-house, furniture, and fixtures' Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds ; Checks and other cash items ' Exchanges for clearing-house j Bills of other national banks j Fractional currency, nickels, cents.! Specie I Legal-tender notes | U. S. certificates of deposit i Redemption fund with Treas. U. S . Dae from Treasurer U. S Total., No. 2297. $107, 620.78 L E W I S H. G I L E S , Capital stock paid in Cashier. $50, 000. 00 12, 500. 00 Surplus fund ! Undivided profits 10, 000. 00 106. 28 3, 600. 00 13,376. 00 11, 250. 00 National-bank notes outstanding.. State-bank notes outstanding . Dividends unpaid. I Individual deposits ;| 273. 24 United States deposits . Deposits of U.S. disbursing officers . 1, 825. 00 92. 73 3,192. 50 1, 726. 00 1, 500. 00 71,912.47 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 144,768.75 . Total. 144,768. 75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 99 MASSACHUSETTS. First National Bank, Gloucester. JOSEPH O. PROCTOK, President No. 549. G-EOUGE R. BRADFORD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . TJ. S. bends to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Dae from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes x>aid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer IT. S , Total. Liabilities. $423, 232.99 163.63 200, 000. 00 13,101.01 24, 554.71 Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits 50, 000. 00 16, 773. 26 National-bank notes outstanding.. State-bank notes outstanding . . -•J Dividends unpaid. 176, 930. 00 1, 268. 00 24,000.00 I Individual deposits United States deposits Deposits of U. S. disbursing officers. 8.25 Due to other national banks 5, 003. 00 Due to State banks and bankers . . 1,212.26 10, 877. 34 Notes and bills re-discounted. 11,500.00 Bills payable 281,122. 58 241.93 9, 000. 00 726, 335. 77 Total. 726, 335. 77 Cape Ann National Bank, Gloucester. JOHN E. SOMES, President. N o . 899. Loans and discounts j Overdrafts ! U. S. bonds to secure circulation.. J U. S. bonds to secure deposits U. S. bonds on hand . Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers ! Bank'g-house,fumiture,andrxtures! Other real estate and mortg's o wnodj Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for Clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie " Legal-tender note3 TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. HIRAM RICH, Cashier. $287,988.66 I; Capital stock paid in. 4.01 | 150, 000.00 I1 Surplus fund. Undivided profits . 5, 400. 00 20, 120. 36 National-bank notes outstanding..! State-bank notes outstanding . ' Dividends unpaid 15, 000. 00 70. 75 23,000.00 Individual deposits | United States deposits : Dep jsitsof U.S. disbursing officers.' $150, 000. 00 55, 000. 00 14, 504. 59 134, 620.00 5, 064. 00 170,794.21 | Due to other national banks 3, 515,00 i Duo to State banks aud bankers . 50.02 8, 337. 00 Notes and bills re-discounted . 9, 747. 00 Bills payable 6,750.00 !| 529, 982. 80 Total. 529, 982. 80 City National Bank, Gloucester. HENRY A. PAKMENTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. I Bank'g-house,furniture,andfixturea! Other real estate and mortg's owned! Current expenses and taxes paid... j Premiums on U. S. bonds j Checks and other cash items ! ! Exchanges for clearing-house Bills of other national banks j Fractional currency, nickels, cents . i Specie ! Legal-tender notes ' U. Is. certificates of deposit j Redemption fund with Treas. TJ. S . j Due from Treasurer U. S ' Total. No. 2292. WM. A. PEW, Cashier. $400, 095.07 Capital stock paid in $150,000.00 565.32 150, 000. 00 Surplus fund 55, 000.00 10, 934. 64 Undivided profits 14,400.00 National-bank notes outstanding.. 135, 000. 00 38,282.66 State-bank notes outstanding 2,779.09 Dividends unpaid . 583. 00 15,000.00 |( ji Individual dex>osits . . . 297, 385. 05 4,440.72 !| United States deposits Depositsof U.S. disbursing officers 25.47 2,001.00 320.72 6, 920.00 9, 250. 00 Due to other national banks Due to State banks and bankers . . 1,841.16 146.20 Notes and bills re-discounted . Bills payable 6, 75*6. 60' ji 650,890.05 Total. 650,890. 05 100 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Gloucester National Bank, Gloucester. BENJAMIN H. CORLISS, President. No. 1162. WILLIAM BAUSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houGe,furniture,andfixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie .. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. $569, 090. 41 30.48 50, 000. 00 6, 000.00 99, 405.13 423. 72 " 24," 066*66" 7.75 1,666.66 4,3(i7. 00 602. 02 8, 564.05 14, 562.00 Capital stock paid in. $:j00, 000. 00 Surplus fund Undivided profits 80, 000. 29, 806. 00 46 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid 11,012.00 Individual deposits United States deposits Deposits of U. S. disbursing oflicers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 312, 335.07 2, 149. 03 2, 250. 00 780, 302. Total. . 56 780, 302.56 First National Bank, Grafton. No. 188. HORACE S. WARREN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from otber national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-Louse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $100, 000. 00 25,~666."6o" Surplus fund 17, 940. 36 Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 1, 200. 00 900. 00 8.35 1, 696. GO 1,100.00 23, 000. 00 313.89 22, 500. 00 2, 000.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 52, 942. 76 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125. 00 200,756.65 j Total. A. A. HOWE, Cashier. $151,786.34 I Capital stock paid in. Total. 200, 756. 65 Grafton National Bank, Grafton. GEORGE K. NICHOLS, President. No. 824. Loans and discounts $126,050.45 ' Overdrafts U. S. bonds to secure circulation . . . " " 25," 000." 00 ' U. S. bonds to secure deposits U. S. bonds on hand 20, 733. 01 Stocks, securities, judgments, etc . . 24, 864.44 Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid 1, 550. 00 Premiums on U. S. bonds 462.65 Checks and other cash items Exchanges for clearing-house 4,924.00 Bills of ot her national banks 22.79 Fractional currency, nickels, cents*. I 1. 990. 00 Specie ' I 2, 000.00 Legal-tender notes ! U. S. certificates of deposit. ! Redemption fund with Treas. U. S .j 1,125.00 ! Due from Treasurer U. S ; Total. 208, 722.94 HEXKY F. "WING, Cashier. Capital stock paid in.. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingomeei's. $100, 000. 00 20, 000.00 22, 500.00 2, 064. 00 64,158.94 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total. 208, 722.94 REPORT OF THE COMPTROLLER OF THE CURRENCY. 101 MASSACHUSETTS. National Mahaiwe Bank, Great Barrington. JOHN L. DODGE, President. No. 1203. F. N. DELAND, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national Jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. SDne from Treasurer TJ. S Total. Liabilitie; $356,017.89 Capital stock paid in 1,001.16 50, 000 00 Surplus fund Undivided profits 34, 000. 00 65, 303. 26 9, 000.29 ' $200,000. 00 ! 50, 000.00 18,177.10 45, 000. 00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . 7, 500. 00 16, 500.00 1,132.15 1,172.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 229, 511. 08 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 34, 085. 12 7,697.01 2,311.00 109.54 17,343.00 7, 780.00 2, 250.00 577,945.30 Total. 577, 945.30 First National Bank, Greenfield. HENRY F. NASH, President Loansand discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Legal-tender notes U. 0. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 474. $519,770.05 4,451.78 200,000.00 26, 847. 26 33, 263. 29 " 12," ooo.' 66 J. W. STEVENS, Cashier. Capital stock paid in. $200, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 180, 000. 00 234. 00 650.00 Individual deposits 1, 937. 36 United States deposits Deposits of U.S. disbursing officers 728.17 Due to other national banks 1, 644. 00 Due to State banks and bankers... I 390. 32 14, 099. 50 3,901.00 140, 000.00 8, 072. 53 280,378. 34 19, 325.32 698. 54 Notes and bills re-discounted . Bills payable 9, 000. 00 Total. 828, 708. 73 828, 708. 73 Franklin County National Bank, Greenfield. J. H. SANDERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'ghouso, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 920. $260,252. 00 219. 83 50, 000. 00 50,000. 00 2, 162. 50 12, 750. 4 L 3,195. G6 H. O. EDGERTOX, Cashier. Capital stock paid in ! Surplus fund Undivided profits . National-bank notes outstanding., State-bank notes outstanding Dividends unpaid. $200, 000.00 2, 600.00 9, 052. 30 45, 000, 00 5i6. C O 17, 000. 00 Individual deposits " i,'443.78' United States deposits Deposits of U. S. disbursing officers. ""'627.73 Due to other national banks 710. 00 Due to State banks and bankers . . 98.26 7,430.85 3, 077.00 68,198.65 50,000. 00 5, 851. 07 Notes and bills re-discounted. Bills payable 2, 250.00 411,218.02 Total. 411,218,02 102 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Packard National Bank, Greenfield. RUFUS A. PACKARD, President. No. 2264. W . Gr. PACKARD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate a.ndmortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $198, 820. 81 229.85 25, 000.00 5,000.00 24, 332. 82 11, 302. 63 2, 800. 00 1,250.00 1,187.46 1, 553.00 70.65 5,103. 35 5,142.00 Capital stock paid in 8,000.00 196.33 National-bank notes outstanding.. State-bank notes outstanding 22,500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of TJ. S. disbursing officers. 149,223.83 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 2, 500.00 503.41 1,125.00 Total. 282, »23. 57 Total. i $100, 000. 00 Surplus fund TJndrvided profits . i 282.923.57 Cape Cod National Bank, Harwich. GrEO. H. SNOW, Cashier. No. 712. EDW.E. CROWELL,President. Loans and discounts O rerdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate andmortg'e owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. DuefromTreasurer U. S Total- $396, 938. 03 j Capital stock paid in. "366,'o66."o6" 30, 612. 00 11, 404.24 $300, 000.00 60, 000.00 10, 328. 62 : Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . 1, 000.00 ""i54."27 6, 300. 00 15.00 213. 30 2,000. 00 270, 000. 00 837.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 120, 971.22 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 13, 500.00 Total. 762,136. 84 762,136.84 First National Bank, Haverhill. GEORGE COGSWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-liouse,furniture, and fixtures ()ther real estate and mortg's owned (J urrcnt expenses and taxes paid... Promiamson U. S. bonds Checks and other cash items Exchanges for clearing-house Hills i'i other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Total. No. 481. $584, 629. 29 375.0L 50, 000.00 7. 000. 00 23, 420.33 25,000. 00 633.13 3,155. 00 452.40 22,139. 00 5, 000. 00 E . Gr. W O O D , Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $300,000,00 120, 000.00 27, 879.11 45,000.00 1,407.00 236, 597.47 1, 411. 72 2,250. 00 732,295.30 Total. 732,295.30 REPORT OF THE COMPTROLLER OF THE CURRENCY. 103 MASSACHUSETTS. Second National Bank, Haverhill. No. 3510. JOHN A. GALE, President. C. H. GOODWIN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Duo from State banks and bankers Bank'g-ho use, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchangesforclearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. Liabilities. $100, 343. 00 1, 096. 50 37, 500. 00 36, 290.46 Capital stock paid i n . $150, 000. 00 Surplus fund. Undivided profits 30, 000.00 6, 630. 22 National-bank notes outstanding.. State-bank notes outstanding 33, 750. 00 Dividends unpaid 24, 000. 00 4, 019. 85 8, 500. 00 8,136. 38 6, 438. 00 496. 42 4,150.50 17, 000. 00 Individual deposits United States deposits DepositsofU.S. disbursing officers. 329, 278. 39 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 687. 50 Total. 549, 658. 61 549, 658.61 Essex National Bank, Haverhill. W. S. JEWETT, President. Total. J. Russ, JR., Cashier. No. 589. Loans and discounts Overdrafts . - - U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank1 g-ho use, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house « Bills of other national banks. Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Tceas. U. S. Due from Treasurer U. S $282, 893.68 11, 285.11 25, 000. 00 11, 241. .97 3, 819. 58 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits 20, 000. 00 15,318.12 National-banknotes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid 164.00 6, 000. 00 Individual deposits "2," 535.'85' United States deposits Deposits of U. S. disbursing officers 155,117. 34 326.76 Due to other national banks "72i.*o6" Due to State banks and bankers .. 300.38 5, 028. 00 Notes and bills re-discounted 2, 500. 00 Bills payable 4, 068.10 35. 609.77 1,125. 00 Total. 352, 777. 33 352, 777.33 Haverhill National Bank, Haverhill. A. " V CHASE, President. V. No. 484. $711,741.80 Loans and discounts Overdrafts 173.04 U. S. bonds to secure circulation... 50, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand 8, 550 00 Stocks, securities, judgments, etc . . 68, 987. 36 Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers. Ba nlv' g- h o u se, fu rniture, and fixtures 41, 000. 00 Other real estate and mortg's owned Current expenses and taxes paid... 6, 633. 80 Premiums on U. S. bonds Checks and other cash items 2, 894. 74 Exchanges for clearing-house 3, 285. 00 Bills of other national banks 334. 82 Fractional currency, nickels, cents . 14,376.55 Specie Legal-tender notes 24, 987.00 U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250.00 Due from Treasurer U. S Total. 935,214.11 BENJAMIN I. PAGE, Cashier. Capital stock paid i n . Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends u n p a i d . $200, 000. 00 100, 000.00 24,082.88 45,000.00 176.00 Individual deposits United States deposits DepositsofU.S. disbursingofficers. 527, 338. 91 Due to other national banks Due to State banks and bankers . . . 38, 616. 32 Notes and bills re-discounted . Bills payable Total. 935,214.11 104 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Merrimack National Bank, Haverhill. CHARLES W. CHASE, President. No. 633. UBBRT A. KILLAM, Cashier. Resources. Loans and discounts ' Overdrafts U. S. bonds to secure circulation... i TJ. S. bonds to secure deposits ' U. S. bonds on hand ' Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes "U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. Liabilities. $651, 360. 38 203.09 50, 000.00 100, 000.00 128, 528. 27 ""io'ooo.'oo" 5, 740. 50 17,118.00 397. 58 28, 715.20 17,800.00 $240, 000.00 Capital stock paid in. 120, 000. 00 20,298. 93 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 1, 228. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 455,241. 69 105,000.00 Due to other national banks Due to State banks and bankers . 33, 836.11 Notes and bills re-discounted. Bills payable 2,250.00 Total. 1,020, 604.73 1, 020, 604. 73 Hingham National Bank, Hingham. JOSEPH JACOBS, J R . , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andflxtures Other real estate and mortg's.owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. B. A. ROBINSON, Cashier. No. 1119. $279, 868. 50 35,666.66 1, 000.00 24, 858.97 4,131.64 Capital stock paid in. $140, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 3, 887.00 54.77 10,000.00 31, 500.00 3, 505. 25 6, 000.00 4, 500.00 28, 000. 00 3,445.45 Individual deposits United States deposits Deposits of U. S. disbursing officers. 151,998.14 Duo to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 12, 427. 04 1,575. 00 370,875.88 Total. 370, 875.88 Holliston National Bank, Holliston. JNO. M. BATCHELDER, President. No. 802. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits $86,604.87 Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total 37,500.00 J. H. ANDREWS, Cashier. Capital stock paid in $150,000. 00 Surplus fund Undivided profits 30, 000. 00 8, 438. 56 115,230.00 9,855.04 National-banknotes outstanding.. State-bank notes outstanding 33, 750. 00 11, 685. 00 450.00 4, 895.11 6,000.00 869.22 Individual deposits United States deposits Depositsof U.S.disbursing officers. 2,130.00 21.04 6,680.00 3,220.00 Dividends unpaid Due to other national banks Due to State banks and bankers.. 492. 50 38, 363. 00 25, 783. 72 Notes and bills re-discounted Bills payable 1,687.50 286, 827.78 Total 286, 827. 78 REPORT OF THE COMPTROLLER OF THK CURRENCY. 105 MASSACHUSETTS. City National Bank, Holyoke. TIMOTHY MERRICK, President. N o . 2430. C. FAYETTE SMITH, Cashier. Resources. Liabilities. $880, 605.60 Loans and discounts 174. 82 O v erdrafts 50, 000. 00 TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. 3,185. 94 Due from approved reserve agents. 67,514.44 Due from other national banks 123. 79 Due from State banks and bankers. Bank'g-house, furniture, and fixtures 9, 677. 77 Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds, 3, 000. 00 Checks and other cash items 4, 546.68 Exchanges for clearing-house... 4, 940.00 Bills of other national banks 1, 450. 69 Fractional currency, nickels, cents. 17, 663. 00 Specie 5, 366. 00 Legal-tender notes U. S. certificates of deposit _ Redemption fund with Treas. TJ. S. 2, 250. 00 Due from Treasurer U. S 1, 050, 498. 73 Total- Capital stock paid in. $500, 000.00 Surplus fund Undivided profits 21, 000. 00 19, 094.99 National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 Dividends unpaid. 25.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 408, 342. 53 Due to other national banks Due to State banks and bankers -. Notes and bills re-discounted Bills payable | I 4, 673.74 52, 362.47 1, 050, 498. 73 Total. Hadley Falls National Bank, Holyoke. CHARLES W. RANLET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. P. TERRY, Cashier. No. 1246. $374, 815. 44 49.17 50, 000. 00 97, 922. 82 2, 564. 52 $200, 000.00 Capital stock paid in. 100,000.00 36, 499. 27 Surplus fund , Undivided profits. National-bank notes outstanding..: State-bank notes outstanding . . Dividends unpaid 15, 000. 00 1.30 256. 32 6, 075. 00 33.64 11, 512. 00 8,178. 00 45, 000.00 10,270. 05 Individual deposits United States deposits Deposits of U. S.disbursing officers. j 158,119.84 Due to other national banks ! Due to State banks and bankers 18, 769.05 Notes and bills re-discounted . Bills payable 2, 250. 00 568, 658. 21 Total . 568, 658.21 Holyoke National Bank, Holyoke. GEORGE W. PRENTISS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 1939. $711,808.62 Capital stock paid in 430.49 50, 000. 00 Surplus fund Undivided profits 1, 270.00 62, 067.00 4, 042. 43 WM. Gr. TWING, Cashier. $200,000.00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits 5, 912. 50 United States deposits 13,437. 50 Deposits of U.S. disbursing officers. 1,217.22 Due to other national banks 1,000. 00 Due to State banks and bankers... 71.45 18, 870. 50 Notes and bills re-discounted 27, 259.00 Bills payable 85,600.00 25,803.54 45, 000. 00 30, 727.40 560, 298. 34 4, 262. 23 10, 000. Oo 2, 250. 00 930, 364.11 Total. 930, 364.11 106 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS, Home National Bank, Holyoke. JAMES H. NEWTON, President. E. L. MUNN, Cashier. No. 3128. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items $527,681.23 2 074 75 50, 000.00 100, 000.00 Fractional currency, nickels, cents. Specie 81.52 31,821.00 7,018.00 U S certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total 56, 306.05 152. 33 5, 000. 00 1,514.13 36,175. 00 1, 681.19 $250, 000. 00 Capital stock paid in ... . ... 8, 600. 31 24, 810. 97 National-bank notes outstanding.. State-bank notes outstanding . . : . . 45, 000. 00 Surplus fund Undivided profits Dividends unpaid 44.00 Individual deposits United States deposits Deposits of U. S. disbursing officers 375,462.46 110,000.00 Due to other national banks Due to State banks and bankers . 7, 837. 46 2, 250. 00 821,755.20 821, 755. 20 Total Hopkinton National Bank, Hopkinton. LOWELL B. MAYBRT, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation — TJ. S. bonds to secure deposits TJ. S. bonds on kand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks nati Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiamson U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S No. 626. $204,667. 50 37,566.66 14,197.87 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. 15, 974.42 3, 417. 26 3, 000. 00 4.91 8, 323. 00 14.81 1,880.05 3,500.00 $150, 000. 00 30, 000. 00 8,489. 33 31, 250. 00 216. 50 Individual deposits United States deposits Deposits of U.S. disbursing officers 74,211.49 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 687. 50 Total. 294,167.32 Total. P . A. MORRILL, Cashier. Capital stock paid in. 294,167. 32 Hudson National Bank, Hudson. LUMAN T. J E F T S , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture,andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tendor notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2618. $187, 302.62 25, GOO. 66 37, 682.05 CALEB L. BRIGIIAM, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 3, 000. 00 5,347.68 4, 845. 00 165.94 5, 249.25 2,200.00 Individual deposits.. p United States deposits Deposits of U. S. disbursing officers. $100,000. 00 5, 600. 00 4, 330.16 21,800.00 2, 982. 50 137, 204. 88 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125. 00 271,917.54 Total. 271, 917. 54, REPORT OF THE COMPTROLLER OF THE CURRENCY. 107 MASSACHUSETTS, First National Bank, Hyannis. JOSEPH E. HALL, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Dae froni approved reserve agents. Due from other national banks Dae from State banks and bankers. Bunk'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Spocie Legal-tender notes U. S. certificates of depositRedemption fund with Treas. TJ. S . Dae from Treasurer TJ. S Total. No. 1107. JOSEPH T. HALL, Cashier, Liabilities. $167, 912.95 Capital stock paid in. "ioo'ooo.oo Surplus fund Undivided profits. National-bank notes outstanding.. 18, 041. 91 State-bank notes outstanding 1, 500.00 184.88 5,000.00 717.40 G30. 00 11.40 4,100.00 3,171. 00 $100,000.00 20, 000. 00 3,497. 70 88,400. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 93,951.84 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 4, 500.00 80.00 305, 849. 54 305, 849. 54 Total. Bay State Nation al Bank, Lawrence. GEORGE L. DAVIS, President Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Chepks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No . 1014. $650, 547. 59 Capital stock 333.41 50, 000. 00 Surplus fund paid in SAMUEL WHITE, Cashier. $375, 000. 00 Undivided profits 191,148. 00 Natibnal-bank notes outstanding. 121,124. 58 State-bank notes outstanding Dividonds unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 976. 09 Due to other national banks 8, 2G0.00 Due to State banks and bankers .. 906. 36 27, 095.10 Notes and bills re-discounted . 4,000.00 Bills payable 75, 000. 00 130, 294. 88 45, 000. 00 15, 876. 00 403, 928. 52 11,511.73 2, 250.00 1,056,641.13 1,056,641.13 Total. Lawrence National Bank. Lawrence. AKTEMAS W. STEARNS, President. H. L. SHERMAN, Cashier. No. 1962. Loans and discounts $654,319.17 Capital stock paid in Overdrafts U. S. bonds to secure circulation... 200, 000.00 Surplus fund U. S. bonds to secure deposits Undivided profits U. S. bonds on hand Stocks, securities, judgments, etc.. 17,765.00 National-bank notes outstanding.. Dae from approved reserve agents 2, 596.78 State-bank notes outstanding . . Due from other national banks 226.46 Duo from State banks and bankers Dividends unpaid Bauk'g-house,furniture,and fixtures 52,450.21 Other real estatoand mortg's owned Individual deposits C urrent expenses and taxes paid... 2,622. 00 United States deposits Premiums on U. S. bonds Deposits of U. S. disbursing officers. Checks and other cash items 3, 752. 30 Exchanges for clearing-house Due to other national banks Bills of other national banks 6,282. 00 Due tojState banks and bankers . Fractional currency, nickels, cents. 138.74 Specie 25,122.05 Notes and bills re-discounted. Legal-tender notes 13,800. 00 Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S . 9,000.00 Dae from Treasurer U. S Total. 18, 074.71 Total. $300, 000. 00 50, 000. 00 11,083.24 180, 000.00 11,136.00 409, 917. 51 25, 937.96 988, 074. 71 108 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Merchants' National Bank, Lawrence. JAMES R. SIMPSON, President. No. 3977. DENMAN BLANCHARD, Cashier. Resources. Loans and discounts Overdrafts U. S.bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, secuiities, judgments, etc.. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national bauks Fractional currency, nickels, cents. Specie ' Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer U. S Total . Liabilities. $303,976.00 $100, 000. 00 Capital stock paid in. 25,666.66 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 45, 539.20 3, 000. 00 361.91 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 6, 500.00 14, 804.31 290, 520. 73 Due to other national banks Duo to State banks and bankers. Notes and bills re-discounted Bills payable 1, 894.00 213.18 15,280.95 2,050.00 1,125.00 416, 382. 64 Total. 416, 382.64 National Pemberton Bank, Lawrence. LEVI SFBAGUE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national bauks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer tJ. S Total. J. A. PEKKIXS, Cashier. No. 1048. $444, 567.95 Capital stock paid in. 31.29 100,000.00 Surplus fund. Undiv divided profits . 27,185.44 30,835.99 96.55 $ieo, ooo. oo 30, 000.00 48, 005. 26 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 5, 000. 00 , 90, 000. 00 5, 393. 50 Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 5,665. 86 2,278.00 124.11 19,455. 25 4,000.00 296, 879. 58 23,4fi2.10 4, 500. 00 643,740.44 Total. 643,740.44 Pacific National Bank of Lawrence. JAMES H. KIDDER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, fete.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, fnrniture, and fixtures Other real estate ana mortg's owned Current expenses and taxes paid... Premiums on U. S. bonas Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 2347. $334,412.77 575.46 50,000.00 WILLIAM H. JAQUITH, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 52, 780. 86 Dividends unpaid 2, 479.25 $150,000. 00 16,000.00 1,580.86 45, 000. 00 4, 746.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 257, 474. 67 ii, 662. oo Due to other national banks Due to State banks and bankers - 1, 663. 64 19,137.78 Notes and bills re-discounted Bills payable 3, 827. 05 2, 250. 00 I! 476, 465. 17 j Total.. 47i>. 4 (>.">. 1 7 109 EEPOKT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Lee National Bank, Lee. No. 885. P. C. BAIRD, President. J. L. KILBON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers Bank'g-hou3e,furnitur6,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fundjwith Treas. U. S. Due from Treasurer TJ. S Total. $388, 320. 35 376. 57 50,000.00 43, 252. 84 3, 502. 50 306.22 6, 000. 00 1, 232. 59 Capital stock paid i n . $200, 000. 00 Surplus fund Undivided profits 100, 000. 00 37,275. 36 National-banknotes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. 198.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 125, 405. 68 Due to other national banks Due to State b a n k s and b a n k e r s . . 11,744.02 21.75 3, 570. 00 261, 56 9, 752.68 10, 753.00 Notes and bills re-discounted.. Bills payable 2,250. 00 Total . 519,623.06 519, 623. 06 Leicester National Bank, Leicester. No. 918. CHARLES A. DENNY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. Is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $211,985.27 30, 000.00 13,155.16 25, 762. 54 GrEO. H. SPRAGUE, Cashier. Capital stock paid in $100, 000.00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 40, 000. 00 12, 373. 00 44, 985. 00 Dividends unpaid 3, 000. 00 7, 000. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 122,194. 71 653. 90 i Due to other national banks 2, 414. 00 Due to State banks and bankers . 80.69 7,686.15 Notes and bills re-discounted. 1, 565. 00 Bills payable 2, 250. 00 322,552.71 Total . 322, 552 71 Lenox National Bank, Lenox. HENRY SEDGWICK, President. Total. E D W A R D MCDONALD, No. 4013. Loans and discounts Overdrafts U. S. bonds t o secure c i r c u l a t i o n . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc D u e from approved reserve a g e n t s . D u e from other national b a n k s Due from State banks and bankers Bank'g-house,furniture,and fixtures! Other real estate and niortg'H owned! C u r r e n t expenses and t a x e s p a i d . . . I Premiums on U . S . bonds ' Checks and other cash items • Exchanges for clearing-house Bills of other national b a n k s ' Fractional currency, nickels, cents.' Specie < . i Legal-tender notes ! U. S. certificates of deposit Kedemption fund with Treas. U. S. D a e from Treasurer U. S \ •I $75,323.41 33.56 12, 500. 00 48, 734.19 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Cashier. $50, 000.00 1,398. 64 11.240.00 Dividends unpaid 2, 111. 12 1,507.49 4,611.88 44.52 170. C O 29. 98 2, 782. 70 3, 700. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 84, 436. 59 Due to other national banks Due to State banks and bankers .. 5,035.62 Notes and bills re-discounted . Bills payable 562.00 152,110. 85 Total. 152,110.85 110 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Leominster National Bank, Leominster. HAMILTON MAYO, President. No. 3204. A. L. BURDITT, Cashier. Liabilities. Resources. $299,035.11 18.17 37,500.00 Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers 13,600.72 Bank'g-house,furniture,and fixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, iiickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. Capital stock paid in. $150, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 1, 544.28 9,000.00 621. 73 6,000. 00 129. 80 10, 930. 80 5, 364.00 7, 000. 00 7,419.35 33, 750.00 376. 00 Individual deposits United States deposits Depositsof U. S. disbursing officers. 167, 655.97 Due to other national banks Due to State banks and bankers . . 19, 230.79 Notes and bills re-discounted . Bills payable 1, 687. 50 385,432.11 Total. 385,432.11 First National Bank, Lowell. W. M. SAWYER, Cashier. No. 331. Loans and discounts i $887,214. 03 Capital stock paid in. $250, 000. 00 Overdrafts 11,765.75 U. S. bonds to secure circulation... 50,000.00 Surplus fund 150, 000. 00 U. S. bonds to secure deposits 37, 654. 53 Undivided profits . U. S. bonds on hand i Stocks, securities, judgments, etc.. 8, 000.00 National-bank notes outstanding . 45, 0o0. 00 Due from approved reserve agents 113,175. 65 State-bank notes outstanding 110,000. 00 Due from other national banks Due from State banks and bankers Dividends unpaid 652. 00 Bank'g-house,furniture,and fixtures 25, 000.00 Individual deposits Other real estate andmortg's ownedi 794, 846. 23 Current expenses and taxes paid United States~deposits Premiums on U. S. bonds Deposits of U. S. disbursing officers Checks and other cash items 9, 588.09 Exchangesforclearing-house Due to other national banks 1,721.21 Bills of other national banks j 7. 896.00 Due to State banks and bankers .. Fractional currency, nickels, cents.' 931. 20 Specie I 34,050.25 Notes and bills re-discounted . Legal-tender notes j 20, 000.00 Bills payable U. S. certificates of deposit i Redemption fund with Treas. TJ. S. I 2,250.00 Due from Treasurer U. S JAMES C. ABBOTT, President Total 1,279,873.97 Total . 1,279,873.9T Appleton National Bank, Lowell. E. K. PERLEY, Cashier. No. 986. Loans and discounts | $1, 074.670.55 Capital stock paid in I $300, 000.00 Overdrafts j 5,868.14 U. S. bonds to secure circulation . . . I 300,000.00 Surplus fund 130,000 00 U. S. bonds to secure deposits I 31, 572. 70 Undivided profits. U. S. bonds on hand Stocks, securities, judgments, e t c . . 15, 429. 85 National-bank notes outstanding.. : 270, 000.00 Due from approved reserve agents. 32, 233.01 State-bauk notes outstanding ',. Duo from other national banks 18, 515. 35 Due from State banks and bankers. Dividends unpaid i 16, 022. 70 Bank'g-house, furniture, and fixtures. 100*000.66 Otherreal estate and mortg'sownedi 41, 296. 90 Individual deposits ! 943, 675.04 Current expenses and taxes paid ..! United States deposits ;. Premiums on U. S. bonds • Depositsof U.S. disbursing officers. . Checks and other cash items 16, 744. 98 ; Exchanges for clearing-house Due to other national banks 31,189.78 Bills of otner national bankft 5, 055.00 Due to State banks and bankers Fractional currency, nickels, cents. 182. 44 Specie 73, 400.00 Notes and bills re-discounted . Legal-tender notes 25, 564.00 Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 13, 500. 00 Due from Treasurer U. S JOHN F. KIMBALL, President. Total | 1,722,460.22 Total ".. 1,722,460.22 REPORT OF THE COMPTROLLER OF THE CURRENCY. Ill MASSACHUSETTS. Merchants' National Bank, Lowell. ARTHUR P. BONNEY, President. No. 506. W. W. JOHXSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. Liabilities. $1, 347, 478. 97 105. 21 50, 000. 00 246,891.81 "20,"000. 00 4, 202. 05 20, 625. 00 680. 83 66,112. 00 9, 695.00 Capital stock paid in | $400, 000. 00 Surplus fund i Undivided profits : National-bank notes outstanding.. 100, 000,00 119, 19 i. 68 43, 00). 00 State-bank notes outstanding ' Dividends unpaid | 12, 402. 00 Individual deposi ts i ! 1,090,197.48 United States deposits ' Deposits of U.S.disbursing officers. I 1,240.71 Due to other national banks i Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 2, 250. 00 Total 1,768, 040. 87 ; 1,768,010.87 Old Lowell National Bank, Lowell. No. 1329. JOHN DAVIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $499,193.47 125.29 125,000.00 12,000 00 37,261.19 2, 887.19 78.18 .15 2, 500. 00 8,176. 72 CMAS. M. WILLIAMS, Cashier. Capital stock paid in | $200, 000. 00 Surplus fund I Undivided profits , National-bank notes outstanding.. l State-bank notes outstanding j 40, 000. 00 13, 721. 34 108, 950.00 Dividends unpaid | | Individual deposits ! United States deposits. Depositsof U.S. disbursing officers. I. Due to other national banks 4,193. 00 Due to State banks and bankers .. j. 180.10 14,681.92 . Notes and bills re-discounted . 5, 000.00 } Bills payable 8, 323.00 331, 977. 78 13, 933. 09 5, 625. 00 716, 905. 21 Total. 716,905.21 Prescott National Bank, Lowell. DANIEL S. RICHARDSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes , U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 960. A. A. COUURN, Cashier, $870, 226.42 Capital stock paid in. 9, 322. 36 60, 000. 00 Surplus fund Undivided profits. 34, 979. 64 25,000.00 I " 5,789.25 92.83 6,157.07 2,403.00 i,4i2>8 10,930.50 39,359.00 -| $300,000.00 J 100,000.00 97,926.72 National-bank notes outstanding..! State-bank notes outstanding j 49,120.00 Dividends unpaid. 3, 744. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 516,141. 23 Due to other national banks j Due to State banks and bankers...!. 1, 438. 00 Notes and bills re-discounted. Bills payable 2, 700. 00 1, 058, 372. 95 Total , 1,068,372.95 112 KEPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Railroad National Bank, Lowell. No. 753. JACOB ROGERS, President. FRANK P. HAGGETT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national bauks Due from State banks and bankers Bank'g-house, furniture.and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $854, 997. 67 2, 616.10 50, 000. 00 25, 000. 00 27, 534. 27 2, 268. 66 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes o u t s t a n d i n g . . . . . 100, ( 00. 00 47, SMI. 74 45, 000. 00 Dividends unpaid 531.00 23, 016.18 "*5,'279.'36' 3. 279. 32 ' 131. 68 23, 363. 00 242.10 13, 444. 50 12, 000.00 Individual deposits | United States deposits Deposits of U. S. disbursing officers 423, 425. 43 Due to other national banks Due to State banks and bankers.. 29,132.61 Notes and bills ro-discounted Bills payable 2, 250. 00 1,045,422.78 Total $100, 0 *0. 00 Capital stock paid in. Total 1,045,422.78 Wamesit National Bank, Lowell. No. 781. H. C. HOWE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $551,917.18 28. 25 50, 000. 00 G-. W. KNOWLTOX, Cashier. Capital stock paid in I $.50, 000,00 Surplus fund Undivided profits j j 50,000.00 43, 734. 9S 10, 500. 00 i National-bank notes outstanding.. 3; 885.17 | State-bank notes outstanding j 42, 180.00 6, 000. 00 j Dividends unpaid. 1, 000. 00 Individual deposits 913. 55 ! United States deposits 4,800.00 ! Deposits of U. S. disbursing officers : 5,513.39 ! 1,814.37 Due to other national banks 975.00 Due to State banks and bankers . 250.00 I 16,138.40 Notes and bills re-discounted . 15, 287.00 Bills payable 282, 457. 33 2, 250.00 670, 272.31 Total. 670, 272. 31 First National Bank, Lynn. AMOS F . BREED, President. No. 638. OWEN DAME, Cashier. $1,145, 784.83 Capital stock paid in. Loans and discounts 14.79 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... 100, 000. 00 Undivided profits. U. S. bonds to secure deposits U. S. bonds on hand 48, 770. 00 1 National-bank notes outstanding. Stocks, securities, judgments, e t c . . 162, 596. 8t i State-bank notes outstanding Due from approved reserve agents. 32, 833.48 Due from other national banks Due from State banks and bankers Dividends unpaid Bank'g-house, furniture, an d fixtures Otherreal estate and mortg's owned Individual deposits Current expenses and taxes paid... ; United States deposits Premiums on U. S. bonds DepositsofU.S.disbursingofficers Checks and other cash items 15, 326. 94 Exchanges for clearing-b ouse Due to other national banks 12, 241. 00 I Due to State banks and bankers .. Bills of other national banks 195. 54 Fractional currency, nickels, cents. 26,188. 00 Notes and bills re-discounted . Specie 29, 500. 00 Bills payable Legal-tender notes ^ IT. S. certificates of deposit Redemption fund with Treas. U. S . 2, 250. 00 Due from Treasurer U. S Total 1,625,701.42 Total $500, 000. 00 100, 000. 00 114,161. 95 45, 000. 00 24, 788. 09 597, 168. .'8 110, 000. 00 112,524.47 22, 058. 33 j 1,625,701.42 REPORT OF THE COMPTROLLER OF THE CURRENCY. 113 MASSACHUSETTS Central National Bank, Lynn. No. 1201. PHILIP A. CHABF,, President. W. M. BREED, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixturea Other real estate andmortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds $576, 046.06 107.00 50, 000. 00 50, 000.00 Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 1, 837. 00 242. 09 19, 904.00 2, 000. 00 39, 930. 37 $200,000.00 Surplu s fund Undivided profits National-bank notes outstanding. State-bank notes outstanding..... Dividends unpaid 5, 200. 00 3,434.65 45, 000. 00 100.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. Due to other national barks •Duo to State banks and bankers.. Notes and bills re-discounted Bills payable 287, 83:5. 77 55J 000. 00 G, G26.10 25,200. 00 2,250. 00 Total 750, 951. 77 Total 100, 000. 00 •.51,191.00 750, 951. 77 Lynn National Bank, Lynn. JOHN MACNAIR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie * Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. U. S. Due from Treasurer U. S Total. J. E. JENKINS, Cashier. No. 3429. Capital stock paid in $100,000.00 60, 000.00 Surplus fund 3, 901. 07 550. 00 Undivided profits National-bank notes outstanding. 22,500. 00 State-bank notes outstanding $581, 359. 98 224. 50 25,000. 00 4, 047.50 8, 789. 48 4, 204. 00 481. 75 12, 268. 50 11,008. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers 562, 726. 34 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1,125. 00 749, 187.41 Total. 749,187.41 National City Bank, Lynn. AMOS P. TAPLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house,fiirniture,andfixtures Other real estate andraortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total H. Ex. 3 161, 281.56 92, 643. 80 34, 325.06 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding..... Dividends unpaid $200.000.00 150,000. 00 9, 987. 03 45,000. 00 10, 000.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 49, 593.68 30, 602. 00 976. 25 31,420.00 19, 700. 00 662,602. 08 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 128,226.85 2, 250.00 1,205,815.96 8 B. Y. FRENCH, Cashier. N o . 697. $733, 011.15 12.46 50,000.00 Total. 1, 205, 815. 06 114 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. National Security Bank, Lynn. BENJAMIN F . SPINNEY, President. No. 2563. D. J. LORD, Cashier. Resources. Liabilities. Overdrafts . .. IT. S. bonds to secure circulation... U. -S. bonds to secure deposits Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house, furniture, andlixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes . . . . .. U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total $688,468. 61 Capital stock paid in $100, 000.00 50,000.00 Surplus fund Undivided profits 5,425.66 91, 526. 82 8GG. 16 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 636, 809.16 2, 961.41 12,035. 93 9, 95S. 00 586.50 39,112.77 100, 000. 00 21, 377. 04 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable . . . 2, 250.00 Total 903,186.20 903,186. 20 First National Bank, Maiden. ELISHA S. CONVERSE, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house,furuiture,andnxtures Other real estate andmortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Troas. U. SDue from TreasurerU. S Total..'.. No. 588. $427,907. 99 30. 99 75, 000.00 2,000. 00 45,509.00 AKTHUR T . TUFTS, Cashier. Capital stock paid i n . . 30, 000. 00 34, 090.22 National-bank notes outstanding.. State-bank notes outstanding 67, 500.00 Dividends unpaid 3, 531. 50 7,500.00 55." 66 $100, 000. 00 Surplus fund Undivided profits. Individual deposits United States deposits Deposits of U.S.disbursiiijr officers. 359, 958. 3? Due to other national banks Due to State banks and bankers.. 46.06 5,905. 96 4,286. 00 131.16 12, 425. 00 11,000. 00 Notes and bills re-discounted. Bills pay able 3,375.00 Total . 595,126.10 595,126.10 Marblehead National Bank, Marblehead. J. F. HARRIS, President. No. 767. $245, 451. 34 Loans and discounts Overdrafts "56*666.66 U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand 4, 500. 00 Stocks, securities, judgments, etc .. 21, 378. 04 Due from approved reserve agents. Due from other national banks Dae from state banks and bankers. 9, 000. 00 Bank'g-house, furniture,and fixtures Other real estate andmortg's owned Curreut expenses and taxes paid.. Premiums on U. S. bonds 1, 999.26 Checks and other cash items Exchanges for clearing-house 808.00 Bills of other national banks 125.83 Fractional currency, nickels, cents. 15,173.30 Specie Legal-tender notes U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S. Due from Treasurer U.S Total. 350, 685. 77 WILLIAM REYNOLDS, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 24, 5")0. 00 10,361.72 45, 000.00 352. 00 150, 422. 0b Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total. 350,685.77 REPORT OF THE COMPTROLLER OF THE CURRENCY. 115 MASSACHUSETTS, National Grand Bank, Marblehead. DAVID K. PHILLIPS, President No. 676. EVERETT PAINE , Cashier. Resources. Loans and discounts 0 verdrafts to secure circulation... U. S. bonds U. S. bonds to secure deposits U. S bonds on hand Stocks, securities, .judgments, etc.. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. -Bank'g-ko use, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiumson U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total Liabilities. $274, 887. 68 120, 000.00 6, 500.00 21,100. 50 6, 000. 00 $120, 000. 00 Capital stock paid in 21,000.00 31,120. 89 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 105, 000. 00 3, 996. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. 2, 277. 00 84.15 10, 552.00 4, 000. 00 163, 536. 47 Due to other national banks Duo to State banks and bankers .. 3,147,07 Notes and bills re-discounted Bills payable 5, 400.00 Total 450, 801.33 450,801.33 First National Bank, Marlborough. WILLIAM H. FAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds ..^ Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit . Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2770. $222, 278. 69 50, 000. 00 150, 000.00 4,000.00 19,185. 21 F. L. CLAFLIN, Cashier. Capital stock paid in $150, 000. 00 Surplus fund Undivided profits 6,453. 80 6, 334. 22 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 38, 824. 44 2, 265. 27 520.00 298. (55 19,421.75 5,437.00 45, 000. 00 4,185.00 Individual deposits United States deposits Deposits o f U. S- disbursing officers. 131,392.49 165, 000. 00 Due to other national banks Duo to State banks and bankers . . 6,115.50 Notes and bills re-discounted. Bills payable 2, 250. 00 514,481. 01 Total. 514, 481. 01. People's National Bank, Marlborough. D. W. HITCHCOCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-house, furniture, aud fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie ' Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2404. JOHN L. STONE, Cashier. $291, 752.35 || Capital stock paid i u . $100,000.00 25,000.00 75, 000.00 Surplus fund Undivided profits . 15, 000. 00 9.568.15 1,400. 00 34. 863. 42 7, 709.23 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. ! Individual deposits 1, 231. 23 • United States deposits 2, 000.00 | Deposits of U. S. disbursingofficers. I. 360.18 ! Duo to other national banks i 5, 543. 00 Due to State banks and bankers. 77. 58 11,54-J.OO Notes and bills re-discounted 8, 000.00 ! | Bills payable 175. 00 2:',0, 904. 01 77,515.00 3, 881. 83 1,125.00 465, 603. 99 , Total. 465, 603. 99 116 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. First National Bank, Merrimac. \V. H. HASKELL, President. DAN'L J. POOBE, Cashier. No. 268. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S. bonds on-"hand • Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid..Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $301,063.48 3,019.96 100,000.00 17,748. 26 1, 000.00 6,472. 20 1,560.06 2, 790.00 110.48 1, 822. 85 7,138. 00 500. 00 4, 500. 00 447, 725.29 Capital stock paid in $200, 000. 00 Surplus fund 50, 000. 00 6,453.46 National-bank notes outstanding.. State-bank notes outstanding 90, 000. 00 Dividends unpaid 618. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 100, 507. 99 Due to other national banks Due to State banks and bankers .. 85. 84 Notes and bills re-discounted Bills payable 447, 725. 29 Total National Bank, Methuen. D. W. TENNEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-houso, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.fc>.certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S TotaL JACOB EMEUSON, Cashier. No. 1485. $100,000,00 Capital stock paid in. 20, 000. 00 Surplus fund (5, 901. <>4 Undivided profits . 45, 000. 00 23,524.96 National-bank notes outstanding.. 13,087.70 State-bank notes outstanding $151, 696.65 240. 76 50, 000. 00 246.25 5,937.81 2,410.00 79.82 7,169,60 540.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 3, 240. 00 81, 948. 91 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2,250. 00 257,183. 55 Total. 257.183.55 Middleborough National Bank, Middleborough. CALVIN D. KINGMAN, President. Loans and discounts Overdrafts ... U. S. bonds to secure circulation... U. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds. Checks and other cash items E xchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S-... Total No. 3994. $102, 997.25 Capital stock paid in 1 15 ? . '?-. 0 .. 18, 580.82 1,176. 08 1, 059.52 3,578.12 25.00 3, 593.00 27.17 1,692.15 4,200.00 W. R. MITCHELL, Cashier. $50, 000.00 Undivided profits National-bank notes outstanding.. State-bank notes outstanding Individual deposits * -. United States deposits DepositsofU.S.disbursingofncers. Due to other national banks Due to State banks and bankers .. 3,684.43 11,250.00 84, 955. 83 101. 35 Notes and bills re-discounted Bills payable . . . . . . . . . . . 562.50 149,991.61 Total 149,991.61 REPORT OF THE COMPTROLLER OF THE CURRENCY. 117 MASSACHUSETTS. Home National Bank, Milford. B. E. HARMS, President. N. B. JOHNSON, Cashier. No. 2275. Resources. Loans and discounts Overdrafts U. S. bonds to securo circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit lledeinption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $262,403.27 Capital stock paid in. $130, 000. 00 130," ooo.* 66' Surplus fund 9, 348.36 25, 500. 26 "Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. 2,983. 99 "£,"372.96 595. 00 481. 86 5,746.60 3,123.00 20, 000. 00 30, 980. 95 113,674.00 328. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers . . 131, 375. 81 7,421.45 1, 0J0. 09 Notes and bills re-discounted. Bills payablo 5, 850.00 447,405.30 Total 447,405.30 Milford National Bank, Milford. C. F. CLAFLIN, President. A. "WHEELER, Cashier. No. 866. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Troas. U. S. Due from Treasurer U. S Total. $579, 557.40 "l89, 666."66 35, 340. 49 Capital stock paid in $250,000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding . . Dividends unpaid 5, 340.65 5, 325. 52 4,021. 00 171. 20 7, 232.00 10,000.00 50, 000. 00 61. 015. 72 170, 000. 00 1,008.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 312,464. 54 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 8, 500. 00 Total. 844,488.26 844,488. 26 Millbury National Bank, Millbury. CHARLES D. MORSE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents . Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Pramiums on U. S. bonds Checks and other cash items E xchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 572. $373,680.42 620.20 50, 000.00 2,800.00 29,225. 08 A. ARMSBY, Cashier. Capital stock paid in. Surplus fand Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 2, 500.00 168.56 4, 375. 00 83.05 13, 965.10 800.00 $200, 000.00 40, 000.00 4,660.41 45,000.00 4, 087.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 185,832.82 Due to other national banks Due to State banks and bankers .. 888.08 Notes and bills re-discounted. Bills payable 2, 250.00 480,408. 31 Total. 480, 468.31 118 REPORT OF THE COMPTROLLER OF THE CURRENCY. MANSA1HUSETT Blue Hill National Bank, Milton. ELEAZER J . BISPHAM, President. S. J . WILLIS, Cashier. No. 684. Resources. Loans and discounts Overdrafts U. S. bonds to^secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State bankvS and bankers. Bank'g-house, furniture, andfi xtures Other real estateandmortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit --Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $401, 311.22 1,129.35 50, 000. 00 3, 520.00 8, 595. 67 Capital stock paid in. $200, 000.00 Surplus fund. urplui Undivided profits. 40, 000. 00 10, 850. 46 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid G, 365. 00 4, 000.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 532. 00 228.43 3, 582.65 22,100. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 189, 027.8C 2,250.00 497,249.32 Total. 497, 249. 32 Monson National Bank, Monson. CYRUS W. HOLMES, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estateandmortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 503. $209, 916.50 " i so," 666.'66 34,412.77 E. F . MORRIS, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . 2, 500.00 "*7b6.52 2, 753.52 2, 975.00 321.64 2, 510. 80 7, 643.00 $150, 003.00 30, 000. 00 56, 446.15 132, 855. 00 932. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 43, 341.57 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 6, 915.03 6, 750.00 Total. 420, 489. 75 420, 489. 75 Pacific National Bank, Nantucket. FREDERICK C. SANFORD, President. Loans and discounts Overdrafts U. S. bonds to-secure circulation . . U. S. bonds to secure deposits U. S. bondson hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Duo from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-houso Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 714. $188, 019. 91 65. 64 25, 000.00 8,007.63 10,163. 05 10,000.00 3, 000.00 173.97 'i,*446."76' 3, 550. 301. 13, 671. 2, 565. 00 61 00 00 ALBERT G-. BROCK, Cabhier. Capital stock paid in $100, 000.00 Surplus fund Undivided profits . 30, 000.00 3, 557.52 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 45.60 110, 986.49 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125.00 267,089. 51 Total. 267,089. 51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 119 MASSACHUSETTS. Natick National Bank, Natick. LEONARD WINCH, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents . Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie JLegal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U". S No. 2107. 800. 00 1,418.37 900.00 217, 35 18,497. 75 1, 331. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. $100, 000. 00 20, 000.00 9, 889.02 45, 000. 00 238, 737.25 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250.00 413, 626. 87 Total. S. W. HOLMES, Cashier. Liabilities. $277,776.03 Capital stock paid in 3, 865.73 50, 000.00 Surplus fund Undivided profits 13, 750.00 National-bank notes outstanding.. 42, 820. 64 State-bank notes outstanding Total. 413, 626. 87 First National Bank, N e w Bedford. No. 261. W. P. "WINSOR, Cashier. $1,253, 958. 06 Capital stock paid in. Loans and discounts $1, 000, 000. 00 235. 08 Overdrafts 900, 000. 00 Surplus fund U. S. bonds to secure circulation ... 200, 000. 0Q U. S. bonds to secure deposits 95,111.82 Undivided profits. U. S. bonds on hand 252,674. 75 National-bank notes outstanding. Stocks, securities, judgments, etc... 810,000.00 128,174. 77 State-bank notes outstanding Due from approved reserve agents 2,143.15 Due from other national banks Due from State banks and bankers . Dividends unpaid 570.50 Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Individual deposits 459, 939. 33 Current expenses and taxes paid... United States deposits Premiums on U. S. bonds Deposits of U.S. disbursing officers. 4, 582.26 Checks and other cash items Due to other national banks Exchanges for clearing-house 49, 498. 77 "13*832." 66' Due to State banks and bankers.. Bills of other national banks Fractional currency, nickels, cents. 10, 020.35 Notes and bills re-discounted . Specie 9, 000.00 Bills payable Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. 40, 500.00 Due from Treasurer U. S 2, 615,120. 42 Total. 2,615,120. 42 Total . WILLIAM WATKINS, President. Citizens' National Bank, New Bedford. JOSEPH A. BEAUVAIS, President No. 2262. E. S. BROWN. Cashier. $1,095,353.55 | Capital stock paid in. Loans and discounts $500,000. 00 1,058.33 j Overdrafts 200, 000. 00 Surplus fund 60, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits 145, 007. 53 Undivided profits. U. S. bonds on hand National-bank notes outstanding. Stocks, securities, judgments, etc . 180, 000. 00 59, 320. 94 State-bank notes outstanding Due from approved reserve agents 105.64 Due from other national banks Due from State banks and bankers . Dividends unpaid. 237.00 Bank 'g-house, furniture, andfixtures Other real estate and mortg's owned Individual deposits 523, 253. 65 Current expenses and taxes paid... United States deposits Premiums on U. S. bonds Deposits of U.S.disbursing officers Checks and other cash items 3, 972. 09 Due to other national banks Exchanges for clearing-house 222.57 3, 540.00 Due to State banks and bankers.. Bills of other national banks 157. 75 Fractional currency, nickels, cents. 7, 668.45 Notes and bills re-discounted. Specie 29,144. 00 Bills payable Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S9, 000. 00 Duo from Treasurer U. S Total 1,409,320.75 1,409,320.75 I Total . 120 BEPOBT OF THE COMPTIiOLLER OF THE CURRENCY. MASSACHUSETTS. Mechanics' National Bank, New Bedford. WILLIAM N. CRAPO, President. No. 743. JAMES W. HEUVEY, Cashier. Besources. Liabilities. Loans and discounts $1,060,060.00 19.06 Overdrafts 284,000.00 U. S. bonds to secure circulation.. 200, 000.00 TT. S. bonds to secure deposits XT. S. bonds on hand 130, 311. C3 Stocks, securities, judgments, etc . 169, 353.12 Duo from approved reserve agents 15,149. 03 Due from other national banks . . . Due from State banks and bankers Bank 'g- house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on TJ. S. bonds Checks and other cash items 8, 623. 95 Exchanges for clearing-house... 4, 809.00 Bills of other national banks 225.08 Fractional currency, nickels, cents . 31,794. 00 Specie 9,525.00 Legal-tender notes TJ. S. certificates of deposit 12, 780. 00 Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Capital stock paid in. $600, 000.00 Surplus fund Undivided profits. 225, 000. 00 76,467.48 National-bank notes outstanding.. State-bank notes outstanding 252, 040. 00 Dividends unpaid 24, 072. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 519, 072.52 220, 000. 00 Due to other national banks Due to State banks and bankers .. 9, 997.87 Notes and bills re-discounted . Bills payable 1, 926,649. 87 Total.. 1, 926, 649. 87 Merchants' National Bank, New Bedford. JONATHAN BOURNE, President. No. 799. $1,862,104.51 Loans and discounts 222.24 Overdrafts 452,500.00 U. S. bonds to secure circulation.. U. S. bonds to secure deposits 100,000.00 TJ. S. bonds on hand Stocks, securities, judgments, etc . 317,917.75 Duo from approved reserve agents 146,277.33 Duo from other national banks — 5, 045. 93 Due from State banks and bankers BanK'g-liouse,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items 4, 215. 89 Exchanges for clearing-house Bills of other national banks "l," 046.'66' Fractional currency, nickels, cents . 47,794.62 Specie Legal-tender notes 5, 700. 00 U. S. certificates of deposit ^Redemption fund with Treas. U. S. 20, 362.50 Due from Treasurer U. S Total H. C. W. MOSHER, Cashier. Capital stock paid in. $1,000, 000. 00 Surplus fund Undivided profits . 500, 000.00 78, 359. 97 National-bank notes outstanding.. State-bank notes outstanding 407, 250.00 Dividends unpaid. 733. 50 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable * , 2,963,186.77 Total 814, 663.97 110, 000. 00 52,179. 33 2,963,186.77 National Bank of Commerce, New Bedford. FRANCIS HATHAWAY, President. No. 690. J . H. TALLMAN, Cashier. Loans and discounts $1, 482, 489.98 Capital stock paid in. ~ 1, 588.47 Overdrafts 300, 000.00 Surplus fund U. S. bonds to secure circulation... 50, 000.00 Undivided profits U. S. bonds to secure deposits TJ. S. bonds on hand 55, 309. 00 National-bank notes outstanding.. Stocks, securities, judgments, etc . . 136, 288.15 State-bank notes outstanding Due from approved reserve agents. Duo from other national banks 1,972.71 Due from State banks and bankers. 57.28 Dividends unpaid 29,000.00 Bank'g-house, furniture, andfixturea 35, 000.00 Individual deposits Other real estate and mortg's owned Current expenses and taxes paid . . . United States deposits Premiums on U. S. bonds Deposits of U. S. disbursing officers. Checks and other cash items 2,615.75 Exchanges for clearing-house Due to other national banks Bills of other national banks 7, 316. 00 Due to State banks and bankers .. Fractional currency, nickels, cents . 33.00 Specie 25,500.00 Notes and bills re-discounted . Legal-tender notes 3, 250.00 Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 13, 500. 00 Due from Treasurer U. S Total. 2,143, 920.34 Total. , oooToooToo 200, 000.00 46,454.98 270, 000. 00 20,392.00 544, 300. 70 49,178.56 919.60 12, 674. 50 2,143, 920. 34 REPORT OF THE COMPTROLLER OF THE CURRENCY. 121 MASSACHUSETTS. First National Bank, Newburyport. EBKN SUMNER, President. Resources. Loans and discounts Overdrafts U S. bonds to secure circulation... U S. bonds to secure deposits U S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bauk'g-house, furniture, andfixtures Ofcherreal estate andmortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total.. No. 279. W. F. HOUSTON, Cashier. Liabilities. $459,461. 98 2,140. 31 37, 500. 00 Capital stock paid in $150, 000.00 Surplus fund Undivided profits . 150.00 National-bank notes outstanding.. j 12,781. 67 State-bank notes outstanding i 6,000. 00 1,150. 00 5,263. 77 9, 700.00 722. 55 1,573. 00 123.91 12, 865.00 10,400.00 Dividends unpaid 60, 000. 00 24, 340. 93 33,750.00 348.00 292, 570. 51 Deposits of TJ. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 510.25 1, 687. 50 561, 519.69 561, 519.69 Total. Mechanicks' National Bank, Newburyport. EDWARD S. MOSELEY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Doe from other national banks Duo from State banks and bankers. Bank'g-house,furniture,andfixturo8 Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationaljaanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Dae from Treasurer TJ. S Total- No. 584. $423, 359. 87 115.30 50,000.00 1, 000.00 6,727.34 F . O. WOODS, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. $250,000.00 100, 000.00 836.20 44, 350.00 7, 719. 00 6, 000.00 Individual deposits United States deposits 1, 437.50 Deposits of U.S. disbursing officers. 283. 37 Due to other national banks 3, 912. 00 Due to State banks and bankers .. 47.76 3, 548. 85 Notes and bills re-discounted. 935.00 Bills payable 91, 580. 62 5,131.17 2, 250.00 499, 616.99 Total. 499, 616. 99 Merchants' National Bank, Newburyport. P . H. BLUMPEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities,judgments,etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house — Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. No. 1047. $282, 350. 66 226. 45 30,000. 00 A. W. GKEENLEAF, Cashier. Capital stock paid in. $120,000. 00 Surplus fund Undivided profits. 3, 500. 00 National-bank notes outstanding.. 43,885.75 State-bank notes outstanding .. 4,961. 98 8, 350. 00 3.00 4,000. 00 1,148.35 2,881. 00 86.30 7,492. 02 7, 500.00 Dividends unpaid * 45, 000.00 5,830. 81 26, 993.00 4, 200.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 193, 651.19 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 2,054.51 1,350.00 397, 735.51 Total. 397, 735.51 122 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Ocean National Bank, Newburyport. MOSES H. FOWLER, President. No. 1011. PHinr H. LUNT, Cashier. Liabilities. Resources. Loans and discounts O verdraf ts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks— Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. X Is. certificates of deposit T Redemption fund with Treas. IT. S. Due from Treasurer U. S Total $293,885. 59 50,000. 00 Capital stock paid in Surplus fund i Undivided x>rofits $150,000.-00 1 , National-bank notes outstanding.. 10, 303. 87 ; State-bank notes outstanding 5,500. 66 12,250. 00 1,321.11 Dividends unpaid 50, 000. 00 4, 816. 59 4.3, 000. 00 4, 681. 50 Individual deposits United Staton deposits Deposits of U.S.disbursing officers. 131, 947. 82 Due to other national banks 1, 574.00 Duo to State -banks and bankers.. 224. 54 7 274 80 Notes and bills re-discounted 1,862.00 Bills payable 2, 250.00 386, 445.91 386, 445. 91 Total First National Bank of West Newton, Newton. JAMES H. NICKEBSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3598. $155,203.19 185. 92 25, 000. 00 14,118. 75 24,242.38 EDWAKDH ,HCTA P. Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding-.... Dividends unpaid 975. 46 5, 600. 00 2, 251. 59 1, 020. 00 22.10 7, 087. 55 3,725.00 $100, 000. 00 1,375.00 1,000.36 22, 500. 00 2, 065. 00 Individual deposits United States deposits DepositsofU.S.disbursingofficers. 113, (116. 58 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted.. Bills payable 1,125. 00 Total. 240, 556.94 240, 556.94 Newton National Bank, Newton. J O S E P H N . BACON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents Duo from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate andmortg's owned Current expenses and taxes paid Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house... Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 789. $354, 726. 62 290.07 50,000.00 28, 557.05 21, 792.19 12, 740. 86 9, 843. 75 1,199. 36 4,060.00 142. 09 17, 838. 75 5, 045. 00 B. FRANKLIN BACON, Cashier. Capital stock paid in. $200, 000. 00 Surplus fund Undivided profite. 40, 000. 00 7, 036.49 National-bank notes outstanding.. State-bank notes outstanding 43, 460. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 214,809.69 Dne to other national banks Due to State banks and bankers.. 1,773.50 Notes and bills re-discounted.. Bills payable 1,406.00 2, 250.00 508, 485. 74 Total. 508, 485. - REPORT,OF THE COMPTROLLER OF THE CURRENCY. 123 MASSACHUSETTS. Adams National Bank, North Adams. S. W. BBAYTON, President. No. 1210. E. S. WILKINSON, Cashier. Resources. Liabilities. Loans ami discounts Overdrafts XL S. bonds to secure circulauo: TJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from vState banks and bankers. Bank'g house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. $880, 876.77 540.80 150, 000. 00 74, 756.66 76, 412. 06 Capital stock paid in | $500,000. 00 Surplus fund Undivided profits | 100,000.00 59,482.28 National-bank notes outstanding.. i State-bank notes outstanding ' Dividends unpaid 134, 970. 00 i 342. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 353, 672. 45 40, 000. 00 1,001.14 7,442.00 546.02 13, 854. 55 23,802. 00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 135, 695. 35 6,750.00 Total. 1, 284,162. 08 1, 284,162.08 Berkshire National Bank, North Adams. W. H. GTAYLORD, President. No. 2396. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-hou se,furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash,items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Dae from Treasurer U. S W. W. BUTLER, Cashier. $313,064.42 |i Capital stock paid i n . 6G6.14 i; 50,000.00 Surplus fund $200, 000.00 Undivided profits 2, 500. 00 I National-bank notes outstanding.. 17, 953. 53 State-bank notes outstanding 3, 000.00 12,195. 94 45, 000. 00 5, 924.15 Dividends unpaid. 3, 000. 00 1, 542.87 3,000,00 2, 696. 77 2, 666. 00 40.16 8,101.00 7, G50.00 28. 00 Individual deposits United States deposits Depositsof U. S. disbursingofticers. 155, 593. 31 Due to other national banks Due to State banks anil bankers.. Notes and bills re-discounted . Bills payable 5, 237. 79 2, 250.00 Total . Total. 421, 055.04 421,053. 04 First National Bank, Northampton. No. 383. A. L. WILLISTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges lor clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender note* U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $720, 329. 97 730.90 50, 000.00 154,900.00 59,752.16 8, 731. 08 5, 393. 08 20, 000.00 2,900.00 2,492.14 1,271. 92 7, 236. 00 297.77 26, 882.00 F. N. KNEELAND, Cashier. Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $500, 000. 00 125, 000.00 11, 468. 59 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of TJ.S.disbursing officers. 336, 526.16 Due to other national banks Due to State banks and bankers.. 25.172. 27 Notes and bills re-discounted Bills payable 20, 000. 00 2, 250. 00 ! 1,063,167.02 Total . 1, 063, 167. 02 124 REPORT OF THE • COMPTROLLER OF THE CURRENCY. • MASSACHUSETTS. Hampshire County National Bank, Northampton. LEWIS WARNER, President. No. 418. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national bauks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $616,255.83 468.08 200, 000. 00 20, 900.00 41, 518.82 8,682.67 35,489.89 " "2\"368." 53* 6,052.45 3,661.00 87.59 16,414.80 17,000. 00 * F . A. MACOMBKR, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding..... Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $200, 000. 00 50, 000.00 10, 088. 99 180,000.00 474, 808.13 12, 402. 54 9,000.00 Total. 977,899.66 977,899.66 Northampton National Bank, Northampton. OSCAR EDWARDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, e t c . . Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1018. $528, 273. 59 697.42 100,000.00 378,512.94 37,281.08 9, 019. 49 25, 848.29 33, 000.00 3, 423.14 4,017.00 342. 00 27,930.00 1,724 00 JOHN WHITTELSEY, Cashier. $400,000.00 Capital stock paid i n . Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers Due to other national banks Due to State banks and bankers - 250, 000. 00 9, 045. 53 90, 000.00 16, 032. 00 363, 036. 07 26,455.35 Notes and bills re-discounted. Bills payable 4, 500. 00 Total. 1,154,568.95 1,154,568.95 North Attleborough National Bank, North Attleborough. HENRY F . BARROWS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. J hie from other national banks Duo from State banks and bankers. lJiiiik'£-house,furniture,andfixtures (HhiT real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due froinTreatiurer U. S Total. No. 3365. E. R. PRICE, Cashier. Capital stock paid in. " "37*500." 66" Surplus fund Undivided profits. National-bank notes outstanding.. 61,016.67 8, 862.99 State-bank notes outstanding $355,001.51 15,229.52 1, 599. 95 9,109.98 328.06 3,429. 00 191.74 11,662.77 3, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $150, 000. 00 20, 000. 00 23, 364. 30 33,110.00 30. 00 298, 884.14 1,447.91 2,091.77 1, 687. 50 5, 000.00 528,931.21 Total. 528, 931. 21 REPORT OF THE COMPTROLLER OF THE CURRENCY. 125 MASSACHUSETTS. Northborough National Bank, Northborough. SAMUEL WOOD, President. No. 1279. W. J. POTTER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits 0". S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfi xtures Other real estate, and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. Liabilities. $312,313.12 Capital stock paid in $100, 000. 00 5o,"666.66 Surplus fund Undivided profits 20, 000. 00 6, 33J. 58 20,187.50 31, 764. 58 National-bank notes outstanding.. State-bank notes outstanding 45. 000. 00 Dividends unpaid 2, 000. 00 6, 000.00 106.96 7, 500. 00 2, 550. 00 55. 95 10, 500.25 5, 841.00 259. 50 Individual deposits . . United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . 279, 454. 48 22.80 Notes and bills re-discounted. Bills payable 2,250.00 Total 451, 069.36 451, 069. 36 First National Bank of Easton, North Easton. FREDERICK L. AMES, President. Loans and discounts. Overdrafts U. S, bonds to secure circulation... U. S. bonds to secure deposits U. 8. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g- house, furniture, andfixtures Other real estate, and mortg's owned! Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 416. $460,473.46 300,000.00 46, 675. 00 28,813, 87 E. H. KENNEDY, Cashier. Capital stock paid in. Surplus fund Undivided profits $300, 000. 00 . _. 60, 000.00 53, 859. 33 National-bank notes outstanding.. State-bank notes outstanding..... 2G8,157. 00 Dividends unpaid 21, 562. 50 2, 538. 39 3, 420. 00 73.01 13, 023.15 6,710.00 13, 640. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 201.133.05 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 13, 500. 00 Total. 896, 789. 38 896, 789. 38 Orange National Bank, Orange. GEORGE A. WHIPPLK, President. Loans and discounts Overdrafts •J. S bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds OIL hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house,furnitnre,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2255. $248, 521.80 195.06 70, 000. 00 26, 262. 50 31,147.01 2, 000. 00 6,000. 00 1,489.13 WARREN M. KING, Cashier. Capital stock paid in ; $ 100, 000.00 Surplus fund Undivided profits 33, 000. 00 9, 980. bi National-bank notes outstanding.. State-bank notes outstanding 03, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 372. 00 191,077.21 """389." 38 958.00 114.47 5, 513.10 11,123. 00 Due to other national banks Due to State banks and bankers. 9,433. 73 Notes and bills re-discounted. Bills payable , 3,150.00 406, 863. 45 Total. 400, SG'i. 45 126 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Oxford National Bank, Oxford. No. 764. A. L. JOSLIN, President. C. B. SHERMAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house, turniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U, S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. Liabilities. $107, 228. 31 """so," 666* 66' 26,666.66 16,224.50 "*3*666,66 1, 704.29 12, 500. 00 2, 075.00 124.51 4,182.10 695. 00 Capital stock paid in \ $100,000. 00 Surplus fond Undivided profits \ j 20,000.00 13, 193.7G National-bank notes outstanding.. State-bank notes outstanding 43, 990. 00 Dividends unpaid . 2, 605. 00 Individual deposits United States-deposits Depositsof U. S. disbursing officers 40,194. 95 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2,250.00 219, 983. Total 71 I 219,983.71 Palmer National Bank, Palmer. No. 2324. L. E. MOORB, President. Loans and discounts Overdrafts „ U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andflxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. CHAS. B. FISKE, Cashier. $245, 832.83 ! Capital stock paid in ! $100, 000.00 166.15 25, 000. 00 Surplus fund ' 20, 000. 00 Undivided profits 20, 002. 52 National-bank notes outstanding.. 22, 500.00 State-bank notes outstanding 42,579.07 Dividends unpaid j 4, 042. 50 Individual deposits j United States deposits I Depositsof U.S. diabnrsingoiticcra 1 102,704.53 Due to other national banks | Due to State banks and bankers . Notes and bills re-discounted . Bills payable 4. 585.09 A, 334. 80 4, 300.00 311.77 I |i 791.00 62.02 8, 867.60 8,134.00 j 1,125.00 337,169.44 337, 169.44 Total. South Danvers National Bank, Peabody. WILLIAM P. CLARK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Duo from other national banks Duo from State banks and bankers. Bank'g-houae, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house j Bills of other national banks Fractional currency, nickels, cents Specio . <. ..." Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Duo from Treasurer U. S Total. No. 958. $291,123.85 Capital stock paid in. 10.64 60,000. 00 Surplus fund G. M. FOSTER, Cashier. ........ ! Undivided profits. National-bank notes outstanding.. 286. 52 State-bank notes outstanding 159.84 3, 000.00 5, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 1,482.12 Due to other national banks 2,108.00 Due to State banks and bankers .. 251. 95 9, 770. 30 Notes and bills re-discounted. 3, 000. 00 Bills payable $150,000.00 70, 000. 00 2, 959. 58 54, 000. 00 5, 744. 00 9(J, 020. 89 168. 75 2,700. 00 378, 893. 22 Total. 378,893.22 REPORT OP THE COMPTROLLER OF THE CURRENCY. 127 MASSACHUSETTS. Warren National Bank, Peabody. 0. WAKREX OSBORN, President. No. 616. FRANK C. MERRILL, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents Due from other national banks Due from State banks and bankers Bank'£-house,fnrniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $467, 679. 32 353. 2") 50, 000. 00 101,685.00 48, 900.22 151. 20 20,000.00 10, 940.52 7,117. 00 205. 85 18,000. 00 6,000.00 Capital stock paid in. 85, 000. 00 23, 348.92 National-bank notes outstanding. State-bank notes outstanding 45, 000. C O Dividends unpaid 8,164.50 Individual deposits United States deposits DepositsofU.S.disbursingotncers. 319,961.93 Due to other national banks Due to State banks and bankers . . 2, 404. 01 Notes and bills re-discounted. Bills payable 2,250.00 733,882.36 Total. $250, 000. 00 Surplus fund Undivided profits Total. 733,882. 30 Third National Bank, Pittsfield. HENRY W. TAFT, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S No. 2525. $414,535.08 80.95 50, 000.00 $125, 000. 00 Surplus fund Undivided profits 50, 000. 00 29, 930. 8 { 18,000.00 26,916.89 888.61 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 2,210.98 Individual deposits United States deposits Deposits of U.S. disbursing officers. 3, 599.00 146. 20 10, 837. 25 93 500.00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable Dividends unpaid . 280,718.14 8, 248. r,2 209.128 2, 250, 00 Total. 19,126.77 Total. R. B. BARD WELL, Cashier, Capital stock paid in. 539,126. 77 Agricultural National Bank, Pittsfield. JOHN R. WARRINER, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bauk'g-hoi ise, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Duo from Treasurer U, S Total No. 1082. $823,153.99 118.62 100, 000. 00 7, 360.00 120,351. 05 6,678.18 21,711.12 I. D. FERREY, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $200, 000.00 200,000. 03 78, 385. 25 90, 000. Oi) 10.192.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 521,68.1. 07 Due to other national banks Due to State banks and bankers . . 22,598.18 5, 427. 53 4, 642.98 4, 080. 00 114.24 21, 207. 85 13, 370.00 Notes and bills re-discounted . Bills payable 4, 500. 00 1, 000.00 1,128,288.03 Total 1,128,288.03 128 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Pittsfield National Bank, Pittsfield. No. 1260. ZENAS CRANE, President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation . -. U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc .. Due from approved reserve agents. 13no from other national banks Due from State banks and bankers. Ban k 'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. ri. certificates of deposit Redemption fund with Treas. XL S . Due from Treasurer U. S Total E. S. FRANCIS, Cashier. Liabilities. $853,458. 54 7,061.48 138, 000.00 26,011.82 93, 803. 52 65, 539. 32 12,744. 86 44, 036. 48 3,254. 99 15, 867. 94 11,462.00 268.43 20, 587.50 3, 500. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid $500, 000.00 250, 000. 00 36,178. 27 120,750.00 253. 00 Individual deposits United States deposits DepositsofU.S.disbursing officers 330, 771. 93 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 60,911.27 2, 942. 41 6,210.00 1,301,806.88 Total. 1, 301, 806. 88 Old Colony National Bank, Plymouth. GEORGE G-. DYER, President. No. 996. Loans and discounts Overdrafts IT. S. bonds to secure circulation II. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house, furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house. -. Bills of other national banks, Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $413,632.19 35.90 150,000. 00 62,396.17 69, 061.95 W . S. MORISSEY, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 3, 093, 00 383.56 13,206.00 3,210. 00 100,000.00 36, 0K0. 4(i 132, 050. 00 10, 012. CO Dividends unpaid 2,100. 34 $250, 000. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 195, 720. 65 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 6,750. 00 Total. 723,869,11 723, 869.11 Plymouth National Bank, Plymouth. ISAAC N. STODDARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits ' U.S.bonds onhand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-honse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total., C. B. STODDARD, Cashier. No. 779. Capital stock paid in. " "i6o,"666."66" Surplus fund Undivided profits. 28, 394 00 National-bank notes outstanding.. 16, 880. 01 State-bank notes outstanding $232,126. 53 Dividends unpaid... 13, 584. 55 476. 87 6, 000. 00 840.61 4,184. 00 486. 89 11, 730. 00 7, 200. Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks Duo to State banks and bankers .. Notes and bills re-discounted . Bills payable $160, 000.00 32, 000.00 26,164.12 136,110. 00 5, 064.00 122,157.14 408.20 00 481, 903. 46 Total. 481,903.46 REPORT OF THE COMPTROLLER OF THE CURRENCY. 129 MASSACHUSETTS, First National Bank, Pro vine etown. MOSES N. GIFFORD, President. No. 736. Resources. Loans and discounts 0 verdrafts U. S. bonds to secure circulation... U. S. bonds on hand . . . . Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid . Checks and other cash items Exchanges for clearing-house Fractional currency, nickels, cents . Specie Legal-tender notes. .*. U. S. certificates of deposit Redemption fund with Treas. U. S. Total $218, 710.73 2.63 200, 000.00 96, 540. 00 22,381.56 3, 000. 00 8,668. 79 4, 550. 00 1,442. 85 7, 964.00 a. 87 8,133. 35 2, 000. 00 REUBEN W. SWIFT, Cashier. Liabilities. Capital stock paid in $200, 000.00 Surplus fund Undivided profits 60, 000. 00 22, 046.93 National-bank notes outstanding.. State-bank notes outstanding 180, 000. 00 Dividends unpaid 33.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 120,317.85 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 9,000. 00 Total 582,397.78 582, 397. 78 National Granite Bank, Quincy. T. KING, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, seenrities, judgments, etc.. Due from approved reserve ag( Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds ... Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. RUPERT F. CLAFLIN, Cashier. No. 832. Capital stock paid in. $150, 000. 00 Surplus fund , 50, 000.00 21, 387.33 Undivided profits 18, 200. 00 National-bank notes outstanding.. 33, 750.00 17, 581. 43 State-bank notes outstanding $378, 916.20 623.20 37, 500.00 14, 260. 00 6, 992.44 6, 702. 81 7, 328.00 52.10 10, 000. 00 7, 000. 00 10, 000.00 1, 687. 50 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 5, 373.00 256,333. 35 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 516, 843. 68 Total. 516. 843. 68 National Mount Wollaston Bank, Quincy. E. B. PRATT, President. No. 517. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. Ex. 3 $328, 693. 67 651. 79 37, 500.00 45,003.85 284.15 10,181.25 2, 991. 66 I $150, 000. 00 Surplus fund Undivided profits 50, 000. 00 12, 090. 16 National-bank notes outstanding.. State-bank notes outstanding 32, 550. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 5, 444. 00 192, 726. 26 Due to other national banks 2, 405.00 Due to State banks and bankers . 38.50 5, 323. 05 Notes and bills re-discounted. 3, 050. 00 Bills payable 5, 000. 00 1, 687. 50 442, 810. 42 9 HoIIACE F. SPEAH, Cashier. Capital stock paid in Total. 442,810.42 130 REPORT OF THE COMPTROLLER Otf THE MASSACHUSETTS. Randolph National Bank, Randolph. ROYAL W. TURNER, President. No. 558. JOHN J. CRAWFORD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.-. U. S. bonds to secure deposits Stocks,securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $511,692.12 200, 000.00 20,.000.00 6,518.55 1, 69«. 23 6, 533.13 3,264.69 6,380.00 152.31 11.249. 35 1,611.00 Capital stock paid in Surplus fund Undivided profits $20J, 000. 00 200, 000.00 21,210.12 National-bank notes outstanding.. State-bank notes outstanding 178, 900. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 167,167.26 10, 820. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted 9, 000.00 778,097.38 Total 778, 097. 38 First National Bank, Rockland. EDWARD PAYSOJS TORRET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. .U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3868. $99,087.55 Capital stock paid in. 135.86 12, 500.00 Surplus fund $50,000. 00 600. 00 2, 361. 62 Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 11,250. 00 82, 428. 64 2, 976.56 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 5,425.00 224.20 2,709.53 2,000.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 800. 00 18, 505.70 978.03 1, 739.33 1, 004. 00 56150 147,644.26 Total. GEO. H. HUNT, Cashier. Total. 147, 644. 26 Rockport National Bank, Rockport. CHARLES TARR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-honse Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . GEO. W. TUFTS, Cashier. No. 1194. $100, 000.00 Capital stock paid in. 40, 000.00 25,000.00 Surplus fund 2, 772. 99 Undivided profits 22, 500. 00 15, 000.00 National-bank notes outstanding.. 24, 768.46 State-bank notes outstanding $166,094.94 2, 865.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 4,138.00 22.64 6,150.00 3, 309. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . 11, 000.00 87, 582.05 Bills payable 1,125.00 256, 1G4.04 Total. 256,164. 04 REPORT OF THE COMPTROLLER OF THE CURRENCY. 131 MASSACHUSETTS. First National Bank, Salem. No. 407. EBEN SUTTON, President. Resources. Loans and discounts 0 verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. E. H. PAYSONT, Cashier. Liabilities. $657, 450. 54 57.70 50, 000.00 50, 000. 00 58, 818. 75 48, 740.23 55.87 "6,"6oo'<j6"| ' 74*87*i! 3, 997.44 Capital stock paid in $300, 000.00 Surplus fund . . . Undivided profits 80 000 00 1, 677. 03 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid 15, 756. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers . Due to other national banks 408, 495. 53 55, 000. 00 3,607.13 5, 063.00 Due to State banks and bankers 539.79 , 19,687.50 Notes and bills re-discounted 6,800.00 Bills payable . .. . 2,250. 00 Total 909, 535. 69 909, 535. 69 Asiatic National Bank, Salem. GEORGE H. ALLEN, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearinghouse Bills of other nationalbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 634. CHAS. S. REA, Cashier. $560,373.06 , Capital stock paid in. 66.51 50,000.00 ,i Surplus fund $315, 000. 00 , Undivided profits " "67,698."75* National-bank notes outstanding. 59,841.92 ! State-bank notes outstanding 105, 000. 00 19, 353. 49 45, 000. 00 28,667.24 ; Dividends unpaid. 474. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 626. 69 10, 693.00 170.10 19,318.25 7, 000. 00 283, 889. 78 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 37, 988. 25 2, 250. 00 806, 705. 52 Total . 806, 705. 52 Mercantile National Bank, Salem. CHAS. HARRINGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e!c.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g house,furniture,andfixtures Other real estate and mortg'sowned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks , Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 691. J o s . H. PIPPEN, Cashier. Capital stock paid in. Surplus fund Undivided profits 11, 000. 00 National-bank notes outstanding.. 8, 447.86 State-bank notes outstanding $386,313.26 202.35 1L2,OOO.OO 294. 75 " M O O "66" 7,282.42 *"814."87' 1, 210.00 98.94 8,176.15 5, 461.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills ro-discounted . $200, 000. 00 45, 000 00 14,457.16 100, 800. 00 342.00 189, 847. 26 1,895.18 Bills payable 5, 040. 00 552, 341. 60 Total . 552, 341. 60 132 REPORT OF THE COMPTROLLER OF THE CURRENCY MASSACHUSETTS. Merchants' National Bank, Salem. JAMBS P . COOK, President. No. 726. H. M. BATCH KLDER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $494,133.09 269.69 50, 000. 00 Capital stock paid in $200,000. 00 75, 000. 00 5, 659. 34 43, 000.00 National-bank notes outstanding.. 25, 578. 36 State-bank notes outstanding • 2, 313. 36 Dividends unpaid..'. i Individual deposits . r I United States deposits 13, 000. 00 Deposits of U.S. disbursing officers. I. 15,049.91 Due to other national banks 770. 00 Due to State banks and bankers.. 116. 76 21, 098. 95 Notes and bills re-discounted. 4,181. 00 Bills payable 42,670. 00 6, 03.1.50 328,490.51 13, 909.77 2, 250. 00 Total. 671, 761.12 Total.. | Surplus fund Undivided profits. 671,761.12 National Exchange Bank, Salem. NATHAN NICHOLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-h.ouse,furniture,aud fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 817. $404,261. 62 167. 72 50,000. 00 8,800.00 25, 699. 28 1, 097.99 1, 000.00 2,100.00 6, 000. 72 7, 556. 00 113.10 20, 091. 35 262.00 S. G-. SYMONDS, Cashier. Capital stock paid i n . $200, 000, 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 40,000.00 6, 359.56 45, 000. 00 5, 042.50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 230,128.21 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 2, 869,51 2,250.00 Total. 529, 399. 78 529,399.78 Naumkeag National Bank, Salem. JOSEPH H. TOWNE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and moitg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash* items Exchanges for clearing-house Bills of. other national banks ^Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 647. N. A. VERY, Caahier. $985, 023. 64 | Capital stock paid in I $500, 000.00 1,571.02 i ! 150, 000. 00 Surplus fund 275, 000. 00 83,164.73 Undivided profits. 79,187. 50 National-bank notes outstanding 135, 000.00 115,860.18 Slate bank notes outstanding 400. 00 Dividends unpaid 378. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers 14,215.40 3,196, 00 280. 05 25, 719. 40 10, 651. 00 390, 357. 21 Due to other national banks Due to State banks and bankers.. 8, 954. 25 Notes and bills re-discounted . Bills payable 6, 750. 00 1,392,854.19 Total . 1, 392, 854.19 REPORT OF THE COMPTROLLER OF THE CURRENCY. 133 MASSACHUSETTS. Salem National Bank, Salem. BENJAMIN W. KUSSELL, President. No. 704. GEO. D. PHIPPEN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds oa hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-h ouse, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $666, 003. 77 940.87 50, 000. 00 59,647. 78 62, 433.64 Capital stock paid in $300, 000. 00 Surplus fund Undivided profits 100, 000.00 15, 559. 63 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 9, 087. 00 9, 500.00 ""'29.'60 45, 000. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 419, 906. 98 3, 700.73 7, 913. 00 85.22 21, 049.00 6, 000.00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 2, 250.00 889,553.61 889,553.61 Total Shelburne Falls National Bank, Shelburne Falls. LORENZO GRISWOLD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g- house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1144. $202,152. 68 C. W. HAWKS, Cashier. Capital stock paid in. $200,000.00 56,"666.'66" Surplus fund Undivided profits. 0, 000. 00 22, 584. 81 51,150. 00 16, 032. 85 1, 645. 96 National-bank notes outstanding.. State-bank notes outstanding 43, 000. 00 " 9,"6oo. 66" 1, 523. 04 ""383." 56' 2, 395.00 110. 53 5, 289. 75 Dividends unpaid Individual deposits United Statosdeposits Deposits of U. S. disbursing officers 70, 348. 56 341, 933. 37 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250.00 341, 933. 37 Total. Southbridge National Bank, Southbridge. JACOB EDWARDS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 934. $333, 728.54 * 50," 000. 66 25, 903.03 " 2,666.66 5, 513. 02 215.00 314.68 18,318. 45 1,522.00 F. L. CHAPIN, Cashier. Capital stock paid in. Surplus fund Undivided profits $150, 000.00 « . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 30, 000. 00 33, 499. 34 45, 000. 00 6, 248.00 175, 017. 38 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2,250.00 439, 764.72 Total. 439, 764. 72 134 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Framingham National Bank, South Framingham. JAMES J . VALENTINE, President No. 528. FEED L. OAKS, Cashier. Besonrces. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks — Due from State banks and bankers. Bank'g-house,furniture,andfixture8 Olher real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. Liabilities. $556,120.61 88.62 50, 000.00 28,739.85 Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits. , 50,000.00 36, 704.39 National-banknotes outstanding.. State-bank notes outstanding Dividends unpaid 45,000.00 8, 000.00 2, 000.00 ""591." 23 3, 250.00 4, 263.13 5, 400.00 189.97 22,803.50 5,300.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers.. 304,167.47 13,287.07 23, 837. 98 Notes and bills re-discounted. Bills payable 2,250.00 680,996.91 Total. 680,996.91 First National Bank, South Weymouth. J O H N S. FOGG, President. No. 618. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-houae,fiirniture,andfixturev« Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Chocks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fond with Treas. U. S Due from Treasurer U. S Total. $266,946.69 102.28 110,000.00 23, 000.00 44,777.33 J . H . STETSON, Cashier. $150, COO. 00 Capital stock paid in. Surplus fund Undivided profits 30, 000.00 6,719.98 National-bank notes outstanding.. State-bank notes outstanding 97,160.00 Dividends unpaid 3, 036. 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 063. 03 3,314.00 9.72 8, 930.45 479.00 176, 656. 02 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 4, 950.00 Total. 463,572.50 463,572. 50 Spencer National Bank, Spencer. ERASTUB JONES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2288. $323, 612.92 FRANK A. DRURY, Cashier. Capital stock paid in ""37* 500." 66" Surplus fund Undivided profits 54,500. 71 '""i," 666." 66 6, 500.00 274.96 1, 226.00 434.73 2, 690.25 16,000.00 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid $150, 000.00 28, 500.00 8, 513. 64 33, 750. 00 4, 500.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 191,016.78 Due to other national banks Due to State banks and bankers . 29,146.65 Notes and bills re-discounted Bills payable 1,687.50 445, 427.07 Total. 445,427.07 REPORT OF THE COMPTROLLER OF THE CURRENCY. 135 MASSACHUSETTS. First National Bank, Springfield. No. 14. JAMES KIRKHAMJ President D. A. FOLSOM, Cashier. Resources. Liabilities. $1,023, 113.17 Loans and discounts °4 23 Overdrafts . TJ. S. bonds to secure circulation. .. 50, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand 59, 943.63 Stocks, securities, judgments, etc .. 62, 225. 31 Due from approved reserve agents 14,891.38 Due from other national banks 72.15 Due from State banks and bankers 64, 646. 00 Bank'g-house, furniture, and fixtures' 5, 000. 00 Other real estate and mortg's owned 4, 29b. 95 Current expenses and taxes paid... 4, 000. 00 Premiums on U. S. bonds 3, 253. 4l Checks and other cash items 4, 566.70 Exchanges for clearing-house 4, 326. 00 Bills of other national banks 102. 64 Fractional currency, nickels, cents. 40 663 10 Specie Legal-tender notes 8,147. 00 U. S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total 1,351,524.67 1 Capital stock paid in $400, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 150.000. 00 26, 053. 02 Individual deposits United States deposits Deposits of U.S. disbursing officers 725, 795. 27 Due to other national banks Due to State banks and bankers .. 44, 000.00 693.00 4, 983. 38 Notes and bills re-discounted Total 1, 351, 524. 67 Second National Bank, Springfield. N o . 181. A. F. FOLBOM, President Loans and discounts Overdrafts to secure circulation U S bonds U. S. bonds to secure deposits U S bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank' g-house, furniture, an dfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie • Lesral-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total $661,936.41 238 67 50, 000. 00 60, 400. 00 30,616.00 15,384.50 81,159. 94 33, 622. 83 5 565.28 5, 025. 00 634. 48 2, 859.13 4, 805. 00 114.50 21 104.30 8 768 00 C. H. CHURCHILL, Cashier. Capital stock paid in $300, 000. 00 Surplus fund . ... Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 190 000.00 22, 870. 74 Individual deposits United {States deposits Deposits of U. S. disbursing offi cers. 421,598.75 Due to other national banks Due to State banks and bankers .. 4, 724. 55 45,000.00 290. 00 Notes and bills re-discounted Bills payable •. 2, 250. 00 Total 984,484.04 984, 484. 04 Third National Bank, Springfield. F. H. HARRIS, President Loans and discounts Overdrafts U. S. bonds to secure circulation .. TJ. S. bonds to secure deposits U. S. bonds on hand .. . Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit U. S. Redemption fund with Treas. Due from Treasurer U. S Total No. 308. $1, 675, 927. 33 671 24 50, 000. 00 100, 000. 00 108, 652. 28 49, 933. 56 3, 384. 80 80, 000.00 32, 641. 50 4, 669. 36 39, 400.00 30, 995.17 1, 632.00 116. 69 36, 792.00 47,405. 00 FRED HARRIS, Cashier. Capital stock paid in Undivided profits National-bank notes outstanding.. State-bank notes outstanding United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers.. $500, ©00.00 400, 000. 00 70,188.87 45, 000. 00 1, 095. 00 * 1, 032, 241.41 110,000.00 105, 945. 65 Bills payable 2, 250. 00 2, 264, 470. 93 Total 2,264,470.93 136 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Agawam National Bank, Springfield. HENRY S. HYDE, No. 1055. President. F. S. BAILEY, Cashier. Kesourcos. Liabilities. $1, 090,982.46 Loans and discounts 2, 360. 35 Overdrafts 50,000.00 U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand 52, 500. 00 Stocks, securities, judgments, etc.. 85, 573. 05 Due from approved reserve agents. Due from other national banks... . 31,195. 22 Due from State banks and bankers. Bank'g-house,furniture,and fixtures 72, 275. 00 Other real estate and mortg's owned 8, 000. 00 Current expenses and taxes paid... Premiums on U. S. bonds 22.40 Checks and other cash items 7,200.41 Exchanges for clearing-house 9, 003.00 Bills of other national banks Fractional currency,nickels, cents. 135. 23 Specie 28, 721. 20 Legal-tender notes 13, 319. 00 U. S. certificates of deposit Redemption fund with Treas. TJ. S. 2, 250.00 Due from Treasurer TJ. S Total Capital stock paid in. $500, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 100, 000.00 24,033.66 44, 270. 00 1, 436.00 Individual deposits , United States deposits Deposits of U. S. disbursing officers. 603, 609. 35 Duo to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 104, 020.32 10,798.94 1,453,537.32 Total . 65, 369. 05 1,453, 537. 32 Chapin National Bank, Springfield. WILLIAM K. BAKER, President. No. 2435. $1 236,025.93 Loans and discounts 653. 67 Overdrafts 50, 000. 00 U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand 5 792. 35 Stocks, securities, judgments, etc.. 21,106.16 Due from approved reserve agents. 36, 411. 72 Due from other national banks 653.18 Due from State banks and bankers. 46, 000. 00 Bank'g-hou se, furniture, and fixtures Other real estate and mortis owned " "2,*633.'i5 Current expenses and taxes.paid... Premiums on U. S. bonds 1, 303.19 Checks and other cash items 5, 960. 60. Exchanges for clearing-house 44, 434. 00 Bills of other national banks 365.16 Fractional currency, nickels, cents. 64,175. 00 Specie 21, 500. 00 Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. F. CALLENDER, Cashier. Capital stock paid in. $500, 000.00 Surplus fund Undivided profits . 100,000. 00 29, 872. 84 National-bank notes outstanding. State-bauk notes outstanding Dividends unpaid 45,000. 00 374. 50 Individual deposits United States deposits Deposits of U. S. disbursing officers 838, 278.18 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted.. Bills payable , 16, 601.19 9,137.40 Total. 1, 539, 264.11 1, 539,264.11 Chicopee National Bank, Springfield. HOBACE SMITH, President. No. 988. $1, £82, 824. 83 Loans and discounts 598. 80 Overdrafts 50,000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 15, 320. 00 Stocks, securities, judgments, etc.. Due from approved reserve agents. 108, 511. 70 Due from other national banks 2, 411. 41 Due from State banks and bankers. Bank'g-house,furniture,and fixtures 56, 444.65 Other real estate and mortg's owned Current expenses and taxes paid... 5, 500. 00 Premiums on U. S. bonds 24, 739. 38 Checks and other cash items 12, 659. 59 Exchanges for clearing-house Bills of other national banks 7, 653. 00 Fractional currency, nickels, cents. 113.86 Specie 68,122. 00 Legal-tender notes 25, 979. 00 U. S. certificates of deposit Kedemption fund with Treas.U.S. 2, 250. 00 Due from Treasurer U. S Total. 1, 903.128. 22 A. B. WEST, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. $400,000.00 200, 000.00 32, 860. 98 45, 000. 00 16, 820. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers 1, 254, 630. 82 Due to other national banks Due to State banks and bankers .. 13, 816. 42 Notes and bills re-discounted. Bills payable Total . 1, 903,128. 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 3 7 MASSACHUSETTS. City National Bank, Springfield. JAMES D. SAFFORD, President. No. 2433. H. H. BOWMAN, Cashier. Resources. Loans and discounts" Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc. ... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,f urniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house...... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. U. S. Due from Treasurer U. S Total. Liabilities. $910,515.40 1,123. 51 50,000.00 50,000. 00 68,548.24 7, 358.12 3,171.59 4,000.00 Capital stock paid in $250, 000.00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 50, 000.00 57, 495.00 45, 000. 00 390.00 Individual deposits United States deposits Deposits of U. S. disbursing officers 3, 233.64 12, 000.00 686. 05 2, 697. 54 Due to other national banks 5, 311.00 Due to State banks and bankers... 36.82 49, 800.00 Notes and bills re-discounted. 5, 600.00 Bills payable 715,912. 68 55,000.00 2, 534.23 2, 250. 00 Total. 1,176, 331. 91 1,176, 331.91 John Hancock National Bank, Springfield. ROGER S. MOORE, President. Loans and discounts Overdrafts . . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Stocks, securities, judgments, etc . . Due from approved Reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U . S Total No. 982. $503, 972.19 50, 000.00 E. D. CHAPIN, Cashier. $250, 000. 00 Capital stock paid in 50, 000, 00 9, 669. 71 Surplus fund.. Undivided profits 11, 500.00 National-bank notes outstanding.. 26, 900. 25 State-bank notes outstanding . . . . 10, 253. 59 Dividends unpaid 45,000. 00 Individual deposits United States deposits DepositsofU.S.disbursingonicers. 263, 363.93 Due to other national banks 5, 834.66 Due to State banks and bankers . 31.36 10, 580.00 Notes and bills re-discounted 8, 500. 00 Bills payable 9, 713. 71 i, m. w 3,730. 96 6, 805.00 2, 250.66 634, 552.35 Total 634,552.35 Pynchon National Bank, Springfield. CHARLES MABSH, President. Loans and discounts Overdrafts : U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national panks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from TreasurerU. S Total. No. 987. $448,004.01 659. 06 50, 000.00 GEO. R. BOND, Cashier. Capital stock paid iu. Snrplus fund. Undiv divided profits. 12, 977. 00 National-bank notes outstanding.. 27,162.28 State-bank notes outstanding 6, 932. 29 492. 00 Dividends unpaid. 22, 323. 91 Individual deposits 4, 224.79 United States deposits 3,437. 50 Depositsof U.S.disbursing officers. 160.00 525, 85 Due to other national banks 400. 00 Due to State banks and bankers 23.43 12,160. 00 Notes and bills re-discounted 6, 331. 00 Bills payable $200, 000. 00 101,855. 27 14, 056. 32 44,100.00 233, 228.10 3,035. 05 1,788. 38 2,250.00 598,063.12 Total. 598,063.12 138 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Housatoiiic National Bank, Stockbridge. DANIEL R. WILLIAMS, President. No. 1)70. " D. A.KIMBALL, Cashier. Liabilities. Resources. Loans and discounts — Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes , U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer IT. S Total. $408,790.91 ""so," 660*66' 44, 218. 33 35,733.09 8,419. 26 14, 1, 3, 12, 974. 32 000.00 347. 38 500. 00 685.00 80.31 8,262.05 2,345.00 Capital stock paid in $200,000.00 150, 000. 00 9, 815. 41 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. 45, 000. 00 404.00 Individual deposits United States deposits Deposits of d. S. disbursin g officers 159,671.25 Due to other national bauks Due to State banks and bankers . "Notes and bills re-discounted . Bills payable 24,157.92 3 557.07 2, 250. 00 Total. 592,605.65 592,605.65 Bristol County National Bank, Taunton. S. L. CUSMHAN, President No. 766. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $897, 550. 52 ""i05,"666."66 103,541.25 52,405.91 255.82 £6,666.66 633.63 26, 338.00 422.28 26,000.00 H. H. TOWNSEND, Cashier. Capital stock paid in . Surplus fund Undivided profits . $500, 000.00 200, 000.00 16, 600.00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 94. 500.00 15,952.00 Individual deposits United States deposits Depositsof U. S. disbursingofficers. 395, 826. 88 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 3, 993.53 4,725.00 1,226,872.41 Total. 1,226,872.41 Machinists' National Bank, Taunton. WILLIAM C. DAVENPORT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, iudgments, etc.. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers. Bank'g-house,furniture,anduxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S. Die from Treasurer U. S Total. No. 947. $322, 309.38 1.82 163,150.00 110, 373.75 92,948.58 315.43 10, 000. 00 981.98 12,117.00 260. 00 15, 913.99 6,000.00 JOHN H. DALGLIBH, Cashier. Capital stock paid in. $200, 000.00 Surplus fund Undivided profits 115.000.00 5, 310.05 National-bank notes outstanding.. State-bank notes outstanding 146, 835. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingoincers. 7,238. 00 267, 330.63 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 7, 341. 75 741, 713.68 Total. 741, 713. 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 139 MASSACHUSETTS. Taunton National Bank, Taunton. C. J. Hi BASSETT, President. GrEO. W. ANDKOS, Cashier. No. 957. Resources. Loans and discounts $1,014,977.50 Overdrafts 534,666.66 TJ. S. bonds to secure circulation. -. U. S. bonds to secure deposits .. U. S. bonds on hand 14,332. 50 Stocks, securities, judgments, etc .. 85,908.70 Due from approved reserve agents. 275. 35 Due from other national banks Due from State banks and bankers 18,000.00 Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds 2, 990. 90 Checks and other cash items Exchanges for clearing-house 10, 417. 00 Bills of other national banks 636.71 Fractional currency, nickels, cents. 22,257. 60 Specie 27, 963.00 Legal-tender notes TJ. S. certificates of deposit 24, 030. 00 Redemption fund with Treas. TJ. S. Dae from Treasurer TJ. S Total | 1,755,789.26 Liabilities. Capital stock paid in Surplus fund . Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid $600, 000. 00 200,000,00 10, 670. 5i5 478, 590.00 19, 810. 50 Individual deposits , United States deposits DepositsofU.S.disbursingofficers 416, 700. 84 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 24,017. 57 Total. 1, 755, 789. 26 Townsend National Bank, Town send. A. L. FESSENDEN, President. No. 805. HENRY A. HILL, Cashier. $192,491.71 Loans and discounts Capital stock paid in Overdrafts U. S. bonds to secure circulation... ""25," 666." 66 Surplus fund U. S. bonds to secure deposits Undivided profits U. S. bonds on hand Stocks, securities, judgments, etc .. National-bank notes outstanding. Due from approved reserve agents. State-bank notes outstanding 18,153.15 Due from other national banks Dividends unpaid Due from State banks and bankers. *"i,"666.'66 Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Individual deposits 663.36 Current expenses and taxes paid... United Statos deposits Premiums on TJ. S. bonds. Deposits of U. S. disbursing officers *3," 730." 62 Checks and other cash items Exchanges for clearing-house Due to other national banks 440. 00 Bills of other national banks Due to State banks and bankers . 2.72 Fractional currency, nickels, cents. 3, 835.50 Notes and bills re-discounted. Specie 2, 000.00 Bills payable Legal-tender notes U. S. certificates of deposit 1,125.00 Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S 248,442.06 Total. Total. $100, 000. 00 20, 000. 00 16, 488. 37 22,500. 00 251. 00 89.202. 69 248,442. 06 Crocker National Bank, Turner's Falls. RICHARD N. OAKMAN, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and moTtg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 2058. $531,500.47 111.08 50,000. 00 7,992.00 47, 035.65 2, 000. 00 327.88 2, 365. 46 3,451.00 260. 37 14, 340.00 3,000. 00 D. P. ABERCROMBIE, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding..'... Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discouuted. Bills payable $300,000.00 60, 000. 00 26, 56i. 87 45,000. 00 9,030. 00 212, 005.08 13, 033. 96 2, 250. 00 1, 000. 00 665,633.91 Total. 665,633.91 140 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Blackstone National Bank, Uxbridge. No. 1022. MOSES TAFT, President. C. S. WEBTON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Duo from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-hou&e,fuiniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $151,700.39 Capital stock paid in "25,666." 66 Surplus fund Undivided profits 19,053.47 1,655. 22 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 1, 000.00 9,723.49 $100,000.00 Dividends unpaid 2,000.00 Individual deposits United States deposits Deposits of U. S. disbursing officers 1, 502.00 10.06 2, 283. 00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 41, 360.72 5,774.53 1,125.00 192, 343. 94 Total. 192, 343.94 National Bank of South Reading, Wakefield. CYRUS G. BEEBE, President. No. 1455. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furnituie,andfixtures Other real estate and mortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house . . Bills of other national banks. -. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $176, 058.72 62.92 100,000.00 9, 5:0.00 21,397.44 $100,000. 00 Surplus fund Undivided profits 25, 000. 00 7, 993. 84 National-bank notes outstanding. State bank notes outstanding 90,000. 00 Dividends unpaid 7.00 3, 706. 50 Individual deposits United States deposits Deposits of U.S. disbursing officers 92, 609. 21 "83*74" 1, 805.00 9.01 5, 812. 00 93.00 Due to other national banks Due to State banks and bankers . . 69.28 Notes and bills re-discounted . Bills payable 4, 500. 00 319, 378.83 Total. THOMAS WINSHIP, Cashier. Capital stock paid in Total. 319, 378.83 Waltham National Bank, Waltham. F . M. STONE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes X . S. certificates of deposit X Redemption fund with Treas. U. S. Due from Treasurer U. S Total., No. 688. $495.303.61 248.14 50,000.00 24, 815.00 75, 429. 96 J o s . F. GIBBS, Cashier. Capital stock paid in. -1 Surplus fund Surplus fund. Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 54,460. 05 617.33 6, 000.00 10,133.79 8,860. 00 28.10 52, 281. 00 3,327. 00 Individual deposits United States deposits Deposits of U.S. disbursing officer $150,000. 00 50, 000. 00 24, 909.53 43, 890.00 3, 000.00 511, 954.45 Due to other national banks DOLQ to State banks and bankers . Notes and bills re-discounted . Billspayable 2,250.00 783,753.98 Total. 783, 753. 98 REPORT OF THE COMPTROLLER OF THE CURRENCY. 141 MASSACHUSETTS, Ware National Bank, Ware. WILLIAM S. HYDE, President. WILLIAM H. CUTLER, Cashier. No. 628. Resources. Liabilities. Loans and discounts 0 verdrafts IT. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Dno from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total $498, 917.60 50, 000.00 7, 600.00 108,965.78 3, 785. 30 $300, 000. 00 Capital stock paid in Surplus fund . Undivided profits 60, 000. 00 9, 254.57 National-bank notes outstanding . State-bank notes outstanding 45, 000. 00 19"). 00 Dividends unpaid Individual deposits 29.'70' United States deposits 5, 000. 00 Deposits of U.S. disbursing officers. 350.54 • Due to other national banks 7,198. 00 Due to State banks and bankers .. 340.19 11,212.40 Notes and bills re-discounted .10,000.00 Bills Davable 291,199.91 2, 250. 00 705,649.51 705, 649.51 Total National Bank, Wareham. GERARD C. TOBEY, President Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificate * of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S E. A. GAMMONS, Cashier. No. 1440. $176,600.76 Capital stock paid in . $100, 000.00 3.77 26, 020. 00 50,000.00 Surplus fund , 13. 954,58 Undivided profits. 44,190.00 16, 430.00 National-bank notes outstanding. 55,496.11 State-bank notes outstanding 3,496.61 2,571.00 Dividends unpaid "i'bob', bo 344. 20 3,368. 73 Individual deposits United States deposits Deposits of U. S. disbursing officers. 136,414. 96 4, 760.00 2.99 879.00 8,000.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 51.63 "2, 250.' 00 Total. 323, 202.17 Total. 323, 202.17 Union Market National Bank, Watertown. OLIVER SHAW, President No. 2108. NOAH SWETT, Cashier. $100, 000. 00 Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bond3 to secure deposits $278,397.34 25,000.00 Surplus fund Undivided profits 20, 000. 00 53, 933. 89 Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national Danks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 3,700. 00 10, 070.13 National-bank notes outstanding. State-bank notes outstanding 22, 500.00 Total i6,'666.*66" 7,850.17 1,753.40 1, 289.13 1,104.00 6.04 938.50 6, 600.00 Capital stock paid in • Dividends unpaid Individual deposits — United States deposits Depositsot'U.S. disbursing officers. 80.00 131,319.82 Duo to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 20,000.00 1,125.00 347,833. 71 Total 347, 833. 71 142 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. First National Bank, Webster. CHESTER C. COBBIN, President No. 2312. EDWAKD L. SPALDING, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, eto .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total Liabilities. $255, 750.11 25,000.00 34,404.69 263.08 2,000.00 4,000.00 185.40 16,351.00 285.41 14,935. 00 4,000.00 Capital stock paid in $100,000. 00 Surplus fund Undivided profits 15, 000. 00 7, 093. 94 National-bank notes outstanding.. State-bank notes outstanding 21,500.00 Dividends unpaid 3, 075. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. 211,442.74 193.01 Notes and bills re-discounted Sills payable -. 1,125.00 Total 358,304.69 358, 304.69 First National Bank, Westborough. JOHN A. FAYERWEATHEB, President Loans and discounts Overdrafts ". U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total GEO. O. BUIGHAM, Cashier. No. 421. $169, 557.43 $100, 000. 00 Capital stock paid in 50,000.00 Surplus fund Undivided profits 20,000. C O 7,126.19 National-bank notes outstanding.. State-bank notes outstanding 45,000.00 23,247. 77 66.00 Dividends unpaid 650.39 10, 000.00 3, 413.52 3,470.00 12.17 10,415.10 2,100.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 93, 936. 70 Due to other national banks Due to State banks and bankers . 8, 987.49 Notes and bills re-discounted Bills payable 2,250.00 Total 275,116.38 275,116. 38 First National Bank, Westfield. M. B. WHITNEY, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank 'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid. - Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks ... Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. HOOKER, Cashier. No. 190. $282,553.71 6.62 250,000.00 60,000.00 126, 357.14 3,354.65 9, 000.00 2,990.33 22,077.13 2.10 2.085. 00 97.64 17,831.50 6,125.00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $250,000.00 85, 000. 00 13, 913. 81 218, 800.00 2,175. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers 174,289.27 Due to other national banks Due to State banks and bankers . 23, 622.20 23, 370.54 Notes and bills re-discounted. Bills payable 8, 690.00 791, 170. 82 Total. 791,170.82 REPORT OP THE COMPTROLLER OF THE CURRENCY. 143 MASSACHUSETTS. Hampden National Bank, Westfield. L. R. NORTON, President. No. 1367. CIIAS. L. WELLER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and niortg's o vvned Current expenses and taxes i>aid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Liabilities. $313,644.87 1, 8u3.35 50, 000. 00 25, 36, 79, 13, 000. 00 000.00 654. 36 959. 49 9*660." oc" Surplus fund Undivided profits 71,000.00 9, 720. 17 National-bank notes outstanding . State-bank notes outstanding . . . 45, 000, 03 975.00 Dividends unpaid Individual deposits United States deposits Doposi ts of CJ.S.disbursing officers. • 3, 906. 00 131.47 17, 505. 60 2, 000. 00 259,122.02 Due to other national bauk« Due to State banks and bankers.. 2, 779. 81 21,077.5 4 Notes and bills re-discounted Bills payable 2, 250. 00 4, 800. 00 559, 675.14 Total $150,000 00 Capital stock paid in 559, 075.14 Total "Westminster National Bank, Westminster. DANIEL C. MILES,President No. 2284. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on XJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Duo from Treasurer U. S $158, 302. 64 91.00 25, 000. 00 700. 00 9,919.59 25, 000. 00 $100, 000. 00 Surplus fund Undivided profits . 16, 500. 00 5, 081. 29 National-bank notes outstanding . State-bank notes outstanding 22, 500. 00 Dividends unpaid 105.00 " i , 000. 00 956.57 1, 500.00 539. 84 555.00 16. 95 2, 683. 00 615. 00 Individual deposits United States deposits Depositsof U.S.disbursingolncers. 83, 818. 30 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125.00 228,004.59 Total. F. W. FENNO, Cashier. Capital stock paid in . Total 228, 004. 59 Union National Bank, Weymouth. ALBEET HUMPHREY, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits. U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U.S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 510. $590, 631. 81 372. 34 50, 000.00 9, 080. 00 8,011.10 7, 500.00 J O H N J . LOUD, Oeuhier. Capital stock paid in . $400, 000. 00 Surplus fund Undivided profits. 80, 000. 00 42, 255. 39 National-bank notes outstanding . State-bank notes outstanding. 45,000.00 Dividends unpaid Individual deposits United States deposits Depositsof U-S-dlsbursiugoiueers. 20, 202.40 101,157.85 7,581.68 880.00 77.32 5, 513. 39 6, 718. 00 Due to othor national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 2, 250.00 688, 615. 64 Total. 688, 615. 64 144 REPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Whitinsville National Bank, Whitinsville. JAMES F . WHITIN, President No. 769. H. A. G-OODELL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Cnrrent expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer TJ. S Total. Liabilities. $310, 005. 59 25,"oc6.66 98,545.00 175, 751.07 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 2, 922.91 "704.50 10, 672. 00 592.13 13, 491. 30 8,000.00 91, 000. 00 28, 915.15 22, 500. 00 735. 00 Individual deposits United^tates deposits Deposits of U. S. disbursing officers 403, 659. 35 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125. 00 646,809. 50 646, 809. 50 Total. Williamstown National Bank, Williamstown. JAMES W H I T E , President. No. 3092. Loans and discounts Overdrafts . U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. 3 iank'g-house,furniture, and fixtures Other real estate ami mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total., $110, 322. 78 34.6 L 13, 000. 00 9, 750. 00 19, 413. 37 1, 740. 25 431.21 390. 00 49.70 500. 00 63.71 2, 686. 55 2,140. 00 CHAS. S. COLE, Cashier. Capital stock paid i n . $50, 000. 00 2, 900. 00 2,121.35 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 11,700.00 115. 00 Individual deposits United States deposits Deposits of U.S. disbursingoflicers. 87, 454. 78 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 6, 816. 05 585. 00 Total. 161,107.18 161,107.18 First National Bank, Winchendon. J . H. FAIRBANK, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure d e p o s i t s . . . . . . U. S. bonds on hand Stocks, securities, judgments, e t c . . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. b. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 327. $335,460. 34 111.47 50, 000.00 63, 757. 72 26, 039. 43 10, 593.13 CHARLES L. BEALS, Cashier. Capital stook paid in. Surplus fund Undivided profits. •. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 100, 000. 00 41, 845. 37 45, 000. 00 1, 868. 00 14, 000.00 Individual deposits United States deposits Deposits of U. S. disbursingoflicers - 129, 809. 44 103.98 l,400.0u 101. 47 7,004.25 2, 000.00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2, 250.00 518, 522 81 Total. 518,522.81 REPORT OF THE COMPTROLLER OF THE CURRENCY. 145 MASSACHUSETTS. First National Bank, Wobum. EDVVAKD D. HAYDEN, President. No. 740. (>. A. DAY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, so urities, judgments, ot .. Due from approved reserve agents Due from other national banks. Due from Stale banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's o\vne<l Current expenses and taxes paid .. Premiums on U. S bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $510, 785. 43 100, 000. 00 5, 800. 00 17, 048. 44 28, 250. 00 4. 25 3, 0J4. 83 12, 400. 00 198. 90 11,711.9a 3, W8. 00 Capital stock paid in $30w,OuO.00 Surplus fund Undivided profits 81.0U0.00 4. 573. 87 National-bank notes outstanding State-bank notes outstanding GO, 000. 00 Dividends unpaid (>, 517. 50 individual deposits United States deposits United States deposits 222, 070. 49 Deposits of U.S.disbursingoiiicers j Due to other national banks Due to State banks and bankers Notes and bills re-diseounted . Bills payable 4,500.00 704,101. 80 Total. 704,161. 86 First National Bank, Worcester. EDWARD A. GOODNOW, President. Loans and discounts Overdrafts II. S. bonds to secure circulation. -. TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks . . . Duo from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total A. H. "WALTE, Cashier. No. 2699. , 165, 074. 02 50,000.00 | 50,000.00 | 24, 000.00 268, 372. 51 493. 94 Capital stock paid in Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding $300,000.00 200, 000. 00 39,901.12 45, 000. 00 Dividends unpaid . 3,891.53 1, 782. 50 5, 390. 99 31, 856. 00 516.00 29, 778. 78 j 38, 500. 00 70, 000. 00 2, 250. 00 2, 738, 906.27 Individual deposits .•... United States deposits Deposits of U.S.disbursingoiiicers. 2,097,838.40 49,112. 50 646. 47 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 6, 407.78 Total 2,738,906.27 Central National Bank, "Worcester. JOSEPH MASON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation .. TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. 3. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total H. Ex. 3 10 HENRY A. MARSH, Cashier. No. 455. $300, 000. 00 Capital stock paid in 100,000.00 Surplus fund 17,780.49 Undivided profits. 1, 400, 00 i Natioiytl-bank notes outstanding.. 45,000.00 122,101.41 j; State-bank notes outstanding $1, 224, 808. 55 96. 88 50, 000. 00 Dividends unpaid 5, 000. 00 8, 283.75 11, 537.00 390. 64 36, 783. 01 2, 500.00 20, 000. 00 2, 250. 00 1,485,151.24 9,195.00 Individual deposits United States deposits Deposits of U.S.disbursingoracers. 1, 000, 980. 70 Due to other national banks Due to State banks and bankers .. 12,195.05 Notes and bills re-discounted . Bills payable Total. 1,485,151,34 146 EEPORT OF THE COMPTROLLER OF THE CURRENCY. MASSACHUSETTS. Citizens' National Bank, Worcester. SAMUEL WINSLOW, President. Xo. 765. Resources. L. "W. HAMMOND, Cashier. |i Loans and discounts i Overdrafts ! U. S. bonds to secure circulation. - .j IT. S. bonds to secure deposits i IT, S. bonds on band j Stocks, securities, judgments, etc .. i Due from approved reserve agents j Due from other national banks j Due from State banks and bankers I Bank'g:• house, furniture,and fixtures, Other real estate and inortg's owned: Current expenses and taxes paid. . 1 Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $423, 002. 92 j: Capital stock paid in $150, 000. 00 Surplus fund Undivided profits 30,01)0.00 \\ National-bank notes outstanding. 25,2:57.01 i State-bank notes outstanding i 50,000. Q ' O 100, 000. 00 i 30, 000. 00 4, 053. 78 45, 000. 00 709.70 !' Dividends unpaid 3, 959.00 Individual deposits United States deposits 22,000.00 j Deposits of IT. S.disbursingotlicers 3, oo;{. M i 3, 0 i 2. 80 ' 4,071.00 ; 76.0(3 36,911.90 : 11,848.00 . 300, 041. 57 1 L0, 000. 00 Due to other national banks Due to State banks and bankers.. 11, 818. 66 Notes and bills re-discounted. Bills payable 2,250.00 : 1,100.00 ! Total. 714.873.01 ' 714,873.01 City National Bank, Worcester. CALVIX FOSTER, President. NATII. PAINE, No. 470. $1, 664, 6 :4. 7!) Capital stock paid in I Loans and discounts 235. 05 O v erdrafts U. S. bonds to secure circulation... 100, 00 J. C O Surplus fund O ndivided profits IT. S. bonds to secure deposits U. S. bonds on hand i Stocks, securities, judgments, etc . . 2, 300. 00 National-bank notes outstanding.. Duo from approved reserve agents 70,618,40 I State-bank notes outstanding Due from other national banks . . . . 25,101.02 uue from Slate banks and bankers Bank'g-house, furniture, and fixtures Dividends unpaid Other real estate sfndmortg's owned Individual deposits Current expenses and taxes paid.. United States deposits Premiums on U. S bonds Deposits of U. S. disbursin g officers. C hecks and other cash items 5, 569. 13 Due to other national banks Exchanges for clearing-house 16, 721. 00 Bills ot other national banks Due to State banks and bankers... 71. 32 Fractional currency, nickels, cents . Notes and bills re-discounted. 42,134.40 Specie Bills payable 10, 801. 00 Legal-tender notes 50, 000. 00 IT. S. certificates of deposit 4, 500. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Total 1, 992,710. 11 Cashier. $400, 000.00 100, 000. 00 74, 935. 60 86, 340. 00 12, 036.00 1,234,462.59 84, 941.92 1, 992.716.11 '. Mechanics' National Bank, Worcester. F. IT. DKWKY, President No. 1135. Loans and discounts 0 verdratt s U. S. bonds 1o secure circulation . . . U. S. bonds to secure deposits IT. S. bonds on hand Slocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks. Duo from State banks and bunkers B.u.ik'g-house, furniture.and nxt.ure.01 her real estate and mortg's owned Current expenses and taxes paid-. Premiums on IT. S. bond-* Checks and other cash items Exchanges i'ov eiearirig-houso Bills of other no! ional bunks Fractional currency, nitk* Is, cents Specie $1, 023, 687.07 83.03 50, 000.00 0,00 |j Surplus fund 1,060.00 '; Undivided profits $350, 000. 00 70, 000.00 172.71 76. 750. 00 :'. National-bank notes o u t s t a n d i n g . . 40, 353, Tt State-bank notes outstanding 30, 5<i2.8L l)i v idends unpaid 45, 000. 00 Individual deposits " United^ ites deposits Sta 842, 790.08 12, 500. 00 7, 202. 80 Legal-tender notes -I \J. S. certih'etHes of deposit.. Redemption fund with Treas. U. S D u e from Treasurer U. S Total GKO. E. MERRILL, Cashier. Capital stock paid in . 22,198*00 .'Ml. 0 S < 50,430.90 11,351.00 7,137. 00 Depositsof U.S.disbursingoilioors Due to other national banks Due to State banks and bankers... 30, 576. 27 Notes and bills re-discounted. 1 Jills payable 2, 250, 00 2, 000, 00 I 1,345,076.06 Total. 1, 345, 676. 06 147 REPORT OF THE COMPTROLLER OF TLIK CURRENCY. mASSACJlUS£ T T S. Quinsigamond National Bank, "Worcester. E. B. STODUARD, President. No. 1073. J . L. CHAMBERLIN, Cashier. Resources. Liabilities. Loans and discounts . . ... Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits IT. S. bonds on hand .. Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from ot her national banks Duo from State banks and bankers Bank'g-house. furniture, and li xtures Other real estate and mortg's owned Current expenses and taxes paid. -. 'Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional cnironcy, nickels, cents . Specie " Legal-tender notes U. S. cert ideates of deposit Redemption fund with Treaa. U. S Due from Treasurer U. S $735, 586. 67 584. 35 50, 000. 00 Capital stock paid in $250, 000. 00 50, 000. 00 ?i, 777. 30 30, 000. 00 : National-bank notes outstanding. 5'!, 774.12 ' State-bank notes outstanding. 22,GH.34 ; Divi-lends unpaid 1:5,000.00 ! Individual deposits. United States deposits 9,800,00 Deposits of U.S. disbursing officers. 402. 28 8,422,92 Due to other national banks 14, n 10 00 Due to State banks and bankers .. 222. 07 31, 192.65 Notes-and bills re-discounted 4, 783. 00 Bills payable 45, 000. 00 0, 512. 5') 505, 988. C4 84,51.5. 17 3L8. 73 2, 250. 00 977,142. 40 Total . . j Surplus fund Undivided profits Total . 977,142.40 Worcester National Bank, Worcester. S T E P H E N SALISBURY, No. 442. President. Loans and discounts Overdrafts IT. S. bonds to secure circulation . . IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, j u d g m e n t s , etc . . Due from approved reserve agents Due from other national b a n k s Due from State banks and b a n k e r s . liank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes p a i d - . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total $1,625,620.95 41. 8^ 250, 000. 00 J. P. HAMILTON, Capital stock paid in Cashier. $500, 000. 00 Surplus fund Undivided profits 110,140. 00 193, 606. 42 38, 688. 35 200,000.00 21,684.08 National-bank notes outstanding. State-bank notes o u t s t a n d i n g . . . . . i'ooo. 60 225, 000. 00 Dividends unpaid 46, 000. 66 15, 000. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers • Due to other natioual banks Due to State banks and bankers . . 1, 400. 53 3, 774. 91 26, 428. 00 3.12. 88 42, 313. 50 27, 526. 00 20, 000. 00 11,250.00 1,375,249.50 67,109.81 Notes and bills re-discounted.. Bills payable 2,404,163.39 Total . 2,404,163. 39 National Bank of Wrentham. SAMUEL WAUNKII, President. Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve a gen fs. Dne from other nai ional banks Duo from State hanks and bankers. Bank'g-house. furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, c e n t s . Specie Legal-tender notes U. S. certificates of deposit Redemption fnnd with Treas. U. S Due from TroasurorU. S Total . No. 1085. F . N. PLIMPTON, Cashier. $110, 355.19 I Capital stock paid i n . 20, 000. 00 j Surplus fund .1 Undivided, profit ts 1, POO. 00 i' National-bank notes outstanding . 1,939 61 j1 State-bank notes outstanding • I Dividends unpaid 1 Individual deposits 463.20 ; United States deposits ;-00. 00 I Depo.sitsofU.S.dislMirsingofrieers 69.54 |; i! Due to other national banks 410,00 !! Due to State banks and bankeis .28 j, 234.10 |; Notes and bills re-discounted 2, 921. 00 ;| Bills payable 900.00 $52, 500. 00 18,000.00 5, 481. 05 18, 000.00 260.40 45, 711. 47 ! 139,952.92 j Total . 139, 952. 92 148 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 91 A S S A C II U S 1 T T S . 3 First National Bank, Yarmouth, Yarmouth Port. JOSHUA C. HOWES, President. No. 01(5. WM. P. DAVIS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg'.s owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $421,15}. 93 jf>0, 000. 00 Capital stock paid in. Surplus fund Undivided profits . 50, 000. 00 10,432.98 National-bank notes outstanding.. State-bank notes outstanding . . . . Dividends unpaid. 1, 000. 00 9'JG. 01 ""'hiY.oo' 2, 280. 00 3. i)7 2, 558. 50 1,607.00 Individual deposits . p United States deposits Depositsof U.S. disbursing officers. $350,000.00 87, 500.00 12, 003. 33 310, 000. 00 1,801.17 104, 001. 89 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 15, 750. 00 865, 480. 39 Total. 865, 486. 39 REPORT OF THE COMPTROLLER OF THE CURRENCY. R H O D E IT. L. C HAND ALL, 149 I S L A N D . Ashaway National Bank, Ashaway. President. No. 1150. F. HILL, Cashier. | Liabilities. Resources. Loans and discounts Overdrafts • U. S. bonds to secure circulation .. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and niortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Kills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.'TJ. S. D ue from Treasurer U. S Total. Capital stock paid in. Surplus fund . Surplus $100, 000. 00 20, 000.00 3, 235.88 ided profits. Undivid 22, 250.00 National-bank notes o u t s t a n d i n g State-bank notes o u t s t a n d i n g - . . Dividends unpaid 1,(361. (54 1,300. 00 57. 26 720. 00 4.08 ], 508. 50 1,000,00 672. 50 Individual deposits United States deposits Deposits of U. S. d i s b u r s i n g officers - 10, 382. 73 Duo t o o t h e r national b a n k s D u e to State b a n k s a n d b a n k e r s . . 1,903. 56 Notes and bills re-discounted . Bills payable 1, 125.00 Total. 158,441. 07 158, 444.67 First National Bank, Bristol. W . T. C. W A K D W E L L , President. No. 1292. Lonns and discounts O vord rafts TJ. S. bonds t o secure circulation . . . U. S. bonds to secure deposits U. S. bonds on h a n d Stocks, securities, j u d g m e n t s , etc . . Due from approved reserve a g e n t s . D u e from o t h e r national b a n k s D u e from State b a n k s a n d b a n k e r s . Bank'g-house, furniture, a n d l i x t u r e s Other real e s t a t e a n d m o r t g ' s owned C u r r e n t expenses a n d taxes p a i d . . . P r e m i u m s on TJ. S, bonds Checks and o t h e r cash items Exchanges for clearing-house Bills of other national banks F r a c t i o n a l currency, nickels, cents Specie ".'. Legal-tender notes TJ. S. certificates of deposit Redemption fund w i t h T r e a s . U. S. Due from T r e a s u r e r U. S $130, 203. 81 .78 25, 000. 00 11,237.72 30, 9;>2. 07 "iiioo'.ho Cashier. $75, 000. 00 Surplus fund Undivided profits 42, 000. 00 3, 567. 72 National-bank notes outstanding. State-bank notes outstanding 22, 500. 00 Dividends unpaid 228.90 Individual deposits ""'472.' 82" United States deposits Deposits of TJ.S.disbursing officers561. 74 Due to other national banks 2, 985. 00. Due to State banks and bankers 69. 55 5, 275. 00 Notes and bills re-discounted 6, 095. 00 Bills payable . . 70, 842. 03 1, 400. 44 i, 125. 00 215,539.09 Total. HEZEKIAIT W . CHURCH, Capital stock paid in Total 215,539.09 National Eagl.e Bank, Bristol. SAMUEL P . COLT, President. Loans and discounts Overdrafts TJ. S. bonds to secure c i r c u l a t i o n . . . U . S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j u d g m e n t s , e t c . . D u e from approved r e s e r v e a g e n t s D u e from o t h e r national b a n k s D u e from State b a n k s a n d bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned C u r r e n t expenses and t a x e s p a i d . . . P r e m i u m s on TJ. S. bonds Checks and o t h e r cash items E x c h a n g e s for clearing-house Bills of other national b a n k s Fractional currency, nickels, c e n t s . Specie Legal-tender notes T7. S. certificates of deposit Kerlemption fund with T r e a s . TJ. S D u e from T r e a s u r e r U. S Total. No. 3502. J O H N G . W A T S O N , Cashier. $111,981.71 i Capital stock paid i n . 43. 61 20, 000. 00 Surplus fund Undivided profits . $50, 000. 00 30, 000. 00 22, 511. 29 10,894.30 ! National-bank notes o u t s t a n d i n g . 8, 582. 18 State-bank notes o u t s t a n d i n g 20,987.10 2, 790. 60 j Dividends unpaid 2, 950. 70 Tndi vidual deposits 55;"). 80 : United States deposits Depositsof U.S. disbursingofucers 17, 462. 00 ! D u e t o other national b a n k s 3, 720. 00 i D u e to State banks and b a n k e r s . . . 4.14 5. -I",(i. G5 N o t e s and bills re-discounted. 1, 650. 00 Bills payable 407. 56 12.50 76,112.56 900. 00 196,505.91 I Total. 190, 505. 91 150 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAM). Centreville National Bank of Warwick, Centreville. ENOS LAPHAM, President. No. 1284. M. FIFIELD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... II. S. bonds to secure deposits TT. S. bonds on hand Stocks, securities, judgments, etc . . Due from appro veil reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and niortg's owned Current expenses and taxes paid... 'Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Hills of other national banks Fractional currency, nickels, cents . Specie Local-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $131,126.85 1,430,45 20, 000. 00 6,700. ^8 74H. 13 2, 000. 00 288. 00 ,"yo8. oo 317.13 9, 000. 00 Capital stock paid in 5100, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding State-bank notes outstanding . . Dividends unpaid 20, 000. 00 4, 724.03 23, 400.00 776. 50 Individual deposits United States deposits , Deposits of U.S. disbursing officers 33, 335. 75 Due to other national banks Due to State banks and bankers . 3, 471.16 Notes and bills re-discounted. Bills payable 1,370.00 522. 50 Total. 185, 707.44 185, 707.44 Greenwich National Bank, East Greenwich. .TAMES M. DAVIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondsonhand Stocks, securities, .judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers.! Bank'g-house, furniture, and fixtures Other real estate and tnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 1405. $90, 520. 32 9(5. 08 19, 000. 00 $75, 000.00 Surplus fund Undivided profits 12,292.50 National-bank notes outstanding.. 7, 498. 05 State-bank notes outstanding.... 9, 655.10 Dividends unpaid 13,195.30 2, 890. 68 10, 400. 00 96.97 2, 707. 50 Tndi vidual deposits United States deposits Deposits of U.S.disbursing officers - 45,911.75 4, 693.00 13. 70 3,127. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 2,424.45 917. 50 810.00 Total. 158, 940. 67 Total. S. M. KNOWLES, Cashier. Capital stock paid in 158, 940.67 National Exchange Bank, Greenville. HENRY E. SMITH, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks. Duo from State banks and bankers lSank'g-honso.fimiiture.find fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ' Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. "WM. "VVIXSOR, Cashier. No. 1498. $168, 894. 97 ""37," 500." 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. 2,"082. 00 i State-bank notes outstanding J 21,400.01 Dividends unpaid 7, 500. 00 Individual deposits 90.50 United States deposits Deposits of U. S. disbursing officers. 293.66 Due to other national banks 815. 00 Due to State- banks and bankers . 87.87 541.50 Notes and bills re-discounted. 2, 304. 00 Bills payable $150,000.00 30, 313.16 1, 402. 83 33, 150. 00 28,367.56 1, 687. 50 30. 00 243, 233. 55 Total. 243, 233. 55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 151 RHODE ISLAND. First National Bank of Hopkinton, Hope Valley. AMOS G-. NICHOLS, President. No. 1054. S. R. RICHMOND, Cashier, Liabilities. Resources. Loans and discounts ! Ov ei drafts i U. S. bonds to secure circulation... U . S . bonds to secure deposits U . S . bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks. . . . Due from State banks and bankers . Bank'g-house,furniture,and fixtures' Ot her real estate, and mortg's owned 1 . Current expenses and taxes p a i d . . . Premiums on U.^. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ". Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $102,589.17 • 25, 000. 00 34, 500. 00 1,855.85 7, 593. 59 Capital stock paid in $100, 000. 00 20. 000. 00 6, 760. 83 22, 305.00 95C. 50 Dividends unpaid *5, 000. 00 535. 96 20.00 33. 52 1, 274. 50 1, 985.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 27,921.83 Due to other national banks Duo to State banks and bankers.. 2,165.13 1, 343. 25 Notes and bills re-discounted. Bills payable 1,125. 00 181, 512.59 Total.. j Surplus fund Undivided profits National-bank notes outstanding., State-bank notes outstanding Total 181,512.59 National Landholders' Bank, Kingston. NATHANIEL C. PECKHAM, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, etc.Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1158. M. F. PERRY, Cashier. $96, 607. 60 Capital stock paid in. 165,066." 00 Surplus fund Undivided profits 22, 000. 00 5, 909. 70 National-bank notes outstanding.. State-bank notes outstanding 92,210.(0 50.00 90.93 9, 519. 25 3, 601.13 1,500.00 " j , " 168" 09' 7, 450. 00 839. 90 380. 00 15.43 1, 879. 05 380. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. $105, 000. 00 755.15 7,281.53 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills x>ayable - 4, 725. 00 233, 206.38 Total. 233, 206. 38 First National Bank, Newport. THOMAS M. SEABURY, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, ill rniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U.S. Due from Treasurer U. S Total . No. 1021. $237, 556. 50 603. 22 120, 000. 00 50, 000. 00 55, 004. 56 812.58 NATH'L R. SWINBURNE, Cashier. Capital stock paid in . Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid £2,060.00 1,185. 03 Individual deposits Uni ted States deposits Deposits of U.S. disbursing officers. $120, 000.00 80, 000. 00 12,131.61 102, 910.00 655. 00 120,180.56 15, (iO 1.99 31, 082. 58 1,477.8 1, 785. 00 327. 34 5,400.00 5,117.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 14,107.35 5, 400. 00 496, 669. 0 l| U Total . 496, 669. 09 152 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. Aquidneck National Bank, Newport. No. 1546. THOMAS COGGESHALL, President. CHAS. T. HOPKINS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents.. Due from other national banks Due from State banks and bankers. Bank'g-bouse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bill8 of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $315, 040. 44 409. 17 50, 000. 00 179, 900. 00 21, 223.98 2, 326. 05 200.00 "*i,'i9L33 i.3." 98* 1,138. 78 30. 00 807. 03 18, 902. 00 4, 029. 00 Cajntal stock paid in . $200, 000. 00 Surplus fund Undivided profits -. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 48, 000.00 7, 992.11 40, 600. 00 444. 00 Individual deposits , United States deposits Deposits of U.S.disbursingofh'cers 283, 589. 63 Due to other national banks Due to State banks and bankers.. 17, 436. 02 Notes and bills re-discounted Bills payable 2, 250. 00 Total. 598, 061. 76 598, 061. 76 National Bank of Rhode Island, Newport. FREDERICK TOMPKINB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents . Due from other national banks Due from State banks and bankers.. Bank'g-house.furni ture, andfix Lures Other real estate and inortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1532. . T. P. PECK HAM, Cashier. $113,3C3.72 : Capital stock paid i n . . 59.39 1 1 100, 0U0. 00 j , 98, 700. 00 92, 573. 93 839. 88 257. 00 16, 000. 00 955.34 6, 350. 00 3, 019. 68 1, 393. 95 1, 9.")1. 00 24. 00 2, 045. f>9 8, 096. 00 $100, 000. 00 S u r p l u s fund Undivided pro tits 25, 000. 00 9, 073. 49 National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g 89, 810. 00 Dividends u n p a i d 172.00 I n d i v i d u a l deposits Unitod S t a t e s deposits Depositsof U.S.disbursingofficers. 210, 639. 67 Due to other national b a n k s Due to State b a n k s and b a n k e r s . . 15, 814. 07 Notes and bills re-discounted. Bills p a y a b l e 4, 500. 00 379. 75 450, 509.23 Total. 450, 509, 23 National Exchange Bank, Newport. SAMUEL CARR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonus to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due Ironi approved reserve agents Due from other national banks . . . Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortjj's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national bmks Fractional currency, nickels, cents. Specie Legal-tend emotes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1565. $160, 279. 98 172. 43 25, 000. 00 73, 6G0. 44 S. H. NORMAN, Cashier. Capital stock paid in 25, 480. 00 2, 479. 05 National-bank notes outstanding. State-bank notes outstanding 22, 000. 00 Dividends unpaid 6, 000. 00 6, 033. 49 915. 00 3,208.63 910. 00 278.14 14,473. 10 15, 447. 00 $100,000.00 Surplus fund Undivided profits Individual deposits United States deposits Depositsot U.S.disbui-singotticers. 2,813. 00 154, 761.16 Due to other national hanks Due to State banks and bankers. Notes and bills re-discounted. . . Bills payable 1,125.00 307, 533. 21 Total. 307v 533.21 REPORT OF THE COMPTROLLER OF THE CURRENCY. 153 RHODE ISLAND. Newport National Bank, Newport. WILLIAM BROWNELL, President. No. 1492. II. C. STKVEXS, Cashier. Resources. Loans and discounts O verdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Slocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks arid hankers. Bank'g-house, furniture, and fixtures Other real estate and moi tg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total Liabilities. $232,134. 39 151.48 120, 0.00. 00 30. 000. 00 215, 391.48 11,605.65 6, 800. 00 1, 387. 61 12, 000. 00 2,831. 45 11,570.00 ' 690.02 7, 375. 00 20, 700. 00 Capital stock paid in.. $120, 000. 00 Surplus fund Undivided profits 30, 000. 00 18,024.91 National-bank notes outstanding.. State-bank notes outstanding .."... Dividends unpaid . 105, 000. 00 804.00 Individual deposits United States deposits DepositsofU.S.disbursingomeers. 402,133. 68 Duo to other national banks Due to State banks and hankers . . 2,104.49 Notes and bills re-discounted . Bills payable 5, 400. 00 678,127. 08 Total. 178, 127.08 Union National Bank, Newport. R. S. BAiigKR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers Bank'g-house, furni ture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 2554. J". S. CoaoESiiALL, Cashier. $92, 824. 31 ; Capital stock paid in $155, 250.00 57. (57 150,000.00 Surplus fund 6,667.37 6, 891. 23 Undivided profi ts 30, 000. 00 76, 050. 24 : National-bank notes outstanding.. 122, 280. 00 17,875.43 j State-bank notes outstanding . . ' . . . 51. 89 Dividends unpaid 1, 601.00 1, 200. 00 i Individual deposits 138,938.61 "j,'oi7. 44 j United States deposits 26, 376. 37 I' Deposits of U. S.disbursi'ng officers. 1,153.75 Due to other national banks 10, 307. 00 Due to State banks and bankers . 159, 11 8, 056. 00 Notes and bills re-discounted . 8, 250. 00 Bills payablo 6, 750. 00 431, 628. 21 Total. Total. 431, 628. 21 Pascoag National Bank, Pascoag. J . O. INMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agentsDue from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other* national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fnud with Treas. U. S . Due from Treasurer U. S Total . No. 1512. $112,249.44 * "loo," ooo*oo 1, 595. 72 19, 763.98 I \ O. HAWKINS, Cashier. Capital stock paid in ! $100, 000. 00 Surplus fund Undivided profits I ! 20, 000. 00 5, 245. 53 National-bank notes outstanding.. State-bank notes outstanding . . Dividends n npaid 68.21 4, 000. 00 I Individual deposits | United States deposits ' DepositsofU.S.disbursingofneers.I 1, 555. 00 29. 83 4, 004. 70 2,415.00 Due to other national banks I Due to State banks and bankers...' Notes and bills re-discounted. Bills payable 88, 830. 00 36,155. 91 550. -J4 4, 500. 00 250, 781. 88 Total . 250, 781. 83 154 REPORT OF THE COMPTROLLER OP THE CURRENCY. RHODE ISLAND. First National Bank, Pawtucket. No. 843. OLNEY ARNOLD, President. . PAEK, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from Stato banks and bankers. Bcink'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $880, 572.25 3, 784.62 50,000.00 10,000.00 97,117.24 17, 076.47 11,461.49 2,940.94 Capital stock paid in Surplus fund Undivided profits 176, 000. 00 12,142.98 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 6,831.59 30, 000.00 45, 000.00 660.00 Individual deposits 10*897.67' United States deposits 3, 000.00 Deposits of U.S disbursing officers. 3,987.13 Due to other national banks 5, 968. 00 Due to State banks and bankers.. 577, 839. 71 24,244.71 Notes and bills re-discounted 2, 250. 00 Total 1,135, 887,40 Total $300, 000.00 1,135,887.40 Pacific National Bank, Pawtucket. ROBERT SHERMAN, President. No. 1616. $450, 583.03 Loans and discounts 32.53 Overdrafts. 50,000.00 U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand 1.0, 000. 00 Stocks, securities, judgments, etc.. 93,807.12 Due from approved reserve agonts. Due from other national banks G, 170.07 Due from Stato bunks and bankers. Bank'g-house, turn i t ure. an< I n x t ures Other real estate and rnorrg's owned 1, 573. 05 Current expenses and taxes paid... 13, 230. 30 Premiums on U. S. bonds 3,168. 48 Chocks and other cash items Exchanges for clearing-house 10, 040.00 Bills of other national banks 10U.45 Fractional currency, nickels, cents. 1,844.00 Specie 24, 500. 00 Legal-tender notes U. S. certificates of deposit ... 2, 2f><>. 00 Redemption fund with Treas. U. S . 2, 500. 00 Due from Treasurer U. S 669. 802.93 Total. CHARLES L. KNIGHT, Cashier. Capital stock paid in.. Surplus fund Undivided x>ronts National-bank notes outstanding . State-bank notes outstanding Dividends unpaid Individual deposits Unitod States deposits Deposits of U.S.disbursingoilicers. Due to other national banks Duo to State banks and baukers .. Notes and bills re-discounted . Bills payable Total . $200, COO. 00 87, 000.00 9, 735.40 45, 000.00 320, 674. 08 1,363.72 29. 73 669, 802. 93 Slater National Bank, Pawtucket. WILLIAM F. SAYLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc .. Due from approved reserve agents.' Due from other national banks Due from Stato banks and bankers. Bank'g-house,furnUure,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 856. $752, 391. 33 50, 000. 00 7, 200. 00 60, 008. 78 17,452. 55 1, 638. 39 2," 057." 55" 5, 837. 00 448.34 15,411.80 14,134. 00 GEO. W. NEWELL, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $300, 000. 00 115, 000. 00 18,425.42 45, 000.00 612. 50 441, 874. 47 10, 207. 35 2, 250.00 2, 200. 00 931,119.74 Total. 931,119.74 REPORT OP THE COMPTROLLER OF THE CURRENCY. 155 RHODE ISLAND. Phenix National Bank, Phenix. EDWIN W. POTTER, President. N o . 1460. H. D. BROWN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . U. S. bonds to secure deposits IT. 8. bonds on hand Stocks, securities,judgments, e t c . . Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real-estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit. Redemption fund with Treas. U. S Due from Treasurer U. S Total. $98, 875. 50 Capital stock paid in $100, 000. 00 25, 000. 00* Surplus fund fund Undivided profits 14,150,00 1, 827. 00 10,099.01) 2, 013. 05 14, 629. 11 National-bank notes outstanding.. State-bank notes outstanding 22, 200. 00 Dividends unpaid 496, 25 4, 000. 00 """ 75.20 C, 000. 00 1, 806.00 43.95 901.00 550.00 Individual deposits United States deposits Deposits of If. S.disbu rsing oilicors. 26, 444. 05 Due to other national banks Due to State banks and b a n k e r s . . Notes and bills re-discounted. Bills payable 1,125. 00 165,117.90 Total 165,117. 90 First National Bank, Providence. No. 134. H. II. THOMAS, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Duo from other national banks Duo from State banks and bankers. Bank'g-house,furnituro,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes g U S. certiiicates of deposit tiiit f U. S Redemption fund with Treas. U. S. Due from Treasurer U. S $1,311,958.97 50, 000. 00 100, 000.00 173, 925.44 17,381.06 $500, 000. 00 Surplus fund Undivided prolits. 76, 000. 00 91,817.6;) National-bank notes outstanding. State-bank notes outstanding 45, 00s). 00 Dividends unpaid 100. 00 5,839.26 41, 500. 00 1,033.58 18,061.51 8,681.00 201.72 40, 602. 00 44, 779.00 1, 323. 00 Individual deposits , United States deposits Deposi ts o f U. S. disbursing oiiicors. 825,015.71 67, 806, 13 4J, 193. 87 Duo to other national banks Due to State banks and bankers.. 150, 434. 31 16, 752. 83 Notes and bill.-; re-discounted Bills payable 2, 250. 00 J 1, 816, 373. 54 Total. C. E . L A P HAM, Cashier. Capital stock paid in Total. 1, 816, 373. 54 Second National Bank, Providence. JAMES M. KIM BALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Duo fr>)in other national banks Due from State banks and bankers. Bank'g-bouse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks ^Fractional currency, nickels, cents. Specie Legal-tender notes ~U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. WM. W. PAINE, Cashier. No. 56"). $594, 840. Ou Capital slock paid in 50, 000. 00 Surplus fund Undivided profits 0, 970. 00 20,187. 80 514. 84 National-bank notes outstanding.. State-bank notes outstanding. Dividends unpaid 2, 405. 59 12, 500. 00 8, 217. 37 1, 775.00 351.14 4, 552.00 20, 722.00 $300, 000. 00 60, 000. 00 109,027.18 45, 000. 00 156. 00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 117, 949. 27 Due to other national banks Due to State banks and bankers.. 32, 282. 64 60, 870. 71 Notes and bills re-discounted. Bills payable 2, 250. 00 725, 285.80 Total 725, 285.80 156 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. Third National Bank, Providence. OLIVER A. WASHBUUX, JR., President. No. G3G. F. "W. GALE, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. 13ue from approved reserve agents Duo Irorn other national banks Due from State banks and bankers Bank'g-houso.furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. 3. bonds Checks and other cash items Exchanges for clearing-houseBills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. "S. certificates of deposit Redemption fuud with Treas. IT. S. Duo from Treasurer U. S Total Liabilities. $991,174.49 Capital stock paid in "56,'ouo. oo S u r p l u s fund Undivided profits 123, 38:{. 85 a7,a4u,f>2 3,960.30 $500, 000.00 100, 000. 00 40, 907. 75 National-bank notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g . 45, 000. 00 Dividends u n p a i d 1,281.00 2, 000. 00 I n d i v i d u a l deposits 2, f)09. 19 U n i t e d S t a t e s deposits 2, 000. 00 Deposits of U.S. disbursing officers. 2,08_\ 33 4, 3.")!. 30 I D u e to o t h e r national b a n k s 1,517,00 ! Due to S t a t e b a n k s a n d b a n k e r s . . ir>G. 28 17,910.70 N o t e s and bills re-discounted . :w, 355.00 Bills payable 552,103. 90 32,129. 34 2, 550. 97 2, 250.00 Total. 1, 274,032.5)611 1, 274, 032. 96 Fourth National Bank, Providence. No. 772. 15. W. EVANS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Duo from-other national banks Duo from State banks and bankers Ban k'g-house, furniture, and iix. lures! Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash, items Exchanges for clearing-house Bills of other national bauks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Trea.s. IT. S Due from Treasurer U. S 21,983.11 1, 257. 90 1,502.94 10,012.5f> 5, 779. 00 28,840.3* 15, 7(i7. 00 Dividends unpaid 1, 226. 50 Individual deposits United States deposits | Depositsof U. S disbursing officers- i 055, 680. 74 Due to (>ther national banks | Due to State banks and bankers . . I Notes and bills re-discounted I Bills payable ! 34, 213. 68 2, 250. 00 1,400,622.63 Total. THOMAS BOYD, Jit., Cashier. ., 089, 770. 85 Capital stock paid in. $500, 000. 00 8!. 80 50, 000. 00 Surpl us fund ! 100, 000, 00 Undivided profits ' 70, 501. 71 11,000.00 National-bank notes outstanding..! 45; 000. 00 107, 771. 07 State-bank notes outstanding !. Total | 1, 406, 622. 63 Fifth National Bank, Providence. PARLEY M. MATIIEWSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits . . U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from appro veil reserve agents Due from other national banks . . . Duo from State bauks and hankers Bank'g-houso. furniture, ;uid fixtures' Other real estate and mortg's owned Current expenses and taxes paid . Premiums on IT. S. bonds Checks and other cash items Exchanges for' clearing-house Bills of7)1 her national hanks Fractional currency, nickels, cents. Specie Logal-tonder notes U. S. certificates of deposit Redemption fund with Tivas. IT. S. Due from Treasurer U. S Total No. 1002. W M . Jl. DUNHAM, Cashier. $527, 616. 50 ! Capital stock paid in 210. 46 ' 50, 000. 00 Surplus fund Undivided profits.. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits p U n i t d States deposits i United S t t d Dep eposits of U.S. disbursing officers Due to other national banks Duo to State bauks and bank era .. Notes and bills re-discounted. Bil Is payable Total. $300, 000.00 60, 000. 00 (>, 344. 61 45, 000. 00 1, 200. 50 232, 873. 07 J, 999. .*5 10, 317. 92 657, 735. 85 REPORT OF THE COMPTROLLER OF THE CURRENCY. 157 I t H O D E fl S JL A N D . American National Bank, Providence. F. W. CARPENTBU, President. No. 1472. II. A. He NT, Cashier. Resources. Liabilities. Loans and diseouJits . .j $1. 437, (550. 00 $2,280,935.92 ,! CapiUI stock paid in. 0 verdrafr.s 50, 000. 00 Surplus hum IT. S. bonds to secure circulation.... 78, 000. 00 II. S. bonds to secure deposits 62, 575. 8(3 Undivided profits , U. S. bonds on hand 62, 200. 25 43, 800. 00 Stocks, securities, judgments, etc . . National-bank notes outstanding., 94, 181, 87 Due from approved reserve agents, j Sink-bank notes outstanding 7, 551. 92 Due from other national banks. . .. .1 Due from State banks and bankers j » 975. 25 , Dividends unpaid . Ban k'g-house, furniture, andfixtures; Other real estate and mortg's owned! 7,502.61 '. Individual deposits Current expenses and taxes paid... 6,714.79 j United Stares deposits Premiums on IT. S. bonds 4, (>92. 38 ! Dopositsof U.S. disbui singoHicers 2, 0J5. 27 ! Checks and other cash items 25, 9;i:J. 04 i Due to other national banks Exchanges for clearing-house 16, 493. 54 14,621.00 ; Duo to State banks and banker's .. Bills of other national banks 360. 97 i. Fractional currency, nickels, cents. 42, 200. 60 ! Notes and bills re-discounted Specie 19, 961. 00 | Bills payable Legal-tender notes U. S. certiticates of deposit 2, 250. 00 Redemption fund with Treas. U". S Due from Treasurer U. S Total. 2, 627, 738. 22 2, 627, 738. 22 Total. Atlantic National Bank, Providence. CALEB G. BUUROWS, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national bunks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house B ills of o t h er n at i o u al ban k s Fractional currency, nickels, cents. Specie Legal-tender notes II. S. certi licates of deposit Redemption fund with Troas. U. S. Due from Treasurer U, S Total. \\rM. R. G-KKKNR, Cashier. No. 2913. $273,418.57 Capital stock paid in $225, 000. 00 Surplus fund. Surplus fund. Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 50, 000. 00 26, 632. 59 2,987. 78 Dividends unpaid 7,617.29 5, 062. 44 45, 000. 00 526. 25 2, 000. 00 J Indi vidual deposits " 8 8 6 . 1 9 I United States deposits 8, 000. 00 Deposits of U. S. disbursing officers 1,255.69 6, 486. 43 1, 628. 00 15.85 3, 913. 20 2, 000. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 88, 208. 32 10,000.00 2, 250. 00 Total. 381,474.30 38 L, 474. 30 Blackstone Canal National Bank, Providence. W I L L I A M A M E S , President. Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, j u d g m e n t s , e t c . . D u e from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's ownedj C u r r e n t expenses and taxes p a i d . . P r e m i u m s on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S D u e from T r e a s u r e r U . S Total 4. N o . 1328. $853^ 364.07 ~j| OKKN WESTCOTT, Cashier. Capi tal stock paid in $500, 000. 00 50,000.00 ! Surplus fund Undivided profits 90, 000. 00 30, 935. 45 20, 000. 00 27, 432, 49 3,248.67 i N"at i o n al -1 >ank n o tes o n t stan ding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid 1,950.00 3, 036. 62 5,714.90 6,902.00 5:58. 47 11,014.35 16,200.00 : i i! ;! i! jj 1, 067. 50 Indi vidual deposits United States deposits Deposits of U. S. disbursing officers. 312, 980. 26 Due to other national banks Due to State banks and bankers . . 12, 298. 36 10, 000. 00 Bills payable 2, 250. 00 1,002,281.57 Total 1, 0G2, 281. 57 158 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. City National Bank, Providence. AMOS C. BARSTOW, President. No. 1429. E . A. SMITH, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank g house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . $902, 493.14 Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S 3, 726. 52 10, 225. 37 5, 333. 00 118.36 9, 000. 00 3, O U 00 O. $500, 000. 00 Capital stock paid in 50, 000. 00 I 1 29, 813. 75 1,101. 35 170, 000. 00 15,164. 16 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 1, 304. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . . 2, 448.14 238, 964. 48 2.164. 38 46,912.61 Notes and bills re-discounted 2, 250. 00 i Total Total 1,019,509.63 1,019,509.63 Commercial National Bank, Providence. D A N I E L E . DAY, President. No. 1319. Loans and discounts , Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits V. S. bonds on hand Stocks, securities, judgments, etc ..i Dae from approved reserve agents. Due from other national banks Duo li'oin State banks and bankers Bauk'g-houso, furniture, and fixtures; Oilier real estate and mortg's owiuid Current expenses and taxes p a i d . . . Premiums on U. S. bonds C uecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Speei e Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S , 000, 000. 00 , 9.292.50 ' National-bank notes outstanding. State-bunk notes outstanding . . . . 7, 835. 85 i Dividends unpaid . 90, 000. 00 19, 898. 78 44, 620. 00 71,240.05 • 7,800.49 I Individual deposits I 3, 100. 89 ji United States deposits jj Deposits of U.S. disbursing officers. li 8,222.51 Duo to other national banks 23. 232. 00 Due to State banks and bankers . . 57. 00 9,018. 80 Notes and bills re-discounted. 36, 000. 00 Bills payable , 6,127. 00 517,463.46 7, 249. 06 3, 510. 73 *2,'250." 66" 1, 088, 869. 03 Total. H. G-. ARNOLD, Cashier. $1,459,795.75 Capital stock paid in. 88.30 , 50,000.00 i Surplus fund. Undivided profits Total. 1, 688, 809. 03 Globe National Bank, Providence. BKNJAMIX A. JACKSON, President. Loans and discounts Overdrafts II. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national bunks Due from State banks and bankers. Bank'g-liouse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 1120. $632, 942.15 50, 000. 00 GKO. C . N O Y E S , Cashier. Capital stock paid i n . Surplus fund Undivided> profits d 22, 000. 00 National-bank notes outstanding. 13,304.37 j State-bank notes outstanding 27,543.37 | DividendIs unpti id . 1, 810. 32 20,528.94 1, 400. 00 8.64 7, 140. 00 7, 000. 00 $300,000.00 60, 000. D O 217,088, 17 45,000.00 5, 264. 00 Individual deposits United States deposits Deposi ts of TJ. S. dish ursin g officers. 149, 204. 69 Due to other national banks Due to State banks and bankers . . 9, 370. 93 Notes and bills re-discounted . Bills payable 2, 250. 00 785, 927. 79 Total. 785, 927. 79 REPORT OF THE COMPTROLLER OF THE CURRENCY. 159 RHODE ISLAND . Lime Rock National Bank, Providence. THOMAS J. HILL, President. No. 1369. J. W. ANGELL, Cashier. Resources. Loans and discounts 0 verdra fts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Stocks,securities, judgments, etc6.. Due from approved reserve agent * . Duo from other national bunks Due from State banks and banker's. Bank'g-house,furniture, and fixtures Otherreal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $482, 946. 30 50, 000. 00 106,957.50 67, 022.10 3, 990. 02 Capital stock paid in 11, 520. 95 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 3, 388. 74 4, 740. 00 143.03 8, 580. 30 2, 300. 00 44,100.00 1, 076. 00 10,000.00 Individual deposits 2, 226. 3(5 United States deposits . Depositsfti' U.S.disbursing officers Due to other national banks Due to State banks and bankers... 173, 017. 59 14, 830. 41 Notes and bills re-discounted Bills payable 2, 2oO. 00 744, 544. 95 Total $500, 000.00 Surplus fund Undivided profits Total 744, 544.95 Manufacturers' National Bank, Providence. THOMAS HARKNESS, President. No. 1283. Loans and discounts $1,002,105. 28 Overdrafts 2.24 TJ. S. bonds to secure circulation . . . 50, 000.00 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. 38, 247.18 Due from other national banks 12, 339.27 Duo from State banks and bankers. Bank'g-housd, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... 6,160. 31 Premiums on U. S. bonds 2, €81,93 Checks and other cash items 25,435.13 Exchanges for clearing-house 7, 707. 00 Bills of other national banks 518.00 Fractional currency, nickels, cents. 3, 352. 90 Specio • 21, 013. 00 Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. 1, 000. 00 Duo from Treasurer U. S Total . G-. A. PHILLIPS, Cashier. Capital stock paid in. $500, 000. 00 Surplus fund Surplus fund , Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 240, 000.00 28, 548. 45 45, 000. 00 427. 00 Individual deposits United States deposits Depositsof'U.S.disbursing officers 325, 216. 39 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 3, 085. 47 31,195. 53 1,173,472.84 Total. 1,173,472.84 Mechanics' National Bank, Providence. JAMES H. CIIACE, President. No. 1007. S. H. TINGLE*, Cashier. Loans and discounts $1,010,300.62 Capital stock paid in. Overdrafts U. S. bonds to secure circulation . . . 50, 000.00 Surplus fund U. S. bonds to secure deposits Undivided profits. U. S. bonds on hand National-bank notes outstanding. Stocks, securities, judgments, etc . . 49, 523. 09 State-bank notes outstanding Duo from approved reserve agents. 11, 232.42 Due from other national banks Dividends unpaid. Duo from State banks and bankers Bank'g-house, furniture, and fixtures 22, 000.00 Individual deposits Other real estate and mortg's owned Current expenses and taxes paid.. 2,595.46" Unite:! States deposits Deposits of U. S. disbursing officers. Premiums on U. S. bonds C hecks and other ca_sh items 11,781.46 Due to oilier national banks Exchanges for clearing-house 2, 428.00 Due to State banks and bankers .. Bills of other national banks 457. 91 Fractional currency, nickels, cents. 27, 800. 00 Notes and bills re-discounted . Specio 23, 500. 00 Bills payable Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S 2, 250. 00 Due from Treasurer U. S Total., Total. 1,213,875.50 $500,000.00 100, 000. 00 93, 099.57 44, 000.00 2, 548.25 367,210.17 57, (17. 57 50,000.00 1,213,875.56 160 REPORT OF THE COMPTROLLER OL1 THE CURRENCY. RHODE ISLAND. Merchants' National Bank, Providence. ROYAL C. TAFT, President. No. 1131. Loans and discounts I Ove rclrafts ! IT. S. bonds to secure circulation . . . J U. S. bonds to secure deposits I IT. S bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Duo from State banks and bankers . Bank'g-house,furniture,and fixtures Other real estate and mortg's owned C in-rent expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer tT. S Total. J. W. VBBNON, Cashier. | Resources. , 717, '259. 04 47 50, 000. 00 17.'?. 727. 80 209, 247. 74 55!.82 75, 000. 00 Liabilities. Capital s t o c k paid in $1, 000, 000.00 200, 000. 00 153,107.01 Surplus fund Undivided profits j National-bank notes outstanding.. ! State-hank notes outstanding 42, 900. 00 3(3, 797. 25 Dividends unpaid I Individual deposits • , 1 United States deposits ; Depositsof U.S.disbursingofficers. 1, 323, 294. 53 28, 0(50. 94 i Due to other national banks 20, (>3<5. 00 Due to State banks and b a n k e r s . . 401.83 73. 478.75 Notes and bills re-discounted Ho', 500. 00 Bills payable 519, 423. 52 1(38,442 01 2, 250.00 7, 000. 00 3, 444, 024. 35 Total. 3,444,024.35 National Bank of Commerce, Providence. HOBKBT KNIGHT, President Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,,]udgments, oto . . Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-house, furniture, andnxture8 Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. J. FOSTER, Cashier. No. 136G. !, 908, 983. 82 500. 48 50, 000. 00 49, 100. 00 178, 407. 85 3, 571. 53 Capital stock paid in $1, 709, 200. 00 242, 000. 00 57, 389. 06 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 45, 000. 00 54, 411. 00 "1% 237.08 1, 000. 00 1,638.10 17,238. 71 12,155.00 410.04 32, 978. 00 38, 000. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 972,179. 22 Due to other national banks Duo to State banks and bankers . . 36, 684. 85 224, 606. 48 Notes and bills re-discounted.. Bills payable 2, 250. 00 Total. 3,341,470.61 3,341,470.61 National Bank of North America, Providence. JESSE METCALP, President. No. 1036. $1,446,978.13 Loans and discounts 1,404.65 Overdrafts 50, 000. 00 TT. S. bonds to secure circulation... U. S. bonds to secure-deposits U. S. bonds on hand Stocks, securities, judgments, etc . . 41,937.81 Due from approved reserve agents. Due from other national banks 8J, 741. 72 Due from State hanks and bankers. 7,445.15 Ban k'g-house, furniture, and fixtures 86, 562.12 Otli er real estate and mortg's owned Current expenses and taxes paid... 4, 469. 53 Premiums on U. S. bonds Checks and other cash items . " 5, 924. 33 Exchanges for clearing-house 32, 650. 33 Bills of other national banks 4, 300. 00 Fractional currency, nickels, cents . 212. 91 17, 770. 00 Specie 20, 600. 00 Legal-tender notes U. S. certificates of deposit lledemption fund with Treas. U. S 2, 250. 00 Due from Treasurer U. S.. Total 1,809,252.68 C. E. JACKSON, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . . $1,000, 000. 00 200, 000. 00 49, 255. 90 45, 000.00 7, 456. 75 401,715.28 70, 919.87 34,904. 82 Notes and bills re-discounted. Bills payable Total. 1, 809, 252. 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 161 RHODE ISLAND. National Eagle Bank, Providence. JAMBS H.MUMFORD, 2d, President. No. 1030. CIIAS. F. SAMPSON, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... 17. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks . . . Due from State banks and bankers.. Bank'j;-hoiise, furniture, and fixtures Oi ber real estate and mortg's owued Current expenses and taxes paid... P remiums on U. S. bonds C tiecks and other cash items E xehanges for clearing-house Kills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S. D ue from Treasurer XT. S Total Liabilities. $800,851.01 j Capital stock paid in $500, 000.00 ' 170, 000. 00 ! Surplus fund Undivided profits 14, 960. 9:5 ! National-bank notes outstanding.. 109, 007. 08 State-bank notes outstanding 23, 291. 70 Dividends unpaid 5, 500. 00 100, 000. SO 27, 505. 92 153, 000. 00 1,371.25 Individual deposits United States deposits Deposits of XT. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 10,753.01 3, 695,00 113.15 5, 592. 60 13,187.00 324,491.74 75, 742. 28 59, 272.80 7, 650.00 Total 1,241,443.99 1, 241, 443. 99 National Exchange Bank, Providence. NICHOLAS SHELDON, President. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... XT. S. bonds to secure deposits XT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due trom State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on XT. S. bonds C iiecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes XI. S. certificates of deposit Redemption fund with Treas. XT. S. Due from Treasurer XT. S Total. No. 1339. $1,302,285.82 50, 000. 00 CHARLES PL SHELDON, Cashier. Capital stock paid in $500, 000.00 Surpl us f n nd Undivided profits 128, 500.00 137, 573. 65 7,847.81 100, 000. 00 250, 343. 60 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 100, 000. 00 45, 000. 00 10, 321. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 21,525.00 13, 108. 00 797.04 4i, 167. 50 15, 000. 00 909,120.97 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 2, 329. 85 2,250.00 1 1 1,823,115.42 Total 1,823,115.42 Old National Bank, Providence. CriiilSTOPHER LIPPITT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits XT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and banker's Bunk'g-house, furniture,and fixtures Ot her real estate and mortg's owned Current expenses and taxes paid... Premiums on XT. S. bonds C tiecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes XJ. S. certificates of deposit . Redemption fund with Treas. XT. S. DL.e from Treasurer XT. S Total. H. ISx, 3 No. 1151. $718, 280. 52 Capital stock paid in 52. 80 50, 000. 00 Surplus fund Undivided profits 74,514.27 2, 424.48 105,000.00 " 2,29342 1,481.13 5, 92*. G8 12,107. 00 103. 43 18, 309. 45 0, 000. 00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits { United States deposits I Deposits of U.S.disbursingotticers Due to other national banks Due to State banks and bankers . N"otes and bills Bills nayjible $500, 000. 00 88,016. 56 23, 342. 44 45, 000. 00 288.00 256, 395. 02 8,013.35 77,719.81 2, 250. 00 99S, 805. lSj 11 F. A. CKANSTON, Cashier. Iota! •8, 8 0 5 . 1 8 162 KEPORT OF THE COMPTROLLER OF THE CURRENCY. R H O D E I S L A \ l> . Phenix National Bank, Providence. JONATHAN CHACE, President. No. 948. GEO. E. MARTIN, Cashier. Resources. Liabilities. $1,295, 897. 45 Loans and discounts $450, 000. 00 Capital stock paid in U. S. bonds to secure circulation... U. S. bonds to secure deposits 50, 000. 00 Stocks, securities, judgments, etc .. Due from approved reserve agents Duo from other national banks Duo from State banks and bankers Bankg-housc, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Soecie Legal-tender notes IT S cfiT'tlHcates of denosit Redemption fund with Troas. U. S. Due from Treasurer U. S Total 41, 591.20 National-bank notes outstanding.. 50,990. 73 State-bank notes outstanding 9, 043. 64 306. 96 Dividends unpaid 8, 547. 61 Individual deposits 5 27L55 United States deposits Deposits of U.S. disbursing officers. 4, 797. 36 23, 781. 64 Due to other national banks 15,722. 00 Due to State banks and bankers .. 19, 304.17 38 450. 00 90, 000. 00 283, 221. 47 Surplus fund Undivided profits 45, 000.00 978. 00 624, 769. 59 43, 720.37 28, 270.88 Notes and bills re-discounted . Bills payable 2, 250. 00 1,565,960.31 Total 1, 565, 960. 31 Providence National Bank, Providence. WILLIAM GODDABD, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents Due from other national banks Due from Stat« banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house "Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 1302. ,121,693.76 578.18 300, 000. 00 255,135. 64 53, 425.29 10, 000.00 3, 604.19 21,545.61 42, 593.00 111.51 31, 700. 00 21, 200. 00 $500, 000. 00 Surplus fund Undivided' profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 309, 466. 83 270,000.00 20, 240. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers 311,681.41 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable , 245, 670. 39 222, 028. 55 13, 500,00 4, 000. 00 1,879,087.18 Total. A. 11. MATTESON, Cashier. Capital stock paid in. Total. 1, 879, 087.18 Rhode Island National Bank, Providence. HENRY LipriTT, President. No. 983. $1, 231,601.84 Loans and discounts 197.03 Overdrafts 50, 000. 00 U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand 27 006. 67 Stocks, securities, judgments, etc .. 168,018.44 Due from approved reserve agents. 10t, 006.15 Due from other national banks 2,144.68 Due from State banks and bankers. Bank'g-house, furniture, and fi xtures 3, 907. 25 Other real estate and mortg's owned 3,495. 75 Current expenses and taxes paid.. Premiums on U. S. bonds 12,818. 92 Checks and other cash items 56, 687.48 Exchanges for clearing-house 4, 758.00 Bills of other national banks 536. 00 Fractional currency, nickels, cents . 16, 200.00 Specie 30, 000. 00 Legal-tender notes U. S. certificates of deposit 2, 250.00 Redemption fund with Troas. IT. S. Due from Treasurer U. S Total 1,714,5: F . A. CHASE, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding Dividends unpaid. $600, 000.00 120, 000. 00 49, 742. 88 45, 000. 00 8, 823.40 Individual deposits United States" deposits Deposits of U.S disbursing officers 764, 943. 03 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 75, 872. 90 50,146. 00 Total. 1,714, 528.. 21 REPORT OF TILE COMPTROLLER Ob1 THE CURRENCY. 1G3 It IIODE ISLAND. Roger "Williams National Bank, Providence. CHARLES II. GEORGE, President. No. 150G. M. E. ToiutEY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TT. S. bonds to secure circulation. ... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks. . . Due from State banks and bunkers Bank' g- house, furniture, and lixtures Other real estate and mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $624, 473. 43 ""56,006.60 100, 000. 00 16, 040. 36 Surplus fund Undivided profits I National-bank notes outstanding-. 22, 700. 95 State-bank notes outstanding 19, 284, 24 ... j I Dividends unpaid 50,000.00 000000 19, 808. 89 Individual deposits 707. (>l United States deposits 10,000.00 Deposits of U.S. disbursing officers. 1, 071. 90 Due to other national banks 3,271.57 4, 294. 00 Due to State banks and b a n k e r s . . . 25. 84 Notes and bills re-discounted. 4, 32:{. 00 4, 800. 00 Bills payable 44, 020. 00 2, 584. 00 135,781.34 18, 035. 79 2, 250.00 817,011.4!) J Total. $499, 950. 00 Capital stock paid i n . 817, Oil. 49 Total. Traders' National Bank, Providence. HENRY A. W E B B , President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other rational banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. D ue from Treasurer U. S Total. No. 13yo. $277, 834. 37 50, 000. 00 17, 087. 58 E D W I N KNIGHT, Cashier. $200, 000. 00 Capital stock paid in. Surplus fund Undivided profits 34, 805. 00 7, 794. 07 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 1, 205. 00 Dividends unpaid 900. 00 4, 803. 40 1, 594. 74 1, 500.00 4(51.07 i| 891. 85 11 LOO 40. 00 3,114. 03 3, 800. 00 Individual deposits United States deposits Deposil s of U.S. disbursing officers. G6, 055.17 Due to other national banks Due to State banks and bankers . . 10, 000. 00 Notes and bills re-discounted. Bills payable 2, 250. 00 420. 00 364, 839. 24 3G4, 859. 24 Total. Weybosset National Bank, Providence. GEORGE B. CALDER, President. Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . U. S. bonds t o secure deposits U. S. bonds on hand Stocks, securities, j u d g m e n t s , e t c . D u e from approved reserve a g e n t s D u e from other national b a n k s . D u e from State b a n k s a n d bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned C u r r e n t expenses and taxes p a i d . . . P r e m i u m s on U. S. bonds Checks and other cash items E x c h a n g e s for clearing-house Bills of 6ther national b a n k s Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit . Redemption fund w i t h Treas U. S. npti ,s. D u e from T r e a s u r e r U . S . Total. No. 1173. 1692, 865. 64 O. A. JILLSOX, Cashier. Capital stock paid i n . 50,"000. 00* Surplus fund Undivided profits 97, 580. 00 18, 380. <iO National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g Dividends unpaid 840,64 550. 00 4, 997. 27 3, 888. 00 112.10 8, 609. 75 8, 550. 00 Individual deposits United States deposits Deposits oi'U.S. disbursing officers D u e t o other national banka D u e t o State b a n k s a n d b a n k e r s . . $500, 000. 00 100,000,00 20, 408. 37 44, 500. 00 3, 895. 00 206, 449. 86 244, 89 13,138. 00 N o t e s and bills re-discounted . Bills payable , 2, 250.00 18, 630. 12 Total., 888,«:{(). 12 1G4 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. First National Bank of Smithfield, Slater sville. JOHN W. SLATER, President. No. 1035. CHAS. S. SEAGKAVE, Cashier. Resources. Liabilities. Loans and discounts $119,193.82 U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items !.. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total 50, 000.00 9, 500. 00 2, 224. 27 1, 281. 87 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 786. 92 4, 542.16 42.00 266. 00 14.01 1, 251. 00 105, 00 25, 778. 00 4, 262.93 45, 000.00 836. 52 Individual deposits United States deposits. Deposits of U.S.disbursing officers. 14, 870.12 Due to other national banks Due to State banks and bankers.. 709,48 Notes and bills re-discounted Bills payable 2,250.00 191, 457. 05 Total 191, 457. 05 Wakefield National Bank, Wakefield. BENJAMIN P . ROBINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 1206. $252, 007. 34 498. 98 50, 000. 00 34, 054.42 24, 664. 38 921.61 5,832.70 4, 774. 00 270. 51 12, 334. 00 2, 500. 00 $100,000.00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 36, 000. 00 5,204.16 45, 000. 00 946. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 202, 957. 78 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 2, 250. 00 390,107. 94 Total. JOHN E. BABCOCK, Cashier. Capital stock paid in. 390,107. 94 Total. First National Bank, Warren. J. WATERMAN, President. Loaus and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks . . . . Due from State banks and bankers. Bank'g-house, furniture, and fi xt ures Other real estate and mortg's ow ned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other rash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total- No. 673. $170, 802. 08 """37," 500." 66' 4, 800. 79 1, 598.12 1, 825. 95 6,590.72 ""'575.'55' 119."78" 2, 480. 00 16.87 2, 027. 00 4, 572. 00 A. B. GARDNER, Cashier. Capital stock paid in. $150,000. 00 Surplus fund Undivided pro (its . 17, 500.00 7, 905. 93 National-bank notes outstanding.. State-bank notes outstanding 32, 750. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 242. 00 26,198. 43 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1, 687. 50 231, 596. 36 Total. 234, 590. 36 REPORT OF TTTC COMPTROLLER OF TFIR CURRENCY. 16*5 RHODE ISLAM). National Hope Bank, Warren. No. 1008. E. M, MARTIN, President II. W. EDDY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts IJ. S. bonds to secure circulation... U. S. bonds to secni'e deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Dae from approved reserve agents Duo from other' national banks j Due from State banks and bankers j Bank'g-house, furniture, and lixturosj Other real estate ami mortis owned Current expenses and taxes paid . Premiums on IL S. bonds Cheeks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender' notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. $173,338.70 *"*72,"Go6'6t)" 0, 1)20. 00 904. 9i> 12, 402. 69 " 3,'228.92" 308. 71 815. Oi) 04. 35 1,1%. 00 887. 00 Capital stock paid in $130, 000. 00 Surplus fund Undivided profits 26, 000. 00 17, 557. 85 National-bank notes outstanding-. State-bank notes outstanding 64,115. 00 Dividends unpaid 570. 50 Individual deposits United States deposits DepositsofU.S. disbursing oiueei a. 38, 023. 72 Dim to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 3, 269.25 Total. 27fJ, 267. 07 276, 267. 07 National Warren Bank, Warren. EDWARD A. SWIFT, President. No. 1419. C. AY. GUEEXE, Cashier. Loans and discounts $214,401.70 !'! Capital stock paid in Overdrafts 50,000.00 | Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits . . . . < T — ! Undivided profits L . S. bonds on hand 8, 906. 2.1 ! National-bank notes outstanding.. Stocks, securities, judgments, etc.. Due from approved reserve agents. 1,255.90 i State-bank notes outstanding 0, 991. 9,i Due from other natioual banks Due from State banks and bankers. Dividends unpaid Bank'g-house, f urni t ure.and fixtures 4, 500, 00 Other1 real estate and mortg'a owned 3, 400. 00 Individual deposits Current expenses and taxes paid.. GoO. 71) United States deposits Premiums on U. S. bonds Deposits of U.S. disbursing officers. Checks and other cash items Exchanges for clearing-house. Duo to other national banks Bills of other national banks.. 1,610.00 Due to State banks and bankers.. Fractional currency, nickels, cents 1. G5 Notes and bills re-discounted Specie '. 1,895.61 Bills payable Legal-tender notes 1, 200. 00 U. S. certificates of deposit. '.Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total. Total. 327,159. 89 $200, 000. 00 40, 000. 00 15, 775. 94 44,430. 00 1, 03G. 50 24, 813. G8 1,103. 77 327,159.89 National Niantic Bank, Westerly. T. TV. SEGAII, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other1 national banks Fractional currency, nickels, cents. Specie Legal-tendej* notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. X o . 823. $172, 573. 52 67.12 50, 000. 00 210,H25.00 18, 75a. 89 67.40 ! D. F. STILLMAN, Cashier. Capital stock paid in. $250, 000.00 Surplus fund Undivided profits 80, 000.00 29, G74. 24 National-bank notes outstanding. State-bank notes outstanding..... 45, 000. 00 Dividends unpaid 877. 49 ""21,202. 5 j " Individual deposits p 871." 26* U i t d S t t d i t United States deposits 2, 000, 00 DepositsofU.S.disbursingouicers. DepositsofUSdisbursi 72,124.26 Due to other national banks , Due to Stato banks and bankers. Notes and bills re-discounted. Bills payable 2,750. 34 2, 225. 4G 918. 28 215.00 6. 24 2,721,55 380.00 2,250. 00 482,651. 79 Total., 482,651.79 1GG REPORT OP THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. National Phenix Bank, Westerly. •No. 1169. EDWIN BABCOCK, President. J. B. FOSTER, CasJiier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks,securities, judgments, e t c . . . Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and m o r t i s owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other ^national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S.I Due from Treasurer U. S ! Liabilities. $1C1, 603. 52 : Capital stock paid in H08.13 38, 000. 00 i| Surplus fund j Undivided pro (its 29, £00. 00 National-bank notes outstanding . 44.491.88 State-bank notes outstanding :i Dividends unpaid 30, 000. 00 3, 377. 35 34, 200.00 1,104.00 6, 000. 00 i .'! Individual deposits ""155.0!) ;! United States deposits 2. 000. 00 i| DupositsofU.S.disbursiugofficers. 3,0L<>. 12 Due to other national banks 2, 863. 00 Duo to State banks and bankers . . 120. 1)3 3. 301. uO Notes and bills re-discounted . ' 300. 00 Bills payable 74, 703. 68 290. 64 1,710.00 293, 075. 07 Total . $150, 000. 00 Total . 293, G75.67 Washington National Bank, "Westerly. CHARLES PERRY, President. No. 952. Loans and discounts Overdrafts TJ. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on bund *. " Stocks, securities, judgments, etc .. Duo from approved reserve atients Due from other national banks -. Duo from State banks and bankers. Bank' g-house,f urn iture,andlix tares Other real estate and m o r t i s owned Current expenses and taxes paid .. premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other natiouaTfoankrt Fractional currency, nickels, cents. Specie .Legal-tend or notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total . $169, 825.36 155. 57 37, 500. 00 18, «>4. 15 9, GOO. 02 10, 00i>. 00 180. 17 " 3,714.55 8M.00 20. 00 1,9:50. 14 1, 025. 00 CHARLES PERRY, J R . , Cashier. Capital stock paid in . $150, 000. 00 Surplus fund . Undivided pro 75, 000. 00 10, 080. 09 National-bank notes outstanding.. Stale-bank notes outstanding 33, 750. 00 Dividends unpaid 647.29 Individual deposits United States deposits Deposits of U.S.disbursine oiiicors. 103,338.28 Due to other national banks Duo to State banks and bankers .. Notes and bills re-disconuted. Bills payable 13,041.40 1, C87. 50 385, 863. 06 Total . 385, 863. 06 Wickford National Bank, Wickford. JOHN J . REYNOLDS, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national bauks . . . Due from State banks and bankers Bauk'^-honso, furnituL'o,andtixtuivs Other real estate and mort^'s owned Current expenses and taxes paid. -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Jiills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U, S Total. N o . 1592. $167,822.08 31,250. 66 4G8. 75 4, 5OO."65" TIIADS. W. HUNT, CasJiier. Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding.. j State-bank notes outstanding j Dividends unpaid "6," 500. 00 I Individual deposits "971.46 I United States deposits 2,000. 00 I Deposits of U. S. disbursing officers. 1,112.31 Due to other national banks 225.00 Due to State bauks and bankers. 35. 58 5, G:>7. 00 Notes and biils re-discounted. 1, 900. 00 Bills payable $1257o6b7o6 25, 000. 00 8,124. 83 27, 050. 00 642. 00 41,031.69 1, 406.25 226, 848. 52 Total. 226, 848.52 REPORT OF THE COMPTROLLER OF THE CURRENCY. 167 RIIOD£ ISLAND. First National Bank, Woonsocket. JOSEPH E. COLE, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ. S No. 1402. Liabilities. $163, 575.19 3, 272.31 107, 000. 00 17, 31)7. 62 4, 741. 74 Capital stock paid i n . $107,000. 00 Surplus fund Undivided profits 46, 000 00 581. 37 National-bank notes outstanding-. State-bank notes outstanding 93, 600. 00 Dividends unpaid. 145. 55 10, 250. 00 614.19 3^5.00 397. 35 11, 803. 75 741. 00 1, 260.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 53, 494. 67 8, 082. 28 15,130. 38 4, 815. 00 325, 148. 70 Total. R. G-. RANDALL, Cashier. Total. 325,148. 70 Citizens' National Bank, Woonsocket. OSCAR J . RATHBUN, President Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national ban ks Fractional currency, nickels, cents . Specie .". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 970. $135, 618. 71 159. 54 25, 000. 00 600. 00 6, 260. 55 W. H. ALPRICII, Cashier. $100,000. 00 Capital stock paid in. Surplus fund p Undivide divided pro tits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 20, 000. 00 2, 961. 34 22, 500. 00 1,975. 00 1, 000. 00 """542.16 800. 00 94. 58 305. 00 17. 39 2, 357. 77 225.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 26,182.75 Due to other national banks Due to State banks and baukers .. Notes and bills re-discounted . Bills payable 486. 55 1,125. 00 Total. 174,105. 64 174,105. <?4 National Globe Bank, Woonsocket. ARLON MOWRY, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tentler notes U. S. certi ficates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1423. $160, 045. 54 25," 000." bo" 4,205.01 12, 013.19 "i8,6oo. oo F. E. FARXUM, Cashier. Capital stock paid in. 5100, 000. 00 Surplus fund Undivided profits. 25, 000. 00 10, 394. 90 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits 347." ie' United Shitos deposits Deposits of U.S.disbursing officers. 1, 328. 75 59,147. 52 222*00 1, 000, 00 46. U 4, 486. 75 410.00 Due to other national banks Duo to State banks and bankers.. Notes and bills re-discounted. Billy payable 8, 619. 92 1,125.00 226, 991. 09 Total. 2-26,991.09 168 REPORT OF THE COMPTROLLER OF THE CURRENCY. RHODE ISLAND. National Union Bank, Woonsocket. GEORGE S. READ, President. No. 1409. J. S. READ, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand . Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other naiional banks Due from State banks and banker* Bank'<r-house, furniture,and n\turcs Other real estate and mortg's owned! Current expenses and taxes paid Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT. S $148,271.67 8. 82 luo,ooo.oo Capital stock paid in Dividends unpaid 14, 000. 00 1,033.00 '2'). W 2, 29.'{. 00 4- 0. 00 i... Individual deposits United States deposits Deposits of U.S. disbursing officers 36, 000.00 4, 1W.">. 62 89, 890. 00 1, 975. 75 2,912 87 Due to other national banks Due to State banks and bankers... Not es and bills re-discounted Bills payable 4, 500. 00 28/i,714.24 Total. $150,000.00 Surplus fund.. Undivided profits NTat.ional-bank notes outstanding Suite-bank notes outstanding . - Total. 285,714.24 Producers' National Bank, Woonsocket. CHARLES E. THOMAS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, fnrnituro,and lixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1421. $338, 342, 90 757. 88 195, 000. 00 27, 072. 44 4, 000. 00 3,000. 00 540. f>9 40, 000. 00 200.15 3, 589. 00 171.54 8,173.69 2, 300. 00 S. P. COOK, Cashier. Capital stock paid in $200, 010. 00 Surplus fund Undivided profits 75, 00M. 00 0,353.5:] National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 174, 500. 00 8,107. 20 Individual deposits United States deposits Deposits of U.S.disbursiug officers. lf>5, 664.13 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 748. 27 1, 550. 06 8, 775. 00 Total 631,983.19 631, 983. 19 Woonsocket National Bank, Woonsocket. JOHN W. ELLIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due fiom approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . . Premiums on U. S. bonds Checks and other cash items Exchanges for cleaving-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1058. $111,747.60 42. 07 200, 000. 00 97, 708. 95 51,024.04 L. W, BALLOU, Cashier. Capital stock paid in 120,000.00 12, 450. 04 National-bitnk notes outstanding.. State-bank notes outstanding 176, 320. 00 Dividends unpaid 481.61 16,961.00 141. 39 31,227.05 $200, 000. 00 Surplus fund Undivided profits 7,281.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 275, 882. {)]} Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 500.0'i 25.953. 14 9, 000. 00 818, 393. 71 Total. 818, 393. 71 REPORT OF THE COMPTROLLER OF THE CURRENCY. 169 CONNECTICUT. Ansonia National Bank, Ansonia. CHARLES H. PINE, President. No. 1093. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents Due from o;hor national banks . . . Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortn's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house.. Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Tieas. U. S. Due from Treasurer U. S Total FRED. M.DREW, Cashier. I Liabilities. $589,350,22 i Capital stock paid in 3, 133.47 50, 000. 00 , Surplus fund Undivided profits $200, 000. 00 50, 000.00 39,001.84 National-bank notes outstanding.. 9."), 805. 12 | State-bank notes outstanding 20,019.36 1,494.47 | Di vidends unpaid 45, 000.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 457,341.11 Due to other national banks Due to State banks and bankers .. 135, 772. 02 115, IOO.OO 2,189. .",6 238. 00 2,2r>9.12 j 5, 934. 00 1,330.9") 27, 570. 50 10,245.00 Notes and bills re-discounted. Bills payable 2, 250. 00 Total 927, 353. 57 927, 353.57 Birmingham National Bank, Birmingham. E D W A R D 1ST. SIIBLTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Duo from other national banks Due from State banks and hankers. Bank'g-house,firruituie,andfixtures Other real estate and.morti>'s owned Current expenses and taxes p a i d . . Premiums on U S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Trcas. U. S. Due from Treasurer U. S Total. No. 1098. $001,423. 93 3, 97:}. 14 100, 000. 00 22, 500. 00 107,192.79 45, 19.1.15 950. 71 2, 320. 37 '"" 6," 218." 79 5, 082. 00 545. 00 32,148.77 29, 015. 00 CHAS. E. CLARK, Cashier. Capital stock paid in $300, 000. 00 Surplus fund Undivided profits 150,000.00 55, 707. 20 National-bank notes outstanding.. State-bank notes o u t s t a n d i n g . . . . . Dividends unpaid - 80,430.00 385. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 282,631.68 Due to other national banks Due to State banks and b a n k e r s . . . Notes and bills re-discounted. Bills payable 114,651.82 11, 261.95 4, 500. 00 1,001,007.05 Total 1,001,067.65 First National Bank, Bridgeport. EDMUND S. HAWLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national bunks Due from State banks and bankers. Bauk'g-house, furuiture,and fixtures Otherroulestato and mortg'sowned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Troas. U. S. Due from Treasurer U. S Total. No. 335. $485,483.49 1, 689.20 210,000.00 100,000.00 28, 200. 00 95,813.43 119,534.50 2,218/29 3, 000.00 l",621. 64 31,000.00 19, 390. 03 8,317.00 25. 86 21, 585. 00 22, 000. 00 if. E. S E E LEY, Cashier. Capital stock paid i n . $210,000.00 Surplus fund....... Undivided x>routs. 105, 000. 00 35, 304. 95 National-bank notes outstanding.. State-bank notes outstanding 186, 650. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks'and bankers . Notes and bills re-discounted . Bills payable 404,111.62 107,482.07 2, 002,19 86, 040. 32 22, 802. 75 9,450. 00 1,159, 394. 50 Total. 1,159, 394.50 170 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT, Bridgeport National Bank, Bridgeport. MONSON HAWLEY, President. F. 1ST. BENHAM, Cashier. No. 910. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and rnortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearin^-houso Bills of other nationaVbanks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with'Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $574, 724. 37 71.45 50,000. 00 6, 000.00 51,370.90 24, 088.68 Capital stock paid in $215, 850. 00 Surplus fund Undivided profits 108,000. 00 23, 705. 95 National-bank notes outstanding.. State-bank notes outstanding .."... Dividends unpaid 45, COO. 00 490. 00 40, 000. 00 Individual deposits ' "2," 942." 23' United States deposits Depositsof U.S. disbursingoftieers 2, 575. 77 Duo to other national banks 5, 467. 00 Due to State banks and bankers . 100.75 595. 71 Notes and bills re-discounted. 15, 000. 00 Bills payable 334, 657. CO 47, 645. 55 2,837. 76 2, 250. 00 778,186. 86 Total. 778,186. 86 City National Bank, Bridgeport. D. N. MORGAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-houso,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 921. $582, 790.12 2,450.47 100, 000.00 30,147. 50 56, 705. 00 64, 665. 71 208. 02 40,000.00 T. L. BARTHOLOMEW, Cashier. $250, 000. 00 Capital stock paid in. Surplus fund Undivided profits 125, 000. 00 26, 656. 62 National-bank notes outstanding-. State-bank notes outstanding Dividends unpaid 90, 000.00 365. 00 Individual deposits United States deposits Depositsoi'U.S.disburaing officers. 388, 971. 61 Due to other national banks 2, 520. 00 Due to State banks and bankers .. 21. 30 592. H8 Notes and bills re-discounted. 29, 500.00 Bills payable 64, 235. 61 1, 706.15 3,648.61 29,176.19 4, 500.00 Total. 946, 934. 99 946, 934. 99 Connecticut National Bank, Bridgeport. SAMUEL W.BALDWIN, Presideiit. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg'aowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. B. DREW, Cashier. No. 927. $774, 309. 93 5, 944.74 100, 000. 00 Capital stock paid in. Surplus fund Undivided profits . $332,100. 00 100, 000.00 29,155. 39 National-bank notes outstanding.. State-bank notes outstanding 88, 540. 00 Dividends unpaid. Individual deposits 3, 074. 77 United States deposits 19, 000. 00 Deposits of U. S. disbursing oflicers. 630, 002. 94 2,430.00 93,612.26 59, 976.14 10, 000. 00 14, 057. 37 10,871.00 154. 71 44, 191. 00 5, 000. 00 I Duo to other national banks j Due to State banks and bankers .. i Notes and bills re-discounted Bills payable 1,283.46 35,967.95 1, 072. 21 4, 500. 00 1, 000. 0.) 1, 218,121. 95 Total. 1,218,121. 95 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 7 1 CONNECTICUT. Pequonnock National Bank, Bridgeport. DAVID TKUBEE, President. I . B. PUINDLE, Cashier. No. 928. Resources. Loans and discounts Overdrafts . • U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Dueirom approved reserve agents. Due from other nat ioual banks Duo from Stato banks and bankersBan k' g- house, turn iture. andfix tu res Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on IT. S. bonds Checks and other cash items Bills of other national banks Fractional currency, nickels, cents. Specie . . . . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $048, 749. 23 249. 58 50, 000. 00 $200,000. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding . State-bank notes outstanding 1, 300. 00 107, 833. 33 54,715.06 1, 486. 02 25, 152.53 40, 000. 00 23, 319.21 44,480.00 318.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbuTsingofncors. Due to other national banks - . . Due to State banks and bankers ,. 2, 469.12 11, 500. 00 1, 639. 70 7, 096. 00 200. 00 11, 073. 48 27, 000.00 608, 342.86 36, 253.98 Notes and bills re-discounted Bills payable _ 2, 250.00 952, 714.05 952, 714. 05 Total Bristol National Bank, Bristol. JOHN H. SESSIONS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State ban ks and bankers. Bank'g-house, furniture, and fixtures Otherreal estate and niortg's owned' Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks .Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2250. C. S. THEADWAY, Cashier. $100, 000. 00 $289,028.81 !j Capital stock paid in 29-1.70 I 25,000.00 i| Surplus fund Undivided profits 2, 600.00 National-bank notes outstanding 46, 795. 30 State-bank notes outstanding 16, 803. 06 978. 98 20, 000. 00 22,141.59 22, 500.00 Dividends unpaid 9, 000. 00 Individual deposits United States deposits Deposits of LI. S. disbursing officers. 216,757.88 644.78" Due to other national banks 900. 00 Due to State banks and bankers .. 233.45 5, 955. 00 Notes and bills re-discounted . 11,044.00 Bills payable 26, 976. 58 6, 451. 21 2, 426. is 1,125. 00 2, 000. 00 414, 827.26 414,827.26 Total . Windham County National Bank, Brooklyn. J O H N PALMEU, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure doposits U. S. bonds on hand Stocks,securities, judgments, etc . . Due from approved reserve agents Due from other national banks Duo from State banks and bankers. Iknk 'g-houso, furniture,and fixtures! Other real estate and raortg's owned Ciirrent expenses and taxes p a i d . . . I Premiums on U. S. bonds C necks and other cash items I E xchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1360. $140, 540.49 121.18 30, OOu. 00 19, 913.16 2, 670.65 5, 500.00 """7)82." 27* 1, 500. 00 56.25 2, 687. 00 19.91 4, 930.00 2, 000.00 1 J O H X P . Woon, Cashier. Capital stock paid in ' Surplus fund Undivided profits . National-bank notes outstanding..j State-bank notes outstanding j. Dividends unpaid $108, 300.00 4, 500.00 2, 330. 37 27,000. 00 344.00 Individual deposits United States deposits Deposits o f U. S. disbursing officers. 63, 211. 64 Duo to other national banks Due to State banks aud bankers . . 5,817.00 367. 30 Notes and bills re-discounted. Bills payable 1, 350.00 211, 870.91 211, 870.91 172 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. Clinton National Bank, Clinton. No. 1314. JOHN B. WRIGHT, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due fron othemational banks Due from State banks and bankers B,ink'g-house,furiiiture,and fixtures Other real estate and m o r t i s owned Current expenses and taxes paid.. Premiums on U. S. bouds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Liabilities. _ | $90,151. 33 I Capital stock paid in 40,000.00 1 Surplus fund 1 fund. |j Undivided profits.. 54,450.00 Nationnl-bank notos outstanding. 20,041.20 State-bank notes outstanding ..".. $75, 000.00 21, 000. 00 3,214.81 36, 000. 00 478. 6ti '""6,"6oo."66 iI 1 Dividends unpaid 441. 00 Individual deposit* United States deposits i Deposits of U.S. disbin:'sing officers. 1,01)0.01.) i CU3.32 ]| 259. 41 |i 2,512.00 I 78.75 :i 5, :J12. 97 ii Due to other national banks Due to State banks and bankers . , 408. 02 10, 553. 55 2,114. 77 Notes and bills re-discounted1,045.00 1 Bills payable 1,800.00 j Total . 220,7:52.75 :j Total . E. E. POST, Cashier. 220, 732. 75 Danbury National Bank, Danbury. Lucius P . HOYT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Dae from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items E xchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes 0\ S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 943. $537, 743. 60 351.94 50, 000. 00 39, 351. 32 180,019.89 7, 982.87 66, 882.11 "3," 4*24.'3l' 2, 350. 00 598. 27 7, 376. 00 568. 78 19,375.70 15,949.00 J . AMSBURY, Cashier. $327, 000. 00 Capital stock paid in Surplus fund Undivided profits .. National-bank notes outstanding. State-bank' notes outstanding. Dividends unpaid 73, 000. 00 47, 226. 83 45, 000. 00 84.00 Individual deposits United States deposits Deposits of U.S.disbursing officers . 325, 539.66 Due to other nationalbanks Duo to State banks and bankers... Notes and bills re-discounted. Bills payable 111,258.44 5,114.84 2, 250.00 934, 223. 79 Total . 934, 223. 79 National Pahquioque Bank, Danbury. A. U. WiLDMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to securo deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . No. 1132. $457, 095. 87 1, 358.07 50, 300. 00 67, 000. 00 23,311.61 119,095.02 4, 671. 2 :* "36,'665.00 5, 500. 00 3,716.16 22, 950. 00 2,187.75 1,000. 00 230. 79 2, 983.30 13, 920. 00 M. II. GRIFFING, Cashier. Capital stock paid iu. Surplus fund Surplus fund. Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $250, 000. 00 50, 000. 00 40, 236. 02 45,270.00 538.00 Individual deposits United States deposits DepositsofU.S. disbursing officers 248,268.27 73, 700. 00 Due to other national banks Due to State banks and bankers .. 83, 629. 75 15,951.26 Notes and bills re-discounted. Bills payable 2, 263. 50 10,00 807, 593. 30 Total . 807, 593.30 REPORT OF THE COMPTROLLER OF THE CURRENCY. 17 5 CONNECTICUT. First National Bank of Killingly, Danielsonville. HENRY HAMMOND, President No. 450. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -Due from approved reserve agents. Due from other national banks Duo trom Stale banks and bankers Jiank'g- house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid. - Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks ^Fractional currency, nickels, cents . Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S H. N. CLEMONS, Cashier. Liabilities. Capital stock paid in. Resources. $177, 599. 99 Surplus fund , Undivided profits National-bank notes outstanding . State-bank notes outstanding 50, 000. 00 13, 000. 00 20, 473. 52 5, 2515. 31 I Dividends unpaid $110, 000.00 . 6, 000. 00 4, 932. 09 45, 000. 00 12.00 2, 000. 00 Individual deposits 443. 21 United States deposits 1, 500. 00 Deposits of U. S. disbursing officers 109, 8(33.61 Due to other national banks 4, 550. 00 Due to State banks and bankers... 340. 98 9j 610. 00 Notes and bills re-disco unted. 8, 500. 00 Bills payable 19, 633. 77 79.54 2, 250. 00 295,521.01 Total. Total. 295,521.01 Deep River National Bank, Deep River. RICHARD P . SPENCER, President. No. 1139. R. L. SELDEN, J R . , Cashier. $173,539.47 ! Capital stock paid in 45.00 i 40,000.00 Surplus fund Undivided profits 51,825.00 i National-bank notes outstanding . 63, 403. 54 j State-bank notes outstanding-. 7,624.90 | Dividends unpaid Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bunds to secure deposits U. 8. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve ag3nts. Due from other national banks Duo from State banks and bankers. Bank'g-honse.furniture. and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Preiniuins on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes IT. S. certificates of deposit [Redemption fund with Treas. U. S. Due from Treasurer U. S $150, 000. 00 45, 000. 00 12, 443.81 34, 550.00 390. 50 7,566.00 ; Individual deposits United States deposits Deposits of U.S.disbursingofficers. 114, 031.25 [ Due to other national banks 1, 833. 00 I Due to State banks and bankers . . 81.07 17,545.00 j Notes and bills re-discounted . . 5, 000. 00 Bills payable 8, 844. 63 5, 961. 55 ""724,76 300,00 " i , " 800." 66" Total. 371, 221. 74 371, 221. 74 Total . National Bank of New England, East Haddam. JULIUS ATWOOD, President. No. 1480. Loans and discounts Overdrafts U. S. bonds to secure circulation . . •U. S. bonds to secure deposits U. S. bonds on hand . Stocks, securities, judgments, etc . . Due from approved reserve agents Duo from other national banks Due from State banks and bankers. JJimk'g-house,furniture,and fixtures Other real estate and inortg'sowned Current expenses and taxes paid... V romiuras on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks J? factional currency, nickels, cents Hpecie Legal-tender notes U. S. certificates of deposit. Redemption fund Aith Treas. U. S Due from 'Treasurer U. S Total i THOS. GROSS, J R . , Cashier. $197,467.57 ! Capital stock paid in 218,26 I 41,000.00 I ' 200." 00* I Surplr s fund Undivided profits 9,743.00 I National-bank notes outstanding.. 18,418.38 State-bank notes outstanding 6,821.03 I Dividends unpaid 4,600. 00 $130, 000.00 33, 000. 00 4,721.43 36, 900, 00 1,172. 50 Individual deposits United States deposits Deposits of U.S. disbursing officers 76,704.41 Due to other national banks '"]"," 123." 65' Due to State banks and bankers .. 70. 37 9,157.45 Notes and bills re-discounted . 605. 00 Bills payable 15,214.62 723. 00 219.45 6, 344. 86 572. 59 1.845.(0 ' 298.435.ii6 ;j Total . 298,435.96 174 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT, National Iron Bank, Falls Village. ALMOX 0 . RANDALL, No.'1214. President. D W I G I I T E . JJEAN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits . 1 IJ. S. bonds on hand Stocks, securities, judgments, etc Duo from approved reserve agents Due from other national banks Duo from State banks and bankers. Bank'g-house,fiirnitiire,and fixtures OtherVeal estate and mortg'sowned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. *232, 902,76 Capital stock paid in , 487. 02 ! 50, 00J. 00 • Surplus fund i Undivided profits ! National-bank notes outstanding.. 59,102. 12 State-bank notes outstanding 2, 377. 27 2, 9.19. 33 Dividends u n p a i d . 1, 000.00 Individual deposits 1, 255, 88 United States deposits Deposits of U.S. disbursing officers. 507. 72 Due to other national banks 134,00 Due to State banks and bankers . . 50.91 I1 10,771.00 : Notes and bills re-discounted. 3,3;;o. oo j Bills payable $200, 000. 00 42, 000. 00 4, 017.13 43, 900. 00 357. 00 71,003.46 22,489.63 2,461.27 2, 250. 00 Total. 387, 188.51 i 387,188. 51 First National Bank, Hartford. J. II. KNIGHT, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Due from other national banks Duo from State banks and bankers Bauk'g-houso, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total No. 12 L Capital stock paid in. Surplus fund Undivided profits . C. D. RILEY, Cashier. $650, 000. 00 $1,434,171.18 1, 999. 83 50, 000. 00 ' 50,000.00 ! 130, ooo. ro 18, 784.01 93, 900. 00 National-bank notes outstanding.. 11(5,229.88 State-bank notes outstanding 12."), 902, 88 9, 289.06 Dividends unpaid 4,506.41 22, 000. 00 21,309.85 13, 988. 65 12,149.00 40.27 58, 770.00 3, 900. 00 45, 000.00 330.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 956, 907. G8 55, 000.00 Due to other national banks Due to State banks and bankers . 165,385.32 Notes and bills re-discounted. Bills payable 2, 250. 00 1, 00J. 00 Total . 2,021,407.01 2, 021,407. 01 2£tim National Bank, Hartford. A. R. HiLLTEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bauk'g-house, furniture, and fixtures Other real;estateand mortg's owned Current oxpenses and taxes paid. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national hanks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 756. $1,488,750.11 108,07 50, 00J.00 35, 500. 00 208, 348. 77 160,791.95 2, 542.14 A. G. LOOM is, Caahicr. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $525, 000. 00 I:JO, o^o. oo 68,900.84 45,000.00 Dividends u n p a i d . 2). 00 Individual deposits 1, 295, 735. 45 3.484. 81 |! United States deposits Deposits of U. S. disbursing officers. 12.00 6,267.37 2, 095. 00 34.44 85, 863. 45 33,107.00 Due to other national banks Due to State banks and bankers .. 14, 588.82 Notes and bills re-discounted. Bills payable 2, 250. 00 2, 079, 245.11 Total 2,079,245.11 KEPOliT OF THE COMPTROLLER OF THE CURRENCY. 175 CONNECTICUT, American National Bank, Hartford. ROWLAND SWIFT, President No. 1165. J. H. KING, Cashier. Liabilities. Resources. $2, 021, 293.05 Capital stock paid in Loans and discounts 728. 53 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... Undivided profits U. S. bonds to secure deposits U. S. bonds on hand 8.170. 75 National-bank notes outstanding.. Stocks, securities, judgments, etc . . 250, 139. 36 State-bank notes outstanding Due from approved reserve agents Due from other national banks . . . 41, 472. 29 Due from State banks and bankers. 747. 01 Bank 'g-house, furniture, and fixtures Other real estate and mortg's owned Individual deposits Current expenses and taxes paid. . . 3, 741.71 8, 500. 00 Deposits of U. S. disb urging officers. Premiums on U. S. bonds 53.14 Checks and other cash items 5,791.02 Due to other national banks Exchanges for clearing-house . . 9, 301. 00 Due to State banks and bankers Bills of other national banks 15.48 Fractional currency, nickels, cents 66, 975. 00 Notes and bills re-discounted Specie 29, 000. 00 Legal-tender notes U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. Total 2, 504,178. 34 $600, 000. 00 253, 000. 00 83,137. 57 45, 000. 00 512. 50 1, 452, 016. 37 70, 511.90 2,504,178.34 Charter Oak National Bank, Hartford. J. F. MOKRIS, President No. 486. $1, 239, 596.25 Loans and discounts 3, 200. 03 Overdrafts 50, 000. 00 TJ. S. bonds to secure circulation... 66, 000. 00 IT. S. bonds to secure deposits TJ. S. bonds on band 95, 000. 00 Stocks, securities, judgments, etc . . 112, 589. 20 Due from approved reserve agents 11, 307. 95 Due from other national banks . . . 4,491.47 Due from State banks and bankers 1, 850. 00 Bank'g-house, furniture, and fixtures Other real estate and mortg's owned 3,813.67 Current expenses and taxes j>aid... 7, 500. 00 Premiums on U. S. bonds 50.00 Checks and other cash items 6,128. 53 Exchanges for clearing-house 4, 690. 00 Bills of other national banks 388. 07 Fractional currency, nickels, cents. 61, 918, 20 Specie 10, 254. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S 2, 250.00 Due from Treasurer TJ. S Total. J . P . TAYLOR, Cashier. Capital stock paid in. $500, 000. 00 Surpl us fund Undivided profits National-bank notes outstanding.. Strjte-bank notes outstanding Dividends unpaid. 100, 000.00 64,310.00 45, 000. 00 150. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 893. 560. 35 68, 080. 67 3, 200. 30 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payablo 6,720.11 1, 681, 027.43 Total. 1, 681, 027.43 Farmers and Mechanics' National Bank, Hartford. JOHN G-. ROOT, President Loans and discounts Overdrafts U. S. bonds to secure circulation. . . U. S. bonds to secure deposits . U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks . . . Due from State banks and bankers Bank'g-house. furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total No. 1321. W. W. SMITH, Cashier. ., 475, 853. 74 Capital stock paid in. 1, 119.33 50. 000.00 Surplus fund Undivided profits. 23, 000, 00 National-bank notes outstanding.. 226, 927. 84 State-bank notes outstanding 310,685.44 9, 332. 63 Dividends unpaid. 20, 000, 00 523. 52 Individual deposits 4, 527. 53 United States deposits 11, 500. 00 Deposits of U.S. disbursing offict rs 1, 022. 33 66, 900. 56 Due to other national banks 10, 183. 00 Due to State banks and hankers .. 301.07 90, 000. 90 Notes and bills re-discounted . 170. 00 Bills payable $500, 000. 00 100, 000.00 45,117. 70 44, 050. 00 474.00 1,083,761.36 380, 787. 09 150, Iu7. 74 2, 250. 00 2,304,357.89 Total. 2, 301, 357. 89 17G REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. Hartford National Bank, Hartford. JAMES BOLTEK, President. No. 1338. W. S. BUIDOMAN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from other national bunks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate aud mortis owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Capital stock paid i n . $1, 200, 000. 00 Surplus fund Undivided profits. 600, 000. 00 125, 03(5. G2 11,932.71) National-bank notes o u t s t a n d i n g . , 3(59,751.54 I State-bank notes outstanding 354,721.94 j 52, 040. 30 i Dividends unpaid 40,000.00 | Individual deposits 6,"i67.'r>r>"i United States deposits 7,000.00 Deposits of U.S.disbursing officers. 8, 867. 17 j 25, 502. 68 j Due to other national b a n k s 22,625.00 Due to State banks and b a n k e r s . . . 108. 12 ! 217, 501. 55 i Notes and bills re-discounted Bills payable 41, 600.00 346. <»0 1, 970, 985. 23 243, 201. 77 140, 871. 91 2, 250.00 I Total 4,328,042.43 4,328,042.43 Mercantile National Bank, Hartford. JAMES B. POWELL, President. Loans and discounts O verdrafts U. S bonds to secure circulation . . TT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks . . . Due from State banks and banker? Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U S. Dae from Treasurer U. S Total No. 1300. $836, 312.05 195. 75 50, 000. 00 122, 233. 41 153, 959. 46 38,896.17 4, 068. 95 7, 000. 00 14,408.34 22, 509. 82 3, 565. 00 124. 92 33, 297. 85 9, 400.00 CIIAS. H. FIELD, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. $500, 000.00 42, 500. 00 12, 671.19 45, 000.00 152. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 599, 887. 09 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable , 56,870.21 41,141. 23 2, 250. 00 1,298,221.72 Total 1,298,221.72 National Exchange Bank, Hartford. JOHN R. REDFIELD, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national bauks Due fi'om State banks and bankers. Bank'g-house,furniture,and fixture* Other real estate and mortg's owned Current expenses and taxes paid... Premiums on 0. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas , U. S. Dne from Treasurer U. S Total No. 361. $1,172, 645. 53 423. 90 50, 000. 00 83,177- 89 15, 079.00 17, 866. 36 30, 000. 00 741.63 3, 552.19 WILLIAM S. WOOSTBK, Cashier, Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $500, 000.00 150, 000. 00 42, 678. 34 45, 000. 00 426.30 Individual deposits United States deposits , Deposits of U.S. disbursing officers. 626, 344. 55 Due to other national banks Due to State banks and bankers . 81, 314. 30 4U5.14 12,164.45 1,617.00 160.98 33, 590. 70 22, 959. 00 Notes and bills re-discounted. Bills payable 2, 250.00 1, 446, 228. 63 Total 1,440,228.63 REPORT OF THE COMPTROLLER OF THE CURRENCY. 177 CONNECTICUT. Phoenix National Bank, Hartford. HENRY A. REDFIELD, President. No. 670. E. M. BUNCE, Cashier. Resources. Liabilities. $2,106,268.07 Loans and discounts 772. 39 Overdrafts 50, 000. 00 U. S. bonds to secure circulation- .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . 150, 036. 81 Due from approved reserve agents. 102, 673.47 Due from other national banks 6, 870. 82 Dne from State banks and bankers Bank'g-house, furniture,and fixtures 183, 903.19 Otherleal estate and mortg's owned Current expenses and taxes paid... 8,132. 76 10, 875. 00 Premiums on U. S. bonds Checks and other cash items 25. 70 Exchanges for clearing-house 67, 517.55 16, 710. 00 Bills of other uational banks 150.97 Fractional currency, nickels, cents. 64,919. 85 Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S 2, 250. 00 Due from Treasurer U. S Capital stock paid in. 500, 000. 00 56, 229.46 National-bank notes outstanding. State-bank notes outstanding 45, 000. 00 Dividends unpaid 2, 042. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 046, 501. 55 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 110, 967.75 10, 365.82 2,771,106. 58 Total. $1, 000, 000. 00 Surplusfund Undivided profits. Total. 2, 771,106. 53 First National Bank, Litchfield. No. 709. H. W. BUEL, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation . . . U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer CJ. S Total. $352, 955.17 532. 91 50, 000. 00 8, 777. 57 24, 698. 79 5, 813. 89 149. 72 10, 000.00 GEO. E. JONES, Cashier. Capital stock paid in | $200,000.00 Surplus fund Undivided profits ! ' 40,000.00 18,075. 90 National-bank notes outstanding.. State-bank notes outstanding j Dividends unpaid Individual deposits 1,243.34 United States deposits 10, 000 00 Deposits of U. S. disbursing officers. 938. 80 Due to other national banks 8, 993.00 Due to State banks and bankers... 161.08 6, 472. 50 Notes and bills re-discounted 1, 400. 00 Bills payable : 44, 848. 50 175.00 154, 094. 73 23, 748.79 3, 443. 85 2, 250. 00 484,386.77 | Total 484, 386. 77 First National Bank, Meriden. C. L. ROCKWELL, Cashier. No. 250. $500, 000.00 Loans and discounts , $759, 710.56 Capital stock paid in. Overdrafts I 4,903.67 100, 000. 00 U. S. bonds to secure circulation . . . 50,000.00 Surplus fund 58,187. 94 U. S. bonds to secure deposits Undivided profits U. S. bonds on hand 45, 000.00 Stocks, securities, judgments, etc . . 2, 000.00 National-bank notes outstanding. Due from approved reserve agents. > 28,205.61 State-bank notes outstanding Due from other national banks ! 22, 577. 97 150. 00 Due from State banks and bankers Dividends unpaid Bankg-house, furniture, and fixtures 44,000. 00 183, 046.80 Individual deposits Other real estate and mortg's owned Current expenses and taxes paid... 3,033.99 United States deposits Deposits of U.S.disbursing officers. Premiums on U. S. bonds Checks and other cash items 2, 576.40 39,907. 69 Due to other national banks Exchanges for clearing-house 6, 826. 53 Bills of other nationaljbanks 8, 600.00 Due to State banks and bankers.. Fractional currency, nickels, cents. 92.11 10, 000. 00 Specie '. 2,168.65 Notes and bills re-discounted. Legal-tender notes 13,000. 00 Bills payable U. S. certificates of deposit. Redemption fund with Treas. U. S 2, 250. 00 Dne from Treasurer IT. S J O H N D. BILLARD, President. Total. IT. Ex. 3 - 943,118. 96 Total. 943,118. 96 178 REPORT OF THE COMPTROLLER OF THE CURRENCY. C O N N E C T I C U T . Home National Bank, Meriden. ABIUAM CHAMBERLAIN, President. J . S.NOKTOX, Jit., Cashier No. 720. Liabilities. Kesources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-bouse,fumituro,and fixtures Other real estate and inortg's owned Current expenses and taxes paid .. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $843, 702. 84 5, 358. 43 200. 000. 00 500, 000. 00 28, 000. (JO 25, 71ti. 42 44, 558. 77 27, 858.93 1, 000. 00 41, 730. 38 5, 000. 00 4, 732. 08 25, 339. 42 5,158. 98 9, 516. 00 635.06 23, 927. 00 17,434. 00 Surplus fund Undivided profits. 120, 000. 00 26,676.01 National-bank notes outstanding . State-bank notes outstanding 180, 000. 00 Dividends unpaid . 171.50 Individual deposits ! United States deposits ! Deposits of U.S. disbursing officers. 305, 590. 75 500, 000. 00 Due to other national banks Due to State banks and bankers .. 62, 289.27 23, 940.78 Notes and bills re-discounted. Bills payable 9,000.00 ! Total. 1,818,668.31 i Total. $600, 000. 00 Capital stock paid i n . 1, 818, 66S. 31 Meriden National Bank, Meriden. No. 1382. J O E L I. BUTLKB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from Stato banks and bankers B a n k g - house, furniture, andfi xtures O the r'real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash/items Exchanges for clearing-house B i l s of other national banks i Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. D a e from Treasurer U. S Total. $543, 613. 04 390. 87 50, 000. 00 O. B. AiiNOLD, Cashier. ' $300, 000. 0U Capital stock paid in. • Surplus fund I Undivided profits National-bank notes outstanding.. State-bank notes outstanding 115, 560. 30 20, 301.47 ""29," 882.31. 000. 00 553. 23 108.97 792. 00 272.97 969.00 000.00 i Dividends unpaid 80, 000. 00 43,158.18 45, 000. 00 4, 317.00' 2, 028. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 234, 938.33 Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 80, 520.16 1, 732. 49 2, 250. 00 791,694.16 Total. 791, 694.16 First National Bank, Middletown. J . N. CAMP, President. No. 397. EDW'D GT.CAMP, Cashier. Loans and discounts I $330, 978. 96 Capital stock paid in. Overdrafts 4,398.97 U. S. bonds to secure circulation... j 100, 000.00 Surplus fund U. S. bonds to secure deposits I Undivided profits. U. S. bonds on hand i— Stocks, securities, judgments, etc.. j 60, 700.00 National-bank notes outstanding.. Due from approved reserve a g e n t s ! 39, 526.05 State-bank notes outstanding Due from other national banks j 5, 777.03 Due from State banks and bankers Dividends unpaid. Bank>1-lu)use,furniture;aiHlfixturea! Other real estate and mortg's owned! 3, 912.25 Individual deposits Current expenses and taxes paid.. j 1, 961. 31 United States deposits Deposits of U. S. disbursing officers. Premiums on U. S. bonds ! Checks and other cash items j 2, 952.24 ExohaiiG.es for clearing-hou.se ' • Due to other national banks Bills of other national banks '• 3, 481. 00 Due to State banks and bankers .. Fractional currency, nickels, cents 1 30. 8t Specie .' • 9, 028. 05 Notes and bills re-discounted . Le^al-t ender notes ; 6, 209. 00 Bills payable U. 8. certificates of deposit : Kedemption fund with Treas. U. S. 4, 500. 00 Due from Treasurer U. S Total. 573, 455.67 Total. $200, 000. 00 40, 000. 00 15, 456.63 90, 000. 00 9.00 190, 890.15 35, 312. 75 1,787.14 573, 155.67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 179 CONNECTICUT. Central National Bank, Middletown. A. C. MAHKHAM, President. No. 1340. H. B. STAKB, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Dae from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned j Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $253, 0i4. 48 438. .94 80, 000. 00 Capital stock paid in. $150, 000. 00 1 Surplus fund I Undivided profits 4, 000. 00 I National-bank notes outstanding.. 9, 5(51. 94 State-bank notes outstanding 17, 0G7. 99 Dividends unpaid 23,'(J6o. 00 I Individual deposits "i*470."88 United States deposits : Deposits of U.S. disbursing officer 3. " 2," 490." 60 I Due to other national banks 1 1, 737. 00 j| Due to State banks and bankers .. 110.85 10, 027. 25 j Notes and bills re-discounted 1, 500. 00 ' Bills payable 60, 000. CO 6, 650. 83 72, 000.00 177. 00 84, 227. 58 8, 758.11 4, 301.41 21, 947. 00 3, GOO. 00 Total . 408, 061. 93 408, 061. 93 Middlesex County National Bank, Middletown. GEORGE \V. ttuim, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . r . S. bonds to secure deposits F. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. li;!iik"g-liou!se,fuTniture,and fixtures Other real estate and moil u s owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items . -. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Jiedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 845. $50] ,001,71 22.48 80, 000. 00 EDWIN F. SHELDON, Cashier. Capital stock paid in. $350, 000. 00 Surplus fund Undivided profits National-ban Ic notes outstanding. State-bank notes outstanding 3,00G. 90 67, 487.15 19,8-10.44 1, 950. 33 Dividends unpaid. 13,800.00 7, 331. 89 2,184.15 4, 500. 00 1, COS. 30 2,138. 00 124. 82 10, 239. 00 ' 2, 850. 00 66, 000. 00 9, 846. 28 72, 000.00 852. 00 Individual deposits United States deposits DepositsofU.S.disbursingotlicers Duo to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 128,014.34 79,268. 02 15, 707. 53 3, GOO. 00 Total . 721, 688.17 721, 688.17 Middletown National Bank, Middletown. MELVIX B. COPELAXD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks . . . . Due from State banks and bankers, j Ban k'g-house,furniture,aud fixtures' Other real estate and mortg'sowned! Current expenses and taxes paid. -. Pivmiums on U. S. bonds ("hecks and other cash item* j Exchanges for clearing-}!').!so \ Bills of other national banks : Fractional eunvncy, nickels, cents.; Specie ! : Legal-tender notes U. S. certificates of deposit • liedemption fund with Treas. U. S ! Dae from Treasurer U. S Total No. 121G. $581, 387. 85 528. 60 365, 000.00 WM. II. BUBKOWS, Cashier. Capital stock paid in. $369, 300. 00 Surplus fund Undivided profits . 147, 032. 83 National-bank notes outstanding. 71, 309.05 State-bank notes outstanding 33,195. 09 8, 382. 01 Dividends unpaid 10, 000. 00 Individual deposits 4, 526. 5'J ! United States deposits Deposits of U. S. disbursing otficer s. '5*733.44"| Due to other national banks 6,730.00 |i Due to State banks and bankers .. 250.79 i: 17,500.65 J Notes and bills re-discounted . I Bills payable. 150, 000. 00 37, 619.16 325, 900. 00 393. 00 321, 341. 27 46, 719. 27 18, 290. 67 10,425.00 ! 1,500.00 I 1,209,563.37 Total I 1,269, 563.37 180 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. First National Bank, Mystic Bridge. F . M. MANNING, President. No. 251. E. P. EANDALL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andnxture8 Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $43, 369. 31 7.91 40, 000. 00 18, 740.19 9,183.98 2, 911.98 Surplus fund Undivided profits. 15, 000. 00 9, 522.77 National-bank notes outstanding.. State-bank notes outstanding 36, 000. 00 Dividends unpaid "3,000.06 88, 532.33 911.89 11, 925.00 142.G7 Individual deposits United States deposits Deposits of U.S. disbursing oflicers. 15,143.12 Due to other national banks Due to State banks and bankers.. 4,752.75 1,367.00 42.16 4,811.72 3, 673. 00 Notes and bills re-discounted. Bills payable 1,800.00 230, 418. G4 I Total. $150,000.00 Capital stock paid in. Total . 230, 418. 64 Mystic River National Bank, Mystic River. F . M. MANNING, President. Xo. 645. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. s. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $152, 786.74 4,850.13 25,000. 00 j $100, 000. C O Surplus fund Undivided profits : 20, 000. 00 37, 947. 78 30, 000. 00 55, 009, 55 1, 871. 36 National-bank notes outstanding . I State-bank notes outstanding-. 22, 500. 00 72, 296.21 1, 368.75 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted.. Bills payable 9, 230.45 31, 646.62 8,'657." 32 1, 067. 00 46.21 11, 398.50 640.00 Dividends unpaid 199.50 1,125. 00 Total. 293,820.56 Total. H. B. No YES, Cashier. Capital stock paid in 293,820.56 Naugatuck National Bank, Naugatuck. GEOKGE A. LEWIS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits Stocks, securities, judgments, etc. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixture? Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-bouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total No. 3020. $249, 521.56 A. H. DAYTON, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. 58, 503.01 State-bank notes outstanding 29, 930. 57 14,605.16 Dividends unpaid 25,000.00 50,000. 00 1,251.46 6, 000.00 232.n5 958.00 303. 67 6 474 62 8, 450. 00 Individual deposits....... United States deposits Deposits of U.S.disbursing oflicers . Due to other national banks Due to State banks and bankers .. $100, 000.00 21, 000.00 4,141.83 22, 500.00 888.00 160,220.05 55, 000. 00 85, 501. 63 3, 104.29 Notes and bills re-discounted Bills payable 1,125.00 452, 355.80 Total 452, 355. 80 REPORT OF THE COMPTROLLER OF THE CURRENCY. 181 CONNE C T I C U T , Mechanics' National Bank, New Britain. V. B. C AMBBRLAIX, President. No. 3668. W. E. ATWOOD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... 17. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, farniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie. Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $287, 041. 83 483. 02 25, 000. 00 380. 00 332. 43 2, 747. 34 3, 400. 80 5, 403. 75 1,422.58 900.00 1,034.78 1, 350. 00 339. 34 8, 971. 65 1, 000.00 Capital stock paid in. 15, 668. 54 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers 191, 860. 51 Due to other national banks Due to State banks and bankers.. 10, 853. 02 53.30 Notes and bills re-discounted. Bills payable 1,124.85 Total. 340, 940. 37 Total. $100, 000.00 Surplusfund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding-. 340, 940. 37 New Britain National Bank, New Britain. A. P. COLLINS, President. No. 3184. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . . Dae trom approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate aud mortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total $846, 761.19 4, 586.90 75,000.00 6,841.90 24, 729. 72 28, 046. 86 A. J. SLOPEK, Cashier. Capital stock paid in. $310, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding-. State-bank notes outstanding Dividends unpaid 155, 000. 00 53, 702.16 66, 200. 00 656. 00 20, 000. 00 2, 816. 24 1.158.98 3, 007. 00 39.01 36, 449. 50 11, 682. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 429, 901. 88 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 37,048.73 11, 9G5. 53 3, 375. 00 1,064,474.30 Total. 1,064,474.30 First National Bank, New Canaan. RUSSELL L. HALL, President. Loans and disoounts O verdrafts U. S. bonds to secure circulation -.. U.S. bonds to secure deposits U. S. bonds on hand StocKs, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Excnanges for cJ earing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Rede rap cion fund with Treas. U. S . Due from Treasurer U. S Total. No. 1249. $94, 850. 72 1, 990.06 92, 000.00 25, 772. 08 838. 30 1, 050. 23 5, 500.00 16,667.41 1, 210.36 18, 400. 00 10, 258.54 240. 00 1, 828. C4 2, 002.00 S. Y. ST. JOHN, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits 13, 000. 00 3, 682. 55 National-bank notes outstanding. State-bank notes outstanding 81, 66). 00 Dividends unpaid 403. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 55,131. 29 Due to other national banks Due to State banks and bankers .. 22, 568.43 302.07 Notes and bills re-discounted. Bills payable 4,140.00 276,754.34 Total. 276,754.34 182 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. Fir at National Bank, New Haven. PIERCE N. WELCH, President No. 2682. W M . MOULTHEOP, Cashier. Resources. Liabilities. $932, 502. 87 Capital stock paid in. Loans and discounts 9, 975. 79 Overdrafts 400,000.00 IT. S. bonds to secure circulation.. Surplus fund U. S. bonds to secure deposits Undivided profits ... TJ. S. bonds on hand Stocks, securities, judgments, etc National-bank notes outstanding.. 116, 525.41 Due from approved reserve agents State-bank notes outstanding . . . . 127, 686. 36 Due from other national banks 137. 52 Due from State banks and bankers Dividends unpaid Bank'g-house, furniture, andfixtures Other real estate and mortg's ovyned Individual deposits Current expenses and taxes paid... 7, 237. 71 United States deposits Premiums on U. S. bonds Deposits of U.S. disbursing officers . 1, 283.36 Checks and other cash items 9, 663. 64 Due to other national banks Exchanges for clearing-house 11,083.00 i Due to State banks and bankers .. Bills of other national banks 50.31 : Fractional currency, nickels, cents. 38, 511. 50 ! Notes and bills re-discounted . Specie 36,400.00 | Bills payable Legal-tender notes U. S. certificates of deposit 18,000. 00 Redemption fund with Treas. IT. S Due from Treasurer XT. S Total 1, 709, 057. 47 J Total. $500, 000.00 120, 000. 00 60, 383. 76 353, 700. 00 660, 316. 09 12, 790.91 1, 860. 71 1,709, 057.47 Second National Bank, New Haven. ARTHUR D. OSBORNE, President. No. 227. Loans and discounts $1,382.501.29 Overdrafts 50, 000. 00 XT. S. bonds to secure circulation... 95, 000.00 U. S. bonds to secure deposits TJ. S. bonds on hand 410, 894. 50 Stocks, securities, judgments, etc . . 206,824.11 Due from approved reserve agents. 264,166.12 Due from other national banks 12, 757. 52 Due from State banks and bankers 68, 531.12 Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... 7, 008. 20 Premiums on U. S. bonds 4, 339. 90 Checks and other cash items 67, 475. 90 Exchanges for clearing-house 22, 570.00 Bills of other national banks 354. 25 Fractional currency, nickels, cents. 82, 756. 75 Specie 25, 000.00 Legal-tender notes XT. 3 . certificates of deposit Redemption fund with Treas. TJ. S 2, 250.00 Due from Treasurer TT, S Total CHAS. A. SHELDON, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 2,702,429.66 Total $1,000, 000.00 370, 000. 00 88, 290.97 45, 000. 00 520. 00 958, 957. 99 99, 016. 29 111. 79 81, 935. 05 58, 597. 57 2,702,429.66 Merchants' National Bank, New Haven. C. S. MERSICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Duo from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds ^ Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.ls. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. D. A. ALDEN, Cashier. No. 1128. $733, 924.86 79.00 50, 000. 00 86, 673.56 79, 513.80 100,160. 94 10, 787.58 25, 000. 00 4, 406. 74 2. 626.25 1,142. 85 9, 473.51 22,960. 00 210. 00 23, 669. 25 13, 365.00 Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $500, 000. 00 45, 000.00 44, 313. S3 45, 000. 00 1,660.75 437, 065.90 93, 202. 8Q 2, 250.00 1,166, 243. 34 Total. 1,166,243.34 REPORT OF THE COMPTROLLER OF THE CURRENCY. 183 C O N i\ E C T I C U T . National New Haven Bank, New Haven. WILBUB F. DAY, President. Resources. Loans and discounts Overdrafts L\ S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, .judgments, etc .. Due from approved reserve agents Dne from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U". S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks .Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S-1 Due from Treasurer U. S Total. No. 1243. ROBERT I. COUCH, Cashier. Liabilities. $726, 930.40 I Capital stock paid in 605. 1 5 ( 150, 000.00 j! Surplus fund Undivided profits .-..| 260,703.88 National-bank notes outstanding. 115,624.88 State-bank notes outstanding 28, 697. 97 6,140. 00 Dividends unpaid. 32, 000. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers 1,583.11 7, 805. 00 3, 481.92 13, 029. 00 Due to other national banks 9, 767. 00 138. 00 Due to State banks and bankers .. 36, 093. 99 j Notes and bills re-discounted. 4, 000. 00 j Bills payable #464, 800. 00 203, 000.00 21, 588. 04 135, 000.00 1,941.00 517, 473.60 47, 093. 88 12, 513. 79 6,750.00 ! 1,403, 410. 31 1, 403, 410. 31 Total.. National Tradesmen's Bank, New Haven. GEORGE A. BUTLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1202. 91, 906. 25 100, 148. 61 141,759.56 19,180. 66 50, 000. 00 3, 223. 44 3, 902. 04 10, 000. 00 16,310.40 43,613.51 7, 409. 00 218.00 35,840.00 3,0CO.0O $300, 000.00 120, 000.00 24, 943.34 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 44, 980. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 445, 914. 94 Due to other national banks Due to State banks ajnd bankers .. Notes and bills re-discounted . Bills payable 204, 552. 89 76, 866. 23 74.00 2, 250. 00 Total. 1, 217, 331.40 New W. T. FIELDS, Cashier. $636, 802.76 j | Capital stock paid in. 1, 767.17 I 50, 000.00 Surplus fund Undivided profits 1,217,331.40 Haven County National Bank, N e w Haven. JAMES G. ENGLISH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other iiational banks Due from State banks and bankers. Bank'g house, furniture, and fixtures Other real estate and niong's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1245. $507, 598. 38 19.98 300, 000. 00 8, 700. 00 57, 349. 62 49, 050. 60 16, 500.00 28, 031. 84 3, 475. 75 11, 542. 52 6,480. 00 75.00 8, 282.14 12, 553. 00 L. S. HOTCHKISS, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States disbursing officers Deposits of U.S.deposits Due to other national banks Due to State banks and bankers... $350, 000.00 90, 000. 00 24, 988. 72 270, 000.00 697 50 287, 606. 68 3, 190.90 175.03 Notes and bills re-discounted Bills payable 13, 500. 00 3, 500. 00 1,026,658.83 Total 1,026 658783 184 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. Yale National Bank, N e w Haven. No. 796. S. E. MEEWIN, President J . A. RICHARDSON, Cashier. Liabilities. Resources. Loans and discounts I $1, 217, 293. 39 434. 78 Overdrafts 80, 000. 00 TJ. S. bonds to secure circulation... i 120, 000.00 T7. S. bonds to secure deposits U. S. bonds on hand 329, 748. 57 Stocks, securities, judgments, etc. 354, 787. 45 Due from approved reserve agents 247,904.50 Due from other national banks . . . 24, 946. 93 Due from State banks and bankers 125, 000. 00 Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... 28,207.51 Premiums on TJ. S. bonds 19, 959. 74 Checks and other cash items 80, 317. 50 Exchanges for clearing-house 21, 464. 00 Bills of other national banks 1,683.44 Fractional currency, nickels, cents. 45, 803.25 Specie 12, 000. 00 Legal-tender notes U. o. certificates of deposit 3,600.00 Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Capital stock paid in. Surplus fund Undivided profits.. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing ofiicers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 2,713,151.06 $750,000.00 150, 000. 00 3, 217. 75 72, 000. 00 15, 503. 00 1, 295, 470.70 132, 000.00 227, 329.26 67, 630.35 2, 713,151. 06- Total. National Bank of Commerce, N e w London. CHA-RLES BARNS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estateand mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes X . o. certificates of deposit T Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 666. $568,397.35 353. 73 50, 000. 00 100,000.00 157, 923.79 63, 043.69 43, 051. 36 3,040. 32 12, 280.00 4, 640. 64 2, 040. 75 26, 000. 00 7, 952.10 4, 036. 00 222. 36 25, 542. 60 31,074.00 CHAS. W . BARNS, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing ofiicers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $300, GOO. 00 60, 000. 00 22,400. 76 45, 000.00 114.50 558, 244. 32 106,009.28 1, 914. 76 8,165.07 2, 2;>0. 00 Total. 1,101,848.69 1,101, 848. 69 National Whaling Bank, New London. S. D. LAWRENCE, President. Loans and discounts Overdrafts to secure circulation... -. U. S. bonds U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,fumiture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total N o . 978. $41,940.27 40, 000. 00 208, 087.73 74,199.47 1, 932. 61 4,"6o6.'6o' 201. 02 3, 901.99 3, 215. 00 10.39 6, 369.00 3, 800. 00 B. A. COPP, Cashier. Capital stock paid in $150, 000. 00 Surplus fund Undivided profits 40, 000.00 66, 654.39 National-bank notes outstanding.. State-bank notes outstanding 3G, 000. 00 Dividends unpaid 515. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 69, 732. 37 Due to other national banks Due to State banks and bankers . . 26,555.72 Notes and bills re-discounted Bills payable %.. 1, 800.00 389,457.48 Total 389, 457.48 REPORT OF THE COMPTROLLER OF THE CURRENCY. 185 CONNECTICUT. New London City National Bank, New London. JONATHAN N . HARRIS, President. No. 1037. W. H. ROWE, Cashier. Resources. Loans a n d discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. j Due from approved reserve agents. Due from other national banks Due from State banks and bankers ! Bank'g-house,furmture,andfixtuivsj Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer XJ. S ! Total. Liabilities. $264, 808.61 51.16 25, 000.00 82, 982. 2> f 42, 289.22 9, 640. 88 Capital stock paid in $100,000. 00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 20, 000. 00 17, 834. 94 22, 500. 00 Dividends unpaid. 14.00 6, 624.00 Individual deposits 1,146. 75 United States deposits 1, 750. 00 Deposits of U. S. disbursing officers. 13, 919.46 Due to other national banks 3, 592.00 Due to State banks and bankers .. 100. 00 7,381. 63 Notes and bills re-discounted . 9,000.00 Bills payable 281, 281.86 17, 072. 85 10, 710.31 1,125.00 Total. 469,413. 96 469, 413. 96 First National Bank, N e w Milford. ANDREW B. MYGATT, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank 'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. X . S. T Due from Treasurer U. S Total. H. S. MYGATT, Cashier. No. 1193. $261, 213. 64 1,158. 60 50,000.00 41, 034.20 15,041.24 739. 33 7, 000.00 1, 301. 68 7, 000. 00 8, 444.74 1,500.00 55.06 7,170. 00 9,197.00 Capital stock paid in. $125,000.00 Surplus fund Undivided profits. 25, 000. 00 33, 004.35 National-bank notes outstanding. State-bank notes outstanding 45, 000.00 Dividends unpaid 48. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers 142, 689.45 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 42, 363.60 2, 250. 00 Total. 413,105.49 413,105.49 Central National Bank, Nor walk. GEORGE M. HOLMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Duo from other national banks Duo from State banks and bankers. Bank'g-liousoJlurniture.an<lnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2342. $310, 314.18 508.11 25, 000. 00 WM. A. CURTIS, Cashier. Capital stock paid in Surplus fund Undivided profits. 500. 00 13, 304. 33 26, 643.78 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 2, 000. 00 7, 892. 04 1, 631.02 j $100, 000. 00 13, 600. 00 23, 090. 09 22, 500. 00 140. 00 Individual deposits United States deposits Deposits of U.S. disbursing oflicers. 168, 935. 71 Due to other national banks Due to State banks and bankers . . 54,439.41 20,000. 00 2, 789.11 125. 00 25.26 14,295.30 6, 300.00 Notes and bills re-discounted Bills payable 9, 747. 92 1,125. 00 4X2,453.13 Total. 412, 453. i a 186 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. Fairfield County National Bank, Norwalk. F. ST. JOHN LOCKWOOD, President. No. 754. L. C. GREEN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on band Stocks, securities, judgments, e t c . . Due from approved reserve agents Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture,nndJixtuies Other real estate and niortg's o^yned Current expenses and taxes paid . Premiums on IT. S. bonds ( Checks and other cash items Exchanges for clearing-house 1 Bills of other national banks Fractional currency, nickels, <cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. J Due from Treasurer IT. S j Total. $234,591.91 155.49 50, 000. C O 54, 805. 00 19, 748.38 17, 960. 23 Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 17, 000. 00 13, 000. 00 1, 457. 8G 14,000.00 506. 53 1, 890. 00 5, 822. 50 6, 950. 00 874.05 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable Total . 440,143. !'O 4, 851. 72 43, 000. 00 157, 557.17 27, 857. 54 6, 003.42 440,143. 90 National Bank, Norwalk. No. 942. EBEKEZRU HILL, President Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits . . . U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due" from State banks and bankers Bank'g-house, furniture,and fixtures Other real e'state andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S $240, 000.00 Undivided profits 26, 000. 00 41, 278. 97 33, 030. 77 i 33, 029. 83 10, 905. 59 National-bank notes outstanding.. State-bank notes outstanding 43, 560. 00 Dividends unpaid 42.00 16, 321. i>7 1, 526. 52 12, 500.00 3, 453. 43 785.00 16.72 6,524.49 4,343.00 Individual deposits United States deposits Deposits of U. S. disbursing officers - 225, 798. 50 Due to other national banks Due to State banks and bankers... 35, 522. 70 12,691.29 Notes and bills re-discounted Bills payable 2, 250.00 Total 601, 609.91 Total. H. P. PRICE, Cashier. $402,521. 16 Capital stock paid in 1, 057. 88 : 50,000.00 i Surplus fund 601,009.91 First National Bank, Norwich. Lucius W. CARROLL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j u d g m e n t s , e t c . . Due from approved reserve agents. Due from other national banks Due from, State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned j Current expenses and taxes paid. Premiums on U, S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total No. 458. $752, 23.'). 04 1, 446. 66 50, 000. 00 21,159.20 24, 093. 32 5,163. 79 399. 52 6, 850. 00 LEWIS A. HYDE, Cashier. Capital stock paid in $500, 000. 00 Surplus fund Undivided profits 37, 000. 00 22, 628. 48 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits " 4," 297." 74" United States deposits 14, 000. 00 Deposits of U. S. disbursing officers. 221.00 254, 7G9.13 8, 813. 55 5,361.00 27.96 22, 390.00 2, 750. 00 Due to other national banks Due to State banks and bankers... 10, 964. 21 624.96 Notes and bills re-discounted Bills payable 50, 000. 00 2,250. 66" 921,237.78 Total 921, 237. 78 REPORT OF THE COMPTROLLER OF THE CURRENCY. 187 CONNECTICUT. Second National Bank, Norwich. No. 224. E. R. THOMPSON, President. I. L. PECK, Cashier. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $492, 857. 45 3,156. 23 50, 000. 00 Capital stock paid in. " 15," 666." 66 Individual deposits 3, 753. 32 United States deposits 2, 500. 00 Depositsof U.S. disbursing officers 4, 870. 54 Due to other national banks 8, 447.00 Due to State banks and bankers . 518. 59 26, 375. 00 Notes and bills re-discounted. 5, 600. 00 Bills payable 60, 000.00 12, 820. 38 44, 800. 00 245.00 217,200.04 18, 668. 33 2, 448. 9S 2, 250.00 656,182. 73 Total. $300, 000. 00 Surplus fund Undivided profits. 2,500.00 National-bank notes outstanding.. 28, 678. Sh State-bank notes outstanding 9, 676. 27 Dividends unpaid 656,182. 73 Total. Merchants7 National Bank, Norwich. J . HUNT SMITH, President No. 1481. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer TJ. S Total. $218, 310. 69 796. 95 100,000.00 50.00 19, 076. 38 5, 000. 00 302. 54 8, 000. 00 178. 60 2,346.00 79.53 7, 598.15 600. 00 CHARLES H. PHELPS, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $100, 000. 00 13, 000. 00 21, 399. 38 88, 800. 00 618. 00 138, 906.52 4,114. 94 4, 500. 00 366, 838. 84 Total. 366, 838. 84 Thames National Bank, Norwich. FRANKLIN NICHOLS, President. No. 657. S. B. MEECH, Cashier. Loans and discounts $1,647, 516. 31 Capital stock paid in. Overdrafts 10, 884.19 U. S. bonds to secure circulation... 1, 000, 000. 00 Surplus fund » » U. S. bonds to secure deposits 1,107.000. 00 Undivided profits U. S. bonds on hand 112, 000.00 National-bank notes outstanding.. Stocks, securities, judgments, etc .. 138, 251. 56 State-bank notes outstanding Due from approved reserve agents 41, 284. 92 Due from other national banks 8, 868. 51 Dividends unpaid. Due from State banks and bankers 20, 000. 00 Bank: g-house, furniture, and fixtures Other real estate and mortg's owned Individual deposits 1,751.19 United States deposits Current expenses and taxes paid... 109, 960. 87 Deposits of U. S. disbursing officers. Premiums on U. S. bonds Checks and other casb> items 17, 610.18 Due to other national banks Exchanges for clearing-house 49, 512. 00 Due to State banks and bankers .. Bills of other national banks 801. 68 Fractional currency, nickels, cents. 128, 078.60 Notes and bills re-discounted. Specie 67, 000.00 Bills payable Legal-tender notes U. S. certificates of deposit 45, 000. 00 Redemption funa with Treas. U. S . 25, 200.00 Due from Treasurer U. S Total 4,530,720.01 Total. $1, 000, 000. 00 350, 000. 00 87,491. 54 899, 997. 00 5,936. 00 933, 920. 23 1, 099, 414. 47 8, 946. 55 135, 271. 72 9, 742. 50 4, 530, 720. 01 188 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT, Uncas National Bank, Norwich. No. 1187. EDWIN S. ELY, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate andraortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $191, 274. 02 66.34 50, 000. 00 2, 000. 00 84, 083.13 28,714.16 3, 348. 70 "5,666.66 "*2, 6ii. 82 8, 692. 50 555. 85 Capital stock paid in . $200, 000. 00 Surplus fund Undivided profits 40, 000. 00 6, 316. 8S National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 Dividends unpaid 73.50 Individual deposits United States deposits Deposits of U.S. disbursing officers. 90, 183. 48 Due to other national banks "4," 116.00 Due to State banks and b a n k e r s . . . 180. 26 5, 600. 00 \ Notes and bills re-discounted 850. 00 '• Bills payable 2, 956. 4, 242. 7621 388, 772. 78- 2,250.00 I 388,772.78 Total . C. M. TRACT, Cashier. Liabilities. Total Pawcatuck National Bank, Fawcatuck. PELEG CLARKE, JR., President. No. 919. Capital stock paid in . Loans and discounts $113,568.64 Overdrafts U. S. bonds to secure circulation... """25," 666* 66" U. S. bonds to secure deposits U. S. bonds on hand 6,100. 00 Stocks, securities, judgments, etc.. Due from approved reserve agents. 23, 826.64 Due from other national banks 185. 73 Due from State banks and bankers. Bank'g-house,furniture,andnxtures 6, 000. 00 Other real estate and mortg's owned Current expenses and taxes paid... 1, 069.13 Premiums on U. S. bonds 700.00 Checks and other cash items 1, 654.10 Exchanges for clearing-house Bills of other national banks 1,195.00 Fractional currency, nickels, cents. Specie 4, 570.40 Legal-tender notes 1,495. CO U. S. certificates of deposit Redemption fund with Treas. U. S. 1,125. 00 Due from Treasurer U. S 186, 489.64 Total. J. A. BROWN, Cashier. $100, ooc. 00 Surplus fund Undivided profits. 20, 000. 00 2, 402. 91 National-bank notes outstanding.. State-bank notes outstanding 22, 040. 00 Dividends unpaid.. 309.00 Individual deposits United States deposits Deposits of U. S. disbursin g officers. 39,217.48 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 2, 520.25 Total . 186, 489. 64 First National Bank, Portland. HENRY GTILDERSLEEVE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . Jxo. H. SAGE, Cashier. No. 1013. $211,732.59 18. 22 100,000.00 22, 700. 00 26, 549. 24 2, 287. 08 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits 1,120. 79 United States deposits 7,000. 00 Deposits of U. S. disbursing oflicers. 9, 000.00 596.88 1, 486.00 525. 86 480. 80 1, 500.00 Due to other national banks , Due to State banks and bankers. Notes and bills re-discounted. Bills payable $150, 000.00 30, 000. 00 14, 440. 93 89, 250.00 69.00 104, 728. 5& 1, 008. 95 4, 500. 00 389, 497.46 Total. 389, 497. 4ft REPORT OF THE COMPTROLLER OF THE CURRENCY. 189 CONNECTICUT. First National Bank, Putnam. JAMES TV. MANNING, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bankg-ho use, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 448. JOHN A. CARPENTER, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits . 191,100. 00 National-bank notes outstanding. 1 65, 235. 02 State-bank notes outstanding $144, 944. 64 3.71 50, 000. 00 10, 000.00 917.43 Dividends unpaid Individual deposits $150, 000. 00 60, 000. 00 14, 820. 50 45, 000. 00 325. 00 192,188. 52 United States deposits Deposits of U. S. disbursing officers. 3, 094. 98 Due to other national banks 3, 524.00 Due to State banks and bankers . . ! 469. 86 7,150. 00 Notes and bills re-discounted. 10, 000 00 Bills payable 25, 962. 7-5 392. 87 2, 250. 00 Total . 488, 689. 64 5, 689. 64 First National Bank, Rockville. GEORGE TALCOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 186. ;364, 747. 23 927.41 80, 000.00 JOHN H. KITE, Cashier. Capital stock paid in $200, 000. 00 Surplus fund Undivided profits 36, 920. 75 2,130.16 72. 78 6, 000. 00 ""I,*2i4."3T "1,545.34 15.00 56.32 6, 005. 45 10, 338. 00 40, 000, 00 16, 189. 47 National-bank notes outstanding.. 72, 000. Oti State-bank notes outstanding Dividends unpaid Individual deposits Uni ted States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State bauks and bankers .. Notes and bills re-discounted. Bills payable 65. 00 173, 793. 90 11, 399. 93 124. 45 3, 600. 00 Total. 513, 572. 75 513, 572.75 Rockville National Bank, Rockville. GEORGE MAXWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid. -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 509. $532, 863.88 577. 94 50, 000. 00 E. C. CHAPMAN, Cashier. Capital stock paid in. Surplus fund Undivided profits . 37, 598. 83 National-bank notes outstanding.. State-bank notes outstanding 1,118.66 Dividends unpaid. 13, 335. 77 ! 1, 536. 72 12, 500.00 554. 26 4, 059. 00 96.30 , 14, 338. 65 ! 9,745.00 ! $300, 000.00 60, 000. 00 2, 648. 71 45,000.00 303. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 230, 402. 79 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 23, 670. 78 18, 549. 23 2, 250. 00 !0, 574. 51 Total . 10,574.51 190 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNE C T I C U T . Southington National Bank, Southington. R. A. SEAL, President No. 2814. L. K. CURTIS, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and niortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ". „ Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. .$230, 273. 8L Capital stock paid in. , Undivided profits . National-bank notes outstanding.. State-bank notes outstanding " ""50," 666." 66' Surplus fund 28,608, 22 1, 260. 03 Dividends unpaid. Individual deposits 1, 232. 72 United States'deposits 2, 750. 00 Deposits of U. S. disbursing officers. 226. 60 Due to other national banks 481.00 54.83 Due to State banks and bankers .. 6, 360. 00 Notes and bills re-discounted . Bills payable $150, 000. 00 10, 850. 00 10, 525. 93 45, 000. 00 27.00 17, 000. 00 104,212.96 18, 373.40 1, 508. 52 2, 250. 00 340,497. 81 Total . 340, 497.81 First National Bank, South Norwalk. DUDLEY P. ELY, President. Loans and discounts Overdrafts U. S. bonds to secure . circulation... U. S. bonds to secure deposits U S bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks .... Due from State banks and bunkers. Bank'g-ho use, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchan u,es for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 502. CHARLES E. FERRIS, Cashier. Capital stock paid in $100, 000. 00 $181,789.43 Surplus fund Undivided profits 50,000. 00 20, 000. 00 6,763.18 930,00 I National-bank notes outstanding.. 22, 798. 8L State-bank notes outstanding 12,445,39 ; Dividends unpaid > 45, 000. 00 48. 00 20, GOO. 00 Individual deposits United States*deposits Deposits of U.S. disbursing officers. 92, 847. 79 i Due to other national banks Due to State banks and bankers . . 39, 821. 76 222. 97 i,~207.'6i" 956. 79 : 561.00 37. 27 2, 825. 00 8,900.00 Notes and bills re-discounted Bills payable 2, 250. 00 Total 304, 703. 70 304, 703. 70 City National Bank, South Norwalk. ROBERT H. ROWAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S, bonds on hand Stocks, seemities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, fumiture,andnxtuies Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit . Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2643. $218, 583.19 213. 93 25, 000. 00 138, 806. 53 4,012.60 9, 238.14 JACOB M. LATTOX, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits 12, 500. 00 12, 596.18 National-bank notes outstanding. State-bank notes outstanding 22, 500. 00 Dividends unpaid *""1" 750." 66' 3, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 256, 637.19 Due to other national banks 550. 00 Due to State banks and bankers . . 66. 92 5, 7f6. 00 Notes and bills re-discounted. 5, 770. 00 I Bills payable 6, 546. 77 275. 01 " "i~ 602*82 * 1, 125. 00 413, 780.14 , Total 1 413,7^0.14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 191 CONNECTICUT. Southport National Bank, Southport. E. C. SHERWOOD, President. No. 660. 0. T. SHERWOOD, Cashier. Liabilities. Resources. Capital stock paid in $29,715. 50 Loans and discounts - - -! 892. 33 Overdrafts i 100,000. 00 U. S. bonds to secure circulation. - -' U. S. bonds to secure deposits ! U. S. bonds on hand 179,750.00 Stocks, securities, judgments, etc ..' 26, 586. l'i Due from approved reserve agents.'; 11,200. 56 Due from other national banks . . . ; Due from State banks and bankers i Bank'g-ln >use. furniture, and fixtures' 6, 000. 00 Other real estate and raortg's owned Current expenses and taxes paid... i 925. 00 Premiums on U. S. bonds Checks and other cash items | 13,221. 97 Exchanges for clearing-house I 3,100. 00 Bills of other national banks 70.39 Fractional currency, nickels, cents . 1, 600. 00 Specie 5, 421. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Troas. TJ. S. 4, 500. 00 Due from Treasurer TJ. S Total $100, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding. . State-bank notes outstanding Dividends unpaid 40, 000. 00 9, 611. 94 87, 600. 00 84.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 106, 749. 96 Due to other national banks Due to State banks and bankers .. 14, 788. 50 24,118.4c Notes and bills re-discounted . Bills payable Total. 382,982.88 382,982.88 First National Bank, Stafford Springs. CHARLES L. DEAN, President. No. 3914. Loans and discounts , Overdrafts ; U. S. bonds to secure circulation ..! IT. S. bonds to secure deposits ', U. S. boinlsou hand j Stocks, securities, judgments, etc .-• Due from approved reserve agents j Due from other national banks | Due from State banks and bankers. Bank'g-1 louse, furniture, and fixtures Other real estate andinortg'sownedj Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit [Redemption fund with Treas. U. S Due from Treasurer U. S j j National-bank notes outstanding .. State-bank notes outstanding ' Dividends unpaid $50, 000. 00 4, 000. 00 2, 228. 63 11, 240. 00 15, 540.73 1 527.54 i 15, ooo'oo" • Individual deposits He." 54 j United States deposits Deposits of U. S. disbursing officers. 88, 053. 31 3, 300. 00 ! ! 166.07 ' "7, 715. 66 308. 70 5, 349, 50 3, 300. 00 .! I Duo to other national banks I! Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 21, 892. 78 2, 931. 07 562. 00 Total. 180, 345.79 Total. WM.M. CORBIN, Cashier. $115,136. 92 j Capital stock paid in. 122.79 12, 500. 00 Surplus fund Undivided profits 180, 345. 7& First National Bank, Stamford. CIIABLES W. BROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bondson hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Buiik'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie " Legal-tender notes TVS. certificates of deposit redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. R. TURKINGTOX, Cashier. No. 4. $358,516.60 • Capital stock paid in. $200, 000. 00 260.45 ! 200,000.00 ! Surplus fund 100, 000. 00 53, 984. 45 Undivided profits . 10, 000. 00 182, 000. 00 National-bank notes outstanding. 176, 750. 00 67, 327. 21 State-bank notes outstanding 14, 815. 31 2,918. 36 Dividends unpaid 654. 00 3.9, 000. 00 ; Individual deposits 387, 367. rA j United States deposits I Deposits of U.S. disbursingotlicers. 19,303.-19 j 2,155.00 185. 60 35,217.00 9,823.00 i ! ! I Due to other national banks Due to State banks and bankors .. Notes and bills re-discounted Bills payable .. 30, 760. 57 6.560 96 9, 000,00 ^,956, 083. 52 Total. 95(5, 083. 52 192 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. Stamford National Bank, Stamford. CHARLES A.HAWLEY, President Xo. 1038. JOHN B. REED, J R . , Cashier Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Ouri eat expenses and taxes paid... Pren iams on TJ. S. bonds Cheeks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S $519, 968.00 235.16 110, 000. 00 58, 875. 00 96, 374. 52 31.20 10,220. 50 2, 984 47 26,236.41 734. 94 Capital stock paid in. 100, 000. 00 15, 923. 49 Xational-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 99, 000.00 2, 683. 44 Individual deposits United States deposits Deposits of U.S. disbursing officers. 416, 884. 40 21,406. 83 1, 800. 148. 17,101. 21, 725. 00 95 35 00 Due to other national banks Due to State banks and bankers . . 54, 731. 81 1, 60:-l. 13 Notes and bills re-discounted. Bills payable 4, 950.00 Total. 892, 852. 33 Total. $202, 020.00 Surplus fund Undivided profits •2, 832. 33 First National Bank, Stonington. WILLIAM J. H. POLLARD, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Stocks,securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other-real estate andmortg's owned •Current expenses and taxes paid... Premiums on U. S. bonds •Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. S". A . PENDLETON, Cashier. Xo. 735. $102,492.44 6, 256. 8o 80, 000. 00 40, 000.00 179,144. 80 40,104. 82 4, 515. 30 2, 000. 00 1,179.31. 2, 728.17 25.40 948. 00 94.83 7, 490. 22 807.00 Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits. 86, 000. 00 14, 406.13 Xational-bank notes outstanding.. State-bank notes outstanding 71, 982.00 Dividends unpaid 272.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 82, 516.65 Due to other national banks Due to State banks and bankers . Xotes and bills re-discounted . Bills payable 14, 348.04 1, 862. 33 3. 600. 00 471, 387.15 Total. 471, 387.15 First National Bank, Suffield. I. LUTHEB SPENCER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from otner national banks Due from State banks and bankers. Banklg-house, furniture, and!.fixtures Other real estate and mortg?s owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and oflher cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. X o . 497. $80,514.11 ! 82.03 100,000.00 96,000. 00 22, 926. 74 2, 099. 00 A. SPENCER, JR., Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits. 50, 000. 00 17, 267. 39 National-bank notes outstanding.. State-bank notes outstanding 88, 000. 00 Dividends unpaid 5, 000.00 1,502.02 Individual deposits United States deposits Deposits of U.S. disbursing oflicers. 68, 216. 28 Due to other national banks Due to State banks and bankers . . Xotes and bills re-discounted. Bills payable 5, 528.28 1,652. 99 305.99 4, 701.00 69.05 8, 800 00 4,165. 00 "i," 500." 66 "I 330, 664. 94 Total. 10, 664 94 REPORT OF THE COMPTROLLER OF THE CURRENCY. 193 CONNECTICUT. Thomaston National Bank, Thomaston. ARTHUR J . HINE, President. No. 3964. FRED. I. ROBERTS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned C urrent expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S ! $90, 525. 25 118.63 12, 500. 00 44,654.68 96.06 500. 00 3,665.13 3, 332.02 1,233. 07 4, 693. 00 177.00 11, 545.00 1, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding 4, 284.48 10,450.00 Dividends unpaid. Individual deposits . United States deposits. Deposits of U.S.ci 98, 789. 74 officers 8, 874. 91 2, 203. 21 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 i - - 602. 34 174, Total. $50, 000. 00 Capital stock paid in. Total 174, 602. 34 Thompson National Bank, Thompson. JEREMIAH OLNEY, President. No. 1477. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit _ Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $132,165.40 17.04 25, 000. 00 6, 0J7.13 21, 930. 04 522.82 2,800. 00 1,540. 00 110. 83 2, 876. 85 365.00 CHARLES ARNOLD, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 20, 000. 00 6, 348. 34 22, 500.00 Dividends unpaid. 3, 542.50 Individual deposits United States deposits Deposits of U. S.disbursingofficers. 41,231.24 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 868.03 1,125. 00 Total . 194, 4 9 0 . 1 1 • 194, 490.11 First National Bank, Wallingford. SAMUEL SIMPSON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits . . . . U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-houso Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit, Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total. H. Ex. 3- -13 No. 2599. ¥ M . H. NEWTON, Cashier. $263, 555. 64 | Capital stock paid in 9,451.25 37, 500. 00 Surplus fund Undivided pro fits 30, 229. 62 National-bank notes outstanding.. State-bank notes outstanding.. Dividends unpaid. 12,000.00 1,044.42 2, 000.00 4, 531.94 Individual deposits United States deposits Deposits of U.S*disbursing officers. Due to other national banks 1,174.00 Due to State banks and bankers . 87.34 9, 48 L. 85 Notes and bills re-discounted. 1, 600.00 Bills payable j $150,000.00 I 13, 700.00 8,462.56 33, 750.00 114.00 136, 522.60 30, 844,40 737. 50 373, 393.56 Total. 373,393.56 194 REPORT OF THE COMPTROLLER OF THE CURRENCY. C O N N EC T I C U T . Fourth National Bank, Waterbury. EDWARD T. TUBKEU, President B. G. BRYAN, Cashier. No. 3768. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g-houKe, furniture, and fixtures Other real e&tate andmortg's owned Current oxpenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie j Legal-tender notes I U. S. certificates of deposit i .Redemption fund with U. S. Treas . Due from Treasurer U. S ... $226, 850 93 .09 25,000. 00 19,118.06 18,412.49 2, 503. 66 3, 000. 00 834. 51 6, 000.00 398.61 10, 821. 00 300.74 6,125. 00 13, 124. 00 Capital stock paid in. 10, 000. 00 3, 906.50 National-bank notes outstanding.. State-bank notes outstanding 22, 500. C O Dividends unpaid 36.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . 151,082. 02 46, 089.57 Notes and bills re-discounted . . Bills payable 1,125.00 Total . 333, 614.09 Total. $100, C O 00 O . Surplus fund Undivided profits. 333, 614. 09 Citizens' National Bank, Waterbury. FREDERICK J. KINGSBUKY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . ' Due from Treasurer U. S 100, 945.52 65, 613.83 3, 338.12 9, 500. 00 3,110.49 11,600.00 554.94 11, 606. 00 1, 086..35 32,757.06 5, 000.00 Capital stock paid i n . $300,000. 00 Surplus fund Undivided profits. 80, 000. 00 15,83 L. 71 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid 103. 50 Individual deposits United States deposits Deposits of U. S. disbursing officers 440, 558.49 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Billspayable 67, 242. 98 60, 201. 69 2, 250. 00 Total. 1, 008, 938.37 Total. F. L. CUKTISS, Cashier. No. 791. $709, 939.39 1, 606.67 50, 000. 00 1, 008, 938. 37 Manufacturers' National Bank, Waterbury. DAVID B. HAMILTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national bauka Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid. •.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2494. $344,947.26 ! • 5,738.94 25,000.00 \ 40^02. 83 21,119.77 C. R. BALDWIN, Cashier. Capital stock paid in. 14, 000. 00 8, 024. 97 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid 2, 562.87 $100, 000. 00 Surplus fund Undivided profits. 20.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 321,183. 73 Due to other national banks Due to State banks and bankers .. 8, 734.55 4, 858. 38 4, 816. 32 6, 525. 00 229.19 15, 087. 45 11, 567. 00 Notes and bills re-discounted . Bills payable 1,125. 00 479, 321.63 Total . 479, 321.63 REPORT OF THE COMPTROLLER OF THE CURRENCY. 195 CONJVE C T I C U T . Waterbury National Bank, Waterbury. AUGUSTUS S. CHASE, President. No. 780. A. M. BLAKESLEY, Cashier, Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation U S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Duo from oth r national banks Dae from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate ami morgt's owned Current expenses and taxes paid... Premiums on U. S. bonds Cher ks and other cash, items Exonanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U S. Due from Treasurer U. S Total $1,148. 692.38 2, 869.48 300, 000.00 Capital stock paid in I $500,000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 13,700.00 367, 688. 96 101, 952.07 250, 000. 00 64,151. 78 270, 000. 00 Dividends unpaid 699. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 4,970. 56 6, 1()5. 58 9, 726. 00 2, 297. 09 59, 500. 00 70, 000. 00 836, 870.12 177, 984. 73 42,197. 65 13, 500.00 16,710.00 2,141,903.28 Total . 2,141,903.23 First National Bank, Westport. HORACE STAPLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . IJ. S. bonds to secure deposits U. S. bonds on haud Stocks, securities, judgments, etc . Due from approved reserve agents. Duo fro in other national banks Due from State banks and bankers . Bank'g-house, furniture, and fixtures Other real estate and raortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items .Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 394. B. L. WOODWORTH, Cashier. $173,809.75 I Capital stock paid in ; $200, 000.00 279.86 50,000.00 i Surplus fund '. '[ 60,000.00 Undivided profits ; 8, 664.96 45, 000. 00 120, 230. 63 National-bank notes outstanding..! j. 29,748.19 State-biink notes outstanding 1, 339. 90 ! Dividends unpaid j 497.00 15,000.00 ' Individual deposits I 90, 507.43 United States deposits j 11,900.00 | Deposits of U.S. disbursing officers. 791.25 | Duo to other national banks 18,473.06 " 2,030. 00 | Due to State banks and bankers .. 7. 09 I 8,235.00 | Notes and bills re-discounted .. 7,000.00 j Bill3 payabLe ' j 2,250. 00 Total . 423,142.45 j 423,142.4 i Hurlbut National Bank, of Winsted, West Winsted. WILLIAM L. GILBERT, President Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Duo from approved reserve agents . Due from other national banks Due from State banks and bankers. Bank g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal tender notes .. U S. certificates of deposit Redemption fund with Treas. U Duo from Treasurer U. S Total . No. 1494. $442,411.62 713. 77 60, 000. 00 IIEXRY GAY, Cashier. Capital stock paid in. $205, 000.00 Surplus fund 206.66 i Undivided profits National-bank notes outstanding.. 27, 257. 77 State-bank notes outstanding 32, 206. 90 21,113.23 Dividends unpaid. 102, 500.00 27, 800.2S. Individual deposits United States deposits Deposits of U.S. disbursing officers. 223, 436.48 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 9,468. 43 20, 550.13 1,991.74 1,501.00 54. 50 3, 306. 03 1,483.00 422.48 29,153.22 17, 660. 00 53,420. 06 2, 700. 00 642,175. 26 Total . 642,175.26 196 REPORT OF THE COMPTROLLER OF THE CURRENCY. CONNECTICUT. First National Bank, Willimantic. "WILLIAM C. JILLSON, President. No. 2388. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... T7. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Duo from other national banks Due from State banks and bankers Bank'g-house,furnituro,andnxturesj Other real estate and mortg's owned' Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. >S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S $322, 042. 58 216.06 25, 000. 00 Capital stock paid in Surplus fund Undivided profits 10, 000. 00 National-bank notes outstanding.. 35, 929. 74 State-bank notes outstanding 8, 318. 33 9,166.52 25,000. 00 1,158. 43 7, 000. 00 1, 931. 37 442.00 62.44 2,600. 00 17,000.00 $100, 000.00 19,000.00 2, 671.87 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 279,335. 23 Due to other national banks , Due to State banks and bankers . 37, 356.16 6,129. 21 Notes and bills re-discounted . Bills payable 1,125. 00 466, 992.47 Total. O. H. K. RISLET, Cashier. Liabilities. 466,992.47 Total . Windham National Bank, Willimantic. U GUILFORD SMITH, President. No. 1614. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT S. bonds to secure doposits •TJ. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $235,865.15 362.52 100,000.00 H. C. LATHROP, Cashier. Capital stock paid in I $100,000.00 Surplus fund Undivided profits . 13,000.00 12,323.97 National-bank notes outstanding.. 89,050.00 46, 726. 25 State-bank notes outstanding 1, 555. 65 500. 00 376. 95 15, 000.00 3, 243.24 14, 076. 00 45. 36 14, 515.40 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 498. 00 183, 797.76 9, 807. 30 28, 289.49 4, 500. 00 436,766.52 j Total . 436,766.52 First National Bank, Winsted. DAVID STRONG, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 241 i. FRANK D. HALLETT, Cashier. $90, 864.40 Capital stock paid in. ""56*606! 66' urpl Undivided profits6, 680. 38 35,400.94 2, 726.40 1, 628. 47 1,449. 79 606.53 1,137.25 3,121.00 72.34 1,414. 90 2,950. 00 $75,000.00 8, 200.00 4, 833.95 National-bank notes outstanding.. State-bank notes outstanding 44,240.00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S.disbursing officers. 56, 280. 36 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 45.00 11,703.09 2,250.00 200,302.40 Total . 200,302.40 REPORT OF THE COMPTROLLER OF THE CURRENCY. 197 NEW FORK. Citizens' National Bank, Adams. GEORGE MATHER, President. No. 4103. W M . H. HATHWAT, Cashier* Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand . Stocks, securities, judgments, etc .. Due from approved reserve agents Dae from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $23, 874. 56 2.45 12, 500.00 8,064.51 19, 679.08 $50,000.00 Capital stock paid i n . Surplus fund Undivided profits. ' 275 "45 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits 402. 24 United States deposits 3, 531.25 Deposits of U. S. disbursing officers. 1,489. 50 2,006. 54 Due to other national banks 25, 827.21 414.71 815. 00 Due to State banks and bankers .. 28.24 1,124. 00 Notes and bills re-discounted. 3, 000. 00 Bills payable Total. 76, 517. 37 76, 517. 37 Tanners' National Bank, Adams. C. D. POTTER, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S, bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankersBanfc'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit — Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Gr. W. HANNAHS, Cashier. No. 4061. $65,000. U O Capital stock paid in. Surplus fund 1, 298.75Undivided profits. National-bank notes outstanding.. 14, 850. 0010,157.74 State-bank notes outstanding $180,185. 34 2, 497. 66 16, 500. 00 9, 235.16 6, 000. 00 4, 723.12 2,211.45 1, 073. 00 89.01 10,641.00 2,500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 163,860. 4© 1, 547.2T 743. 00 Total . 246, 556. 48 246, 556. 4S First National Bank, Albany. G. A. VAN ALLEN, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents . Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 267. $722, 301. 74 163. 95 50,000. 00 33, 456.17 123,190. 00 3, 298. 25 50, 000.00 4,500. 00 12, 547. 89 17,613.70 10,494. 00 82.31 59, 717. 50 18, 650. 00 S. W. ROWELL, Cashier* Capital stock paid i n . Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid $200, 000.00 200, oflo. oa 15, 447. 70 45, 000. CO. 1G0. 00' Individual deposits United States deposits Deposits of U. S. disbursing officers 471, 238. 27 D u e t o other national b a n k s Due to State banks and bankers . . 150, 957.33 25, 462. 21 Notes and bills re-discounted. Bills payable 2, 250. 00 1,108,265.51 Total 1,108,265.5? 198 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W YORK. Albany City National Bank, Albany. ERASTUS CORNING, President. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items . Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S No. 1291. $1,641,860.60 295. 31 50, 000. 00 9, 984. 286, 896. 201, 160. 33, 875. 75, 000. 30, 308. 00 17 67 51 00 00 12,188.13 1,188.48 32, 510. 62 9, 862. 00 289. 42 38,157.70 16, 400. 00 170, 000. 00 2, 250. 00 Dividends unpaid $300, 000. 00 150, 000. 00 58,451.84 45, 000.00 126. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers 1,155,203. 36 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 601, 334 72 302,110.69 2,612,226.61 Total. A. P. PALMER, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Total 2,612,226.61 Merchants' National Bank, Albany. J. W. TILLINGHAST, President. Loans and discounts Overdrafts -• U. S. bonds to secure circulation. ... . U. S. bonds to secure deposits Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U S certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total No. 1045. $994, 280. 52 170.14 198, 000. 00 100, 000. 00 1, 800. 00 300,151.81 82,751.64 3,722. 54 40, 000. 00 5,071.23 72, 11, 207, 6, 000. 00 159.66 038.42 000. 00 97. 00 129, 333. 00 37, 063. 00 J. I. WENDELL, Cashier. Capital stock paid in Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $200, 000.00 200 000 00 41, 022. 81 178, 200. 00 6, 003.12 1,352,520.65 10i>, 'J54. 62 3, 222. 98 28, 976. 22 81, 198. 56 8, 760.00 2,197, 398. 96 Total 2,197, 39-i. 96 National Commercial Bank, Albany. ROBERT C. PRUYN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand — Stocks, securities, judgments, ef c Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hoiis<\furniture,annfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1301. $3, 238, 254. 69 828. 65 50, 000. 00 100,000.00 109, 883, 258, 39, 130, 32, 550. 713. 331. 943. 000. 650. 99 59 34 85 00 71 9, 758.15 209, 068. 09 23, 56*. 00 10.82 432, 983. 00 29, 500. 00 EDWARD A. GROESBECK, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable $300, 000.00 500, 000. 00 61, 906. 54 15, 000. 00 9, 069. 00 3, 948, 542. 57 110,000.00 513,699.47 92, 194.30 2, 250. 00 5,550,411.88 Total . 5,550, 411. 88 REPORT OF THE COMPTROLLER OF THE CURRENCY. 199 NEW YORK. National Exchange Bank, Albany. JOHN D. PARSONS, JR., President. No. 3282. J. H. BROOKS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total $636, 802. 53 68.10 200, 000. 00 201,081.28 139, 735.86 6, 896. 28 30, 000.00 Capital stock paid in. $300, 000. 00 Surplusfimd Undivided profits. 28, 500.00 17, 327. 42 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 180, 000.00 27.00 Individual deposits United States deposits 36, 000.00 Deposits of U. S. disbursing officers. 5,478. 90 21, 542. 27 Due to other national banks 14, 584.00 Due to State banks and bankers .. 108. 50 8, 400. 00 Notes and bills re-discounted . 60, 000. 00 Bills payable 522, 776.14 303, 821.17 97, 245. 99 80, 000. 00 9, 000. 00 1,449,097.72 Total . 1, 449, 697. 72 New York State National Bank, Albany. J . HOWARD KING, President, Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from ot her national banks Due from State banks and bankers. Biink'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1262. $1, 525,468. 57 337. 22 50, 000.00 163,450. 00 286,017.52 167, 985.89 100, 331. 87 28, 000.00 2. 045. 27 209, 882.68 1,928. 00 102. 83 155, 445. 50 65, 700. 00 WILLIS G. NASH, Cashier. Capital stock paid in. $250, 000.00 Surplus fund. Undivided profits j National-bank notes outstanding.. State-bank notes outstanding 200,000.00 72,285.93 41, 620. 00 Dividends unpaid. 72.00 Individual deposits 1,145, 932.19 United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable , 739,156.01 309, 879. 22 2, 250. 00 2,758,945.35 Total 2,758, 945.35 Orleans County National Bank, Albion. JOSEPH M. CORNELL, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. -S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furnitur6,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bondIs Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. E. K. HART, Cashier. No. 1509. $242, 533. 67 1,220.05 25, 000. 00 55, 530. 00 87,052.31 23, 587. 58 1,493. 38 10, 000. 00 10, 976. 63 1, 804. 54 828. 24 1,295.00 309. 00 39, 733. 00 1<>, 235. 00 Capital stock paid in $100,000.00 Surplus fund Undivided profits . 20,000.00 72,062.60 National-bank notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g 20, 470. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers D u e t o other national b a n k s Due t o State b a n k s and b a n k e r s . . 311,655.53 42.00 493. 27 Notes and bills re-discounted . Bills payable 1,125.00 524, 723.40 Total. 524,723.40 200 REPORT OF THE COMPTROLLER OF THE CURRENCY. WE W YORK. First National Bank, Amenia. No. 706. GEORGE H. SWIFT, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other rt al estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Le^al-tender notes TJ. S. certificates of deposit Redemption fund with TJ. S. Treas. Due from Treasurer TJ. S Total. N. HEBARD, Cashier. Liabilities. $182, 520.72 Capital stock paid in. 231.71 25,000. 00 Surplus fund Undivided profits 26, 327.54 National-bank notes outstanding. 70, 942. 07 State-bank notes outstanding. 18,606.26 12,163.71 8,000. 00 1, 267.19 6, 500. 00 281.10 2,090.00 247. 91 6,669.45 3,600.00 Dividends unpaid Individual deposits United States deposits Depositsof U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted .. Bills payable $100,000.00 30,000. 00 13,176.42 22, 500. 00 40.00 179,193.50 20, 652. 24 10.50 1,125.00 365, 572. 66 Total 365, 572.66 First National Bank, Amsterdam. JAMES A. MILLER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments,etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund witn TJ. S. Treas. Due from Treasurer TJ. S Total. No. 1307. $420,717.79 319.69 125, 000.00 25, 319.06 . 527.18 15^ 666.66 17,000.00 4,730.64 8,670.00 129. 00 36, 883.16 41, 670.00 D. CADY, Cashier. Capital stock paid in ^ $125,000. 00 Surplus fund . . . . Undivided profits National-bank notes outstanding-. State-bank notes outstanding Dividends unpaid Individual deposits TJnited States deposits Depositsof TJ.S.disbursing officers. 25,000.00 43, 813.48 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 109, 310. 00 771. 00 373, 289.66 24,407. 38 5, 625.00 Total 701,591.52 701, 591.52 Farmers' National Bank, Amsterdam. J. ENDBRS VOORHEES, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securitie3, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from Slate banks and bankers. Bank'g-house,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid .. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. h. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 1335. $556,152.89 7,875.37 160,000.00 111,450.00 40, 500.00 65, 568.81 133, 749.75 D. D. CASSIDY, Cashier. Capital stock paid in . Surplus fund TJndi\ divided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits ""7,"42i.*64" United States deposits DepositsofU.S.disbursingoflicers. 10, 000. 00 2,572.24 18,415.00 520. 60 6, 779. 95 39,611.00 30,000. 00 7, 200.00 1,197, 817. 25 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable Total. $200,000.00 40,060.00 197, 849.69 140,100.00 6,087. 50 590, 674.4ft 10,411.4a 12,694.17 1,197,817.25 REPORT OF THE COMPTROLLER OF THE CURRENCY. 201 NEW YORK. Merchants' National Bank, Amsterdam. HIRAM HUBBS, President. No. 2920. WM. J. TAYLOR, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments*, etc.. Due from approved reserve agents Dae from other natioual banks Due from State banks and bankers. Bank'g-hoii8e, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie 1 Legal-tender notes U.r>. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. $254, 689. 89 309.75 25,000.00 20, 333. 31 32, 070. 73 2, 948. 67 255. 26 21,073.82 2, 374. 53 4, 000. 00 1, 529. 76 4, 330. 00 259. 60 17, 548. 00 22, 070. 00 Capital stock paid i n . $100, 000. 00 Surplus fund Undivided profits. 8, 000. 00 17, 756. 06 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 01) Dividends unpaid . 585.00 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankars .. Notes and bills re-discounted . 259, 320.22 1,763.04 Bills payable 1,125. 00 Total. 409, 924.32 409, 924.32 First National Bank, Andes. DUNCAN BALLANTINE, President Loans and discounts Overdrafts D. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furnit ure, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. No. 302. $70, 613.59 537. 01 60, 000. 00 3, 909. 34 9, 350. 98 J A S . F. SCOTT, Cashier. Capital stock paid in. $60, 000. 00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 17, 532.49 1, 214.12 53, 000. 00 Dividends unpaid. 4, 500.00 175.00 341.52 Individual deposits United States deposits Deposits of U.S.disbursing officers. 25,183.80 414. 50 138.00 150. 97 800. 00 3, 500.00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2, 699.50 Total . 156, 930.41 156, 930. 41 Cayuga County National Bank, Auburn. NELSON BEAKDSLET, President Loans and discounts Overdrafts U. §. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniturejand fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks . Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1345. $786, 426. 27 218.70 200,000.00 "56,666.66 68,227. 08 10, 006. 34 4, 469. 41 23,000. 00 1, 219. 66 15, 000. 00 4, 594.23 4, 694.00 606. 80 67,416.55 18,000.00 JAY B. STORKE, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $200,000. oa 20,000.00 8, 381.18 177, 590.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 836, 447.32 Due to other national banks Due to State banks and bankers .. 21,578.48 1,292.06 Notes and bills re-discounted. Bills payable 9, 000. 00 2,410.00 1,265,289.04 Total. 1, 265, 289. 04 202 REPORT OF THE COMPTROLLER OF THE CURRENCY, N E W YO R K . National Bank, Auburn.. No. 1350. EDWARD H. AVERY, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand , Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furmture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractionaleurrency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. $655, 723.58 1, 490. 21 70; ooo. oo 1, 800. 00 22, 597. 00 5, 522. 84 1, 973.16 37, 327. 25 215.00 4, 389.10 7,146.00 172.94 58, 810. 00 2, 817. 00 JAS. SEYMOUR, JR., Cashier. Liabilities. Capital stock paid iu , Surplus fund Undivided profits National-bank notes outstanding . State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of n.S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $200, 000. 00 40, 000. 00 62, 255. 65 54, 480. 00 204. 75 497, 607. 53 17, 948. 54 637. 67 3,150. 00 Total. 873,134.14 873,134.14 First National Bank, Aurora. IN". L. ZABRISKIE, President. Loans and discounts O verdr&fts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,fnruiture,and fixtures Other real estate and mortji's owned C urrent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels?, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. ALLEN MOSHER, Cashier. No. 412. $50, 000. 00 Capital stock paid in. Surplus fund 30, 000. 00 14, 083. 31 Undivided profits 11, 0(0. 00 88, 980. uo National-bank notes outstanding. 44, 000.00 12, 985. 66 State-bank notes outstanding $60, 648.68 18t5. 80 50, 000. 00 227. 25 1,500.00 925. 00 4J*. 77 1, 030. 00 12. 49 4, 329. 00 803.00 Dividends unpaid:. Individual deposits United States deposits Depositsof U.S.disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 45.00 95, 538. 30 1,255.04 2, 250. 00 Total. 234, 921. 65 234, 921. 65 First National Bank, Bainbridge. OKRVIS PRINCE, President Loans and discounts — w Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve ageuts. Due from otner national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 2543. $82, 086.67 2.81 12, 500. 00 37, 151.43 7, 798.10 75. 00 229. 56 1,000.00 445. 90 2, 500. 00 80.00 40.00 22.82 3,011.45 3, 079. 00 IRVING L. PRUYN, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 4, 625. 00 3, 331. 64 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 77, 878. 60 3, 500. 00 562. 50 150, 585.24 Total. 150, 585. 24 REPORT OF THE COMPTROLLER OF THE CURRENCY. 203 NEW YORK. First National Bank, Baldwinsville. RICHARD L. SMITH, President. No. 292. WALTER MCMULLIJT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-honse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ.S Due from Treasurer TJ. S Total.. Liabilities. $160, 642. 61 Capital stock paid 1,750.05 25, 000. 00 l! Surplus fund j i Undivided profits in. $100, 000. 00 20, 000. 00 37,173.50 I' National-bank notes outstanding.. 8,664.21 I State-bank notes outstanding 386. 79 692.34 5, 699. 50 '1,594.27 6, 300. 00 1, 830. 81. 22, 500. 00 Dividends u n p a i d . Individual deposits I United States deposits I Deposits of U. S.disbursing officers. 41, 315. 72 I Due to other national banks 2, 510. 00 1 Due to State banks and bankers 62, 14 830. 00 !; Notes and bills re-discounted 4, 000. 00 |j Bills payable .. 18.42 "i'uh'.bo-. Total. 221,087.72 221, 087. 72 First National Bank, Ballston Spa. GEORGE WEST, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j u d g m e n t s , e t c . . D u e from approved reserve a g e n t s . D u e from other national b a n k s D u e from State b a n k s a n d b a n k e r s . Bank'g-house, furniture, andfixtures Other real estate and m o r t g ' s owned C u r r e n t expenses and taxes p a i d . . . P r e m i u m s on U. S. bonds Checks and other cash i t e m s E x c h a n g e s for clearing-house Bills of other national b a n k s F r a c t i o n a l currency, nickels, c e n t s . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with T r e a s . U . S . D u e from T r e a s u r e r U. S Total. S. C. MEDBISRY, Cashier. No. 954. $450,273. 64 329.17 100, 000. 00 16,137.57 5, 54E. 09 20, 000. 00 2,100.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 5100, 000. 00 80, 000.00 5,714.64 90, 000. 00 Dividends unpaid Individual deposits United States deposits , Deposits of U.S.disbursing officers 350, 636. 82 D u e to other national b a n k s Due to State b a n k s and b a n k e r s . . 1, 804.66 1,913.16 2,224.00 379.49 22, 554. 00 1,100.00 N o t e s and bills re-discounted. Bills payable 4, TOO. 00 1,100. 00 Total. 628,156.12 628, 156.12 Ballston Spa National Bank, Ballston Spa. JOHN TV. THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S. Total. No. 1253. $468,230.11 G. L. THOMPSON, Cashier. Capital stock paid in "ioo.'ooo.'ob" Surplus fund 83, 000. 00 63, 315. (54 50.00 3, 000. 00 1, 345. 38 1,210.00 75. 58 13,140. 00 3, 779. 00 10, 000. 00 4, 500. 00 751, 645. 71 Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Depositsot U.S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable Total. $100, 000. 00 30, 000. 00 106, 280.81 90, 000. 00 815.20 422, 716. 90 1, 832. 80 751,645.71 204 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Batavia. No. 340. L. C. MCINTYRE, President J. L. BIGELOW, Cashier. Resources. Liabilities. Loans and discounts Overdrafts X . S. bonds to secure circulation... T U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furnituro,andnxtures Other real estate and inortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer U. S $333,983.01 1, 527. 91 25,000. 00 Capital stock paid in. Surplus fund Undivided profits 6,200. 00 National-bank notes outstanding.. 16, 098. 47 State-bank notes outstanding 3, 394. 54 1,604.27 1,300. 00 34, 910. 51 2, 083.38 1, 500. 00 3,216.11 Dividends unpaid. Individual deposits. United States deposits Deposits of U. S.disbursing officers. Due to other national banks 1,091.00 Due to State banks and bankers.. 26.04 8, 875. 00 Notes and bills re-discounted 12,000.00 Bills pay able 20, 000. 00 7, 528. 92 22, 500. 00 303, 662. 21 244.11 1,125. 00 453, 935.24 Total. $100, 000. 00 Total 453, 935. 24 First National Bank, Bath. HENRY H. COOK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house^urniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items.. Exchanges for clearing-house. Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. W. ALLEN, Cashier, No. 165. $100, 000. 00 Capital stock paid in. 20, 000. 00 Surplus fund 9, 742. 96 Undivided profits National-bank notes outstanding.. 22, 500.00 14,415.75 State-bank notes outstanding $167,493. 93 7, 309. 01 25, 000. 00 4, 360.50 21,277. 25 10, 000. 00 19, 930. 00 8, 658. 74 4, 722. 00 67.25 9, 650.00 8,000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers.Notes and bills re-discounted. Bills payable 149, 019. 21 247. 26 625. 00 Total. 301,509.43 301,509.43 First National Bank, Binghamton. F. T. NEWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,audfixtures Oth< r real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with. Treas. U. S. Due from Treasurer U. S Total No. 202. $715, 454. 75 986. 67 50, 000. 00 50,000. 00 46,750. 08 45, 008.83 16, 940. 81 40, 000. 00 16, 754.03 3, 214. 38 18, 000. 00 6, 708. 00 886. 00 98.02 35, 321.11 17,546. 00 -JOHN MANIER, Cashier. Capital stock paid in . Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers, Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable $200, 000. 00 50, 000. 00 53, 608. 99 45, 000. 00 565, 818.13 55, 000. 00 65, 645. 52 846. 04 30, C00. 00 2, 250. 00 1,065,918.68 Total L065.91&68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 205 NEW YORK. City National Bank, Binghamton. WfLLiAM R. OSBORN, President. No. 1189. HARTWELL MORSE, Cashier, Liabilities. Resources. Loans and discounts O /erdrafts U. S. bonds to secure circulation... IT, S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds -C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Lezal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total- $456, 428. 72 128. 45 50, 000. 00 Capital stock paid in. $200,000.00 Surplus fund Undivided profits National-bank notes outstanding.. 31, 759. 88 State-bank notes outstanding 43, 537. 63 3,713.70 23, 000. 00 6, 111. 26 2,012.93 1,336.62 1, 597. 67. 9, 932. 14, 700. 00 50 50 00 50. 000.00 23,273.27 44,100.00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers 326, 782.88 Due to other national banks Due to State banks and bankers .. 2, 822. 57 2, 241.11 356.41 Notes and bills re-discounted . Bills payable 2,250.00 619,576.24 649, 576. 24 Total. Merchants' National Bank, Binghamton. ERASTUS ROSS, President. Loans and discounts Overdrafts U S. bonds to secure circulation... U. S. bonds to secure deposits T7. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit ^Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2136. $759, 621.82 9, 059. 51 100, 000. 00 50,000.00 32, 959. 91 21,182.73 4, 625. 34 18, 000.00 17, 179. 53 3, 381. 87 16, 000. 00 11,421.21 284. 00 22. 00 78,107. 31 10,100. 00 R E. Ross, Cashier. $100,000. 00 Capital stock paid in. 70, 000. 00 Surplus fund 18, 631. 71 Undivided profits . 88, 080.00 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 786, 615.05 45, 886.98 9,113. 02 17, 837.48 280. 99 4, 500. 00 1,136, 445. 23 Total. 1,136, 445.23 National Broome County Bank, Binghamton. CYRUS STRONG, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. ... Due from State banks and bankersBank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiumson U. S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDut> from Treasurer TJ. S Total. No. 1513. Capital stock paid in. $328, 096. 89 7, 596. 22 70, 000. 00 11,112.99 10, 779. 03 3, 525.69 2,100. 00 501.97 6, 300. 00 1,165. 02 425. 25 16, 883.50 9,477. 00 T. R. MORGAN, Cashier. Surplus fund Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable $100, 000. 00 20, 000.00 8,133.17 62, 500. 00 2, 735.00 249,102. 86 11,172.42 2,470.11 15,000.00 3,150.00 471,113. 56 Total. 471,113.56 206 REPORT OF THE COMPTROLLER OF THE CURRENCY. N E W YORK. First National Bank, Boonville. No. 2320. J . K. Ttf ARRATT, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... TJ. S. bonds to secure deposits XJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andtixtures Other leal estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas, U. S . Due from Treasurer U. S Total. $161,181. 00 3, 662. 57 25, 000.00 44, 073. 25 52, 997.86 2,031.46 69.11 7,910.36 2, 440.00 5, 500.00 3,884, 06 624. 00 26.41 12, 603.75 1, 500. 00 E. C. DODGE, Cashier, Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits oi'U.S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $75, 000. 00 7, 000.00 420. 31 22, 500. 00 219, 826. 10 702. 42 1,125.00 800.00 325, 448. 83 Total. 325, 448. 83 First National Bank, Brewsters. CHARLES DAYTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . FRANK WELLS, Cashier. No. 2225. $75, 000.00 Capital stock paid in. 12. 000.00 Surplus fund •L, 683. 53 Undivided profits. 101, 700. 00 18, 000.00 National-bank notes outstanding.. State-bank notes outstanding 64, 26:*. 47 $140, 725. 94 3.51 20, 000. 00 495.07 124. 89 10, 000. 00 " 2,511.51 10, 626. 34 2, 693. 03 2, 843. 00 341. 82 4, 01)0. 00 5, 022. 00 Dividends unpaid 507. 50 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 237, 760. 20 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable , 20, 267. 05 1,135. 80 900. 00 369, 354. 08 Total. 369, 354.08 First National Bank, Brockport. GEORGE C. GORDON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. .U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total., H. A. METCALF, Cashier. No. 382. $50, 000.00 Capital stock paid in. 10, 000. 00 Surplus fund 21, 991. 67 Undivided profits. National-bank notes outstanding.11, 250.00 2, 508.18 State-bank notes outstanding $165,311.41 1, 968. 08 12, 500.00 92.60 738.28 2, 300. 00 3,388.64 800.00 142. 00 10, 660. 20 9, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 114, 310, 55 Due to other national banks Due to State banks and bankers .. 339. 79 79.88 Notes and bills re-discounted. Bills payable , 562. 50 207,971. 89 Total . 207, 971. 89 REPORT OF THE COMPTROLLER OF THE CURRENCY. 207 NEW YORK. First National Bank, Brooklyn, JOHN G. JENKINS, President. No. 923. GEO. D. BETTS, Cashier. Resources. Liabilities. $2,963,098.60 Capital stock paid in. Loans and discounts 328. 86 Overdrafts 75, 000.00 Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits 90,000.00 Undivided profits U. S. bonds on hand 1,153, 781. 38 National-bank notes outstanding. Stocks, securities, judgments, etc 124, 665.15 State-bank notes outstanding Due from approved reserve agents 73, 049.89 Due from other national banks 26,480. 53 Dividends unpaid. Due from State banks and bankers. 93, 000.00 Bank'g-house,furniture,and fixtures 1,615.54 Other real estate and rnortg's owned Individual deposits Current expenses and taxes paid .. United States deposits Deposits of U.S. disbursing officers. Premiums on U. S. bonds 390,11 Checks and other cash items 236, 790.45 Due to other national banks Exchanges for clearing-house 79, 222. 00 Due to State banks and bankers .. Bills of other national banks 4, 707. 22 Fractional currency, nickels, cents519, 957. 77 Notes and bills re-discounted . Specie 127, 836. 00 Bills payable Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 3,375. G O Due from Treasurer TJ. S Total . 5, 573, 304. 50 Total . $300, 000. 00 703, 000. 06 1, 927, 25 66,900. 00 1, 239. 00 4,198,411. 69 89, 922. 38 211, 904.18 5, 573, 304.50 Manufacturers' National Bank, Brooklyn. JOHN LOUGHRAN, President. No. 1443. T. C. DISBEQW, Cashier. Loans and discounts 51,287, 374. 73 I Capital stock paid in 720.97 jl Overdrafts 250, 000. 00 j Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits ; Undivided profits U. S. bonds on hand Stocks, securities, judgments, etc.. 369,167.58 National-bank notes outstanding.. Due from approved reserve agents. 434, 715.11 State-bank notes outstanding Due from other national banks Due from State banks and bankers. 208.07 Dividends unpaid Bank'g-house,furniture,and fixtures 20, 000. 00 Other real estate and mortg's owned] i j Individual deposits Current expenses and taxes paid... '68. 29 |; United States deposits Premiums on U. S. bonds Deposits ot'U.S.disbursing officers. Checks and other cash items 1,640.32 ; Exchanges for clearing-house Dufe to other national banks 53, 254. 00 Due to State banks and bunkers . Bills of other national banks Fractional currency, nickels, cents 1,031.50 Specie 19,*, 147. 02 Notes and bills re-discounted Logal-tender notes 87, 350.00 Bills payable U. S. certificates of deposit Kedemption fund with Treas. U. S . 11, 250. 00 Due from Treasurer U. S Total. 2,719, 653. 59 Total $252, 000.00 134, 000.00 24, 017.05 218, 550. 00 3,150. 00 2, 056, 710.88 30, 925. 68 300.00 2,719,653.59 Nassau National Bank, Brooklyn. C. C. SMITH, President. No. 658. EDGAR T. JONES, Cashier. Loans and discounts j $1,757,444.40 j! Capital stock paid in. $300,000. 00 Overdrafts ! 353.97 1 1 U. S. bonds to secure circulation. - - j 67,000.1,0 j Surplus fund 200, 000.00 U. S. bonds to secure deposits j 75,000.00 Undivided profits 242,400. 92 U. S. bonds on hand I 15,756. 25 National-bank notes outstanding.. Stocks, securities, judgments, etc.. 59,400.00 Due from approved reserve agents. 586,891.87 State-bank notes outstanding 1, 831. 00 Due from other nat ional banks 5,180.34 DUQ from State banks and bankers. 1,417. 76 Dividends unpaid 1,104. 00 Bank'g-hous;\fnrniture.and fixtures Other real estate and mortg's owned! Individual deposits 2,118,147.41 Current expenses and taxes paid-.. 7, 344. 73 United States deposits 23,797.48 15, 998. 78 Deposits of U. S. disbursing officers. Premiums ou U. S. bonds 72,154. 72 Checks and other cash items 31,310.22 202,483. 08 Due to other national banks Exchanges for clearing-house 11,149. 72 Bills of other national banks 55, 000.00 Due to State banks and bankers .. 13,185.15 Fractional currency, nickels, cents. Specie 39, 000. 00 Notes and bills re-discounted . Legal-tender notes 180, 000. 00 Bills payable U. S. certificates of deposit Kedemption fund with Treas. U. S. j 3, 015. 00 Due from Treasurer U. S Total 3,043,196.40 Total 3, 043,196.4k 208 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W Y O R K . National City Bank, Brooklyn. No. 1543. DAVID B. POWELL, President. DAVID L. HARRIS, Cashier. Liabilities. Resources. $1,922,160.09 Capital stock paid in. I/^ans and discounts 95. 57 Overdrafts 301, 000. 00 Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits Undivided profits. U. S. bonds on hand 663,190.00 National-bank notes outstanding. Stocks, securities, judgments, etc.. 128, 281. 34 State-bank notes outstanding Due from approved reserve agents. 4, 043. 93 Due from other national banks 1.47 Dividends unpaid Duo from State banks and bankers. : 30, 000. 00 Bank fr-house,furniture,and fixtures! Other real estate and mortg's owned( Individual deposits Current expenses and taxes paid... United States deposits 7, 381.00 Deposits of U.S. disbursing officers Premiums on TJ. S. bonds 14, 731. 46 Checks and other cash items 177, 341.07 Due to other national banks Exchanges for clearing-house 47, 550. 00 Due to State banks and bankers .. Bills of other national banks 1,372.50 Fractional currency, nickels, cents. 9, 450. 00 Notes and bills re-discounted., Specie Bills payable 135, 000.00 Legal-tender notes IT. S. certificates of deposit 13, 500. 00 Redemption fund with Treas. TJ. S. 5, 250.00 Due from Treasurer U. S Total. $300, 000.00 600,000.00 70, 787.86 270,000.00 660. 00 2,182,197.69 32, 382. 66 4, 320. 22 Total . 3,460,348.43 3, 460, 348.43 Sprague National Bank, Brooklyn. N. T. SPKAGUE, President. No. 2976. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank g-house, furniture, and fixtures Other real estate and moitg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Practional currency, nickels, cents. Specie X.egal-tender notes U. S. certificates of deposit Redemption fund with Treas: U. S . Due from Treasurer U. S Total. $614,790.00 337.57 100.000.00 F. K. SMITH, Cashier. Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits. 60,000. 00 17, 218.80 70, 200. 59 National-bank notes outstanding.. 129, 221. 92 State-bank notes outstanding 32, 203. 21 Dividends unpaid. 34, 556. 21 3,200. 00 Individual deposits 2,711.04 United States deposits Deposits of U. S. disbursing officers 2, 604. 89 G7, 437.59 3, 500. 00 227.13 4% 647. 88 16, 000. 00 88, 800. 00 336.00 734, 366.40 Due to other national banks Due to State banks and bankers .. j Notes and bills re-discounted. 7. 995.89 15, 420. 94 Bills payable 4, 500. 00 Total. 1,124,138.03 1, *24,138. C Third National Bank, Buffalo. CHARLES A. SWEET, President. No. 850. Loans and discounts $2, 057,083. 90 4, 554.24 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits.. 175, 000.00 U. S. bonds on hand 3,142.10 Stocks, securities, judgments, etc . . Due from approved reserve agents. 134,238. 74 Due from other national banks 55, 422. 66 25,753.41 Due from State banks and bankers. Bank'g-house,furniture,andfixtures 5, 000.00 Other real estate and mortg's owned 37, 562,35 Current expenses and taxes paid... 10, 925.37 Premiums on U. S. bonds 56, 000. 00 Checks and other cash items 8, 268.32 Exchanges for clearing-house 38, 722. 51 Bills of other national banks 16, 656. 00 Fractional currency, nickels, cents 448.06 Specie 77, 832.50 Legal-tender notes 30, 000.00 U.S. certificates of deposit Redemption fund with Treas. U. S . 2, 250.00 Due from Treasurer U. S Total 2,788,861.06 N. ROCHESTER, Cashier. Capital stock paid in Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding j $500,000.00 160, 000. 00 44, 907.94 44, 400. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total 1,321,458.27 120,587.92 67,429.00 150,680.94 379, 396.99 2,788,861.06 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 209 NEW YORK. Cambridge Valley National Bank, Cambridge. D. M. WESTFALL, President. No. 1275. A. G. TAYLOR, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation .. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from vState banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and niortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. XL S. Due from Treasurer U. S Total Liabilities. $166, 840. 27 217.77 50, 000.00 5, 000. 00 31, 428. 51 5, 440.30 "8,606.00 Capital stock paid in $50,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 25, 000. 00 31, 531. 89 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 86.21 445.00 21.62 3, 419.35 5, 750.00 117,649.33 Due to other national banks Due to State banks and bankers .. 10,517.81 Notes and bills re-discounted. Bills payable 2,250. 00 800.00 Total. 279,699.03 279,699.03 First National Bank, Camden. DANIEL G. DORRANCE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banka and bankers Ban k'g-house, furniture, andfixturesj Other real estate and mortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of; other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. G. DORRANCE, Cashier. No. 2448. $155,118.83 83.71 30,000.00 15, 000. 00 27, 776.61 161.01 55. 52 1,215.72 '""i," 729." 70 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50,000.00 10, 000.00 10,923, 26 27,000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 143,271. 53 436. 67 315. 00 83.68 5,645.76 3, 929.00 Due to other national banks Due to State banks and bankers .. \ Notes and bills re-discounted. Bills payable 1, 666.95 40.07 1, 350.00 242, 901.81 Total. 242, 901. 81 Canajoharie National Bank, Canajoharie. CHARLES G. BARNES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. g. Ex. 3 No. 1122. A. G. RICHMOND, Cashier. $336,464.55 Capital stock paid in. $125,000.00 2, 079.15 50, 000.00 I Surplus fund. 25,000.00 Undrv ^ ' profits . 20,512.63 divided 550. 00 500.00 National-bank notes outstanding.. 45, 000.00 32, 580. 91 State bank notes outstanding 2,740.32 Dividends unpaid. 7,000.00 Individual deposits 234, 210.70 "994.12 United States deposits Deposits of U. S.disbursing officers 1,592.55 Due to other national banks 973.84 245.00 Due to State banks and bankers .. 44.57 5, 720.00 Notes and bills re-discounted. 7,936. 00 Bills payable 2, 250.00 450, 097.17 14 Total. 450,697.17 210 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Spraker Bank, Canajoharie. FBASIER SPEAKER, President. No. 1257. WM. WILES, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks. Due from State banks and cankers. Bank'g-house,furniture. and fixtures Other real estate and mortg's owned Current expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractionalcurrency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $170, 062.22 3(54. 74 60,000.00 Capital stock paid in National-bank notes outstanding. State-bank notes outstanding — 53, 066. 69 9, 474. 24 54. 00 20, 000. 00 2, 333. 72 53, 3G0.00 Dividends unpaid 4*500.00 Individual deposits 484.58 Unitod States deposits 1, 500. 00 Deposits of U.S.disbursing officers. 428. 75 Due to other national banks 488.00 Due to S\,ate banks and bankers . . 32 3, 540.00 Notes and bills re-discounted 4, 390.00 Bills payable 134,079.22 476.83 203.77 2, 700. C O 311,053. 54 Total $1CO, 000. 00 Surplus fund Undivided profits Total 311, 053. 54 Canandaigua National Bank, Canandaigua. F. H. HAMLIN, President. No. 3817. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $250,642.16 1, 784.10 25,000.00 H. T. PARMELEE, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 28,159. 58 1,868.67 5,797.48 Dividends unpaid. Individual deposits - United States deposits Deposits of U. S. disbursing officers. 846.61 6, 703.12 46.25 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 450. 00 147.85 6,320. 25 2, 200.00 1, 700. 00 4, 549, 39 22, 500.00 196,118.42 fi, 223.26 1, 125.00 331,091.07 Total. 331,091.07 Canastota National Bank, Canastota. CHARLES B. CROUSE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due irom other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other realestateand mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas, U. S. Due from Treasurer U, S Total. J. C. RASBACH, Cashier. No. 1525. $75, 377.35 | Capital stock paid in. 87.73 40, 000.00 Surplus fund Undivided profits 10,152.19 779.44 214.47 5.000.00 750.00 892.05 105.00 21.37 370.00 4,670.00 j National-bank notes outstanding.. j State-bank notes outstanding $55,000. 00 17, 000.00 2,228. 86 35,900.00 I Dividends unpaid ! ji Individual deposits !! United States deposits : i Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . ;' Notes and bills re-discounted. i i Bills payable 28, 516.63 1, 580.11 1,800.00 140,225.60 Total., 140,226.60 EEPOET OF THE COMPTROLLER OP THE CURRENCY. 211 NEW YORK. First National Bank, Candor. No. 353. EDWIN A. BOOTH, President J. THOMPSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and morfcg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $113,509.07 220. 60 18, 300.00 Capital stock paid i n . $50,000.00 Surplus fund Undivided profits. 10,000.00 5, 791.91 5, 000.00 National-bank notes outstanding. 13,483. 89 State-bank notes outstanding 200.00 16,470. 00 Dividends unpaid 2, 900.00 4, 350. 00 Individual deposits 248. 04 United States deposits , Deposits of U. S. disbursing officers 314.54 811.00 161. 09 4,185.00 1, 800. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 73,493. 28 2, 551. 54 8, 000.00 823.50 166,306.73 Total. 166,306.73 First National Bank, Canton. D. S. LYNDE, President. - Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand « Stocks, securities, judgments, etc. Due from approved reserve agents Due from other national banks. Due from State banks and bankersBank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3696. $125,055.65 2,863.63 16, 500. 00 56, 843. 78 1, 526. 35 320. 31 2, 746. 56 104. 20 699. 76 923. 50 2, 036. 55 3, 264. 00 59.30 1, 576. 55 9, 850. 00 "W. N. BEARD, Cashier. Capital stock paid in. $65,000. 00 7, 000.00 2, 238. 76 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding . 14, 850. 00 Dividends unpaid Individual deposits United States disbursing officers. Deposits of U.S.deposits Due to other national banks Due to State banks and bankers 132, 664.63 3,359.25 Notes and bills re-discounted Bills payable 742. 50 Total 225,112.64 225,112.64 Putnam County National Bank, Carmel. AMBROSE RYDER, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums OD U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas U. S Due from Treasurer U. S Total. H. RYDER, Cashier. No. 976. $78, 047.70 2,766.48 100, 000. 00 120, <K)0. 00 28,156. 57 203. 71 7,627. 99 153.41 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. $100, 000.00 20, 000.00 36, 537.34 89,200. 00 45.00 103,164. 50 "l," 698." 82 941.00 772. 90 6, 000.00 350, 868. 58 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total.. 1, 921. 74 350, 868. 58 212 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Carthage. No. 2442. E. H. MYER S, Presiden t. A. G. PECK, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due fronTother national banks Due from State banks and bankers. Ban k'g-house, furniture,and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items. Exchanges for clearing-house. Bills of other national banks.. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $207, 471. 54 3, 598.16 25,000. 00 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 4, 042. 00 18, 852. 57 2, 884. 37 1, 514. 04. 27, 949. 66 20, 000.00 10, 804.74 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of TJ. S. disbursing officers. 2, 629.90 "i,"i54*6i" Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 942. 00 10.05 682.50 8, 500. 00 147, 049. 74 3, 006.43 2, 995.49 1,125. 00 Total. 306, 356.40 306, 356.40 Carthage National Bank, Carthage. Gr. B. JOHNSON, President. No. 3672. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. c>. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $105, 575. 09 534. 34 12, 500.00 16,133. 00 2,094.. 75 M. S. WILDER, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits 3,203.75 I Deposits of U.S. disbursing officers. 1,701.87 ' Due to other national banks 2,479. 00 Due to State banks and bankers .. 81.34 3, 620. 75 Notes and bills re-discounted . 7, 000. 00 Bills payable $50,000.00 4,000.00 1,913.69 11,250.00 "i,"349.56' 77, 790.17 11, 839.19 42.84 562.50 156, 835. 89 Total. 156, 835.89 National Bank, Castleton, FRANK P. HARDER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total No. 842. JAS. R. DOWNER, Cashier. $119, 335. 55 • Capital stock paid in 43.00 25, 000. 00 Surplus fund $100,000.00 20, 000. 00 5,(163.84 Undivided profits 1,450.00 I National-bank notes outstanding.. 67, 035. 99 , I State-bank notes outstanding 22,500. 00 ', Dividends unpaid ! Individual deposits United States deposits 5, 687. 50 Deposits of U. S. disbursing officers. 80, 540. 99 6,000.00 ! | 1,087. 23 Due to other national banks 9.65 Due to State banks and bankers .. 2, 665. 00 Notes and bills re-discounted 1, 500. 00 Bills payable 2,912. 78 216. 31 "I," 125. 66' 232,133.92 ! Total... 232,133.92 REPORT OF THE COMPTROLLER OF THE CURRENCY. 213 NEW YORK. Catskill National Bank, Catskill. No. 1294. ISAAC PRUYX, President. Resources. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums ou U. S. bonds Checks and other cash items Exchanges for clearing-house ... Bills of other national banks ... Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $244, 696. 71 197. 49 37, 500. 00 500. 00 194, 662. 23 82, 293. 98 3, 349. 61 101.11 10, 000. 00 9, 574. 40 2,045. 22 7, 031.50 928.95 140. 00 237. 81 7, 811. 00 16,160. 00 H. B. HILL, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $150, 000. 00 30, 000. 00 59, 742. 01 33, 750. 00 292,435. 60 48, 717. 53 4, 272. 37 1, 687. 50 618, 917. 51 618, 917. 51 Total. Tanners' National Bank, Catskill. No. 1198. ORRIN DAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned C urrent expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $397, 454.76 1, 326. 42 37, 500.00 95, 509. 70 178, 733. 77 890.90 532.43 12, 600. 00 8, 925. 60 13, 588. 97 1, 489. 00 681. 71 32, 900. 00 9,141. 00 FREDERICK HILL, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends*mpaid . Individual deposits United States deposits Deposits ofU. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $150, 000. 00 30, 000. 00 147,604.31 33, 750. 00 372, 990.70 58, 616. 75 1, 687. 50 792, 961. 76 Total. 792, 961. 76 First National Bank, Champlain. JAS. AVERILL, J R . , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 316. JNO. H. CROOK, Cashier. $100, 000. 00 Capital stock paid in. 30, 000. 00 Surplus fund 23, 842. 87 Undivided profits 600. 00 National-bank notes outstanding.. 44, 300.00 249. 40 State-bank notes outstanding $306, 699. 48 6, 679.13 50, 000. 00 25, 1, 604. 81 4,666.66* 32, 000. 00 596.15 1, 266. 26 210.00 26. 03 2, 360.00 4, 275. 00 5,000.00 2,250. 00 442, 816.26 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofiicers. 244, 673.39 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total. 442,816.26 214 REPORT OF THE COMPTROLLER OF THE CURRENCY. JX E W Y O R K . National Central Bank, Cherry Valley. No. 1136. H. J . OLCOTT, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixturesi Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. 17. S Due from Treasurer IT. S Total. W. H. BALDWIN, Cashier. Liabilities. $236, 771.69 147.81 25, 000. 00 31, 776. 44 17, 654. 44 1, 697.96 5, 000. 00 29, 454. 01 2, 031. 56 1, 800.00 821. 23 1,100.00 137.59 9, 240. 00 8, 000.00 $100, 000, 00 Capital stock paid in. Surplus fund Undivided profits. 20, 000. 00 15,157. 73 National-bank notes outstanding. State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 214, 064. 00 36.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125.00 Total. 371, 757.73 371,757.73 Chester National Bank, Chester. No. 1349. J O H N T. JOHNSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. .U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agentc. Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items E xchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. D. MILLSPAUGH, Cashier. $165,955. 71 39.09 90, 000. 00 Capital stock paid in. Surplus fund 51, 000.00 Undivided profits. 14, 000. 00 National-bank notes outstanding.. 18, 988. 37 State-bank notes outstanding 970.55 439. 60 4, 000. 00 280. 00 1, 145. 32 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 243. 51 Due to other national banks 290. 00 Due to State banks and bankers . 292. 48 14, 458. 75 Notes and bills re-discounted. 4, 935. 00 Bills payable , $125,500.00 25,100. 00 14, 970. 25 80, 000.00 500. 00 106,106.68 18,911.45 4, 050.00 371,088.38 371,088.38 Total . First National Bank, Clayton. No. 3797. ALDKN F. BARKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgmonts, etc - Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, audfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. 'I H. W. MORSE, Cashier. $93,349, 80 1,195.09 12, 500. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. 1,642. 28 State-bank notes outstanding 23, 990. 51 2,893. 85 1, 008. 60 1, 591. 79 3,015. 63 973.04 347.00 159.61 3, 440. 25 5, 523. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable $50, 000. 00 5,000. 00 5, 005. 31 11,190.00 79, 692. 44 1, 244. 70 562.00 152,192. 45 Total. 152,192. 45 REPORT OP THE COMPTROLLER OP THE CURRENCY. 215 NEW YORK. Briggs National Bank, Clyde. No. 2468. S. H. BRIGGS, President J . TV". HINMAN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,iurniture,and fixtures Otherrealestato andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalpanks Fractional currency, nickels, cents. Specie • Legal-tender notes TJ. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. $104,430.68 3,152.27 12,500. 00 Capital stock paid in. $50, 000.00 10,000.00 21,605.79 Surplus fund Undivided profits 67, 715.75 National-banknotes outstanding. 17, 078.48 State bank-notes outstanding 903.89 772.00 Dividends unpaid 4,000.00 Individual deposits 10.15 United States deposits Deposits of U.S.disbursing officers. 338. 89 Due to other national banks 1, 261. 00 Due to State banks and bankers.. 60.65 13,079. 00 Notes and bills re-discounted . 1,575,00 Bills payable 11, 250. 00 131,333.33 1,177.33 2,073. 81 562.50 Total . 227,440.26 227,440.26 First National Bank, Cobleskill. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks..... Due from State banks and bankers. Bank' g-house, furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. D. C. Dow, Cashier. No. 461. CHARLES H. SHAVER, President. . 6.14 3,005.90 25,000.00 22,000.00 18, 549. 48 2,775. 29 8, 000.00 2, 550.00 4,041.12 628. 00 33.58 8, 730.00 18,000.00 Capital stock paid in $100,000.00 Surplus fund Undivid profits. ided 20, 000. 00 30,950.19 National-banknotes outstanding.. State-bank notes outstanding 22,500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers 360.00 276, 764.32 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125.00 450,574.51 Total. 450, 574.51 National Bank, Cohoes. CHARLES H. ADAMS, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g house,furniture,andfixtures Other real estate andmortg's o\vned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks . Fractional currency, nickels, cents. Specie Legal-tender notes U. S certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. MURRAY HUBBARU, Cashier. No. 1347. $544, 655.51 Capital stock paid in. $250,000.00 110.79 50,000.00 Surplus fund 50,000.00 59,817. 91 Undivided profits. 63,000.00 41,007.51 5, 874.33 4,456.13 26, 846.25 7, 050.00 119.13 6, 500.00 578.87 14, 778. 00 437. 29 8, 383.40 20, 780. 00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 45, 000. 00 40.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 375,424. 53 Due to other national banks Due to State banks and bankers . . 15, 314.68 1,230.09 Notes and bills re-discounted. Bills payable 2,250.00 796,827. 21 Total. 796,827.21 216 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Cooperstown. EDWIN M. HARRIS, President. N o . 280. THEO. C. TURNER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. [3ank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer*U. S Total _ $380,861.52 111.19 50,000.00 $150, 000. 00 Capital stock paid in Surplus fund Undivided profits 60, 000.00 30, 834.87 44, 400.00 60, 467.03 5,930.66 National-bank notes outstanding.. State-bank notes outstanding 45,000.00 13,971.70 1,008.09 Individual deposits United States deposits Deposits of U. S. disbursing officers. 311, 630. 68 Due to other national banks Due to State banks and bankers . . 1,098.75 194.49 3," i 66.65 2,233.15 7, 028. 00 198.50 27,163.95 4,055. 00 4, 020.00 Dividends unpaid Notes and bills re-discounted Bills payable 2,250. 00 602, 778.79 602,778.79 Total Second National Bank, Cooperstown. a. POMEROY KEESE, President. No. 223. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furnituro,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $661, 880.03 539.01 100,000.00 3,100. 00 116,108.65 2, 785. 34 2, 230. 46 6, 000.00 32,018.04 3,100. 94 1, 396.55 4, 519. 00 130.00 35,234.00 3, 000. 00 HENRY L. HINMAN, Cashier. Capital stock paid in. $200, 000.00 Surplus fund Undivided profits.. National-bank notes outstanding.. State-bank notes outstanding 100, 000.00 57, 310.71 88, 720. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers j 528,797.40 Due to other national banks | Due to State banks and bankers .. ! Notes and bills re-discounted . Bills payable 872. 29 841.62 4, 500.00 976,542.02 Total. 976,542.02 First National Bank, Corning;. FRANKLIN N. DRAKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real e.state and mortg's owned C urrent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationafbanks Fractional currency, nickels, cents . Specie Legal-tender notes, U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2655. J. A. DRAKE, Cashier. $324,556.40 Capital stock paid in. 6, 398. 23 ] 2,500. C Surplus fund O Undivided profits 3, 000. 00 National-bank notes outstanding.. 47,215.94 State-bank notes outstanding 1,250.04 53, 020.38 Dividends unpaid. 821.95 196.57 , Individual deposits 3,284.25 | United States deposits Deposits of U. S. disbursing officers. 787. 91 Due to other national banks 503.00 Due to State banks and bankers . 391.86 17,213.18 Notes and bills re-discounted . 13, 775.00 Bills payable $50, 000.00 10, 000.00 43, 576. 53 11,250.00 370,650.68 562.50 485,477.21 Total. 485,477.21 REPORT OF THE COMPTROLLER OF THE CURRENCY. 217 NEW YOiUi, First National Bank, Cortland. No. 226. E. KEATOR, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture.,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. E. ALLEY, Cashier. Liabilities. $394, 302.06 3, 822. 32 31, 250. 00 5,100.00 11, 666.46 4, 342. 09 757.01 32, 000. 00 14, 357.34 781.92 1, 000.00 384. 25 478. 00 201. 76 19, 201.00 5, 650.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding . State-bank notes outstanding $125,000.00 62, 500. 00 27,029. 51 28,125.00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 283, 510.88 Due to other national banks Due to State banks and bankers .. 475. 94 59.13 Notes and bills re-discounted . Bills payable 1,406.25 526, 700. 46 Total. 526,700.46 Second National Bank, Cortland. FITZ BOYNTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand f. Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers, liauk'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certiiicates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . E. D. BAKKER, Cashier. No. 2827. $100,000.00 Capital stock paid in. 12, 000. 00 Surplusfund 5, 798.43 Undivided profits . National-bank notes outstanding.. 22, 500. 00 14, 714. 59 State-bank notes outstanding $229, 390.41 1,940. 51 25, 000.00 5, 920. 56 3, 016. 78 31, 340. 24 2, 668. 33 2, 000. 00 2,141.33 8, 639. 00 246.91 15, 696. 60 5, 000.00 Dividends unpaid Individual deposits * United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 200,141. 83 8, 400.00 1,125.0C 348, 840.26 Total. 348,840.26 National Bank, Cortland. WESLEY HOOKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and morte's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. F. J". PECK, Cashier. No. 2272. $125, 000.00 Capital stock paid in. Surplus fund 44, 500.00 31,826.39 Undivided profits 300. 00 National-bank notes outstanding.. 27,565.00 22, 584. 68 State-bank notes outstanding. $408, 463.26 1,290. 30 31, 250. 00 14, 524. 96 1, 405. 58 16, 000. 00 1, 674. 93 5, 800. 00 6, 352. 33 3, 627. 00 209. 28 17, 745. 50 3, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 288,631.90 Due to other national banks Due to State banks and baftikers .. Notes and bills re-discounted Bills payable , 198. 60 412.18 17,500.00 1, 406. 25 535, 634. 07 Total. 535,634.07 218 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Bank, Coxsackie. No. 1398. D. M. HAMILTON, President. ALBERT PARKER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securitjes, judgments, etc . . Due from approved reserve agents Due from oiber national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U.S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Kedeniption fund with Treas. TJ. SDue from Treasurer U. S Total. |146, 755. 07 149.34 25, 000. 00 51, 201. 51 939.1L Capital stock paid in $100,000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 4, 000. 00 4,911.78 22, 500. 00 Dividends unpaid. 5, 000. 00 3, 034.12 1,173. 47 4, 500.00 466.77 Individual deposits ' United States deposits : Deposits of U. S. disbursing officers. 108, 952.19 Due to other national banks 799.00 Due to State banks and bankers . . 94.00 6, 690. 00 Notes and bills re-discounted . 2, 700.00 Bills payable 9,160. 68 102. 74 1,125.00 Total . 249, 627.39 249, 627. 39 First National Bank, Cuba. No. 2451. WILLIAM P. STEVENS, President Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national-banks Duefrom State banks and bankers . Bauk'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total., $182, 962.29 2,140.28 12, 500. 00 13, 699.14 582.11 7, 500. 00 20.64 4, 234. 50 2, 392. 00 H. C. MORGAN, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits. 40, 000. 00 6, 000. 59 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 114, 977. 53 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 174. 96 5, 000. 00 562.50 Total. 227,403.08 227,403. 08 Cuba National Bank, Cuba. E. D. LOVE RIDGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. DUH from otber national banks Due from State banks and bankers liank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1143. $301, 558.75 955.02 25, 000.00 12, 333.01 1,128.14 1,479.38 8, 000. 00 536. 39 300. 00 316.27 21.60 8, 595. 00 4,120. 00 CHARLES S. DAVIS, Cashier. Capital stock paid in $100,000.00 Surplus fund Undivided profits 46, 500.00 4, 988.99 National-bank notes outstanding.. State-bank notes outstanding . . . . . 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 188,079. 57 3, 400. 00 1, 125. 00 365, 468.56 Total . 305,468. 56 REPORT OF THE COMPTROLLER OF THE CURRENCY. 219 N E W YORK. Delaware National Bank, Delhi. GEORGE E. MARVINK, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,fumiture,andfixtures Other real estate and ruortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. No. 1323. $259,361.55 287. 79 50, 000. 00 56, 697. 00 12, 440. 71 147.46 463.88 5,521.76 378. 04 6, 583. 25" 7,481. 90 40.00 54. 41 9, 069. 90 8, 549. 00 WALTER G-. EDGERTOM, Cashier. Liabilitiei Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits DepositsofU.S. disbursing officers. $150, 000.00 6,188. 67 8, 369. 24 44, 900. 00 580.00 209, 291. 74 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250.00 419, 329.65 419, 329.65 Total. Deposit National Bank, Deposit. C. J. KNAPP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Tceas. U. S. Due from Treasurer U. S Total., CHAS. P. KNAPP, Cashier. No. 472. $100, 000. 00 Capital stock paid in. 50, 000. 00 Surplus fund 40,406. 39 Undivided profits. 23, 320.00 45, 950. 00 National-bank notes outstanding.. 3, 569.00 10, 054.86 State-bank notes outstanding $194,480.40 2, 096. 08 26, 500.00 1, 056. 46 2, 831. 38 21,250.16 490. 95 744. 69 2, 370. 00 32.19 6, 471.00 3,175.00 Dividends unpaid Individual deposits United States deposits ,.. Deposits of U. S. disbursing officers Due to other national banks Du» to State banks and bankers . Notes and bills re-discounted . Bills payable 69.79 100, 208. 04 1,122.45 1,192. 50 318, 695.67 318,695.67 Total. Dover Plains National Bank, Dover Plains. GEORGE W. KETCHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 822. $91, 965.13 50, 000. 00 115, 890. 00 22, 306. 25 1,979.19 12, 828. 77 8, 000. 00 1,072.88 176. 46 2, 856.00 67.42 3, 259. 00 5, 250.00 R. P. KETCHAM, Cashier. Capital stock paid in $100, 000.00 Surplus fund Undivided profits 20, 000. 00 44,194. 76 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 45, 000. 00 Individual deposits United States deposits DepositsofU.S. disbursing officers. 83,849. 84 Due to other national banks Due to State banks and bankers 19, 680.50 176. 00 Notes and bills re-discounted 2, 250. 00 317,901.10 Total 317,901.10 220 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Dundee National Bank, Dundee. JAMES SPICEE, President. N o . 2163. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $100,393. 91 139. 65 12, 500. 00 9, 393.23 2,120. 56 1, 619.69 6, 642. 49 7,180.05 3, 424.14 937. 50 1, 070, 87 175.00 136.44 3,125. 73 2,112. 00 G. S. SHATTUCK, Cashier, Liabilities. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 3, 755. 00 7,238.10 11, 250. 00 Dividends unpaid Individual deposits 68, 835.17 United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 30.33 7, 000. 00 3, 425.16 562.50 151, 533.76 151, 533.76 Total. Lake Shore National Bank, Dunkirk. N o . 2916. W. T. COLEMAN, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agentsDue from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents . Specie Legal-tender notes U S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $555, 481. 83 1, 559. 39 30, 000.00 39, 948. 32 25, 888.16 12, 447. 36 6, 571.75 *l'544.*33' 1, 985. 00 310.00 26, 701. 75 5, 505. 00 A. J . LUNT, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable , $105,000.00 52,000.00 28, 026.24 27, 000.00 484, 697.15 12, 026.07 543.43 1, 350. 00 709,292.89 Total. 709, 292.89 Merchants' National Bank, Dunkirk. S. M. CLEMENT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. 0". S Due from Treasurer U. S Total. No. 2619. $324, 619.37 1, 014. 25 25,000.00 28, 427. 64 672.20 2,434. 38 20, 000. 00 1,348.52 6, 500.00 888.21 5.00 104. 71 12, 508.45 5, 700. 00 JOHN H. LASCELLES, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-banknotes outstanding.. State-bank notes outstanding Dividends unpaid $100,000.00 16,700.00 9,162. 38 22, 500. 00 , 15,00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 281, 742. 92 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 130.43 97.00 1,125. 00 430, 347.73 Total. 430, 347.73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 221 NEW YORK. First National Bank, Edmeston. T. BOOTMAN, Cashier. No. 3681. CALEB CLARK, President. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bends to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks . Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S , Total $77,141.45 403.50 12, 500. 00 ;;;;.: 1, 500.00 10,442.17 3G8.12 m'hY iO2.49 2, 822. 02 230. 59 570.00 15.10 785.00 830.00 Capital stock paid in $50,000.00 3,200.00 1,607.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 11, 230.00 720.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 42, 383.50 Due to other national banks Due to State banks and bankers . . 22.95 Notes and bills re-discounted Bills payable 562.50 Total 109,163.45 109,163.45 First National Bank, Ellenville. CHARLES V E R NOOY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation...| U. S. bonds to secure deposits ! U. S. bonds on hand Stocks, securities, judgments, etc ..! Due from approved reserve agents ! Due from other national banks j Due from State banks and bankers j Bank'g-house,fuiniture,andftxtures; Other real estate and mortg's o wnedj Current expenses and taxes paid... I Premiums on U. S. bonds j C hecks and other cash items ! Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates ol deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in. $100, 000.00 Surplus fund Undivided profits 46, 000.00 9, 858.42 13.283.50 34, 500. 00 1,463.71 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 7, 200. 00 3, 000.00 2, 666. 78 2, 023.44 1, 489. 84 Individual deposits United States deposits Deposits of U. S. disbursing officers. 121.121.76 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 14, 090.60 745.00 42.17 15,194.50 9, 380.00 Dividends unpaid 425.60 1,125.00 313,996.38 Total. E L I DU BOIS, Cashier. No. 45. $196,835.52 46.92 25, 000. 00 Total. 313,996. 38 Home National Bank, Ellenville. JOHNJMCELHONE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers.! Bank'g-houae,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... j Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks J Fractional currencv, nickels, cents .: Specie .". Legal-tender notes U. o. certificates of deposit Redemption fund with Treas. U. SJ Due from Treasurer U. S j Total. No. 2117. $196,504.25 63.78 25,000.00 39,005.44 5, 625.70 5,000.00 1,821.84 843.16 2,100.00 26.09 12,657.46 1,295. 00 GEO. H. SMITH, Cashier. Capital stock paid in $100, 000.00 Surplus fund Undivided profits 20, 000.00 16,190. 88 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid 1,161. 37 Individual deposits United States deposits Deposits of U.S. disbursing officers 120, 009.51 Due to other national banks Due to State banks and bankers . . 11, 205.96 Notes and bills re-discounted Bills payable 1,125.00 291,067. 72 Total 291,067.72 222 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Second National Bank, Elmira. D. M. PRATT, Cashier. No. 149. SEYMOUR DEXTER, President. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houee, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $336,074.21 642. 50 50,000.00 50, 000. 00 12,000.00 19,319.56 42, 740.69 6, 934.96 30, 000.00 29,000.00 13,388.00 20,988. 00 20.06 22,460. 00 25,000.00 $200, 000. 00 Capital stock paid in. urp] Undivided profits - 40,000. 00 25, 228.75 National-bank notes outstanding. State-bank notes outstanding 45, 000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 221,473.44 55,000.00 Due to other national banks Due to State banks and bankers -. 71,116.02 2,999.77 Notes and bills re-discounted Bills payable 2,250.00 Total. 660,817.98 660,817.98 Elmira National Bank, Elmira. C. E. SELOVER, President No. 4105. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-Louse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. E. L'. WTCKOPF, Acting Cashier. $88,912.06 Capital stock paid in. "50," 666." 66' Surplus fund Undivided profits. National-bank notes outstanding. 5,522.50 State-bank notes outstanding 760.10 957.49 1,187.31 796. 20 14,187.50 95.32 642.00 746. 52 4,755.75 6, 415. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable Total. 174,977.75 $120, 000.00 1,573." 66 51, 779.32 1,150. 96 473.81 174,977. 75 National Bank, Fayetteville. O. D. BLANCHAKD, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bond.s Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total.. No. 1110. $91,083.49 760.07 15,000.00 1,413.26 723.44 325.34 5,000.00 8, 000.00 1,269.74 3, 975.00 673. 46 1,494.00 63.77 7,714.40 . 240.00 R. W. EATON, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding-. State-bank notes outstanding $60, 000. 00 6, 944.45 4,147.49 13,500.00 Dividends unpaid. Individual deposits United States deposits DepositsofU.S.disbursingofficers. 53,819. 03 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 675. 00 138,410.97 i Total. 138, 410.97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 223 NEW YORK. First National Bank, Fishkill Landing. No. 35. J. T. SMITH, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks 1 Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned) Current expenses and taxes paid .. Premiums on TJ. 8. bonds Checks and other cash items Exchanges for clearing-house BilJs of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . M. E. CURTIS, Cashier. Liabilities. $291, 222.54 335.88 25,000.00 350.00 99, 894. 85 145,689.15 15, 369.88 i2,b66.66 4, 686. 68 3, 991. 36 100.50 11, 902.29 6,860.00 331. 29 8, 656. 25 15, 719.00 $100, 000.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Dep osits of U. S. disbursin g officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 32, 000. 00 39,931.14 22, 500.00 387, 515.86 61,197. 67 1,125.00 Total. 643,144.67 643,144.67 National Mohawk River Bank, Fonda. DANIEL SPRAKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1212. $208, 088. 66 709.02 100,000.00 1, 000. 00 6, 450.76 913. 02 5, 000. 00 3,700.00 1,073.71 367.21 2, 400. 00 46.81 9, 000. 00 J. LEDLIE HEES, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $100, 000.00 . 21, 500.00 4, 835.51 90, 000. 00 195. 00 119,142. 86 9, 405. 82 4, 500.00 1, 830. U0 Total. 345, 079.19 345, 079.19 First National Bank, Fort Edward. J. M. N O R T H U P , President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, secnrities, judgment?, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures| Other real estate andraortg'sowned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash ijbems Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. A. R. WING, Cashier. No. 3330. $290, 274.93 1,179.43 19, 000.00 70, 000.00 47, 024. 76 20, 306.88 5, 800. 00 530.40 3, 791.90 455. 00 90.00 20, 841. 23 3, 500. 00 Capital stock paid i n . $75,000.00 Surplus fund Undivid divided profits. 5, 000.00 10, 356. 01 National-banknotes outstanding-. State-bank notes outstanding 17,100.00 Dividends unpaid 290. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 367, 780. 86 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . 8,391.65 Bills payable 255.00 483,918.52 Total . 483, 918. 52 224 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Fort Plain National Bank, Fort Plain. EDWIN W. WOOD, President. No. 2860. F. S. HASLETT, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-bouse,furniture,and fixtures Other real estate and mortg's owned Current expen ses and taxes paid. . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U.S Liabilities. $648, 705. 90 6.56 50,000.00 225, 000.00 89, 413.17 1, 3!)3. ^9 48. 72 L 000. 00 % 6, 000. 00 354. 00 6, 000. 00 455. 89 Capital stock paid in. 40. 000. 00 20-1, 471. 26 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers 587, 788. 01 Due to other national banks Due to State banks and bankers.. 3,421, 98 Notes and bills re-discounted. Bills payable 1,080,681.25 i Total. $200, 000.00 Surplus fund Undivided profits Total. 1,080,681,25 First National Bank, Frankfort. No. 3582. HENRY CHURCHILL, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from otner national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ.S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $102, 031.44 73. 57 12, 500.00 11, 366. 71 4, 0H1. 31 512.15 5, 721. 96 462.76 700. 00 119. 35 125.00 43.04 4, 618. 50 3,151.00 A. TV. HASLEHUKAT, Cashier, Capital stock paid i n . $50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 200.00 7, 588. 83 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 75, 655.40 Due to other national b a n k s Due to State banks and b a n k e r s . . Notes and bills re-discounted. Bills payable 1, 375. 06 562. 50 146, 069. 29 Total. 146, 069. 29 First National Bank, Franklin. AMOS DOUGLAS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, eto . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S ^... Total No. 282. F. W. BAUTLETT, Cashier. $80, 821. 46 Capital stock paid in. 161. 67 50, 000.00 Surplus fund Undivided profits. 4, 000.00 8, 034. 60 National-bank notes outstanding. 21, 289. 93 State-bank notes outstanding 553. 78 Dividends unpaid. 3, 300. 00 Individual deposits 893. 39 United States deposits 1, 484.32 Deposits of U. S. disbursing officers. 1, 599. 99 Due to other national banks 641. 00 Due to State banks and bankers . . 34.84 8, 534. 70 Notes and bills re-discounted . 4,165.00 Bills payable $50, 000. 00 18, 000.00 4, 798. 86 45, 000.00 185.76 69, 438. 70 341.36 2, 250,00 187, 764. 68 Total. 187, 764.68 REPORT OF THE COMPTROLLER OF THE CURRENCY, 225 YORK. First National Bank, Franklinville. No. 2345. T. CASE, President. J. D. CASE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortal's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $177, 990. 91 1,110. 73 15, 000.00 13, 432.13 39.41 258. 80 7, 500. 00 1, 310.21 5." 98 200. 00 94.19 4, 718.00 7, 597.00 Capital stock paid i n . $55,000. 00 Surplus fund Undivided profits. 14, 000.00 4, 035. 91 National-bank notes outstanding.. State-bank notes outstanding 13, 500, 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. .142, 442.64 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable , 31.63 922.18 675. 00 Total . 229, 932. 36 229, 932.36 Farmers' National Bank, Franklinville. JOHN NAPIER, President. No. 2755. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andtixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonus Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $101,120. 80 1, 890. 98 15, 000. 00 613.69 7, 031.47 3, 382. 97 3,102.94 5, 238. 03 2,4t>4. 3G ABNER P . ADAMS, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits 654.78 United States deposits 3, 975.00 Deposits of U. S. disbursing officers. 199. 83 Due to other national banks 205.00 Due to State banks and bankers .. 97.46 2, 443. 35 Notes and bills re-discounted 4,447.00 Bills payable 675. 00 Total. 152, 542.66 $52, 000.00 1,124.14 647.16 13,500.00 67, 962.01 2, 890.45 597.88 13,821. 00 152, 542. 66 Fredonia National Bank, Fredonia. C. ABBEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,,judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and nxtures| Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Tres U. S . npti »as. Due from Treasurer U. S . Total. H. Ex. 3- -15 No. 841. $496, 815. 89 6,455.05 50, 000. 00 5, 270.46 35, 845.16 6, 721. 46 22, 492. 07 10, 000. 00 13. 911. 60 1, 629. 91 3, 700. 00 2, 450.90 90.00 436. 61 24, 440. 00 8, 282.00 F . R. GREEN, Cashier. Capital stock paid in. Surplus fund p Undiv divided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $100,000.00 30, 000. 00 22, 391. 47 45, 000.00 490, 949.60 1, 980.68 469.36 2, 250.00 690, 791.11 Total. 690, 791.11 226 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Friendship. No. 265. A. W. MINER, President. A. J. WELLMAN, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve ageots. Due from other national banks. . . . Due from State banks and bankers. Bank'g-house, furniture, and fixtures. Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $304, 285.92 Capital stock paid in . 3,265.03 20,000.00 j i Surplus fund . „ Undivided profits $75, 000. 00 43, 000.00 10, 042. 69 National-bank notes outstanding.. j State-bank notes outstanding !. 1,372.37 14,076.85 7,575. 42 20, 516. 23 10,400.00 1,652.62 1,095.77 2,200. 00 141. 60 Dividends unpaid 18, 000. 00 j Individual deposits I United States deposits j Depositsof U.S.disbursingofl&oers. i Due to other national banks .1 Due to State banks and bankers.. j Notes and bills re-discounted. Bills payable 52.82 6, 762.38 12,351. 00 260, 349. 20 211.04 45.08 900.00 Total, 406,648.01 406, 648.01 Citizens' National Bank, Friendship. S. Me ARTHUR NORTON, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,Judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mort g's owned Current expenses and taxes paid .. j Premiums ou U. S. bonds Checks and other cash items I Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . M. W. POTTER, Cashier. No. 2632. $113,693.62 1,366.83 12,500. 00 Capital stock paid in $50, 000. 00 Surplus fund , Undivided profits. 9, 500.00 1, 860. 78 11, 250. 00 National-bank notes outstanding.. 3,886.69 State-bank notes outstanding 10, 097. 58 5, 011.11 Dividends unpaid. 8, 500.00 Individual deposits 339. 87 United States deposits 1, 500. 00 Deposits of tT.S.disbursing officers 94, 246.14 Due.to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 130. 00 153. 72 4, 760. 00 4, 355. 00 562. 50 Total . 166, 856. 92 166, 856. 92 First National Bank, Fulton. D. W. GARDNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation..U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit — Redemption fund with Treas. U. S Due from Treasurer U. S . Total. No. 968. AMOS YOUMANS, Cashier. Capital stock paid in j $57, 500.00 Surplus fund Undivided profits j National-bank notes outstanding.. I j 26.48 : State-bank notes outstanding 11,500.00 11,432.12 51, 750.00 $114,415.97 1,338.14 57, 500.00 1, 262.54 570.48 Dividends unpaid j j i I Individual deposits 1, 022.87 I United States deposits DepositsofU.S.disbursingoflicers.j 731.94 1, 534. 40 227.00 858. 09 2, 180. 00 I Due to other national banks ; Due to State banks and bankers.. I 42,451. 56 !•, 621.73 Notes and bills re-discounted . Bills payable 2, 587. 50 184,255.41 Total . 184,255.41 REPORT OF THE COMPTROLLER OF THE CURRENCY. 227 NEW YORK. Citizens' National Bank, Fulton. GEORGE M. CASE, President. No. 1178. SOLON F. CASE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, farniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $260, 240.92 1, 933. 89 166,100. 00 Capital stock paid in. $166,100.00 Surplus fund Undivided profits 366-60" 3, 902. 75 National-bank notes outstanding.. 8, 889.11 State-bank notes outstanding 1, 041. 30 796. 08 Dividends unpaid. 1, 8C5. 00 1,812.95 277. 54 2 524. 66 49.09 3, 745. 00 2, 000.00 45, 000. 00 17, 700. 23 147, 990. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 79, 811.35 Due to other national banks Due to State banks and bankers .. 3, 239. 45 338. 32 Notes and bills re-discounted . Bills payable 2,712. 78 7,474. 50 Total. 462, 892.13 462, 892.13 Fultonville National Bank, Fultonville. JOHN H. STARIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2869. $165, 569. 65 25.08 12, 500. 00 55, 525. 75 LORENZO V. PECK, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 7, 000.00 13, 398.66 11, 230. 00 Dividends unpaid . 1,100. 00 886. 90 2,750. 00 174. 95 10.00 22. 65 3, 968.45 12,793. 00 Individual deposits United States deposits Depositsof U.S. disbursingoliicers 174, 390. 36 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 556. 79 562. 50 Total. 256, 575. 81 256, 575. 81 Genesee Valley National Bank, Genesee. JAMES S. ARTON, President. Loans and discounts Overdrafts U. S. bonds to secure cireulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hon se, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums onU. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 886. $239,982.40 194.48 138,150.00 30, 050.00 16, 000. 00 47, 035. 73 269. 50 THEO. F. OLMSTED, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding | $150, 000. 00 50, 000. 00 14, 023. 92 121, 700. 00 Dividends unpaid 6, 000.00 5, 000.00 1,147. 61 5, 029. 93 2,939. 75 2,978. 00 83.35 11, 547. 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers... 177, 970.16 1,990. 92 Notes and bills re-discounted . Bills payable 6, 216. 75 3, 060. 00 515, 685. 00 Total. 515,685. 00 228 REPORT OP THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Geneva. ALEXANDER L. CHEW, President. No. 1G7. THOMAS H. CHEW, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks*and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $236, 789. 21 824. 89 25, 000. 00 36,957.35 7, 589. 53 Surplus fund Undivided profits 20, 000. 00 13, 484. 36 National-bank notes outstanding. State-bank notes outstanding 22, 500. 00 Dividends unpaid. 10, 000. 00 **2,"557."26' 327.85 1, 639. 00 113. 00 11, 257. 00 14, 808. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers 189, 630. 34 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 3, 373.33 1,125. 00 i. 03 Total. $100, 000.00 Capital stock paid in. Total. 348, 988. 03 Geneva National Bank, Geneva. S. H . V E R P L A N C K , President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned; Current expenses and taxes paid... Premiums on U. S. bonds. Cheeks and other cash items Exchanges for clraring-hou»se Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from TreasurerU. S M. S. SANDFORD, Cashier. No. 949. $399, 686.05 Capital stock paid in. $150, 000. 00 716. 30 50,000. 00 Surplus fund 55, 000.00 27, 733. 53 Undivided profits. 47, 273.85 61,249.38 1, 222. 40 9, 748. 21 10, 000. 00 ' " 3 , " 960." 36' 3, 266. 00 fi68. 64 18, 570. 95 7, 750. 00 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 339, 936.43 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 663. 00 28.68 ""2," 250." 66' 1, 999. 50 618, 361. 64 Total. National-bank notes outstanding.. State-bank notes outstanding Total. 618, 361. 64 First National Bank, Glens Falls. .1. LAFHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U.S.bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Duo from approved reserve agents. Due from other national banks DUB from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 980. Capital stock paid in $602, 909. 91 2,100.00 119, 000. 00 26,066.66 1,008.34 308,818.48 44, 668. 35 1,192. 37 12,000.00 1, 597. 58 3, 676. 64 3,951.00 220. 00 16,142. 70 1, 000. 00 20, 000. 00 5, 355. 00 10, 330.00 1,173, 970. 37 E . T. JOHNSON, Cashier. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $136, 400. 00 60, 000. 00 78,704.0L 115, 980. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 778, 694. 09 Due to other national banks Due to State banks and bankers . . 4,192.27 Notes and bills re-discounted . Bills payable Total. 1,173,970.37 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 229 YORK, Glens Falls National Bank, Glens Falls JEREMIAH W. FINCH, President. WM. A. WAIT, Cashier. No. 1293. Liabilities. Eesources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Eedemption fund with Treas. IT. S. Due from Treasurer IT. S Total $801, 067.22 2, 703.13 67,000.00 11,111.00 91, 835.28 2, 949. 34 2,015.87 12, 000.00 1,711.66 4, 835.00 110.65 6,142. 35 7, 000. 00 35, 000. 00 3,015.00 $112, 000.00 Capital stock paid in. 25, 000. 00 158,436. 85 Surplus fund Undivided profits. National-banknotes outstanding.. State-bank notes outstanding 39, 950. 00 4, 840.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 708, 939. 50 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 2,144. 46 Total . 1,051,310.81 1, 051, 310. 81 Fulton County National Bank, Gloversville. JOHN MCNAB, President. No. 3312. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,fui'Diture, and fixtures Other real estate and raortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $806,219.75 206. 76 37, 500.00 W. D. AVEST, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. 113, 379. 94 State-bank notes outstanding 1, 512. 75 1, 807. 49 Dividends unpaid 19, 000. 00 504.83 Individual deposits United States deposits , 7, 617.19 Deposits of U.S. disbursing officers. I 1, 671.41 Due to other national banks 1,800.00 Due to State banks and bankers . . 259.60 31, 993. 75 Notes and bills re-discounted. 15, 000. 00 Bills payable $150, 000.00 85, 000.00 7, 924.44 33, 750. 00 99.00 757,479.45 3, 976. 81 1, 931. 27 1, 687. 50 1,040,160.97 Total 1,040,160.97 Goshen National Bank, Goshen. W. T. RUSSELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Otherieal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. "W. M. MuititAY, Cashier. No. 1408. $234, 902. 85 Capital stock paid i n . $110, 000. 00 1,301.84 22, 000. 00 27; 500. 00 Surplus fund 5, 285. 31 Undivided profits 34, 571. 71 National-bank notes outstanding.. 24,100. 00 20, f547.05 State-bank notes outstanding 28,455. 31 Dividends unpaid 242. 50 10, 000.00 Individual deposits 219, 685. 62 2,343. 98 United States deposits 7,117.19 Deposits of U. S. disbursing officers. 1, 421.99 8,839.29 Due to other national banks 1, (J7f). 00 Due to State banks and bankers . . 67.00 18,197.30 Notes and bills re-discounted . 710. 00 Bills payable 1, 237.50 390,152. 72 Total. 390,152. 72 230 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Bank of Orange County, Goshen. G. W. MURRAY, President. No. 1399. C. J". EVERETT, Cashier. Liabilities. Resources. $366, 996.10 1, 8.")6. 62 110,000.00 Loans and discounts I Overdrafts ; U. S. bonds to secure circulation... i XJ. S. bonds to secure deposits j U. S. bonds on hand I Stocks,securities, .judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers j Bank'g-house,furniture,and fixtures! Other real estate and mortg's owned Current expenses and taxes paid... | ! Premiums on U. S. bonds Checks and other cash items j Exchanges for clearing-house \ Bills of other national banks I Fractional currency, nickels, cents -| Specie | Legal-tender notes I TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S 79, 953.75 49,144.99 20, 409. 99 11,000.00 3, 000. 00 1, 652.65 7, 342.61 1,953.00 43.08 17,981.65 5, 500. 00 Capital stock paid in $110, 000.00 Surplus fund Undivided profits . 22, 000. 00 96, 325. 37 National-bank notes outstanding.. State-bank notes outstanding 99, 000.00 Dividends unpaid. 491.25 Individual deposits United States deposits Deposits of U. S. disbursing officers 322, 979. 47 Due to other national banks Due to State banks and bankers . . 30, 988. 35 Notes and bills re-discounted . Bills payable 4, 950.00 Total . 681, 784.44 Total. 681,784.44 First National Bank, Gouverneur. GEORGE M. GLEASON, President. No. 2510. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate andmortg's owned' Current expenses and taxes paid... Premiums on U. S. bonds J Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ' Redemption fund with Treas. U. S.! Due from Treasurer U. S j $127, 831. 57 15, 000. 00 68, 357. 70 3, 510. 53 8, 000. 00 6, 8*59.42 698.00 500. 00 808. 57 940. 00 145. 26 6,439. 50 2, 500. 00 A. L. "WOOD-WORTH, Cashier. $55,000.00 Capital stock paid in. Surplus fund Undivided profits, 9, 500. 00 2,147.86 National-bank notes outstanding . State-bank notes outstanding 13,500. 00 Dividends unpaid. Individual deposits .." United StatesVleposits Deposits of U. S. disbursing officers. 161,864.77 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 252.92 675. 00 Total. 242, 265.55 Total . 242,265.55 Farmers' National Bank, Granville. JAMES E.GOODMAN,President. ' Loans and discounts I Overdraft s I U. S. bonds to secure circulation . . . [ U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national' Danks j Fractional currency, nickels, cents, j Specie Legal-tender notes ; U. S. certificates of deposit Redemption fund with Treas. U. S.! Due from TreasurerU. S Total ; No. 3154. $137,096. 94 103.00 12,500. 00 TV. D. TEMPLE, Cashier. Capital stock paid in. Surplus fund I Undivided profits I National-bank notes outstanding.. 9,110.66 j State-bank notes outstanding 890.81 Dividends unpaid. 5,125.00 i 2,300.00 ! Individual deposits 797.86 I1 United States deposits 3,258.83 |j Deposits of U.S.disbursing officers. 419.62 jl Duo to other national banks 598.00 i ; Due to State banks and bankers.. 53.20 1,300.00 Notes and bills re-discounted . 8, 423. 00 Bills payable \ 562. 50 j 20.24 i 182,559.66 Total. $50, 000.00 4, 500.00 1,635.47 11,250.00 381.00 105, 445.24 4, 347. 95 5,000.00 182, 559.66 REPORT OF THE COMPTROLLER OF THE CURRENCY. 231 NEW YORK. National Bank, Granville. No. 2294. H. W. HUGHES, President. D. D. WOODARD, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation .. XJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents Due from other national banks . . Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid. -. Premiums on U. S. bonds, Checks and other cash items Exchanges for clearing-house... . Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S . Due from Treasurer TJ. S Total. Liabilities. Capital stock paid in $100,000.00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 15, 649.92 1,839.72 5,137.12 6, 202. 50 435. 00 1, 310.97 1,500.00 1,690. 29 25, 000.00 4, 304. 33 22, 500. 00 Dividends unpaid 420.00 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. 36.00 12.60 950. 00 5, 400.00 162,184. 07 1, 659. 12 1, 196.81 Notes and bills re-disoounted . Bills payable .- 1,125. 00 317, 264. 33 Total. 317, 264.33 First National Bank, Greenport. No. 334. (>. H. CORWIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit liedemption fund with Treas. TJ. S. Dae from Treasurer U. S Total. E. B. HARRIS, Cashier. $99,121.35 I Capital stock paid in j 76.48 ' 50,000.00 ' Surplus fund ! Undivided profits ! 51, 586. 00 1 National-bank notes outstanding.. | 1 25,259. 67 j i State-bank notes outstanding 2,46-1.96 6,386.75 • Dividends unpaid 2, 500.00 !' Individual deposits 2,083.14 United States deposits Deposi ts of U. S. disbursing officers. $50,000.00 15,000.00 11,468,80 43,000. 00 128,395.42 421.37 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 1,152. 00 53.46 336. 00 11, 500. 00 7, 330. 96 2,250.00 ;j 255,195.18 Total . 255,195.18 People's National Bank, Greenport. S. " V PHILLIPS, President. N. Loans and discounts j Overdrafts U. S. bonds to secure circulation. . J U. S. bonds to secure deposits I U. S. bonds on hand I Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers Bank'g-house, furniture, andfixturesj Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash-items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Kedemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 3232. E . O. CORWIN, Cashier. $129,158.43 1 Capital stock paid i n . 1 $50, 000. 00 \ | ! | 1 5, 000.00 i National-bank notes outstanding.. 13, 283. 62 i | State-bank notes outstanding 12, 500. C j O 10, 596.02 4, 500.00 Surplus fund Undivided profits , Dividends unpaid j 1 1 Individual deposits 698.00 ; | United States deposits 2,100.00 |j DepositsofU.S.disbursingofiicers 7, 500.00 1, 951.17 11,250.00 1, 047.00 115, 749. 51 1, 246. 97 2, 070. 00 122.23 3, 145. 55 9, 500. 00 I j Due to other national banks I i Due to State banks and bankers... 6, 554. 30 431. 34 Notes and bills re-discounted . Bills payable 562.50 194,483.32 Total. 194,483.32 232 REPORT OF THE COMPTROLLER OP THE CURRENCY. NEW YORK. First National Bank, Greenwich. No. 2517. A. B. COLE, President S. "W. BAILEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie ^ Legal-tender notes U. 8. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $118, 511. 29 1, 639.62 50,000.00 12, i66.55 7, 786.45 1,410. 08 2, 000.00 3, 510.39 865.00 74.25 4,690.10 6,672.00 Capital stock paid in Surplus fund Undivided profits National-bant notes outstanding.. State-bank notes outstanding Dividends unpaid $50, 000. 00 15, 000. 00 9, 989.62 45, 000. 00 100. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 91,420.11 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 2,250. 00 211,509.73 211, 509.73 Total First National Bank, Groton. CHARLES PERRIGO, President. Loans and discounts Overdrafts U. S. bonds to secure circulation — U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks . Fractional currency, nickels, cents Specie ...". Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1083. D. H. MARSH, Cashier. $188,245.51 5, 271. 37 25,000.00 Capital stock paid in. Surplus fund Undivided profits. 8, 773. 21 National-bank notes outstanding.. 12, 080.15 State-bank notes outstanding 1,121. 45 485. 38 12, 250.00 19, 617.56 ],819.79 467. 50 539. 00 90.01 6, 765. 00 3,045. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. $100, 000. 00 20, 000.00 25, 634. 55 22, 500. 00 115,107. 44 3,453. 94 Bills payable 1,125. 00 Total. 286,695.93 286, 695, 93 National Hamilton Bank, Hamilton. ALVAH PIERCE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dne from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1334. $233, 584. 30 11.31 52, 000. 00 3, 300. 00 5, 200. 00 30, 507. 37 1, 309.15 8, 500.00 ""508,'96 "'948.'66 340.00 40.92 21, 500. 00 4, 025. 00 D. B. WEST, Cashier. Capital stock paid in Surplus fund . . . . $110, 000. 00 . . . Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing ofiicers. Due to other national banks Due to State banks and bankers .. 22, 000.00 22, 708. 82 46, 300. 00 1, 045. 00 161, 580. 62 111. 87 368.70 Notes and bills re-discounted Bills payable 2, 340. 00 364,115. 01 Total 364,115.01 REPORT OF THE COMPTROLLER OF THE CURRENCY. 233 NEW IORK. National Bank, Haverstraw. No. 2229. I. M. HEDGES, President. GEOKGE H. SMITH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $117,089.11 2,310.99 50, 000.00 100, 000.00 62, 500. 00 90, 250. 00 94, 378. 02 9, 000. 00 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits. 12, 500. 00 70, 822. 77 National-bank notes outstanding-. State-bank notes outstanding 45, 000.00 Dividends unpaid Individual deposits "l," 303." 32* United States deposits 31,000.00 Deposits of U.S. disbursing officers 887. 20 199,310.21 110,000.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 45, 921. 89 2, 058.00 27.57 500. 00 14, 000.00 50, 000.00 2, 250. 00 583,554. 87 Total. 583, 554.87 First National Bank, Herkimer. HENRY CHURCHILL, President. ' Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationaVbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 3183. A. W. IIASLEIIUBST, Cashier. $154, 297.27 899. G:J 12, 500.00 i Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. 12, 375.32 State-bank notes outstanding 10,723. 07 003.30 1, 700. 00 717. 83 400.00 180.84 240. 00 19.00 3, 505.00 3, 068.00 Dividends unpaid. $50,000. 00 3, 800.00 11,129.03 11,250.00 175. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 128, 582. 22 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 3, 516.17 562. 50 208,453.02 Total. 208,453.02 First National Bank, Homer. GEORGE N . COPELAND, President. Loans and discounts Overdrafts U. S. bonds to securo circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg'sowned Current expenses and t&xes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2398. $136, 605.84 54.82 25,000. 00 87,320. 00 24,116.13 804. 78 428. 31 9, 271.00 900. 00 1,479.22 165.10 1,410. 00 39.90 13,826. 85 3, 700. 00 W. H. CRAM, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $100,000.00 20,000.00 11,490.73 22, 500.00 Dividends unpaid Individual deposits , United States deposits Deposits of U. S. disbursing officers. 152,159.72 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable , 96.50 1,125.00 306,246. 95 Total. 306,246.95 234 REPORT OF THE COMPTROLLER OF THE CURRENCY. Homer National Bank, Homer. GEORGE W. PHILLIPS, President. No. 3186. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national Wanks Due from Stat^ banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specio Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer U. S Total . $117,223.69 260.86 45, 000. 00 9, 350. 00 13, 581.30 1, 239. 99 A. H. BENNETT, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $75, 000. 00 6,500.00 2, 584. 98 40,200. 00 Dividends unpaid 973. 27 3, 000. 00 118.00 25.00 55.41 5,531.45 645.00 Individual deposits United States deposits Deposits of U.S.disbursing officers Due to other national banks ... Due to State banks and bankers.. 85, 351.14 711.19 Notes and bills re-discounted . Bills payable 2, 025. 00 210, 347.31 Total. 210, 347.31 First National Bank, Hoosick Falls. TIIURMAN J . WALLACE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits . . U. S. bonds on hand ! Stocks, securities, judgments, etc.. Due from approved reserve agents ! Due from other national bauks j Due from. State banks and bankers | Bauk'g-house,furniture,and fixtures; Other real estate and mortg'sownedi Current expenses and taxes paid.. I Premiums on U. S. bonds i Checks and other cash items i Exchanges for clearing-house ! Bills of other national banks j Fractional currency, nickels, cents. I Specio | Legal-tender notes ! U. S. certificates of deposit ' Redemption fund with Treas. U. S . Due from Treasurer U. S No. 2471. $381, 804. 77 1, 220.19 30, 000. 00 $60,000.00 Surplus fund Undivided profits 2, 500.00 j National-bank notes outstanding. 59, 212. 99 ; State-bank notes outstanding 414. 73 15.27 Dividends unpaid 15,000.00 36,469.21 e, ooo. 66 533. 69 i,o:>r>.oo 366. 72 17,855.60 4, 957.00 Individual deposits ! United States deposits I Deposits of U. S. disbursing officers Due to other national banks 27, 000. 00 56.02 366, 564.54 2,196.19 Due to State banks and bankers Notes and bills re-discounted. Bills payable , 1,350.00 507,285.96 Total . ADDISON GETTY, Cashier. Capital stock paid in Total. 507,285.96 First National Bank, Hornellsville. MARTIN ADSIT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . U. S. bonds to secure deposits U. S» bonds on hand Stocks, securities, judgments, btc. Due from approved reserve agents Due from other national banks Due from State banks and bankers Ban k'g-house,fnrniture,and fixtures Other real estate anumortg's owned Current expenses and taxes paid... Premiums on U. S. bonas Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 262. $341,466.28 2, 8:56. 57 100, 000. 00 74,309.01 5, 420. 09 10,457.38 12, 000. 00 32, 580.00 1,140. 78 1, 376.82 1,582.00 113.58 17,424. 58 20,995.00 CHARLES ADSIT, Cashier. ~$ioo7oio." 66 Capital stock paid in.. 20, 000. 00 Surplus fund 26,318.13 Undivided profits 90, 000.00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits .. -• Deposits of U. S. disbursing officers. 371, 569.06 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 18, 314.90 4, 500.00 626, 202. 09 Total. $626,202.09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 235 NEW YORK. Citizens' National Bank, Hornellsville. CHARLES CADOGAN, President. No. 2522. J. E. B. SANTEE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $198,558.22 3,178.97 25, 000.00 37,996.90 19,897.34 2,540.53 2, 358.42 1, 000.00 1,528. 66 195.00 9.60 12,461.70 5,969.00 Capital stock paid in. Surplus fund Undivided profits.... National-bank notes outstanding.. State-bank notes outstanding $100, 000.00 7, 200. 00 5, 805. 57 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 172, 644. 24 Due to other national banks Due to State banks and bankers .. Notes and bills re-discountedBills payable 2, 500.00 1,169. 59 1,125. 00 Total. 311,819.40 311,819.40 First National Bank, Hudson. Lucius MOOBE, President. Loans and discounts . Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 31)6. $550,604.60 582. 30 50, 000.00 WM. SEYMOUR, Cashier. Capital stock paid in. Surplus fund Undivided profits 2, 000. 00 National-bank notes outstanding.. 83,806. 70 State-bank notes outstanding $200, 000. 00 40,000. 00 21,112.89 45, 000. 00 26,322. 57 1,934.27 Dividends unpaid Individual deposits United States deposits 10, 000.00 Deposits of U. S.disbursing officers. 8, 668.14 1, 889.00 122.69 16,305.50 13, 843. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable.- 452,261.13 15, 954. 75 2,250.00 774, 328.77 Total. 774,328. 77 Farmers' National Bank, Hudson. JACOB W. HOYSRADT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total F. C. HAVILAND, Cashier. No. 990. $586, 576.82 Capital stock paid in. $300,000.00 1,152. 72 50,000.00 Surplus fund 60,000.00 42, 560. 59 Undivided profits 14,500.00 236,973.62 21,293. 03 4, 868.39 50,000. 00 12,391.60 1,062.00 152.16 26, 509.50 7, 591.00 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 45,000.00 108.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 482,639.26 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable , 85,013.01 2, 250. 00 1,015,320.86 Total. 1,015,320. 86 2B6 REPORT OF THE COMPTROLLER OF THE CURRENCY. N E W Y O i t K.. National Hudson River Bank, Hudson. C. H. EVANS, President. No. 1001. WM. BOSTWICK, €ashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secnre circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfi.xtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $848, 578. 61 4, 574. 50 50, 000. 00 34, 843. 93 354,245. 03 51,475.01 Capital stock paid in $250,000.00 Surplus fund Undivided profits 50,000. 00 47,366.10 National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 Dividends unpaid. 20,000. 00 28,000.00 2,500.00 7,400. 50 858.00 214.77 85, 377. 50 28,355. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re*-discounted . Bills payable 1, 069,123. 88 60,183. 55 2, 250. 00 Total. 1,521,673.53 1,521,673.53 Ilion National Bank, Ilion. CHARLES HARTER, President. D. LEWIS, Cashier. No. 1670. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national banks Duo from State banks and bankers. Bank'g-house,furniture,aodfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U.S. certificates of deposit Redemption fund with Troas. U. S. Due from Treasurer U. S Total. $295, 765.47 348.03 100,000. 00 11, 096. '25 65,908.65 1,218.51 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State bank notes outstanding 20, 000. 00 37, 807.61 90, 000. 00 Dividends unpaid. 264,952. 91 2,657.61 22,014.00 Individual deposits United States deposits Deposits of U. S. disbursing oflicers. 3,150.00 435. 62 10, 931). 00 8,350.00 Due to other national banks Duo to State banks and bankers . . Notes and bills re-discounted . Bills payable 9, 301. 95 4, 359. 70 4, 500.00 Total. 526,482.17 526,482.17 First National Bank, Ithaca. DOUGLASS BOARDMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. s. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 222. $447, 516.44 2,104. 67 50, 000. 00 HENRY B. LORD, Cashier. Capital stock paid in. $250, 000. 00 Surplus fund Undivided profits 50, 000.00 27, 234.04 162, 326.41 85, 382.14 17,723.01 3, 380. 62 National-bank notes outstanding.. State-bank notes outstanding 42, 800.00 7, 000.00 1, 055. 31 Individual deposits United States deposits Deposits of U. S. disbursing officers. Dividends unpaid 481,310.31 9D9.49 19, 097.00 174.26 49,819.00 2,426. 00 Due to other national banks Dae to State banks and bankers . Notes and bills re-discounted . Bills payable 2,250. 00 851, 344. 35 TotaL. 851,344.35 REPORT OP THE COMPTROLLER OF THE CURRENCY. 237 NEW YORK. Tompkins County National Bank, Ithaca. LAFAYETTE L. TREMAN, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houae, furniture, and fixtures Other real estate and inortg's owned Current exponses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house...... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. No. 1561. H. L. HINCKLEY, Cashier. Liabilities. Capital stock paid in. $188,775.23 362. 83 50, 000.00 $150, 000.00 Surplus fund Undivided profits . National-banknotes outstanding.. State-bank notes outstanding 227, 588. 92 20, 519. (59 3,120. 09 3, 629. 32 13, 500. 00 8,400. 00 2, 014. 28 40, 000. 00 23, 577.79 45, 000.00 Dividends unpaid. 1, 042. 83 Individual deposits. 301,259.39 United States deposits 1,915.72 jJ Deposits of U.S.disbursing officers. i 930.00 351.26 22, 517. 20 15,610.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. 227.99 376.54 Bills payable 2,250.00 561,484.54 561,484. 54 Total. First National Bank, Jamestown. F. E. GIFFORD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 548. EDWARD MORGAN, Cashier. $573, 432. 57 i Capital stock paid in. 3,166.34. 50,000.00 Surplusfund $153,300.00 Undivided profits. 495. 53 National-bank notes outstanding. 70, 935.18 State-bank notes outstanding 3, 397. 53 2, 512.07 Dividends unpaid 7, 700.00 13,609.54 il 1,133.00 320.00 14,195. 05 9, 585. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 30, 660. 00 71, 579. 32 45, 000.00 450, 682. 72 1,509.77 2, 250. 00 752,731. 81 Total. 752, 731.81 Chautauqua County National Bank, Jamestown. ROBERT NEWLAND, President. No. 1563. G E O . S. GIFFOIID, Cashier. $743,786.40 I \ Capital stock paid in Loans and discounts ; $100, 000.00 11, 844. G |i O Overdrafts ' 58,000.00 ;il Surplus fund 25, 000.00 U. S. bonds to secure circulation. -.! Undivided profits U. S. bonds to secure deposits 18,982.05U. S. bonds on hand '.. 308.77 National-bank notes outstanding.. Stocks, securities, judgments, etc .. 52, 200. 00 53,888.31 State-bank notes outstanding Due from approved reserve agents.; 7, 899. 9 L Duo from other national banks 7, 153.45 Dividends unpaid . Due from State banks and bankers 11,503.17 Bank'g-houso, furniture, and fixtures 10,115.26 Individual deposits Other real estate and mortg's owned 763, 820.4a Current expenses and taxes paid... . United States\leposits 11,100.00 Deposits of U.S. disbursing officers. I Premiums on U. S. bonds 4, 021.80 Checks and other cash items Exchanges for clearing-houso 2, 936.02 Due to other national banks 2,057.00 i! Bills of other national banks 13,257.98 :*04. 8 L 1 Due to State banks and bankers .. | 1 Fractional currency, nickels, cents.; 24,205.00 i i Notes and bills re-diacounted Specie 5, 000. 00 23,876.00 ! Bills payable Legal-tender notes ! U. S. certificates of deposit ;. 2,010.00 Redemption fund with Treas. U. S . | 1,917.00 Due from Treasurer U. S \ Total I" 981,196.4& Total. 238 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. City National Bank, Jamestown. GEORGE W. T E W , President. No. 938. HERBERT W . T E W , Cashier. Resources. Liabilities. Loans and discounts $274,862.55 Overdrafts 6,356.03 U. S. bonds to secure circulation... 25,000.00 IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. j 4, IK. 28 Due from other national banks 956.66 Due from State banks and bankers. 1,211.93 Bank'g-house, furniture, and fixtures 4, 352.72 Other real estate and mortg's owned' 15, 710.10 Current expenses and taxes paid... j 2, 073.63 Premiums on U.S.bonds ..-: Checks and other cash items ; 1,431.85 Exchanges for clearing-house Bills of other national banks | 440.00 Fractional currency, nickels, cents. 144.10 Specie 11,430.00 Legal-tender notes 6,862.00 IT.Is. certificates of deposit Redemption fund with Treas. U. S.i 1,125.00 Due from Treasurer U. S !. 356,134.85 Total. Capital stock paid in | Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding . . $100,000.00 20,000.00 25, 090.05 22, 500.00 Dividends unpaid Individual deposits j United States deposits Deposits of U.S. disbursing officers.! Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable Total 179,487.22 35.48 9,022.10 356,134.85 Jamestown National Bank, Jamestown. CHARLES M. DOW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand ; Stocks, securities,judgments, etc ..j Due from approved reserve agents, j Due from other national banks ; Due from State banks and bankers I Bank'g-house,furniture,andfixtures! Other real estate and mortg's owned: Current expenses and taxes p a i d . . . Premiums on U. S. bonds i Checks and other cash items | Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S No. 3846. . E. F . DICKINSON, Cashier. $298, 958.84 Capital stock paid in. $100,000.00 4,134.12 25,000.00 Surplus fund 5,000.00 11, 871.07 Undivided profits. 7,407.35 4,376.15 5, 556. 33 10,000.00 5, Oil. 89 6, 000. 00 898. 65 220.00 271.17 11,066. 32 11,153.00 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 237,288.22 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 9, 627. 94 4,891.59 1,125. 00 391,178.82 Total. National-bank notes outstanding.. State-bank notes outstanding Total. 391,178.82 Keeseville National Bank, Keeseville. E. K. BABER, President. Loans and discounts Overdrafts 'U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. I Bauk'g-house, furniture, and fixtures) Other real estate and mortg's owned! Current expenses and taxes p a i d . . . I Premium i on U. S. bonds I C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit.. Redemption fund with Treas. U. S . D u e from Treasurer U. S Total . No. 1753. $206,389.81 Capital stock paid in. 1.56 100,000.00 Surplus fund Undivided profits 62,550. 00 33, 202. 09 10,619.86 47.42 7,970.41 2,484.15 "" "695.77 709.00 56.42 8,653.60 S, 180. 00 C. M. HOPKINS, Cashier. National-bank notes outstanding.. State-bank notes outstanding $100,000.00 14,700.00 12,634.15 89,390.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 228,191.32 Due to other national banks Due to State banks and bankers . . 144.62 Notes and bills re-discounted Bills payable 4, 500.00 2,000.00 445,060.09 Total . 445,060.09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 239 NEW YORK. National Bank, Kinderhook. No. 1026. . VAN NESS, President. Resources. Loans and discounts Overdrafts CT. S. bonds 1 o secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house.furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. $119,020.96 56.16 32, 000.00 39,345.23 80.79 "7,566.06 6,211.70 694.95 74.01 "1,276.66" 18.83 4, 536.65 4,042.00 CALVIN ACKLEY, Cashier. Liabilities. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding . State-bank notes outstanding $125,000.00 4,000.00 16,146.49 28, 650. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingoflicers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 930.00 33, 547. 91 7, 7G9.83 247.05 *i"446*66' 216, 291.28 Total. 216, 291. 28 National Union Bank, Kinderhook. JAMES BAIN, President Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total.. No. 929. $330,397.60 Capital stock paid in . 141.84 150, 000.00 Surplus fund 38,804.97 18, 683.07 12,554.00 7, 395. 00 11,500. 00 1,082.40 1,105.39 "i.'moo" 3, 764. 25 6,900. 00 W. H. RAINEY, Cashier. $200,000.00 40,000.00 47,985. 20 Undivided profits National-bank notes outstanding State-bank notes outstanding 135, 000.00 4, 837.00 Dividends unpaid 3, 390. 00 Individual deposits United States deposits DepositsofU.S.disbursingofficers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 128, 846.61 27, 981.88 2,354. 83 6,750.00 590,395.52 Total. 590, 395. 52 First National Bank of Rondout, Kingston. THOMAS CORNELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixture8; Other real estate and mortg's o wnedj Current expenses and taxes paid .. j . Premiums on U. S. bonds I. Checks and other cash items \ Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-t ender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Total No. 2493. $956,273.26 5,006.29 250,000.00 250, 000. 00 51,000.00 14?, 006.45 60,196.78 630.35 20, 000.00 CHARLES BRAY, Cashier. Capital stock paid in $400,000T00 Surplus fund Undivided profits. 100,000.00 10, 288.82 National-bank notes outstanding . State-bank notes outstanding. . . 223, 500. 00 Dividends unpaid 8,252.00 1 Individual deposits. * I United States deposits Deposits of U.S. disbursing officers 12,325.04 6,415.00 496. 72 72, 215.35 17,000.00 626,737. 68 275,000.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 94,016.09 12,895.04 104,125.61 11,250.00 1,854,815.24 Total 1,851,815.24 240 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Kingston National Bank, Kingston. R E U B E N BERNARD, President. No. 1149. 1ST. E . BRODHEAD, Cashier. Resources. Liabilities. Loans and discounts $3 LI, 771.49 Overdrafts 1,083.59 TJ. S. bonds to secure circulation... 50,000. 00 U. S. bonds to secure deposits 100,000. 00 TJ. S. bonds on hand I Stocks, securities, judgments, etc Due from approved reserve agents I 28, 209.99 D ue from other national b a n k s 1 } 6,283. 04 Due from State banks and bankers 1,91 3. 33 Bank'g-house,furniture,and fixtures 2,000.00 Other real estate and mortg's owned j Current expenses and taxes p a i d . . . j 1,622.44 Premiums on TJ. S. bonds | Checks and other cash items ; 2, 7G7.17 Exchanges for clearing-house . 3, 594. 00 Bills of other national b a n k s . 67. 34 Fractional currency, nickels, cents j 39,412.50 Specie ' 8,900. 00 Legal-tender notes ! TJ. S. certificates of deposit !. Redemption fund with Treas. U. S. I 2, 250.00 Due from Treasurer TJ. S Total. Capital stock paid in $150, 000.00 Surplus fund Undivided profits 30,000.00 26, 933. 05 National-bank notes outstanding.. State-bank notes outstanding . . . . 40,120.00 Dividends unpaid 245.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 196,6*2.73 100, 000.00 Due to other national banks Due to State banks and bankers. -. 15,898.93 10,130.18 Notes and bills re-discounted. Bills payable 569, 969. 89 Total. 569, 969.89 National Bank of Rondout, Kingston. G E O R G E H. S H A R P B , President. Loans and discounts j Overdrafts j U . S. bonds t o secure circulation... j U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, i udgments, e t c . . D u e from approved reserve agents Due from other national b a n k s ! Due from State banks and bankers ! Bank'g-houso,furniture,andfixtures' Other real estate and mortg's owned' Current expenses and taxes p a i d . . . ; Premiums on U . S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cento Specie ^ Legal-tender notes U . S. certificates of deposit Redemption fund with Treas. U. S. D u e from Treasurer U. S Total . No. 1120. J m B. A L L I G E R , Cashier. $395, 287.00 Capital stock paid i n . 325.04 50, 00o. 00 Surplus fund 100,000.00 j Undivided profits -.!! 4, 600. 00 National-bank notes outstanding 33,144. 50 State-bank notes outstanding - -. 27, 914. 63 4, 741. 95 Dividends u n p a i d . 6,000. 00 Individual deposits 958. 73 J United States deposits 16, 000.00 Deposits of U.S. disbursing ollicors 2, 059.99 j Due to other national banks 4,322.00 | D u e to State banks and bankers . J0:> 35 20, 615- 00 Notes and bills re-discounted. 19, 250.00 Bills payable $200,000.00 40, 000. 00 15, 795. 04 44, 000.00 199.50 239, 547.85 100, COO. 00 48,017.67 618.19 2,250. 00 Total. 688,178.25 j 688,178. 25 National Ulster County Bank, Kingston. CHARLES D. BRUIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Duo from other national banks i Due from State banks and bankers i Bank'g-house,furniture,and fixtures Other real estate and mot tg's o w ned' Current expenses and taxes paid...: Premiums on U. S. bonds ! Checks and other cash items ' Exchanges for clearing-house Bills of other national banks ' Fractional currency, nickels, cents. J Specie : Legal-tender notes I TJ. S. certificates of deposit ; Redemption fund with Treas. U. S. i Due from Treasurer U. S I Total. No. 1050. $337, 304. 52 58S. 63 50, 000. 00 100, 000.00 WM. II. FINCH, Cashier. Capital stock paid in , Surplus fund Undivided profits. 200.00 National-bank notes outstanding. 65,137.18 State-bank notes o u t s t a n d i n g . . . . . 22,249.37 5,657.91 ! Dividends unpaid 15,000.00 Individual deposits " "i, 977.1'2 j United States deposit? 26, 500. 00 Deposits of U. S. disbursing officers 2,187.00 j Due to other national b a n k s 3,710.00 Due to State banks and bankers 211.57 19,539. 50 Notes and bills re-discounted . 11,000.00 Bills payable $150, 000.00 30, 000.00 22,040.69 45, 000. 00 50.00 264, 606. 61 110, 000.0Q 41, 815. 5C 2, 250.00 603, 512. 86 Total . 663,512.86 241 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W Y O R K . State of New York National Bank, Kingston. CHA6. P. EIDENOUE, President No. 955. CHARLES W. DEYO, Cashier, liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation.. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $413,132.37 815.61 50,000. 00 51, 367. 88 9, 380. 77 18, 000. 00 1, 500. 00 2, 630. 29 12,000.00 7, 599. 06 89.r>. 00 182.15 27,578. 00 6, 780. 00 Capital stock paid i n . $J25, 000.00 Surplus fund Undivided profits 45, 000 00 7, 067. 51 National-bank notes outstanding.. State-bank notes outstanding . 45, 000.00 Dividends unpaid. 362.50 Individual deposits United States deposits Deposits of U.S.disbursing officers 245, 957. 70 Due to other national banks Due to State banks and bankers . . 35, 574. 09 149.33 Notes and bills re-discounted . Bills payable 2,250.00 604, 111. 13 Total. 604, 111. 13 Little Falls National Bank, Little Falls. SKTH M. RICHMOND, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks,securities, .judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. -. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 2406. $303,142, 21 2,493.35 25,000. 00 67,011.18 10, 748. 21 1,673.46 1, 760. 00 1, 800. 00 1, 392. 47 5,400. 00 32, 933.07 3, 785. 00 263.64 18, 200. 00 2, 000. 00 J. D. FEBTER, Cashier. Capital stock paid in. $100, OOu. 00 Surplus fund Undivided profits 12, 000. 00 23, 053. 28 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers 295,418.92 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 24, 336.62 818.77 ],125.00 478, 727. 59 Total. 478, 727.59 National Herkimer County Bank, Little Falls. "W.G.MlLLlGAN,Prmden<. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. Ex. 3 16 N o . 2400. ALBERT STORY, $923, 753.84 Capital stock paid in. 6, 592. 25 50, 000. G Sur )lusfund O ivided profits. 89, 938.11 17, 348. 27 6, 232. 56 5, 000.00 4, 045.13 3, 301.91 6,759.01 1, 720. 00 242. 23 40, 389. 50 7, 500.00 National-bank notes outstanding.. State-bank notes outstanding $250, 000. 00 44, 000.00 35, 082. 79 45, 000. 00 Dividends unpaid Individual deposits United States deposits.. Deposits of U. S. disbursing officers. 766, 701. 34 Due to other national banks Due to State banks and bankers . . 17. 839. 83 6, 448. 85 Notes and bills re-discounted. Bills payable 2, 250.00 1,165, 072. 81 Total. 1,165, 072. 81 242 REPOKT OF THE COMPTROLLER OV THE CURRENCY. NEW VOHK, First National Bank, Lockport. JOSHUA S. HELMEB, President. No. 211. J. J. ABNOLD, Cashier. Liabilities. Kesou roes. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Dae from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U, S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $249, 896. 91 554.58 25, 000. 00 10, 810. 81 21, 158.48 736. 97 114.15 3, 286. 91 7, 534. 00 1,847. 41 2, 000. 00 2, 035. 79 422.00 199. 32 5,991.(0 5, 000. 00 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits. 6,409.10 National-bank notes outstanding.. State-bank notes outstanding 22,500.00 Dividends unpaid Individual deposits United States deposits , Depositsof U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 180,440.36 1, 894. 82 1,173.11 25, 295.94 , 1,125. 00 337, 713.33 Total. 337,713. 33 National Exchange Bank, Lockport. T. E. ELLSWOHTH, President. Loans and discounts O verdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Dae from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house.. Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Tre»s. U. S. Due from Treasurer U. S Total. N o . 1039. $241, 270. 03 12. 02 37, 500. 00 28, 422. 27 938. 70 127. 27 14, 000. 00 7, 700.00 1,251.43 4, 250. 00 343. 87 2,655.00 373.51 1,424. 95 17,153.00 WM. E. MCCOMB, Cashier. Capital stock paid i n . $150, 000.00 Surplus fund Undivided profits 11,991.20 National-bank notes outstanding.. State-bank notes outstanding 33,750.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 134,977.09 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 339. 20 1,052. 06 27, 000. 00 1,687.50 359,109.55 Total. 359,109. 55 Niagara County National Bank, Lockport. THOMAS T. FLAGLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. N o . 639. $344, 694.41 86.11 38, 000. 00 59, 897. 29 J . R. COMPTON, Cashier. Capital stock paid in. 34,000.00 14,123. 94 National-bank notes outstanding. State-bank notes outstanding 34,200.00 Dividends unpaid 4, 596.18 1,820.06 1, 280. 00 4, 732. 80 2, 032. 00 345.00 7, 409. 83 21, 923.00 , Individual deposits United States deposits Depositsof U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable , 1, 710. 00 488, 526.68 $150, 000.00 Surplus fund Undivided profits. Total. 245,933.57 4,192.16 5,452. 01 625.00 REPORT OF THE COMPTROLLER OF THE CURRENCY. 2 4 3 MEW YORK. First National Bank, Lowville. CHARES D. BOSHART, President. No. 348. E. H. BUSH, Cashier.. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks. Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $124,838.28 288. 55 50, 000. 00 Capital stock paid in. 10, 000. 00 72,267.08 National -bank notes outstanding.. 91,633.04 State-bank notes outstanding 784.90 765. 58 Dividends unpaid 16, 700. 00 2, 700. 00 Individual deposits 82.80 1! United States deposits ' DopositsofU.S.disbursing officers. 2, 879.10 Duo to other national banks 341. 00 Due to State banks and bankers . . 55. 74 4, 750. 00 Notes and bills re-discounted . 6, 200. 00 Bills payable 45,000.00 126,030.05 970.96 2, 250. 00 304, 268. 99 Total. $50,000. 00 Surplus fund , Undivided profits. Total. 304, 268. 99 Black River National Bank; Lowville. CHARLES P . LEONARD, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation... i U. S. bonds to secure deposits > U. S. bonds on hand ! Stocks, securities, judgments, eto..| Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2426. $141, 823. 93 453. 35 12, 500.00 FREDERICK S. EASTON, Cashier. Capital stock paid in. $50, 000.00 10.000. 00 53,714.17 Surplus fund Undivided profits . 22,300.00 ! National-bank notes outstanding.. 58,486.36 I State-bank notes outstanding 5,201.23 77.48 I Dividends unpaid 1,144. G6 j 500.00 ! 1, 548. 45 ' 750.00 I 11, 250. 00 Individual deposits United States deposits Deposits of U.S disbursing officers. 132, 957,05 Due to other national banks 462.00" Due to State banks and bankers . . 23. 74 6, 578. 00 Notes and bills re-discounted. 3, 987. 00 Bills payable 543.18 2,063.70 i 562. 50 258, 464.40 j Total. 258,464.40 Lyons National Bank, Lyons. DWIGHT S. CHAMBERLIN, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixturea Other real estate and mortg's owned Current expenses and taxes paid... Premiumson U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U.lS. certificates of deposit Eedemption fund with Treas. U. S Due from Treasurer U. S Total. No. 1027. $134,127.37 672.12 60, 000.00 51, 000. 00 47.837.50 7, 470. 99 11, 200.00 1, 263.06 1,300.05 I 1, 371.00 27. 28 4, 034. 00 12,000.00 M. C. T U C K E R , Cashier. Capital stock paid in. $60,000.00 Surplus fond Undivided profits. 12,000.00 911.62 National-banknotes outstanding.. State-bank notes outstanding 54,000.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 191, 814.75 Duo to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 1, 694.13 141.45 14,641.42 2, 700. 00 335, 203, ol Total. 335,203.37 244 „ REPORT OF THE COMPTROLLER OF THE CURRENCY. W E W Y O R K. Third National Bank, Malone. No. 3366. S. A. BEMAN, President J. C. PEASE, Cashier. Resources. Loans and discounts Overdrafts TJ. 6. bonds to secure circulation . . . IT. S. bonds to secure deposits Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national b a n k s . . . . Due from State banks and bankers. Bank'g-house.furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $139,937.33 3,164. 65 12,500.00 10,381.04 3,387. 87 2,"600.'66 173. 24 1, 508. 55 875.00 401. 51 876.00 48.20 5, 480.00 Capital stock paid in 400.00 3,104.87 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursin g officers. 89,425.16 Due to other national banks Due to State banks and bankers.. 2,196.69 Notes and bills re-discounted Bills payable 25,519.17 562.50 181,895.89 Total $50,000.00 Surplus fund Undivided profits Total 181,895.89 Farmers' National Bank, Malone. D. W. LAWRENCE, President Loans and discounts Overdrafts.... XT. S. bonds to secure circulation U. S. bonds to secure deposits U.S. bonds on hand S tocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hoc se, furniture,and fixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S "... Total. O. S. LAWRENCE, Cashier. No. 598. $479,002.32 Capital stock paid in. $150,000.00 446.34 61,000.00 Surplus fand 62,500.00 , 7,894.11 Undivided profits . 200. 00 National-bank notes outstanding.. 54,900.00 47, 254.23 State-bank notes outstanding 3, 700.45 870.17 Dividends unpaid. 250.00 25, 671.67 1, 726. 88 Individual deposits United States deposits Deposits of U. S.disbursing officers. 353,223. 30 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 1,694.17 3, 000.00 223. 60 2,476.00 450.92 22,084.00 15, 000. 00 2, 745.00 610. 00 Total. 648,461.58 648,461.58 People's National Bank, Malone. HOWARD K. KING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. 8. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U.S Total. H. T. FRENCH, Cashier. No. 3307. $436, 551. 87 3,433.77 37, 500. 00 38,539.59 3, 643.68 11,000. 00 6,497.58 1. 602.02 8, 921. 87 389. 92 5,428.00 28.07 37,490. 77 2,500. 00 Capital stock paid in. $150,000.00 Surplus fand Undivided profits. 16,000.00 7,472.42 National-bank notes outstanding. State-bank notes outstanding 33,750.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 30.00 374,645.19 921.31 12,395.72 ""i,'687."50 595,214.64 Total. 595,214.64 245 REPORT OF THE COMPTROLLER OF THfi NEW YORK. First National Bank, Marathon. No. 3193. JAMES H. TRIPP, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furnitnre,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalToanks Fractional currency, nickels, cents . Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. LYMAN ADAMS, Cashier. Liabilities. $73, 752.77 99.74 13,000.00 5, 000. 00 5,131. 42 300. 78 50.00 843. 50 851.27 2, 800.00 247. 87 135. 00 12.66 4, 584.35 2, 520.00 Capital stock paid in. $50,000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 2,200.e0 4,631.10 11, 695. 00 Dividends unpaid Individual deposits United States deposits Deposits ofU. S. disbursing officers. 41,388.26 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 585. 00 109,914. 36 109,914.36 Total. First National Bank, Mechanicville. "WILLIAM W. SMITH, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andiixtures Other real estate, and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. A. J. HARVEY, Cashier. No. 3171. $194,118.15 26.85 12, 500.00 3, 487.90 5, 000. 00 60.09 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks 565. 00 125.49 Due to State banks and bankers 12, 635.15 Notes and bills re-discounted 2, 750. 00 Bills payable 950.00 1, 324.49 2, 250. 00 68.93 $50, 000.00 12, 000. 00 6,540.21 11,250.00 151, 577.43 56.91 5, 000.00 562.50 236,424. 55 236,424.55 Total. First National Bank, Middleburgh. DURTEA BEEKMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. Due from State banks and bankers. Bank'g-house, furniture, andflxtures Other real estate, and mortg's owned Current expenses and taxes paid... Premiumson U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2487. $140, 555.65 225.56 25,000.00 7, 356.78 19.00 6, 000. 00 2, 000. 00 755. 35 121.43 883. 00 15.56 3,344.00 4, 250.00 W. G. PUTNAM, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $50,000.00 8,000.00 5,442.87 22, 500. 00 150.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 87,763.71 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 53.75 17, 741. 00 1,125. 00 191, 651. 33 Total. 191, 651. 33 246 REPORT OF THE COMPTROLLER OF THE CURRENCY. NB W ¥ OK K. First National Bank, Middletown. "WILLIAM B. ROYCE, President. No. 523. CHAS. A. DOUGLAS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on band Stocks,securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $479,123.86 3, 590. 43 60, 000. 00 7,552. 50 91, G33. 58 36, 790. 05 11,311.47 6, 003. 25 1, 500. 00 6. 059.1(5 12, 000. 00 14,9-0.76 Ij 4, 472. 00 340. 00 29, 275.18 34, 400. 00 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding 18, 500. 00 21, 361. 61 52, 730.00 Dividends unpaid. 392. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 537, 973.63 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 67,141. 31 3, 573. 69 2, 700. 00 801, 672. 24 Total. 801, 672.24 Merchants and Manufacturers' National Bank, Middletown. ISAAC R. CLEMENTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,andfixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 3333. $354, 637. 52 78.05 50, 000. 00 N. M. HALLOCK, Cashier. Capital stock paid in. $160, 000. 00 Surplus fund Undivided profits 6,600. 00 5, 695. 00 8, 397. 79 National-bank notes outstanding.. 27, 271. 87 State-bank notes outstanding 10, 20f>. 84 ! | 555.30 Dividends unpaid 1,992.81 1 1 Individual deposits United States deposits 12,500.00 Deposits of U. S. disbursing officers. 2,27(5.68 140. 00 48.15 18, 309. 65 8, 555.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 45, 000. 00 657. 00 272,186. 60 9, 997.24 2, 250. 00 Total. 500,135.84 j 500,135. 84 Millerton National Bank, Millerton. E. H. THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Legal-tender notes TJ. 15. certificates of deposit Redemption fund with Treas. U. S Dae from Treasurer U. S Total , N o . 26G1. $149, 708. 03 3, 543. 50 30, 000. 00 24, 496. 25 473. 23 9, 483. 86 "ii, 666.06" 1,085.12 5,1)87. 50 1,013.64 ""600.66 45.77 2, 857. 00 4, 499. 00 B. S. KEIFER, Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 20, 000.00 8, 850. 80 National-bank notes outstanding.. State-bank notes outstanding 27, 000.00 Dividends unpaid. 20.00 Individual deposits United States deposits Depositaof U.S. disbursing officers. 77, 520.60 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 12, 239. 71 601. 79 1,350.00 I 246, 232. 90 Total. 246, 232.90 REPORT OF THE COMPTROLLER OF THE CURRENCY. 247 NEW YORK. National Mohawk Valley Bank, Mohawk. ELI FOX, President. No. 1130. H. D. ALEXANDER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits XJ. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treaa. TJ. S. Due from Treasurer U. S Total. $280, 971. 03 1,493. 08 40, 000.00 4(5,094. 0L 18, 227. 62 69. 23 3, 000. 00 2, 053. 47 2, 000. 00 1,628.50 6, 49(5. 00 58.07 12,173. 50 9, 000. 00 $150, 000.00 Capital stock paid i n . Surplus fund Undivided profits 35, 000. 00 13, 391. 68 National-bank notes outstanding.. State-bank notes outstanding 35,230. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 40.00 184,592.29 2, 700. 20 4,110.94 1, 800.00 Total. 425, 0G5.11 425, 065.11 National Union Bank, Monticello. GEORGE E. BENNETT, President. E. H. STRONG, Cashier. No. 1503. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $172. 543. 50 55.61 50, 000. 00 23, 583. 75 28, 342. 22 2, 000.00 "274." 37 863.65 181.00 15. 87 19, 920.30 7, 430. 00 Capital stock paid in. Surplus fund . . . . . . Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50,000.00 20,000.00 9,611. 71 44,980.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 176, 315. 05 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 6, 562.51 2, 250. 00 307, 469.27 Total. 307,469.27 First National Bank, Moravia. TERRY EVERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from TreasurerU. S Total. JS T O. $219,561.49 785. 35 20, 000. 00 LEANDER FITTS, Cashier. 99. Capital stock paid in $80,000. 00 Surplus fund Undivided profits 30,000.00 11,421.94 21, 400. 00 15,108. 96 3, 424. 73 390.15 National-bank notes outstanding.. State-bank notes outstanding 18, 000. 00 1, 000. 00 1,218.51 5, 000. 00 645.19 Individual deposits United States deposits Depositsof U. S.disbursing officers. 159,474.33 122. 00 145. 81 14,183.10 809. 00 Duo to other national banks Duo to State banks and bankers 1,810.02 Notes and bills re-discounted Bills payable 4,000.00 900. 00 304, 706. 29 Total 304, 706.29 248 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Moravia National Bank, Moravia. No. 2353. WILLIAM KEELER, President. J. A. THOMAS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TL S. bonds on hand Stocks, securities, Judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. TJ. S. DuefromTreasurerU. S Total. Liabilities. $157, 338.46 2, 862. 07 12, 500. 00 3,687.66 736.67 489. 91 4, 000. 00 11, 622.88 1,270.30 656. 25 499. 03 685. 00 120.68 10,770. 00 2, 000.00 Capital stock paid in . $50,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 17,500.00 4, 796.95 11, 250.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursin g officers. 120,689.90 Due to other national banks Due to State banks and bankers . . 64.50 Notes and bills re-discounted Bills payable 5,000.00 562.50 209,301.41 Total. 209, 301.41 First National Bank, Morrisville. ALEXANDER M. HOLMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie I^gal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 245. $145, 934. 22 15, 961. 90 25, 000.00 1,300.00 4, 747. 34 16, 255.55 526.30 5, 000.00 400.00 1, 620.32 6, 200.00 860.00 47.87 4, 637.50 4,119. 00 B. TOMPKINS, Cashier. Capital stock paid in $100,000.00 Surplus fund Undivided profits 20, 000.00 31,125.65 National-bank notes outstanding.. State-bank notes outstanding 22,420.00 Dividends unpaid Individual deposits United States deposits Depositsof U. S. disbursing officers. 61,789.33 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable , 8, 400. 02 1,125.00 Total. 233,735.00 233, 735.00 Genesee River National Bank, Mount Morris. H. P. MILLS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers Ban k'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house BUIB of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U . S. Dae from Treasurer U. S Total. No. 1416. $115,862.47 2, 039.10 12, 500.00 5,439.78 7, 961.11 1, 704. 81 193.43 11, 639. 32 884.71 1, 000.00 348.91 1, 861.00 228.89 7, 420.62 9,381.00 H. E. BROWN, Cashier. Capital stock paid in. $50,000.00 urpl Undivided profits 10,000. 00 4,486.85 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. 92,205.85 Due to other national banks Due to State banks and bankers . . 240.70 1,344.45 Notes and bills re-discounted Bills payable 9,000.00 562. 50 178, 527.65 Total. 178,527.65 REPORT OF THE COMPTROLLER OF THE CURRENCY. 249 NE W Y O R K . First National Bank, Newark. FLETCHER WILLIAMS, President. No. 349. ELIAB T. GRANT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tendei notes U. S. certificates of deposit Redemption fand with Treas. TJ, S. Due from Treasurer U. S Total.. Liabilities. $89,177. 75 1, 155.51 50, 000. 00 533.16 54.26 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 10,000.00 1, 224.81 44,100.00 Dividends unpaid. 4, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 47, 027.39 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 018. 41 40.00 476. 00 .58 2, 033. 35 3, 650.00 2, 250. 00 153, 370.61 Total.. 153, 370. 61 First National Bank, N e w Berlin. SOLOMON L. MORGAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,farniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . JOHN T. WHITE, Cashier. No. 151. $199,711.09 1, 565. 85 100, 000.00 50, 600.00 46,901.39 368.62 1, 000. 00 500.00 2, 580.05 1,884. 64 5, 356. 04 1, 801.00 109. 24 18,969.15 4, 085.00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits 28,000.00 8,347. 94 National-bank notes outstanding.. State-bank notes outstanding 90, 000.00 Dividends unpaid. Individual deposits United States deposits Depositsof U. S. disbursingofficers. 212, 626. 72 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 957.41 4, 500. 00 Total., 439, 932.07 439, 932. 07 First National Bank, Staten Island, New Brighton. J. M. DAVIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dne from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current excuses and taxes paid... Premiums on U. S. botids Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S Total. No. 3444. $322, 886. 51 185.73 25, 000.00 F. W. JOHNSTON, JR., Cashier. Capital stock paid in . $100, 000.00 Surplus fund Undivided profits 20, 000. 00 6,859.02 34, 328. 43 National-bank notes outstanding.. State-bank notes outstanding 21,645. 00 3, 600. 00 5, 400. 00 527. 73 4,750. 00 9.87 Individual deposits United States deposits Deposits of U. S.disbursing officers. 160. 00 8*8. 43 10, 655. 35 3, 000. 00 Due to other national banks Due to State banks and bankers.. Notes- and bills re-discounted. Bills payable Dividends unpaid. 263, 328.95 54.08 535. 00 411, 887. 05 Total. 411,887.05 250 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEJW Y O R K . Highland National Bank, Newburgh. MOSES C. BELKNAP, President. No. 1106. ARTHUR WILSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, secarities, judgments, e t c . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $683,836.07 10.91 50, 000. 00 Capital stock paid in. 60, 000. 00 36,169.11 45, 000.00 439, 675. 66 45, 836.19 20,171.83 2, 250.00 946, 852.79 Total. $300, 000. 00 Surplus fund Undivided profits. 7,032.00 National-bank notes outstanding.. 80, 826. 43 State-bank notes outstanding 23, 055. 20 63.44 Dividends unpaid . 14, 098. 31 7, 490.53 Individual deposits 4, 009. 68 United States deposits 14, 868. 75 Deposits of U. S. disbursing officers. 4, 628. 21 Due to other national banks 1, 903.00 Due to State banks and bankers . . 347. 26 31,901.00 Notes and bills re-discounted . 20, 532.00 Bills payable Total. 946, 852. 79 National Bank, Newburgh. GEORGE W. KEHR, President. No. 468. Loans and discounts $1, 279, 005.37 Overdrafts TJ. S. bonds to secure circulation... """soo," 666." 66' U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, etc.. 64, 396. 09 Due from approved reserve agents. 18, 598. 62 Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures 39, 000. 00 Other real estate and mortg's owned Current expenses and taxes paid... "8,'575.*36' Premiums on U. S. bonds 3, 826. 38 Checks and other cash items Exchanges for clearing-house 3, 072.00 Bills of other national banks 2, 496. 83 Fractional currency, nickels, cents. 63, 628. 25 Specie 3, 741. 00 Legal-tender notes U. S. certificates of deposit 36, 000.00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total JNO. J". S. MCCROSKERT, Cashier. Capital stock paid in. $800, 000.00 Surplus fund Undivided profits . 160, 000.00 69,146. 37 National-bank notes outstanding.. State-bank notes outstanding 707, 950.00 Dividends unpaid Individual deposits •. , United States deposits Deposits of U. S. disbursing officers. 485,151. 67 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. B ills p ay able 86, 857. 95 13, 233. 85 Total. 2,322,339.84 2, 322, 339. 84 Quassaic National Bank, Newburgh. C. H. HASBOUCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,farnitnre,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due fiomTreasurer U. S Total. No. 1213. $593, 670. 46 23.76 300, 000.00 73, 320. 00 85, 635. 95 25,812.90 525.04 23, 000 00 6, 329. 25 5, 507.04 11,144.94 15, 358.00 24.05 43, 777.25 11,000.00 J . N. "WEED, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $300, 000.00 60, 000. 00 63, 334.71 270, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbmsing officers. 488, 010. 60 Due to other national banks Due to State banks and bankers .. 26,123. 02 1,160.31 Notes and bills re-discounted . Bills payable 13, 500. 00 1, 208, 628. 64 Total. 1, 208, 628.64 &EPORT OF THE COMPTROLLER OF THE CURRENCY. NE W YORK. Huguenot National Bank, New Paltz. JACOB No. 1186. Liabilities. Resources. JACOB LEFEVER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits Stocks, securities, judgments, etc .. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Total $230, 299.68 48.07 100, 000. 00 32, 696. 43 3, 431. 76 7, 750. 00 1,969.21 402.90 70.00 35H. 54 7, 729. 00 450.00 251 DEYO, Oathi&r, $100,000.00 Surplus fund Undivided profits 25,000. 00 12, 970. 79 National-bank notes outstanding.. State-bank notes outstanding 90, 000. 00 Dividends unpaid 447.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 138, 774. 33 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted 22, 513.47 4, 500. 00 389, 705.59 389,705- 59 Total National Bank, Newport. GEORGE H. THOMAS, President. Loansand discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from. Treasurer U. S Total. J. T. WOOSTER, Cashier. No. 1655. $114,135. 23 987. 54 50, 000. 00 11,250. 00 14, 410. 84 209. 44 7, 000. 00 1,472.00 147. 62 3, 739. 25 4, 500. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted . Bills payable $50,000.00 10,000.00 25, 243. 38 45, 000. 00 80, 323.02 134. 72 12.00 2, 250. 00 210, 713.12 Total. 210, 713.12 First National Bank, New York. GEORGE F. BAKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'ghouse,furniture,and fixtures Other real estate and mortg's o wned Current expenses and taxfes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total E. SCOFIELD, Cashier. No. 29. $500,000.00 Capital stock paid in. 5, 000, 000.00 Surplus fund 1, 089, 357. 96 Undivided profits. National-bank notes outstanding-. 45, 000. 00 State-bank notes outstanding 989, 812. 50 66,140. 80 Dividends unpaid $12, 663, 087. 76 . 246,488.28 50, 000. 00 50, 000. 00 93, 650.00 8,239, 848. 50 600, 000. 00 36,122.01 61,722.83 2, 644, 951.3o 45, 590. 00 2, 838,188. 65 1, 338, 377. 00 600, 000. 00 2, 250. 00 38,468.43 30,604,698.14 Individual deposits United States deposits Deposits of U. S. disbursing officers. 5, 961, 449. 63 47, 300.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 15, 49£ 928. 96 2,467, 661. 59 Total 30,604,698.14 252 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Second National Bank New York. No. 2668. G-. MONTAGUE, President JT.S.CASE, Cashier. Liabilities. Resources. $3, 983,108.98 Loans and disco unts 723. 51 Overdrafts 50,000.00 IT. S. bonds to secure circulation... 70,000.00 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 900.00 Dae from approved reserve agents. 98,421.62 Due from other national banks 11,862.92 Due from State banks and bankers 10, 000.00 Bank'g-house, furniture, and fixtures Other real estate endmortg's owned Current expenses and taxes paid.. 19,798.24 17,000.00 Premiums on TJ. S. bonds 66, 333.20 Checks and other cash items 125,804.36 Exchanges for clearing-house 22, 027. 00 Bills of other national banks 204. 00 Fractional currency, nickels cents . 953, 613. 44 Specie 312, 220.00 Legal-tender notes U. S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S. Dae from TreasurerTJ. S Total Capital stock paid in.. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $300, 000.00 100, 000. 00 160, 613.18 20, 820. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable Total. 5,744,267.27 5,121,618.69 40, 000.00 1,215.40 5, 744, 267. 27 Third National Bank, New York. "WILLIAM A. BOOTH, President. No. 87. $6, 799, 240. 54 Loans and discounts 1,016.25 Overdrafts 50,000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 208, 059.23 Due from approved reserve agents . 695, 816.18 Due from other national banks 41, 080.10 Due from State banks and bankers. 5, 000. 00 Bank'g-house,furniture, and fixtures 25,364.87 Other real estate andmortg's owned 25,903.92 Current expenses and taxes paid... 13, 937.50 Premiums on U. S. bonds 3,172. 68 Checks and other cash items 2, 093, 503.71 Exchanges for clearing-house 6,440.00 Bills of other nationaVbanks 58.57 Fractional currency, nickels, cents . 1, 096, 727.00 Specie 420, 000. 00 Legal-tender notes 380, 000.00 U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S. DuefromTreasurer U. S 11,867.570.55 Total.. G. L. HUTCHINGS, Cashier. $1, 000, 000. 00 Capital stock paid in. 200, 000.00 Surplus fund 93, 290.13 Undivided profits. National-bank notes outstanding.. 43, 240. 00 State-bank notes outstanding Dividends unpaid 25.00 Individual deposits 3, 613,214.90 United States deposits Deposits of U. S. disbursing officers. 5,486,099.79 Due to other national banks Due to State banks and bankers .. 1,431, 700.73 Notes and bills re-discounted . Bills payable Total. 11, 867, 570.55 Fourth National Bank, New York. J. EDWARD SIMMONS, President. No. 290. C. H. PATTERSON, Cashier. $3,200,000.00 $16, 497, 242.18 Capital stock paid in. Loans and discounts 330. 67 Overdrafts 200, 000.00 Surplus fund U. S. bonds to secure circulation... 200,000. 00 Undivided profits U. S. bonds to secure deposits U. S. bonds on hand 159, 683. 52 National-bank notes outstanding.. Stocks, securities, judgments, etc .. State-bank notes outstanding Due from approved reserve agents 1, 088, 296. 85 Due from other national banks 54,054. 56 Dividends unpaid Due from State banks and bankers. 600,000. 00 Bank'g-house, furniture, and fixtures Individual deposits Other real estate and mortg's owned United States deposits Current expenses and taxes paid... Premiums on U. S. bonds Deposits of U. S. disbursing officers. 12, 859. 74 C hecks and other cash items 16, 780, 522. 28 Due to other national banks Exchanges for clearing-house 10,000.00 Due to State banks and bankers .. Bills of other national banks 10.96 Fractional currency, nickels, cents . 2, 956,284. 95 Notes and bills re-discounted Specie 403, 035. 00 Bills payable Legal-tender notes 850, 000. 00 U. S. certificates of deposit 9,000.00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total 39,821,320.71 Total. 640,000.00 770,641.25 180,000.00 21,196.06 24, 745,989.83 219, 500.00 9,457,063.93 586,929.64 39,821,320. 71 254 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Ninth National Bank, New York. JOHN T. HILL, President. No. 387. H. H. NAZRO, Cashier. Liabilities. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits U. S. bonds ou hand Stocks, securities, .judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house,furniture,andfixtures Other real estate andraortg'so wnedj Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $5.166, 4G8. 98 209. 79 50, 000. 00 186, 500. 00 908, 258.85 106,199. 73 350, 000. 00 3,150. 00 15, 819. 22 621,144 05 5, 708. 00 550.85 970, 064. 00 164, 843. 00 Capital stock paid in. $750, 000. 00 Surplus fund Undivided profits 250, 000.00 56,497.57 National-bank notes outstanding. State-bank notes outstanding 45, 000. 00 Dividends unpaid. 765. 00 Individual deposits United States deposits Deposits of'U.S.disbursing officers 3, 308,923.40 Due to other national banks Duo to State banks and bankers . 2, 939, 993. 07 1, 200, 047.84 Notes and bills re-discounted . Bills payable 2, 250. 00 Total . 8, 551, 226.88 8, 551, 226. 88 American Exchange National Bank, New York. GEORGE S. COE, President. No. 1394. $17, 753, 726. 58 Loans and discounts 981. 89 Overdrafts 50, 000.00 U. S. bonds to secure circulation... 400, 000.00 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 151, 703.26 Due from approved reserve agent*. 2, 499, 675.64 Due from other national banks 505, 563.10 Due from State bauks and bankers. 300, 000. 00 Bank'g-house, furnit ure, andfixtures 8, 000. 00 Other real estate and mortg's owned 72, 388. 96 Current expenses and taxes paid .. 49, 000. 00 Premiums on U. S. bonds 737,361.38 Checks and other cash items 6,567,198.06 Exchanges for clearing-house 48, 598.00 Bills of other nationalbanks Fractional currency, nickels, cents. "1*682,738.92 Specie 631, 917. 00 Legal-tender notes 420, 000. 00 U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total E D W . BURNS, Cashier. Capital stock paid in. $5, 000, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. 1, 428, 000. 00 311,920.97 11,180.00 Individual deposits 16, 320, 613. 73 United States deposits 440, 000. 00 Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers.. 6,277,770. 65 2, 089, 367.44 Notes and bills re-discounted. Bills payable 31,878,852.79 Total . 31, 878,852. 79 Bank of New York National Banking Association, New York. CHARLES M. FRY, President. No. 1393. E. S. MASON, Cashier. $11,433,805.45 Capital stock paid in. Loans and discounts « 48. 92 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation U. S. bonds to secure deposits Undivided profits. U.S. bonds on hand 9, 000. 00 National-bank notes outstanding.. Stocks, securities, judgments, etc .. State-bank notes outstanding Due from approved reserve agents. 1, 087, 893. 01 Due from other national banks 157, 939. 28 Dividends unpaid Due from State banks and bankers. 250, 000. 00 Bank'g-house, furniture, and fixtures Individual deposits Other real estate and mortg's owned United States deposits Current expenses and taxes paid... Deposits of U. S. disbursing officers. Premiums on U. S. bonds Checks and other cash items 13, 886, 987. 73 Due to other national banks Exchanges for clearing-house 65, 908. 00 Due to State banks and bankers .. Bills of other national banks 73.65 Fractional currency, nickels, cents. 2,101, 700.00 Notes and bills re-discounted . Specie 1, 022,124.00 Bills payable Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U.S. Due from Treasurer U. S Total 30,067,730.04 Total. $2, 000, 000.00 1, 000, 000. 00 611, 580.58 45, 000.00 2, 565. 00 21,120, 286. 50 3, 365, 941.86 1, 922, 356.10 30, 067,730. 04 REPORT OF THE COMPTROLLER OF THE CURRENCY. 255 NEW YORK. Central National Bank, New York. No. 376. W. L. STRONG, President E. SKILLIN, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits 17. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents . Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house -. Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $8,161,913. 80 4,156.34 50, 000. 00 200, 000.00 Capital stock paid in $2, 000,000.00 Surplus fund Undivided profits. 57,277. 88 National-bank notes outstanding. State-bank notes outstanding 707, 019. 02 15, 445. 08 606, 936. 54 86, 000.00 27, 236.14 68, 915.00 60, 280.28 1,028, 342. 01 46, 347.00 4, 325.47 1,446,649.00 362,155. 00 400, 000. 00 2,250. 00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discountod. Bills payable 13,335, 248. 36 Total. 400, 000. 00 188, 342.11 45, 000. 00 5, 945.16 5,479, 245. 62 79, 357.81 75,200.44 4,178, 568.13 883, 589. 09 13,335, 248. 36 Chase National Bank, New York. HENRT W. CANNON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . . Due from approved reserve agents . Due from other national banks Due from State banks and bankers . Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total W M . H. POUTER, Cashier. N o . 2370. $9, 147, 235.53 5, 382.10 50, 000. 00 150, 000. 00 29, 300. 00 361, 855.13 770, 531.43 122,902.50 10, 000. 00 52,169. 23 29, 390. 04 1, 390, 424.16 9, 000.00 204. 97 1, 400,480. 50 813,137. 00 510, 000.00 2,250.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding $500, 000.00 500, 000. 00 214,956.59 44, 420.00 Dividends unpaid. Individual deposits 4, 492, 517.44 United States deposits Deposits of U. S.disbursing officers. ""199," 605.'82 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 14,854,262.59 Total 5,201, 097.43 3,701,665.31 14,854,262.59 Chatham National Bank, N e w York. GEORGE M. HARD, President. Total H. P. DOREMUS, Cashier. No. 1375. $4,766,789.06 Loans and discounts 2,199.05 Overdrafts. 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand U 43, 000.00 Stocks, securities, judgments, etc .. Due from approved reserve agents. 461, 781. 07 Due from other national banks 26,084.39 Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds , 67, 664.94 Checks and other cash items 393, 097. 29 Exchanges for clearing-house 1,200.00 Bills of other national banks 1,103.77 Fractional currency, nickels, cents. 1, 022, 210. 50 Specie 294,033. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S 11,000.00 7,142,413.07 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding..... $450, 000.00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursing officers 14, 771.75 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable Total. 550, 000. 00 45,837.76 45, 000. 00 4, 843, 323.34 872,613. 21 320, 867.01 7,142, 413.07 256 KEPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Chemical National Bank, New York. GEORGE G. WILLIAMS, President. N o . 1499. WM. J. QUINLAN, J R . , Cashier. Resources. Liabilities. $21, 510,187. 61 Loans and discounts 9, 588.16 Overdrafts 50, 0U0.00 U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. 778, 766.51 Due from approved reserve agents Due from other national banks 1, 398, 953.59 513, 375.46 Due from State banks and bankers. Bank'g-house, furniture, andflxtures 310,128. 34 Other real estate and mortg's owned Current expenses and taxes paid.. 12, 860.83 Premiums on U. S. bonds 344, 599.96 Checks and other cash items 2, 008, 016. 94 Exchanges for clearing-house 44, 000. 00 Bills of other national banks Fractional currency, nickels, cents. 7, 980, 00 7,982,161.19 Specie 782, 613.00 Legal-tender notes U. S. certificates of deposit.... . . . Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S 40,000. 00 Total Capital stock paid i n . $300, 000. 00 Surplus fund Undivided profits 5,000, 000.00 1, 068,895. 59 National-banknotes outstanding.. State-bank notes outstanding Dividends unpaid 10, 874. 00 875.00 Individual deposits , 22, 667,493.75 United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 35,793,231.59 Total. 4, 703, 334. 40 2, 041, 758.85 35, 793, 231. 59 Commercial National Bank, New York. ORSON ADAMS, President. No. 3359. $1,405,396. 81 Loans and discounts 4, 416. 65 Overdrafts . * 56, 000. 00 TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, iudgments, etc.. 118, 415.00 Due from, approved reserve agents. 163, 079. 48 Due from other national banks 49, 781.90 Due from State banks and bankers. 2, 000. 00 Bank'g-house, furniture, andflxtures Other real estate and mortg's owned Current expenses and taxes paid 10, 691. 50 Premiums on U. S. bonds 16, 459. 25 Checks and other cash items 349, 864.10 Exchanges for clearing-house 8, 804. 00 Bills of other national banks 508.07 Fractional currency, nickels, cents. 107, 537. 35 Specie -. - * . 60, 055. 00 Legal-tender notes U. S. certificates of deposit 2, 520.00 Redemption fund with Treas. U. S Due from Treasurer U. S Total 2,355,529.11 W. W. ELANNAGAN, Cashier. Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits . 40,000. 00 15,200.85 National-bank notes outstanding. State-bank notes outstanding 50,400.00 Dividends unpaid 1,485.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 295, 703. 47 Due to other national banks . . . . . . Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 416,541.88 236,197. 91 Total. 2, 355, 529.11 Continental National Bank, New York. E. D. RANDOLPH, President No. 1389. $4, 459, 836.56 Loans and discounts .80 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 2, 000. 00 Stocks, securities, iudgments, etc.. 186,738.84 Due from approved reserve agents. 119, 625.49 Due from other national banks 22,354. 45 Due from State banks and bankers. Bank'g-house, furniture, andfixtures 385, 000.00 Other real estate and mortg's owned 200, 000. 00 Current expenses and taxes paid . . 24, 470.40 Premiums on U. S. bonds. 3, 955.00 Checks and other cash items 5, 485.04 [Exchanges for clearing-house 4, 877, 769. 69 Bills of other national banks 4, 750. 00 Fractional currency, nickels, cents. 102.57 Specie 435, 266. 00 Legal-tender notes 110,111.00 U.Is. certificates of deposit 460, 000. 00 Redemption fund with Treas. U. S. 2, 250.00 Due from Treasurer U. S Total 11.349,715.84 ALP. H. TIMPSON, Cashier, Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. $1, 000,000.00 200, 000.00 104, 870.07 39, 840.00 8, 328.32 Individual deposits United States deposits Deposits of U.S.disbursing officers. 6, 893,108. 34 Due to other national banks Due to State banks and bankers . . 2,408, 980.56 694,588.55 Notes and bills re-discounted . Bills payable Total. 11,349,715.84 REPORT OF THE COMPTROLLER OF THE CURRENCY. 257 NEW YORK. East River National Bank, New York. CHARLES JENKINS, President. No. 1105. Besources. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits XJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'ghoUvse, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. XJ. S Due from Treasurer U. S Total.. $708, 547.96 1,492.15 90,000. 00 400,000.00 65, 025.00 63, 527.95 2, 597.41 60, 000.00 9, 449. 81 6, 838.47 106, 987. 65 23, 047.38 106,182. 24 1,771.00 186.00 240, 858. 50 80, 695.00 Z. E. NEWELL, Cashier. Liabilities. Capital stock paid in. Surplus fund , Undivided profits National-bank notes outstanding.. State-bank notes outstanding $250,000.00 50, 000. 00 80, 475. 91 81, 000. 00 4,110.44 Dividends unpaid Individual deposits 1, 065, 670.17 United States deposits 440,000.00 Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 4,050.00 Total 1, 971,256. 52 1, 971,256. 52 Gallatin National Bank, N e w York. FREDERICK D. TAPPEN, President. No. 1324. A. W. SHERMAN, Cashier. $4, 455, 957. 21 Capital stock paid in. Loans and discounts $1,000,000.00 32.35 Overdrafts 290, 000. 00 Surplus fund U. S. bonds to secure circulation... 1, 000, 000.00 U. S. bonds to secure deposits 378, 807.15 Undivided profits. U. S. bonds on hand 261, 000. 00 Stocks, securities, judgments, etc . . 520, 386. 50 National-bank notes outstanding.. Due from approved reserve agents. State-bank notes outstanding Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total 166,237.43 7,066.10 493,456.10 16,500. 00 3,415. 25 3,922,206. 77 26, 000.00 105. 71 409, 863.00 264, 023.00 110,000.00 13,050.00 Dividends unpaid 50, 530. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable Total. 10,698,299.42 6, 874,961. 34 712, 575. 33 420, 425. 00 10,698,299.42 Garfield National Bank, N e w York. No. 2598. A. C. CHENEY, President. $2, 710, 291.37 Loans and discounts 932.10 Overdrafts 50,000.00 U. S. bonds to secure circulation 200,000.00 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks 132,739. 08 Due from State banks and bankers. "io,"6o6."66" Bank'g-house, furniture, andfixtures Other real estate and mortg's owned 15,256.25 Current expenses and taxes paid ... 67,500.00 Premiums on U. S. bonds 73,897,92 Checks and other cash items 174,013.16 Exchanges for clearing-house 55, 500. 00 Bills of other national banks 7,167.88 Fractional currency, nickels, cents 391, 372.00 Specie 238, 993. 00 Legal-tender notes U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S Due from Treasurer U. S 4,129,912. 76 Total. H. Ex. 3 17 HENRY D. NORTHROP, Cashier. Capital stock paid in. Surplus fund Undivided profits $200, 000. 00 275, 000.00 33, 261.10 National-bank notes outstanding. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 3, 256, 218. 38 220, 000.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable , Total. 100,433.28 4,129, 912. 76 258 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Hanover National Bank, New York. JAB. T. WOODWARD, President. No. 1352. Resources. $14,184,120.47 Loans and discounts 677.19 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... 1, 000, 000. 00 U. S. bonds to secure deposits IT. S. bonds on hand 3, 000. 00 Stocks, securities, judgments, etc .. Due from approved reserve agents. 623, 885. 37 Due from, other national banks 328, 421.96 Due from State banks and bankers. Bank'g-house, furniture, andfixtures Otherreal estate and mortg's owned Current expenses and taxes paid-. 100, 908. 31 185, 500.00 Premiums on U. S. bonds 10,199. 67 Checks and other cash items Exchanges for clearing-house 2, 890, 009. 23 Bills of other national banks 23,423. 00 383.11 Fractional currency, nickels, cents. 3, 773, 055.00 Specie 579, 975. 00 Legal-tender notes 50, 000. 00 IT. S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total JAMES M. DONALD, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits 1,100, 000.00 251, 765. 70 National-bank notes outstanding.. Stato-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 23,805,808.3i $1,000,000.00 Total. 44.040.00 3,185.00 6, 895, 702. 29 1,100, 000. 00 9,925, 368. 64 3,485,746. 68 23, 805, 808.31 Importers and Traders' National Bank, N e w York. EDWARD H. PERKINS, JR., President. No. 1231. EDWARD TOWNSEND, Cashier. Capital stock paid i n . $1, 500, 000.00 Loans and discounts $21,8L6,337.35 Overdrafts 4. 50 U. S. bonds to secure circulation... 50, 000. 00 TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks 752, 845. 40 Due from State banks and bankers. 60, 848. 91 Bank'g-house, furniture, and fixtures 200, 000. 00 4, 500. 00 Other real estate and mortg's owned 90,951.00 Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items 229,480. 61 Exchanges for clearing-house 2, 226,479. 78 Bills of other national panks 279, 542. 00 Fractional currency, nickels, cents. 600. 00 Specie 4,180, 000. 00 Legal-tender notes 1,064, 230.00 U. S. certificates of deposit 900, 000. 00 Redemption fund with Treas. U. S. 2,250. 00 Due from Treasurer U. S 2, 000. 00 Total Surplus fund Undivided profits . 4, 000, 000. 00 460, 671. 70 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 45, 000. 00 5, 708.00 5,970.00 Individual deposits 10,190, 832.18 United States deposits Deposits of U.S. disbursing officers. Due to other national banks 11,416,171.44 Due to State banks and bankers .. 4,289, 716. 29 Notes and bills re-discounted. Bills payable ^ 31, 920, 069. 61 Total. 31, 920, 069. 61 Irving National Bank, New York. JOHN L. JEWETT, President. No. 1357. Loans and discounts $2,541,295.14 697. 73 Overdrafts 50,000.00 U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand : Stocks, securities, judgments, etc.. 296, 759. 44 Due from approved reserve agents Due from other national banks 459, 211. 24 51,569.51 Due from State banks and bankers. 80, 000. 00 Bank'g-house, furniture, andfixtures 10, 000. 00 Other real estate and mortg's owned 13, 225. 65 Current expenses and taxes paid... Premiums on U.S.bonds Checks and other cash items 12,133.08 Exchanges for clearing-house 273, 099. 60 Bills of other national banks 8, 000. 00 Fractional currency,nickels, cents. 247.39 Specie 374, 305. 50 Legal-tender notes 122, 727. 00 U. S. certificates of deposit 190,000.00 Redemption fund with Treas. U. S . 2, 250. 00 Due from Treasurer U. S Total 4,485,521.28 G. E. SOUFEB, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $500, 000.00 100,000.00 187,748.43 36,980.00 Dividends unpaid. 1, 660.00 Individual deposits 3, 025,181.55 United States deposits , Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . 288, 913.27 345, 038.03 Bills payable Total 4,485,521.28 REPORT OF THE COMPTROLLER OF THE CURRENCY. NE W 259 YORK. Leather Manufacturers' National Bank, New York. JOHN T. WILLETTS, President. No. 1196. ISAAC H. WALKER, Cashier. Resources. Liabilities. Loans and discounts $2, 081, 886.75 Overdrafts . 998.66 U. S. bonds to secure circulation. . . 600, 000. 00 U. S. bonds to secure deposits... X . S- bonds on hand T Stocks, securities, judgments, etc . . 771, 223.89 Due from approved reserve agents. Due from other national banks 183, 426.63 Due from State banks and bankers 20,555. 89 Bank'g-house, furniture, anduxturep 200, 000.00 Other real estate andmortg's owned Current expenses and taxes paid... 15, 730.95 Premiums on X S. bonds L Checks and other cash items 49, 913. 98 Exchanges for clearing-house 326, 245.47 Bills of other national banks 22, 460.00 Fractional currency, nickels, cents. 100.14 Specie 625, 017. 70 Legal-tender notes 100,178. 00 U. S. certificates of deposit Redemption fand with Treas. TJ. S. 27, 000. 00 Due from Treasurer U. S Total. Capital stock paid i n . $600,000. 00 Surplus fund Undivided profits. 400,000.00 129, 251.88 National-bank notes outstanding.. State-bank notes outstanding 523, 700. 00 Dividends u n p a i d . 2, 637. 03 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. 2, 509, 539.11 674,290.42 180,319.62 Notes and bills re-discounted. Bills payable Total . 5, 024, 738. 06 5,024,738.06 Lincoln National Bank, New York. THOMAS L. JAMES, President. No. 2608. $2,676,800.54 Loans and discounts 827.81 Overdrafts 50,000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 625,176. 25 Stocks, securities, judgments, etc . . Due from approved reserve agents. 194, 035. 84 Due from other national banks 71, 292. 67 Due from State banks and bankers 5, 500.00 Bank'g-house, furniture. aDdfixtures Other real estate andmortg's owned 14, 952. 30 Current expenses and taxes paid . 6, 750. 00 Premiums on U. S. bonds 32, 455. 78 Checks and other cash items 342, 079.77 Exchanges for clearing-house 27, 809. 00 Bills of other national banks 340. 70 Fractional currency, nickels, cents. 600, 309. 50 Specie 335, 754. 00 Legal-tender notes U. S. certificates of deposit 2,250. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S $300,000.00 Surplus fund Undivided p r o f i t s . 251, 329. 28 11,502.42 National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 3,803,956.34 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 164,375.51 410,170. 61 Total . 4, 986,334.16 Total. TV. T. CORNELL, Cashier. Capital stock paid i n . 4,986,334.16 Market and Pulton National Bank, New York. ROBERT BAYLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 964. I, 632, 729.25 20, 553. 45 50, 000.00 A. GILBERT, Cashier. Capital stock paid in. Surplus fund Undivided profits. 220, 503.83 National-bank notes outstanding., State-bank notes outstanding 382, 507. 29 12, 715. 35 425, 976. 53 Dividends unpaid . $750,000.00 600,000.00 323,603.71 45, 000. 00 700.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. .4,768,516 14 93,211.26 513, 062.14 34, 506. 00 Due to other national banks Due to State banks and bankors.. 202, 832.21 78, 910.39 886,851.29 270, 858.00 Notes and bills re-discounted . Bills payable 23, 838. 06 2, 250. 00 6,569,562.45 Total . 6,569, 662.45 260 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Mechanics' National Bank, New York. HORACE E. GARTH, President. No. 1250. W. SHARP, JR., Cashier. Resources. Liabilities. $9,366,519.72 Loans and discounts 2,195.15 Overdrafts 50, 000. 00 TJ. S. bonds to secure circulation... XJ. S. bonds to secure deposits IX. S. bonds on hand 6,000.00 Stocks, securities, judgments, etc . . Due from approved reserve agents 618, 977. 85 Due from other national banks 106, 287.42 Due from State banks and bankers. 316, 872. 52 Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... 19,899.36 Premiums on IT. S. bonds 59,979.40 Checks and other cash items 3, 024, 668.43 Exchanges for clearing-house 7, 012.00 Bills of other national banks 190. 71 Fractional currency, nickels, cents . 335, 216. 50 Specie 539, 968.00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Capital stock paid in.-. $2,000,000.00 1, 000, 000. 00 795,165.10 Surplusfund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends u n p a i d . . 6,332.46 Individual deposits United States deposits Deposits of U. S. gtisbursing officers 6, 988, 090. 02 Due to other national banks Due to State banks and bankers .. 2, 414, 866. 84 1, 249, 332.64 Notes and bills re-discounted . Bills payablo Total. 14,453,787.06 14, 453, 787. 06 Mercantile National Bank, New York. WILLIAM P. ST. JOHN, President. No. 1067. „ F. B. SCHENCK, Cashier. $7, 693, 807.65 Capital stock paid in. Loans and discounts $1 000,000. 00 . 5, 957.64 Overdrafts 50, 000. 00 Surplus fund 600, 000. 00 U. S. bonds to secure circulation... 237,628.44 U. S. bonds to secure deposits Undivided profits U. S. bonds on hand 3, 000.00 National-bank notes outstanding.. 45, 000.00 Stocks, securities, judgments, etc . . State-bank notes outstanding Due from approved reserve agents. 448, 077. 89 Due from other national banks 16, 836. 91 Dividends unpaid Due from State banks and bankers. 90.00 200, 000.00 3 lank'g-house,furniture, and fixture? Individual deposits Other real estate and mortg's owned 3,866, 304. 06 Current expenses and taxes paid.. 47, 602.55 United States deposits Deposits of U. S. disbursing oflicers. Premiums on U. S. bouds 21,399.12 Checks and other cash items 668, 350. 35 Due to other national banks 4, 396, 290. 84 Exchanges for clearing-house 6, 981. 00 Due to State banks and bankers . . ], 349,489.15 Bills of other nationafbanks Fractional currency, nickels, cents 1, 448,139.38 Notes and bills re-discounted . . Specie 882,400.00 Bills payable Legal-tender notes. V.% certificates of deposit Redemption fund with Treas. U. S. 2,250. 00 Due from Treasurer U. S Total Total. 11,494,802.49 11, 494, 802. 49 Merchants' Exchange National Bank, New York. P H I N E A S C. LOUNBBURY, President. N o . 1080. $3,495, 637.02 Loans and discounts 483. 80 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc... 16,307. 50 Due from approved reserve agents. 362, 736.15 Due from other national banks 37,819.44 Due from State banks and bankers. 243, 700. 00 Bank'g-house, furniture, and fixture* Other real estate and mortg's owned 12, 649.12 Current expenses and taxes paid... 10, 900. 00 Premiums on U. S. bonds 39,128.19 Checks and other cash items 360, 909. 70 Exchanges for clearing-house 4, 627.00 Bills of other nationaljbanks 2,975. 69 Fractional currency, nickels, cents . 654, 853. 30 Specie 322, 930.00 Legal-tender notes 120, 000.00 U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 5, 737, 906.91 A. S. APGAR, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $600,000. 00 25,000.00 105, 961. 36 42, 500. 00 3, 059.55 Individual deposits United States deposits Deposits of U.S.disbursingonicers 2, 497, 276. 25 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 2, 008, 069. 57 456, 040.18 Total. 5, 737, 900. 91 REPORT OF THE COMPTROLLER OF THE CURRENCY. 2G1 NEW YORK. Merchants' National Bank, New York. JACOB D. VEUMILYE, President. C. V. BANTA, Cashier, No. 1370. Resources. Liabilities. Loans and discounts $7, 590, 726.28 Capital stock paid in. Overdrafts 160.19 U. S. bonds to secure circulation... 50, 000.00 Surplus fund. U. S. bonds to secure deposits TJndiv divided profits. U. S. bonds on hand. Stocks, securities, judgments, etc .. 9, 000. 00 National-bank notes outstanding.. Due from approved reserve agents. State-bank notes outstanding Due from other national banks 275, 652. 94 Due from State banks and bankers 33, 556. 63 Dividends unpaid Bank'g-house, furniture,aTidfixtures 860,723.65 Other real estate aud mortg's owned Individual deposits , Current expenses and taxes paid... 19, 642.26 United States deposits ... Premiums on U. S. bonds 3, 500. 00 Deposits of U. S. disbursing officers. Checks and other cash items 175, 637. H7 Exchanges^ for clearing-house 2,139,044.08 Due to other national banks Bills of ottier national bauks. 17, 955. 00 Due to State banks and bankers .. Fractional currency, nickels, cents . 1, 210. 58 Specie 994, 986. 60 Notes and bills re-discounted. Legal-tender notes 281, 735. 00 Bills payable U. S. certificates of deposit 810, 000. 00 Redemption fund with Treas. U. S. Due from Treasurer IT. S Total 13,266,531. 08 Total. $2, 000,000.00 400, 000 00 474, 562. 52 2, 635. 00 4,173. 75 5,903,599. 78 2, 938,102 35 1, 513, 457.68 13, 266, 531.08 National Bank of Commerce, New York. RICHARD KING, President. No. 733. Loans and discounts $15, 241, 001.11 O verdrafts U. S. bonds to secure circulation... 1,134, 000. 00 U. S. bonds to secure deposits 300, 000. 00 TJ\ S. bonds on hand Stocks, securities, judgments, etc .. 1, 839, 260. 57 Due from approved reserve agents Due from other national banks 1, 754, 386.63 87, 246.26 Due from State banks and bankers. 585, 000. 00 Bank'g-house, furniture, and fixtures 30, 000. 00 Other real estate and mortg's owned 31,178. 70 Current expenses and taxes paid... Premiums on D". S. bonds Checks and other cash items 96, 251.94 Exchanges for clearing-house 9, 742, 055. 59 50, 675.00 Bills of other national banks 2, 014.19 Fractional currency, nickels, cents . Specie 712,758.80 2, 367, 500. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. 51, 030. 00 Due from Treasurer TJ. S Total 34,024,358.79 WILLIAM W. SHERMAN, Cashier. Capital stock paid in. 2, 000, 000.00 Surplus fund 1, 289,397. 52 Undivided profits. 917, 980 00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 5, 357. 00 18, 752, 574. 55 Individual deposits 323, 607.67 United States deposits Deposits of U.S. disbursing officers. 2, 326,186. 00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable Total ,. 3,409, 256. 05 34,024,358.79 N.ational Bank of Deposit, New York. L. E. RANSOM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total No. 3771. CHARLES F. SANBORN, Cashier. $598,143. 76 Capital stock paid in. $300,000.00 2, 615. 08 125, 000. 00 Surplus fund. 100, 000.00 Undiv 47,202.42 livided profits. 106, 013.16 36, 720.45 2, 000.00 National-bank notes outstanding. State-bank notes outstanding 112, 500. 00 Dividends unpaid Individual deposits United States deposits 37, 220. 41 Deposits of U S. disbursing officers. 467, 324. 82 100, 000. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 120, 758.39 144,077.58 1, 755.30 133,625.40 35. 89 101,876.76 41,232. 00 5, 625.00 1,291,863.21 Total., 1, 291, 863.21 262 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Bank of the Republic, New York. JOHN JAY KNOX, President. N o . 1000. E . H. PULLEN, Cashier. Resources. Loans and discounts Overdrafts U, S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andflxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds . . Checks and other cash items Exchanges for ulearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. 19,491,550.83 116. 09 50, 000.00 820, 000.00 129,150. 00 739, 455. 90 1, 790,146.12 127,061.49 637, 684.16 21, 977. 57 202,824.41 65, 356.18 1,496,524.22 68, 368.00 100.39 3, 568, 926.00 196, 730.00 Capital stock paid in. $1, 500, 000.00 500, 000.00 389, 730.51 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 35,540.00 Dividends unpaid. 20,093, 00 Individual deposits United States deposits Depositsof U.S. disbursing officers. 5, 091,220.43 900, 000. 00 Due to oth er national banks Due to State banks and bankers . . 9,123,130.97 1,848,506.45 Notes and bills rediscounted . Bills payable 2, 250.00 19,408,221.36 Total 19,408,221.36 National Broad-way Bank, New York. FRANCIS A. PALMER, President. A. T. J . RICE, Cashier. No. 687. $ifToo, 000:00 Loans and discounts $5, 580, 936. 61 Capital stock paid in. Overdrafts 1,000,000.00 U. S bonds to secure circulation... 5O,6ob.o6 Surplus fund U. S. bonds to secure deposits Undivided profits 596, 402.33 U. S. bonds on hand Stocks, securities, judgments, etc . . 242,129. 00 National-bank notes outstanding.. 45,000.00 Due from approved reserve agents. State-bank notes outstanding 531, 250. 66 Due from other national banks 16, 500. 00 Dividends unpaid . 2,034. 00 Due from State banks and bankers. 250, 000. 00 Bank'g-house, furniture, andfixtures Individual deposits Other real estate and mortg's owned 5,136, 291. 73 14,184 97 United States deposits Current expenses and taxes paid.. 9, 800.00 Deposits of U. S.disbursing officers. Premiums on U. S. bonds 231,909.39 Checks and other cash items 1, 208,494. 00 Due to other national banks 1,115, 479. 42 1, 300. 00 Due to State banks and bankers .. Bills of other national banks 64, 750.50 693. 90 Fractional currency, nickels, cents . 553, 341.45 Notes and bills rediscounted.. Specie 267,162.00 Bills payable Legal-tender notes U S certificateH of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer TJ. S 8, 959, 957.98 Total. Total. 8, 959, 957. 98 National Butchers and Drovers' Bank, New York. G. G. BRINCKERHOFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S, bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved1 reserve agents. Due from other national banks. Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. o. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total.. No. 1261. $1,427, 840. 64 29.11 300, 000. 00 291,689.29 88, 040. 91 1,313.06 80, 000. 00 11,755.88 11,926.60 19,640.18 100,401.26 15, 532.00 3, 893.11 551,891.00 73, 867. 00 WM. H. CHASE, Cashier. Uapital stock paid in Surplus fund Undivided profits $300, 000.00 ....... 250, 000. 00 46, 286. 96 National-bank notes outstanding.. State-bank notes outstanding 256,760.00 Dividends unpaid 1, 483. 95 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,104, 955.23 Due to other national banks Due to State banks and bankers . . 34, 733. 90 100. 00 Notes and bills rediscounted . . . . . . Bills payable 13, 500.00 2, 994, 320. 04 Total 2, 994, 320. 04 REPORT OF THE COMPTROLLER OF THE CURRENCY. 263 NEW YORK. National Citizens' Bank, New York. W I L I I A M H . OAKLEY, President. No. 1290. D. C. TIEBOUT, Cashier., Resources. Liabilities. Loans and discounts $2, 785, 339. 00 Capital stock paid in. Overdrafts 1,038.47 U. S. bonds to secure circulation... 50, 000.00 Surplus fund TL S. bonds to secure deposits Undivided profits. IT. S. bonds oa hand Stocks, securities, judgments, etc . . 1, 800. 00 National-bank notes outstanding.. Due from approved reserve agents. State-bank notes outstanding Due from other national banks 250, 893.65 Due from State banks and bankers. 51, 720.71 Dividends unpaid Bttnk'g-house, furniture, andfixtures 274,000.00 Other real estate and mortg's owned Individual deposits C urrent expenses and taxes paid... 14,151. 55 United States deposits Premiums on IT. S. bonds 10,812.50 i Deposits of U. S. disbursing officers Checks and other cash items 105,127.48 i 364,858.15 i Dae to other national banks Exchanges for clearing-house 2, 800.00 Bills of other national banks Due to State banks and bankers .. Fractional currency, nickels, cents 1,103. 56 159, 042.00 Specie ' Notes and bills re-discounted. 128,157.00 Legal-tender notes Bills payable 200, U00. 00 U. S. certificates of deposit 2, 250. 00 Redemption fund with Treaa. U. S Due from Treasurer U. S Total 4, 403,144.07 Total. $600,000.00 120, 000. 00 278, 251.48 45, 000. 00 5,131. 00 1,461.22 3,132, 658. 87 23, 583.75 197, 058. 35 4,403,144.67 National City Bank, N e w York. PERCY R. PYNE, President. No. 1461. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixturea Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total D. PALMER, Cashier. $1 000, 000.00 Capital stock paid in 50, 000. 00 1 000,000.00 1, 45i, 180.92 Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding 1, 352, 301.01 90,139. 85 200, 000. 00 3, 000. 00 41, 925. 98 289, 455.15 7, 915, 980. :52 30, 625. 00 787. 56 3, 423, 773. 00 650, 000. 00 10, 000. 00 Dividends unpaid 1, 695. 00 Individual deposits ;i9,115, 948. 93 United States S. disbursing officers. Deposits of U. deposits Due to other national banks Due to State banks and bankers .. 1, 556,136. 27 471, 391.20 Bills payable 25,000.00 | Total 24,599,352.32 j 24, 599, 352.32 National Park Bank, New York. No. $19, 300,908.75 Loans and discounts 4, 749. 32 Overdrafts U. S. bonds to secure circulation... 50, 000. 00 TJ. S. bonds to secure deposits TJ. S. bonds on hand 502, 339. 55 Stocks, securities, judgments, etc .. Due from approved reserve agents. 2, 085, 856.17 Due from other national banks 192, 088. 43 Due from State banks and bankers. 750, 000. 00 Bank'g-house, furniture, andfixtures 57, 490.87 Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds 22, 385.32 Checks and other cash items 3,181, 599. 23 Exchanges for clearinghouse 49,159. 00 Bills of other national banks 503, 00 Fractional currency, nickels, cents. 4, 060, 321. 50 Specie 868, 409. 00 Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . 22, 000.00 Due from Treasurer U. S Total 31,147,810.14 V. MUMFORD MOORE, President. 891. GEO. S. HICKOK, Cashier. Capital stock paid in. Surplus fund Undivided profits $2, 000,000.00 1, 500,000.00 614, 762. 20 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 4, 372. 00 Individual deposits 13, 255, 731.17 United States deposits Deposits of U.S. disbursing officers. Due to other national banks 10, 405, 846. 25 Due to State banks and bankers . . 3,367, 098. 52 Notes and bills re-discounted. Bills payable Total 31,147,810.14 264 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Shoe and Leather Bank, New York. JOHN M. CRANK, President. No. 917. W. D. VAN VLKCK, Cashier. Resources. Liabilities. $2, 759,808. 02 Loans and discounts Overdrafts 532.79 U. S. bonds to secure circulation... 120, 000.00 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . 264,294. 32 Due from approved reserve agents. Due from other national banks . . . 332,285. 71 Due from State banks and bankers. 53,498.08 Bank'g-house,furniture, and fixture? 247, 000. 00 Other real estate and mortg's owned Current expenses and taxes paid... "25*518.29 23, 637. 50 Premiums on U. S. bonds 21,117. 01 Checks and other cash items 283, 953. 07 Exchanges for clearing-house 15,000.00 Bilis of other national banks 1,018. 85 Fractional currency, nickels, cents 300, 812. 50 Specie ' 344,699. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . 5, 400. 00 Due from Treasurer U. S Surplus fund. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 180, 000. 00 84, 592. 39 108, 000.00 384.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 2,657,695.33 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 1,054, 835.19 213, 272.83 4, 798,579. 74 Total. $500, 000.00 Capital stock paid in. 4, 798, 579.74 Total. New York County National Bank, New York. FRANCIS L. LELAND, President. No. 1116. $1, 343, 351.04 Loans and discounts Overdrafts 266,006.66 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. 1,113, 962. 01 Due from approved reserve agents. Due from other national banks "147,206.90 Due from State banks and bankers60," 666'66' Bunk'g-hou8e,furniture,andfixture8 Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds 900.03 Checks and other cash items 105, 740.61 Exchanges for clearing-house 1, 050.00 Bills of other national banks 88.57 Fractional currency, nickels, cents . 722,442. 00 Specie 135,890.00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 9, 000.00 Due from Treasurer U. S Total W M . H . JENNISON, Cashier. Capital stock paid in $200, 000.00 Surplus fund Undivided profits 40,000.00 181, 918.09 National-bank notes outstanding. State-bank notes outstanding 180, 000.00 Dividends unpaid 260. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 3,237,453.13 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 3,839,631.22 Total. 3,839,631.22 New York National Exchange Bank, New York. DANIEL B. HALSTEAD, President. No. 345. $1,244,413.04 Loans and discounts 206. 04 Overdrafts 50,000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. 132, 060.00 Due from approved reserve agents. 219, 555. 89 Due from other national banks 45, 730. 93 Due from State banks and bankers. 60,000.00 Bank'g-house, furniture,and fixtures Other real estate and mortg's owned 5,992.29 Current expenses and taxes paid... 3, 000.00 Premiumson U. S. bonds 58,198. 02 Checks and other cash items 161, 625.74 Exchanges for clearing-house 3, 913.00 Bills of other national banks 1, 858.00 Fractional currency, nickels, cents. 150, 401.00 Specie 88, 517. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total 2,227,720.95 C. B. OUTCALL, Cashier. Capital stock paid in. •Ins fund profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $300,000.00 60,000.00 76,577.80 45, 000.00 1,065.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 1, 566, 888. 71 Due to other national banks Due to State banks and bankers . 68,484.34 109,705.10 Notes and bills re-discounted . Bills payable Total 2,227,720.95 REPORT OF THE COMPTROLLER OF THE CURRENCY. 265 NEW YORK. Phenix National Bank, New York. EUGENE DUTILH, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, turniture,andtixtures Other real estate and rnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. M. BULL, Cashier. No. 1374. Liabilities. $4,247, 632. 90 Capital stock paid in 106. 00 50, 000. 00 273, 672. 64 308, 234. 91 12, 255. 59 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $1, 000, 000.00 400, 000.00 162,480.90 45, 000.00 587.40 Dividends unpaid 3, 385, 258. 75 Individual deposits 13. 509. 63 United States deposits 11, 000. 00 Deposits of U. S. disbursing officers. 44,138.91 585.49y.47 31, 233. 00 347. 92 758, 250. 00 20, 000. 00 200, 000.00 2, 250.00 30,000.00 Due to other national banks Due to State banks and bankers .. 1, 325,133. 82 269, 670.10 Bills payable Total 6, 588,130.97 6, 588,130.97 Seaboard National Bank, N e w York. WILLIAM A. PULLMAN, President. S. G-. NELSON, Cashier. No. 3415. Loans and discounts $3,141,982. 26 Overdrafts 50, 000.00 U. S. bonds to secure circulation... 200, 000. 00 U. S. bonds to secure deposits 2, 000.00 U. S. bonds on hand 175, 323. 29 Stocks, securities, judgments, etc .. Due from approved reserve agents. 315,108.16 Due from other national banks 41, 581. 77 Due from State banks and bankers. 2,000. 00 Bank'g-house, furniture, and fixtures Other real estate and mortg's owned 14, 527. 67 Current expenses and taxes paid... 41,566.37 Premiums on U. S. bonds 3.048.0J Checks and other cash items 918,817.88 Exchanges for clearing-house 20, 000. 00 Bills of other national banks 291.86 Fractional currency, nickels, cents 396,513.00 Specie 392, 301. 00 Legal-tender notes 130, 000. 00 U.S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S . Dae from Treasurer U. S 5, 847, 311.29 Total. Capital stock paid in. $500, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursingofficers. Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable Total. 100, 000. 00 46, 696. 34 43, 360. 00 75.00 2, 444,863.87 220, 000. 00 1,301,771.96 1,190, 544.12 5, 817, 311. 29 Tradesmen's National Bank, New York. NATHANIEL NILES, President. No. 905. $2, 760, 743.40 Loans and discounts 4,063.72 Overdrafts 100, 000. 00 U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 240, 531.25 Due from approved reserve agents. 289,262. 38 Due from other national banks 34,291. 68 Due from State banks and bankers325, 000. 00 Bank'g-house, furniture, and fixtures 56, 910. 29 Other real estate and mortg's owned 14, 547. 88 Current expenses and taxes paid... 22,437. 50 Premiums on U. S. bonds 40, 463. 28 Checks and other cash items 171,571,24 Exchanges for clearing-house 9,981.00 Bills of other national banks 862.34 Fractional currency, nickels, cents . 267, 235.36 Specie 124,000.00 Legal-tender notes U. S. certificates of deposit 4, 500.00 Redemption fund with Treas. U. S . 2, 000. 00 Due from Treasurer U. S Total.. 4,468,401.32 OLIVER F. BERRY, Cashier. Capital stock paid in. $1,000,000.00 200, 000. 00 Surplus fund 34, 237.31 Undivided profits. National-bank notes outstanding.. 88, 440.00 State-bank notes outstanding 4, 423.60 Dividends unpaid. Individual deposits 1, 991,190.42 United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable Total. 767,498.94 257,611.05 125, 000. 00 4,468,401.32 266 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. United States National Bank, New York. L. C. MURRAY, President. No. 2507. E. G. SHERMAN, Cashier. Liabilities. Resources. $3,458, 600.14 Loans and discounts 25,707.47 Overdrafts 50,000.00 U. S. bonds to secure circulation.. 600, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. 445,843.93 Due from approved reserve agents 568,821.13 Due from other national banks. -. 32, 600. 86 Due from State banks and bankers Bank'g-house, furniture, andfixtures 480,023. 91 Other real estate andmortg's owned Current expenses and taxes paid... 15.76 91, 771. 58 Premiums on U. S. bonds 9, 859. 78 Checks and other cash items.. 348,826. 27 Exchanges for clearing-house 7, 000.00 Bills of other national banks 34.05 Fractional currency, nickels, cents. 1,208,461.00 Specie 36, 284.00 Legal-tender notes IT. S. certificates of deposit 2,250.00 Redemption fund with Treas. XJ. S. Due from Treasurer U. S Total., $500,000.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid.. 500. 000. 00 13, 397. 57 45, 000. 00 10,000.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 1,339,278.23 660,000.00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2, 700, 447.82 1, 597,976.26 Total. 7, 366, 099. 88 7, 366, 099.88 "Western National Bank, New Tork. C. N. JORDAN, President. No. 3700. Loans and discounts $10,508,697.69 Overdrafts 366. 72 U. S. bonds to secure circulation... 50,000. 00 U. S. bonds to secure deposits 1. 000, 000.00 U. S. bonds on hand Stocks, securities, judgments, etc.. 126,400.00 Due from approved reserve agents Due from other national banks 1,430, 289.72 Due from State banks and bankers. 189,387.42 Bank'g-house, furniture, and fixtures Other real estate andmortg'a owned 88, 559.76 Current expenses and taxes paid... 37,994.65 Premiums on U. S. bonds 52,918.75 Checks and other cash items 95, 485.32 Exchanges for clearing-house 2,408, 596. 39 Bills of other nationalTfranks 3, 670.00 Fractional currency, nickels, cents. 101.98 Specie 1,282,971.50 Legal-tender notes 310,278.00 U. S. certificates of deposit ' 960, 000.00 Redemption fund with Treas. U. S 2,250.00 Due from Treasurer U. S 118,000.00 Total FERDINAND BLANKENHORN, Cashier. Capital stock paid in. $3, 500, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 300, 607. 8.3 $0, 020.00 Dividends unpaid. Individual deposits United States deposits Deposits ol'U.S.disbursingoflioers. 7, 984,722. 84 999, 496. 55 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 4, 848, 225. 52 1, 002, 895.16 Total. 18,665,967.90 18, 665, 967.90 North Granville National Bank, North Granville. ISAAC V. BAKER, President. Loans and discounts..; Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Otherreal estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1348. $147,508.81 532.43 65, 000.00 3,098.90 2, 356. 60 368.13 2, 000. 00 1, 450. 00 933.18 512.56 775. 00 21.60 2, 662. 95 1, 690. 00 GEO. B. CULVER, Cashier. Capital stock paid in. $85,000.00 Surplus fund Undivided profite. 17, 000. 00 14,196.37 National-bank notes outstanding.. State-bank notes outstanding 58, 500.00 Dividends unpaid - Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers.. 56,182.11 956. 68 Notes and bills re-discounted. Bills payable 2,925.00 231,835.16 Total. 231, 835.16 REPORT OF THE COMPTROLLER OF THE CURRENCY. *» 2 6 7 NEW YORK. Chenango National Bank, Norwich. No. 3011. CYRUS B. MARTIN, President. H. T. DUNHAM, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duefroin Treasurer U.S Total . $179. 666.72 99.14 25,000. 00 50,000. 00 59,911.25 19,544.03 266.80 " "4,"900.* 00 1, 863.29 13, 000.00 705. 62 3, 315.00 123.61 28, 600. 00 6, 310.00 Capital stock paid in. plus fund tivided profits. National-bank notes outstanding.. State-bank notes outstanding $100, 000.00 13,000.00 15, 624.22 22, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of TJ. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted.. Bills payable 188, 505.96 55, 000.00 300. 28 1,125.00 Total. 394, 430. 46 394,430.46 National Bank, Norwich. WARREN NEWTON, President. HOWARD D . NEWTON, Cashier, No. 1354. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank g-houae, furniture,and fixtures Other real estate andjnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. Is. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $211, 672.92 6,511.04 125, 000.00 150,000.00 97, 700.00 7,071.73 10, 000. 00 2, 658. 86 6, 600. 00 12, 598. 95 2, 098.10 38, 315.25 6, 957.01 1,190.00 98.54 27,194, 50 4, 650.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. $125, 000.00 125, 000.00 8, 974.96 112, 000. 00 179,966.94 165,000.00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 5, 625. 00 Total . 715, 941.90 715.941.90 First National Bank, Nunda. MICHAEL DOWLING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. PETER DEPUY, Cashier. N o . 2224. $49,462. 76 12, 500. 00 22, 850.00 13,029.76 10,060. 54 15, 000. 00 524. 65 1,161. 00 56.78 3,700.00 5, 500.00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50,000.00 10, 000.00 2, 468. 41 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 60, 689. 58 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 562. 50 134,407.99 Total. 134, 407.99 268 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Nyack National Bank, Nyack. No. 2378. C. A. CHAPMAN, President. JNO. M. GESNEB, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. ... Due from State banks and bankers . Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. -. Premiums on U. S.bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. $321,476.45 1,726.40 50,000.00 1, 200.00 122, 428.02 4,085.34 7.93 1,300.00 5, 500.00 3, 763.78 4, 830. 00 352.10 732. 00 37.60 11, 643. 04 6, 500.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing ofiicers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . $50,000.00 17,000.00 18,478.76 45, 000. 00 208. 00 350,390. 98 49,354.33 7,400. 59 Bills payable 2,250.00 537,832.66 537,832. G6 Total. National Bank, Ogdensburgh. JAMES R. BILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand " Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. E. N. MEHBIAM, Cashier. No. 2446. $100, 000. 00 Capital stock paid in. 17, 500. 00 Surplus fund 5,144.08 1,200. 00 Undivided profits. 12, 093.69 National-bank notes outstanding.. 22, 500. 00 83, 817.21 State-bank notes outstanding $209, 384.95 1,993.78 25,000. 00 4,576.22 2. 097.50 3,913.05 1,892.75 5,630.00 9,786.15 1,140. 00 35.2\ 12, 730.11 5,983.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 233,976.33 2, 816. 83 461.40 1,125.00 382, 398. 64 Total. 382, 398.64 First National Bank, Olean. WILLIAM F. WHEELER, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1887. A. T. EATON, Cashier. $534, 730.58 1, 910.49 50, 000.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. 66,231. 84 State-bank notes outstanding 3, 960.89 1,192.27 12, 790. 34 Dividends unpaid Individual deposits 2, 239. 23 United States deposits Deposits of U. S. disbursing officers. 7, 812.08 392.00 73.87 12, 747.64 28, 394.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable , $100, 000.00 65, 000.00 77, 782. 54 45,000.00 1,405.00 427, 354.51 6, 291. 90 1,891.28 2, 250. 00 724,725. 23 Total. 724,725.23 REPORT OF THE•COMPTROLLER OF THE CURRENCY. 269 NEW YORK. Exchange National Bank, Olean. No. 2376. MILLS W. BAUSE, President. FRANK L. BARTLETT, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,fumituro,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums ou U. S. bonds Checks and other cash items Exchanges for clearing-house h Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. $779,434. 72 2,572. 71 50, 000.00 78,750.44 20, 415.32 27, 087.83 30, 000. 00 20, 513. 20 3,575.34 1,875.00 177.05 12,413.45 28,647.00 Capital stock paid in . Surplus fund Undivided profits — National-bank notes outstanding . State-bank notes outstanding $110,000. 00 220, 000.00 32,272.97' 45, 000. 00 Dividends unpaid. Individual deposits United States deposits... Deposits of U. S.disbursing officers. 650,439.09 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2,250.00 1,057,712.06 Total 1,057,712.06 National State Bank, Oneida. S. H. FARNAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-houso,furniture,and fixtures Other real estate and mortg's Owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificate * of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. AUSTIN B. FRENCH, Cashier. No. 2401. $107,274.10 $60,000.00 Capital stock paid in . 9.32 60, 000.00 Surplus fund 12,000.00 3, 589.47 Undivided profits. 6, 666.82 734. 21 9, ioo. 66 274.00 i,744.*()7 1, 689.00 63.03 5, 050. 00 6, 000.00 National-bank notes outstanding. State-bank notes outstanding 52, 800.00 Dividends unpaid Individual deposits. United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 67,915.68 5,000.00 2, 700. 00 201, 305.15 Total. 201, 305.15 Oneida Valley National Bank, Oneida. MILES HIGGINBOTHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificatesof deposit Kedemption fund with Treaa. U. S. Due from Treasurer U. S Total. No. 1090. THEODORE F. HAND, Cashier. $196, 827. 90 Capital stock paid in $105, 000.00 74.13 50,000.00 21. 000.00 Surplus fund 4,072.71 Undivided profits 14, 300. 00 29, 785. 31 1,826.16 101.79 4,000. 00 1,488.64 7, 000.00 3, 997.44 2, 871.00 95.89 4, 665.00 2,975.00 5, 000.00 2,250.00 327,258.26 National-bank notes outstanding. State-bank notes outstanding 45,000.00 Dividends unpaid. Individual deposits United States deposits Depositsof'U.S.disbursing officers. 149,936.37 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable Total. 1, 758.63 490.55 327,258.26 270 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Oneonta. No. 420. BANSOM MITCHELL, President, MARQUIS L. KEYES, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation .. TJ. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks — Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate andraortg'sowned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total . Liabilities. $211,257.51 3,050. 22 50,000.00 50,000.00 18, 759. 00 20,773. 32 976. 00 467. 45 28, 900. 00 16,800.00 898.17 4,510.13 5,505.00 30.36 6, 027.50 18,447. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits DepositsofU.S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills paya ble $50, 000.00 25,000.00 16, 379.20 45, 000. 00 252,163.45 50,000. 00 109. 31 2,250. 00 Total . 438, 651.66 438, 651. C6 Wilber National Bank, Oneonta. GEORGE I. WILBER, Cashier. No. 2151. DAVID WILBEB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house, furniture,andnxtnres Other real estate and mortg's.o wned Current expenses and taxes paid... Premiums'on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $502,048. 32 4, 284.13 100, 000.00 100,000.00 138, 200. 00 152, 724. 86 8, 035.30 5, 502.11 2,000. 00 1,113. 98 25, 937. 50 4, 612. 28 655.00 21.41 40,018. 90 1,244.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable $100,000.00 100,000.00 62, 902. 43 87, 080.00 579, 531.71 110, 000. 00 44,434.16 6, 949.49 4, 500.00 1,090,897.79 Total. 1, 090,897.79 First National Bank, Oswego. THOMAS S. MOTT, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationafbanks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fond with Treas. U. S . Due from Treasurer U. S Total No. 255. Capital stock paid in. $389, 560.53 1,150. 47 50, 000. 00 50,000.00 259,026.99 185,767.47 8, 022. 03 4, 044.14 14,000.00 1,525.70 '9* 705." 98' 1,906.00 170. 50 25, 567. 50 29,000.00 J. D. W. CASE, Cashier. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $200,000.00 50, 000.00 72,317.87 45, 000.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S. disbursing officers. 612,617.39 25, 618.28 26,693.97 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted . Bills payable 349.80 2,250.00 1,032,597.31 Total. 1,032,597.31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 271 NEW YORK. Second National Bank, Oswego. No. 296. GEORGE B. SLOAN, President. H. R. CARRIER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $186, 855.15 112. 74 25, 000.00 21,921.71 101, 991. 42 4, 431. 76 1, 405. 68 35, 008. 71 1,180.00 2, 832. 93 4, 806. 25 7, 849.62 1, 716. 00 301. 56 22, 947. 00 15, 500. 00 Surplus fund Undivided profits 30,000.00 6, 774.53 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 271,209. 54 4, 501.46 1,125. 00 434, 985. 53 Total. $100,000.00 Capital stock paid in. Total. 434, 985.53 First National Bank, Owego. No. 1019. GEORGE TRUMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $259,112. 65 32, 335. 02 50, 000. 00 600.00 9, 757. 50 1, 997. 91 6, 074. 89 5, 000. 00 W. S. TRUMAN, Cashier. Capital stock paid in. $100,000. 00 Surplus fund Undivided profits. 20, 000.00 28, 710.21 National-bank notes outstanding. State-bank notes outstanding 45, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. """834.07 Due to other national banks 646. 00 Due to State banks and bankers .. 97.38 13, 680. 00 Notes and bills re-discounted . 1,682.00 Bills payable 192,130. 07 2, 514.96 173. 74 568. 36 2, 250. 00 386, 582. 38 Total. 386,582.38 Owego National Bank, Owego. D. M. PITCHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. C. A. THOMPSON, Cashier. No. 2996. Capital stock paid in $50,000. 00 Surplus fund 7, 525. 00 1, 965. 42 Undivided profits 1,100.00 National-bank notes outstanding. 11, 250. 00 16, 234. 82 State-bank notes outstanding $149, 760, 51 2, 090. 24 12, 500.00 9,792.40 2,362.79 9, 300. 00 Dividends unpaid 5.00 Individual deposits 992. 34 United States deposits 650.00 Deposits of U. S. disbursing officers. 140, 219.02 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 4, 672. 97 2, 082.25 6, 407.30 4, 555. 00 84.51 9,818.25 4,009.00 12, 500.00 562. 50 230, 219. 66 Total. 230,219. 66 272 REPORT OF THE COMPTROLLER OF THE CURRENCY. WE W Y O R K . Tioga National Bank, Owego. No. 8G2. THOMAS C. PLATT, President. Resources. Loans and discounts Overdrafts " T S. bonds to secure circulation... C. TJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Cheoks and otter cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.ls. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $186, 399. 98 622. 16 50, 000.00 28, 066.20 4, 419. 52 652. 51 9, 500.00 2,217. 90 4, 584.15 978. 00 42.41 9, 250. 00 1, 200. 00 F. E. PLATT, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers Due to other national banks Due to State banks and bankers. $100, 000.00 20, 000. 00 4, 781.42 44, 000. 00 150.00 131,144.88 100. 53 Notes and bills re-discounted. Bills payable 2, 250. 00 Total. 300,182. 83 300,182.83 First National Bank, Oxford. J . R. VAN WAGENEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand * Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on U. S bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fand with Treas. U. S. Due from Treasurer U. S Total. No. 273. $204,300.43 51.50 50, 000.00 91, 080.00 23, 247.19 348. 72 3, 5fi2. 78 2, 500.00 3,532.31 1, 363.98 2, 533. 08 762.00 49.33 5,118. 60 4, 271. 00 PETER W. CLARK, Cashier. $100, 000.00 Capital stock paid in. Surplus fund Undivided profits 50, 000. 00 47, 468. 47 National-bank notes outstanding. State-bank notes outstanding 45, 000.00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 151,883.20 619.25 2,250. 00 394, 970. 92 394, 970.92 Total. Bronson National Bank, Painted Post. ABIJAH WESTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3800. $88, 332. 52 Capital stock paid in . 5, 657.17 25,000.00 Surplus fund 9, 597.23 2, 000.00 1, 730, 21 1,282.37 6, 062. 50 265. 25 1,215. 00 311. 36 4,154. 9o 1, 719.00 F. E. BRONSON, Cashier. $50, 000. 00 1,200.00 3,196. 23 Undivided profits National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 71, 306. 33 250.00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1,125.00 148, 452. 56 Total. 148,452.56 REPORT OF THE COMPTROLLER OF THE CURRENCY. 273 NEW YORK. First National Bank, Palmyra. No. 295. PLINY T. SEXTON, President. R. M. SMITH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts T). S. bonds to secure circulation . . TJ. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real-estate andmortg's owned Current expenses and taxes paid . . Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $874,345.39 1, 827. 54 1, 000,000. 00 72, 500.86 Capital stock paid in $1,000,000.00 Surplus fund Undivided profits. 90,000.00 2,191.21 National-bank notes outstanding.. State-bank notes outstanding 883,235. HO Dividends unpaid . 220,000.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 3,500.00 250. 25 19,030.00 6, 575.00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 267, 608. 83 45,000.00 2,243,035.04 Total. 2,243,035.04 National Bank, Pawling. ALBERT J . AKIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank's-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationaljbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. 8. Due from Treasurer U. S Total. GEO. W. CHASE, Cashier. No. 1269. $131, 842.72 Capital stock paid in . $175, 000.00 53.00 100, 000.00 150, 000.00 Surplus fund 39, 556. 68 Undivided profits. 249, 387. 50 National-bank notes outstanding. 130,150.00 33, 278.14 State-bank notes outstanding 6, 994. 58 3, J 30. 02 Dividends unpaid 258.00 8, 000. 00 1,127.66 "l," 073." 24' 89.78 8,061.00 500. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 124,669. 20 Due to other national bank* Due te State banks and bankers.. Notes and bills re-discounted Bills payable 19,605.81 11,047.95 6, 750.00 Total. 600,287.64 600,287.64 Westchester County National Bank, Peekskill. CYRUS FROST, President. No. 1422. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks — Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate andmortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national bank's Fractional currency, nickels, cents Specie Legal-tender notes ill. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S 45,975.00 110, 526.28 2,665, 21 2,196.46 14, 000. 00 ""4," 633.16 160.94 1,250. 00 36.87 9,100.00 5, 000.00 18 C. A. PUGSLEY, Cashier. Capital stock paid in Surplus fund Undivided profits $100,000.00 ,. 20,000.00 27,867.77 National-bank notes outstanding. State-bank notes outstanding 90,000.00 Dividends unpaid 202.50 Individual deposits United States deposits Deposits of U. S.disbursing officers 320,150.20 Due to other national banks Due to State banks and bankers.. 85,456.68 2,501.43 Notes and bills re-discounted. Bills payable 4, 500. 00 646,178.58 Total. H. Ex. 3 $343,781.51 2,353.21 100,000.00 Total. 646,178.53 274 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Penn Yan. GEORGE H. LAPHAM, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house^urniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house ... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund witfi Treas. TJ. S. Due from Treasurer TJ. S Total. No. 358. H. K. ARMSTRONG, Cashier. Liabilities. $150, 641. 94 11.48 12, 500. 00 Capital stock paid in. Surplus fund Undivided profits . 12,500.00 National-bank notes outstanding.. 9, 896. 54 State-bank notes outstanding 2, 531.12 538. 02 1], 184. 67 1,691.23 " "828*26 1, 780.00 144.87 7,119. 60 2, 000.00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $50,000.00 30,000.00 3,415.82 11,250.00 101,996. 93 17, 267. 48 562.50 213,930.23 Total. 213, 930. 23 Yates County National Bank, Penn yan. MORRIS F. SHEPPARD, Presiden t. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankeis Bank'g-house. furniture, and fixtures Other real estate ana mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationafpanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund witlf Treaa. U. S. Due from Treasurer U. S Total.. No. 2405. OLIVER H. STARK, Cashier. $163,293.28 Capital stock paid in. $50,000.00 3, 214.62 15,000.00 12,500. 00 Surplus fund 4,498.17 5,138. 76 19, 962.25 4, 207. 51 702.16 2,812.49 11,380.25 1,148.02 962.14 1,439.30 340. 00 217.93 2,890. 00 3,289. 00 Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 128,304.17 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted 606.29 23,931.58 Bills payable 62.50 233, 590. 21 Total. -| 233,590.21 Stissing National Bank, Pine Plains. WILLIAM S. ENO, President. Loans and discounts Overdrafts » U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dne from Treasurer U. S Total. No. 981. W. BOBTWICK, Cashier. $90, 000. 00 Capital stock paid in Surplus fund 25, 000. 00 33,489.05 Undivided profits National-bank notes outstanding. 20, 250. 00 16, 534. 28 State-bank notes outstanding.... $242,526.10 969. 79 22, 500. 00 2, 546.17 1,856.00 2, 500. 00 Dividends unpaid 357.75 1,168.10 Individual deposits United States deposits Deposits of U. S. disbursing officers. 113,519.56 1,260.00 3.64 414.50 10, 050.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 5, 842. 02 15,875.00 1, 012. 50 500.00 304,333.38 Total 304,333.38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 275 NEW YORK. First National Bank, Flattsburgh. N o . 266. M. SOWLES, President. C. A. BAKER, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Otjier real estate and rnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $793, 680.62 10,110.12 100, 000. 00 Capital stock paid in . 20,000.00 64,443.89 250.00 95, 601. 32 2, 719. 91 250. 59 National-bank notes outstanding.. State-bank notes outstanding 90,000.00 4, 000. 00 2, 824. 93 3,000. 00 1, 071. 78 Individual deposits United States deposits — Deposits of U. S. disbursing officers. 784,528.75 Duo to other national banks Due to State banks and bankers... 7,809.90 497. 00 176.27 31, 600.00 16, 500.00 Dividends unpaid. Notes and bills re-discounted . Bills payable 4, 500.00 1, 066, 782.54 Total. $100,000.00 Surplus fund Undivided profits Total. 1, 066,782.54 Iron National Bank, Flattsburgh. JOHN H. MYERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . N o . 2534. $289, 775. 26 1, 594. 99 25, 000. 00 36,974.68 4, 590.22 1,411.93 2, 000. 00 28, 730. 36 1,722. 59 151.37 13.00 76.38 5, 224.10 11,054.00 JAS. SHAW, JR., Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 8, 500.00 7,929.52 22, 500. 00 Dividends unpaid . Individual deposits United States deposits Depositsof U.S.disbursing officers. 264,593.49 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1, 833.18 4, 087.69 1,125.00 Total. 409, 443.88 409,443. 88 Merchants' National Bank, Flattsburgh. ALFRED GUIBORD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No.%3174. $937, 830.79 900, 29 50, 000. 00 J . M. WEVER, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits. 50, 000.00 12,142.56 National-bank notes outstanding-. 39, 753. 59 State-bank notes outstanding 1, 0!)4. 49 409. 34 Dividends unpaid 1, 500. 00 Individual deposits United States deposits 4, 000. 00 Deposits of U. S. disbursing officers. 3, 759.23 Due to other national banks 546. 00 Due to State banks and bankers .. 10.70 3,900.00 Notes and bills re-discounted . 81, 000. 00 Bills payable 45,000.00 914,617.43 5,194.44 2, 250. 00 1,126,954.43 Total | 1,126,954.43 276 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Vilas National Bank, Plattsburgh. H. A. NEWTON, Cashier. No. 321. S. H. ViLAfi, President. Resources. Leans and discounts Overdrafts U. 6. bonds to secure circulation . . . U. 8. bonds to secure deposits TJ. S-bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. 279.79 50, 000.00 66,901. 00 22, 036.19 588. 00 2, 033.62 2, 000. 00 26, 749. 27 1, 743. 00 4,133. 84 1,000.00 9.49 18, 510.00 1,017.00 $100, 000. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 20, 000. 00 10, 212. 37 45, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 275,108.96 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 227. 96 15,000.00 2, 250. 00 465, 549.29 Total. 465, 549.29 Poland National Bank, Poland. MALCOMB A . BLUE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etd .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2441. $84, 506.89 60.40 15, 000, 00 '"" 5,500.66 23,949.37 27,049. 35 430.58 6, 961.13 663.97 1, 540. 00 1, 414. 61 660.00 66.26 6, 517. 00 400.00 CHAS. S. MILLINGTON, Cashier-. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 10, 000. 00 20, 803.16 13, 500. 00 30.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 78, 632. 34 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 2, 295. 06 134. 00 675.00 175, 394. 56 Total. 175, 394. 56 First National Bank, Port Chester. ELWOOD BUBDSALL, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national \>anks Fractional currency, nickels, cents . Specie Leeal-tender notes U. 8. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S. Total. J. N. WILCOX, Cashier. $To. 402. $335, 575. 59 759.10 100, 000.00 25, 000. 00 119, 370. 00 61, 939. 83 3, 667. 06 5, 914. 02 14,155.52 5, 386. 65 6,000. 00 4,442. 03 950. 00 53.81 15, 243.00 20, 603. 00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits 20, 000. 00 62,562.21 National-bank notes outstanding.. State-bank notes outstanding 88,100. 00 Dividends unpaid. Individual deposits United States deposits DepositsofU.S.disbursingofficers. Due to other national banks Due to State banks and bankers .. 375. 00 449,694.70 2, 827. 70 Notes and bills re-discounted. Bills payable 4, 500. 00 723, 559.61 Total. 723, 559. 61 REPORT OF THE COMPTROLLER OF THE CURRENCY. 277 NEW YORK. First National Bank, Port Henry. GEORGE R. SHERMAN, President F.S.ATWBLL, Cashier. No. 1697. | Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total Liabilities. $206, 468. 48 Capital stock paid in 5,002.65 100,000. 00 113, 847.72 131, 258. 33 200. 00 8'bob', bo 2,175.55 833.20 344. 00 14.06 10, 973. 25 6,9r.0.00 5, 000.00 4,500.00 $100,000.00 Surplus fund Undivided profits 20,000.00 41,406.30 National-bank notes outstanding.. Suite-bank notes outstanding 89,370.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 343, 810.19 Due to other national banks Due to State banks and bankers .. 975.35 Notes and bills re-discounted Total 595, 567. 84 595,567.84 First National Bank, Port Jervis. MARTIN C. EVERITT, No. 94. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand btocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and flxturos Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $330, 689.34 515. 75 100, 000.00 27, 000. 0'J 167, 323.41 3, 470. 34 1,136.46 8, 000. 00 5,100. 00 2, 828.78 203.42 12,416. 00 130. 52 11, 966.75 18, 700.00 C. F. VAN INWEGKN, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $100,000.00 20,000.00 31,471.40 88,500.00 450.00 412,648. 26 39,106.63 1,801.48 4,500.00 693, 980. 77 Total. 693,980. 77 National Bank, Port Jervis. CHARLES ST. JOHN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid.... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1363. $531, 396. 90 Capital stock paid in. 5, 218.47 35, 000. 00 Surplus fund 50,584. 61 58,801.07 8, 841). 90 2, 000. 00 15, 820. 00 1, 741. 85 10, 000. 00 17,204, 47 8,112.00 2.53 25,963.00 17, 300. 00 "W. E. SCOTT, Casteer. Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $130,000.00 35,000.00 49,651.16 31,500.00 17.96 Individual deposits United States deposits Depositsof U.S. disbursing officers. 509,991.42 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 32,501.59 907.67 1, 575. 00 789,569.80 Total. 780,500.80 278 REPORT OF THE COMPTROLLER OF THE CURRENCY. I EW YORK. V National Bank, Potsdam. W. USHER, Cashier. Xo. 868. LUKE USHER, President. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Baiik'ghouse,furniture,andfixturee Other real estate and mortg's owned Current expenses and taxes paid. - Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. $430, 328. 55 1, 209.36 50,000.00 2,026.53 36, 699.35 1, OI57. 20 2, 002.15 10, 000. 00 12,035.21 4, 840. 59 3, 500. 00 3, 767.00 140.96 3, 408.00 12,263. 00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks ..".... Due to State banks and bankers .. $200, 000. 00 50, 000. 00 10,291. 29 45, 000.00 308,216.61 18,000.00 Notes and bills re-discounted. Bills payable 2,250.00 631, 507.90 Total. 631,507.90 First National Bank, Poughkeepsie. ROBEBT SLEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas, U. S. Due from Treasurer U. S Total.. IP. E. "WHIPPLE, Cashier. No. 465. $100, 000.00 Capital stock paid in. 20, 000.00 Surplus fund 13, 949.13 Undivided profits. 66,252.50 88,000. 00 National-bank notes outstanding.. 25,488. 32 State-bank notes outstanding $211,976. 51 432. 64 100, 000.00 1, 572. 68 1, 000. 00 8,300.00 1, 489.44 4,968. 52 1, 681. 00 100.75 17,413.00 2, 040.00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable , 219, 557.51 5, 708. 72 4,500.00 447, 215. 36 Total. 447,215.36 City National Bank, Poughkeepsie. HUDSON TAYLOR, President. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to securo deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1305. Capital stock paid in. $229,444.68 272. 30 25,000. 00 34,712.50 66,924.78 82,608. 87 17, 500. 00 1, 203. 21 878. 85 952. 59 3,480. 00 130.94 15, 395.25 8, 541.00 H. L. TAYLOR, Cashier, Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $100,000.00 20, 000.00 17, 873. 80 22, 500. 00 1, 293. 00 Individual deposits United States deposits , Deposits of U. S. disbursing officers. 261,000.89 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 64,626. 78 875. 50 1,125.00 488,169.97 Total. 488,169.97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 279 NEW YORK. Fallkill National Bank, Poughkeepsie. JOHN THOMPSON, President. No. 659. J. F. HULL, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, et . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $732, 081, 59 475. 27 50, 000,00 44, 350.00 53,177. 72 103, 081.83 28,275.00 5, 725. 00 2, 059.37 12,141. 50 8, 836. 63 5,697.10 1,182. 00 268.86 22, 649.40 14,000.00 Capital stock paid in - $400,000.00 80, 000.00 34, 679. 91 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 44, 000.00 3, 279.00 Dividends unpaid „ Individual deposits United States deposits Deposits of U. S. disbursing officers. 450,103.08 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 74,189.28 2, 250. 00 1, 086, 251.27 Total. 1, 086,251. 27 Farmers and Manufacturers' National Bank, Poughkeepsie. WILLIAM A. DAVIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1312. $512, 629. 79 1,026.30 50,000.00 28.120. 00 98, 950.14 52, 678. 89 F . W. DAVIS, Cashier. Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . 6, 299. 00 441. 79 18, 028. 50 10,000. 00 45, 000.00 2,117. 50 20, 000.00 2,473.49 8, 000. 00 11,514.04 60, 000.00 36,435.75 Individual deposits United States deposits Deposits of U. S.disbursing officers. 418,195.69 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 60,663.00 2, 250. 00 822,411.94 822, 411.94 Total. Merchants' National Bank, Poughkeepsie. L. G. DODGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total., No. 1380. $725,558.01 591. 79 120, 600.00 10,000. 00 1, 900. 00 368, J14. 22 207,660.97 11.26 50,000.t)0 1,000.00 3, 825. 46 2, 300. 25 13, 694.00 817. 84 27, 536. 35 43, 520.00 W. C. FONDA, Cashier. Capital stock paid i n . $175,000.00 Surplus fund Undivided profits. 125, 000.00 55, 460. 76 National-bank notes outstanding.. State-bank notes outstanding 105, 790. 00 Dividends unpaid. 645.00 Individual deposits United States deposits DepositsofU.S.disbursingofticers 706, 867.49 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 328, 654.49 8o, 139.41 5,427.00 1,582, 557.15 Total. 1, 58a 557.15 280 REPORT OP THE COMPTROLLER OF TILE CURRENCY. I EU YORK. V Poughkeepsie National Bank, Poughkeepsie. A. J. KETCHAM, President. No. 1306. GEO.CORNWELL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and nioitg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $386, 802.31 1, K 0. 98 37,500.00 35, 665.78 46, 715. 56 61, 673. 53 3, 620. 46 30,000.00 4, 442.14 2, 000. 00 8, 065.13 8, 812. 00 55.00 10, 297. 03 8, 116.00 Capital stock paid in. $150,000.00 Surplus fund Undivided profits 50,000. 00 23,923.20 National-bank notes outstanding. State-bank notes outstanding 33,750.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 316,972.65 Due to other national banks Due to State banks and bankers. 34,761. 32 37,176. 25 Notes and bills re-discounted Bills payable .. 1,687. 50 Total . 646,583.42 646, 583.42 Pulaski National Bank, Pulaski. H E L E N A. CLARK, President Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hou9e,furniture, and fixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. L. J. CLARK, Cashier. No. 1496. $S8, 888.72 Capital stock paid in. $50,000. 00 66.42 13, 000. 00 Surplus fund 10, 000.09 2,217.27 Undivided profits . 11, 700. 00 2, 763. 82 National-bank notes outstanding . 38,467. 04 State-bank notes outstanding 55.00 18,000.00 860,15 1,600. 00 4, 594. 62 2,042.00 206.00 7,777.80 800.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing ofiicers. 105,670.30 Dne to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 119.00 585,00 Total . 179, 706. 57 179, 706. 57 First National Bank, Red Hook. R. L. MASSONNEAU, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . IT. & bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc . . Due from approved reserve agents. Due from other national bantus Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 752. $89, 656.83 338.06 142, 500. 00 500.00 150, 027. 32 45, 925. 89 1, 888.60 .78 6, 000. 00 3, 048. 86 1,619.28 2,954.00 17.98 6.647.45 7,645.00 J.S.CROUSE, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding . . . . . j $150,000.00 30, 000. 00 40, 794. 87 125, 700. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 95,856.22 Due to other national banks Due to State banks and bankers . 22,831.46 Notes and bills re-discounted . Bills payable 6,412.50 465,182. 55 Total. 465,182. 55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 281 NEW YORK. First National Bank, Rhinebeck. J. H. THORN, Cashier. No. 1157. EDWIN HILL, President. Liabilities. Resources. Loans and discounts Overdrafts -. U. S. bonds to secure circulation... U. S. bonds to secure dei>osits U S bonds on hand Stocks, securities, judgments, etc . . Dae from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer XJ. S Total $175, 070.16 60, 000.00 Capital stock paid in 3!), 013.00 National-bank notes outstanding.. 40, 668. 46 State-bank notes outstanding 188. 6 L Dividends unpaid 9,000.00 Individual deposits 1,256.21 United States deposits Deposits of U. S. disbursing oflicei s. 4, 299. 00 210.86 1,915.00 7, ooa. oo $125,000.00 25,000.00 9,072.16 Surplus fund Undivided profits Duo to other national banks Due to State banks and bankers . . 54, 000.00 507.00 105, 599.17 22,174. 97 Notes and bills re-discounted Bills payable 2,700. 00 Total 341, 353.30 341, 353.30 First National Bank, Richfield Springs. NORMAN G-ETMAK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Dae from other national banks Dae from State banks and bankers Bank'g-hou se, furniture;and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2651. $210, 731. 63 241.90 30, 000, 00 13, 800. 00 40, 132.98 1,629.42 12.48 15, 000. 0J 6, 200. 00 1,383.41 283. 19 930. 00 6'..73 10, 540. 00 11,031.01) MYKON A. MCKEE, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits. 20, 000.00 7, 932.64 National-bank notes outstanding.. State-bank notes outstanding 27, 000.00 Dividends unpaid 239.00 Individual deposits United States deposits %.... Deposits of U. S.disbursing officers. 185,745.12 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 991. 96 1,468.08 1,350.00 343, 370. 80 Total. 343,376.80 Commercial National Bank, Rochester. HOBART F. ATKINSON, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Dae from other national banks Dae from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total No. 2383. H. F. HUNTIXGTOX, Cashier. $883, 488. 86 f Capital stock paid in. $200, 000.00 1,146.08 50,000. 00 Surplus fund 50,000.00 51, 678.58 Undivided profits. 14,800.00 National-bank notes outstanding.. 45, 000. 00 89, 503. 64 State-bank notes outstanding 27, 399. 74 7, 031. 89 Dividends unpaid 32, 000. 00 Individual deposits 756, 721. 63 5, 853.23 United States deposits 2, 500. 00 Deposits of U. S. disbursing ofiicers. 997. 63 13,521. 84 Due to other national banks 93,830.39 4,911.00 Due to State banks and bankers.. 1, 205.70 61.89 52, 923. 50 Notes and bills re-discounted 10, 045.00 Bills payable 2, 250.00 1,198,436.30 Total f 1,198,436.30 282 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Flour City National Bank, Rochester. HENRY B. HATHAWAY, President. N o . 1362. WAI. AUG. WATERS, Cashier. Liabilities. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items..... Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $1, 987, 325. 52 2, Oil. 28 50, 000. 00 100, 000. 00 241,074. 55 124,279.08 46, 935. 35 64,672.00 12,101. 00 34, 528.52 13,467.00 1, 538.80 84, 499. 30 37, 000. 00 30, 000. 00 2,250.00 $300,000.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 300, 000. 00 54, 538. 58 45, 000. 00 Dividends unpaid. Individual deposits • United States deposits Deposits of U.S.disbursing officers 1, 810, 578.23 87, 693. 29 21, 556.15 Due to other national banks Due to State banks and bankers.. 168,064.67 44,251. 48 Notes and bills re-discounted . Bills payable Total. 2,831,682.40 2,831, 682.40 Traders' National Bank, Rochester. S. L. BREWSTER, President No. 1104. $2,966, 595.82 Loans and discounts 4, 260.00 Overdrafts 50, 000.00 U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. 360,242.00 Due from other national banks 113, 879. 03 Due from State banks and bankers 24, 549. 79 Bank'g-house,furniture, ami fixtures Other real estate and mortg's owned 22, 896.92 Current expenses and taxes paid Premiums on U. S. bonds , Checks and other cash items 62, 522.20 Exchanges for clearing-house Bills of other national bauks 14, 678. 00 Fractional currency, nickels, cents. 1, 292.01 Specie 67,037.00 Legal-tender notes 43,496.00 U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250.00 Due from Treasurer U. S Total * 3,733,698.77 H. C. BREWSTER, Cashier. Capital stock paid in. $250, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 500, 000. 00 48, 094.81 45, 000. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 2,651,337.37 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 161, 256. 39 78,010.20 Total. 3,733,698.77 First National Bank, Home. T. G. NOCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixture Other real estate and mortg's owned Current expenses and taxes paid Premiums on D. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legaltender Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. U. S. Due from Treasurer U. S Total. No. 1414. $191, 646.12 Capital stock paid in., 209.27 25, 000.00 Surplus fund Undivided profits. 20,265.90 440.10 301.00 7, 900. 00 1,142.99 2," 131." 55 690.00 120. 90 4,130.00 6,008.00 C. PETRIE, Cashier. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $100,000.00 20, 000.00 14,741.22 22, 500. 00 33.21 Individual deposits United States deposits Deposits of U. S. disbursing officers. 103, 278.02 Due to other national banks Due to State banks and bankers .. 215. 07 342. 71 Notes and bills re-discounted. Bills payable 1,125.00 261,110.83 Total. 261,110.83 REPORT OF THE COMPTROLLER OF THE CURRENCY. 283 NEW VOKli, Central National Bank. Rome. No. 1376. A. W. ORTON, President. J". E. BIRLLEY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents.. Due from other national banks Due from State banks and bankers. Bank'g-housc, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premium s on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 55. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $881, 735.04 1, 707.23 25, 050. 00 9, 715. 62 33, 586.33 1, 389. 58 627.41 15, 909. 00 8, 366. 96 2,521.53 1,448.68 1,611.00 1,039.00 84.00 12, 618. 00 6, 500.00 Capital stock paid in j $100,020. 00 20, 004.00 14, 385.4G Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 22, 545. 00 Dividends unpaid 237.30 Individual deposits United States deposits Depositsof U.S.disbursingofiicers. 306,168.43 Due to other national banks Dae to State banks and bankers.. 12, 338.14 Notes and bills re-discounted Bills payable 29, 338.30 1,127.25 505, 036.63 Total. 505, 036. 63 Farmers' National Bank, Rome. W. J. P . KINSLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents . Due from othernational banks Due from State banks and bankers.. Bank'g-house, furni ture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds — Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie " Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 2410. SAM'L WARD WELL, Cashier. 1286,957.07 li Capital stock paid in 495.31 1 1 25,000.00 ;• Surplus fund ! Undivided profits j $100,000.00 ' ! 20,000.00 30,470.69 51,515.83 National-bank notes outstanding. 42,931.90 State-bank notes outstanding 4. 939.12 927. 56 ! Dividends unpaid. 7, 500,00 5. 000. 00 Individual deposits 2, 006.08 United States deposits Depositsof U.S.disbursingofiicers. 11, 702.84 Due to other national banks 5, 403.00 Due to State banks and bankers.. 102.22 16, 712. 50 Notes and bills re-discounted. , 7, 330.00 Bills payable 22, 500.00 792.00 289, 942.85 5,178.98 763.91 1,125. 00 469,648.43 Total. 469,648.43 Port Stanwix National Bank, Rome. H. Gr. UTLEY, President. Loans and discounts. Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Duefrom State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and raortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 141C. $471, 791. €0 534.09 140, 000. 00 4, 000.00 31, 852. 85 3, 867. 29 1, 969.95 5, 500.00 1,213.99 1, 542. 00 183.76 12, 525. 55 12, 875. 00 GEO. BARNARD, Cashier. Capital stock paid in. $150,000.00 Surplus fund Undivided profits. 30,000.00 115,760.92 National-bank notes outstanding. State-bank notes outstanding 125,500.00 Dividends unpaid 219.00 Individual deposits United States deposits Depositsof U. S. disbursing officers. 265, 788.13 Due to other national banks Due to State banks and bankers.. 8, 565.29 4,473.45 Notes and bills re-discounted Bills payable 10,000.00 6, 300.00 710,306.70 Total. 710,306.79 284 REPORT OF THE COMPTROLLER OF THE CURRENCY, NEW YORK. First National Bank, Saint Johnsville. JOSEPH SMITH, President. No. 375. J . MiHuuBAED, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. | Due from other national bank s. . . . Due from State banks aud bankers Bank'g-house,furnitnre,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $97, 425. 21 207.06 50,000. 00 7, 546. 20 70.73 5, 000. 00 5, G86.00 1, 000.00 1,461.53 527.39 1,110, 00 10.93 5,496. 50 2,189. 00 Capital stock paid in. 2, 000. 00 1, 296. 09 45,000.0( Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 79,437.42 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted., Bills payable 2,143.59 97.45 2, 250. 00 179,980.55 total. $50,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 179,980.55 Total . First National Bank, Salamanca. HENRY O. W A I T , President. Loans and discounts j Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TL S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from othor national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estateaud mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S W. W . WELLMAN, Cashier. No. 2472. $188, 246.15 Capital stock paid in i $50,000.00 881.13 50,000.00 Surplusfund ' 20,000.00 Undivided profits i 6,643.22 45,000.00 National-bank notes outstanding.. 16, 547. 49 State-baok notes outstanding 6,132. 81 14,241.08 Dividends unpaid. 11,100.00 2,323.72 Individual deposits 190,122.26 330.73 United States deposits Deposits of U.S.disbursing officers. 611. 71 300. 00 Due to other national banks 168. 85 1, 006.00 Due to State banks and bankers .. 45.51 Notes and bills re-discounted. 8,013.00 Bills payable 9, 265.00 2,250. 00 240.00 312, 234.33 Total . 312, 234.33 Total. Salamanca National Bank, Salamanca. RICHARD J . MCKAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other ca3h items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2610. $120,968.17 109.61 15,000.00 10, 443. 53 5,759.35 122. 03 8. 553.50 984.28 1,200.00 199.78 618.00 30.31 9, 077. 00 5, 805.00 HIRAM FOSDICK, Cashier. Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding f 50, 000.00 10,000.00 4,226. 53 13, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers 101, 819.03 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 675.00 179, 545.66 Total . 179,545.56 REPORT* OF THE COMPTROLLER OF THE CURRENCY. 285 NEW YORK* First National Bank, Salem. M. L. SHELDON, President. No. 3309. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractionalcurrency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total., THOS. E. KENYON, Cashier. Liabilities. ;303,748. 36 7, 272. 23 50, 000. 00 Capital stock paid in $100,000.00 Surplus fund Undivided profits 8,000. 00 22, 296. 55 10, 035.18 49,021.01 6, 888.20 National-bank notes outstanding . State-bank notes outstanding 45, 000.00 " 6*000.66 5, 000. 00 231.39 9, 500.00 819.11 Individual deposits United States deposits Deposits of U. S.disbursing officers. 288, 951.37 Due to other national banks Due to State banks and bankers .. 2, 326.99 145. 00 81.77 8, 975. 66 6,683. 00 Dividends unpaid 126.00 Notes and bills re-discounted . Bills payable * 2, 250.00 466,700. 91 Total. 466, 700. 91 People's National Bank, Salem. CHARLES LYON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... TJ. 8. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S... Total. R. M. STEVENSON, Cashier. No. 3245. Capital stock paid in. $50,000.00 3, 000. 00 Surplus fund 2,180. 77 Undivided profits National-bank notes outstanding. 16, 200. 00 8,857.43 State-bank notes outstanding $89,214.29 73.93 18, 000.00 3, 264. 54 Dividends unpaid . Individual deposits 594 76 United States deposits 3, 200.00 Deposits of U.S. disbursing officers. Due to other national banks 3,305. 00 Due to State banks and bankers.. 70.79 4, 739. 50 Notes and bills re-discounted. 5,885. 00 Bills payable 6, 342.10 72,454.22 522. 35 810. 00 144, 357. 34 Total. 144, 357. 34 National Bank of Sandy Hill. NELSON W. W A I T , President. Loans and discounts Overdrafts V. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Ban k 'g-honse, furniture, andfixtures Other realestate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption pind with Treas. U. S Due fro ^ treasurer U. S Total. No. 2838. $407, 218. 54 363.40 12, 500. 00 51, 050.00 44, 509. 80 459.02 921. 88 3, 555. 00 105.88 20. 00 110.82 4,305.40 7, 956.00 15, 000. 00 562. 50 554, 438.24 CHAS. T. BEACH, Cashier. Capital stock paid in. $50,000.00 Snrplns fund Undivided profits 10,000. 00 28,483. 37 National-bank notes outstanding. State-bank notes outstanding 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 425, 359. 06 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 13,506. 81 Total. 15,839. 00 554, 438. 24 286 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. People's National Bank, Sandy Hill. URIAB G. PARIS, President. N o . 3244. W. J. TOWNSEND, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer TJ. S Total. Liabilitie $174,457.42 9.06 12, 500. 00 2,107.99 14, 629, 41 7, 030. 58 17.50 12, 650. 00 820. 80 2,460.93 479.58 463. 00 89.21 5,783. 35 7, 731. 00 Capital stock paid in $50, 000.00 Surplus fund Undivided profits 8, 000. 00 5, 692. 05 National-bank notes outstanding.. State-bank notes outstanding 10, 850. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 159,112. 97 Due to other national banks Due to State banks and bankers .. 4, 010. 92 4,128. 39 Notes and bills re-discounted. Bills payable 562.50 241,794.33 Total. 241,794. 33 First National Bank, Saratoga Springs. A. BOCKES, President. No. 893. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondsonhand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. $1,114,022. 59 2,651. 08 100, 000.00 142,680. 00 62,612. 79 14,013. 90 ""25*066." 66 6,478.54 73.61 5, 395. 44 8, 722. 00 419.48 46. 826. 20 13, 010.00 WM. HAY BOCKES, Cashier. Capital stock paid in $125,000.00 Surplus fund Undivided profits 125,000.00 27, 800. 25 National-bank notes outstanding.. State-bank notes outstanding 90, 000. 00 40.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 3,147,882.69 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 25,404.22 5, 278.47 4, 500. 00 Total. 1,546,405.63 1,546,405.63 Citizens' National Bank, Saratoga Springs. JOHN FOLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Ban k'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 2615. $248,844.41 156.18 50, 000. 00 42,105.01 801.45 4.50 6,000.00 1, 247.28 8, 858. 00 7, 212.01 4, 972. 00 284.27 10, 838.67 17, 447. 00 C. D. THURBER, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits 20,000.00 4,449.45 National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 Dividends unpaid 315.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 217, 840. 55 Due to other national banks Due to State banks and bankers . . 12, 290.26 1,624. 92 Notes and bills re-discounted Bills payable 2, 250. 00 499.40 401, 520.18 Total. 401, 520.18 REPORT OF THE COMPTROLLER OF THE CURRENCY. 287 NEW YORK. First National Bank, Saugerties. No. 1040. R. A. SNYDEB, President. P. M. GILLESPY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation..U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andiixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $298,178. 25 17, 388.36 100, 000. 00 16, 233. 37 4,119. 79 14, 390.97 93.4. 54 14, 968. 00 3, 662. 57 10, 966. 00 94.31 18, 417. 50 Capital stock paid in Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 39 000 "0 7.221.6L 88, 800.00 2,158.35 Individual deposits 136,180. 66 Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers... 30, 493. 04 Notes and bills re-discounted. Bills payable 4, 500. 00 Total. 503, 853. 66 Total. $200, 000.00 503, 853.66 Mohawk National Bank, Schenectady. No. 1226. PLATT POTTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $344, 728.87 881. 56 100, 000.00 27, 000. 00 276, 354.03 504. 04 14, 000.00 3,100.00 2,127.21 26, 840. 00 38, 313. 31 10, 000.00 C. THOMPSON, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursingofficers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 20, 000.00 73, 454.10 86, 000. 00 1,959.39 550, 035.16 12,370.95 4, 529. 42 4, 500. 00 Total. 848, 349. 02 848,349.02 National Bank, Schuylerville. E.*C. BULLAED, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1298. $155, 482.12 15. 42 12, 500. 00 1, 300. 00 12,141.49 1, 203. 75 1, 000.00 2, 450. 00 1,132. 29 176.59 500. 00 151.59 6, 620. 00 3, 000. 00 J. H. DE KIDDEK, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing office rs Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $50, 000.00 25,000. 00 9, 090.06 11, 250. 00 102, 831.76 63.93 502. 50 198, 235.75 Total. 198, 235.75 288 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW \ O K K. Exchange National Bank, Seneca Falls. HARBISON CHAMBERLAIN, President No. 3329. NORMAN H. BECKER, Cashier, Kesources. Loans and discounts Overdrafts XT. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $140,319.26 ma. 10 Capital stock paid i n . $100,000.00 25, 000. 00 Surplus fund Undivided profits 60, 000. 00 15, 833. 90 34, 500. 00 45, 910. 34 4,145. 54 10, 457. 98 15, 000. 00 National-bank notes outstanding.. State-bank notes outstanding 21, 700. 00 2, 669.38 1,158. 00 22.49 18, 340. 00 9, 730. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 395,080. 87 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 2, 459.93 13, 939. 39 1,125.00 609, 014. 09 Total. 609, 014. 09 Sherburne National Bank, Sherburne. JOSHUA PRATT, President. No. 1166. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house.furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $118, 907.41 435.31 100,000.00 127, 30k 00 35, 626777 676. 64 536. 55 4, 000.00 283.12 HOMER Gr. NEWTON, Cashier. Capital stock paid in. urp' Undivided profits. $100, 000. 00 50, 000.00 55, 036.98 National-bank notes outstanding.. State-bank notes outstanding 87, 500. 00 Dividends unpaid. Individual deposits United States deposits DepositsofU.S.disbursingofficers. 114, 003. 47 568.5! 1, 428. 00 26.08 6, 800. 00 6, 000.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 547. 94 4, 500.00 Total. 407, 088. 39 407, 088.39 Sidney National Bank, Sidney. JOHN A. CLARK, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3822. $105, 657. 99 259. 52 12, 500.00 6, 075. 88 12, 538. 76 773. 35 290. 91 552.83 3,125. 00 534. 94 205. 00 28.79 2,550.00 1, 678. 00 H. W. HERRICK, Cashier. Capital stockpaidin Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $50,000.00 5, 500.00 2,101.79 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 73, 454.18 5,027.50 5G2. 50 147, 333. 47 Total., 147,333.47 REPORT OF THE COMPTROLLER OF THE CURRENCY. 289 NEW YORK. First National Bank, Sing Sing. No. 471. HENRY C. NELSOX, President. ISAAC B. NOXON, Cashier. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $428,580.79 j Capital stock paid in. 380.28 25,000.00 Surplus fund Undivided profits $100, 000. 00 20,000. 00 41,263.73 National-bank notes outstanding. State-bank notes outstanding 2,000.00 80,436. 74 33, 865.14 18, 627.16 10, 000. 00 10,000.00 4, 924. 59 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 518. 41 Due to other national banks 2,404.00 Due to State banks and bankers .. 489. 00 10,740.00 Notes and bills re-discounted 26, 300.00 Bills payable 21,980. 00 328, 204.45 108,901. 29 3, 941. 64 31,100.00 1,125. 00 Total. 655, 391.11 655,391.11 Farmers and Drovers' National Bank, Somers. W. H. WRIGHT, President. * Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-ho use, fnrniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other natioiialjbanka Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1304. $282, 324. 03 Capital stock paid in. 104.75 50,000. 00 Surplus fund A. B. THACKER, Cashier. $100, 000. 00 Undivided profits 44,100. 00 National-bank notes outstanding.. 41, 296. 74 State-bank notes outstanding 12,214.42 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 6, 400.00 1,456. 91 138.41 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 300.00 88.32 5,892.50 8, 000. 00 79,000.00 25,548.76 45, 000. 00 195,636.13 9, 381.19 2, 250.00 454, 566.08 454, 566.08 Total. First National Bank, Springville. WILLIAM O. LELAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. fl. Ex. 3 19 No. 2892. $233, 562.84 Capital stock paid in . 613.78 20, 000. 00 Surplus fun* Undivided profits . E. O. LELAND, Cashier. National-bank notes outstanding.. State-bank notes outstanding 22,156. 52 1, 065. 86 8,920.89 11,176. 00 2,169. 08 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers 3, 243. 94 4, 200. 00 543.49 Due to other national banks Due to State banks and bankers .. Notes and bills re-discouated. Bills payable 13.87 11, 874.15 1, 490. 00 $50, 000. 00 25, 000. 00 10,561.40 18,000.00 195, 856. 31 10, 397.53 12,115.18 900. 00 321,930.42 ! Total.. 321, 930, 42 290 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. National Bank, Stamford. MEANDER FREDENBERG, President Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfi xtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 2602. J. H. MERCHANT, Cashier. Liabilities. $143, 396.07 Capital stock paid in. Surplus fund Undivided profits. 507. 73 National-bank notes outstanding-. 3, 034. 77 State-bank notes outstanding 1, 008. 20 50, 000.00 $75, 000.00 10, 000. 00 2, 529.34 45,000.00 1, 254. 81 ! Dividends unpaid . 393. 00 5,176.74 Individual deposits 1, 570. 52 United States deposits , 12,500.00 Deposits of U.S. disbursing officers. 2, 908. 94 j Due to other national banks 75." 00 ! 116.68 Due to State banks and bankers .. 8, 733. 85 Notes and bills re-discounted 3, 000. 00 i Bills payable 1,380.00 234, 663.31 Total. 92,894.70 180. 87 8, 665. 40 234, 663. 31 First National Bank, Syracuse. E. B. JUDBON, President. GEORGE B. LEONARD, Cashier. No. 6. Loans and discounts $1,427,151. 73 Capital stock paid in. $250,000.00 973.17 Overdrafts 50, 000.00 Surplus fund U. S. bonds to secure circulation... 150,000. 00 U. S. bonds to secure deposits 63, 624.59 Undivided profits. 0". S. bonds on hand Stocks, securities, judgments, etc .. 66, 356. 25 National-bank notes outstanding.. 45, 000. 00 Due from approved reserve agents 79, 562. 31 State-bank notes outstanding Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures .Otherreal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total 49, 724. 00 18, 361. 77 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 35, 074.64 Due to other national banks 6, 300. 00 Due to State banks and bankers .. 39, 735.90 Notes and bills re-discounted . 22,500. 00 Bills payable 4,698.20 6,571.30 1, 273, 204.68 23, 306, 51 4,123.49 2, 250. 00 1,809,259.27 Total. 1, 809, 259. 27 Third National Bank, Syracuse. Lucius GLEASON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie '..,..., Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasn rer U. S Total No. 159. $648, 578. 76 35, 788. 85 275, 000. 00 100, 000. 00 17,160. 00 55,103.19 19,088. 39 12,104. 31 50, 000.00 10, 000.00 6, 643.26 40, 772. 27 4. 205. 69 6,195. 96 4, 955.00 372.92 34, 856. 35 5, 000. 00 HENRY LACY, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding Dividends unpaid. Individual deposits United States* deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $300, 000. 00 60, 000. 00 20,122.72 247, 500. 00 482,490.51 107,156 36 2, 898. 24 13, 916. 94 79,115. 18 25, 000. 00 12,375.00 1, 338,199.95 Total 1,338,199.95 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 291 W E W YORK. Merchants' National Bank, Syracuse. GEORGE N. KENNEDY, President E. R. PLUMB, Cashier. No. 1342. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits.. TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $613, 272. 51 1, 277. 44 50, 000. 00 4,000. 00 398,550.57 27, 418. 79 61, 547.16 2, 342. 00 3, 396.32 172. 00 15, 432. 45 11,148.00 3.71 23,187. 50 13, 000. 00 Capital stock paid in. $180,000.00 50, 000. 00 123, 484.06 S u r p l u s fund Undivided p r o f i t s . National-bank notes outstanding. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 611,853.27 Due to other national banks Due to State banks and bankers... 9,317.49 7, 344. 63 Notes and bills re-discounted. Bills payable , 2, 250.00 Total. 1, 026, 999.45 1, 026, 999.45 Salt Springs National Bank, Syracuse. No. 1287. A. A. HOWLETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agonts. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $588, 929. 91 652. 95 50, 000. 00 T. J. LEACH, Cashier. Capital stock paid in. S u r p l u s fund 40, 000. 00 43, 760. 44 Undivided profits 4, 000. 109, 953. 21, 971. 1, 279. 00 57 37 62 3, 005.67 11, 000. 00 183. 38 12,483.24 5, 723. 00 21, 282. 86 6, 000. 00 $200,000.00 National-bank notes outstanding . State-bank notes outstanding 45, 000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 505,267. 92 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 4,161.00 526.21 2, 250. 00 Total . 838, 715.57 838,715.57 Tarrytown National Bank, Tarrytown. D. OGDEN BRADLEY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 2626. $368,295. 37 WM. D. HUMPHREYS, Cashier. Capital stock paid in. $100,000.00 25," 000." 00 Surplu s fund Undivided profits. 20,000.00 25, 677. 35 14, 500. 00 63, 004. 09 73,182.93 20, 873. 96 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 2,468. 87 2, 300.00 127. 73 1, 500.00 200. 73 1,700.00 20,173.00 Dividends unpaid. 14.00 Individual deposits , United States deposits Deposits of U.S. disbursing officers 345, 921. 27 Due to other national banks Due to State banks and bankers .. 65, 275. 88 15, 063.18 Notes and bills re-discounted . Bills payable 1,125. 00 591,451.08 Total . M>4, 451. 68 292 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. Central National Bank, Troy. No. 1012. MOSES WABREN, President. E. W. GREENMAN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... X S. bonds to secure deposits L U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due fron other national banks Due from State banks and bankers j Bank'g-house, furniture, aud fixtures Other real estate and inortg's ownedl Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer XJ. S Total. $701, 754. 67 13.90 50, 000. 00 00 9fi, 826. 22 8, 945. 64 Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 00 i, 5, 584. 64 2, 402. 68 2, 500. 00 j 2,751. 05 21,657. 18 6, 741. 00 43. 27 36, 077. 25 25, 550. 00 40,000.00 29, 814. 60 43, 440. 00 66.00 Individual deposits , United States deposits Deposits of U. S. disbursing officers. Due to other national banks , Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 657, 249. 04 13, 207. 86 2, 250. 00 Total. 983, 777. 50 13, 777.50 Manufacturers' National Bank, Troy. GrEOBGE P. TDE, President. No. 721. $1, 23!), 048.57 Loans and discounts 121. 00 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... 100,000.00 U. S. bonds to secure deposits U. S. bonds on hand 35, 970. 72 Stocks, securities, judgments, etc . Due from approved reserve agents 195, 756. 28 24,070.31 Due from other national banks 5.44 Due from State banks and bankers 30, 000.00 Bank'g-house, furniture,andfirtures 51, 692. 04 Other real estate and mortg's owned 4,099.35 Current expenses and taxes paid... 42, COO. 00 Premiums on U. S. bonds 4, 737. 65 Checks and other cash items 16, 600. 87 Exchanges for clearing-house 18, 314, 00 Bills of other national banks 96. 98 Fractional currency, nickels, cents. 53, 957. 60 Specie 32, 000.00 Legal-tender notes 20, 000. 00 TJ. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. 3, 000. 00 Due from Treasurer U. S Total. S. O. GLEASON, Cashier. Capital stock paid in $150, 000.00 Surplus fund U n d i v i d e d profits 75, 000. 00 23, 290. 99 National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g 44, 150. C O Dividends unx>aid Individual deposits United States deposits Deposits of U.S. d i s b u r s i n g officers D u e to other national b a n k s D u e to State b a n k s and b a n k e r s . . . 1, 377, 257. 27 91,702.73 18, 878. 97 142, 895. 82 545. 63 N o t e s and bills re-discounted Bills p a y a b l e 1, 923, 721.41 Total . 1, 923, 721.41 Mutual National Bank, Troy. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid-. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie r. Legal-tender note's U. S. cerriticatcs of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total G. H. SAGENDOEF, Cashier. N o . 91)2. WILLIAM KEMP, President. $1,269,699.44 J Capital stock paid i n . 100,000.00 Surplus fund Undivided profits . 2,917.50 192, 278. 83 National-bank notes outstanding. State-bank notes outstanding $250, 000. 00 150,000.00 46, 857.81 88, 32t). 00 13, 'i'AS. 14 3, 892.72 25, 000. 00 4, 4, 2, 12, 7, 334. 36 386. 34 057.47 879.41 537. 00 67.38 74, 700. 00 32,100.00 1,729,718.59 Dividends unpaid. 520.00 Individual deposits United States deposits Depositsof U.S. disbursing officers. 1,181,632.73 Due to other national banks Due to State banks and bankers .. 12,388.05 Notes and bills re-discounted. Bills payable Total I 1,729,718.59 REPORT OV THE COMPTROLLER OF THE CURRENCY. 293 ft E W V O U K . National Bank of Troy. No. 2873. THOMAS COLEMAN, President. GEO. H. MORRISON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and morts's owned C nrrent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes v TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $650, 776. 48 C/I:L oo 50. 000. 00 40, 874.15 80.437.07 !| 28,102.79 !| 4, 61)0.'JO j I 15.908.08 |! 4,002.10 ; 2,090.58 -I 12, 625. C ' O J,008. ;J7 2, 075. V,Q 8, 548. 00 10. 37 38,6152.20 8, 000. 00 Capital stock paid in $200,000.00 Surplus fund . Undivided profits 23,000.00 21, 789.55 National-bank notes outstanding.. 45,000.00 Dividends unpaid 30.00 Individual deposits I Tinted States deposits Deposits of U. S. disbursing officers. 488,017.10 Due to other national banks Duo to State banks and bankers . . 82,392.08 98,628.08 Bills payable 2, 250. 00 Total 958,856.81 958,856.81 National State Bank, Troy. No. 991. WILLABD G AY, President. J . S. HAWLET, Cashier. $1,561, 602. 87 Loans and discounts Capital stock paid in 3, 593. 55 Overdrafts , 50, 000.00 TJ. S. bonds to secure circulation... Surplus fund IT. S. bonds to secure deposits io, 666.65 Undivided profits TJ. S. bonds on hand Stocks, securities, judgments, etc .. National-bank notes outstanding.. 199,149. 30 Due from approved reserve agents. State-bank notes outstanding 172,702.57 Due from other national banks 10, 576. 43 Due from State banks and bankers. 1, 872. 27 Dividends unpaid , Bank'g-hoii8e,furniture,andfixtures 12, 000. 00 Other real estate andmortg's owned 800. 00 Individual deposits Current expenses and taxes paid... 4,694.71 j United States deposits 2, 775. 00 I Deposits of TJ.S. disbursing officers. Premiums on TJ S. bonds 2,210.91 Checks and other cash items 2, 988.13 Exchanges for clearing-house Due to other national banks 18,1505. 00 Due to State banks and bankers... Bills of other national banks 935. 68 Fractional currency, nickels, cents . 66, 278. 00 Specie Notes and bills re-discounted 34, 200. 00 Legal-tender notes Bills payable TJ. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total 2,156,800.42 Total. $250, 000.00 200, 000. 00 31, 055.23 44,000.00 1, 590, 677. 51 18,700.97 22, 366. 71 2,156, 800.42 Troy City National Bank, Troy. GEORGE A. STONE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from otber national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid. -. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. o. certificates of deposit Eedemption fund with Treas. TJ. S. Duefrom Treasurer U. S Total No. 610. $846, 915.28 208. 53 200, 000. 00 3, 582. 50 210,758.66 47, 853.09 OSCAR E. VAN ZILE, Cashier. Capital stock paid in $300,000.00 Surplus fund Undivided profits. 150,000.00 29,987.64 National-bank notes outstanding.. State-bank notes outstanding 174,000.00 Dividends unpaid 220.50 20, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 766,098.32 Duo to other national banks Duo to State banks and bankers .. 44,814.93 14, cm. oo 76.85 42, 880. 00 15, 343.00 Notes and bills re-discounted . Bills payable , 5,543.42 1,138.76 17, OHO. 30 9, 000. 00 1,465,121.39 Total 1,465,121.30 REPORT OF THE COMPTROLLER OF THE CURRENCY. 253 NEW YORK. Fifth National Bank, New York. No. 341. RICHARD KELLY, President. A. THOMPSON, Cashier. .Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. & bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved, reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfi xtures Other real estate and mortg's owned Current expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $888, 005.55 412.64 50, 000. 00 150, 000.00 Capital stock paid in . 35, 000. 00 236, 566.15 419, 998. 50 National-bank notes outstanding. State-bank notes outstanding ""48," 454! 92' 77, 682. 36 Dividends unpaid 100, 000. 00 1G, 500. 00 Individual deposits 17,485.84 United States deposits Deposits of U. S. disbursing officers. 17, 377. 67 229, 714.78 Due to other national barks 14, 385.00 Due to State banks and bankers.. 465. 65 358,432. 50 Notes and bills re-discounted. 150, 209. 00 Bills payable 45, 000. 00 180. 00 1,727, 746. 86 183,035.67 163,845. 73 •2,250.00 2, 541,374.41 Total. $150, 000.00 Surplus fund Unaivi* ivided profits. Total 2, 541,374.41 Sixth National Bank, New York. CHARLES H. LELAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Cheqks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total A. E. COLSON, Cashier. No. 254. $542, 401. 84 200, 000.00 1,168,353.34 $200,000.00 Capital stock paid in. 40, 000.00 47, 561.12 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 35,146.41 2,169.14 Dividends unpaid. 12,188.70 180,000.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 6,456. 05 82, 254. 95 25, 180.00 430. 58 241, 399. 80 169, 230. 00 2, 027,649.69 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 9, 000. 00 1, 000.00 2,495,210.81 Total 2,495,210.81 Seventh National Bank, New York. O. H. SCHBEINEB, President. No. 998. Loans and discounts $1, 357, 748.60 Overdrafts 16.75 U. S. bonds to secure circulation . . . 50, 000.00 U.S.bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . 31, 500.00 Due from approved reserve agents. Due from other national banks 85, 039. 91 Due from State banks aDd bankers. 13, 504.29 Bank'g-hou8e,furniture,andfixturesj 18, 000.00 Other real estate and mortg's owned! Current expenses and taxes p a i d . . . 8,107.62 Premiums on U. S. bonds 7, 750.00 Checks and other cash items 5,103. 62 Exchanges for clearing-house 164,366. 24 Bills of other national banks 1, 470. 00 fractional currency, nickels, cents. 564. 57 Specie 360,593.58 Legal-tender notes 42, 676. 00 TJ. 3. certificates of deposit Redemptidn fund with Treas. U. S. 2, 250.00 Due from Treasurer U. S Total 2,148,691.18 JOHN D. W. GRADY, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . | $300, 000.00 60,000.00 23, 512.34 45, 000.00 681.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 1.7J8.891.38 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable , 171.40 435. 06 Total 2,148,691.18 294 REPORT OF THE COMPTROLLER OF THE CURRENCY. N 13 W \ O K 14 . Union National Bank, Troy. No. 963. L. E. GURLEY, President. A. R. SMITH, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $875,786.13 904.06 50, 000. 00 53,999.51 15, 382.17 6, 50G. 82 76, 000. 00 1,508.49 2,705.31 3, 064. 00 C, 784. 72 19, 851.00 501. 33 16, 202.40 13, 000. 00 20, 000. 00 2, 250. 00 1,164, 506. 54 Total. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits ... • DepositsofU.S.disbursiiigofficers. Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable Total. $300,000.00 60, 000. 00 10, C02.48 42,930.00 25.00 677,673.67 60, 901. 97 3, 373.42 1,164, 506. 54 United National Bank, Troy. J. W. FULLER, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bant'g-house, furniture, and fixtures Otherreal estate and mortg's owned Current expenses and taxe^s paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total JOHN H. NEHER, Cashier. No. 940. $240,000.00 Capital stock paid in 200, 000. 00 Surplus fund 49,011. 38 Undivided profits , 205, 000.00 National-bank notes outstanding.. 177,120.00 338,140.14 State-bank notes outstanding 29, 587. 39 6, 910.79 Dividends unpaid 60, 000. 00 Individual deposits 915, 941.70 3, 859. 22 United States deposits Deposits of U.S. disbursing officers. $669, 258.29 461. 37 200, 000.00 6, 973.25 18, 725. 6(5 15,1H7.00 276. 54 57, LVUO. 00 13,900. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 50, 960.12 1,402. 45 9, 000. 00 1,634,435.65 Total 1,634,435.65 First National Bank, Union Springs, C. T. BACKUS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixture? Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes , U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. M. CLARK, Cashier. No. 342. $50, 000. 00 Capital stock paid in Surplus fund 10, 000. 00 10, 812. 69 j Undivided profits 38,076.25 | National-bank notes outstanding.. 11, 250. CO 4, 782.36 State-bank notes outstanding $22,123. 58 306. 73 12,500.00 3,000.00 18, 305.00 204. 20 59.89 517. 00 39. 52 2,315.00 1, 560.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers.! Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 22,189. 34 100. 00 562. 50 104, 352. 03 Total., 104,352.03 REPORT OF THE COMPTROLLER . OF THE CURRENCY. 295NEW VORK. First National Bank, Utica. PUBLIUS V. ROGERS, President, No. 1395. J O H N A. GOODALR, Cashier. Resources. Liabilities. Loans and discounts J $1, 458, 705. 64 4,602.03 Overdrafts 181, 000. 00 U. S. bonds to secure circulation ... j U". S. bonds to secure deposits U. S. bonds on hand 51, 677. 05 Stocks, securities, judgments, etc.. 250, 658. 05 Due from approved reserve agents. 46, 999. 34 Due from other national banks 9, 876.39 Due from State banks and bankers. 40, 000.00 Bank'g-house, furniture, and fixtures 5, 912. 78 Other real estate and mortg's owned 5, 501. 63 Current expenses and taxes paid . . Premiums on U. S. bonds 27, 718.93 Checks and other cash items Exchanges for clearing-house 17, 599.00 Bills of other national banks 648. 85 Fractional currency, nickels, cents. 64,001.50 Specie 20, 000. 00 Legal-tender notes U. S. certificates of deposit 8,145.00 Redemption fund with Troas.U. S. Due from Treasurer U. S Total $600,000.00 Capital stock paid i n . Surplus fund Undivided profits. 250,000.00 142,474.67 National-bank notes outstanding State-bank notes outstanding 162,900.00 Dividends unpaid 2, 031.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 885, 091. 98 Duo to other national banks Due to State banks and bankers .. 145,951.36 4,597.18 Notes and bills re-discounted . Bills payable 2,193,016.19 Total . 2,193, 046.19 Second National Bank, Utica. No. 185. WILLIAM M. W H I T E , President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned: Current expenses and taxes paid .. | Premiums on U. S. bonds Checks and other cash items ! • Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $542, 718. 08 1, 107.10 50, 000.00 50, 000.00 D. A. AVERT, Cashier. Capital stock paid in $300,000.00 Surplus fund Undivided profits 60,000.00 36,457. 84 National-bank notes outstanding . State-bank notes outstanding Dividends unpaid 45,000.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 263,019. 45 52, 920. 36 2,142.27 Due to other national banks 379." 56" Due to State banks and bankers .. 1.92 19,434. 50 Notes and bills re-discounted 1, 000.00 Bills payable 10,152.47 11, 480.00 35, 603. 96 11, 976. 90 1, 617. 35 18, 000.00 1, 815.12 2,137. 49 13, 000. 00 7,170. 97 2, 250. 66 769, 692. 39 Total . 769, 692.39 Oneida National Bank, Utica. ROBERT S. WILLIAMS, President. No. 1392. G E O . L. BRADFORD, Cashier. Loansanddiscounts I $1,003,479.81 j Capital stock paid in. Overdrafts \ 2,092.70 U. S. bonds to secure circulation... j 230,000.00 i Surplus fund U. S. bonds to secure deposits j ! Undivided profits U. S. bonds on hand 62, 068. 99 Stocks, securities, judgments, etc ..; National-bank notes outstanding.. 131, 716. 88 State-bank notes outstanding Due from approved reserve agents i 87, 598.64 Due from other national banks ] 2, 984.39 Due from State banks and bankers, j Dividends unpaid 10,113.49 Bank'g-house,fumiture, and fixtures; Other real estate and mortg's owned Individual deposits p 4,425.52 Current expenses and taxes paid... United States deposit deposits Premiums on TJ. S. bonds Deposits of U.S. disbursing officers. 3, 517. 98 Checks and other cash items Exchanges for clearing-house Due to other national banks , 1,164.00 Bills of other national banks Due to State banks and bankers .. 94.00 Fractional currency, nickels, cents. 80,930.00 Specie Notes and bills re-discounted. 1, 000.00 Legal-tender notes Bills payable IT. S. certificates of deposit 10,350. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 1, 631,536.40 Total . $400, 000. 00 100,000.00 139, 817.39 204,120.00 2,480. 00 773,183.46 10, 564.94 1,370.61 1, 631, 536.40 296 REPORT OF THE COMPTROLLER OF THE CURRENCY, NEW YORK. Utica City National Bank, Utica. CHARLES S. SYMONDS, President. No. 1308. MELVILLE C. BROWN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-uouse,fumiture,andfixture8 Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on XL S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $862, 703.66 2, G91. 96 100,000.00 36,095. 63 6,202.27 26,044.54 1,484.06 34,000.00 2, 912.80 2, 244.98 3,767. 93 7,411.80 7,923.44 1, 202.75 10.47 65,202.00 12, 567.00 Capital stock paid in. $400,000.00 Surplus fund Undivided profits 60, 000.00 14, 016.59 National-bank notes outstanding State-bank notes outstanding 90, 000. 00 697.00 Dividends unpaid. Individual deposits United States deposits Depositsof U. S. disbursing officers. 591,473.89 Due to other national banks Due to State banks and bankers.. 15,338.47 5,439. 94 Notes and bills re-discounted . Bills payable 4,500.00 1,176, 965.89 Total . 1,176,965.89 National Bank, Vernon. W. G. STRONG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks — Due from State banks and bankers. Bank' g- house, furniture, andflxtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on IT. S. bonds Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. P. CASE, Cashier. No. 1264. $109, 618.81 Capital stock paid in . $100,000.00 505.64 34,000.00 Surplus fund 20,000.00 16,310.67 Undivided profits. 58, 800. 00 National-bank notes outstanding.. 30, 600. 00 13, 870. 22 State-bank notes outstanding 84.51 1, 504.28 Dividends unpaid1,500.00 690.00 Individual deposits 66, 574.83 4, 267.29 United States deposits Deposits of U. S. disbursing officers. 393. 75 Due to other national banks 565.00 Due to State banks and bankers . 27.50 2, 728. 50 Notes and bills re-discounted. 3,400.00 Bills payable 1, 530.00 233, 485.50 Total . 233,485. 50 Walden National Bank, Walden. GEOBGE W. STODDARD, President Loans and discounts Overdrafts , U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks . Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national ban ks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S.. * Total. No. 2348. $159,411. 83 Capital stock paid in . 167.11 20,000.00 Surplus fund Undivided profits. 37, 748.23 572.16 3,100. 00 3, 700.00 238. 01 41.02 385.00 298. 21 10, 015.50 5, 050. 00 W. C. STEVENS, Cashier. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $50,000.00 10, 000. 00 3, 334. 98 17,335.00 123.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 146,450.75 Due to other national banks Due to State banks and bankers.. 14,383.34 Notes and bills re-discounted. Bills payable 900.00 241,627. 07 Total. 241,637.07 REPORT OF THE COMPTROLLER OF THE CURRENCY. 297 N E W YORK. "Wyoming County National Bank, Warsaw. W. J. HUMPHREY, President. No. 737. F. J. HUMPHREY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S, bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums © U. S. bonds n Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Liabilities. $217, 004. 40 6, 079. 39 25, 000. 00 21, 764.49 4,154.77 7,184. 66 13, 600. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 25, 000. 00 24,121. 31 22, 500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 6, 740.94 Due to other national banks 2, 890. 00 Due to State banks and bankers.. 96.38 8,152. 65 Notes and bills re-discounted. 3, 039. 00 Bills payable 144, 069. 36 738. 58 933.17 946. 42 1,125.00 317,570. 26 Total.. $100, 000.00 Capital stock paid in. 317, 570. 26 Total. First National Bank, Warwick. C. H. DEMAREST, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Duefromapproved reserve agents. Duefromother national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. DnefromTreasurer U. S Total. C. A. CRISSEY, Cashier. No. 314. $100,000.00 Capital stock paid in. 50, 000.00 Surplus fund 4, 003.19 Undivided profits. 140, 696. 87 National-bank notes outstanding. 22, 500.00 $150, 383. 68 589. 64 25,000. 00 78,229. 38 3, 026.68 State-bank notes outstanding Dividends unpaid 7,500. 00 1, 513. 31 1, 000.00 3, 033.14 983. 00 221.38 30,114.00 2, 325. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 237, 024.19 Due to other national banks Due to State banks and bankers -. 32, 214.30 Notes and bills re-discounted . Bills payable 1,125.00 Total. 445, 741. 68 445,741.68 First National Bank, Waterloo. A. G-. MERCER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-houae,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 8. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 368. $211,856.46 3, 960. 68 25, 000. 00 10, 000.00 26, 913. 36 2, 067. 10 902. 47 18, 000. 0U 3,674.31 6, 000. 00 3,354.11 1, 601. 00 318. 74 8, 850. 00 7, 500. 00 W. L. MEUCER, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits "United States deposits Deposits of U.S.disbursingofficers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable $100, 000. 00 20, 000.00 8, 571. 83 22, 500. 00 153,890.31 6,918.62 4,242.47 15,000.00 1,125. 00 331,123. 23 Total. 331,123.23 298 REPORT OF THE COMPTROLLER OF THE CURRENCY. WE W Y O R K . Jefferson County National- Bank, Watertown. T. H. CAMP, President. N o . 1490. S. T. WOOL WORTH, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national bauks Due from State banks and bankers Bank'g-houae,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes1 paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house . . . Bills of other national bauks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $732, 375. 55 1, 308. 93 40, 000.00 14,250.00 96,012.17 17, 943.57 10,138.91 4, 000.00 6,585. 00 7,088. 76 1, 540.00 15.09 30, 438.50 2, 000.00 Capital stock paid in. $148, 800. 00 37, 200. 00 124, 539.06 Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding Dividends unpaid. 36, 000. 00 27.50 Individual deposits United States deposits Deposits of U.S.disbursing officers 543,859.61 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 50, 000. 68 25, 069.63 1,800.00 Total . 966,496.48 965,496.48 National Bank and Loan Company, Watertown. GEORGE H. SHERMAN, President Loans and discounts Overdrafts U. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total., No. 1508. $234,179. 97 8, 943. 25 18, 750. 00 11, 679. 44 15,150.28 2, 004.13 12, 000. 00 23,128. 82 1, 898. 38 2, 430. 33 7,182. 22 C. L. PARMELEE, Cashier. Capital stock paid in. $75,000.00 Surplus fund Undivided profits. 15, 000. 00 9, 526.19 National-bank notes outstanding.. State-bank notes outstanding 16,075.00 Dividends u n p a i d . Individual deposits United States deposits Deposits of U. S. disbursing officers 220, 366. 75 Due to other national banks Due to State banks and bankers .. " 13* 852.' 33*' Notes and bills re-discounted . Bills payable 17,216.96 1,936.00 43.75 ; 353,184.90 I Total. 353,184. 90 National Union Bank, Watertown. A. H. SAWYER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-Louse . . . Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. S. B. UPHAM, Cashier. No. 1507. $432,142. 71 Capital stock paid in. $147,440.00 6, 030.07 36, 860. 00 50, 000.00 Surplus fund , 19, 441.22 Undivided profits 45,000.00 2, 500.00 National-bank notes outstanding.. 78, 989. 79 State-bank notes outstanding 4, 680. 52 1, 724. 43 Dividends unpaid. 92. 00 23,603. 50 489. 60 Individual deposits 378, 096.95 United States deposits , Deposits of U. S. disbursingofticers. 7, 020. 86 2, 006. 00 157 40 13, 946. 00 2, 000. 00 Due to other national banks Due to State banks and bankers .. 457.90 152.81 Notes and bills re-discounted . Bills payable 2, 250. 00 627, 540.88 Total. 627,540. 88 REPORT OF THE COMPTROLLER OF THE CURRENCY. 299 NEW YORK. Watertown National Bank, Watertown. r. W.KNOWLTOXV,President. No. 2G57. N. P. Liabilities. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. .. Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real ©state and mortg'aowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. $454, 931. 28 3,169.43 25, 000. 00 8, 900. 00 41,076.17 5, (539. 04 4, 742. 39 11, 500. 00 1, 847. 80 5, ooo. oa 3, 328. 51 1, ODD. 00 11,189. 81 10,200. 00 $100,000.00 Capital s t o c k paid i n . Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 20,000.00 53,789.49 22, 500.00 50.00 339,644.88 31,647.98 16,179. 58 5, 536.56 1,125.00 Total. 589,348.49 589,348.49 National Bank, Waterville. WILLIAM B. GOODWIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-hou8e,furniture, and fixtures Other real estate and mortg'aowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. S. "W. GOODWIN, Cashier. No. 1361. $150,000.00 Capital stock paid in 30,000.00 Surplus fund 30,456.15 Undivided profits 42, 550.00 National-bank notes outstanding.. 36,000.00 36,048.51 State-bank notes outstanding $335, 665. 56 1, 500.00 40,000.00 1, 709. 62 384.37 11, 000. 00 2, 956.00 5,444.96 2, 800.00 2, 345. S3 380.00 49.76 16,479.00 3, 800. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. I Due to other national banks Duo to State banks and bankers .. Notes and bills re-discounted. Bills payable 247, 516.99 9, 851. 59 1, 088. 58 1, 800. 00 504,913. 31 Total. 504,913.31 First National Bank, Watkins. WILLIAM N. LOVE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 3047. $111,914.21 2, 271. 20 12, 500. 00 3, 734.14 434. 87 56.05 1,450. CO 1,281.80 3, BOO. 00 232.98 560. 00 54.00 6,298.25 1, 000. 00 JOHN W. LOVE, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50,000.00 3,000.00 2,074.67 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 66,039.52 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 286.41 13,000.00 562. 50 145,650.60 Total., 145,650.60 300 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW YORK. First National Bank, Waverly. No. 297. HowARft ELMER, President. F. E. LYFORD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents . Duo from other national banks Due from State banks ami bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total.. $220,192.87 1,942.11 12, 500.00 13, 000.00 23, GS5.01 5:20.18 1,011.04 8, 000. 00 3, 400.00 1,189. 72 470. 90 2, 020.00 148. 02 1,831.25 14,128. 00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. Duo to other national banks Duo to State banks and bankers.. Notes and bills re-discounted . Bills payable $50,000.00 10,000.00 3, 767.10 10,750.00 228, 510.53 1.029.49 1,153.99 562. 50 305,211.20 305,211.20 Total. First National Bank, Wellsville. Xo. 2850. E. J. FARNUM, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securitiesjudgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Ot her real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $337, 6f 52. 50 78G. H 25, 000.00 27, 800. 94 1,745.48 801.40 10, 000. 00 1, 400. 00 1,806.91 2, 278.13 265.66 (58.34 24, 6C6. 63 469.00 F. H. FURMAN, Cashier. $100, 000. 00 Capital stock paid in Surplus fund Undivided profits 18, 000. 00 6, 287. 51 National-banknotes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 288, 523. 00 538.14 56.81 1,125. 00 Total. 435,905.46 435, 905.46 National Bank, Westfield. EDWARD A. SKINNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agentsDue from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3166. $164,960.91 2, 543.96 30,000.00 1,450.00 ! 4,200.00 j 67,391.36 17,223.11 ; 12,414.52 I 10,000.00 ' 5, 900.00 1,790. 79 6, 803. 75 1, 688.94 612. 00 90.00 16,885. 08 2,923. 00 J. A. SKINNER, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State^bank notes outstanding $50, 000. 00 8, 000. 00 3, 58G. 73 23,440.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing oflicers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 263,171.98 28.71 1,350.00 348,227.42 Total. 348,227.42 REPORT OF THE COMPTROLLER OF THE CURRENCY. 301 NEW YORK. National Bank, "West Troy. T. A. KNICKERBOCKER, President. No. 1265. A.T.PHELPS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits 17. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Dae from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $363,783. 74 27. 37 50, 000. 00 Capital stock paid in $100,000.00 Surplus fund Undivided profits 30, 000.00 5,155.62 7, 500.00 57,747. 86 2, 519. 36 National-bank motes outstanding. State-bank notes outstanding 45,000.00 3.52 Individual deposits United States deposits Deposits of U. S. disbursing officers 341, 064. 86 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 2, 756.12 Dividends unpaid "if"667.*35 15, 062. 00 162.90 12, 412. 50 2, 000. 00 10, 000.00 1, 700. 00 523, 986. 60 10.00 Total . 523, 986. 60 First National Bank, West Winfield. ALONZO WOOD, President Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-hoase,furniture,andfixtures Other real estate andmortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash i t e m s . . . . . Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TT. S Total . No. 801. $222, 981. 84 Capital stock paid in. 119.07 100, 000. 00 Surplus fund Undivided profits 14, 017. 04 530.89 11.50 5,000.00 1, 670. 70 J. O. WHEELER, Cashier. National-bank notes outstanding. State-bank notes outstaading Dividends unpaid. $100,000.00 25, 000. 00 35,071. 21 90, 000. 00 256.00 Individual deposits United States deposits DepositsofU.S.disbursingofticers. ""'3L35' Due to other national banks Due to State banks and bankers .. 110.23 11, 386. 00 Notes and bills re-discounted . 8,495.00 I Bills payable 117, 032.79 949.91 543. 71 4,500.00 ! 368, 853. 62 Total . 368, 853. 62 Merchants' National Bank, "Whitehall. ROBERT H. COOK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixturesj Other real estate and mortg's owned; Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 2233. $360, 696. 54 29.68 25, 000.00 D E W I T T C. SMITH, Cashier. Capital stock paid in Surplus fund Undivided profits 6, 000, 00 National-bank notes outstanding.. 54, 530. 01 State-bank notes outstanding 1,312.98 "*5,"666.66 9, 932. 00 63.06 4,400.00 1, 540. 00 15, 000. 00 1,125.00 484, C59. 27 $100,000.00 50, 000. 00 32,056. 64 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 280,102.63 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable Total . 484, 659.27 302 REPORT OF THE COMPTROLLER>OF>THE CURRENCY. NEW YORK. Old National Bank, Whitehall. No. 1160. H. Gr. BURLEIGH, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks — | Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. C. SAWYER, Cashier. Liabilities. $307,108.03 2, 735. 09 100, 000. 00 22, 525. 00 19, 0S9. 59 3,353.17 " "sfooo. 66" 4, 079. 08 L 66 3, 316. 93 13, 500. 00 $100,000.00 Capital stock paid in. Surplus fund Undivided profits. 20, 000. 00 53,271.98 National-bank notes outstanding.. State-bank notes outstanding Q0, 000.00 9, 093. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers.. 213, 955. 91 7.00 Notes and bills re-discounted. Bills payable 4,500.00 Total . 486, 327. 89 486,327. 89 First National Bank, Youkers. JOHN OLMSTED, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items*. Exchanges for clearing-house Bill8 of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. WALLIS SMITH, Cashier. No. 653. $150, 000.00 Capital stock paid in . 90, 000.00 50, 000.00 Surplus fund 37, 751.24 Undivided profits. 5,420.00 National-bank notes outstanding 77, 020. 00 179,183.21 State-bank notes outstanding $741,198.19 3,541.03 41, 416.03 6, 611.54 25, 000.00 6, 500.00 3,183.18 8, 387. 05 2, 950. 00 477, 32 18, 407. 81 6, 577. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 78.25 617, 032. 86 187, 924. 73 23, 095. 28 4, 050.00 Total . 1,142,902. 36 1,142, 902.36 Citizens' National Bank, Yonkers. C. E. WARING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U S Total No. 2074. $170,011. J4 224.79 50, 000.00 14,541.84 580, 04 1,365.85 1,862.13 2, 591. 35 * 2," 918." 83 440.00 142.19 17,208. 50 22, 013. 00 JOHN H. KEELER, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits 37, 500.00 11,382.85 National-bank notes outstanding.. State-bank notes outstanding 42,460.00 Dividends unpaid , 38.50 Individual deposits United States deposits Deposits of U. S.disbursing officers. 370, 355. 83 Due to other national banks Due to State banks and bankers . 22,517.74 2, 684. 74 Notes and bills re-discounted. Bills payable 2, 250. 00 790. 00 586,939766 Total 586, 939. 66 REPORT OF THE COMPTROLLER OF THE CURRENCY. 303 N E W J E R S E Y. Farmers' National Bank, Allentown. G. H. VANDERBEEK, President No. 3501. E. E. HUTCHINSON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits .U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers ^ Bank'g-house,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $105, 886. 58 27.28 12, 500. 00 3, 277. 87 1, 352.27 2, 606.17 1, 790.05 702. 7L 3, 000. 00 307. 23 1, 359.00 48.44 2, 379.25 6, 500.00 Capital stock paid in. $50, 000. 00 Surplus fund p Undiv divided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 5,000. 00 2, 342.41 11, 250. 00 54.00 9, 301.11 2, 386.52 243.54 1, 721. 77 562.50 Total. 142, 299. 35 142, 299.35 First National Bank, Asbury Park. G. F. KROEHL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities Judgments, etc... Dae irom approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate aud mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3451. $325, 543.14 1,362.22 12, 500.00 23,448.77 11,761.09 2,965.16 3, 899. 23 2, 393.72 2, 500. 00 924. 92 796.00 805.18 2, 394. 00 18,358.00 A. C. TWINING, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding.. Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $50,000. 00 30,000.00 5, 555. 79 11,250.00 292, 418. 09 20, 990.05 562. 50 410,213. 93 Total. 410, 213. 93 Asbury Park National Bank Asbury Park. G. W. BYKAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Stocfcs, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total No. 3792. HAROLD E. WILLARD, Cashier. $143, 724. 08 Capital stock paid in. $100,000.00 3, 724. 56 25.000.00 Surplus fund 1, 500.00 2, 320. 74 Undivided profits. National-bank notes outstanding.. 8, 900. 00 State-bank notes outstanding 2,104.10 1, 901. 30 Dividends unpaid . 4, 748. 28 » 748.26 Individual deposits 2, 250. 00 1,608.83 2, 500. 00 184.23 1,663.50 4, 439. 00 United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 22, 500.00 58, 709. 58 9,453. 72 437.10 9,700.00 1,125.00 204, 621. 14 Total., 204, 621. H 304 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Second National Bank, Atlantic City. G. F. CURRIE, President. No. 3621. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Dae from approved reserve agents Due from other national banks... Due from State banks and bankers Bink'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges lor clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $317,708.58 25,000.00 28, 666.67 23, 627.54 2, 754. 22 31, 233.21 J. G. HAMMER, Cashier, Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 277.16 5, 266. 35 14, 932. 00 10,000.00 13, 235, 02 21, 920. 00 21.00 Dividends unpaid Individual deposits 3, 512. 53 . 1,734.25 ! 579.93 $100,000.00 United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 300,436.16 9,830.70 974.56 1,125.00 , Total. 456,417.44 456,417.44 Atlantic City National Bank, Atlantic City. CHARLES EVANS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 2527. $392, 160.08 20J. 15 30, 000.00 72,116,66 109, 991. 29 77.74 1, 000. Q'd 4,493. 93 7,096.92 1, 806. 00 246. 48 10, 592. 50 24,000. 00 FRANCIS P. QUINGLEY, Cashier. $50, 000.00 Capital stock paid i n . Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 50, 000.00 19, 636.13 27, 000. 00 475, 299.31 32, 824. 45 374.86 1,350. 00 Total. 655,134. 75 655,134.75 Atlantic Highlands National Bank, Atlantic Highlands. C. S. HOLMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments,etc.. Dne from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 4119. $6, 214.52 12,500.00 8, 603.14 2, 894. 69 436.68 3, 406. 25 566. 65 4, 530.00 19. 21 320. 00 2, 000.00 41,491.14 CHAB. H. ELY, Cashier. Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. $25,000. 00 113. 55 16,377.59 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable Total. 41,491.14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 305 NEW JERSEY. Belvidere National Bank, Belvidere. No. 1096. JOHN I. BLAIR, President. Resources. Loans and discounts O verdrafta IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixture: Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDae from Treasurer U. S Total. A BLAIR KELSEY, Cashier. Liabilities. $469, 085. 04 G, 398.15 50, 000. 00 27, 500. 00 125, 528. 95 18, 823. 69 $300, 000. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits 2.19 United States deposits Deposits of U. S. disbursing officers 2,^253 34 Due to other national banks 3,466. 00 Due to State banks and bankers .. 230.81 29, 875. 00 Notes and bills re-discounted . Bills payable 100, 000.00 44, 417.10 44, 250.00 5, 402. 00 2, 528.00 9, 000. 00 255, 523. 25 2,292.82 10, 000. 00 2, 2^0. 00 Total. 754, 413.17 754, 413.17 Bloomfield National Bank, Bloomfield. THOMAS OAKES, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation ... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, -cents . Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4056. $78, 532. 99 1. 00 13, 000. 00 75, 998. 71 12,091.41 1,608. 91 1, 732.93 3, 000. 00 1, 275.08 3, 770.00 5.00 1, 604. 00 110. 55 11,495.00 2, 420. 00 LEWIS K. DODD, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due. to State banks and bankers... Notes and bills re-discounted . Bills payable $40, 000. 00 1, 395.09 11, 200. 00 149, 603. 06 3, 679. 72 1, 352. 71 585. 00 207, 230. 58 Total. 207, 230. 58 Bloomsbury National Bank, Bloomsbury. T. T. HOFFMAN, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owued Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national Dauks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. Ex. 3- -20 No. 2271. $109, 974.84 .05 30, 000.00 8, 718. 97 2, 242. 66 1,900.00 693. 39 7, 000. 00 24.46 297. 00 45. 99 5, 359. 65 2,415.00 L. ANDERSON, Cashier. Capital stock paid in. Surplus fund Undivided profits. i National-banknotes outstanding-. State-bank notes outstanding Dividends unpaid $60,000.00 11, 000.00 5,126. 67 27, 000.00 295.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 65, 833.13 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 684. 39 82.82 1, 350. 00 170,022.01 Total. 170,022.01 306 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW J E R S E Y . First National Bank, Bound Brook. GEORGE LA MONTE, President. No. 3866. RICHARD H. BROKAW, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Cun eat expenses and taxes paid... Pren?iiimson TJ S. bonds Checks and other cash items Exchanges fc? clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $110,347.48 Capital stock paid in. 11, 757.69 955.43 Undivided profits National-bank notes outstanding.. State-bank notes outstanding 2, 000. 00 3, 616. 23 10, 750. 00 Dividends unpaid. 1, 769. 92 706. 60 812.50 276.14 20.00 7.58 4, 899.60 8, 060.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 76, 986. 81 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 9, 217. 28 105.12 562.50 Total. 152, 675.44 Total. $50, 000. 00 " "i2,"566." 66" Surplus fund 152, 675. 44 Bridge ton National Bank, Bridge ton. THOMAS N. HARRIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgments, etc.. . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank' g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2999. $274, 007. 89 2.12 25, 000.00 266.66 13, 325. 00 27, 396.95 12, 080.14 14, 000. 00 1, 545. 34 6, 000. 00 302.45 1,000. 00 504. 47 16,440. 00 16, 019. 00 JAMES W. TRENCHARD, Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits , National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . 50, 000. 00 8,381.94 20,770. 00 150. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 229, 636.42 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1,125. 00 408, 948. 36 Total. 408, 948. 36 Cumberland National Bank, Bridgeton. W . G. NIXON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and.fixtures Other real estate and mortg;s owned Current expenses and taxes paid... Premiums on U.S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit npti* Redemption fund with Treas. U. > Due from Treasurer U. S . Total. No. 1346. $661, 516. 30 11.26 100, 000. 00 23, 012. 27 69, 641. 25 920. 05 FRANK M. RILEY, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $150, 000.00 150, 000.00 55, 303.32 87, 720. 00 Dividends unpaid. 18, 000. 06 18, 000. 00 2, 506. 28 Individual deposits United States deposits Deposits of U. S. disbursing officers. 503, 465. 30 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted., Bills payable , 2, 415. 35 732. 47 704. 66 1, 360.00 209.37 41, 3U0. 00 7, 955. 00 4, 500. 00 949, 636. 44 Total. 949, 636. 44 REPORT OF THE COMPTROLLER OF THE CURRENCY. 307 NEW JERSEY, Mechanics' National Bank, Burlington. J. HOWARD PUGH, President. No. 1222. NATHAN HAINES, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total. $392, 578. 81 Capital stock paid i n . $100, 000. 00 " "166,000.66 Surplus fund 20, 000.00 21, 740.15 Undivided profits 17, 000.00 86, 055. 72 National-bank notes outstanding.. State-bank notes outstanding . . Dividends u n p a i d . 7, 3, l, 3, 000. 00 700. 00 454. :;i 650. 00 450.23 1, 515. 00 206. 52 26, 287. 75 8,46 LOO 88, 580. 00 2, 280.45 Individual deposits * United States deposits Depositsof U.S. disbursingofficers. 169, 52G. 14 Due to other national banks Due to State banks and bankers . . 26, 789. 91 21, 879. 69 Notes and bills re-discounted . Bills payable 2,440. 00 Total. 650, 802.34 650, 802. 34 First National Bank, Camden. JOHN F. STARR, President. No. 431. Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . D u e from approved reserve agents Due from other national banks . . . Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Cnrrent expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national b a n k s Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. D u e from Treasurer U . S $719, 354. 47 130. 09 50, 000. 00 15, 515. 00 20,115.94 81, 920. 08 $200, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 100, 000. 00 26,492.14 45, 000. 00 312.00 23,000. 00 5, 339.37 10,031.25 13, 957. 27 5, 643. 552. 49, 683. 33, 456. 00 30 00 00 Individual deposits United States deposits Depositsof U.S. disbursing officers. 623, 649. 98 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 35, 493. 71 2, 250.00 1,030,947.83 | Total. W. DEPUY, Cashier. Capital stock paid in. Total ; 1,030,947.83 Camden National Bank, Camden. Z. C. HOWEUL, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3372. $441, 366. 33 474. 68 100, 000. 00 46, 614. 09 24, 247.14 1, 290,. 40 30, 000. 00 11, 730.. 38 1, 605. 08 28, 437. 50 2,142.03 39, 743. 00 ]61.54 7, 900. 50 24, 393. 00 I. C. MARTINDALE, Cashier. Capital stock paid i n . $100, 000.00 Surplus fund Undivided profits 25, 000. 00 3, 457. 00 National-bank notes o u t s t a n d i n g . . State- bank notes outstanding 88, 740. 00 Dividends unpaid. 405. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 547, 003. 67 Due to other national banks Due to State b a n k s and b a n k e r s . Notes and bills Bills payable re-discounted. , 4, 500.00 764, 605. 67 Total. 764, 605. 67 308 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY, National State Bank, Cam den. HEULINGS LIPPINCOTT, President. No. 1209. W. F. ROSE, Cashier. Resources. Liabilities. $1, 827,962.94 Loans and discounts 1,106. 90 Overdrafts 50, ODD. 0 0 U. S. bonds to secure circulation.. U. S. bonds to secure deposits TJ. S. bonds on hand 112, 859. 50 Stocks, securities, judgments, etc .73, 4IJ2.43 Due from approved reserve agents. Due from other national banks — 186, 367. 54 Due from State banks and bankers 482. 57 Bauk'g-house, furniture, and fixtures 30, 000. 00 Other real estate and tnortg's owned 28, GOO. 00 Current expenses and taxes paid. 19, 150.02 11, 000. 00 Premiums on U. S. bonds 22,692. 68 •Checks and other cash items Exchanges for clearing-house 35, 790.00 Bills of other national banks 1, 583.38 fractional currency, nickels, cents . 85, 607. 00 Specie 59, 200. 00 Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S 2, 250. 00 Due from Treasurer U. S Total Capital stock paid in. $260, 000.00 Surplus fund 260,000.00 58,158. 98 Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 613.71 Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks , Due to State banks and bankers.., Notes and bills re-discounted. Bills payable 2,548,144.96 45, 000.00 Total. 1, 616, 622.69 276,443. 5« 31, 306.02 2,548,144.96 First National Bank, Clinton. No. 2246. JAMES R. KLINE, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $246, 753. 30 185.39 60, 000. 00 64,346. 74 8, 677. 23 593. 54 400.00 1,474.68 3, 000.00 475.57 3,779.00 152.47 3, 411.85 14, 913.00 X. W. VOOEHEBS, Caghier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 13, 000.00 2, 472.83 45, 000. 00 3, 447. 00 Individual deposits United States deposits DepositsofU.S.disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discouiited . Bills payable 234,572.27 1, 814.83 105.84 2, 250.00 Total. 400, 412. 77 400, 412. 77 Clinton National Bank, Clinton. JOSEPH VAN SYCKEL, President. Loans and disoounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments", etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total.. No. 1114. $261,621.67 100.64 12, 500. 00 20,000.00 8,437. 26 4,194. 13 703.25 6, 000. 00 1,189.49 3,150.61 038.00 13.42 20 473. 70 J J, 120. 00 B. V. LEIGH, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits. 60, 000. 00 39,071.25 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 544.00 193, 711.38 5,427. 44 562. 50 350, 004. 07 Total. 350, 004.07 REPORT OF THE COMPTROLLER OF THE CURRENCY. 309 NEW JERSEY. First National Bank, Cranbury. J O H N S. SILVERS, President. No. 31C8. C H A S . APPLEGATE, Cashier. Liabilities. Resources. Loans and discounts O verdrafts TJ. S. bonds to secure circulation.. TJ. S. bonds to secure dex>osits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks . . . Due from State banks and bankers. Bank'g-h: use. furniture, and fixtures Other real estate and mortg'a owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $135, 720. 93 ; C a p i t a l stock paid i n . 3, 002.48 13,000. 00 Surplus fund 800. 00 19,556.61 6,722.27 195. 24 1, 500.00 454. bo 61). 00 Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $50. 000. 00 10,000.00 5,420.42 11, 700.(0 Dividends unpaid . 51. 00 Individual deposits i United States deposits I Deposits of U. S. disbursing officers. Hi '170. :••). 92.63 4,117, 00 10.17 5, 306.00 2, 000. 00 Due to other national banks '! Due to State banks and bankers . . 3, .'43. i 6 1.03J.21 Notes and bills re-discounted . Bills payable 585. 00 Total. 193,122.. 88 103,122.83 Farmers' National Bank, Deckertown. JOHN A. WHITAKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks . Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . I Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total. No. 1221. $262, 289. 73 21. 01 60, 000.. 00 5, 500. 00 73,809.91 6,155. 00 T H E O . F . MAEGARUM, Caxhier. Capital stock paid in-. Surplus fund Undivided profits. National-bank notes outstanding .. State-bank notes outstanding .."... Dividends unpaid 16, 38 7, 996. 00 9,71 20, 553.75 10, 000. 00 33,181.35 4, 487. f»3 54, 000. 00 596.00- 700. 00 1, 087. 40 $100, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing o dicers. 226,900.9?, Due to other national banks "Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 32, 523. 07 2, 700. 00 Total. 451, 688. 89 451, 68S. 8& National Union Bank, Dover. G E O R G E RicnARDS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... XJ. S. bonds to secure deposits ,. TJ. S. bondson hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Bedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2076. $687, 829. 77 366.05 25, 000. 00 2, 600. 00 47, 407. 20 12,410. 96 "36*060.66 3,468.66 " "709." 78 690. 00 548. 20 14.813.10 31, 531.00 GEORGE D. MEEKER, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding ..... Dividends unpaid $100, 000. 00 100, 000. 00 24, 292. K* 22, 500. 00r 175. 0(> Individual deposits United States deposits Deposits of U. S. disbursingoflficers - 559, 08">. 71) Due to other national banks Due to State banks and bankers . . 52, 288. 55 157. 65 Notes and bills re-discounted Bills payable 1,125. 00 858, 499. 78 Total. 858, 499. 78 310 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. First National Bank, Elizabeth. No. 487. JACOB DAVIS, President. W. P. THOMPSON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total $541,892.01 949. 48 50, 000. 00 4, 550. 00 185, 900. 00 66,069. 61 20, 237. 09 3, 412. 50 52, 850. 00 4, 000. 00 3, 626. 77 9, 809. 23 3, 998. 28 6, 794. 00 1,421.32 47, 225. 50 15, 000. 00 Capital stock paid in $200, 000. 00 Surplus fund Undivided profits 40, 000. 00 87, 511. 59 National-bank notes outstanding .. State-bank notes outstanding 45, 000. 00 Dividends unpaid 955. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. 584, 783.60 54, 363. 39 7, 372. 21 Notes and bills re-discounted Bills payable 2, 250.00 1, 019, 985.79 Total 1, 019, 985. 79 National State Bank, Elizabeth. JAMES MAGUIUE, Cashier. No. 1436. $814, 995. 47 Capital stock paid in. Loans and discounts $350, 000. 00 184.85 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... 100, 000. 00 47, 976. 68 U. S. bonds to secure deposits Undivided profits . U. S. bonds on hand 232,510.01 National-bank notes outstanding. Stocks, securities, judgments, etc.. 45, 000. 00 55, 829. 74 State-bank notes outstanding Due from approved reserve agents. 6, 494. 92 Due from other national banks 31, 339. 70 Dividends unpaid . Due from State banks and bankers. 14, 038.43 45, 000. 00 Bank'g-house, furniture, and fixtures 5, 000. 00 Individual deposits Other real estate and mortg's owned 785, 217. 57 United States deposits Current expenses and taxes paid... 10, 812. 50 Deposits of U.S. disbursing officers Premiums on U. S. bonds 3, 406.12 Checks and other cash items Due to other national banks 32, 399. 82 Exchanges for clearing-house 5, 078.00 Due to State banks and bankers .. 201. 36 Bills of other national banks 113.05 Fractional currency, nickels, cents. 57, 496. 50 Notes and bills re-discounted. Specie 24, 323.00 Bills payable Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250.00 Due from Treasurer U. S 1, 374, 833.86 1, 374, 833. 86 Total. Total. JOHN KEAN, JR., President. Flemington National Bank, Flemington. JOHN L. JONES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2331. C. C. DUNHAM, Cashier. ~$ioo, o~oo7oo Capital stock paid in Surplus fund 25, 000. 00 10, 522. 05 Undivided profits 5, 000. 00 I National-bank notes outstanding.. 90,000.00 34, 254. 83 ! State-bank notes outstanding $195,831.92 172. 83 100, 000. 00 3,175.39 Dividends unpaid. 2, 568.50 14, 392.19 I Individual deposits 1, 586. 91 1 United States deposits 15, 000. 00 Deposits of U. S. disbursing officers 981.68 Due to other national banks 848.00 Due to State banks and bankers .. 109. 02 12, 364. 00 Notes and bills re-discounted . 8, 235.00 Bills payable 693. 50 171, 377. 44 944.75 482. 53 4, 500.00 399, 020. 27 Total. 399,- 020. 27 REPORT OF THE COMPTROLLER OF THE CURRENCY. 311 NEW JERSEY. Hunterdon County National Bank, Flemington. ]Sro. 892. JUDIAH HIGGINS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie gal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $331, 465. 83 1, 295. 35 200, 000. 00 1, 000.00 78, 845. 75 17, 827. 46 JOHN B. HOPEWELL, Cashier. Liabilities. Capital stock paid in.. National-bank notes outstanding.. State-bank notes outstanding.. 2, 373.16 10, 500. 00 877. 29 1, 386. 00 157.59 14, 339.85 14, 790. 00 180, 000. 00 3, 221. 50 Dividends unpaid. 1, 250. 00 $200, 000. 00 40, 000. 00 16, 710. 24 Surplus fund Undivided profits Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable , 237,154. 04 7, 335. 32 678.18 9, 000. 00 Total. 685,108. 28 685,108.28 First National Bank, Freehold. JOSEPH T. LAIRD, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, seciuities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. W. S. CAMPBELL, Cashier. No. 452. $50,000.00 Capital stock paid in. 5L3.99 I 50, 000. 00 12,500.00 ! Surplus fund. 23, 330.11 I Undivided profits. 10, 700. 00 89, 483. 75 National-bank notes outstanding.. 40, 586. 22 State-bank notes outstanding $183,120. 63 I 1, 869. 10 8, 417.84 16, 600. 00 1, 703. 34 500. 00 4, 808. 72 185. 00 271.00 1, 275. 00 14, 482.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers -. Notes and bills re-discounted. Bills payable , 120.00 239, 083.47 3,328. 25 317.26 562. 50 376, 879.09 Total. 376, 879. 09 Union National Bank, Frenchtown. W. H. MARTIX, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortii's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. A. B. HARING, Cashier. No. 1459. $224, 079. 77 "50,660.66 25, 000. 00 41, 842.46 2, 824. 78 1, 839. 35 6,100.00 913. 05 9,000. 00 1,196.75 3, 532. 00 63.71 4,117.25 8,250.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State bank notes outstanding $113, 350. 00 Dividends unpaid. Individual deposits United States deposits , Deposits of U. S. disbursing officers. 1, 766. 86 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 50, 000. 00 14, 846.61 45, 000. 00 152, 451. 71 3, 593.94 2, 250. 00 381, 009.12 Total. 381,009.12 312 REPORT OF THE COMPTROLLER OF THE CURRENCY. N E W J E H S E Y, First National Bank, Glassborough. *W\ WAERICK, President No. 3843. A. S. EMHSL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits $96,391.63 51.81 12, 500.00 Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 12, 500.00 13, 239. 08 620.00 $50, 000. 00 Capital stock paid in 5, 500. 00 2, 210.40 Surplus fund National-bank notes outstanding.. State-bank notes outstanding 10, 720.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 80,217. 74 Due to other national banks Due to State banks and bapkers . . 1,108.39 2, 300. 00 666. 99 3, 000.00 1,191.00 240. 52 6, 205. 00 5, 288. 00 562. 50 5, 000. 00 Bills payable 154, 756.53 Total 154, 756.53 Total Gloucester City National Bank, Gloucester City. CHARLES L. WORK, President. Loans and disco unts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, secnrities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S No. 3936. $76, 784. 30 7, 422. 64 12, 500. 00 2,347.65 $50,000.00 Surplus fund Surplus fund. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 3,753.23 11,250.00 Dividends unpaid. 10,125.16 3, 680.08 1,070. 31 372. 40 215.00 41.89 3, 218. 50 1,981. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 31,155. 55 7,155.25 15, 257. 40 1,750.00 562.50 Total. 120,321.43 Total., SAMUEL W. STOKES, Cashier. Capital stock paid in. 120, 321. 43 Hackettstown National Bank, Hackettstown. JOHN C. WELSH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits V. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 1259. $356,082.41 433.04 150, 000.00 33, 000.00 25, 363.96 4, 330.48 9, 000. 00 1,000. 00 736. 94 256.50 2,467.00 100. 90 11, 997. 50 4, 225.00 ROBT. A. COLE, Cashier, Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $150,000. 00 50, 000. 00 27,501.04 135,000.00 2,425.00 522.50 Individual deposits United States deposits Deposits of U. S. disbursing officers 210,724.01 Due to other national banks , Due to State banks and bankers .. 29, 571.18 Notes and bills re-discounted . Bills payable 6, 750.00 605, 743. 73 Total. 605,743.73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 313 NEW JERSEY. Haddonfield National Bank, Haddonfield. S. K. WILKINS, President. No. 3996. A R T H U R PBESSEY, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits XJ. S. bonds on hand Stocks, securities judgments, etc . . Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house, fiirniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie .". Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S , $84, 062.65 " 'VZ, 500." 00 16, 521.66 "* I," 437.' 46 3, 500.00 1.36 5.36 1, 271.00 2,100. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 1, 000. 00 123. 87 11, 240. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 55, 558.17 Due to other national banks Due to State banks and bankers . . 3, 858. 70 180. 75 Notes and bills re-discounted. Bills payable 562. 00 121,961.49 Total. Total. 121, 961.49 First National Bank, Hightstown. No. 1737. COLLIN B. MEIKS, President $314,131. 60 247. 07 37, 500.00 Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,fuiniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national baiiks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 7, 534. 00 30,631.18 14, 074. 47 127. 61 8,000. 00 7,973. 23 1,098. 07 1,937.50 1, 817. 46 1, 999.00 25.53 7, 901.50 9, 250. 00 JOB. H. JOHNEB, Cashier. Capital stock paid in. $150, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends u n p a i d . 42, 000. 00 10,199. 77 33, 750. 00 52.00 Individual deposits United States deposits Dep jsits of U. S. disbursing officers. 190, 931. 92 Due to other national banks ! Due to State banks and bankers . . \ Notes and bills re-discounted . Bills payable 14,869. 58 4, 132. 45 1, 687. 50 Total. Total. 445,935. 72 445, 935. 7if First National Bank, Hoboken. No. 1444. SAMUEL R. SYMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie .". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas U. S. Due from Treasurer U. S Total $578,476.01 625.71 110, 000. 00 100, 000. 00 472, 510. 29 277,358.95 85,109. 66 "46,666.60' 5, 700. 00 5,415.02 27,000.00 4, 765.78 24, 423.01 6, 999. 00 280. 79 29, 615. 00 37, 455.00 W. B. GOODSPEED, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Dae to State banks and bankers .. $110,000. #0 22,000.60 213,186.69 90, 650. 00 280.90 1, 262,047.34 110,000. 00 2,384. 99 135.20 Notes and bills re-discounted Bills payable 4, 950.00 i 1,810,684.22 Total 1,810,084.22 314 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Second National Bank, Hoboken. JNO. P. SCHOLFIELD, Cashier. No. 3744. R. F. RABE, President. Resources. Loans and discounts Overdrafts. U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents- i Due from other national banks ! Due from State banks and bankers. ! Bank'g-houGe,i'urniture,andfixtures| Other real estate and mortg's owned i Current expenses and taxes paid... j Premiums on U. S. bonds ! •Checks and other cash items ! Exchanges for clearing-house I Bills of other national banks i Fractional currency, nickels, cents . Specie ' Legal-tender notes \ ! U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. Liabilities. $389, 458. 50 81. 48 31, 250. 00 57, 625. 00 29, 961.19 26,721.95 2,065. 67 8, 300. 00 334. 82 5, 907. 92 5, 924. 00 1. 23 24,871.50 10,460. 00 Capital stock paid in $125, 000.00 Surplus fund Undivided profits : National-bank notes outstanding.. i State-bank notes outstanding J Dividends unpaid 21, 000.00 4,770.09 28,125.00 ' Individual deposits i United States deposits i Deposits of U.S. disbursing officers 407, 399.40 8, 075. 02 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1,406.25 594, 369. 51 594, 369. 51 Total. First National Bank, Jamesburgh. F. L. BUCKELKW, President No. 288. Loans and discounts j Overdrafts IT. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks j Due from State banks and bankers.; Bank'g-house,furniture,audfixtures' Other real estate and mortg'sovyned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items j Exchanges for clearing-bouse ' Bills of other national banks j Fractional currency, nickels, cents.' Specie j Legal-tender notes I U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. T. WILTON H I L L , Cashier. $130,688.07 | Capital stock paid in. 258.06 • 20,000.00 :!! Surplus fund i Undivided profits 7,602.49 6, 606. 29 1, 243. 33 595.16 34,184. 88 398. 92 2, 275.00 4,746.91 550. 00 119.10 5, 373. 60 2, 000. 00 $75, 000. 00 25, 000.00 2, 400.14 18, 000.00 National-bank notes outstanding. State-bauk notes outstanding Dividends unpaid.. Individual deposits United States deposits Deposits of U. S. dis bursing officers. 78,150.99 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 1, 589. 34 11,901.37 5, !>00.00 900.00 217,541.84 Total. 217, 541.84 First National Bank, Jersey City. E. F . C. YOUNG, President. No. 374. Loans and discounts ' $3,157,419.49 •Overdrafts ; 865. 85 U. S. bonds to secure circulation . . J 50, 000. 00 U. S. bonds to secure deposits j 200.000.00 U. S. bonds on hand. Stocks, securities, judgments, etc Due from approved reserve agents. 1, 287, 918. 98 180, 454.17 Due from other national banks Due from State banks and bankers. 41,125.02 Bank'g-house, furniture, and fixtures 226,349.15 Other real estate and mortg's owned 5, 000. 00 Current expenses and taxes paid .. 13, 860. 96 Premiums on U. S. bonds 43, 750. 00 Checks and other cash items 168, 829.66 Exchanges for clearing-house Bills of other national banks. 6,425. 00 s 1, 612. 05 Fractional currency, nickels, cents. 113, 510. 70 Specie 268, 057. 00 Legal-tender notes U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S . Due from Treasurer U. S Total 5,767,428.03 G. W. CONKLIN, Cashier. Capital stock paid in Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid i $400, 000. 00 400, 000.00 9G, 707.13 45, 000. 00 694. 60 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 3, 992,172. 35 210, 000. 00 Due to other national banks Due to State banks and bankers . 579,169. 43 43, 684. 52 Notes and bills re-discounted . Bills payable Total. 5, 767, 428.03 315 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW J£K8GY, Second National Bank, Jersey City. WILLIAM HOGENCAMP, President. .Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. G. HASHING, Cashier. No. 695. Liabilities. ., 085, 226. 40 Capital stock paid in 2,924.25 63, 000. 00 \ \ Surplus fund I Undivided profits ! 350,699.02 256, 336. 75 i| 59,279.64 jj 1, 944. 58 ! 70, 000. 00 5, 894.05 16, 380.00 6, 200. 04 74,297.39 |j 6.327.00 i! '251.72 " 60, 333. 85 40, 633. 00 $250, 000.00 250, 000. 00 81,003.80 National-bank notes outstanding. State-bank notes outstanding 56, 700.00 Dividends unpaid 924.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 390, 980.11 Due to other national banks , Due to State banks and bankers .. Notes and bills re-discounted.. Bills payable 68, 035.18 4, 920.20 2, 835. 00 Total . 2,102, 563.29 2,102, 563. 29 Third National Bank, Jersey City. J. D. CAKSCALLEN, President Loansand discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . . . . Due from State banks and bankers. Bank'g-house, furnit u re, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit — Redemption fund witli Treas. U. S . Due from Treasurer U. S WM. M. LAWS, Cashier. No. 3680. $200, 000. 00 Capital stock paid in. 25, 000. 00 Surplus fund 14, 675. 24 Undivided profits . 18,704.30 National-bank notes outstanding.. 45, 000. 00 26, 5f)8. 81 State-bank notes outstanding $425, 605. 98 24. G O 50, 000. 00 150, 000. 00 25.00 34,118.35 3, 978.80 34, 000. 00 17, 657. 96 3, 800. 00 1, 250. 44 23, 566.00 8, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 329, 913. 65 150, 000. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 451. 35 800, 040. 24 Total 35, 000.00 2, 250. 00 800, 040. 24 Total. Hudson County National Bank, Jersey City. A. A. HAEDENBKRGH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1182. $1, 286,339.93 488. 52 50, 000. 00 551,663.13 181, 469. 51 18, 508.02 .02 27, 094.42 28,157.06 5, 792.69 10, 000.00 102, 022.78 17, 000.00 411.04 26,914.70 98, 636.00 J . W. HARDENBEKGH, Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing offic Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable Cashier. $250, 000.00 250, 000.00 75, 189. 27 45, 000. 00 345.00 1, 709, 547.91 21, 905.34 4, 700. 30 50, 000. 00 2, 250.00 2,406, 747.82 Total. 2,406, 747. 82 316 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW J£BS£¥. Am well National Bank, Lambertville. JOHN A. ANDERSON, President W. V. COOLET, Cashier. No. 2339. Liabilities. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,.judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and cankers. Bank'g-honse,furniture.,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ". Legal-tender notes TJ. S. certificates of deposit... Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $151,375.05 36.56 18, 000. 00 3, 712.32 38, 286.95 2, 506.88 2,939.14 $72, 000.00 Capital stock paid in . Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding 9, 670. 00 2,759.19 16, 200. 06 160. 00 Dividends unpaid. Individual deposits 1,112. 73 United States deposits 3, 960. 00 DepositsofU.S.disbursingofiicers171.54 Due to other national banks 820. 00 Due to State banks and bankers . 26.10 8, 54L. 05 Notes and bills re-discounted . 7, 404.00 Bills payable 138, 030. 97 882.16 810. 00 239, 702.32 239,702. 32 Total. Lambertville National Bank, Lambertville. CHARLES A. SKILLMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national oanks Fractional currency, nickels, cents . Specie Legal-tendei notes U. S. certificates of deposit Redemption fund with Treas. U\ S. Due from Treasurer U. S Total. No. 1272. $220,254.88 32. 33 50,000. 00 10, 597.11 12,767. 50 150. 46 "ii,"3oo. 66" 14, 073.12 1,785.37 7, 000. 00 228. 36 1, 395. 00 94.13 12, 741. 05 5, 000. 00 ISAIAH P . SMITH, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding-. State-bank notes outstanding Dividends unpaid $100, 000. 00 30, 000. 00 9,105. 40 45, 000. 00 69.30 Individual deposits United States deposits Deposits of U. S. disbursing officers. 159, 216. 69 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 0,277.42 2, 250.00 349,668.81 Total. 349, 668. 81 First National Bank, Madison. J, S. PAULMIEB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes V. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2551, $129,637. 59 WILBUR F. MOBBOW, Cashier. Capital stock paid in $50, 000. 00 12, 500.00 Surplus fund Undivided profits 13, 500. 00 6,498.90 25, 000.00 21, 595. 60 2, 746.63 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 500.00 929.14 642.07 540.00 13.78 2, 500.30 4,429.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 211. 50 120,136.21 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted 562.50 201, 596. 61 Total 201,596.61 REPORT OF THE COMPTROLLER OF THE CURRENCY. 317 N E W J£ R S E Y. First National Bank, Manas qu an. CARLES J. PARKER, President. No. 3040. M. D. L. MAGBE, Cashier. Liabilities. Resources. Loans and discounts I Overdrafts j U. S. bonds to secure circulation . J U. S. bonds to secure deposits j TJ. S. bonds on hand | Stocks, securities, judgments, etc . . Due from approved reserve agents. | Due from other national banks j Due from State banks and bankers , Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... I Premiums on U. S. bonds Checks and other cash items j Exchanges for clearing-house ; Bills of other national bauks Fractional currency, nickels, cents. Specie ! Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. j Due from Treasurer IT, S ' $246,837.69 1,755.82 13,000.00 9, %*2. 50 25, 994.09 590. 76 4:, 373.76 8,228.00 2,4G0. 33 2, 978. 75 2, 203.50 617. 00 59. 26 6, 300. 00 6, 000. 00 Capital stock paid in 20, 000.00 5,980. 58 National-bank notes outstanding- State-bank notes outstanding 11, 700. 00 Dividends unpaid 24.00 Individual deposits United States deposits Depositsof U. S.disbarsingoincers 226, 203.11 Due to other national banks . . . . . . Due to State banks and bankers .. 17,173. 08 865.69 Notes and bills re-discounted Bills payable 585.00 331, 946. 46 Total. $50, 000.00 Surplus fund Undivided profits Total 331, 946.46 Burlington County National Bank, Medford. A. P. STACKHOUSE, President. No. 1191. Loans and discounts Overdrafts TJ. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks l>ue from State banks and bankers Bank'g-house,furniture,andfixtures Ot her real estate and mortg's owned Current expenses and taxes paid-.. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banksFractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . $186, 098. 05 5.86 100, 000.00 9, 800. 00 28, 432. 00 3,819.47 9, 750. 00 1,134.24 1,183. 94 1, 881. 00 297.90 11, 600. 00 5, 000. 00 WILSON STOKES, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $100,000.0* 30.000.0G 13,662. 5« 89, 940. (to 476.00 125,664.86 3,759. 04 4, 500. 00 Total. 363, 502.46 363, 502. 4« Millville National Bank, Millville. E. H. STOKES, President Loans and discounts O verdraft s U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furaiture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. - Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.ls. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1270. $213, 275. 99 315.11 25,000. 00 106,000.00 16, 254.24 8, 208. 26 4, 500. 00 1, 250. 65 5, 000.00 175.49 5,260.00 99.84 27, 765. 00 1,300.00 HERSCHEL MULFORD, Cashier. i Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $100,000. W Individual deposits United States deposits Deposits of U. S. disbursing officers 236, 534. 42 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1, 634.70 1, 367.94 32, 000.00 23, 302.52 20,690. 00 1,125.00 415,529.68 Total. 415, 529.5* 318 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Moorestown National Bank, Moorestown. CLAYTON LIPPINCOTT, President. W . 1 . STOKES, Cashier. No. 3387. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $226,315.47 21.75 15, 000.00 9,220, 34 Capital stock paid in. $50, 000.00 Surplus fund fund. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 17, 500. 00 6, 850. 27 13, 500. 00 Dividends unpaid. 12, 000.00 1,196.98 3, 450. 00 544.36 556.00 66.13 4, 000.00 16, 500.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 201, 695. 76 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 675.00 Total . 289, 546.03 289, 546.03 First National Bank, Morristown. THEODORE LITTLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankersBank'g-house,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 1188. $238,233.17 62.5.89 25,000.00 205,400. 68 40,327.24 45, 611. 73 1, 000. 00 2.385. 25 *5,*ii9."60' 330. 00 94.89 9, 370. 25 21,366.00 J. H. VAN DOREN, Cashier* Capital stock paid in. $100, 000.00 Surplus fund Undivided profits. 60, 000. 00 20, 529.49 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. 105.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 347, 529. 20 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 44, 046.19 1, 277. 82 1,125.00 595, 987. 70 Total . 595,987.70 National Iron Bank, Morristown. H. 0. MAKSH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U, S bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U» S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . JNO. B. BYRAM, Cashier. No. 1113. $636, 862.16 Capital stock paid i n . $200, 000.00 2,156. 89 50, 000.00 Surplus fund 40, 000.00 36,150. 45 Undivided profits. 11,000.00 (50, 000. 00 National-bank notes outstanding. 45, 000. 00 101, 590. 74 State-bank notes outstanding 58, 976. 83 6~rt. 71 Dividends unpaid. 150, 00 35, 000.00 6, 000.00 Individual deposits 664, 873. 80 3, 463.87 United States deposits 3,183.12 Deposits of U. S. disbursing officers 13, 807.18 Due to other national banks 47, 540. 06 883.00 Due to State banks and bankers... 25. 81 20, 506. 00 Notes and bills re-discounted. 27, 203. 00 Bills payable 2, 250. 00 150. 00 1, 033, 714. 31 Total , 1, 033, 714. 31 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 31 & NEW J E R S E Y * Farmers' National Bank of New Jersey, Mount Holly. A. L. BLACK, President No. 1168. J. P. GOLDSMITH, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds C hecks and other cas h items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. $262, 7ul. 74 Capital stock paid in. 300. 96 50, 000. 00 Surplus fund Undivided profits. 114, 310. 50 National-bank notes outstanding.. 36,303.20 | State-bank notes outstanding . . 2, 661. 32 5.22 Dividends unpaid. 15, 000. 00 Individual deposits 1, 618. 98 United States deposits 10, 800. 00 Deposits of U.S. disbursing officers. $200, 000. G O 60, 000. 00 13, 670. 62 45, 000.00 1,159. 00 258, 504. 31 1, 826. 61 Due to other national banks Due to State banks and bankers . . 12, 609. 00 438.56 45, 900. 00 31, 980. 00 2,250.00 372.16 Notes and bills re-discounted . Bills payable ; 588, 706. 09 Total . 588,706.09 Mount Holly National Bank, Mount Holly. EDWARD WILLS, President. No. 1356. Loans a n d discounts Overdrafts U . S. bonds t o secure c i r c u l a t i o n . . . U . S. bonds t o secure deposits U. S. bonds on h a n d Stocks, securities, judgments, e t c Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. BENJ. F. LEE, Cashier. $213,237.12 Ij Capital stock paid in 50,000.00 || | 14,775.00 | 28,995.63 ! 2,130.07 i| 563.33 '| 15,000.00 !' $100, 000.00 Surplus fund Undivided profits 25, 000. 00 19,521.31 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. 283.00 Individual deposits 1,092.68 j! United States deposits 9,000.00 ! Deposits of U.S.disbursing officers. i 166.82 , Dufe to other national banks ""830.66 Due to State banks and bankers -. 101.18 9, 533. 70 Notes and bills re-discounted 2, 000. 00 Bills payable 145, 379. 75 14, 595. 92 2,250.00 Total 349, 781. 98 349, 781. 98 Union National Bank, Mount Holly. JACOB MERRITT, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation. . . U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current exx>enses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes.. r U. S. certificates of deposit Redemption fund with Troas. U. S. Due from Treasurer U. S Total. No. 2343. $184, 497.21 326. 92 25, 000. 00 20, 011.27 3,176.08 1, 009. 68 10, 500. 00 S. L. TOMLINSON, Cashier. Capital stock paid in. $90, 000. 00 Surplus fund Undivided profits. 15, 000. 00 7, 792. Q6 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid Individual deposits 1, 248, 95 United States deposits 4, 37C. 00 J Deposits of U. S. disbursing officers. 304.50 126, 423. 88 465. 25 2, 013. 00 94. 56 4,601.00 9, 500. 00 1 Due to other national banks 1 Due to State banks and bankers .. 3, 092. 54 2, 8,J3. 34 Notes and bills re-discounted . Bills payable 1,125. 00 267,946. 92 Total . 267, 946.92 320 KEPORT OF THE COMPTROLLER OF THE CURRENCY. J\EW JERSEY, Second National Bank, Newark. No. 362. J. D. ORTON, President. E. D. FARNSWORTH, Cashier. Resources. Loans and discounts Overdrafts U. S bonds to secure circulation U. S. bonds to secure deposits U S bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks* Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Soeci© Legal-tender notes .. . . U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $744,624. 72 3). 11 130,000.00 100, 000. 00 $300, 000. 00 ....... . 100 000.00 26, 676. 23 254.75 118, 248.47 8, 552. 65 1.25 50, 000. 00 National-bank notes outstanding.. State-bank notes outstanding 116, 998.00 4, 588. 01 4,163. 78 17, 9;19. 58 27,018.75 5,144. 00 United States deposits Deposits of U.S. disbursing officers. 630, 619. 46 84,192. 70 6, 082. 35 Due to other national banks Due to State banks and bankers . . 22, 832. 33 31 700 00 40 000.00 Surplus fund Undivided profits Dividends unpaid 740.00 Notes and bills re-discounted 5, 850. 00 1, 288,141. 07 Total 1,288,141.07 Essex County National Bank, Newark. . H. CURTIS, President No. 1217. $1,765, 774. 50 Loans and discounts 551.06 Overdrafts 50,000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. 589, 066. 57 141,198. 76 Due from other national banks 43, 275. 68 Due from State banks and bankers. 60, 000. 00 Bank'g-house, furniture, and fixtures Other real estate and rnortg'a owned Current expenses and taxes paid... 1,901.55 Premiums on U. S. bonds 11,136.51 Checks and other cash items 87,047. 82 Exchanges for clearing-house 40, 042. 00 Bills of other national banks 5f>. 01 Fractional currency, nickels, cents. 89, 518. 00 Specie 57, 000.00 Legal-tender notes.. U. S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S . 2, 000. 00 Due from Treasurer U. S $300, 000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 250, 000. 00 79, 554. 92 43, 600.00 1, 767. 63 Individual deposits United States deposits Deposits of U.S. disbursing officers. 2, 077, 518.67 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 174,334.32 14, 041. 92 Total . 2,940,817.46 Total. T. W. CROOKS, Cashier. Capital stock paid in. 2,940, 817.46 German National Bank, Newark. EDWIN M. DOUGLAS, President No. 2045, $1,165, 044.51 Loans and discounts 1, 006.62 O verdrafts 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits..... U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. 407,171.92 Due from other national banks 26, 782. 04 385.88 Due from State banks and bankers. Bank'g-b< >use, furniture, andfixtures 47, 500. 00 Other real estate and mortg's owned Current expenses and taxes paid... 1, 584. 63 Premiums on U. S. bonds 1,000.00 4, 220. 56 C becks and other cash items Exchanges for clearing-house 26, 972.12 Bills of other national banks 18, 745. 00 Fractional currency, nickels, cents. 1, 782.60 Specie 68, 365. 00 Legal-tender notes 61, 025. 00 U. S. certificates of deposit Redemption fund with Treas. U. S . 2, 250.00 Dae from Treasurer U. S Total 1,883,835.88 E . C, F L E T C H E R , Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. $200,000.00 100.000. 00 42, 252.20 45,000. 00 »75.85 Individual deposits . United States deposits . DepositsofU.S. [g officers. 1, 368, 555. 82 Due to other national banks Due to State banks and bankers .. 61, 059. 68 Notes and bills re-discounted Bills payable 65, 992. 33 Total 1,883,835.88 REPORT OF THE COMPTROLLER OF THE CURRENCY. 321 NEW J E R S E Y . Manufacturers' National Bank, Newark. C. a. CAMPBELL, President. N o . 2040. J. W. PLUMB, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Duo from other national banks j Due from State banks and bankers. I Bank'g-house,furniture,and fixtures Other real estate and mortg's owned C urrent expenses and taxes paid Premiums on U. S. bonds ." Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. i Specie j Legal-tender notes I U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S •6742, 451. 81 Capital stock paid in 1, 086.22 50, 000.00 Surplus fund 170, 000.00 Undivided profits National-bank notes outstanding. *89, 988.68 State-bank notes outstanding 13,497.81 1, 978. 59 Dividends unpaid. 58, 000.00 Individual deposits 1, 3P1. 66 United States deposits 59, 950. 00 Deposits of U. S. disbursing officers. 9,791.39 7, 954. 33 Due to other national banks 1,175. 00 Due to State banks and bankers .. 696. 76 4, 996.05 Notes and bills re-discounted . 61, 328. 00 Bills payable 80, 000. 00 20. 537. 66 44, 999. 00 155. 00 935, 071. 21 187, 000.00 58, 203.16 570.27 2, 250. 00 1, 576, 536. 30 Total.. $250, 000. 00 Total . 1, 576, 536. 30 Merchants' National Bank, Newark. EDWARD KANOUSE, President. No. $1,165,096. 78 2,166.15 50,000.00 100, 000. 00 Loans and discounts • Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents Due from other national banks -. Due from State banks and bankers. Bank'g-bouse.furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds . Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 227, 861.91 50, 709. 09 J. S. TBEAT, Cashier. 1818. Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. 100,000. 00 19, 638. 33 45, 000. 00 2,108.00 40, 000.00 Individual deposits 3, 447. 01 United States deposits 31,500.00 Deposits of U. S. disbursing officers 18,923.36 29,126.70 Due to other national banks 1, 453. 00 Due to State banks and bankers .. 845.00 36,127.00 Notes and bills re-discounted . 56,754.00 Bills payable 1, 279, 956. 35 100, 000. 00 69, 557. 32 2,250.00 1, 816, 260.00 Total. Total . 1, 816,260. 00 National Newark Banking Company, Newark. C. <x. ROCKWOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand ... Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other ca3h items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total H. Ex. 3- No. 1316. $1,484,683.47 Capita* stock paid in. 1,085.81 — 201,000. 00 Surplus fund Undivided profits 327, 097. 75 254,713.33 194,125. 96 34,014. 73 60,185.87 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits. 8,162. 71 United States deposits 27, 315. 80 Deposits of U. S.disbursing officers. 21,895.07 42,483. 21 Due to other national banks 9, 848.00 Due to State banks and bankers.. 961.10 39, 780. 80 Notes and bills re-discounted. 33, 600. 00 Bills payable 200, 000. 00 99, 291.10 180, 900.00 2, 329. 90 1, 284, 758.19 308, 339. 39 174, 380. 03 9, 045. 00 I -21 P. W. CRATER, Cashier. $500, 000.00 2,749,998.61 Total . 2,749,998. 61 322 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW J E R S E Y . National State Bank, Newark. No. 1452. JOHN P. JUBE, President. W M . ROCKWELL, Cashier. Resources. Liabilities. Loans and discounts I $1,118, 538.74 73.69 Overdrafts 100,000.00 U. S. bonds to secure circulation... j U. S. bonds to secure deposits • U. S. bonds on hand ; 403, 047. 39 Stocks, securities, judgments, etc 285, 975. 97 Due from approved reserve agents. 128, 595.68 Due from other national banks — ; 13, 973. 93 Due from State banks and bankers '• 100, 000. 00 Bank'g-house, furniture, and fixtures: Other real estate andmortg'sowned Current expenses and taxes paid...: Premiums on U. S. bonds • 13. 547.61 Checks and other cash items 27, 690. 83 Exchanges for clearing-house < 4. 547.00 Bills of other national banks ; 453. 08 Fractional currency, nickels, cents. 34, 978. 53 Specie j 44,001.00 Legal-tender notes I U. S. certificates of deposit i Redemption fund with Treaa. U. S . 4, 500. 00 Due from Treasurer U. S Total $500, 000.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding-. State-bank notes outstanding Dividends unpaid 100,000.00 115, 622. 31 90,000.00 1, 957. 73 Individual deposits United States deposits Deposits of U.S.disbursing officers. 1, 233, 502. 55 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 238, 350. 38 490.48 2,279,923.45 2, 279, 923.45 Total Newark City National Bank, Newark. SAMUEL H. PENNINGTON, President Loans and discounts Overdrafts IJ. S. bonds to secure circulation... U. S. bonds to secure deposits ' TJ. S. bonds on hand I Stocks, securities, judgments, etc ..! Due from approved reserve agents !' Due from other national banks Due from State banks and bankers ; Bank'g-house,furniture,and fixtures^ Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks i Fractional currency, nickels, cents.' Specie Legal-tendor notes IT. S. certificates of deposit Redemption fund with Treas. U. S . • ' Due from Treasurer U. S No. 1220. 2, 250. 00 2,376,530.45 Total. ALBERT BALDWIN, Cashier. , 563, 757. 89 Capital stock paid in j $500, 000.00 2, 593. 96 50, 000.00 Surplus fund 150, 000.00 46,891.27 Undivided profits. 220, 752. 00 National-bank notes outstanding. 45, 000. 00 175, 722. 53 State-bank notes outstanding 122,489.80 11, 669.38 Dividends unpaid 4,994. 00 40,842. 00 Individual deposits 1, 487, 836.14 •. 3, 664. 56 United States deposits \ 1 Deposits of U. S. disbursing officers. 1 *72,163." 65" Due to other national banks 1 137.411.75 4, 397.29 * "9,"m 00* Due to State banks and hankers .. | 266. 24 6, 800. 00 Notes and bills re-discounted . 88,450.00 Bills payable Total 2,376,530.45 North Ward National Bank, Newark. C. S. GRAHAM, President Loans and discounts , Overdrafts ! U. S. bonds to secure circulation... ; U. S. bonds to secure deposits . U. S. bonds on hand Stocks, securities, judgments, etc . . i . . Due from approved reserve agents ! Due from other national banks Due from State banks and bankers i Bank'g-house, furniture, and fixtures' Other real estate and mortg's owned' Current expenses and taxes paid...; Premiums on U. S. bonds | Checks?and other cash items ! Exchanges for clearing-house Bills of other nationaH)anks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S ., Due from Treasurer IT. S . Total J. W. LUSHEAU, Cashier. No. 2083. $661, 842. 89 Capital stock paid in j $200, 000. 00 398. 22 50, 000. 00 Surplus fund 70, 000.00 31, 296. 06 Undivided profits . National-bank notes outstanding i 45, 000. 00 215,199. 24 State-bank notes outstanding . . . . . L 54, 665.49 585.39 j Dividends unpaid i 1, 030. 00 44,041.53 200. 00 Individual deposits 701,937.81 2, 370.01 United States deposits 2, 000. 00 Deposits of U.S. disbursing officers.' 10, 506. 42 32, 499, 20 Due to other national banks 118, 574. 09 26, 080. 00 Due to State banks and bankers .. 185. 07 30, 314. 50 Notes and bills re-diacounted . 34, 700. 00 Bills payable 2, 250.00 1,107,837.96 Total I 1,167,837.96 REPORT OF THE COMPTROLLER OF THE CURRENCY. 323 NE W JERSEY. National Bank of New Jersey, New Brunswick. LEWIS T. HOWELL, President. No. 587. E. S. CAMPBELL, Cashier. Liabilities. Resources. Loansand discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total. $955, 666.43 46.40 50, 000. 00 86,903.90 147,626. 39 10,498. 57 5,078.42 5,000.00 4, 609.75 $250, 000.00 Capital stock paid in. Surplus fund Undivided profits . 90, 000. 00 34, 646. 74 National-bank notes outstanding State-bank notes outstanding . .*". 44, 000. 00 1, 097. 50 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 909, 083.65 Due to other national b a n k s Due to State banks and bankers .. 35, 216. 34 4,448.05 *2," 021 "69' 6,147. 00 659.18 48, 575.55 40,409.00 Notes and bills re-discounted . Bills payable 2, 250. 00 3, 000.00 Total. 1, 368,492.28 1, 368, 492. 28 People's National Bank, New Brunswick. GEO. "W. DEVOE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit ...*... Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3697. $270, 342. 86 198.46 25, 000.00 22,181.62 2,641.07 672.08 18, 700. 00 1, 679. 33 6, 500.00 324.02 950.00 199.52 5,222.63 12, 300.00 T. E. SCHANCK, Cashier. $100,000.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 4, 000. 00 5, 374. 32 21, 700.00 39.00 207, 983. 50 8,699.02 1, 776.97 18, 463.78 1,125.00 368,036. 59 Total. Merchants' National Bank, Newton. S. H. HUNT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 876. $294,645.90 83.74 35,000.00 8,105.00 33, 074. 76 22,059.12 2.42 14, 500. 00 535.12 861.07 1, 864.81 2,916.00 41.40 6, 828. 95 11, 000. 00 J\ C. no WELL, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits .. United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable $100, 000.00 42, 500.00 16,264.98 31, 295,00 239,293.67 2,429.64 265.00 431, 783.29 Total. 431,783. 29 324 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Sussex National Bank, Newton. No. 925. DAVID R. HULL, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andnxtures Other i eal estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalt>anks Fractional currency, nickels, cents Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total. $287,170.18 1,248.60 200,000.00 228,208.51 28,619.04 27,289. 20 THEO. MORFORD, Cashier. Liabilities. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits 1,711.32 United States deposits 41,176. 00 DepositsofU.S.disbursingoflicers. 4, 2S9. 19 Due to other national banks ...... 5, 022.00 Due to State banks and bankers .. 196. 54 21, 044.05 "Notes and bills re-discounted . 10,000. 00 Bills payable 10, 250. 00 $200,000.00 100, 000. 00 27,389. 51 177, 050. 00 1,332.50 328, 257. 64 41,195. 01 9,000.00 875, 224.66 Total. 875,224.66 Orange National Bank, Orange. No. 1317. T. J. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from Stato banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie -' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total $1, 001, 018.22 1, 682.10 37, 500.00 39, 500.00 119,446.80 J. W. SMITH, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits ofU.S.disbursing officers 1, 36 L 30 Due to other national banks Due to State banks and bankers. 1, 759. 60 61,673.72 Notes and bills re-discounted. 14, 022.00 Bills payable 15, 000.00 6,120.65 $150,000.00 150,000. 00 23, 648. 74 32,440.00 7, 571. 00 884, 842.10 52,270.05 1, 687. 50 1,300,771.89 Total. 1, 300, 771. 89 Passaic National Bank, Passaic. EDO KIP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-ho use, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. ROBT. D. KENT, Cashier. No. 3572. $100, 000, 00 Capital stock paid in. 12, 500. 00 Surplus fund 9,246.17 Undivided profits. 22, 500. 00 34, 833.23 National-bank notes outstanding.. 40,623.36 State-bank notes outstanding $336, 208. 46 36.76 25, 000.00 446. 81 8,"688."(J0 2, 690.69 6, 250.00 1,174.01 2,995. 00 185.54 17, 671. 50 9, 000.00 Dividends unpaid 60.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 315,425.95 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 27,196.24 1,125.00 480,928.36 Total . 486,928.36 REPORT OF THB COMPTROLLER OF THE CURRENCY. 325 I EW JERSEY. V First National Bank, Paterson. No. 329. JOHN J . BKCWN, President. KDWAHD T. BELL, Cashier. Liabilities. Resources. Loans and discounts $1,743, 558. 81 Capital stock paid in. Overdrafts , 50, 000. 00 Surplus fund U. S. bonds to secure circulation... 50, 000. 00 XJ. S. bonds to secure deposits Undivided profits. U. S. bonds on band 194, 700. 00 National-bank notes outstanding.. Stocks, securities, judgments, etc . . 111,275.88 State-bank notes outstanding Due from approved reserve agents. 8, 709. 79 Due from other national banks 1, 295.13 Dividends unpaid. Due from State banks and bankers. 67, 000. 00 Bank'g-house, furniture, and fixtures Other real estate and mortg's owned 5, 300. 00 Individual deposits Current expenses and taxes paid... 7,451.81 United States deposits 20, 000.00 Deposits of U.S. disbursing officers Premiums on U. S. bonds 22, 431.25 Checks and other cash items Due to other national banks Exchanges for clearing-house 12, 506. 00 Due to State banks and bankers .. Bills of other national banks 3, 475. 72 Fractional currency, nickels, cents . 41,472.50 Notes and bills re-discounted . Specie 56,182. 00 Bills payable Legal-tender notes U. S. certificates of deposit 2,250.00 Redemption fund with Treas. TJ. S. 2,000.00 Due from Treasurer U. S Total $400, 000. 00 100, 000.00 126, 505.12 45, 000. 00 115. 00 1,601,213.74 55, 000. 00 68,495.10 3, 279. 93 Total 2,399,608.89 2, 399, 608. 89 Second National Bank, Paterson. No. 810. JAMES JACKSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national jbanks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $646,867.41 183. 01 37, 500. 00 6, 000.00 84, 736.12 12, 352. 63 22, 000.00 2, 994. 83 8, 515. 63 3, 437.84 5, 666. 00 170. 79 4, 392. 00 19,329.00 JAMES W. ROW, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $150, 000. 00 50, 000. 00 14, 200.73 33, 750. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 75.00 603,815.28 3, 991. 75 1,687.50 Total. 855,832. 76 855, 832. 76 Paterson National Bank, Paterson. WILLIAM STRANGE, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-houso, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums onU. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationaipanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 4072. $546, 755.54 H. C. KNOX, Cashier. Capital stock paid in | ! ""50,*666.*6o' Surplus fund Undivided profits , National-bank notes outstanding.. 44, 540.59 State-bank notes outstanding $200,000. 00 10,218.73 45, 000. 00 14, 703.08 250. 00 32,385.94 Dividends unpaid. Individual deposits 3, 394.76 United States deposits 14, 265. 62 Deposits of U.S.disbursing officers. 449, 975.98 1, 453. 37 1, 485. 00 119.16 11,116.50 8, 695.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable 26, 219. 85 2,250.00 731,414-. 56 Total. 731,414.56 826 REPORT OF THE COMPTROLLER OF THE CURRENCY. N E W J E R S E Y. PhillipL i-gli N a t i o n a l Bank, Fhillipsbuigli. No. 1239. SAMUEL BOILEAU, President. JKO. A. BACIIMAN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total., $462, 346. 77 58. 61 200, 000. 00 Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits. 100, 000. 00 77,317.44 88, 407.50 National-bank notes outstanding.. 27, 333. 33 State-bank notes outstanding ..... 20, 012. 07 2, 574. 67 Dividends unpaid 8, 000. 00 Individual deposits 4, 426. 55 United States deposits Deposits of U. S. disbursing officers. 2, 566.90 Due to other national banks 2, 297. 00 Due to State banks and bankers . . • 115. 56 38, 080. 95 Notes and bills re-discounted . 27, 998.00 Bills payable 177, 222. 00 1,580.77 332, 664. 66 3, 002. 71 1, 430.63 9, 000. 00 Total . 893, 217.91 893, 217. 91 First National Bank, Plainfield. No. 447. J. R. VAN DEVENTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $514, 953.32 1, 376. 56 200, 000. 00 1, 000.00 76, 975. 09 11, 288. 58 660. 95 13, 070. 27 6, 974. 69 2, 313. 68 $200, 000.00 Surplus fund . . . . . Undivided profits. 50, 000, 00 48, 713. 70 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 180,000.00 730. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 417, 624.47 Due to other national banks Due to State banks and bankers . . 17, 397. 66 9, 659. 48 2, 965. 00 616. 56 14,155.65 49, 456.00 Notes and bills re-discounted . Bills payable 9, 000. 00 Total. 914, 465.83 Total. CAKMON PARSE, Cashier. Capital stock paid in. 914, 465. 83 City National Bank, Plainfield. No. 2243. CHABLES HYDE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. .1 $305,011.35 523. 48 40, 000. 00 F. H. GARDNER, Cashier. Capital stock paid in. Surplus fund Undivided profits. $150, 000.00 27, 000. 00 7, 716. 75 16, 675.00 | National-bank notes outstanding.00 94, 435. TO I State-bank notes outstanding 79 2, 466. 70 41,442.45 Dividends unpaid 2, 000. 00 36,000.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 296, 298.12 Due to other national banks Due to State banks and bankers . . 6,612.91 401.52 458.20 2, 325.00 4,461. 43 190.40 3, 259. 00 10, 014.00 1, 033. 50 Notes and bills re-discounted . Bills payable 1,800.00 525, 0G2. 80 Total . 525, 062. 80 REPORT OP THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. First National Bank, Red Bank. No. 445. A. S. PARKER, President. J. L. TERHUNK, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Duo from other national banks. .. Due from State banks and bankers Bank'g-house,furniture,andfixturos Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $100,000.00 $366, 032. 78 !ICapital stock paid in. 376. 06 25,000.00 Surplus fund Undivided profits 75, 000.00 105, 828. \YI 183, 308. 51 National-bank notes outstanding-., 190,177.06 15, 918.05 State-bank notes outstanding 6,421.91 Dividends unpaid ...J 17, 000. 00 Individual deposits i 1,678.71 United States deposits.. 5, 000. 00 Depositsof U.S.disbursingoincers.i 3,988. 67 Due to other national banks Due to State banks and bankers .. 1, 6.W. 00 232. 75 3, 325. 00 22, 000. 00 81.00 509, 051.68 32, 600. 45 150. 00 Notes and bills re-discounted Bills payable 24,000. 00 ] , 125. 00 Total 845, 814.50 845, 814. 50 Second National Bank of Red Bank. J . A.TiiROCKMOitTON, President N o . 2257. Loans and discounts | Overdrafts I U. S. bonds to secure circulation. ..j ! IT. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, etc..I Due from approved reserve agents, j Due from other national banks j Due from State banks and bankers.' Bank1g-house,furniture,andfixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. I. B. EDWARDS, Cashier. $525, 099.73 Capital stock paid in. $75, 000. 00 75,000. 66 Surplus fund Undivided profits . 75, 000. 00 45, 308. 06 51,060.28 74, 359.10 19,486.49 19, 008.2 i 12, 250.00 6, 832. 91 2,611.85 National-bank notes outstanding.. State-bank notes outstanding 67, 500. 00 Dividends unpaid 442.00 Individual deposits ; United States deposits Depositsof U.S. disbursing officers. 521,213.25 i Due to other national banks ! Due to State banks and bankers . . 171.00 I 2,435.80 I Notes and bills re-discounted. 37, 039. 00 Bills payable 41, 331. 51 7, 464.78 930. 21 3,375.0J Total.. 833,319.60 833, 319. 60 City National Bank, Salem. W. T . H.ILLIARD, President. Loans and discounts \ Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-houso, furniture, and fixtures Other real estate and mortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash itfems Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3922. $123,581.01 !| Capital stock paid in BIDDLE HILES, Cashier, 66.71 25, 000. 00 ! Surplus fund Undivided profits ; National-bank notes outstanding.. 11,760.16 j i State-bank notes outstanding $100,000.00 5,4S7. 8 3 22, 000.00 66.12 I ! Dividends unpaid 10, 082. 80 320. 51. 4,466. 3,154. 00 66 50 00 ! Individual deposits | United States deposits j Depositsof U.S. disbursingolticers.' i Due to other national banks ; Due to State banks and bankers. .. i 59, 091.13 458. 82 Notes and bills re-discounted. Bills payable 1,125.00 '\ 187,937.80 I Total. 187, 937. 80 328 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW J £ RSEY. Salem National Banking Company, Salem. W. W. MILLER, President No. 1326. H. M. RUMBKT, Cashier. Resources. Loans and discounts Overdrafts V. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve asjents Due from other national banks Due from State banks and bankers Bank'g-houso, furniture.and fixtures Other real estate and mortg's owned Current oxpenses and taxes paid... Prem iums on IT. S. bonds Checks and other caih items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XT. S. Due from Treasurer TJ. S Total. Liabilities. $429, 285. 40 Capital stock paid in. 377. 59 37, 50i). 00 Surplus fund Undivided profits. 2, 950. 00 National-bank notes outstanding.. 72,179.91 State-bank notes outstanding 10, 348. 05 Dividends unpaid. 41,385.87 Individual deposits 2,251.96 United States deposits Deposits of U. S. disbursing officers. 179.21 Due to other national banks 7,186.00 Due to State banks and bankers . 301. 32 25, 292. 50 Notes and bills re-discounted. 12,784.00 Bills payable $150, 000.00 75, 000.00 48, 620.18 33, 750.00 2,257. 00 331,650.50 2, 422. 63 1,687.50 Total.. 643,709.31 643, 709, 31 First National Bank, Somerville. P. DEWITT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ! Stocks, securities, judgments, etc .. j Due from approved reserve agents. \ Due from other national banks ! Due from State banks and bankers | Bank'g-house,furniture,andfixtures; Other real estate and mortg's owned; Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. JOHN W. TAYLOR, Cashier. No. 395. $288,237.28 Capital stock paid in. $100, 000. 00 102. 85 75, 000.00 25, 000.00 Surplus fund 42, 783.20 Undivided profits. 156, 750.00 National-bank notes outstanding.. 22, 500. 00 47,297.59 State-bank notes outstanding 18, 018.94 198.00 Dividends unpaid15.000. 00 Individual deposits 348, 026. 23 2, 073.97 United States deposits 5,900.00 DepositsofU.S.disbursingofiicers. 839.15 Due to other national banks 6, 534. 58 2,538.00 Due to State banks and bankers .. 152.48 5, 841. 75 Notes and bills re-discounted . 26,165.00 Bills payable 1,125.00 Total. 595,042.01 595,042.01 First National Bank, South Amboy. H. C. PBBBINB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ' Stocks, securities, judgments, etc Due from approved reserve agents.! Due from other national banks . . . j Due from State banks and bankers I Bank'g-house,furniture, and fixtures! Other real estate and mortg's owned' Current expenses and ta^es paid... Premium* on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total:. No. 3878. $109,631.56 6.14 12,500.00 22,000.00 27, 384. 62 163.31 1,800.00 577.25 3,000.00 1,775. 50 509.00 154. 66 5, 855.85 5, 435.00 JOHN WYCOFF, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50,000.00 3,000.00 2, 355. 85 11, 250. 00 Dividends unpaid Individual deposits United States deposits. f DepositsofU.S.disbursingofficers. Due to other national banks Due to State banks and bankers .. 121, 830.53 1,215.64 1,703.37 Notes and bills re-discounted. Bills payable 562.50 191,355.39 Total. 191,355.39 ftEPOKT OF THE COMPTROLLER OF THE CURRENCY. 32!) NEW JERSEY. Swedesboro' National Bank, Swedesborough. I . H. VANNEM AN, President, N o . 2923. J N O . C. RULON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts : II. S. bonds to secure circulation... U. S. bonds to secure deposits. TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $171,432.40 1, 225.39 13, 250.00 12, 595. 99 3,216. 91 Capital stock paid in. 17, 000. 00 3, 825, 77 National-bank notes outstanding. State-bank notes o u t s t a n d i n g . . . . 11,925.00 Dividends unpaid. 7,000. 00 199. 84 935. 77 2, 409. 69 100. Oi) Individual deposits United States deposits Deposits of U.S.disbursing officers. 160.00 4.03 14, 037. 55 8,340. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 144, 353.41 405. 64 5, 000. 00 596.25 Total.. 235, 509. 82 Total. $53, 000. 00 Surplus fund Undivided profits. 235, 509.82 First National Bank, Tom's River. No. 2509. JOHN AUMACK, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. SDue from Treasurer U. S Total. $164,174. 30 82.06 50, 000. 00 600.00 104, 450. 00 32, 881.79 4,139. 86 2, 752.70 1,250. 00 705. 88 173.50 1, 390.00 1.81 25,474.90 6, 731.00 WILLIAM A. Low, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits , United States deposits Deposits oiU.S.disbursing officers Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable $50, 000.00 10, 000. 00 18,845.89 45, 000. 00 223.00 264, 298.17 8, 082. 84 605. 00 2-, 250. 00 397, 056. 90 Total. 397, 056. 90 First National Bank, Trenton. No. 281. C. WHITEHEAD, Cashier. $1, 040,470.24 Capital stock paid in Loans and discounts $500, 000. 00 Overdrafts 1,154.97 U. S. bonds to secure circulation 50, 000. 00 Surplus fund , 150, 000. 00 100, 000. 00 Undivided profits U. S. bonds to secure deposits 165, 987. 26 , U. S. bonds on hand 86,942.95 National-bank notes outstanding., Stocks, securities, judgments, etc.. 45, 000. 00 58, 864. 40 State-bank notes outstanding Due from approved reserve agents. 77, 769. 09 Due from other national banks 32,433. 01 Dividends unpaid Due from State banks and bankers. 445.00 33, 000.00 Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Individual deposits 512, 746.04 Current expenses and taxes paid... 94, 649.62 7,034.64 United States deposits Premiums on U. S. bonds DepositsolU.S.disbursing officers. 12, 097.11 Checks and other cash items "io*565."83" Exchanges for clearing-house , Due to other national banks 60,430. 92 Bills of other national banks 4, 747.00 Due to State banks and bankers.. 42.73 Fractional currency, nickels, cents 114.55 Specie 25,500.00 Notes and bills re-discounted. Legal-tender notes 10, 552. 00 Bills payable TJ. S. certificates of deposit Kedemption fund with Treas. U. S. 2,250.00 Due from Treasurer TJ. S P H I L I P P . DUNN, President. Total 1,541,398.68 Total 1,541,398.68 330 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW JERSEY. Broad Street National Bank, Trenton. J. T. LANNING, President. N o . 3709. Jos. G BEEARLRY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulat ion... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks. . . . Due from State banks and bunkers Ban k'g-house, furniture, and fixtures! Other real estate and mortg's owned' Current expenses and taxes paid .. Premiums on U. S. bonds : Checks and other cash items i Exchanges for clearing-house i Bills of other nationaf'banks Fractional currency, nickels, cents. Specie Legal-tender notes I TL S. certificates of deposit ! Redemption fund with Treas. U. S.. i Due from Treasurer U. S ! Total., $451, 055. 05 1,234.25 50, 000. 00 29, 805.48 9, 4(35. 49 1,910.14 25, 651. 85 2,253. 58 13, 662. 50 9, 619. 82 2, 045. 00 677. 46 6, 772. 50 13, 419.00 $2")0, 000. 00 Capital stock paid in. Surplus fund Undivided profits • National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. 25, 000. 00 13,188. 59 32,120. 00 60.00 Individual deposits United States deposits Deposits of U.S. disbursing ofiieers Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 227, 785. 24 1, 472.10 9, '296.19 60, 000. 00 1,350. 00 618, 922.12 Total 618, 922.12 7 Mechanics National Bank, Trenton. No. 1327. JOHN MOSES, President. W M . W. STELLK, Cashier. Loans and discounts $ 1,101,491. 68 Capital stock paid in. Overdrafts 21. 50 U. S. bonds to secure circulation . . . 250,000.00 Surplus fund U. S. bonds to secure deposits Undivided profits U. S. bonds on hand | Stocks, securities, judgments, etc .. j 100, 000. 00 National-bank notes outstanding. Due from approved reserve agents. 181, 264. 63 State-bank notes outstanding Due from other national banks 48, 347. 53 Due from State banks and bankers | 27, 4(19.34 Dividends unpaid Bank'g-house,furuiture,andtixuuvs 30, 000. 00 Other real estate and mortg's owned 74, 063. 80 Individual deposits Current expenses and taxes paid... I 11, 897.98 United States deposits Deposits of U.S.disbursing officers, Premiums on U. S. bonds | Checks and other cash items i 8, 472.13 Due to other national hanks Exchanges for clearing-house. 18, 560.00 Due to State banks and bankers.. Bills of other national banks. Fractional currency, nickels, cents. 965. 92 Spt cie 46, 652.50 !i Notes and bills re-discounted Legal-tender notes 38, 005. 00 Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 11,250.00 Due from Treasurer U. S Total. 1,948,402.01 Total $500, 000. 00 2."0, 000. 00 60,331. tJJ 225, 000. 00 129.15 700, 518.64 188,612 12 23, 790. 49 1,948,402.01 First National Bank, Vincentown. JOHN S. IRICK, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand \ Stocks, securities, judgments, etc. J Due from approved reserve agents, i Due from other national banks i Due from State banks and banko7\s Bank'g-house,fumiture,andfixtures Other lval esi ate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 370. SAM'L O. ROSS, Cashier. $111, 732.34 Capital stock paid in 16.23 30, 000. 00 .'! Surplus fund i Undivided profits. 25, 000.00 National-bank notes outstanding.. 16, 374. 52 State-bank notes outstanding 1, 628. 30 Dividends unpaid 8, 583. 44 4,811.70 Individual deposits 730. 76 United States deposits 808. 75 Deposits of U.S.disbursing officers 464. 55 Due to other national banks 1,481.00 Due to State banks and bankers.. 42.87 6,150.00 Notes and bills re-discounted. 1,000.00 Bills payable $100, 000. 00 20, 000. 00 2, 294. 64 27, 000. 00 59, 200. 29 1, 682. 53 1, 350. 00 210,177.46 Total.. 210.177.46 REPORT OF THE COMPTROLLER OF THR CURRENCY. N E W 331 J E R S E Y . Vineland National Bank. M. J . XIMBALL, President. No. 2918. C. II. ANDERSON, Cashier. Resources. Loans and discounts j Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from oth :r national banks Due from State banks and bankers. Bank'g-house.furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas . U S Due from Treasurer U. S Total . Liabilities. $146, 897.89 36.42 12, 500. 00 " ' 3,"i66."6o" 6.S, 50 \. 75 16, 223.03 680. 32 Capital stock paid in $50, 000. 00 Surplus fund Undivided profi ts 9, 000. 00 8,781.38 National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g . . . . . Dividends unpaid 2, 500. 00 218.70 657. 159. 7, 208. 5, 670. 00 3G 20 00 10, 690. 00 234. 00 Individual depositsUnited States deposits Deposits of U.S.disbursing oilicors. 187,212.89 Due to other national banks D u e to State b a n k s and b a n k e r s . . 3, 525. 00 Notes and bills re-discounted. Bills payable 562. 50 Total 269,443. 27 269, 443. 27 First National Bank, Washington. P. II. HAXX, President. Louis J. HANX, Cashier. No. 800. Loans and discounts $256,307.09 : Capital stock paid in ' Overdrafts TJ. S. bonds to secure circulation . . . ' "i6o,"665."6o"i. S n r pi n s fu n d U. S. bonds to secure deposits Undivided profits U. S. bonds on hand Stocks, securities, judgments, etc . 11,500.00 |i National-bank notes o u t s t a n d i n g . . i Due from approved reserve agents. 28,153.02 il State-bank notes outstanding ' Due from other national banks 2,865.20 I I Due from State banks and bankers. Dividends unpaid Bank'g-house, furniture,and fixtures Au, wu. uu Other real estate and mortg's owned! Individual deposits Current expenses and taxes paid... | 48. 70 United Slates deposits Premiums on U. S. bonds ! Deposits ot'U.S.disbursing officers Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. 3. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . $100, 000. 00 40,000.00 28, 284.12 81, 007. 50 5, 0G0. 00 158,179.52 755.81 3, 205. 00 189.62 6, 212. 95 9,510.00 Due to other national b a n k s Due to State b a n k s and b a n k e r s i 27,120. 25 Notes and bills re-discounted . . . Bills payable 4, 500.00 Total . 439, 747. 39 439, 747. 39 First National Bank, Woodbury. JOHN H. BRAD WAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional cuirency, nickels, cents. Specie LegaLtender notes TJ. 3. Iortificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total . No. 1199. $341, 04G. 96 101.93 100, 000. 00 41,579.01 72, 243.66 984. 86 13,666.66 E . T. BKADWAY, Cashier. Capital stock paid in ! $100,000. 00 Surplus fund Undivided profits ' ; • 95, 000.00 6, 740. G7 ! National-bank: notes outstanding..' State-bank notes outstanding \. Dividends unpaid 85, 900. 00 I 836. 50 Individual deposits ij TJ nitod States deposits ' Deposits of U. S.disbursing officers. j 314, 914. 28 85.24 1,092.00 445. 85 27,401. 34 900.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 4, 500, 00 10.00 603, 391. 45 Total . 603,391.45 -332 REPORT OF THE COMPTROLLER OF THE CURftENCV. NEW JERSEYFarmers and Mechanics' National Bank, Woodbury. J . L. REEVES, President No. 3716. H. S. TALMAN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $172, 958.77 2.54 25,000.00 20,400.00 11, 575. 33 1,419.77 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 12, 555. 80 National-bank notes outstanding. State-bank notes outstanding. . . 22, 500.00 Dividends unpaid 27,000.00 905." 88 0,800. 00 3, 550.00 218. 02 10, 520. 25 12, 900.00 Individual deposits United States deposits Depositsof U.S.disbursing officers. 156, 596.76 Due to other national banks Due to State banks and bankers .. 1,081.91 1,041.09 Notes and bills re-discounted .. Bills payable 1,125. 00 294,375.56 Total. 294,375.56 First National Bank, Woodstown. JAMES BENEZET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,aBd fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 399. "WM. Z. FLITCRAFT, Cashier. Capital stock paid in j $75, 000. 00 $295,282.04 113.20 75, 000.00 12,400.00 18,916.34 2,523.40 Surplus fund Undivided profits ; ' National-bank notes outstanding..' State-bank notes outstanding 75,000.00 42,105. 26 63, 250.00 Dividends unpaid 2, 600.00 "1*433." 32 Individual deposits ! United States deposits Depositsof U.S. disbursing officers ; 181, 915.30 Due to other national banks I Due to State banks and bankers .. ! 1,097.09 5, 519.87 I," 310. 00 293.08 13, 977.40 5,684.00 Notes and bills re-discounted . Bills payable 3,375.00 438,427 65 Total., 438, 427. 65 REPORT OF THE COMPTROLLER OF THE CURRENCY. 333 P J N N S Y L, V A I I A . B V First National Bank, Allegheny. JAMES MCCUTCHEON, President. E. K. KRAMER, Cashier. No. 198. Liabilities. Resources. , 142,034.25 Loans and discounts 3,467.20 Overdrafts 50,000. 00 U. S. bonds to secure circulation .. 50,000.00 U. S. bonds to secure deposits U. S. bonds on hand 50,542.00 Stocks, securities, judgments, etc .. 193, 333. 69 Due from approved reserve agents. 35, 960. 79 Duo from other national banks 6,273.08 Due from State banks and bankers. 82, 723. 00 Bank'g-house.furniture, and fixtures Other real estate and mortg's owned 29, 000.00 Current expenses and taxes paid .. 10,448.76 6, 000. 00 Premiums on IT. S. bonds 3,087.00 Checks and other cash items 32, 570.63 Exchanges for clearing-house 6,390. 00 Bills of other national banks 675.00 Fractional currency, nickels, cents. 121,260.55 Specie 44, 838.00 Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S 2,250.00 Due from Treasurer X . S T 1, 870,853.95 Total. Capital stock paid in Surplus fund Undivided profits. National-bank notes outstanding State-bank notes outstanding... Dividends unpaid $350,000.00 100,000.00 60, 579. 72 4"), 000.00 2, 090.00 Individual deposits 1,266,249.11 United States deposits 45, 000. 00 Deposits of U. S.dis bursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable Total. 1, 935.12 1,870,853.95 Second National Bank, Allegheny. No. 776. J. M. DAVIDSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks — Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for cleariug-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $740,565.14 1,724.51 56,000.00 8,000.00 137,442.83 760.64 50, 000.00 3,000.00 4,092.21 2, 000. 00 4, 816. 55 3,730.08 3,623.00 1, 007. 59 42, 627. 50 23, 000.00 A. S. CAMERON, Cashier. Capital stock paid in . Surplus fund Undivided profits . National-bank notes outstanding State-bank notes outstanding... Dividends unpaid Individual deposits United States deposits '. Depositsof U.S.disbursingofficers.I. $150,000.00 75, 000. 00 35, 522.07 50, 400. 00 1,700.00 772,287.98 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2,520.00 1,084,910.05 Total 1,084,910.05 Third National Bank, Allegheny. W. M. MCKELVT, President. Loans and discounts ' Overdrafts I U. S. bonds to secure circulation . . . U. S. bonds to secure deposits ! U. S. bonds on hand j Stocks, securities, judgments, etc . . !j Due from approved reserve agents. Due from other national banks Due from State banks and bankers, 1j Bank' g-bouse, fur niture, andfixtures Other real estate and mortg's owned j Current expenses and taxes paid .. j j Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Troaa. XL S. Due from Treasurer U. S Total. H. A. SPANGLER, Cashier. No. 2235. $687,488.29 Capital stock paid in : $200, 000. 00 741. 59 100,000.00 Surplus fund 75, 000. 00 45,681.54 Undivided profits 7,200.00 114, 518. 24 2,193. 98 23,750.00 7, 910. 53 3,100.32 1, 250. 41 7,337. 52 12, 062. 00 79.10 32, 573.65 10, 500. 00 National-bank notes outstanding . State-bank notes outstanding. .". Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursiugofficers. Due to other national banks Due to State banks and bankers.. Notes and bills ro-discounted Bills payable 8D, 000.00 2, 310. 00 600,182.75 3, 031. 34 4, 500.00 1, 015,205.63 Total. 1,015,205.63 334 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. German National Bank, Allegheny. L. WALTER, SU., President No. 2201. JOSEPH STRATMAN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds oft band Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furuiture,and fixtures Other real estate and mortg'a owned j Current expenses and taxes paid... | Premiums on U. S. bonds j Checks and other cash items i Exchanges for clearing-house ! Bills of other national banks I Fractional currency, nickels, cents j Specie ! Legal-tender notes TJ. S. certificates of deposit Redemption fund with Trcas. U. S. Due from Treasurer TJ- S Total. $941,551.03 1,398.24 50, 000.00 151,613.69 3,478, 24 4, 902. 73 27, 000. 00 "" 2*488.88 9,000.00 32,011.63 3, 901. 00 455. 38 52, 924. 30 13,000.00 Capital stock paid in. $200, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 100, 000. 00 25, 766. 39 45, 000.00 1, 567. 50 Individual deposits "United States deposits Deposits of U. S. disbursing officers. 924, 240. 35 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable , 2, 250.00 Total. 1, 296, 575.12 1,296,575.12 Second National Bank, Allentown. WILLIAM H. AINEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities,judgments, e t c . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,aud fixt ures Other real estate and morfcg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house . Bills of other national banks.. .1 Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S Due from Treasurer U. S Total. No. 373. !625,314.31 4, 884. 77 50, 000.00 8, 300.00 12, 570.67 58, 630. 59 9, 839.17 23,418.47 3, 820. 00 4, 862.27 3, 000. 00 12, 262. 25 1, 531. 00 105.79 29,988.00 37, 969.00 REUBEN STAHLER, Cashier. Capital stock paid in $200, 000.00 Surplus fund Undivided profits 62, 000.00 19, 025.69 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid 3,105. 50 Individual deposits United States deposits Deposits of U. S.disbursing officers. 439,661.54 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 68, 364. 31 13, 797.63 37,847. 62 2,250. 00 Total . 888, 802.29 888,802.29 Allentown National Bank, Allentown. ROBT. E. WRIGHT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds onhand Stocks, securities,judgments, e t c . . Duo from approved reserve- agents. Due from other national banks Duo from State banks and bankers. Bauk'g-house. furnituro,aud fixtures Other real estate and moi tg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationarbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Troas. TJ. S Due from Treasurer U. S Total.. No. 1322. ,010,986.43 7, 721.15 50, 000. 00 281,272. 85 105, 217. 29 121,832.92 15,389.10 51, 580. 88 119, 495. 51 8, 349.29 3, 500. 00 57, 950. 64 2, 1, 49, 60, 785. 393. 361. 719. 00 25 09 00 C. M. W. KECK, Cashier. Capital stock paid in . Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding. Dividends unpaid $500, 000. 00 100,000.00 31,210.10 45, 000. 00 950.40 Individual deposits United States deposits Deposits of U. S .disbursing officers. 998, 063.90 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted ...... Bills payable 232,193.20 41, 627. 95 36, 758.76 2,250 00 1, 985, 804. 31 Total . 1, 985, 804. 31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 335 PENNSYLVANIA. First National Bank, Altoona. No. 247. A. M. LLOYD, President. JOHN LLOYD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtureg Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes , TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $374, 582.44 2,736. 58 50, 000.00 50, 000. 00 74,144.50 49, 513. 56 48, 951. 33 36, 379.40 1, 694.25 3,854.85 "29,524 46 18, 228.00 542.38 112, 700.00 25,000.00 Capital stock paid in. $150, 000.00 Surplus fund Undivided profits. 43, 500.00 5,958. 83 National-bank notes outstanding.. State-bank notes outstanding 44,100. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. 569, 610. 23 , 55,000. 00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 7, 571.16 3, 815.43 1, 703.90 879, 555.65 Total. 879,555. 65 Second National Bank, Altoona. JOHN P. LEV AN, President. No. 2781. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixturea Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total., $321, 029. 07 2,038. 57 25, 000.00 25, 517. 80 8, 640.38 13, 394. 68 13, 050. 95 1, 494.36 4, 200. 00 11,448.80 10, 585.00 294.90 7, 757. 20 43, 925.00 HARRY A. GARDNER, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits. 13, 500. 00 4, 900. 35 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid. 121.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 338, 334. 78 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 2, 758. 74 7, 386.84 1,125. 00 489, 501. 71 Total | 489,501.71 First National Bank, Ambler. BENJ. P. WERTSNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house.fumiture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. U. S . Due from Treasurer U. S Total. JNO. J . HOUGHTON, Cashier. No. 3220. $167, 453.08 Capital stock paid in """S," 750." 56' Surplus fund Undivided profits 15, 842. 98 National-bank notes outstanding.. State-bank notes outstanding $55, 000.00 20, 000. 00 3, 789. 85 12, 375.00 Dividends unpaid. 7, 350. 00 828.72 500.00 150.22 300. 00 102. 58 6, 815.25 5,758.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers 128, 304. 73 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 618. 75 219, 469. 58 Total. 219,469. 58 336 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSILVANIl. Annville National Bank, Annville. No. 2384. JOHN H. KINPORTS, President. GEO. W. STINB, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . TJ. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks... Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums,on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $174, 026. 25 752.07 50, 000.00 3, 927. 07 77.92 4, 686. 99 936.93 70.00 17.42 7, 085.00 3,720.00 Capital stock paid in. $75, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding.... 20, 000.00 7, 830.19 44,400. 00 Dividends, unpaid Individual deposits United States deposits Deposits oiU.S.disbursing officers. 91, 312.59 Due to other national banks Due to State banks and bankers.. 8,030.26 977. 21 Notes and bills re-discounted. Bills payable 2,250. 00 Total. 247, 550.25 247, 550. 25 Citizens' National Bank, Ashland. WILLIAM H. HEATON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hoose,furniture,andiixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds > Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. N o . 2280. GEO. H. HELFRICH, Cashier. $218, 979.29 Capital stock paid in. '15,000.00 Surplus fund Undivided profits . 45, 000. 00 9, 309.79 National-bank notes 01ftstanding.. State-bank notes outstanding . . . 13, 500. 00 89, 608. 80 97,903.13 16, 598. 39 11, 401.09 9,000.00 $60, 000. 00 Dividends unpaid ,. 125.00 Individual deposits 998." 50" United States deposits 3,139.58 Deposits of U.S.disbursing officers 1,432.64 Due to othrr national banks 3,700.00 Due to State banks and banker.-*.. 196.95 32, 048.82 Notes and bills re-discounted. 19, 923. 00 Bills payable 334, 361. 90 57,187.02 1,061.48 675.00 520, 605.19 Total . 520, 605.19 First National Bank, Athens. N. C. HARRIS, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. ^. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total . No. 1094. $235,042.61 2,964.06 25, 000. 00 10, 350. 00 15, 229. 62 3, 358. 20 957.15 15, 200. 00 18.000.00 1, 091.45 575.00 32.07 18,110.00 6, 034.00 CIIAS. T. HULL, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits . 50, 000. 00 4, 590.49 National-bank notos out standing. State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 175.763.20 Due to other national banks Due to State banks and bankers . 43. 54 171. 93 Notes and bills re-discounted . Bills payable 1,125.00 353, 069.16 Total . 353,069.16 REPORT OF THE COMPTROLLER OF THE CURRENCY. 337 PENNSYLVANIA. First National Bank, Bangor. JACOB E. LONG, President N o . 2659. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks ! Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $248, 749.72 2,157.1)2 30, 000. 00 23, 055. 87 10,473.21 5, 753. 00 1, 000. 00 l,6L0.48 7, 200. 00 40.00 1,470.00 4.26 4, 283. 60 9, 915.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankars Notes and bills re-discounted . Bills payable $120, 000. 00 8, 500.00 10, 556. 82 27,000. 00 246. 00 165,031.93 15, 600.97 l'-JO. 44 1, 350. 00 Total. 347,062.16 Total. A. W. PAPP, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 347,0G2.16 First National Bank, Beaver. E. B. DAUGHEUTT, President. Loans and discounts Overdrafts D. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks. .. Due from State banks and bankers Bank'g-house,furnitur»,»ndfljttures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total. N o . 3850. $192,828.61 66.58 12,500.00 21,946.21 3, 538.15 106. 66 1, 000.00 739.67* 1, 820. 00 252. 00 1, 070. 00 192. 03 3, 931. 00 5, 429.00 EDWARD J . ALLISON, Cashier. Capital stock paid in. Surplus fund , Undivided profits.. National-banknotes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits ot'U.S.disbursing officers. $50,000. 00 4, 000. 00 3, 067. 52 11, 250. 0« 177, 667. 89 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 562.50 245, 985. 41 Total . 245, 985.41 First National Bank, Beaver Falls. No. 3356. HENRY HICE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furnit u re, andfixtu res Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for ctearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Ex. 3 2 $164,233.07 """i'0.' 66 12, 654.07 120. 00 726.15 526. 04 220.46 9,757.00 765.00 J . T. RKKVES, Cashier. Uapital stock paid in Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. $50, 000.00 1, 565. 07 2, 754.41 11, 250.00 203. 00 127, 702.14 3, 538.15 6, 918.23 Notes and bills re-discounted Bills payable 562. 50 203,931.10 Total 203,931.10 338 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Bedford. No. 3089. EDWARD F . KERR, President. L. I*. DOTY. Cashier'. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits.. • U. S. bonds on hand Stocks, securities, judgments, etc ..[ Due from approved reserve agents ! Due from other national hanks . . . j Due from State hanks and hankers i Bank'g-house,furnituiv,and ti xt un\s Other real estate and mortal's owned Current expenses and taxes paid. Premiums on U. S. houds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S D ue from Treasurer U. S Total. Liabilities. $194, 288. 67 Capital stock paid in 1*4.44 100,000.00 ! Surplus fund j Undivided profits...* $100, 000 .00 2") nnn no .70 10,000.00 I National-bank not<'s outstanding.. 50, (J8H. f 6 | State-bank notes outstanding > l , 4=r><>. 2«» I 15, (itio. 21 I D i v i d e n d s u n p a i d i , O o ;; ;; : .....' Individual deposits 2/JH1.44 j United States deposits ; 24, < 00. 00 I Depositsof U.S.diaburMingollicers : 2,9:58.14 ; j i ' Due to other national banks ' 45.00 j Due to State banks and bankers.. 90.54 i| 10, 6'{3. 55 | Notes and bills re-discounted . . 931.00 Billspayable 9J. iHO. 00. 179, 170. tiC 21,470. "i9 3u8. 71 4, 500. 00 Total. 424, 865. 75 424, 8G5.75 First National Bank, Bellefonte. No. 459. EDWARD C. HUMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items E xchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. $540, 742. 85 3, 220. 44 25, 000. 00 16, 795. 00 16, 229.46 7,166. 61 27, 004.02 399.95 1, 6:>0. 00 2, 524. 58 202. 00 189. 22 34,814.00 12,120. 00 JNO. P . HARRIS, Cashier, $100, 000.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding State-bank notes outstanding... 50, 000.00 24, 627. 96 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers . 443, 733. 66 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 48,114.49 267. 02 1,125.00 Total., 689, 243.13 689, 243.13 First National Bank, Berwick. M. W. JACKSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc ..j Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Dae from Treasurer TJ. S Total. No. 568. $247, 254. 80 1,219.96 30, 000. 00 14, 679. 72 21,064.61 5, 942.02 1, 374. 31 1, 500. 00 889. 51 4, OOi). 00 9fiO. 00 169. 77 15, 1S3.30 2,115. 00 S. C. JAYNE, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $75, 000.00 45, 000. 00 5, 986. 90 27, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 177, 663, 81 Due to other national banks Due to State banks and bankers .. 12,444. 95 4, 607.34 Notes and bills re-discounted . Billspayable 1, 350. 00 347,703.00 I Total. 347, 703.00 KEPORT OF THE COMPTROLLER OP THE CURRENCY. 339 PENNSYLVANIA, Berwyn National Bank, Berwyn. JOSEPH VV. SHAKP, President. No. 3945. J. COMLY HALL, Cashier. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Duo from other national banks Dae from State banks and bankers Bank'g-bouse, furniture, and fixture? Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Troaa. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $77, 315.68 2.81 12,500.00 18,163. 76 1,184.38 80.92 7,304.40 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding. . State-bank notes outstanding .. $50,000.00 2,012.45 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 54, 287.00 529.33 3, 400. 00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 10,520.83 125. 00 38.70 5, 237. 80 1,625. 00 562. 50 Total. 128, 070.28 128,070.28 First National Bank, Bethlehem. GrEOKGE H . MYERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C. E. BREDER, Cashier. No. 138. $574, 649.03 1, 260.23 50, 000. 00 54, 250. 00 33, 814. 45 35, 058.34 3,107. 24 26, 000.00 4, 889. 72 11,5uO. 00 5, 763.15 2, 835. 00 313.52 34, 297. 00 23, 707.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $300, 000.00 26,000.00 39, 388.13 45, 000. 00 44.00 Dividends u n p a i d . Individual deposits . . p 450,947.60 United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers .. 309. 51 2,005.44 Notes and bills re-discounta*. Bills payable 2, 250. 00 Total. 863,694. 68 863,694.68 Lehigh Valley National Bank, Bethlehem. ROBERT P. LINDERMAN, President. Loans and discounts | Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Baiik'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from TreasurerU. S Total GrEO. A. R E E D , Cashier. No. 2050. $788, 315.74 4, 448. 76 50, 000. 00 99, 500.00 29, 881. 58 8,893.23 60," 724. 52 15, 290.09 4,592.26 10, 000. 00 1, 847. 01 13, 200.00 240. 85 40, 936.90 54,475. 00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $300,000.00 100,000.00 91,655.21 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits©!'U. S.disbursing officers. 547, 353.80 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 30,759.14 1, 264.47 68, 563. 32 2, 250. 00 1,184,595.94 Total. 1,184,595.04 340 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Birdsborough. No. 3905. EDWARD BROOKE, President. W M . LINCOLN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Dae from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due fromTreasurer TJ. S Total Liabilities. $122,372.58 12,500.00 31,745.11 1,371.48 1,069.45 927. 37 3,406.25 776.16 200. 00 73.32 8, 048. 95 420.00 $50,000. 00 Capital stock paid in Surplus fund Undivided profits 25, 000. 00 4, 599. 66 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid 21.00 Individual deposits United States deposits Deposits of U. S. disbursin g officers. 91, 557. 28 Due to other national banks Due to State banks and bankers . . 1, 045.23 Notes and bills re-discounted Bills payable 562.50 Total 383,473.17 183,473.17 First National Bank, Blairsville. P A U L GRAFF, President. Loans and discounts Overdrafts U. §. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Kedemption fund with Treas. U. S Due from Treasurer U. S Total. T. D. CUNNINGHAM, Cashier. No. 867. $208,620.14 Capital stock paid in . $80, 000.00 539.28 60,000.00 Surplus fund 37, 500. 00 6, 596.17 Undivided profits 28,171.84 11,258.95 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 7, 000.00 "i*523."9i' 53, 443. 00 315. 00 Individual deposits United States deposits Depositsof U. S. disbursing officers. 354,501.42 344.39 Due to other national banks 2, 296. C Due to State banks and bankers . O 33.58 1,137.50 Notes and bills re-discounted . 8, 730. 00 Bills payable 2,700.00 332, 355.59 Total. 332, 355. 59 First National Bank, Bloomsburgh. I . W. MCKBLOY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, Judgments, etc.. Due from approved reserve agents Due from other national banks ... Due from State banks and bankers Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S. Due from Treasurer TJ. S Total. No. 293. $226, 876.60 156.77 50,000.00 87, 535.00 46, 845.81 19, 293.10 896.88 1,661.40 "484." 88 117.00 8,500.00 8,274.00 J. P. TUSTIN, Cashier. Capital stock paid in $50,000.00 Surplus fund Undivided profits 65, 000.00 15, 275.24 National-bank notes outstanding.. State-bank notes outstanding 44,080.00 Dividends unpaid Individual deposits.. United States deposits . . . *. Depositsof U.S.disbursingofncers Due to other national banks Due to State banks and bankers . . 239,436.10 38, 804. 73 295. 37 Notes and bills re-discounted . Bills payable 2, 250.00 452, 891. 44 Total. 452,891.44 REPORT OF THE COMPTROLLER OF THE CURRENCY. 3 4 1 PENNSYLVANIA. Farmers' National Bank, Boyertown. T. J . B. RHOADS, President N o . 2900. M. L. HARTMAN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts O. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on baud Stocks,securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house, furniture, and fixture? Other real estate and moitg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ.I5. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $190, 879.60 135. 52 12, 5U0. 00 13, 226. 77 1,257. 55 654. 02 9, 845.00 1,403.34 2, 500.00 43.27 20. 00 65.40 6, 637.45 4, 445. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding State-bank notes outstanding Dividends unpaid . $50, 000. 00 21, 000.00 3, 346.28 11, 250.00 804.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 144, 897.46 Due to otber national banks Due to State banks and bankers .. 7, 241. 93 Notes and bills re-discounted . Bills payable 5, 635. 75 562.50 244,175.42 Total. 244,175.4=2 National Bank, Boyertown. DANIEL L. RHOADS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-housb,furniture,and fixtures Other real estate and luortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . MILTON A. MOXY, Cashier. No. 2137. $359, 994.14 Capital stock paid in. $100,000.00 767.49 100, 000. 00 Surplus fund 45, 000.00 9, 247.19 Undivided profits 30, 862. 00 27, 837. 52 56.52 8, 600. 00 4, 073. 45 2.716.01 6, 000. 00 333.05 380. 00 173. 36 20, 500.31 2, 604. 00 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 88, 900. 00 1, 080.00 324, 070.66 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 3,400. 00 568, 297.85 Total. 568, 297.85 First National Bank, Braddock. JESSE H . LIPPINCOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortal's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2799. "W. H. WATT, Cashier. $218, 759. 57 Capital stock paid in $75, 000.00 81.99 19, 000.00 Surplus fund 6, 500.00 5, 680.62 Undivided profits 8, 000.00 National-bank notes outstanding. 17,100. 00 18, 999.11 State-bank notes outstanding Dividends unpaid 3, 700. 00 10,000. 00 3, 346. 68 3, 750.00 401. 41 Tnd ividual deposits United States deposits Deposits of U. S. disbursing officers. 380. 00 122. 79 11, 749. 00 5,350. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 25.00 199, 872. 63 317.30 855.00 304, 495. 55 Total. 304,495.55 342 REPORT OF THE COMPTROLLER OF TPIE CURRENCY. P E N N S Y L V A N I A . Braddock National Bank, Braddock. No. 2828. R. E. STEWART, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved, reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid..Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. G. KELLY, Cashier. Liabilities. $572,464. 37 Capital stock paid in 1,844. 3 L 25, 000. 00 Surplus fund Undivided profits 25, 000.00 National-bank notes outstanding.. | 49, 589.87 State-bank notes outstanding .. 12,000.05 19, 000. 00 3, 833. 78 250.00 837.59 655. 00 204.40 16, 389.70 26,801.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. $100, 000. 00 55, 000. 00 10,432.59 22, POO. 00 15.00 567, C47. 48 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125. 00 754,995. 07 754, 995.07 Total . First National Bank. Bradford. F. W. DAVl8,*President. No. 2470. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duefrom State banks and bankers . Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid ... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $383, 561.30 1, 667. 57 37, 500. 00 29,000.00 68, 879.36 57, 290. 91 5, 971. 68 1, 500. 00 W. W. BELL, Cashier. Capital stock paid in. $150, 000. 00 Surplus fund Undivided profits 30, 000. 00 56, 619. 70 National-bank notes outstanding.. State-bank notes outstanding 33, 750. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 550, 306. 34 Due to other national banks 59.50 Due to State banks and bankers .. 3, 363. 35 Notes and bills re-discounted . 42, 300. 00 Bills payable 8,287.00 16, 742. 30 3,818.57 9, 000. 00 105. 60 1, 687. 50 845, 705. 34 845, 705. 34 Total . Bradford National Bank, Bradford. O. F . SCHONBLOM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums OQ U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total S. T. KENNEDY, Cashier. No. 2428. $884, 578. 56 12, 026. 24 50, 000.00 100, 000. 00 1,000.00 200, 617. 41 35,115.65 107, 207.83 15, 000.00 5. 039. 24 3, 500. 00 2, 230. 03 1, 987. 00 432.21 57,800.00 31,550.00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $200, 000. 00 40, 000. 00 97, 296. 98 35,150. 00 1,004,293.58 100, 000. 00 34,193.61 2, 250. 00 600.00 1,510,934.17 Total . 1,510,934.17 REPORT OF THE COMPTROLLER OP THE CURRENCY. 343 P B 1 V N S T I. V A N I A . Farmers' National Bank of Bucks County, Bristol. PIERSON MITCHELL, President. No. 717. CHAS. E. SCOTT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on band •Stocks, securities, judgments, e t c . . Dae from approved reserve agents. Duo from other national banks I Due from State banks and bankers J Bank'g-house, furniture, and fixtures j Other real estate and niortg's owned< Current expenses and taxes paid .. | Premiums on U. S. bonds i C iiecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. $390,628- 65 40, 000. 00 78, 541.94 26,239.12 3, 244. 34 Capital stock paid i n . $92,220.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 93, 000.00 17,846.47 29, 500. 00 346.80 9, 500.00 Individual deposits "2," 807.'72' United States deposits Deposits of U. S. disbursing officers 3,187.91 Due to other national banks 652, 00 Due to State banks and bankers . . 100. 71 14,242. 00 Notes and bills re-discounted . 15,000.00 Bills payable 350, 880.97 150.15 1, 800. 00 Total., 585,944.39 585, 944. 39 Jefferson County National Bank, Brookville. J . B, HEXDERSOX, President. No. 2392. Loans and discounts . Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, e t c . . Due from approved reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g house, furniture,andfixtures! Other roal estate and mortg's owned C urrent expenses and taxes paid.., Premiums on II. S. bonds C iiecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. GEORGE T. ROGERS, Cashier. $176,154.93 I Capital stock paid i n . 1,406. G O 50,000. 00 47, 350.00 23, 300. 00 155, 816. 70 4,981.98 3, 684. 52 1, 864. 44 1,130.71 $50, 000.00 Surplus fund Undivided profits. 23, 000.00 6, 536.70 National-bank notes outstanding.. State-bank notes outstanding 42,647.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 381, 822.13 833.31 820. 00 223. 87 33, 059. 40 5, 710.00 Duo to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 4, 670. 63 2,250.00 508, 676. 46 508, 676. 46 Total. National Bank, Brookville. E. U. DARRAH, President. Loans and discounts Overdrafts U . S . bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j judgments, etc. J Due from approved reserve agents | Due from other national banks ... .\ Due from State banks and bankers j Ban kg-liouse,furniture,and fixtures! Other real estate and mortg's owned;. Current expenses and taxes paid..- j Premiums on U. S. bonds I Checks and other cash items : Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Legal-tender notes. U . S . certificates of deposit es Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3051. $140,534.74 Capital stock paid in 170. 97 20, 000.00 Surplus fund Undivided profits 500. 00 56,107. 06 2, 829.85 4, 008. 20 1, 515. 00 B. M . M A R L I X , Cashier. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits 95*1.'i 5" United States deposits 1, 700. 00 Deposits of U. S. disbursing ofiicers. $50, 000.00 11,000.00 5,183. 20 18,000.00 6.00 161,905.23 1, 851.29 510. 00 82. 70 2, 871. 75 13,580.00 Due to other national banks Due to State banks and bankers . . 1,826.36 191.92 Notes and bills re-discounted Bills payable 900, 00 248,112. 71 Total 248,112.71 344 REPORT OF THE COMPTROLLER OF THE CURRENCY. Second National Bank, Brownsville. JOSEPH T. ROGERS, President No. 2673. W M . PARKHILL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bahk'g-house,furniture,andflxtures Other real estate and mortg'rf owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Liabilities. $196,846.01 1, 920.51 25, 000.00 600.66 8,130.34 10, 296.00 10, 806.00 226. 64 5, 000. 00 50.00 Capital stock paid in 26, 000.00 3, 837.18 National-bank notes outstanding. State-bank notes outstanding..... 22, 500. 00 295. 50 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks 518. 00 Due to State banks and bankers . 347. 92 9, 631. 00 Notes and bills re-discounted 1, 805. 00 Bills payable 92, 437.87 247.88 26, 983.99 1,125.00 272, 302.42 Total $100,000.00 Surplus fund Undivided profits Total 272,302.42 Monongahela National Bank, Brownsville. GIBSON BINNS, President. No. 648. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furnitui e, aadfixtures Other real estate and mortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $263,590.04 1, 547.49 100,000.00 5, 000.00 33,967.56 194. 44 22. 81 36, 600.00 3, 500. 00 431.55 10, 000. 00 1,147. 00 24.03 11,922.00 4, 725.00 W. A. EDMISTON, Cashier. Capital stock paid in. $200,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State bank notes outstanding Dividends unpaid 50, 000. 00 4, 022. 58 90, 000. 00 2, 200. 36 Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 124, 368. 29 5, 469.15 1, 111. 54 4,500.00 477.171.92 Total. 477,171.92 National Deposit Bank, Brownsville. JOSEIJH S. ELLIOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to securo deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. O. K. TAYLOR, Cashier. No. 2457. $205, 497. 32 310.57 50,000.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. 33, 050.60 State-bank notes outstanding 4, 652. 08 1, 571. 30 Dividends unpaid. 750.00 Individual deposits 816. 34 United States deposits Deposits of U. S. disbursing officers. *i,'i69*64 Due to other national banks 644.00 Due to State banks and bankers . . 134.75 9,866.85 Notes and bills re-discounted . 2,320.00 Bills payable $50,000. 00 40, 000.00 5, 392.61 45,000. 00 400.00 170, 977. 78 1,202.46 2,250.00 312,972.85 Total. 312,972.85 REPORT OF THE COMPTROLLER OF THE CURRENCY, 3 4 5 PENNSYLVANIA. Bryn Mawr National Bank, Bryn Mawr. HAMILTON EGBERT, President. No. 3766. A. A. CADWALLADER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XT. S bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer U. S Total Liabilities. $162.362. 40 12, 500. 00 23,143.02 566.62 2, 666.40 2, 000. 00 $50, 000.00 Capital stock paid in 5, 000.00 5,426. 85 Surplus fund Undivided profits National-bank notesoutstanding State-bank notes outstanding 10,730. 00 10.00 Dividends unpaid 9,406.96 2, 770.00 149,135.03 Due to other national banks Due to State banks and bankers.. 1,151.82 3,000. 00 173.16 Individual deposits United States deposits Deposits of U.S. disbursing officers. 1.00 Notes and bills re-discounted Bills payable 562.50 220,302.88 220, 302.88 Total Burgettstown National Bank, Burgettstown. A. H. KERR, President. No. 2408. Loans and discounts Overdrafts . . . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand . . . . Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hou8e,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $231,384.50 J. L. PATTERSON, Cashier. Capital stock paid in $80,000. 00 80,000.00 Surplus fund Undivided profits 30, 000. 00 7, 589. 88 5,100.00 30, 450. 69 National-bank notes outstanding.. State-bank notes outstanding 72,000.00 Dividends unpaid 4, 303. 74 800.00 Individual deposits 1,180. 31 United States deposits Deposits of U.S. disbursing officers. 660. 00 28.16 5,750. 00 5,000.00 84.00 178,583. 52 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted 3, 600.00 368, 257. 40 Total 368, 257.40 First National Bank, Canton. DANIEL INNES, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgment?, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national Danks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. GKO. A. GUERNSEY, Cashier. No. 2505. $105,950. 51 Capital stock paid in. $50,000.00 3,844. 78 13,000.00 Surplus fund 18,500.00 2. 742.92 Undivided profits. 26,161.89 National-bank notes outstanding-. 11, 700. 00 30, 381.17 State-bank notes outstanding 991.38 534. 70 Dividends unpaid. 889. 45 Individual deposits 111,856.69 716.94 United States deposits 777.45 Deposits of U. S. disbursing officers. 337. 91 Due to other national banks 1,057.03 115. 00 Due to State banks and bankers . 15.46 9,629.00 Notes and bills re-discounted . 1, 926. 00 Bills payable 585.00 195,856.6i Total . 195,856.64 346 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENWSTLTANIA. First National Bank, Carbondale. WILLIAM W. BRONSON, President. JAMES STOTT, Cashier. No. 664. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-houso,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid .. Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S-. - Total . $89,995. 22 448.II 45, 000. 00 Capital stock paid in $110, 000.00 Surplus fund Undivided profits 323,301.53 i National-bank notes outstanding.. 52,189.50 State-bank notes outstanding 16,466.18 Dividends unpaid. 9,000.00 i 17,492.97 Individual deposits United States deposits Deposits of U.S. disbursing officers. 630..51 I 208. 00 38. 62 6,530.00 16,765. 00 Due to other national banks Due to State banks and bankers... 75, 000. 00 10, 009. 87 37, 000. 00 346, 909.98 1,719.44 249.35 Notes and bills re-discounted . Bills payable 2, 025. 00 800. 00 580,888.64 1 Total . 580, 888. 64 National Bank, Catasauqua. M. H. EIORX, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g house, furniture, and fixtures Other Teal estate and mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks . Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. FRANK M. HORN, Cashier. No. 1411. $737, 578. 25 Capital stock paid in . $400, 000. 00 1, 903. 00 150, 000. 00 Surplus fund 100,000. 00 30, 867. 51 Undivided profits. 212, 879.15 National-bank notes outstanding 135, 000. 00 84, 807. 04 State-bank notes outstanding... 3, 204. 53 4. 088. 96 Dividends unpaid. 359.37 22, 875. 00 9, 768.00 Individual deposits 564, 364.87 7, 765. 69 United States deposits 43, 375. 00 Deposits of U.S.disbursing officers. 2, 183.76 705. 62 17, 256. 25 31,104.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 76, 572. 05 19,140. 45 10, 000.00 6, 750.00 1, 336, 304.25 1,336,304.25 Total . National Bank, Chambersburgh. SAMUEL M. LINX, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bankg-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.Is. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total No. 593. J. S. MCILVAINE, Cashier. $586, 764. 53 Capital stock paid in. 509.46 50, 000. 00 urpl Undivided profits 160, 200. 00 90, 742.67 18,950.88 35,918.99 18,000.00 National-bank notes outstanding.. State-bank notes outstanding '. Dividends unpaid. Individual deposits 2, 543. 46 United States deposits 8, 525.00 Deposits of U.S. disbursing officers 21,321.24 Due to other national banks 11,747.00 Due to State banks and bankers. 350. 56 36,855. 50 Notes and bills re-discounted. 4, 520. 00 Bills payable $260.000.00 100, 000.00 13, 806. 59 45, 000.00 1,312.50 620,541.80 8, 538.40 2, 250. 00 1,049,199.29 Total. 1, 049.199.28 UKPOttT OF THE COMPTROLLER OF THE CURRENCY, 347 S* E N r¥ S Y I. V A IV I A . First National Bank, Chester. GEOKOE M. BOOTH, President. Xo. 332. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation..TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items ... Exchanges for cleairing-house .,. Bills of other natioual banks Fractional currency, nickels, cents Specie : , Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total. $369, 926.00 89. 85 25, 000.00 F. R. PALMER, Cashier. Liabilities. Capital stock paid in $100, 000.00 Undivided profits 4, 334. 27 4,345.11 8, 532. 91 39, 736. 83 14,000.00 3, 027.85 1,531.25 2J.248.73 40 000 22 9,580.92 National-bank notes outstanding.. State-bank notes outstanding ... 22, 500.00 Dividends unpaid 470, 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks 3, 213. 00 Due to State banks and bankers .. 118.00 18,355.72 23, 202. 00 348, 712.10 19,524.18 Bills payable 1,125.00 Total 540,787.42 540, 787.42 Chester National Bank, Chester. Xo. 2904. S. A. DYER, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Oiher real estate and mortg's owned C urrent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $691, 294. 72 67.62 50,000. 00 S. H . SEEDS, Cashier. Capital stock paid in. $200,000.00 Surplus fund Undivided profits . 93, 000.00 17, 894.34 77,768.19 59, 214. 60 National-bank notes outstanding. State-bank notes outstanding 44, 250.00 1, 894.13 20, 000. 00 7, 500. 00 4, 88 i. 09 7, 500. 00 28,0 JO. 41 Dividends unpaid 12.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 643, 048.42 Due to other national banks 3,984.00 Due to State banks and bankers .. 85 L. 19 22. 310. 50 Notes and bills re-discounted. 24," 698. 00 Bills payable 3, 954. 86 103. 83 2, 250.00 1, 002, 263.45 Total. 1, 002, 263.45 Delaware County National Bank, Chester. J". H. ROOP, President. No. 355. $1, 072, 852. 93 Loans and discounts 36. 56 Overdrafts 50,000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 40,660 00 Stocks, securities, judgments, etc .. 37, 932. 75 Due from approved reserve agents 4, 945. 60 Due from other national banks Due from State banks and bankers. *50, OOO.OO" Bank'g-house, furniture, and fixtures Other real estate and mortg's owned] 7,337.85 Current expenses and taxes paid... Premiums on U. S. bonds 'i,*55L60' Checks and other cash items Exchanges for clearing-house 831.00 Bills of other national banks 795. 20 Fractional currency, nickels, cents . 55, 086. 00 Specie 18, 000. 00 Legal-tender notes U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total | 1,348,279.49 B. T. HALL, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding . State-bank notes outstanding Dividends nnpaid $300, 000.00 225, 000.00 20,597.41 45,000. 00 2, 070.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 721, 397. 38 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 34, 214.70 Total. 1,348,279.49, 348 REPORT OF THE COMPTROLLER OF THE CURRENCY. National Bank, Christiana. SAMUEL SLOKOM, President I . "W. SLOKOM, Cashier. No. 2849. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer U. S $140,770.20 12,500 00 17,166.28 4,667. 29 1,100.00 142. 70 800.00 355. 00 5.60 9,110, 00 3,149.00 Capital stock paid in 18, 000. 00 4, 649. 33 National-bank notes outstanding.. State-bank notes outstanding 10, 000. 00 Dividends unpaid 340. 00 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 107, 339.24 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 562.50 Total 190, 328.57 Total $50, 000. 00 Surplus fund Undivided profits 190, 328.57 First National Bank, Clarion. Gr. W. ARNOLD, President. F. M. ARNOLD, Cashier. No. 774. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixturos Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from TreasurerU. S Total. $308,287.50 7,174.28 100,000.00 100. 00 9, 700.00 70,432. 80 12,284. 60 367. 62 23, 000. 00 2,942.47 1, 936. 90 8,992.43 1, 787. 30 2,285.00 164.23 53,409. 00 13, 322. 00 Capital stock paid in $100,000.00 Surplus fund Undivided profits 80, 000.00 17,173.38 National-bank notes outstanding. State-bank notes outstanding 72, 690.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 352,191.6 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 4,500.00 1, 368. 94 622,055.07 Total . 622,055.07 Second National Bank, Clarion. A. COOK, President. Loans and discounts O verdrafts v U S. bonds to secure circulation U. S. bonds to secure deposits XT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg'b owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. N. MYERS, Cashier. No. 3044. $192, 686.23 627.94 50,000.00 Capital stock paid in. $50, 000.00 Surplus fund 200.00 Undivided profits. 18, 910. 00 National-bank notes outstanding.. 34, 870 50 State-bank notes outstanding 15,000.00 4,144. 65 5, 717. 00 629.62 Dividends unpaid. 6, 741. 82 800.00 Individual deposits 1,812.04 United States deposits 9, 209. 38 Deposits ofU.S.disbursing officers. 2,115.50 130. 00 116.66 7,122. 35 22,745.00 42, 250. 00 30.00 245, 293. 39 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2, 250.00 25.00 356,718.04 Total. 356,718.04 REPORT OF THE COMPTROLLER OF THE CURRENCY. 349 PENNSYLVANIA. First National Bank, Clearfield. No. 768. JON A. BOYNTON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and tares paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. "WILLIAM H. DELL, Cashier. Liabilities. $233, 852. 34 5,151.17 100, 000.00 3,312. 52 72, 028.78 6, 786.00 600.00 16,100. 00 439. 50 7, 089.78 515.00 100.16 4. 838.25 3, 320.00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. 42, 000. 00 6, 200. 52 90, 000.00 136. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 189,132, 41 Due to other national banks Due to State banks and bankers . . 28,497. 58 4, 266.99 Notes and bills re-discounted. Bills payable 4, 500.00 1, 000. 00 460, 233. 50 460, 233. 50 Total. County National Bank, Clearfield. No. 855. T. H. FORCE Y, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned C urrent expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $544,194. 04 11,158.36 100, 000. 00 12,969.70 133, 057. 90 912.99 6, 236.97 2,132. 65 1, 712.19 4, 409.49 1,451.00 289. 64 19, 882.57 2,128.00 H. B. POWELL, Cashier. Capital stock paid in. Surplus fund , Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $100, 000. 00 95, 000. 00 9, 721. 34 90, 000. 00 180. 00 545, 221.14 4, 622. 39 2,470. 63 4, 500.00 2,180. 00 847, 215. 50 Total.. 847,215. 50 National Bank, Coatesville. SAMUEL GREENWOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's o wned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. N o . 3990. $138,366. 48 25, 000.00 ;0, 403.79 606.10 7,820.21 722.73 6, 753. 75 160. 50 425.00 50.86 3,040. 50 3, 000. 00 M. W. POWNALL, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $100, 000.00 1,000.00 2,207. 24 22,500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing oflicers. 83, 753. 77 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 8, 013. 91 1,125.00 217,474. 92 Total. 217,474.92 350 KEPOKT OF THE COMPTROLLER OF THE CURRENCY. P E N N S Y L V A N I A. National Bank of Chester Valley, Coatesville. WILLIAM MODE, President. No. 575. JOHN W. THOMPSON, Cashier. Eesoarces. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... j Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $356, 924. 24 2,015.72 50, 000. 00 93, 731. 59 57, 575.50 13, 729. 53 12, 900. 00 Capital stock paid in $2C0, 000. 00 Surplus fund Undivided profits 100, 000 00 26, 6 i6. 52 National-bank notes outstanding.. State-bank notes outstanding 44,400.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 233, 3£-0. 16 Due to other national banks 3, 822. 00 Due to State banks and bankers . . 185.10 14, 296. 00 Notes and bills re-discounted . 4, 530. 00 Bills payable 17,107. 63 2,373.10 5, 000. 00 2,101.83 L 250. 00 Total . 621,494. 61 621,494.61 First National Bank, Columbia. No. 371. H U G H M. NORTH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-bouse Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. $573, 632. 97 4, 630.12 50, 000. 00 9, 634. 64 28, 528. 55 16, 995. 94 4,004.81 2, 572.99 2, 000. 00 2,199. 01 1, 574. 00 818. 03 7, 091.00 10, 094. 00 S. S. DETWILER, Cashier. Capital stock paid i n . $200, 600. 00 Surplus fund Undivided profits. 40,000.00 31, 848. 71 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid - 1, 228. 00 Individual deposits United States deposits Deposits of U. S. disbursing ofilcers. 384, 058. 85 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 12, 783. 96 1,109. 57 2, 250. 00 Total . 716, 029.09 716, 029. 09 Central National Bank, Columbia. A. J . KAUFFMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3873. $201,797.26 234. 88 25, 000.00 9, 433. 75 2,960. 79 680. 04 J. H. ZRAMKR, Cashier. Capital stock paid in. $1UO, 00u. 00 Snrplus fund Undivided profits - 10, 000. 00 5, 397. 98 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. 4, 200. 00 997.18 6, 500. 00 421. 46 610. 00 418. 37 5, 778. 50 8, 442. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 126,018.72- Due to other national banks Due to State banks and bankers... 4, 589, 29 71-'}. 24 Notes and bills re-discounted. Bills payable 1,125.00 j G20.00 j 269,219.113 Total . 2G9, 219. 23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 3 5 1 PENNSYLVANIA. Columbia National Bank, Columbia. JAMES A. MEYERS, President. No. 641. JOSEPH JANSON, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Duo from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on D". S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specio Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. Liabilities. $887,430.22 257.46 50, 000.00 50,465. 00 41,921.58 34,780.95 1)21. 25 60, 000. 00 2, 912. 17 l:*, 000. 00 3, 058.07 Capital stock paid in | Surplus fund Undivided profits 150,000.00 15, 502. 71 National-bank notes outstanding. State-bank notes outstanding 45, 000.00 3,324.00 Dividends unpaid. 475,762.18 Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks 10, 816. 00 580.76 25,400.00 30, 600.00 $500,000.00 39, 545.26 259. 31 Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 2, 250.00 1,229,393.46 Total j 1,229,393.46 First National Bank, Conneautville. E. L. LITCHFIELD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specio Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 143. J. C.STUIITEVANT, Cashier. Capital stock paid in. 7,394.71 21,635.31 6,500.00 6, 500. 00 ],453. 36 * "532 "si" 1, 7.38. 00 100.01 3, 650. 00 4, 500. 00 * $50, 000.00 Surplus fund p Undiv divided profits. National-bank notes outstanding.. State-bank notes outstanding 6, 500. 00 5, 290. 95 33, 300. 00 Dividends unpaid 6.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 96, 202. 52 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 968. 83 1, 665. 00 Total . 192,268.30 192, 268.30 First National Bank, Connellsville. J O H N D. FIUSBEE, President. No. 2329. Loans and di>counts ! Overdrafts : U. S. bonds to secure circulation . . j U. S. bonds to secure deposits U. S. bonds on hand ; $276,211.32 623. 63 12, 500.00 Stocks, securities,judgments, etc ..j Due from approved reserve agents 1 Due from other national banks ! Duo from State banks and bankers.; Bank'ghouee, furniture, andfixtures; Other real estate and mortg's owned Current expenses and taxes paid.. .i Premiums on U. S. bonds j Checks and other cash items ! Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specio ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas, U. S. Due from Treasurer U. S 52, 661.39 22,350.34 21, 267. 08 6, 753.80 5,212.21 Total. 2*866.00 2, 805. 60 2, 962. 00 1, 391.85 4,698.00 893. 88 36, 322. 25 17, 231. 00 J . M. KUIITZ, Cashier. Capital stock paid in Surplus fund V ndi vided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable | $50,000.00 50,000. 00 16, 972. 3 i 6, 550. 00 545. 00 342, 697. 78 481. 73 562. 50 467,240.85 ! Total. 467,246.85 352 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSTLVANIA. First National Bank, Conshohocken. EVAN D. JONES, President. No. 2078. W. MCDERMOTT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ, S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. $392,803.81 4o,"666."6o 20,176.46 16, 000. 00 Capital stock paid in I Surplus fund Undivided profits. National-bank notes outstanding State-bank notes outstanding . . . $150, 000. 00 70, 000. 00 l-_\ 046. 67 36, 000. 00 Dividends unpaid 3,071.78 10, 000. 00 Individual deposits United States deposits .... Deposits of U.S. disbursing officers 16, 314. C O 887.68 27,391. 50 5, 000.00 265, 398.56 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1, 800. 00 533,445.23 Total . 533,445. 23 Tradesmen's National Bank, Conshohocken. JOHN WOOD, President. No. 2671. Loans and discounts Overdrafts „ U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bondsonhand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other reabestateand mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S $160,898.88 50, 665.*00* 7, 792. 68 4, 628. 01 163.63 11,632.45 16, 500.00 2,214.53 4,000.00 232.00 500. 00 250.33 3,132.48 6,460.00 $100,000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Divideads unpaid 9, 000. 00 4, 059. 98 45, 000. 00 75.00 Individual deposits United States deposits Deposits of U. S. disbursing officers 99, 987. 51 Due to other national banks Due to State banks and bankers .. 4, 232. 50 Notes and bills re-discounted . Bills payable '97666." 66 950,00 271, 354.99 Total. WM. HENRY CRESSON, Cashier. Capital stock paid in. Total . 271, 354. 99 Corry National Bank, Corry. T. A. ALLEN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. No. 569. $368,400.57 6, 928.46 100, 000. 00 3,823.56 68,432.01 61,415.44 8,165.44 18,000. 00 2,414.30 21, 000.00 9,998. 56 6, 838.00 287.15 47, 626.35 19,112.00 C. G. HARMON, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits 15,000. 00 5, 194. 90 National-bank notes outstanding.. State-bank notes outstanding 90, 000. 00 Dividends unpaid 2, 600. 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 527, 895. 23 Due to other national banks Due to State banks and bankers . . 9, 935. 21 Notes and bills re-discounted. Bills payable 4, 500. 00 3, 684.00 750, 625.84 Total . 750, 625. 84 REPORT OF THE COMPTROLLER OF THE CURRENCY. 353 PENNSYLVANIA, First National Bank, Danville. No. 325. D. M. BOTD, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits. -. U.S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid .. Premiums on U. St bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in $448,691.09 | """so.'ooo.'oo" Surplus fund Undivi(ded profits. i 24, 500. 00 National-bank notes outstanding 138,518. 97 State-bank notes outstanding 58, 284. 68 14,468.28 8, 600.00 3, 695.28 5, 234. 00 1,102.43 Dividends unpaid $150, 000.00 90,000.00 21, 682.54 44,110.00 992. 00 Individual deposits United States deposits Deposits ofU. S. disbursing officers Due to other national barks 4, 221. 00 Due to State banks and bankers.. 161.92 33, 927.00 Notes and bills re-discounted. 7, 964.00 I Bills payable 471,438.67 20, 777.41 2, 618. 03 2,250. 00 801, 618.65 Total.. B. B. GEABHABT, Cashier. Liabilities. Total. 801, 618.65 Danville National Bank, Danville. EDWARD H. BALDY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate andmortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1078. $481,225.37 "56,660.66 6,000. 00 82,127. 65 22,289.05 7,276.94 25, 000. 00 2,429.47 2, 000. 00 7, 347.00 295. 55 33,400. 00 12,000.00 D. CLABK, Cashier. Capital stock paid in. Surplus fund Undivided profits . . . National-bank notes outstanding.. State-bank notes outstanding $200,000.00 100,000.00 16, 876.05 44, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. !30, 241. 63 Due to other national banks Due to State banks and bankers.. 36, 725.98 4, 073. 37 1, 224.00 Notes and bills re-discounted . Bills payable 2, 250.00 733, 641. 03 Total. 733, 641. 03 Dillsburg National Bank, Dillsburgh. J O S E P H DEAUDOBFP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. U. Ex. 3- -23 G. W. COOK, Cashier. No. 2397. $124, 266. 92 322.30 15,000.00 Capital stock paid in. Surplus fund Undivided profits. 1, 246.50 National-bank notes outstanding. 4, 826. 76 State-bank notes outstanding $60,000.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 87,272.38 5,325.00 3,360.14 13,500. 00 139. 05 436. 01 Dividends unpaid . 7, 750. 00 Due to other national banks 1,400. 00 111.06 Due to State banks and bankers. 9, 624. 50 Notes and bills re-discounted. 3, 775. 00 Bills payable 6,000.00 675.00 ; 175,466.52 '• Total. 175,466. 52 354 REPORT OF THE COMPTROLLER OF THE CURRENCY. Downingtown National Bank, Dowiiingtown. J o s . E . DOWNING, President. No. 661. THOMAS W. DOWNING, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U S. bonds to secure circulation... % U. S. bonds to secure deposits TJ. S. bonds on band Stocks, securities, judgments, etc.. Due from approved reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $172, 597.51 30.96 25, 000. 00 Capital stock paid in. &100, 000. 00 Surplus fund Undivided profits 20,000.00 13, 587. 3D 55, 680. 00 National-bank notes outstanding.. 13, 437. 62 State-bank notes outstanding 1, G27. 00 Dividends unpaid 5, 775.09 Individual deposits 1,210.64 United States deposits 3,408. 00 Depositsof U. S. disbursing officers 2,396.73 Duo to other national banks 620. 00 Due to State banks and bankers . 38. 55 8,712.00 Notes and bills re-discounted . 4, 855. 00 Bills payable 22, 500. 00 45.00 126, 042. 65 14, 339. 06 1,125. 00 296,514.10 Total 296, 514.10 Doylestown National Bank, Doylestown. HENRY LEAR, President. No. 573. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.Due from approved reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. ». certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $734, 487.11 500.00 27, 000. 00 75,187.50 10, 739.15 44, 039. 60 2, 902. 01 5,000.00 3, 238. 86 JNO. J. BROCK, Cashier. Capital stock paid in $105,000.00 Surplus fund Undivided profits 105, 000. 00 26,137. G9 National-bank notes outstanding.. State-bank notes outstanding •24, 300. 00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers. .1, 330. 00 698, 238. 77 3, 083.22 2, 975.00 174. 00 38, 600. 00 24, 000. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 13,134. 99 1, 215.00 973,141.45 Total . 973,141. 45 First National Bank, Easton. E. F. STEWART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agentsD ue from other national banks Due from State banks and bankers. liank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national Danks Fractional currency, nickels, ceats . Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total JNO. F . GWINNEB, Cashier. No. 1171. Capital stock paid in. $400,000.00 $959, 604. 96 778.16 50, 000.00 31,672.23 120, 560.00 82,400.94 2, 080. 38 23, 428. 73 4,162. 50 6, 015.16 9, 000.00 6, 557. 06 6,051. 00 900.49 60, 877.50 34, 684.00 Surplus fund Undivided profits 80, 00(t. 00 62, 026. 70 National-bank notes outstanding. State-bank notes outstanding 45, 000. 00 Dividends unpaid 2,264. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 665, 526. 43 Due to other national banks Due to State banks and bankers 146, 205.98 Notes and bills re-discounted. Bills payable 2,250.00 1,401,023.11 Total 1,401,023.11 REPORT OF THE COMPTROLLER OF THE CURRENCY. 355 Eastern National Bank, Easton. JAMES W. LONG, President No. 1233. WM. HACKETT, J R . , Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Due from other national banks Duo from State banks and bankers Ban Li'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Cheeks and other cash items E x.changes for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S D;ie from Treasurer U. S Total .. Liabilities. $1,281,956.30 ; Capital stock paid in. 1,623.17 i 50, 000. 00 \ Surplus fund Undivided profits. 75,994.82 ! National-bank notes outstanding.. 25, 639. 59 ' State-bank notes outstanding 75, 059. 59 1L,749. 80 Dividends unpaid 34, 297. 28 Individual deposits 6, 317. 71 United States deposits | Deposits of U.S. disbursing officers. 23,269.80 Due to other national banks 6, 555. 00 ; Due to State banks and bankers .. 900.00 ! 45,639.58 | Notes and bills re-discounted. 132,364.00 Bills payable $500,000. 00 100,000. 00 126, 586. 22 45, 000. 00 3, 529.00 875, 689.53 122, 240. 84 573. 05 2, 250. 00 1,773,618.64 [ Total . 1,773, 618.64 Northampton County National Bank, Easton. THOMAS T. MTLLEK, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments,etc.. Duo from approved reserve agents. Due from other national banks Duo from State banks and bankers, tian&'g-hoase,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2385. $397,117.77 2, 447. 07 84,000.00 7, 957.19 14, 057.72 6,853.42 17, 000.00 E. J. RICHARDS, Cashier. Capital stock paid in. $134, 000. 00 Surplus fund Undivided profits. 25, 000. 00 6, 666. 20 National-bank notes outstanding.. State-bank notes outstanding 75, 600.00 Dividends unpaid 667.80 Individual deposits United States deposits Deposits of U. S. disbursing officers. 335, 591.06 Due to other national banks 1, 755.00 Due to State banks and bankers . . 241. 96 12, 917.75 Notes and bills re-discounted . 10, 306. 00 Bills payable 5,859.87 1, 661.60 10,000.00 13, 289.45 3,780.00 583, 384. 93 Total . 583, 384. 93 East Stroudsburg National Bank, East Stroudsburgh. MILTON YELTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents . Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4011. L. H. NICHOLAS, Cashier. $77, 787. 74 Capital stock paid in. '"127566." 65" Surplus fund Undivided profits 2,900.00 i National-bank notes outstanding.. 22,209.23 ' State-bank notes outstanding 3,172.30 Dividends unpaid 4,450.00 i Individual deposits 929.80 i United States deposits 3,593.75 i Deposits of U. S. disbursing officers. 369.69 Due to other national banks 505.00 Due to State banks and bankers . . 4.49 1, 567.80 Notes and bills re-discounted. 2,015.00 Bills payable $45, 000.00 2, 356. 71 8,995.00 75, 552, 70 662. 83 562. 50 132, 567. 30 Total . 132, 567.30 356 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Elizabethtown National Bank, Elizabethtown. AARON DISSINGER, President. No. 3335. I. S. LOKGEXBCIUSR, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furaiture,andfixture8 Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. Liabilities. $201,966.32 100.10 25,000.00 15, 005. 02 212.00 767. 88 7, 915.00 675.31 2, 000. 00 117. 76 280. 00 28.88 4,158.75 7,240. 00 Capital stock paid in . $100,000.00 Surplus fond Undivided profits National-bank notes outstanding . State-bank notes outstanding 16,500.00 5,371.26 22,500.00 Dividends unpaid. Individual deposits United States deposits DepositsofU. S. disbursing officers - 109, 085. 89 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable , 8, 634.87 4, 500.00 1,125. 00 266, 592. 02 Total. 266,592.02 First National Bank, Emporium. No. 3255. G. A. WALKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,fnrniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. $157,517.00 397.75 12, 500.00 S. H. STORRS, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 526. 04 11,224.24 137.10 6.01 Dividends unpaid 7, 963. 73 Individual deposits 914. 95 United States deposits 2,500.00 Deposits of U.S. disbursing officers 3,040. 00 102.04 10, 863.45 2,400. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 12,500.00 6, 862.50 9, 670. 00 128, 454.53 3,167. 78 562.50 210, 654. 81 Total. 210, 654.81 Ephrata National Bank, Ephrata. WILLIAM Z. SENER, President. Loans and discounts... Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. Bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from otner national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate andtmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 2515. $265,459.07 361.06 32,000.00 42, 229.73 888.90 M. L. WEIDMAN, Cashier. Capital stock paid in. $125,000.00 Surplus fund Undiv Undivided profits 28,000.00 8,830.40 National-bank notes outstanding.. State-bank notes outstanding 28,800.00 Dividends unpaid 13,466.49 9,571.59 Individual deposits 1,826.11 United States deposits 2, 000. 00 Deposits of U. S. disbursing offic 932. 69 Due to other national banks 2,041.00 Due to State banks and bankers .. 227.07 4, 700.00 Notes and bills re-discounted. 6,900. 00 Bills payable 226.00 171, 343.21 20, 327. 28 1, 516. 82 1, 440. 00 384,043.71 Total. 384,043.71 REPORT OF THE COMPTROLLER OF THE CURRENCY. 357 S Y L, T A N I A . PE First National Bank, Erie. "WILLIAM SPENCER, President. J. L. STEBHBERG, Cashier. No. 12. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation.. U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. $811,688.74 9, 280. 53 37,500.00 50, 000. 00 1,100. 00 8,300.00 144, 095.97 78, 503. 56 15, 907. 35 26, 900. 00 Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $150, 000.00 70,000. 00 41, 806. 95 33,750.00 Dividends unpaid. Individual deposits 4, 015. 34 United States deposits 3, 647. 00 Deposits of U.S. disbursing officers 910, 353. 7i 48, 097.02 4,175. 88 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 195.42 3, 228.02 1,439. 00 363. 04 39,169. 00 21, 554. 00 1, 687. 50 Total. 1, 258, 379. 05 1,258, 379.05 Second National Bank, Erie. JOSEPH MCCARTEB, President. C. F . ALLIS, Cashier. No. 606. $1,154,831.97 Loans and discounts 10,595.70 Overdrafts 50,000. 00 U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand 46,995.25 Stocks, securities, judgments, e t c . 202,116. 80 Due from approved reserve agents. 47,301.47 Due from other national banks 1,122. 99 Due from State banks and bankers. 12,132.21 Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... 3,653.48 Premiums on U. S. bonds Checks and other cash items 10,154.26 Exchanges for clearing-house 19,139.00 Bills of other national banks 820.00 Fractional currency, nickels, cents 43, 344.50 Specie 15,000.00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S 1, 619,457. 63 Total. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable Total $300, 000.00 100,000.00 147,164. 98 44, 970.00 404.00 945,088. 75 9, 774.83 745. 66 71, 309. 39 1,619,457.63 Keystone National Bank, Erie. J . F . DOWNING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationaibanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total.. No. $673, 868. 66 15, 290.36 50, 000. 00 50,000.00 860. 00 103,185.98 15,422. 60 8,374. 73 'J4.917.78 51, 309.28 3,437. 03 6, 997.28 1,911.16 9,385.00 36. 25 22,061. 00 20,000.00 J . I. TOWN, Cashier. 535. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding,. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $250, 000. 00 50, 000. 00 27,067.11 45,000. 00 625,065. 93 48, 892. 32 1, 094. 30 22,187.45 2, 250. 00 1, 069, 307.11 Total. 1, 069, 307.11 358 REPORT GF THE COMPTROLLER OF THE CURRENCY. PENNSYLVA1VU. Marine National Bank, Erie. No. 870. F. F. MARSHALL, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-bouse, furniture, and fixtures Otherreal estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer XJ. S Total . C. E. GUNNIBON, Cashier. Liabilities. $345,590.17 470.03 150, 000. 00 226, 910. 59 188, 438. 58 111,651.45 46, 534. 78 3,4L0. 38 6, 809. 07 5, 568.48 3, 000.00 402. 09 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding. Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers Due to other national banks 1, 228. 00 153. 77 Due to State banks and bankers.. 47,853. 62 1 Notes and bills re-discounted 1 10,655.00 Bills payable $150,000.00 98, 000. 00 41, 290. 29 133, 090. 00 728, 089. 49 1, 463.27 3,492. 96 6,750.00 1,155,432.01 Total. 1,155,432.01 First National Bank, Franklin. SAMUEL PLUMEB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on TJ. S. Donds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. F. W. OFFICER, Cashier. No. 189. $100,000.00 Capital stock paid in. 100,000.00 Surplus fund 5,480. 77 Undivided profits 22, 500. 00 159, 500. 00 National-bank notes outstanding.. 69,464 95 State-bank notes outstanding $252,515. 79 57.72 25, 000.00 4, 680.10 9, 046. 04 17,000.00 Dividends unpaid. Individual deposits 1,467. 60 United States deposits 1,000.00 Deposits of U. S. disbursing officers 3, 650. 00 365, 061.86 803.37 18,915.00 30.06 21,087.00 15, 000.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125.00 596,692.63 Total. 596, 692. 63 Gap National Bank, Gap. JOSEPH C. WALKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand. . Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate ana mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonas Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. B. MAURICE HERR, Cashier. No. 2864. $50, 000. 00 Capital stock paid in. Surplus fund 10,000.00 5, 624.69 Undivided profits 12, 330.00 National-bank notes outstanding11, 250. 00 12,587.59 State-bank notes outstanding $107,506.49 22. 54 12,500.00 1,407.99 5, 748.98 1,127.99 1,530.00 75.50 670. 00 2.04 3, 529. 75 3, 3S9.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing ofiicers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 130.00 83, 818.10 2,237.58 562.50 163,060.37 Total. 163,060.37 REPORT OF THE COMPTROLLER OF THE CURRENCY. 359 PENNSYLVANIA. First National Bank, Gettysburgh. GEORGE THORNE, President. No. 311.• SAM'L M. BUSHMAN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation. TJ. S. bonds to secure deposits ..... U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $285,226. 72 1,118. 64 25,000. G O 110, 397.23 526.53 Capital stock paid in. Undivided profits . National-bank notes outstanding. State-bank notes outstanding 10,200.00 4, 318. 73 705.74 4,000.00 Dividends unpaid. Individual deposits United States deposits Deposits of TJ.S. disbursing officers. 1, 600. 00 37.34 11, 281.00 10,700. 00 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 20,000. 00 10,008.32 22,500.00 66.00 296, 823.18 7,635.59 9, 203.84 1,125. 00 466, 236.93 Total. $100, 000.00 Surplus fund 466, 236.93 Total.. Gettysburg National Bank, Gettysburgh. JOHN A. SWOPB, President. No. 611. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $505,116.97 80.83 50, 000.00 27,707.78 29,950. 74 954. 03 1,343.96 11,221.00 4,811.39 954.36 7, 000.00 2, 097. 52 500.00 37.97 25,699. 00 2,301.00 J . EMORY BAIR, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $145,150.00 66.000.00 34, 772. 73 44,480.00 555.00 380, 824.64 121.03 123.15 2,250.00 Total. 672,026.55 672, 026.55 First National Bank, Glen Rock. JOSEPH DIBB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national banks Due from Stato banks and bankers. Ban k' g-house, furni ture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationaTbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 435. $98,851. 70 "26," 666.'66" D. A. BKCKKR, Cashier. Capital stock paid in. $50, 000.00 j Surplus fund ! Undivided profits 11,000.00 2,263. 64 I National-bank notes outstanding.. 23,400.Of 6,575.56 ' J State-bank notes outstanding 6, 316.27 1.000.00 14; 621.29 771. 56 7,280.00 1,010.47 25.00 2.85 10,202.50 935.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 193.51 1,005.07 1,170.00 174,762.20 Total. 174,762.20 360 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Qreencastle. JAMES K. DAVIDBON, President J. H. SHOOK, Cashier. No. 1081. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and morfcg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. $127,328.96 28.50 25,000.00 65, 895.00 13, 262. 67 779.49 671.13 11,000.00 892.30 7,100.00 12.65 1,480.00 59.46 940.00 5,415.00 $100, OuO. 00 Capital stock paid in Undivided profits 20t 000.00 4,967.12 National-bank notes outstanding.. 22, 500. 00 354. 00 Dividends unpaid Individual deposits United States deposits . Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . . 113,150.41 18.63 Notes and bills re-discounted Bills payable 1,125. 00 260, 990.16 Total 260,990.16 First National Bank, Greensburgh. RICHARD COULTER, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents Due from other national banks. Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house , Bills of other national banks , Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. JOS. R. ElSAMAN, Cashier. No. 2558. $194, 866.41 792. 92 25,000.00 27, 500.00 187, 872. 52 33, 985. 55 29,658.41 21,700. 00 8,417.59 692. 06 6, 000. 00 6,872. 77 635.00 203.95 13,921.60 22, 226.00 Capital stock paid in. $100, 000. 00 Surplus fund fund. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 18, 000. 00 16, 580.46 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 424, 389. 32 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125. 00 Total. 581,469.78 581, 469.78 Merchants and Farmers' National Bank, Greensburgh. JOHN D. MILLER, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2562. $139, 681.22 J. C. CROWNOVEB, Cashier. Capital stock paid in. $100, 000. 00 so," 666.bo Surplus fund Undivided profits. 20, 000.00 5,501.27 12,500.00 96,003.62 3, 475. 61 17,989.55 3, 000. 00 National-bank notes outstanding.. State-bank notes outstanding 34, 000. 00 669.01 13, 000.00 880.90 5, 390.00 55.43 8,446.95 9, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2, 250.00 362, 342. 29 Total. 18.00 197,104.40 5,715. 62 REPORT OF THE COMPTROLLER OP THE CURRENCY. 361 PENNSYLVANIA. First National Bank, Greenville. No. 249. M. LOOMIS, President. C. R. BEATTT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house.furniture.andfixtures Other real estate and mortg's owned Current expenses and taxes paid. -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. Liabilities. $246,493.64 955.20 32,000.00 33,399.60 27, 864.20 Capital stock paid in. $125,000.00 Surplus fund Undivided profits 35,000.00 9,188.32 National-bank notes outstanding.. State bank-notes outstanding 28, 800.00 398. 20 Dividends unpaid 18,142.00 12,205.75 Individual deposits 1, 873. 32 United States deposits Deposits ofU.S.disbnrsing officers. 2, 369. 71 Due to other national banks 1, 800. 00 Due to State banks and bankers.. 59. Gl 13, 642.70 Notes and bills re-discounted . 3, 260. 00 Bills payable 126. Oft 197,736.11 53.50 1,440.00 Total. 395,903.93 395, 903. 93 Greenville National Bank, Greenville. A. F . HENLEIN, President. W M . H. BEIL, Cashier. No. 2251. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,.judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $125,321.48 232.34 22,500.00 22, 563. 00 26, 408. 52 1, 616. 72 204.96 9,316.99 Capital stock paid in $90,000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 10,500.00 5, 479. 87 20, 250. 00 240. 00 ! Individual deposits *"i"538.60" I United States deposits 1, 500. 00 i Deposits of U.S.disbursing officers 109, 730.35 758.10 2, 092.00 230.01 16,899.00 4,006.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,012.50 236,200.22 Total. 236, 200. 22 First National Bank, Hanover. VINCENT O. BOLD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Hank'g house,furniture,andfixtures Other real estate and mortg's ovvned Current expenses and taxes paid... Premiums on U. S. bonds — Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 187. I Capital stock paid in. J". H. ALLEMAN, Cashier. $405, 607.33 56,"666."66* Surplus fund Undivided profits. 89,955.00 ; National-bank notes outstanding.. 11,835.85 | State-bank notes outstanding 16,836.36 15,480. 64 Dividends unpaid... 16, 509. 98 ; Individual deposits United States deposits 12, 000. 00 ! DepositsotU.S.disbursingofficers. 5, 807. 92 Due to other national banks 364.00 Due to State banks and bankers .. 928.30 15, 248.00 Notes and bills re-discounted 3, 550.00 Bills payable $200,000.00 60,000.00 21, 222. 29 45, 000. 00 786. 00 237,981. 61 65,494. 83 87.65 19,178.09 2,250. 00 649, 750.47 Total. 649, 750.47 362 REPORT OF THE COMPTROLLER OF THE CURRENCY. PEXIKSY L V A N I A . First National Bank, Harrisburg. WILLIAM W. JENNINGS, President. No. 201. JAMES BRADY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure eirculatior... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on XL S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $741,495. 76 109. 57 25, 000. 00 14,620.00 70,148.70 61, 609.72 46, 544.54 1,873.87 "41,"53i."29 2,188.00 90.48 4, 308. 00 11, 000. 00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits . . . National-bank notes outstanding.. State-bank notes outstanding 190,000.00 12, 708. 88 21,350. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 531,629.15 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 147, 370.83 18, 586.07 1,125.00 1,021,644.93 Total. 1,021,644.93 Harrisburg National Bank, Harrisburg. GEORGE W. REILT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-houso,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. J . UHLER, Cashier. No. 580. $866,589.35 ; Capital stock paid in. 3, 704. 36 50, 000.00 Surplus fund Undivided profits. 32,753.07 National-bank notes outstanding.. 87,321.03 State-bank notes outstanding 73,362. 37 30, 204.67 Dirideads unpaid. 30, 000. 00 23, 315.04 Individual deposits 4,173.80 United States deposits 11,908.35 Deposits of U. S. disbursing officers. 9,966.08 Due to other national banks 10,070.00 Due to State banks and bankers .. 333.10 49,475.00 Notes and bills re-discounted . 19,000.00 Bills payable $300,000.00 225,000.00 15,243.75 45, 000.00 3, 808.25 622, 641.89 86, 782.69 5,949.64 2, 250.00 Total L 304.426.22 1,304,426.22 Merchants' National Bank, Harrisburg. HAMILTON D. HBMLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . *.. Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3713. $210,945.14 1.19 25,000.00 10,930.00 16,206.74 10, 616.56 20, 684.71 2,100.00 479.79 6,375.00 2,435.14 2,130.00 58.24 9,186,25 10,971.00 J . R. SHOEMAKER, Cashier. Capital stock paid i n . plus fund Livided profits. National-bank notes outstanding.. State-bank notes outstanding 10,000.00" 4, 258.44 22,500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers • 162,553.04 Due to other national banks Due to State banks and bankers . . 15,195.16 2, 704.19 Notes and bills re-discounted Bills payable 12,033.93 1,125.00 329,244.76 Total. 329,244.76 REPORT OF THE COMPTROLLER OF THE CURRENCY. 363 Hatboro' National Bank, Hatborough. I. NEWTON EVANS, President. No. 2253. JAMES VAN HORN, Cashier. .Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits j U. S. bonds on hand I Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds, Checks and other cash items Exchanges for clearing-house . . . . Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 13. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Liabilities. $171, 580. 57 50.00 15, 000. 00 64,000. 00 26,655.80 25.00 9, 000.00 2, 621. 74 700. 00 648.69 3, 768.00 301.12 19, 400. 00 10, 000.00 Surplus fund Undivided profits 18, 000. 00 10, 566.44 National-bank notes outstanding.. State-bank notes outstanding 13, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 230, 359.48 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 675. 00 324,425.92 Total. $52, 000, 00 Capital stock paid in Total. 324, 425. 92 First National Bank, Hazleton. A. W. LEISENKING, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondsonhand Stocks, securities, judgments, etc.. Due from approved reserve agentsDue from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3893. JNO. R. LEiSBNama, Cashier. $550,831.82 Capital stock paid in 678.10 25,000.00 j Surplus fund .1 Undivided profits 2, 000.00 National-bank notes outstanding.. 108, 847.17 State-bank notes outstanding 17, 560.66 7, 222.76 Dividends unpaid 4,181.22 Individual deposits 844.33 United States deposits 1,812.50 Deposits of U. S.disbursing officers 1, 437.48 Due to other national banks 10,288.00 Due to State banks and bankers .. 285.42 45,104.00 Notes and bills re-discounted . Bills payable $100,000.00 1, 502.39 17, 575.04 22, 500.00 66.00 625,765.06 9, 809.97 1,125. 00 777,218. 46 Total . 777, 218.46 First National Bank, Hollidaysburgh. WILLIAM JACK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents . Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit.., Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2744. $148,669.71 2,212.25 12, 500.00 8,200.00 14, 787.40 789. 79 8, 528.39 13,709.85 624.92 3, 296. 87 2,148.00 1, 384.00 151.34 7,444.00 3, 846.00 O. W. GARDNBB, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50,000.00 8,100.00 2,897.83 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursingoflicers. 129,942.18 Due to other national banks Due to State banks and bankers.. • 17,240.09 424.92 Notes and bills re-discounted Bills payable 9,000.00 562. 50 228,855.02 Total. 228,855.02 364 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Homestead. WILLIAM H. WATT, President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... 17. S. bonds to secure deposits TJ. S. bonds on hand Stocks, secarities, judgments, etc.. Due from approved reserve agents. Due from other national banks . -. Due from State banks and bankers Bank'g-house, furniture, andfixturea Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. Louis ROTT, Cashier. No. 3829. $170,524.86 68.23 12,500.00 27, 534. 82 1,300.00 1,141.97 3, 000. 00 2.35 5, 520. 00 100. 55 19, 281.95 5, 312.00 Liabilities. Capital stock paid in. Surplus fund fund. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits. United States deposits . DepositsofU.S.d $50, 000.00 2, 500.00 3, 205. 56 11, 250. 00 39.00 178, 990.61 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . 864. 06 Bills payable 562. 50 246,849.23 Total. 246, 849. 23 Honesdale National Bank, Honesdale. JOHN TORREY, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Due from. State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. E. F . TORREY, Cashier. No. 644. $300, 000. 00 Capital stock paid in. 125, 000. 00 Surplus fund 27, 310. 65 Undivided profits . 93, 550.00 National-bank notes outstanding.. 45,000.00 19, 042.87 State-bank notes outstanding 900. 00 $596,201.62 235. 09 50,000.00 8,886.10 2, 051. 89 8,600.00 Dividends unpaid 1,021. 77 9, 610.19 685.87 United States deposits Deposits of U. S. disbursing officers. 290.00 52.87 9, 510.30 16, 666.00 Individual deposits 320, 443.92 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250.00 818,654.57 Total. 818,654.57 First National Bank, Honeybrook. SAMUEL LEMMON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agentsDue from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due fromTreasurer U. S Total. No. 1676. $142,275.08 170.38 25,000.00 29,210.12 8,629.43 10,000.00 20, 280. 00 978. 67 882. .50 14.41 2,140. 00 114.37 11, O00."00 1, 000. 00 R. W. MORTON, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $100, 000.00 4, 000. 00 2, 731. 79 22, 500. 00 97.50 Individual deposits United States deposits Deposits of U. S.cQsbursing oflicers. 118, 615. 79 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . 4, 874.88 Bills payable 1,125. 00 252,819.96 i Total. 252, 819. 96 REPORT OF THE COMPTROLLER OF THE CURRENCY. 365 PENNSYLVANIA, First National Bank, Hughesville. J E R E M I A H KELLEY, President. No. 3902. W . C. FRONTZ, Cashier. Resources. Loans and discounts Overdrafts T7. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . , Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. s. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $80,461.65 21.23 12,500.00 500.00 23, 234.94 Capital stock paid in. $50,000.00 Surplus fund fund. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 1,441.48 2,262.44 11, 250. 00 Dividends unpaid 4, 545. 83 Individual deposits 515.44 United States deposits 3, 375.00 Deposits of U. S. disbursing officers. 56.24 Due to other national banks 305.00 Due to State banks and bankers... 23.66 1, 862. 25 Notes and bills re-discounted. 4,050.00 Bills payable 56, 718. 97 10, 340.85 562.50 132,013.74 Total . 132,013.74 Hummelstown National Bank, Hummelstown. ABNER RUTHERFORD, President. Loans and discounts O verd raft s U. S. bonds to secure circulation — U. S. bonds to sec are deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents- j Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, andfixtures Other real estate.and mortg's owned Current expenses and taxes paid... Premiams on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national Jjanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 2822. $181,383.94 1,087.00 20,000.00 7, 000.00 23,386. 88 613. 34 1, 246. 75 $50, 000.00 Surplus fund Surplus fund. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 20,000. 00 9,226. 76 18, 000. 00 Dividends unpaid 742.79 459.37 Individual deposits United States deposits Deposits of U. S. disbursing officers. 152,829.76 550.00 18.54 1, 000.00 12, 800.00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 2, 474.46 2, 555. 81 900.00 255, 086. 79 Total. J O H N J . NISSLEY, Cashier. Capital stock paid in. Total . 255, 086. 79 First National Bank, Huntingdon. WILLIAM DORBIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures! Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, .nickels, cents Specie Legal-tender notes , U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 31. S. R. SHUMAKER, Cashier. $278,465.21 Capital stock paid in. 3,113.41 50,000.00 ' Surplusfund. Surplus fund Undivided profits. 40,439.44 National-bank notes outstanding.. 48,814. 54 ; State-bank notes outstanding 18,399.01 15,599.38 $160,000.00 14,000.00 15,492.81 44,030.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . 332,987. 56 2, 616.47 Notes and bills re-discounted . Bills payable 509,126.84 i Total . 509,126.84 366 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. National Bank of South Pennsylvania, Hyndman. JOHN K. WHITE, President. No. 4063. T. J. WILSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure ciiculanor... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house,furniture,and fixtures Other real estate and mortg'sowned Current expenses and taxes paid. -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationafbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Liabilities. $63,424.33 25.00 12,500. 00 11,143. 08 116.89 1,518.75 1, 276. 40 288. 35 875.00 3, 801.06 2, 320.00 53. 55 1,640.00 1, 740. 00 Capital stock paid in. 1, 674.83 11, 250. 00 Dividends u n p a i d . Individual deposits United States deposits Deposits of U. S. disbursing officers. 41,789.04 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 1,571, 04 562. 50 Total. 106,284.91 Total. $50,000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 106, 284.91 First National Bank, Indiana. No. 313. A M. STEWART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other-national banks Due from State banks and bankers Bank'g-house.furniture.andfixtures Other real estate andmortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checksiand other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S $396,285.14 687.69 100, 000.00 28, 319.12 722. 22 18, 900.96 628.80 13, 673. 88 2, 044.90 10.00 4.29 28,598. 50 400. 00 $200, 000. 00 Surplus fund Undivided profits.. 75, 084, 78 12, 921.00 National-bank notes outstanding. State-bank notes outstanding 90,000. 00 Dividends unpaid 1,120, 00 Individual deposits United States deposits Depositsof U. S. disbursingoflicers. 213, 036. 34 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 2, 613. 38 4, 500.00 594, 775. 50 Total . W. J. MITCHELL, Cashier. Capital stock paid in. Total. 594, 775.50 First National Bank, Jeannette. H. SELLERS MEKEE, President. Loans and discounts | Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'ft-house.furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges tor clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4092. CHARLES R. SMITH, Cashier. $6,440.00 ! Capital stock paid in . " 12," 500." 66" i Surplus fund Undivided profits. 20,990. 54 593.19 651. 50 1, 350.00 415. 51 734. 38 1, 008.85 12,235. 00 38.94 2, 755. 85 6,005.00 National-bank notes outstanding.. State-bank notes outstanding $30,000.00 203. 64 11, 240.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 24,838.12 Due to other national banks Due to State bank and bankers. Notes and bills re-discounted. Bills payable 562.00 66,286.76 Total . 66,286. 76 REPORT OF THE COMPTROLLER OF THE CURRENCY. 367 PENNSYLVANIA, Jenkintown National Bank, Jenkintown. C. F. WILSON, President. No. 2249. ANDREW H. BAKBR, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks — Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. Liabilities. $340,148.90 98 25, 000. 00 7,500.00 72, 211. 50 392.31 10, 000. 00 10, 000.00 3,228. 32 5,500. 00 361. 56 95.00 12.47 9,161.45 15, 055. 00 Capital stock paid i n . $100, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding-. State-bank notes outstanding Dividends unpaid. 20, 000, 00 11, 855. 69 22, 500. 00 33.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 345,181. 05 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 222. 75 1,125.00 499, 792.49 Total. 499, 792.49 First National Bank, Johnstown. JAMBS MCMILLAN, President. No. 2739. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand ' Stocks, securities, judgments, etc ..j Due from approved reserve agents! Due from other national banks • Due from State banks and bankers.! Bank'g-house, furniture,andfixtures' Other real estate and mortg's owned Current expenses and taxes paid...! Premiums on U. S. bonds. ! Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Tceas. U. S. Due from Treasurer U. S Total. JOHN D. ROBERTS, Cashier. $343, 842.65 Capital stock paid in , $100, 000. 00 "166,666. bo" Surplus fund Undivided profits , 40. 000.00 11, 572. 67 National-bank notes outstanding.. State-bank notes outstanding 90, 000. 0i> 10, 000. 00 72, 800. 00 487, 594. 37 354.799. 79 134,142.66 15, 000. 00 5, 705.61 9, 000. 00 2,141.49 14, 840.00 207. 21 63,430.50 101, 847. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,416, 336. 78 Due to other national banks Due to State banks and bankers -. Notes and bills re-discounted . Bills payable 8,976. 98 52, 964. 85 4, 500. 00 1, 719,851.28 Total. 1, 719, 851. 28 National Bank, Kennett Square. E. B. DARLINGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondson hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house BiflsTof other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit...,, Redemption fund with Treas. IJ. S. Due from Treasurer U. S Total . No. 2526. D. DUER PHILIPS, Cashier. $226, 812.95 I Capital stock paid i n . 262. 53 50, 000. 00 Surplus fund , Undivided profits 700.00 15, 274.63 2, 899.12 14,815. 77 221.97 7, 000.00 3,121.12 458. 00 147. 61 7,613. 30 10,990. 00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $100,000.00 23, 000. 00 11,375.42 44, 500.00 6.00 Individual deposits United States deposits , Deposits of U.S. disbursing officers. 143,372. 59 Due to other national banks Due to State banks and bankers ... Notes and bills re-discounted Bills payable , 1,390.39 18, 922.60 2, 250.00 342,567.00 Total. 342,567. 00 368 REPORT OP THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Farmers' National Bank, Kittanning. JOHN A. COLWI:LL, President. N o . 3104. G. W. DOVERSPIKE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. ( Bank'g-house, furniture, andfixtures: Other real estateand mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks i Fractional currency, nickels, cents .! Specie j Legal-tender notes ! U. S. certificates of deposit i Redemption fund with Treas. U. S. | Due from Treasurer U. S ! Total. $176,315.11 98.10 34,000. 00 22, 000.00 84, 918. 71 224.58 10,168. 27 1, 700. 00 1,081.72 6,100. 00 541.68 1, 615. 00 49.00 20, 983. 50 15, 500. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits , United States deposits Deposits of U. S. disbursing officers. $100,000. 00 6, 500. 00 4, 956. 32 26, 650. 00 180.00 238, 539. 35 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 530. 00 376, 825. 67 Total. 376,825. 67 National Bank, Kittanning. J . MOSGROVE, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Duo from other national banks D u e from State banks and bankers Ban k 'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . D u e from Treasurer U. S Total. W. POLLOCK, Cashier. No. 2654. $221, 937. 52 Capital stock paid in $100,000.00 521. 59 100,000. 00 Surplus fund 20,000.00 20,885.96 Undivided profits 21,402.59 National-bank notes outstanding.. 73, 970. 00 49, 871. 63 State-bank notes outstanding 47, 356.37 30,024.59 Dividends unpaid 1,000.00 311, 748. 54 Individual deposits 1, 654.30 United States deposits Deposits of U. S. disbursing officers. 3,128.66 Due to other national banks 2,736.12 4,072.00 j Due to State banks and bankers .. 97.26 42, 734.11 Notes and bills re-discounted . 21,040.00 j Bills payable 4, 500.00 529.340.62 ! Total. 529,340.62 First National Bank, Lancaster. N. MILTON WOODS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andtixtures. Otherreal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . HENRY C. HABNBB, Cashier. No. 333. $413,224.11 Capital stock paid in. $210,000.00 J10.08 210,000.00 Surplus fund 42.000. 00 63,192.28 Undivided profits. 16, 000. 00 43,921. 26 National-banknotes outstanding.. 189, 000.00 30,133,12 State-bank notes outstanding 22, 504. 25 Dividends unpaid. 7, 835. 00 20, 825.00 Individual deposits 244,158. 57 '""3," 783.' 23 United States deposits Depositsof U.S.disbursing officers. "1*403.82 Due to other national banks 31,410.46 4, 760.00 Due to State banks and bankers.. 12.74 11, 642.50 Notes and bills re-discounted 10,173. 80 10, 000.00 Bills payable 9,450.00 797, 770.11 Total. 797, 770.11 REPORT OF THE COMPTROLLER OF THE CURRENCY. 369 PENNSYLVANIA. Conestoga National Bank, Lancaster. ©AVID B.LANDIS,President. So. 3987. ALBERT K. HOSTETTEK, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from TreasurerU. S $129, 01b. 06 15.58 31,250.00 Capital stock paid in. $125,000.00 Surpius fund Undivided profits . National-bank notes outstanding.. 16,148. 60 State-bank notes outstanding 5,157.48 28,125. 00 5, 184.61 413. 42 3, 300.30 2, 617.03 6, 542. 97 949.00 349. 54 3, 645.00 7, 550. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing oflfioers. 50,135. 88 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 406. 25 208,418.36 I Total. Total. 208, 418. 36 7 Farmers National Bank, Lancaster. JACOB BAUSMAN, President. No. 597. C. A. FON DEBSMITH, Cashier. Loans and discounts $1,191,709.15 Capital stock paid in. Overdrafts 50, 000.00 Surplus fund U. S. bonds to secure circulation... 100, 000.00 Undivided profits U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . National-bank notes outstanding. 128, 547. 03 State-bank notes outstanding Due from approved reserve agents. 58, 886. 06 Due from other national banks 2, 302. 76 Dividends unpaid . Due from State banks and bankers. Bank'g-houso, furniture, and fixtures 40, 000. 00 Other real estate andmortg's owned Individual deposits Current expenses and taxes paid.. 5,977.82 United States deposits Premiums on U. S. bonds Deposits o f U. S. disbursing officers. Checks and other cash items Due to other national banks Exchanges for clearing-house 11, 708. 00 Due to State banks and bankers . Bills of other national banks 278. 46 Fractional currency, nickels, cents . 28, 458.50 Notes and bills re-discounted . Specie 45, 559.00 Bills payable Legal-tender notes U. S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S. Due fromTreasurer U. S Total 1,681,391.49 $450, 000.00 260, 000.00 57, 972. 85 45S 000. 00 3, 091. 00 693, 359. 39 104, 877.40 5,122.60 61, 968.25 1, 681, 391.49 Total. Fulton National Bank, Lancaster. JOHN R. BITNEK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U, S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Duo from other national banks Due from State banks and bankersBank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house - - Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . H. Ex. 3 24 No. 2634. $752,028.22 76. 22 £0,000.00 38, 307.06 38, 413.66 1, 250.67 38, 000. 00 J N O . C. CARTER, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits 2,770. 50 United States deposits 7, 900.00 Deposits of U. S. disbursing officers. 10,446, 86 Due to other national banks 7,420. 00 Due to State banks and bankers . 446. 73 31,409.75 Notes and bills re-discounted.. 18, 681. C Bills payable O $200, 000.00 80, 000. 00 23, 540. 93 45, 000. 00 1,382.00 592,851.09 53, 456.35 3,170. 30 2, 250.00 999,400.67 Total. 999,400.67 370 REPORT OF THE COMPTROLLER OF THE CURRENCY. Lancaster County National Bank, Lancaster. CHRISTIAN B. HERR, President. No. 683. F. H. BREN EM AN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total Liabilities. $935, 838. 02 350.10 50, 000. 00 775.00 87, 873. 30 26, 091. 33 19, 097.92 23 399.13 11,103. 88 4, 868.44 692. 83 439.00 133.19 23,160.30 25,617.00 Capital stock paid in $300, 000. 00 Surplus fund Undivided profits 195, 000. 00 57, 940.10 45, 000. 00 National-bank notes outstanding.. State-bank notes outstanding. Dividends unpaid 1, 570. 00 Individual deposits United States deposits Depositsof U.S. disbursing officers. Due to other national banks.. ... Due to State banks and bankers.. 604, 024. 82 8,154. 52 Notes and bills re-discounted. Bills payable 2, 250.00 1,211,689.44 Total 1,211,689.44 Northern National Bank, Lancaster. J. FREDERICK SBNER, President. Loans and discounts Ovttrdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, iudgmonts, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and: fixtures Other real estate and naortg s owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. E. J. RYDER, Cashier. No. 3367. $312,172.76 i Capital stock paid in 21,61 ' 50,000.00 I Surplus fund Undivided profits.. 12, 421. 39 12, 630. 53 156. 59 23,154. 00 2, 456. 50 8, 500.00 921.43 4, 064.00 472.14 4,150.45 6, 750.00 $200, 000. 00 :l National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 31, 000. 00 8, 639. 74 45, 000. 00 155, 221. 50 260.16 2,250.00 440,121.40 Total . 440,121. 40 People's National Bank, Lancaster. SAMUEL H. REYNOLDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc •. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank1 g-house, furniture, andtixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. P. E. SLAYMAKEK, Cashier. No. 3650. $200, 000.00 Capital stock paid in . $352,814.33 1.31 50, 000. 00 51,466.70 12, 882.15 941.21 43, 625.91 1, 724. 03 687. 50 1, 640.70 6, 700.00 55. 73 6, 753.95 1O,68C.OO Surplus fund .. Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Depositsof U.S. disbursing officers Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 8, 703. 52 8.859. 48 43, 000.00 1,137.50 279, 960.12 562. 92. 2, 250. 00 542,223.52 i Total. 542, 223. 52 REPORT OF THE COMPTROLLER OF THE CURRENCY. 3 7 1 PENNSYLVANIA. People's National Bank, Langhorne. JOHN WILDMAN, President. No. 3063. GOVE MITCHELL, Cashier. Kesources. Loan s and discounts Overdrafts U S. bonds to secure circulation... U S. bonds to secure deposits U S. bonds on hand Stocks securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $143, 735. 66 Capital stock paid in. 75. 31 12, 500. 00 Surplus fund Undivided profits. 79. 82 4, 305. 84 $50, 000. 00 9, 500.00 5,110. 92 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 5, 000. 00 ""937.95' 11, 250. 00 78.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 97, 599. 35 Due to other national banks 60.00 Due to State banks and bankers. 86.44 5, 514. 75 Notes and bills re-discounted. 680.00 Bills payable 562.50 Total . 173,538.27 173, 538. 27 First National Bank, Lansdale. No. 430. ELIAS K. FREED, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Oiher real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonus Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. CHAS. S. JENKINS, Cashier, $251,172.11 i Capital stock paid in. 98.85 i 25,000.00 ! Surplus fund Undivided profits. 101,855.00 i National-bank notes outstanding.. 22,080.29 ! State-bank notes outstanding 10,287.00 Dividends unpaid $100, 000.00 Individual deposits 723.04 I United States deposits Deposits of U. S. disbursing officers. 249, 789.18 10,000.00 I 60, 000. 00 10, 649. 28 22, 050. 00 963. 00 406.00 ! Due to other national banks 455.00 i Due to State banks and bankers .. 55.14 ! 8,958.50 i Notes and bills re-discounted . 13,590.00 I Bills payable 2, 363.47 1,125. 00 445, 814. 93 Total. 445, 814. 93 First National Bank, Latrobe. W. S. HEAD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand U S b ii judgments, etc . Stocks, securities, j Due from approved reserve agents. Due from other national banks Due from Siate banks and bankers . Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3831. $294,172. 92 195. 86 16, 000.00 42, 262.50 38, 654.09 251.37 9, 665. 00 Jos. C. HEAD, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits 742. 22 United States deposits 4, 056. 25 Deposits of U. S. disbursing officers. 1, 099. 87 Due to other national banks 260. 00 Duo to State banks and bankers .. 149. 51 12, 446. 90 Notes and bills re-discounted . 9, 910.00 Bills payable 720. 00 .78 430, 587.27 Total. $64, 000.00 6,000.00 16, 986.23 14, 400. 00 90.00 318, 858.18 3, 208. 76 7, 044.10 430, 587.27 372 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Citizens' National Bank, Latrobe. No. 3930. J . W. HUGHES, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Jos. E. BARJSETT, Cashier. Liabilities. $83,341.28 Capital stock paid in. "12,566.66 Surplus fund Undivided profits. 9, 500. 00 National-bank notes outstanding. 23, 656. 84 State-bank notes outstanding 921.04 7, 362.00 Dividends unpaid $50, 000.00 1, 500.00 1, 779.78 11, 250.00 168.00 Individual deposits 136. 20 United States deposits 2,230. 87 Deposits of U. S.disbursing officers 81, 487.15 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 2,295.85 1, 086.16 832.72 230. 00 27.19 1, 672. 30 6, 588.00 562.50 149,566.94 Total. 149, 566. 94 First National Bank, Lebanon. No. 240. HORACE BROCK, President. Loansand discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit , Redemption fund with Treas. U. S. Due from Treasurer U. S Total. JOHN H. HOFFER, Cashier. $218,516.21 1,000.94 50,000.00 Capital stock paid in. Surplus fund Undivided profits 420.00 National-bank notes outstanding.. 91,927. 36 State-bank notes outstanding 25,414.93 5, 386. 54 20,000. 00 10,000. 00 1,902. 79 9, 000. C O 1, 258. 47 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks 590. 00 242.96 Due to State banks and bankers -.. 14,478. 50 Notes and bills re-discounted . 7,440. 00 Bills payable $50,000.00 44,000.00 6, 494.41 42, 530. 00 305, 435.86 9, 040.65 2,327.78 2, 250.00 459,828.70 Total. 459,82a 70 Lebanon National Bank, Lebanon. CHRISTIAN HENRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'ghouse, furniture, and fixtures Other real estate and mortg's o wned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. No. 680. $502, 578. 75 936. 25 50,000. 00 J A S . M. GOSSLER, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. 38, 317. 25 State-bank notes outstanding 65,483.14 15, 379. 60 43, 798. 55 Dividends unpaid $200,000.00 98, 000. 00 8,796.17 45,000.00 1, 674. 00 Individual deposits 1, 500. 58 United States deposits 13, 250. 00 Deposits of U. S. disbursing officers. 312, 723.11 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 90, 250. 98 522.02 15,432.00 463.12 11, 533.00 15, 000. 00 20, 000. 00 2, 250. 00 776,444.26 Total. 776, 444. 2G REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, Valley National Bank, Lebanon. No. 655. GEORGE HOFFMAN, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U S. bonds on hand ' Stocks, securities, judgments, etc ..! Due from approved reserve agents ! Duo from other national banks ; Duo from State banks and bankers. | Bank'g-hou-so, furniture, and nxtnres' Ot her real estate and inortg's owiu'd Current expenses and taxes y>ai<l -. | Premiums on U. S. bonds .| Cljf.cks and other easb items \ Exchanges for clearing-house i Bills of other national banks ! Fractional currencv, nickels, cents .' Specie . " ! Legal-tender notes ...! X . o. certificates of deposit T Redemption fund with Treas. U. S. \ Due from Treasurer U. S ; Total. JAC. B. KAUCH, Cashier Liabilities. ;476, 430. 08 I Capital stock paid, in 2. 109. 60 25, 000, 00 ! Surplus fund | Undivided profits • (H. 102. 33 41,606.00 7.789.84 S8.947.02 2,820.06 9,810.82 2. i'40.00 2«i>.00 23, 550.00 C, 500. 00 ; $100, 000. 00 95. ()!»(>. 00 15,:.::;]. 24 ; National-hank notes outstanding. I State-bank notes outstanding i ! Dividends unpaid | : Tndividnn I deposits • United Statesdeposits . : Deposits of U.ri. disbursingotrieers.' | ! ! Due to ot her national banks i ! Due to State banks and bankers .. i ! Notes and bills re-discounted ; Bills payable 22, noi'. 424. 15S !)8 (HI, 102. 05 8, IWX 48 1,125.00 ! 50.00 732, 43272-f Total. 732,432.25 First National Bank, Lehighton. R. F. IIOFFORD, President. Loans and discounts ...-.' Overdrafts ;, IT. S. bonds to secure circulation .. .'• TJ. S. bonds to secure doposits '. IT, S. bonds on hand , Stocks, securities, judgments, etc. - -' Duo from approved reserve agenis . Duo from o! her nat ional ban ks | Duo from State* banks ;>ad bankers Bank'g-houso.furniture,and fixtures' Oi her real estate and mortg's owned , Cut rent expenses and taxes p a i d . . . i Premium;* on U. S. bonds : Checks and other cash items Exchanges for clearing-house : Bills of other national banks Fractional currency, nickels, cents.' Specie i Legal-tender notes ; U. S. certificates of deposit |. Redemption fund with Treas. U . S . ! Due from Treasurer U. S •. No. 2308. $155, 075. 51 20,000.00 $75, 000. 00 ] Surplus fund ; Undivided profits 00 A 071. 00 31,138.03 Nation-Vl-bank notes outstanding. 12.219.25 : State-bank note* outstanding . " . . ! 4,0.!5 !)3 '} 503. 35 : Dividends unpaid 8,627.80 ; ; Individual deposits .: : 752.9!) United Slates d^nosifs 0,300. 00 Deposit.s of U.S.d'isbur.-iiTigolHcors.: : Due to other nation:;! ba^ks ; 5,105.00 j; Dm?-to State bunks and bankers . 222.46 j; : ; 5, 3G7. 00 i Xot.es arid bills re-discountod 4, 100. 00 Bills payable 18, (M'IO. 00 38M, 50 133, 3;.> 2. 62 11, ('47. 3(? 4 092. H7 • 900. 00 254,437.38 I; Total . J x o . F. SEMMEL, Cashier. Capital stock paid in Total . 254,437.38 Lewisburg National Bank, LeT?visburgh. D. BRIGHT MILLER, President. Loans and discounts Overdrafts TJ. S. bonds to securo circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgment*, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house, furniture,and fixtures Other real estate and mortg's owned] Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges forclearing-houso Bills of other national banks Fractional currency, nickels, cents. Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Duo from Treasurer U. S Total . No. 745. DAVID HEBER, Cashier. 1229, 7 3 5 . 2 9 '•' Capital stock paid in 65.78 !: 25,000.00 Surplus fund ' Undivided profits < $100, 000. 00 i I 100.000.00 19,4;..">. 98 '.', National-bank note-' outstanding..: 17, 150. :'O 319,868.92 '•'• State-bank notes outstanding i 13,5:1s. 08 •! ; 5. 259. 92 ;; Dividends unpaid : 2. 839. 00 13,000.00 j : 8, 302.00 1 Individual deposits ' 403, 301 02 ! 2,071.39 : | United States deposits. I Deposits of U.S.disbursing officers ' ! 98.00 ; I I Due to other national banks ' 2, 7:i;j. 00 I Due to State ban ks and b a n k e r s . . i 38.21 i 25, 205. 00 I Notes and bills re-discounted 1, 208.72 1,222.00 j | Bills payable j 3,247.97 " "i, 125. 00 ij 647,262.59 ' Total 647, 262. 59 374 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Union National Bank, Lewisburgh. "WILLIAM C. DUNCAN, President. No. 784. J N O . K. KUEMEK, Cashier. Resources. Loans and discounts Overdrafts XS. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Ourrentexpenses and taxes paid... Premiums on U. S. bonds Ohecks and other cash items Exchanges for clearing-house Bills of other national banks....... Fractional currency, nickels, cents Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $207,578.52 . 893.29 40, 000. 00 7, 849. 90 91, 702. 69 845. 31 11,546.44 7,81)2. 08 628.35 *'9,"352.'5i"| 356. 66 5.80 11,114.00 7,963.00 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 25, 000. 00 9, h98. S9 National-bank notes outstanding.. 27,450. 00 State-bank notes outstanding Dividends unpaid 859. 33 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. 215, 458.73 20, 683.95 176.99 Notes and bills re-discounted Bills payable " i , " 866*66" Total 399,527. 89 399, 527. 89 Mifflin County National Bank, Lewistown. ANDREW KEED, President. No. 1579. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bauk'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiumson U. S. bonds Ohecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total.. $191,733.72 ! 227.18 j 100,000.00 I 14, 650. 00 42, 525. 00 112,299.68 27, 890.13 22, 570. 27 36, 800.13 2,152.76 2,163. 36 ; 340. 152. 18, 287. 6, 400. 00 52 00 00 D. E. ROBESOX, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid $100,000.00 30,000. 00 28, 274.02 90, 000. 00 320. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 323, 301. 39 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 4, 627.26 4, 039. 08 2,370. 00 580,561.75 ! Total. 580, 561., 75 Lincoln National Bank, Lincoln. SAMUEL NISSLEY, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc , Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and rnortg's owned -Current expenses and taxes paid .. ] Premiumson U. S. bonds Checks and other cash items ( Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. ;Specie Legal-tender notes , U. c5. certificates of deposit • Redemption fund with Treas. TJ. S-i Due from Treasurer U. S Total . E. F. BARD, Cashier. No. 3198. $109, 669. 30 : Capital stock paid in $60, 000. 00 l.-)1.26 20, 000. 00 Surplus fund 8, 000.00 3, 302. 91 Undivided profits National-bank notes outstanding.. 17, 500. 00 8,189.10 State-bank notes outstanding 4, 426. <'8 Dividends unpaid ! 600.00 1, 000. 00 Individual deposits 57, 501. 35 ""885*63* United States deposits Deposits of U.S.disbursing officers. 409.57 Due to other national banks 2, 562.67 2(50. 00 Due to State banks and bankers . . 54. 94 1,811.15 Notes and bills re-discounted . 1, 709. 00 Bills payable 900.00 149,466.93 Total . 149, 466. 93 REPORT OF THE COMPTROLLER OF THE CURRENCY. 375 PENNSYLVANIA. Lititz National Bank, Lititz. No. 2452. JOHN B. ERB, President. NATH. Gr. WOLLE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniturerandfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total. Liabilities. $197,216. 94 887. 33 35, 000.00 31,071.04 12, 802.10 111. 50 8, 000. 00 1, 945.14 55.81 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. $105, 000. 00 21, 000. 00 2, 838. 95 31, 500. 00 2, 037.00 144, 542.12 1,805.99 815. 00 203. 72 12, 597. 50 2, 831.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1, 575.00 306, 918. 07 Total. 306, 918. 07 First National Bank, Lock Haven. T. C. KINTZING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agentsDue from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andraortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 507. MOORE FREDERICKS, Cashier. $180,000. 00 Capital stock paid in. 130, 000. 00 Surplus fund 19, 010. 01 Undivided profits. National-bank notes outstanding.. 108, 000. 00 78, 563. 72 State-bank notes outstanding 17, 089. 73 45, 243. 42 Dividend * unpaid $707, 313. 68 3, 974. 81 120, 000. 00 1, 738.0G 880.61 2, 892. 35 10, 000. 00 1, 322.10 Individual deposits United States deposits Depositsof U.S. disbursing officers 570, 946 89 19. 767.00 137. 72 29, 547. 30 13, 400.00 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted . Bills payable 41, 065.37 8, 251. 23 5, 400. 00 3.00 1,057,273. 50 Total. 1, 057 273. 50 First National Bank, Mahanoy City. EDWARD S. SILLIMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits .. U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bauk'g-honse, furniture, and tixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 567. $232, 324. 07 j Capital stock 2, 07 25, 000.00 Surplus fund 97, 440. 52 128, 558. 35 2, 339. 59 11, 000. 00 1, 845.84 3,650. 00 439.64 1, 000.00 79.79 20,230. 00 21, 996. 00 L. TODER, Cashier. paid in. $100, 000.00 Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 43, 000. 00 10,001.87 22, 500. 00 , 264. 00 Individual deposits United States deposits Depositsof U.S. disbursing officers. 302, 556. 96 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted . Bills payable 39, 618. 36 29, 090. 28 1,125. 00 547, 031. 47 Total. 547,031.47 376 REPOET OP THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA.. Union National Bank, Mahanoy City. ANDREW COMBET, President No. 3997. E L I S. REINHOLD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due frojn other national banks. Due from State banks and bankers. Bank'g-house, furniture, andfixture8 Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $107, 370.42 100.85 25,000. 00 8,613.63 29,173.25 28, 512. 61 658.15 14, 704. 08 Capital stock paid in. $100.000.00 Surplus fund Undivided profits. 4, 204. 87 National-bank notes outstanding. State-bank notes outstanding 22, 500. 60 Dividends unpaid. Individual deposits 2,127.35 United States deposits 7,187. 50 DepositsofU.S.disbursingofficers. 1, 473. 75 Due to other national banks 125. 00 Due to State banks and bankers . 18.85 1, 852. 70 Notes and bills re-discounted . 12, 610. 00 Bills payable 106, 629.78 7,319. ©9 1,125. 00 Total. 240, 653. 74 240, 653. 74 National Bank, Malvern. No. 3147. CHRISTIAN LAPP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,funiiture,an(lfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CHAS. C. HIGHLET, Cashier. $146, 535.10 Capital stock paid in. 29. 99 12, 500. 00 Surplus fund Undivided profits. 7,400. 00 4, 904.44 840.27 9, 8D0. 00 4,130.63 1, 745.16 $50,000. 00 7, 500. Of 4,214. 55 National-bank notes outstanding. State-bank notes outstanding.... Dividends unpaid. 11, 250.00 37.00 Individual deposits United States deposits DepositsofU.S.disbursing officers. 102, 732. 58 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 10,651.43 597.19 37.78 1, 377. 50 7,185.00 10, 900. W 112. 50 Total. 197,285.56 197, 285. 56 Keystone National Bank, Manheim. W. LITZEKBEBGER, President No. 3635. Loans and disconnts $82, 898. 58 Overdrafts 765.30 U. S. bonds to secure circulation . . . 15,000.00 U.S.bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. 1, 357.46 Due from other national banks 3,442. 86 Dne from Si ate banks and bankers Bank'g-house,fumiture,aud fixtures 875. 82 Other real estate and mortg's owned Current expenses and taxes paid... 357. 36 Premiums on U. S. bonds 1, 000. 00 Checks and other cash items 224.07 Exchanges for clearing-house Bills of other national banks 70.00 Fractional currency, nickels, cents. 26.19 Specie 2,173.65 Legal tender notes 2,347. 00 U. S. certificates of deposit Redemption fund with Treas. U. S. 675.00 Due from Treasurer U. S Total. 111,213.29 F. G. BROSEY, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding-. State-bank notes outstanding $60, 000. 6ft 9, 000.0ft 2,363.95 13, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 22,716.61 Due to other national banks Due to State banks and bankers . . 3, 632.73 Notes and bills re-discounted . Bills payable Total. 111, 213.20 REPORT OF THE COMPTROLLER OF THE CURRENCY. 377 PENNSYLVANIA. Manheim National Bank, Manheim. N o . 912. JACOB L. STEHMAN , President. H. C. GINGRICH, Cashier, Liabilities. Resources. Loans and discounts O verdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits XT. S. bonds on hand Stocks, securities, judgments, etc .Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtureft Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ. S Total. $180, 295.92 403. 20 40, 000. 00 Capital stock paid in. $150, 000. 00 Surplus fund , Undivided profits . National-bank notes outstanding. State-bank notes outstanding 72, 006.78 7, 890. 55 7.50 Dividends unpaid 9, 000. 00 Individual deposits 1,469. 81 United States deposits 1, 500. 00 Deposits of U. S. disbursing officers. 30, 000. 00 6, 291. (39 36, 000. 00 235. 50 89, 264. 00 454. 00 310. 00 70.58 5,283.10 8, 580. 00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 16, 422. 02 858. 23 1, 800.00 Total. 329, 071.44 329, 071. 44 First National Bank, Marietta. JOHN MCJSSKB, President. N o . 2710. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits . . U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums onU. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $349, 371. 98 699.86 25,000. 00 74, 521.83 15, 644. 71 4, 939.61 191.83 20, 000.00 1, 766. 06 1,100.00 1,447.90 594. 00 300.92 28, 270.00 283.00 $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding . . Dividends unpaid 100, 000. 00 19,391.98 22, 500. 00 1, 525.00 Individual deposits United States'deposits Deposits of U. S. dis bursin g officers. 271,141. 49 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 10,700.23 1,125. 00 525, 258.70 Total. T. M. GRADT, Cashier. Capital stock paid in Total. 525, 258. 70 First National Bank, Mauch Chunk. ALEX. W. LEISENRING, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 437. $907,350. 05 388.39 400, 000.00 EDGAR TWINING, Cashier. Capital stock paid in. Surplus fund Undivided profits 177, 385.21 National-bank notes outstanding.. 137, 459.69 State-bank notes outstanding 20,971.84 1, 760. 06 Dividends unpaid. 15,300. 00 Individual deposits 3,354. 02 United States deposits 16, 000. 00 Deposits of U.S. disbursing officers. 5, 787. 96 Due to other national banks 22,109. 00 Due to State banks and bankers . . 502. 97 76, 769. 00 Notes and bills re-discounted. 75, 000. 00 Bills payable $400, 000.00 ioo, ooo. oa 69,939.98 359, 960. 00 3, 785. 00 864, 809.16 79, 287. 35* 356. 70 18,000.00 1,878,138.19 Total 1,878,138.19 378 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVA1VIA. Second National Bank, Mauch Chunk. THOMAS L. FOSTER, President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,an(lfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 469. J. M. DREISBACIT, Cashier. Liabilities. $202,445. 03 "*i56,66b.66 83, 053. 50 82, 316. 45 775.59 3,491.76 1, 800. 00 1,073. 37 $150, 0i)0. 00 Capital stock paid i n . 30,000.00 30, 554,54 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 132,600.00 272. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 251,147.04 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 22, 570. 90 13, 465. 88 " * "651.28 27,437. 00 101.13 26, 945. 25 43,770.00 6,750.00, Total . 630, 610. 36 630, 610. 36 Linderman National Bank, Mauch Chunk. JAMES I. BLAKSLEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . S. S. SMITH, Cashier. No. 2852. Capital stock paid in. is, 666.66" Surplus fund Undivided profits . 82, 662. 50 National-bank notes outstanding.. 22,144.19 State-bank notes outstanding $59, 603. 02 3,953.71 4, 606. 93 431. 00 591.15 400. 00 7.65 7, 392. 00 121.86 8, 502. 00 2, 994.00 $50,000.00 11, 000. 00 2,405. 02 13, 500.00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. 129,294.62 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 2, 885. 37 675.00 209,085.01 Total. 209,085.01 First National Bank, McKeesport. H . B. SINCLAIR, President. Loans and discounts O v erdral t s U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank' g-ho use, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. JAMES S.KUHN, Cashier. No. 2222. $100,000.00 Capital stock paid in. Surplus fund 100,000.00 11,537.64 Undivided profits 8, 500.00 National-bank notes outstanding.. 27, 000. 00 156,109. 83 State-bank notes outstanding $636, 360.44 975. 39 30, 000.00 22, 000. 00 6, 750.00 2,070.23 22, 547.00 322.47 29, 289. 00 32,800. 00 10, 000. 00 1, 350. 00 959, 074. 36 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 2,438.00 718, 098, 72 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable Total. 959,074.36 REPORT OF THE COMPTROLLER OF THE CURRENCY. 379 PENNSYLVANIA. Merchants' National Bank, Meadville. JAMES E. MCFARLAND, President. No. 871. "W. S. MCGUNNEGLE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. Is. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer TJ. S Total. Liabilities. $221, 249.86 90.79 50, 000. 00 16, 770. 65 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits 7, 500. 00 3, 880. 95 National-bank notes outstanding.. State-bank notes outstanding 44,400. 00 Dividends unpaid. 7, 500. 00 "i," 737." 75 5, 731. 23 9, 534. 00 1.18 13, 544.85 8, 000. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 177, 363.39 Due to other national banks Due to State banks and bankers.. 3, 265. 97 Notes and bills re-discounted. Bills payable 2, 250. 00 Total . 336,410.31 336, 410. 31 First National Bank, Mechanicsburgh. GEORGE HUMMEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, .judgments, etc.. Due from approvetl reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furn iture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 380. $216,185. 96 629. 68 30, 000.00 89, 983. 38 18, 841.81 13,579. 96 21, 022. 78 18, 000. 00 923. 52 2, 806. 32 4, 500. 00 2,231.10 150. 00 135. 52 19, 314. 75 13, 626. 00 A. C. BRINDLE, Cashier. Capital stock paid in $100,000.00 Surplus fund Undivided profits 80, 000.00 11,882.11 National-bank notes outstanding.. State-bank notes outstanding 27, 000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 213,100. 84 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 20, 595. 29 702. 54 1, 350.00 453, 280.78 Total . 453, 280. 78 Second National Bank, Mechanicsburgh. J O H N M. HART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 326. $125, 770. 61 6.61 12, 500. 00 27,125. 80 20, 892. 55 1, 894.35 4, 834.45 3,459.97 636.11 2, 700.00 742.75 570.00 54.13 19, 975. 00 6,185. 00 F. K. PLOYER, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 12,000. 00 6, 051.19 11, 250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 143, 064.00 Due to other national banks Due to State banks and bankers . . 4, 213. 48 1, 331.16 Notes and bills re-discounted . Bills payable 562. 50 227,909. 83 Total. 227, 909.83 380 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Media. THOMAS J. HALDEMAN, President. Resources. Loans and discounts Overdrafts . U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total No. 312. J . W. HAWLEY, Cashier. Liabilities. $421, 002. 99 Capital stock paid in $100, 000. 00 50, 000.00 Surplus fund Undivided profits 65, 550.00 56, 536.86 5, 773. 25 National-bank notes outstanding.. State-bank notes outstanding 11,300.00 4,088.29 8, 828.64 6,414.00 271.83 21, 000. 00 25,000.00 100, 000. 00 56, 380.48 Dividends unpaid 45, 000.00 1, 038. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 331, 425. 58 Due to other national banks Due to State banks and bankers .. 44,171.80 Notes and bills re-discounted Bills payable 2, 250. 00 678,015. 86 678, 015. 86 Total Charter National Bank, Media. THEO. P . SAULNIER, Cashier. No. 3666. GEORGE DRAYTOX, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand I Stocks, securities, judgments, etc.. Due from approved reserve agents j Due from other national banks j Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... j Premiums on U. S. bonds I Checks and other cash items i Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie .' | Legal-tender notes ! U. S. certificates of deposit j Redemption fund with Troas. U. S. \ Dae from Treasurer U. S j Total. $165,453. 84 Capital stock paid in. 476. 07 25,000.00 i Surplus fund 425.00 1,471.27 2, 666. 80 $100, 000.00 Undivided profits National-bank notes outstanding State-bank notes outstanding Dividends unpaid Individual deposits 1, 628. 30 United States'deposits 4, 400. 0J Deposits of U. S. disbursing officers 1,874. 25 Due to other national banks 485. 00 Due to State banks and bankers . 71.98 6,158.00 Notes and bills re-discounted 4, 097.00 Bills payable 1,125.00 ! i," 700.00 217,032.51 4, 000. 00 5,807.28 22, 500. 00 338.00 75, 357. 87 384.63 8, 644. 73 217, 032. 51 Total . First National Bank, Mercer. WILLIAM LOGAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg'a owned' Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 392. "W. MILLER, JR., Cashier. $265, 449. 57 3, 244. 62 60, 000.00 Capital stock paid in. Surplus fund Undivided profits. 4, 219. 74 National-bank notes outstanding.. 41,153.47 State-bank notes outstanding 4,163. 54 377. 66 2, 000. 00 7,412.97 1, 734. 08 1, 000. 00 1, 483.03 1, 616. 00 435. 29 6, 658.45 7,459.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable $120, 000. 00 35, 000.00 24, 638.17 54, 000.00 775. 00 175,136. 46 282. 42 1, 275. 37 2, 700.00 411,107.42 Total. 411,107.42 REPORT OF THE COMPTROLLER OF THE CURRENCY. 381 PE YLVANIA. Farmers and Mechanics' National Bank, Mercer. B. MAGOFFIN, President. No. 2256. HENKY ROBINSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation. . . U. S. bonds to secure deposits XJ. S. bonds on hand Stocks, securities, judgments, etc .Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-liouse, furniture, andnxtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $212, 828. 79 934.88 30, 000. 00 38, 999.53 3, 053. 97 520. 98 1, 800. 00 1,448. 00 810. 96 800.00 1, 827. 55 329. 00 35.99 5, 801. 50 10, 580.00 $80, 000.00 Capital stock paid i n . Surplus fund Undivided profits 11,000.00 12, 455. 76 National-bank notes outstanding.. State-bank notes outstanding 27, 000.00 Dividends unpaid. 456. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers 180, 021.15 188.24 Notes and bills re-discounted. Bills payable 1,350.00 311,121.15 Total . 311,121.15 National Bank, Middle town. J . DONALD CAMERON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g- house, furniture, audfixtures Other real estate andmortg's owned Current expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes W. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 585. H. C. STEHMAN, Cashier. $131,497.56 Capital stock paid in. "166*666.66 Surplus fund Undivided profits National-bank notes outstanding-. State-bank notes outstanding 15,215.00 18,637.70 9,108.06 6,979. 04 3,300. 00 6,957. 50 1,418. 64 13,000.00 1,627.46 3,000.00 200.00 4, 800. 00 10, 000.00 $100,000.0« 22, 000. 00 5,684.11 90,000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 100,906.93 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 8, 507.43 452. 49 1,810.00 Total . 327, 550.96 327, 550. First National Bank, Mifflintown. JEREMIAH LYONS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,fuiniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4039. $130,293. 58 17.01 50, 000. 00 4, 500. 00 22, 694.17 320. 95 D. S. KLOSS, Cashier. Capital stock paid in. Surplus fund Undivi ided profits National-bank notes outstanding.. State-bank notes outstanding $50,000. 00 2, 606.81 31,500.00 Dividends unpaid 9, 227. 71 1,111.00 11, 868. 75 1,137.14 1, 730. U0 90.23 7, 952.00 988. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 136,442.87 Due to other national banks Due to State banks and bankers.. 19,898.43 3,732. 43 Notes and bills re-discounted . Bills payable 2,250.00 244,180. 54 Total . 244,180.54 382 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Millersburgh. No. 2252. ALFRED DOUDEN, President. J. H. KAHLER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts CT. S. bonds to secure circulation... TJ. S. bonds to secure deposits 0". S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes C . S. certificates of deposit T Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $149,720.88 "" 100," 666." 66" 56,404.75 8, 247. 94 13, 800. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 25, 000. 00 6, 686. 62 90, 000. 00 321.50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 122, 359. 67 Due to other national banks Due to State banks and bankers .. 1, 275.59 Notes and bills re-discounted . 8, 632. 00 Bills payable 144.48 1,206.46 ""589." 65 135 00 4, 500.00 Total. 344,512. 27 Total. $100, 000.00 344, 512. 27 First National Bank, Milton. E. A. FOA'DA, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. ] iank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationa ljbanks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . J . M. CALDWELL, Cashier. No. 253. $100, 000. 00 Capital stock paid in. 42, 500. 00 Surplus fund 10, 222. 87 650.00 Undivided profits. 3, 000. 00 National-bank notes outstanding.. 22, 500. 00 113, 619. 59 State-bank notes outstanding $153, 969.33 352. 66 25,000.00 11, 956.60 475.05 10,300.00 Dividends unpaid. 1,209. 00 Individual deposits 494.66 United States deposits 5, 567. 00 Depositsof U.S. disbursing officers. 8, 833. 38 Due to other national banks 1,179. 00 Due to State banks and bankers .. 118.85 11,420.00 Notes and bills re-discounted . 6, 944.00 Bills payable 143, 611. 76 34, 961.49 1,125.00 Total. 355,005.12 355, 005.12 Milton National Bank, Milton. WILLIAM C. LAWSOX, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 711. R. M. FRICK, Cashier. $175,032.33 Capital stock paid in. "'"25," 666." 66 Surplus fund Undivided profits. 8, 709. 00 National-bank notes outstanding.. 58,728.50 State-bank notes outstanding 14, 490.14 9, 600.00 28, 766.15 382.23 35.02 2, 625. 00 212.04 7,110. 00 7, 780. 00 Dividends unpaid $100,000.00 66, 000.00 6, 658. 24 22, 500. 00 1,196. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 126, 860. 79 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 15,634.26 746.12 1,125.00 339, 595.41 Total. 339, 595.41 REPORT OF THE COMPTROLLER OF THE CURRENCY. 383 PENNSYLVA1VIA. First National Bank, Minersville. No. 423. CHARLES R. KEAR, President. R. F. POTTER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts to secure circulation... U. S. bonds XJ. S. bonds to secure deposits X . S. bonds on hand T Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State bauksand bankers Bank'g-house, furniture, andfixturea Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items $66, 883. 59 Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total 3, 209.00 65.74 20, 007.00 7,216.00 12, 500. 00 12,454.48 74, 817. 05 1, 888. 41 12, 803. 46 800.00 341. 25 $50, 000.00 Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 12, 574.19 3, 252.59 11, 250. 00 1, 748. 00 United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted 115, 296. 94 19, 426. 76 562. 50 Total 213, 548. 48 213,548.48 First National Bank, Montrose. W. D. LUSK, President. No. 2223. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $191,233.91 1, 184.90 12, 500.00 21, 997.15 2,601. 87 938. 96 8, 000. 00 1, 000. 00 1, 283.71 3, 000. 00 29ti. 08 35.00 12. 79 9, 932.50 3, 085. 00 AMOS NICHOLS, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $50, 000.00 5, 250, 00 8, 053. 02 11, 250.00 175, 975. 34 10,136.01 562. 50 Total. 260, 661. 37 260, 664.37 First National Bank, Mount Carmel. E. C. TIER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgmeuts, etc Due from approved reserve agents Due from other national banks Due from State banks and bankers Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3980. MATTHEW K. WATKINS, Cashier. $67,921.48 Capital stock paid in. ""i.2," 566.6b" Surplus fund Undivided profits. National-bank notes outstanding. 48,974. 56 State-bank notes outstanding $45,190.00 1,057.50 11, 250 00 15, 772. 06 1, 240.31 3, 656.25 55.45 3, 500.00 39.39 7, 522.70 4,100. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 82, 9^6. 43 22, 802. 27 2, 588. 50 562. 50 165, 844. 70 Total. 165, 844,70 384 KEPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Mount Joy. JACOB W. NIBSLEY, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, otc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's ovyned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. XJ. SDue from Treasurer U. S Total. A. GrEUBER, Cashier. No. 667. Liabilities. Capital stock paid in. $185, 251. 04 4tf. 58 50, 000. 00 $100, 000. 00 30, 000. 00 15,106.96 Surplus fund Undivided profits 19, 2G0.00 National-bank notes outstanding.. 16, 831. 93 ! State-bank notes outstanding 6, 620. " 44, 940. 00 . | Dividends unpaid 6, 000. 00 124. 26 82.71 1, 788, 00 72. 07 2, 337.25 18, 500.00 Individual deposits United States deposits 119,117.5T Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills rediscounted . Bills payable 2, 250. 00 Total. 309, 164. 53 . 309,164. 53 Union National Mount Joy Bank, Mount Joy. J O H N G. HOBRNER, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house.furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates <f deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1516. $128, 536.19 1,789.57 50, 000. 00 2, 200. 00 10, 193. 09 3, 224. 55 4, 057. 05 4, 825. 00 J. V. LONG, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . Individual deposits 1, 277. 20 United States deposits 16, 262.50 Deposits of U. S. disbursing officers. 1,503.49 Due to other national banks 2,658. 00 Due to State banks and bankers .. 11.22 10, 826. 75 Notes and bills rediscounted. 13, 545.00 Bills payable $100,000.00 27, 000.00 5,606.66 40, 650.00 606.50 72, 293.02 6, 614.74 388. 69 2,250. 00 253,159. 61 253,159. 61 Total. First National Bank, Mount Pleasant. HENRY W. STONER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on G. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 386. H E N K Y J O R D A N , Cashier. $154, 565.28 110.68 50, 000.00 Capital stock paid in. Surplus fund Undivided profits. 23, 714. 50 National-bank notes outstanding.. 180, 070. 09 State-bank notes outstanding 4, 017. 71 8,148.97 19, 000. 00 1,427. 31 13, 000.00 221.04 8,460. 00 21.29 24,175. 00 20, 930.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers $100, 000.00 40, COO. 00 5,418. 37 34, 500.00 3, 593. 00 326, 600.50 Due to other national banks Due to State banks and bankers . Notes and bills rediscounted . Bills payable 2, 250. 00 510, 111. 87 Total. 510, 111. 87 REPORT OF THE COMPTROLLER OF THE CURRENCY. 385 P EJVJVS Y L V A N I A . Mountville National Bank, Mountville. I. H. KAUFFMAN, President No. 3808. GEORGE CKANE, Cashier. Liabilities. Resources. $108,398.47 Loans and discounts Overdrafts U. S. bonds to secure circulation... '"" 12* 500." 66 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 5,1G3. 50 Due from approved reserve agents. 499.25 Due from other national banks Due from State banks and bankers. 6, 860. 00 Bank'g-house, furniture, andfixtures Other real estate and rnortg's owned 2, 829. 85 Current expenses and taxes paid... 3,000.00 Premiums on U. S. bonds 1, 841). 40 Checks and other cash items Exchanges for clearing-house 1,776.00 Bills of other national banks 60.67 Fractional currency, nickels, cents . 1, 233. 50 Specie 2,160. 00 Legal-tender notes U. S. certificates of deposit 562.50 Redemption fund with Treas. TJ. S. T>ue from Treasurer TJ. S 500. 00 7, 572. 57 Surplus fund Undivided p r o f i t s . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers ., Notes and bills re-discounted Bills payable Total. 144,893.14 Total,. $50,000.00 Capital stock paid i n . 11, 250. 00 56, 462. 34 50.00 19, 058.23 144, 893.14 First National Bank, Muncy. J o FIN M. BOWMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. tifiates of U S certificates o deposit Redemption fund with Treas. U. SDue from Treasurer U. S DE LA GREEN, Cashier. No. 837. $100, 000. 00 Capital stock paid in. 14, 500. 00 ""*95,'500." 66' Surplus fund 8, 688.28 Undivided profits 5, 000. 00 85,950.00 National-bank notes outstanding.. 1, 570. 57 State-bank notes outstanding 6, 086. 03 $165, 431. 81 17, 083.15 15, 000. 00 828. 64 20, 000. 00 559.64 380.00 84.48 12,200.00 15, 875. 00 Dividends unpaid . Individual deposits United States deposits DepositsofU.S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable , 30, 676. 68 4, 297. 50 2.50 Total. 359,899.32 Total 120, 084.36 359, 899. 32 Citizens' National Bank, Muncy. E. M. GREEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid ... Premiums on U. S. bonds C hecks and other cash items , Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total H. Ex. JojiN W . RISSEL, Cashier. No. 3480. $119,617.70 832.15 12, 500.00 1, 290. 50 21, 2,58. 30 3,644.64 3, 632.40 2, 000. 00 1, 271. 29 3, 000.00 29. 49 34.00 48.35 4, 912. 50 7, 000. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding .. j State-bank notes outstanding .. $50,000.00 Dividends unpaid : Individual deposits j. United States deposits j Deposits of U.S. disbursing officers. ] Due to other national banks j Due to State banks and bankers . Notes and bills re-discounted . Bills payable 112, 690. 06 3, 000.00 4, 308. 55 11,250.00 365.21 12.50 181, 613.82 Total. 181,613.82 38G REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Nanticoke. No. 3955. ISAAC EVERITT, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture, andfixtures Otherreal estate andmortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. tJ. S Due from Treasurer TJ. S Total. H. D. FLANAGAN, Cashier. Liabilities. $65, 026. 85 33.16 20, 000. 00 75, 310.38 42, 832. 37 38,764.40 ""2," 036." 29 748. 74 5, 500. 00 1, 810. 55 900.00 295. 56 6, 425.00 9, 800.00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding $75, 000. 00 1,000.00 3, 480.36 18, 000. 00 Dividends unpaid Individual deposits , United States deposits Deposits of U.S. disbursing officers. 157,161. 40 Due to other national banks Due to State bankvS and bankers .. 3, 024. 60 12, 716. 94 Notes and bills re-discounted. Bills payable 900.00 270, 383. 30 Total. 270, 383. 30 National Bank of New Brighton. JOHN REEVES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments,etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. GEORGE DAVIDSON, Cashier. No. 3259. $100, 000.00 Capital stock paid in 6,600.00 Surplus fund 4, 076. 95 Undivided profits 22, 500. 00 National-bank notes outstanding.. 44, 614. 22 State-bank notes outstanding $186, 879. 77 373. 21 25, 000.00 666.47 8, 572. 24 5, 500.00 1, 078. 87 1,000. 00 187, 03 450. 00 48.60 10, 464. 40 7, 268. 00 Dividends unpaid. 172. 75 Individual deposits United States deposits Deposits of U. S. disbursing officers 152, 079. 21 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 7, 617. 56 181.34 1,125.00 293, 227.81 Total. 293, 227.81 First National Bank, N e w Castle. ROY S. FOLTZ, Cashier. No. 562. Loans and discounts $513, 314.80 Capital stock paid in. $150,000.00 Overdrafts 50, 000.00 Surplus fund U. S. bonds to secure circulation... 50, 000. 00 U. S. bonds to secure deposits.. 100, 000. 00 Undivided profits. 50, 450. 97 U. S. bonds on hand Stocks, securities,judgments,etc.. 131,198.96 National-bank notes outstanding.. 45, 000. 00 Due from approved reserve agents 61, 867.45 State-bank notes outstanding Due from other national banks 4, 623.95 Due from State banks and bankers. 4, 264. 92 Dividends unpaid. Bank'g-house, furniture, and fixtures 20, 700. 00 Other real estate and mortg's owned Individual deposits 574, 033.47 Current expenses and taxes paid... 1, 411. 61 United States deposits 110, 000. 00 Premiums on U. S. bonds 40, 000. 00 Deposits of U.S. disbursing officers. Checks and other cash items 217.75 Exchanges for clearing-house Due to other national banks 29,799.59 Bills of other national banks 5,183. 00 Due to State banks and bankers .. Fractional currency, nickels, cents. 143.59 Specie 33, 778. 00 Notes and bills re-discounted . Legal-tender notes 40, 000. 00 Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S . 2, 225. 00 Due from Treasurer U. S 355. 00 1,009,284.03 1,009, 284. 03 Total. Total., "WILLIAM S. FOLTZ, President, REPORT OF THE COMPTROLLER OF THE CURRENCY. 387 PENNSYLVANIA. National Bank of Lawrence County, New Castle. WILLIAM PATTERSON, President. No. 115G. K.CUAVVFORD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts • U. S bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . D ue from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,fufnitiire,andtixtures Other real estate and raortg's owned Current expenses and taxes paid. -. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total Capital stock paid in. Surplus fund Undivided profits . 303, 570.92 National-bank notes outstanding.. 266, 729. 70 State-bank notes outstanding .. 56, 000. 98 2, 571. 90 Dividends unpaid. 22, 040.00 4,716.27 Individual deposits United States deposits Deposits of U.S. disbursing officers 75, 463. 03 800. 00 116, 540. 22 25,000.00 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable , 135, 000. 00 1, 444, 541. 75 1,179.03 1,511.96 2,089,981.03 Total. New Holland National Bank, New Holland. Loans and discounts Overdrafts U. S bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso, furniture, and fixtures Othei real estate,and mortg's owned Current expenses and taxes paid... Premiums on U.S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Logal-teiidor notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. -S Total. 300, 000. 00 57, 718. 29 6, 750. 00 3, 260.00 2,089,981.03 COBNELIUS F. ROLAND, President. $150,000.00 No. 2530. $290, 349.10 87.36 35, 000. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 1, 850.50 1,963.45 855.66 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursingofficers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 8, 200. 00 1,170.75 7,000.00 260. 00 82.35 7, 902.10 1,105. 00 0 JAMKS DILLER, Cashier. $125, GOO. 00 40, 000.00 25, 929.18 30, 550. 00 120. 00 128, 842.10 5, 760. 79 1,199.20 1, 575. 00 357, 401. 27 Total.. 357,401.27 First National Bank, Newtown. EDWARD ATKINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds en hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate, and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. cei'tificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. S.C.CASE, Cashier. No. 324. $100,000.00 Capital stock paid in. 25,666.66" Surplus fund 100, 000. 00 11,978.11 Undivided profits 87, 600. 00 National-bank notes outstanding. 22, 500.00 31.270.03 State-bank notes outstanding . . . . $263, 595.63 U\ 020. 87 "" 8," 666." 66" 9, 500.00 2, 594. 96 224.23 660. 00 7. 51 13, 592. 00 7, 666. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. I Duo to other national banks Due to State banks aud bankers .. Notes and hills re-discounted. Bills payable 50.00 190,567. 73 32, 004.02 756.37 7, 000.00 1,125. 00 464, 856. 23 Total. 464, 856 23 388 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Newville. JAMES MCKEEHAN, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds oa hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,aud fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. J. B. DAVIDSON, Cashier. No. 60. Liabilities. $100, 000. 00 64, 900. 00 13, 441. 08 1, 413.25 12, 851. 82 12, 000.00 1, 044. 08 1,380.00 70.01 11,600.00 3, 600. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 50, 000.00 7, 800. 00 54, 000.00 891. 00 Individual deposits Uuited States deposits Deposits of U.S. disbursing officers 120, 262. 32 Due to other national banks Due to State banks and bankers .. 3, 796. 90 1,483.99 Bills payable 2, 700. 00 Total 338, 234. 21 338,234.21 First National Bank, Norristown. JAMES HOOVEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, amlfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. GEO. SHANNON, Cashier. No. 272. $448, 808. 22 74.00 38, 000. 00 145, 086. 00 97, 485. 06 55, 035. 89 Capital stock paid in. $150, 000. 00 100, 000. 00 15, 730. 03 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 852. 00 "' 12, 000. 66 10, 000. 00 Individual deposits 4, 052.09 United States deposits 2, 000. 00 Deposits of U. S. disbursing officers. 5,612.33 i 1,921.00 1, 668. 91 29, 820. 00 35, 383. 00 34, 200. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 582, 763. 46 5,170. 95 1,710.00 Total. 888,716.50 j 888,716.50 Montgomery National Bank, Norristown. JOHN SLINGLUFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, rents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1148. $658, 390. 67 291. 20 50, 000. 00 404,175. 00 94,736.12 39,016.47 1,671.23 30, 000. 00 1, 850. 34 2, 040. 32 458.80 2,595.00 845. 07 66,331.60 4, 272.00 W. F. SLINGLUF*, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $200, 0C0. 00 300, 0f0. 00 33, 150. 18 45, 000. 00 1, 876. 00 707, 756. 44 71, H I . 2C 2,250. 00 1, 358, 923. 82 Total. 1, 358, 923. 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 389 PENNSYLVANIA, People's National Bank, Norristown. No. 2581. S.K. ANDERS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... X S. bonds to secure deposits L U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S Dae from Treasurer U. S Total. LEWIS STYER, Cashier. Liabilities. $446,280.78 47.30 50, 000.00 138.74 16, 207.55 23, 999. 01 Caj)ital stock paid in. $200, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 13, 000. 00 10,353.10 45, 000. 00 Dividends unDaid. 13, 350. 00 3,357.00 3, 338. 32 3, 000.00 1,431.13 598.37 26, 510. 00 19, 078. 00 Individual deposits United States deposits Deposits of U.S.disbursingofh'cers. 311,882. 10 Due to other national banks Due to State banks and bankers.. 20, 341.00 Notes and bills re-discounted Bills payable 8, 810. 00 2,250.00 609, 386. 20 Total. 609, 380. 20 First National Bank, Oil City. WILLIAM HASSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.-. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. M. BERRY, Cashier. No. 173. $100,000. 00 Capital stock paid in. 20, 000. 00 Surplus fund 14, 590. 49 Undivided profits 15,150.00 22, 500.00 National-bank notes outstanding.. 92, 703. 78 State-bank notes outstanding $178, 503. 06 287.23 25, 000.00 22,741.17 1, 737. 69 14, 000. 00 1, 584. 52 1, 500.00 505. 85 1, 389. 00 64.20 54, 280.00 10, 500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . 258, 271. 59 5.709.42 Notes and bills re-discounted . Bills payable 1,125.00 Total. 421, 071. 50 421, 071. 50 Farmers' National Bank, Oxford. JAMES WOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items •Exchanges for clearing-house. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 1$. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2906. $168,365. 33 255. 51 18,750.00 12, 847.53 1,817.94 11,217.35 1, 000. 00 1, 657. 54 1,000.00 7, 484. 52 1, 604.00 7.51 5, 301. 50 3, 260.00 D. M. TAYLOR, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable $75, 000. 00 11,000. 00 4, 759. 34 118, 956. 82 8, 821.32 843. 75 235, 412. 48 Total. 235, 412.48 390 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. National Bank, Oxford. No. 728. S. R. DICKEY, President. J. E. RAMSEY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Due from other national banks. . . . Due from State banks and bankers . Bank'g-houso,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $219,190.20 1.71 50, 000. 00 33, 400. 00 37, 917. 84 4, 8J5.73 10, 408. 53 18, 000. 00 2, 508. 76 5, 500. 00 2, 085. 88 1, 985. 00 107. 73 4, 017.00 10, 027. 00 Capital stock paid in. 25, 000. 00 11, 503. 46 National-bank notes outstanding State-bank notes outstanding . . . 45, 000.00 Dividends unpaid 1,013.00 Individual deposits United States deposits Deposits of U. S. disbursing oilicers 181, GIG. 55 Due to other national banks Duo to State banks and bankers . . 13, 752. 37 Notes and bills re-discounted . Bills payable 2, 250.00 402, 885. 38 Total. $125, 000. 00 Surplus fund Undivided profits - Total. 402,885. 38 Parkesburg National Bank, Parkesburgh. E. R. PAUKE, President. N o . 2464. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. *. Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Dne from Treasurer U. S Total. M. F. HAMILL, Cashier. Capital stock paid in $50, 000. 00 3O,666.6o" Surplus fund Undivided profits . 29, 300. 00 National-bank notes outstanding. 437.84 State-bank notes outstanding 17, 000.00 3, 874. 64 $113,881.96 178. G4 20, 551 24 632. 00 8, 700. 00 430.61 1, 842.00 5. 25 11.767.61 4,000.00 27, 000. 00 Dividends u n p a i d . Individual deposits United States deposits Deposits of U.S. disbursing officers Due t o other national banks Due t o State b a n k s and b a n k e r s .. 116, 212.31 8, 992. 20 Notes and bills re-discounted. Bills payable 1, 350. 00 Total. 223, 079.15 223, 079.15 Farmers' National Bank, Pennsburgh. EDWIN' M. BENNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents Due from other national banks Dne from State banks and bankers. Ban k 'g-house, furniture, and fixture? Ot her real estate and mortg's owned Current expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national ban Its Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2334. $181, 359.00 B. F . LKIDY, Cashier. Capital stock paid in. 30,606.66 Surplus fund Undivided profits 1, 502. 50 14., 505. 66 5, 224. 51 National-bank notes outstanding.. State-bank notes outstanding " '27506*66" 10,323.34 1,791.79 0, 40i). 00 10.73 245. C O 53. 40 584. 00 io,o;s3.00 Dividends unpaid $75, 000. 00 fi, 500. 00 7, 982. 22 27, 000. 00 658. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 148, 771. 64 Due to other national banks Duo to State banks and bankers . . 21.07 Notes and bills re-discounted. Bills payable 1,350.00 2(55, 932.93 Total. 265. 932.93 REPORT OF THE COMPTROLLER OF THE CURRENCY. 3 9 1 PENNSYLVANIA. Perkiomen National Bank, Pennsburgh. JOHN N. JACOBS, President. No. 2301. F . L. FLUCK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Dae from other national banks Duo from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $285. 816*32 162.40 25, 000. 00 362,030.00 52,263. 53 8, 034. 68 5, 334.01 10, 000.00 2, 800. 00 235.27 5, 000.00 2, 232,14 Capital stock paid in. 130, 000. 00 18, 634.10 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 22, 500.00 1, 323. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks 1,470,00 Due to State banks and bankers. 26.33 4,220. 00 Notes and hills re-discounted 17, 070.00 Bills payable 504,122.84 6, 239. 68 1,125.00 782, 819. 68 Total . $100, 000. 00 Surplus fund Undivided profits Total . 782, 819. 68 First National Bank, Philadelphia. GEORGE PHILLEB, President. Loans and discounts No. 2731. MORTON MCMICHAKT i, J R . , Ckisldor. $1, 000, 000. 00 Capital stock paid in $5, 654,023.16 U. S. bonds to secure circulation... U. S. bonds to secure deposits 50, 000.00 100, 000,00 Surplus fund Undivided profits Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house^'urniturejand fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie 554, 359. 54 491,923.31 165, 953. 83 127, 2C8.76 200, 000.00 National-bank notes outstanding.. State-bank notes outstanding 20, 290. 34 31, 500. 00 36, 764.10 1,269, 543. 50 18,185. 00 3, 299.63 940, 716.00 469, 433.00 U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S. Due from Treasurer U. S 10,135, 510.17 Total 500 000.00 225, 543. 70 44, 890. 00 2, 076. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 5, 443,162. 88 8."), 000. 00 Due to other national banks Due to State banks and bankers... 2, 253, 459. 00 581, 377. 99 Notes and bills re-discounted Bills payable Total 10,135, 510.17 Second National Bank, Philadelphia. BENJAMIN EOWLAND, President. Loans and discounts O verdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house,furniture,andfixtures Other real estate and mortg'sowned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total No. 213. $763,196.33 50, 000.00 180, 355. 75 109, 813.85 69,092.01 CHAS. W. LEE, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding. Dividends unpaid j $280, 000.00 100,000.00 38,456.16 45, 000. 00 1,410.00 57, 500. 00 8,127. 89 4, 560.00 948.16 2,000.00 1, 988. 58 54, 200. 00 74, 990. 00 10, 000. 00 2, 250.00 1,389,022.57 Individual deposits United States deposits Deposits of U.S. disbursing officers. 807, 323. 97 Due to other national banks Due to State banks and bankers . . 26, 832.44 Notes and bills re-discounted . Bills payable Total. 1, 389, 022. 57 392 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Third National Bank, Philadelphia. No. 234. P. M. LEWIS, President. THOB. J. BUDD, Cashier. Liabilities. Resources. $1, 278, 0o2.11 Loans and discounts 1,877. 32 Overdrafts 50, 000. 00 TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 250, 921. 02 Stocks,securities, judgments, etc.. 158, 299. 91 Due from approved reserve agents. 193, 000.12 Due from other national banks 28,459. 54 Due from State banks and bankers 159,148.99 Bank'g-house,furniture,andfixtures 26,662.41 Other real estate and mortg's owned 16, 480.74 Current expenses and taxes paid... 2, 000. 00 Premiums on TJ. S. bonds 13, 786.27 Checks and other cash items 52, 827.04 Exchanges for clearing-house 4, 903. 00 Bills of other national banks 422.82 Fractional currency, nickels, cents . 155, 009.00 Specie 112,086. 00 Legal-tender notes 50,000.00 TJ. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 65,000. 00 22,149.80 45, 000. 00 Dividends unpaid. 348. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 1,463,955.04 Due to other national banks Due to State banks and bankers . 461,255.57 198, 457. 88 Notes and bills re-discounted . Bills payable 2, 556,166.29 Total. 2,556,166.29 Sixth National Bank, Philadelphia. J O N A T H A N M A Y , President. N o . 352. Loans and discounts Overdrafts TJ. S. b o n d s t o s e c u r e c i r c u l a t i o n . . . U . S. b o n d s t o s e c u r e d e p o s i t s U. S. bonds o n h a n d Stocks, securities, judgments, etc.. Due from approved reserve agents Duo from other national banks Duo from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... | Premiums on U. S. bonds ; Checks and other cash items j Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $861,330.56 H O B E K T B. S A L T E R , Capital stock paid in. " "37,"566" OO" Surplus fund Undivided profits. 18, 701. 90 National-bank notes outstanding.. State-bank notes outstanding 99, 585. 27 36, 672.14 3, 218.00 51,181. 24 12,154. 30 6, 851.44 5, 311.25 6,218.21 15,271. 75 5, 692. 00 224.18 180, 612. 50 17, 485.00 Cashier. $15O7OOO. 00 Dividends unpaid . 125, 000. 00 49,414.63 33, 750. 00 177.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 1, 001, 275. 65 1,407. 78 1,687.50 1,327.82 Total. 1, 361, 025.06 1, 361, 025.06 Seventh National Bank, Philadelphia. R. L. BEOWNFIELD, President. Total H. H. PAUL, Cashier. No. 413. Loans and discounts $1,099,196.50 1 7.54 Overdrafts 50 000.00 U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand 18,297.35 Stocks, securities, judgments, etc.. 141, 756.90 Due from approved reserve agents. 65,366.60 Due from other national banks 19,885.91 Due from State banks and bankers. 100,000.00 Bank'g-honse, furniture,and fixtures 34, 850.00 Other real estate and mortg's owned Current expenses and taxes paid... 11 412 38 4, 000.00 Premiums on U. S. bonds 10,198.01 Checks and other cash items 68, 674. 59 Exchanges for clearing-house 830.00 Bills of other national banks 406.97 Fractional currency, nickels, cents 121 962.50 Specie . Legal-tender notes 39 480.00 20, 000.00 U.S. certificates of deposit Redemption fund with Treas. U. S . 2, 250.00 Due from Treasurer U. S 1, 808. 575.31 Capital stock paid in Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $250, 000. 00 30, 000. 00 25, 546. 74 45, 000.00 2, 351. 00 Individual deposits United States deposits Depositsof U.S. disbursing officers. 1,135, 330. 77 Due to other national banks Due to State banks and bankers . . 227, 552. 99 92, 793. 81 Notes and bills re-discounted . . . Bills payable . Total 1,808,575.31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 393 PENNSYLVANIA. Eighth National Bank, Philadelphia. No. 522. JACOB NAYLOU, President. J. A. IBWIX, Cashier. Liabilities. Kesources. $1, 778, 342.47 Loans and discounts 2, 931. 01 Overdrafts 50, 000.00 U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand 90, 000. 00 Stocks, securities, judgments, etc .. 138, 382. 82 Due from approved reserve agents. 99, 993. 22 Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures 50, 000.00 Other real estate and mortg's owned Current expenses and taxes paid .. 8,008.54 Premiums on TJ. S. bonds 10, 000.00 5, 910. 79 C hecks and other cash items 52,331.16 Exchanges for clearing-house 11, 017. 00 Bills of other national banks 118.00 Fractional currency, nickels, cents. Specie 214, 0E4.00 Legal-tender notes 147, 534.00 40,000. C O U. S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S . Due from Treasurer U. S 2,700,873.61 Total . $275, 000.00 Capital stock paid in Surplus fund . . ... Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 365, 000. 00 34, 053.85 44, 430.00 1,194.00 Individual deposits United States deposits DepositsofU.S.disbursing officers. Due to other national banks Due to State banks and bankers.. 1,980,171.13 223. 52 801.11 Notes and bills re-discounted Bills payable Total 2, 700, 873. 01 Ninth National Bank, Philadelphia. No. 3371. JOHN DICKEY, President. $1,033,563.21 Loans and discounts 868. 87 Overdrafts 50,000.00 •U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand 6, 250.00 Stocks, securities, judgments, etc . . 135,994.13 Duo from approved reserve agents. 75,197. 95 Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures 51, 424.95 Other real estate and mortg s owned 7, 823. 99 Current expenses and taxes paid... 9, 750.00 Premiums on U. S. bonds 4, 046.86 Checks and other cash items 34, 878.07 Exchanges for clearing-house 4, 000. 00 Bills of other national banks 1, 374. 99 Fractional currency, nickels, cents . 94, 084. 50 Specie 32,181.00 Legal-tender notes U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S . Due from Treasurer U. S Total. CHAS. H. BILES, Cashier. $300, 000. 00 Capital stock paid in Surplus fund Undivided profits 78, 000,00 45,187.6") National-bank notes outstanding. State-bank notes outstanding 42, 700. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Duo to other national banks Due to State banks and bankers .. 1,071,947.77 6, 433. 66 19.44 Notes and bills re-discounted . Bills payable 1, 544, 288. 52 Total 1,544,288.52 Tenth National Bank, Philadelphia. JOHN K. CUMING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 342'J. $647, 391.93 1, 422.47 50, 000. 00 35, 625.11 36, 413.54 2, 370.96 1, 500. 00 7, 275.19 3, 000.00 1, 948. 90 31,897.50 2, 200. 00 544.83 38, 786.00 53, 883. 00 Capital stock paid in. WALTER SCOTT, Cashier. $200, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted . 22, 50". 00 19,881.80 45, 000. 00 610, 736. 66 899. 84 17, 491.13 Bills payable 2, 250.01) 916, 509.43 Total. 916,509.43 394 REPORT OF THE'COMPTROLLER OF THE CURRENCY. Bank of North America, Philadelphia. J. H. MICHENEB, President No. 602. Kesources. Loans and disconnts Overdrafts U. S. bonds to secure circulation .. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fi xtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total $5, 312, 637. 61 50, 666. 66 4,258.48 515,812.83 20, 638. 91 o:>, ooo. oo 15,159.38 38,195. 61 662,380.16 8, 645.00 2, 966.85 471,564.20 'JO, 450.00 280, 000.00 2, 250. 00 JNO. H. WATT, Cashier. Liabilities. $1, 000, 000. 00 Capital stock paid in . 1, 200, 000,00 Surplus fund 294,311.02 Undivided profits 45, 000. 00 National-bank notes outstanding . State-bank notes outstanding 5,210.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 3, 704, 397.88 Due to other national banks Due to State banks and bankers .. 867, 739. 06 403, 295. 07 Notes and bills re-discounted. Bills payable Total 7,519,959.03 7,519,959.03 Centennial National Bank, Philadelphia. C. H. CLAKK, President. No. 2317. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificate-* of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total- $1,186, 946. 94 50," 000." 66 414, 852.89 232,314.48 82, 557.30 10, 260. 86 81, 705. 37 7, 568. 32 10, 067.27 115,159. 93 13, 970. 00 210.44 109,298. 00 100, 220.00 40, 000.00 2,250.00 J . M. COLLINGWOOI), Cashier. Capital stock paid in . . $300, 000. 00 Surplus fund Undivided profits. 150, 000.00 23, 877. 53 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . 45, 000. 00 80. 00 Tndi vidual deposits United States deposits Deposits of U.S.disbursing officers. 1,370, J-98. 78 Due to other national banks Due to State banks and bankers.. 367, 000.49 200, 525.00 Notes and bills re-discounted. Bills payable 2,457, 381. S Total. 2,457,381.80 Central National Bank, Philadelphia. GEORGE M. TBOUTMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bond3 to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents. Specie . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 723. TIIEO. TVITCIILN, Cashier. Capital stock paid in . 56" 066.* 66" Surplus fund Undivided profits 218,000.00 National-bank notes outstanding. 339, 745. 56 State-bank notes outstanding;. $5, 638,248. 39 324,096.14 24, 962. 70 17, 446.32 26, 534. 64 70,101.84 70t.0G8.01 2, 600.00 449.33 914,583.00 148,084.00 Dividends unpaid Individual deposits United States deposits Depositsoi'U.S.disbursiugoffu'ers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable $750, 000. 00 1, 200, OOO. 00 167, 988. 53 45, OO'J. 00 3, 883, 509.21 1,990,023.20 444, 648.99 2, 250. 00 8,481,169.93 Total. 8,481,169.93 REPORT OF THE COMPTROLLER OF THE CURRENCY. 395 PENNSYLVANIA. Chestnut Street National Bank, Philadelphia. ROBERT E. PATTISON, President. No. 3723. W; . STKELE, Cashier. Resources. Liabilities. $1, 538, 353.43 Capital stock paid in Loans and discounts 1 384.49 Overdrafts . . . --- . . . . 50, 000. 00 U. S. bonds to secure circulation... Surplus fund 100, 000. 00 U. S. bonds to secure deposits Undivided profits U S bonds on hand Stocks, securities, judgments, etc . . National-bank notes outstanding. 144, 808. 92 Due from approved reserve agents. State-bank notes outstanding . . . . . 139, 960. 98 Duo from other national banks 16, 658. 77 Dividends unpaid Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and inortg's owned Individual deposits 15, 393.16 United States deposits Current expenses and taxes x>aid... 38,000. DO ( Deposits of U. S. disbursing officers. Premiums on U. S. bonds 8,550.11 ! Checks and other cash items 218, 138. 08 1 Duo to other national banks Exchanges for clearing-house 1,525.00 i Due to Stato banks and bankers . . Bills of other national banks 393.08 i Fractional currency, nickels, cents . 95 298 50 j Notes and bills re-discounted Specie 84,620.00 1 Legal-tender notes U S certificates of deposit 2,250.00 Redemption fund with Treas. U. S. 2,000.00 Due from Treasurer U. S 2,457,433.52 | Total Total $500,000,00 50 000. 00 41,331.95 45, 000. 00 1,321,579.21 102,000.00 220, 316. 90 177, 205.46 2,457, 433. 52 City National Bank, Philadelphia. JosiAi-i KISTERBOCK, J R . , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 543. , 389, 504.89 91.46 50, 000. 00 244,938.43 100,000.00 98, 546. 50 9, 434.13 85, 900. 00 i6,H75." 58 9, 861. 50 20, 714. 67 3, 682. 00 265.00 197, 956. 36 50,144. 00 60,000.00 2, 250. 00 G. A. LEWIS, Cashier. Capital stock paid in $400, 000.00 Surplus fund Undivided profits 450, 000. 00 50, 509. 26 National-bank notes outstanding.. State-bank notes outstanding .. Dividends unpaid 399. 50 Individual deposits United States deposits Deposits of U. S. disbursing officers Duo to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 2,339, 664. 52 41,390.00 Total. 1, 395, 742. 58 1, 623.18 2, 339, 664. 52 Commercial National Bank of Pennsylvania, Philadelphia. GEORGE L. KNOWLES, President. Loans and discounts O ve rd raf t s ---U. S. bonds to secure circulation . . . U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved resorve agents Duo from other national banks . . . Due from State banks and bankers Bank'g-houso,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalibanks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 556. $2,213,912.01 50, 665. 66" 64, 650.00 216,019.26 242, 66'J. 62 22, 359. 24 120,000.00 1,404.71 18, 731. 84 13, 000,00 10,516.44 77, 5ti6.95 6, 003.00 1, 396.47 178,644.00 128, 965.00 20, 000. 00 2,250. 00 90.00 3, 388, 201. 54 E, p . GRAHAM, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $810, 000. 00 221, 000. 00 41, 690. 33 45, 000.00 3, 602. 75 Individual doposits United States deposits Deposits of U. S. disbursing officers. 1, 836, 953. 48 Due to other national banks Duo to State banks and bankers .. 306, 067. 54 123, 887.44 Notes and bills re-discounted . Bills payable Total. 3,388,201.54 396 KEPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Commonwealth National Bank, Philadelphia. HORATIO N. BURROUGHS, President No. 623. EFFINGHAM PEROT, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national ban Ks — Due from State banks and bankers. Bank'g-house, furniture, andfixtures Otber real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds . Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ... Redemption fund with Treas. U. S. Due from Treasurer U. S Total., $442, 211.15 '""5O,"666.~66' 772.76 29,459.98 56, 933.96 2, 9'01. 78 7, 500. 00 7, 640.89 12, 250.00 7,916.47 15, 494.57 2, 889.00 101. 55 40, 057. 05 20, 609. 00 Capital stock paid in. $208, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding.... Dividends unpaid. 9,500.00 10, 280.90 43, 500.00 372.10 Individual deposits United States deposits Deposits of CT.S. disbursing officers. 409, 382.22 Due to other national banks Due to State banks and bankers.. 3,032. 80 14, 920.14 Notes and bills re-discounted Bills payable 2,250.00 698,988.16 Total 698, 988.16 Consolidation National Bank, Philadelphia. JAMES V. WATSON, President. No. 561. Loans and discounts $1, 239, 527.17 Overdrafts U. S. bonds to secure circulation... 50* 000.'66' U. S. bonds to secure deposits U. S. bonds on hand 97, 989.49 Stocks, securities, judgments, etc.. 130, 000. 00 Due from approved reserve agents 125,0815. 53 Due from other national banks 10,145.49 Due from State banks and bankers. 74, 320.90 Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... 10, 521. 86 Premiums on U. S. bonds 11,327.28 Checks and other cash items 26, 706.98 Exchanges for clearing-house 955. 00 Bills of other national banks 194. 36 Fractional currency, nickels, cents. 95,437. 00 Specie 65, 825.00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total WILLIAM H. WEBB, Cashier. Capital stock paid i n . $300,000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding. Dividends unpaid. 300, 000.00 74, 262. 27 43, 750. 00 900.00 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 1,172, 757.49 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 31,132. 20 17, 485.10 Total 1,940,287.06 1,940,287.06 Corn Exchange National Bank, Philadelphia. J . WESLEY SUPPLEE, President. No. 542. $1, 814, 860.21 Loans and discounts 220.2J Overdrafts 50,000.00 U. S. bonds to secure circulation... 100, 00 •. 00 U. S. bonds to secure deposits U. S. bonds on hand 74, 885. 50 Stocks, securities, judgments, etc.. 114,268.15 Due from approved reservo agents. 2.-)0,719.55 Due from other national banks 28, 878.07 Due from State banks and banker3. 150, 000. 00 Bauk'g-house.furniture.andfixtures 12,670.32 Other real estate andmortg's owned 18,038.44 Current expenses and taxes paid. . 42, 750.00 Premiums on U. S. bonds 15,052.87 Checks and other cash items 127, 394. 84 Exchanges for clearing-house 4,800.00 Bills of other national banks 20. 89 Fractional currency, nickels, cents. 79, 638. 00 Specie 134, 781. 00 Legal-tender notes U. S. certificates of deposit 2,250.00 Redemption fund with Treaa. U. S. 1, 000. 00 Due from Treasurer U. S Total 3,022,228.06 J . B. STEWART, Cashier. i Capital stock x>aid in. Surplus fund Undivided profits. National bank notes outstanding.. State-bank notes outstanding Dividends unpaid $500, 000. 00 250, 000. 00 73, 091. 91 45, 000. 00 1,627.00 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 1,257,733.43 110,000.00 Due to other national banks Due to State banks and bankers.. 582, 207.14 202, 568. 58 Notes and bills re-discounted. Bills payable Total 3,022,228.06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 397 PENNSYLVANIA. Farmers and Mechanics7 National Bank, Philadelphia. ft. W. BELL, President. No. 538. H. C. STROUP, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits O. S. bonds on hand Stocks, securities, judgments, etc . . Due from approveu reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $7,898, 111. 26 ""466,'666.'66' 312,333.40 461,460.60 613, 509.15 55, 941. 22 247, 000. 00 69, 237.13 44,442. 28 12, 087. 50 47,411.80 1,381,052.97 11, 020. 00 902.78 753, 913. 00 283,192.00 560, 000. 00 18, 000.00 Capital stock paid in. $2, 000, 000.00 Surpl us fund p n Undividd profits. divided National-bank notes outstanding . State-bank notes outstanding Dividends unpaid. 600, 000.00 88, 295.61 360, 000. 00 8, 369. 75 Individual deposits United States deposits DepositsofU.S.disbursingofficers. Due to other national banks Due to State banks and bankers . . 8, 947, 441. 98 977, 934. 56 188,173.19 Notes and bills re-discounted . Bills payable 13,170,215.09 Total. 13,170,215.09 Fourth Street National Bank, Philadelphia. GEORGE F. TYLER, President pro tern. No. 3557. R. H. RUSHTON, Cashier. Loans and discounts $1, 500, 000. 00 $4,424, 265. 52 Capital stock.paid in. O verdrafts 50, 000.00 Surplus fund U. S. bonds to secure circulation . . . 200, 000. 00 960,000. 00 Undivided profits. U. S. bonds to secure deposits 144, 538.16 U. S. bonds on hand 455, 865. 83 National-bank notes outstanding. Stocks, securities, judgments, etc . . 45, 000. 00 743, 913. 98 State-bank notes outstanding Due from approved reserve agents. 441, 029. 75 Due from other national banks 52,130.14 Dividends unpaid . Due from State banks and bankers. Bank'g-house, furniture, andfixtures 3,474,118.12 Other real estate and mortg's owned Individual deposits 31,136.15 United States deposits Current expenses and taxes paid... 1, 055, 000. 00 109, 243. 75 DepositsofU.S.disbursing officers. Premiums on U. S. bonds 92,074. 69 Checks and other cash items 358, 535. 62 Due to other national banks Exchanges for clearing-house 1,408,273.71 16, 005. 00 Due to State banks and bankers.. 624, 913. 01 Bills of other national banks 122.67 Fractional currency, nickels, C6nts. 555, 946. 50 Notes and bills re-discounted. Specie 109, 324.00 Bills payable Legal-tender notes 50, 000.00 U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S. Due from Treasurer U. S 8, 451,843.60 Total., Total 8,451,843.60 Girard National Bank, Philadelphia. DANIEL B. CUMMINS, President. No. 592. $5, 836, 399. 80 Loans and discounts Overdrafts 50," 000." 66' U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . 505, 458. 60 Due from approved reserve agents 535, 277. 72 Due from other national banks 90, 627. 05 Due from State banks and bankers Bank 'g-houso, furniture, andfixtures Other real estate and mortg's owned 33,138. 48 Current expenses and taxes paid... Premiums on U. S. bonds 88, 063.58 Checks and other cash items 576, 812.77 Exchanges for clearing-house 23, 346.00 Bills of other national banks 702. 64 Fractional currency, nickels, cents762, 706. 50 Specie 94, 640. 00 Legal-tender notes 60, 000. 00 U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S Due from Treasurer TJ. S Total 8,659,423.14 J . G. WHITEMAN, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. $1,000, 000. 00 1, 000, 000.00 207, 672. 75 45, 000. 00 2, 684. 64 Individual deposits United States deposits Deposits of U. S. disbursing officers. 4, 091, 642. 76 Due to other national banks Due to State banks and bankers... 1, 734,250. 68 518,172.31 Notes and bills re-discounted. Bills payable Total. 8,659,423.14 398 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, Independence National Bank, Philadelphia. No. 3085. K. L. AUSTIN, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IJ. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents I) JO from other national banks Duo from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.-. Premiums on U. S. bonds C hecks and other cash items Exchanges for clearmg-houso Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. THEO. E. WIEDEKSHKIM, Cashier. Liabilities. $1, 412, 549.17 1.59 50, 000.00 104,552. 50 189, 080.75 151, 399.30 28.687.0i 126,304.91 18, 456. 70 1, 802. 00 19, 920. 86 167, 943. 08 2, 993. 00 262. C O 185, 524.10 62,116.00 10, 000. 00 2, 250. 00 2,000.00 Capital stock paid in. Surplus fund , Undivided profits National-bank notes outstanding. State-bank notes outstanding . . . . Dividends unpaid . Individual deposits , United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers ., Notes and bills re-discounted. Bills payable Total. 2,535,843.60 $500, 000. 00 100,000. 00 37, 253.18 43, 860. 00 107. 50 1,458,092.45 343, 117. 88 53, 412. 59 2, 535. 843.60 Kensington National Bank, Philadelphia. E. A. LANDELL, President No. 544. L o a n s a n d discounts Overdrafts U. S. b o n d s t o secure c i r c u l a t i o n . . . IT. S. b o n d s t o secure deposits U. S. b o n d s on h a n d Stocks, securities, j u d g m e n t s , e t c . . D u e from a p p r o v e d reserve a g e n t s . D u e from o t h e r national b a n k s D u o from S t a t e banks and b a n k e r s . Bank'g-house, furniture, andfixtures O t h e r real e s t a t e a n d mortg's owned C u r r e n t expenses and t a x e s p a i d . . . P r e m i u m s on U . S. bonds C h e c k s and o t h e r cash i t e m s E x c h a n g e s for clearing-house Bills of o t h e r national b a n k s F r a c t i o n a l currency, nickels, c e n t s . Specie Logal-tender notes U. S. certificates of deposit R e d e m p t i o n fund w i t h T r e a s . U. S. D u e from T r e a s u r e r U. S Total. $1,181,912.35 662.57 50, 000. 00 31,250. 66 273, 358.40 110,727.19 1, 872.60 70, 000. 00 79, 500. 00 11,665.10 2, 500.00 3,896.61 38,508. 91 13, 304.00 543. 52 116, 303.00 68, 053. 00 20, 000. 00 2,250. 00 2,076, 307. 94 HENRY MCCONNELL, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable Total. $250, 000. 00 200, ooo. on 47,160.88 45, COO. 00 1,380. 75 1, 531, 662. 57 1,103. 74 2, 076, 307.94 Keystone National Bank, Philadelphia. JOHN C. LUCAS, President, Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved resorve agents. Duo from other national banks Duo from State banks and bankers B;mk'£-houso,furniture,andnxture8 Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specio Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. G. W. MAKSII, Cashier. No. 2291. $500, 000. 00 Capital stock paid in Surplus fund 90, 000.00 28, 031.16 Undivided profits National-bank notes outstanding.. 45, 000. 00 State-bank notes outstanding 80,718. 29 $1, 379, 006. 55 1, 503. 72 50, 000. 00 16.1,82 LOO 45, 351. 46 10, 000. 00 15, 373. 26 3. 999. 32 7, 949. 54 240, 540, 34 1, 500. 00 282. 97 56, 000. C O 158, 000. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. dis bursing officers. Due to other national banks Due to Stato banks and bankers .. Notes and bills re-discounted. Bills payable 507. 50 1,462,127.51 74,660. 05 15, 970. 23 2, 250.00 2,216, 296.45 Total. 2,216, 2P6.45 REPORT OF THE COMPTROLLER OF THE CURRENCY. 3 9 9 PENNSYLVANIA. Manayunk National Bank, Philadelphia. DAVID WALLACE, President. No. 3604. Jxo. J . FOULKIIOD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixturos Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Leeal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. Liabilities. $881,106.41 587.44 30, 000. 00 32,000. 00 61, 265.06 42, 573. 43 24,'000.'66 25, 993. 00 3,994. 60 5, 025. 77 557. 70 1,224.00 657. 33 154, 470.10 26, 500. 00 Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding . . Dividends unpaid 100, 000. 00 47, 530.13 45, 000.00 1, 029. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 904, 032. 97 Due to other national banks Due to State banks and bankers . . 19,612.74 Notes and bills re-discounted.. Bills payable 2, 250. 00 5, 000. 00 Total . 1, 317, 204. 84 1, 317, 204.84 Manufacturers' National Bank, Philadelphia. JOHN W. MOFFLY, President. No. 557. W. H. HEISLEU, Cashier. $2,156, 815. 37 Capital stock paid in. Loans and discounts O verdrafts U. S. bonds to secure circulation... 50, 000.00 I Surplus fund U.S. bonds to secure deposits I Undivided profits. U. S. bonds on hand 15, 340. 00 Stocks, securities, judgments, etc . . National-bank notes outstanding.. 160, 663. 78 Due from approved reserve agents. State-bank notes outstanding 213,582.00 Due from other national banks 5,216.47 Duo from State banks and bankers. Dividends unpaid 125,000. 00 Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Individual deposits Current expenses and taxes paid... 15, 632.44 United States deposits 2, 000.00 Premiums on U. S. bonds Deposits of U.S. disbursing officers. 7, 266.11 Checks and other cash items 55, 826. 21 Exchanges for clearing-house Due to other national banks 3, 465. 00 Hills of other national banks Due to State banks and bankers . . 9, 250. 62 Fractional currency, nickels, cents. 146.263. 50 Notes and bills re-discounted. Specie 80, 230. 00 Bills payable Legal-tender notes 60, 000. 00 U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S.. Due from Treasurer U. S Total 3,114,801.50 Total $935, 000.00 100, 000. 00 41, 893. 79 45,000. 00 1, 405, 798.95 403,205. 55 183, 843. 21 3,114,801.50 Market Street National Bank, Philadelphia. CHAKLES H. BANES, President. No. 3684. Loans and discounts $1,684,285.90 Overdrafts so," 666* 66' U. S. bonds to secure circulation . . U. S. bonds to securo deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 168, 307.17 Due from approved reserve agents 125, 958.14 Due from other national banks 4,194. 81 Duo from State banks and bankers 110, 000. 00 Bank' g-honse, furniture, andtixtures. Other real estate and mortg'sowned 12, 676. 37 Current expenses and taxes paid.. 13, 000. 00 Premiums on U. S. bonds 15, 145. 71 Checks and other cash items 54, 575. 71 Exchanges for clearing-house 5, 538.00 Bills of other nationaljbanks 1,109. 59 Fractional currency, nickels, cents. 188, 775. 00 Specie 30, 359. 00 Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S . Duo from Treasurer U. S Total. 2,466,175.40 15. F. DBNNIBSON, Cashier. Capital stock paid in. $600, 000.00 Surplus fund Undivided profits 45, 000. 00 37, 756. 05 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 447, 432. 56 Due to other national banks Due to State banks and bankers . . 273, 982. 74 17, 004. 05 Notes and bills re-discounted. Bills payable Total 2,466,175.40 400 REPORT OF THE COMPTROLLER OF THE CURRENCY. Mechanics' National Bank, Philadelphia. JOHN EOMMEL, JR., President. N o . 610. W. UNDKUDOVTO, Cashier. Resources. Liabilities. $2, 231,105. 51 Loans and discounts 457. 85 Overdrafts 50,000.00 TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand 2, 470.00 Stocks, securities, judgments, etc .. 13G, 525.10 Due from approved reserve agents. 167, 580. 53 Due from other national banks 40, 502. 77 Due from State banks and bankers. Bank'g-house, furniture, andfixtures lao, ooo. oo Other real estate and mortg's owned 2, 738. G O Current expenses and taxes paid... 17,575.06 Premiums on U. S. bonds 8,142.05 Checks and other cash items I 94, 673.97 Exchanges for clearing-house 1,698.00 Bills of other national banks 135. 98 Fractional currency, nickels, cents . 145, 351. 53 Specie 179, 057. 00 Legal-tender notes 10, 000.00 TJ. S. certificates of deposit 2, 250.00 Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . Capital stock paid in. $800,000. 00 Surplus fund Undivided profits 265, 000. 00 47, 753. 47 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 45, 000. 00 4, 468. 57 Individual deposits 1, 664, 318. 38 United States deposits Deposits ot'U. S. disbursing officers Due to other national banks Due to State banks and bankers .. 365,115.60 28, 607. 93 Notes and bills re-discounted. Bills payable Total . 3,220, 263. 95 3,220,263.95 Merchants' National Bank, Philadelphia. WILLIAM WOOD, President. No. 2462. $2,513,060. 70 Loans and discounts 20. 67 Overdrafts 50, 000.00 U. S. bonds to secure circulation . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 284, 944.19 Due from approved reserve agents. 4B7.ldO.56 Due from other national banks 68, 554. 24 Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned 19,325.41 Current expenses and taxes paid. 3, 000. 00 Premiums on U. S. bonds 29, 308. 32 Checks and other cash items 226, 075. 01 Exchanges for clearing-house 8, 500. 00 Bills of other national T>anks 686.94 Fractional currency, nickels, cents . 163, 597. 50 Specie 145, 357. 00 Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S 23, 000. 00 Due from Treasurer TJ. S Total HAETMAN BAKEU, Cashier. Capital stock paid in . .$600, 000.00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding..'.. 80, 000. 00 70, 720.36 45, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers 1, 584, 055.42 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1, 155, 740. 04 293, 324.71 3,834,840.53 Total. 3,834,840.53 National Bank of Commerce, Philadelphia. PETER C. HOLLIB, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from Slate banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 547. $668,425. 77 21.99 50,000. 00 J. A. LEWIS, Cashier. Capital stock paid in . $250, 000. 00 65, 766. 44 "7,616.99 1, 438.11 26,101.06 3, 460. 00 310.19 119,684.25 34, 330. 00 20, 000. 00 2, 250. 00 1,045,40480 90, 000. 00 25, 214. 54 National-bank notes outstanding. State-bank notes outstanding "46,'o66.'66" Surplus fund Undivided profits. 39, 900. 00 Dividends unpaid. 105. 00 Individual deposits United States deposits Depositsof U. S. disbursing officers. 493, 840. 52 Due to other national banks Duo to State banks and bankers . 91,070.01 55, 274. 73 Notes and bills re-discounted . Bills payable Total 1,045,404. EEPORT OF THE COMPTROLLER OF THE CURRENCY. 4 0 1 PENNSYLVANIA. National Bank of Germantowii, Philadelphia. W. WYNNE WISTBK, President. No. 546. CANBY S. TYSON, Cashier. Liabilities. Resources. $1, 253, 505. 56 Capital stock paid in Loans and discounts 279. 27 Overdrafts 50, 000. 00 Surplus fund V. S. bonds to secure circulation ... TJ. S. bonds to secure deposits Undivided profits U. S. bonds on hand 124, 275. 00 National-hank notes outstanding.. Stocks, securities,judgments, etc.. 119, 148. 78 Stare-bank notes outstanding Due from approved reserve agents. 54, 972. 35 Due from other national banks Due from State banks and bankers. Dividends unpaid Bank'g-house,furniture, and fixtures Other real-estate and mortg's owned Individual deposits Current expenses and taxes paid .. 13, 225.50 United States deposits Premiums on U. S. bonds 5, 508. 32 Deposits of U. S.disbursing officers. Checks and other cash items Due to other national banks Exchanges for clearing-house Bills of other national banks 4, 627. 00 Due to State banks and bankers.. Fractional currency, nickels, cents. 3, 021.29 Notes and bills re-discounted. 167,170.20 Specie 78, 308.00 Bills payable Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250.00 Due from Treasurer IT. S 1,935,941.47 Total. Total. $200, 000. 00 200, 000. 00 86, 699. 74 45,000. 00 1, 299. 00 1,358,094.31 4i, 848. 42 1,935,941.47 National Bank of the Northern Liberties, Philadelphia. WILLIAM GTUMMERE, President. No. 541. $2,803,080.38 Loans and discounts 356.32 Overdrafts 50, 000.00 U. S. bonds to secure circulation . . . U. S. bonds to secure deposits 600.00 U. S. bonds on hand 32, 454.79 Stocks, securities, judgments, etc.. 269, 872.68 Due from approved reserve agents. 330, 718.63 Due from other national banks 20, 709. 52 Due from State banks and bankers. Bank'g-house.furniture, and fixtures 109, 000. 00 Other real estate and mortg's owned Current expenses and taxes paid... 12, 219.90 Premiums on U. S. bonds Checks and other cash items 21, 712. 53 80,705.45 Exchanges for clearing-house 7, 702.00 Bills of other national banks 449. 95 Fractional currency,/nickels, cents. 331, 956. 09 Specie 117, 287. 00 Legal-tender notes U. S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S. 600. 00 Due from Treasurer U. S Total J . RAPSON, Cashier. Capital stock paid in Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding. Dividends unpaid 600, 000. 00 135, 956.24 45, 000. 00 1,461.40 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 4,191,675.24 $500, 000.00 Total. 2, 786, 691. 83 120, 561. 57 2, 004.20 4,191, 675.24 National Bank of the Republic, Philadelphia. WILLIAM H. EHAWN, President. No. 1647. Loans and discounts $1,970,238.26 Overdrafts U. S. bonds to secure circulation... 50," 000." 66" U. S. bonds to secure deposits U. S. bonds on hand 144,883.34 Stocks, securities, judgments, etc.. 182. 984.30 Duo from approved reserve agents 177, 994.75 Due from other national banks 26,825.21 Due from State banks and bankers. 112, 812. 33 Bank'g-house,f'urniture,and fixtures Other real estate and mortg's owned 20, 962. 92 Current expenses and taxes paid... 11, 500. 00 Premiums on U. S. bonds 35, 205.39 Checks and other cash items 415, 444. 79 Exchanges for clearing-house 5, 000. 00 Bills of other national banks 2, 070. 00 Fractional currency, nickels, cents. Specie 207,292.21 Legal-tender notes 42, 071. 00 U. S. certificates of deposit 30, 000. 00 Redemption fund with Treas. U. S. 2, 250.00 Due from Treasurer U. S 12, 000. 00 3, 449,564. 50 Total. H. Ex. 3 26 J. P. MUMFOKD, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $oOO, 000.00 Dividends unpaid Individual deposits , United States deposits Deposits of U.S. disbursing officers 1, 344.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable Total. 300,000.00 80,568. 56 45, 000.00 1,161, 896. 59 1,106, 605. 85 254,149. 50 3,449, 564. 50 402 REPORT OF THE COMPTROLLER OF THE CURRENCY. P E N JVS I L V A N I A . National Security Bank, Philadelphia. ISAAC A. SHEPPABD, President. No. 1743. GEORGE W. COX, Cashier. Resources. Loans and discounts Overdrafts IJ. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national banks Due from. State banks and bankers. Bank'g-bouse,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund witfi Treas. U. S. Due from Treasurer IT. S Total Liabilities. $1,124, 733. 85 50," Q00- 66' 142,982. 51 73,169.99 297.72 84, 500. 00 4,965.93 4,000. 00 12,490. 20 42,174.16 5,706.00 1, 500. 30 52, 762. 00 90,430.00 Capital stock paid in. $250,000.00 Surplus fund Undivided profits 120, 000. CO 33, 513.57 National-bank notes outstanding. State-bank notes outstanding 45,000.00 Dividends unpaid 1, 576.00 Individual deposits United States deposits Deposits of IT. S. disbursing officers. 1, 242, 514. 45 Due to other national banks Due to State banks and bankers .. 2, 358. 64 Notes and bills re-discounted . Bills payable 2,250.00 3,000.00 1,694,962.66 Total. 1 694,962. 66 Northwestern National Bank, Philadelphia. JAMES B. DOYLE, President. No. 3491. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Due from other national banks Duo from State banks and bankers. Ban k'g-houae, furniture, andfixtures Other real estate and mortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with? Treas. U. S. Due from Treasurer U. S Total $941, 813.97 83.09 50, 000.00 JOS.CHANNON, Cashier. Capital stock paid in | Surplus fund Undivided profits . $200,000.00 45, 000.00 22, 274.46 National-bank notes outstanding.. 69,490. 51 State-bank notes outstanding 27,661.40 992.86 Dividends unpaid. 64, 836.32 Individual deposits 7,316.28 United States deposits 10,000.00 Deposits of U. S. disbursing officers. 14,127. 57 12,263.15 Due to other national banks 1,447. 00 Due to State banks and bankers . . 1, 056. 79 32,429.00 Notes and bills re-discounted. 92, 737. 00 Bills payable 45, 000. 00 1,014,483.59 1, 452.65 294.24 2,250.00 1,328,504.94 Total 1,328,504.94 Penn National Bank, Philadelphia. S. S. SHARP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . No. 540. $2,423,285.33 50," 666.'66' 46,000.00 304,821.12 119,332.71 9,747.73 154,970.03 . 17,677.09 3, 000. 00 1, 258.93 119, 872. 71 830. 00 4, 088.96 229,455. 65 92, 745.00 H. G. CLIFTON, Cashier. Capital stock paid in. Surplus fund Undivided profits., National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $500, 000. 00 250, 000. 00 67, 087.90 45, 000. 00 924. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2,471,004.20 Due to other national banks Due to State banks and bankers .. 147, 352.31 97,966.85 Notes and bills re-discounted . Bills payable 2, 250. 00 3,579,335.26 Total. 3,579,335.26 REPORT OF THE COMPTROLLER OF THE CURRENCY. 403 PENNSYLVANIA. Philadelphia National Bank, Philadelphia. No. 539. BENJAMIN B. COMEGYS, President J . W. TOKREIT, Cashier. .Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers, j Btmk'g-house, furniture, and tixtureS| Other real estate and mortg's owned Current expenses and taxes paid... i Premiums on U. S. bonds. — Checks and other cash items ; Exchanges for clearing-house i Bills of other national banks j Fractional currency, nickels, cents.i Specie Legal-tender notes U. S. certiiicates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $5,881,830.81 56,666.06 110, 715.00 479,461.88 304, 655. 83 134, 712.60 250, 000. 00 41, 012.27 1, 907, 218. 01 4,760.00 795.65 570, 472. 40 127, 992. 00 70, 000. 00 2,250.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 9, 935, 876.45 Total. Total. $1, 500, 000. 00 900, 000.00 210, 609.97 45, 000.00 2, 712.00 5,811,939.41 1,168, 205.20 297, 409. 87 9, 935, 876.45 Produce National Bank, Philadelphia. DANIEL G-. EVANS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. J . j Due from approved reserve agents, j Due from other national banks j Due from State banks and bankers, j Bank'g-house,furniture,andfixturesi Other real estate andmortg's owned!. Current expenses and taxes paid... j Premiums ou U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in. 50, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. 71, 086. 33 State-bank notes outstanding 77, 814.86 3,403.81 5, 000.00 I n d i v i d u a l deposits 7, 12, 5, 42, 2, 868. 84 500.00 666.29 732. 06 500. 00 293. 43 34, 730. 00 40,135.00 $300, 000. 00 38, 000.00 15,807. 02 45, 000. 00 Dividends unpaid. United States deposits Deposits 0 f U. S. disbursing officers. Due tcother national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 637, 963. 92 11,158.99 344.11 2,250. 00 1, 048, 274. 04 Total. T. N. YATEB, Cashier. No. 3507. $692,273.42 Total 1,048,274.04 Quaker City National Bank, Philadelphia. JOSEPH G. DITAIAN, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total No. 4050. $762, 704. 70 33.70 50, 000.00 66, 261. 31 66, 741. 63 "'2,"i90'66' 14,063. 80 14, 250. 00 4, 793.82 74, 708.82 814.00 259. 84 22, 374. 00 18, 619.00 W. H. CLAKK, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S .disbursing officers. Due to other national banks Due to State banks and bankers.. $400, 000.00 13,140.85 45, 000.00 626, 982.82 14, 940. 95 Notes and bills re-discounted. Bills payable 2, 250. 00 1,100,064. 62 Total 1,100,064.62 404 REPORT OF THE COMPTROLLER OF THE CURRENCY. PESfKSYLVANIA. Southwark National Bank, Philadelphia. F. P. STEEL, President. No. 560. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities,judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid. -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit [Redemption fund with Treas. IT. S Due from Treasurer U. S Total $1,266,940.96 678. 25 50, 000.00 20, 200.00 55,110.62 21,916.32 2,410.42 40,000.00 9, 516.98 3, 000.00 11,175.63 8, 895.75 14, 329. 00 645.00 316, 854. 92 22, 528. 00 P . LAMB, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted . Bills payable $250, 000. 00 135,303.08 32, 607. 56 44, 250. 00 527. 50 1, 371, 241.98 12, 495. 04 26.69 2, 250.00 Total. 1,846,451.85 1, 846, 451.85 Southwestern National Bank, Philadelphia. JOHN GARDINER, President. No. 3498. H. B. LANGWOUTHY, Cashier. $554, 205.91 Capital stock paid in Loans and discounts Overdrafts U. S. bonds to secure circulation -. ""56*660*60' Surplus fund IT. S. bonds to secure deposits Undivided profits. U. S. bonds on hand 12,425. 00 National-bank notes outstanding.. Stocks, securities, judgments, etc.. 13,140. 88 State-bank notes outstanding Due from approved reserve agents. 27, 230.85 Due from other national banks Dividends unpaid Due from State banks and banker? Bank'g-house, furniture, and fixtures 8, 000. 00 Individual deposits Other real estate and mortg's owned 3, 706.08 United States deposits Current expenses and taxes paid... 13,168. 75 Depositsof U.S. disbursing ofticers. Premiums on U. S. bonds 8, 860. 51 Cbecks and other cash items 21,875. 30 Due to other national banks Exchanges for clearing-house 3, 765.00 Due to State banks and bankers . Bills of other national banks 922. 75 Fractional currency, nickels, cents. 89, 465.00 Notes and bills re-discounted. Specie , 30, 000. 00 Bills payable Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2,250.00 Due from Treasurer U. S 839, 016. 03 Total. Total. $200, 000.00 30, 000. 00 12, 779. 66 45, 000. 00 549,136. 84 2, 099. 53 839, 016.03 Spring Garden National Bank, Philadelphia. FRANCIS W. KENNEDY, President. No. 3468. $2, 645, 800.82 Loans and discounts 2, 571. 08 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds onhand 61,079.86 Stocks, securities, judgments, etc.. 260,137. 57 Due from approved reserve agents. 65, 762.31 Duo from other national banks Due from State banks and bankers. 93,000.00 Bank' g-house, furniture, and fixtures Other real estate and mortg's owned 19, 289. 75 Current expenses and taxes paid... 3, 000. 00 Premiums on 0. S. bonds 29, 733.25 Checks and other cash items 91, 212.91 Exchanges for clearing-house 1,824. 00 Bills of other nationaljbanks 482. 31 Fractional currency, nickels, cents. 67, 470. 75 Specie 184, 384.00 Legal-tender notes U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 3,577, 998.61 H. H. KENNEDY, Cast Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $750, 000.00 120, 000.00 53,470. 60 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. !, 556, 360.63 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 17, 439.83 35, 727.55 Total 3,577,998.61 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 0 5 PENNSYLVANIA. Tradesmen's National Bank, Philadelphia. C. R. ROGERS, President. No. 570. Resources. ,964, 367. 59 Loans and discounts Overdrafts so'ooo.'oo" U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds onhand 203,444.44 Stocks, securities, judgments, etc .. Due from approved reserve agents. 217,102.63 Dae from other national banks 13,434. 39 Due from State banks and bankers 18, 562.47 Bank'g-house,furniture,andfixtures Other real estate and mortg's owned 22,257. 06 Current expenses and taxes paid... 9, 500.00 Premiums on U. S. bonds 6,183. 88 Checks and other cash items 271, 313. 88 Exchanges for clearing-house 2, 211.00 Bills of other national banks 780.31 Fractional currency, nickels, cents. 267, 671. 21 Specie 87, 704.00 Legal-tender notes 110, 000.00 U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total... 3,246,782.86 FRANK G. ROGERS, Cashier. Liabilities. $400,000. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits DepositsofU.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable Total. 550, 000.00 45,725. 58 43,410. 00 1, 654, 715. 34 484, 730.72 68,201.22 3, 246, 782. 86 Union National Bank, Philadelphia. DAVID FAUST, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 563. W. II. CARPENTER, Cashier. $500, 000. 00 Capital stock paid in. 230, 000.00 Surplus fund 51, 716. 64 Undivided profits . 333, 029.40 National-bank notes outstanding. 45, 000.00 243, 554.99 State-bank notes outstanding $1, 752, 690. 31 63.96 50, 000.00 128,845.08 38, 652.95 75, 000.00 15, 083.33 9,252.34 99, 720.32 4, 3?0. 00 1, 591.13 115, 298. 50 75, 236.00 Dividends unpaid 35,00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 1, 276, 719.45 721,297.00 100, K30. 22 2, 250.00 1, 000.00 2,945,598.31 Total. 2, 945, 598. 31 Western National Bank, Philadelphia. C. N. WEYGANDT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hoii8e,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie .Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 656. $2, 362, 382.16 56,666.66 153,350.00 212,400.84 192,145. 51 6, 778.18 191,196.70 19, 375. 20 3, 638. 44 446,415. 56 7, 810.00 620.65 361, 355.50 85, 290.00 80, 000. 00 2, 250. 00 4,175,008.74 JOHN C. GARLAND, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $400, 000. 00 200,000. 00 79, 207. 48 44,400.00 1,187. 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2,328,448.71 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 1, 030, 910. 06 90, 794.99 Total. 4,175,008.74 406 REPORT OF THE COMPTROLLER' OF THE CURRENCY. Farmers and Mechanics' National Bank, Phcenixville. J. THKO. F. HUNTER, President. N o . 1936. G. K. ROBERTS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g- house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $204,052.09 1,034.55 50,000.00 199.33 118.31 20,000.00 600. 00 2, 033.13 1,005.25 805.00 51.56 4,700. 00 6,028.00 Surplus fund Undivided profits. 16, 000. 00 3, 785. 63 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. 75, 919.00 Due to other national banks Due to State banks and bankers . . 2, 025.09 Notes and bills re-discounted. Bills payable Total. National Bank, Phoenixville. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits II. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Duo from other national banks Due lrom State banks and bankers. Bai)k'g-house,furniture,and fixtures Other real estate and mortg's owned C urrent expenses and taxes paid... Premiums on U. S. bonds Chocks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specio Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 127.50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2, 250.00 292,857.22 HENRY LOUCKS, President. $150, 000.00 Capital stock paid in. No. 674. $374,759.58 Capital stock paid in. ""266,"666"6o' 4,900.00 51,088.75 2, 529.43 17, 615.87 21, 900.00 100.00 1,008.09 22, 609.19 1,476. 36 4,719.00 139. 60 37, 700.00 10,188.00 292,857.22 J. B. MORGAN, Cashier. Surplus fund Undivided profits. National-bank notes outstanding.State-bank notes outstanding Dividends unpaid . $200, 000. 00 57, 082.76 6, 584.66 177, 000. 00 3, 062. 75 Individual deposits United States deposits Deposits of U. S. disbursing officers. 304,401. 37 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 11, 602. 33 9,000.00 759, 733.87 Total. 759, 733. 87 First National Bank, Pittsburgh. J. D. SCULLY, Cashier. No. 2745. $2,566,480,76 Capital stock paid in Loans and discounts $750,000.00 Overdrafts 1,100. 00 Surplusfund , . . . ; 150,000.00 U. S. bonds to secure circulation... 50,000.00 U. S. bonds to secure deposits Undivided profits 97, 370.51 U. S. bonds on hand 49, 779.43 National-bank notes outstanding.. Stocks, securities, judgments, etc . . 45,000.00 220,666. 88 State-bank notes outstanding Due from approved reserve agents. 100,770.61 Due from other national banks 19, 865. 91 Dividends unpaid Duo from State banks and bankers. 2, 900.00 240,000.00 Bank'g-bouse, furniture,and fixtures 77, 650. 00 Individual deposits 2, 875,417.07 Other real estate and mortg's owned 25, 714. 25 United States deposits Current expenses and taxes paid... Premiums on U. S. bonds Deposits of U. S. disbursing officers 27, 592.08 Checks and other cash items 221,723.00 Due to other national banks 234,024.01 Exchanges for clearing-house 28, 775. 00 Due to State banks and bankers . . Bills of other national banks 77, 283. 88 123. 55 Fractional currency, nickels, cents 139, 524. 00 Notes and bills re-discbunted Specie 460, 000. 00 Bills payable Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S ALEX. NIMICK, President. Total 4,231,995.47 Total 4,231,995.47 REPORT OF THE COMPTROLLER OP THE CURRENCY. 407 PENNSYLVANIA. Second National Bank, Pittsburgh. JAMES H.' WILLOCK, President. No. 252. Resources. Loans and discounts $1,379,508.42 Overdrafts 50,000.00 TJ. S. bonds to secure circulation... 300,000.00 U. S. bonds to secure deposits 102, 500.00 IT. S. bonds on hand 6,271. 50 Stocks, securities, judgments, etc .. 325, 867.55 Due from approved reserve agents. 97,001.84 Due from other national banks 7, 368. 62 Due from State banks and bankers. 69,395.29 Bank'g-house,furniture, and fixtures 6, 300. 00 Other real estate and mortg's owned 10,498.57 Current expenses and taxes paid... 107,392.00 Premiums on TJ. S. bonds 17, 066.56 Checks and other cash items 85,647.23 Exchanges for clearing-house 5,000.00 Bills of other national banks 209. 60 Fractional currency, nickels, cents. 38,000.00 Specie 190, 000.00 Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. 2,250.00 Due from Treasurer TJ. S 2,800,277.18 Total. THOS. W. WELSH, JR., Cashier. Liabilities. Capital stock paid in . Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted . Bills payable $300, 000. 00 200,000. 00 31, 054.24 45, 000.00 1, 352. 00 1, 063. 078.43 330- 000. 00 50.9, 088.24 320, 704.27 2, 800,277.18 Total. Third National Bank, Pittsburgh. W. E. SCHMERTZ, President W. STEINMEYER, Cashier. No. 291. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtilres Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from T » a s u r e r U. S Total $1,855,191.11 1,001.20 50,000.00 CapitaL stock paid in.. Surplus fund Undivided profits 80, 542.63 , National-bank notes outstanding.. 149,791. 36 State-bank notes outstanding.."... 26, 388.19 2,901.48 64, 060.00 7,054.37 10,612. 78 9, 625.00 12, 837. 00 109, 024. 75 13, 548.00 1, 567. 58 227, 779. 00 62,400. 00 Dividends unpaid. |55OO, 000.00 250, 000. 00 41, 906. 89 45, 000. 00 1,174.00 Individual deposits United States deposits Depositsof U.S.disbursing officers. 1, 616, 638. 37 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 104, 680.06 127,109.22 "'2,250." 66' 2,686,574.54 Total 2, 68G, 574. 54 Fourth National Bank, Pittsburgh. JAMES M. BAILEY, President Loans and discounts Overdrafts U. S. bonds to secure circulation ... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 432. S. D. HERRON, JR., Cashier. $300, 000. 00 $605,076.06 Capital stock paid in. 1, 655. 63 50,000.00 Surplus fund 64, 068.54 57, 509.27 39,624. 63 4,132.26 2,500. 00 8, 086.01 140. 00 508.84 27, 444. 50 20, 395. 00 26, 277. 91 Undivided profits National-bank notes outstanding.. State-bank notes outstanding 45,000. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers- 381, 945. 75 2, 030.00 Due to other national banks Duo to State banks and bankers . Notes and bills re-discounted . Bills payable 2, 250.00 819, 322.20 Total. 819,322.20 408 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, Fifth National Bank, Pittsburgh. ROBERT ARTHURS, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. b. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 1894. A. C. KNOX, Cashier. Liabilities. $411,435. 88 2,178.00 25,000.00 19,000.00 54, 343.88 48,114.91 2, 728.99 8,650.00 2, 886.81 1, 900.00 5,055.22 345.00 74.21 70,457.00 12,693.00 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits. 20, 000. 00 9, 8-10. 25 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 245, 702.10 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 171,138. 55 90,807.00 1,125.00 665,987.90 Total. 605,987.90 Allegheny National Bank, Pittsburgh. W.MCCANDLKSS,President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, eto . . Due from approved reserve agents. Duo from other national banks Due from State banks and bankers . Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total No. 722. F.C.HUTCHINSON, Cashier. $2,076,833.12 Capital stock paid in $500,000.00 8,531.85 50, 000.00 Surplus fund 160, 000. 00 52, 481.19 Undivided profits 65, 733.00 150,961.32 15, 948.64 7,694. 06 90,000. 00 26, 575. 00 6, 641.78 12, 250.00 50,062.91 110, 277.43 7, 529. 00 56.27 267, 282.50 125,000.00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 45, 000. 00 2, 620. 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 2,091,406.45 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 187, 231. 09 34, 827.65 2,250.00 3,073,626.88 Total 3,073,626.88 Citizens' National Bank, Pittsburgh. GEORGE A. BERRY, President. R. K. WILSON, Cashier. No. 619. Loans and discounts $1, 648, 368.29 Overdrafts 4, 810.07 U. S. bonds to secure circulation... 50, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. 324, 562. 54 Due from other national banks 221, 978.69 Due from State banks and bankers. 4, 552.04 Bank'g-house, furniture, andfixtures 41, 311. 95 Other real estate and mortg's owned 4, 819. 38 Current expenses and taxes paid... 11, 816.88 Premiums on U. S. bonds Checks and other cash items 15, 583.38 Exchanges for clearing-house 25,971. 38 Bills of other national banks 19, 600.00 Fractional currency, nickels, cents . 278.83 Specie 148, 200.00 Legal-tender notes 48, 000. 00 U. S. certificates of deposit Redemption fund with Treas. U. S. 2,250.00 Due from Treasurer U. S Total 2,572,103.43 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable Total. $800, 000.00 200,000. 00 41, 909. 50 45, 000. 00 2,997.88 962, 084. 27 175, f)05.97 344,545.81 2,572,103.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 0 9 PENNSYLVANIA. Commercial National Bank, Pittsburgh. MARTIN W. RANKIN, President. No. 2711. H. W. BICKEL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, et*.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on X . S. bonds T Checks and other cash items Exchanges for clearing-honse ,. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TL S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer XL S Total. $300, 000. 00 Capital stock paid in. $454,110.64 343.23 50, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 7,122. 23 CO, 952. 28 13, 527. 63 52,100. 00 41, 941.43 2, 651. 30 11,351.00 2, 900. 66 39, 379. 34 5, 258. 00 179. 75 54,8:2.65 48, 920.00 Dividends unpaid . 13, 000.00 12, 895. 44 45, 000.00 674.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 426, 661. 60 Due to other national banks Due to State banks and bankers .. 23, 435. 71 26,133.45 Notes and bills re-discounted . Bills payable 2, 250.00 Total.' 847, 800.20 847,800. 20 Diamond National Bank, Pittsburgh. ABRAHAM GARRISON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total JOHN S. SCULLY, Cashier. No. 2236. $200, 000. 00 Capital stock paid in. $913, 429. 98 220. 56 50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 19,792. 76 156, 019. 36 13, 308. 98 2, 335. 74 87, 641, 23 750. 00 7, 237. 43. Dividends unpaid . 45, 000. 00 616.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 3, 404. 83 24. 540. 31 31, 245. 00 94.60 83, 694. 00 80, 000. 00 100, 000. 00 31, 768. 83 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1, 081, 035. 04 17,544.91 2, 250. 00 Total ., 475, 964. 78 1,475,904.78 Duquesne National Bank, Pittsburgh. WILLIAM G-. JOHNSTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total A. H. PATTERSON, Cashier. No. 2278. $759, 795.63 1, 387.46 50, 000. 00 I Capital stock paid in. 8, 376.00 91,191. 89 15,159.80 " 60," 566." 66' 2,60789 45.71 32, 462. 66 5, 5f>0. 00 152.12 98, 000.00 2, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits DepositsofU.S.disburHingoHicera. $200, 000.00 75, 000.00 21, 218. 39 45, 000. 00 1, 580. 00 786,180.77 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2, 250. 00 1,128,979.16 Total 1,128,979.16 410 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Exchange National Bank, Pittsburgh. MARK W. WATSON, President. A. LONG, Cashier. N o . 1057. Resources. Liabilities. $2,192, 656. 68 Loans and discounts 311.81 Overdrafts 100, 000 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . 181, 809.39 Due from approved reserve agents. 64, 092.11 Due from other national banks . . . . 24, 375.97 Due from State banks and bankers. 210, 000. 00 Bank'g-house,furniture,and fixtures Other real estate and mortg's owned 16,586.41 Current expenses and taxes paid... 20, 000. 00 Premiums on U. S. bonds 16, 418. 54 Checks and other cash items 48, 772.25 Exchanges for clearinghouse 20, 000.00 Bills of other national banks 300. 84 Fractional currency, nickels, cents. 332,105.00 Specie 5, 500.00 Legal-tender notes U. S. certificates of deposit 4, 500. 00 Redemption fund with Treas. U. S. 30, 000. 00 Due from Treasurer XJ. S Total. Capital stock paid in. $1, 200, 000. 00 400, 000. 00 119, 379. 71 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 90, 000.00 3,148. 00 Individual deposits United States deposits Depositsof U.S.di.sbursing officers. 1, 364, 585. 08 Due to other national banks Due to State banks and bankers.. 64, 319.28 25, 996. 93 Notes and bills re-discounted . Bills payable Total . 3, 267,429.00 3, 267, 429.00 7 Farmers Deposit National Bank, Pittsburgh. JOSEPH WALTON, President. No. 685. $2,779, 542.17 Loans and discounts 2, 376.45 Overdrafts 50, 000. 00 U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. 185, 508.35 Due from approved reserve agents. 75,119.79 Due from other national banks 23, 281,18 Due from State banks and bankers. 100, 000. 00 Bank'g-house,furniture, and fixtures 31.880.37 Other real estate and mortg's owned Current expenses and taxes paid 9, 062. 50 Premiums on U. S. bonds 11,012.05 Checks and other cash items 131, 937. 02 Exchanges for clearing-house 8, 233. 00 Bills of other national banks 100. 69 Fractional currency, nickels, cents. Specie 208, 047. 80 245, 000. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . 2, 250.00 Due from Treasurer U. S Total.. T. H. GIVEN, Cashier. Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding . State-bank notes outstanding Dividends unpaid 600, 000. 00 113, 102.84 45, 000. 00 35, 720. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 2, 58'5, 405. 99 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 8.y, 829. 86 94, 2i»2. 08 3,863,351.37 Total 3,863,351.37 First National Bank of Birmingham, Pittsburgh. H. S. M C K E B , President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc . . Due from approved reserve agents. Due from other national banits Due from State banks and bankers. Bank'g-house,f urniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. No 926. $994, 304.92 711.48 25, 000. 00 83, 802.64 1,944.37 24, 845. 00 14, 737. 50 2, 046.14 153, 395.81 2, 237. 00 118. 92 14, 559.00 65, 000.00 ' DANIEL BEECH, Cashier. Capital stock paid in. Surplus fund , Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of CT.S.disbursiug officers. $100. 000. 00 100, 000.00 32, 271.14 22, 500.00 308.00 1,128, 748. 64 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 1,125.00 1,383,827.78 Total. 1,383,827.78 REPORT OF THE COMPTROLLER OF THE CURRENCY. 411 Fort Pitt National Bank, Pittsburgh. D. LBET WILSON, President No. 2415. ANDREW W. HERRON, Cashier. Liabilities. Resources. $1,135, 380. 05 Capital stock paid in Loans and discounts | $200,000.00 2, S'28. 59 Overdrafts 160, 500.00 Surplus fund U. S. bonds to secure circulation... I 90, 000. 00 U. S. bonds to secure deposits .. Undivided profits 19, 002. 96 U. S. bonds on hand 7,752. 50 National-bank notes outstanding.. 144, 450. 00 Stocks, securities, judgments, etc .. 79,219.68 State-bank notes outstanding . . . . . Due from approved reserve agents. 54, 655.05 Due from other national banks 9, 463.40 Dividends unpaid Due from State banks and bankers 2, 834. 79 Bank'g-house, furniture, and fixtures Other real estate and niortg's owned Individual deposits 1, 045, 266.27 Current expenses and taxes paid-.. 5, 365.75 United States deposits Premiums on U". S. bonds Deposits of U. S. disbursing officers. 13, 011. 47 Checks and other cash items 20,441.16 Due to other national banks Exchanges for clearing-house 121,361.87 2, 361. 00 Due to State banks and bankers .. Bills of other national banks 63, 641. 70 47.86 Fractional currency, nickels, cents. 82, 830. 00 Notes and bills re-discounted Specie 100, 372.00 Bills payable Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 7, 222. 50 Due from Treasurer U. S 1, 683, 785. 80 1, 683, 785. 80 Total. Total. German National Bank, Pittsburgh. A. GKROETZINGER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houae, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 757. $1, 984.852.82 161. 86 50, 000. 00 12, 577. 50 253, 743.24 61, 406.03 9, 876.48 50,130.34 29, 700. 00 22, 727. 10 30, 331.63 55, 202. 34 59, 000. 00 1,639.56 162,000.00 100, 000. 00 J O S E P H LAURENT, Cashier. Capital stock paid in. $250, 000. 00 Surplus fund Undivided profits. 420, 000. 00 46, 368. 28 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . 45, 000. 00 708. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,655,122.93 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 62, 969. 7f> 405, 429. 94 2, 250.00 2, 885, 598. 90 Total.. 2,885, 598. 90 Iron City National Bank, Pittsburgh. ALEXANDER M. BYERS, President. No. 675. OLIVER LEMON, Cashier. $1, 715, 866. 07 Capital stock paid in Loans and discounts , $400, 000.00 452.96 Overdrafts 100, 000. 00 Surplus fund U. S. bonds to secure circulation-.. 250, 000. 00 U. S. bonds to secure deposits 100,653.05 Undivided profits . U. S. bonds on hand 36, 280. 50 National-bank notes outstanding. Stocks, securities, judgments, etc .. 87,510.00 128, 900. 60 State-bank notes outstanding Due from approved reserve agents. 207,399.38 Due from other national banks 14,16131 Dividends unpaid Due from State banks and bankers 2, 378. 00 50, 000. 00 Bank'g-house, furniture, and fixture* 58,260.31 Individual deposits Other real estate and mortg's owned 1,457,163. 39 10, 800.75 United States deposits Current expenses and taxes paid... 6, 000. 00 Deposits o flJ. S. disbursing olfi cers. Premiums on U. S. bonds 7,711. 11 C hecks and other cash items 146, 246. 23 Due to other national banks Exchanges for clearing-house 517,191.39 21, 474. 00 Due to State banks and bankers... Bills of other national banks 41, 129.34 259.95 Fractional currency,nickels, cents. 195, 000. 00 Notes and bills ro-discounted Specie 152, 700. 00 Bills payable Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . 4, 500. 00 Due from Treasurer TJ. S Total Total. 2,856,025.17 2,856,025.17 412 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Marine National Bank, Pittsburgh. No. 2237. War. W. O'NEIL, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. X . S. T Due from Treasurer U. S Total. $329,711.25 178.01 75,000.00 22, 26, 1, 42, 400.00 268. 99 052.44 329. 90 251.95 2, 438. 70 21, 000. 00 4,391.44 7, 548.00 138.75 29,855.00 11, 850. 00 W. C. MACRUM, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $230, 000. 00 14,840.51 6, 852. 60 67, 500. 00 Dividends unpaid* Individual deposits United States deposits Depositsof U.S.uisbursing officers. 889. 00 245,173. SO Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 12, 873. 0G 3, 375. 00 339. 70 Total. 578,129.13 578,129.13 Mechanics' National Bank, Pittsburgh. GEORGE J . GORMAN,President. No. 700. Loans and discounts $1, 838, 394. 22 Overdrafts 2, 375. 95 U. S. bonds to secure circulation... U. S. bonds to secure deposits 155,000.00 U. S. bonds on hand Stocks, securities, judgments, etc . . Dae from approved reserve agents. 158,242.25 Due from other national banks 105, 362.44 uue from State banks and bankers. 4, 577. 89 Bank 'g-house,furniture, and fixtures 30, 750.00 Other real estate and mortg's owned Current expenses and taxes paid... 4, 581.12 Premiums on U. S bonds Checks and other cash items 1,842.00 Exchanges for clearing-house 91, 563.83 Bills of other national banks 54, 789. 00 Fractional currency, nickels, cents . 1,258.10 96, 500. 00 Specie 220, 000. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 6, 950. 00 Due from Treasurer U. S Total SAM'L C.APPLEGATE, Cashier. $500, 000. 00 Capital stock paid in- Surplus fund Undivided profits National-bank notes outstanding., State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 300, 000. 00 147, 050. 34 ( 98, 450. 00 12, 490. H O 1, 476, 904. 93 Due to other national banks Duo to State banks and bankers... Notes and bills re-discounted. Bills payable 2,772,186.80 207, 56-4. 98 29, 72(5.05 2, 772,18G. 80 Total. Merchants and Manufacturers' National Bank, Pittsburgh. E . M. FERGUSON, President. Loans and discounts Overdrafts U. S.bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks afid bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption .fund with Treas. U. S. Due from Treasurer U. S Total No. 613. $2, 066,258. 75 306. 05 50, 000.00 10, 500. 00 77, 560.46 32, 296. 69 32, 083.43 116, 536.19 8,538.81 11,874.12 3, 500.00 1,322.75 102, 543. 66 14,160. 00 605.19 84,204. 30 126,600.00 W. A. SHAW, Cashier. Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $800, 000.00 105, 000. 00 54, 015. 40 45, 000. 00 8, 687. 75 Individual deposits United States deposits Deposits of U. S.disbursing officers. 1, 406, 670. *U . Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 206, 542. 80 55, 224.14 2, 250. 00 2,741,140.40 Total 2,741,140.40 REPORT OF THE COMPTROLLER OF THE CURRENCY. 413 PENNSYLVANIA. Metropolitan National Bank, Pittsburgh. JOHN RUNNETTE, President. No. 2279. GEO. SEEBICK, Cashier. Liabilities. Resources. Loans and discounts Overdrafts X S. bonds to secure circulation... L U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents.. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and tixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Sjjecie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. $521, 611. 87 64.30 50, 000. 00 82,572. 94 25, 223.82 10, 641. 27 27, 000.00 3,642.06 3,125.00 3.53 3, 893.82 1, 500.00 54.85 13, 925. 20 40, 918.00 Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $200, 000.00 21, 000. 00 9, 639. 25 45, 000.00 Dividends unpaid.. Individual deposits United States deposits Deposits of U.S.disbursingofficers. 401, 059. 07 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 79, 368. 36 29, 661. 98 2, 250.00 Total. 786,426.66 786, 426.66 Monongahela National Bank, Pittsburgh. THOMAS JAMISON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand fetocks, securities, judgments, etc.. Due from approved reserve agents . Due from other national banks Due from State banks and bankers.. Ban k'g-house, lurni ture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national'banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fundwith Treas. U. S. Due from Treasurer U. S Total. No. 3874. $552, 797.87 479. 52 50, 000.00 47, 798.15 25, 075. 92 4, 696. 31 4,155. 28 JOHN D. FKASEK, Cashier. Capital stock paid in. $250, 000.00 10, 000. 00 21, 710. 23 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits 5,486. 71 13, 687. 50 3,693. 01 20, 820. 76 2, 409. 00 82.10 14, 232. 50 30, 000.00 407, 470.57 United States deposits Depositsof U.S.disbursingofficers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 7, 256.78 30, 227. 05 2, 250.00 Total. 777, 664.63 777, 664.63 People's National Bank, Pittsburgh. JOHN "W. CHALFANT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. T. P. DAY, Cashier. : Capital stock paid iu $1, 000, 000.00 Surplus fund ; 350, 000. 00 Undivided profits ! 134,783.48 National-bank notes outstanding. 45, 000. C O State-bank notes outstanding No. 727. $2, 604, 768. 47 977.52 50, 000.00 187,633. 73 139, 274.63 14, 829. 34 93,000. 00 27, 289.66 9, 422. 31 23,469. 86 219,989.11 9,247.00 535.30 127,910. 50 94, 000. 00 i Dividends unpaid. I Individual deposits United States deposits Depositsof U.S.disbursingofficers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 7, 893. 00 1, 878, 571. 67 185, 878. 98 2,470.90 2, 250. 00 3, 604, 597.43 Total. 3,604,597.43 414 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Pittsburgh National Bank of Commerce, Pittsburgh. J. T. COLVIN, President. No. G68. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $2,128,489. 81 201.11 50, 000. 00 104, 000.00 167, 793.15 271,918.11 13,428. 96 142,712.83 2, 632. 02 4, 785. 83 7,297. 99 6,840.49 58, 323. 02 23, 703. 00 543. 89 161, 600. 00 141, 000. 00 C. I. W A D E . Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding.... $500, 000. 00 450. 000.00 48, 732. 55 45,000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing oflicers. Due to other national banks Duo to State banks and bankers.. Notes and bills re-discounted., Bills payable 7, 760. 00 1,150,083.69 674,881.62 413, 039.35 2,250.00 2,000.00 Total. 3,289,520.21 3, 289, 520. 21 Tradesmen's National Bank, Pittsburgh. ALEXANDER BRADLEY, President Loans a n d discounts Overdrafts U. S. bonds t o seenre c i r c u l a t i o n . . . IT. S. bonds t o secure deposits U..S. bonds on hand Stocks, securities,judgments, e t c . . D u e from approved reserve a g e n t s . Due from other national banks D u e from State banks and b a n k e r s . Bauk'g-house,furniture,and fixtures Other real e s t a t e a u d mortg's owned C u r r e n t expenses a n d taxes p a i d . . . P r e m i u m s on U. S. bonds Checks aud other cash items Exchanges for cleariDg-house Bills of other national banks Fractional currency, nickels, c e n t s . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from T r e a s u r e r U. S Total No. 678. Ross W. DRUM, Cashier. $2, 366, 236. 33 Capital stock paid in 50, 000. 00 300,000. 00 1, 250. 00 500.00 407, 043. 09 149, 627. 79 44, 698. 33 Surplus fund Undivided p r o f i t s . . . 137,419.25 Individual deposits United States deposits 19,277. 89 240, 579. 67 37, 000. 00 499. 90 293,483. 00 43, 00*0. 00 j $400, 000. 00 400, 000. 00 92, 808. 21 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 45, 000.00 1, 390. 00 Deposits of U.S.disbursingofticers. Due to other national banks Due to State banks and bankers .. 1, 957, 488. 78 113,952.78 212, 333. 25 549, 424. 21 320, 468. 02 N o t e s a n d bills re-discounted. Bills payable 2, 250. 00 Total. 4,092,865.25 4, 092, 865.25 Union National Bank, Pittsburgh. R. S. SMITH, President. No. 705. Loans and discounts $1,645, 518.16 Overdrafts 4,117.57 U. S. bonds to secure circulation... 50,000.00 U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . 119,066.90 Due from approved reserve agents. 62,919. 24 Due from other national banks 2,811. 43 Due from State banks and bankers. 77,500. 00 Ban k'g-house,furniture,and fixtures Other real estate and mortg's owned Current expensesand taxes paid... 6,307. 56 Premiums on U. S. bonds 5, 231. 52 Checks and other cash items I 35,098.04 Exchanges for clearing-house I 10, 224.00 Bills of other national jbanks I 1,168.28 Fractional currency, nickels, cents. I 112, 611.00 Specie 78,650.00 Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S.| Due from Treasurer U. S Total. 2,213,473.70 | C. F. DEAN, Cashier. $250, 000. 00 Capital stock paid in . 525, 000.00 Surplus fund 49, 840. 05 Undivided profits National-bank notes outstanding.. I 44,110.00 State-bank uotes outstanding L Dividends unpaid. 3, 408.00 Individual deposits United States deposits Deposits of U. S. disbursing oflicers. 1, 263, 738. 41 Due to other national banks Due to State banks and bankers.. 49,071.88 28, 305. 36 Notes and bills re-discounted . Bills payable Total 2,213,473.70 REPORT OF THE COMPTROLLER OF THE CURRENCY. 415 PENNSYLVANIA. First National Bank. Pittston. THEODORE STRONG, President No. 478. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks . -. Due from State banks and bankers. Bank' g-house, furniture, andfixturos Other real estate and mortg's owned Current^expenses and taxes paid... Promiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Liabilities. $441, 278.03 399. 34 50, 000. 00 Capital stock paid in $250,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 470, 388.13 1G6, 023. 33 5, 485.21 40, 000.00 67, 850.14 2, 050. 05 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 20, 000.00 320.51 43,000.00 23, 250. 00 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 125, 000. 00 40, 529.37 45, 000.00 125.00 708, 332. 86 9S, 855.39 4,452.12 2, 250.00 Total. 1, 332, 294.74 Total. WILLIAM L. WATSON, Cashier. 1, 332,294. 74 First National Bank, Plymouth. JOHN B. SMITH, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 707. J. W. CHAMBEULIN, Cashier. $100, 000.00 Capital stock paid in. Surplus fund 33, 000. 00 5, 340.64 Undivided profits 33,514.21 National-bank notes outstanding. 22, 500.00 130, 280.27 State-bank notes outstanding $180, 939.43 844.95 25, 000. 00 3, 369.86 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Duo to State banks and bankers . Notes and bills re-discounted. Bills payable 12,810. 00 1,695.24 1,000.00 79.83 474.00 601. 38 38, 640.00 24, 960.00 253, 752.23 24, 257. 28 16, 490.02 1,125. 00 Total. 455, 340.17 455, 340.17 Port Allegany National Bank, Port Allegany. F . H. ARNOLD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits Stocks, securities, iudgments, etc Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house. furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3877. J . S. ROWLEY, Cashier. $114,791.05 "• Capital stock 47.69 ; Surplus fund 12,500.00 i 23,297.11 ! 355.93 | 6,186.93 ! 8, 209.14 686. 87 550.00 2, 240. 00 90.28 7,246.05 6,765.00 , paid in Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 7, 031. 95 10, 050.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing oflic* TS 116, 446.60 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable ..... 562. 50 183,528.55 | Total 183,528.55 416 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. National Bank, Pottstown. No. 608. DANIEL PRICE, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. D ae from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate andmortg's owned Current oxpenses and taxes paid. -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $869, 246.06 859.31 50, 000.00 20, 999. 97 11, 148.32 61, 512.15 13, 000. 00 5, 000. 00 3, 037.48 5, 493.40 3,138.00 621. 02 41, 613. 00 14, 880.00 HOKACE EVANS, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided protits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $300,000.00 200, 000. 00 53,047. 05 43,510.00 3, 580. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 441, 208. 20 Duo to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 32, 373.99 29, 079.47 2, 250.00 1,102, 798. 71 Total. 1,102, 798. 71 National Iron Bank, Fottstown. JACOB FEGELY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds .Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S H. J. MEIXELL, Cashier. No. 3494. $200, 000. 00 Capital stock paid in. so, 666.66 Surplus fund 5, 000.00 6, 555. 76 Undivided profits . 45,000.00 National-bank notes outstanding.. 34, 699. 96 State-bank notes outstanding $328, 520. 51 7, 408. 38 "i* 606.60" 4, 897.60 1, 081.29 9, 500. 00 833.02 5, 000.00 326.18 6, 000.00 8, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 16,259.62 150.00 Total. 457,416. 94 Total. 755. 00 183, 846. 56 457,416.94 Government National Bank, Pottsville. A. L. BOEHMER, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank1 g-house, furniture, and fixtures Other real estate and mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1152. $103, 567.15 774. 92 100,000.00 12, 400.00 7, 295.22 1,130. 00 150. 00 587.38 9, 000. 00 2, 078.43 1, 530.00 11.83 6,106.00 3, 551. 00 JOHN F . ZEKBEY, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $100, 000.00 20, 000.00 5, 582.33 87, 340.00 3*8, 219.64 422.30 117.66 4, 500. 00 251, 681. 93 Total. 251, 681.93 REPORT OF THE COMPTROLLER OF THE CURRENCY. 417 PENNSYLVANIA. Miners' National Bank, Pottsville. WILLIAM. L. WHITNEY, President. No. 649. W. THOMPSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits. U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'£ house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid...' Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house ... Bills of other national banks ... Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S Total. Liabilities. $881, 568. 31 36.38 50, 000.00 6, 489. 73 177, 708. 21 81, 667. 31 2, 487.27 49, 021. 56 30, 393. 76 7, 858. 76 9, 000. 00 627.43 20, 010.00 97.00 47, 683.15 622.00 Capital stock paid i n . $500, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing oflicers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 100, 000. 00 57, 039.72 45, 000.00 2, 211. 00 541, 542. 78 111,987.23 9, 740.34 2, 250. 00 Total. 1, 367, 521.07 1, 367, 521.07 Pennsylvania National Bank, Pottsville. RIOLLAY F . LEE, President. No. 1663. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve ag3nts. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $394,269.08 2,854.08 50, 000. 00 115, 682. 00 16,198. 65 44, 724. 93 1, 770.01 42, 000.00 4,211.52 2, 800. 00 17, 599. 60 2, 675. 00 217. 72 26, 289.50 24, 752. 00 DAN'L L. KREHS, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding . State-bank notes outstanding.. Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers - Notes and bills re-discounted . Bills payable $200, 000.00 40, 000. 00 15, 820. 70 15.00 460, 499.94 24,926.25 7, 032. 20 2, 250.00 Total . 748, 294. 09 748,294.09 First National Bank, Punxsutawney. REUBEN C. WINSLOW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nat ional banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S3. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. H. Ex. No. 3030. $190,948.38 308.47 30, 000.00 53, 615.10 JAMES H. MAIZE, Cashier, Capital stock paid in. Surplr s fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 12, 000. 00 5, 815. 25 19, 700. 00 Dividends unpaid 2,179. 85 "{,' 023.' 15" Individual deposits United States deposits Deposits of U.S. disbursing oflicers. 221,022.87 401.00 925. 00 45.82 17, 529. 35 10, 212.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted.. Bills payable 1, 350. 00 308, 538.12 Total . 308, 538.12 418 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Quakertown National Bank, Quakertown. JOSEPH THOMAS, President. No. 2366. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents. Dae fron other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premium s on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. 0". S Due from Treasurer U. S $251, 647. 65 300.00 100, 000. 00 Capital stock paid i n . $100,000.00 Surplus fund Undivided profits 79, 000. 00 4, 419. 02 67,100. 00 Ij National-banknotes outstanding. 31,165. 04 11 State-bank notes outstanding 1, 535. 34 Dividends unpaid " 5^000. 00 50.00 Individual deposits 1,118. 69 United States deposits Deposits of U.S. disbursing officers. Due to other national banks 2, 043.00 Due to State banks and bankers . . 9.44 12, 504. 60 Notes and bills re-discounted. 6, 000. 00 ^Bills payable 90, 000. 00 258. 00 208, 019. 04 1, 247. 70 4,500.00 482, 973. 76 Total. CHAS. C. HARING, J R . , Cashier. Liabilities. Total . 482, 973. 76 Quarryville National Bank, Quarryville. Gr. W. HENSEL, President. No. 3067. Loans and discounts Overdrafts U. S. bonds to secure circulation — U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Dae from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $126, 604.31 i5,"666."66 13, 884.89 3, 997.38 6, 900. 00 1, 274.30 3, 000. 00 1, 252. 92 105.00 140. 91 4, 065. 05 2, 840.00 A. S. HARKNESS, Cashier. Capital stock paid in. $60, 000. 00 Surplus fund Undivided profits. 13,000.00 4, 706. 08 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 13, 500. 00 Individual deposits United States deposits D eposits of U. S. disbursing officers 85, 333.24 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2, 819. 44 381. 00 675. 00 179, 739. 76 Total . 179, 739. 76 First National Bank, Reading. GEORGE BROOKE, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills Bills of other national banks. Fractional currency, nickels, cents Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total , No. 125. $674, 335.48 228.00 50, 000. 00 50, 000. 00 JOHN R. KAUCHER, Cashier* Capital stock paid in. Surplus fund Undivided profits 84, 550. 00 National-bank notes outstanding. 56, 044. 98 State-bank notes outstanding 47, 516. 29 15, 689. 77 Dividends unpaid 30, 815. 00 50,231.46 Individual deposits 2,103. 03 United States deposits 6, 500. 00 Depositsof U.S. disbursing officers. 6, 588.09 13,330.00 365.89 44, 830. 75 10, 000.00 Due to other national banks Due to State banks and bankers .. $250, 000. 00 150,000.00 66, 933. 81 45, 000. 00 500.00 584, 284. 09 44,780.16 219 84 723. 49 2, 997. 35 Notes and bills re-discounted. Bills payable 2, 250. 00 1,145, 438. 74 Total , 1,145, 438. 74 REPORT OF THE COMPTROLLER OF THE CURRENCY. 419 PENNSYLVANIA. Second National Bank, Reading. No. 2552. W. MCILVAIN, President. F. A. ROLAND, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to securo circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses .and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer 0". S Liabilities. $354, 880.93 4.81 50, 000. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding . State-bank notes outstanding i 2, 850. 77 41,587.42 30, 718. 34 4, 924. 8!) 23, 000, 00 75, 000. 00 9, 257. 55 44, 070.00 Dividends unpaid 4, 605. 00 Individual deposits United States deposits 10, 812. 50 Depositsof U.S.disbursingofficers.' 3, 811. 44 Duo to other national banks , 703. 00 Due to State banks and bankers ..; 28.41 18,024.60 Notes and bills re-discounted . 10, 850. 00 Bills payable 241,139. 81 30, 374. 75 2, 250.00 554,447.11 I Total. $150, 000.00 Total . 554,447.11 Farmers' National Bank, Reading. HENRY S. ECKERT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes "U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 696. CYRUS RICK, Cashier. Capital stock paid in : !! Surplus fund .,; Undivided profits. 280, 924.15 278, 564. 24 33, 384. 90 3, 999. 00 40, 000. 00 ""3," 343." 40 2,166.71 19, 282. 63 43, 765. 00 281.43 38, 643. 00 45, 000. 00 $400, 020. 00 300, 000. 00 41, 262. 41 National-bank notes outstanding State-bank notes outstanding... 45, 000.00 3, 549.20 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 903, 590. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 76, 606. 62 21, 087.98 2, 250. 00 1,791,116.21 Total . 1,791,116.21 Keystone National Bank, Reading. A. W. WILHELM, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Duo from other national banks Duo from State banks and bankers. Ban k'g-house, furniture, and. fixtures Other real estate and raoftg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1875. JACOB HOLL, Cashier. $479,310.10 ! Capital stock paid in 341.43 1 1 25,000.00 ji Surplus fund Undivided profits National-bank notes outstanding.. 98, 298.71 State-bank notes outstanding 8, 611. 91 411. 76 Dividends unpaid 4, 576. 56 Individual deposits United States deposits 1, 000. 00 Deposits of U.S. disbursing officers. 6, 815.94 Duo to other national banks 9, 875. 00 Duo to State banks and bankers . 229. 20 37,115. 50 Notes and bills re-discounted. 10, 000. 00 Bills payable I $100, 000.00 70, 000. 00 9, 589. 25 22, 500. 00 480,465.31 156. 55 1,125. 00 682, 711.11 Total . 682,711.11 420 KEPORT OP THE COMPTROLLER OF THE CURRENCY. National Union Bank, Reading. No. 603. 'HOKATIO TREXLER, President. Resources. EDWIN BOONB, Cdshier. 1 Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits Stocks,securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house^ furniture, andfixtures Other real estate and mortg's owned 'Current expenses and taxes paid... ^Premiums on U. S. bonds 'Checks and other cash items .Exchanges for clearing-house Bills of other national banks .Fractional currency, nickels, cents . Specie Legal-tender notes • U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $1, 051, 382. 76 | Capital stock paid in 26.51 50, 000.00 Surplus fund $200, 000.00 200, 000.00 60, 775.92 Undivided profits 13,500.00 ! National-bank notes outstanding 45,100. 56 State-bank notes outstanding 20,101.87 6,681.1:5 Dividends unpaid 25, 000. 00 Individual deposits 5, 594. 06 United States deposits 2,000.(.0 Depositsof U. S. disbursing officers. 20, 701.12 Due to other national banks 56, 868. 00 Due to State banks and bankers.. 790. 34 141, 820. 00 20, 000. 00 45, 000. 00 1, 695.00 933, 391.D2 20, 509. 29 454.81 Notes and bills re-discounted Bills payable . 2, 250.00 Total 1,461,826.07 1,461,826. 07 Perm National Bank, Reading. ISAAC W. L E V AN, President. Loans and discounts Overdrafts — U. S. bonds to secure circulation. -. •U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, eto .. Due from approved reserve agents D uer from other national banks .. Due from State banka and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearinghouse Bills of other national banks ^Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 2899. CALVIN D. MOSER, Cashier. $314,229.21 Capital stock paid in $100,000.00 404.35 25,000.00 Surplus fund 50,000.00 8,410.58 Undivided profits 152,968.04 21, 502.25 3, 532. 74 17, OOfl. 00 2,450.00 5,465.16 3,031.43 16, 980.00 794.03 34, 303. 05 2, 212.00 National-bank notes outstanding.. State-bank notes outstanding 22,500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 419,378.68 708.00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1,125.00 Total. 600,997.26 600,097.26 First National Bank, Renovo. J . A. WILLIAMSON, President. Loans and discounts Overdrafts -TJ. S. bonds to secure circulation - - U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks . Duo from State banks and bankers. Bauk'g- house, furniture, andfixtures Other real estate and mortg's owned ^Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house JBills of other national banks Fractional currency, nickels, cents. , Specie Legal-tender notes -XT. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3763. $82,376. 34 8, 971.01 42.99 6, 395.83 1,160.10 645. 99 3, 500. 00 70.04 430.00 99.40 4, 31)0.05 5,500.00 W. B. EEILLEY, Cashier. Capital stock paid in . Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding $50,000.00 6,209.92 11,250.00 Dividends unpaid Individual deposits.. United States deposits Deposits of U.S.disbursh Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 57, 513. 58 281.04 1,389. 70 562. 50 126, 644.24 Total. 126,644.24 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 2 1 PENNSYLVANIA. First National Bank, Rochester. No. 2977. HENRY C. FRY, President. W. S. SHALLENBERGER, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned: Current expenses and taxes paid... j Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks | Fractional currency, nickels, cents .; Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $190,668.78 439.57 13, 000.00 17,177. 78 5, 671. 70 7, 344.44 1, 500, 00 1.356.60 1,548.38 453.00 974. 00 496.15 3,15,"). 00 15, 655. 00 Capital stock paid i n . ooo. oa 3,191. 29 11, 700. 00 10, National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 24.00 Individual deposits United States deposits.' Deposits of U. S. disbursing officers. 182,189.85 Due to other national banks Due to State banks and bankers . . 4, 420. 2 Notes and bills re-discounted . Bills payable 585.00 i 1,500.00 I ~2G7, 525.40 i Total. $50, ooo. oa Surplus fund Undivided pro fits- Total. 261, 525. 40 National Bank, Royersford. EPHRAIM P. KEELEY, President. N o . 3551. Loans and discounts Overdrafts r U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Dueirom State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $208, 997. 05 42. 68 25, 000. 00 U. S. G. FINKBINEU, Cashier. Capital stock paid in $100, 000. 00> Surplus fund Undivided profits National-bank notes outstanding.. 1,903.28 ! State-bank notes outstanding. 2,204.82 I Dividends unpaid. 8,543.22 i 2,053.52 I Individual deposits , 820.31 i United States deposits 1,000.00 ! Deposits of U.S.disbursing officers. 14.52 | D u e to other national b a n k s 645. 00 Due to State b a n k s and bankers ,. 84.40 6, 006. G5 Notes a n d bills re-discounted .. 7, 305. 00 Bills payable 11,500.003,618.42 22, 500. 00^ 638. 0&79, 020.43' 17,468.60 31,000.00 1,125. 00 265, 745.45 Total 265, 745. 45- First National Bank, Saltsburgh. ARCHIE DEERY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 'I No. 2609. $122, 271. 80 Capital stock paid in . 46,666.65 16, 327. 36 1,331.94 5,152.67 5, 986. 00 981.41 551. 09 34. 09 260. 00 91.39 4, 739.70 3, 226. 00 D . O. B R O W N , Cashier. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. $50, 000.00' 6, 200. 0G> 2, 038. 9fr 36,000.00' 421. 00 < 108, 093.49' Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 800. 00 202, 753. 45 Total. 202,753.45 422 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. National Bank, Schwenksville. Xo. 2142. HENRY W". KUATZ, President. J O H N Gr. PJHZER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts XT. S. bonds t o secure c i r c u l a t i o n . . . U . S. bonds to secure deposits TL S. bonds on hand Stocks, securities, judgments, etc . . D u e from approved reserve agents. D u e from other national b a n k s . . . . D u e from State banks and bankers. Bank'g-house, furniture, and fixtures O t h e r r e a l estate a n d m o r t g ' s owned C u r r e n t expenses and taxes p a i d . . . P r e m i u m s on U. S. bonds C h e c k s and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S D a e from T r e a s u r e r U. S $235, 328. G O " ioo, 656.66 19,722.00 24, 685.76 11,189.54 Capital stock paid in. Surplus fund Undivided profits 46, GOO. 00 10, 273.26 National-bank notes outstanding.. State-bank notes outstanding 90, 000. 00 Dividends unpaid . 987.00 7, 200.00 2, 972.61 18,000.00 993.10 4,933. 00 422.53 2,690.00 21,553.00 Individual deposits United States deposits Deposits of U.S. disbursing oflicers. 206, 929. 88 Dae to other national banks Duo to State banks and bankers . Notes and bills re-discounted . BUIR payable 4, 500.00 Total. 454,190.14 Total. $100, 000. 00 454,190.14 First National Bank, Scottdale. A. L. KEISTBR, President. A. B. PICKARD, Cashier. No. 4098. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $2, 595.00 "12,566.66 19,466.76 '""i," 484* 73' 184.33 3, 523.44 408.46 1, 920. 00 44.08 7, 318. 80 3, 950.00 Capital stock paid in. $30, 000.00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 64.80 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 26, 330.80 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total. 56, 395.60 56, 395. 60 First National Bank, Scranton. E. W. WESTON, President. No. 2697. Loans and discounts $1, 430, 945.44 Overdrafts 2,156.64 U. S. bonds to secure circulation . . . 50, 000.00 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . 2, 066, 093. 75 Due from approved reserve agents. 465, 879.87 Due from other national banks 89, 652. 43 Due from State banks and bankers. 32, 824.82 Bank'g-house, furniture, and fixtures 30, 000. 00 Other real estate and mortg's owned 26, 605. 30 Ourrent expenses and taxes paid... 10, 449. 25 Premiums on U. S. bonds -Checks and other cash items 24,415.33 Exchanges for clearing-house Bills of other national banks 3, 959.00 Fractional currency, nickels, cents . 963. 37 Specie 82,321.86 Legal-tender notes 168, 494.00 U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 50, 000.00 Dae from Treasurer U. S Total. 4, 537, 011. 06 J. A. LINEN, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding State-bank notes outstanding $200, 000. 00 400, 000. 00 123, 686.58 42,750.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. 3,541, 761. 51 203, 019. 85 25, 793.12 Notes and bills re-discounted . Bills payable Total. 4,537,011.06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 423 PENNSYLVANIA. Third National Bank, Scranton. WILLIAM CONNELL, President. ¥ M , n . PECK, Cashier. No. 194i3. Liabilities. Resources. $1, 052, 321. 32 Capital stock paid in. $200, 000. 00 Loa ns and discounts 970.86 O v efdrafts 125, 000. 00 70, 000.00 Surplus fund U m S. bonds to secure circulation... 51, 039.22 U.' S. bonds to secure deposits Undivided profits. 250.00 U. S. bonds on hand 59,150.00 427, 620. 00 National-bank notes outstanding. Stocks, securities, judgments, etc .. 194, 496. 68 State-bank notes outstanding Due from approved reserve agents. 94, 458. 75 Due from other national banks 9, 071. 20 Dividends u n p a i d . 244. 50 Due from State banks and bankers 33,490.45 Bank'g-house,furniture,and fixtures Individual deposits Other real estate and mortg's owned 1, 586, 094.51 Current expenses and taxes paid... 6, 485. 46 United States deposits Depositsof U. S. disbursing officers. Premiums on TJ. S. bonds Checks and other cash items ft," 920." 25* 37, 693. 68 Due to other national banks Exchanges for clearing-house 5, 635. 53 2, 031.00 Due to State banks and bankers .. Bills of other national banks 1, 056. 62 Fractional currency, nickels, cents. 59, 887. 85 Notes and bills re-discounted . Specie 37, 641. 00 Bills payable Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. 3,150. 00 Due from Treasurer TJ. S Total 2,064,857.44 2, 064, 857. 44 Total. First National Bank, Selin's Grove. GEORGE SCHNUKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C.B.NORTH, Cashier. No. 357. $100,000.00 Capital stock paid in. "50 "666." 66" Surplus fund 20,000.00 18, 026. 86 Undivided profits. 30, 000.00 National-bank notes outstanding. 40, 890.00 70, 802.35 State-bank notes outstanding $94, 543.68 47, 999. 45 18,107.17 35,000.00 1,747. 44 2, 000.00 247.92 1, 730.00 54.25 29, 999. 85 10,189. 00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing oflicers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 186,303.02 5,101.42 3, 859. 53 490.28 2, 250. 00 Total. 374, 671.11 374,671.11 Sellersville National Bank, Sellersville. HENRY C. MOORE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand .. Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k' g-house, furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2667. CHAS. R. ALTHOUSE, Cashier. 20, 000. 00 Capital stock paid in Surplus fund Undivided profits 33,000.00 9,982. 86 1, 961. 30 National-bank notes outstanding.. State-bank notes outstanding $131,198.40 4, 500.00 475.38 250.00 285.00 190.00 13.14 4, 523. 75 1,190.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers $75, 000.00 13, 500. 00 3,461.41 18, 000.00 476. 00 97, 504.56 527. 86 Notes and bills re-discounted Bills payable 900. 00 208,469.83 Total 208, 469. 83 424 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Shamokin. No. 3045. ISAAC MAT, SR., President. GEO. C. GBAEBER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. »S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $279,947.01 17.26 100, 000.00 20, 572.00 100, 035. 23 59, 065. 78 13,187. 62 24, 567.51 1,536.15 5, 000.00 12, 44?. 41 21,005.00 139.18 19, 923.20 6, 772. 00 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits. 30,000. 00 7, 178. 93 National-bank notes outstanding.. State-bank notes outstanding 90, 000. 00 Dividends unpaid............. 195. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 422, 390. 51 Due to other national banks Due to State banks and bankers. -. Notes and bills re-discounted. Bills payable , 9, 294. 89 6,281.02 1,130. 00 665,340. 35 Total. 665, 340. 35 First National Bank, Sharon. JOHN J. SPEARMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc".. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. S. SEKVICE, Cashier. No. 1685. $125, 000.00 Capital stock paid in. 100, 000. 00 Surplus fund 20, 227. 70 Undivided profits. National-bank notes outstanding.. 28, 800. 00 38, 373.18 State-bank notes outstanding $630, 611. 69 3, 527.67 32, 0U0.00 1, 595. 58 1,029.00 19,000.00 Dividends unpaid. Individual deposits 1, 557. 30 United States deposits 4, 000. 00 Deposits of U. S. disbursing officers. 499, 076.18 646.07 200.00 489.00 34, 300.00 4, 514.00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 179. 61 1,440. 00 773,283.49 Total. 773, 283. 49 Sharon National Bank, Sharon. JOSEPH FORKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U, S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. M. ZAHNISER, Cashier. No. 2244. $125, 000. 00 Capital stock paid in. 11, 300. 00 Surplus fund , 6, 687.15 Undivided profits 28,800.00 National-bank notes outstanding .. 60, 689. 93 State-bank notes outstanding $347, 624.79 2, 030.74 32, 000. 00 2, 466. 95 6, 295. 00 6,485.49 555. 03 8, 500.00 1, 489.19 336.00 230. 76 25, 475.60 8, 300.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 332,132. 33 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1, 440. 00 503, 919. 48 Total . 503, 919.48 REPORT OF THE COMPTROLLER OF THE CURRENCY. 425 PENNSYLVANIA, First National Bank, Shenandoah. A. W. LEISENRING, President. No. 3143. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand d S i j Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furuiture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total . JNO. R. LEISENRING, Cashier. Liabilities. $299,200.93 1,713.37 100, 000.00 Capital stock paid in. Surplus fund Undivided profits. 26, 240.00 National-bank notes outstanding-. 73, 759. 08 State-bank notes outstanding $100,000.00 6,028. 01 15, 7U9. 41 88, 500. 00 2, 487.42 4, 867. 33 Dividends unpaid 2, 530. 98 Individual deposits 1,090.03 United States deposits 5, 000.00 Deposits of U.S. disbursing officers 711. 87 Due to other national banks 12, 335.00 Due to State banks and bankers .. 65.70 24, 587. 50 Notes and bills re-discounted . 5,461.00 Bills payable 297, 836. 83 47,101.649, 374. 32 4, 500. 00 564, 550. 21 Total. 5C4, 550. 21 First National Bank, Shippensburgh. ALEXANDER STEWART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 834. $193,166.91 Capital stock paid in. 89.72 25, 000. 00 Surplus fund 19, 250.00 22, 308.48 4, 402. 73 4, 369. 46 8, 500. 00 1, 040. 65 2, 593.80 2, 000. 00 42.00 2, 900. 00 8, 000. 00 J". E. GEES AM AN, Cashier. Undivided profits.... National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits ofU.S.disbmrsing officers Due, to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable.: $75, 000. 00 30, 000. 00 5,825. 74 22, 500. 00 180. 00 148,512.35 8, 252. 95 4,517.71 1,125.00 294, 788. 75 Total 294,788.75- National Bank, Slatington. PETER GROSS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. WM. H. GISH, Cashier. No. 2293. $75, 000. 00Capital stock paid in. 13, 000. 00 Surplus fund 5, 679. 60 Undivided profits. 7,624.00 National-bank notes outstanding.. 22,500.00 55,187.43 State-bank notes outstanding $182,191. 91 319.76 25,000.00 8,816.38 6, 745. 00 1, 565. 00 1, 031.55 6, 276. 50 17.60 4, 259. 00 35.12 3, 764. 00 12, 550. 00 Dividends unpaid. Individual deposits , United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 200.00 171,546.45 25, 651. 64 2, 730. 56 1,125. 00 316, 308.25 Total . 316, 308. 2& 426 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Somerset. No. 4100. EDWARD SCULL, President. ANDREW PARKER, Cashier, Resources. Loans and discounts 'Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bond s Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S Liabilities. $12,215.75 " 13, 000.66 Capital stock paid in. 287. 98 National-bank notes outstanding. State- bank notes outstanding 10, 926.16 2, 904. 31 309. 09 Dividends unpaid. 546 05 Individual deposits 145. 71 United States deposits 3,672.50 Deposits of U. S. disbursing officers. 155.90 Due to other national banks 755.00 Due to State banks and bankers . 55.71 5, 246. 50 Notes and bills re-discounted. 2, 302.00 Bills payable 52, 234. 68 Total. $30, 020. 00 Surplus fund Undivided profits. Total . 18, 986.70 2,940.00 52, 234. 68 Union National Bank of Souderton. ISAAC G-. GARHART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Dae from State banks and bankers Bank'g-house, furniture, and fixtures •Other real estate and mortg's owned •Current expenses and taxes paid... Premiums on U. S. bonds "Checks and other cash items Exchanges for clearing-house Bills of other national banks fractional currency, nickels, cents. Specie Legal-tender n o t e s . . U.iS. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S J. C. LANDES, Cashier. No. 2333. $231, 533. 30 Capital stock paid in. $90, 000.00 545. 60 30,000.00 Surplus fund 34, 000. 00 6, 779. 90 Undivided profits. 21, 032.20 National-bank notes outstanding.. 27, 000. 00 3,454. 34 State-bank notes outstanding 13.10 Dividends unpaid 1,170.00 4, 600. 00 Individual deposits 147,405.16 787. 80 United States deposits 750. 00 Deposits of U. S. disbursing ofiicers 118. 67 Due to other national banks 164.00 45.00 Due to State banks and bankers . 6.35 11, 452. 70 Notes and bills re-discounted. 830.00 Bills payable 1,350.00 Total. 306, 519.06 Total. 306, 519. 06 South Bethlehem National Bank, South Bethlehem. WILLIAM ROTHROCK, President. Loans and discounts "Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned 'Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3961. $57, 085. 87 78.40 12, 500.00 6,489. 01 1, 040.47 J". B. MCCAMANT, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding $50, 000.00 1,876.89 11,250.00 Dividends unpaid. 1,775.80 2,711. 23 3,328.13 180.28 8,050.00 117. 49 1, 847. 50 7, 007. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 38, 788.36 858. 43 562. 50 102, 773. 68 Total., 102,773.68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 427 National Bank, Spring City. No. 2018. A. P. FRITZ, President. Resources. Loans and discounts Overdrafts i IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. W. J. WAGONER, Cashier. Liabilities. $432, 888. 25 56,656.6o Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits 6, 939. 71 11, 637.16 18,117. 94 32, 300.00 8,008.21 National-bank notes outstanding.. 45, 00"). 00 State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 425.20 Due to other national banks 3,611.00 531.43 Due to State banks and bankers .. 8, 853.34 Notes and bills re-discounted 8, 724. 00 Bills payable 45,76 9, 822. 08 2, 644.91 864. 07 2, 632. 00 159, 868.97 34, 045. 67 500. 00 75, 000. 00 2, 250. 00 557, 354. 85 Total. 557, 354. 85 Steelton National Bank, Steelton. No. 3599. LUTHEK S. BENT, President. $234, 712. 80 Loans and discounts Overdrafts U. S. bonds to secure circulation ... """ 18," 800* 66" U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 41,971.29 Due from approved reserve agents. 376. 28 Due from other national banks 1, 104.50 Due from State banks and bankers. Bank 'g-house, furniture, and fixtures 3, 000. 00 Other real estate andmortg's owned Current expenses and taxes paid... 1, 056. 42 1, 500.00 Premiums on U. S. bonds 8, 797. 28 Checks and other cash items... Exchanges for clearing-house 1, 963. 00 Bills of other national Dan ks 196. 20 Fractional,currency, nickels, cents 5,191. 75 Specie 15, 300. 00 Legal-tender notes U. S. certificates of deposit 846.00 Redemption fund with Treas. U. S. Due from Treasurer U. S 334, 815. 52 Total. W. J. SNAVELY, Cashier. Capital stock paid in. Surplus fund , Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable Total . $75, 000. 00 24, 982.96 16, 920.00 184,372.82 9, 841. 58 334, 815. 52 First National Bank, Strasburgh. A . R. BLACK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. B;inkg-hou8e,furniture,andfixture3 Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total., G E O . W . H E N S E L , J R . , Cashier. No. 2700. $80, 000.1)0 Capital stock paid in Surplus fund 16, 000. 00 6, 939. 35 Undivided profits 12, 660. 00 National-bank notes outstanding.. 18, 000. 00 31, 337.36 State-bank notes outstanding $111,251.50 i 12.95 20,000.00 17, 459. 75 547. 58 550.00 1, 318.60 4, 900. 00 120.00 31.26 6, 359. 20 2, 025.00 Dividends unpaid Individual depos deposits United States deposits United States d DepositsofU.S. disbursing officers. D i t f U.S. Due to other national banks Due t6 State banks and bankers .. Notes and bills re-discounted . Bills payable 531. 00 82, 862. 49 5, 736. 42 23.94. 900. 00 210, 093. 20 Total 210,003.20 428 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, Stroudsburgh. PRANK H. SMITH, President. No. 2787. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and morfcg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $162, 382. 67 416. 81 12, 500. 00 9,200. 00 45,81=5.66 4, 914. 21 154. 57 7, 690.00 2, 2.M). 00 5IG. 74 2, 500. 00 469. 75 525.00 73.91 12, 024.10 7, 680. 00 Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers.. $50, 000. 00 5, 000. 00 8, 755. 30 11, 250. 00 33.00 183, 575. 74 11,111.88 Notes and bills re-discounted. Bills payable 562.50 269, 725. 92 Total.. W M GUNSAULES, Cashier, Total . 269, 725. 92 Stroudsburg National Bank, Stroudsburgh. No. 3632. PETER M. EILENBERGER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, an dfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes . U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $311,246.25 115.85 40, 000.00 36,666. co 900.00 93, 559.19 3,124.45 478.17 8, 000. 00 2, 910. 00 1, 057. 71 7,000.00 273.38 1,240. 00 55. 11 15, 789. 00 12, 500.00 JNO. S. FISHER, Cashier. Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding . State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks...... Due to State banks and bankers.. Notes and bills re-discounted. Bills payable $100, 000. 00 50, 000. 00 17, 210. 90 36, 000. 00 386. 00 319, 038. 11 7, 414.10 1, 800. 00 530, 049. Total . 11 530, 049.12 First National Bank, Sunbury. JOHN B. PACKER, President. S. J. PACKER, Cashier. No. 1237. $273,271.84 Loans and discounts 125. 88 Overdraft» 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits " "ioo," 666." 65' U. S. bonds on hand.. 11,162.27 Stocks, securities, judgments, etc. 551, 140.91 Due from approved reserve agents. 22, 869. 75 Due from other national banks Due from State banks and bankers 29, 297. 58 Bank'g-house, furniture, and fixture* Other real estate andraortg'sowned 3, 415. 66 Current expenses and taxes paid.. 10, 500. 00 Premiums on U. S. bonds Checks and other cash items 2,333.41 Exchanges for clearing-house 36, 935.00 Bills of other national banks 1, 065. 44 Fractional currency, nickels, cents. 27, 647. 50 Specie 32, 0U0. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S 2, 250. 00 Due from Treasurer U. S 1,154, 015. 24 Total. Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits 40, 000.00 95, 864. 64 National-bank notes outstanding.. State-bank notes outstanding 11, 800. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Du,e to State banks and bankers .. Notes and bills re-discounted. Bills payable Total . 13, 748. 773, 68 671. 7& 18, 207. 55 722.61 1,154, 015. 24 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 2 9 ' PENNSYLVANIA. First National Bank of Susquehanna Depot, Susquehanna. M. II. EISMAN, President. No. 1053. M. B. WRIGHT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks. Due from State banks and bankers Bauk'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total . Liabilities. $271, 481.94 Capital stock paid i n . 2, 585. 24 100, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. 42,821.81 State-bank notes outstanding 4, 378. 54 3,417,38 10, 491. 70 1, 660. 96 21, 500. 00 1, 589. 06 75.71 5,924.60 5, 987.00 $100, 000.00 27, 000. 00 2, 621. 72 90, 000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 287,286.63 19, 505.59 4, 500.00 Total. 476,413.94 476,413. 94 City National Bank, Susquehanna. CHARLES SCHLAGEK, President Loans and discounts Overdrafts TT. S. bonds to secure circulation. . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Duo from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other rational banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 3144. $117,340.54 445. 76 50,000.00 5,274. 47 15, 397. 59 1,274.12 1,745.08 1,307.27 2, 700.00 1,864. 39 7, 580.13 858. 70 175.00 48.80 9,179. 25 1,900.00 W. SCOTT BRANDT, Cashier. Capital stock paid in. Surplus fund , Undivided profits . National-bank notes ontstanding.. State-bank notes ontstanding $50,000.00 8,000.00 3,536.88 45,000.00 Dividends unpaid Individual deposits d d u a l deposts < United States d deposits Deposits f U D i t of U .SJdisbursing officers Due to other national banks 110,409. 76 2,394.46 Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 2, 250.00 Total. 219,341.10 219, 341.10 First National Bank, Tamaqua. E. J. FRY, President. Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve a g e n t s . Due from other national banks D u e from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, c e n t s . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1219. $179, 930.79 23, 827.39 100, 000.00 36, 595. 00 5, 4G7.82 2, 602. 79 52, 082. 98 9,490.33 870. 88 5, 500. 0(1 516.18 796. 00 69.59 6,161.00 8, 500. 00 THOMAS H . CARTER, Cashier. Capital stock paid in. $150, 000.00 Surplus fund Undivided profits 35,000.00 14,217.95 National-bank notes outstanding.. State-bank notes outstanding 90, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing ofiicers. 35.00 147,657.80 Due to other national banks Due to State banks and bankers . Notes and bills ro-discounted . Bills payable 4,500.00 436, 910. 75 Total. 436,910.75 430 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. Second National Bank, Titusville. Louis K. HYDE, Cashier. No. 879. CHARLES HYDE, President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc -Due from approved reserve agents . Due from other national banks Due from State banks and bankers. Bauk'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-bouse Bills of other national banks Fractional currency, nickels, cents. Specio Legal-tender notes. TT. S. certificates of deposit Redemption fund with Treas. TT. S. Duo from Treasurer TT. S Liabilities. $536, 932. 46 1, 559. 33 50, 000. 00 50, 000. 00 900.00 42, 988. 26 4, 600. 00 38, 222.81 38,306.64 5,446.15 12, 000. 00 3, 554. 33 4, 074. 683. 18, 282. 43, 583. 00 84 95 00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 27, 518. 33 11, 955.Q9 45, 000. 00- 402, 325. 29 50, 000. 00 16, 584.4G !, 250. 00 853, 383. 77 Total. $300,000. 00 853, 383.7T Total. First National Bank, Towanda. CHARLES L. TRACY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniturc,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 39. $729, 682. 26 5, 993. 39 31, 250. 00 75, 686.47 122, 914.03 15, 108.92 9, 912. 02 22, 400.00 •3,032.88 8, 084.00 7, 392.82 2, 455. 00 154. 86 36,119.03 14, 786.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing oflicers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . $125, 000.00 100, 000. 00 23, 866. 26 28,125. 00 776, 749. 69 31, 662.30 974. 68 Bills payable 1,406. 25 Total 1,086, 377. 93 Total. N. IS. BETTS, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 1,086,377.93 Citizens' National Bank, Towanda. B. M. PECK, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-honse, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit lledemption fund with Treas. U. S. Duo from Treasurer U. S Total. No. 2337. $481, 571.94 2, 833.90 50, 000. 00 6, 950. 00 32,011.98 13, 090. 93 9,801.39 27, 500. 00 10, 935.85 2,014. 08 4, 000. 00 1, 535.91 745.00 106.16 15, 600.00 7, 342.00 (Jr. W. BUCK, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $150, 000. 00 38, 500. 00 6,464.17 45, 000. 00 56.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 421, 033.16 Duo to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 6, 980. 77 255.04 2, 250. 00 668, 289.14 Total. 668, 289.14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 3 1 PENNSYLVANIA. Wyoming National Bank, Tunkhannock. F. L. SITTSER, President No. 835. F. W. D E WITT, Cashier, Resources. Loans and discounts . . . Overdrafts .. U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, jndgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g- house, furniture.andfixtures Other real estate and mortji's owned Current expenses and taxes paid.. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total. Liabilities. $180, :J18. 54 591. 26 100,000. 00 7, 850, 00 :J, ooo. oo 6(>. 01)1. 66 18,494.12 2, 095.91 6,641.81 3,557.75 1, 494.44 $100, 000. 001 Capital stock paid in S u r p l u s fund Undivided profits 29, 000.00 3, 932. 82 National-bank notes o u t s t a n d i n g . . Stato-bank notes o u t s t a n d i n g 90, 000. 00 Dividends u n p a i d I n d i v i d u a l deposits United States deposits Deposits of U. S. disbursing officers. 211,429.94 D u e t o other national b a n k s D u e t o State b a n k s a n d b a n k e r s . . 2, 790.07 14. 20 4, 363.47 6, 684. 00 85.07 24, 799. 00 6, 000. 00 N o t e s a n d bills re-discounted. Bills payable 4, 500. 00 437,167. 03 Total. 437,167. 03 First National Bank, Uniontown. J. V. THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankersBank'g-house, furniture, andiixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U S. bands Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duefrom Treasurer U. S Total. N o . 270. $575, 205. 97 3, 280. 06 25, 000. 00 E. S. HACKNEY, Cashier. Capital stock paid in $100, 000.00 Surplus fund U n d i v i d e d profits 95, 000.00 11, 420.22 13, 490. 81 National-bank n o t e s o u t s t a n d i n g . . 74, 468. 05 State-bank notes o u t s t a n d i n g 2, 265. 23 Dividends u n p a i d . 26, 700. 00 3, 700.00 I n d i v i d u a l deposits 2,147. 55 U n i t e d S t a t e s deposits 22, 500. 00 189. 00 541, 006.16 Deposits of U.S. d i s b u r s i n g officers. 6, 454.64 645.37 13, 987. 95 24,154. 00 D u e t o other n a t i o n a l b a n k s Due to State banks and b a n k e r s . . . 1, 86G. ?,1 192. 88- N o t e s a n d bills r e - d i s c o u n t e d . Bills p a y a b l e 675. 00 Total. 772,174.63 772,174.6 National Bank of Fayette County, Uniontown. JOHN K. EWING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andiixtures Other real estate and mortg's owned Current expenses and taxes paid... Prcm iums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 681. $322, 337. 44 2, 333. 53 50, 000. 00 M. II. BOWMAN, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits 80,000 00 9, 467. 67 65,416.80 39, 688. 99 National-bank notes outstanding.. State-bank notes outstanding 42, 900. 00 2, 098.35 20, 000. 00 Dividends unpaid 2,781.61 6, 000.00 41, 488. 35 6,177. 00 25 '^3 20, 796.' 85 21, 623. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 711. 75 369, 937. 73 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2, 250.00 603, 017.15 Total. 603, 017.15 432 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA, First National Bank, Warren. No. 520. L. D. W E T M O R B . President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... •U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. M. BEECHER, Cashier. Liabilities. $342, 0:>2. 09 4,810.43 100,000. 00 20,117. 74 31.4Ii8.84 5, 075. 50 7,12*). 34 12,' 450. 00 24, 333. 32 4, 632. 32 Capital stock paid i n . $100, 000.00 Surplus fund Undivided profits. 20, 000. 00 12, 881. 96 National-bank notes outstanding.. State-bank notes outstanding 90, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 240. 73 Due to other national banks 2, 575. 00 Due to State banks and bankers .. 189.72 10,710.00 Notes and bills re-discounted. 15,133. 00 Bills payable 343,176. 68 14, 023. 55 5, 302.84 4, 500.00 585,385.03 Total. 585,385.03 Citizens' National Bank, Warren. No. 2226. WATERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks. Due from State banks and bankers Bank'ghouse, furniture, andfixtures Other real estate and mortg's owned 'Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . ."Specie Legal-tender notes TT. IS. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total . $330,783.93 3,903.65 25,000.00 D. L. GEROULD, Cashier. Capital stock paid in. Surplus iund Surplus fund. Undivided profits . 6, 036.66 National-bank notes outstanding.. 63, 552.77 State-bank notes outstanding 1.966.13 5, 285.23 42, 943. 83 3, 477.56 "1,911.22 1,160. 00 220. 34 13,455.00 10, 802. 00 Dividends unpaid Individual deposits United States deposits Deposits ofU. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $100,000.00 60,000.00 9,943.47 22,500.00 304, 232. 43 14,261.75 685.67 1,125. 00 Total. 511, 623.32 511,623. 32 First National Bank, Washington. A. MURDOCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankeis Bauk'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie '. Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 586. JAMES MCILVAINE, Cashier. $370,887.01 Capital stock paid in " " 150," 000." 00* Surplus fund Undivided profits 82, 467.00 National-bank notes outstanding.. 287, 368.19 State-bank notes outstanding 12, 099. 95 22, 000.00 2,925. 32 25, 000.00 2,282.20 5, 887.00 465.37 25, 635.00 20, 631.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks . . . Due to State banks and bankers .. $150,000.00 75, 000. 00 32, 767. 33 135, 000.00 1, 993. 50 620,009.23 1,812. 98 Notes and bills re-discounted. Bills payable 6,750.00 2,245.00 1,016,643.04 Total 1,016,643.04 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 3 3 PENNSYLVANIA. Citizens' National Bank, Washington. JOHN W. DONNAN, President. N. R. BAKER, Cashier. No. 3383. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $487,832.11 3, 978. 27 25,000. 00 13, 000.00 128, 506.12 4,176. 20 4, 592. 08 11, 925. 00 1, 795.35 5, 750.00 343. 58 6, 540. 00 110.68 19,000.00 21,000.00 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 40, 000.00 8, 240. 35 22, 500. 00 717. 00 Individual deposits United States deposits Depositsof U.S.disbursing officers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 558, 050. 80 5,166. 24 1,125.00 Total. 734, 674.39 734, 674. 39 Farmers' National Bank, Watsontown. SIMPSON SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S No. 3459. $138, 779.42 584. 49 12, 500. 00 300. 00 30,100. 80 1, 294.16 1,687. 34 329. 20 500.00 44. 68 2, 755. 00 90. 52 4, 709.50 4, 680.00 $50, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. j State-bank notes outstanding Dividends unpaid. 16,000.00 3,182. 37 11,250.00 378.00 Individual deposits United States deposits Depositsof U.S.disbursing officers. 113, 059.19 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 3, 753.91 1, 294.14 562.50 198, 917.61 Total. HIRAM DUNKEL, Cashier. Capital stock paid in. Total. 198, 917.61 Watsontown National Bank, Watsontown. THOMPSON BOWEK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc - Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mort.u's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specio Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total H. Ex. 3- -28 No. 2483. G. W. ROMBACH, Cashier. $146, 096.13 j Capital stock paid in. 20. 38 60, 000.00 Surplus fund , Undivided profits . I National-bank notes outstanding. . 18,034.39 ; State-bank notes outstanding 23, 911. 20 Dividends unpaid "4*606*00' Individual deposits ""i," 486.26 United States deposits Deposits of U. S.disbursing officers. 28.71 Due to other national banks 2, 000. 00 Due to State banks and bankers . . 120. 09 12,594.00 Notes and bills re-discounted. 4, 090. 00 Bills payable $60, 000. 00 30, 000. 00 5, 668.32 53, 400.00 10.00 115, 820. 67 10,110.63 71.54 2, 700. 00 275,081.16 Total. 275, 081.16 434 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank of Waynesborough. No. 244. JOSEPH PRICE, President. JNO. PHILIPS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure doposits TJ. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $132,067. 03 31.15 20,000.00 Capital stock paid in. 15,000. 00 5, 028. 80 3, 450.00 National-bank notes outstanding. 50,425.35 State-bank notes outstanding 5,467.46 j Dividends unpaid "i*566." 00* Individual deposits 918. 57 United States deposits Deposits of U. S. disbursing officers 1, 970.00 89.66 13, 959. 80 3,494.00 Due to other national banks Due to State banks and bankers . 18, 000. 00 252. 00 119, 548.25 974.79 469.18 Notes and bills re-discounted . Bills payable 900. 00 Total. 234,273.02 Total. $75, 00J. 00 Surplus fund Undivided profits. 234, 273. 02 Farmers and Drovers' National Bank, Waynesburgh. CHARLES A. BLACK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and o-ther cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 893. $31J7,058.11 1,450.00 150,000. 00 900. 00 16, 373.18 4,525. 98 10, 350. 00 1,033. 78 4,826.50 10,364.27 36,240.00 37.58 19, 804. 00 28,620.00 $150,000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 38, 500. 00 9, 733. 38 135, 000. 00 262. 50 Individual deposits United States deposits Deposits of U. S. disbursing officers 256, 975. 21 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 6, 750.00 2,137.69 Total.. 590,471.09 Total. W. T. LANTZ, Cashier. Capital stock paid in. 590, 471.09 First National Bank, Wellsborough. JOHN L. ROBINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Duo from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S* bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.l$. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 328. $337,195.01 2,476.86 25,000.00 38,268, 82 55, 326. 90 1, 364.66 3,026.38 20,679.24 654.45 6, 300.00 1, 811.64 310. 00 10,289. 24 12, 768.00 J. M. ROBINSON, Cashier. Capital stock paid in . Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $100,000.00 100,000.00 6,722. 93 21, 650. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 286, 264.90 Due to other national banks Due to State banks and bankers . . 1,810.91 147.46 Notes and bills re-discounted . Bills payable 1,125.00 516, 596. 20 Total. 516, 596.20 REPORT OF THE COMPTROLLER OF THE CURRENCY. 435 Wellsborough National Bank, Wellsborough. H U G H YOUNG, President. N o . 3938. W. 1). V A X HORN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bends to secure deposits U. S. bonds on band Stocks, securities, judgments, etc .. Due- from approved reserve agents. Due from other national banks Due from State bunks and bankers. Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits " " " i , 934.03 National-bank notes outstanding.. State-bank notes outstanding Di vidends unpaid. 7,201.70 ij i Individual deposits 815. United States deposits 3, 421). I Deposits of U.S. disbursing officers. 1, 895. Due to other national banks 35. Due to State banks and bankers ... 10. Notes and bills re-discounted 2, 080. 3, 465. Bills payable \ 11, 250. 00 76, 007. 82 2, 683. 22 4, 059.44 562.50 Total. 145, 934.51 145, 934.51 First National Bank, West Chester. No. 148. WILLIAM AYOLLEUTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,,judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,fuiniture,and fi xtures Otheir real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for ciearing-house Bills of other iui' ional ban ks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S $200, 000.00 Surplus fund ! | Undivided profits J 51,000.00 16,143. 31 l! National-bank notes outstanding.. 093. 33 I' State-bank notes outstanding ..'.., 310. 97 601. 4(3 | Dividends u n p a i d . ooo. oo GOO. 00 ij Individual deposits 250. 97 1 United States deposits . Dep >sits of U.S. disbursing officers. 16,-192.69 ; Due to other national banks . . . 5,0-15. (r0 Dae to State banks and bankers . . 438. :j.) 37, 578. :>5 i Notes and bills re-discounted . 1.1, 975. 0u I Bills payable 58, 49, 8, 2;;. 4, 4, 45, 000. 00 324. 00 289, 520. 88 3, 810. 61 2,250.0J :j 605,798.80 Total. F. W. WOLLERTOX, Cashier. Capital stock paid in Total. 605, 798. 80 Farmers' National Bank, West Chester. SAMUEL BUTLER, President. No.'2857. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-h.ouse,furniture,andfixt.urea Other real estate and mortg's owned Current expenses and taxes paid... Premium s on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes T S. certificates of deposit T Kodemption fund with Treas U. S. Due froin Treasurer U. S Total I WILLIAM DOWLIN, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits 20, 000. 00 3,6i6.89 National-bank notes outstanding.. State-bank notes outstanding .."... 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national hanks Due to State banks and bankers ..•. 224, 074. 28 4,148.6G Notes and bills re-discounted . Bills payable 374, 33(>. 83 Total. 374, 339. 83 436 REPORT OF THE COMPTROLLER O*1 THE CURRENCY. PENNSYLVANIA, National Bank of Chester County, West Chester. •WASHINGTON TOWNSEND, President. Resources. Loans and discounts O verdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash itoms Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S Due from Treasurer U. S Total. No. 552. $640, 669.25 156.12 155, 000. 00 I. CARY CARVER, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits ; National-bank notes outstanding .. I State-bank notes outstanding I 44,000.00 33,789.41 4(3,491.08 " Dividends unpaid $225, 000. 00 100, 000. 00 15, 403. 86 136, 400. 00 469. 00 300.00 2,500.00 il 3, 287. 55 Individual deposits United States deposits Deposits of U.S. disbursingofiicers. 15, 884. 08 Due to other national banks 525,00 ! Due to State banks and bankers .. 8t». 28 '| 504.467. 51 17, 406. 00 41, 281 00 i Notes and bills re-discounted., 5,200.00 Bills payable 6, 975. 00 999,146. 37 999,146. 37 Total. National Bank, "West Grove. SAMUEL K. CHAMHERS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due-from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. "WALTER W. BROWN, Cashier. No. 26G9. $50, 000. 00 Capital stock paid in. 12, 000. 00 Surplus fund 2,893.21 Undivided profits . National-bank notes outstanding. 11, 250. 00 17, 339. 69 State-bank notes outstanding $105, 346.12 34.80 12, 500. 00 549. 40 5,123.16 Dividends unpaid . 15.00 Individual deposits 1,302.71 United States deposits 900. 00 | Deposits of U.S. disbursingofiicers 83, 981.2G 9,468.91 | 710.00 289. 02 10,945.20 3, 690. 00 Due to other national banks Due to State banks and bankers .. 8, 622.10 Notes and bills re-discounted. Bills payable 562.50 Total. 168, 761.57 168, 761. 57 First National Bank, Wilkes Barre. No. 2736. W. S. MCLEAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bouds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Lo^al-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. $498, 368. 98 1,872.50 50, 000. 00 174, 77, 49, 64, o0, 500.00 118.02 ] 54. 61 Gf>9. 67 000. 00 r », 248. 59 2, 000. 00 13, 672.92 12, 200.00 457. 42 12, 745.00 16,325.00 P. M. CARTIART, Cashier. Capital stock paid in. Surplus fund Undivided profits $375, 000.00 , 115, 000.00 19, 196. 38 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. PG.OO Individual deposits United States deposits Deposits of U. S. disbursing officers. 414, 360. 65 Due to other national banks Due to State banks and bankers .. 70, 485.18 1, 434. 50 Notes and bills re-discounted . Bills payable 2, 250. 00 1, 040, 572.71 Total. 1, 040, 572. 71 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 3 7 PENNSYLVANIA. Second National Bank, Wilkes Barre, ABRAM NESBITT, President. No. 104. E . TV. MULLIGAN, Cashier.. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house. furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $515, 061.63 74. 89 50, 000. 00 80, 000. 00 693, 009. 53 233, 952. 09 30, 858.17 12,782.(34 20, 000.00 4, 500. 00 3, 337. 54 34,415.19 9, 560.99 32, 744. 00 585. 92 45, 387. 50 62, 435. 00 $450,000. 00 125, 000. 00 12, 374. 82 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . 45, 000.00 1, 536. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 1,034,843.84 77, 507. 01 2,492. 99 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 81, 349. 54 850. 89 2, 250. 00 1, 830, 955.09 Total. Capital stock paid in. Total., 1, 830, 955. 09 Wyoming National Bank, Wilkes Barre. CHARLES DORRANCE, President. No. 732. GEO. H. FLANAGAN, Cashier. Capital stock paid in $150, 000. 00 $307, 870.12 Loans and discounts 241. 74 Overdrafts 150, 000. 00 U. S. bonds to secure circulation .. U. S. bonds to secure deposits 1,250.00 U. S. bonds on hand 356,400.00 Stocks, securities, judgments, etc .. 82, 527. 78 Due from approved reserve agents. 92,470.11 Due from other national banks 28, 908.01 Due from State banks and bankers. 40, 000. 00 Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... 4,695. 54 8,000. 00 Premiums on U. S. bonds 10, 343. 08 Checks and other cash items Exchanges for clearing-house 12, 000. 00 Bills of other national banks 768. 27 Fractional currency, nickels, cents 23, 450. 00 Specie 60, 000. oO Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S 6, 750. 00 Due from Treasurer XJ. S 1,185, 674. 65 Total. Surplus fund Undivided profits 135, 000.00 21, 956. 33 National-bank notes outstanding .. State-bank notes outstanding 133, 540. 00 598.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 708, 883. 01 Due to other national banks Duo to State banks and bankers .. Notes and bills re-discounted . Bills payable 23, 264.61 12, 432. 70 Total. 1,185, 674. 65 First National Bank, Williamsport. J. A. BEEBER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses ami taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 175. $800, 830. 58 Capital stock paid in. 9,196. 50 50, 000. 00 Surplus fund Undivided profits. 7, 625. 00 14, 062.32 85,184. 09 44,443.34 32, 000.00 5. 024.55 10J000. 00 8,484. 58 2, 040. 00 234. 34 29, 886. 22 19, 273. 00 "W. H. SLOAN, Cashier. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. $300, 000.00 150, 000.00 57, 657.34 45, 000. 00 688. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 486,164. 88 Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 78, 936. 26 8, 088. 04 2,250.00 1,126,534.52 Total 1,126,534. 52 438 REPORT OF THE COMPTROLLER OF THE CURRENCY. PEN NSYLVANIA, Lumberman's National Bank, Williamsport. K. J. C. WALKEU, President. No. 734. S. J o KES, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to seciiTe deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Duo from State banks and oankers. Bank'g-house,fuxniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums ouU.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie ' Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $243, 527.57 2, 425.61 25,000. 00 19, 72:5. 54 29, 907.45 8, 430. 83 1, 000. 00 1, 820. 82 4, 000. 00 3,008.45 2, 350. 00 023.44 15,110.00 8, 750. 0l> Capital stock paid in $100,000. 00 Surplus fund Undivided protits National-bank notes outstanding. -j State-bank notes outstanding 50,000.00 6, 191. 24 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers, i 178,199. 20 Due to other national banks • Due to State banks and bankers . . 9,140. 98 1,418.29 Notes and bills re-discounted . . Bills payable 1,100.00 367, 449. 71 Total. 367, 449. 71 Lycoming National Bank, Williamsport. GEORGE BUBB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... \ TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. I Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned; Current expenses and taxes paid... j Premiums on U. S. bonds , Checks and other cash items I ! Exchanges for clearing-house Bills of other national banks j Fractional currency, nickels, cents .; i Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 2227. CHAS. GLEIM, Cashier. $307, 529. 32 I! Capital stock paid in I 3,900.61 !j ' 25,000.00 i Surplus fund Undivided profits Xational-bank notes outstanding. 72, 623.10 State-bank notes outstanding 18,631.13 2, 709. 92 Dividends unpaid 18,000.00 Individual deposits 648.41 i! United States deposits Deposi ts of U. S. disbursing officers. 5,937.82 I Duo to other national banks 1, 705. 00 Due to State banks and bankers . 172. 43 14,540.15 Notes and bills re-discounted. 13,243.00 j Bills payable $ 100, 000. 00 75, 000.00 2, 817. 21 22, 500. 00 345, 514. 68 1,125.00 545,831.89 Total. 545, 831. 89 Merchants' National Bank, Williamsport. J. WOOD MUSSINA, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due lrorn otber national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3705, J. H. BOYER, Cashier, $185, 503. 28 ; Capital stock paid in I 1,172.94 25,000. 00 Surplus fund Undivided profits 8, 650.00 Xational-bank notes outstanding 11,366.01 State-bank notes outstanding . . . 2,316.00 | 1,494.52 -I Dividends unpaid 34,531.29 j! Individual deposits •1,834.58 United States deposits 7,125.00 I DepositsofU.S. disbursing officers. 3, 509. 24 Due to other national banks Due to State banks and bankers . 320.88 5, 593.80 Notes and bills re-discounted 11, 451. 00 Bills payable $100,000.00 10,000.00 2, 917. 28 22, 500. 00 156,928.43 40.20 8, 607. 63 1,125.00 300, 993. 54 Total. 300, 993. 54 REPORT OF THE COMPTROLLER OF THE CURRENCY. 439 P E WBTS Y L V A J V I A . "West Branch National Bank, Williamsport. HENRY C. PARSONS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... X . S. bonds to secure deposits T IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from otber national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TT. S. Due from Treasurer U. S Total. No. 1505. F. E. GLEIM, Cashier, Liabilities. $791,175.18 4, 549.19 100, 000. 00 75, 528. 89 46, 033. 67 9,479.62 39, 289. 53 6,676. 47 14, 000.00 5, 931. 37 26, 612. 00 939.58 21,144. 98 30, 515. 00 $100, 000.00 Capital stock paid in. 100, 000. 00 90, 383.13 Surplus fund Undivided profits. National bank notes outstanding.. State-bank notes outstanding 90, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 738, 766. 92 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 46,029.42 12, 746. 01 4, 500.00 1, 550. 00 Total. 1,177, 925.48 1,177, 925.48 Williamsport National Bank, Williamsport. GEORGE L. SANDERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1464. $356, 936. 78 4, 020.16 25, 000. 00 10,114.87 86, 621. 24 6,893.56 6, Oil. 16 29,184.71 630. 38 *7," 749* 69* 14, 505.00 198.84 6, 490.00 34, 000.00 J A S . S. LAWSON, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits DepositsofU.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $100, 000. 00 100, 000. 00 5,422. 99 22, 500. 00 343, 453. 76 17, 881. 07 223.57 1,125.00 589, 481.39 Total., 589,481.39 First National Bank, Wrightsville. J. E. BEARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand :... Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer'U. S Total. N o . 246. $272, 427. 90 121.36 50, 000.00 4, 099. 00 37, 959.17 1,072. 23 2, 200. 00 1, 250.00 1, 877. 52 13, 000. 00 250.00 186.83 6, 243. 00 1, 820. 00 H. C. LEWIS, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $150, 000.00 30, 000. 00 20, 280. 57 45, 000.00 686.00 139,515. 91 9,274. 53 2, 250. 00 394, 757. 01 Total. 394,757. 01 440 REPORT OF THE COMPTROLLER OF THE CURRENCY. PENNSYLVANIA. First National Bank, York. No. 197. Z. K. LOUCKS, President. Resources. Loansand discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and Other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total $635, 435. 09 608. 89 50, 000. 00 107, 749. 27 113, 515.40 25,173. 81 3, 579. 42 28, 528. 0? J. J. FRICK, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid , . Individual deposits 3,396.11 United States deposits. 2, 613. 50 Deposits of U. S. disbursing officers 0,210. 10 Due to other national banks 7, 200. 00 Due to State banks and bankers.. 113.07 32, 807. 00 Notes and bills re-discounted . 8, 993. 00 Bills payable $300, 0d(>. 00 100, 000. 00 54, 348. 37 45, 000. 00 95.00 503, 408. 32 13,047.24 12, 334. 40 2, 250. 00 1, 028, 293. 33 Total. 1,028,293.33 Drovers and Mechanics' National Bank, York. N. F . BURNHAM, President. No. 2958. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reser\ e agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxos paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $212,540.45 28.47 25, 000.00 41,279.00 56, 672. 60 7, 399. 53 241.25 13, 000. 00 1, 098. 53 Dividends unpaid. $100, 000. 00 16, 000. 00 8, 067. 82 22, 500. 00 588. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 232, 645.46 Due to other national banks Due to State banks and bankers . . 2, 058. 26 *"*664.'7i 1, 400. 00 50. 00 11, 064. 00 10, 896. 00 Notes and bills re-discounted . Bills payable 1,125. 00 382, 459. 54 Total.. J . V. GIESEY, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Total. 382, 459. 54 Farmers' National Bank, York, VINCENT K. KEESEY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hoiTse.furniture,and fixtures Otherreal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-L ouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. 3. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S TotaL E. P. STATR, Cashier. No. 2228. $200,000. 00 Capital stock paid in. 100, 000.00 Surplus fund 17, 557.19 Undivided profits . National-bank notes outstanding. 45, 000.00 56, 203.06 State-bank notes outstanding $416, 471. 98 1, 092. 89 50, 000. 00 50, 000. 00 12, 492. 76 8, 466. 58 10, 325. 96 1, 824. 58 11, 375. 00 183. 78 4, 355.00 63.38 20, 872. 50 3, 492. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 768. 00 228, 845.48 55, 000. 00 2, 298. 80 2, 250.00 649, 469. 47 Total . 649, 4G9. 47 REPORT OF THE COMPTROLLER OF THE CURRENCY 441 Western National Bank, York. No. 2303. ALBERT SSIYSEU, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,an.d fixtures Other real estate aud mortg's owned Current expenses and taxes paid..: Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. C.E. LEWIS, Cashier. Liabilities. $273, 21G. 02 194. 37 37, 500. 00 41, 495. 03 91, 090.17 283.12 $150, 000. 00 Capital stock paid in Surplus fund Undivided profits 30, 000. 00 35, 0G9. 59 National-bank notes outstanding. State-bank notes outstanding 33, 750. 00 Dividends unpaid 85.00 3, 500. 00 Individual deposits United States deposits '""i," 509." 86' Deposits of U.S. disbursing officers. "'1,007.81 3, 805.00 74.48 15,842.50 1, 055. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 222, 9G3. 26 993.01 1, 687. 50 472, 860. 86 472, 860. 86 Total. York County National Bank, York. "WILLIAM S. ROLAND, President. No. 694. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks aud bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit : Redemption fund with Treas. U. S . Due from Treasurer U. S $770,163. 68 21.89 200, 000. 00 82, 434. 29 18, 925. 47 30, 625.73 2, 405. 36 35, 000.00 5, 038. 54 $300, 000. 00 Surplus fund Undivided profits CO, 000. 00 63,631.06 National-bank notes outstanding.. State-bank notes outstanding . . 178, 800. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 589, 220.74 'i," 361.71' Due to other national banks 2, 000. 00 Due to State banks and bankers .. 418. 04 32, 675.00 Notes and bills re-discounted 7, 307. 00 Bills payable 978. 73 7, 740.18 9, 000. 00 Total. 1, 200, 376. 71 Total. ISAAC A. ELLIOTT, Cashier. Capital stock paid in. 1, 200, 376.71 York National Bank, York. No. 604. G. E. HERSH, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $725, 843. 53 256.84 50, 000. 00 53, 75, 23, 9, 19, 934.18 385.12 947. 03 560. 94 223. 30 3, 357. 80 W. H. GRIFFITH, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $500, 000. 00 100, 000. 00 66, 880. 08 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 244, 220. 00 Due to other national banks Due to State banks and bankers... 58, 914. 96 4, 226. 74 378. 00 13,272.52" 6, 981.00 33.02 31, 937.50 3, 637. 00 Notes and bills re-discounted. Bills payable , 2, 250. 00 1,019,619.78 Total. 1,019,619.78 442 REPORT OF THE COMPTROLLER OF THE CURRENCY. DE L.AWARE. Delaware City National Bank, Delaware City. HENRY CLEAVER, President. N o . 1332. F. MCINTIRE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furnituro,and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Troas. U. S. Due from Treasurer U. S Total. $107,816.49 86.04 GO, 000. 00 500.00 13, 499. 42 1, 117.63 "*9J653.62 527. 47 1, 001.91 1,172. 00 78.60 13, 050. 00 5, 623. 00 Capital stock paid in $60, 000. 00 Surplus fund Undivided profits 17, 500. 00 4, 918.23 National-bank notes outstanding.. State-bank notes outstanding 47,110.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 78, 071. 41 Due to other national banks Due to State banks and bankers . . 6, 773. 60 2, 452. 94 Notes and bills re-discounted . Bills payable 2,700.00 216, 826.18 Total. 216, 826.18 First National Bank, Dover. NATHANIEL B. SMITHERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national ban ks Due from State banks and bankers Bank'g-house,fumiture,and fixtures Other real ©stateand mortg's owned Current expenses and taxes paid— Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit . Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 1567. $217,481.44 56,666.66 15, 337.40 122, 503. 28 9,185. 55 549. 33 13, 912.93 8, 487. 50 1,184. 89 9,140. 00 1,127. 67 2, 523. 00 95.60 3, 732. 85 8, 224. 00 J . H. BATEMAN, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits. 35, 000. 00 23, 594. 72 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 239,070.91 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 22, 479.29 590. 52 2, 250. 00 Total. 465,735.44 465, 735.44 First National Bank, Harrington. E. SAFP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 3883. $52, 987.09 213. 61 12, 500. 00 23, 396. 58 2, 253. 31 920. 61 4, 743. 27 398. 92 3,031:25 3, 000. 00 17.20 2, 350. 00 1, 500. 00 W. T. SHARP, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $50,000.00 1, 000. 00 1, 335. 86 11, 250. 00 30.00 Individual deposits United States deposits Deposits of U. S. dis bursin g officers 38, 444. 95 Due to other national banks Due to State banks and bankers . . 4,838.47 975. 06 Notes and bills re-discounted . Bills payable 562. 50 107, 874. 34 Total. 107, 874. 34 REPORT OF THE COMPTROLLER OF THE CURRENCY. 443 I E 1A A W A R E , * Citizens' National Bank, MidclJetown. HENRY CLAYTON, President. No. 1181. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation ... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house.furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treaa.TJ. S. 1) lie from Treasurer TJ.S Total. $167, 970. 21 225. 47 80, 000. 00 7, 900. 00 1, 105. 72 18, 783. 36 903. 58 11,000.00 2, 000. 00 142. 08 3, 350. 00 8,250.00 :; JNO. S. CROUCH, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $80, 000. 00 16, 000. 00 3,957.41 72, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 116,154. GQ 13, 028. 49 51. 8d 16, 705. 00 5, 000. 00 3,550.00 I 322,897.44 | Total. 322, 897. 44 People's National Bank, Middle town. JAMES V. CRAWFORD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. G. D. KELLEY, Cashier. No. 3019. $110, 366.92 Capital stock paid in. $80, 000. 00 1,169.84 51, 000.00 5, 2(58.10 6, 333.16 1, 172. 39 11, 540.96 1,104.60 7, 200. 00 175. 32 "i," 66k 66 88.31 2, 257. 70 5, 280. 00 Surplus fund Undivided profits , 3, 800. 00 2, 783. ?0 National-bank notes outstanding.. State-bank notes outstanding 45, 900. 00 Dividends unpaid. 190. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers C3, 313. 78 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 10, 288. 02 2,295. 66 Total. 206, 275. 30 206, 275. 30 First National Bank, Milford. JAMES M. HALL, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. B. SMITH, Cashier. No. 2340. $241,949.25 j Capital stock paid in 87.50 ' 60,000.00 | Surplus fund Undivided profits 203. 00 212. 45 450.33 466. 46 000,00 450. 00 986. 65 f National-bank notes outstanding.. State-bank notes outstanding $60,800.00 43, 200. 00 16, 569. 84 54, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers, j . 1, 096. 81 Duo to other national banks 65. 00 Due to State banks and bankers 151. 08 087.(0 !' Notes and bills re-discounted. 227. 00 ! I BiJ Is payable 228,100. 33 5, 522. 36 2,700.00 I 406,192. 53 i Total., 406,192.63 444 REPORT OF THE COMPTROLLER OF THE CURRENCY. DELAWARE. National Bank, Newark. No. 1536. J O E L THOMPSON, President. G-EO. TV. LINDSEY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts . . . U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned CUT rent expenses and taxes paid... Premiums on TJ. 8. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S $129, 414. 64 $50, 000. 00 12, 500.00 Surpl us fund Undivided profits 30,136. 00 3, 608.14 35, 701. 62 32,605.16 16, 740. 63 506. 66 10, 863. 42 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid 149, 905. 25 Due to other national banks 2,330.00 i Due to State banks and bankers .. 45.47 ! 14, 557. 50 Notes and bills re-discounted 2, 500. 00 14, 741. 57 191. 90 760.45 i.'m.'sil 562. 50 260, 212. 86 Total 320.00 Individual deposits United States deposits Depositsof U.S.disbursingofficers. Total 260,212.86 Newport National Bank, Newport. DAVID EASTBURN, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. 'Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 997. $148, 770.17 798. 93 75, 000. 00 908. 12 3, 903. 46 386. 06 6,000.00 985.93 383. 51 56.00 16.55 5, 246. 20 2, 208. 00 $75, 000. 00 S u r p l u s fund Undivided profits 36, 600. 00 3,378. 77 National-bank notes o u t s t a n d i n g . State-bauk notes o u t s t a n d i n g . . . . 67, 500. 00 Dividends unpaid 189. 00 Individual deposits United States deposits Depositsof U.S.disbursing officers 61,268.80 Due to other national banks Due to State banks and bankers .. 1,224.88 946.48 N o t e s a n d bills re-discounted . Bills payable 1, 445. 0C Total. 246,107. 93 Total. Jos. TV. H. WATSON, Cashier. Capital stock paid i n . 246,107.93 New Castle County National Bank, Odessa. JOHN C. CORBIT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankefsBank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Preminms on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1281. J. L. GIBSON, Cashier. $140,296.46 i Capital stock paid in. 290.69 75, 000.00 Surplus fund Undivided profits 7,449.20 211.14 984. 90 9, 500. 00 14, 000. 00 379. 83 8, 000. 00 2, 653. 00 251. 54 1, 992. 75 5,191. 00 $75, 000.00 , National-bank notes outstanding.. State-bank notes outstanding , 34, 000. 00 . 4, 608.83 67, 500. 00 Dividends u n p a i d . Individual deposits United States deposits Deposits of U. S.disbursin g officers 59, 983.90 Due to other national banks Due to State banks and bankers .. 8, 047.43 435. 35 N o t e s a n d bills re-discounted Bills payable 5, OCO. 00 15, 000. 00 3, 375. 00 269, 575. 51 Total. 269, 575. 51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 445 DELAWARE . First National Bank, Seaford. No. 795. DANIEL HEARN, President. H. W. BAKER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Rills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $176, 714. 56 161. 02 23, 000.00 55, 096. 03 1, 575.78 Capital stock paid in. 37, 500.00 4, 325. 25 National-bank notes outstanding.. State-bank notes outstanding 18, 560. 00 Dividends unpaid 15.00 "9,666.OO" Individual deposits 733." 9*1' United States deposits Deposits of U.S. disbursing officers. 179,122. 08 Due to other national banks Due to State banks and bankers .. 1, 617. 34 2, 760. 00 103.37 8, 095. 00 12,865. 00 Notes and bills re-discounted . Bills payable 1,035.00 291,139.67 Total. $50, 000. 00 Surplus fund Undivided profits. Total. 291,139. 67 Sussex National Bank, Seaford. E. E. JACKSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and niortg's owned Current expenses and taxos paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3693. $96, 395.10 126.25 12, 500.00 $50, 000.00 Surplus fund Undivided profits 3, 350. 00 3,100. 30 National-bank notes outstanding.. 5, 929. 73 State-bank notes outstanding 4, 568. 30 1,197. 68 Dividends unpaid 5, 637. 00 Individual deposits """576." 53* United States deposits 1, 296.87 Deposits of U.S.disbursing officers. Due to other national banks 1, 090. 00 Due to State banks and bankers... 41. (JO 3,776.65 Notes and bills re-discounted 12, L95. 00 Bills payable 11,250.00 70, 604. 48 2, 538. 43 5, 000. 00 562. 50 145, 893.21 Total. H. M. WRIGHT, Cashier. Capital stock paid in Total. 145,893.21 Fruit Growers' National Bank, Smyrna. GEORGE H. RAYMOND, President. Loans and discounts ! Overdrafts ! U. S. bonds to secure circulation . . . 1 U. S. bonds to secure deposits j U. S. bonds on hand j Stocks, securities, judgments, etc ..! Due from approved reserve agents, j Due from other national banks \ Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2336. N. F. W I L D S , Cashier. $227,392.76 || Capital stock paid in. 50, 000. 00 29, 948.95 $80, 000. 00 Surplus fund Undivided profits. 50, 000. 00 9,172.19 National-banknotes outstanding.. State-bank notes outstanding. 45, 000. 00 Dividends unpaid. 10, 000.00 588. 57 Individual deposits United States deposits Deposits of U. S.disbursing officers. 140, 746.11 2, 286.00 Due to other national banks Due to State banks and bankers .. 16, 427. 51 5,618.53 13,261.00 Notes and bills re-discounted. Bills payable 2, 250. 00 341,345.81 Total. 341, 345.81 446 REPORT OF THE COMPTROLLER OF THE CURRENCY. DE LAWABE . National Bank, Smyrna. DAVID J . CUMMINS, President. No. 2381. W. H. JAKKEY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and rnortg's owned Gun eat expenses and taxes paid... Pren?iams on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of otlifer national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $221, 677. 88 182.62 50, 000. 00 12,196.02 9,505. 74 731. 52 12,617.48 361.28 2, 509. 00 61. 54 3, 768. 00 13, 000. 00 Capital stock paid i n . $100, 000. 00 Surplus fund Undivided profits , National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 7,145. 64 45, OuO. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. 111, 412. 04 Due to other national banks Due to State banks and bankers . 14, 062. 00 1, 271.40 Notes and bills re-discounted. Bills payable !, 250. 00 Total . 328,891.08 328, 891. 08 First National Bank, Wilmington. EDWARD BETTS, President. No. 473. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankersBank'g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums ou U. S. bonds Checks and other cash items Exchanges for,-clearing-ho use Bills of other national banks fractional currency, nickels, cents Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total $783,462. 99 66.68 370, 000. 00 50, 000. 00 70, 000. 00 178, 829.30 35, 58 J. 57 4, 166. 42 8, 000. 00 2, 616. 44 41,212.50 3, 938. 07 23, 277. 67 17,109. 00 1,513.43 79,119. 90 44,142.00 GEO. D. ARMSTRONG, Cashier. Capital stock paid in. $500,000.00 Surplus fund Undivided profits . 100, 000. 00 49,190.47 National-bank notes outstanding.. State-bank notes outstanding 328, 800. 00 Dividends unpaid . 3, 426. 00 Individual deposits United States deposits , Deposits of U. S. disbursing officers. 623,115. JO 38, 294. 46 6, 457. 63 Duo to other national banks Dub to State banks and bankers .. Notes and bills re-discounted . Bills payable 80,404. 91 16, 650. U0 1,729,088.57 Total 1,729,688.57 Central National Bank, Wilmington. SAMUEL MCCLARY, JR., President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents Due from other national banks Duo from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3395. JOHN PEOPLES, Cashier. $447,017.20 , Capital stock paid in 161.75 50, 000. 00 Surplus fund Undivided profits 13,289.23 25, 722. 59 4,107. 32 37, 010. 69 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits 2," 705." 75* United States deposits 10,056.25 Deposits of U. S. disbursing officers. 1,106.61 3, 467. 91 Duo to other national banks 1, 065.00 Due to State banks and bankers 63. 23 7, 848. 55 Notes and bills re-discounted 23,654.00 Bills payable $210,000.00 32, 000. 00 8, 005.68 45, 000. 00 156. 00 319, 999. 73 2, 364. 73 12, 000.00 2, 250. 00 629, 526.14 Total. 629, 526.14 KEPOKT OF THE COMPTROLLER OF THE CURRENCY. 447 DELAWARE. National Bank of Delaware, Wilmington. HENRY G. BANNING, President. No. 1420. HENRY BAIRD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts .... ... ..... TJ. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso.furuiture,and fixtures Other real estate and mort g's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie . Legal-tender notes U S certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total $426, 019. 93 48. 06 110, 000. 00 59, 000. 00 42, 526. 48 24, 749. 08 5, 465. 81 20, 000. 00 3, 807. 08 2, 239.49 3, 574. 45 2, 570. 00 350. 65 35,125. 80 7 368.00 Capital stock paid in $110, 000. 00 Surplus fund Undivided profits 115, 000. 00 27, 470. 03 National-bank notes outstanding . State-bank notes outstanding 99, 000. 00 574. 50 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 360, 571. 51 Due to other national banks Due to State banks and bankers.. 35, 658. 79 Notes and bills ro-d is counted Bills payable * 4, 950. 00 480. 00 748, 274. S3 Total 748, 274. 83 National Bank of Wilmington and Brandywine, Wilmington. GEORGE S. CAPELLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities,.judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture.and fixtures Other real estate and mortg's owned] Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total.. No. 1190. CALEB M. SHE WARD, Cashier. Capital stock paid in . $200, 01J. 00 $650, 739.06 827. 94 50, 000. 00 71, 645.83 14, 750.20 705.10 47, 0U0. 00 3, 363. 73 12, 500. 00 309.94 8, 290. 66 10, 064. 00 559. 20 32,195. 00 22, 809. 00 Surplus fund Undivided profits 100, 000. 00 52, 272. 66 National-bank notes outstanding State-bank notes outstanding Dividends unpaid 45, 000.00 3, 562.10 Individual deposits United States deposits Depositsof U.S.disbursingofiicers. Duo to other national banks Due to State banks and hankers .. Notes and bills re-discounted . Bills payable 497, 285.83 29, 778.09 100.98 2, 250. 00 928, 009. 66 Total.. 928, 009. 66 Union National Bank, Wilmington. PRESTON LEA, President. No. 1390. Loans and discounts $1,272,219.85 Overdrafts 512. 05 TJ. S. bonds to secure circulation . . . 100, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 73, 062. 75 Due from approved reserve agents. 166,182.43 Due from other national banks 54, 700. 67 Due from State banks and bankers. 15, 712. 48 Bank'g-house,furniture,and fixtures 50, 000. 00 Other real estate and mortg's owned 6, 750. 00 Current expenses and taxes paid .. 4, 699.11 Premiums on U. S. bonds 5, 000.00 Checks and other cash items 29, 351. 78 Exchanges for clearing-house 32, 026. 70 Bills of other national banks 16, 312. 00 Fractional currency, nickels, cents. 260. 00 Specie 48, 780.21 Legal-tender notes 46, 994. 00 TJ. S. certificates of deposit 10, 000. 00 Redemption fund with Treas. TJ. S. 4, 500. 00 Due from Treasurer U. S Total 1,937,064.03 JOHN H. DANBY, Cashier. Capital stock paid in . Surplus fund Undivided profits. National-bank notes outstanding State-bank notes outstanding. Dividends unpaid. $203,175.00 180, 000.00 59, 282. 40 90, 000. 00 553.86 Individual deposits United States deposits DepositsofU.S.disbursingotticers. 1, 349, 330.12 Due to other national banks Duo to State banks and bankers.. 54,722.65 Notes and bills re-discounted . Bills payable Total. 1,937, 064.C3 448 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1ARYLAWD. Farmers' National Bank, Annapolis. No. 1244. J . W I R T RANDALL, President. L. G-. GASSAWAY, Cashier. Resources. Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,andlixtures Other ieal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total Liabilities. $606,401.20 730. 0L 50, 000. 00 53, 815. 00 27, 677. 44 43, 065. 56 8, 272.22 13, 772. 87 6, 702. 84 188. 69 2, 435. 206. 34, 068. 24, 873. 00 40 0J 00 $251, 700. 00 Capital stock paid in Surplus fund Undivided profits 50, 340. 00 15,111.76 National-bank notes outstanding-. State-bank notes outstanding 43, 250. 00 Dividends unpaid 8, 813. 22 Individual deposits United States deposits DepositsofU.S.disbursingofficersDue to other national banks Due to State banks and bankers .. 492, 858. 92 10, 845. 23 1,539.10 Notes and bills re-discounted 2, 250. 00 Total 874, 458. 23 874, 458. 23 First National Bank, Baltimore. E D W A R D J . PENNIMAN, Cashier. No. 204. $2,186,877.26 Loans and discounts $1,110,000.00 Capital stock paid in 113.01 Overdrafts 50, 000. 00 Surplus fund TJ. S. bonds to secure circulation... 250, 000. 00 U. S. bonds to secure deposits 92, 456.48 Undivided profits U. S. bonds on hand 290,000.00 Stocks, securities, judgments, etc .. National-bank notes outstanding.. 45, 000. 00 77,144. 08 Due from approved reserve agents. State-bank notes outstanding 72, 693. 07 Due from other national banks 1, 899. 09 Dividends unpaid Due from State banks and bankers 1, 049.40 75, 220. 82 Bank'g-house, furnituro.andnxtures 14,000.00 Other real estate aud mortg's owned Individual deposits 1, 529, 518. 97 13, 325. 5; Current expenses and taxes paid... United States deposits 8, 842. 50 Premiums on U. S. bonds Depositsof U.S.disbursing officers. 4, 162.55 Checks and other cash items 214, 972. 6* Due to other national banks Exchanges for clearing-house 289,751.93 9,122.00 Bills of other national banks 10,161.14 Due to State banks and bankers.. 871.35 Fractional currency, nickels, cents 209,871.00 Notes and bills re-discounted Specie 76, 573. 00 Legal-tender notes Bills payable 20,000. 00 U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S Due from Treasurer U. S 3, 327, 937. 92 Total 3,327,937.92 Total . JOHN W. HALL, President. Second National Bank, Baltimore. JOHN S. GILMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securitiesjudgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and n xtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. No. 414. , 664, 846. 02 842. 77 50, 000. 00 2,:59L40 118, 383. 53 27, 628. 77 604.93 22,504.86 278, 40 25,683.21 1, 700. 00 1,100. 00 74,166. 00 35, 082. 00 J . H . BAWDEN, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted.. Bills payable $500, 000. 00 400, 000. 00 79, 825. 94 45, 000. 00 2, 924. 00 972, 850. 81 22,126.10 4, 737. 04 2, 250.00 2, 027, 463. 89 Total . 2, 027, 463. 89 REPORT OF THE COMPTROLLER OF THE CURRENCY. 449 MARYLAND. Third National Bank, Baltimore. WILLIAM H. CRAWFORD, President. A. M. CARTER, Cashier. No. 814. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-iiouse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total Liabilities. , 066, 210. 28 Capital stock paid in 329. 68 50,000.00 Surplus fund Undivided profits National-bank notes outstanding.. 46,152.13 State-bank notes outstanding 34, 437. 88 10,324.87 Dividends unpaid . 75, 000. 00 8, 000. 00 Individual deposits 6, 843. 27 United States deposits 2,450.00 Deposits of U. S. disbursing officers. 19,330.61 4, 693. 00 335. 52 24, 400. 00 49, 180. 00 10, 000. 00 2, 250. 00 Due to other national banks Due to State banks and bankers .. $500, 000. 00 77, 600. 00 13, 890. 03 44, 320. 00 803. 06 729, 252. 31 46, 987. 50 3, 084. 34 Notes and bills re-discounted . Bills payable 1,415,037.24 Total . 1, 415, 937.24 Citizens' National Bank, Baltimore. HENRY JAMES, President. No. 1384. Loans and discounts $1, 907, 589. 21 Overdrafts TJ. S. bonds to secure circulation .. 50, 000." 66" U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. 111,500.00 Due from approved reserve agents. 81, 224. 88 145, 298. 59 Due from other national banks 25, 927.24 Due from State banks and bankers ' 27, 000. 00 Bank'g-house, furniture, and fixtures Other roal estate and mortg's owned Current expenses and taxes paid... 7, 466. 25 Premiums on U. S. bonds 4, 828. 85 Checks and other cash items 288,301.71 Exchanges for clearing-house 34, 980. 00 Bills of other national banks Fractional currency, nickels, cents . 306, 581. 00 Specie 91, 630. 00 Legal-tender notes 45, 000. 00 TJ. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. J . "WESLEY GUEST, Cashier. Capital stock paid in. $5oo," ooo! oo 450, 000. 00 75, 877. 84 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 42, 500. 00 2, 284.76 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 1, 862, 743. 72 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 136, 310. 95 59, 860.46 Total.. 3,129, 577. 73 3,129, 577. 73 Commercial and Farmers' National Bank, Baltimore. G . A . V O N LINGEN, President. N o . 1303. Loans and discounts $1, 084, 363. 29 Overdrafts U. S. bonds to secure circulation... 5O,"666."66" U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. 40, 010. 00 Due from approved reserve agents. 59, 634. 81 Due from other national banks 81,914.29 Due from State banks and bankers. 6, 386. 35 Bank'g-house,f urniture, and fixtures 49, 450. 00 Other real estate and mortg's owued Current expenses and taxes paid... 5, 046. 37 Premiums on U. S. bonds 1, 200. 00 Checks and other cash items 10, 532.44 14,179.30 Exchanges for clearing-house 8, 030. 00 Bills of other national banks Fractional currency, nickels, cents Specie 44,180. 00 Legal-tender notes 19,190. 00 U. S. certificates of deposit Redemption fund with Treas. U. S . 2, 250.00 Due from Treasurer U. S Total. H. Ex. 3 •1,476, 360". 83 29 JOHN D. EARLY, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $512, 560. 00 130, 000. 00 42, 847. 27 36, 580. 00 987. 00 7, 260. 53 Individual deposits United States deposits Deposits of U.S. disbursing officers 643, 821. 54 Due to other national banks Due to State banks and bankers .. 90, 609.65 11, 700.86 Notes and bills re-discounted . Bills payable Total 1,476,366.85 450 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. Drovers and Mechanics' National Bank, Baltimore. JAMES CARROLL, President. N o . 2499. J. D. WHEELER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks... . Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Liabilities. , 395, 350. 90 891.93 50, 000. 00 110,437.05 86, 924. 01 17,316.51 14, 000. 00 14, 500. 00 8, 066. 36 1, 000. 00 4, 528.48 37,448.94 7,176. 00 1, 080. 00 128, 401. 68 120, 371. 00 40, 000. 00 2, 250.00 Capital stock paid i n . 85, 000. 00 56, 972. 70 National-bank notes outstanding. State-bank notes outstanding 45, 000. 00 Dividends unpaid. 1,194. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 1, 218, 931. 21 Due to other national banks Due to State banks and bankers.. 302, 996. 21 29, 648.69 Notes and bills re-discounted. Bills payable 2, 039,742. 81 Total. $300, 000. 00 Surplus fund Undivided profits Total . 2, 039, 742.81 Farmers and Merchants' National Bank, Baltimore. JAMES SLOAN, JH., President Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hoo se, furniture, and lixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S N o . 1337. $1, 758, 470. 37 1, 419. 53 50, 000. 00 223,100. 00 173, 298. 07 83, 504. 97 7,149. 33 126. 233. 54 22, 277.79 9, 528. 28 7, 699. 24 219, 305. 03 39, 416. 00 9.95 728, 360. 00 2, 000.00 90, 000. 00 2, 250. 00 $650, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 325, 000. 00 53, 457.68 45, 000. 00 13, 832. 77 Individual deposits . , United States deposits Deposits of U. S. disbursing officers. 1,976, 771. 31 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable , 426, 305. 51 53, 654. 83 Total . 3, 544, 022.10 Total. CHAS. T. CRANE, Cashier. Capital stock paid in. 3, 544, 022.10 Manufacturers' National Bank, Baltimore. W. J. DICKEY, President. Loans and discounts Overdrafts TJ. S.bonds to secure circulation... U. S. bonds to secure deposits U. S.bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national panks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total N o . 2623. $1, 013, 699. 74 so," 666." 66' 750. 00 184, 367. 81 68, 407. 63 15, 564. 81 2, 500. 00 " 3,736."i6 J, 662. 50 628. 45 26, 844.49 6,233. 00 198 72 59, 200. 00 6, 500. 00 SAM'L J. HINDES, Cashier. Capital stock paid in. Surplus fund Undivided profits $500, 000. 00 , , 20, 000. 00 16, 395.13 National-bank notes outstanding.. State-bank notes outstanding 38, 820. 00 Dividends unpaid 603.78 Individual deposits United States deposits Deposits of U.S.disbursing officers 488, 857. 69 Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 196, 821.12 31, 045.53 150, 000. 00 2, 250. 00 I, 442, 54;}. 2 Total 1, 442, 513. 25 REPORT OF THE COMPTROLLER OF THE CURRENCY. 451 MARYLAND. Merchants' National Bank, Baltimore. I). H. THOMAS, President. No. 1336. E. II. THOMSON, Cashier. Resources, Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U, S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, j adgmonta, etc . Due from approved reserve agents. Due from oth tv national banks Due from State banks and bankers. Bank'g-house,furniture,andfixturcs Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bilb of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U S. Due from Treasurer U. S $3, 300,174. 20 135.05 50, 000. 00 350, 000.00 Capital stock paid in 400, 000.00 143,427.18 3,103.00 ; National-bank notes outstanding.. 30i),;U9.66 j State-bank notes outstanding 129, 320. 37 l l . 8 t l . 0 2 Dividends unpaid. 50, 000. 00 Individual deposits ""i6,"i34.33 United States deposits Deposits of U.S. disbursing ofiicers. 8,717.74 173, 707.77 Due to other national banks 1,480.00 Due to State banks and b a n k e r s . . 1,539.33 118,813.00 Notes and bills re-discounted . 17, 000. 00 Bills payable 20, 000.00 2, 250. 00 4, 548, 661. 53 Total . $1,500,000.00 Surplus fund Undivided profits Total 45, 000. 00 933. 06 1,413,835.94 393, 083.46 516, 449. 39 100, 932. 50 4,548,061.53 National Bank, Baltimore. CHRISTIAN DEVRIES, President. J. Tiios. SMITH, Cashier. No. 1432. Loans and discounts $2, 466, 639.41 1 Capital stock paid in 1 $1, 210, 700.00 Overdrafts 31.86 ! 400, 000,00 TJ. S. bonds to secure circulation . . . 50,000.00 I Surplus fund TJ. S. bonds to secure deposits 179,228.46 ! j Undivided profits U. S. bonds on hand Stocks, securities, judgments, etc . 45,000. 00 500 00 National-bank notes outstanding.. Duo from approved reserve agents. i 2, 319. 00 36, 739, 84 State-bank notes outstanding Due from other national banks 117,978 53 Due from State banks and bankers. 1 4, 786.20 48, 502 82 Dividends unpaid Bank'g-houso, furniture, andfixtures• 136, 330 50 Other real estate and mortg'a owned' Individual deposits ! 1, 363,344.36 Current expenses and taxes paid.. .j 7,147 06 United States deposits ' Premiums on U. S. bonds Deposits of U.S.disbursing oiliccrs.! Checks and other cash items 1,427.87 Exchanges for clearing-house 99,311,19 Due to other national banks 93, 621. 93 Bills of other national banks 9, 974.00 Due to State banks and bankers .. 45, G01. 27 303. 54 Fractional currency, nickels, cents. 232, 005.00 Notes and bills re-discounted Specie '.'. 75, 429.00 Bills payable Legal-tender notes , TJ. S. certificates of deposit GO, 000. 00 Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer TJ. S Total Total 3, 344, 601.22 3,344,601.22 National Exchange Bank, Baltimore. W I L L I A M T. DIXON, President. Loans and discounts Overdrafts U. S. bonds to securo circulation IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . Duo from approvod reserve agents. Due fro in other national banks Duo from Stato banks and bankers. B?aik'g-houso, furniture,and fixtures Other real estate and mortg's owned Curront expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national ban ks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . D no from Treasurer U. S Total J O B SCOTT, Cashier. No. 1109. , 383, 890,39 115. 25 50, 000.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. 44,500.05 ! State-bank notes outstanding llfl, 001.70 ! 30,104. 94 I Dividends unpaid 112,000.00 ! Individual deposits 9,583.95 I United States deposits 13,000.00 I Deposits of U.S. disbursing officers. 3,138. 85 ! 68, 888. 3G Due to other national banks 14, 000.00 Due to State banks and bankers .. 202.65 190, 920. 00 Notes and bills re-discounted. 42, 600. 00 Bills payable 10, 000. 00 2, 250. 00 2, 098,102.80 Total $600, 000.00 120,000. 00 51, 718.57 45, 000. 00 2,432.83 759, 799.75 427,837.22 91, 314. 43 2, 098,102.80 452 REPORT OF THE COMPTROLLER OP THE CURRENCY. MABYL1ND. National Farmers and Planters7 Bank, Baltimore. ENOCH PBATT, President No. 1252. RiciiMtD CORNELIUS, Cashier. Liabilities. Resources. $2, 338, 007. 38 Loans and discounts Overdrafts IT. S. bonds to secure circulation... i 50, 000.00 IT. S. bonds to secure deposits | IT. 8. bonds on hand ! Stosks, securities, judgments, etc..! 05,1!)G. 58 Duo from approved reserve- agents. I Go, 107. f)7 Due from other national banks | 12,037.55 Duo from State banks and bankers j 1,000.01) Bank?g-honso,furnitim.yindfixturesj Other real estate and mortg's owned; Current expenses and taxes paid...' Premiums on U. S. bonds ! Checks and other cash items ' 79, 395. 80 j Exchanges for clearing-house ! Bills of other national banks ' , j Fractional currency, nickels, cents! 500. 3L j Specie ' 410,337.40 ] Legal-tondor notes 87, 919. 00 IT. S. certificates of deposit 2, 250. 00 Redemption fund with Treaa. U. S Due from Treasurer TJ. S Total 3,129,943.37 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $800,000. 00 500, 000. 00 108,116. 33 45, 000. 00 760.58 Individual deposits United States deposits Deposits of U. S. disbursing officers. D u e to other national b a n k s Duo to Stato banks and bankers.. Notes and bills ro-discounted. Bills payable Total. 1, 549, 480.94 98,262.40 28, 323.12 3,129, 943.37 National Marine Bank, Baltimore. JOHN M. LITTIG, President. No. 2453. J A M E S V. "WAGNEU, Cashier. Loans and discounts $1,181,379.19 i Capital stock paid in. Overdrafts | 9,739.89 U. S. bonds to aecuro circulation... 50, 0U0.00 Surplus fund U. S. bonds to secure deposits Undivided profits U. S. bonds on hand 590.01 [National-bank notes outstanding.. Stocks, securities, judgments, e t c . . 80, 704. 63 State-bank notes outstanding Duo from approved reserve agents. 47,95'i. 10 Duo from other national banks Dividends unpaid 8,0!) 4.20 Duo from Stato banks and bankora 74,152.02 Bank'g-liouso,furniture,and fixtures Individual deposits Other real estato and mortg's owned! United States deposits C urrent expenses and taxes paid...! Deposits o f U. S. disbursing ollicor3. Premiums on U. S. bonds ; Checks and other cash items • Due to other national banks 40.731.45 Exchanges for ciearing-houso 9,577.0:) Bills of other national" banks Due to State banks and bankers .. 020.17 Fractional currency, nickels, cents. 106,070.00 Notes and bills re-discounted. Specie , 10, O D 00 Bills payable D. Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Duo from Treasurer U. S Total. 1,632,810.03 Total . $400, 000. 00 100, 000. 00 79, 632. 81 45, 000.00 210.00 172. 90 917, 535.08 85,109. 74 5,155. 50 1, 632, 816. 03 National Mechanics' Bank, Baltimore. J. B. RAMSAY, President. No. 1413. JAMES SCOTT, Cashier. J, 657,037. 66 ; Capital stock paid in (1, 000, 000. 00 Loans and discounts 1,539.65 .| Overdrafts 50,000.00 i Surplus fund 190, 000. 00 U. S. bonds to securo circulation... I Undivided profits 37, 816.68 U. S. bonds to secure deposits U. S. bonds onhand 34, 000. 00 i National-bank notes outstanding. 45,000. 00 Stocks,securities,judgments, etc.. 188,031.14 | State-bank notes outstanding Due from approved reserve agents. 87,561.89 Duo from other national banks ! 9, 328. 58 Dividends unpaid Duo from Stato banks and bankers, j 9, 042.23 112,000.00 Bauk'£-houso,furniture,and fixtures^ 12,654.10 Individual deposits Other real estate and mortg's owned; 1, 971, 822. 30 7, 905. 05 ! United States deposit? C urrent expenses and taxes paid... j ; | Deposits of U.S.disbursing officers Premiums on U. S. bonds i 11,748.69 Checks and other cash items 128, 405. 30 i | Duo to other national banks 283, 314. 80 Exchanges for clearing-houso 7, 820.00 1 Due to State banks and bankers.. Bill3 of other national banks 44, 305. 29 1 63.88 Fractional currency, nickels, cents. 110, 354. 30 Notes and bills re-discounted . Specie 144,061.00 Bills payable Legal-tender notes 10,000.00 U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S 3,581,301.30 , 3, 581, 361. 30 Total Total REPORT OF THE COMPTROLLER OF THE CURRENCY, 453 M ABVLAND. L National Union Bank of Maryland, Baltimore. W. W. TAYLOR, President. No. 1489. AV. II. WELLS, Cashier. Liabilities. Resources. $1,985,192.82 ; Capital stock paid in. Loans and discounts 083. 30 : Overdrafts U. S. bonds to secure circulation... 50,000.00 ; Surplus fund TJ. S. bonds to secure deposits Undivided profits U. S. bonds on hand 18, 988. 88 National-bank notes outstanding Stocks, securities, judgments, etc . 255, 683. 95 State-bank notes outstanding . . . Due from approved reserve agents. 65. 085. 54 Due from other national banks 24, 033. 92 : Dividends unpaid Due from State banks and bankers. 76, 591. 74. Bank'g-house,furnit:ire,andJixtures Other real estate ai;.i Miortg'a owned 24,757.42 Individual deposits United States deposits Current expenses ami taxes paid... 9,413.97 1, 875.. 00 Deposits of U. S. disbursing officers Premiums on U. S. bonds 4, 646. 56 Checks and other cash items 65,505.50 | Due to other national banks Exchanges for clearing-house Bills of other nationalbanks 900. 00 Duo to State banks and bankers . . 218. 50 Fractional currency, nickels, cents. 68,100. 00 Notes and bills re-discounted . Specie 144, 000. 00 Bills payable Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S 2,797, 927. 22 Total. Total $900, 000. 00 180, 000. 00 40, 703.20 43, 540. 00 2, 909. 77 1,158, 055. 70 451, 285.65 IB, 372. 84 2, 797, 927.22 Traders' National Bank, Baltimore. ISAAC S. GEORGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand t Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-bouse,furniture,and fixtures Other real estate and inortg's ovyneil Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 826. C. CANNON, Cashier. $583, 601. 84 j; Capi tal stock paid in 27.13 || 50,000.00 j; Surplus fund j! Undivided profits 11,683.97 15, 409. 68 680. 83 32, 500. 00 3, 017. 85 3, 000. 00 408.72 10,19i. 85 1, 097. 00 45. 52 21, 050. 00 13,165. 00 10, 000. 00 2, 250. 00 $230, 000.00 46, 000. 00 8, 007. 20 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 45, 000. 00 306.11 Individual deposits United States deposits Deposits of U.S. disbursing officers. 330,761.87 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 95, 840. 82 1, 616.39 758,132. 39 Total . 758,132. 39 Western National Bank, Baltimore. J . Gr. HARVEY, President. No. 1325. W. H. NOERIS, Cashier. Loans and discounts $1, 639, 531. 03 Capital stock paid in. Overdrafts 56*666"66' j Surplus fund U. S. bonds to secure circulation U. S. bonds to secure deposits Undivided profits U. S bonds on hand S. 174,224.89 j National-bank notes outstanding., Stocks, securities, judgments, etc . 152,818.33 I State-bank notes outstanding Due from approved reserve agents. 88, 934. 30 Due from other national banks 22, 867. 67 j| Dividends unpaid Due from State banks and bankers. 15,000.00 || Bank'g-house,furnitnre,and fixtures Individual deposits Other real estate and mortg's owned Current expenses and taxes paid... 11,775.47 I United States deposits Deposits of U.S.disbursingofficers. Premiums on U. S. bonds 9, 982. 01 C hecks and other cash items 66,210.65 Due to other national banks E xchanges for cl earing-house 14, 361. 00 Due to State banks and bankers.. Bills of other national banks 850.18 Fractional currency, nickels, cents. 132, 241. 00 Notes and bills re-discounted. Specie 59, 380. 00 Bills payable Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasu rer U. S Total . 2,440,426. 53 Total $500, 000.00 250, 000. 00 99,467. 78 45, 00<i. 00 532.00 1, 573.63 1, 208, 291. 57 283, 979. 59 51, 581.96 2,440,426.53 454 REPORT OF THE COMPTROLLER OF THE CURRENCY. UI A U IT ta A N I> . Second National Bank, Bel Air. No. 3933. J . T. C. HorKixs, President. "WALTER FINNEY, Cashier, Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State bank sand bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S . j Due from Treasurer U. S Total. "I $170,900.16 !, Capital stock paid i n . 7, ;,0l. 99 I1 15,000.00 ji Surplus fund Undivided profits. National-bank notes outstanding.. 788. 04 State-bank notes outstanding 662.83 Dividends unpaid . 10, 000.00 6, 363. 38 13, 500. 00 6,300. 00 649. 69 1,153.13 1, 281. 31 22.89 1, 557. 65 4, 700. 00 Individual deposits United States deposits Deposits o f U. S. disbursing officers 126, 548. 84 Due to other national banks Due to State banks and bankers . . 4, 745. 46 161. 01 Notes and bills ro-discounted . Bills payable 675. 00 Total . 211,318.09 211,318.69 Harford National Bank, Bel Air. EDWIN H. WEBSTER, President. Loans and discounts Overdrafts „ U. S. bonds to secure circulation . . U. S.bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bauk'g-house, furniture, andfixtu res' Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. IT. S . Due from. Treasurer U. S Total. No. 2797. $296, 234.10 Capital stock paid in 743. 56 15, 000. 00 Surplus fund Undivided profits WM. M. HIKES, Cashier. $50, 000.00 15,000.00 40, 996. 45 National-bank notes outstanding.. 33,109.32 i State-bank notes outstanding 8, 275. 5(i ' ! Dividends unpaid "*i,"6oo.66\ " 1,446.18 Individual deposits , United States deposits Deposits o f U. S. disbursing officers. 28.3*53 i j Due to other national banks 90. 00 Duo to State banks and bankers . . 40. 71 9, 829. 55 Notes and bills re-discounted . 11, 819. 00 Bills payable 13, 500.00 342. 56 202, 576. 32 53, 475. 40 2, 747.78 675.00 j 378, 638. 51 Total . 378, 638. 51 Dorchester National Bank, Cambridge. D. M. HENRY, JR., President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixturesl Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer IT. S Total. No. 4085. T. H. MEDFORD, Cashier. $38,392.81 |! Capital stock paid in- ""i2,"56o."6o":: Surplus fund Undivided profits National-bank notes outstanding.. 21,946.51 ! State-bank notes outstanding 893.75 Dividends unpaid "3," 584," 30' Individual deposits 740. 54 U' i tod States deposits 3, 540. 87 Deposits of U.S. disbursing officors. 145.00 1,949.60 1,440.00 Due to other national banks Due to State banks and bankers . . $33, 300. 00 G63."71 49, 823.12 1, 915. 05 Notes and bills re-discounted. Bills payable 562. 50 85, 701. 88 Total . 85, 701. 88 REPORT OF THE COMPTROLLER OF THE CURRENCY. 455 MARYLAND. National Bank, Cambridge. WILLIAM II. BARTON, JIS., President. No. 2498. W. F. DRAIN, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-ho use, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiuinson U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $92,40G. 4G 228.46 50, 000.00 5,500. 00 1, 246.72 90,393.15 663.15 1,000.00 "i," 662." 12 Capital stock paid i n . $50,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 12,000.00 2,856.05 43, 800.00 Dividends unpaid Individual deposits United States deposits Depositsof U. S.disbursing officers. 160, 352.14 Due to other national banks Due to State banks and bankers . . 8,071. 58 1,181. 60 76.75 11, 543.00 15.16 14, 625. 80 6, 650.00 Notes and bills re-discounted. Bills payable 2, 250.00 Total. 278, 261. 37 278,261.37 Centreville National Bank of Maryland, Centreville. WILLIAMMCKENNEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S No. 2341. Capital stock paid in. $277,155.82 175. 76 19,000.00 29, 504. 66 7.398. 07 21.22 9, 026.86 1, 921.30 $75, 000.00 Surplus fund Undivided profits. 51, 000.00 9,093.11 National-bank notes outstanding.. State-bank notes outstanding 17,100.00 Dividends unpaid 135. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 155, 625. 59 Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 24,355. 76 333.95 21.00 359.00 22.22 4, 646. 50 2, 536.00 20, 000.00 855. 00 Total. 352, 643.41 Total. J . F . RoLr-H, Cashier. 352,643.41 Queen Anne's National Bank, Centreville. THOMAS J. KEATING, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S.bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-honse, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiumson U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3205. $134,999.86 56.50 19,000.00 3, 386.89 1, 805.91 JAMES WOOTERP, Cashier. Capital stock paid in. Surplus fund Surplus fund. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. $75,000.00 8,000.00 3, 529.96 17,100.00 129.00 8,155.00 1,441.10 500.00 45.00 .20 1, 371.00 5,065.00 Individual deposits United States deposits Deposits of U. S. disbursing ofiicers. Due to other national banks Due to State banks and bankers... 72, 789.63 132.87 Notes and bills re-discounted. Bills payable 855.00 176,681.46 Total. 176,681.46 456 REPORT OF THE COMPTROLLER OF TTTE CURRENCY. Chestertown National Bank, Chestertown. CHARLES T. "WESTCOTT, President. No. 3305. J o s . PKTERSOX, Cashier, Resources. Loans and discounts i Overdrafts I U. S. bonds to secure circulation... i U. S. bonds to secure deposits U. S. bonds on hand I Stocks, securities, judgments, etc Liabilities. $198, 792.45 12, 500.00 Due from approved reserve agents. Duo from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures! Other real estate and mortg's owned' Current expenses and taxes paid... Premiums on U. S. bonds Checks and other caah items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels*, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 86, 115.20 132, 872.25 Capital stock paid in. ;50, ooo. oo Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits 1, 599.91 United States deposits 437. 50 Deposits of U.S. disbursing officers. 3, 588.00 9, 642. 10 4,000.00 408,818.89 41.88 1, 970.00 1GG. 54 29, 483.90 8, 760.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. 47G, 739. G3 4, 690. 64 476, 739.63 First National Bank, Cumberland. ROBEBT SHUIVER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to sec are deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from Stato banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. J". L. GRIFFITH, Cashier. No. 381. $258,925.36 1,500. 96 25,000.00 50, 000.00 1,300.00 89, 859.46 72, 891. 55 106,181. G7 7,428. 25 35, 288. 52 $100, 000. 00 Capital stock paid i n . Surplus fund Undivided profits. 70, 000. 00 17, 825. 83 National-bank notes outstanding., State-bank notes outstanding Dividends unpaid 22, 500. 00 Individual deposits 5,"273."24" United States deposits 11, 343.75 j Depositsof U.S.disbursiugoincers. 471, 250. 47 55, 000. 00 240.19 3, 764. 32 Due to other national banks 1, 500.00 I Due to State banks and bankers .. 329. 13 37, 839. 83 Notes and bills re-discounted . 41,450. 00 Bills payable 7, 914. G6 0, 269. 91 1,125.00 751,001.06 Total. 751, 001. 06 Second National Bank, Cumberland. LLOYD LOWNDES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Duo from other national banks — Due from State banks and bankers. Bank'g-house,furnituro,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items - Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1519. Capital stock paid in. $592,553.96 9, 450.15 100, 000. 00 100,000.00 14, 500.00 137, 3U0. 00 89, 2;J1. 75 108, 913.45 7, 509.99 12,275.00 10, 200. 95 21, 251. 50 11, 618. 79 3, 539.00 836.02 36,351.00 18, 052.00 D . ANNAN, Cashier. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $100,000.00 125,000.00 18, 282.75 89, 400.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofiicers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 827,192.16 110, 000. 00 5,115.60 3, 093.05 4, 500.00 1,278,083.56 Total . 1, 278,083. 56 REPORT OF THE COMPTROLLER OF THE CURRENCY. 457 MARYLAND. Third National Bank, Cumberland. E. HAMMOND, Cashier. No. 2416. W. E. WEBER, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on harrd Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-houso, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer IT. S Liabilities. $152, 078.26 125.10 100, 000.00 100, 829. 50 17, 762. 37 17, 725. 31 2, 37a 67 1,000.00 """•i," 186." 63 3, 000. 00 1,471.12 790. 00 283. 02 18, 679.65 7, 745. 00 Capital stock paid in $100, 000. 00 30, 000. 00 7, 916. 83 National-bank notes outstanding- State-bank notes outstanding 87, 240. 00 Dividends unpaid Individual deposits United States deposits DepositsofU. S.disbursing. officers. 203, 558. 55 Due to other national banks Due to State banks and bankers.. 556. 52 1,184. 73 98.00 Notes and bills re-discounted. Bills payable 4, 500. 00 Total. 430, 554.63 Total. | Surplus fund Undivided profits 430, 554. 63 Denton National Bank, Denton. PHILIP W. DOWNES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. Due from State banks and bankers. Bank'g-house, furniture, andfi xtures Otherreal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 2547. $128, 753. 47 3,551.41 50, 000.00 26, 717. 22 7,681.04 9, 875. 92 1, 308. 87 1,100. 00 2.28 65.11 9, 090. 50 4, 577. 00 T. C . W E B T , Cashier. Capital stock paid in. Surplus fund Undivided profits.... National-bank notes outstanding State-bank notes outstanding.... Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $50, 000. 00 10,000 00 4,156.04 45, 000. 00 132, 369.11 1,015. 88 431. 79 2, 250. 00 244, 972. 82 Total . 244,972. 82 Easton National Bank of Maryland, Easton. ROBERT B. DIXON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Otherreal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, mickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. R. THOMAS, Cashier. No. 1434. $546, 440.26 2, 255. 98 50, 000.00 2, 686. 41 103, 660. 37 16, 430. 06 1, 750.45 12, 000. 00 8,207.92 4, 860. 00 90.50 "i,*46i.'oo' 348. 53 22, 784. 20 23,181. 00 Capital stock paid in. Surplus fund Undivided profits. . National-bank notes outstanding State-bank notes outstanding... Dividends unpaid. Individual deposits United Status deposits DepositsofU. S. disbursing officers Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable $200, 000. 00 150,000.00 29, 685.17 45, 000. 00 1, 346. 25 316,192. 88 50, 966. 42 5, 218.99 2. 250.00 798, 409. 71 Total. 798, 409. 71 458 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. Farmers and Merchants' National Bank, Easton. J. F. TURNER, President. No. 4040. E. H. ROE, Cashier. Kesources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from oilier national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S , Total. $.94, 073. 23 609. 92 18, 750.00 5,188. 67 Capital stock paid i n . $60, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 2, 827.12 13,170.00 Dividends unpaid 7, 943.60 1, 207.44 5, 556.25 302. 50 730. 00 131.75 1, 947. 05 110.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 59,201.27 Due to other national banks Due to State banks and bankers . 2,194.52 Notes and bills re-discounted . Bills payable 842. 50 Total . 137,392.01 137, 392. 91 National Bank, Elkton. No. 1236. J. TOME, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. $323, 419.44 6.73 CHAS. B. FINLEY, Cashier. Capital stock paid in. $50, 000.00 21,000. 00 Surplus fund Undivided profits. 25, 000. 00 23, 419.44 19, 500. 00 9, 484. 08 4, 025. 27 4.61 8, 000. 00 National-bank notes outstanding.. State-bank notes outstanding 18, 400. 00 1, 876. 49 25.30 1, 999. 00 150. 96 22, 884. 40 8, 387. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 304, 788.84 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 100.00 945.00 421, 708. 28 Total. 421,708.28 Patapsco National Bank, Ellicott City. E. A. TALBOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. ©. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3585. $121,240.73 150.16 12, 500. 00 26,017. 50 16, 948.97 JOHN F. MCMULLEN, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 6, 666. 95 1, 315. 89 700. 00 430. 92 235.00 7.09 710. 00 8, 900. 00 $50,000. 00 3,000.00 2, 989.53 11, 250.00 303. 91 Individual deposits United States deposits Deposits of U. S. disbursing officers. 127,533.33 Due to other national banks Due to State banks and bankers .. 1,014.63 294.31 Notes and bills re-discounted. Bills payable , 562. 50 196, 385. 71 Total. 196, 385. 71 REPORT OF THE COMPTROLLER OF THE CURRENCY. 459 MARYLAND. First National Bank, Frederick. No. 1589. THOMAS GORSUCIT, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on band Stocks,securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on X S. bonds L Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. THOMAS M. MARKRLL, Cashier. Liabilities. $247,143. 50 Capital stock paid in. 7, 600. 37 25, 000. 00 Surplus fund.. Undivided profits . 16, 500.00 National-bank notes outstanding.. 1, 438.14 State-bank notes outstanding 6, 064. 59 5, 782. 85 Dividends unpaid . 27, 000.00 15, 000. 00 Individual deposits 931. 70 United States deposits 1, 000.00 Deposits of U. S. disbursing officers. 1, 057. 39 525. 00 27!). 94 34,198. 75 883. 00 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable $100, 000. 00 20, 000. 00 6,858.23 22, 500.00 218,155.70 12, 573.18 2, 953.12 8, 500.00 1,325. 00 391, 540. 23 Total. 391, 510. 23 Central National Bank, Frederick. CHARLES W. ROSS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S-. Due from Treasurer U. S Total. No. 1138. S308, 337. 25 5, 24(5.15 50, 000. 00 45,143. 02 12, 217.15 5,814.21 18, 000.00 8, 000. 00 1,492.78 1, 975.00 7oO. 67 35, 227.10 7, 319.00 HENRY WILLIAMS, Cashier. $200, 000. 00 Capital stock paid i n . Surplus fund «.«., Undivided profits « National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 40, 000. 00 12,541.19 36, 590. 00 1,457.18 208,551.04 2,145. 97 486. 35 2, 250. 00 Total. 501, 772. 33 501, 772. 33 Citizens' National Bank, Frederick. No. 3476. JOSEPH D. BAKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C.iecks and other cash items Exchanges for clearing-house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from TreasurerU. S Total $647, 559. 42 776. 96 25, 000. 00 50, 000.00 144, 108, 2, 4, 42, 995. 20 585.47 311.18 233.15 000. 00 2, 252. 74 19, 943. 75 599. 27 1, 355. 00 207. 94 29, 380.45 26, 239. 00 D. T. LAKIN, Cashier. Capital stock paid in , $100,000.00 Surplus fund Undivided profits 25,000.00 7, 804. 71 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid. 156.00 Individual deposits United States deposits Depositsof U.S.disbursing officers. 892, 647. 99 55, 000. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 2,107. 98 1, 257. 87 1,125.00 1,106,564.53 Total, 1,106, 564.53 460 REPORT OF THE COMPTROLLER- OF THE CURRENCY. MARYLAND. Farmers and Mechanics' Bank, Frederick. CHARLES E. TRAIL, President. No. 1267. SAMUEL NIXDORFF, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank^g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Duefrom Treasurer U. S Total. Liabilities. $276, 947. 55 8, 500. 30 35, 000. 00 20, 700. 00 342.17 2, 072. 35 2,191.85 16, 000.00 4,310.16 1,881.49 830. 00 11,588.67 5,102. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. $125, 000. 00 40, 000. 00 5, 494. 81 31, 500. 00 1,119.11 Individual deposits United States deposits Deposi ts of U.S.disbursing officers. 134,136. 85 Due to other national banks Due to State banks and bankers . . 18, 968. 87 821.90 Notes and bills re-discounted. Bills payable 30, 000. 00 1,575.00 387,041. 54 Total. 387, 041. 54 Frederick County National Bank, Frederick. W. I. PARSONS, President. No. 1449. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items . Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $208, 222. 76 2,145. 07 37, 500. 00 41,000.00 9, 753.59 1, 365. 23 500. 46 7, 000. 00 3,143. 78 591.89 2,201.93 Z. JAMES GriTTTNGER, Cashier. Capital stock paid in. Surplus fund Undivided profits . 50, 000.00 8,136. 42 National-bank notes outstanding.. State-bank notes outstanding 33, 750.00 Dividends unpaid. 386. 85 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks 90.00 Due to State banks and bankers . . 123.13 35,150. 70 j Notes and bills re-discounted . 1, 975. 00 i Bills payable 107, 099. 31 2, 621. i 465. J 1, 687. 50 352, 460.04 Total. 352, 460. 04 First National Bank, Hagerstown. GEORGE SCHLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . Due from State banks and bankers. Bauk'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1431. $171, 458. 64 1, 274.40 25, 000.00 80, 0J0. 00 316,025.00 43,159.39 7, 291. 87 1, 827.79 10, 000. 00 1, 452. 76 5,456. 00 4, 628. 29 15,139. 00 633. 69 16, 428. 50 12, 000. 00 JOHN D . NEWCOMER, Cashier. Capital stock paid in. ~$ioo7ooo.oo Surplus fund Undivided profits . 40, 000. 00 7,434. 62 National-bank notes outstanding. State-bank notes outstanding 22, 500. 00 Dividends unpaid-. 2, 258. 70 Individual deposits United States deposits Deposits of U.S. disbursing officers. 243,914. 67 88,000 00 Due to other national banks Due to State banks and bankers .. 8,732.15 60.19 Notes and bills re-discountcd . Bills payable 1,125. 00 512, 900.33 Total. 512,900. 33 REPORT OF THE COMPTROLLER OF THE CURRENCY. 461 MARYLAND. Second National Bank, Hagerstown. HKNRY H. KEKDY, President. No. 4049. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgmcnts, etc . . Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds , Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Itedemption fund with 'Treas. U. S. Dae from Treasurer U. S Total . JOHN VAN LEAR, Cashier. Liabilities. | $68, 654. 53 "*25,'66o*6(j" 5, 000. 00 12, 137. 74 8, 338. 83 ""7," 648." 71* Capital stock paid i n . $81, 280. 00 Surplus fund Undivided profits 1, 508. 45 National-bank notes outstanding . State-bank notes outstanding 18, 950.00 Dividends unpaid Individual deposits 1,136.15 I United States deposits 7, 390.62 Deposits of U. S. disb ursing officers. 662. 71 Due to other national banks 4, 967. 00 Due to State banks and bankers . . 7.29 5, 446. 00 Notes and bills re-discounted . 2, 820.00 Bills payable 48, 596.13 1,125. 00 Total. 150, 334. 58 150,334.58 First National Bank, Havre de Grace. A. P . MCCOMBS, President. N o . 3010. Loansand discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit liedemption fund with Treas. U. S . D ue from Treasurer U. S Total . B. K. VANNEMAN, Cashier. $279,001.77 ! Capital stock paid i n . 109.90 I 20, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding 7,866.89 ; State-bank notes outstanding . 6,933.91 ! Dividends unpaid 8,000.00 |] Individual deposits "I," 472." 93*'I United States doposits Deposits of U.S. disb ursing officers. 252. 01 Due to other national banks 150.00 ! Due to State banks and bankers .. 73.24 |! 9,687.35 i Notes and bills re-discounted. 8,875.00 ! Bills payable , $60, 000. 00 15,000.00 22.463. 91 18, 000. 00 150,637.15 36, 927. 00 291.94 40, 000. 00 900. 00 Total. 343, 323. 00 343, 323. 00 First National Bank, New Windsor. THOMAS F. SHEPHERD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc , . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortir'a owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 747. $77, 537.68 1,571.07 55, 000. 00 24, 000. 00 6,137. 78 NATHAN H. BAILK, Cashier. Capital stock paid in 11, 000. 00 5,558.81 National-bank notes outstanding.. State-bank notes outstanding 48, 650. 00 Dividends unpaid 6, 300. 00 ""'671.78 7, 400.00 160. 00 5.02 2, 497. 00 8, 740. 00 $55,000.00 Surplus fund Undivided profits 261.00 Individual deposits United States deposits DepositsofU.S.disbursingofficeis. 66, 043. 64 Due to other national banks Due to State bank3 and bankers .. 5, 252. 92 728. 96 Notes and bills re-discounted . Bills payable 2, 475. 00 192, 495. 33 Total 102, 195. 462 KEfOKT OF THE COMPTROLLER OF THE CURRENCY. O. A R Cecil National Bank, Port Deposit. No. 1211. J . TOME, President. R. 0. JTOPKIWS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts • -«....... U. S. bonds to secure circulation... U S bonds to secure deoosits X . S. bonds on hand T Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, uickelb, cents. Specie Legal-tender notes .... TJ S certificates of deuo^it Redemption fund with Treas. TJ. S. Due fromTreasurer U. S Total Capital stock paid in $473,782.49 j 18 21 25, 000. 00 2,849. 20 120,000.00 32, 838.72 National-bank notes outstanding.. State-bank notes outstanding 22,892.88 ! 40, (594.97 3,] 79. 80 1,000.00 $100, 000. 00 Surplus fund Undivided profits 22, 500. 00 : Dividends unpaid 1 Individual deposits i United States deposits I Deposits of U.S. disbursing officers. 290,457. 22 Due to other national banks ; Due to State banks and bankers . . 29, 703.17 567.83 546. 23 130.00 213. 96 14,174. 20 10, 460. 00 1 1 Notes and bills re-discounted i, I25.66 Total 596, 066.94 596, 066.94 National Bank, Rising Sun. H. H. HAINES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-hou9e,furniture, and fixtures Other real estate and riiortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Chocks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 2481. $50, 000. 00 ""*50, 666.00 I Surplus fund Undivided profits . National-bank notes outstanding.. 31, 620. 61 State-bank notes outstanding 1,549.74 71.86 12, 500. 00 7, 000. 00 9, 228.71 .01 7, 063.45 4, 928.00 12, 500. 00 13, 307. 75 45, 000.00 Dividends unpaid Individual deposits United States deposits Dopositsof U.S.disbursingotiicers. 190, 670. 61 Due to other national baiiks 1 Duo to State banks and bankers .. Notes and bills re-discounted . Bills p ayable.., 125.42 85.50 2, 250.00 311,689.28 Total. JNO. D. HAINES, Cashier. $185, 476. 90 S Capital stock paid in . Total. 311,689.28 Montgomery County National Bank, Rockville. JOSEPH D. BAKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption funi with Treas.U . S. Due from Treasurer U. S Total. No. 3187. $235, 818. 49 635.11 12,500.00 37,361.75 45,167. 27 3,184, 70 R. H. STOKES, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid $50, 000.00 17, 500. 00 5, 087. 78 11, 250. 00 141.00 3, 000.00 '"l," 557." 80* 260.41 35.00 186.48 11,275.15 10, 905. 00 Individual deposits United States deposits DepositsofU.S.disbursingomcers. 256,148. 51 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 15, 630.12 6, 672.31 562. 50 36:?, 429. 72 \ Total. 302, 429. 72 REPORT-OF THE'COMPTROLLER OF THE CURRENCY. 463 IABY1AN D. Salisbury National Bank, Salisbury. ELIHU E. JACKSON, President. No. 3250. J N O . n . W H I T E , Cashier. Liabilities. .Resources. $167,323.42 Capital stock paid in . Loans and discounts.. Overdrafts U. S. bonds to secure circulation... 12, 500. 00 Surplus fund TJ. S. bonds to secure deposits Undivided profits U. S. bonds on band Stocks, securities, judgments, etc.. |j National-bank notes outstanding. 33,193. 20 State-bank notes outstanding Due from approved reserve agents. 2, 049. 68 Due from other national banks 55.57 Dividends unpaid. Due from State banks and bankers. Ban k'g bouse, furniture, and fixtures! 7,000. 00 Other real e.state and mortg's owned! Individual deposits Current expenses and taxes paid .. 1,611. 78 United States deposits Premiums on U". S. bonds Deposits of U.S.disbursingofficers. Checks and other cash items Due to other national barks ...... Exchanges for clearing-house 450.00 Bills of other national banks Duo to State banks and bankers.. Fractional currency, nickels, cents 3.44 4, 902. 50 Notes and bills re-discounted. Specie 5, 900.00 Bills payable Legal-temlor notes U. S. certificates of deposit 562. 50 Redemption fund with Treas. U. S. Due from Treasurer TJ. S 235, 552.09 Total. Total. $50,000.00 20, 000. 00 6, 876. 23 11, 250.00 134,388.47 12,818.14 219.25 235, 552. 09 First National Bank, Snow Hill. No. 3783. JOHN W. SMITH, President. | Loans and discounts Overdrafts U. S. bonds to secure circulation...; U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures! Other real estate and mortg's owned; Current expenses and taxes paid .. I Premiums on U. S. bonds ' Checks and other cash items Exchanges for clearing-house Bills of other national 1 banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 12, 500. 00 30, 784.89 1, 686. 75 1,395.22 6, 303.08 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. $50, 000.00 2, 500. 00 2,604.65 10, 750. 00 15.00 1, 219.43 3,468. 75 Individual deposits United States deposits Deposits of U. S.disbursing officers 91, 559. 33 395. 00 49.19 6, 914. 00 1, 590.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 4, 831.91 595.15 562. 50 Total. 162, 856. 04 Total. I. T. MATTHEWS, Cashier. $95, 987.23 j | Capital stock paid in. 162, 856. 04 Towson National Bank, Towson. JOHN G. COCKEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks aDd bankers. Bauk'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Chocks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3588. JNO. CROWTHEH, JR., Cashier. ,179,436.49 ] j Capital stock paid i n . 15.26 12, 500.00 Surplus fund , Undivided profits. 15, 009. 21 National-bank notes outstanding State-bank notes outstanding Dividends unpaid . 9, 000. 00 1, 690.90 3, 446.89 15.00 75. 00 39.32 6, 237. 30 2, 630.00 $50, 000.00 1, 211. 51 14, 206.29 11,250.00 63.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 132,682.46 Due to other national banks Duo to State banks and bankers.. Notes and bills re-discounted. Bills payable 1,175.01 69.60 20, 000.00 562. 50 230,657.87 Total. 230, 657. 87 464 REPORT OF THE COMPTROLLER OF THE CURRENCY. MARYLAND. First National Bank, Westminster. No. 742. G. S. HAINES, President. GEO. E. GEIIR, Cashier. Resources. Loans and discounts I Overdrafts U. S. bonds to secure circulation... j IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Dno from other national banks Due from State banks and bankers 'Bank'g-house,furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Liabilities. $245, 805. 34 4, 261. 52 32, 000. 00 78, 223.53 7, 658.40 4,084.19 1,835.59 26,5-18.93 Capital stock paid in. 50, 000.00 8, 787. 62 National-bank notes outstanding.. State-bank notes outstanding 28, 790.00 Dividends unpaid Individual deposits 1, 637. 80 United States deposits DepositsofU.S.disbursingofficers " 903.05 383. 00 124. 63 6, 285. 25 10, 277.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1, 082. 62 170, 683. 04 10, 702.45 5, 782. 50 20, 000. 00 710. 00 420, 828. 23 Total. $125, 000. 00 Surplus fund Undivided profits. Total 420, 828. 23 Farmers and Mechanics' National Bank, Westminster. JOSEPH SCHAEFFER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national bants Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total. No. 1526. W. A.CUNNINGHAM, Cashier. $88, 526. 35 Capital stock paid in. $50, eoo. oo 7,208.14 12, 500.00 Surplus fund 6, 400. 00 2, 434. 37 Undivided profits. 5, 701.73 2, 827. 35 8, 800. 00 592.77 3, 300.00 30.00 345. 00 8.15 2, 527.00 3,160.00 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 11,250.00 627.18 55, 324.26 9,144.31 908. 87 562. 50 136, 088. 99 Total . 136,088.99 Union National Bank, "Westminster. J . K. LONGWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents . Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treaa. U. S. Due from Treasurer U. S Total . No. 1596. $172,439.30 5,048.13 50,000.00 81, 574.83 20, 086.71 1,887.29 1,665.28 13,500.00 J". W. HERING, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends Tinpaid $100,000.00 30,000.00 9,271. 23 41, 800. 00 706.61 1,270.13 Individual deposits United States deposits Deposits of U.S. disbursing officers. 181,120.41 3, 335. 00 116.91 19,798.97 15, 259.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 21,205. 29 1, 999.63 121. 62 386,303.17 Total . 386,103.17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 465 MARYLAND. Washington County National Bank, Williamsport. JAMES FINDLAY, President. No. 1551. J. L. MOTTER, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. Ex. 3 Liabilities. $114, 990. 02 Capital stock paid in. "ioo," 666*60" 19,000.00 2, 01G. 39 441.61 3, 500. 00 2, 334.13 13, 500. 00 242. 35 210. 00 5, 997. 00 4,118.00 20,000.00 8, 751. 04 National-bank notes outstanding. State-bank notes outstanding 84, 865. 00 Dividends unpaid 1, 711. 40 Individual deposits United States deposits Deposits of U. S. disbursing officers 48, 348.65 Due to other national banks Due to State banks and bankers . 5, 743. 41 Notes and bills re-discounted. Bills payable 3, 070. 00 269,419.50 30 $100, 000.00 Surplus fund Undivided profits. Total. 269,419.50 466 REPORT OF THE COMPTROLLER OF THE CURRENCY. DISTRICT OF COLUMBIA. Farmers and Mechanics' National Bank, Georgetown. HENRY M. SWEENY, President. No. 1928. W. LAIRD, J R . , Cashier. Liabilities. Resources. Loans and discounts Overdrafts. U. S. bonds to secure circula :.o: . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid. .Premiums on U. S. bonds . . C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $343, 038. 65 ! Capital stock paid in 79.72 250, 000. 00 j Surplus fund ! Undivided profits 101, 200.00 262, 017. 50 I National-bank notes outstanding.. 97, 304.27 State-bank notes outstanding 12. 270. 83 627. 09 Dividends unpaid 60, 000.00 67, 994.33 179,980.00 3,508.00 23, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing oflicers. 814,335.30 Due to other national banks 5, 275.00 I Due to State banks and bankers .. 33.63 203, 995. 75 Notes and bills re-discounted, 39,170. 00 i Bills payable 6, 594.22 3,712. 88 19, 500.00 11, 936. 53 11, 250.00 Total. 1,384,411.85 Total. $252, 000.00 1, 384,411.85 Second National Bank, Washington. MATTHEW G. EMERY, President. Loans and discounts Overdrafts X S. bonds to secure circulation . . L U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house.farniture.andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. Is. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S No. 2038. $648,417.86 1,240.03 50,000.00 11, 600. 00 7,148. 66 86, 851.64 54, 850. 01 6, 621. 61 118,165.00 3,414.00 5,231.66 4, 509.72 9, 470. 86 15,188. 01 4, 223.00 1, 370. 49 116,492.00 67,000.00 $225,000.00 Surplus fund Undivided profits. 46,000.00 30, 472. 04 National-bank notes outstanding.. State-bank notes outstanding 45, 000, 00 Dividends unpaid 692. 50 Individual deposits United States deposits Depositsof U. S. disbursingofli cers. 861, 916.79 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 1, 496. 70 3,466.52 2.250.0J 1,214,044.55 Total . HENRY C. SWAINT, Cashier. Capital stock paid in. Total. 1,214, 044. 55 Central National Bank, Washington. SAMUEL NORMENT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits S. on U. S bonds o hand i Stocks, securities, judgments, e t c . Duefrom approved reserve agents. Duo from other national banks — Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges tor clearing-house Bills of other national bauks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total J. A. RUFF, Cashier. No. 2382. $758, 515.70 474. 22 100, 000.00 Capital stock paid in -i Surplus fund Undivided profits. 598. 00 National-bank notes outstanding.. 153.071.70 State-bank notes outstanding 56, 930.18 3, 858. 24 | Dividends unpaid 185, 603.09 Individual deposits ""5," 147, 77 United States deposits 22, 6u3.69 Deposits of U.S. disbursing oflicers. 31, 325.17 18, 203.27 Due to other national banks 1, 000. 00 Due to State bank and bankers... 8.00 134,975.50 Notes and bills re-discounted. 78, 005, 00 Bills payable I $100,000.00 100,000.00 15,835.24 90, 000. 00 40.00 1, 240, 889. 51 8,138. 74 876.10 4, 500. 00 1,555,779.59 Total 1,555,779.59 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 6 7 DISTRICT OF COLUMBIA. Citizens7 National Bank, Washington. JOHN A. J.CKESWELL, President. No. 1893. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on XJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total.. 9.15 G59.12 50, 0C0. 00 72, 537.01 15,918. 32 1,1H. 50 99,583. 94 65, 940.71 2, 673. 8,} 11,116. 90 9, 034. 24 740.00 1, 385. 33 72, 645.00 76, 761. 00 THOS. C. PEABSALL, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $300, 000. 00 30, 000.00 31,802. 73 45,000. 00 720. 00 730, 498. 70 13, 573. 79 9, 713. 78 2, 250. 00 1,161, 309. 05 Total. 1,161, 309.05 Columbia National Bank, Washington. BBAINARD H. WARNER, President Loans and discounts Overdrafts ... U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-ho use, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Tceas. U. S. Due from Treasurer U. S Total. No. 3625. $882, 876. 47 607.20 50,000.00 1,000.00 87, 836. 59 78, 794.42 666. 83 71, 602. 21 5, 721. 74 3, 706. 25 22,810. 63 23, 065. 37 2, 78,3. 00 331.17 80, 630. 75 129, 850. 00 E. SOUTHARD PARKER, Cashier, Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable $250,000.00 35, 000. 00 16, 234. 88 44, 400.00 1, 064, 036. 56 9, 863.10 25, 000.00 2, 250. 00 1, 444, 534. 63 Total. 1,414,534.63 National Bank, Washington. C. A. JAMES, President- Loans and discounts ' Overdrafts ! U. S. bonds to secure circulation... j U. S . bonds to secure deposits > I U. S. bonds on hand \ Stocks, securities, judgments, etc ..! Due from approved reserve agents, j Due from other national banks j Due from State banks and bankers j Bank'g-house,furniture,andtixtureSj Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national b a n k s Fractional currency, nickels, cents .j Specie ". Legal-tender notes j U. S. certificates of deposit Redemption fund w i t h Treas. U . S. Due from T r e a s u r e r U. S j. Total No. 3425. ., 044,623. 99 754.55 50, 000. 00 "462," 500." 66' 84, 750. 00 275,312.16 147,940. 24 440.66 15, 000. 00 6, 355.39 22,"l69.50 1,210.00 2, 742.91 193, 699.00 30, 610.00 130, COO. 00 2,473,138.40 CHAS. E. WHITE, Cashier. Capital stock paid in Surplus fund Undivided profits $200,000.00 100,000.00 61, 248. 40 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 2,101,442.95 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted . 9,973.68 473.37 Bills payable Total 2,473,138.40 468 REPORT OF THE COMPTROLLER OF THE CURRENCY. DISTRICT O F COLUMBIA. National Bank of the Republic, "Washington. DANIEL B. CLARKE, President. No. 875. CHARLES S. BRADLEY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds 011 hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total Liabilities. $595,414.64 2, 283. 59 50,000. 00 150, 000. 00 106, 650.00 165, 444.27 89, 623. 60 14, 975. 48 331.30 83,947.52 Capital stock paid in $200, 000.00 Surplns fund. Undiv Livided profits. 125, 000.00 25, 429. 96 National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 6, 479.00 6, 081.13 24,463. 20 22,162. 80 Due to other national banks 1, 477. 00 Due to State banks and bankers .. 1, 375. 79 201,190.00 Notes and bills re-discounted. 59, 574. 00 Bills payable 1,001,833.66 122, 627.32 60, 949.65 2, 882. 73 2,250. 66 1, 583, 723. 32 Total 1,L 83, 723.32 National Capital Bank, Washington. J O H N E. HERRELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas, U. S . Due from Treasurer U. S No. 4107. $173, 765. 25 30,000. 00 $122,350. 00 Surplus fund Undivided profits . 2,491.85 National-bank notes outstanding. State-bank notes outstanding 67, 625.62 Dividends unpaid 4,439. 54 Individual deposits 1, 068. 57 United States deposits 2,118. 00 Deposits of U. S. disbursing officers. 12,952.43 Due to other national banks 710.00 Due to State banks and bankers . . 199.12 24,264.25 Notes and bills re-discounted . 53, 270.00 Bills payable 370, 412.78 Total. W. B. BALDWIN, Cashier. Capital stock paid in. 245,570. 93 370,412.78 Total. National Metropolitan Bank, Washington. JOHN W. THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banka Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 1069. $825,288.70 2, 849.16 50,000.00 166," 656." 66" 311, 743. 69 30, 231. 61 78,751.93 3,656.34 65, 000. 00 3, 220.00 5, 459. 57 27, 765. 93 16, 225. 74 13,047.62 16, 647.00 307.71 112, 639. 50 107, 603. 00 1, 770,437.50 GEO. H. B. WHITE, Cashier. Capital stock paid in. Surplus fund Undivided profits $300, 000.00 250,000. 00 24, 898.62 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 755. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 1,069,534.44 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 116,318.40 8,931.04 Total., 1,770,437.50 REPORT OF THE COMPTROLLER OF THE CURRENCY. 469 VIRGINIA. First National Bank, Alexandria. S. FERGUSON BEACH, President. Xo. 651. C. R. HOOFF, Cashier. Liabilities. Resources. Loans and discounts | Overdrafts ! U. S. bonds to secure circulation...I TJ. S. bonds to secure deposits !. U. S. bonds on hand i. Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankersBank' g-house,iurniture,andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $346,716.33 350. 00 50, 000. 00 118, 915. 00 66, 634.41 9,466. 07 1, 814.29 10,000. 00 '""3," 766." 28 13, 500.00 6, 974.44 1, 000. 00 78. 00 22, 800.00 6, 000. 00 Capital stock paid i n . . $100, 000.00 Surplus fund Undivided profits. 20,000.00 29, 3-3. 38 National-bank notes o u t s t a n d i n g . . State bank-notes outstanding 45, 000.00 Dividends unpaid j „ Individual deposits ! United States deposits Deposits ot'U.S.disbursing officers 441, 997.04 Due to othcr national banks Due to State banks and bankers.. Notes and bills re-discounted . . Bills payable 16,323. 85 7, 643.55 2, 250. 00 660, 289. 82: Total 10, 289. 82 Citizens' National Bank, Alexandria. No. 1716. B. WHEAT, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits... TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankersBank' g-house, furniture, andnxtures Other real estate and tuortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S, certificates of deposit-... Redemption fund with Treas. TJ. SDue from Treasurer U. S Total. - $161, 075. 94 528.84 30, 000.00 86, 635. 62 76,915.71 12,951.87 1, 910. 30 9, 700. 00 WM. H. LAMBERT, Cashier. Capital stock paid in : $100, 000. (JO Surplus fund Undivided profits. 20, 000. 00 26, 793.13 National-banknotes outstanding.. State-bank notes outstanding 27, 000. 00 Dividends unpaid. Individual deposits 2, 234.1? i United States deposits 6,000.00 ' Deposits of U.S.disbursing officers 6,883.78 , Due to other national banks "3,"4S5. 66 ! Due to State banks and bankers .. 26.12; Notes and bills re-discounted. .. 2, 846. 00 36,327.00 j Bills payable 244, 939. 68 11, 413. 32 8, 726. 22 "1"35'6."66"! 438, 872. 35 Total- 438, 872.35 People's National Bank, Charlottesville. BENJAMIN R. PACE, President. Loans and discounts I Overdrafts ] U. S. bonds to secure circulation... U. S. bonds to secure deposits ' U. S. bonds on hand I Stocks,securities, judgments, e t c . . . Due from approved reserve agents Due from other national banks Due from State banks and bankersBank'g house, furniture,audfixtures Other real estate andmortg's oytned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 2594. $185, 023. 76 1, 089.48 12, 500. 00 26, 855. 00 1,024.92 1, 607. 86 2,469.07 1, 000.00 3, 835.06 1, 492.49 2,434. 00 2, 68i. 59 3, 355.00 62.36 20,169. 25 11, 625. 00 B. C. FLANKAGAN, Cashier. Capital stock paid in Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50,000. 00 33, 500. 00 4,154, 34 11, 250.00 Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. 153, 545. 79 Due to other national banks Due to State banks*and bankers .. Notes and bills re-discounted Bills payable 15, 059. 87 915.34 9. 365. 00 502. 50 277,790. 34 Total. 277, 790. 34 470 REPORT OF THE COMPTROLLER OF THE CURRENCY. VIRGINIA. Farmers' National Bank, Culpeper. ]STo. 3570. LEWIS P. NELSON, President. C. J. EIXEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total i $119, 412. 06 170.08 12, 500.00 15, 854.23 5, 899. 83 1, 5.74. 63 3, 808.47 1,371.77 1, 238.96 3,195.77 587. 92 957. 00 12.66 6, 322. 83 5, 879.00 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits . 2, 500. 00 3,437. 29 National-bank notes outstanding.. State-bank notes outstanding 10, 260. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 107, 001. 77 Due to other national banks Due to State banks and bankers . . 5, 628.16 520. 40 Notes and bills re-discounted . Bills payable 562. 50 Total. 179, 347. 71 179,347. 71 Planters' National Bank, Danville. "WILLIAM P. BETHELL, President* Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc , . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S 16,3J5.58 13, 632. 73 4,101. 20 500. 00 2,158.80 7,586,08 17, 075. 00 204.67 6,484.00 14, 4G0. 00 Capital stock paid in. 8100,000.00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 50, 000.00 15, 750.83 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursingofficers. 125, 711.02 45,000. 00 1,321.45 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 4, 729. 33 795. Q3 20, 000. 00 2, 250. 00 Total. 408,307.66 j Total. W. H. W H I T E , Cashier. No. 1985. $222, 548.14 991. 46 50, 000. GO 50, 000. 00 408, 307. 66 National Bank, Fredericksburgh. CHARLES WALLACE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid- -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1582. $252,134. 09 162.26 12, 500. 00 900.00 10, 248.34 270. 53 "ii,"o66"6o" 1,876.04 1, 558. 96 " 2," 367. 56 880. 00 248. 50 4, 079. 50 22, 865.00 J. A. TAYLOR, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits. 15,500.00 13, 568. 71 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 222, 363. 98 Due to other national banks Due to State banks and bankers . . 7, 623. 84 1, 346. 75 Notes and bills re-discounted . Bills payable 562. 50 321, 653.28 Total. 321, 653.28 REPORT OF THE COMPTROLLER OF THE CURRENCY. 471 VIROINI A. Front Royal National Bank, Front Royal. GILES COOK, J E . , President. No. 2967. D. C. CONK, Cashier. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank V-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds, Checks and other cash items Exchanges for clearing-house.. _ . Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes V. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer XJ. S Liabilities. $77,262.60 175.13 12, 500. 00 17, 599.18 1, 914.83 2, 498.25 3, 361. 58 304.87 508.42 170.00 13.04 1,698.30 1,105.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends u n p a i d . 1, 819. 00 4,144.06 11, 210.00 258. Go Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . 45, 563.22 5, 060. 33 1,618.44 Bills payable 5C2. 50 Total . 119, 673.70 Total. $50, 000. 00 119, 673. 70 First National Bank, Harrisonburgh. PIIILO BRADLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankersBank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1572. L. C. MYERS, Cashier. >. CO Capital stock paid in Surplus fund 13, 200. 00 9, 640.36 Undivided profits 4,450. 00 National-bank notes outstanding.. 44, 400. 00 2, 887.08 State-bank notes outstanding 32,770. 80 8,520.79 Dividends unpaid 21,490.45 983.51 Individual deposits 202, 735. 59 1, 632. 23 United States deposits 1, 000. 00 Deposits of U.S. disbursing officers. 289.34 Due to other national banks 7, 950. 06 1,240.00 1,012.35 Due to State banks and bankers .. 158.52 13, 860. 50 Notes and bills re-discounted . 27, 378. C O Bills payable $175,668.62 , 358.49 | 50, 000. 00 i 2, 250.00 344, 938.36 Total . 344, 938.36 Loudoun National Bank, Leesburgh. WALTER J". HARRISON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate amlmortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickela, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDuefrom Treasurer U. S... * Total. No. 1738. $171,797.84 189.76 100,000.00 23, 850.00 66, 959.02 4,565.35 1, 886.70 5, 000.00 1,283.18 505.00 104.07 7,502.10 27,500.00 A. DIBIIRLL, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $100, 000.00 24, 000. 00 4,106.24 89, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursingofficers. 198,008.70 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Billspayable 528.08 4, 500.00 415,643.02 Total. 415, 643.02 472 REPORT OF THE COMPTROLLER OF THE CURRENCY. VIRGINIA. People's National Bank, Leesburgh. No. 3917. JOSEPH D. BAKER, President. H. A. THOMPSON, Cashier. Liabilities. Besources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S ... Total $118,168.46 353.11 12, 500. 00 9,808. 67 403.42 Capital stock paid in $50, 000. 00 2, 000. 00 1, 316. 32 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 10, 690.00 168. 00 10, 900.00 582.78 3,453.12 209.01 310.00 83.73 8,818.95 3,185.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . 103,511.98 1, 327. 39 415. 06 Notes and bills re-discounted Bills payable 562.50 Total 169, 428.75 169,428.75 First National Bank, Lynchburgh. JOHN F . SLAUGHTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, nnd fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . No. 1558. ALLEN W. TALLEY, Cashier. $493,702.71 jj Capital stock paid i n . 988.16 ii 37, 500.00 j Surplus fund , I Undivided profits 4, 500.00 18, 384.40 8, 459.93 11,847.56 24, 000.00 5, 500.00 2,934.82 9, 000. 00 3, 083.06 4, 049. 00 46.66 33, 974. 00 7,747.00 $150, 000.00 50, 000.00 25,101. 54 National-bank notes outstanding.. State-bank notes outstanding 33, 750. 00 Dividends u n p a i d . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .... 385, 430. 63 12,543.41 10, 579.82 Notes and bills re-discounted. Bills payable 1, 687.50 Total. 667, 405.40 667, 405.40 Lynchburg National Bank, Lynchburgh. JAMES CLARK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation:.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents Due from other national banks Duo from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due fromTreasurer U. S Total No. 1522. $708, 730.05 1, 937.09 50, 000. 00 100,000. 00 13,136.73 22, 559.10 5, 749.24 19, 471.88 33,000.00 1,802. 20 3, 457; 84 6, 000.00 5, 345.34 1, 505.00 25.35 31, 906.00 20,174. 00 G. W. MOORE, JR., Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $250, 000. 00 50, 000. C O 24, 433. 06 45, 000. 00 460, 327. 53 91,790.60 13,309.89 24, 410.62 23, 778.12 44, 000.00 2,250.00 1,027,049.82 Total 1,027,049.82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 473 VIRGINIA. National Exchange Bank, Lynchburgh. GEORGE M. JONES, President. No. 2:500. CAMILLUS CHRISTIAN, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. Liabilities. 5484, 524. 7 L 6,931. O:J 25, 000. 00 350. 00 34,183 46 25, 494.40 18, 059. 05 10, 262. 50 5, 285. 51 5, 000. 00 10,176. 87 1, 322. 00 63. 65 6, 000. 00 16, 050.00 $100, 000. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 50, 000. 00 23, 057. 27 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 442, 470. 39 Due to other national banks Due to State banks and bankers .. 3, 504. 05 5, 250.00 Notes and bills re-discounted. Bills payable 9, 04;. 67 1, 125. 00 Total. 655, 829. 38 655, 829.38 People's National Bank, Lynchburgh. CHARLES M. BLACKFOED, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U". S Total. J. W. IVEY, Cashier. No. 2760. $657, 548.00 1,699.21 50,000.00 200, 000.00 2, 900.00 58, 063. 82 7, 249. 90 12, 073.03 23, 070.38 14, 500. 00 3,157.47 64, 800. 00 5,484.16 Capital stock paid in. $205, 300.00 Surplus fund Undivided profits . 80, 000. 00 24, 302.84 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 524,142.54 217, 742. 75 Due to other national banks 1,075.00 Due to State banks and bankers .. 381. 35 19, 871. 25 Notes and bills re-discounted 47,195. 00 Bills payable 2, 250.00 13, 590.60 10,708.05 1,171,318.57 Total. 50,531.75) 1,171,318.57 Mount Jackson National Bank, Mount Jackson. JOSEPH I. TKIPLETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agentsDue from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3209. $55, 628. 90 492. 95 32, 500. 00 20, 039. 38 870. 82 5, 280. 54 2, 084. 58 W. E. KNEE, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 2, 230. 00 20. 93 2, 335. 50 767.00 5, 700. 00 800.48 29, 250. 00 Dividends u n p a i d . Individual deposits 453. 70 6, 675. 00 $50, 000. 00 United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. 41,501.75 1,176. 9S 2, 406.59 Notes and bills re-discounted. Bills payable , 1, 4G2. 50 130, 841. 80 Total. 130, 841.80 474 REPORT OF THE COMPTROLLER OF THE CURRENCY. V I R G I N I A. Norfolk National Bank, Norfolk. C. HARDY, Cashier. No. 3368. C. G-. RAMSAY, President. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand • Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank"g-house,furniture,andfixtures Other real estate andraortg'sowned Current expenses and taxes paid .. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal- tend CT notes . . Ufecertificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $S80, 239. 66 3,664=. 31 50,000. 00 240, 000. 00 239,465. 66 137, 666. 97 92, 799.10 20, 278. 97 25, 000.00 7, 71, 1, 37, 62, 680. 77 250. 00 245.25 007.95 506. 00 927.68 68 810.45 102, 000.00 Liabilities. Capital stock paid in $400, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 40, 000.00 41, 694.18 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Duo to State banks and bankers .. Notes and bills re-discounted Bills payable . . . . 1, 084, 061. 04 123, 565. 47 116,197.99 45, 000.00 423. 00 91, 484. 94 100, 365. 49 2,250.00 Total 2, 042, 792.11 2, 042, 792.11 National Bank, Petersburgh. B . B. VAUGHAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate andmortg's owned] Current expenses and taxes paid .. [ Premiums on U. S. bonds , Checks and other cash items I Exchanges for clearing-house j Bills of other nationalbanks. ! Fractional currency, nickels, cents J Specie | Legal-tender notes ; U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3515. CARTER It. BISHOP, Cashier. $281,391.35 Capital stock paid i n . $100, 000.00 538.21 25, 000. 00 S u r p l u s iund 16, 000.00 S u r p l u s fund. 5,454. 50 Undivided profits. 2, 057.46 7, 232. 52 2,371. 27 750. 00 "2," 438.' 50' 1, 200. 00 8, 300. 97 1, 780.00 194. 03 12, 713.50 9, 858. 00 ! National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 22, 500. 00 352. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 128, 843. 36 Due to other national banks Due to State banks and bankers.. 20, 967. 84 Notes and bills re-discounted 62, 833.11 BHIM payable 1,125. 00 356, 950. 81 Total . 356, 950. 81 Pulaski National Bank, Pulaski. J. H. C ADD ALL, President. Loans and discounts j ! Overdrafts U S. bonds to secure circulation 1 U. S. bonds to secure deposits , U.S. bonds on hand I Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from ;-tate banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. | Due from Treasurer U. S | Total. No. 4071. $58, 894.48 12, 500.00 , W. F. NICHOLSON, Cashier. Capital stock paid in. $35, 000. 00 Surplus fund 1, 603. 82 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits ofU.S.disbursing officers. 1, 200. 00 4.75 735. 00 2, 700.00 Undivided profits. National-bank notes outstanding. State-bank notes outstanding 45, 940.46 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1, 607. 53 562.50 95, 401. 81 Total. 95,401.81 REPORT OF THE COMPTROLLER OF THE CURRENCY. 475 VIRGINIA. First National Bank, Richmond. ISAAC DAVENPORT, JR., President. No. Resources. , 810, 625.14 Loans and discounts 3, 960.18 Overdrafts 50,000. 00 TJ. S. bonds to secure circulation... 100,000. 00 U. S. bonds to secure deposits U. S. bonds on hand 28,164. 74 Stocks, securities, judgments, etc.. 71, 471. 97 Due from approved reserve agents. 103, 886. 72 Due from other national banks 29, 838. 91 Due from State banks and bankers. 20, 000.00 Bank'g-house, furniture, and fixtures Other real estate and mortg's owned 7, 302.05 Current expenses and taxes paid... 8, 261. 98 Premiums on U. S. bonds Checks and other cash items 131, 886. 06 Exchanges for clearing-house 33, 339.00 Bills of other national bank3 657. 78 Fractional currency, nickels, cents. 22, 321.00 Specie 142, 000. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S 2, 566, 055. 53 Total. nil. H. C. BURNETT, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $600, 000. 00 300, 000. 00 108, 584.25 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 168. 00 1, 192, 997. 32 93,151. 76 13,785.22 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted.. Bills payable 47, 627.19 38, 491. 79 26, 250. 00 100,000.00 Total. 2, 566, 055.53 7 Merchants National Bank, Richmond. JOHN P. BRANCH, President. Loans and discounts I Overdrafts I U. S. bonds to secure circulation... j tT. S. bonds to secure deposits 1 TJ. S. bonds on hand I Stocks, securities, judgments,etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixturesi Other real estate and mortg's owned Current expenses find taxes paid... Premiums on U. f>. ; ads > Checks and other cash items Exchanges for clearir ~-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. "I No. 1754. $604,171.4Q Capital stock paid in 1,481). 24 60, 000.00 Surplus fund 425, 000. 00 Undivided profits . 3,435.0'J 73, 289. 39 3, 797. 82 6, 262. 03 60, 000.00 4,135.18 80, 000. 00 401.50 100,141. 26 4, 229. 00 236.40 39, 281. 00 10, 000.00 J. F. GLENN, Cashier. National-bank notes outstanding.. State-bank notes outstanding j $200, 000.00 105, 000.00 27, 879. 92 54, 000.00 Dividends unpaid Individual deposits 522, 845.18 United States deposits 467,174. 29 Deposits o f U. S. disbursing o fficers. Due to other national banks 30, 259.18 71, 413. 77 Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 2, 700. 00 1, 478, 572. 34 Total 1, 478, 572. 34 National Bank of Virginia, Richmond. EMIL O. NOLTING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national banks Duo from State banks and bankers. Bank'g-house, furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1125. J. W. LOCKVVOOD, Cashier. $726, 267. 65 Capital stock paid in. $200, 000. 00 2, 468.27 50,000. 00 Surplus fund 31, 000. 00 100, 000.00 Undivided profits. 18, 704. 65 22,028. 93 I National-banknotes outstanding.. 41,757.41 ; State-bank notes outstanding 30, 800.83 29, 245. 25 Dividends unpaid 50, 000.00 44, 990. 00 648.00 Individual deposits 4, 830. 61 United States deposits 40, 625. 00 Deposits of U. S. disbursing officers. 633,294.15 108, 288. 81 7, 223.14 Due to other national banks Due to State banks and bankers ., Notes and bills re-discounted . Bills payable 11, 676. 09 51, 745.11 322. 90 29, 560.40 3,334. 00 39. 04 4, 500. 00 30,100.90 60, 000. 00 1, 689. 00 1,167, 569.95 Total. 1,167, 569. 95 476 REPORT OF THE COMPTROLLER OF THE CURRENCY. VIRGINIA. Planters' National Bank, Richmond. No. 1628. J. B. PACE, President. Kesources. $1, 678, 900. 79 Loans and discounts 2, 276. 59 Overdrafts 50, 000.00 U. S. bonds to secure circulation... 100,000. 00 TJ. S. bonds to secure deposits IT. S. bonds on hand 191, 775. 57 Stocks, securities, judgments, etc.. Due from approved reserve agents. 167, 776. 55 Due from other national banks 76, 040. 53 Dae from Sta^tebanks and bfinkers. 10, 432. 47 Bank'g-house, furniture,and fixtures 23, 000. 00 Other real estate andraorfcg'sowned 3, 320.65 Current expenses and taxes paid-.. 7, 720.18 5, 000. 00 Premiums on U. S. bonds 4. 832. 00 Checks and other cash items 133, 890. 46 Exchanges for clearing-house 27, 000.00 Bills of other national banks 791.42 Fractional currency, nickels, cents. 32, 547. 75 Specie 70, 000. 00 Legal-tender notes TJ. S. certificates of deposit Redemptio Q fund with Troas. U.S. 2, 250.00 Due from Treasurer U. S Total. 2, 587, 554. 96 MANY S. QUAULES, Cashier. Liabilities. Capital stock paid in. $300, 000. 00375, 000. 00 43, 0G0. 86 Surplus fund. Surp] Undi vided profits . i National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable Total. 45, 000. 00 1, 370, 422. 97 105, 588. 61 3, 689. 69 105, 716. 95 96, 524. 93 42, 550. 95 100, 000. 00 2, 587, 554. 96 First National Bank, Roanoke. No. 2737. H. S. TROUT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits ; U. S. bonda on hand ' Stocks, securities, judgments, etc.;. Due from approved reserve agents, j Due from other national banks. . . . I Due from State banks and bankers, j Bank'g-house, furniture,and fixtures' Other real estate and raortg's o wned!. C urrent expenses and taxes paid...; Premiums on U. S. bonds j Checks and other cash items ! Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents -! Specie ! Legal-tender notes ! U. S. certificates of deposit .... Redemption fund with Treas. U. S.' Due from Treasurer U. S $517,572.41 3,017. 93 30, 000. 00 93, 312. 91 2, 46i. 23 8, 994. 87 1, 302. 77 2, 526. 36 1,125. 00 1, 056. 95 — 6,100. 00 42. 85 11, 733. 75 12, 992. 03 $100, 000. 00 Surplus fund Undivided profits 50, 000. 00 13, 975. 23 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid .. .Individual deposits United States deposits Deposits of U.S. disburs ing officers. 26, 250. 00 486, 520. 54 Duo to other national banks Due to State banks and bankers .. 2,131.69 4,918.49 Notes aiid bills re-discounted Bills payable 9, 795. OS 1, 350. 00 Total 603, 591. 03 Total. J. W. SHIELDS, JR., Cashier. Capital stock paid in 693, 591. 03 Commercial National Bank, Roanoke. J. W. COON, President. Loans and discounts O rerdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furni ture, and fixtures Otherreal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie i Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. "Wai. M. BARNITZ, Cashier. No. 4026. $156,502.45 Capital stock paid in. 1,187.71 |i 25,000.00 ' Surplus fund $100, 000.00 5,000.00 4, 747.70 Undivided profits National-bank notes outstanding.. 88!). 67 State-bank notes outstanding 22, 500. 00- Dividends unpaid. Individual deposits • United States deposits Deposits of U.S. disbursing officers. 83,131. 92 Due to other national banks 12,122. 78 607.31 1, 002.00 1, 312. 02 1, 875.00 246.30 18,207.00 j Due to State banks and bankers .. 28.83 17,399.10 Notes and bills re-discounted . 2, 000. 00 Bills payable 1,125.00 | 227, 502.39 Total. 227, 502. 39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 477 VIROI1VI A. National Exchange Bank, Roanoke. No. 4027. T. T. FISHBUBNE, President. JAMES B. FISHBURNE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reservo agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house BilJs of other national banks Fractional currency, nickels, cents. Specie Legal-temler notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total , Liabilities. $111,338.62 Capital stock paid in. 62.38 25, 000. 00 Surplus fund 9, 872. 34 4, 326.10 603.04 1, 013. 73 1*529.52 1, 781. 25 105. 50 iO. 000. 00 2, 390. 94 Undivided profits National-bank notes outstanding . State-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 44,806.41 Due to other national banks 2,464.00 I Due to State banks and bankers.. 18.10 4,334.75 Notes and bills re-discounted. 8,000.00 ! Bills payable • 5,518.29 (5, 358. C9 1,125. 00 171, 574. 33 Total . 171, 574.33 Farmers' National Bank, Salem. JAMES CHALMERS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits...... U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Baiik'g-house,furniture,andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1824. $168, 817.12 632.84 18, 750.00 24,172.98 9,897. 01 1,167. 32 1,458. 79 F. H. CHALMERS, Cashier. Capital stock paid in. $75, 000.00 Surplusfund Undivided profits. • 25, 000. 00 8,697. 49 National-bank notes outstanding.. State-bank notes outstanding 16,875. 00 Dividends unpaid. Individual deposits 639.22 United States deposits 4, 500. 00 Deposits of U.S. disbursing oflicers. 120,015.88 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 2, 776. 48 4, 248. 37 934.00 291.19 13, 009. 00 7, 500. 00 843. 75 i 252,613.22 j. Total. 252,613.22 Augusta National Bank, Staunton. DAVIS A. KAYSER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgment?, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2269. $272,391.19 2,143. 69 100, 000.00 92, 090. 53 9,937.41 14, 906.63 4, 907. 53 2, 797. 59 9, 000. 00 1, 071. 39 2,105. 00 38.45 1, 600. 00 25, 400. 00 TV. P. TAMS, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits.. 25, 000. 00 13,227. 75 National-bank notes outstanding.. State-bank notes outstanding 89, 800. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 294, 384. 65 Due to other national banks Due to State banks and bankers . . 14, 731.99 3, 549. 52 Notes and bills re-discounted . Bills payable 2, 304.50 540, 693. 91 Total. 540,693.91 478 REPORT OF THE COMPTROLLER OF THE CURRENCY. VIRGINIA. National Valley Bank, Staunton. No. 1620. JOHN ECHOLS, President. H. A. WALKER, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S.,bonds on hand Stocks, securities,.judgments, e t c . . Dae from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid .. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $700, 651. 96 2,188.19 50, 000. 00 50, 000. 00 61, 331. 69 101, 703. 27 44,847. 04 27,432. 80 18, 034. 48 4, 276.24 Capital stock paid in . 200, 000. 00 34, 373. 30 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 45, 000.00 15.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 583, 064. 54 54,738. 63 259.31 Due to other national banks Due to State banks and bankers... 16,017.24 18, 484.43 6, 430. 80 1, 643. 00 528. 98 60, 414.00 20, 220.00 Notes and bills re-discounted . Bills payable 2,250. 00 1,151,952.45 | Total . $200, 000. 00 Surplus fund Undivided profits. Total . 1,151,952.45 First National Bank, Suffolk. THOMAS W. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 4047. $76,800. 74 J s o . F . STKWART, Cashier. Capital stock paid in . $49,400. 00 Surplus fund Undivided profits. 3,890.17 2,041. 08 541. 99 1,411. 56 2,171. 70 875.00 171.13 30.00 4.82 1, 821.85 880. 00 1, 830.49 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 39,130. 92 2, 091.13 562. 50 103,102. 54 Total 103, 702.54 Shenandoah Valley National Bank, Winchester. H. S. SLAGLE, President Loans and discounts Overdrafts U. S. bonds to secure circulation. . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 1635. J N O . W. RICE, Cashier. $375, 518.20 Capital stock paid in. 4,339. 31 25, 000. 00 Surplus fund Undivided profits. 600.00 2, 900.00 National-bank notes outstanding.. 29, 364. 50 State-bank notes outstanding 12, 830.42 11,714.18 Dividends unpaid 17,00)0.00 1,110. 00 Individual deposits 2,351.22 United States deposits 5,153. 00 Deposits of U.S. disbursing officers 2, 646.28 Due to other national banks 700.00 Due to State banks and bankers... 33.48 40,100.00 Notes and bills re-discounted . 12, 000.00 Bills payable $100,000.00 70, OoO. 00 19,975.91 22, 500. 00 1,272.00 317,171.14 12, 669. 32 897. 22 1,125. 00 544, 485. 59 Total. 544,485.59 REPORT OF THE COMPTROLLER OF THE CURRENCY. 479 WEST VIRGINIA. Charleston National Bank, Charleston. No. 3236. L. PitiCHARD, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total. E. A. REID, Cashier, Liabilities. Capital stock paid in. Surplus fund $385,099.06 i8,"750.66 Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 22,880.40 16,135. 76 12, 020. 89 20,155. 77 $75, 000. 00 12, 000. 00 11, 789.16 16, 875.0ft Dividends unpaid Individual deposits 2,186.79 United States deposits 3, 500. 00 Deposits of U. S. disbursing officers. 1, 588.03 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 6, 000.00 141. 44 20, 840. 00 17, 946. 00 390,152. 53 4, 260. 97 2, 758. 96 15, 251. 27 843. 75 528, 087. 89 528,087.89 Total. First National Bank of Jefferson, Charlestown. HENRY O. TALBOTT, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1868. $87,775.98 Capital stock paid in. 10.68 12, 500.00 Surplus fund SAM'L HOWELL, Cashier. $50,000.00 Undivided profits . 24, 600. 00 National-bank notes outstanding.. 2, 050. 54 State-bank notes outstanding 316.14 400. 73 400.00 1, 010. 25 911.16 2, 473. 00 20.20 11,164.80 4, 740. 00 Dividends unpaid 20,000.00 5, 201.80 11, 250. 00 10.00 Individual deposits United States deposits | Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 56, 945. 03 5, 275. 08 254 07 562. 50 148,935.98 ! Total. 148, 935. 98 1 Merchants National Bank of West Virginia, Clarksburgh. NATHAN GOFP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total.. No. 1530. L. HAYMOXD, Cashier. . 19.11 102.65 25, 000.00 Capital stock paid in. Surplus fund Undivided profits 14, 200.00 National-bank notes outstanding.. 50, 842. 20 State-bank notes outstanding 28,027.23 142. 80 6, 289.97 Dividends unpaid . Individual deposits 1, 090. 67 United States deposits 6, 664. 06 Deposits of U.S. disbursing officers. 2, 651.20 Due to other national banks 8,242.00 89.23 Du6 to State banks and bankers .. 10, 806. 25 Notes and bills re-discounted. 33,124.00 1,125. 00 802.58 376,188. 95 $100,000.00 26,614.15 2,762. 21 16, 670. 00 1, 814. 00 218, 959. 55 3, 937. 96 5, 431.08 Bills payable Total. 376,188.95 480 REPORT OF THE COMPTROLLER OF THE CURRENCY. W E S T YIUOIIYIA. First National Bank, Fairmont. No. 961. HARRY FLEMING, President. J. E. SANDS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts 17. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from otber national banks Duo from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on 17. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional curreuoy, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer 17. S Total . $224,187.32 2,130. 00 40, 000. 00 100.00 37, 793. 49 44, 007. 03 539.12 23, 386.37 1,188.98 3,200.00 1, 302.62 3,914.00 331.00 16, 978.28 21,000.00 Capital stock paid in., $100, 000.00 Surplus fund Undivided profits- 21,000.00 19, 039.67 National-bank notes outstanding.. State-bank notes outstanding.._ 36, 000.00 Dividends unpaid.. 3, 022. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers 222, 657. 45 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . 8, 459.44 11,119. 65 Bills payable 1,240.00 421, 298. 21 421,298.21 Total. First National Bank, Graft on. THOMAS E. DAVIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. Donds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2445. $275, 094.17 797. 77 85, 000. 00 29,0W. 65 63, 713. 04 13, 017.15 9, 670.00 F . M. DURBIN, Cashier. Capital stock paid in. $85, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding State-bank notes outstanding Dividends unpaid Individual deposits 1,918.48 United States deposits 2,000.00 Deposits of U.S. disbursing oflicers 902. 00 Due to other national banks 12, 812.00 Due to State banks and bankers . 154.99 11,153.45 Notes and bills re-discounted. 7,005. 00 Bills payable 31,000.00 20,115. 73 75, 540. 00 301, 357. 79 664.92 2,405.26 3, 825. 00 516,083. 70 Total. 516, 083.70 First National Bank, Huntington. J . L. CALDWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, btc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate ana mortg's owned Current expenses and taxes paid... Premiums on U. S. bonas Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3106. $301, 714.14 431.62 M. C. DIMMICK, Cashier. Capital stock paid in. $100, 000. 00 25,000.00 Surplus fund Undivided profits. 20, 000. 00 9, 302.15 914.20 47, 886. 57 6, 432.14 1,900.83 4, 800.00 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 1,684.09 1, 300.00 136. 60 9,062.00 29.98 9, 984. 50 11,000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing oflicers. 268, 990. 53 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1, 930. 09 678.90 1,125.00 423,401.67 Total. 423, 401. 67 REPORT OF THE COMPTROLLER OF THE CURRENCY. 481 WEST VIRGINIA. National Bank, Martinsburgh. No. 1524. WILLIAM T. STEWART, President. Eesources. Loans and discounts .. Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc.. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,iurniture,andtixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks..; Fractional currency, nickels, centsSpecie Legal-tender notes U. 8. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $205, 588.73 333.86 25, 000.00 4, 500. 00 15, 327.98 5, 7(38. 59 3,197.51 12, 001). 00 895. 84 6, 637. 32 3,170.00 120. 81 18, 470. 00 19,000. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $100, 000. 00 24,273. 76 3, 092.12 20,160. 00 160, 636. 59 6, 259.89 713.28 1,125.00 Total. 321,135.64 Total.. GEO. S. HILL, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding . . . . 321,135.64 People's National Bank, Martinsburgh. A. G. THOMAS, President No. 2144. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Stocks, secarities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture,andnxtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $201, 1, U, 75, 878.87 907. 78 750. 00 000. 00 10,200.00 46, 806.77 4, 315. 23 391. 26 18,500.00 1, 725. 00 572.95 5, 000.00 74J.92 9, 579. 00 122.60 6,212. 60 12, 500.00 JNO. B. WILSON, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-banknotes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disburaing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable $55, 000. 00 11,000.00 14, 290. 09 11, 250. 00 232,147.96 82,500. 00 3, 267.80 197. 03 618. 50 Total . 409, 822.48 409, 822. 48 South Branch Valley National Bank, Moorefield. GARRETT CUNNINGHAM, President Loans and discounts * Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve^agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,'and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. IS. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. EL. Ex, 3 31 No. 3029. $120, 240.71 71.34 15, 000. 00 33, 600.09 17, 758.40 277.18 5, 701. 40 661.19 2,450. 00 5.00 102.40 7,915.85 1, 316. 00 J . W M . GILKESON, Cashier. Capital stock paid in. Surplus fund Surplus fund. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $55, 000. 00 7, 000. 00 2, 433.23 13, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 111, 124.8 3, 751. 75 12, 965. 00 675.00 .25 205, 774.87 Total. 205,774.87 482 REPORT OF THE COMPTROLLER OF THE CURRENCY. WEST VIRGINIA. Second National Bank, Morgantown. E. SHI8LER, President. No. 2458. JOHN H. HOFFMAN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks . . . Due from State banks and bankers f 13ank'g-house,furniture,andlixtures! Other real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund witji Treas. U. S . Due from Treasurer IT. S $141,683.83 3,331.00 20,000.00 1, 500.00 3, 401. 98 9,021.22 3,005.04 6,174. 02 4,565.81 771.67 1, 400.00 1,116.19 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 6,400.0) 3,318.79 38,000. (;0 225. 00 Individual deposits United States deposits Depositaof U.S.disbursingofficers.l 104, 605. 38 Due to other national banks 50.0 J Due to State banks and bunkers.. 26.00 3,757.45 Notes and bills re-discounted. 12, 355. 00 ; Billspayable 74.53 436.11 900.00 211,059.81 i Total. $80, 000. 00 Capital stock paid in. Total. 211,059.81 First National Bank, Parkersburgh. No. 180. iT. N . CAMDEN, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Duo from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixturos Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie : Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. R. J. MCCANDLISH, Cashier. $292,649. 36 Capital stock paid in. 1,243.57 50, 000. 00 Surplus fund Undivided profits 13, 890.12 36,104. 21 6, 673. 89 18,914.12 2, 691. 65 2, 750. 00 2, 005. 70 3,145.00 121.53 20, 564. 00 12,114. 00 $150, 000. 00 , 46,500.00 8,991.84 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of CJ. S.disbursing officers. 199,939.13 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 14, 397. 85 2S8.33 2, 250.00 465,117.15 Total. 465,117.15 Second National Bank, Parkersburgh. JAMES W. DILS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks . . . . Due from State banks and bankers Bank'g-house, furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie... Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total. No. 864. $298, 216. 63 4, 087. 82 50,000.00 22, 500. 00 4,787.71 12, 029. 66 9, 917.26 14, 000.00 11,126.09 3,635.02 2, 000. 00 204. 38 W. H. WOLFE, Cashier. Capital stock paid in. $156, 000. 00 Surplus fund Undivided profits. 35, 000. 00 14,178. 00 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . 193, 780.10 8, 437. 75 3,544.57 13, 027. 85 Notes and bills re-discounted . 10,158. 00 Bills payable 2, 250.00 455,940.42 Total. 455,940.42 KEFORT OF THE COMPTROLLER OF THE CURRENCY. 483 WEST VIRGINIA. Citizens' National Bank, Parkersburgh. J. B. JACKSON, President. No. 2649. Resources. L'».aus and discounts Overdrafts U. S. bonds to secure circulation. .. I J. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-liouse,fnrniture,andtixtuies Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. 8. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C. H. SHATTUCK, Cashier. Liabilities. $292, 799. 78 3, 248.8G 30,000. 00 SI, 436.11 12, 795. 35 3, 155. 09 2, (j.;5. 51 " VJ46.'()2 J, 102.40 77. (JO 1,665.00 127. 40 18 386.47 17, 749. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursingofucers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable (. $100, 000.00 26, 000. 00 7,151. 59 27, 000. 00 251,842.28 5, 295. 78 1, 564. 34 1, 350.00 418, 853. 99 Total . 418, 853.99 Parkersburg National Bank, Parkersburgh. H. H. Moss, Cashier. No. 1427. H. LOGAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-bouso, furniture, an (Mixtures Other real estate and niortg's owned Current expenses and taxes paid . Premiums on U. S. bonds Checks and other casli items Exchanges for clearing-house Bills of other national banks .Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total $336, 358. 22 195. 37 100, 000.00 ""16," 000. 00 3.", 349. 33 24,576.68 2, 622.43 24,8:33.80 * ' 27666." 97 "i," 748." 97 1,855.00 96. 00 20, 649.98 23, 050. 00 Capital stock paid in $150, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. I Due to other national banks Duo to State banks and bankers .. Notes and bills re-discounted . Bills payable 85, 000.00 8,301.91 90, 000. 00 239,194. 34 12,072.12 3, 294. 38 4, 500. 00 20. 00 587, 862.75 587, 862. 75 Total . First National Bank, Piedmont. JACOB S. JA.MESSOX, President. Loans and discounts Overdrafts 17. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furnituro,andnxtures Other real estate and mortg's owned Current expenses and taxes paid. .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house. Bills of other national banks - Fractional currency, nickels, cents Specie • Legal-tender notes U. S. certificates of deposi t Redemption fund with Treas U. S Due from Treasurer U. S Total. No. 3629. $135, 822. 00 15,000.00 24,934.81 33, 239. 87 2, 443.12 5,693. 68 754. 09 299. 72 5,740.00 63.35 7, 904. 20 10,612.00 P. D. JAMESSON, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable $50, 000. 00 9, 500. 00 6, 448. 90 13, 500.00 159,095.72 2,387.15 2,255. 07 675,00 243,186. 84 Total . 243,186. 84 484 REPORT OF THE COMPTROLLER OF THE CURRENCY. WEST VIRGINIA. Davis National Bank, Piedmont. H. G. DAVIS, President. U. B. MCCANDLISH, Cashier. No. 4088. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $92,796.10 374.20 15,000.00 98,318.75 43, 374.43 7,174. 76 856. 28 160.00 6, 347. 00 221. 37 6,878. 50 7,500.00 Liabilities. Capital stock paid in. $50,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 1, 514.93 13, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 158,331.21 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 8, 302. 41 48,027. 84 675.00 Total. 279,676.39 279,676. 39 Merchants' National Bank of "West Virginia, Point Pleasant. J. MCCULLOCH, JR., President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-honse, furniture, andflxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 1504. $113,358.38 Capital stock paid in 303.11 50,000.00 Surplus fund 24,747.01 5,146.16 72.47 7, 000.00 9, 704.34 932.88 489.11 555.00 84.04 14,695.00 6,511.00 Undivided profits National-bank notes outstanding. State-bank notes outstanding . . . . Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable. 10, 000. 00 5, 118. 59 45, 000. 00 39.00 122, 893. 53 561.91 2, 235.47 2, 250.00 235,848. 50 Total. T. STRIBLING, Cashier, Total . 235,848.50 Wellsburg National Bank, Wellsburgh. JOHN C. PALMER, President. No. 1884. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . . . Duo from State banks and bankers. Bank'g-house, furniture, andflxtures Other real estate and mortg's owned Current expenses and taxes p a i d — Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. T3. certificates of deposit Redemption fund with Treas, U. S . Due from Treasurer U. S Total. *| • $123,918.65 E. W. PAXTON, Cashier. Capital stock paid in ""25," 000* 66" Surplus fund Undi v ided profits . . 1,200.00 National-bank notes outstanding.. 35,541.29 State-bank notes outstanding $100,000.00 20,708. 55 5,044.72 22, 500. 00 Dividends unpaid. 4, 900. 00 761.00 1, 500.00 288.70 13, 030.00 36.75 786.65 4,523.00 Individual deposits Unitetl States deposits Deposits of U. S. disbursing officers. 60, 023.64 Due to other national banks Due to State banks and bankers... Notes and bills re-disconnted. Bills payable 619.33 3,714. 80 1,125.00 212,611.04 Total . 212,611.04 REPORT OF THE COMPTROLLER OF THE CURRENCY 485 WEST VIRGINIA. National Exchange Bank, Weston. No. 1607. A. H. KUNST, President. Kesources. Loan s and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits . . U. S. bonds on hand Stocks, securities, judgments, e t c Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate audmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $126,033.80 653.34 25,000.00 22, 800.00 22,372.14 23,316.71 Capital stock paid in $100,000.00 Surplus fund Undivided profits National-banknotes outstanding. State-bank notes outstanding. . . 26,000. 00 2,505.61 22, 500. 00 Dividends unpaid 6, 875. 69 Individual deposits 1,23?. 25 United States deposits 2, 500. 00 Depositsof U. S. disbursing officers 85,378.03 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 681,09 4, 024.03 180. 00 15.83 8, 677.00 307.00 1,125.00 241,088.76 Total. D. M. BAILEY, Cashier. 241, 088. 76 Total.. National Bank of West Virginia, Wheeling. EARL "W. OGLEBAY, President. Loans and discounts Overdrafts „ U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c Due from approved reserve agents 1 me from other national banks Due from State banks and bankersBank'g-house,furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1424. $621,034.09 152.79 50,000. 00 13, 500.00 37,018.46 22, 748. 00 25,712.66 24, 000.00 JOHN WAGNER, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding..'. - Dividends unpaid. Individual deposits 2, 376. 94 United States deposits Depositsof U. S. disbursing officers. Due to other national banks 1,110. 00 Due to State banks and bankers .. 103.83 42, 492.10 Notes and bills re-discounted . 42,906.00 Bills payable $200, 000.00 40, 000. 00 16,352.79 45, 000. 00 16, 868. 00 465, 318.73 89,818.60 13,176. 35 2,250.00 886,534.47 Total. 886,534.47 48(5 REPORT1 OF THE COMPTROLLER OF THE CURRENCY. NORTH CAROLINA. First National Bank, Asheville. No. 3418. WILLIAM E. BKKESE, President WM. H. PENLAND, Cashier. Resources. Liabilities. Loans and discounts (.) verdrafts U. S. bonds to secure circulation... V. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Die i'rom other national banks JJ.'io from State banks and bankers. l>auk'g-house, furniture,and fixtures () her real estate and mortg's owned C irrent expenses and taxes paid... 1* omiumson U.S. bonds C hecks and other cash items Exchanges for clearing-house 11.11s of other national banks Vractionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. Kedeinption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $195, 839.44 1, 810. 00 25, 000.00 50,000.00 15,105. 00 1,18J.84 4, 672.93 15, 744. 06 . 15,000.01) 2, 257. 71) 13, 000,00 2,100. 00 76.87 700. 00 19,110.00 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits . 16, 000. 00 4, (J10. 02 National-bank notes outstanding.. State-bank notes outstanding . . . . 21, 040. 00 Dividends unpaid • Individual deposits United States deposits Deposits of U. S. disbursing officers. 137, 837. 32 55, 000. 00 Due to other national banks Due to State banks and bankers... 11, 001. 81 18, 602. 78 Notes and bills re-discounted. Bills payable 1,125.00 1, 370. 00 Total . 364, 091.93 364, 091.93 National Bank, Asheville. No. 4094. D. C. WADDELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits I U. S. bonds on hand , Stocks, securities, judgments, etc..! Due from approved reserve agents. Due from other national banks Due from State banks and bankers ! Bank'g-house, furniture, andtixtures' Other real estato and raortg's owned1 C urrent expenses and taxes paid... | Premiums on U. S. bonds O hecks and other cash items ' Exchanges for clearing-house Bills of other national banks i Fractional currency, nickels, cents I Specie [ Legal-tender notes I U. S. certificates of deposit i liedemption fund with Treas. U. S Due from Treasurer U. S Total. LAWRENCE PULLIAM, Cashier. $150, 000. 00 $254,449.01 ! Capital stock p^id i n . 9,733.90 37, 500.00 50, 575. 00 8, 232. 50 2, 086. 82 12, 832. 98 4, 388. 00 2, 833. 94 10,421.88 270. 37 Surplus fund Undivided profits. National-bank notes outstanding-. State-bank notes outstanding 533. 39 6, 074. 96 25,050.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks 26, 325.00 Due to State banks and bankers .. 240.36 12,454.00 Notes and bills re-discounted 5, 034. 00 Bills payable Total 437, 977. 76 185, 689. 69 8, 781. 73 1,996.69 34, 851. 30 25, 000. 00 437, 977. 76 First National Bank, Charlotte. E . M. OATES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agentsDue from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie .' Legal-tender notes U. S. certificates of deposit Redemption fund witli Treas. IT. S. Due from Treasurer U. S Total. No. 1547. M. P. PEGRAM, Cashier. $558,388.67 Capital stock paid in 14,710.87 I 50,000.00 I Surplus fund Undivided profits 122,181. 01 16, 350. 39 4, 911.18 23,129.47 13, 788.25 3, 582.40 14, 812. 50 1, 269.56 10, 543. 00 112. 79 54, 200.00 20, 000. 00 National-bank notes outstanding.. State-bank notes outstanding $300, 000.00 100, 000. 00 52, 982. 88 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 352,900. 14 Due to other national banks Due to State banks and bankers .. 1, 800. 69 7, 456. 38 Notes and bills re-discounted . Bills payable 50, 000. 00 2, 250.00 910, 230. 09 Total . 910, 230. 09 REPORT OF THE COMPTROLLER OF THE CURRENCY, 487 NORTH CAROLINA. Commercial National Bank, Charlotte. J. S. SPENCER, President N o . 2135. A. Gr. BRENIZER, Cashier. Resources. Loans and discounts 0 verdraf ts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $500, 067.61 3, 554. 73 50,000. 00 50, 000. 00 7, 762.13 7, 621.45 8,348.61 800.00 2, 654. 05 2, 711. 84 14,054. 29 3J,076.00 220.00 Capital stock paid in : $175, 000. 00 Surplus fund Undivided profits 50,000.00 44,350. 90 National-bank notes outstanding-. State-bank notes outstanding 45, 000. C O 40.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 262,157. 97 27,610.50 27, 389. 50 Due to other national banks Due to State banks and bankers . . 23,212.30 2, 866. 79 26,157. 25 Notes and bills re-discounted 10,000. 00 Bills payable 60, 000. 00 2, 250. 00 350. 00 Total 717,027. 96 717, 627. 96 Merchants and Farmers' National Bank, Charlotte. JOHN H. HCADEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents . Duo from other national banks Due from State banks and bankers . Bank'g-house, furnit. ur e, an dfixtures \ Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 1781. 21, 642.83 24, 423.12 4, 322.83 5, 000. 00 668.00 901. 51 734. 72 8, 722. 00 130.11 2, 514. 00 20, 000. 00 $200,000. 00 , 50,000.00 53,891. 57 National-bank notes outstanding. State-bank notes outstanding 90,000.00 Dividends unpaid. 308. 00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 234,828.21 Due to other national banks Due to State banks aud bankers . Notes and bills re-discounted Bills payable 27, 959.4i 1, 371.62 66,758. 56 4, 500.00 725,117.40 Total . J . R. HOLLAND, Cashier. $530,022.23 || Capital stock paid in. 1,536.05 100,000.00 Surplus fund Undivided profits Total. 725,117. 40 Concord National Bank, Concord. J. M. ODELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . D. B. COLTRANE, Cashier. No. 3903. $88, 210. 93 Capital stock paid in. $50, 000. 00 519. 83 12, 500. 00 Surplus fund 1,500.00 1, 948. 49 Undivided profits. 3, 025.44 5,359.42 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 5, 520.00 863.43 800.00 1,780.00 9.67 3, 775.15 500.00 11, 250.00 116. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers 41, 837.87 Due to other national banks Due to State banks and bankers.. 1,125.79 1,148. 22 Notes and bills re-discounted Bills payable 14, 500. 00 562.50 123,426.37 Total. 123,426.37 488 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH CAROLINA. First National Bank, Durham. No. 3811. J. S. CARR, President L E O D. HEARTT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Duo from State banks and bankers liank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $227,353.14 283.63 25,000.00 12,366.74 685. 90 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 727. 61 11,410.81 22, 500. 00 Dividends unpaid. 4,007.70 Individual deposits United States deposits Deposits of U. S. disbursing officers 84, 228.74 Due to other national banks 420.00 Due to State banks and bankers .. 12.15 1, 350. 80 Notes and bills re-discounted 5,000.00 Bills payable 11, 240. 35 4, 038. 48 2.045. 54 6,500.00 495. 39 52, 500. 00 1,125.00 286,645.99 Total. 286,645.99 People's National Bank, Fayetteville. ELIJAH F. MOORE, President. No. 2003. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Dae from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate«and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes U. S. certificates of deposit Redemption fand with Treas. U. S Due from Treasurer U. S Total. $231, 287.05 5, 266. 00 32,000.00 G. P . MCNEILL, Cashier. Capital stock paid in. Surplus fund Undivided profits 136.00 National-bank notes outstanding. 4,140. 54 State-bank notes outstanding 11, 765. 36 Dividends unpaid . 6, 886. 79 Individual deposits 833. 55 United States deposits 2,150.00 Deposits of U.S. disbursing officers 24.86 Due to other national banks Due to State banks and bankers .. 150. 88 635.00 Notes and bills re-discounted 3,429.00 Bills payable $125, 000.00 32, 000.00 4,145. 76 28, 800.00 74.00 63, 929. 82 7, 220. 64 37,944. 81 410.00 299,115.03 Total. 299,115.03 National Bank, Greensborough. JULIUS A. GRAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, -judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned C urrent expenses and taxes paid . . Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national l)anka Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N E I L ELLINGTON, Cashier. No. 2322. $214, 544. 36 Capital stock paid in. $100,000.00 1,151.41 100,000.00 Surplus fund 43, 000.00 12,764.81 Undivided profits 75,225. 00 National-bank notes outstanding. 88, 000. 00 8,247.84 State-bank notes outstanding 9f 658.40 3, 897. 80 Dividends unpaid. 35,635.66 500. 00 Individual deposits 231, 648.69 3,063.70 United States deposits Deposits of U.S.diflbursing officers. 431. 34 Due to other national banks 3,461.16 275.00 Due to State banks and bankers . . 4, 017.79 1.20 18,931.74 Notes and bills re-discounted 8, 000. 00 14,829.00 Bills payable 4, 500.00 490,892.45 Total. 490,892.45 HEi'ORT OF THE COMPTROLLER OF THE CURRENCY. 489 NORTH CAROLINA. National Bank, High Point. WYATT J. ARMFIELD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers Bauk'g-house,furnitur6,and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Du.e from Treasurer U. S Total. E. M. ARMFIELD, Cashier. No. 3490. Resources. $68, 936.61 508. 07 12, 500. 00 4, 389. 34 11, 507.19 655.00 745. 82 500. 0.J 112.00 560. 00 15.76 3, 328. 95 5, 408. 00 Liabilities. Capital stock paid in. Surplus fund Undivided profits National-banknotes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. Dae to other national banks Due to State banks and bankers.. Notes and bills re-disco anted . Bills payable $50, 000.00 2, 750. 00 3,116.65 11, 250. 00 39,727.77 2, 496. 75 388.07 562. 50 109, 729. 24 109, 729. 24 Total . National Bank, New Berne. JAMES A. BRYAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Gr. H. ROBERTS, Cashier. No. 1632. $100,000.00 Capital stock paid in. 70,000. 00 Surplus fund 16,325.86 Undivided profits . 51,019.90 National-bank notes outstanding22, 500. 00 1, 930. 88 State-bank notes outstanding $259, 328.37 1,448.94 25, 000. 00 9, 775.49 10, 925.18 15, 000.00 699. 00 2, 208.10 844. 97 6, 700.00 890.77 31,682.00 16,327.00 Dividends unpaid 325. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 201, 564.41 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 23, 832.09 358. 24 1,125.00 434, 905.60 Total . 434, 905. 60 Citizens' National Bank, Raleigh. WILLIAM E. ANDERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. Jos. G. BROWN, Cashier. No. 1766. $324,609.66 7,540.27 25,000.00 16,036. 83 73,088.08 17,450. 25 11,353.29 28, 500. 00 11,600.00 2,931.45 5, 000. 00 39, 582.38 9, 855.00 6.19 10, 550. 95 29,575.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $100,000.00 20,000.00 9,053.35 22, 500.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 460,778.96 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 95.93 1,376.11 1,125.00 613,804.35 Total. 613,804.35 490 REPORT OF THE COMPTROLLER OF THE CURRENCY. NORTH CAROLINA. National Bank, Raleigh. N o . 3389. EDWIN G. READE, President. CHAS. H. BELVIN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate ami mortg's owned Current exjjenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. !S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $352, 925.34 8, 350.42 50, 000. 00 CO, 693.17 15,009.08 0, 065. 25 20, 000.00 2, 040.69 14, 500.00 10, 432.93 3,901). 00 774. 91 17,250.00 50,000. 00 $225, 000.00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 1C, 500. 00 35, 523.35 5, 800. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 336,14G. 52 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 893. 86 2,199. 81 2,250. 00 605. 75 622, 003.54 Total . 622, 063. 54 First National Bank, Salisbury. No. 2981. R. J. HOLMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Duo from approved reserve agents j Due from other national banks Due from State banks and bankers j Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... I Premiums on U. S. bonds , Checks and other cash items ; ; Exchanges for clearing-house Bills of other national banks : Fractional currency, nickels, cents.; Specie j Logal-tender notes ' U. S. certificates of deposit Redemption fund with Treas. U. S Dae from Treasurer U. S Total. I. H. FOIJBT, Cashier. $166, 784.07 1,618.92 12, 500.00 $50, 000.00 Capital stock paid in. Surplus fund Undivided profits 2, 310. 00 National-bank notes outstanding . 9, 270. 82 State-bank notes outstanding 4, 575.98 957. 92 1,120. 00 22, 000. 00 1, 452. 84 ' 11, 250.00 Dividends unpaid 60.00 Individual denosits 120, 010. 22 United States'deposits Deposits of U.S. disbursing officers Due to other national banks 3, 205.00 Due to State banks and bankers .. 210.17 5, 885.25 Notes and bills re-discounted 5, 000. 00 Bills payable 3, 125. 00 853.40 2, 947. 40 1, 258. 57 9, 000. 00 562.50 Total . 217, 979. C 217, 979.03 First National Bank, Statesville. GEORGE F. SHEPHERD, President. Loans and discounts Overdrafts i U. S. bonds to secure circulation ...: U. S.' bonds to secure doposits ... U. S. bonds on hand i Stocks, securities, judgments, etc..' Due from approved reserve agents. | Due from other national banks j Due from State banks and bankers.; Bank'£-house,furniture,and fixtures* Other real estate and mortg's owned ... Current expenses and taxes paid .. j Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. GEO. H. BEOWN, Cashier. No. 3682. \ $90, 415. 42 1 Capital stock paid in 193. 63 12, 500. 00 ! Surplus fund j Undivided profits I $50, 000.00 ! j 1,100.00 2,104.24 8,000. 00 National-bank notes outstanding.. ! 6,635.57 State-bank notes outstanding.. 41.13 2, 282. 32 ,' Dividends unpaid 571. 00 392. 69 3, 500. 00 115.50 982.00 85. 50 8,159.50 9, 000. 00 Individual deposits United States deposits , Depositsof U.S.disbursing officers-I Due to other national banks | Due to State banks and bankers.. j Notes and bills re-discounted Bills xjayable 11, 250.00 72,511.21 916. 97 54.54 5,500.00 562.50 ! 143, 436. 96 Total. 143,436.96 KKI'OttT OF THE COMPTROLLER Or' Till: CURRENCY. O 491 T M € A K O I* I N I First National Bank, Wilmington. x, President. H. M. BOWDEX, Cashier. N o . 10 ">6. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents Duo from other national banks Due from State banks and bankers. Bank'g-houso, furniture, and fl xtures Other real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ' Legal-tender notes X . S. certificates of deposit T Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. $250, 000. 00 Capital stock paid in $733, 705. 29 10, 048. 22 50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 23, 225. 52 32, r>!):>. 77 19,081. 62 2, 825. 9G 4, 85S. 31 5i,(i72.(i7 2. 893. 72 4,000.00 14, 570. 02 26,231.88 44, 090. 00 Dividends unpaid 2,198. 50 Individual deposits United States deposits Deposits of U. S. disbursing oiheers Duo to other national banks Due to State banks and bankers .. 10,547.00 170. 26 10, l;')0. 00 li), 200. 00 436,225.21 8,859. 01 5, 979. 25 Notes and bills re-discounted Bills payable 199, 973.57 !, 000.10 Total. 083, 034, 34 19, 034.34 First National Bank, Wilson. No. 2321. FRANK W, BARNES, President Loans and discounts Overdrafts U. S. bond's to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers j lank'g-house,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit .Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $101,425.08 1,432. 21 12. 750. 00 3, 934. 00 V 100.80 0,132.27 "I," 611." 25 0, G75. 00 444.24 14,153.26 8, 800. 00 JOHN ITUTCHINSON, Cashier. ! Capital stock paid in $51, 000.00 i Surplus fund Undivided profits 22, 830.00 10,100.35 National-bank notes outstanding.. State-bank notes outstanding 11, 475. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 85, 292. 91 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 11,263.23 " 45,666.66 573.75 Total. 236. 9G1.49 ~236.961.49 First National Bank, "Winston. JOSEPH A. BITTING, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-bouse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2319. $310,077.59 8, 850.10 54, 000.00 17, 770. 33 15, 560.00 2,100. 84 1,112.00 1,986.63 4, 404. 75 13,371.89 1,775.80 000.00 97.47 4, 000. 00 20, 000.00 J. W. ALSPAUGII, Cashier. Capita! stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding-... $100, 000. 00 55, 000.00 13,780.44 48, 600. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 226,439. 87 Due to other national banks Due to State banks and bankers... 1,284.16 5, 568. 53 Notes and bills re-discounted Bills payable 7, 000.00 1, 590.00 457, 673.00 Total. 457,673.00 492 REPORT OF THE COMPTROLLER OF THE CURRENCY. N O R T H CAROLI1VA. Wachovia National Bank, Winston. "WILLIAM A. LEMLY, President. J A S . A . GRAY, No. 2425. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-hou8e,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Cashier. Liabilities. Resources. $549. 495.10 774.18 50,000.00 25, 597. 07 24, 552. 90 2,125. 22 2,100.00 3, 560.48 2,000.00 7,173.81 5,200.00 114.14 28,400.00 6,000. 00 Capital stock paid in. $150, 000.00 Surplus fund Undivided profits . 75, 000.00 41,137. 83 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 371, 700. 25 Due to other national banks Due to State banks and bankers .. 8,678.36 10,826.46 Notes and bills re-discounted Bills payable 7,000.00 2,250.00 709,342.90 Total. 709,342.90 REPORT OF THE COMPTROLLER OF THE CURRENCY. 4 9 3 SOUTH CAROLINA. National Bank, Abbeville. No. 3421. J. ALLEN SMITH, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. BBNJ. S. BARN WELL, Cashier. Liabilities. $144,352.95 Capital stock paid in. IS, 750. 65 Surplus fund Undivided profits 750.00 National-bank notes outstanding. State-bank notes outstanding 1, 9,iO. 17 5G7. 81 7, 500.00 691.00 3, 750.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 530.00 103.39 1, 975.60 1,603.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $75,000.00 6, 000.00 5,987.09 16,875.00 21,023.45 2,471.13 56,000.00 843. 75 183,356.67 Total. 183,356. 67 National Bank, Anderson. JOSEPH N. BBOWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned C urrent expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie .' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. J. A. BROCK, Cashier* No. 2072. $50, 000.00 Capital stock paid in. 50, 000.00 Surplus fund 105,345.68 Undivided profits 6, 300.00 National-bank notes outstanding. 11,250.00 30, 987.41 State-bank notes outstanding $423,183.67 691.44 12,500.00 Dividends unpaid. Individual deposits "i," 859." 26 United States deposits Deposits of U. S. disbursing officers Due to other national banks 11,914.00 Due to State banks and bankers .. 19.20 3, 878. 35 Notes and bills re-discounted 40, (585.00 Bills payable 8, 000.00 102.00' 281,198. 83 12,714. 32 30,000.00 562.50 540, 610. 83 Total. 540,610.83 First National Bank, Charleston. A. SIMONDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items | Bxchanges for clearing-house ! Bills of other national banks I Fractional currency, nickels, cents . j Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total.. JOHN C. SIMONDS, Cashier. No. 1622. $900, 499.52 Capital stock paid in. $200,000.00 2,352.03 50, 000.00 Surplus fund 200,000. 00 300,000.00 Undivided profits 172, 865.93 297, 286.30 41,272.46 08. 069.33 13,6G6.91 10,000.00 6, 555. 84 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks 2, 995. 00 Due to State banks and bankers .. 87.97 8, 300.00 Notes and bills re-discounted . 9»>, 105. 00 Bills payable 43, 640. 00 1, 259. 00 369,615.05 330, 567.18 127,186. 38 82, 276.82 275,000. 00 , 250.00 1, 802,440.36 Total. 1,802,440.36 494 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH CAROLINA. Bank of Charleston National Banking Association, Charleston. 2sTo. 2014. RUDOLPH SWGLUSG, President. Resources. M. W . W I L S O N , Cashier. " || Liabilities. I Capital stock paid in | $.00,000.00 Loans and discounts | $ 1, 208,970. 5S Overdrafts... \ 4,724.83 , Surplus fund j 80, 000. 00 IT. S. bonds to securo circulation... 50,000.0J | Undivided profits. I 75,250.51 IT. S. bonds to securo deposits U. S. bonds on hand I i 45, 000. 00 Stocks, securities, judgments, etc - 11, 891. 45 ji National-bank notes outstanding.. I Duo from approved reserve agents. 10, sou. OG j State-bank notes outstanding . . 1.. Duo from other national banks I 20, 812.37 j Dividends unpaid 7, 131.00 Due from State banks and bankers | 89,491. 71 j Bank'g-house,furniturc,andiixtureK' 15, 000. 00 , Individual deposits 715, 387. 74 Other real estate and inortg's owned 1,735.58 |! Current expenses and.taxes paid.. (5, 926 27 jl United States deposits Premiums on U. S. bonds il Deposits of U.S. disbursing officers. Checks and other cash items Due to other national banks | 117,720.86 Exchanges for clearing-house Bills of other national banks I 2,141.00 Due to State banks and bankers . I Fractional currency, nickels, cents ' 77. 31 304,151.05 Specie I 34, 772.00 Notes and bills re-discounted . . . . ! Legal-tender notes 70, 000.00 Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250.00 Due from Treasurer U. S 1,544,641.16 Total 1,544,641.16 Total . Peoples' National Bank, Charleston. C H A R L E S O. W I T T E , President. No. 1G21. Loans and discounts I Overdrafts I U. S. bonds to secure circulation . U. S. bonds to secure deposits ; IT. S. bonds on hand Stocks, securities, judgments, etc .. I Due from approved reserve agents ' Due from other national banks . . . Due from State banks and bankers i Bank'g-house,furniture,and fixtures^ Other real estate and mortg's ovyned Current expenses and taxes paid...' Premiums on U.S. bonds I Checks and other cash items j Exchanges for clearing-house ! Bills of other national banks I Fractional currency, nickels, cents I Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total.. E. II. SPARKMAX, Capital stock paid in $865,152. 38 1,524.29 50, (i00. 00 100, 000. 00 Surplus fund Undivided profits 250, 000. 00 76. 470. 39 National-bank notes outstanding.. State-bank notes outstanding 84,150.00 3,5(56.61 44, HI 1.73 12,571.0(3 12, 000. 00 Cashier. $250, 000. 00 45, 000. 00 Dividends unpaid Individual deposits TJnited States deposits Deposits of U.S. disbursing officers 400, 635. 20 64, 278. 88 44, 281. 86 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Billspayable 6, O'.JG. 13 27, 800. 97 116, 240.44 959.57 ij 1,355.00 507. 22 26, 959. 75 62, 810. 00 2, 250.00 1, 274, 713.74 Total . 1, 274, 713. 74 National Bank, Chester. JOHN J . MCLURE, President. Loans and discounts Overdrafts U. S. bonds to securo circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S . Due from Treasurer IT. S Total J o n x L. IIARKIS, Cashier. No. 1804. $223, 788. 26 ' 4, 960.20 j 37, 500.00 ; 340. 00 091. 50 102.73 118.04 7, 897. 05 28, 733. 34 1, 668.63 Capital stock paid in. Surplus tuna Surplus fund. Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid ! $150, Oi 0.00 30, 000. 00 19,937.42 32, 725. 00 2, 260. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 94, 787. r 9 Due to other national banks Due to State banks and bankers .. 8,932.48 1,257.95 1, 902.15 560. 00 54. 58 21, 698. 40 13, iiJJ. 00 Notes and bills re-discounted Bills payable 35, 000. 00 ,687.50 j! 999.00 \' 374, 900. 44 ! Total . 374, 000.44 REPORT OF THE COMPTROLLER OF THE CURRENCY. 495 SOUTH CAROLINA. Carolina National Bank, Columbia. No. 1(580. W. A. CLABK, President. WILIE JONES, Cashier. Resources. Liabilities. Loans and discounts | Overdrafts j U. S. bonds to secure circulation .. j U. S. bonds to secure deposits i U. S. bonds on hand I Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Duo from State banks and bankers Bank'g-house,furniture,andtixtures Other real estate and mortg's owned; Ciftrent expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $459, 090.18 21, 255. 00 25, 000. 00 83, 208. 00 14,059.41 4, 237.10 1.565.35 19, 000. 00 4, 007. 80 3, 480. 38 2, 000. 00 1L', 36 A. 50 1, 500. 00 10.07 9, 750. 00 8,000. 00 ftlOO, 000.00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding ... 40,000. 00 21, 780. 54 22, 500.00 Dividends unpaid 42.50 Individual deposits United States deposits Deposits of U.S. disbursing officers 354,216.85 Due to other national banks •Due to State banks and bankers .. Notes and bills re-discounted Bills payable 1, 080. 21 104. 00 70, 528. 69 60,000. 00 1,125.00 | Total 670, 252. 79 670, 252.79 Central National Bank, Columbia. No. 1765. JAMES WOODBOW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Duo from other national bauks Due from State banks and bankers Bank'g-house.furniture,and fixtures; Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $346,706. 54 11,071.00 25,000.00 23, 895. 00 i Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 2, 610. 95 3,971.19 Dividends unpaid 3], 455. 00 1,000.00 Individual deposits 3,153.70 TJij ited States deposits 7, 000. 00 Deposits of U.S.disbursing ofiicers. Due to other national banks 5,800.00 . Due to State banks and bankers.. 101.03 ! 7,921.00 j Notes and bills re-discounted . 25, 000. 00 Bills payable $100,000.00 30, 000. 00 20, 430. 57 22, 500. 00 166, 314. 99 8,177. 00 3, 478. 42 145, 000. 00 .1,125.00 Total . 495,901.07 Total. J. H. SAWYER, Cashier. Capital stock paid in 495, 901. 07 National Bank, Greenville. IIAMLIN BEATTIE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits . . . . U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso,furnituTe,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U, S . Due from Treasurer TJ. S Total No. 1935. $267,959.94= 29,463.27 25,000.00 175, 000.00 45, 475.24 24, 704. 49 2, 247. (J8 547. 93 1, 000. 00 1,466.72 W. E. BEATTIE, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaidIndividual deposits United States deposits Deposits of U.S.disbursing oilicers. $100, 000. 00 20, 000.00 150, 030. 74 22,500.00 240. 00 180, 806. 33 182, 500. 00 3,422.89 30, 836.00 148.05 29,436.00 31,457.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 6, 600. 23 2,612. 91 5,000. 00 1,125. 00 1, 000.00 670, 290.21 Total. 670, 290.21 496 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH CAROLINA. National Bank, Laurens. JOHN A. BARKSDALE, President. W. A. WATTS, Cashier. No. 3540. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houhe,ftuniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total $107, 558.97 25.38 16,000.00 355.00 820. 47 3,975. 55 . 852.11 1,000.00 9,541.89 25.00 209.11 7,679.90 7,3G5. 00 Capital stock paid in $63, 000.00 Surplus fund Undivided profits 4, 000. 00 5,214.27 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 14,400. 00 18.00 Individual deposits United States deposits Deposits of U. S. disbursing offi cers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 26, 829. 57 12, 666. 54 30, 000. 00 720. 00 Total 156,128.38 156,128. 38 National Bank, Newberry. R. L. MCCAUGHEIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks — Duo from State banks and bankers Bank' g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. T. S. DUNCAN, Cashier. No. 1844. $465,168. 05 12, 500. 00 37, 500.00 20, 708.14 7, 611. 62 7, 112.15 8, 000. CO 18,149. 34 2, 734.19 33, 247. 49 2, 8o9.00 28.00 20,115.00 1,450.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $150,000.00 30, 000.00 125, 606. 16 33, 750. 00 770. 00 154, 236. 97 34, 507.35 30, 000. 00 80, 000.00 1,687. 50 638,870.48 Total. 638, 870. 48 First National Bank, Rock Hill. W. L. RODDEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes V. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3616. Capital stock paid in. $107,313.87 1, 825. 79 12, 500.00 2, 000.00 4, 253.62 1, 506.24 12,191. 51 170. 87 572. 45 3,109. 37 265. 62 43.24 5, 050.55 12,405.00 W. J. RODDEY, Cashier. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 5, 000.00 9,874. 09 11,230. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 29,477.27 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 2, 267. 88 15,921.39 40, 000. 00 5(i2. 50 163, 770.63 Total. 163,770.63 REPORT OF THE COMPTROLLER OF THE CURRENCY. 497 SOUTH C A R O L I N A . National Bank, Spartanburg. W. E. BURNETT, Cashier. No. 1848. GEORGE COFIELD, President. Resources. Loans and discounts. Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents. | Due from other national banks ; Due from State banks and bankers ! Bank'g-house,furniture, and fixtures; Other real estate and mortg's owned Current expenses and taxes paid... i Premiums on U. S. bonds Checks and other cash items j Exchanges for clearing-house ! Bills of other national banks i Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer IT. S Total. Liabilities. $161, 812.97 5, 626.00 25,000.00 166.66 83,126.46 3 i, 433.53 11, 475.67 1,679.8 Capital stock paid in. $100, 000. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 00 20, 000. 00 54,182. 27 22, 500.00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing oflicers. 115, 672.16 13,158.12 4, 000.00 626.41 6, 982. 00 5, 830. 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. 12,621.61 Bills payable 30, 000.00 1,125.00 Total . 354,976.04 354, 976.04 Simonds National Bank, Sumter. ANDREW SIMONDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's ovsned Current expenses and taxes paM... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3809. $144, 464.29 8,803.10 1.8,750.00 5,666.66 9, 717.55 460.86 6, 766.01 600.00 W. ALSTON PRINGLE, JR., Cashier. Capital stock paid in $75, 000.00 Surplus fund Undivided profits i ! 7, 500.00 2, 605.59 National-bank notes outstanding.. j State-bank notes outstanding I 16, 875.00 Dividends unpaid 1,818.34 Individual deposits United States deposits , Deposits of U. S. disbursing officers. 6, 000. 00 270.72 8,437.50 12, 000.00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 70, 073. 71 774.81 51,103.01 843.75 Total. 223, 932.12 223,932.12 Merchants and Planters' National Bank, Union. EDWIN E. WALLACE, President. Loans and discounts j Overdrafts I U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. BaD k'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. H. Ex. 3 32 No. 2060. $148,863.41 2, 416.66 15, 000.00 35,910.50 12, 760.28 349.52 GEO. MUNRO, Cashier. Capital stock paid in. $60,000.00 Surplus fund Undivided profits. 45, 000. 00 7, 609.09 National-bank notes outstanding. State-bank notes outstanding 13, 500.00 Dividends unpaid 1, 428.00 2,900. 00 "i,"426."6i 4,195.00 87.34 17, 476.85 1, 280.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 89, 298.94 Due to other national banks Due to State banks and bankers . . 517.45 Notes and bills re-discounted Bills payable 25, 987.12 675. 00 243,340.60 Total. 243, 340.60 498 REPORT OF THE COMPTROLLER OF THE CURRENCY. SOUTH C A R O L I N A . Winnsboro' National Bank, Winnsborough. G-. H. MCMASTEB, President No. 2087. T. K. ELLIOTT, Cashier. Kesonrces. Loans and discounts 0 verdraft s TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents.! Due from other national banks | Duo from State banks and bankers , Hank'g-house, furniture, and fixtures! Other real estate andmortg's owned C urrent expenses and taxes paid... j Premiums on U. S. Londs ' ! Checks and other cash items Exchanges for clearing-house J Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $165, 333.90 7, 783.92 18, 750.00 7,477.48 23.43 24, 424. 75 "io, 666.66" * 1,086.32 1, 200. 00 235.69 4, 998.00 4, 812. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $75,000.00 25, 000. 00 11,081.04 16,875.00 265. 00 Individual deposits United States deposits Deposits of U. S. disbursin g officers. 55,368.09 Due to other national banks Due to State banks and bankers .. 6,370.11 Notes and bills re-discounted Bills payable 13, 500.00 45, 000.00 333.75 2, 000.00 248,459.24 Total. 248,459.24 REPORT OF THE COMPTROLLER OF THE CURRENCY. 499 GEORGIA. First National Bank, Albany. No. 3872. J. A. DAVIS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie : Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer XJ. S Total. FUANK SHEFFIELD, Cashier. Liabilities. $86,477.23 20,856.13 12, 500.00 $50, 000. 00 Capital stock paid in. 6, 287. 75 1, 844. 69 Surplus fund Undivided profits. National-banknotes outstanding. State-bank notes outstanding 35,561.13 768. 94 3, 000. 00 3, 768. 45 "7,236.66 2.33 22,221.50 10, 000. 00 11, 250.00 Dividends unpaid Individual deposits. United States deposits Deposits of U. S. disbursing officers 100, 473. 96 Due to other national banks Due to State banks and bankers.. 5, 235.49 4, 600. 05 Notes and bills re-discounted Bills payable 23,256.27 562.50 202, 948.21 202,948.21 Total. Peoples' National Bank, Americus. No. 2839. S. MONTGOMERY, President. $102,966.16 14,329. 77 12, 500.00 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved, reserve agents. Due from other national banks Due from State banks and bankersBank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 40, 994.14 825.17 1, 299.14 JOHN WINDSOR, Cashier. Capital stook paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $50,000.00 20, 000. 00 3, 391. 54 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers 78,679.21 Due to other national banks 2, 000. 00 Due to State banks and bankers . 211.00 1, 260.00 Notes and bills re-discounted 10, 000. 00 Bills payable 2,453. 78 1, 903.55 577. 25 'i52.95' 20,000.00 562. 50 187, 678.08 Total. Total. 187,678.08 National Bank, Athens. A. K. CHILDS, President. Loans and discounts O verdraft s U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1639. $661, 792.19 JAMES W H I T E , Cashier. Capital stock paid in. 80,666.66 Surplus fund fund. Undivided profits . 6, 000.00 37, 566.49 3, 042. 60 National-bank notes outstanding.. State-bank notes outstanding 10, 000. 00 7, 000. 00 14.4.77 5,957. 60 10,000.00 500. 00 22, 000.00 10,000. 00 $100,000.00 100, 000.00 174,857.08 72, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 309r 351. 08 Due to other national banks Due to State banks and bankers .. 7,054. 08 11,151. 41 Notes and bills re-discounted . Bills payable 80, 000.00 410.00 854,413.65 Total. 854,413. 65 500 REPORT OF THE COMPTROLLER OF THE CURRENCY. GEORGIA. Atlanta National Bank, Atlanta. No. 1559. JAMES SWANN, President. Resources. $1,066,153.68 Loans and discounts 26,856.61 Overdrafts 50,000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits 1, 000.00 IT. S. bonds on hand 75,272.50 Stocks, securities, Judgments, etc .. 9,616. 38 Duo from approved reserve agents. 75,663.90 Dae from other national banks. 20,959.34 Due from State banks and bankers. 30,000.00 Bank'g-house, furniture, and fixtures 7,414.66 Other real estate and mortg's owned Current expenses and taxes paid... 6,109.85 280. 00 Premiums on U. S. bonds 37,428.79 Checks and other cash items Exchanges for clearing-house 18, 975. 00 Bills of other national banks 1,138.43 Fractional currency, nickels, cents. 86,969.50 Specie 85,500.00 Legal-tender notes U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. IT. S. 3,600.00 Due from Treasurer U. S Total C. E. CURRIER, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid $150, 000. 00 50, 000.00 171,406. 00 45,000.00 403. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 1, 097,219. 25 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 22, 240. 44 8,919.95 1,605,188.64 Total., 60, 000.00 1, 605,188.64 Gate City National Bank, Atlanta. L. J. HILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2424. EDW. S. MCCANDLESS, Cashier. $250,000.00 Capital stock paid in. 50, 000. 00 Surplus fund 32, 778.01 Undivided profits. 21,100. 00 National-bank notes outstanding. 45,000.00 i, 482. 94 State-bank notes outstanding 34, 343.08 13,407.40 Dividends unpaid 505. 00 118,000.00 12, 923.55 Individual deposits 708, 886.66 7,171. 66 United States deposits 64,477.49 40,437. 50 Deposits of U.S. disbursing officers 45, 034.10 24, 980. 33 Duo to other national banks 54, 410. 20 37,917. 00 Due to State banks and .bankers .. 18, 231.54 1,987. 89 46,747.00 Notes and bills re-discounted 51, 543. 59 90, 000.00 Bills payable $697,973.30 16,144.94 50,000.00 100,000.00 2,250.00 1,320,866.59 Total. 1, 320, 866. 59 National Bank, Augusta. P. H. LANGDON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total., No. 1613. $692, 382.51 1,498.43 50, 000. 00 1,250. 00 36,012. 98 30,209.79 40,000.00 20,000.00 4,505.33 13,595.39 **3,*i30." 66 18, 794. 06 33,377.00 A. C. BEANE, Cashier. Capital stock paid in. Surplus fund Undivided profits .... National-bank notes outstanding.. State-bank notes outstanding . Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $500, 000. 00 5, 083.86 26,285. 45 45, 000.00 286, 547.18 81, 240. 76 2,848. 24 2, 250. 00 947,005.49 Total. 947,005.49 REPORT OF THE COMPTROLLER OF THE CURRENCY. 501 GEORGIA, National Exchange Bank, Augusta. C. E. COFFIX, Cashier. No. 1860. ALFRED BAKER, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items.. Exchanges for clearing-house. Bill f other national banks. Fractional currency, nickels, cents Specie Legal-tender notes... TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $349, 505.16 10, 269.90 50, 000. 00 13,894.72 9,446.95 8, 995. 94 5, 505.45 3,233.32 46, 383. 32 3,101.89 3, 000. 00 16,855.59 9, 675. 00 815. 95 14, 045.00 9, 283.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid '! Individual deposits United States deposits Deposits of U.S. disbursing officers i Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $250,000.00 44, 604.05 7,778.01 45, 000. 00 1, 748. 50 153, 099.69 414. 60 2,119.70 51, 496. 64 2, 250. 00 556, 261.19 550,261.19 Total. First National Bank, Brunswick. W. E. BURBAGE, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid.-. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due fromTreasurer U. S Total. J A S . H E Kit SMITH, Cashier. No. 3116. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. 15, 402. 73 State-bank notes outstanding $389, 317.33 7,075.80 ! 27,500,00 ; 938. 71 13.76 7,310.00 3, 249. 79 4, 400.00 16,254.65 491. 27 31,005.10 4, 048. 00 $110,000.00 40, 000. 00 15,927.01 24, 750.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable , 4, 889. 74 322. 81 98, 489.60 237.50 507, 244.64 Total. 507, 244.64 Oglethorpe National Bank, Brunswick. MAXULLMAN, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Dne from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, conts . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3753. $296, 014.6C 2, 219. 82 37,500. 00 40, 863. 95 118. 73 3,897.44 18, 459. 40 2, 596. 03 5, 000. 00 3, 914. 28 2, 620.00 58.24 12, 384. 53 5, 240.00 JOHN D. WRIGHT, Cashier. Capital stock paid in. Surplus fund fund. Undivided profits. National-bank notes outstanding*. State-bank notes outstanding...... Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $150, 000.00 25, 000.00 8, 528. 76 33, 750.00 143, 333. 38 5, 873.12 2, 551. 71 63, 537. 55 1,687.50 432, 574. 52 Total.. 432, 574. 52 502 KEPOKT OF THE COMPTROLLER OF THE CURRENCY. GEORGIA, J. Ii. WIKLE, President. First National Bank, Cartersville. No. 4012. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Due from other national bauks Due from State banks and bankers. Bank'g-house, furniture, andfi x t ures Other real estate and mortg's owned; Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. H. Viviox, Cashier. Liabilities. Resources. $45,714. 60 12, 500. 00 3, 628.60 2,196. 18 1,749. 08 1,122. 00 1, 895. 50 3, 656.25 2.50 26\ 00 38.51 1, 427. 30 3, 455. 00 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits. 2, 086.43 National-bank notes outstanding State-bank notes outstanding. . 11,250.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofnoers. Due to other national banks Due to State bauks and bankers.. 14,183. 53 G03. 06 Notes and bills re-discountod. Bills payable 562. 50 Total. 78, 213. 02 78, 213. 02 First National Bank, Cedartown. No. 4075. C. L. HARD WICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments e t c . . Due from approved reserve agents. Due from other national banks Due from State bauks and bankers Bank'g-house, furniture, ami fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national batiks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Troas. U. S. Due from Treasurer U. S 1,028. 95 3,169.18 784. 98 1,216.91 4, 000. 00 "619.57 3, 562. 50 915. 00 95. 41 2, 892. 00 2, 310. 00 $50, 000.00 TlO. 01 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 37, 746. 21 313. 23 47, 041. 08 562. 50 147,073. 53 Total . J . O. HAEDWICK, Cashier. $113,193. 07 I Capital stock paid in . 233. 46 12, 500.00 Surplus fund Undivided profits Total . 147, 073. 53 Third National Bank, Columbus. G. GUNBY JORDAN, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national b a n k s . . . . Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3937. $164, 737. 34 10,127. 56 25, 000. 00 250.00 31,001.79 4, 834. 94 5, 625. 61 2, 635.51 J . W. MURPHEY, Cashier. Capital stock paid in . . Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding... 9, 8i7. 83 22, 500. 00 Dividends unpaid Individual deposits 6, 098. 83 United States deposits 7, 312. 50 DepositsofU.S.disbursing officers. 428. 07 15, 000.00 29.74 15, 845. 00 45, 000.00 $100, 000. 00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 190, 595.17 7. 355.37 4, 753. 52 1,125. 00 335, 051. 89 Total. 335,051.89 REPORT OF THE COMPTROLLER OF THE CURRENCY. 503 Chattaaoochee National Bank, Columbus. H. II. EwiXG, President. No. 1630. E. II. EITING, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents Due from other national banks Duo from State banks and bankers Bank'g-houso, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. 8. certificates of deposit Redemption fund with Troas. U. S. Due from Treasurer TJ. S Total. $411,026.50 25, 940. 60 100,000.00 Capital stock paid in | 9, 249.00 National-bank notes outstanding.. State-bank notes outstanding 10, 064. 51 10,289.00 17, 78G. 59 22,396.61 3,308, 72 2,60d.61 2, 730.04 $100,000.00 75,000.00 27, 555.01 Surplus fund Undivided profits. 90, 000.00 Dividends u n p a i d . . Individual deposits United States deposits Deposits of U. S. disbursing officers. 254, 679. 50 Due to other national banks 23, 343.00 Due to State banks and bankers . . 507.00 16,451.00 Notes and bills re-discounted 31, 550.00 Bills payable 4, 500.00 500.00 24, 383.46 30, 394. 55 Total. 692, 249.18 90, 236. C6 692. 249.18 National Bank, Columbus. J. RHODES BROWNE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-houso, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . GEO. W. DILLINGHAM, Cashier. No. 2338. Capital stock paid in. $100,000. 00 $302,400.57 8, 328.21 25,000.00 15, 000.00 7,362.24 40,366.46 4,171. 82 824. 49 2, 583. 26 Surplus fund Undivided profits. ' 50,000.00 23, 540.11 National-bank notes outstanding State-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 212,601.85 661. 06 5, 061. 00 625. 00 11,422.50 19,000. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 5,130.31 159. 34 30,000.00 1,125. 00 Total. 443,931. 61 443,931.61 First National Bank, Dalton. R. J.MCCAMT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-houso, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid-.. Pr dmiams on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. R. I. PEAK, Cashier. No. 3907. $63, 424.98 2,279.84 15,000.00 4,521.25 2,253.69 313.63 8,196.50 515. 52 1,125.00 300.00 150. 08 4,103.00 500. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $60, 000. 00 446.47 2, 626.32 13, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 23, 725. 92 Due to other national banks Due to State banks and bankers . . 3, 056. 78 Notes and bills re-discounted Bills payable 675.00 103, 358.49 Total. 103,358.49 504 REPORT OF THE COMPTROLLER OF THE CURRENCY.' GEORGIA. Dawson National Bank, Dawson. No. 4115. A. J . CARVEE, President, S. R. CHRISTIE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Dae from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national oanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $148. 50 12,197. 30 12, 500.00 4,600.12 123.00 8,407.37 85508 Capital stock paid i n . Surplus fund Undivided profits 35.21 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits 77. 50 United States deposits 3, 4UG. 25 Deposits of U.S. disbursing ofiicers. 3, 90:>. 88 Due to other national banks 4, 020. 00 Due to State banks and bankers . . 1.63 5, 977.00 Notes and bills rediscounted . 2, 640. 00 Bills payable 59,366.23 $26, 200.00 Total. 32, 090.14 61.62 979.26 59,366.23 First National Bank, Gainesville. RATLIFF PALMOUR, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, andfixtures Other real estateand mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J". W. SMITH, Cashier. No. 3983. $87,430.21 Capital stock paid in. $50,000. 00 338.64 241.88 12,500.00 Surplus fund 4,444. 51 Undivided profits 11, 250. 00 National-bank notes outstanding.. 923.12 State-bank notes outstanding 499. 83 Dividends unpaid . 907.39 Individual deposits 42, 094.31 882.00 United States deposits 3, 508. 37 Deposits of U. S .disbursing officers. 251.67 280.34 Due to other national banks 1,237.31 125.00 Due to State banks and bankers .. 10.07 10, 000.00 6,679.55 Notes and bills rediscounted 4,430.00 Bills payable 562. 50 119,548.35 Total. 119, 548, 35 City National Bank, Griffin. HENRY C. BURR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers JBank'g-hous£, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. O. RHEA, Cashier. No. 2075. $145, 384.57 Capital stock paid in. $56,000,00 3, 509.67 14,000.00 Surplus fund 33,000.00 18, 792.63 Undivided profits. 12, 600.00 2,145. 48 National-bank notes outstanding.. 29,979. 37 State-bank notes outstanding 16,798.01 1,071.90 Dividends unpaid. 366. 00 7,000.00 Individual deposits 112,309.77 1,386.00 United States deposits Depositsof U. S.disbursing ofiicers. ""540." 44 860.88 Due to other national banks 287.35 2,500.00 Due to State banks and bankers . 139.51 568.65 Notes and bills rediscounted 11,525.97 20,089.00 Bills payable 630/00 245,742.60 Total. 245,742.60 REPORT OF THE COMPTROLLER OF THE CURRENCY. 505 GEORGIA. First National Bank, La G-range. J . Gr. TRUITT, Cashier. No. 3093. LEWIS J. RENDER, President Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furni Lure, andftxtu res Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $83, 926.96 1, 5(59.37 13, 000. 00 Capital stock paid in j $50, 000. 00 Surplus fund Undivided profits ! 8,000.00 3,695.06 * 1,641.00 National-bank notes outstanding.. State-bank notes outstanding 8,911.83 1, 294.40 4, 419.19 Dividends unpaid 28. 00 Individual deposits 677. 60 United States deposits 700.00 DepositsofU.S.disbursingofiicertt- 254. 50 3.43 1,109.25 8, 835.00 11, 700. 00 Due to other national banks Due to State banks and bankers . Notes and b ills re-discounted | Bills payable 22, 023. 62 31, 510. 85 585.00 126, 957. 53 120, 957. 53 Total. First National Bank, Macon. I. C. PLANT, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits .. TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks , Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total. W. W. WKIGLEY, Cashier. No. 1617. $100, 000. 00 Capital stock paid in 55, 000. 00 Surplus fund 5,981.67 Undivided profits 22, 500. 00 48,000. 00 i National-bank notes outstanding.. 13,154. 70 State-bank notes outstanding $377,474.99 138. 91 25, 000.00 6,178. 60 1, 835. 79 20, 000. 00 3,100. 00 7, 500. 00 881.75 35,080. 00 100. 00 74, 035. 25 75,000.00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursing officers I 451,186.66 Due to other national banks j Due to State banks and bankers . j 1. 204. 30 52,732. 36 Notes and bills re-discounted. Bills payable 1,125.00 688, 604.99 688, 604. 99 Total. Merchants' National Bank, Macon. R. F. LAWTON, Prtsident. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand , Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g house,furniture,and fixtures Other real estate and mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. b. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S Total. L. P . HILLYER, Cashier. No. 3740. $231, 659.78 513. 79 25, 000.00 9,089. 42 11,068.40 16. 572. 33 lj 708. 78 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits 3,445.54 United States deposits 1,750. 00 Deposits of U. S. disb ursing officers 8,367.00 27.16 9,153. 80 24, 000.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable $100,000.00 5,000.00 5,184. 95 22, 500. 00 93,582.03 312. 77 15,438.11 101,463.14 1,125.00 343,481.00 Total. 343,481.00 506 REPORT OF THE COMPTROLLER OF THE CURRENCY. GEORGIA, First National Bank, Marietta. N o . 3830. R. W. BOONE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. $107,126.99 626.01 12, 500. 00 7, 639. 78 2, 489.27 159.17 2, 964. 95 C. S. MCCANDLISII, Cashier, Liabilities. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 5, 500. 00 1, 738. 77 11, 240. 00 Dividends unpaid 438. 52 500.00 Individual deposits United States deposits .1 Deposits of U. S. disbursing officers. 61, 134.45 378.00 42.71 800. 00 7,032.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 8, 405. 76 229. 17 5, 000. 00 550.75 143, 248.15 Total. 143, 248.15 First National Bank, Newnan. W. B. BERRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's ovviiedj Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. P. B. MURPHEY, Cashier. No. 1861. $50, 000. 00 Capital stock paid in. 100, 000. 00 Surplus fund 971.94 Undivided profits. 45, 000. 00 71,245.00 National-bank notes outstanding.. State-bank notes outstanding 13,039.18 6,178.09 Dividends unpaid 331.76 Individual deposits 73,911.21 766. 63 United States deposits Deposits of U. S. disbursing officers. 247.84 Due to other national banks 1, 677. 3G 4, 000.00 Due to State banks and bankers .. 564. 26 75.00 7, 773. 00 Notes and bills re-discounted . 7, 000. 00 Bills payable $102, 840.12 6,148. 04 50, 000. 00 2, 250. 00 230.11 272,124.77 Total. 272,124.77 Newnan National Bank, Newnan. CHARLES C. PARROTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S .! Dne from Treasurer U. S Total . JOSEPH T. KIRBY, Cashier. No. 3382. $50,000.00 Capital stock paid in. Surplus fund 7, 500. 00 2,428. 37 Undivided profits National-bank notes outstanding.. 18,900.00 State-bank notes outstanding $125, 527.75 21, 068.93 21, 000.00 608. 00 4, 853. 04 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 50.60 13,583.35 2, 725. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 19,045.67 1, 797. 25 89, 883.38 17, 363. 93 3, 894. 98 21, 233. 93 945. 00 211,201.59 Total. 211, 204. 59 REPORT OF THE COMPTROLLER OF THE CURRENCY. 607 First National Bank, Rome. No. 2368. J . H. REYNOLDS, President. B. I. HUGHES, Cashier. Resources. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andflxtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Liabilities. $476, 601. 94 8, 000. 00 37, 500. 00 15, 300.00 49, 079. 44 21, 373. 07 6, 913. 08 17,101. 70 2, 262. 03 7, 749. 55 2, 985. 38 6, 973. 00 285. 00 16, 012. 50 19, 500. 00 Capital stock paid in $150, 000.00 120,000.00 29,181. 65 National-bank notes outstanding.. State-bank notes outstanding 33, 750. 00 Dividends unpaid. Individual deposits United States deposits 228, 851. 02 Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 24,805 82 5, 097. 75 101, 237.95 1, 687. 50 600.00 689, 924.19 Total. | Surplus fund Undivided profits.. Total. 689, 924.19 Merchants' National Bank, Rome. N o . 3670. R. G-. CLARK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits .. U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,andflxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $271, 929.51 9, 986. 24 37, 500.00 1, 003. 55 13, 646. 82 6, 431.10 881.33 2, 641. 59 1,741.48 2, 500. 00 1, 982.29 7, 458. 00 11.78 3,129. 05 14,000.00 J. KING, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers Due to other national banks Due to State banks and bankers.. Notes aii'l bills re-discounted Bills payable $150, 000. 00 5, 000.00 12, 336. 93 33, 750. 00 88, 609. 94 10, 927. 05 3, 228. 89 72,677.43 1, 687. 50 376, 530. 24 Total.. 376, 530. 24 Merchants' National Bank, Savannah. JOHN L. HAMMOND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hou8e,furniture,andfixturesj Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationaljbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U.S. Total. No. 1640. !1,029, 292.66 2, 051. 90 50, 000. 00 50,000.00 57,251.25 7,063.26 13, 095. 52 82, 961. 86 32,623.01 6,772.76 5, 993. 54 27, 000.00 13,100. 00 587. 65 22, 500. 00 140, 000. 00 THOS. GADSDEN, Cashier. Capital stock paid in. Surplus fund . . . . Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable $500,000.00 250, 000.00 65, 808.88 44, 990.00 656.00 467, 585. 25 3, 648.13 54,174. 00 36, 350. 42 69, 330.73 50,000.00 2,25J. 00 1, 542, 543. 47 Total. 1, 542, 543. 41 508 REPORT OF THE COMPTROLLER OF THE CURRENCY. O EOROIA. National Bank, Savannah. No. 3406. HERMAN MYERS, President. THOS. F. THOMSON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts XJ. S. bonds to secure circulation .. TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national ban ks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer U. S Total $783,445. 36 12.03 50, 000. 00 77, 963. 29 7,292. 39 32, 709. 81 4, 260. 00 4,313.43 1, 400.00 7, 800. 00 207. 50 10, 300. 00 25, 688. 00 Capital stock paid in $250, 00J. 00 r>o, ooo. oo Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 20, 400. 36 45, 000.00 Dividends unpaid 387.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 503, 595. 69 Due to other national banks Due to State banks and bankers.. 3, 393. 34 134, 865.42 Notes and bills re-discounted 2, 250. 00 Total 1,007,641.81 1,007,641.81 Thomasville National Bank, Thomasville. S. L. HAYES, President. m Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes X S. certificates of deposit L Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3767. $197, 933. 34 17, 293.03 25, 000.00 11,182. 43 6,438.46 23, 579.84 1, 088.26 1,504. 97 1,312.50 224. 91 800.00 37.02 10,528.30 3, 733.00 JAS. A. BRANDON, Cashier. Capital stock paid in $100,000.00 Surplus fund Undivided profits National-bank notes outstanding..; State bank notes outstanding • Dividends unpaid > Individual deposits ; United States deposits I Depositsof U.S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 22,250.00 2, 887.88 22, 500. 00 123, 516. 30 284.91 116.72 j i 30, 325. 25 1,125.00 100. 00 301,881. 06 Total. 301, 881. 06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 509 FLORIDA. First National Bank, Gainesville. JOHN W. ABHBY, President. No. 3894. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... T7. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. JAS. M. GRAHAM, Cashier. Liabilities. $74,927. 36 89.66 12, 500. 00 Capital stock paid in. Surplus fund , Undivided profits- $50, 000.00 2, 000. 00 2, 014. 76 National-bank notes outstanding . 11, 240. 01) Individual deposits 24, 766. 88 2,452.14 State-bank notes outstanding 1, 035. 09 729.47 Dividends unpaid. 5,500. 00 792. 90 United States deposits 3, 300. 00 Deposits of U. S.disbursing officers. 16.99 101.24 1,4JJ6. 75 3,680.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 184.17 16, 917. 79 562.00 Total. 107,123.60 107,123.60 First National Bank of Florida, Jacksonville. JAMES M. SCHUMACHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand — Stocks, securities, judgments, etc - . Due from approved reserve agents. Due from other national banks Due from Stato banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and raortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, C6nts. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 2174. $167,791.86 73.95 50, 000.00 18, 049. 66 38, 073. 86 11, 764.35 14, 519.71 22, 541.75 3,099.78 2, 026. 08 BRYAN TALIAFERRO, Cashier. Capital stock paid in. $50, COO. 00 Surplus fund Undivided profits 10, 000. 00 16, 487. 82. National-bank notes outstanding-. State-bank notes outstanding 45, 000 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disb nrsing officers . 256, 025. 01 Due to other national banks Due to State banks and b a n k e r s . . 18,298.91 16,700.71 8, 605.15 31,145.00 121.73 11,125.00 30, 000.00 Notes and bills re-discounted. Bills payable 2, 250. 00 1,324. 57 Total. 412, 512. 45 412,512.45 National Bank, Jacksonville. W. B. BARNETT, President Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgments, etc .. Due from approved reserve agents Duo from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S . Total. No. 3869. $530, 508.46 2,765. 56 37, 500. 00 28, 765.10 17, 32 k 66 7, 327. 68 854. 25 6, 917. 52 9, 000. 00 1, 038. 74 22,068.00 450. 77 8, 857.25 45, 000.00 BION H. BARNETT, Cashier. Capital stock paid in. Surulas fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable...". $150,000.00 2,000.00 19, 898.23 29, 749.00 461,439. 20 1, 412. 83 29, 708.59 25, 866.14 1, 637. 00 720, 064. 99 | Total. 720,064.99 510 REPORT OF THE COMPTROLLER OF THE CURRENCY. FLORIDA . National Bank of the State of Florida, Jacksonville. DANIEL G-. AMBLER, President. No. 3327. J. N. C. STOCKTON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. $358,864.41 8,141.74 25, 000.00 200, 000. 00 15,085.72 25, 733.09 13,305. 74 4, 206. 29 20,828.87 5,670.00 3,676. tU 28, C32. 85 3, 877. 13 5,937. 00 137.29 19,395. 50 44, 000. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $100, 000. 00 25,000. 00 14, 234.45 22, 500. 00 50.00 345, 930. 82 196, 161. 57 11,165. 61 59,162. 85 8,812.24 1,125.00 Total. 783,017. 54 783, 017. 54 First National Bank, Ocala. E. "W. AGNEW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondsonhand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixturos Other real estate and mortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. MCINIYRE, Cashier. No. 3470. $50, 000. 00 Capital stock paid in. 10, 000. 00 Surplus fund 6, 005. 28 Undivided profits. 11, 250. 00 National-bank notes outstanding 8, 808. 22 State-bank notes outstanding 3, 015. 88 4, 540. 04 Dividends unpaid $137, 774. 25 2,107. 63 12, 500. 00 19, 500. 00 4, 133.32 1,843.37 5, 240. 53 1, 918.00 50. 00 4, 020. 50 7, 000. 00 Individual deposits United States deposits Deposits of U.S.disbursing ofncei'vS 115,848.80 Due to other national banks Duo to State banks and bankers . 2,257.16 814. 94 Notes and bills re-discounted Bills payable 16,838.12 562. 50 Tqtal. 213,014.30 213, 014.30 Merchants' National Bank, Ocala. JOHN F. DUNN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TT. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3815. $96,634.21 4,161.84 12,500.00 1,462.45 12, 603. 45 7, 538. 98 2,221.50 25,668. 30 1,195.77 3,000.00 606.13 • 775.00 11.41 8,120.00 6,000. 00 R. B. MCCONNELL, Cashier. Capital stock paid in. urpl Undivided profits. $50,000.00 6,000.00 2,215.51 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing ofiicers. 94,509.84 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 649.60 18, 436. 59 562. 50 183,061.54 Total. 183,061. 54 REPORT OF THE COMPTROLLER OF THE CURRENCY. 511 FLORIDA. First National Bank, Orlando. No. 34G9. T. J. SHINE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Ban k'g-house, furnit lire, andflxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. ». certificates of deposit Redemption fund with Treas. IT. S.I Due from Treasurer U. S Total. $173,268.85 6, 675.10 12, 500.00 6,629.51 51, 911.62 542. 90 2,591.21 2, 076.59 2,775. 00 3,831.93 "2," 387.' 79* 16, 070.00 67.82 7, 852. 00 10, 000.00 NAT. POYNTZ, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing oliicers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $50,000.00 10,000. 00 10,575.93 11,250. 00 199, 982.65 6,044.87 11, 892. 37 562. 50 Total. 299,745.82 299,745.82 Citizens' National Bank, Orlando. H. S. KEDNEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. JAS. L. GILES, Cashier. No. 3802. $50,000.00 Capital stock paid in. Surplus fund 2, 500.00 4,743.68 Undivided profits 200.00 National-bank notes outstanding.. 10, 750.00 23, 739. 83 State-bank notes outstanding 857.74 361.00 Dividends unpaid $77,466.93 7, 560.53 12, 500. 00 2,674. 05 2,128.96 2, 700. 00 101.30 1, 000.00 69.29 3,497.40 4,000.00 Individual deposits United States deposits Deposits of U. S. disbursing officers 71,410.85 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 15.00 562.50 Total. 139,419.53 139, 419.53 First National Bank, Palatka. WILLIAM J . WINEGAB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank 'g-h ou so, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3223. $232,322.01 15,412.90 37,500. 00 45, 277.18 17, 345. 72 19,13 J. 82 15,459. 79 16, 000.00 11,975. 00 4, 536.08 4, 375.00 1,376.06 2,700.00 75.92 3, 301.00 9, 000. 00 H. G. PAYNE, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $150,000.00 21,500.00 5,111.29 33, 750.00 Dividends unpaid Individual deposits.. p United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 203,634.05 9, 818.06 2,751.85 10,911. 73 J, 687. 50 437, 476.98 Total. 437,476.98 512 REPORT OF THE COMPTROLLER OF THE CURRENCY. FLORIDA, First National Bank, Fensacola. No. 2490. M. H. SULLIVAN, President. W. A. S. WHEELER, Cashier, Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate andmortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. -| $95,811.39 321.93 30, COO. 00 12, 834.96 18, 411.74 136.90 7,707.83 5, 374.15 1,731.23 *""49i.*68" 7, 564.20 6G5.00 Capital stock paid in. Surplus fund Undivided profits. $50,000.00 10, 000.00 2, 478.60 National-bank notes outstanding State-bank notes outstanding 8, 020. 00 Diridends unpaid. Individual deposits U n i t e d States deposits 110. 547.22 Deposits of U.S.disbursing officers Due to other national banks Due to State banks and bankers.. 1, 355.19 Notes and bills re-discounted. Bills payable 1,350.00 Total. 182,401. 01 182, 401.01 First National Bank, Saint Augustine. No. 3462. JOHN T.DISMUKES, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. $205, 268. 98 4,217.71 25, 000.00 31,700.00 8,520.47 1, 654.06 3,432. 05 9,116.94 5, 000. 00 5, 503.25 6, 552.50 1, 399. 40 2, 250. 00 46.49 3,225.50 5, 369.00 HENRY GAILLARD, Cashier. Capital stock paid i n . Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable $100,000. 00 20,000. 00 12, 9t58.94 22, 500. 00 134,912.41 29, 000.00 1,125.00 319, 381.35 Total. 319,381.35 First National Bank, Sanford. FREDERIC H. RAND, President. Loans and discounts Overdrafts j U. S. bonds to secure circulation... • U. S. bonds to secure deposits i U. S. bonds on hand ! Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Otherreal estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. F. P. FORSTER, Cashier. No. 3798. $50, 000. 00 Capital stock paid in. Surplus fund 1, 875.00 2, 327.12 Undivided profits National-bank notes outstanding.. 10,690.00 11,628.96 State-bank notes outstanding $82,616.60 499. 36 12, 500. 00 1, 757.01 296.03 9,914.50 964.83 2,772.90 8, 723.00 471.12 11,000.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 76,660.33 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 1, 906.95 246.91 562.00 143, 706.31 Total. 143,706.31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 513 FLORIDA. First National Bank, Tampa. No. 3497. D. G. AMBLER, President. T. C. TALTAFERRO, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Otber real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Leeal-tender notes U. S. certificates of deposit Redemption fund witn Treas.'U. S . D-ie from Treasurer U. S Total. H. Ex. 3 Liabilities. $L70,160.76 3,497. 98 12, 500.00 Capital stock paid in. $50,000.00 Surplus fund Undivided profits . 6, 500. 00 National-bank notes outstanding 35, 026. 03 State-bank notes outstanding . . . 32, 255. 08 1,165. 26 Dividends unpaid 31, 021. 28 Individual deposits 2, 627.40 United States deposits 1, 727.19 Deposits of U.S. disbursing officers. 440. 67 Due to other national banks 17,650.00 Due to State banks and bankers . . 77.66 19, 417. 50 Notes and bills re-discounted . 3,000. 00 Bills payable 10, 000.00 6, 570. 39 256, 660. 37 3,148. 55 562. 50 337,629.31 33 11, 250. 00 Total. 337,629.31 514 REPORT OF THE COMPTROLLER OF THE CURRENCY. ALABAMA. First National Bank, Auniston. D. T. PARKER, President. No. 3041. OSCAR E. S M I T H , Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation .. IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-ho use, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S ;75C, 359. 46 893.41 50, 000.00 Capital stock paid in \ Surplus fund j Undivided profits ! National-bank notes outstandingState-bank notes outstanding 48,567. 51 189, 091. 97 6, 892. 82 5,021.99 11,893.15 228. 75 8, 937. 50 Dividends unpaid.. Individual deposits United States deposits Deposits of TJ. S. disbursing officers 1, 005. 00 172. 06 40,351.40 12, 215. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $200, 000. 00 200, 000. 00 45, 789. 74 45, 000. 00 100. 00 619, 878.77 14, 618. 68 8, 494. 83 2, 250.00 1,133,882.02 Total. Cashier. Liabilities. Total 1,133,882.02 First National Bank, Birmingham. "W. J. CAMERON, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks,securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3185. Capital stock paid in. Surplus fund Undivided profits E. W. LINX, Cashier. $1,124,641.97 13, 721.1350, O0U. 00 50, 000.00 12,500.00 National-bank notes o u t s t a n d i n g . . 310, 652.96 i State-bank notes o u t s t a n d i n g 47,293.77 ! 11,272.43 j Dividends u n p a i d . 60,500.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 10,598.42 ; 10,000.00 ! 340.02 i 6,421.01 ! 23,000.00 ! 281.62 ! 67,000.00 | 60,000.00 ; $250,000.00 150, 000. 00 35,594.11 45, 000. 00 1,230,184. JO 36, 198.64 13, 294.30 50, 417.14 G3, 555. 58 2, 250.00 1, 765. 54 1,874,243.87 j Total., 1, 874, 243. 87 Alabama National Bank, Birmingham. J . F . JOHNSTON, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other roal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3587. G E O . H. W A D D E L L , Cashier. $905, 880. 79 ' ; 601.88 ' 50, 000. 00 j 11, 385. 39 35, 846. 01 47, 620.47 84, 834.17 ""5,"03i."94* 4, 000.00 3,157. 29 15, 000. 00 136. 43 19, 500. 00 25, 000. 00 Capital stock paid in Surplus fund I Undivided profits I National-bank notes outstanding.. : State-bank notes outstanding j Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $500, 000. 00 30, OOC. 00 28, 029. 35 45,000. C O 40.00 392,915.11 110, 892. 56 32, 220. 35 70, 000. 00 1,100.00 1,209,097.37 Total. 1, 209, 097.37 REPORT OF THE COMPTROLLER OF THE CURRENCY. 515 ALABAMA. American National Bank, Birmingham. S. T. BAKNETT, President. So. 373i. E. M. MULFORD, Cashier. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's ovyned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $400, 780. 2\ 5,981.40 50, 001). 00 Capital stock paid in .' 7. Oi.'O. 00 j 10, 01U. 13 National-bank notes outstanding.. i State-bank notes outstanding j 45, 000. 00 Undivided profits 1,000.00 24,847. 17 2,191.08 2, 990. 96 6, 047.13 3, 740.11 4, 000. 00 2, 914. 85 2, 300. 00 46.25 11. 752. 50 5, 000. U0 Dividends unpaid ! Individual deposits { United States deposits I Deposits of U. S. disbursing officers.< Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 108, 535. 02 4, 947. S O 882. 78 106, 003.50 2, 250. 00 532, 448. 29 Total . $2."0, 000. 00 .Surplus fund Total .., j 532,448.29 Berney National Bank, Birmingham. No. 3442. W. BEKNEY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Banli'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on W. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S j $300,000.00 | j 75, 000. 00 28, 017. 09 5,777.50 I National-bank notes o u t s t a n d i n g , -j 53,677.58 j State-bank notes o u t s t a n d i n g ..'...'] 67, 994.12 ! 5,814.72 ! Dividends u n p a i d . 45, 000. 00 U n d i v i d e d profits 60. 00 22, 738. 79 j Individual deposits U n i t e d Stales deposits Deposits of U. 8. d i s b u r s i n g officers. 421, 030, 53 Duo to other national b a n k s 10,000.00 Due t o State b a n k s a n d b a n k e r s . . 500.00 ! 23, 580. 00 I N o t e s and bills re-discounted 35, (KU 00 ! Bills payable 23. 715-4.59 20, 989. 21 ""5," 523.' 65" 9, 500. 00 2, 000.81 I 37, 000. 00 2, 250. 00 Total . 952, 007. 42 Total . J . B. COBHS, Cashier. $655,667.80 j Capital stock paid i n . 2, 043.05 : 50, 000. 00 S u r p l n s fund 952, 007. 42 Birmingham National Bank, Birmingham. E. D. JOHNSTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents . Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3079. $316, 721. 07 112.00 50, 000. 00 175. 00 12,861.18 2, 769. 15 2,671.40 7, 683. 98 21, 455. 36 2, 800.29 12, 718. 75 2, 050. 00 2,213. 93 8, 500. 00 17. 22 6, 950. 00 4, 000.00 H. C. ANSLEY, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. $250, 000. 00 2, 000. 00 G, 120. 71 45, 000. 00 60, 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 119, 43). 93 Due to other national banks Due to State banks and bankers . - 8, 080. 78 6-H.45 Notes and bills re-discounted Bills payable 24,613.46 2, 250. 00 456,009.33 i Total . 450, 009. 33 516 REPORT OF THE COMPTROLLER OF THE CURRENCY. ALABAMA. City National Bank, Birmingham. No. 3993. JOSEPH HARDIK, President M. B. LEWIS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,funiiture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes 17. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $143, 045. 33 471. 67 25, 000. 00 18, 787. 81 63, 975. 51 9,287.19 4, 212. 99 5, 014. 29 7,210.93 6, 685. 35 5, 500. 00 17. 75 6, 657. 00 7, 000. 00 Capital stock paid in , Surplus fund Undivided profits National-bank notes outstanding . State-bank notes outstanding $100, 000. 00 100, 000. 00 2, 638. 35 22, 500. 00 Dividends unpaid. Individual deposits United States deposits DcpositsofU.S.disbursingomcers. Due to other national banks Due to State banks and bankers .. 76, 596. 89 2,136.27 119.31 Notes and bills re-discounted . Bills payable 1,125. 00 303, 990. 82 Total. 303, 990. 82 First National Bank, Decatur. C. C. HARMS, President. W. W. LITTLE JO HN, Cashier. No. 3699. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andnxtures Other real estate and rnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S . Due from Treasurer U. S Total. $184, 363.14 92.01 25, 000.00 1,610.73 9, 5b2. 30 2, 022. 46 1, 086.30 16, 873. 50 1, 922. 24 2, 100.00 1, 634.14 12,125. 00 34.16 10,341.00 3, 000. 00 Capital stock paid in. Surplus fund Undivided profits $100, 000. 00 7, 000. 00 3, 807. 26 National-bank notes outstanding.. State-bank notes outstanding ..... Dividends unpaid 22, 500. 00 Individual deposits United States deposits Depositsof U.S.disbursing officers 129, 0G9. 68 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 9,013.97 1, 491. 07 1,125. 00 272, 881. 98 Total. 272, 881. 98 East Alabama National Bank, Eufaula. ALLEN H. MERRILL, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-bouse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Dne from Treasurer U. S Total. J. P. FOY, Cashier. Capital stock paid in. $59, 000. 00 5, 000. 00 Surplus fund 10,116. 57 Undivided profits. National-bank notes outstanding. 13, 500. 00 State-bank notes outstanding No. 3622. $81,383.87 4,070.21 15, 000. 00 54, 7, 13, 8, 868. 27 224. 69 269.00 304. 44 1,098.62 3, 900. 00 1, 369. 00 41,106.00 2.20 1, 412. 90 20, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 100.00 137, 019.13 993.51 541. 74 27, 413.34 675. 00 253, 6S4. 29 Total. 253, 684. 29 REPORT OF THE COMPTROLLER OF THE CURRENCY. 517 A L. A B A ill A . Eufaula National Bank, Eufaula. "S. II. DENT, President. E. B. YOUNG, Cashier. No. 2309. Liabilities. Resources. Loans and discounts Overdrafts . U. S. bonds to .secure circulation .. TJ. S. bonds to secure deposits XT. S. bonds on band Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national bunks Due from State banks and bankers. B.MIkrg-houses furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on XJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie .'. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. IT- S . Dn<d from Treasurer U. S Total . $292,500.87 7,400.1)1 25,000.00 ...'• $100, ooO. r 0 Capital stock paid i n . . j j 25, 000. 00 18, 330. 35 National-bank notes o u t s t a n d i n g . . i 37,026.47 | 11, 789. 74 I State-bank notes outstanding. ... i 25,997.64 i j 8,380.00 I Dividends unpaid 12,900.00 ! ! 1,898.72 ! Individual deposits United States deposits " 9,"831."32* i Depositsof U.S. disbursing officers. L:2. 5 JO, I0 1,213.00 32.70 2,388.50 50,000.00 Surplus fnnd Undivided profits Due to other national banks ! Due to State banks and bankers..j Notes and bills re-discounted ! Bills payable 370. 00 235. 380. 78 2, 972. S2 4, !).">0. 40 77, 819. 62 1,125. 00 487, 623. 97 Total . 487. G2:>. 07 First National Bank, Eutaw. J. 8. HANLT, President No. 3931. Loans and discounts. Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house, furniture, and fixtures Oilier real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house . . Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S Due from T r e a s u r e r U . S Total . $73,081.(59 5,582.41 12, 500. 00 1,230.00 9, 972.14 326.28 B. B. BAUNES, Caslii Capital stock paid in. : $7)0, 00". 00 Surplus fund Undivided profits ' ; 521.1)1 3, 27 J. b3 National-bank notes outstanding.. \ State-bank notes outstanding I 11, 250. • 0 Dividends unpaid i 4, 825. 00 910, 97 700. 00 2. 820. 00 405.31 7, 659. 00 4, 280. 00 Individual deposits i United States deposits i Deposits of U.S. disbursing officers J 51, 762. 58 538. 2i Due to other national banks Due to State banks and b a n k e r s . . Notes and bills re-discounted Bills payable ! ' i 7, 500. 00 562.50 124, 844. 33 Total • 124,844.33 First National Bank, Florence. R. L. BLISS, President. Laans and discounts OverdraftsU. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks . . . Due tVoiu State banks and bankers Bank V-lionae, furniture, andnxtures Other re;;l estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Clucks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . No. 3981. N. C. ELTIXG, Cashier. $61,809.73 :; Capital stock paid in 2,806.83 , 12,500.00 •! Surplus fund Undivided profits j $5rt, 000. 00 i I 100. 00 2, 451. 37 5, 000. 00 National-bank notes outstanding. ! 5, 988. 60 i State-bank notes o u t s t a n d i n g . . . ' . . . ' 26, 2.;)1 97 | Dividends unpaid \ 2,000.00 j I ' j j Individual deposits j 1,109.49 • United States deposits I 3, 600. 00 j Depositsof U.S. disbursingofficors j 551.46 | Due to other national banks 5, 9J5. (;0 ; Due to State banks and bankers. 27. 79 7,361 85 Notes and bills re-discounted I 4, 620.00 Bills payable 11,250.00 67, 813. 08 1, 43:2. 33 10, 091. 41 562.50 143,138.22 Total 143, 518 EEPORT OF THE COMPTROLLER OF THE CURRENCY. ALABAMA. First National Bank, Fort Payne. No. 4064. . P. RICE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation .. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Troas. U. S Due from Treasurer U. S $59, 743.44 373.70 12, 500. 00 4, 405. 74 29, 125. 33 2,402. 56 3,110. 00 " i "562.69 3, 593.75 Capital stock paid in . $34, 200. 00 Surplus fund Undivided profits 1, 698. 03 National-bank notes outstanding . State-bank notes outstanding 10, 000. 00 Dividends unpaid Individual deposits United States deposits -. Depositsof U.S.disbnrsiiigofficers 76, 6C8. 53 Due to other national banks Due to State banks and bankers . 3, 286.85 1, 900.00 Notes and bills r e discounted. Bills payable 5G2. 50 122, 566. 56 Total. G-. E. LATHROP, Cashier. Liabilities. Total . 122, 566. 56 First National Bank, Gadaden. A. L. GLENN, President. No. 3663. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonus to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchauges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificate i of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $179,122.85 3,134. 26 12, 500.00 3,197.04 14,414.47 3, 014. 00 820. 39 1,144. 24 " i," 33.5.76 3,468. 75 W. G. BROCKWAY, Cashier. Capital stock paid in . $50, 000. 00 Surplus fund Undivided profits 2,100. 00 5,391.32 Natioi»al-bank notes outstanding. State-bank notes outstanding 11,250.00- Dividends unpaid Tndividual deposits United States deposits Depositsof U.S.dLsbursingoificers. Due to other national banks 2, 325. 00 Due to State banks and bankers.. 5. 36 6, 276. 00 Notes and bills re-discounted 6, 500 00 Bills payable 112,103. 83 7, 546. 05 5.26 49, 434.16 562.50 Total. 237, 830.62 237, 830. 62 First National Bank, Huntsville. J. R. STEVENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house.furniture, and fixtures Other real estate andraortg'sowned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash irerasExchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Total . JOSEPH MARTIN, Cashier. No. 4067. $175, 379. 28 614. 38 32, 000. 00 13, 832.59 12,054.69 1.7H.85 20, 000. 00 9, 002. 50 110. 92 7, 651. 00 85. 45 5, 207. 60 16, 500. 00 Capital stock paid in . Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding. $125, 000. 00 2, 328. 74 28, 800. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingonicers. Due to other national banks Due to State banks and bankers.. 138, 728. 09 944. 21 1, 664.10 Notes and bills re-discounted Bills payable 1,440.00 297,465.14 Total. 297, 465.14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 519 ALABAMA. First National Bank. Mobile. No. 1595. J . H. MASSON, President. LLOYD BOWERS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Logal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $426, 87,3. 94 860. 04 100, 000. 00 550,372.53 119, 477. 20 122,885.44 15, 476. 81 10, 000. 00 Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 70, 000. 00 1, 050. 00 Individual deposits 4, 573.10 United States deposits Deposits of U. S. disb ursing officers. "17, 035.57 Due to other national banks j 32, 000.00 Due to State banks and bankers . . 786. 20 47, 800. 00 Notes and bills re-discounted 59, 000. 00 Bills payable - - -' 4, 500. 00 1, 511, 640. 83 100, 000. 00 141, 271. 55 Total., 874, 866.64 17, 052. 47 7, 400.17 1,511,640.83 National Commercial Bank, Mobile. No. 1817. A. A. WINSTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hou^e,furniture,andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. W. B. POPE, Cashier. $250,398.61 i Capital stock paid in. 1,053.9} 'I 50,000.00 :: Surplus fund • l i Undivided profits 21 "190." 00 ; National-bank notes outstanding.. 9,499.56 l! State-bank notes outstanding 4,946.90 131.51 j Dividends unpaid 13,400.00 : 3,332.22 Individual deposits 2, 544. 98 United States deposits 9, 500. 00 Deposits of U. S. disbursing officers. 4,404.92 Duo to other national banks 5, 400. 00 Due to State banks and bankers... 441. 77 15, 257. 00 Notes and bills re-discounted 6, 200. 00 Bills payable $150,000. 00 30, 000. 00 8,191. 76 45, 000. 00 246. 00 91,615.51 134.63 116.82 74,646.68 2, 250. 00 399, 951. 40 Total., 399, 951. 40 First National Bank, Montgomery. J . W. DIMMICK, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank 'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fu-;..l with Treas. U. S. Due from Treasurer U. S Total. A. M. BALDWIN, Cashier. No. 1814. $514,170. 05 I Capital stock paid in. $225, 000. 00 10, 254. 42 50, 000. 00 j Surplus fund 50, 000.00 13,801.48 ! Undivided profits 12, 630. 68 National-bank notes outstanding.. 45, 000. 00 65,165.22 State-bank notes outstanding 29, 917. 28 8, 818. 73 Dividends unpaid 40,783.23 Individual deposits 380,149. 38 4,382.17 United States deposits 14,312. 50 Deposits of U. S. disbursing officers. 1, 562. 49 Due to other national banks 35, 727. 08 13, 752. 00 Due to State banks and bankers .. 25, 237. 07 28.63 10, 520. 00 Notes and bills re-discounted 87. 252. 39 105,000. 00 Bills payable 20, 000. 00 840. 00 882, 107. 10 Total. 882, 1G7.40 520 REPOKT OF T H E COMPTROLLER OF T H E CURRENCY. A L, A B A UI A . Merchants and Planters' National Bank, Montgomery. K. GOLDTHWAITE, President. No. 2029. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Otherreal estate andmortg's owned Current exx>enses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. S. B. MARKS, JR., Cashier. Liabilities. $270, 223. 81 1,444.17 25, 000. 00 250. 00 5, 355. 81 31, 955. 69 1,4:50.48 3,091.15 9, 355. 00 2, 090. 41 3, 693. 54 632. 09 1,831.00 71.50 35, 466. 00 10, 000. 00 Capital stock paid in. Surplus fund Undivided profits . $100, 000. 00 18, 000. 00 13, 821. 50 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers . 172, 498. 50 Due to other national banks Due to State banks and bankers . . 20, 093. 85 9, 084. 52 Notes and bills re-discounted Bills payable 47,017.28 1,125. 00 403, 015. 65 403, 015. 65 Total. First National Bank, Opelika. F. M. RENFRO, President No. 3452. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Dae from Treasurer U. S Total. $90, 689.42 923. 67 13, 000. 00 9,137. 06 2,178. 18 11, 975. 87 2, 742, 00 2, 000. 00 800. 26 3, 055.00 2, 460. 00 56.00 12, 000. 00 20, 000. 00 OKUIX BROWX, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 12, 500. 00 3, 641. 89 11, 700. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 68, 570. 81 Due to other national banks Due to State banks and bankers .. 1,786.83 2, 854.38 Notes and bills re-discounted Bills payable 20, 548. 55 585. 00 Total. 171,602.46 171,602.46 City National Bank, Selma. W. P. ARMSTRONG, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 1736. $622,502.(56 2,561.82 150,000.00 200,000.00 123,950. 00 29*, 354. 94 171,944.57 52, 996. 52 10, 000. 00 . 1, 000. 00 4, 987.1)9 13, 000 00 1, 879.13 29, 304. 00 2t57. 50 23, 879. 00 105, 480.10 A. G. PARRISII, Cashier. li Capital stock paid in. jI !| Surplus fund || Undivided profits.... National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . $400, 000. 00 100,000.00 112,855.13 135,000.00 175 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. «46, 893. 33 199, 685. 61 314. 39 Due to other national banks Due to State banks and bankers .. 6, 565.46 13, 368. 61 Notes and bills re-disconnted . Bills payable 6, 750. 00 1.8J 4, 857. 53 Total. 1,814,857.53 REPORT OF THE COMPTROLLER OF THE CURRENCY. 521 ALABAMA. First National Bank, Sheffield. CHARLES D. TTOODSON, President No. 3617. T. L. BENIIAM, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and inortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Qhecks and other cash items Exchanges for clearing-house Bilk* of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer XJ. S Total . Liabilities. $290,159.89 13, 989. 95 25, 000. 00 5, 085. 05 14,895. 35 9, 894. 02 9, 035. 94 54,296.17 1,315.70 2, 371. 42 1,187. 50 H, 037.14 1, 025. C O 13.72 1, 915. 00 5,000. 00 Capital stock paid i n $100, 000.00 Surplus fund Undivided profits 26, 005. 95 National-bank notes outstanding. State-bank notes outstanding 22, 500. C O Dividends unpaid Individual deposits United States\leposits Deposits of U. S. disbursing officers 108, 552. 58 Due to oUher national banks Duo to State banks and bankers . 36, 369. 57 12,092.55 Notes and bills re-discounted Bills payable 100, 826.20 33, 000. 00 1,125. 00 Total . 439, 346. 85 439, 346.85 First National Bank, Talladega. No. 3899. T. S. PLOWMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank 'g-bouse, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currencv, nickels, cents. Specie 1 Legal-tender notes U.S. certificates of deposit Redemption fund wit h Treas. U. S. Due from Treasurer U. S Total. $72, 446. 64 846. 59 12, 500. 00 5, 000. (0 3,511.60 7,136.88 J. C. BOWIE, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits 1,166.71 5, 491.94 National-bank notes outstanding. State-bank notes outstanding 11,250. 00 Dividends unpaid. 9, 388. 01 4,182. 03 1,635.40 890. 62 Individual deposits United States'deposits Deposits of U. S. disbursing officers 2,210. 00 84.74 4, 865. 00 4, 650. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 44, 637.50 598.12 953.74 15, 312. 00 562. 50 Total . 129,410.01 129,410.01 First National Bank, Tuscaloosa. F . S. MOODY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-. U. S. bonds to secure deposits U. S, bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Duo from State banks and bankers Bank'g-houso, furniture, andfixture: Otherse:il estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1853. $80,971. 93 932. 86 40,000. 00 20, 061. 65 10, 404. 36 31, 665. 65 3, 051.05 9, 015.16 1,346.97 2, 500.00 458. 48 6, 043. 00 16. 27 23, 425. 70 JOHN LITTLE, JR., Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $60, 000. 00 ro, ooo. oo 4, 204. 48 29, 080. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. 118, 960. 84 74.62 333.14 Notes and bills re-discounted. Bills payable , 1,800.00 232, 653.08 Total . 232 653. 08 522 REPORT OF THE COMPTROLLER OF THE CURRENCY. ALABAMA. Merchants' National Bank, Tuscaloosa. G-. A. SEARCT, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 3678. J. M. DANIEL, Cashier. Liabilities. $140,036. 99 16, 474.49 25,000. 00 15, 560.81 7, 085.73 1,640.89 21, 014.76 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . Individual deposits 393. 85 United States deposits 2, 500. 00 Deposits of U. S. disbursing officers $100, ooo. oa 3, 000, 009, 819. 87 22, 500. 00 114,884. 70 174.15 500. 00 506. 85 6, 869. 75 32, 546. 06 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 4, 307.73 416. 97 16, 500. 00 1,1^5. 00 271,429.27 Total . 271, 429. 27 REPORT OF THE COMPTROLLER OF THE CURRENCY. 523 MISSISSIPPI. First National Bank. Aberdeen. No. 3656. FRANK P. JINKIXS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Dae from other national banks Due from State binks and bankers. Bank'g-honse, furniture, ami fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items . Exchanges for clearing-house. Bills of other national banks . Fractional cuiTency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $150, 238. 38 10, 000. 00 25, 000. 00 1, 889. 44 9,245. 84 7,602.10 342. 50 '2. 80 234. 65 5,481.25 4, 521. 49 5, 000. 00 10, 000. 00 10, 000. 00 B. C. JINKINS, Cashier* Liabilities. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbuxsing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $100, 000. 00 10, 000. 00 2,165. 03 22, 500. 00 90, 485. 01 22, 657. 92 165. 49 1,125. 00 600.00 Total . 247,973.45 247, 973. 45. First National Bank, Columbus. No. 2638. C. A. JOHNSTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Kedemption fnnd with Treas. U. S. Due from Treasurer U. S Total. $192,161.01 3,164. 44 75, 000. 00 33, 072. 50 1, 082.24 14, 061. 00 13, 823.83 4, 766. 33 15, 375. 00 1, 644. 76 '""4* 255." 66' 75. 25 25, 809. 75 11, 240. 00 E. T. WILLIAMS, Cashier. Capital stock paid in . Surplus fund Undivided profits. National-bank notes outstanding-. State-bank notes outstanding.. 1.. $75,000. 00 25, 000. 00 16, 952. 76 6i, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 174,291.79 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 14, 504. 66 292. 38 40,478.6a 3, 375. 00 411, 023. 22 Total 411,023.22 First National Bank, Greenville. JAMES E. NEGUS, President Loans anddiscounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from Slate banks and bankers. Bank'g-house. furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3765. $270, 693.18 3, 486. 47 25, 000. 00 14, 555. 00 3, 305. 26 7, 747.48 15, 809.18 910.40 2, 709. 83 1, 375. 00 1, 357.26 2,145. 00 37.!)() 1,74<>. 10 4,413.00 T H O M A S M O U N T , Cashier. Capital stock paid in . $100, <JO0. 00 Surplus fund Undivided profits 30, 000. 00 3, 087. 95 National-bank notes o u t s t a n d i n g - . State-bank notes o u t s t a n d i n g 22, 5 >0. 00 Dividends u n p a i d Individual deposits U n i t e d States deposits Depositsof U.S. d i s b u r s i n g officers. Due to other national b a n k s Due to State b a n k s ami b a n k e r s . Notes nnd bills re-discounted i'ills pa\ able 50,921.22 8, H7o. 18 1, 08U. 7G 133, 344. 95 1,12."). 00 356,410.06 Total . 356, 416. 08 524: REPORT OF THE COMPTROLLER OF THE CURRENCY. M I S S I S S I P P I . First National Bank, Jackson. No. 3332. S. S. CARTEK, President. Resources. Loans and discoants Overdrafts U. S. bonds to secure circulation... U. S. bonds to 3eeure deposits IT. S. bonds on hand Stocks, sec in l ties, judgments, etc .. Due from approved reserve agents. Due from other rial ional banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S D ue from Treasurer TJ. S Total. 0. J. WAITE, Cashier. Liabi lilies. $33'}, 2G7. 96 4,042.57 25, 000. 00 40, 337. 54 5,031.98 2, 851. 48 11,030.76 "1,821.37 5,187.80 3, 943. 27 2, 000. 00 60. 30 9,834. 50 21,871.00 Capital stock paid i n . iioo, ooo. to Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Depositsof U.S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125. 00 180. 00 467,185. 53 35, »'00. 00 7, 5J8. 05 20, 420. 00 2G9, 2.33. 90 4. 8G7, G3 i0, Lin. 95 l 10, 000. 00 467,185. 53 Total . First National Bank, Meridian. CHARLES A. LYERLY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... XJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate andraortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer U. S Total. C. W. RcmixsoM, Cashier. No. 2957. $130, 000. 00 Capital stock paid in. 75, 000. 00 Surplus fund 7,215.11 Undivided profits. 29, 250. 00 40, 226. 22 National-bank notes outstanding. 11, 835. 59 State-bank notes outstanding $346, 610. 34 23, 025. M) 32, 500. 00 766. 65 3, 520. 27 1, 755. 65 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks 330. 00 Due to State banks and bankers .. 53.39 14, 080. 00 Notes and bills re-discounted 20, 000. 00 Bills payable 3, 791. 43 6, 000.00 2, 231.10 222, 343.48 25, 039. 99 4, 147. -J8 25, 193.17 1, 462. 50 10, 000. 00 518,189.03 518, 189. 03 Total . Meridian National Bank, Meridian. T. WISTAR BROWN, President. No. 3176. J. n. WRIGHT, Cashier. $321, 976. 73 | Capital stock paid in. Loans and discounts 47, 767. 53 Overdrafts 25, 000. 00 1 Surplus fund 1 U. S. bonds to secure circulation. -. U. S. bonds to secure deposits : Undivided profits. U. S. bonds on hand National-bank notes outstanding.. Stocks, securities, judgments, etc .. 5, 295. 61 !l State-bank notes outstanding Due from approved reserve agents 1,837.15 Due from other national banks 2,075.85 1 Dividends unpaid i Due from State banks and bankers Bank'g-house, furniture, and fixtures 11, 989. 62 | ! Individual deposits Other real estate and mortg's owned ! United States deposits Current expenses and taxes paid.. 3, 763. 82 ; Depositsof U.S. disbursing officers Premiums on U. S. bonds Checks and other cash items * 1,441. 25 Due to other national banks Exchanges for clearing-house Bills of other national banks ! Due to State banks and bankers . 258. 14 Fractional currency, nickels, cents. 9, 536. 75 j Notes and bills re-discounted Specie 17,021.00 : Bills payable Legal-tender notes '. U. S. certificates of deposit Redemption fund with Treas. U. S . 1,125.00 | Due from Treasurer U. S 449, 088.45 Total. Total . $100,000.00 ro, ooo. oo 13,30(5. 42 22, 500. 00 160, 007, 16 24, G29. 95 1,449.5*7 71,104. 95 419, 0?8. 45 REPORT OP THE COMPTROLLER OF THE CURRENCY. 525 MISSISSIPPI, First National Bank, Natchez. No. ,'5701. J. F. FOHD, President. A. G. CAMPBELL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . XJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks. Due from State banks and bankers. Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender, notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Duo from Treasurer U. S 5246, 4 'A. 73 17, \YM. 49 25, 000. 00 14,077.50 14, 472. 45 4, H.")9. 27 777. 76 2, 62,"). 15 "*3," 5*50." 12 7, 000, 00 723. 64 1, 400.00 13. 35 18, 374. 00 10, 092. 00 10, 000. 00 8, 075. 31 22, 500. 00 Dividends unpaid Individual deposits United St ates deposits Deposits of U.S.disbursing officers. 155, 022. £ Due to other national banks Due to State banks and bankers . . 12, 677.34 166. 67 Notes and bills re-discounted Bills payable 60, 035. 46 " " i , 125^00 Total. 368, 477. 46 Total. $100, 000. 00 Capital stock paid in Surplus fund Undi vided profits National-bank notes outstanding.. State-bank notes outstanding 18, 477. 46 First National Bank, Starkville. No. 3688. H. C. POWERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U S bonds on hand Stocks, securities, iudgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house BilLs of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes $89,4*3.48 9 208. 04 12, 500.00 Redemption fund with Treas. U. S. Due from Treasurer U. S E. L. TAHRY, Cashier. $50, 000. 00 562. 50 Total ... Capital stock paid in Surplus fund .. Undivided profits 4 300.00 1, 987. 30 . . 4,411.03 National-bank notes outstanding.. 1(1, 133. 93 State-bank notes outstanding 639. 13 5.197. 97 | Dividends unpaid 4,964.30 ! Individual deposits 1, 920. 48 United States deposits 1, 000. 00 Deposits of U.S.disbursingofficers. 428. 34 Due to other national banks 1, 000. 00 Due to State banks and bankers . . 38. 50 4 188 00 Notes and bills re-discounted 1, 500. 00 ! Bills payable 147,135. 70 Total 11,250.00 95.00 41, 602.45 295. 23 30 105 72 7, 500. 00 147,135.70 First National Bank, Vicksburg. J . P. ROACH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks 'Dae from State banks and bankers. Bank'g-house,furuiture,audfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3238. R-. C. ALLEIN, Cashier. $274, 559. 31 Capital stock paid in 6,132. 47 37, 500. 00 Surplus fund .• Undivided profits 2, 381. 45 National-bank notes outstanding.. 17,018.05 State-bank notes outstanding 5, 319. 80 2, 652. 84 Dividends unpaid. 3, 200. 00 Individual deposits 2, 611. 26 United States deposits 2, 024.13 DepositsofU.S.disbursingofficers. 203. 55 Due to other national banks 1, 400.00 Due to State banks and bankers . . 200.25 1, 537. 00 Notes and bills re-discounted 38, 739. 00 Bills payable $150, 000. 00 13, 500.00 13, 061.92 33, 750. 00 132, 945. 05 2, 626. 44 1, 421. 94 49, 861. 26 1, 687.50 397,166.61 Total. 397, 166. 61 526 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSISSIPPI. Merchants' National Bank, Vicksburg. No. 3430. C. 0. WILLIS, President. W. S. JONEB, Cashier. Resources. Loans and disc mnts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondsoi hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g. house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes.. TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. Liabilities. $361. 291. 24 •' Capital stock paid in 5. 8H<>. 15 \\ 25,000.00 !, Surplus fund $100,000.00 40, 000. 00 26, 323. 31 Undivided profits 700.00 24, 10r,.16 9, 250. 29 10, 328. 75 2, 000. 00 3, 257.10 6,000. 00 2, 690. 93 2, 200.00 804. 95 18, 736. 00 33, 074.00 National-bank notes outstanding.. State-bank notes outstanding 21,120. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 235,171. 73 1, 880. 07 340. 74 81, 611. 72 1,125. 00 Total. 506, 447. 57 506, 447. 57 First National Bank, West Point. P. B. DUG AN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due ft om other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. T. M. MOSELEY, Cashier. No. 2891. $75, 000. 00 Capital stock paid in. 15, 000. 00 Surplus fund 10,433.21 Undivided profits. 36, 074. 56 National-bank notes outstanding.. 16, 850. 00 13, 590. 54 State-bank notes outstanding $103, 873.16 13, 467. 45 1H, 750. 00 4, 732. 44 5, 248. 45 5, 000. 00 9, lOt). 20 1, 156. 20 5,531.25 Dividends unpaid. Individual deposits United States deposits Deposi ts of U. S. disbursing officers. 500. 00 69. 44 4, 067. 50 3, 959. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 82,138.83 27, 049. 65 842. 50 500. 00 Total. 226,471.69 226, 471. 69 First National Bank, Yazoo City. L. LTPPMAN, President. Loans and discounts Overdrafts ? U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bauk'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bond's Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3566. $60,433.35 4.16 12, 500. 00 4, 230. 01 10,635.00 355. 80 37. 25 1,031.87 949. 07 3, 500. 00 5, 087. 75 875. 00 .94 6, 595. 05 1,616.00 R. L. BENNETT, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 3, 500. 00 2, 510. 87 11, 250. 00 Dividends u n p a i d . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 34,155.09 6, 997. 79 562. 50 108,413.75 li Total. 108, 413.75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 527 LOUISIANA. First National Bank, Baton Rouge. No. 2633. WILLIAM CARIG, President. D. M. REYMOXD, Cashier. Resources. Loans and discounts | Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture,andfixtureSj Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bids of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. $207,49J. 63 Capital stock paid i n . $100, 000. 00 25, 000.00 S u r p l u s fund Undivided profits 13, 000. 00 9, 240. 54 7,139.07 16,005.11 National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g 22, 500. 00 1, 140.08 1, 100.00 "i," 837." 33 5, 000. 00 20. 00 30. 63 10, 480. 50 161 00 Dividends unpaid 104. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to Stato banks and bankers . 131,662.02 21.84 Notes and bills re-discounted . Bills payable 1,125.00 Total. 276, 534.40 276, 5J4.40 Monroe National Bank, Monroe. J. A. CON WAY, Cashier. No. 4082. L. D. MCLAIN, President Loans and discounts Overdrafts :..U S. bonds to secure circulation. -. U S. bonds to secure deposits U S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-housejfurniturOjand fixtures Other real estate and mortg's owned Cuirent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total.. $51, 232.13 631. 86 15, 000.00 Capital stock paid in. $60, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. 8, 571. 06 State-bank notes outstanding 670.25 1, 958. 77 Dividends unpaid 2,124.62 Individual deposits "1,330.66 United States deposits 4, 256. 25 Deposits of U.S. disbursing officers. 524. 42 Due to other national banks 75.00 325. 8i) Due to State banks and bankers. 6, 235.25 Notes and bills re-discounted . 5, 000. 00 Bills payable 1,484.31 12, 250. 00 24, 876. 76 675. 00 Total. 98, 611.07 98,611.07 Ouacnita National Bank, Monroe. D. A. BREABD, J R . , President. Loans and discounts Overdrafts U S. bonds to secure circulation... U S bonds to secure deposits U S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-honse,furniture,andiixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes U. Is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3692. T. E. FLOUUNOY, Cashier. $157,210.56 , Capital stock paid in. 35,767.18 ; 12,500.00 : urpl Undivided profits. 100. 00 3,142.40 6, 980. 73 2, 607. 41 5, 522.95 """876." 65* 625. 00 7, 814.61 *" ieo.oo .45 4, 884. 35 8, 542. 00 National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 25, 000. 00 13, 944. 60 11,235.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 100,325. 56 6, 845.57 40, 000. 00 "562.50" 247, 350. 79 Total 247, 350. 79 528 REPORT OF THE COMPTROLLER OF THE CURRENCY. LOUISIANA, New Iberia National Bank, New Iberia. J. E. BREAUX, President No. 3671. P. L. RENOUDET, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bankg-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $169, 212. 70 88.52 12, 500. 00 15, 000. 00 17,072.04 2, 500.00 Capital stock paid in. $50, 000.00 Surplusfund Undivided profits . National-bank notes outstanding... State-bank notes outstanding Dividends unpaid Individual deposits 816. 63 j; United States deposits 4, 059.38 I Deposits of U.S. disbursingoflicers1,000.00 .67 14,133.25 4, 311. 00 13, 000. 00 3, 782. 37 11, 250. 00 103,844.32 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 Total. 241,876.69 i 241,876.69 American National Bank, N e w Orleans. H. GARDES, President. No. 3978. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Barik'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bdls of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. IS. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $334, 703.38 12, 540. 31 50, 000. 00 10.00 23, 218. 68 9, (519. 05 3, 924.43 5, 743. 78 4,560 30 14,468. 75 3, 661.48 29, 224. 53 5,180. 00 1, 442.48 14, 583.65 8, 640. 00 $200, 000.00 Surplus fund Undivided profits National-bank notes outstanding-. State-bank notes outstanding 125. 00 6, 771. 01 45. 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 293,061.67 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . . . . Billspayable 11,148. 93 68.95 57, 607. 26 2, 250. 00 Total. 523, 782. 82 Total. ~V\ . W. GIKAULT, Cashier. Capital stock paid in. 523, 782.82 Germania National Bank, N e w Orleans. T. PRUDHOMME, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1591. $1,156, 702.72 245.10 50, 000. 00 119,218. 59 570. 87 6,464. 79 645.63 6,000. 00 14,198. 54 52, 433.24 4, 102. 00 221. 55 18, 370. 50 125, 978. 00 J. L. BERCIER, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding . . . Dividends unpaid $300,000.00 180, 000.00 41,097. 40 39, 645.00 910.00 Individual deposits United States deposits DepositsofU.S.disbursingofiicers. 866, 787. 41 Due to other national banks Due to State banks and bankers. - 122, 446. 78 6, 514. 94 Notes and bills re-discounted. Bills payable 2, 250. 00 1,557,401.53 Total. 1, 557,401.53 REPORT OF THE COMPTROLLER OF THE CURRENCY. 529 LOHSIA1VA. Hibernia National Bank, New Orleans. GEORGE R. PRESTON, President. Resources. Loans and discounts Overdrafts U. S bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso, furnit ire, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XJ. S . Due from Treasurer U. S Total. No. 2086. | CHAS. PALFREY, Cashier. Liabilities. $018,930.92 i Capital stock paid in 36, 2U 00 :| 300,0i>i>. oo .; Surplus fund 100,000.00 I! Undivided profits . (500. 00 ;! 21,102. 25 \\ National-bank notes outstanding.. 72,830.00 I: Slate-bank notes outstanding 32, 829. 04 I I 4,120.27 jl Dividends unpaid 40,000.00 l! 6, 8S9.00 ! Ti\ UOiJ. 00 89.). 05 77, 734. < 8 1, 500. 00 700. 00 121,050.00 '28, 711. 00 $300, 000. 00 150,000. 00 42, 395. 34 203, 600. 00 3,641.00 Individual deposits United States deposits Deposits of U. S. disbursing officers 913, 678.10 111,573.22 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 41, 907. 00 27, 882. 20 50, 000. 00 13, 500. 00 Total. 1, 904, 076. 86 1, 904, 676.86 Louisiana National Bank, N e w Orleans. R. M. "WALMSLEY, President. Loano and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U . S. bonds on hand Stocks, securities, judgments, e t c . . D u e from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house, furniture, and .fixtures Othei real estate, and mortg's owned C u r r e n t expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other c:ish items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U . S. certificates of deposit Redemption fund with Treas. XJ. S D u e from Treasurer XJ. S Total No. 1626. $2, 334, 543. 20 875. 00 50,000.00 : 516,406.00 412, 0(K S4 30:'), 3 i7. 7!) 20:?, 570. 51 100,000.0;) 13, 81 v. 98 29,000.91 13, 500. 00 LEON F . .JANIX, Cashier. Capital stock paid in $500, 000. 00 ! I '• Surplus fund Undivided profits National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 150,000.00 98,105.78 45, 000. 00 1, 850. 00 Dividends u n p a i d . Individual deposits United States deposits Deposits ot'U.S. disbursingoflicers 268, 4H2. 23 j. Due to other national b a n k s ?4, 000. 00 I! Due to State banks and bankers . . 965.83 9 6 5 3 iij 18, 290. 00 | Notes and bills re-discounted 301418 301,418.00 ;j Bills payable 2, 654, 699. 34 735, 822. 74 413. U49. 46 2, 250. 00 | 4,598,527.32 Total 4,598,527.32 Mutual National Bank, N e w Orleans. L. C. FALLON, President. No. 1898. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... X S. bonds to secure deposits L U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. Duo from State banks and bankers. Bank'g-house, furniture, andfixtures Orher real estate, and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit ... Redemption fund with Treas. U. S . Due from Treasurer XJ. S Total H. Ex. 3- -34 J . J". TAHLETON, Cashier. $956, 09"). 70 Capital stock paid 6. 755.01 50, 000. 00 ! Surplus fund ; Undivided profits in. 112,400.00 i National-banknotes outstanding.. 50, 239. 90 i State-bank notes outstanding 8, 703. 50 Dividends u n p a i d . 53,314.32 42,282 43 23, 318. 77 Individual deposits United States deposits 6,335.41 DepositsofXJ.S.disbursingomcers. 85, 227. 02 8, 98">. 00 73. 27 60, 262. 00 28, 550, 00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable $3oo,ooo7oo 100,000.00 21, 498.13 45, 000. 00 384. 00 C69, 992. 95 26,197. 42 22, 50 5. 67 259,276.16 50, 000. 00 2, 250. 00 1,491,852.33 Total. 1,494, 852. 33 530 REPORT OF THE COMPTROLLER OF THE CURRENCY. LOUISIANA . New Orleans National Bank, New Orleans. ALBERT BALDWIN, President. No. 1778. W M . PALFREY, Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $2,594,874.35 238, 247. 00 50, 000. 00 200, 000. 00 3,800. 00 729, 769.50 212,832.56 192,110.69 45, 532. 04 9.3, 616. 53 18,171. 69 48,1L7.43 464. 45 191, 093. 72 35, 544. 00 255. 01 i 119, o;>o. oo Capital stock paid in Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted $200, 000.00 600. 000 00 97,408. 73 34, 500. 00 1,450.00 3, 069, 539. 51 220. 000. 00 158. 130.35 1L0, 788. 00 345,851.78 200, 000.00 260, 000. 00 2,250.00 5, 037, 728. 97 Total 5, 037, 728.97 State National Bank, New Orleans. T. R. ROACH, Cashier. No. 1774. $1,405,187.80 I Capital stock paid in. $425, 000.00 Loans and discounts 7,545.12 Overdrafts 70, 000. 00 50,000.00 U. S. bonds to secure circulation... Surplus fund 51,990.02 U. S. bonds to secure deposits Undivided profits U. S. bonds on hand 166, 263. 75 National-bank notes outstanding. 45, 000. 00 Stocks, securities, judgments, etc .. 145, 250. 35 State-bank notes outstanding Due from approved reserve agents. PIERRE LANAUX, President. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other n ational banks Fractional currency, nickels, cents . Specie Legal-tender notes U . S . certificates of deposit _ Redemption fund with Treas. U. SDue from Treasurer U. S Total 82, 824.09 121,447.76 Dividends unpaid. 22,712.25 42. 944, 96 Individual deposits 13, 725. 67 United States deposits 2, 500. 00 Deposits of U. S. disbursin g officers. 121.87 175, 365.12 Due to other national banks 8,100.00 Due to State banks and bankers . 1, 440. 87 86,109. 00 Notes and bills re-discounted 55, 623. 00 Bills payable 1, 785. 00 1, 237, 947. 26 6fi, 579. 67 201,179.14 149,761.84 140,168.68 2, 250.00 2,389,411.61 Total 2,389,411.61 Union National Bank, New Orleans. CARL KOHN, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total S. CHALARON, Cashiert No. 1796. $500, 000. 00 Capital stock paid in. Surplus fund 100, 0 0. 00 68, 742. 98 Undivided profits 316, 839. 50 National-bank notes outstanding.. 45, 000. 00 101,314.54 State-bank notes outstanding $1, 430, 545. 65 207, 000. 00 50, 000. 00 53,681.47 17, 304. 96 3,000.00 4, 083. 52 11, 342. 89 11,063. S3 272,821.91 15, 676. 00 2, 369. 60 122, 618. 00 40, 080. 00 Dividends unpaid 4, 880. 83 Individual deposits United States deposits Deposits ofU. S. disbursing officers. 1,179,627. 10 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . . . . Bills payable 146, 519.40 539, 880.19 77, 39'. 37 2, 250. 00 2,662,041.87 Total. 2, 662, 041. i>7 REPORT OF THE COMPTROLLER OF THE CURRENCY. 531 LOUISIANA. Whitney National Bank, New Orleans. JAMES T. HAYDEN, President. No. 3069. J . M. PAGAUD, J R . , Cashier. Liabilities. Resources. $1, 979, 853.41 Loans and discounts 919.84 Overdrafts 400, 000.00 U. S. bonds to secure circulation... 200, 000. 00 U. S. bonds to secure deposits IT. S. bonds on hand 100. 00 Stocks, securities, judgments, etc. j 145, 574. 86 Duo from approved reserve agents I 17, 370. 02 Duo from other national banks 14, 838.95 Due from State banks and bankers 1,500.00 Bank'g-houso,turniture,and fixtures Other real estate and mortg's owned: Current expenses and taxes paid .. | 11, 043. 91 Premiums on IT. S. bonds 72, 500. 00 Checks and other cash items 124,215,94 Exchanges for clearing-house 5, 023. 00 Bills of other national banks 031.03 Fractional currency, nickels, cents. 6G, 829. 00 Specie 130,817.00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 18, 000.00 Due from Treasurer U. S Total Capital stock paid in. $400, 000.00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 200, 000. 00 83, 842.08 360, 000.00 328.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 1, 259,129.99 220, 0J0.00 Due to other national banks Due to State banks and bankers . . 428, 992.81 102, 556.68 Notes and bills re-discounted . Bills payable 135, 000. 00 3,189,849. 56 Total . 3,189,849.56 First National Bank, Shreveport. EDWARD JACOBS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . . IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents Due from other national banks Due from State banks and bankers 1 Jan k'g-houso,furnitui'e,and fixtures! Other real estate and mortg's owned! C urrent expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks .Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3595. W. B. JACOBS, Cashier. $409,807.51 ! Capital stock paid in. 128,279.24 j 50,000.00 i Surplus fund .. 100,000.00 ! ULdivided profits. jj National-bank notes outstanding. 30,118.38 ! State-bank notes outstanding.... 1, 436. 00 11,270.23 Dividends unpaid $200, 000.00 Individual deposits United States deposits Deposits otU.S.disbmsingonicers 188, 601.09 110, 000. 00 14, 350. 77 1, 521. 00 36, 000. 00 17, 414. 41 45, 000.00 1,550.10 Due to other national banks '4,245.66' Due to State banks and bankers .. 1,458. 35 38,481.25 Notes and bills re-discounted 30, 000.00 Bills payable 25. 909.25 498.16 201,411.58 2, 250.00 824,834.49 1 Total 824, 834.49 Commercial National Bank, Shreveport. JOHX G. Me WILLIAMS, President. Loans and discounts Overdrafts Lr. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g-houso, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3600. $274,913.67 32,735.00 25, 000.00 12,193. 00 17, 650.98 6, 275. 45 2, 363.92 1, 726. 29 2,138. 74 S. B. MCCUTCHEN, Cashier. Capital stock paid i n . Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $100,000.00 21, 000.00 11, 834.43 22, 500.00 Dividends u n p a i d . Individual deposits United States deposits Deposits of U.S. disbursing officers. 216, 056. 57 Due to other national banks Due to State banks and bankers . . 9,747.12 181.74 22, 840. 00 26.10 24, 247. 25 22, 000.00 Notes and bills re-discounted Bills payable 64, 279. 02 1,125. 00 445,417.14 Total . 445, 417.14 532 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Abilene. No. 3195. J. n. PARRAMOKE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furnituro,andfixtures Other real estate andraortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT. S Total. OTTO W. STEFFENS, Cashier. Liabilities. $151, 324.14 5, Oil. 94 12, 500. 00 9, 400. 00 11, 133.80 12,298.32 7, 938.35 10,000.00 3, 500. 00 1,289.45 500. 00 611.29 2, 745. 00 3.00 376. 75 10,000. 00 $50, 000. 00 Capital stock paid in*.. Surplus fund Undivided profits. 25, 000.00 4,777. 37 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 112,770.18 4,941.96 239.06 30, 215. 97 562. 50 239,194.54 Total . 239,194. 54 Abilene National Bank, Abilene. No. 3336. THEOD. HEYCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. G. LOWDON, Cashier. $255,021. 33 10,219.91 25, 000.00 Capital stock paid in. Surplus fund Undivided profits. 5,000.00 National-bank notes outstanding. 6,225. 42 State-bank notes outstanding 6,415.11 855. 02 Dividends unpaid 10, 038.60 17,568. 36 Individual deposits 1,414. 06 United States deposits 3, 034. 63 Deposits of U.S. disbursing officers $100, 000. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 3, 702.63 8,235.21 55, 000.00 7, 033. 50 22, 500. 00 110, 859. 24 2, 239.92 1, 710. 00 89.35 7,301.75 15,000.00 60, 927.86 1,125.00 368, 258.46 Total . 368,258.46 First National Bank, Albany. G. T. REYNOLDS, President. Loaim-and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits.... U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Duo from Treasurer U. S Total. No. 3248. N. L. BARTHOLOMEW, Cashier. $75, 000.00 Capital stock paid in. 25,000.00 Surplus fund 6,182.75 Undivided profits National-bank notes outstanding.. 16,275.00 6, 991.35 State-bank notes outstanding $140,497.44 1, 608. 56 18, 750. 00 10, 030.91 27. 37 9, 293.40 869.19 829.15 8.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks 150.00 Due to State banks and bankers .. 8:J. oo , 1, 650. 00 Notes and bills re-discounted 4,115. 00 Bills payable "843.'75* I 195, 747.12 Total. 65,967.99 229.74 411.12 6,680.52 195, 747.12 REPORT OF THE COMPTROLLER OF THE CURRENCY. 533 TEXAS. First National Bank, Alvaraclo. No. 3644. M. SANSOM, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks ... Due from State banks and bankers. Bank'g-house, furniture, andtixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $56,312.38 8, 798. 90 12, 500. U0 1, 093. 56 13, 326. 02 7. 18 2,810.00 "i,*277."88i 9J0. Oj j 980.00 5. 10 6, 900. 00 4, 500. 00 J. R. POSET, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits. 'National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 2. 000. 00 7,351.46 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. dislm rsing ollieers. 28, 817. 90 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted IUlls payable 584.16 10, 000.00 562. 50 110, 003. 52 Total. 110,003.52 First National Bank, Austin. R. J. BRACKENIMIKJE, No. 2118. J. T. BBACKENRIDGE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Dae from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total.. $295, 065. 75 1,22:5.04 50, 000. 00 16, 857. 84 18,434.24 22, 773. 45 18, 532. 78 9, 800.00 1, 323. 89 2, 370. 00 150.68 8, 703. 00 15, 000. 00 Cashier. $100, 000. 00 Capital stock paid in Surplus fund Undivided profits i National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursingoilicers. Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 2, 501. bO 45,000.00 228, 908. SI) 15, 135.05 13,419.13 2, 250. 00 Total. 463, 084. 67 463, 084. 67 City National Bank, Austin. A. P. "WOOLDRIDGE, President. Leans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks ... Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. N o . 3289. 1301,011.56 24, 972. 40 25, 000. 00 50, 000. 00 2, 887. 50 965. 97 23, 407. 76 17,112.54 27,166. 26 3,569.21 14, 750. 00 2, 300. 00 20, 896. 00 3. 20 19, 599.00 M. C. MILLEU, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 40, 000. 00 4,159.61 22, 500. 00 Dividends unpaid Individual deposits "United States deposits Deposits of U.S. disbursing ollicii' 222, 878. 38 60,6*4.21 248. 34 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 22,912.06 11, 353. 80 50, 000.00 1,125. 00 534, 766.40 Total. 534, 766. 40 534 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. State National Bank. Austin. EUGENE BREMOND, President N o . 2G17. J. G. PALM, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-ho use, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. F. W. JAMES, President. $339, 0;V2. 77 |j Capital stock paid in. ],8LL38 ii 25,000.00 !! Surplus fund Undivided profits 22, 500. U0 Dividends unpaid. Individual deposits United States deposits 7, 09.5. 75 DepositsofU.S. disbursing officers 450, 308. 52 121. 07 12, 000. 00 173.51 42, 070. 90 45, 000. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 23, 041.10 7, 341. 0G 1,125. 00 Total. 650, 662. 53 $123,088.78 2, 695.81 21, 250. 00 6, 582. 66 8, 945.57 4, 699.83 5, 531.16 4, 343.00 524. 39 1, 200. 00 100.05 2, 690. 00 28.72 255.00 3, 500. 00 650, 662. 53 W. C. POWELL, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. $85, 000. 00 5, 000. 00 4, 050. 12 19,120. 00 18.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 54,248.86 2, 521.14 1, 337. 29 15, 092. 50 956. 00 Total., 186, 390.97 Total. 25, 000. 00 16,411.85 National-bank notes outstanding.. State-bank notes outstanding 4,5:U.9t 87,983.99 47, 85G. 10 30, 721. 02 3, 621.10 2, 500. 00 First National Bank, Baird. No. 3286. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andraortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $100, 000. 00 186, 390. 97 First National Bank, Ballinger. WILLIAM S. DAVIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State 'banks and bankers. Bauk'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. D. M\ BAKER, Cashier. No. 3533. $86, G71. 07 1, 894. 84 12, 500. 00 5,679.16 5, 243. 03 3, 207. 33 4,103.59 j 1,099. 05 600. 00 1, 717. 37 80.10 1, 613. 50 2, 555. 00 Capital stock paid in., Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $50, 000. 00 3,100. 00 3,473. 58 11, 250. 00 43, 425. 83 3,189.00 761. 7d 12, 225. 75 562. 50 127,426. 54 Total. 127, 426. 54 REPORT OF THE COMPTROLLER OF THE CURRENCY. 535 TEXAS. First National Bank, Bastrop. J . C. BUCHANAN, No. 4093. President. Resources. Loans and discounts Overdrafts U. 8. bunds to secure circulation ... V. S. bunds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo irorn approved reserve agents. Du from or her national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Cunviit expenses and taxes paid .. Premiums ou IT. S. bonds Checks and other cash items Exelianges for clearing-house lulls of iith« r national banks 1'raciional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . V. W I E S S , President. S. DUNCAN, Cashier. Liabilities. $42,864.07 13,415.38 12,500. 00 7, 742.99 14, 778.19 12, 368. 59 2, 258. 30 511.88 3, 515.63 805.00 116. 75 14,439.75 22,000.00 Capital stock paid i n . . 1,469. !>7 National-bank notes outstanding . i State-bank notes outstanding..... 11, 070. 00 Dividends unpaid 84, 352.88 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers 986.18 Notes and bills ro-discounted . . . Bills payable 562. 50 Total . . 147, 879.03 First National Bank, Beaumont. No. 4017. $163, 572. 59 ! Capital stock paid in I Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from Slate banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national T)anks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $50, 000. 00 Surplus fund Undivided profits. 147, 879. 03 J. P. ALVEY, Cashier. ! 36.53 j 25,000.00 Surplus fund Undivided profits. 6, 917.42 810.10 6, 825.88 678. 30 3, 007.70 7,406.25 229. 80 ""lo.'oo 1,29 1, 999.00 7, 631.00 $100,000. 00 ! '1 6,* 594*02 22, 500. 00 National-bank notes outstanding . State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 95, 731. 00 Due to other national banks Due to State banks and bankers .. 425.84 Notes and bills re-discounted . Bills payable 1,125. 00 225, 250. 86 Total . 225,250.86 Belton National Bank, Belton. J. Z. MILLER, SE., President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand i Stocks, securities, judgments, etc .. I Due from approved reserve agents | Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3295. $284, 207. 26 2,552.88 37, 500. 00 J . Z. M I L L E R , J R . , Cashier. Capital stock paid in Surplus fund Undivided profits $150,000.00 j [I 15,000.00 | National-bank notes outstanding.. 8, 068. 68 ! State-bank notes outstanding 2,563.59 | Dividends unpaid . 12,500.00 Individual deposits 771.40 United States deposits 4, 000.00 Deposits ot U,S. disbursing offic 5, 700. 00 55. 32 10, 000.00 25,000.00 3,034.97 18, 440.19 33, 750. 00 149, 994. 29 3,053.18 Due to other national banks Due to State banks and bankers . . 51, 334.00 Notes and bills re-discounted Bills payable 1, 687. 50 409,606.63 Total t 40$ 60& 63 536 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Bonham. No. 3094. "W. A. NUNNELEE, President. A. B. SCARBOROUGH, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits X . S. bonds on hand T - . Stocks,securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and niortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total Liabilities. Capital stock paid in. $1G1,454.24 f>l 31)6.87 la, 000. 00 $60, 000. 00 ! Surplus fund j Undivided profits 700.00 I National-bank notes outstanding . 1, 340. 60 State-bank notes outstanding 15, 9 0. i)2 524. 28 14, 800. 00 237. 57 13, 500.00 ', Dividends uupaid Individual deposits "i'llO. 86 ! Umte< I Sta tes deposits Depositsof' U.S.disbursiug officers. 3, 600. 00 1, 674. 00 40. 90 20, 000. 00 19, 915. 93 Due to other national banks j Due to State banks and bankers ... Notes and bills re-discounted . Bills payable 30* 85 i! 00 148, 603.92 3, 879. 73 43, 000. 00 675.00 308, 899. 58 Total . 308, S99. 58 First National Bank, Brenham. J. N. BROWN, Cashier. No. 3015. F . A. ENGELKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers.1 Bank'g-house, furniture, andfixturesl Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $141, 690. 31 269. 06 25, 000.00 $100, 000. 00 i Capital stock paid in ; 12,000.00 2, 625. 75 Surplus fund Undivided profits. j National- bank notes outstanding. State-bank notes outstanding 593.23 5, 980. 28 32. 8S9. M 14, 5.31.3 L 17, COS). 50 5, 500. 00 1,345.17 4, 094. 38 Individual deposits ! United States deposits j ! Deposits of U.S.disbursing officers. 4, 595. 00 33. 07 13,555.00 25, 000. 00 Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted. ! Bills payable 22, 500.00 j Dividends unpaid. 126, 412.37 391. 87 30, 000. 0C 1,125. 00 293, 929. 99 Total . 293, 929. 99 First National Bank, Brownwood. D. H. KENT, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reservo agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's ovyned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 2937. $192, 511. 93 10,217.40 25, 000.00 4,841.00 3, 7,10. 49 8,431.00 424, 55 14, 200. 0J " 1,369.22 2, 000. 00 . 87 4, 200.00 212. 60 8, 610. 75 25,13J. 00 BROOKE SMITH, Cashier. Capital stock paid in Surplus fund Surplus liiud Undivided profits. National-bank notes outstanding. State-bank notes outstanding $100,000.00 10,180.00 5, 258.18 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 125,989.78 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 4,469. 62 387.21 17, 735. 00 10,000.00 1,125.00 500. 00 302, 519. 79 TotAl . 302, 519. 79 REPORT OF THE COMPTROLLER OF THE CURRENCY. 537 TEXAS. First National Bank, Bryan. No. 344G. J. S. FOWLKES, President. J . W. HOWELL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-ho use, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $159, 001. 61 28,563.81 25, 000. 00 16,948. 32 45,401,40 8, 537.38 2, 711. 55 3, 000. 00 1, 544. 00 1, 600. 00 982.17 540. 00 300. 72 19, 465. 80 10, 550. 00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding 6,722.42 2,386. 06 22,350.00 8, 000. 00 Dividends unpaid . Individual deposits United States deposits Depositsof U.S. disbursing officers. 157,104 06 Due to other national banks Due to State banks and bankers .. 7.71 378.18 K otes and bills re-discounted Bills payable „ 28, 583.33 1,125. 00 325, 331. 76 Total., 325, 331.76 Merchants and Planters' National Bank, Bryan. J. N. COLE, President. No. 4070. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums- on U.S. bonds Checks and other cash itoms Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $40, 707. 93 37, 314. 50 25, 000. 00 966. 25 43, 424. 85 5,931.95 345. 25 J . P . BURUOUGII, Cashier. Capital stock paid in. Surplus fund. Undivided profits National-bank notes outstanding.. State-bank notes outstanding $70,000. 00 3, 007. 82 22, 500. 00 Dividends unpaid Individual deposits 724*56" United States deposits 1, 750.00 Deposits of U. S. disbursing officers. 542. 70 Due to other national banks , 1, 635. 00 Due to State banks and bankers . 491.08 5,478. 50 Notes and bills re-discounted. , 12,162. 00 Bills payable 82, 053. 58 38.11 1,125. 00 177, 599.51 Total. 177, 599.51 First National Bank. Burnet. W. H. "WESTFALL, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agentsDue from other national banks Due .from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums ou U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3007. TV. H. BOGGESS, Cashier. $136, 384. 59 Capital stock paid in. $75, 000.00 4, 660.48 18, 800.00 Surplus fund 8,000. 00 11, 6J5. 23 Undivided profits. 10, 000. 00 National-bank notes outstanding.. 16, 350. 00 7, 212. 30 State-bank notes outstanding 15, 622.79 10, 342.96 Dividends unpaid 75.00 6, 218. 65 3, 951. 60 Individual deposits 125, 051.77 1,018.72 United States deposits . . . 2,500. 00 Deposits of U. S. disbursing officers. 52.35 Due to other national banks 21.674.37 985.00 Due to State banks and bankers . . 1, 030. 22 81.90 18, 955. 25 Notes and bills re-discounted. 21,194. 00 Bills payable 846. 00 258, 826. 59 Total. 258, 826. 59 538 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Calvert. No. 3742. J. S. MCLENDOX, President. J. A. FOSTER, Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on 0". S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U.Is. certificates of deposit Redemption fund with Troas. TJ. S Due from Treasurer U. S Total., Liabilities. $144, 420.15 38,310.73 20, 000. 00 215.00 24, 304. 65 31,583.93 8,174.21 10, 000. 00 "i*007. 30 4, 000. 00 150. 82 2, 390. 00 242. 50 9, 747. 00 10,020.0Q Capital stock paid in $80, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 20, 000.00 4,931.28 18, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 153, 395. 03 Due to other national banks Due to State banks and bankers . . 507. 58 Notes and bills re-discounted Bills payable 8, 603. 00 900.00 285, 556.89 Total. 285, 556.89 First National Bank, Cameron. No. 4086. JOHN M. HEFLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due irom State banks and bankers Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $28, 647. 21 C. P. DODGE, Cashier. Capital stock paid in. $30,000. 00 ' " i 2," 500." 66" Surplus fund j Undivided profits. 743.75 1, 674. 74 9J8. 43 300. 00 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing ofiicers. 35.00 .57 2, 563. 00 3, 450. 00 8, 903.59 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 254. 60 6, 000. 00 562. 50 56, 408.19 Total. 56, 408.19 First National Bank, Clarksville. A. P. DICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankersBank'g-house, funiiture,and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes.... U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. T. MCDONALD, Cashier. No. 3973. $43, 848.22 17,250.08 12, 500. 00 5, 733. 50 3, 520.27 2, 204.11 991. 80 563.73 3, 500. 00 382.41 75.00 12.00 5,014.00 8, 670. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 3, 000. 00 1,188.90 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 38,148. 49 Due to other national banks Due to State banks and bankers . . 1,166.28 73.95 Notes and bills re-discounted . Bills payable 562.50 101,827.62 Total. 104, 827. 02 REPORT OF THE COMPTROLLER OF THE CURRENCY. 539 TEXAS. First National Bank, Cleburne. No. 2982. C. W. MERTZ, President. C. L. HEATH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts V. S. bonds to secure circulation .. IT. S. bonds to secure deposits U.S. bond son hand Stocks, securities,judgments, etc.. Due from approved reservo agents Due from other national banks Due from State bunks and bankers. Bank'g-house,furniture, and fixtures Other real-estate and mortg's owned Current expenses and taxes paid . . Premiums on TJ. S. bonds Checks and oth.r cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S Due from Treasurer U. S Total. $119,028.99 19, 625. 45 25,000.00 Capital stock paid in $50, 000.00 Surplus fund Undivided profits 7, 012.11 3, 505.10 3, 812 00 National-bank notes outstanding. 27, 724.80 State-bank notes outstanding..'.. 10,828.17 41. 35 Dividends unpaid 2,480. 28 Indi vidual deposits 1,316.30 United States deposits 3, 390.63 Depositsof U.S.disbursing officers 360.00 Duo to other national banks 1, 090. 00 Duo to Stato banks and bankers. 38.86 955.00 Notes and bills re-discounted 15, 000.00 Bills payable 562. 00 1, 500.00 Total. 232,756.83 11,250.00 128,073.27 13, 842. 87 1,426.48 17, 647. 00 232,756. 83 National Bank, Cleburne. S. E. Moss, President. No. 4035. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture.andlixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges fur clearing-house Bills of other national banks Fractional c u r r e n t , nickels, cents. Specie — Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $74, 864.42 13,633.71 19, 000. 00 N W. FLOOKE, Cashier. Capital stock paid in $75, 000.00 Surplus fund Undivided profits. National-bank notes outstanding 7, 250. 66 State-bank notes outstanding. .. 5, 824.05 4, 890. 94 Dividends unpaid 13,042.67 Individual deposits 387. oo United States deposits 5, 478. 25 Deposits of U. S.disbursing officers. 511.20 Duo to other national banks 660.00 Due to State banks and bankers.. 65.70 3, 416.00 Notes and bills re-discounted 25, 807. 00 Bills payable 3, 393. 03 17,100.00 78, 277. 92 1, 753. 71 162. 49 853. 00 175, 687.15 Total. 175, 687.15 First National Bank, Coleman. J . D. DAVIDSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents Due from other national banks Duo from Stato banks and bankers. Bank'g-houso, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specio Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3433. $84, 099. 30 708.83 12, 500.00 J. B. COLEMAX, Cashier. Capital stock paid in Surplus fund Undivided profits National-banknotes outstanding. State-bank notes outstanding 13,310.21 6, 000.00 13, 021.11 ""'887.'59" 450. 00 131.50 235.00 38.70 6,663. 50 3, 775.00 $50, 000. 00 7, 000. 00 5, 084. 36 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 43, 717. 05 2, 939. 95 1, 237. fr-8 21, 26 i. 00 '""562." 50* 110. 00 142,493.24 Total. 142,493.24 540 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Colorado. H.B. SMOOT, Cashier. No. 2893. WDJFIELD SCOTT, President Resources. Loans and discounts Overdrafts U. S. bonds to securo circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other'national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. ;209,171.07 5,403. 85 25,000. 00 5, 555.17 ]7, 521. 39 7, 933.90 4, 756. 05 10, 000.00 2,105.71 30.'53 5,600. 00 7.56 492. 00 12, 000.00 $100,000.00 Capital stock paid in Surplus fund Undivided profits 40, 000. 00 8, 470. 39 National-bank notes outstanding. State-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 117,144.20 Due to other national banks Duo to State banks and bankers .. 2; 647. 04 Notes and bills re-discounted Bills payable 1G, 000. 00 1,125.00 306, 762.23 306, 7G2. 23 Total. Colorado National Bank, Colorado. R. L. BALL, President A. Piturr, Cashier. No. 2801. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks .Duo from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national baaks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with' Treas. IT. S Dae from Treasurer U. S Total. $289,613.38 6, 939. 84 37, 500.00 29,820.07 4, 444.07 "15,665.66" 2,849.01 2,000.00 168. 65 5, 325. 00 32.00 6, 558. 00 9, 785. 00 $150, 000. 00 Capital stock paid i n . Surplus fund Undivided profits 30, 000. 00 13,222.92 National-bank notes outstanding.. State-bank notes outstanding 33, 750. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S disbursing officers. 143,757.01 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 40.00 6, 814. 33 837. 04 33, 301. 25 1, 687. 50 Total. 411, 723.15 411,723.15 First National Bank, Comanche. H. R. MARTIN, President Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Du© from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-houso,furniture,and fixtures Other roalostate and raortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3561. $93, 595.80 2, 758.12 12, 500. 00 844.92 1, 440. 05 1, 343. 88 1,633.51 T.C.HILL, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $50,000.00 3, 000.00 12, 224. 21 11,250.00 Dividends unpaid. Individual deposits 1, 249.22 937.50 United States deposits Deposits of U.S. disbursing officers. 150. 00 5.55 8, 253.55 6, 025.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 37,225.11 2,192.01 25.94 15, 382.33 562.50 131,299.60 Total. 131, 299. GO REPORT OF THE COMPTROLLER OF THE CURRENCY. 541 TEXAS. Commerce National Bank, Commerce. C. B. JONES, Cashier. No. 4021. "W. A. DABBS, President. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds..... Checks and other cash items. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit npt Redemption fund with Treas. U". S. Due from Treasurer U. STotal. $59,541.86 12,500. 06 12, 500.00 4,175. 07 7, 57U. 15 Capital stock paid in . $50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 2, 000.00 1,027.97 11, 250.00 Dividends unpaid. 2, 218. 96 410. 00 3,095.31 246. 60 230.00 .17 243. 25 4, 500.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. Due to other national b a n k s Due to State b a n k s and b a n k e r s . . Notes and bills re-discounted Bills payable 25,118. 57 497.14 3, 503.25 15, 000.00 562. 50 Total. 108,396. 93 108, 396. 93 First National Bank, Corsicana. J A M E S GTARITTT, E. H. CHURCH, Cashier. No. 3506. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents . Due from other national banks Due from State banks and b a n k e r s . . Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. D u e from Treasurer U. S Total $210, 640.85 113, 071.17 31, 250.00 2, 000.00 20, 033. 07 13, 745. 69 4, 221. 61 15, 000. 00 2,408.93 448.66 Capital stock paid in $125, 000. 00 Surplus fund.. Undivided profits National-bank notes outstanding State-bank notes outstanding..- 60, 000. 00 5, 680. 48 28,100.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbiu'singoflicers. Due to other national banks 1, 693. 00 Due to State banks and bankers.. 110 00 703. 75 Notes and bills re-discounted. 20,000.00 Bills payable 206, 687.11 10, 665.76 597.72 1,405. 00 Total. 436,731. 07 436, 731.07 City National Bank, Corsicana. R. E. PRINCE, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3915. $274, 090.47 51, 565. 53 50, 000. 00 12,080.49 15, 423. 14 5, 349. 59 10, 610. 90 2, 050.22 12, 593.75 707. 50 490.00 42.69 4, 449. 75 24, 352. 00 J. H. MARTIN, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding $300,000.00 528.40 8,742.78 45,000.00 Dividends unpaid. Individual deposits United States deposits Depositsof U. S.disbursing officers. 106, 804.70 Due to other national banks Due to State banks and bankers.- 1, 730.15 3,750.00 Notes and bills re-discounted. Bills payable 2, 250.00 500.00 466,550.03 Total. 466, 5">6. 03 512 REPORT OF THE COMPTROLLER OF THE CURRENCY. T J X AS. E Corsicana National Bank, Corsicana. GEORGE T. JESTEII, President. No. 3645. C. TV. J E S T E R , Cashier. Resources. Liabilities. Loans and discounts O v ei drafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banka and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premium* on U. S. bonds Checks and other cash items. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie 1 Legal-tender notes 17. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $154, 790.94 21, 66:$. 87 25, 000. 00 8, 394.90 42,416.87 568. 06 2,809.92 111.75 3,778.33 796.87 $100, 000. 00 Capital stock paid in. 25, 000. 00 8, 010. 85 National-bank notes outstanding.. State-bank notes outstanding i, j I j! I ,! Surplus fund Undivided profits. 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,082.37 ij Due to other national banks. 4, 700. 00 I Duo to State banks and bankers.. 214. 85 7,109. 50 Notes and bills re-discounted.. 6,149. 00 Bills payable 114,110. 55 562.45 49S. 38 10,000. 00 1,125. 00 280, 712. 23 280, 712.23 Total . Fourth National Bank, Dallas. W . H. PRATHER, No. 3664. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bomls to secure deposits U. S. bonds on hand Stocks, securities,,judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks find bankersBank'g house,furniture and fixtures Other real estateand mortg's owned Current expenses aud taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $551,794.66 58, 754. 79 50, 000. 00 7, 000. 00 51, 293. 32 20, 974. 80 8, 627. 00 20, 978. 67 $200, 000.00 Surplus fund Undivided profits 12. 000.00 10, 797. 09 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits " 3," 875." 70' United States deposits 1, 5G2. 50 Deposits of U.S. disbursing officers. 5:50. 07 28,101.00 Due to other national banks 3, 003.00 Due to State banks aud bankers . . 207. 30 5, 429. 50 Notes and bills re-discounted. 55, 500. 00 Bills payable 18, 130.98 31,151.19 4,153. 05 2, 250. 00 1, 350. 00 871,232. 31 Total. S. B. HOPKINS, Cashier. Capital stock paid in. Total. 871, 232. 31 American National Bank, Dallas. AV. H. THOMAS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. Due from State banks and bankers. Bank'g-house,fu!uiture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . •| E. J. GANNON, Cashier. No. 3132. $200, 000. 00 Capital stock paid in . 75, 000. 00 Surplus fund 21,017.32 Undivided profits. National-bank notes outstanding. 45, 000. 00 78, 444.29 State-bank notes outstanding $497, 217. 54 53,136. 90 50, 000. 00 250, 000. 00 60, 724. 53 25, 404. 21 3, 000. 00 3, 4(52. 50 4, 769. 06 5, 407. 25 5, 149. 00 4, 052.20 30, 220.00 90.45 3, 463. 00 65, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 524, 795. 68 230, 655.78 18, 680. 94 25, 248. 72 2, 250. 00 500. 00 1,142, 290. 93 Total . 1,142,290.93 REPORT OF THE COMPTROLLER OF THE CURRENCY. 543 TEXAS. City National Bank, Dallas. No. 2455. J . C. O'CONNOR, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S. $1, 077, 218. 26 19, 313. 36 50, 000. 00 1, 000. 00 253, 855.11 91,045.97 28, 757.13 5, 000.00 7, 000. 00 6, 505. 74 I'd, 752. 48 29, 029. 92 7, 323. 20 37, 100.00 j 126. 50 5,130. 00 100, 000. 00 $325, 000. 00 Capital stock paid in . Surplus fund Undivided profits. National-bank notes outstanding-. State-bank notes outstanding. — Dividends unpaid.. 100, 000. 00 44, 235. 04 45, 000.00 30.00 Individual deposits United States deposits . Depositsof U.S. disbursing officers. 1,001,949.08 Due to other national banks Due to State banks and bankers... 168, 342.10 48,851.45 Notes and bills re-discounted . Bills payable 2, 250. 00 1, 733, 407. 67 Total. E. M. REARDON, Cashier. Liabilities. Total. 1, 733, 407. 67 National Bank of Commerce, Dallas. No. 3985. D. W. C. HARRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-housB, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $130, >>72. 79 6,068.41 25, 000. 00 4, 028. f>6 18, 805. 70 8u8,41 2, 580. 95 A, G. WILLS, Cashier. $100,000.00 Capital stock paid in. Surplus fund Undivided profits 1,997.03 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits , United States deposits , Depositsof U.S.disbursing officers.! 75, 508. 29 800. 40 7, 01S2. 50 1,581.46 4, 895. 00 .05 280. 75 5, 000.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 7,757.12 1,210.51 1,125.00 Total. 208, 978. 98 208, 978.98 National Exchange Bank, Dallas. JOHN N. SIMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand... „ Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. No. 3623. $802, 984. 40 34, 438.04 50, 000. 00 500. 00 111,952.55 49, 815. 38 69, 390. 71 33, 600. 00 5, 508. 68 12, 400. 00 6,710.40 8, 606. 97 7,120. 00 364. 35 26, 662.75 40, 000. 00 N . A . M C M I L L A N , Cashier. Capital stock paid in $300, 000. 00 Surplus fund Undivided profits 25, OOC. 00 27, 246.17 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 D i v i d e n d s unpaid I n d i v i d u a l deposits U n i t e d S t a t e s deposits Deposits of U.S. d i s b u r s i n g officers. 642, 084. 60 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 168,601.23 55, 672. 23 2, 250. 00 1, 300. 00 1, 263, 604. 23 Total. 1,263,604.23 544 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. North Texas National Bank, Dallas. F. R. MALONE, Cashier. N o . 3834. B. BLAWKENSHIP, President. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S, bonds on hand » Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers . Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. B. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $1,115, 805. 63 i Capital stock paid in 28,267.61 50,000.00 j: Surplus fund i Undivided profits 11,500.00 96, 257. 26 69, 203.19 46, 828. 22 100, 000. 00 560. 00 7,901.02 12, 500. 00 43.32 j 25, 944.13 ! $500, 000. 00 65, 000. 00 31,576.33 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits , United Slates deposits Depositsonj.S.disbursing ortieers Due to oilier national banks Due to State banks and bankers.. 4.25 5, 834. 50 , Notes and bills re-discounted 67,815.00 I Bills payable 546, 081.75 161,574. 03 55, 341.74 233,140.28 2,250. 00 1,640,714.13 Total 1,640, 714.13 First National Bank, Decatur. No. 2940. D. WAGGONER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from, other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures. Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. $75, 072. 33 10, 672.37 12,500.00 10, 240. 04 31,5-18.94 33, 709. 40 4,8-25. £8 8,884.92 1, 69:{. 45 1,087. 52 445. 31 2, 976. 64 950. 00 86.4L 10,571.50 2, 000. 00 BEN. F. ALLEN, Cashier. Capital stock paid in. $50, 000..CO Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 6, 544. 59 10, 750.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 122, 307. 63 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable , 8, 224. 99 562.50 207, 827.21 Total. 207, 827. 21 First National Bank, Denison. J. M. FOKD, President Loans and discounts Overdrafts TJ. S bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on band Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. ^o. $317,120.33 15, 708. 02 50, 000. 00 9, 000. 00 40,108. 65 86, 060. 17 44,668. 97 3,040. 78 3, 309. 75 13, 000. 00 1, 423. 52 3,390. 00 60.00 18,918.65 23, 893.00 2099. C. W. PYLE, Cashier. Capital stock paid in $150, 000. 00 Surplus fund Undivided profits 6, 000.00 13,120.72 National-bank notes outstanding.. State-bank notes outstanding 44, 200.00 Dividends unpaid 104. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 401, 328. 23 Due to other uat ional banks Due to State banks and bankers .. 16, 873.04 2,012.15 Notes and bills re-discounted. Bills payable 2, 250. 00 1, 680. 30 633, 638.14 Total.. 13, 638. U KEPOJiT OF THE COMPTROLLER OF THE CURRENCY. 545 TEXAS. State National Bank, Denison. No. 3058. R. C. SHEARMAN, President. ST. S. ERNST, Cashier. Resources. Liabilities . Loans a*id discounts Overdrafts TJ. S.bonds to secure eii"dilation . . . U. S. bonds to secure deposits TJ. S. bonds on bond Stocks, secuiities,judgments, etc.. Due from approved reserve agents Due from other national banks Due from State batiks and baukers Bank'g house,furniture,and fixtures Other real estate and mortg'sowned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clenriiig-houso Bills of other national ban ks Fractional currency, nickels, cenU Species Legal tender notes U.S. certificates of deposit .. . Redemption fund with Treas. U. S D ue from Treasurer U. S $203, 690. (57 16, 372. 94 25, 000. 00 57, 125, 32, 22, 2, 7, 491.25 505. 21 57(). 26 550. :n 950. 00 189. 07 000. 00 Capital stock paid in. Surplus fund Undivided profits 20, 000. 00 9, 162. 21 National-bank notes outstanding.. State-bank notes outstanding , ' Di vidends unpaid 22, 500. 00 , ! Individual deposits i United States deposits | Deposits of U.S. disbursing oflfic 105.03 j ! Duo to other national banks. 6, ()•)(). 00 Due to State banks and bankers.. 186. 00 11,994.80 Notes and bills re-discounted. 16, 040. 00 Bills payable 464, 632.12 1, 972. 81 1, 125.00 618, 267.14 Total. $100, 000. 00 , Total. 618, 267.14 First National Bank, Denton. . P. BLOUNT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure dex>oaits U. S, bonds on hand Stk iti j Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national hanks Due from State bank, and bankers. Bank'g-house,furnitiire,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national b a n k s . . . Fractional currency, nickels, cents. Specie Legal tender notes g U S. certificates of deposit tifit f U. S Redemption fund with. Treas. U. S. Due from Treasurer U. S Total . No. $82, 8*8. 09 2, 050. 34 12, 500. 00 2812. C. 2J. BUDDY, Cashier. Capital stock paid i n . $50, 000. 00 Surplus 1 und Surplus fund. u Undivided profits 1, 648. 82 National-bank notes outstanding.. 3, 193.88 State-bank notes outstanding 2,531.57 842. 59 Dividends unpaid 8, 500. 00 Individual deposits 1, 523. 19 United States deposits . 3, 000. 00 Deposits of U.S. disbursing officers 68L. 48 Due to other national banks 350.00 Duo to State banks and bankers... 25. 25 2, 050. 00 Notes and bills re-discounted 4, 545. 00 Bills payable 6, 500. 00 3,096.14 11, 2:0. 00 44, 854. 47 1, 395.12 110. 27 9,142. 71 12. 50 126,348.71 Total. 126, 348. 71 Exchange National Bank, Denton. No. 2919. J. A. CARROLL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mort g's owned Current expenses and taxed paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of doposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. Ex. 3 $134, 330. 22 22, 101. 37 15, 000. 00 Surplus fund Undivided profits 3, 553. 35 National-bank notes outstanding 2,178.1-8 State-bank notes outstanding 14, 037. 44 690. 80 Dividends unpaid . 8, 850. 00 7,801.89 Individual deposits 2, 786. 31 United States deposits 750. 00 Deposits of U. S. disbursing officers 248. 99 Due to other national banks 275.00 Due to State banks and bankers . 31.35 5, 056. 50 Notes and bills re-discounted . . . 804. 00 Rilla payable $00, 000. 00 12, 000. 00 5, 597. 93 13, 500. 00 91, 231. 35 8, 5G7, 18 474. 64 28, 400. 00 (575. 00 ! 219,771. 10 ! 35 "W. A. PONDER, Cashier. Capital stock paid in. Total. 219,771.10 546 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Dublin. A. A. CHAPMAN, Cashier. N o . 4062. H. A. SMITH, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-hquse, furniture, andfix turns Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $15,832.36 5, 583. 27 12, 500.00 17,697.19 Capital stock paid i n . $35, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits 798.23 ! United States deposits 3, 59.'5. 75 Deposits of U.S. disbursing officers. 2,133.63 11,250.00 2,484. 63 j 5, 254. 69 440. 05 Due to other national banks 350. 00 Due to State banks and bankers .. 1.50 4, 558. 00 Notes and bills re-discounted. 1,200. 00 Bills payable 35,974.43 1, 498.11 15,000. 00 562.50 Total. 100,856.17 || 100, 856.17 First National Bank, El Paso. JEFFERSON RAYNOLDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate andmortg's owned Current expenses and, taxes paid... Premiums on U S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2532. $213,832. 82 2, 887. 55 30, 000. 00 2,952.15 58, 404. 53 127, 570.12 7, 829. 37 25, 000. 00 3, 895.70 ""452." 74" 2,474. 00 20;}. 59 30, 385. 00 5, 000. 00 H. S. KAUFMAN, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits DepositsofU.S.disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable $100, 000. 00 25, 000.00 8, 384. 84 27, 000. 00 341, 225. 56 4,084.99 6, 542. 18 1, 350. 00 Total. 512, 237. 57 512, 237. 57 El Paso National Bank of Texas, El Paso. EDGAR B. BEONSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furnituie,aud fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer IT. S Total., No. 3608. $277,68V. 12, 378. 37, 500. 50, 000. 71 22 00 00 5,851.64 36, 311. 77 7,908.09 19,559.11 59, 615. 87 872. 30 3, 725 05 24,025. 46 8, 913. 01 2,155. 00 57.30 15,119.00 8, 000. 00 "W. H. AUSTIN, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $150,000.00 45 000.00 7, 336.43 33, 750. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 200, 472. 88 21, 706. 74 16, 074. 80 Due to other national banks Due to State banks and bankers .. 3,144. 63 1, 846.14 Notes and bills re-discounted Bills payable 32, 456. 41 1, 687. 50 425.00 571, 788. 03 Total 571,788.03 REPORT OF THE COMPTROLLER OF THE CURRENCY. 547 TEXAS. State National Bank, El Paso. No. 2521. C. R. MOREHEAD, President. J. C. LACKLAND, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and moi tg's owned C urrent expenses and taxes paid... Premiums on C". S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total $173, 830. 81 Capital stock paid in. 8, 871. 81 14,000.00 ! Surplns fund 50,000.00 Undivided profits 583.99 1 National-bank notes outstanding.. 1 41,180.90 i! State-bank notes outstanding 41,856.18 | 17, Gii9.14 Dividends unpaid 17, 170.91 ' 1, 141.00 Individual deposits 1,540.92 ! United States deposits 4, 500. 00 i Deposits of U.S.disbursing officers. 4,188.8(3 j Due to other national banks 4,098.00 ! Due to State banks and bankers .. 225.22 'i 40,049.25 : Notes and bills re-discounted . Bills payable., $55, 000.00 35, 000. 00 5, 751. 29 12, GOO. 00 278, 244. 40 1G,(MO.4L 16, 489. 30 2,165.39 032 64 422,533.49 Ennis National Bank, Ennis. No. 2939. J . BALDRIDGE, President Loans and discounts Overdrafts U. S. bonds to secure circulation., U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums onU. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. MARK LATIMER, Cashier. j Capital stock paid in. $100,000.00 I Surplus fund Undivided profits 20. 000. 00 7, 814. 81 National-bank notes outstanding.. State-bank notes outstanding 12, 500. 00 i Dividends unpaid . Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks '< Due to State banks and bankers \. I Notes and bills re-discounted Bills payable 210,777.75 Total. 55, 258.70 5, 191. 2 i 10, 000 0!) 210, 777. 75 People's National Bank, Ennis. JOSIAH BLAKEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankors Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 3532. 5119, 078. 18 30,319.84 25, 000. 00 290. 6S 2, 577. 54 5, 394. 54 327. 04 7, 500, 00 5, 400. 00 815.20 1, 500. 00 II. C. JOXES, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 9, 000. 00 3,121.13 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. I Due to other national banks 6, 250. 00 Due to State banks and bankers. 50. 03 885. 00 Notes and bills re-discounted J 2, 000. 00 Bills payable 32, 333.95 20, 986. 05 20, 573.12 .1, 125.00 | 203, 5U.25 i Total. 208, 514. 25 548 REPORT OF THE COMPTROLLER OF TIIE CURRENCY. TEXAS. First National Bank, Farmersville. No. 3624. E. H. PENDLETON, President. L. E. BUMPASS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circu^xtion... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. IS. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S $59, 604. 83 14, 071. 84 25, 000. 00 22, 630.47 15,817.78 44. 93 14, 655. 35 610.80 7, 2C3. G3 2, 500. 00 145. :.5 8, 350. 50 4, 500. 00 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 10, 000. 00 6, 070. 64 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. 37,501.53 Due to other national banks Due to State banks and bankers... 921.05 175. 46 Notes and bills re-discounted. Bills payable 1,125. 00 Total. Total 177, 228.68 177, 228. 68 National Bank, Forney. "W. H. GrASTON, President. No. 4014. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund witli Treas. U. S. Due from Treasurer U. S Total. $64, 685. 19 "i2 ? *5o6."66' 1, 893. 39 381. 23 287. 02 5, 710. 20 834.89 3, 656. 25 39.71 958. 00 14 4.45 5, 924. 75 1, 250. 00 . VOTERS, Cashier. Capital stock paid in. $50, 000. 00 Su rplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 20. 00 2, 160. 12 1 1 , 2 5 ) . 0 LI Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 14,176. 30 Due to other national banks Due to State banks and bank e r s . . . Notes and bills re-discounted Bills payable 221.16 21,0,0. 00 562. 50 98, 827. 58 8, 827. 58 Total. First National Bank, Fort "Worth. MARTIN B. LOYU, President. Loans and discounts O verdrafta U. S.bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Dae from approved reserve agents. Dne from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2349. $443,912.29 27, 395.70 65, 000. 00 16, 591.35 55,144. 71 26, 050. 36 15, 000. 00 19,150. 00 5,127.15 646. 42 14,741.25 18, 447. 00 32.45 15,076.90 30, 000. 00 E. B. HARROLD, Cashier. Capital stock paid in . Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $250, 000. 00 125, 000. 00 30,721.30 58, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 219,777.70 Due to other national banks Due to State banks and bankers... 60,210.58 11, 536. 07 Notes and bills re-disco unted Bills payable , 2,925 00 '•{ 499.07 || 755, 745. 65 | Total. 755, 745. 65 REPORT OF THE COMPTROLLER OF THE CURRENCY. 549 TEXAS. City National Bank, Fort Worth. J . Q. SANDIDGE, President. No. 2359. MAX ELSKK, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. 0". S Due from Treasurer U. S $353, 524. 77 11,236.26 40, 000.00 1,200.00 18,020. 15 17, 218. 02 237. 05 33, 450.00 7, 692. 85 3,918.80 8, 000. 00 1,816,62 295. 40 7,021.00 5.60 2, 094.15 20, 000. 00 Surplus fund Undivided profits National-bunk notes outstanding.. State-bank notes outstanding 30, 000.00 13,613.13 36, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing otlicors. 252,419. 08 Duo to other national banks Due to State banks and bankers .. 5, 863. 51 1, 114.50 Notes and bills re-discounted Bills payable 38, 550. 45 1, 800.00 527, 560. 67 Total. $150, 000. 00 Capital stock paid in . 527, 560. 67 Total . Farmers and Mechanics' National Bank, Fort Worth. JOHN R. HOXIE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds OQ hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers . Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4004. S. I). RAINEY, JR., Cashier. $779, 390. 69 Capital stock paid in 390. $650, 000.00 2, 827. 50 50, 000. 00 Surplus fund p 26, 845 72 Undivid divided profits. 45, 000. 00 National-bank notes outstanding.. 46, 454. 02 State-bunk notes outstanding 12, 089.10 2, 544. 29 Dividends unpaid 44, 394.48 Individual deposits 179,042. 11 " 4, 839. 07 United States deposits 14, 437. 50 Deposits of U.S. disbursing officers. 1, 263. 24 8, 535. i 2 Due to other national banks 20, 400. 43 3, 019. 00 Due to State banks and bankers... 2, 301.05 31.30 69, 500. 00 6,110.00 Notes and bills re-discounted 15, 000. 00 Bills payable 2, 250. 00 993,185. 31 993,185. 31 Total . Fort Worth National Bank, Fort Worth. K. M. VAN ZANDT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand.... Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total , N. HARDING, Cashier. No. 3131. $381, 385. 85 5, 845. 77 35, 000. 00 30, 114. 09 33, 506. 24 11, 653. 90 17,400.00 3, 827.84 2, 000. 00 6, 023. 40 5,185.63 15, 620.00 7.53 1,897.45 50, 000. 00 Capital stock paid in. $125, 000. 00 Surplus fund Undivided profits 30, 000. 00 19, 551. 54 National-bank notes outstanding.. State-bank notes outstanding 31, 500. 00 Dividends u n p a i d . Individual deposits United States deposits Depositsof U.S. disbursing officers. 370, 056. 83 Due to other national banks Due to State banks and bankers .. 21, 027. 24 5,461.69 Notes and bills re-discounted., Bills payable 1, 575. 00 1, 554. 60 602, 597.30 Total . 602, 597.30 550 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. Merchants' National Bank, Fort Worth. A. B. SMITH, Cashier. No. 3631. E. W. TAYLOR, President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hou.se,funiiture,andnxtures Other real estate and mortg'sowned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund Avith Treas. U. S. Due from Treasurer TJ. S Total Liabilities. $500, 000. 00 $1, 027, 300. 88 '! C a p i t a l stock paid i n . . , 58,430.53 ij 50, 000. 00 | S u r p l u s fund : j Undivided profits 50, 3(56. 57 41. G7I. 79 28, 207. 34 19,594.38 10,129.67 12,000.00 6,144.58 4, 000. 00 9,947.02 10, 494.18 2, 024. 00 833. 50 5, 382. 00 50, 000. 00 32,134. 28 76, 860. 65 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 45, 000. 00 240. 00 487, 008. 67 125, 685.84 23, 951.24 98,145.76 2,250.00 | 250.00 ! 1, 389, 026.44 Total., 1,389,026.44 j State National Bank, Fort Worth. W. M. HARRISON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3221. JNO. C. HARRISON, Cashier. (616,992.98 : Capital stock paid in. 8, If*. 84 ' 50,000.00 ; Surplus fund , $300, 0U0. 00 60, 000. 00 78,641.72 Undivided profits 1,099.20 i National-bank notes outstanding. 37,656.41 ; State-bank notes outstanding 27,(508.53 8,680.28 . 30,061.65 i 3,792.25 ! 4,000.00 2, OHO.'JO j, 17,811.46 5,300.00 i 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks no. u i Due to State banks and bankers . 757. 25 I Notes and bills re-discounted 40,000.00 i Bills payable 2,250.00 ! 856,365.25 j 242, 455. 54 14, 297. 25 4,156. 39 111, 814. 35 856, 365. 25 Total . Traders' National Bank, Fort Worth. WILLIAM J. BOAZ, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.... XT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Dae from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total., No. 2689. H. C. EDRINGTON, Cashier. $232,500.40 i Capital stock paid in 22,114.88 I! 32,000.00 Surplus fund ' Undivided profits 16,109. 22 15,56150 6, 525. 32 868. 48 11, 726. 08 "27269*46" 6, 000. 00 7,221.80 1, 550. 00 .17 6, 648. 00 6, 000. 00 $125, 000. 00 25, 000. 00 17, 037. 33 National-bank notes outstanding. State-bank notes outstanding . 28. 800. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 133, 059. 52 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 3,141.55 438. 66 32, 000. 25 4, 000. 00 1, 440. 00 368, 477. 31 Total. 368, 477.31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 551 TEXAS. First National Bank, Gainesville. F . M. DOUGHERTY, President. No. 2836. W M . WOKSHAM, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures] Other real estate and mortg's owned! Current expenses and taxes p a i d . . . I Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $228,172.87 1, 697. 67 32, 000.00 12, 314. 29 15, 568. 27 637.89 2,514.81 6,400.00 695.61 20,219.00 75.20 7, 782. 00 20, 000. 00 $125,000. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 25, 000. 00 29, 278. 92 28, 800. 00 Dividends unpaid . Individual deposits "United States deposits Deposits of U. S. disbursing officer s. 139, 432.15 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 1.588.13 418.44 1, 440. 00 349, 517. 64 349, 517.64 Total. Gainesville National Bank, Gainesville. C. C. HEMMING, C. CHAMBERS, Cashier. N o . 2802. President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned, Current expenses and taxes p a i d . . . j Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S $456, 318.05 ; Capital stock paid in. 1,989. 95 I 37, 500.00 Surplus fund ;| Undivided profits 150, 000. 00 32, 244. 46 13,000.00 : National-bank notes outstanding.. j 24,823.43 ! State-bank notes outstanding ! 12,104. 74 17,906.92 !Dividends unpaid j. 10, 000.00 23, 922. 52 Individual deposits I United States deposits • 8, 420.00 Deposits of U. S.disbursuigoincers.; 2, 964. 20 1 Due to other national banks • 4, 865. 00 Due to State banks and b a n k e r s . . 28.60 4, 455.50 Notes and bills re-discounted. 15, 000. 00 Bills payable 33, 750. 00 215, 708. 65 10,329.92 7, 953.38 35, 000. 00 1,68/. 50 634,986.41 Total. $150, 000. 00 634,986.41 Total . Red River National Bank, Gainesville. L. B. EDWARDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand | Stocks, securities, judgments, e t c . . [ Due from approved reserve agents Due from other national banks Dae frorn State banks an d bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned! Current expenses and taxes p a i d . . . \ Premiums on U. S. bonds ! Checks and other cash items j Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer CJ. S Total. No. 3229. $ 168,262.76 7,182.05 25, 000.00 J. M. POTTER, Cashier. Capital stock paid in. Surplus fund Undivided profits. . . . National-bank notes outstanding.. 10, 003. 94 State-bank notes outstanding 4,881.72 6, 506. 36 Dividends unpaid 16, 339.29 Individual deposits 1, 646.19 United States deposits 5,000. 00 Deposits of U. S. disbursing officers. 1,797.21 Due to other national banks , 1,145.00 j 3. 80 Due to State banks and bankers. 1, 520. 00 Notes and bills re-discounted 10,500.00 Bills payable $100, 000. 00 8, 500. 00 7,473. 63 22, 500. 00 118, 910. 27 2, 593. 50 935.92 1,125.00 | 260,913.32 II Total. 260,913.32 552 KEPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Galveston. No. 1566. JULIUS BUNGE, President J . E. BKKSXEK, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, otc. Due from approved reserve agents. Duo from other national banks Due from State banks and bankersBank'g-house,furniture,and fixtures Other real estate and mortg'n owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IX. S Total. $758,113.43 5, 319. 09 50,000. 00 219, 28, 29, 33, 559. 672. 903. 000. 83 26 66 00 4, 595. 37 11,000.00 2, 058. 00 30,405. 00 45.60 3, 380. 75 97, 0G0.00- Capital stock paid in $300, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 100, 000. 00 68, -95. U.r> 45, 000. 00 — 1, 602. 00 Individual deposits United States deposits Deposits of U.S.disbursingofficers 323,358 17 Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 83,154. 07 82,441.63 271, 452. 07 2, 250. 00 Total. 1, 275, 303.59 1, 275, 303. 59 National Bank of Texas, Galveston. A. J . W A L K E R , Cashier. No. 1642. J. E. "WALLIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation -. IX. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national banks Duo from State banks and banker 5 Bank'g-houso,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums ou IX. S. bonds Checks and other casli items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $267, 608. 79 3, 942. 35 25,000. 00 22,929. 09 37, 924. 00 6,090.18 2, 401. 75 3,125. 97 6, 842. 4.2 26, 471.92 5, 920. 00 46.40 2,104. 50 12,101. 00 Dividends unjiaid Individual deposits "United States deposits Deposits of U.S. disbursingotneors Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $100, 000. 00 20, 000. 00 10,275.44 22, 460. 00 151,165.40 43, 220. 38 30, 512. 09 40, 000. 00 1,125.00 423, 633. 37 Total. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding Total. 423, 633. 37 First National Bank, Gatesville. SAMUEL J. MINGS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IX. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. Is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4097. ALFRED It. WILLIAMS, Cashier. $25, 000. 00 Capital stock paid in. Surplus fund 356. 74* Undivided profits. National-bank notes outstanding. State-bank notes outstanding ..'.. $27, 761. 03 13, 840. 99 12, 500.00 2, 380.22 714.30 237. 38 3, 523.44 8, 646.16 69,603.52 Dividends unpaid Indi victual deposits United States deposits Deposits of U.S. disbursing officers Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable Total. 40, 052.37 3, 694.41 500. 00 69, 603. 52 REPORT OF THE COMPTROLLER OP THE- CURRENCY. 553 TEXAS. First National Bank, Granbury. DAXIKL C. COUDELL, President. No. 3727. A. L. WILLIAMS, Acting Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... II. S. bonds to secure deposits IJ\ S. bonds on hand Slocks, securities, judgments, etc .. Due from approved reservo agents Duo from other national banks Due from State banks and bankers. Bauk'g-house, furniture, and fixtures Other real estate andmortg's owned! Current expenses and taxes paid... premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie '. Legal-tender notes U. ». certificates of deposit Kedomption fund with Treas. CJ. S. Due from Treasurer TJ. S Total. Liabilities. $88,645.75 9,958. 73 12,500.00 4, 208.16 2,608.04 288.44 8, 712. 40 853.46 1, 000. 00 304.40 2, 580.00 106.55 0, 928. 00 4,165.00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits. 16, 000. 00 3, 530.55 National-bank notes outstanding.. State-bank notes outstanding ..".. 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 50,153. 66 Duo to other national banks Due to State banks and bankers .. 2, 820. 67 Notes and bills re-discounted Bills payable 9, 666. 55 502. 50 Total. 143,421.43 143,421.43 First National Bank, Greenville. JOHX L. LOVEJOY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reservo agents Duo from othor national banks Duotrom State banks and bankers. Bauk'g-hoase,furniture,anduxtnros Otherreal estate andmortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for eloarmg-houae Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit . .*. Redemption fund with Treas. U. S Due from Treasurer U. S Total.. No. 2998. $171,185.37 32, 364. 61 18, 750. 00 5,129.51 4, 262. 29 360. 69 9, 425.04 1, 089.15 1,048.41 1, 788. 33 2, 720. 00 3. 85 8,198.50 9,170. 00 T. H. KING, Cashier. Capital stock paid in. $55,000.00 Surplus fund Undivided profits . 85, 000. 00 3, 292. 74 National-bank notes outstanding.. State-bank notes outstanding. '.. 16, 870.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 91,260.19 Due to other national banks Due to State banks and bankers -. Notes and bills re-discounted Bills payable 3, 006.15 391.43 11,518.74 843. 50 266,339. 25 Total.. 266, 339. 25 Greenville National Bank, Greenville. J. W. RAINEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secur©deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Duo from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid. . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Total. No. 3646. W. A. WILLIAMS, Cashier $141,045.65 Capital stock paid in . $100, 000. 00 80,191.94 25,000.00 Surplus fund 20, 000. 00 6, 713.26 Undivided profits . 5, 086.14 4, 953.35 2, 776. 01 15,125.08 2,701.28 1, 300. 00 1, 550. 00 143.11 2, 272. 25 12, 500.00 National-bank notes outstanding.. Stato-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 105, 654. 51 3G9 01 533. 03 40, 000. 00 1,125. 00 295,770.41 Total. 295, 770.41 £54 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. Farmers' National Bank, Henrietta. No. 4068. JOHN Gr. JAMES, President. Kesourcos. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo fi'om State banks and bankers Bank'g-house, furniture, andfixtures Otherf eal estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractionalcurrency, nickols, cents . Specie Legal-tender notes U.». certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. F. B. WYATT, Cashier. Liabilities. $18, 374. 06 $35,000. 00 Capital stock paid in * 12* 500." 66" Surplus fund 1, 012.50 Undivided profits 48.45 National-bank notes outstanding. 10, 415. 95 State-bank notes outstanding 8,111.52 N 329.62 1 Dividends unpaid 1 796.60 ' 1, 774. :KJ 890. (53 25. G O Individual deposits United States deposits DepositsofU.S.disbursingofficers. Due to other national banks 565.00 Due to State banks and bankers 17.31 4, 808. 40 j Notes and bills re-discounted . 4, 000. 00 j Bills* payable .. 975.00 24, 388. 89 1, 653.78 189. 80 562. 50 63,219. 97 Total. 63,219.97 Farmers' National Bank, Hillsboro. No. 3762. J. D. WARREN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits 0". S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents Dae from other national banks Duo from State banks and bankers. Bank'g house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S . Due from Treasurer U. S Total. $67,971.57 2,342.22 12, 500. 00 25, 042.64 11,184. 83 545.84 12,211.68 971. 90 3, 484. 38 525. 76 1, 500.00 35.30 5. 410.00 18,745.00 It. P. EDRINGTON, Cashier. Capital stock paid in $50,000.00 Surplus fund Undivided profits 10, 000. 00 3,190,61 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 73,463. 97 Due to other national banks Due to State banks and bankers .. 2, 863. 30 329. 56 Notes and bills re-discounted Bills payable , 11,936.18 562.50 Total. 163, 033.62 163,033. 62 Hill County National Bank, Hillsboro. J. H. BEMIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other teal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationallbanks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3046. $106,672.05 3,042.51 12,500.00 20, 37J.51 23. 21 515. 66 17, 500.00 7, 451. 39 518.50 1, 000. 00 362.55 2, 080. 00 93.75 1,685.95 9, 900.00 C. E. PHILLIPS, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $50, 000.00 50,000. 00 13,922.37 11, 250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S disbursing officers. 57,442.16 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 225. 20 1,439.79 562. 50 184, 279. 61 Total. 184,279.61 REPORT OP THE COMPTROLLER OF THE CURRENCY. 555 TEXAS. Sturgis National Bank, Hillsboro. No. 3786. "W. W. STUBGIS, President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, o^c . Due from approved reserve agents Due from other national bank a Due from State banks and baukors Bank'g-house, furniture, and fixtures Other real estate and nioitg\s owned Current expenses and taxes paid. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. fe Total. J. N. PORTER, Cashier. I Liabilities. $119, 716.74 ! 47, 398. 86 ' Capital stock paid 15, 000.00 Surplus h u m fund. Undivided profits $60, 000. 00 in 15, 000. 00 3, 453. 77 ! National-bank notes outstanding.. .... 13, 500. 00 j Individual deposits : United States deposits i Deposits of U.S. disbursingofficers ' . Due to other national banks j j Due to State banks and bankers .J Notes and bills re-discounted Bills payable 78, 368. 44 7, 589. 37 ; State-bank notes outstanding 430. 70 387. 44 I Dividends unpaid 15,201.50 J, 342. 70 3, 778.13 1.65 900. 00 135.20 217. 00 9, 000. 00 11, 142.08 40, 370. 00 675.00 221,834.38 jj Total . 221, 834. 38 First National Bank, Honey Grove. W. UNDERWOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks — Due from State banks and bankers Bank'g-house, furniture, and tixt ures Other real estate andmortg's owned Current expenses and taxes paid. -. Premiums on TJ. S. bonds Checks and other cash items ... Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 2867. 5274, 758. 85 8, 628.32 25, 000. 00 13, 067. 65 642.84 298.47 2, 500. 00 2, 043. SO 1, 360. 92 2,8:2.50 870. 00 160. 79 8, 000. 00 10, 000. 00 T. U. COLK, Cashier^ Capital stock paid i u $100, OOJ.OJ Surplus fund Undivided profit s 30. 0 0. 00 8, 606. 32 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. Duo to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 119,376.? 7. r.03.45 2,fWA.53 6J, 612. 96 1,125*00 351, 269.14 Total . 351, 269.14 Planters' National Bank, Honey Grove. JOSEPH MEYER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation .. TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, vtc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. 3. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 4112. H. J. THOMAS, Cashier. $47, 500. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. 4,929.48 State-bank notes outstanding 1,165. 57 ; "8," 272." 88* """756.96 5, 085. 94 327. 20 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers I Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . 5,500.00 i Bills payable 100. 00 j 13.76 | 786.50 i 90,457.65 i I Total . 40,433.91 8">9. 00 519.00 90, 457. 65 556 REPORT OF Tim COMPTROLLER OF THE CURRENCY. T E X AS. First National Bank, Houston. No. 1644. B. A. SHEPHERD, President. A. P. ROOT, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation-.. IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ, S Total Liabilities. $734, 699. 49 2, 560. 76 25, 000. 00 21. ;H5. 00 77, 410.22 67.JWl.59 38, 86.). 20 25, 000. 00 6, 802. 70 5, 875. 00 $100, 000.00 Capital a took paid in 170, 000. 00 22, 032. G O Surplus fund Undivided profits National-bank notes outstanding. State-bank notes o u t s t a n d i n g . . . . Dividends unpaid 50. 00 Individual deposits United Stafes deposits Deposits of U.S.di-sbursing officers. 881, 745. 32 Due to other national b a n k s Due to State banks and b a n k e r s . . 136, 588. 70 119, 524. 09 117.24 32, 060. 00 3,015.47 29, 662. 00 356, 341. 00 Notes and bills re-discounted. Bills payable Total. 1,429, 941. 67 1,429,941.67 Commercial National Bank, Houston. E. P . HILL, President. R. A. GriRAUD, Cashier. No. 3517. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture.an (Mixture* Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractionalcurrency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit* Redemption fund with Treas. U. S. Due from Treasurer U. S Total. ;382,186.18 14,041.41 50, 000. 00 45, 747. 64 20, 622. 71 16, (532. 21 36, 000. 00 "4," 692.35 13, 500. 00 1,150.00 910.00 809.15 43, 650.00 39, 528. 00 Capital stock paid in . $200, 000. 00 Surplus fund Undivided profits 10, 000. 00 10, 286. 04 National-bank notes outstanding State-bank notes outstanding 44,300. 00 Dividends unpaid 280. 00 Individual deposits United States deposits Deposits ofU.S.disbursing of licers. Due to other national banks Duo to State banks and bankers.. Notes and bills re-discounted Bills pa3rable 268,849.15 19,853.86 31, 050. G O 86, 500. 00 2, 250. 00 Total . 671,119.65 671,119.65 Houston National Bank, Houston. HENRY S. FOX, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fi x ture? Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 4028. $139,399. 01 33. 50 25, 000. 00 20,165.44 13, 023.12 10, 286. 21 2, 986.65 3, 882. 73 7, 156. 25 1, 355. 00 1, 580. 00 42.79 13, 295.10 7, 882. 00 L. L. JESTKR, Cashier. Capital stock paid inSurplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 4, 590. 50 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers . . 102, C42. 20 16,437.97 1,042. 13 Notes and bills re-discounted . Bills payablo 1,125. 00 247,212.80 Total 247, 212. 80 RHPOUT OF THK COMPTROLLER OF THE CURRENCY. 557 TEXAS. National Bank, Jefferson. *\V. n. W A R D , No. 1777. President. W. T. ATKINS, Cashier. Resources. Loans and discounts . Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits 17. S. bonds on hand Stocks, securities, j u d g m e n t s , e t c . . Duo from approved reserve a g e n t s . D u e from o t h e r national b a n k s D u e from State b a n k s and b a n k e r s . Ban k'g-house, furniture,and fixtures Other real e s t a t e and niortg's owned C u r r e n t expenses a n d taxes p a i d . . . P r e m i u m s on U. S. bonds C h e c k s and o t h e r cash items Exchanges for clearinghouse Bills of ot her national b a n k s Fractional currency, nickels, cents Specie Legal-tender notes 17. S. certificates of deposit Redemption fund w i t h Treas. 17. S. D u e from T r e a s u r e r TJ. S Total . Liabilities. $196, 247.50 2, (595.10 12, 500. 00 Capital stock paid i n . $50, 000. 00 0, 070. 00 113.55 2, 92G. 00 10, 860. 00 70, 000. 00 20, 949. 00 National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g . . 5,051. 50 23, 477.28 7, 443. 50 2, 245.49 3, 085. 7 L 000. 00 1,731.42 Surplus fund Undivided profits. 11,250.00 Dividends u n p a i d . 430.00 Individual deposits United States deposits Deposits of U.S.disbursing olttcers. 81,795.12 D u e to other national b a n k s Due to State banks and b a n k e r s . . 29,091.51 1,401. 02 Notes and bills re-discounted Bills payable 10, 095.30 — 562.50 Total . 275, 912. 55 275, 912.55 First National Bank, Kaufman. No. 3836. B. F. TAYLOR, President. Loans and discounts Overdrafts U . S . bonds to secure circulation . . . U . S. bonds to secure deposits i U. S. bonds on hand Stocks, securities, j u d g m e n t s , e t c , D u e from approved reserve a g e n t s . D u e from other national b a n k s D u e from State b a n k s and b a n k e r s Bank'g-house,furuiture,and fixtures; O t h e r real estate and mortg's owned 1 C u r r e n t expenses and taxes p a i d . . . P r e m i u m s on U. S. bonds Checks and other cash items E x c h a n g e s for clearing-house Bills of other national banks Fractional currency, nickels, c e n t s . Specie Legal-tender notes U . S. certificates of deposit Redemption fund with T r e a s . U. S D u e from T r e a s u r e r U. S $78,154.98 6,488.51 12,500.00 7,185.85 9, 305. 24 7, 257. 67 5,310.56 $50, 000. 00 Surplus fund Undivided profits 3, 500.00 3, 586. 33 National-bank notes o u t s t a n d i n g S t a t e - b a n k n o t e s o u t s t a n d i n g .1 11, 250. 00 Dividends unpaid 64, 024. 26 "750." 06" 3, 000. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. Duo to other national banks Due to State banks and bunkers .. Notes and bills re-discounted Bills payable 899. 43 78.35 730.70 2, 499.00 5G2. 50 133, 860.02 Total. B. F. STILL, Cashier. Capital stock paid in Total . 133, 800. 02 First National Bank, La Grange. A. J . ROSEN THAL, President. Loans a n d discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds t o secure deposits — U. S. bonds on hand Stocks,securities, j u d g m e n t s , e t c Duo from approved reserve a g e n t s . Duo from other national b a n k s Duo from State b a n k s and b a n k e r s . Bank'g-house.furniture,au(t fixtures Other r c a l e s t a t o and mortg's owned C u i r e u t espouses and t a x e s paid . . P r e m i u m s on U. S. bonds Checks and other cash items E x c h a n g e s for clearing-house Bills of other nafeional b a n k s Fractional currency, nickels, c e n t s . Specie Lognl-tender n o t e s . 17. S. certificates of doposit Redemption fund with T r e a s . U. S. D u e from T r e a s u r e r U. S Totai . No. 3906. $64, 649. 74 35, 926.54 12, 500. 00 4,271.13 130. 24 13,113.37 1, 582.15 II. A.CrLADDisn, Cashier. Capital stock paid in Surplus fund I Undivided profits j National-bank notes outstanding.. State-bank notes outstanding . . . . . \ $50,000.00 1,300.75 2, 773.13 11,250.00 Dividends unpaid. Individual deposits 1, 017. 97 United States deposits 3, 2fil. 72 ! Deposits of U.S.disbursingofficers. 65,138.03 751. 03 I Due to other national banks Due to State banks and bankers . 6,016.40 j Notes and bills re-discounted 2, 045. 00 Bills payable 3, 368. 52 12,000.00 562. 50 145, 830. 79 Total. 145, 83(5. 79 558 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Lampasas, E. J. MAUSHALL, Cashier. No. 32GL E. M. LONGCOI'E, President. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds t o secure circulation.. U. S. bonds to secure deposits U. S. bonds on hnnd. Stocks, securities, judgments, c t .. J Due from approved reserve accents | Due from other national b a n k s . Duo from State banks and bankers Bank'g-house, furniture, and fixtures Other real estato ami mortg'sowned Current expenses and taxes p a i d . . Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of'other, national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes IT. S. certificates of deposit Redemption fund with Tveas. TJ. S. Due from Treasurer U". S Total. $137,187.91 5. 1-42. .37 25, 000. 00 $100, 000.00 Capital stock paid in... Surplus fund Undivided profits 7,107. 79 \\ National-bank notes outstanding.. 2,038. 51 State-bank notes outstanding 36S. 82 7, 643. 84 I Dividends unpaid 2,444.51 3, 550. 8:) Individual deposits 1. 587. 42 United States deposits 6, 875. 00 || Depositsof U.S.disbursingofficers. 23. 00 Due to other national banks 1,355.00 Due to State banks and bankers .. 47. 55 6,133.50 Notes and bills re-discounted . . . . 6, 250.00 Bills payable 18, 000. 00 3, 958. 09 22, 470. 00 12. 00 50, C83. 79 3, 750. 22 2,170. 95 12, 678. 00 9G5.00 213, 723. 05 Total. 213, 723. 05 Milmo National Bank, Laredo. EUGENE KELLY, No. 2486. President. Loans and discounts Overdrafts U. S. bonds to secure? circulation . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and raortg'a owned Current expenses and taxes p a i d . . . Premiums on TJ. S, bo rids Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Snecie ". Logal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S Total. DANIEL MILMO, Cashier. Capital stock paid i n . $120, 000. 00 "3O,"o6o.OO* Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 12, 706. 07 Dividends unpaid . 174,985.80 i 33,349.10 i 18,974.72 i Individual deposits 1.436.0L i United States deposits Deposits of U. S. disbursing officers. ""'8*695.37"! Due to other national banks 3, 244. 00 Duo t o State banks and bankers .. 135. 30 50, 537. 05 Notes and bills re-discounted . 8, 500. 00 Bills payable 100, 000. 00 17, 918. 71 $159, 953. 68 25, 400. C 230, 072.99 7, 724. 30 2,151.10 1,350.00 || 503, 267.10 Total. 503,267.10 i First National Bank, Lockhart. JAMES G. BUKLESOS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents Due from other national banks. . Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. M. JOLLEY, Cashier. No. 4030. $49, 681. 70 58, 813.42 12, 500. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50,000.00 2, 914.57 11,250.00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursingofficers.;. 2, 979.00 113. 80 C, 425. 50 4, 750.00 6« 299. 47 Due to other national banks Due to State banks and bankers . . 9,137.74 Notes and bills re-discounted Bills payable 9, 700.00 562.50 152,301.78 .'I Total. 152,301.78 REPORT OF THE.COMPTROLLER OF THE CURRENCY. 559 TEXAS. First National Bank, Longview. No. 4077. J . K. CLKMMONS, President. T. E. CLEMMONS, Cashier. Liabilities. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer IT. S Total. $34, 170. 26, 383. 12, 500. 56 50 00 $50, 000.00 Capital stock paid in. Surplus find Undivided proiits National-bank notes oiitstandi.i° 10,044.58 ; State-bank notes outstanding 350. 65 I 1,514.08 ; Dividends unpaid 6,000.00 Individual deposits 429. 33 United States de].)osits 3, 546. 88 Deposits of U.S. disbursing officers 58.25 Due to other national banks 245. 00 Due to State banks and bankers. . 519.45 4, 701.25 Notes and bills re-discounted. 13, 000.00 Bills payable 1,459. 41 11,950.00 49,701.7,-! 1, 509. 4! 81.40 562.50 Total. 114, 062. 03 114,062.03 First National Bank, Marshall. No. 3113. R. C. GARRETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Dae from State banks and bankers Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other rational banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. EDMUND KEY, Cashier. $210,397.30 ! Capital stock paid in 13, 167. 72 I 20,000.00 i Surplus fund Undivided profits 9, 890. 76 21,591.14 33, 462. 91 2,359. 65 13, 000. 00 3, 000. 00 2, 505.64 20,614.00 118.10 14, 731. 08 55, 000. 00 $75, 000. 0u %. *. National-bank notes outstanding.. State-bank notes outstanding 7, 500. 00 3,497. S7 18, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 300,415. 24 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 14, 680. 79 1, 644. 40 900.00 420, 738. 30 Total. 420, 738. 30 Marshall National Bank, Marshall. W. C. PIEBCE, President. Loans and discounts Overdrafts U. S. bonds,to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents No. 4101. $35.00 *25,*666."66" 5, 498,23 16, 684. 05 5,000. 00 8,142.36 182.76 7, 046. 87 Surplus fund Undivided profits $52, 430. 00 7." 20 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 15,087.07 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. J". P. ALFOHD, Cashier. Capital stock paid in. 67,589.27 Total., 67,589.27 560 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, McGregor. A. J. SEWELL, President. No. 4076. CIIAS. F . SMITH, Cashier. Resources. Loans and discounts Overdrafts U. S. b»nda to secure circulation... XI. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents . 3Jue from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Chocks and other cash items Exchanges for clearing-house 3 Jills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $7,031.55 12,894 06 12, GOO. 00 20, 375. 52 1, 913. 69 4, 92 L. 10 588.26 3, 546. 88 620. 00 85.43 5,786. 00 4,105.00 Capital stock paid in. $40, 000. 00 Surplus fund Undivided profits . 177. 05 Rational bank notes outstanding.. State bank notes outstanding 6,250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 27,823.48 Due to other national banks Due to State banks and bankers.. 679.46 Notes and bills re-discounted. Bills payable 562.50 74, 929.99 Total.. 74, 929. 99 First National Bank, McKinney. FRANCIS EMERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national l)anks Fractional currency, nickels, cents. Spejcie Legal-tender notes TJ. S. certificates of deposit Kedeuiption fund with Treas. U. S. Duo from Treasurer U. S Total. No. 2729. $1U, 845.11 45,196.58 12,500.00 1, 338.11 67,867. 52 2, 647. 96 11,210.29 THOS. H. EMERSON, Cashier. Capital stock paid in. $50, 000.09 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 70, 000. 00 5, 744.07 11,250.00 Dividends unpaid.. 596. 95 3, 375.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 212, 901.01 34, 295.00 377.85 26,360.00 33, 345. 00 Duo to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 4, 622.79 562. 50 Total.. 354, 517.87 354,517.87 Collin County National Bank, McKinney. GIRAKD A. FOOTE, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-honse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-houso Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedeinption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 2909. $121, 368.56 49,222.17 25,000.00 27, 600.00 3,695.07 32, 655. 86 818. 85 11, 989. G O 1, 269. 52 4, 443. 75 6, 310. 00 6.40 33, 404. 00 6, 200. 00 J". L. WHITE, Cashier. Capital stock paid in. Surplus fund . Undiv divided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $100, 000. 00 4, 500.00 2, 716. 94 22, 500. 00 365. 00 Individual deposits United States deposits Depositsof U.S.disbursing officers. 184, 230. 74 Due to other national banks Due to State banks and bankers.. 9,170. 01 1, 626. 09 Notes and bills re-discounted. Bills payable 1,125. 00 325,108. 78 Total. 325,108. 78 REPORT OF THE COMPTROLLER OF THE CURRENCY. 561 TEXAS. First National Bank, Meridian. No. 4016. C. C. BLANTON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. W. EUDASILL, Gathier. Liabilities. $103,887.96 Capital stock paid in. 2,126.61 15,000. 00 Surplus fund Undivided profits National-bank notes outstanding.. 1,125.81 State-bank notes outstanding $60, 00U. 00 884. 25 6, 489. 52 13, 500. 00 15,197.25 Dividends unpaid. 3, 644.98 493. 20 Individual deposits 999. 75 United States deposits 4,387.50 Deposits of U. S. disbursing officers 784.80 Due to other national banks 1, 370. 00 11.61 Due to State banks and bankers. 6, 356.00 Notes and bills re-discounted. 3,265.00 Bills payable 78,371. 62 80.08 675.00 Total. 159,325.47 159, 325.47 First National Bank, Mexia. No. 3014. W. H. KICHARDSON, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agontsDue from other national banks Due from State banks and bankers. Bank!g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $64,692.41 38,423.83 12, 500. 00 26, 579.75 3,115.07 2,081.44 2,240. 63 1,182.01 192. 52 3,703.12 318. 60 1, 580.00 78.44 2,693.25 13,334.00 Dividends unpaid Individual deposits United States deposits Deposi ts of U.S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $50, 000. 00 10,000.00 12,756. 74 10, 730. 00 67, 382. 00 2, 798. 69 5b. 27 19,803.87 562.50 250.00 173,527.57 Total.. W. L . MURPHY, Cashier. Capital stock paid in.. Surplus fund Undivided profits. National-bank notes outstanding . State-bank notes outstanding Total. 173, 527. 57 First National Bank, Montague. P. M. KINSET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. Is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. IJ, Ex, 3-^-30 No. 3165. $53,748.45 Capital stock paid in. 1,343. 30 12,500.00 Surplus fund W. A. MORRIS, Cashier. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50,000.00 3,006. 60 1, 889.10 11,250.00 1, 371.07 1,086.48 65.31 9,010.00 4, 575. 53 1,084.62 2,750.00 Individual deposits United States deposits Deposits of U. S. disbursing ofticers. 25, 940.79 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1,338.47 67.70 3, 060.00 2,200.00 Dividends unpaid 562.50 93,424.96 Total. 93,424.96 562 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS . First National Bank, Orange. H. J . LUTCHEii, President. No. 41i8. W. S. DAVIDSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand * . Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $12, 500.00 1,815.50 12, 542. 78 1G5.35 3, 437. 50 1,156.89 3, 035. 00 4.17 1,465. 95 7, 865.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. Stated-bank notes outstanding $25, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 18, 987. 84. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 43,988.14 Total. 43,988.14 First National Bank, Palestine. Lucius GOOCH, Cashier. $75,000.00 Capital stock paid in. 5,400.00 Surplus fund 4,580.27 Undivided profits. 13,155.00 National-bank notes outstanding.. State-bank notes outstanding No. 3694. GEO. A. WEIGHT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,fumiture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $117,494.76 2; 277.95 18, 750.00 7,200.00 2,370.06 20, 513.91 26, 098.91 2,118.18 902.45 5,092.09 1,199.25 1,230.00 93.70 9,031.00 10,860.00 Dividends unpaid. Individual deposits. United States deposits. Deposits of U.S.d Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 116, 569.54 11,019.76 356. 44 843.75 226, 081. 01 Total. 226,081.01 First National Bank, Paris. GEORGE F. HICKS, President. Loans and discounts Overdrafts : U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-hou se, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.,. Premiums on U, S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tenderHotes TJ. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3638. W\ J. MCDONALD, Cashier. $50,000.00 Capital stock paid in. 25,000.00 Surplus fund 2, 217.89 Undivided profits. 11,250.00 5,000.00 National-bank notes outstanding.. 4,211.69 State-bank notes outstanding $122,483. 29 44,759.21 12, 500. 00 11, 646. 96 332.86 3,173.74 898.43 822.26 677.75 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks 550. C O 203.45 Due to State banks and bankers... 6,941.00 Notes and bills re-discounted 8, 000.00 Bills payable 9F, 384.96 2,159.99 6, 250. 30 27,500.00 562.50 222,763.14 Total . 222, 763.14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 563 TEXAS. Piano National Bank, Piano. GEORGE W. BOWMAN, President Resources. Loans and discounts Overdrafts V. S. bonds to secure circulation... U. S. bonds to secure deposits.. U. S. bonds on band Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 3764. T. C. JASPBB, Cashier. Liabilities. $58,114.32 14,616.10 12,500.00 74.60 505.92 19, 202.16 715.40 3,168. 00 610. PI 600.00 4, 766. 00 *5,"620.*69 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 4, 000. 00 2,183. 46 11, 250.00 52, 322.50 1, 216. 89 83.75 562.50 121,056.60 Total. 121,056.60 First National Bank, Rockwall. T. J. WOOD, JR., President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total.. JOHN R. WILLIAMS, Cashier. No. 3890. $143, 996.21 Capital stock paid in. $125,000.00 74, 301.67 10, 000.00 31,250.00 Surplus fund 5,488. 01 Undivided profits 8,600.00 35,573.08 1,224.47 2, 946.04 12, 476.45 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits 998.84 United States deposits 2,025.11 Deposits of U.S. disbursing officers Due to other national banks 2, 000. 00 Due to State banks and bankers . 27.91 3,000.00 Notes and bills re-discounted 9, 000.00 Bills payable 28,100. 00 60.00 119, 773.31 1, 717.06 14,112.65 24, 575.00 1,406.25 328, 826.03 Total.. Concho National Bank, San Angelo. PHILIP C. LEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S Total.. No. 2767. $67,022. 23 Capital stock paid in. 2, 046. 79 12, 500.00 Surplus fund GrEO. E. WEBB, Cashier. Undivided profits. 12, 350.00 National-bank notes outstanding.. 5, 875. 51 State-bank notes outstanding 1,416.69 525. 57 5,912.76 4, 663.91 98.80 2,550.00 48.95 5, 249. 60 4, 237.00 $50,000.00 5, 000.00 3,341.38 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 36,573.05 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 900.66 406.21 17, 589.01 562. 50 125, 060.31 Total.. 125,060.31 564 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. San Angelo National Bank, San Angelo. M. B. PULLIAM, President No. 3260. ALBERT BAAS, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S.bonds Checks and other cash items Exchanges for clearing-house ! Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S . . . * Total. Liabilities. $203, 511, 37 7, 018.33 25,000.00 10, 364. 98 3,810.14 536.66 9, 025. 92 3,034. 70 1,510.94 1,756. 25 14.40 5,000. 00 72.05 8, 050. 60 4, 500.00 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 6, 000. 00 6, 361. 59 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers 76, 892. 69 Due to other national banks Due to State banks and bankers .. 7,182.07 933. 00 Notes and bills re-discounted Bills payable 64, 481. 99 1,125.00 20.00 284,351.34 Total. 284, 351.34 Lockwood National Bank, San Antonio. JOSEPH S. LOCKWOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hou8e,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit .... Redemption fund with Treas. U. S. D ae from Treasurer U. S No. 3738. $541,986.31 6,062.20 50,000.00 21,500.00 12, 400.70 12, 267.97 30,497.38 6,000. 00 3, 000.00 5, 534.96 58, 986.00 311.59 16, 761.75 80, 000. 00 $300, 000. 00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 12, 000. 00 7, 504.86 42, 450. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 455, 309.47 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 15, 696. 17 14, 598.36 2,250.00 847,558.86 Total. J. Mum, JR., Cashier. Capital stock paid in. Total. 847. 558.86 San Antonio National Bank, San Antonio. GEO. TV. BRACKENRIDGK, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. P>aiik'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1657. $687, 625. 25 171. 03 32, 000.00 118,000.00 251, 608. 35 287, 941.77 27, 600.17 70, 707. 01 65, 631.72 2,936.73 56.25 25, 000* 00 15.25 6,140.00 244. 00 18,285. 00 92, 870.00 JNO. WITHERS, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $125, 000.00 250, 000. 00 24, 673. 51 24,000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,113, 650.06 8, 459. 90 122,422.96 Due to other national banks Due to State banks and bankers .. 13, 843. 92 6,222.18 Notes and bills re-discounted . Bills payable 1, 440.00 1,688,272.53 Total. 1, 688, 272.53 REPORT OF THE COMPTROLLER OF THE CURRENCY. 565 TEXAS, Texas National Bank, San Antonio. JOHN S. ALEXANDER, President. No. 3298. ARCH. A. ALEXANDER, Cashier. Resources. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits. -. IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks .Fractionalcurrency, nickels, cents Specie Legal-tender notes U* S. certificates of deposit .Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. Liabilities. $261,052.66 2, 052.66 25, 000.00 20,490.17 11,953.99 1, 831. 22 2, 868.08 4, 276. 25 5,490.00 848. 26 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits. National-bank notes outstanding .. State-bank notes outstanding 20, 000.00 6, 597. 27 22, 500. 00 300.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 126, 456.66 Due to other national banks 1, 850.00 Due. to State banks and bankers .. 50.82 1, 880.00 Notes and bills re-discounted 10, 562.00 Bills payable 10, 880. 96 2, 632.15 48, 464. 07 13, 500.00 1,125.00 Total. 351,331.11 351, 331.11 First National Bank, San Marcos. EDWIN J. L. GREEN, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks — Duo from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalDjanks Fractional currency, nickels, cents. Specie .. Legal-tender notes*. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3346. $146, 610. 72 12,471.35 20,000.00 17,957.23 4, 785. 51 6,836.41 8,158.00 I, 400.21 4, 000. 00 176. 05 2, 730. 00 158. 50 14,932. 50 23,007.00 E. L. THOMAS, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $80, 000. 00 8, 000. 00 7,408.46 18, 000. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing ofiicers 126, 380.14 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 2, 491. 24 3, 089. (U 18, 754. 00 900.00 264,123. 48 Total. 264,123. 48 Glover National Bank, San Marcos. DANIEL A. GLOVER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Pue from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notea U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3344. TOM H. GLOVER, Cashier. $92,253.06 Capital stock paid in. $50, 000. 00 7,057.92 12,500.00 Surplus fund 8, 000. 00 1, 661. 33 Undivided profits. 22,094.15 10,792. 34 143.60 7,000.00 1,000.00 2,170. C O 11.64 12,459.00 2,930.00 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers - 97,070.51 Due to other national banks Due to State banks and bankers . . 2, 098. 33 894.04 Notes and bills re-discounted . Bills payable 562.50 170,974.21 Total. 170,974.21 566 REPORT OF THE COMPTROLLER OF THE CURRENCY. TE XAS, Merchants and Planters' National Bank, Sherman. TOM RANDOLPH, President. No. 3159. Resources. $1, 218,405.01 Loans and discounts 108.G12.86 Overdrafts 50,000.00 U. S. bonds to secure circulation... TJ. S. bonds to secure deposits II. S. bonds on hand 3,800.00 Stocks, securities, judgments, etc .. 56, 623. 56 Due from approved reserve agents. 39,629. 04 Due from other national banks 30, 355.97 Due from State banks and bankers 18, 000.00 Bank'g-house, furniture, and fixtures Other real estate and mortg's ovraed 5,901.08 Current expenses and taxes paid 4, 000. 00 Premiums on TJ. S. bonds 4,464. 64 C hecks and other cash items — Exchanges for clearing-house... 1,105. 00 Bills of other national banks ... 1,254. 50 Fractional currency, nickels, cents . 9, 823.40 Specie 100, 246.00 Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S 2, '250.00 Due from Treasurer U. S , Total C. B. DORCHESTER, Cashier. Liabilities. $600, 000. 00 Capital stock paid in. 45, 000. 00 29, 033. 51 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits , United States deposits Deposits of U.S. disbursing ofiicers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 1,654,471.06 45, 000. 00 1, 504.00 772,456. 52 24,115.68 12, 361. 32 125, 000. 00 i- 1, 654,471. 06 Total. First National Bank, Stephenville. C. J. SHAPARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to-secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State bankaand bankers. Bank'g-house,fuiniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items _ Exchanges for clearing-house Bills of other nat ional banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. M. MCKNIGHT, Cashier. No. 4095. $31,504.10 ! Capital stock paid in. 2,419. 26 12, 500. 00 Surplus fund $50, 000. 00 Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 1, 099.04 2, 000.00 5, 505. 76 Dividends unpaid Individual deposits f>56.89 United States deposits 3, 531. 25 Deposits of U. S. disbursing officers. 140.61 Due to other national banks 8G5. 00 Due to State banks and bankers .. 14.00 1, 263. 50 Notos and bills re-discounted . 2, 615.00 Bills payable 5,"8l6.17" 14,061.47 145.03 580. 00 67, 305.54 67,305. 54 Total. Erath County National Bank, Stephenville. M. S. CBOW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds onjhand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank 'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie .". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4081. $8, 087. 35 218.64 12, 500.00 17, 875.60 1,290.06 1, 200.00 515.68 3,554.69 393.25 1, 285.00 6.55 1, 629.25 1,200.00 G. W. GENTRY, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $30, 000. 00 292.16 11,250. 00 Dividends unpaid Individual deposits United States deposits Depositsof U. S. disbursing oflicers 8,776.41 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 50, 318. 57 Total. 50,318.57 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 567 TEXAS. First National Bank, Sulphur Springs. J. L. WHITWORTH, President. No. 3466. PHIL. H. FOSCUE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house.furuiture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total., Liabilities. $174,611.16 29,511.40 25, 000.00 15,136. 30 5, 565.65 5,436.24 5, 8L5. 35 $100,000. 00 Capital stock paid in , Surplus fund Undivided profits. National-bank notes outstanding State-bank notes outstanding 12, 000. 00 4, 257.6« 22, 500.00 Dividends unpaid Individual deposits 2, 059. 86 United States deposits 6, 335. 94 DepositsofU.S.disbursingofficers. 30.67 Due to other national banks 3,785.00 Due to State banks and bankers.. 32.79 10,147. 50 Notes and bills re-discounted 11,140. 00 Bills payable 107,156.92 12, 989.49 245.83 36, 582. 96 1,125. 00 Total. 295,732. 86 295, 732. 86 City National Bank, Sulphur Springs. No. 3989. J. J. DABBS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankersBank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $97, 339.96 5, 538. 91 25, 000.00 2, 738.94 4,914.83 178. 83 11, 604.60 1, 492. 21 7, 031.25 73.76 455.00 133.25 6, 973.50 2, 715.00 J N O . T. HARGROVE, Cashier. Capital stock paid in . $100, 000.00 Surplus fund Undivided profits . 3, 000. 00 2, 093. 01 National-bank notes outstanding State-bank notes outstanding 22, 500.00 Dividends unpaid. Individual deposits United States deposits DepositsofU.S.disbursing officers 23,859. &5 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 10.28 18.50 15, 833.30 1,125.00 Total., 167, 315. 04 167,315.04 First National Bank, Taylor. JOHN R. HOXIE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national oanks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. No. 3027. $172, 202. 70 8, 128.43 37, 500.00 3, 567. 51 24, 425.06 5, 065. 93 16,100.00 1,765.16 8, 656. 25 11,295.00 53.07 15,508.00 9,800.00 C. H. WELCH, Cashier. Capital stock paid in . $150,000.00 Surplus fund Undivided profits. 17,000.00 5,933.99 National-bank notes outstanding State-bank notes outstanding 33, 750.00 Dividends unpaid 25.00 Individual deposits United States deposits , DepositsofU.S.disbursingoflicers 97, 933.05 Due to other national banks Due to State banks and bankers.. 10,676.21 436.36 Notes and bills re-discounted . Bills payable I, 687.50 315, 754. 61 Total. 315,754.61 568 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. Taylor National Bank, Taylor. No. 3859. JOSEPH SPEIDEL. President. C. MENDEL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k' g-hou se, furniture, and fixtures Other ieal estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationall)anks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total. $111,557.12 3, 981.15 17, 500. 00 4, 076. 55 7,939.48 53.16 7, 076.22 799.40 1,142.97 12,000. 00 27.10 10, 907. 78 9, 750.00 Capital stock paid in. $65, 000.00 Surplus fund Undivided profits 1, 500. 00 3, 311.35 National-bank notes outstanding. State-bank notes outstanding 15, 740. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 90, 945. 53 Due to other national banks Due to State banks and bankers .. 660. 71 490. 84 Notes and bills re-discounted Bills payable 3, 350.00 6, 600.00 787.50 187, 598. 43 Total. 187, 598.43 First National Bank, Temple. FLAVIUS F . DOWNS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andflxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. F. E. SANFORD, Cashier. No. 3227. $214,237. 53 Capital stock paid in. $100,000. 00 5, 786. 60 25, 000. 00 Surplus fund 15, 000. 00 7,943.80 Undivided profits. 1, 000.00 National-bank notes outstanding.. 22, 500. 00 7, 223.12 State-bank notes outstanding 7, 786. 30 16,302.26 Dividends unpaid. 7, 688.99 101, 645. 96 Individual deposits 1,482.68 United States deposits 4,762.50 Depositsof U.S.disbursing officers. 985.18 Due to other national banks 10,584.79 1,085. 00 Due to State banks and bankers.. 16.65 5, 000. 75 Notes and bills re-discounted 53,798. 01 11, 990.00 Bills payable 1,123. 00 311,472.56 Total.. 311,472.56 Temple National Bank, Temple. W . GOODRICH JONES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C. L. MCCAT, Cashier. No. 3858. $159,136.01 7,651. 33 20,000.00 500.00 5, 613 30 13, 659.18 3,371.85 1,705. 26 1, 227. 95 1, 325.00 10, 951.82 270. 00 711.39 4, 620.50 9, 515. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $80,000.00 2, 000. 00 4, 790. 01 18, 000. 00 75.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 92,848.95 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted , Bills payable 1,329. 83 889. 70 41, 225.10 900.00 241,158. 59 Total . 241,158.59 REPORT OP THE COMPTROLLER OP THE CURRENCY, 569 TEXAS. First National Bank, Terrell. No. 3816. JOHN C. RUSSELL, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks . . . Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S Total. M. W. HALEY, Cashier. Liabilities. $67, 758. 00 7, 254. 97 12,500. 00 4,381.61 743. O H 2,193. 72 3, 583. 68 841.12 3, 378. 90 505. 52 4,175. 00 16.65 5, 816. 85 " 9,525. 00 Capital stock paid i n . $50, 000. 00 Surplus fund Undivided profits 3, 000.00 1, 653.16 National bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursiu.; officers Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 40,156. 00 1,092. 84 16, 084. 60 562.50 Total. 123,236.60 123, 236.60 First National Bank, Texarkana. No. 3065. J. H. DBAUGHON, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc... Due-11001 approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S $260, 632. 57 1,578.97 25,000.00 16, 16, 18, 5, 6, 3, 1, 3, 858. 53 262. 35 815. 08 025. 00 500. 00 781.14 921.88 995. 51 390. 00 103.43 14, 370.60 2, 830.00 State-bank notes outstanding $100,000.00 10, 000. 00 15,534.46 22, 500.00 Dividends unpaid., Individual deposits United States deposits Depositsof U. S. disbursing officers 196, 373.41 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 365. 53 6, 251. 32 28,165. 34 1,125. 00 Total. 379,190. 06 Total. W. A. KELSEY, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. 379,190. 06 Inter-State National Bank, Texarkana. PHIL. T. NOBWOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Chects and other cash items Excuanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3998. $145,957. 73 3, 249. 69 31, 300. 00 5, 000. 00 556.02 5,175. 56 27,016.06 3,126.17 607. 36 3, 399. 22 2,543.33 682.52 995.00 125 69 13, 335.10 4, 215. 00 li. C. CAUMAN, Cashier. Capital stock paid in. Ins fund profits. National-bank notes outstanding. State-bank notes outstanding $118, 000.00 11,216. 51 28,150.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S. disbursing officers 88,407.03 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 2,390. 43 527. 76 1,407. 50 248, 691. 75 Total. 248, 691.75 570 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS, Texarkana National Bank, Texarkana. BENJAMIN T. ESTES, President. No. 3785. C. A. WILLIAMS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts.. ^ U. S. bonds to secure circulation... U. S. bonds to secure deposits Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.fc>.certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $237, 579. 32 81.79 25, 000, 00 14, 073. 41 9, 417. 51 3, 560. 00 Capital stock paid in $100, 000.00 Surplus fund Undivided profits 12, 000. 00 10, 751. 37 National-bank notes outstanding. State-bank notes outstanding 22, 500.00 Dividends unpaid 200. 00 Individual deposits 2, 270. 53 United States deposits 6, 562. 49 Deposits of U. S. disbursing officers 500. 00 Due to other national banks 510. 00 Due to State banks and bankers.. 85.18 7,518.50 15,160.00 162,000.44 13,306.11 2, 685. 81 Notes and bills re-discounted Bills payable 1,125. 00 Total 323,443.73 323, 443.73 First National Bank, Tyler. No. 3651. E. C. WILLIAMS, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure depoaita U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total., $334, 914. 95 39, 975. 39 50, 000.00 15,101. 04 2, 014. 69 4, 473. 65 22, 387.18 J. D. MOODY, Cashier. Capital stock paid in. $200,000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits 2, 870.14 United States deposits 3, 839. 84 Deposits of U. S. disbursing officers 3, 752.63 Due to other national banks 35.00 Due to State banks and bankers .. 54.55 4, 392.90 Notes and bills re-discounted 4, 785.00 Bills payable 6, 500. 00 10, 794. 23 44, 940. 00 55.00 112, 351. 43 3,176. 66 12, 224.14 100, 805.50 2, 250.00 490, 846. 96 Total. 490,846. 96 First National Bank, Vernon. A. M. BBITTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national bauks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-bouse Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total.. No. 4033. Capital stock paid in. $119,991.83 547. 34 25, 000.00 21,491.07 28, 286.50 2, 770.14 17,898.30 5,689.35 7,343.75 722.28 1, 290. 00 30.45 7, 307. 75 14, 930.00 S. W. LOMAX, Cashier. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $100,000.00 6, 534.17 12,490. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 130, 459. 66 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 4,072. 90 366. 53 624. 50 253, 923.26 Total. 253,923.26 REPORT OF THE COMPTROLLER OF THE CURRENCY. 571 TEXAS . First National Bank, Waco. No. 2189. J. TV. MANN, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's o wued Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. J. K. ROSE, Cashier. Liabilities. $518,436.44 7, 918. 82 25, 000. 00 55, 959.81 20,146. 38 3,135. 59 10, 000.00 Capital stock paid i n . $100, 000. 00 135,000. 00 29, 502. 86 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding 21, 700.00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 7, 511.10 23,989.68 Due to other national banks 12,040.00 Due to State banks and bankers .. 960.75 18, 326. 25 Notes and bills re-discounted 39,000.00 Bills payable 397, 833. 44 7,263.37 13, 969. 52 9, 557.37 43,250.00 1,125.00 Total. 750,813.19 750, 813.19 American National Bank, Waco. No. 3901. WILLIAM CAMEBON, President Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid...' Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. N. B. SLIGH, Cashier. Capital stock paid in. 50, 000.00 Surplus fund Undivided profits National-bank notes outstanding .. 78, 788. 57 State-bank notes outstanding $498,338. 93 32, 908. 68 59, 745.56 Dividends unpaid 6,675.65 Individual deposits 6,580.07 United States deposits 2, 500. 00 Deposits of U. S. disbursing officers. 2,269.19 Due to other national banks 26, 594.14 Due to State banks and bankers . 180.85 16,096. 80 Notes and bills re-discounted 17, 500. 00 Bills payable $250,000.00 25, 000. 00 20, 568.56 45, 000. 00 226, 404. 58 46, 925.26 25,458.87 161,071.17 2,250. 00 800,428.44 Total . 800,428.44 Citizens' National Bank, Waco. J. T. DAVIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other i-eal estate and mortg's owned Current expenses and taxes paid.... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3135. $217, 505. 72 Capital stock paid in. 16, 047.73 25, 000.00 Surplus fund 13,108. 25 4, 216. 55 7,691.02 3, 510.21 7, 037.18 5,190.00 299.80 2,462. 00 12, 000.00 L. B. BLACK, Cashier. Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $100, 000. 00 50, 000. 00 10, 555. 09 22, 500.00 109, 627. 49 10,268.21 2, 282.91 10,000.00 1,125.00 40.24 315, 233. 70 Total. 315,233.70 572 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. First National Bank, Waxahachie. No. 2974. C. W. GIBSON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. R. G-. PHILLIPS, Cashier. Liabilities. $192, 808.16 17,768.92 19, 000. 00 8,132.98 1,350. 06 5,514.16 10,112.86 1,696.90 900.00 2, 791. 52 1, 560. 00 48.30 10, 840.00 20, 830.00 $75, 000. 00 Capital stock paid in . Surplus fund «. Undivided profits . 13, 000. 00 5, 955. 33 National-bank notes outstanding.. State-bank notes outstanding 17,100.00 Dividends unpaid. Individual deposits United States deposits DepositsofU.S.disbursingoflicers- 134, 019. 31 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 6, 057. 97 7, 596.25 35, 480.00 855.00 294, 208. 86 294, 208.86 Total. 1 Citizens National Bank, Waxahachie. O. E. DUNLOP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid...! Premiums on U. S. bonds • Checks and other cash items Exchanges for clearing-house \ liiils of other national banks I Fractional currency, nickels, cents. Specie Legal-tender notes ! U. S. certificates of deposit I Redemption fund with- Treas. U. S. j Due from Treasurer U. S ! Total. No. 3212. $228,745.97 Capital stock paid In. 44,092.49 25,000.00 Surplus fund T. A. FERRIS, Cashier. Undivided profits.... National-bank notes outstanding.. 13, 856. 63 State-bank notes outstanding 2,393.31 1, 015. 33 3, 002.25 2,157.40 595.80 2,000.00 33.60 12, 075. 50 10,000. 00 $100, 000. 00 45,000.00 6, 717.32 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 135, 537.48 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 2,191.13 1, 867.70 32, 279. 65 1,125.00 346, 093. 28 Total. 346,093.28 First National Bank, Weatherford. HENRY WARREN, President. W. TV. DAVIS, Cashier. No. 2477. Loans and discounts I $148, 892.77 ! Capital stock paid in | $50,000.00 Overdrafts i 18,971.39 \ U. S. bonds to secure circulation... I 12, 500. 00 I Surplus fund 50, 000. 00 'I U. S. bonds to secure deposits j 7, 592.19 Undivided profits . U. S. bonds on hand | Stocks, securities, judgments, etc . . j 4, 280.85 National-bank notes outstanding.. i 11,250.00 Due from approved reserve agents 94.07 |. Due irom other national banks j 9, 669. 21 State-bank notes outstanding i Due from State banks and bankers. j 2,015.83 .1. Dividends unpaid Bank'g-house,furniture,and fixtures: 2,224. 77 Other real estateand mortg's owned Individual deposits I 84, 665.14 Current expenses and taxes paid...! 1,530.40 United States deposits |. Premiums on U. S. bonds | 537.50 Deposits of U.S. disbursing officers. |. Checks and other cash items 1,240.35 Exchanges for clearing-house Due to other national banks i 1,494.80 Bills of other national banks 1, 540.00 Due to State banks and bankers .. | 586.45 Fractional currency, nickels, cents . 53.45 Specie i 3,158.65 Notes and bills re-discounted 10,433.16 Legal-tender notes i 8,730.00 Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 562.50 Due from Treasurer XJ. S Total. 216, 021.74 Total., 216,021.74 REPORT OF THE COMPTROLLER OP THE CURRENCY. 573 TEXAS. Citizens1 National Bank, Weatherford. No. 2723. J. R. COUTS, President. A. N. GRANT, Cashier. Kesourcea. Loans and discounts Overdrafts U. S. bonds to secure circulation..U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. Liabilities. $341,454. S6 1,187.61 12, 500. 00 59, 422. 70 31,198.16 30, 884. 79 7, 395. 96 1, 747.48 13, 653. 07 3, 027. 04 749.61 2,490. 00 42.10 14,118.50 13, 912. 00 Capital stock paid i n . $50,000.00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 150,000. 00 55,155. 92 11, 250.00 Dividends unpaid Individual deposits United States deposits Depositsof U. S. disbursing officers 225, 920. 56 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 2,012. 62 377.18 24. 630.20 15,000.00 562. 50 Total. 534, 346.48 534, 346.48 Merchants and Farmers' National Bank, Weatherford. W. H. EDDLEMAN, President Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank 'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks :.. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3975. J. D. ANDERSON, Cashier. $132, 323. 23 Capital stock paid in $100, 000. 00 3, 556. 58 25, 000. 00 Surplus fund 8, 085. 62 Undivided profits National-bank notes outstanding. 22, 500. 00 31, 576. 21 State-bank notes outstanding 7, 782.58 2, 725. 55 Dividends unpaid 4, 832. 39 Individual deposits 74, 712. 25 3, 753. 50 United States deposits 2, 350.00 Depositsof U.S. disbursing officers. 918. 95 Due to other national banks 1, 320. 62 910.00 Due to State banks and bankers .. 172. 05 .75 2, 882. 80 Notes and bills re-discounted 15, 617.00 7, 670. 00 Bills payable 5,000. 00 1,125.00 Total. 227,407. 54 227, 407.54 Panhandle National Bank, Wichita Falls. ROBERT E. HUFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U.ls. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 3200. $113, 372. 30 2, 564. 80 18, 200. 00 1, 996.89 26, 853. 81 23,156. 68 5, 904.66 4,872.96 5,107. 45 1, 587. 39 5,307.13 87.90 1, 240. 00 9.00 3, 495. 75 6, 436.00 W. A. MCCUTCHEN, Cashier. Capital stock paid in , $72, 800.00 Surplus fund Undivided profits 7, 200.00 10, 884.23 National-bank notes outstanding. State-bank notes outstanding 16, 380. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 109, 683.32 Due to other national banks Due to State banks and bankers .. 2, 698.63 1, 365. 54 Notes and bills re-discounted . Bills payable 819.00 221, 011. 72 Total. 221,011.72 574 REPORT OF THE COMPTROLLER OF THE CURRENCY. TEXAS. "Wolfe City National Bank, Wolfe City. JOHN A. PIERCE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers B; t nk1 g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. ^ . certificates of deposit Redemption fund with Treaa. XT. S. Dne from Treasurer TJ. S Total., No. 3984. $33,951. 25 31, 765. 47 12, 500.00 1,130. 89 491.54 773.19 1, 600.15 1, 925.18 800. 00 44.35 C. E. CRATCBOFT, Oashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. 2,504. 80 Notes and bills re-discounted . 3, 600.00 Bills payable 445.00 $50, 000. 00 3, 565.17 9, 250.00 28, 513. 36 748. 29 17.50 562.50 92,094.32 Total. 92,094.32 REPORT OF THE COMPTROLLER OF THE CURRENCY. 575 A R K AN S A S . Camden National Bank, Camden. No. 4066. CHARLES N. RIX, President. CHAS. K. LITHEN, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items E xch anges for clearin g-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S : Total. Liabilities. $129,819.89 2, 707. 86 12, 500. 00 1,480. 95 2,126. 42 1,279.33 4, 477.44 1,500.00 3,721.13 867.84 3, 578 13 6G2. 74 1, 015. 00 100. 50 7, 883. 35 6,360.00 Capital stock paid i n . $50, 000. 00 Surplus fund. Undivided profits National-bank notes outstanding. State-bank notes outstanding 2, 489.26 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers 78,174. 80 Due to other national banks Due to State banks and bankers . 5, 843. 04 1,310.42 Notes and bills re-discounted Bills payable 31, 575.56 562. 50 Total. 180, 643.08 180, 643.08 First National Bank, Fort Smith. GEO. T. SPARKS, President. Loans and discounts........ Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house.-.. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1950. $333, 372.24 408. 90 25, 000. 00 7, 523. 63 70, 714.46 . 116.97 387.91 JOHN VAILE, Cashier. Capital stock paid in $100, 000.00 Surplus fund Undivided profits 50, 000. 00 18, 975. 36 National-bank notes outstanding.. State-bank notes outstanding 21,100. 00 Dividends unpaid. 50.00 Individual deposits United States deposits Depositsof U.S. disbursing officers. 5, 825. 00 20.94 15, 345.00 13, 500.00 281,162. 76 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 274. 02 1,777.91 1,125. 00 Total.. 473,340. 05 473,340.05 American National Bank, Fort Smith. B. F. ATKINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, eto . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total.. No. 3634. $236,814.40 47.56 25,000.00 2, 993.83 18, 986. 02 574.37 1, 057.01 2, 800.00 702. 60 1,468. 75 128.41 1, 070. 00 81.60 3, 366.80 3, 502.00 E. C. HASKETT, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits 10, 000.00 13, 002.55 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid., Individual deposits United States deposits DepositsofU.S.disbursingofficers. 154,215.80 Due to other national banks Due to State banks and bankers . Note&and bills re-discounted. Bills payable 1,125.00 299,718.35 Total. 299, 718.35 576 REPORT OF THE COMPTROLLER OF THE CURRENCY. ARKANSAS. First National Bank, Helena. No. 3662. F . B. SLIGER, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas.XJ. S. Due from Treasurer U. S $182, 508.72 35,622.19 25, 000. 00 8, 784.47 1, 546. 68 2,616.73 9. 968. 00 1,117.55 4, 562.50 1,170. 23 5, 373. 00 4.80 1,766.25 8,000.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-banknotes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable $100, 000.00 25, 000.00 6,433.92 22, 500.00 80, 817.92 3,202.44 11, 098.65 40,113.19 1,125.00 Total. 289,166.12 Total. LYCURGUS LUCY, Cashier. Liabilities. 289,166.12 Arkansas National Bank, Hot Springs. E. HOGABOOM, President No. 2832. Loans and discounts .'. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bankfg-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cen,ts. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $127,309.71 1, 496.37 25,000.00 44, 700.00 2, 032.30 6, 940. 81 16,134. 23 15, 500.12 9, 500. 00 2,091. 79 17, 750. 00 1, 758. 75 2, 890. 00 80.03 6, 338. 25 15, 000.00 $100, 000. 00 7, 000. 00 5, 003. 50 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers .. 160, 420. 60 73.26 650.00 Notes and bills re-discounted . Bills payable 1,125. 00 295, 647.36 Total. CHARLES N. R I X , Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Total. 295, 647.36 First National Bank, Little Rock. L. H. ROOTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'ghouse, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total.. No. 1648. $788,172.98 Capital stock paid in. 440. 49 100, 000. 00 Surplus fund 150, 000. 00 Undivided profits 84,403.40 4, 030.10 22, 778.32 P. K. ROOTS, Cashier. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits , United States deposits 10, 500. 00 Deposits of U.S.disbursing officers 410. 34 6,700.00 13. 52 52, 798.00 23,000.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable $250, 000.00 66, 000.00 6, 913.10 90, 000.00 1, 840. 00 634, 387. 91 143, 531.50 19, 690.36 1,197. 60 34,186. 68 4, 500. 00 1, 247, 747.15 Total 1,247,747.15 REPORT OF THE COMPTROLLER OF THE CURRENCY. 577 ARKANSAS. Exchange National Bank, Little Rock. J. H. MCCARTHY, President. N o . 3300. J. S. POLLOCK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due ft'om other national banks Due from State banks and bankers Bank'g-house,furniture.andfixtures Other real estate and mortg's owned C urrent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes , U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $482, 823. 87 47, 316. 94 60,000.00 300.00 6, 334.64 1, 453. 58 675.20 2, 000.00 756. 05 10, 325. 00 2, 793.85 3, 640. 00 183. 50 16,150. 00 7, 920. 00 Capital stock paid in. $200, 000.00 Surplus fund fund. Undivided profits . 4, 000. 00 5, 461.39 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits . » Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 54, 000. 00 321,564.00 1, 038.25 5, 507. 86 52, 861. 33 1, 760.00 Total 644, 432. 63 644, 432.63 German National Bank, Little Rock. JOHX Gr. FLETCHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. H. Ex. 3—-37 OSCAR DAVIS, Cashier. No. 3318. $917,750.88 15,916.32 50, 000. 00 150, 000.00 300.00 200. 00 86, 028.77 12, 033. 86 1,481. 63 3, 680.00 36, 228.00 2, 956. 37 3,169.00 2.40 32, 012. 50 19, 863.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits Uuited States deposits Deposits of U. S.disbursing officers Due to other national banks Due to State banks and bankers.. ITotes and bills re-discounted Bills payable 1. $300, 000.00 75, 000.00 19, 761.82 45, 000. 00 815. 00 620, 998.52 142, 326.12 17,673.88 3, 798.43 9, 064. 53 98, 834.43 2, 250. 00 1, 333, 872.73 Total. 1, 333, 872.73 578 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. Second National Bank, Ashland. R. D. DAVIS, President. No. 3944. EDWARD MITCHELL, Cashier. Resources. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash- items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. s. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $128,485.71 189. 83 12, 500. 00 898.10 1, 5L4. 09 8, 097. 75 $50, 000. 00 Capital stock paid in. 236.65 2, 800. 20 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 11,250. 00 Dividends unpaid. 941. 20 3, 562. 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 86, 929. 50 615. 00 40.06 5, 328.50 1, 315.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 1, 234.82 380.08 11, 218.99 562. 50 164,050.24 Total. 164, 050.24 Ashland National Bank, Ashland. JOHN MEANS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand.. -.' Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks..... Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and morfcgs owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes.'. U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. W. C. RICHARDSON, Cashier. No. 2010. $317,852.53 Capital stock paid in. $210, 000. 00 22.27 100,000.00 Surplus fund 63, 200. 00 13,185. 03 100, 000. 00 Undivided profits. 54, 850.00 National-bank notes outstanding.. 90, 000. 00 21,273.78 State bank notes outstanding 22,556.26 2,959.17 Dividends unpaid. 12, 800. 00 Individual deposits 327, 422. 89 3, 968. 36 United States deposits 30, 000.00 Deposits of U.S. disbursing officers. 217.72 Due to other national banks 7, 724.30 2, 305.00 Due to State banks and bankers .. 839.78 255.01 30, 811.90 Notes and bills re-discounted . 8, 000.00 Bills payable 4, 500.00 712, 372. 00 Total. 712, 372. 00 First National Bank, Carrollton. J. A. DONALDSON, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit ... Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2592. $129, 500. 71 Capital stock paid in. 150. 43 15, 000.00 Surplus fund 60,000.00 Und ldivided profi 47, 266.70 J. M. GTILTNER, Cashier. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. 5, 760. 00 703. 73 Individual deposits 1, 063. 5«i United States deposits 19, 500. 00 Deposits of U. S. disbursing officers. 43.38 610.00 7.98 764. 35 8, 521.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $60,000.00 14, 000.00 5, 410.12 13, 500. 00 96.00 126, 62fi. 37 66, 000. 00 2, 806. 92 1,127. 43 675.00 289, 566.84 Total. 289,566.84 REPORT OF THE COMPTROLLER OF THE CURRENCY. 579 K E M T UC K Y . Carrollton National Bank, Carrollton. HENRY M. WINSLOW, President. No. 3074. D. M. BRIDGES, Cashier. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits. TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-hou se,furniture,andtix tur es Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $80, 372.41 536.90 15, 000. 00 60,000. 00 Capital stock paid in. $60,000.00 4, 500.00 6, 231.30 Surplus fund Undivided profits 13,500. 00 National-banknotes outstanding. 9, 424.86 State-bank notes outstanding 120.00 Dividends unpaid. 6, 800.00 305.15 Individual deposits 1,133.40 United States deposits 19,237.50 Deposits of U. S.disbursing officers. 392.60 Due to other national banks 285. 00 Due to State banks and bankers.. 4.70 5, 281. 60 Notes and bills re-discounted 1, 915.00 Bills payable 198.00 41,940.64 66, 000. 00 1, 373.61 3, 821. 53 3,949.04 675.00 Total . 201, 514.12 201,514.12 Catlettsburg National Bank, Catlettsburgh. J. RUSSELL, President. N o . 2740. Loans and discounts I Overdrafts I U. S. bonds to secure circulation... I U. S. bonds to secure deposits I U. S. bonds on hand Stocks, securities, judgments, etc..) Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furn iture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. JAMES TRIMBLE, Cashier. Capital stock paid in | $100, 000.00 25,000.00 Surplus fund Undivided profits. I 25, 000. 00 8,195. 95 296.50 27, 509. 23 7, 319. 34 1, 681.18 10,000. 00 National-bank notes outstanding.. State-bank notes outstanding $275,145.39 22, 500.00 Dividends unpaid. Individual deposits 3,086. 77 United States deposits 6, 000. 00 Deposits of U.S. disbursing officers. 227,538.88 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 6,338.40 1,428.74 16, 200. 00 90. 06 17, 045. 50 500.00 1,125.00 Total . 391, 001.97 391, 001.97 First National Bank, Covington. A. SHINKLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 718. 215.67 50,000.00 200, 000.00 2, 250. 00 50,800. 00 85, 755. 96 131,110. 44 13, 325.59 35, 000. 00 3, 354. 89 29, 900.00 1, 342.19 10, 096.00 210.58 11,070. 70 37,450.00 ISAAC D. FRT\ Cashier. Capital stock paid in. Surplus fund Surplus fund. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $500,000.00 100,000.00 35,294.30 45,000. 00 1, 695. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 404, 240. 65 219,428. 87 571.13 Due to other national banks Due to State banks and bankers .. 29, 568.85 11,880.11 Notes and bills re-discounted . Bills payable 2,250.00 1,347,678.91 Total 1,347,678.91 580 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. Covington City National Bank, Covington. J. D. SHUTT, President. No. 1859. J. B. JONES, Cashier. Liabilities. Resources. Loans and discounts Overdrafts 17. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, e t c . . Due from approved reserve agents. Due from othernational banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash: items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $918,691.21 2,282.92 50,000. 00 200,000.00 73,163. 50 76, 022.57 70, 535. 68 28, 023.65 34, 000.00 6, 052. 78 *2,"5i3.29 4, 401. 00 163. 88 37,992. 50 25,000.00 $500, 000. 00 Capital stock paid in. Surplus fund..., Undivided profits National-bank notes outstanding. State-bank notes outstanding 100, 000. 00 81, 279. 80 45, 000. 00 3,130.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 279, 020.66 220, 000.00 Due to other national banks Due to State banks and bankers . 81, 211. 54 221, 450. 98 Notes and bills re-discounted . Bills payable 2, 250.00 1,531,092.98 Total . 1, 531,092. 98 Farmers and Traders' National Bank, Covington. J. S. WAYNE, President. No. 2722. Loans and discounts Overdrafts U. S. boDds to secure circulation-. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve .agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $684, 928.87 2, 355. 93 50, 000.00 200, 000. 00 71,780.00 65,086. 36 9, 857. 47 7,858. 26 5,000.00 4, 208.07 55,000.00 4, 952.30 4,425.00 13.28 11,293. 70 40,000.00 J . L. SANDFORD, Cashier. Capital stock paid in. $300, 000. 00 Surplus fund Undivided profits.. National-bank notes outstanding State-bank notes outstanding . . . . 70, 000.00 12, 758..07 44,140.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 525, 509.17 214, 488.20 5, 511.80 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 6,629. 51 39, 972.49 2,250.00 1,219,009.24 Total 1,219,009.24 German National Bank, Covington. J A M E S SPILMAN, President No. 1847. Loans and discounts $664,618.24 Overdrafts 129.64 U. S. bonds to secure circulation . . . 50,000. 00 U. S. bonds to secure deposits 200,000.00 U. S. bonds on hand 25,000.00 Stocks, securities, judgments, etc.. 69,942.25 Due from approved reserve agents. 84,034.05 Due from other national banks 28,477.12 Due from State banks and bankers. 7,663.87 Bank'g-house, furniture,and fixtures 24, 331.15 Other real estate and mortg's owned! Current expenses and taxes paid . . 4, 501.34 Premiums on U. S. bonds 44,029.01 Checks and other cash items 1, 716.26 Exchanges for clearing-house Bills of other national banks 3,067.00 Fractional currency, nickels, cents. 137.06 Specie | 23,885.00 Legal-tender notes 37 500 00 U. S. certificates of deposit '. Redemption fund with Treas. U. S. 2,250.00 Due from Treasurer U. S ' Total 1,271,281.99 J N O . G. METCALFE, Cashier. Capital stock paid in Surplus fund Undivided, profits $350, 000. 00 , National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 70, 000. 00 37, 511.74 45, 000. 00 756.00 Individual deposits United States deposits | Deposits of U. S.disbursing officers. \ 518, 214.82 220, 000. 00 Due to other national banks I Due to State banks and bankers.. 24, 785. 90 5,013.53 Notes and bills re-discounted . Bills payable Total. 1,271,281.99 "REPORT OF THE COMPTROLLER OF THE CURRENCY. 581 KENTUCKY. Farmers1 National Bank, Cynthlana. No. 2560. J. W. PECK, President. J . (x. MONTGOMERY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts XT. S. bonds to secure circulation. .. IT. S. bonds to secure deposits... TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andnxturep Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $171,522.71 2,406.57 30,000.00 4, 617.92 9, 503.34 1, 868. 77 6, 470.66 7, 000. 00 670. 37 8, 400.00 192.41 2, 095. 00 20.14 3,104. 75 16, 000.00 $120, ooo. oe Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 16, 000. 00 6, 083.95 23, 750.00 531. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers 95,387. 30 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 870.39 1,350.00 265,222.64 Total. 265, 222. 64 National Bank, Cynthiana. A. H. WAHD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U..S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 1900. Capital stock paid in. J . S. WITHERS, Cashier. $372,923.98 6,184. 23 40, 000.00 $150,000.00 Surplus fund Surplus fund. Undivided profits. National-bank notes outstanding.. 33, 908. 58 State-bank notes outstanding 50, 000. 00 31, 589.51 Individual deposits United States deposits Deposits of U.S. aisbursingoflicers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 301, 900. 59 G6, 094.20 12, 036.19 Dividends unpaid 6, 200.00 98.72 7, 532. 78 8, 745. 00 30. 52 6, 555. 00 20, 000. 00 31, 000.00 415.00 12, 648.48 4, 609. 62 1, 800. 00 Total . 582,169.20 582,169.20 Boyle National Bank, Danville. R. P . JACOBS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid. .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3317. $380,070.05 5, 320.49 50, 000. 00 33,000.00 23,127.73 11,401.31 3, 767.41 956. 99 i,'876*50' 525. 00 1.65 15, 535. 50 6, 350.00 J . W. PROCTOR, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $200, 000. 00 100, 000. 00 22, 366. 58 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing oflicers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 152, 704. 36 13,354.06 757. 63 2, 250.00 534,182. 63 Total . 534,182.63 582 REPORT OF THE COMPTROLLER OF THE CURRENCY. KE NTUC K Y. Citizens' National Bank, Danville. E. W. LEE, President. No. 3381. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agenta. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalTbanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total- J. A. QUISENBEURY, Cashier. Liabilities. $309,996. 55 3, 029. 24 50, 000.00 38,425.03 7,822. 44 7, 500. 00 500. 00 1, 681.44 184. 70 435.00 15.80 1,456.30 9, 740.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding-. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $150, 000.00 80, 000.00 8, 248.14 44, 500. 00 135, 469. 21 11, 013. 58 3, 805. 57 2, 250. 00 433, 036. 50 Total. 433, 036. 50 Farmers' National Bank, Danville. J. C. CALDWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S No. 2409. $245, 372.31 6, 503.71 25, 000. 00 300. 00 12, 314.84 17, 735.77 7,500.00 j| 953. 89 606. 80 430.00 24. 00 7, 854.00 1,000. 00 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable $100, 000.00 50, 000.00 14,178. (55 22,500*00 119,137.19 12,498. 39 8, 406.09 1,125. 00 326, 720. 32 Total. G-. W. WELSH, JR., Cashier. Capital stock paid in Surplus fund Undivided profits d Total. 326,720.32 First National Bank, Elizabethtown. J. W. HATS, President. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers. Bank'g-house, furniture, andfixturos Other real estate and mortg's owned Current expenses and taxes paid — Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes XT.Is. certificates of deposit Bedemption fund with Treas. 0". S . Due from Treasurer U. S Total. J. S. GRIMES, Cashier, No. 3042. $75, 000. 00 Capital stock paid in. 6, 300. 00 Surplus fund 3,590.02 Undivided profits . 17,000.00 National-bank notes outstanding.. 22, 500. 00 20,718.94 State-bank notes outstanding $125,353.83 2,078.16 25,000.00 1,862.76 456.53 4, 000.00 12,956.00 537.29 1, 232.00 3,500.00 82.15 2, 000.00 5,000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. il5, 512.64 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1,125. 00 •222,902.66 Total. 222, 902.66 REPORT OF THE COMPTROLLER OF THE CURRENCY. 583 KENTUCKY, Frankfort National Bank, Frankfort, J. S. MCKENDRICK, President. No. 4091. JNO. W. PRUETT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andiixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $64,214. 58 Capital stock paid i n . ""•25," 666* 66' Surplus fund Undivided profits. 12, 391. 84 4, 762. 26 642. 97 1, 922. 70 1, 543. 23 7, 062. 50 1, 370.17 13, 655. 00 5,319.20 6,000. 00 1, 501.64 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 60,747.78 Due to other national banks Due to State banks and bankers . . 97.19 162.84 Notes and bills re-discounted. Bills payable 1,125. 00 145, 009.45 Total. $60,000.00 Total. 145,009.45 State National Bank, Frankfort. No. 4090. FAYETTE HEWITT, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . IJ. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc... Due from approved reserve agents . Due from other national banks Due from State banks and bankers . Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taies paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. $193,184.12 3,554.38 37, 500. 00 58, 058. 97 7,013.00 1, 674.21 43A 92 1,577.01 10, 593.75 7, 990. 71 7.45 817. 00 CHAS. E. HOGE, Cashier. Capital stock paid in. $105,000. 00 Surplus fund Undivided profits 4,553.32 National-bank notes outstanding. State-bank notes outstanding 27, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingoflicers. 172, 934. 92 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Billspayable 11, 219.07 3, 383. 71 1,687.50 324, 091.02 Total. 324,091. 02 First National Bank, Georgetown. H. P. MONTGOMERY, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures' Other real estate and mortg's owned! Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . N. SPEARS, Cashier. No. 2927. $135, 793.03 7,097. 60 12, 500. 00 700.00 5,308.27 9, 817.68 3, 030.53 1, 000. 00 982.71 9,319.00 4.01 3, 005.10 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits. 22, 000.00 3, 814. 42 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid , Individual deposits United States deposits Deposits of U.S.disbursing officers Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 290. 00 92, 050. 91 8,321, 27 6,393.83 562.50 194,120.43 Total. 194,120.43 584 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. First National Bank, Harrodsburgh. No. 1807. A. B. BONTA, President H. C. BOHON, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g-bouse,furniture,andfixtures Other real estate and niortg's owned' Current expenses and taxes paid. . | Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Liabilities. $276,966.11 6, 262.90 25, 000.00 3,126.02 22,178. 89 7,260.11 2, 987.40 6, 000.00 - $100,000.00 Capital stock paid in. 20, 000.00 27,831.65 Surplnsfund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid 175, 538. 54 Individual deposits 1, 744. 03 United States deposits Deposits of U.S.disbursing officers. 794. 54 Due to other national banks 6, 941. 00 Due to State banks and bankers.. 25.00 6, 924.80 Notes and bills re-discounted. 2, 000. 00 Bills payable 8, 972. 99 4, 492.62 10,000.00 1,125. 00 Total Total. I 369,335.80 Mercer National Bank, Harrodsburgh. No. 2531. J . H. MOORE, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $242, 353. 59 1,531.01 35,000. 00 | Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 3, 470. 94 1,458.08 767. 98 Dividends unpaid 10, 000. 00 8, 871. 62 Individual deposits 3, 873.90 United States deposits 9, 500. 00 Deposits of U. S. disbursing officers. 956. 70 Due to other national banks 4, 000. 00 Due to State banks and bankers 45.00 1, 000. 00 Notes and bills re-discounted... 6, 500. 00 Bills payable $140,000. 00 17, 000.00 9, 958. 78 31, 500.00 108, 635. 03 2, 871.51 938. 50 20,000.00 1, 575. 00 330,903.82 Total. ROBT. C. N UCKOLS, Cashier. Capital stock paid in Total. 330, 903. 82 Henderson National Bank, Henderson. L. C. DALLAM, President. Loans and discounts j Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1615. $375,075. 49 9,060. 35 50,000.00 S. K. SNEED, Cashier. Capital stock paid in. Surplus fund Undivided profits 800.00 National-bank notes outstanding. 24, 478. 58 State-bank notes outstanding 16, 342. 09 8, 676. 08 Dividends unpaid 8, 000.00 8,000.00 Individual deposits 2,267.22 United States deposits Deposits of U. S. disbursing officers. 5, 215. 00 40.86 1,698.00 14, 000. 00 Due to other national banks Due to State banks and bankers . . $200, 000.00 100, 000. 00 15, 453. 44 45, 000.0*0 162, 779.51 176.18 2,494.54 Notes and bills re-discounted . Bills payable 2,250.00 525,903.67 Total. 525,903.67 REPORT OF THE COMPTROLLER OP THK CURRENCY. 585 KENTUCKY. Planters' National Bank, Henderson. No. 2931. M. MEBRITT, President. Resources. Loans and discounts I Overdrafts i IT. S. bonds to secure circulation .. | TJ. S. bonds to secure deposits ; U. S. bonds on hand ! Stocks, securities, judgments, etc..' 1 Due from approved reserve agents Due from other national banks ; Due from State banks and bankers. '• Bank'g-house, furniture,andfixtures Other real estate and mortg's owned C urrent expenses and taxes p a i d . . . Premiums on U. S. bonds j Checks and other cash items ' Exchanges for clearing-house ! Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender n o t e s , U. S. certificates of deposit Redemption fund with Treas. IT. S Due from Treasurer U. S $150,000.00 24,000.00 8, 505.75 33, 750.00 7, 9.19.07 9. 282.21 7, 000. 00 Dividends unpaid Individual deposits 1, 370. 75 United States deposits J, 500.00 Deposits of U. S. disbursing officers 160,150.51 25. 43 Due to other national banks 1, 9 >8. 00 290. 50 Due to State banks and bankers .. 11, 082.02 Notes and bills re-discounted . 9, 090. 00 Bills payable 126.28 1, 687. 50 376, 532.54 Total. DAVID BANKS, JR., Cashier. Liabilities. $257, 833. 08 Capital stock paid in 2, 837. 77 37, 500.00 Surplus fund Undivided profits National-bank notes outstanding.. 27, 136. 21 State-bank notes outstanding 376,532.54 Total. First National Bank, Hopkinsville. Gr. C. LONG, President Loans and discounts Overdrafts T). S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixturesi Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items ! Exchanges for clearing-house > Bills of other national banks I Fractional currency, nickels, cents Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Duetfrom Treasurer U. S No. 3856. $72,126.13 Capital stock paid in. 195.09 16, 000. 00 Surplus-fund 11,79:5.52 18, 394. 02 6, 286.18 1,755.33 1,303.95 1, 080. 00 299.15 1,225.00 182.58 4, 9G0. 00 5, 500. 00 $64,000. 00 Undivided profits. National-banknotes outstanding.. State-bank notes outstanding Dividends unpaid. 302. 70 2,126.60 14, 400. 00 360.00 Individual deposits. * United States deposits Deposits of U.S.disbursing officers. 60, 621. 65 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 720.00 141, 810. .95 Total. THOS. W. LONG, Cashier. Total . 141, 810. 95 National Bank, Hustonville. E. ALCORN, President. Loans and discounts Overdrafts U. S. bonds to,secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture,andfixturesi Other real estate and mortg's owned Current expenses and taxed paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer XJ. S Total. No. 2917. $99, 008.39 Capital stock paid in. 2, 327. 60 12, 500. 00 Surplus fund J. W. HOCKER, Cashier. $50,000. 00 10, 000.00 3,142. 80 Undivided profits. National-bank notes outstanding.. State-bank notes outstanding . . . . . 10, 750.00 Dividends unpaid. Individual deposits 585. 36 United States deposits 2, 500. 00 Deposits of U.S. disbursing officers. 80, 268.54 7,102. 25 14,169. 75 1, 500. 00 53.53 3, 370.00 20.67 9, 030. 00 1,500. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 68.71 562.50 154,230. 05 Total. 154,230.05 586 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY, Citizens' National Bank, Lancaster. J. M. HIGGINBOTHAM, President. B. F. HUDSON, Cashier. No. 2888. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents | Due from other national banks Due from State banks and bankers Bank'g-house, turn it ure, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecJis and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. IS. certificates of deposit Redemption fund with Treas. TJ. S. Dne from Treasurer U. S Total. "I $139, 348.63 I, 591. 22 25, 000.00 1, 500. 00 5, 495.45 4, 373. 62 434.83 6, 979. 04 289. 60 6, 250. 00 117. 68 268.00 15.87 3,318.50 837.00 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 6, 620. 00 2, 562. 60 22,500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 49, 344. 27 Due to other national banks Due to State banks and bankers . . 3, 282. 30 51.62 12, 583. 59 Notes and bills re-discounted Bills payable 1,125.00 196, 944.44 Total. 196, 944. 44 National Bank, Lancaster. A. R. DKNNT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg'^ owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents.! Specie | Legal-tender notes i U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S WM. K. KINNAIRD, Cashier. No. 1493. $381, 955. 00 Capital stock paid in. $250,000. 00 4, 413. 30 50,000. 00 Surplus fund 65, 000. 00 6, 099. 91 Undivided profits. 3,100.00 National-bank notes outstanding . 45,000.00 18, 754. 74 State-bank notes outstanding 8,141. 97 201.77 Dividends unpaid 11,000.00 6, 496. 28 Individual deposits 123, 842.62 2,003.64 United States deposits Deposits of U. S. disbursing officers. 66.14 Due to other national banks 4, 007. 81 905. 00 Due to State banks and bankers .. 6.00 11,100.50 Notes and bills re-discounted 7, 445. 00 1, 001.00 Bills payable 2, 250. 00 501, 395.34 Total . Total. 501, 395.34 Citizens' National Bank, Lebanon. F. "WILSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. IS. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3988. $319,149.22 Capital stock paid in. 8, 802. 00 25,000.00 Surplus fund Undivided profits. 17, 510.83 8, 360. 58 17,741. 77 7,000. 00 1, 703.09 1,000. 00 1, 885. 80 1,108.00 1.97 7,030.35 9, 896. 00 R. E. KIRK, Cashier. National-bank notes outstanding.. State-bank notes outstanding $100,000.00 50, 000.00 5, 603. 76 22, 500.00 Dividends unpaid. Individual deposits , United States deposits Deposits of U. S. disbursing officers 200, 524. 69 Due to other national banks Due to State banks and bankers .. 33, 686.16 Notes and bills re-discounted Billa payable 15, 000. 00 1,125.00 427, 314. 61 Total. 427,314.61 REPORT OF THE COMPTROLLER OF THE CURRENCY. 587 KENTUCKY. Marion National Bank, Lebanon. J. M. KNOTT, CasJiier. No. 2150. R. H. ROWNTREE, President. Resources. Loans and discounts Overdrafts Liabilities. i •, U. S. bonds to secure circulation... i U. S. bonds to secure deposits U. S. bonds on hand • Stocks, securities, judgments, etc .. [ Due from approved reserve agents. Due from other national banks 1 Due from State banks and bankers Bank'g-house, l"urniture,andfixturesj Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $481,348.67 9, 416. 30 40, 000. 00 8,134. 90 10, 299.65 8, 701. 26 9, 018.42 6, 000.00 $150,000.00 Surplus fund Undivided p r o f i t s . . . . 75,000.00 8, 714.82 National-bank notes outstanding. State-bank notes outstanding 36,000.00 Dividends unpaid. Individual deposits 1, 745.53 550. 00 9,305.42 13, 200.00 United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due te State banks and bankers .. Notes and bills re-discounted Bills payable 258, 734.20 13, 215. 57 28, 831.06 29,024. 50 1,800.00 599, 520.15 Total. Capital stock paid in. Total. 599,520.15 First National Bank, Lexington. A. S. WINSTON, President Loans and discounts Overdrafts U. S. bonds to secure circulation..U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 760. JOHN M. BELL, Cashier. $400,000.00 Capital stock paid in. 80, 000. 00 Surplus fund 15,132.36 Undivided profits . 60, 000. 00 National-bank notes outstanding.. 45,000.00 21, 297.00 State-bank notes outstanding $538,549.19 6, 786.00 50, 000.00 4, 768. 47 868. 06 15, 500.00 2, 000.00 3,703.96 2,510.00 24.74 5, 858. 50 25,525. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 16, 232. 00 141,168. 28 10, 654. 82 23, 054.89 8, 398.57 2, 250. 00 739,640.92 Total. 739, 640.92 Second National Bank, Lexington. D. H. JAMES, President Loans and discounts Overdrafts X . S. bonds to secure circulation ... T U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2901. W. D. NICHOLAS, Cashier. Capital stock paid in. $150,000.00 16, 500.00 Surplus fund 25, 502. 76 Undivided profits. 965.00 National-bank notes outstanding.. 45,000.00 59, 725, 59 State-bank notes outstanding $381, 848. 03 13, 276. 73 50,000.00 18, 818.35 13,674. 29 2, 800.00 Dividends unpaid 1,128.00 Individual deposits 6, 446. 74 United States deposits 10,000.00 Deposits of U. S. disbursing oflicers. 336, 207.49 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 31, 952.26 1,741.98 4, 231. 31 5, 644. 00 5.50 18,405.95 19,941. 00 2, 250.00 608, 032. 49 Total. 588 REPORT OF THE COMPTROLLER OF THE CURRENCY. Third National Bank, Lexington. J. W. BERKLEY, President. J . H. SHROPSHIRE, Cashier. No. 3052. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national ban ks Due from State banks and bankers. Bank'g-house, furniture, andlixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $210,943.74 ! Capital stock paid in 6, 501. 38 25, 000.00 Surplus fund | Undivided profits National-bank notes outstanding-. 8,195. 97 \ State-bank notes outstanding 2, 457. 74 7, 920. 35 ; Dividends unpaid 993. 00 1 Individual deposits 3,572.84 : United States deposits 4, 250. 00 I Deposits of U.S.disbursing officers. 688. 61 Due to other national banks 2, 340. 00 Due to State banks and bankers.. 27. 77 8,762. 50 I Notes and bills re-discounted 2, 000.00 ! Bills payable $100, 000. 00 4,157. 31 11, 999. 88 22, 500.00 72. 00 130, 706.40 14,710.44 632.87 1,125. 00 284,778. 90 Total 284, 778. 90 Fayette National Bank, Lexington. S. BASSETT, President. R. S. BULLOCK, Cashier. No. 1720. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents Due from other national b a n k s . . . . Due from State banks and bankers. Bank'g-house,furniture,andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie . -.^ Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $645, 594. 65 10, 261. 87 120, 000. 00 100,000. 00 62, 360.68 15, 076. 24 41, 645. 45 19, 020. 81 17,100. 00 Capital stock paid i n . . $300, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. €0, 000. 00 57,007. 26 108, 000.00 1, 400. 00 3, 093. 50 Individual deposits Uuited States deposits Deposits o f U. S. disbar sin g officers. 425, 629.43 100, 000. 00 5,085. 00 4.54 20, 995.30 15, 000. 00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 18, 918. 49 21, 845. 27 5,400. 00 1,092,800.45 Total. 1, 092, 800.45 Lexington City National Bank, Lexington. R. P. STOLL, President. Loans and discounts O v er d r a ft s U. S. bonds to secure circulation... II. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-bouse,furniture,andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 906. $256, 994.07 15,887. 75 50, 000.00 100, 000. 00 37, 359. 46 61, 910.84 3, 695. 27 5, 365.10 31, 984. 50 10, 000.00 5,195.09 20,512.50 718. 89 345.66 53.48 6, 224. 50 9,196. 00 J . M. GRAVES, Cashier. Capital stock paid in. $200, 000. 00 Surplus fund. urpl Undivided profits. 30, 000. 00 15, 050. 32 National bank notes outstanding. State-bank notes outstanding 45, 000. 00 '.. 1,121. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Dividends unpaid 180, 7;"4. 24 100,100.00 Due to other national banks Due to State banks and bankers.. 40, 9-25.06 4,741.83 Notes and bills re-discounted. Bills payable 2, 250.00 617,692.45 Total. 617, 692. 45 REPORT OF THE COMPTROLLER OF THE CURRENCY. 589 KENTUCKY. National Exchange Bank, Lexington. No. 2393. D. BENNETT, President. W. BRIGHT, Cashier. Liabilities. Resources. Loans'and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate andraortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. Is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $344, 974.82 7,195.50 25, 000. 00 300.00 31, 950.00 8, 353.65 4, 877.33 7, 955. 57 2. 000. 00 991.00 787. 95 6, 500. 00 540.49 i,75O.6o 96.42 5, 965.00 14,150. 00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $100, 000.00 20, 000, 00 38, 873. 89 22, 500. 00 2, 929. 00 225, 734.16 31, 517. 06 10,458. 62 12, 500.00 1,125. 00 Total. 464, 512.73 464, 512. 73 Phcenix National Bank, Lexington. N o . 3942. W. H. CASSELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secureuleposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers J Jank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $302,304.10 12, 392.03 37, 500. 00 11,399.03 9,125.35 14, 604. 65 2,976. 00 2, 055. 04 10, 265. 63 4, 479.00 2, 560 00 501. 66 3, 695. 00 13, 700. 00 J. W. RODES, Cashier Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $150,000.00 1, 000.00 9, 540. 54 33, 750. 00 Dividends unpaid Individual deposits United States deposits , Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable , 166,318.14 35, 878, 4'* 2,186. 02 30, 571. 86 1,687. 50 429, 244.99 Total. 429, 244. 9J First National Bank, London. VINCENT BOBBING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 3943. R. C. FORD, Cashier. Capital stock paid in. $50, 000.00 Surplus fund 5, 570. 28 Undivided profits National-bank notes outstanding 11, 250. 00 4,912.32 State-bank notes outstanding. .*". $101, 716.57 1, 477.77 12, 500.00 1, 922.47 2, 981. 75 ],037.98 174. 21 1, 015.62 207. 33 93.84 1,277. 00 4, 997. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 64, 066. 02 3, 988. 06 562. 50 134,874. 36 Total. 134, 874.36 590 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. First National Bank, Louisville. No. 109. A. L. SCHMIDT, President. Resources. $1,221, 652.95 Loans and discounts M, 709.69 Overdrafts 50,000.00 IT. S. bonds to secure circulation.. 400, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand 23, 380, 00 Stocks, securities, judgments, etc. 73, 409. 35 Due from approved reserve agents 37, 321. 02 Due from other national banks .. 8, 026. 88 Due from State banks and bankers 1, 509. 75 Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... 7,340. 52 Premiums on U. S. bonds 4,"i65.66 Checks and other cash items Exchanges for clearing-house 3, 925.00 Bills of other national banks Fractional currency, nickels, cents. 15.83 Specie 60, 025.00 Legal-tender notes 125, 370. 00 U. ©. certificates of deposit Redemption fund with Treas. U. S. 2,250.00 Due from Treasurer TJ. S 2,030, 044.99 Total. THOS. R. SIHTON, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable $500,000.00 250, 000. 00 78,909.77 45, 000. 00 1, 395.00 315,962.16 398,415.44 47,698.73 183,193.13 149,470.76 60, 000.00 2, 030, 044.99 Total . Second National Bank, Louisville. JOHN E. GREEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation — U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furnituro, andfixtures Other real estate and mortg's owned | Current expenses and taxes paid... i Premiams on U. S. bonds Checks and other cash items.. Exchanges for clearing-house. Bills of other national banks . Fractional currency, nickels, cents Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 777. $740, 562. 77 Capital stock paid in. 44, 932.12 50, 000. 00 Surplus fund GrEO. S. ALLISON, Cashier. $300, 000. 00 Undivided profits. 2, 887. 05 National-bank notes outstanding. 114,145. 53 State-bank notes outstanding 74, 536. 87 21, 8'35. 37 Dividends unpaid 5, 823. 61 4, 600.18 Individual deposits 6,312.46 United States deposits 11, 831. 25 Deposits of U. S. disbursing officers 56.00 4, 471.60 4, 755. 00 12.28 39,055.00 89,280.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable , 56, 628. 62 25, 701.86 44, 950. 00 15.00 365, 091.23 269, 511. 37 155, 449. 01 2,250.00 1, 217, 347.09 Total . 1, 217, 347.09 Third National Bank, Louisville. J. H. WRAMPELMEIER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. | Bank'g-house, furniture, andfixtures Other real estate and mortg's owned: Current expenses and taxes paid... I Premiums on U. S. bonds Checks and other cash items | Exchanges for clearing-house j Bills of other national banks Fractional currency, nickels, cents. I Specie Legal-tender notes U. s. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2171. $804, 925.10 Capital stock paid in. 4, 313. 35 100, 000.00 Surplus fund 2, 409. 89 29, 710.81 70, 836. 24 28, 300. 38 7,494.47 845. 38 1, 242. 53 11, 292. 00 8.00 13,316. 00 81,400.00 E. C. BOHNE, Cashier. Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing oflScers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $400,000.00 100,000.00 22,848. 56 90,000.00 980.00 479, 532- 81 41, 959. 97 25, 272.81 4, 500.00 1,160,594.15 Total 1,160,594.15 REPORT OF THE COMPTROLLER OF THE CURRENCY. 591 KENTUCKY. Fourth National Bank, Louisville. No. 2784. G. DAVIS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,funriture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. CHAS. WARBEN, Cashier. Liabilities. $763,420.53 Capital stock paid in. 9,515. 78 50,000.00 Surplus fund Undivided profits 19,554.10 National-bank notes outstanding.. 72,039.35 State-bank notes outstanding 53, 506.21 29, 996. 77 2,000. 00 Dividends unpaid $300,000. 00 26. 000. 00 15, 624. 31 45,000.00 501.00 Individual deposits 4,132.70 United States deposits 10,000 00 Deposits of U. S. disbursing officers. 3, 500.00 5, 973. 95 Due to other national banks 2, 502.00 Due to State banks and bankers .. | 3.00 67, 515. 50 Notes and bills re-discounted 20,000.00 Bills payable 207, 543.55 311, 511.67 159, 729.36 50, 000.00 2,250. 00 1,115,909.89 1,115,909.89 Total., Citizens' National Bank, Louisville. W. R. RAT, President. OSCAR FENLEY, Cashier. No. 2164. $1, 187, 649. 50 Capital stock paid in. Loans and discounts $500,000.00 7,960.24 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... 77, 500. 00 100, 000.00 Undivided profits U. S. bonds to secure deposits 38, 727, 08 U. S. bonds on hand Stocks, securities, judgments, etc .. 10,497.78 National-bank notes outstanding. * 45,000.00 Due from approved reserve agents. 157,509. 66 State-bank notes outstanding 88,854. 61 Due from other national banks 26, 237. 59 Dividends unpaid. Due from State banks and bankers. 32,182.00 Bank'g-house, furniture, andfixtures Other real estate and mortg's owned; Individual deposits ! 549,813. 84 10, 290. 38 United States deposits Current expenses and taxes paid i 100,000.00 24, 000. 00 Deposits of U. S. disbursing officers. | Premiums on U, S. bonds 3, 220.65 Checks and other cash items Exchanges for clearing-house 16, 590.77 Due to other national banks { 3-24. 877. 08 Bills of other national banks 7,450. 00 Due to State banks and bankers .. 312, 662. 71 Fractional currency, nickels, cents . 553.53 134, 526. 00 Notes and bills re-discounted Specie 88, 808. 00 Bills payable Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . 2, 250. 00 Due from Treasurer U. S 1,948,580.71 Total | 1,948,580.71 Total. German National Bank, Louisville. A. REUTLINGEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. No. 2062. $936,790.93 Capital stock paid in. 23,620. 72 50, 000.00 Surplus fund 4, 600.00 11,888.29 32, 726.59 12,870.44 4,418.50 3,010.00 15, 372.99 4,125. 00 2,143.83 242.96 57,700.00 72,152. 00 H. W. BOHMER, Cashier. Undivided profits. National-bank notes outstanding. . State-bank notes outstanding Dividends unpaid $251,500.00 53,800.00 38, 755. 71 45,000. 00 1, 312.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 750,672.09 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 32,123.60 643.27 60,105.58 2,250.00 1,233,912.25 Total. 1,233,912.25 592 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. Kentucky National Bank, Louisville. No. 1908. J. M. FETTER, President H. C. TRUMAN, Cashier. Resources. Liabilities. $2, 800,153.51 Loans and discounts Overdrafts 16, 374.11 50,000.00 TL S. bonds to secure circulation... 300,000.00 TJ. S. bonds to secure deposits TJ. S. bonds on hand 83,397.31 Stocks, securities, judgments, etc . . Duo from approved reserve agents. 356,013.04 60,471. 22 Duo from other national banks Due from State banks and bankers. 54, 066.27 Bank'g-house,furniture,andfixtures 60, 550.00 Other real estate andinortg's owned 36, 281. 67 Current expenses and taxes paid.. 18, 382.04 82,912.50 Premiumson U. S. bonds Checks and other cash items 10, 295. 86 27,447. L4 Exchanges for clearing-house Bills of other national banks 4,584.00 275. 39 Fractional currency, nickels, cents . Specie 34,759.90 215, 729.00 Legal-tender notes U.S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S. Due from Treasurer TJ. S ... 3,000.00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 200,000.00 168, 238. 77 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 653, 011. 63 130, 030.46 158, 7NJ. 81 Due to other national banks Due to State banks and bankers . 855, 508. 28 726,935.28 Notes and bills re-discounted Bills payable 79, 507.73 200, 000.00 4, 216, 942. 96 Total. $1,000,000.00 Capital stock paid in. 4, 216, 942. 96 Total . Louisville City National Bank, Louisville. No. 78 J. S. PIRTLE, President $1,196, 984.59 Loans and discounts 5, 634. 70 Overdrafts 50,000.00 U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . 45, 281.70 Due from approved reserve agents. 57, 351. 76 Due from other national banks 40,478. 25 Due from State banks and bankers. 40, 000. 00 Bank'g-house, furniture, and fixtures Other real estate and mortg'a owned 7,780. 67 Current expenses and taxes paid... Premiums on U. S. bonds "5," 889." 75' Checks and other cash items Exchanges for clearing-house 3,146.00 Bills of other national banks 4.25 Fractional currency, nickels, cents . 25, 640. 00 Specie 125,000.00 Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S . Due from Treasurer U. S $400, 000.00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 90, 000.00 21, 484. 04 44, 990.00 38.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 529, 415. 28 Due to other national banks Due to State banks and bankers .. 324,292.15 136, 324. 53 Notes and bills re-discounted Billspayable Total . 1,605, 421. 67 Total. WM. S. PARKER, Cashier. Capital stock paid in. 58, 877*. 67 1,605,421.67 Merchants' National Bank, Louisville. J. H. LINDENBBRGER, President. No. 2161. $1,445, 582.00 2, 440. 80 50, 000.00 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,fiirniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total 43,426.47 132,411.15 109,117. 89 36.416.75 44,500.00 16, 060. 59 10, 374. 76 2,000.00 18,886.99 4, 371.00 143.88 39, 380.00 120, 000.00 WM. R. JOHNSOX, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $500, 000. 00 150,000.00 46, 491. 60 44,950. 00 1,448.00 Individual deposits United States deposits Deposits of U. S. disbursing officers 407,441.90 Due to other national banks Due to State banks and bankers .. 394,611.95 433,166. 33 Notes and bills re-discounted Billspayable 49, 250.00 90,000.00 2,247.50 I 2,077,359.78 Total . 2,077, 359. 78 KEPOKT OF THE COMPTROLLER OF THE CURRENCY. 59o 1£ E N T U € K ¥ . First National Bank, Mayfield, No. 2245. II. S. ILYLE, President. S. P. RiiKrWAY, Gatshier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc - Duo. from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,funriture,and fixtures Otherr-^al estate andmortg'sowned Current, expenses and taxxs paid... Premiums on U. S. bonds Checks and other cash items. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie . . . Legal tender notes U. S, certificates of deposit Redemption fund with Treas. 17. S Due from Treasurer U. S ! Total. Liabilities. $173, 716. 20 Capital stock paid in $130, 000. 00 I Surplus fund i I Undivided profits -.-; • National-bank notes outstanding. ! 16, 252. 32 ; State-bank notes outstanding. . . . 20, 478.40 55.10 I Dividends unpaid 30,000. 00 8,325.83 36,000.00 I Individual deposits 2, 551. 10 United States deposits .. .. DepositsofU.S.disburoing officers. 43, 896, 35 40," 000. 00 1 Due to ot her national banks 8, 000.00 Due to State banks and bankers .. 04. 89 10, 999.40 Notes and bills re-discounted . 3, 000. 00 i Bills payable 275,147.41 Total.. 1, 044. 00 5, 881.23 275,147. 41 First National Bank, Maysville. No. 2467. A. FINCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due Irom approved reserve agents .Lue from other national banks Duo from State banks and bankers . Bank'g-houso,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes T7. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $490, 458. 57 4, 916.74 53, 000. 00 THOMAS WELLS, Cashier. Capital stock paid in $210, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 20, 240. 00 17,943.21 38,165. 20 8, 415. G Dividends unpaid O 500. 00 Tndi vidual deposits • *2,"076.1-i United States deposits Deposits of U.S. disbursing officers ! ""570." 44 Due to other national banks | 3, 013. 00 But! to State banks and bankers .. 298. 80 15, 474. 00 N"otes and bills re-discounted . 13, 000. 00 Bills payable 85, 000. 00 11, 989. 37 47, 700. 00 321,152. 42 592. 70 28. 30 2, 385. 00 676, 462. 79 Total. 676, 462. 79 State National Bank, Maysville. J . T. WILSON, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation . . . U. S. bonds to secure deposits II. S. bonds on hand Stocks, securities, judgments, etc .Due from approved reserve agents Due from other national banks Duo from State banks and bankers. Bank' g house, furniture, and fixtures Other real estat c and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items J<1 xchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total, II. Ex. 3 CIIAS B. PEARCK, Cashier. No. 2663. Capital stock paid in : $200, 000. 00 $639, 006. 98 24,132.90 50, 000. 00 Surplus fund j Undivided proiits ...| 20, 324. 14 National-bank notes outstanding.. 35, 644. 58 State-bank notes outstanding 4, 444. 72 9, 595.15 Dividends unpaid 21,457.19 Individual deposits United States deposits . . . . DepositsofU.S.disbursingotlicers" 2," 689. 73 Due to other national banks 1, 619.00 Due to State banks and bankers .. 28.17 13, 596. 00 Notes and bills re-discounted 10, 000. 00 Hi ilmi'ivable 80,000.00 21, 273. 47 45, 000. 00 1,788.00 467,141. (JJ 11, 413. (>0 2,250. 00 838,208. 70 Total » 838, 208.70 594 REPORT OF THE COMPTROLLER OF THE CURRENCY. K E RITUC K Y . National Bank of Union County, Morganfield. R. A. WALLER, President. No. 2209. D. C.JAMES, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits . ..' IT. S. bonds on hand . Stocks, securities, judgments, etc .. Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie " Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $138,145. 84 158.42 100, 000. 00 6, 039.85 42, 165. 63 4,437. 88 10, 000. 00 1,15!). 37 5, 500. 00 864. 83 2, 245. 00 15. 70 5, 521. 50 6, 690.00 Capital stock paid in $100,000. 00 Surplus fund Undivided profits . .I National-bank notes o u t s t a n d i n g . . State-bank, notes o u t s t a n d i n g 16,700.00 8, 935. 72 90, OOd. 00 Dividends u n p a i d . Individual deposits United States deposits Deposits of U.S. disbursing olficers Duo to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 107, 651. 46 4,156. 74 4, 499. 90 Total. 327, 443. 92 327,443. 92 Mount Sterling National Bank, Mount Sterling. L. APPERSON, President. No. 2185. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Siocks, securities, judgments, etc . . Duo from approved reserve agents. Duo lrom other national banks Duo from State banks and bankers Ban k'g-house, furniture, andfixtures| Other real estate and mortg's owned; Current expenses and taxes paid... j Premiums on U. S. bonds Checks and other cash items | Exchanges for clearing-house i Bills of other national banks I Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J H . R. FRENCH, Cashier. $195,124.10 1 Capital stock paid in. 1 8,600.93 |i 25,000.00 :! Surplus fund '! Undivided profits 425.00 ! National-bank notes outstanding.. 31, 567.15 State-bank notes outstanding 4, 675. 24 9, 235. 47 Dividends unpaid . 7, 000. 00 | 502. 00 Individual deposits I 2,290.53 i United States deposits 1,750.00 Deposits of U. S.disbursing oilicers 55.37 Due to other national banks 2,104.00 Due to State banks and bankers .. 49.33 11, 781.80 Notes and bills re-discounted 1, 500. 00 Bills payable $100, 000. 00 lo, 600. 00 3, 514. 69 21,400.00 120.00 150,182. 27 8, 467. 58 3, 501. 38 1,125. 00 Total 302, 785. 92 302, 785. 92 National Bank, New Castle. L. M. SANFORD, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments', etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks-and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2196. $110, 739. 93 2, 675. 00 15, 000.00 5,221.00 1, 657. 63 450. 68 2, 025. 88 3, 000.00 5, 700. 00 757. 64 210. 00 34.14 2, 000. 00 2, 500. 00 JOHN W. MATIIEWS, Cashier. Capital stock paid in. $00, 000. 00 Surplus fund Undivided profits . 15, 000.00 1, 865. 09 National-bank notes outstanding.. State-bank notes outstanding 13, 500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 60, 228. 39 Due to other national banks Due to State banks and bankers . . 453. 37 l,600.U5 Notes and bills re-discounted. Bills payable 675. 00 152, 646.90 Total. 152,646.90 REPORT OF THE COMPTROLLER OF THE CURRENCY. 595 KENTUCKY. First National Bank, Newport. H. GUNKBL, President. T. B. YOUTSEY, Cashier. No. 227G. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-liouse, furniture, and fixtures Other real estate and mortg's owned Cunent expenses and taxes paid... Preiriuins on U. S. bonds C hecks and other cash items Exchanges fe? clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $553,175.45 4, 210. 52 50, QUO. 00 350.00 34, 05)8.19 41, 823. 30 9, 307. 79 129. 96 21, 177. 07 Capital stock paid in. Surplus fund Undivided profits 50, 000.00 11, 318. 79 National-bank notes o u t s t a n d i n g State-bank notes o u t s t a n d i n g . . . 45, 000.00 1, 584.00 Dividends unpaid . ! I n d i v i d u a l deposits 5,174. 34 ' United S t a t e s deposits . Deposits of U . S . d i s b u r s i n g officers. 13,091.50 6, 483, 75 I D u e to o t h e r national b a n k s 830. 00 D u e to S t a t e b a n k s a n d b a n k e r s . . 576 47 5,450. 00 [ N o t e s a n d bills re-discounted. Bills p a y a b l e 26, 037. 00 4T>, 400.13 3, 926. 02 2, 250.00 Total. 777, 228. 94 Total. $200, 000. 00 777, 228. 94 German National Bank, Newport. WALLER OVERTOP, Cashier. No. 2726. S- SHAW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, e t c . . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-ho use Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $358, 351.14 4,004.07 I 25, 000. 00 20, 000.00 88, 8J3. 85 5, 10, 12, 2, 520. 87 3.30. 00 420. 35 397. 78 800. 00 16J. 08 " 2,*M:7."6o~ 41.12 8, 959. 80 9,100. 00 Capital stock paid in. $100, 000. 00 Surplus fund Surplus fund. Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 28, 000. 00 13, 524. 24 22, 500. 00 40. 00 Individual deposits United States deposits Deposits of U.S. disbursing ofticers. 376, 931.13 DUB to other national banks Due to State banks and bankers ,. Notes and bills re-discounted . Bills payable 8, 247. 39 1, 298. 90 1,12'. 00 550,541.60 j 550, 541.66 Total. First National Bank, Nicholasville. J . A. WILLIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate aud mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1831. $172, 348. 73 6,587 39 100, 000. 00 900. 0U 25, 521. 57 4,104. 62 2, 066. 70 5, 800. 00 2, 500. 00 2, 323. 75 5, 000. 00 2, 258. 00 7. 25 3, 589. 80 1,142. 00 DENT HOOVER, Cashier. Capital stock paid i n . $100, 000. 00 Surplus fund Undivided profits 20, 000.00 4, 744. 40 National-bank notes outstanding.. State-bank notes outstanding 88, 480. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 101, 396.45 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 9,439. 82 1, 633.19 11, 545. 95 3, 030. 00 337, 231). 81 Total 337, 239. 81 596 REPORT OF THE COMPTROLLER OP THE CURRENCY. KE NTUCKY. First National Bank, Owensborough. No. 2376. J. D. POWERS, President P H I L . T. W A T K I N S , Kesources. Overdrafts IT. S. bonds to secure circulation .. U. S. bonds to secure deposits TJ S bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes »• U. © certificates of deposit Redemption fund -with Treas. U. S. Due from Treasurer TJ. S Total Cashier. Liabilities. $224, 634 62 50, 000. 00 250. 000. 00 29, 899. 00 822. 50 5, 000. 00 2, 189. 83 56, 4(JO. 00 2, 079. 73 1, 983. 00 59.23 26, 798. 00 $137, 900. 00 Surplus fund . .. . . . .. . . . . . Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits ofU.S. disbursing officers Due to other national banks Due to State banks and bankers .. Bills payable . . 37 233. 00 10, 013. 76 42, 640. 00 617. 50 124,986.18 273, 801. 89 1,160.47 23, 763.11 ... 2, 250. 00 Total 652,115.91 652,115. 91 Owensboro' National Bank, Owensborough. RICHARD MONARCH, President. Loans and discounts Overdrafts TT. S. bonds to secure circulation ... XJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 4006. $167, 963. 32 698.31 31, 250. 00 4, 491. 24 "i,"485."06 9,140. 63 859. 76 10.59 2, 540. 05 5, 800. 00 LAWSON RENO, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks . . . . Due to State banks and bankers. Notes and bills re-discounted . Bills payable $125, 000.00 10, 264. 23 5, 502. 46 28,100.00 57, 644. 67 1, 405. 00 Total. 226,511.36 226,511.36 First National Bank, Owenton. J. S. FORSEB, President Loans and discounts Overdrafts TT. S. bonds to secure circulation . . . U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Total. L.O. Cox, Cashier. $126, 000. 00 Capital stock paid in. 9, 330.00 Surplus fund 11,185.98 Undivided profits National-bank notes outstanding.. 28,350.00 State-bank notes outstanding No. 2868. $191, 803. 38 1,856.58 31, 500. 00 20, 659. 74 4, 955. 09 5,061.27 2, 500. 00 Dividends unpaid. 1,226.16 2, 000. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 825. 0,) Due to other national banks Due to State banks and bankers . . 1, 927. 92 11,852.00 101, 768. 72 949. 94 Notes and bills re-discounted. Bills payable 1, 417. 50 277,581.64 Total. 277,584.64 REPORT OF THE COMPTROLLER OF THE CURRENCY. 597 KENTUCKY. Farmers' National Bank, Owenton. No. 2968. W. LINDSAY, President. J. HOLBUOOK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. U. S. Due from Treasurer TJ. S Total. Liabilities. $128, 583. 34 1,031. 50 15, 000. 00 Capital stock paid in. $60,000.00 7, 500. 00 7,834.57 Surplus fund Undivided profits 7, 827. 73 National-bank notes outstanding.. State-bank notes outstanding 1, 527.50 3,400.00 I Dividends unpaid 13, 500. 00 Tndi virtual deposits United States deposits Deposits of U.S. disbursing officers. 59, 003. 99 Due to other national banks Due to State banks and bankers.. 14, 776. 85 973. 08 861.66 "206*66' 4.91 2, 281. 00 1, 088. 00 Notes and bills re-discounted. Bills payable 675.00 163, 589.09 Total. 163, 589. 09 First National Bank, Paducah. W. BEADLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duetfrom approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.Is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1599. $256,191. 70 25, 000. 00 30" 27 L'57 41,043.92 272.10 1, 377. 50 T. A. BAKER, Cashier. [ Capital stock paid in. $100,000,00 Surplus fund Undivided profits. 100, 000. 00 20, 353. (,6 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 137, 378. 00 14, 920.03 Due to other national banks is," 836. 66 Due to State banks and bankers . 3. 57 5, 850. 00 Notes and bills re-discounted. 7, 000.00 Bills payable 24, 059. 02 14,604.31 1,125.00 Total. 418, 894.39 418, 894. 39 American German National Bank, Paducah. T . H. PURTEAR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. N o . 2070. GEO. C. THOMPSON, Cashier. 663.12 846. 3 L 000. 00 Capital stock paid in Surplus fund Undivided profits. 17, 500. 00 10, 595. 23 028. 00 999. 90 320.07 415. 21 350. 00 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 817.43 500.00 218.84 429. 00 198. 01 694.75 000.00 j $230,000.00 Dividends unpaid Individual deposi ts United States deposits Deposi tsof U. S.disbursing officers. $78. 36 Due to other national banks Due to State banks and bankers .. 16, 358. 94 2, 074. 36 Notes and bills re-discounted Bills payable 23, 323. 75 !, 250. 00 523, 730. 64 Total, 523, 730. 64 598 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. City National Bank, Paducah. E. PALMER, President No. 2093. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned' Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks . Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S . Duefrom Treasurer U. S Total. Liabilities. Capital stock paid in. $230,659. 30 14, 322. 9 L 200, 000. 00 64, 401. 00 7,267.22 2, 2*4.47 6,075. ] ) 7, 000.00 1,3G6. 75 """31*8*1* "500.66" 13, 287. 73 2, 664. 00 CHAS. E. RICHARDSON, Cashier. $200, 000. 00 60, 000.00 10, 055. f G > Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding... 180, 000. 00 I Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 2,182. 50 100, 689. 67 5,019.05 913.51 9, 000. 00 Total..:. 558,860.29 I 558, 860. 29 First National Bank, Princeton. R. B. RATLIFP, President. Loans and discounts O verdraft s U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondson hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers I Bank'g-house, furniture, and fixtures! Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national' banks Fractional currency, nickels, cents. Specie Legal-tender notes T7.S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3064. Capital stock paid in. $90,828. 58 260.32 12,500.00 R. H. GAYLE, Cashier. $50, 000. 00 Surplus fund Undivided p r o f i t s . National-bank notes outstanding.. State-bank notes outstanding 1,442.74 950.00 1,018. 75 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 75,284. 54 11,230. 00 2,478.13 123, 428. 23 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 3,981.00 12.35 9,370. 30 2, 500.00 324, 72 562.50 Total. 198, 7 1 1 . C 198, 711. 08 First National Bank, Richmond. J. W. CAPEKTOX, President. Exchanges for clearing-houso | Bills of other national banks Fractional currency, nickels, cents, j Specie " Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. J. E. GBKKNIJEAF, Cashier. No. 1728. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national bank's . . . . Due from State banks and bankers • Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items | Capital stock paid in $408, 765. 92 7, 643.97 50,000.00 6, 659. 04 2, 567.86 275. 05 7,400. 00 1,102.90 1, 837. 75 1,100.00 ! Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding i Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national ba'iks Duo to State banks and bankers .. 8, 370. 00 Notes and bills re-discounted 2, 500.00 Bills payable 1, 500.00 $250, 000. 00 50, 000. 00 10, 576. 86 45, 000. 00 116,518.23 171.21 10, 856. 21 3.72 18,853.70 2, 250.00 501, 976. 21 Total. 501, 976. 21 REPORT OF THE COMPTROLLER OF THE CURRENCY. 599 KENTUCKY. Second National Bank, Richmond. T. D . C H E N A U L T , President N o . 2374. J . STONE W A L K E R , Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits , U. S. bonds on hand Stocks,securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and moi tg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit.... Redemption fund with Treas. TJ. S Due from Treasurer U. S Total. Liabilities. $404, 664.40 11,361.20 50, 000.00 Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits. j National-bank notes outstanding 10, 620. 46 j State-Uank notes outstanding 3, 041. 91 788. 57 Dividends unpaid Individual deposits United States d i t U i t d S t t deposits ;! Depositsoi' U.S. disbursing oiUeers Duo to other national banks 5,145.00 i Due to State banks and bankers . 203. 46 13,293. 60 Notes and bills re-discounted 5,000. 00 Bills payable 60, 000. 00 5, 212. 28 44, 450.00 185, 703.22 2, 753. 95 1,434.18 1, 637. 99 9, 901. 88 1, 470.00 Total. 508, 342. 55 508, 342. 55 Farmers' National Bank, Richmond. No. 1309. JOHN BENNETT, President Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Dae from other national banks Due from State banks and bankers. l$ank'g-house,furniture,and fixtures' Other real estate and mortg'a owned Current expenses and taxes paid.. J Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $150, 000.00 50, 000. 00 5, 947. 00 45, 000. 00 114, 886. 90 4, 229.66 232.46 2, 250. 00 Total. 370, 296.02 Total . S. S. PARKKS, Cashier. $276,151. 65 Capital stock paid in. 4, 260. 32 50, 000. 00 Surplus fund Undivided profits 4, 300. 00 National-bank notes outstanding.. 8, 924. 99 State-bank notes outstanding 5, 483. 70 473. 71 Dividends unpaid 5, 500. 00 Individual deposits 879.15 United States deposits Deposits of U.S. disbursing officers. 187. 00 Due to other national banks 1, 469.00 Due to State banks and bankers . . 12.50 9, 904. 00 Notes and bills ro-discounted. 500.00 Bills payable 370, 296. 02 Madison National Bank, Richmond. A. R. BURNAM, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 1790. 5421, 845. 69 16,175.10 50, 000. 00 75, 000. 00 31, 887. 50 1,436.32 7, 482. 08 6, 000. 00 C. D. CHEXAULT, Cashier. Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits 70, 000.00 34, 874.46 National-bank notes outstanding State-bank notes outstanding... 45, 000. 00 Dividends unpaid. Individual deposits ""4," iei." 93" United States deposits Deposits of U.S.disbursing officers. 175, 682. 65 68, 621. 64 6, 384.40 Due to other national banks Due to State banks and bankers .. 20,103. 57 12,149. 52 1,350.00 52. 62 11.2Q0.00 12, 400. 00 Notes and bills re-discouuted Bills payable 8,425.00 2, 250. 00 641,241.24 Total. 641, 241. 24 600 REPORT OF THE COMPTROLLER OF THE CURRENCY. KENTUCKY. First National Bank, Somerset. No. .'1832. S. A. NEWELL, President J. A. MCGER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation - .. U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national b a n k s . . . . Due from State bauks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg'a o\v noil Current expenses and taxes paid .. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due fromTreasurer TJ. S Total. D. R. HATS, President. $212,611.74 Capital stock paid in 4,240.00 | 25, 000. 00 Surplus fund Undivided profits 01,300.00 ! National-bank notes outstanding.. 7,337.91 : ! State-bank notes outstanding 11,681.00* . \ Dividends unpaid 22, 500. 00 \ Individual deposits 220, 690. 69 l,Gi>5.64 i i United States deposits 6,300.00 ; Deposits of U.S. disbursing officers. i.• Due to other national banks 1, 800. 00 [i Due to State banks and bankers . . 6, 804 70 23, 140.07 Notes and bills re-discounted . 1, OL't). 00 I Bills payable 1,125.00 364,711.02 Total. First National Bank, Springfield. No. 1767. Total. 8, 000. 00 6, 655. 63 " 4, 560.60"! 364,711.02 Loans and discounts Overdrafts U. S. bonds to secure circulation ... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S $100, 000. 00 A. C. MCELROY, Cashier. Capital stock paid in . Surplus fund Undivided profits 5, 950. 00 National-bank notes outstanding.. 7, 300. GO i State-bank notes outstanding $242,188. 04 905. 21 37, 500. 00 6, 677. 20 300. 53 8, 000. 00 879.27 1, 750. 00 1, 489. Ov 26. 96 7, 478. 75 3, 86J. 00 Dividends unpaid Individual deposits United States deposits Depositsof U. S. disbursingotlicera. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted ! Bills payable...» „ $150, 000.00 30, 000. 00 4, 992.11 33, 750. 00 93,199. 91 6. 747. 06 2, 370. 04 5, 000. 00 1, 687. 50 32 >, 059.12 Total. 326, 059.12 First National Bank, Stanford. J. S. HOCKER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationafbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U . S. Due from Treasurer TJ. S Total. JNO. J". MCROBERTS, Cashier. 5331, 762, 56 2, 929. 85 50, 000. 00 41,100.00 11, 939. 97 4, 530. 74 229. 53 8, 900. 00 2, 269.02 4, 950. 77 1, 536. 71 43.00 6.48 4, 299. 00 4, 520. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Depositsof U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $250, 000. 00 15, 000. 00 5,129. 50 45, 000.00 110,412.12 10, 478.95 21.00 19,226.06 10, 000. 00 2, 250. 00 471, 267, 03 Total. 471,267.63 REPORT OF THE COMPTROLLER OF THE CURRENCY. 601 K E N T I T C KIT. Lincoln National Bank, Stanford. . B. OWSLEY, Cashier. No. 3954. S. H. SHANKS, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from oth ir national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ... Redemption fund with Treas . U S . Due from Treasurer U. S Total . Liabilities. $311,438. 62 5,802. 66 50, 000.00 11,384.28 27, 363. 31 "'7,*3o'6."6o' Capital stock paid in. $200, 000. C O Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 2, 000. 00 12, 022.19 45, 090.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 136,032.06 Due to other national banks 1, 700. 00 Duo to State banks and bankers.. 69. 87 7, 000. 00 Notes and bills re-discounted. 6, 000. 00 Bills payable 22, 440. 81 16, 983.50 169.82 4, 000,00 2, 250.00 Total . 434, 478. 56 434, 478. 56 Citizens' National Bank, Winchester. No. 2148. . MILLER, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . IT. S. bonds to secure deposits...... U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Dne from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDne from Treasurer CT. S Total. A. H. HAMPTON, Cashier. 1271,376.76 j! Capital stock paid in 4,302.76 50,000.00 ! Surplus fund Undivided profits 8, 000. 00 16, 629.19 14,120. 29 1, 322. 89 22, 500. 00 544. 65 3, 310. 39 $175,000.00 23,000. 00 6, 046. 91 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits ; United States deposits i Deposits of U.S.disbursing officers, j 162,190. 92 7, 492. 01 5,136.00 106. 00 10, 698. 95 3, 500. 00 Due to other national banks Due to State banks and bankers . . j Notes and bills re-discounted Bills payable 5, 946. 74 4, 105. 32 ! ! 2, 250. 00 Total . 421, 289.89 421, 289. 89 Clark County National Bank, Winchester. J . W. BEAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . D u e from approved reserve a g e n t s . Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional cuirency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 995. $406, 814.13 7, 321. 82 37, 500. 00 1, 000. 00 16,951.90 6,107. 81 1, 210. 45 16, 500.00 1, 849. 65 B. F. CURTIS, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Depositsof O\S.disbursing officers. $150, 000. 00 100, 000.00 12, 628.00 33, 750.00 95. 00 190, 093. 87 6,836.34 1, 360. 00 60.13 12, .'500.00 2, 000. 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 5, 284.13 7, 567. 26 19,831.47 1, 437. 50 519, 249. 73 Total . 519, 249.73 602 REPORT OF THE COMPTROLLER OF THE CURRENCY. KE1VTUCKY. Winchester National Bank, Winchester. N. H. WiTMEHSPOON, President. No. 3290. JOHNSON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Duo from State banks and bankers Ban k'g-bouse, furniture, and iixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $322, 949. 05 ;, Capital stock paid in 3,762.49 50,000. 00 Surplus fund ! Undivided profits 200. 00 National-bank notes outstanding.. 56, 027. 28 State-bank notes outstanding 5, 707. 31 10, 228. 55 Dividends unpaid 1, 728. 79 Individual deposits 333.38 United States deposits 1, 562. 50 Deposits of U. S. disbursing officers. 3,784.64: 280.00 47.41 5,716.25 4,275.00 $200, 000. 00 7, 591. 42 51,403.41 45, 000.00 158,837.82 Due to other national banks Due to State banks and bankers . Xotes and bills re-discounted Bills payable 1, 250. 00 465, 852. 65 Total. 465, 852.65 REPORT OF THE COMPTROLLER OF THE CURRENCY. 603 TENNESSEE. First National Bank, Athens. J. M. HENDEBSON, President. No. 3341. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g- house, furniture, and fixtures Other i\>al estate and mortg's owned' Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer D". S Total. ROBT. J. FISHER, Cashier. Liabilities. $126, 647.93 Capital stock paid in $75, 000. 00 777.16 19, 000.00 212.12 5, 289. HI 7,127.83 6,110.00 517. 43 1,039,43 1, 300.00 689. 40 1.85. 00 30. 39 3, 951. 50 2, 642. 00 Surplus fund Undivided proiits. 4,000.00 3, 437. 70 National-bank notos outstanding.. State-bank notes outstanding Dividends unpaid 17,100. 00 I Individual deposits United States'deposits Deposits of U.S.disbursing officers. 58,458. 97 Due to other national banks Due to State banks and b a n k e r s . . 11,928.82 450. 01 Notes arid bllis re-discounted Bills payable 6, 000. 00 855. 50 176,375.50 Total 176, 375. 50 National Bank, Bristol. J O H N C. ANDERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-houso, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-houso Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total.. No. 2796. JNO. H, CALDWELL, Cashier. $160, 558.76 j| Capital stock paid in $100, 000. 00 5, 63<>. 60 I 25,000.00 1 Surplus fund 1 7, 350. 00 ....II Undivided profits 5,180. 98 11,415.50 '! National-bank notes outstanding.. 22, 500. 00 83,313.27 !j State-bank notes outstanding. 9,792.30 1 1 14,743. 11 i| Dividends unpaid 2,032.87" 788. 50 Individual deposits 181,979.04 1, 370.83 United States deposits Deposits of U.S.disbursing officers. 19.33 | I Due to other national banks 1, 056.59 4, 680. 00 Due to State banks and bankers . . 22, 050.56 102. 60 14, 576. 50 Notes and bills re-discounted. 3, 509.00 Bills payable i, 125*00"! 600.00 340,117.17 Total. 340,117.17 First National Bank, Centreville. H. CLAGETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents Duo from other national banks Due from State banks and bankers. Bank'g-ho use, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total No. 3288. $99, 461.08 51.47 12, 500.00 3, 568.01 6,217.93 5, 568. 92 JNO. T. WALKER, Cashier. Capital stock paid in. Surplus fund Undivided profits , National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits 543.43 United States deposits 2,155.48 I Deposits of U. S. disbursing officers. 4.45 ' Due to other national banks 1,513.00 ; Duo to State banks and bankers . . 9.72 5, 063.10 Notes and bills re-discounted. 2, 000. 00 Bills payable $50, 000.00 6, 700.00 3, 579. 56 11,250.00 11.43 67, 721.38 457. 32 562.50 500. 00 139,719.69 Total 139, 719. 69 604 REPORT OF THE COMPTROLLER OF THE CURRENCY. TENNESSEE. First National Bank, Chattanooga. J . H . RATIIBURN, Cashier. No. 1606. T. G. MONTAGUE, President. Resources. Liabilities. $1, 30'8, 710. 79 Capital stock paid in Loans and discounts 5, 536. 71 Overdrafts U. S. bonds to secure circulation... 80,000.00 Surplus fund U. S. bonds to secure deposits Undivided profits. 20,100.00 U. S, bonds on hand Stocks, securities, judgments, etc . . 1, 066. 00 National-bank notes outstanding.. Due from approved reserve agents 108,614.70 State-bank notes outstanding Due from other national banks 42,119.05 Due from State banks and bankers. 10, 873. 52 Dividends unpaid . Bank'g-house, furniture, andfixtures 25, 489. 04 Other real estate and inortg's owned 32,428.71 Individual deposits Current expenses and taxes paid... 11, 639.43 United States deposits Deposits ofU.S. disbursing officers Premiums on U. S. bonds Checks and other cash items 14,478.93 36, 889. 34 Due to other national banks Exchanges for clearing-house Bills of other national banks 26, 519. 00 Duo to State banks and bankers . . 239.33 Fractional currency, nickels, cents . Specie 27, 714. 00 i Notes and bills re-discounted 60, 000. 00 Bills payable Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. 3, 600.00 Due from Treasurer U. S Total 1,876,678.55 Total $200, 000.00 300, 000. 00 141,, 970. 91 71, 300. 00 1,122,776.79 34,131.42 6,499.43 1,876,678.55 Third National Bank, Chattanooga. W. E. BABKKTTK, Cashier. No. 2559. $250, 000. 00 $751, 063. 73 Capital stock paid in. Loans and discounts 3, 296.95 Overdrafts 50, 000. 00 50, 000. 00 Surplus fund U. S. bonds to secure circulation... 42, 920.74 50,000. 00 U. S. bonds to secure deposits Undivided profits . U. S. bonds on hand 42, 500. 00 21,445. 33 National-bank notes outstanding. Stocks, securities, judgments, etc .. 48,760. 88 State-bank notes outstanding Due from approved reserve agents. 43,514.92 Due from other national banks 12,182.24 Dividends unpaid Due from State banks and bankers. 29, 214. 20 Ban k'g-house, furniture, and fixtures 484, 370. 88 Individual deposits Other real estate and mortg's owned 25,146.85 United States deposits Current expenses, and taxes paid... 23, 597.44 12, 000.00 Deposits of U.S. disbursing officers Premiums on U. S. bonds 26, 592.57 Checks and other cash items 187,514.11 Due to other national banks Exchanges for clearing-house 22, 357. 42 15, 880.00 Due to State banks and bankers .. Bills of other national banks 644.26 Fractional currency, nickels, cents. 6, 792. 28 Specie 39,188.00 Notes and bills re-discounted Legal-tender notes 19,500.00 Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S 1,135, 205.72 1,135, 205. 72 Total. Total. JNO. A. HART, President. Fourth National Bank, Chattanooga. J. H. WARNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-hou9e,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 4060. Capital stock paid in. $181, 060. 96 972. 98 37, 500. 00 C.R. GASKILL, Cashier. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 12,688.16 28,149.14 I 2, 496. 72 Dividends unpaid. 751.07 Individual deposits United Statesdeposits Deposits of U. S. disbursing officers. Due to other national banks 3, 953. 00 Duo to State banks and bankers . 70.80 3, 508. 50 Notes and bills re-discounted 2,000. 00 Bills payable 3,154. 49 10,781.25 2, 918. 94 $i:o,ooo.co 3, 555.13 33, 750.00 82, 923.78 2,452. 89 3,011.71 16, 000.00 1, 687.50 291, 693. 51 Total . 291, 693. 51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 605 TENNESSEE. Chattanooga National Bank, Chattanooga. CHARLES A. LYEBLY, President No. 3691. J. S. O'NEALE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of depositRedemption fund with Treas. IT. S . Due from Treasurer TJ. S $624,893.14 678.43 50, 000. 00 3, 408. 43 14,017. 79 8, 3r9. 97 74. 20 5,449.49 4, 895. 01 17, 614.00 127. 81 10,582.10 20, 000. 00 $300,000.00 Undivided profits National-bank notes outstanding.State-bank notes outstanding Dividends unpaid 25,000.00 19, 324. 87 45, 000.00 60.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 303, 526. 41 Due to other national banks Due to State banks and bankers .. 41, 581.19 18,291.73 Notes and bills re-discounted Bills payable 11,098.01 2, 250.00 763,882.21 Total. Capital stock paid in Total 763, 882. 21 First National Bank, Clarksville. B. W. MACRAE, President. Loans and discounts O verdrafts IT. S. bonds to secure circulation... U.S. bonds to secure deposits U S. bonds-on hand Stocks, securities, judgments, etc. Dae from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,farnituro,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. R. D. MOSELEY, Cashier. No. 1603. $100, 000. 00 Capital stock paid in. 25,000. 00 Surplus fund 7, 228.75 Undivided profits . National-bank notes outstanding. 22,500.00 24,196. 34 State-bank notes outstanding $139,292.86 9,495.05 25, 000. 00 15,105. 52 104.84 4,000. 00 1,491.32 2, 500. 00 3, 005.16 6,253. 00 on (jO 23, 800'. 00 10, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 425. 00 108, 748. 58 977. 28 605.00 264, 879.61 264, 879. 61 Total. ClarksviUe National Bank, Clarksville. H. C. MKKKITT, President. No. 2720. Capital stock paid in. Loans and discounts Overdrafts U.S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Duu from approved reserve agents. Due from other national banks Due from Stato banks and bankers. Bank'u-bouse, furniture,and fixtures Other real ostateand mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house BilLs of other national banks )<Yactioiial currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Die from Treasurer U. S ... $191, 700. 92 4, 482.88 12, 500. 00 .1 291,700.02 Total. 8, 371.14 12,118.26 7, 234. 73 151. 30 4, 650. 00 672.51 A. HOWELL, Cashier. Surplus fund Undivided profits . National-bank notes outstanding State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. $50, 000.00 30, 000. 00 4, 325.10 11,250.00 192, 504. 28 '47524 "30" 5,210.00 13.48 26, 508. 00 13,000. 00 Due to other national banks Due to State banks and bankers . 536. 59 3, 084. 05 Notes and bills re-discounted. Bills payable 5G2. 50 Total. 291, 700. 02 GOG REPORT OF THE COMPTROLLER OF THE CURRENCY. TENNESSEE. Farmers and Merchants' National Bank, Clarksville. C. T. YOUNO, President. No. 3241. J x o . W. FAXON, Cashier. Resources. Loans and discounts ! Overdrafts I U. S. bonds to secure circulation "'I U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j u d g m e n t s , e t c . Due from approved reserve, a g e n t s D u e from other national banks . . . D u e from State b a n k s and b a n k e r s Bank'g-house,furniture, and fixtures Other real estato and mortg's owned C u r r e n t expenses and taxes p a i d . . . P r e m i u m s on U. S. bonds Checks and other cash items E x c h a n g e s for clearing-house Bills of other national b a n k s F r a c t i o n a l currency, nickels, c e n t s . Specie ' Legal-tender notes TJ. S. certificates of deposit Redemption fund with T r e a s . TJ. S . . Due from T r e a s u r e r U. S Total . Liabilities. $100,000. 00 $198,197.13 I Capital stock paid i n . . 12,644.41 25,000.00 Surplus fund Undivided profits National-bank notes outstanding. 17,026.02 i| State-bank notes outstanding. ..... 8, 207. G !i O 5,736.06 | , D i vidends 1,000.00 M unpaid 9, 000. 00 8, 627. 54 21, 250.00 300. 00 Individual deposits " 1*413'29 ; | United States deposits • 3,000.00 i Deposits of U.S.disbursing officers 163, 914.10 735.14 i! 13,210.00 451.88 24, 912. 50 17, 500. 00 I Due to other national banks | Due to State banks and bankers.. Notes and bills re-discounted Bills payable 2, 535. 03 3, 591. 08 21,001. 88 • 1,125. 00 I 330, 219. 63 330, 219. 63 Total. Cleveland National Bank, Cleveland. J . H. CRAIGMILES, President. No. 1666. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Curreut'expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. U. S . Due from Treasurer U. S Total $342, 220. 85 2,147. 86 37, 500. 00 JOHN H. PARKER, Cashier. $150, 000.00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding 2, 669. 28 8, 287. 70 12, 482. 02 8, 567. 38 Dividends unpaid 4, 000. 00 5, 324. 00 Individual deposits 1,051.04 United States deposits Deposits of U.S. disbursing officers 1,289. 04* Due to other national banks 3,130. 00 Due to State banks and bankers .. 51. 60 18,001.60 Notes and bills re-discounted 1, 746. 00 Bills payable 60,000. 00 80,979. 64 33, 750.00 110, 688. 96 905. 77 541.43 13, 532. 67 1, 687. 50 242. 00 450, 398. 47 Total. 450,398.47 Second National Bank^ Columbia. F . J . EWING, President. Loans and discounts Overdrafts U. S. bonds to seoure circulation. . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, btc.. Duo from approved reserve agents. Due from other national banks Duo from State banks and bankers Ban k'g-house, furniture, and fixtures Other real estate ana mortg's owned C urrent expenses and taxc3 paid. Premiums ou U. S. bonas C hecks and other cash items Exchanges for clearing-house BilL-j of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2568. $174,198. 95 8,010.09 25, 000. 00 8, 803. 07 7, 669. 03 882.15 543. 46 2, 450. 00 14, 290. 00 1, 084. 22 1, 950. 00 13, 510. 97 1, 363. 00 28.40 10. 930. 45 3j 000.00 GEO. CHILDRESS, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits 14,000.00 3,027.86 National-bank notes outstandingState-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 81,185.92 Due to other national banks Duo to State banks and bankers . . Notes and bills re-discounted Bills payable 391.01 53, 774.00 1, 125.00 274, 878. 79 Total. 274,878.79 REPORT OF THE COMPTROLLER OF THE CURRENCY. 607 TENJVES SE E . First National Bank, Fayetteville. J . D. TILLMAN, President. No. 2114. J . K. FEENEY, Cashier. Eesources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation .. U. S. bonds to secure deposits 0". S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds, Checks and other cash items Exchanges for clearing-house ... . Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. Capital stock paid in. $143, 390. 23 26.51 15, 000.00 $60, 000.00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 2, 031. 01 6, 611. 44 29,023. 32 15,000.00 6, 074.98 13, 500. 00 Dividends unpaid. 3, 513. 8.") 4,313.20 1,213.71 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Duo to State banks and bankers . . 10, 988.00 27. 25 14, 037. 45 3, 000. 00 139,484.29 200. 00 Notes and bills re-discounted . Bills payable , 675. 00 234, 259. 27 Total . 234, 259.27 Elk National Bank, Fayetteville. No. 3702. It. D. WARREN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.fc>.certificates of deposit Kedemption fund with Treas. U. S Due from Treasurer U. S Total. W. B. DOUTHAT, Cashier. $102,964.07 i Capital stock paid in. $50, 000.00 12,500.00 i Surplus fund Undivided profits. National-bank notes outstanding.. 8, 972. 90 State-bank notes outstanding 20, 428. 95 1, 41K. 39 5, 387. 87 Dividends unpaid 11, 250. 00 140.00 Individual deposits 778.19 j. Uuited States deposits 3,200.00 !| Deposits of CJ.S.disbursing officers. 15, 400. 00 33. 37 5, 000. 00 1, 000. 00 8, 500. 00 4, 033. 58 103, 722.72 Due to other national banks ;i Due to State banks and bankers . Notes aud bills re-discounted . Hills payable 562. 50 177,646.30 |j Total . 177, 646. 30 National Bank, Franklin. D. B. CLIFFE, President. No. 1834. J . L. PARKES, Cashier. Loans and discounts . I 5279,566. 54 Ii Capital stock paid in I 399.56 !' ' Overdrafts I 25,000.00 U. S. bonds to secure circulation... ] Surplus fund U. S. bonds to secure deposits i Undivided profits U. S. bonds on hand j— 13, 883.25) National-bank notes outstanding.. Stocks, securities, judgments, etc.. ! 11, 454. 33 Due from approved reserve agents.; State-bank notes outstanding 3,178.96 Due from other national banks . . . . Due from State banks and bankers. Dividends unpaid 5, 000.00 Bank'g-house, furniture, andfixturesi Other real estate and mortg's owned! Individual deposits Current expenses and taxes paid... United States deposits Premiums on U. S. bonds DepositsofU.S.disbursingonicers. 2,669.27 Checks and other cash items.. "I Exchanges for clearing-house. Due to other national banks 1,092.00 Bills of other national banks.. Due to State banks and bankers... 153.88 Fractional currency, nickels, cents. 11, 714.10 Specie Notes and bills re-discounted . 5, 680.00 Legal-tender notes Bills payable U. S. certificates of deposit Kedemption fund with Treas. U. S. 1,125, 00 Due from Treasurer XJ. S Total. 362,429.47 ! Total . $100, 000. C O 20,000. 00 8,890. G2 22,500.00 209, 743.24 464.46 831.15 362,429.47 608 REPORT OF THE COMPTROLLER OF THE CURRENCY. TE !\I\E SSEE. First National Bank, Jackson. J. L. WISDOM, President No. 2168. S. M. WHITE, Cashier. Liabilities. Resources. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, secarities, judgments, etc.. Due from appro vea reserve agents Due from other national banks — Due from State banks and bankers Bank'g-house,fnrniture,and fixtures Other real estateand mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Speciel Legal-tender notes U. S. certificates of deposit llederaption fund with Treas. U. S. Due from Treasurer U. S Total $50,000.00 $157, 409. 95 Capital stock paid in 15,215.98 i 12, 500. 00 Undivided profits 4,488. 97 20,458.54 1,172.00 1, 346. 04 897.10 3, 000. 00 400. 00 18, 093. 35 25, 000. 00 15, 000.00 15, 808.37 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 300. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 162, 082.13 Due to other national banks Due to State banks and bankers -. 3,618.19 2,485. 74 Notes and bills re-discounted Bills Davable 562. 50 260, 544.43 260, 544.43 Total Second National Bank, Jackson. "W. T. NELSON, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from other natioual banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Bedemption fund with Treas. U. S Due from Treasurer U. S Total. W. S. MOOKE, Cashier. No. 3576. $165,081.16 Capital stock paid in. $75, 000.00 10,490.22 18,750.00 Surplus fund 2, 950. 00 13, 240.98 Undivided profits . 90.00 National-bank notes outstanding.. 16,175. 00 19,024. 75 State-bank notes outstanding 10, 824. 63 52. 90 Dividends unpaid 2, 281.66 Individual deposits 142, 921.13 " i , 256.44 United States deposits 1, 000. 00 Deposits of U. S. disbursing officers. 279. 71 Due to other national banks 399. 05 6, 526. 00 Due to State banks and bankers . 294. 80 16, 049. 00 Notes and bills re-discounted 9, 786.86 7,634 00 Bills payable 843.75 260,479.02 Total. 260,479.02 First National Bank, Johnson City. J . E. CBANDALL, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house.furniture, and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. IS. certificates of deposit Redemption fund with Treas. TJ. S. Due fromTreasurer TJ. S Total. No. 3951'. $106,843.90 1, 004. 50 12, 500.00 8,017.49 8, 778. SO 7, 389. 26 10,000.00 1,469.62 875.00 17.54 85.00 176.68 3,766.50 2, 554.00 CHARLES D. FINE, Cashier. Capital stock paid in., $50,000. 00 Surplus fund Undivided profits . 500.00 3, 578.53 National-bank notes outstanding. State-bank notes outstanding 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 93,215.47 Due to other national banks Duo to State banks and bankers .. 4, 328.51 Notes and bills re-discounted Bills payable 1,168.34 , 562. 50 164, 040.85 Total. 164,040.8& REPORT OF THE COMPTROLLER OF THE CURRENCY. 609 TENNESSEE. Third National Bank, Knoxville. No. 3708. It. N. HOOD, President. H. B. RRAKNKR, Cashier. Liabilities. Resources. Loans and discounts O v-erdvafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Dae from other national banks Due from State banks and bankers 3>ankV-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items E xchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie .' Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $514, 520. 94 i Capital stock paid in. 21.99 50, 000. 00 Surplus fund Undivided profits 500. 00 National-bank notes outstanding. 7, 524. 24 State-bank notes outstanding 12, 367. 83 7, 747. 50 Dividends unpaid. 1,733.10 I Individual deposits 7, 244. 37 Un ited States deposits 13, 500,00 Deposits of IT. S. disbursing officers. 2, 650. 84 Due to other national banks 13, 348. 00 Due to State banks and bankers .. 81.46 13, 461. 50 Notes and bills re-discounted 50, 000. 00 Bills payable 2, 250. 00 696, 957. 77 Total. $300, 000. 00 6, 500. 00 45, 793. 75 45, 000. 00 261, 916. 79 3, 647.16 600. 07 33, 500.00 i6,957. 77 Total. City National Bank, Knoxville. No. 3837. M. P. JARNAGIN, President. Loans and discounts O verdrafts. U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture, andnxtnres Other real estate and mortg's owned! Current expenses and taxes paid... P remiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TT. S . Due from Treasurer U. S 15, 12, 6, 3, 758. 972. 403. 500. 41 07 45 00 4, 768. 34 5, 800. 00 554,88 1, 770. 51 I, 355. 00 .237.15 6,100. 00 17,000.00 $100, 000. 00 15,000. 00 8, 783. 26 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursingofficors 257, 329. 36 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 8,091.55 17,155.06 30, 000. 00 1,125. 00 458, 859. 23 Total. W. S. SHIELDS, Cashier. 5352, 078. 45 j Capital stock paid in 4,435,37 I 25, 000. 00 I Surplus fund J j Undivided profits . , 458, 859. 23 Total. East Tennessee National Bank, Knoxville. R. S. PAYNE, President. No. 2049. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-hon8e,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S H. Ex. 3 108,181.17 71,623.10 18, 634.10 2,700. 00 11,612.49 18, 600. 46 11,084.00 591. 67 38, 400. 00 120,000. 00 39 F. L. FISHER, Cashier, $175,000.00 «... National-bank notes outstanding. State-bank notes outstanding 175, 000. 00 49, 247.17 45,000. ?0 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-diacoimted . Bills payable 794, 384. 01 45, 372.3D 2, 225. 01 C64. 61 2,250.00 , 8, 130, 50 ~ 1 , 280, 893. 79 i Total. . $768, 59L. 26 Capital stock paid in. 6, 492. 04 50, 000. 00 Surplus fund urplus fund 50, 000. 00 U;ndivided profits Total. 1,286,893.79 610 REPORT OF THE COMPTROLLER OF THE CURRENCY. T E J\ J\ E S S E E . Mechanics' National Bank, Knoxville. No. 2658. S. B. LUTTRELL, President, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's ovyned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nation.il banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. SAM. HOUSE, Cashier. Liabilities. $610, 389. 00 1, 326. 43 25, 000. 00 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits. 20,098.34 National-bank notes outstanding. 17, 665.70 State-bank notes outstanding 20, 000. 00 108, 553. 22 42, 389. 81 11, 474. 07 16, 200. 00 2, 000.00 13, 010. 71 5, 250. 00 16, 596. 63 1,017.00 271.01 46, 860. 00 53, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursingofficers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 22, 500. 00 543,182. 09 41, 840.19 48,187. 34 1,125.00 589.14 884, 262. 84 884, 262.84 Total. National Bank, McMinnville. "W. H. MAGNESS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, eto .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.-. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J E S S E WALLING, Cashier. No. 2221. $175,612.41 566. 00 20,000.00 6, 731. 74 15, 572. 40 7,169. 22 2,493.03 5,100.00 400.00 11.67 6, 500. 00 3, 500. 00 Capital stock paid in., $70,000.00 Surplus fund Undivided profits 36,400. 00 12,441. 35 National-bank notes outstanding.. State-bank notes outstanding 18,000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. 102, 578.84 Due to other national banks Due to State banks and bankers .. 4, 497. 30 Notes and bills re-discounted . Bills payable 900. 00 Total. 244,556.47 244, 556.47 People's National Bank, McMinnville. J. F. MORFOBD, President. Loans and discounts Overdrafts * U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house....__ Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2593. $123, 292. 34 1, 323. 07 15,000.00 F. COLVILLE, Cashier. Capital stock paid in. $55, 000. 00 urp Undivided profits 20,000. 00 8, 512.73 National-bank notes outstanding.. State- bank notes outstanding 13,500.00 495. 87 500. 00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursing officers. 76, 339. 06 3, 800.00 12,33 5, 710. 00 2, 000.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 5,035.10 18, 625. 80 1, 000. 00 4,117. 72 675. 00 177,469.51 Total., 177,469.51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 611 TENNESSEE. First National Bank, Memphis. No. 336. N. M. JONES, President. C. W. SCHULTE, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds oil hand Stocks, securities, judgments, etc -. Duo from approved reserve agents Duo from other national banks Duo from State banks and bankers Bank'g-house, furniture, andfixturos Other real ostatonnd mortg'a owned C urrent expenses and taxes paid.. Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Hills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer X . S.. T Total. Liabilities. $705, 425.95 17, 389.95 37, 500.00 Capital stock paid in $150, 000.00 Surplus fund Undivided profits 30, 000.00 41,164.23 National-bank notes outstanding State-bank notes o u t s t a n d i n g . . . 24, 894.26 45, 667. 84 6, 069.12 12, 209.07 40, 000. C O . 33,750. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 114,053.26 3, 391.41 Notes and bills re-discounted Bills payable 33, 048.10 6, 000. 00 18.08 20, 900. 00 390,145. 53 Due to other national banks Due to State banks and bankers . . 4, 869.6!) 10, 000.00 183,175.19 20, 000.00 1, 687. 50 Total.. 965, 679. 62 965,679.62 Memphis National Bank, Memphis. No. 3633. DAVID T. POUTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand — Stocks, securities, judgments, etc .. Duo from approved reserve agents Due from other national banks — Due from Stato banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total J. H. SMITH, Cashier. $500, 000.00 Capital stock paid in. $1,135, 707. 57 22, 448. 19 50,000.00 Surplus fund Undivided profits. 22,875.25 6,462.02 Li, 115.02 ! • 5,006.45 j 5,192.22 I 11,375.00 j 3"0.«0 j 34, l.:>0. 64 j 22,482.00 ! 1,654.(50 ! 48,830.10 I 20,000.00 1 1 100, 000. 00 27,191.45 National-bank notes outstanding.. State-bank notes outstanding 45,000.00 Dividends unpaid . Individual deposits United States deposits , Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 479,506.87 8, 703. 66 5, 342. 04 236,190. 84 2,250.00 Total. 1,401,935.46 1,401, 935.46 State National Bank, Memphis. W. D. BETHEL, President. No. 2127. $1, 267,318.90 Loans and discounts 5/J40.81 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... 100, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand 1,370.00 Stocks, securities, judgments, etc . 95,119.66 Duo from approved reserve agents 29, 944. 86 Duo from otner national banks 13,550.81 Duo from State banks and bankers 54, 000. 00 Ban k 'g-houso, furniture, andfixtures Other real estate and mortg's owned 5,719.76 Current expenses and taxes paid 2, 726. 77 Premiums on U. S. bonds Checks and otner cash items 39,282. 32 Exchanges for clearing-house ! 22, 800. 00 Bill a of other national banks ' 1,358.41 Fractional currency, nickels, cents 34, 000. 00 Specie ' 150,000.00 Legal-tender notes U. S certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S Duo from Treasurer U. S Total. 1,874,791.30 M. S. BUCKINGHAM, Cashier. j Capital stock paid in. $250, 000. 00 Surplus fund Undivided profits . 100, 000. 00 44,146.12 National-bank notes outstanding . State-bank notes outstanding Dividends unpaid 45, 000. 00 , 564. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 887,491. 29 27, 505. 68 84,234.31 Due to other national banks Duo to State banks and bankers... 218; 414. 34 42, 309.86 Notes and bills re-discounted Bills payable 175,125. 70 Total. 1, 874,791.30 G12 REPORT OF THE COMPTROLLER OF THE CURRENCY. TENNESSEE. First National Bank, Morristown. GEORGE W. FOLSOM, President. G-EO. S. CROUCH, Cashier. No. 3432. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. IS. bonds to secure deposits U. S. bonds on hand Stocks, securities*, judgments, etc .. Due from approved reserve agents Duo from other national banks Duo from State bunks and bankers Bauk:g-houso,furniture,and fixtures Other realestato and mortg's owned Current expenses and taxes paid.-. Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $143, 240. 82 144. ?,9 18, 700.00 2,521.01 29,197. 71 3, 375.00 5,000. 00 1,218.83 455. 00 4.08 980.00 7, 503.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. $75, 000. 00 35, 000. 00 5, 327. 66 16, 875.00 81,030.93 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 843.75 Total. 213, 233. 59 213,233.59 First National Bank, Murfreesborough. EDWARD L. JORDAN, President Loans and discounts , Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bondsonhand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from Stato banks and bankers. 13ankg-houso,furniture,andfixtures Other real estate and mortg'a owned C urrent expenses and taxes paid... 3'romiumson U. S. bonds Checks and other cash items Exchanges for clearing-house Hills of other national banks Fractional currency, nickels, cents Specio Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S D ue from Treasurer U. S Total. No. 1692. $288, 249. 56 3, 710.90 100,000. 00 12, 849.92 4,280.01 " 10 ~ 000." 66" 2,020.13 2 "351." 98 4,957.00 112.35 28, 241. 00 4, 000. 00 H. H. WILLIAMS, Cashier. Capital stock paid in. $100, 000. 00 Snrplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding. ... Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discouuted . Bills payable 70, 000. 00 11,893.16 90, 000. 00 191,964.29 670. 33 1,198.07 4, 500.00 449.00 Total. 465, 727. 85 465, 727.85 Stones River National Bank, Murfreesborough. WILLIAM MITCHELL, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. P n o from other national banks Due from Stato banks and bankers Ixink'g-houso, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... PremiumsonU. S bonds Checks and other cash items JE xchanges for clearing-house Bids of other national banks. Fractional currency, nickels, cents . Specio ' Lsgal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S Due from Treasurer U. S Total. No. 2000. $182,406.52 5,087.17 20, 000.00 1, 028. 56 6, 364. 84 399.01 100. CJ> 2, 942. 00 1,163. 03 1, 226. 80 5, 550. 00 600.00 78.40 8,020. 00 4, 290. 00 THOS. B. FOWLER, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid $75^ 000.00 6, 000. 00 5, 548. ;J2 18, 000. 00 484. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 109, 360. 07 Due to other national banks Duo to State banks and bankers . 1,132.63 37. 50 Notes and bills re-discounted Bills payable 24, 595.10 900.00 240,157. 02 Total 240,157. 62 REPORT OF THE COMPTROLLER OF THE CURRENCY. 613 TENNESSEE. First National Bank, Nashville. THOMAS PLATER, President. No. 150. II. W. GBANTLAXD, Resources. Loans and discounts ! Overdrafts | U. S. bonds to secure circulation... i IT. S. bonds to secure deposits j U. S. bonds on hand I Stocks, securities, judgments, etc .; Due from approved reserve agents Due from other national banks Dne from State banks and bankers. Bank'g-house.furniture, and fixtures Other real eatato amlmortg'tf owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund vvitli Treas. U . S . Due from Treasurer TJ. S Total. Cashier. Liabilities. !, 388, 394. 74 45, 564. 74 50, 000. 00 150, 000. 00 70, 050. 00 125,405.28 83.49H.0fi 7,141.22 20, 000.00 4:5, 24B. 66 33,748.25 27,800.15 505. 83 12, 790. 00 81, 079. 55 49, 000.00 Capital stock paid in j $1, 000, 000. 00 Surplus fund Undivided profits 51, 700.00 27, 332.04 NJM ional-bank notes outstanding.. Stale-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits ot'U.S.disbursing officers. 1, 207, 417. 55 J12, 450. 28 28, 657. 12 Duo to other national banks Due to State banks and bankers.. 285, 679. 45 175, 359. r;j Notes and bills re-discounted Bills payable 274,135. 50 2, 250. 00 7, 000. 00 3, 210, 731. 53 Total .., ! 3,210,731.53 Fourth National Bank, Nashville. SAMUEL J . K E I T H , President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank ; g-house, furniture, andfixtures Other real estate and niortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1669. J . T. H O W E L L , Cashier. $1,000, 0C0. 00 !, 085. HI. 22 '' Capital stock paid in 50, 795. 24 200, 000. 00 50, 000. 00 Surplus fund 140, 853. 70 100,000. 00 j Undivided profits 19,033.18 I National-bank notes outstanding.. 45, 000. 00 68, 220. 94 .; State-bank notes outstanding 130, 302. 69 26, 793. 09 Dividends unpaid 54, 350. 00 23,174.51 Individual deposits . ! 1, 033, (573. 22 United States deposits ! 110,000. 00 33, 000. 00 Depositsof U.S. disbursing officers j 33, 300. 29 Duo to other national banks [ 100, (587. 49 G, 791. 00 Duo to State banks and bankers ..j 105, 108. 08 133. 03 57, 000. 80 Notes and bills re-discounted i 50, 564.10 43,000. 00 Bills payable —j 2,250.00 ! 2,785,940.59 2, 783, 946. 59 Total American National Bank, Nashville. EDGAR JONES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks,securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g house,furniture,andfixtures Other real estate andmortg's o\v ned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ,. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3032. $2, 235, 533.19 26, 489. 16 50,000.00 400.00 72, 372. 57 42, 476.73 55,805.65 36, 583. 86 52, 372. 71 19, 537.50 12, 500. 00 57,156. 90 25, 000. 00 500. 00 34, 451. 72 65,008.00 A. W. IIARIIIS, Cashier. Capital stock paid in j $1,000,000. 00 Surplus fund Undivided profits 71,000.00 19, 099. 00 National-bank notes outstanding.. State-bank notes outstanding 4.1, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of'U.S.disbursing oilicers. 1,177, 386.35 Due to other national banks Due to State banks and bankei'3 . . 122, 780. 30 91,413.;»!) Notes and bills re-discounted Bills payable 201,812.00 2,250.00 2,788,497.99 Total 2,788,407.99 614 KEPOKf OF THE COMPTROLLER OF THE TENNESSEE. Commercial National Bank, Nashville. No. 3228. M. A. SPURR, President. FRANK POUTERFIELD, Cashier. Liabilities. Resources. $1,541,791.06 Loans aud discounts 22, 001.43 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand 23, 968.25 Stocks, securities, judgments, etc .. 11(5, 939. 37 Due from approved reserve agents. 54, 5G0. 06 Due from other national banks 59,012.31 Duo from State banks and bankers. 2, 000.00 Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... 6, 656. 21 12, 500. 00 Premiums on U. S. bonds 41,240.70 Checks and other cash items Exchanges for clearing-house 23, 501.00 Bills of other nationalT)anks 182. 00 Fractional currency, nickels, cents . 61, 270. 00 Specio 40,000.00 Legal-tender notes g U S. certificates of deposit tifit U. S pt 2, 250. 00 Redemption fund with Treas. U. SDue from Treasurer U. S D S Total. 2, 057, 872. 39 Capital stock paid in. $100,000. 00 Surplus fund • Undivided profits National-bank notes outstanding.. State-bank notes outstanding 80, 000. 00 40, 50:5. 11 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 706,41)7.19 Due to other national banks Due to State banks and bankers . 337,861.16 218,622.39 Notes and bills re-discounted Bills payable 223, 388. 54 Total 2, 057, 872.39 Giles National Bank, Pulaski. No. 1990. SOLON E. ROSE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure-deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Jjttiik'g-housc,furniture,andfixture.sj Other i cal estate and mortg's owned /^ . _ • ,i C urrent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills o father'national banks Fractional currency, nickels, cents Specio Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S -I A $174,454.22 13,365.18 25, 000. 00 $100, 000. 00 17, 000. C O 3,186.(9 Surplus fund Undivided profits | National-bank notes outstanding. 5,272, 70 | State-bank notes outstanding . . . - 6,880.76 /*o/? 636.05 /\er 22, 500. 00 Dividends unpaid Individual deposits United States deposits 92, 680. 40 1,750.63 DepositsofU.S. disbursingofncers- 158. 00 33.31 7, 279. 60 2, 500. 00 Due to other national banks Duo to Stato banks and bankers Notes and bills ro-discounted . . . Bills payable 3, 088. 30 1,125. 00 238,455.45 Total. J N O . D. FLAUTT, Cashier. Capital stock paid in Total. -i 238,455.45 People's National Bank, Pulaski. J. P. MAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Duo from State banks and bankers Bauk'g-houso, furniture, and fixtures! Other real estate andinortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house :. Bills of/other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2635. $176, 943. 07 14, 775. 64 15,000.00 7,980.31 23. 63 E. B. CRAIG, Cashier. Capital stock paid in. $60,000.00 Surplus fund Undivided profits 22, 000. 00 3, 242. 04 National-bank notes outstanding.. State-bank notes outstanding 13, 500.00 Dividends unpaid 9, 000. 00 272.65 i. 764. 75 795. 00 23.40 5,180. 00 500. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 91, 015. 05 Due to other national banks Due to State banks and bankers .. 8, 352. 36 Notes and bills re-discounted Bills payable 31. 244. 00 125.00 232, 383. 45 Total., 232,383.45 REPORT OF THE COMPTROLLER OF THE CURRENCY. 615 T E BfNE S S E E . Rogersville National Bank, Rogersville. SAMUEL NEILL, President. No. 4015. JAMES COOPER, Cashier. JEtesonrcea. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house, furniture, and fixtures Other real estate and mortg'sowned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Wills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $109,899.01 10, 692. 22 15, 000.00 3,701.01 2,112.67 Capital stock paid in . $50,000.00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 5, 386. 08 13, 500.00 Dividends unpaid 2, 000. 00 1,162.51 95.30 1.34 319. 95 3,170. 00 Individual deposits United States deposi ts Deposits of U.S. disbursing officers 51,8-13.25 Due to other national barks Due to State banks and bankers.. 1, 349.30 Notes and bills re-discounted Bills payable 675.00 48.00 151,078.6;} Total.. 29,000.00 151,078.63 National Bank, Shelbyville. EDMUND COOPEU, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and hankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national bauks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Itedemption fund with Treas. U. S. Due from Treasurer U. S No. 2198. $118,123. 68 4, 000. 24 12, 500. 00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 5, 000. 00 2, 977.25 463.69 1, 026. 66 1, 200. 00 6,851.00 1, 670.10 Dividends unpaid. 1, 600. 00 8.59 2, 750. 00 2, 000. 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable Cashier, $50, 000.00 25, 000. 00 20, 396. 65 11, 250. 00 60.00 Individual deposits United States deposits Deposits of'U.S.disbursing officers 33, 824. 59 1, 702. 47 18, 500. 00 562.50 i 160,733.71 j Total.. BROM. R. WHITTHOBNE, Capital stock paid i n . Total. 160, 733.71 People's National Bank, Shelby ville. NATHAN P. EVANS, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furnitnre,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3530. $300, 304. 85 4, 100.00 25, 000. 00 7,915.25 13, 302. 74 "5," 837." 66* 1, 700. 61 2, 815. 62 2, 400. 00 15.95 5, 000.00 13, 000. 00 S. J. WALLING, J R . , Cashier. Capital stock paid in. Surplus fund Undivided profits .' National-bank notes outstanding. State-bank notes outstanding $100, 000.00 20, 000. 00 7,656. 63 22, 500. 00 Dividends unpaid Individual deposits United States deposits Dej>ositsofU.S. disbursing officers. 180,197.04 Due to other national banks Due to State banks and bankers.. 22, 420. 05 803. 30 Notes and bills re-discounted Bills payable 29, 000. 00 1,125.00 60.00 382, 577.^2~ Total. 382, 577.02 616 KEPORT OF THE COMPTROLLER OF THE CURRENCY. T E N N E S S E E . First National Bank, South Pittsburg. A. L. SrEAits, President. No. 36G0. T. G. GAKIIETT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate andraortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $139,060.90 703. 69 32,500.00 799. G8 5, 872. 43 3, 425. (38 $50, 000. 00 Capital stock paid i n . Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 8, 000. 00 3, 230. 82 11/250.00 Dividends unpaid '"2*833." 59 1,410.85 500. 00 315. 00 83.48 5, 795. 75 4, 000. 00 Individual deposits United States deposits DepositsofU.S.disbursingoIlicers 82, 009. &?> D u e to other national b a n k s D u e to State b a n k s and b a n k e r s 11, 36j. 16 2, 130.18 Notes and bills re-discounted . . . . Bills payable 9, 787. 51 502. 50 Total . 177, 803. 55 177, 863. 55 First National Bank, Sparta. J . N. WALLING, Cashier. No. 3614. $50, 000. 00 $158, 549.37 Capital stock paid in. Loans and discounts 89.68 Overdrafts 10,000.00 12, 500. 00 Surplus fund U. S. bonds to secure circulation-. 5, 07U. 68 U. S. bonds to secure deposits Undivided profits. TJ. S. bonds on hand 11, 250. 00 Stocks, securities, judgments, etc.. 4, 050. 00 National-bank notes outstanding. Due from approved reserve agents. 4,136.56 State-bank notes outstanding Due from other national banks 9, 452. 78 Due from State banks and bankers. Dividends unpaid. Bank'g-house, furniture, and fixtures 4, 800. 00 92, 738. 79 Individual deposits Other real estate and mortg's owned Current expenses and taxes paid... 844. 99 United States deposits Premiums on U. S. bonds 3, 000.00 Deposits of U. S. disbursing officers. Checks and other cash items 2, 050. 53 Exchanges for clearing-house Due to other national banks 14, GOrf. 94 Bills of other national banfcs 800. 00 Due to State banks and bankers .. Fractional currency, nickels, cents. 55. 98 18, 722. 92 Specie 2, 600. 00 Notes and bills re-discounted I^gal-tender notes 4. 000. 00 Bills payable U.S. certificates of deposit Redemption fund with Treas. TJ. S . 562. 50 Due from Treasurer TJ. S 205, 441. 8G 205, 441.86 Total. Total . RICHARD HILL, President Springfield National Bank, Springfield. CHARLES C. BELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits TJ. S. bonds on hand .Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Eank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Promiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 2019. $126, 956.04 4, 357.62 15, 000. 00 11, 543. 37 79, 097.18 652. 26 5, 000.00 791.51 "255." 78' 9, 465. 00 53. 21 2, 617. 00 18, 000. 00 THOS. P E P P E R , Cashier. Capital stock paid in- $60, 000. 00 Surplus fund Undivided profits. 25, 000. 00 4, 318. 43 National-bank notes outstanding.. State-bank notes outstanding 13, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers 171,023.31 Due to other national banks Due to State banks and bankers.. 22. 23 Notes and bills re-discounted. Bills payable 675.00 274,463.97 Total . 274,463.97 HEPORT OF THE COMPTROLLER OF THE CURRENCY. 617 TENNESSEE. First National Bank, Tullahoma. LITLB D. HiCKEiisoN, President. No. 3107. L. D. HICKEUSON, J R . , Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's o\yned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes t U. 3. certificates of deposit Redemption fund with Treas. II. S Due from Treasurer TJ. S Total. $168, 73 . 67 723.25 20, 000. 00 $50, 000. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. 2, 704, 25 State-bank notes outstanding 7, 259. 63 425. 03 4, 000. 00 2,331.66 3, 000. 00 1, 000. 00 G.43 10, 700. 00 6, 000. 00 10, COO. 00 12, 318. 88 18, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Hills payable 125, 596. 67 25k 30 11,618.01 90J. 00 Total. 227, 787. 92 227, 787. 92 Traders' National Bank, Tullahoma. No. 4020. "W. B. FRENCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national b a n k s . . . . Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit ... Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $60, 069.76 24. 98 12,500.00 • 717.23 2,179. 25 F. B. MARTIN, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding . . 2, 458. 72 11,250.00 Dividends unpaid 1, 780. 33 1, 039. 92 3, 672. 27 1. 40 60. 2. 1,130. 2, 000. 00 1)7 00 00 Indi vidual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks ., Due to State banks and bankers .. Notes and bills re-discounted Bills payable 16, 654. 60 5, 377. 35 562. 50 Total. 85, 740. 67 85, 740. 67 First National Bank, Union City. T. J . EDWARDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks'. Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Troas. U. S. Due from Treasurer U. S Total. N o . 3919. $100, 922. 82 11,313.70 12, 500. 00 6, 813. 5ft 1, 244. 27 250. 34 6,122. 51 879. 48 937. 50 251. 44 286. 00 170. 65 4, 561. 75 7, 578. 00 F. O. V ATTS, Cashier. V Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000. U0 662. 03 2, 907. 40 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disb ursing officers Due to other national banks Duo to State banks and bankers ... Notes and bills re-discounted Bills payable 85, 604. 62 4, 000. 00 562. 50 154, 424. 0o Total. 154, 424. 05 618 REPORT OF THE COMPTROLLER OP THE CURRENCY. OHIO. First National Bank, Akron. No. 26 THOMAS W. CORNELL, President. WILLIAM MCFAKLIN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits XJ. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andnxtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $362, 068. 41 j Capital stock paid in 1,5:16.63 ' 34,000. 00 ' Surplus fund Undivided profits $100, 000. 00 1], 000. 00 16, 224. 02 National-bank notes outstanding.. 2, 453. 95 ! State-bank notes outstanding 5, 686. 53 Dividends unpaid 8, 500. 00 Individual deposits 4, 08L 28 United States deposits Deposits of U.S.disbursing officers. 4, 078. 08 Due to other national bunks 6, 428. 00 Due to State banks and bankers . . 110. 53 17,10;i, 00 ' Notes and bills re-discounted . 25,000.00 ! Bills payable ' 1, 530. 00 472, 585. 41 Total . 28, 950. 00 {17.00 294, 413. 34 21, 581.05 472,585.41 Second National Bank, Akron. No. 2716. J. H. PENDLETON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furuiture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, uickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $633,911.59 3, 96 2. 33 50, 000. 00 48,751 06 27, 392. 58 GEO. T. PKKKINS, Cashier. $275, 000. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 27, 500. 00 10, 532. 95 45, 000. CO Dividends unpaid. 2, 750. 00 10. 000. 00 6, 093. 43 Tnrlivirlual deposits United Status deposits Deposits of U. S. disbursing officers - 481, 057. 95 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills pa^ able 2, 585. 30 7, 729. 42 "3," 560." 77' 15, 920. 00 91.46 4,712.50 40, 000. 00 2, 250. 00 849,405.62 849, 405. 62 Total . City National Bank, Akron. JOHN B. WOODS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2946. Capital stock paid in $421, 023.26 22. 70 150, 000.00 45,184. 31 6, 183. 74 431.47 1, 000.00 A. N. SANFORD, Cashier. Surplus fund Undivided x>rolits National-bank notes outstanding State-bank notes outstanding 32, 000. 00 9, 238. 23 135, 000.00 Dividends unpaid Individual deposits " 5,316.76 $200, 000. 00 United States deposits Deposits of U.S. disbursing officers. 312, 833. 21 135. 75 Duo toother national banks Due to State banks and bankers .. 10, 350. 00 ! Notes and bills re-discounted . 42, 000. 00 Bills payable 946. 00 113. 23 256.94 128. 84 6,750.00 I 689,457.22 r Total. 689, 457. 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. 619 OHIO. First National Bank, Alliance. RICHARD W. TEETEKS, President W. M. REED, Cashier. No. 3721. Resources. Liabilities. Loans and discounts j Overdrafts J U. S. bonds to secure circulation... • IT. S. bonds to secure deposits \ U. S. bonds on band .. ; Stocks, securities, judgments, etc .. j Dui' from approvedreservo agents. I Due from other uational banks i Duo from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums ou U. S bonds Checks and ot her cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal tender notes U. S. certi Hcates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S — $L60,5G6.13 1, Oil. 30 25, 000. 00 13, 883. 83 104.84 3,274.34 3, 00b*. 83 * 2, 784. 98 1, 900. 25 152. 91 "*7," 514.' 00 69.34 5,718.75 2,000.00 Capital stock paid in $100,000.00 3, 000.00 7, 311. 56 National-bank notes outstanding . State-bank notes outstanding 22, 500.00 30.00 Dividends unpaid Individual deposits United Staios deposits Deposits of U.S. disbiirsingofficers. 92, 726. 43 D u e to other national b a n k s Due to State banks and b a n k e r s . . 2, 580. 51 Notes and bills re-discounted. Bills payable 1,125.00 Total . 228,148. 50 Total , i Surplus fund Undivided profits 228,148. 50 First National Bank, Ashland. No. 183. J. O. JENNINGS, President. J o s . PATTERSON, Cashier. Loans and discounts j $129, 711.80 ji Capital stock paid in Overdrafts 1... Uf S. bonds to secure circulation. .J """i5,"666."oo"" Surplus fund U S. bonds to secure deposits '... Undivided pro tits U. S. bonds on hand !... 20, 875. 00 National-bank notes outstanding.. Stocks, securities, judgments, etc .. j 66, 698.16 State-bank notes outstanding Due from approved reservo agents j 28, 756. 43 Duo from other national banks 2, 098. 75 Dividends unpaid Due from State banks and bankers. 25, 000.00 Bank g-hou3e,fnrniture,andnxtures Other veal estate and mortg's owned . Individual deposits Current expenses and taxes paid... "2,664*88* United States deposits Premiums on U. S. bonds Deposits of U.S. disbursing officers. "2,"l5L20" Checks and other cash items Exchanges for clearing-house Due to other national banks 3,059.00 Due to State banks and bankers . Bills of other national banks 100. 55 Fractional currency, nickels, couts 7, 922.00 Notes and bills re-discounted., Specie 24, 730. 00 Bills payable Legal-tender notes U S. certificates of deposit 675. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S 709.15 330,151. 92 Total. Total. $50, 000.00 16, 000. 00 8, 535. 01 13, 500.00 241,043. 67 1, 073.24 330,151. 92 Ashtabula National Bank, Ashtabula. P . F. GOOD, President. ! Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgment?, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2031. J. SUM. BLYTII, Cashier. $172,922.49 |! Capital stock paid in 1,800.00 ij 76,500.00 ! Surplus fund , jj Undivided profits .............. 5, 240. 00 National-bank notes o u t s t a n d i n g . . 52, 795.63 State-bank notes o u t s t a n d i n g . . . . . 23,175. 74 1, 891. 64 Dividends unpaid. 5, 958. 9.8 193.31 Individual deposits 2, 827. 55 United States deposits 3, 227. 71 3, 816. 00 56.21 4, 273.02 7,000. 00 DepositsofU..S.disbursingoffieors. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payablo $80, 000.00 29,000.00 10, 539. 99 68, 850.00 79.00 166,772. 09 6,564.56 3,315.14 3, 442.50 365,120.78 jj Total . 365,120 78 fi20 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Farmers' National Bank, Ashtabula. N o . 975. H. E. PARSONS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on band Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total A. F. HUBBAKD, Cashier. Liabilities. $312,480.07 2,113.41 150, 000.00 400. 00 3,997.06 62, 864.17 18,424.90 11,087.34 4, 500. 00 Capital stock paid in $150,000. 00 Surplus fund Undivided profits 30, 000. 00 41,000.42 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid -. - Individual deposits T. 5* 295.'55* United St:it(\s deposits Deposits of U.S. disbursing officers 1,695. 43 Due to other national banks 18, 458. 00 Due to State banks and bankers 13,380. 94 10, 000. 00 135, 000. 00 249,319. 53 13, 776.29 Notes and bills re-discounted Bills pn vablo . 6, 399.37 Total 619, 096.24 619,096. 24 First National Bank, Athens. A. NORTON, President. N o . 233. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Duo from other national banks ... Duo from State banks and bankers. Ban k'g-houso, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $165, 869.18 919. 09 12, 500. 00 1,425.00 16, 325. 49 0, 943. 48 188.03 15, 800. 00 5, 400. 00 2, 594. 82 1, 259.13 2, 285. 00 6,150.98 19, 710.00 D. H. MOOEE, Cashier. Capital stock paid in . $50, 000. 00 Surplus fund Undivided profits. 15, 000. 00 4, 741. 27 National-bank notes outstanding State-bank notes outstanding... 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 170, G16.65 Due to other natioual banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 4,850. 78 1, 468.00 562.50 257, 932.70 Total . 257,932.70 First National Bank, Barnesville. A. GARRETSON, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from otner national banks Due from State banks and bankers. Baukrg-houso, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 911. G. E. BKADFIELD, Cashier. $453,879. 33 jl Capital stock paid i n . 1, 810. 60 50.000.00 Surplus fund 86, 484.05 13,121.88 3, 275.63 4,810. 65 2, 600. 00 3, 654. 28 Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid.. Individual deposits United States deposits Deposits of U. S. disbursing officers $100,000. CO 50,000.00 11,890.43 45, 000. 00 415. 00 450, 7GG. 51 1, 650.10 510. 00 85.00 7, 300.00 44, 600. 00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 8, 50!>. 85 8, 237. 90 1, 034. 26 674, 815.78 Total. 074, 815. 78 REPORT OF THE COMPTROLLER OF THE CURRENCY. 621 OHIO. People's National Bank, Barnesville. J. S. ELY, President. A. E. DENT, Cashier, N o . 2908. Liabilities. Resources. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie .Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S - $191,804.12 2, 650. 00 12, 500. 00 1 V 000.00 6, 925.08 1, 501. 27 124. 98 10, 300. 00 1, 572. 89 1, 246. 88 184.71 600. 00 69. 18 1,517.25 19, 041. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits. 9, 000. 00 • 3,601.38 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 39.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers- 177,132.02 Due to other national banks Due to State banks and bankers .. 577. 46 Notes and bills re-discounted Bills payable 562. 50 Total . 251, 599. 8 > < Total . 11, 250.00 251, 599. 86 First National Bank, Batavia. No. 715. M. JAMIESON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate andraortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Diie from Treasurer U. S Total . $135,771.71 30. 29 80, 000. 00 6, 500. 00 32, 383. 94 9, 851. 22 J. F. DIAL, Cashier. Capital stock paid in. $80, 000. 00 Surplus fund Undivided profits _. _ National-bank notes outstanding -. State-bank notes outstanding . . Dividends unpaid. 5, 000. 00 1,111.00 575. 30 16, 000. 00 1,785,46 72, 000. 00 100. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 120, 305. 23 347. 70 1, 000.00 35. 53 5, 484. 00 8, 500. 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 3, 600.00 290, 190.69 Total . 290,190. C9 First National Bank, Batesville. W. H. ATKINSON, President. Loans and discounts OverdraftsU. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house,furniture,and fixtures Other real estate and moitg'sowned Current expenses and taxes paid.. Premiums on U. S. bonds , Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. W. W. ELLIOTT, Cashier. N o . 2219. $77, 969. 83 5.87 15, 000. 00 173. T,8 2, 629. 04 234.91 4,100. 00 1, 344. 50 782. 05 2, 890. 00 22. 22 Capital stock paid in. Surplus fund Undivided profits $60,000. 00 , 5, 325. 00 1, 315.15 National-bank notes outstanding.. State-bank notes outstanding 13, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursingoracers. Due to other national bauks 595. 00 Due to State banks and bankers . . 1.92 | 303.55 !j Notes and bills re-discounted 3,000.00 Bills pay able 66.00 27, 775.61 245. 71 1, 500. 00 675. 00 109,727.47 Total . 109, 727.47 622 KEPOliT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Bellaire. No. 1944. J . T. MBRCEH, President. A. P. TALLMAN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc . Due from approved reserve agents. Due from other national bauks Due from State banks and bankers. Bauk'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $379, 463. 07 1, 146. 38 50, 000. 00 109, 820. 00 82, 969. 68 13,039. 13 2, 895. 06 24,013.39 377. 01) 4, 445.67 13,445 31 9,281). 06 Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 40, 000. 00 15,117. 67 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of TJ.S. disbursing officers. Due .to other national banks 10, 700. 00 Due to State banks and bankers .. 88. 62 5, 700. 00 Notes and bills re-discounted . 35,000. 00 Bills payable.: 419, 397. 20 5, 957. 04 19,161. 55 2, 250. 00 744, 633.46 Total. 744, 633. 46 Bellefontaine National Bank, Belle fontaine. "W. LAWRENCE, President N o . 1784. Loans and discounts O verdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furnituro,aiid fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas.*U. S. Due from Treasurer TJ. S Total. J A S . LEISTER, Cashier. $100, 000. 00 $129, 409.46 [ Capital stock paid i n . . 2, 550. 65 50, 000. 00 Surplus fund 36, 900. 00 20, 034. 34 5, 300. 00 2, 500. 00 2, 320. 57 13, 905.51 20, 450. 00 25. 76 5, 585. 00 20, 000. 00 Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Ind ividual deposits United States deposits Deposits of TJ. S. disbursing o fficors. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 21,000.00 8, 516. 42 45, 000. 00 130, 591. 78 2, 469. 72 3, 683. 37 2, 250. 00 311, 261.29 Total. 311,261.29 People's National Bank, Bellefontaine. ROBERT LAMB, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie '. Legal-tender notes TJ. o. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total . R. B. KKLLEK, Cashier. No. 2480. $100, 000. 00 Capital stock paid in Surplus fund 20, 000. 00 25, 099. 89 Undivided profits National-bank notes outstanding.. 38,400. 00 45, 000. 00 12, 837. 45 State-bank notes outstanding 1267, 872. 78 7, 828. 23 50, 000. 00 2, 260. 70 818.44 2, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks 5, 051.00 Due to State banks and bankers 185. 60 8,841.60 i! Notes and bills re-discounted . 25, 000. 00 , Bills payable .. 233, 235. 55 2, 661. 30 8, 436. 80 2, 250. 00 434,433.54 i Total. 431,433.04 REPORT OF THE COMPTROLLER OF THE CURRENCY. 623 OHIO. First National Bank, Bellevue. No. 2302. G. E. POMEROT, President. OS WOODWARD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents Duo from other national ban Us Duo from State banks and bankers Bank'g-houso, furniture, and fixtures' Other real estate and mortg's owned Current expenses and taxes paid. Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. 3. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer IT. S "'$131, 230.28 Capital stock paid in. " l 2 , * 5 6 6 " 55" Surplus fund Undivided profits 8, 000.00 2, 794. 30 National-bank notes outstanding-. State-bank notes outstanding 3, 000. 00 9, 968.19 12, 975. 35 11,250.00 Dividends unpaid 1, GOO. 00 Individual deposits United States deposits DepositsofU.S. disbursing officers. "i* 104,'88 2, 375. 00 810. 87 123,718.91 Due to other national banks Due to State banks and bankers . 1, 535.00 18.04 582. 50 17, 500. 00 Notes and bills re-discounted. Bills payable 562. 50 195,703.21 Total. $50, 000.00 195, 763.21 Total. First National Bank, Bowling Green. No. 4045. H. H. CLOUGH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from otnor national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures! Other real cstatoand mortg's owned; Current expenses and taxes paid... I Premiums on U. S. bonds. 1 Checks and other cash items ' Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Tceas. U. S.i Due from Treasurer U. S : $34, 398.45 2.00 12, 500. 00 $45, 000. 00 Surplus fund Undivided profits 1,295.57 National-bank notes outstanding-. 7, 073. 75 State-bank notes outstanding 21,401.59 176. 88 Dividends unpaid 9, 719. 76 Individual deposits 671. 68 United States deposits 3, 703.13 Deposits of U. S. disb ursing officers. 227. 07 Due to other national banks 4, 727. 00 Due to State banks and bankers . 82.65 589. 25 Notes and bills re-discounted . 8, 000.00 Bills payable 11,250.00 40, 290.14 562. 50 103, 835. 71 Total. D. B. BEERS, Cashier. Capital stock paid in. Total. 103, 835.71 First National Bank, Bridgeport. W. W. HOLLOWAY, President. Loans and discounts .j Overdrafts | U. S. bonds to secure circulation... j TJ. S. bonds to secure deposits ; U. S. bondson hand | Stocks, securities, judgments, etc .. | Due from approved reserve agents. I Due from other national banks j Duo from State banks and bankers j Bank'g-house, furniture, andfixturesi Other real estate and mortg's owned1 Current expenses and taxes paid.. -1 Premiums on U. S. bonds ' Checks and other cash items I Exchanges for clearing-house 1 Bills of other nat ional banks j Fractional currency, nickels, cents . Specie Legal-tendeivuotes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 214. J . J. HOLLOWAY, Cashier. !350, 5t3. 98 I Capital stock paid in. 1,800. 00 50, 000. 00 Surplus fund ! Undivided profits 48, 000. 00 51, 893. 82 3, 535. 08 12, 853. 88 10, 075. 00 10,464.31 2, 518. 99 National-bank notes outstanding.. I State-bank notes outstanding $200, 000. 00 40, 000. 00 22, 018. 60 45,000.00 I Dividends unpaid I Individual deposits United States deposits . || Deposits of U. S. disbursing officers. \T-> ft" I! 1,573.05 l| i Due to other national banks 1, 605. 00 Due to State banks and bankers . . 102. 92 5, 613. 50 j Notes and bills re-discounted . 12,124.00 ; Bills payable 249, 224.08 5, 866.10 17, 845. 95 2,250.00 p 579, 954. 73 Total. 579, 954.73 624 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Bryan. No. 237. A. J . TUEKBLKR, President. D. C. BAXTER, Cashier. Resources. Liabilities. Loans and discounts i Overdrafts j U. S. bonds to secure circulation... | U. S. bonds to secure deposits j IT. S. bonds on hand ! Stocks, securities, judgments, etc ..j Duo from approved reserve agents, j Due from other national banks ! Duo from State banks and bankers. i Bank'£-hoiiso,farniture l anclfixture«| Other real estate and raortg's owned! Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. IT. S Due from Treasurer U. S $200,302. G7 4, 636.08 15, 000.00 • 5,038.19 12, 798. 55 • 7,000.00 960. 29 300.00 33. 93 18,700.00 2, 000. 00 21, 000. 00 15, 884. 67 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 13, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing offi c ers 156,740.76 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 319. 28 675.00 267, 444.71 Total. $60, 000.00 Capital stock paid in. 267,444. 71 Total. Farmers' National Bank, Bryan. ELMOHE Y. MORROW, President. $50, 000. 00 Capital stock paid in Surplus fund Undivided profits 11, 000.00 1, 359.31 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 123, 280. 77 Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 200,644. 76 Total. M. Y. GrARVER, Cashier. No. 2474. ; Loans and discounts $152, 089. 42 Overdrafts j 2,174.41 U. S. bonds to secure circulation ...\ 12,500.00 U. S. bonds to secure deposits j U. S. bonds on hand ! Stocks, securities, judgments, etc .. Duo from approved reserve agents 9,633.2t Due from other national banks 5, 979.61 Duo from State banks and bankers 351. 38 Bank'g-ho use, furniture, and fixture? 4, 950. 00 Other real estate andmortg's owned; C arrant expenses and taxes paid... j 1, 336 56 Premiums on U. S. bonds ' Checks and other cash items | 4. 05 Exchanges for clearing-house 4, 060. 00 Bills of other national banks 39. J 9 Fractional currency, nickels, cents . 3,961.40 Specie ". 3, 000. 00 Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S . 562.50 Due from Treasurer U. S 3,754.68 200, 644. 76 Total. First National Bank, Bucyrus. J . B. GORMLEY, President. Loans and discounts Overdrafts \ IJ. S. bonds to secure circulation... : U. S. bond s to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-1 ouso,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxe3 paid... | Premiums on U. S. bonds [ Checks and other cash items Exchanges for clearing-house ; Bills of other national banks ; Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 443. G-. C. G O R M L E Y , $187,587.11 j j Capital stock paid in. 485. 70 25, 000.00 | Surplus fund Undivided profits. National-banknotes outstanding.. 40, 361.42 State-bank notes outstanding 10,127.70 7,157. C5 Dividends unpaid 14, 000. 00 7, 650.00 j Individual deposits 1,198. 00 | United States deposits 5, 000. 00 j Deposits of U. S. disbursing officers. 5, 767.42 I Due to other national banks 478. 00 Due to State banks and bankers . . Cashier. $100,000. CO 20, 000. CO 2, 994. 00 22, 500. 00 201. 671.92 147.11 29, 375.00 I Notes and bills re-discounted . 12, 000. 00 Bil 1 s payable 1,125.00 I 347,313.03 i! Total. 347, 313. 03 EEPORT OP THE COMPTROLLER OF THE CURRENCY. 625 OHIO. Second National Bank, Bucyrus. M. J . MONNKTT, No. 3274. President. J . C. F . H U L L , Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie | Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S. | Due from Treasurer U. S j J Total. Cashier. Liabilities. $147, 244. 34 236. 63 12, 500. 00 10, 758.72 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits ; National-bank notes outstanding.. State-bank notes outstanding 808.47 j: Dividends unpaid 15, 000.00 Individual deposits j 799. 45 United States deposits j 2, 450. 00 Deposits of U. S. disbursing officers 892. 24 Due to other national banks . ! 25, (360. 00 Due to State banks and bankers... \ 21. 22 300*. 00 Notes and bills re-discounted j 15,000.00 Bills payable : 50, 000. 00 2, 658.02 11, 250.00 109, 334.16 7, 949.39 1,100.00 562. 50 232,291.57 232, 291. 57 Total . First National Bank, Cadiz. D . B. W E L C H , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current exiienses and taxes paid... Premiums on U. S. bonus Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents.! Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. I. C. MOORE, Cashier. No. 100. $522, 054. 29 Capital stock paid in J $120, 000.00 392. 07 120, 000.00 Surplus fund j 31,200.00 ! Undivided profits H, 923. 35 National-bank notes outstanding.. j 106, 070. 00 State-bank notes outstanding \ Dividends unpaid ! Individual deposits | United States deposits \ Deposits of U.S. disbursing officers J 155. 79 26, 592. 50 25, 997. 00 • Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 439, 431.34 3, 874. 5'2 61.27 5, 400. 00 715, 560.48 Total. 715,560.48 I Farmers and Mechanics' National Bank, Cadiz. M. J . BROWN, President. No. 2444. Loans and discounts Overdrafts XT. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items ^Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S 40 C. O. F . BKOWN, Cashier. Capital stock paid i n . Surplus fund I XJndivided profits 1, 085.18 National-bank notes outstanding..! 38, 639. 75 State-bank notes outstanding 3, 296. 69 1,987.75 147.29 4, 020. 00 57.92 20, 700. 00 20, 000.00 $50, 000.00 18, 500.00 3,239.17 45, 000.00 Dividends unpaid Individual deposits 572.45 United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 205, 770. 71 H93. 91 8, 062. 95 2, 250. 00 900. 00 391,466. 74 Total. H.Ex.3 $247, 207. 92 601.79 50, 000. 00 Total. 391,466.74 626 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Harrison National Bank, Cadiz. D. CUNNINGHAM, President. No. 1447. J . M. SHARON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc. .j Due from approved reserve agents, i Due from other national banks | Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and inortg's owned Current expenses and taxes paid... j Premiums on U. S. bonds j Chocks and other cash items j Exchanges for clearing-house j Bills of other national banks i Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer IT. S Liabilities. $963, 642.44 Capital stock paid in. 252. 20 100, 000. 00 Surplus fund Undivided profits 3,255.11 10, 900. 17 6,172. 68 2,180.96 3, 809. 84 97, 000. 00 12,138. 50 National-bank notes outstanding.. State-bank notes outstanding 89, 060. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 908, 665. 94 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable , 3, 959.00 13, 815. 40 "3,"824*42" 820. 00 150.02 65, 63 L. 00 59, 500. 00 4, 500. 00 1, 224, 638.84 Total. $100,000.00 Total 1,224,638.84 Noble County National Bank, Caldwell. WILLIAM H. FRAZIER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,aiid fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 2102. $124, 368. 05 49. 39 60,000.00 4, 750. 00 34, 337.08 1, 595. 31 427.04 4, 000.00 904.56 "io'66 5,125. 00 72.46 7, 028. 95 12, 035. 00 Surplus fund Undivided profits. $60, 000.00 9, 000. 00 8, 681. 80 National-bank notes outstanding.. State-bank notes outstanding 54, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 125, 424.51 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 1, 056.53 2, 700. 00 760.00 258,162.84 Total. G. W. TAYLOK, Cashier. Capital stock paid in. Total. 258,162.84 Central National Bank, Cambridge. A. J . HUTCHISON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fond \rith Treas. TJ. S. Due from Treasurer XJ. S Total. No. 2872. $125, 067. 02 1, 362. 25 25, 000. 00 9, 900.00 13,782. 73 3, 386.90 243. 36 3,845.78 2,093.23 2, 500. 00 3,795.91 14,500.00 91.84 19,200.00 20,000.00 W. S. MCCARTNEY, Cashier. Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 8, 500. 00 3, 945. 76 22,500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. 105, 508. 25 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 3,212.57 2,877.44 1,125.00 950.00 244,644.02 Total. 246,5a. 02 REPORT OF THE COMPTROLLER OF THE CURRENCY. 62T OHIO. Guernsey National Bank, Cambridge. J. D. TAYLOR, President. No. 1942 A. A. TAYLOR, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estato andruortg's owned Current expenses and taxes paid. - Premiums on 17. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total. $101, 027. 71 1,177. 56 50, 000. 00 9, 877. 85 4,103. 36 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits. 16, 300. 00 3,453.96 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid 15, 800. 00 5, 845. 60 Individual deposits 2. 433. 24 United States deposits 2; 600, 00 Deposits of U. S. disbursing officers. 673. 8 L Due to other national banks 5, 565.00 Due to State banks and bankers .. 83.15 666. 00 Notes and bills re-discounted. 6, 032. 00 Bills payable 50.00 43, 009.19 322.19 2, 250. 00 Total. 208,135. 34 208,135.34 Old National Bank, Cambridge. No. 2861. S. J . MCMAHON, President. Loans and discounts | Overdrafts | U. S. bonds to secure circulation... j U. S. bonds to secure deposits ! U. S. bonds on hand Stocks, securities, judgments, etc ..1 Due from approved reserve agents | Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned j Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U . s . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $158, 043.44 3,78L 14 30, 000. 00 8,179.13 48, 056. 75 1, 470. 05 "V, 500.66 A. R. MURRAY, Cashier. Capital stock paid in Surplus fund Undivided profits 10, 500. 00 5, 610. 61 j National-bank notes outstanding. i State-bank notes outstanding (399. 09 27, 000.00 • Dividends unpaid ! Individual deposits ""i," 562." 79 1 United States deposits 1 Deposits of U.S. disbursing officers. 5,751.00 .69 25, 009. 00 18, 000. 00 $100,000.00 Due to other national banks Due to State banks and bankers . . 155, 055.60 8,131.63 105.24 Notes and bills re-discounted Bills payable 1, 350. 00 Total 306,403.08 306,403.08 Farmers' National Bank, Canfield. ALEXANDER DICKSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve, agents. Due from other national banks Dae from State banks and bankersBank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Pramiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 3654. $104, 676. 82 " 12,'500. 66 9, 784.18 4, 785.68 W. A. MANCHESTER, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $50,000.00 3,000.00 4,202.81 11, 250. 00 40.00 3," 394.66 1, 869.13 700.00 88. 75 4, 400. 00 38.31 4, 227.05 8, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 16, 534.27 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562. 50 155,027.08 Total. 155,027.08 628 KEPORT OF THE COMPTROLLER OF THE CURRENCY. O II I O . First National Bank, Canton. !No. 76. G. D. KARTER, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total. L. L. MILLER, Cashier. Liabilities. $180,338.11 i Capital stock paid in $100, 000. 00 2,087.80 '<•• 50,000.00 i Surplus fund ' Undivided profits | 500.00 . National-bank notes outstanding.. • 80.973.70 State-bank notes outstanding 94, 808.72 • 839.31 I Dividends unpaid 31,900.12 I 3,855.50 ! Individual deposits , 1,688-71 ! United States deposits deposits united ; 7,498.00 ' 1,397.52 Deposits of U.S. disbursingoflicei's. Due to other national banks | 13,084.00 I Due to State banks and bankers . . i 846.00 ' 4, 519. 20 | Notes and bills re-discounted. 23,000.00 j Bills payable 20, 000. 00 23, 470. 49 44, 500. 00 290, 567. 50 22,093.16 13. 50 2,250.00 j 397.90 I 500,644.65 | Total. 500, 644. 65 City National Bank, Canton. "W. W. CLARK, President. ]S T o. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of derm-it Redemption fund with Treas. U. S. Due from Treasurer U. S Total. HENRY A. WISE, Cashier. 2489. $301,946.13 ij Capital stock paid in. 2,639.82 I! 50,000.00 | Surplus fund j Undivided profits National-bank notes outstanding.. State-bank notes outstanding 4, 525. 76 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Duo to other national banks Duo to State banks and bankers .. Notes and bills re-discounted . Bills payable $200, 000. 00 20, 000. 00 8, 902. 96 44,160. 00 93.00 246, 060. 05 10,171.51 2, 540.00 1,080,00 ; 531,927.52 |j Total. 531, 927. 52 First National Bank, Cardiligton. F. P. HILLS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondson hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes x>aid... Premiums on XJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes 17. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 127. E. J. VAUGIIAN, Cashier. $100, 000.00 Capital stock paid in. 20, 000. 00 Surplus fund 3,131.51 Undivided profits ,. 994. 62 National-bank notes outstanding.. 22, 500.00 17,166.88 State-bank notes outstanding 5147, 767.10 658. 31 25, 000. 00 1, 6 !2. 02 708.15 9, 972.93 3,452.10 1, 953. 75 4, 250. 00 50. 57 725. 00 3, 625. 4, 500. 1, 125. 050. 50 00 00 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 77, 387, 84 Due to other national banks Duo to State banks and bankers . . 1,274.70 Notes and bills re-discounted. Bills payable , Total. 224, 294.05 REPORT OF THE COMPTROLLER OF THIS CURRENCY. 629 O at 1 o . Centreville National Bank of Thurman, Centreville. LUTHEII M. BEMAN, President. No. 2181. M. .K. BEMAX, Cashier, Liabilities. Resources. Loans and discounts I Overdrafts | U. S. bonds to secure circulation...| U. S. bonds to secure deposits ; U. S. bonds on hand . Stocks, securities, judgments, etc .. Due from approved reserve agents., Due from other national banks 1 Due from State banks and bankers. • Bank'g-house,furniture, and fixtures! Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house i Bills of other national banks | Fractional currency, nickels, cents.' Specie j Legal-tender notes j U. S. certificates of deposit \ Kedemption fund with Treas. IT. S . j Dae from Treasurer U. S j $03, 220. (52 15. 76 40. Duo. i;0 -I 147,212.97 Total. Capital stock paid in $50, 000.00 4, 479. 89 4, 243.20 Surplus hind hurplus fund Undivided pn •ofits 11, 138.00 National-bank notes outstanding.. 18, Oh;. 26 State-bank notes outstanding 1,'_'»:!. 7J) :•{, 82s>. 72 Dividends unpaid 36, 450. 00 Individual d posits. United States deposits Deposits of IT. S.disbursingomcers. Duo to other national banks Due to State banks and bankers.. 51, 942. 35 Iti. 50 4, 'Jl'U. 00 150. 00 ii>. 82 3, Ooo. 00 17.53 Notes and bills re-discounted.. Bills payable 1, 822. 50 Total . 147, 212.97 First National Bank, Chillicothe. A M O S SMITH, No. 128. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Troas. U. S. Due from Treasurer U. S Total.. $504, 137.85 965. 2'J 300, 000. 00 220, 000.00 08, 1)50. 00 114, 514. 84 10(5, 551.98 j 702.14 8()3. (50 000,00 000.33 ! 011. 28 (545. 32 081.08 n, EDVV. R. M C K E E , Capital stock paid i n . Cashier. $300, 000. 00 Surplus fund Undivided profits 60. 000. 00 (53, 3G2. 92 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 270, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks 5, 355. 00 Due to State banks and bankers .. 169. 3(5 20, 080. 00 Notes and bills re-discounted . 38, 208. 00 Bills payable 470, 429.16 239,861.00 2,185.11 13, 903. 72 28, 684.07 13,500.00 ;| 1,448,425.98 j; Total. 1, 448, 425. £ Central National Bank, Chillicothe. T H O M A S G. M C K E L L , President. L o a n s and discounts Overdrafts U . S. bonds to secure c i r c u l a t i o n . . . U . S. bonds to secure deposits U . S. bonds on hand Stocks, securities, j u d g m e n t s , e t c . . D u e from approved reserve a g e n t s . D u e from o t h e r national b a n k s D u e from State b a n k s and b a n k e r s . I Bank'g-house,furniture,and fixtures! Other real estate and mortg's owned j C u r r e n t expenses and taxes p a i d . . . P r e m i u m s on U. S. bonds Checks a n d other cash items : E x c h a n g e s for clearing-house Bills of other national b a n k s j F r a c t i o n a l currency, nickels, c e n t s , j Specie '. Legal-tender notes I U . S. certificates of deposit J Redemption fund w i t h Treas. U . S. j Due from T r e a s u r e r U . S Total. No. 2993. T I I E O . SPKTNAGKL, Cashier. $313,117.30 ! Capital stock paid i n . 261.17 || 100, 000. 00 Surplus fund Undivided profits . 20, 350. 00 72,266.19 National-bank notes outstanding.. 74, 812. 07 State-bank notes outstanding . . . . . 1,585.10 4,150. 02 Dividends unpaid 5, 500. 00 $100,000. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 386, 222. 79 Due to othernational backs Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 7,688.62 15, 354. 50 4. 342. 00 3, 848.00 409. 51 543.00 130. 41 22, 482. (JO 14, 235. 00 35, 000. 00 14,278.52 90, 000. 00 4, 500. 00 648, 544.43 Total. 648,544.43 630 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Ross County National Bank, Chillicothe. W. POLAND, President. No. 1172. JNO. TOMLINSON, Cashier, Resources. Loams and discounts Overdrafts TJ. S. bonds to secure circulatioc U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgment?, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $385, 972. 51 1, 239.40 150, 000.00 100, 000. 00 33,250.00 50, 830. 00 89, 995. 92 18, 777.14 5, 316. 67 4, 623.14 15,141. 40 2, 910. 83 3. 545. 00 480. 72 19, 453. 35 18, 000.00 Capital stock paid in $150, 000. 00 75, 000. 00 18, 200.93 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 133, 540.00 688. CO Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingolIicers Due to other national banks Due to State banks and bankers .. 412, 715.38 110, 000. 00 1, 791. 92 4, 355. 85 Notes and bills re-discounted. Bills payable 6, 750.00 906, 292. 08 Total. 906, 292. 08 First National Bank, Cincinnati. Ii. B. HARRISON, President. No. 24. THEODORE STAHWOOD, Cashier. Loans and discounts $3, 423,764. 88 Capital stock paid in $1,200,000.00 258. 74 Overdrafts 240, 000.00 Surplus fund 240, 000.00 U. S. bonds to secure circulation... 1, 000,000. 00 Undivided profits 300,146. 21 U. S. bonds to secure deposits 290, 850.00 U. S. bonds on hand 520, 6^1. 58 National-bank notes outstanding.. Stocks, securities,judgments, etc.. 193, 730. 00 524, 306.13 State-bank notes outstanding Dne from approved reserve agents. 182, 649. 08 Due from other national banks 229, 484.16 Dividends unpaid Due from State banks and bankers. 1, 321. 00 191, 013.15 Bank'g-honse,furniture,and fixtures; Other real estate and mortg's owned 2, 111, 026,98 12, 052.82 Individual deposits Current expenses and taxes paid... 1, 073, 514.15 18, 512.75 United States deposits Premiums on U. S. bonds 50, 000. 00 Depositsof U.S.disbursingolncers. Checks and other cash items 26, 032. 61 Exchanges for clearing-house 1, 928,147. 41 44, 967. 71 Due to other national banks Bills of other national banks 410, 035.19 45, 000. 00 Due to State banks and bankers.. 50. 33 Fractional currency, nickels, cents. 198, 918.00 Notes and bills re-discounted Specie 397, 089. 00 Bills payable Legal-tender notes 400, 000. 00 U. S. bond account 350, 000. 00 TJ. S. certificates of deposit 10, 600. 00 Redemption fund with Treas. U. S . Due from Treasurer U. S Total. 7, 807, 920. 94 Total.- 7, 807, 920.94 Second National Bank, Cincinnati. CHARLES DAVIS, President. Total. TV. S. EOWE, Cashier. No. 2664. Loans and discounts $1, 099, 767.41 Overdrafts... > 502. 97 TJ. S. bonds to secure circulation... 50, 000. 00 IT. S. bonds to secure deposits TJ. S. bonds on hand 100. 00 Stocks, securities, judgments, e t c . 13,635.15 Duefrom approved reserve agents. 54, 294. 77 Due from other national banks 60, 079.17 Due from State banks and bankers. 13, 918.89 Bank'g-house.furniture, and fixtures 30, 000. 00 Other real estate and mortg's owned 60, 000. 00 Current expenses and taxes paid... 12, 440. 92 Premiums on U. S. bonds 13, 026. 00 Checks and other cash items 1,470.26 Exchanges for clearing-house 28, 490. 25 Bills of other national banks 4, 396.00 Fractional currency, nickels, cents. 160. 34 Specie 71, 900. 00 Legal-tender notes 187,300.00 TJ. S. certificates of deposit Redemption fund with Treas. U. S2, 250. 00 Due from Treasurer U. S 1, 703, 732.13 Capital stock paid in . Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $200, 000.00 125, 000.00 12, 574. 40 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits ofU.S.disbursing officers. 1,128, 802.47 Due to other national banks Due to State banks and bankers.. 157,873.61 34, 481. 65 Notes and bills re-discounted. Bills payable Total. 1, 703, 732.13 REPORT OF THE COMPTROLLER OF THE CURRENCY. 631 OHIO. Third National Bank, Cincinnati. W. A. LEMMON, Cashier. No. 2730. J. D. HBAKNE, President. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dtue from State banks and bankers. Bank'g-hous6,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $3,239,685.77 34.91 50, 000. 00 1, 000,000.00 200. 00 256, 941. 87 418, 264.45 264, 538.28 64, 783. 56 100, 000. 00 9, 675. 62 41, 321. 38 268, 459. 90 35,142. 09 25, 401. 50 75, 244. 00 141. 70 24, 723. 25 300, 000. 00 400, 000.00 2, 250. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $1, 600,000.00 320, 000. 00 146, 454,15 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 1, 934, 267.11 1,100, 000.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable.- 1, 067, 371.12 363, 715. 90 6, 576, 808. 28 6, 576, 808. 28 Total. Fourth National Bank, Cincinnati. M. MORRIS WHITE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents. Due from other national banks. Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 93. H. P. COOKE, Cashier. $500, 000. 00 Capital stock paid in . 250, 000. 00 Surplus fund 34, 993.10 Undivided profits 90, 000. 00 National-bank notes outstanding. State-bank notes outstanding .... $2, 042, 880. 23 1, 913. 28 100, 000. 00 400, 000. 00 2, 900. 00 122, 000.00 369, 921. 40 134, 366. 01 117,870.49 10, 593.85 109. 91 340.56 26, 827. 85 50, 000. 00 200.00 14, 925. 00 130, 000. 00 170, 000.00 4, 500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 3, 699, 348. 58 Total. 320. 00 1,173, 667. 92 440, 000. 00 624,127. 35 586, 240. 21 3, 699, 348. 58 Fifth National Bank, Cincinnati. J. M. XIRTLEY, President. Loansand discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, sec unties, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2798. $718, 294.17 11.45 50, 000.00 29,120.00 8, 910. 21 40, 922.35 42, 634.62 4,484. 27 5, 346.77 4, 377.84 11, 000. 00 20.55 3,479.04 27, 520. 00 83.17 18, 976. 80 76, 000.00 C. A. HIXSCH, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted . Bills payable 5500,000.00 25, 000. 00 17,644.34 45, 000.00 1, 652. 00 318, 393. 86 86,088. 83 49, 652. 21 2, 250. 00 1,043,431.24 Total 1,043,431.24 632 THE COMPTROLLER OF THE CURRENCY. ESP0RT O BI I O . Atlas National Bank, Cincinnati. No. 3639. HENRY MEYER, President. Resources. Loans and discounts ; Overdrafts I U. S. bonds to secure circulation... IT. S. bond s to secure deposits U. S. bonds on hand '. Stocks, securities, judgments, etc..' Due from approved reserve agents. \ Due from other national banks Due from State banks and bankers.; .'Bank'g-house, furniture, a ndiixtures' Other real estate and mortg's owned' Current expenses and taxes jjaid . J. Premiums on U. S. bonds , ; Checks and other cash items j. Exchanges for clearing-house,. Bills of other national banks i fractional currency, nickels, cents, j Specie Legal-tender notes U. S. certificates of deposit \. Redemption fund with. Treas. U. S.. j Due from Treasurer U. S ! $275, 741. 27 Capital stock paid in $200, 0(10. 00 1,580.99 2, 000. 00 3,118.57 50, 000. 00 Surplus fund Undivided profits 1, 038. 30 25,109. 04 36,062.01 5, 349.27 5, (500. 00 12, 233. 87 National-bank notes outstanding. State-bank notes outstanding..'.. 13,143.28 1, 572.87 1, 263.00 31. 80 8, 001. 85 20, 500. 00 45, 000. 00 Dividends unpaid 233. 00 Individual deposits Tinted States deposits , Deposits of U.S. disbursing officers 383,721.31 Due to other national bnnks Due to State banks aud bankers. 852 78 5,051.95 Notes and bills re-discounted. Bills payable 2, 250. 00 500. 00 ~439~977.61 Total. EDWAUD ALBERT, Cashier. Liabilities. 439, 977. 61 Total Citizens' National Bank, Cincinnati. B. S. CUNNINGHAM, President. No. 2495. Loans and discounts j $3, 026, 981. 70 317.34 Overdrafts 50, 000. 00 U. S. bonds to secure circulation . . . ; U. S. bonds to secure deposits ; 1,000,000.00 ! 7, 800. 00 U. S. bonds on hand 749,140.00 Stocks, securities, judgments, etc .. j 631,191.46 Due from approved reserve agents. 222,211.99 Due from other national banks ! 69, G61. 29 Due from State banks and bankers. 113, 000. 00 Bank'g-house,furniture, and fixtures Other real estate and mortg's owned . 34,216.88 Current expenses and taxes paid... 100,234.69 Premiums on U. S. bonds ! Checks and other cash items j. 30, 694.69 Exchanges for clearing-house ' 64, 600. 00 Bills of other national banks i 415. 65 Fractional currency, nickels, cents.' 155, 835. 00 Specie | 349,000.00 Legal-tender notes ; 470, 000. 00 TT. S. certificates of deposit • 2, 250. 00 Redemption fund with Treas. U. S. I Due from Treasurer U . S i. .! $1,000,000.00 Surplus fund Undivided profits .', J 200, 000.00 93, 41 a. 02 National-hank notes outstanding..;! State-bank notes outstanding 45, 000.00 ! Dividends unpaid I Individual deposits i 2, 510, 367. 56 United States deposits ; 1, 040, 000.00 Deposits of U.S.disbursing officers. Due to other national banks \ 1, 575, 317. 25 Due to State banks aud banners.. j 563, 447. 92 Notes and bills re-discounted i Bills payable _. i U. S. boiid account 50, 000. 00 7, 077, 550. 75 Total. G. P. Gmi-'KiTH, Acting Cashier. Capital stock paid in. Total 7,077,550.75 Equitable National Bank, Cincinnati. FRANK H. RENO, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... XJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, andfixturesj Other real estate and mortg's ownedj Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie • Legal-tender notes ! TJ. S. certificates of deposit j Redemption fund with Treas. U. S . j Due from Treasurer U. S ! Total ! No. 3707. J. M. BLAIII, Cashier. $911, 476. 39 i I Capital stock paid in 3,688.24 j 50, 000.00 I Surplus fund Undivided profits 35, 475. 48 50,018.03 2,193.10 * 6," 242." 22" $350, 000. 00 100, 00^. 00 15,197. 74 National-bank notes outstanding.. State-bank notes outstanding 4i, 460. 00 Dividends unpaid Individual deposits United States deposits Depositsof U. S. disbursing offi cers. 525, 679.10 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable , U. S. bond account Total . 61, 852.71 99, 755. 27 50, 000. 00 1,246, 944. 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 633 O 81 B O . German National Bank, Cincinnati. No. 2524. JOHN HAUOK, President. (TEC II. BoLiiiRit, Cashier. Resources. Liabilities. Loans and discounts j $1, C19,110.56 Capital stock paid in • $500, 000»00 ' ! Overdrafts 439. 40 U. S. bonds to secure circulation...' 50, OuO. 00 Surplus fund , 150, 000.00 IT. S. bonds to secure deposits 57,220.98 Undivided profits U. S. bonds on hand i 1, 850. Oo Stocks, securities, judgments, e t c . . 263, 007, 72 National-bank notes outstanding.. 45, 000.00 Dae from approved reserve agents.! 334, 868. 55 State-bank notes outstanding ...... One from other national banks j 206,144. 59 Due from State banks and bankers. J 43, 073.18 1 Dividends unpaid 1 1 Bank g-lHKise,fiirnituro,and fixtures! 2, 250. 00 Other real estate and mortg's owned !! Individual deposits !, 004, 849. 32 Current expenses and taxes paid... • ' 18, 581.9-i 1 United States deposits 1 rremiums on U. S. bonds 49!). 50 1 Deposits of U.S. disbursing officers. 1 Checks and other cash items • 5. 0[)4.10 Exchanges for clearing-house 12, 711.09 Due to other national banks 215, 316. 34 Bills of other national banks 47, 962.00 Due to State banks and bankers... 103,238.98 : Fractional currency, nickels, cents. 744. 99 Specie ' 31, :i72.00 Notes and bills re-discounted. Legal-tender notes 315, 000.00 Bills payable ! U. S. certificates of deposit 120,000. 00 Redemption fund with Treas. U . S . 2, 250.00 Due from Treasurer U. S — Total i Total 3,075,625.62 i ! 3, 075, 625. 62 Market National Bank, Cincinnati. CHARLES FLEISCHMANX, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits II. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. | Due from other national banks Due from State banks and bankers. Bank'g-bouse,furniture,anu fixtures: Other real estate and mortg's owned C urrent expenses and taxes paid... Premiums on U. S. bonds — !j Checks and other cash items Exchanges for clearing-house Bills of other national banks : Fractional currency, nickels, cents . i Specie i Legal-tender notes \ U. S. certificates of deposit. j Redemption fund with Treas .IT. S. Due from Treasurer U. S No. 3612. 821,133. 57 Total. SAM'L. W. KAMI1, Cashier. $558. 597. 76 Capital stock paid in $25C, 000. 00 402.70 50, 000.00 Surplus fund 1, 000.. 00 ! Undivided profits 415. 03 2, 900. 00 , 5, 950.00 i National-bank notes outstanding.. 45, 000. 00 31. 503. 52 I State-bank notes outstanding : 34, 798. 73 11,358.61 ! i Dividends unpaid | 4,979.12 2,055.92 i Individual deposits 516,993.26 : j United States deposits 14,440. 62 ' DepositsofU.S.disburaing officers. 47. 50 4, 476. 37 ; j Due to other national banks 7, 238. 92 5, 643.00 jj Due to State banks and bankers .., 486.36 53.22 j ! 3, 078. 50 j]| Notes and bills re-discounted 88,600.00 | j Bills payable • 2, 250. 00 Total ' 821,133. 57 Merchants' National Bank, Cincinnati. DANIEL J . FALI/IS, President. No. 844. Loans and discounts $3, 033, 543. 76 Overdrafts 576.78 IT. S. bonds to secure circulation... 50,000.00 U. S. bonds to secure deposits 200, 000. 00 U. S. bonds on hand 6, 950. 00 Stocks, securities, judgments, etc.., 22, 880.00 Due from approved reserve agents.,! 768, 726.54 Due from other national banks 225, 559.37 Due from State banks and bankers 71, 496.47 Bank'g-house,furniture,and fixtures 16, 400. 00 Other real estate and raortg's owned 5, 813.94 Current expenses and taxes paid...'• 28, 660. 53 Premiums on U. S. bonds j 47, 000.00 Checks and other cash items ! 1, 214. 87 Exchanges for clearing-house j 17, 951. 37 Bills of other nationarbanks j 34, 370.00 Fractional currency, nickels, cents .! 691.67 Specie ' j 217,835.00 Legal-tender notes ! 149, 000. 00 ' U. S. certificates of deposit i Redemption fund with Treas. U. S .; 2, 250.00 Due from Treasurer U. S I 580. 00 Total 4, 901, 530. 30 W. W. BROWN, Cashier. Capital stock paid in i $1,000, 000. 00 Surplus fund Undivided profits - 200, 000. 00 68, 068.75 National-bank notes outstanding., j State-bank notes outstanding .."'...\ Dividends unpaid 45, 000. 0J I 540.00 Individual deposits United States deposits Deposits of U. S. disbursing officers - 1,690,770.18 220, 000. 00 Due to other national banks 1,410,704. 21 Due to State banks and bankers .. i 266,447.16 Notes and bills re-discounted . . Bills payable Total. 4, 901, 530.30 634 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. National La Fayette Bank, Cincinnati. No. 2315. W. A. GOODMAN, President. J . V. GUTHKIE, Cashier. Resources. Liabilities. $2, 707, 534.38 Loans and discounts 1,690.17 Overdrafts 50,000.00 17. S. bonds to secure circulation.. 350, 000.00 U. S. bonds to secure deposits 25, 800.00 TJ. S. bonds on hand 274, 321.34 Stocks, securities, judgments, etc. 452,923.81 Dae from approved reserve agents 166,905.11 Due from other national banks 106, 270.10 Due from State banks and bankers Bank'g-house, furniture,and fixturesj Other real estate and morfcg's owned Current expenses and taxes paid... 103,66(5.08 Premiums on U. S. bonds 6,970. 55 Checks and other cash items 27, 801. 51 Exchanges for clearing-house 10, 911. 00 Bills of other national banks 61.03 Fractional currency, nickels, cents. 171,500.00 Specie 300,000. 00 Legal-tender notes 110, 000.00 TJ. S. certificates of deposit 2,250.00 Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $600,000.00 400,000.00 43,103. 88 35, 700. 00 15, 003. 50 Dividends unpaid. 3,115.284.38 Individual deposits 378,198. 84 United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 4,868,605.14 Total. 126, 044.41 155, 270.13 4, 868, 605.14 Ohio Valley National Bank, Cincinnati. No. 3606. JAMES ESPY, President. O. H. TUDOK, Cashier. $2, 343, 603. 08 Capital stock paid in | $1, 000, 000.00 Loans and discounts 347. 32 Overdrafts 50, 000.00 Surplus fund 60, 000.00 U. S. bonds to secure circulation... 298, 000. 00 Undivided profits . 68, 911. 83 U. S. bonds to secure deposits 500.00 U. S. bonds on hand 58, 529.31 National-bank notes outstanding..! 45, 000. 00 Stocks, securities, judgments, etc. I Due from approved reserve agents. 409, 968.84 State-bank notes outstanding Due from other national banks. 215,226.16 Due from State banks and bankers. 134,128.16 Dividends unpaid Bank'g-house, furniture,and fixtures 4, 965.95 Individual deposits 1, 629, 804.53 Other real estate and mortg's owned 29, 046. 78 United States deposits 353, 665. 32 Current expenses and taxes paid... 71,122.02 Depositsof U.S. disbursing officers. Premiums on U. S. bonds 1,078.46 Checks and other cash items 27, 735.22 Due to other national banks 445, 362.32 Exchanges for clearing-house 30, 000.00 Due to State banks and bankers .. 303,941.35 Bills of other national banks 504. 05 Fractional currency, nickels, cents. 42, 000. 00 Notes and bills re-discounted. Specie 200. 000.00 Bills payable Legal-tender notes 100, 000. 00 U.S. bonds account U. S. certificates of deposit 112,900.00 2, 250.00 Redemption fund with Treas. U. S. 580.00 Due from Treasurer U. S Total 4,019,585.35 Total 4,019,585.35 First National Bank, Circleville. J". A. HAWKES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments,etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. BaBk'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. DuefromTreasurer U. S Total. No. 118. O TIS BALLARD, Cashier. $416,304. 06 2,720. 58 50, 000.00 Capital stock paid in. Surplus fund Undivided profits. 122,088.72 National-bank notes outstanding.. 100, 061. 74 State-bank notes outstanding 4,195. 74 7,191. 04 20,000.00 550.32 3,962. 69 6, 500. 00 425. 65 20,937. 00 267.85 11,174.68 10,200. 00 $260, 000.00 80, 000. 00 21, 573. 24 45,000. 00 Dividends unpaid Individual deposits I United States deposits j Depositsof U.S. disbursing officers 353, 563.81 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 11,847.34 6, 845.68 2,250.00 778,830.07 Total. 778,830.07 REPORT OF THE COMPTROLLER OF THE CURRENCY. 635 OHIO. Second National Bank, Circleville. No. 172. S. H. RUGGLES, President. E. E. WDTSHIP, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks,securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiumson U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $354,117. 89 1,601.96 31,500.00 200.00 5.336. 04 83,626.93 24,114.33 6, 369.79 5,000.00 2,326.65 ""560." 88' 1,340.00 45.71 18,244. 00 15,077.00 Capital stock paid in. $125,000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 62,500.00 15,033.69 28, 350. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 316,529.39 Due to other national banks Due to State banks and b a n k e r s . . Notes and bills re-discounted. Bills payable 2,063.49 1,402.11 1,417.50 550,878.68 Total. 550,878.68 Third National Bank, Circleville. No. 2817. JOHN G-ROCE, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $199,036.12 1,000.99 25,000. 00 20,377.09 50,026.22 28,132.26 8,805.11 2, 600.00 2,123.12 4,400. 00 448.13 1, 578.00 69.41 12,180.00 11,991. 00 S. MORBIS, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $100,000.00 5,367.85 7,452.57 22,500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing oflicers. 232,026.11 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 1, 073.29 72.63 1,125.00 500.00 Total. 369,392.45 369, 392.45. First. National Bank, Cleveland. JAMES BARNETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S.bonds to secure deposits U. S. bonds on h a n d . . . , Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiumson U. S. bonds Checks and other cash^items Exchanges for clearing-house Bills ofbther national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2690. $1,278,879.49 1,969.31 50,000.00 65,000.00 134, 508.38 96,415.41 32,975.04 90, 000.00 12,000.00 8, 738.33 3, 111. 35 28, 525. 60 25,987.00 473. 31 14,920.00 87,000.00 THOMAS H. WILSON, Cashier. Capital stock paid in. $500,000.00 Surplus fund Undrivided profits. 54,000.00 83, 861.72 National-bank notes outstanding.. State-bank notes outstanding 44,170.00 Dividends unpaid 382.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 841,163.99 Due to other national banks Due to State banks and bankers... 141,883.05 165,932.46 Notes and bills re-discounted.. Bills payable 100,000.00 890.00 1,931,393.22 Total., 1,931,803.22 636 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Cleveland National Bank, Cleveland. No. 2956. S. S. WARNER, President. P. M. SPENCER, Cashier. Liabilities. Resources. $1,142, 516.26 Loans and discounts Capital stock paid in 3,828.15 Overdrafts 50,000. 00 Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits J Undivided profits IT. S. bonds on hand National-bank notes outstanding.. Stocks, securities, judgments, etc .. 18,266.31 State-bank notes outstanding Due from approved reserve agents. 77, 599. 43 Duo from other national banks. 17, 722.46 Dividends unpaid Due from State banks and bankers . 4, 000. 00 Bank'g-house, furniture, and fixtures Other real estate and mortg's owned j Individual deposits Current expenses and taxea paid... " 10*077.63 United States deposits 12, U00. 00 Deposits of U. S. disbursing officers. Premiums on U. S. bonds 5,885.03 .' Checks and other cash items 6,134.47 Due to other national banks Exchanges for clearing-house 2,508.00 .'. Due to State banks and bankers .. Bills of other national banks 239.09 i Fractional currency, nickels, cents. 46, !)J2. 50 Notes and bills re-discounted . Specie 110, 000.00 1 Bills payable Legal-tender notes V. S. certificates of deposit 2,220.00 : Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total Total. 1, 509, 919.33 $500,000.00 100,000.00 30, 070.59 45, 000.00 2, 025. 00 645, 743.16 111,787.69 50, 292.89 25,000. 00 1, 509,919.33 Commercial National Bank, Cleveland. DANIEL P. EELLS, President. Capital stock paid in $1, 000, 000. 00 Surplus fund Undivided profits 250, 000.00 62, 476.43 National-bank notes outstanding. State-bank notes outstanding 41, 850. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers . . 2,385,108.63 393, 661. 24 285,347.49 Notes and bills re-discounted Bills payable 4, 418,443. 79 Total. D. Z. NORTON, Cashier. No. 807. Loans and discounts j $3,163,898.60 Overdrafts 2,595.06 U. S. bonds to secure circulation... 50, 000.00 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . \ 62,560.89 Due from approved reserve agents. j 397,720,09 Due from other national banks : 150,691.26 Due from State banks and bankers. I 54, 482. 04 Bank'g-house, furniture, and fixtures 40,000.00 Other real estate and mortg's owned' 45, 254.52 Current expenses and taxes paid... j 17,270. 39 Premiums on U. S. bonds 9, 049.37 Checks and other cash items 32, 699. 74 Exchanges for clearing-house 9,12$. 00 Bills of other nationalbanks 354. 23 Fractional currency, nickels, cents 179,829.00 Specie 200, 000.00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . I 2,250.00 Due from Treasurer U. S i Total 4,418, 443.79 Euclid Avenue National Bank, Cleveland. JOHN L. WOODS, President. No. 3545. Loans and discounts | $1,903, 780.97 Overdrafts ! 1,958.61 U. S. bonds to secure circulation... | 50,000.00 U. S. bonds to secure deposits ! U. S. bonds on hand I Stocks, securities, j udgments, etc Due from approved reserve agents. j 450,887.62 77, 758. 00 Due from other national banks 30, 647.80 Due from State banks and bankers. 4, 000. 00 Bank'g-house,furniture,and fixtures Other real estate and mortg's owned 11, 996. 84 Current expenses and taxes paid. Premiums on U. S. bonds 9, 790. 51 Checks and other cash items 14,799.89 Exchanges for clearing-house 10,198. 00 Bills of other national banks 53. 25 Fractional currency, nickels, cents 23,149.00 Specie 155, 000. 00 Legal-tender notes U. S. certificates of deposit ""2," 250." 66' Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 2, 746, 270. 55 S. L. SEVERANCE, Cashier. Capital stock paid in. $500,000.00 Surplus fund Undivided profits 35, 000. 00 48,162. 56 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits Un itcd States deposits Deposits of U. S. disbursing officers. 1, 929,44.5.09 Due to other national banks Due to State banks and bankers .. 60, 820. 67 77,842.23 Notes and bills re-discounted Bills payable U. S. Bond accoun t 50, 000.00 Total. 2,746,270.55 REPORT OF THE COMPTROLLER OF THE CURRENCY. 637 OHIO. Mercantile National Bank, Cleveland. TRUMAN P. HANDY, President No. 3272. C. L. MUUFEY, Cashier. Resources. Liabilities. Loans and discounts $2, 582, 711. 63 Capital stock paid i n . $1, 000, 000. 00 Overdrafts ; 30,094.99 200, 000. 00 U. S. bonds to secure circulation... 200, 000.00 Surplus fund 73, 395. 60 U. S. bonds to secure deposits Undivided profits . U. S. bonds on liand : 177, 600.00 Stocks, securities, judgments, etc . . 30, 000.00 National-bank notes outstanding.. Due from approved reserve agents 175,017,94 State-bank notes outstanding Due from other national, banks ; 107, 600. 32 Due from State banks and bankers j 35, 002.03 Dividends unpaid 225.00 Bank'g-house,furniture,and fixtures; 250, 000. 00 Other real estate audniortg's owned. 5], 550. 00 ! Individual deposits 2, 246,141.65 Current expenses and taxes paid...' 2o, 090.39 United States deposits Deposits of U. S. disbursing officers. Premiums on IT. S. bonds Checks and other cash items i 20, 909.23 71, 796.62 Exchanges for clearing-house : 12,519.62 I Due to other national banks 47, 614.83 Bills of other nationalbanks ! 76, 073.00 | Duo to State banks and bankers . . Fractional currency, nickels, cents . | 534.55 Specie I 352, 550. 00 , Notes and bills re-discounted. " 38, 000. 00 Legal-tender notes ' 35, 000. 00 Bills payable U. S. certificates of deposit 200, 000.00 U. S. bond account Redemption fund with Treas. U. S. 9, 000. 00 Due from TreasurerU. S j Total ; 4,054,773.70 Total ; 4,054,773.70 National Bank of Commerce, Cleveland. No. 2662. J . H. WADE, President F . E. KITTMAN, Cashier. Loans and discounts I $3,114,884.54 Capital stock paid in $1, 500,000.00 Overdrafts | 5, 327. 73 225, 000.00 IT. S. bonds to secure circulation... 50, 000. 00 I! Surplus fund 124, 802.23 U. S. bonds to secure deposits .. i 250, 000.00 i Undivided profits . U. S. bondson hand Stocks, securities, judgments, etc .. j 2,425.00 \\ National-bank notes outstanding. 45, 000.00 Due from approved reserve agents. | 352, 714. 59 | State-bank notes outstanding Due from other national banks ' 363,771.01 Due from State banks and bankers, j 259,608.90 j Dividends unpaid . Bank'g-house,furniture,and fixtures! 82, 000. 00 Other real estate andmortg's owned1: !, 226, 822.45 Individual deposits 267,019. 32 C urrent expenses and taxes paid...! 15,912.17 , United States deposits Premiums on U. 8. bonds I 10, op;). 00 I Deposits o f U. S. disbursing officers. 9, 769.75 Checks and other cash items j 16,154.40 221,126. 68 Exchanges for clearing-house ! 34, 377. 37 i Due to other national banks 356, 443. 47 Bills of other national banks \ 63, 353.00 Due to State banks and bankers .. Fractional currency, nickels, cents .' 102. ]!) Specie '. | ] 28,100.00 Notes and bills re-discounted . Legal-tender notes i 225, 000. 00 Bills payable U# S. certificates of deposit j Redemption fund with Tieas. U. S. j 2, 250. 00 I j Due fromTreasurer U. S , Total. 4,975,980.90 i Total 4, 975, 980.90 National City Bank, Cleveland. . WIIITELAW, President. Loans and discounts j Overdrafts I U. S. bonds to secure circulation... IT. S. bonds to secure deposits | U. S. bonds on hand I Stocks, securities, judgments, etc .. | Due from approved reserve agents | Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds 0necks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total . E. E,. DATE, Cashier. No. 786. $250, 000.00 Capital stock paid in. 100, 000. 00 Surplus fund 146,284. 65 Undivided profits . 64, 400.00 45, 000. 00 National-bank notes outstanding. 153, 532.02 State-bank notes outstanding $830, 368. 89 11,929.74 50, 000. 00 68, 000.00 60, 910. 32 34, 346. 49 5, 596.45 16,600.00 3,437.23 1, 648.99 10, 780.78 27, 500. 00 500.00 .35, 225.97 60,000.00 15,000. 00 2, 250. 00 1,200.00 1, 513,226. 88 Dividends unpaid 212.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 705,174.15 68, 000. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable U. S. bond account 83,109.09 86,446.99 Total | 29, 000.00 1,513,226.88 638 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO . State National Bank, Cleveland. No. 3950. JAMES FARMER, President H. C. ELLISON, Cashier. Resources. Liabilities. Loans and discounts ; $1, 524, 932.56 Overdrafts ! 37.45 U. S. bonds to secure circulation — I 55,000.00 U. S. bonds to secure deposits XT. S. bonds on hand ! Stocks, securities, judgments, etc . . 207, 885.51 Duo from approved reserve agents. 173, 321. i?9 Due from other national banks 2, 445. (31 Due from State banks and bankers. 9, 027.83 Bank'g-house, furniture, andfixtures. Other real estate and niortg's owned! 9, 072. (39 Current expenses and taxes paid... ! i Premiums on U. S. bonds 73,973.36 Checks and other cash items I 11, 989.85 Exchanges for clearing-house 338.00 Bills of other national banks 999.79 Fractional currency, nickels, cents. 62, 047.50 Specie 130,000.00 Legal-tender notes TJ. S. certificates of deposit 2,475. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total 2,264,146.44 $500,000.00 Capital stock paid in . Surplus fund Undivided profits 20,000. 00 41, 269. 02 National-bank notes outstanding. State-bank notes outstanding.... 49, 500.00 Dividends unpaid. Individual deposits , United States deposits Depositsof U.S. disbursing officers. 1,103,017.69 Due to other national banks Due to State banks and bankersNotes and bills re-discounted. Bills payable 311,909.22 238, 450.51 I Total 2,264,146.44 Union National Bank, Cleveland. E. H. BOURNE, Cashier. No. 3202. $2,905,019.93 Loans and discounts $1, 000,000.00 Capital stock paid in . 3,146.80 Overdrafts 50, 000.00 Surplus fund 80,000. 00 U. S. bonds to secure circulation.. 96, 247.68 U. S. bonds to secure deposits Undivided profits. IX. S. bonds on hand 9, 417. 90 National-bank notes outstanding.. Stocks, securities, judgments, etc.. 45,000.00 225, 728. 88 State-bank notes outstanding Due from approved reserve agents. 243,156. 98 Due from other national banks 210, 8'i4. 84 Dividends unpaid . Due from State banks and bankers. 150. 00 2, 000.00 Bank'g-house, furniture, andfixtures Individual deposits Other real estate and mortg's owned 1,746,271.99 15, 809.10 United States deposits Current expenses and raxes paid.. 6, 000. 00 Depo3itsofU.S.disbursing officers. Premiums on U. S. bonds 1, 390.45 Checks and other cash items 22, 569.98 Due to other national banks Exchanges for clearing-house 87, 322. 95 10, 320.00 Due to State banks and bankers.. Bills of other national banks 147, 494.24 1,342. 00 Fractional currency, nickels, cents 92, 500. 00 Notes and bills re-discounted . Specie 100,000. 00 Bills payable Legal-tender notes 700, 000. 00 U. S. certificates of deposit 2, 250.00 Redemption fund with Treas. U.S. 1, 000.00 Due from Treasurer U. S Total 3,902,486.86 3,902,486.86 Total. M. A. HANNA, President. First National Bank, Columbus. No. 123. THEO. P. GORDON, Cashier. Loans and discounts $611, 981.18 Capital stock paid in . $300,000.00, Overdrafts TJ. S. bonds to secure circulation-.. ""56,' 666." 66' Surplus fund 100, 000.00 TJ. S. bonds to secure deposits 93,002.12 Undivided profits . TJ. S. bonds on hand 115,360.00 National-bank notes outstanding.. Stocks, securities, judgments, etc - 45, 000.00 62.0J8.86 Due from approved reserve agents. State-bank notes outstanding 34, 536. 77 Due from other national banks 5,133.49 Dividends unpaid Due from State banks and bankers. 50,000.00 Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Individual deposits 648,887. 94 Current expenses and taxes paid .. 10,728.15 United States deposits Premiums on U. S. bonds Deposits of U. S. disbursing officers Checks and other cash items 2,147.06 Exchanges for clearing-house 102, 813.03 Due to other national banks 54, 326.28 Bills of other national banks 33, 829.00 Due to State banks and bankers., 20, 529.05 Fractional currency, nickels, cents. 324.85 Specie 119,623.00 Notes and bills re-discounted . Legal-tender notes 50, 000.00 Bills payable TJ. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250.00 11, 000.00 Due from Treasurer U. S Total., 1, 261, 745. 39 Total. 1, 261, 745. 39 WILLIAM MONYPENY, President. REPORT OP THE COMPTROLLER OF THE CURRENCY. 639 OHIO. Fourth National Bank, Columbus. "W. S. IDE, President. No. 2423. J. W. BRADSHAW, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation- -. U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Cnrrent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $185,685.56 4.39 25; 000.00 92,350.00 18,913.07 11,736.04 524.64 3,000.00 2, 750.00 3, 225.63 6, 500.00 1,200. 85 10,139.00 74.47 5, 950.00 20,000.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 20, 000.00 4,108.91 22, 500. 00 92.00 Individual deposits United States deposits Deposits of C.S.disbursing officers. 217, 476.91 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 17,220. 36 6,780.47 1,125.00 388,178. 65 Total. $100, 000. 00 Total. 388,178.65 Clinton National Bank, Columbus. D. S. GRAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3610. $395, 857.13 Capital stock paid in. 190.33 50,000.00 Surplus fund 50,000.00 Undivided profits. 62, 501.86 2,981. 33 6, 472.37 3,400. 00 4,932.94 23, 000. 00 2,436.16 33, 309.00 43,31 5, 348.10 16,000.00 F. W. PRENTISS, Cashier. $200,000.00 6,000.00 14, 774. 26 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 321,834.20 55, 000.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable ! 12, 271.32 3, 842.75 2,250. 00 658, 722. 53 eSS, 722.53 Commercial National Bank, Columbus. FKANCIS C. SESSIONS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. S pecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 2605. $521,922.29 1,458. 62 50, 000. 00 31,927. 74 200,952. 46 16, 579.48 15,664.94 5, 967.10 2,152. 72 13,501.75 8,624.11 21, 514.13 19,800.00 888. 52 62, 292.75 41,533.00 W. H. ALBEBY, Cashier. Capital stock paid in. Surplus fund Undivided profits.... National-bank notes outstanding. . State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-disco an ted. Bills payable $200, 000.00 25, 000. 00 59,836.62 45,000.00 559,306.98 69, 869.08 58, 016. 03 2, 250.00 1,017,029.61 Total. 1,017,029.61 640 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. National Exchange Bank, Columbus. W. G. DEBHLER, President. C. J . HARDY, Cashier. No. 591. Liabilities. Resources. Loans and discounts I Overdrafts ! U. S. bonds to secure circulation... | IT. S. bonds to secure deposits I TJ. S. bonds on hand Stocks, securities,judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items \ Exchanges for clearing-house ' Bills of other national banks j Fractional currency, nickels, cents.! Specie '. [ Legal-tender notes ,....j U . S . certificates of deposit I Redemption fund with Treas. U. S. I Due from Treasurer IT. S ' Total. $298,146.65 1,621.85 50, 000.00 75,000.00 46, 815.60 21,983.31 13, 048. 95 $100, 000.00 Capital stock paid in. Surplus fund Surplus fund. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 50, 000. 00 15, 334.28 44, 500. 00 Dividends unpaid 5, 974. 28 Individual deposits United States deposits Deposits of U.S. disbursing officers.' 263, 723.99 17, 987.22 67, 064.80 135. 00 19,626.23 14, 001. 00 245.16 50,205.95 10,000.00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 43,186.15 7, 257. 54 2,250,00 609,053.98 609, 053.98 Total. First National Bank, Conneaut. S. J . SMITH, President. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation.-. j U. S. bonds to secure deposits | U. S. bonds on hand : Stocks, securities, judgments, etc ..! Due from approved reserve agents. Due from other national banks Due from State banks and bankers. j Bank'g-house,fumiture, and fixtures; Other real estate and mortg's owned! Current expenses and taxes paid...! Premiums on U. S. bonds ] ! Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents, j Specie Legal-tender notes U. 5. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S B. E . THAYER, Cashier. No. 3492. $50,000.00 $87,142. 75 Capital stock paid in. 2,156. 24 12, 500.00 Surplus fund 1, 800.00 770.62 Undivided profits National-bank notes outstanding.. 11,250.00 6, 234. 74 State-bank notes outstanding 1,816.61 3,971.01 Dividends unpaid. 99.00 1,192.27 Individual deposits 50,898.23 245.34 United States deposits 1,000.00 Deposits of U.S.disbursingofficers. 350. 00 Due to other national banks 1, 380. 00 Due to State banks and bankers . . 10. 39 2, 350. 00 Notes and bills re-discounted 9, 000.00 4, 900.00 Bills payable 562. 50 123, 817. 85 Total. 123,817. 85 Total. Third National Bank, Dayton. J . K. MCINTIRE, President. Loans and discounts ; Overdrafts ! U. S. bonds to secure circulation . . . i U. S. bonds to secure deposits ! U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. j Bank'g-house, furniture, and fixturesj Other real estate and raortg's owned Current expenses and taxes paid... j Premiums on U.S.bonds i Checks and other cash items j Exchanges for clearing-house Bills of other national banks | Fractional currency, nickels, cents. Specie ^J Legal-tender notes ! U. S. certificates of deposit \ Redemption fund with Treas. U. S - j Due from Treasurer U. S ! Total. CHAS. E. DRUKY, Cashier. No. 2678. $921,267.02 j i Capital stock paid in 465.81 |! 50,000.00 I'-Surplusfund 150,000.00 ; Undivided profits 17,500.00 35,361. 50 13,263.86 213.10 5, 000. 00 1.75 42, 000.00 16, 613.08 8, 439.00 240. 57 43, 325.00 40, 000. 00 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. S $400,000. 00 | ! 100,000.00 3,505.44 45, 000.00 20,015.00 Individual deposits United States deposits Depositsof U.S.disbursing officers. 605, 689.47 108,447. 83 56, 232. 30 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 6,455. 61 595 04 2, 250. 00 1, 345,940.69 Total . 1,345,040.69 REPORT OF THE COMPTROLLER OF THE CURRENCY. 641 OHIO. Fourth National Bank, Dayton. No. 3821. JOSEPH B. THRESHER, President ZIBA CRAWFORD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks ( Due from State banks and bankers ) Bank'g-house,furniture,andfixtures: Other real estate and mortg's owned; Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $654, 366. 05 811.11 50, 000.00 45,000. 00 Dividends unpaid - 12, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 10, 500. 00 12, 016.40 447, 751. 26 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 00 27 70 00 2, 250. 00 2, 000. 00 932, 327. 76 Total. 4, 000. 00 23, 576. 50 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding 130. 855. 82 4, 090. 62 141.79 5, 000. 00 27, 194. 208. 12, 893. 20, 000, $400, 000. 00 Capital stock paid in. 932, 327.76 Total. City National Bank, Dayton. No. 2874. SIMOX GEBHART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . IT. S. bonds to secure deposits 11. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. I Bank'g-hous6,furniture,and fixtures! Other real estate andmortgs owned; Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items... — Exchanges for clearing-house Bills of other national banks j Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit ! Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total ; G-. B. HAKMAN, Cashier. $912, 541. 88 j Capital stock paid i n . 1,472.43 ; 50,000.00 i Surplus fund $200, 000. 00 45, 000. 00 21.065.9U Undivided profits. 22, 928. 96 ; National-bank notes outstanding. 98, 100. 54 ' State-bank notes outstanding ..'... 8,224.95 ; Dividends unpaid 45, 000. 00 545. 00 :t, ooo. oo , j Individual deposits ! 993. 73 United States deposits 12, 000. 00 DepositsofU.S.disbursingomeers. • 12,448.44 Due to other national banka ; fi, 024. 00 Due to State b a n k s and bankers . . 77. 20 • an. PM. oo Notes and bills re-discounted Bills p a y a b l e . . . 28, 000. 00 809, 182. 3:5 20, 264. 29 2, 938. 87 45, 765. 7J 2,250.00 . 1,195, 762.13 j Total 1,195,762.1.'} Dayton National Bank, Dayton. W. H. SIMMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixture* Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house I Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. Ex. 3- No. 898. $524, 546. 43 303. 3fi 130, 000.00 3,000.00 53, 671. 40 12, 485. 08 2, 804. 06 5, 000. 00 1, 475. 00 2, 087. 22 Att. A. MARTIN, Cashier. Capital stock paid in. Surplus fund Undivided profits $300, 000. 00 ; 60, 000. on 25. 569, 36 National-bank notes outstanding..' State-bank notes outstanding 105,450. oo : j 640.00 Individual deposits • United States deposits ! Deposits of U. S. disbursing officers. \ Dividends unpaid 316, 721.46 Due to other national banks i Due to State banks and bankers .. j Notes and bills re-discounted j ; I Bills payable 7, 519. 28 2, 213.47 9, 810. 84 25, 750. 00 25.18 32, 305. 00 9, 000. 00 5, 850. 00 818,113. 57 Total 818,113.57 642 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Merchants' National Bank, Dayton. D. E. MEAD, President. No. 1788. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hoase,furniture,aiid fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national ban ks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $502,814.70 2, 037. 85 50, 000. 00 5,900.66 29, 000.00 40, 928.50 13, 541. 87 368.02 4, 000. 00 7,472. 09 8, 725.25 10,187.52 36, 259. 00 185. 34 7, 925. 50 40, 0U0.00 A. S. ESTAUROOK, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Dae to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $300, 000. 00 60, 000. 00 31.7J9.54 45, 000. 00 60.00 345, 875.15 19,276.84 14, G14. 71 2, 250.00 816, 546.24 Total. 816, 546. 24 Teutonia National Bank, Dayton. EDWARD P A P E , SB., President Loans and discounts. Overdrafts X S. bonds to secure circulation ... L TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Louis H. POOCK, Cashier. No. 4054. $170,386.07 52.99 50, 000. 00 6,667.45 fi, 524.03 1, 120. 46 5,601.51 2, 843. 52 14, 250. 00 3, 797. 03 28, 884. 00 46. 95 11,328.50 13, 000. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable $160, 000. 00 3, 556. 22 35, 000. 00 114, 774.72 3,421.57 2, 250.00 Total. 316, 752.51 316, 752. 51 Winters National Bank, Dayton. JONATHAN H. WINTERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duefrom Treasurer U. S Total. J". C. REBER, Cashier. No. 2604. $665, 018.50 805. 63 50, 000.00 3, 750. 00 81,158.07 7, 919. 08 3, 500.00 2, 305. 20 12,700. 00 5,474.09 31,447.00 136. 66 11,152.45 15, 000.00 30, 000.00 2, 250.00 922, 616.68 Capital stock paid in. Surplus fond Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable Total. 5300, 000.00" 21, 000. 00 15, 728.29 45, 000. 00 701. 00 512, 536.34 24, 612. 22 3, 038. 83 922, 616. 68 REPORT OF THE COMPTROLLER OF THE CURRENCY. 643 OHIO. Defiance National Bank, Defiance. No. 1906. J. A. ORCUTT, President. EDWARD SQUIRE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation - U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furnitlire,and fixtures Other real-estate andmortg's owned Current expenses and taxes paid . . Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ! Legal-tender notes I U. S. certificates of deposit ! Redemption fund with Treas. U. S Due from Treasurer U. S $327,381.34 3, 745. 51 25, 000. 00 Capital stock paid in , 10, 000. 00 168. 64 11, 283. 29 987. 67 50, 000.00 10, 848.92 22,500.00 Dividends unpaid 700. 00 2, 691.45 Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 135.15 2, 297. 00 94. 26 12, 402. 00 8, 650. 00 140, 087. 43 2, 074.17 6,153. 79 75, 000.00 1,125.00 406, 664. 31 Total. $100,000.00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Total. 406, 664.31 Merchants' National Bank, Defiance. No. 2516. C. P. HARLEr, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. II. S. Due from Treasurer U. S Total. $141, 895. 30 3, 084. 73 25,000.00 : I 8, 800. 00 4,192. 06 8, 195.90 477.43 1,025.00 16, 000. 00 1, 092. 76 1, 500. 00 761.49 575* GO*" 48. 54 2, 312. 50 2, 2H2. 00 E. P. HOOKER, Cashier. Capital stock paid in $100, 000.00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 12, 300.00 3, 649. 29 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposi ts o f U.S. disbursing officers 70, 519. 02 Dae to other national banks Due to State banks and bankers. Notes and bills re-diseounoed Bills payable 10, 000.00 1, 125. 00 Total. 218, 968. 31 218, 968. 31 First National Bank, Delaware. CAREY B. PAUL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-housc, furniture,and fixtures Other real estate and mortg's owned Current- expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of "other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Total No. 24.3. $210, 468. 23 319. 92 50, 000. 00 I.'eso.'oo" 3, 256. 00 10, 562.21 4, 208. 49 2, 082. 79 12,000.00 2, 817.19 4,432. 60 402.44 24, 470.00 123. 45 26, 990. 85 3, 500. 00 G. W. POWERS, Cashier. Capital stock paid in $100,000.00 Surplus fund Undivided x>rotits 22, 000.00 6, 462.39 National-bank notes outstanding.. State-bank notes outstanding 37, 600.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 183, 523.24 Due to other national banks Due to State banks and bankers.. 7, 339.75 2, 668.79 Notes and bills re-discounted. Bills payable 2, 250. 00 339,594.17 Totals 359,594.17 644 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Delaware County National Bank, Delaware. S. MOORE, President. No. 853. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S certificates of deposit Redemption fund with Tread. U. S. Due from Treasurer TJ. S Total. $173, 019. 44 540.41 50, 0UO. 00 11, 052. 59 23, 266. 57 62. 37 1, 586. 38 13, 500. 00 2, 696. 70 "37L47 8, 692. 00 120.06 27, 357. 50 19, 685. 00 W. LITTLE, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstandingState-bank notes outstanding $100, 000.00 20, 000. 00 6,591.99 43, 400. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . 157, 249.57 6. 864. 55 94.38 Notes and bills re-discounted . Bills payable 2,250.00 | Total. 334,200.49 \ 334, 200. 49 Delphos National Bank, Delphos. THEODORE WROCKLAGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houae,furnituie, and fixtures Other real estate and mortg's owned i Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deDosit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 2885. $176, 012. 79 1, 946. 35 15, 000. 00 46, 773. 58 7, 386. 39 2, ooo. 66 4, 888. 48 2, 389. 46 2, 925. 00 EDWARD L. STALLKAMP, Cashier. $60, 000.00 Capital stock paid in. Surplus fund Undivided profits 24, 000. 00 7, 307. 36 National-bank notes outstanding.. State-bank notes outstanding 13, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks 2, 500. 00 Due to State banks and bankers . . 99. 07 2, 500. C O Notes and bills re-discounted. 14, 500. 00 ! Bills payable 169, 459. 28 3, 380. 89 1, 948. 59 675. 00 279, 596.12 Total. 279,596.12 First National Bank, East Liverpool. JOSIAH THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand I Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house.furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2146. $148, 050. 85 50, 000. 00 39, 735. 93 12,585.83 18, 744. 60 183.14 22, 000. 00 1, 240. 59 N. Gr. MACUUM, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 30, 000. 00 6, 8J8. 77 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits ofU.S. disbursing officers 178,131. 49 136.10 663.00 5. 98 6, 343. 80 8,175.00 Due to other national banks Dne to State banks and bankers .. 144. 56" Notes and bills re-discounted. Bills payable 2, 250. 00 310, 114.82 Total. 310,114. 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 645 O fli I O . Potters' National Bank, East Liverpool. WILLIAM BRUNT. President. No. 2544. F. D. KITCHEL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-honse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents., Specie Legal-tender notes [J. S. certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer U. S Total. $214, 994. 47 12, 500. 00 43, 018.99 Capital stock paid in. $50, 000.00 45, 000. 00 4, 703. 25 Surplus fund Undivided profits National-bank notes outstanding.. SMIte-bank notes outstanding 11,250. 00 Dividends unpaid . 14, 000. 00 Individual deposits "1,072.15" United States deposits 1, 875. 00 Deposits of U.S. disbursing officers. 9, 972. 58 Due to other national banks 816. 00 Due to State banks and bankers . . 105. 82 11, 227.40 15, 800. 00 210,136. 98 4,346.05 508.63 Notes and bills re-discounted . Bills payable 562. 50 Total. 325, 944. 91 325,944.91 Preble County National Bank, Eaton. ANDREW HIESTAND, President. J . W. ACTON, Cashier. No. 3889. Loans and discounts ! Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits ! U. S. bonds on hand btocks, securities, judgments, etc .. "Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's o wned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-honse | Bills of other national banks | Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT. S $86,101.10 I Capital stock paid in. 55.23 12, 500.00 I Surplus fund Undivided profits 900. 00 35,000,00 | National-bank notes outstanding. 31,429.17 State-bank notes outstanding 15, 601.43 ; i I Dividends unpaid. 1,500.00 j Individual deposits 918. 92 | United States deposits S, 261. 00 j Deposits of U.S. disbursing officers 1, 735. 95 ! I Due to other national banks 150.00 ! Due to State banks and bankers . 71.75 I 5,158. 35 ' Notes and bills re-discounted. 7,710.00 ! Bills payable 700.00 4, 268. 52 11, 250.00 136, 436.88 562. 50 202, 655. 40 Total. $50, 000. 00 Total. 202, 655. 40 National Bank, Elyria. HERMAN ELY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TT. S. bonds to secure deposits TT. S. bonds on hand Stocks, securities, judgments, otc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U". S. Due from Treasurer TJ. S Total. No. 2863. $205, 659.19 237.34 20, 000. 00 3,'466." 06" 6, 000. 00 10, 278. 83 209. 24 J N O . W. HULP.EKT, Cashier. Capital stock paid in ; $75,000.01 Surplus fund Undivided profits j 70,000.0(1 7,711.1] National-bank notes outstanding.. I State-bank notes outstanding I 17, 790.06 Dividends unpaid , 2, 000.00 Individual deposits 3, 443. 91 United States deposits 5, 344. 75 Deposits of TT. S. disbursing officers. 1, 791. 21 Due to other national banks 2, 028. 00 Due to State banks and bankers . 104.10 18,121. 68 Notes and bills re-discounted 8, 068. 00 Bills payable 110, 317.5$ 6, 767.5 900. 00 287, 586.25 Total., 287,586.25 646 REPORT OF THE COMPTROLLER OF THE CURRENCY. O II I O . First National Bank, Felicity. S. F. AVATEEFIELI>, Cashier. No. 2882. DAVID H. HOOVER, President Liabilities. Resources. Loan a and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,aud fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash itemsExchanges for clearing-house Bills of other national banks i Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S Total. $89,170. 83 1.14 12, 500. 00 Capital stock paid in. $50, 000.00 2, 750.00 4, 292. 51 Surphift fund Undivided profits. 1,606.50 >\ National-bank notes outstanding.. ll.524.Si9 State-bank notes outstanding 2,000.0;') ;' 87.05 ij Dividends unpaid 2,200.00 ji Individual deposits 348.0 j United States deposits i 2,250.00 ! Deposits of U.S.disbursingofficors. 620.50 | Due to other national banks 65.66 I Due to State banks and bankers.. 35.34 2,314.75 Notes and bills re-discounted. 8, 257.00 Bills payable 11, 250.00 60.00 65, 256. 89 6.90 562. 50 ::_-—_—--J| 133,616. 30 Total . 133,616.30 i| First National Bank, Findlay. No. 36. ELIJAH P. JONES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TL S. bonds on hand ! Stocks, securities, judgments, etc.. I Due from approved reserve agents. Due from othor national banks Due from State banks and bankers. I Bank'g-house,furniture,and fixtures' Other real estateaud mortg's owned; Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $565, 517. 58 283. 75 40, 000.00 45,110. 31 39, 929. 02 $150, 000. 00 Surplus fund Undivided profits 42, 500.00 19, 654.23 National-bank notes outstanding.. State-bank notes o u t s t a n d i n g . . . . . 36, 000. 00 Dividends unpaid. 5, 250.00 7, 600.70 Individual deposits United States deposits Deposits of U.S. disbursing officers. 520,451. 90 251.14 ji Due to other national banks 6,301.00 Il Due to State banks and bankers . 62.03 28,766.00 Notes and bills re-discounted. 33,034.00 Bills payable 1,800.00 700. 00 774, 606.13 Total. CHAS. E. NILES, Cashier. Capital stock paid in Total. 774, 606.13 American National Bank, Findlay. JACOB F. BURKET, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds ". Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 3729. $157, 623. 30 391.35 25, 000.00 909. 57 13,630.41 1,610.21 200.00 1, 300. 00 L. "W. EOFF, Cashier. Capital stock paid in Surplus fund U ndivided x>rofits National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g $100, 000. 00 2, 500. 00 5,807.29 21,800.00 Dividends unpaid Individual deposits " "3," 552." 70' United States deposits 6, 000. 00 Deposits of U.S. disbursing officers. 272. 53 Due to other national banks 1, 777.00 D u e t o State b a n k s and b a n k e r s . . 101.88 12, 586. 00 Notes and bills re-discounted . 8, 700. 00 Bills payable 101,090. 00 3, 582. 66 1,125. 00 234, 779.95 Total . 234,779.95 REPORT OF THE COMPTROLLER OF THE CURRENCY. 647 OHIO. Farmers' National Bank, Findlay. No. 3477. MILTON GRAY, President. J . G. HULL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtureSi Other real estate and mortg's owned! Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $329, 866.56 1, 680. 72 20, 000.00 4,226.22 6,713.52 12,710.00 Capital stock paid in . 30,000.00 10,443.20 18, 000. 00 Dividends unpaid 375.23 Individual deposits "3," 743." 13' United States deposits 4,675.00 Depositsof U. S. disbursing officers. 3,449. 50 Due to other national banks 11, 740.00 Due to State banks and b a n k e r s . . . 1,091.00 24,400. 0 U Notes and bills re-discounted 5, 000.00 Bills payable 267, 941. 88 14,185.80 10, 000.00 900.00 430, 570.88 Total. $80, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. S tate-bank notes outstanding 430, 570.88 Total. First National Bank, Flushing. No. 3177. JACOB HOLLO WAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $112, 387.12 1.141.03 12, 500.00 23, 900. 00 1, 720. 73 10, 803.72 87. 52 5, 477.00 898.10 1, 900. 00 311. 21 GOO. OJ 55.87 10. 275. 25 3, 084.00 Surplus fund Undivided profits. National-bank notes outstanding-. State-bank notes outstanding $50, 000.00 4, 700.00 2, 088.38 11, 250. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S.disbursing officers. 117, 665. 67 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 562.50 185,704. 05 Total . F . M. COWEN, Cashier. Capital, stock paid in. Total.. 185, 704. 05 First National Bank, Fostoria. ANDREW EMERINE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2831. ALONZO EMERINE, Cashier. $190, 378. 25 Capital stock paid in $50, 000.00 1, 676. 38 13,000.00 Surplus fund 10, 000.00 6, 961. 06 Undivided profits 9, 015.04 301. 35 188.98 1, 306.73 National-bank notes outstanding.. State-bank notes outstanding 11, 700. 00 Dividends unpaid Individual deposits United States deposits..; Deposits of U.S.disbursing officers 991.05 Due to other national banks 7, 500. 00 Due to State banks and bankers .. 44.26 5,100. 00 Notes and bills re-discounted 10, 000. 00 Bills payable 153,173.60 2, 521. 52 730. 6G 5, 000.00 585.00 240, 087.04 Total. 240, 087.04 648 REPORT OF THE COMPTROLLER OF THE CURRENCY. O II I O . First National Bank, Franklin. L. G-. ANTI>ERSON, President. No. 738. W. A. BOYNTOX, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house BiDs of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. iS. certificates of deposit Kedemption fund with Treas. U. S Due from Treasurer U. S $191,280.88 I' Capital stock paid in 453.27 ' 25, 000.00 Surplus fund Undivided profits 23, 457.90 National-bank notes outstanding.. 6, 272.49 State-bank notes outstanding 284.46 Dividends unpaid. 10.500.00 Individual deposits "2,465.07 United States deposits 1,1H0. 00 DepositsofU.S. disbursing officers 6, 930. 20 Due to other national banks 3, 20!>.00 182, 2 L Due to State banks and bankers . 11,747.00 Notes and bills re-discounted 15, 500.00 Bills payable 20, 000. 00 12, 577. 45 22, 500.00 584, 50 152, 865. fi3 1,125.00 308, 527. 58 , Total. $100, 000. 00 308, 527. 58 Total. First National Bank, Fremont. No. 2703. JAMES AV. WILSON, President. Loans and discounts j O verdrafts ! U. S. bonds to secure circulation... j IT. S. bonds to secure deposits j. IT. S. bonds on hand !. Stocks, securities, judgments, etc .. Due from approved reserve agents j Due from other national banks ; Due from State banks and bankers.! Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned . Current expenses and taxes paid... Premiums on U. S. bonds '. Checks and other cash items Exchanges for clearing-house j. Bills of other national banks Fractional currency, nickels, cents . Specie ' I Legal-tender notes I U. 3 . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 1. 552, 520.14 Total. A. H . MILLER, $298, 261, 21 i Capital stock paid in i 3, 588. 07 25, 000.00 Surplus fund Undivided profits . 85,380. 00 National-bank notes outstanding.. 42, 222. 89 State-bank notes outstanding :. 1, 081.42 667. 51 Dividends unpaid . 26, 500.00 Individual deposits 4,404.01 United States deposits Deposits of U. S. disbursing officers. 6, 904. 20 Due to other national banks 7,191. 00 Due to State banks and bankers .. 371. 75 9,173.08 Notes and bills re-discounted 40, 650.00 Bills payable \ U. S.bond account i "1,125.66 Cashier. $100, 000.00 21, 000.00 10,511.40 22, 500. 00 381,757.64 1, 607. 35 1, 300.00 13,843.75 552, 520.14 Total. First National Bank, Galion. C. S. CRIM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits II. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie "'. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total No. 419. A. AV. MONROE, $103, 081. 82 ! Capital stock paid in. 3, 294. 68 50, 000. 00 Surplus fund Undivided profits . 32,456.11 410.20 149. 35 16,250.00 826. 93 "3 75." 07' 8, 228. 00 125.13 2, 483. 00 20, 000. 00 National-bank notes outstanding.. State-bank notes outstanding Cashier. $50,000.00 20,000.00 4, 904. 71 45, 000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 116, 688.29 Due to other national banks Due to State banks and bankers . . 3,297. 28 40.01 Notes and bills re-discounted. Bills payable 2, 250. 00 239, 930. 29 j Total. 239, 930.29 REPORT OF THE COMPTROLLER OF THE CURRENCY. 649 O If 1 O . Citizens' National Bank, Galion. No. 1984. «T. H. GREEN, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and banker*, i Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U". S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S A. V. LOWE, Cashier. Liabilities. $87, .'162. 2, 047. 15, 000. Capital stock paid i n . $«0, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. I State-bank notes outstanding ..... 12,000.00 a, 672. 21 13, 500. 00 Dividends unpaid . . . Individual deposits United States deposits . Deposits of U. S.disbu rsi ng officers 07, 711.11 Due to other national banks Due to State banks and bankers .. 4, 665.94 3, 638. 71 Notes and bills re-discounted . Bills payable Total.. Total. 165,187. 97 Galion National Bank, Galion. No. 8581. GEORGE SNYDEK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's o vyned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. O. L. HAYS, Cashier. $118,216.43 i Capital stock paid in. i 1, 830. 99 15, 000. 00 | Surplus fund I Undivided profits | | National-bank notes outstanding.. 25,096.2,3 State-bank notes outstanding 2,119.5)3 1 1 712.24 || Dividends unpaid 17,892.99 Individual deposits 628.64 United States deposits 1,000.00 Deposits of U.S. disbursing officers. 1, 218. 90 Due to other national banks 048.00 Due to State banks and bankers . . 6(5. 79 4. 924. 50 Notes and bills re-discounted . 15J 000. 00 Bills payable $60,000.00 7,000.00 2,071.77 13, 500.00 112, 096.08 7, 852. 58 2, 516. 23 675.00 205, 036. 66 Total. 205, 036. 66 First National Bank, Gallipolis. E. DELETOMBE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixturesj Other real estate and mortg's owned. Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 136. W. G. WIIEATON, Assistant Cashier. $158, 343,15 : Capital stock paid in . $75, 000.00 1, 849. 39 20, 000. 00 Surplus fund 1, 700. 00 5,127.89 j Undivided profits 14, 630. 53 10, 272. 59 1,11.9. 41 6,142. 08 3, 321. 42 4, 550. 00 1, 375.11 2,163.00 2, 087. 92 7, 330. 00 National-bank notes outstanding. State-bank notes outstanding 18,000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 100,641.40 2, 078.39 675. 23 12, 861. 69 18, 000.00 900.00 234, 084. 60 Total. 234, 084.60 650 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Garrettsville. J. S. TILDEN, Cashier. No. 2034. "W. B. MCCONNEL, President Resources. Liabilities. Loans and discounts Overdrafts U. S* bonds to secure circulation... TJ. S. bonds to sec are deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house.furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $145, 827. 45 4, 262. 00 20,000.00 5,682.09 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding 1, 703. 20 Dividends unpaid. 9, 645. 43 762. 00 Individual deposits 1, 344. 98 United States deposits $80, 000.00 20, 000. 00 2, 682.05 18, 000. 00 261. 00 73,171. 65 Deposits of U. S. disbursing officers 208. 00 1, 045. 00 50. 80 3, 767. 00 595.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 1, 678. 25 900.00 195, 792. 95 Total. 195, 792.95 First National Bank, Geneva. W. H. MUNGER. President. Loans and discounts Overdrafts C. 3. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due Irom State banks and bankers. Bank'g-ho use, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. D. S. ROBERTSON, Cashier. No. 2719. $100,000.00 Capital stock paid in. 7,000.00 Surplus fund 10,681.70 Undivided profits 1, 500.00 National-bank notes outstanding.. 43, 550. 00 25,9:59. 20 State-bank notes outstanding $175,919.59 273.92 50,000. 00 1, 636. '23 5, 000. 00 Dividends unpaid . 4, 000. 00 1, 845. 21 5, 200.00 24. 06 11, 670. 00 7, 269. 00 2, 250. 00 •II 292, 527. 21 Individual deposits United States deposits Deposits of U. S. disbursin g officers. 131,295.51 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. 292, 527. 21 First National Bank, Georgetown. JOSEPH COCHRAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-bouse, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2705. W. S. WHITEMAN, Cashier. $115,106. 39 Capital stock paid in $50, 000.00 554. 37 12,500.00 Surplus fund 10, 000.00 4,821.76 1,400.66 Undivided profits 13, 500.00 National-bank notes outstanding. 11, 250.00 8,180. 29 State-bank notes outstanding 30, 000. 00 Dividends unpaid 124. 00 4, 797.85 Individual deposits 150,123. 76 529. 73 United States deposits 3,142. 75 Deposits of U. S. disbursing officers. 516.00 Due to other national banks 630. 04 4,195. 00 Due to State banks and bankers .. 72.68 17,173. 00 Notes and bills re-discounted . 14, 710.00 Bills payable 562.50 Total. 226, 949. 56 REPORT OF THE COMPTROLLER OF THE CURRENCY. 651 OHIO. First National Bank, Germantown. JOSEPH W. SriANK,President. No. 8G. J O S H U A II. CROSS, Cashier. Resources. Loans and discounts I Overdrafts U. S. bonds to secure circulation... | U. S. bonds to secure deposits U. S. bonds on hand ' Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-ho use, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $96, 324. 91 471.48 12, 500.00 $50,000.00 Capital stock paid in. Surplus fund j Undivided profits ' 1, 500. 00 National-bank notes outstanding.. 23, 723. 57 State-bank notes outstanding 15,000.00 6, 974.03 11, 250. 00 6, 951.14 Dividends unpaid. 245.00 5, 047.17 1, 252. 25 3, 312.50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 3, 037. 00 18.31 5, 268. 50 3, 000.00 Dae to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 80,100. 30 562. 50 Total. 163, 569.33 163, 569.33 Second National Bank, Greenville. No. 2992. W. K. KERLIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, fumiture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $173, 713. 01 333.70 25, 000. 00 6, 000. 00 2, 079.80 511, 35 A. F. KOOP, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits . 18,000.00 3, 503. 03 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid 125. 00 800. 00 444. 51 6, 000. 00 133. 20 17,988. 00 14.74 12, 946. (55 9, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 111,961.93 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125. 00 Total. 256, 089. 96 256, 089.96 Farmers' National Bank, Greenville. G-. "W. STUDABAKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 1092. $197, 852. 69 2,002,28 25, 000. 00 21, 450. 00 37,141. 77 1, 561.24 J A S . M. LANSDOWNE, Cashier. Capital stock paid in. $84,000.00 Surplus fund Undivided profits . 54, 000.00 5, 897.42 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. 2, 380.00 16, 500.00 196.11 1, 2.10.00 1, 274. 53 731.00 148. 92 26, 600. 00 25, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 189, 056.12 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 1,125. 00 357, 833. 54 Total. 357, 833.54 652 REPORT OF THE COMPTROLLER OF THE CURRENCY. o at i o . First National Bank, Hamilton. Jonx P>. CORNELL, Cashier. No. 5G. PHILIP HUGHES, President. Resources. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $856,447.1(5 Capital stock paid in . 7,690.26 25, 000. 00 j Surplus fund 210, 000. 00 I Undivided profits. 300.00 ! 10, 500.00 National-bank notes outstanding.. 180, 580. 27 State-bank notes outstanding 3,760.35 3,402.18 Dividends unpaid. 5, 600. 00 27, 000. 00 7,802.39 Individual deposits United States deposits Deposits of U.S. disbursing officers. t Due to other national banks 12,929.00 ! Due to State banks and bankers .. 364.83 ' 31,032.26 I Notes and lulls re-discounted. 45,000.00 | Bills payable $100,000. 00 75, 000. 00 22,896.71 22,500.00 899, 432.78 230, 0U0. 00 17, 472. 49 11,231.72 1,125.00 1,378,533.70 Total 1,378,533.70 Second National Bank, Hamilton. WILLIAM E. BROWN, President Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from ap'proved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C. E. IIEISER, Cashier. No. 829. $100,-000.00 Capital stock paid in. 30,000.00 Surplus fund , 7,538.31 Undivided profits. 23, 650. 00 43, 884, 21 National-bank notes outstanding.. 90, 000. 00 61,789.40 State-bank notes outstanding $448. 472. 39 3, 905.19 100,000.00 10, 027. 75 24,000. 66 4, 290. 00 16, 698. 2b 314 92 "4,302.06 102. 09 9, 438.25 23,000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 526,129.71 14, 315. 99 10, 390. 44 4, 500.00 778, 374.45 Total . 778,374.45 Miami Valley National Bank, Hamilton. P E T E R MURPHY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents . Due from otner national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3840. $234, 129.46 4, 981.97 25, 000.00 5, 979. 45 763. 27 3,441.32 7, 905. 23 1, 325. 96 2, 000. 00 2,124.67 385. 00 165. 0L 2,184.00 9, 080.00 F. S. HEATH, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 3, 000.00 3, 870. 37 22,500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing oificers. 167,989.51 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 3,155.21 75.25 1,125. 00 300, 590.34 Total . 300,590.34 REPORT OF THE COMPTROLLER OF THE CURRENCY. 653 OHIO. First National Bank, Hillsborough. No. 787. J . A. SMITH, President. LYNE S. SMITH, Cashier. Liabilities. Resources. Loans and discounts 0 v e rcl r afts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits U S bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks. — Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortu's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S $231,568.27 8,432.41 25, 000. 00 10, 538.13 19, 524.17 Capital stock paid in 20, 000.00 3, 267. 37 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid 6*788." 16* 2, 000. 00 Individual deposits 37.50 United States deposits 1, 716. 99 Deposits of U.S.disbursing officers. 9, 017.00 22. £9 13, 679. 30 10, 000. 00 Due to other national banks Due to State banks and bankers .. Bills payable .. 193,175.16 506. 99 ..... 1,125. 00 Total 339, 449. 52 Total $100, 000. 00 Surplus fund Undivided profits 339, 449. 52 Citizens' National Bank, Hillsborough. C. M. OVERMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on h a n d Stocks, securities, judgments, e t c . . D u e from approved reserve a g e n t s . Due from other national b a n k s D u e from State b a n k s and b a n k e r s . Bank'g-house,furniture,andfixtures Other real estate and mortg's owned C u r r e n t expenses and taxes p a i d . . . Premiums on U . S. bonds Checks and other cash items E x c h a n g e s for clearing-house Bills of other national b a n k s Fractional currency, nickels, c e n t s . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. D u e from T r e a s u r e r U. S Total. No. 2039. $428, 649. 86 10, 498. 69 100,GOO. 00 O. S. PRICE, Cashier. Capital stock paid in. Surplus fund Undivided profits 20,120. 00 39, 603. 62 National-bank notes outstanding.. State-bank notes outstanding 15, 375.19 3, 000. 00 $100, 000.00 50, 000.00 15, 291. 61 Dividends unpaid 2,139.13 90, 000.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 362, 760. 67 Due to other national banks Due to State banks and bankers .. Notes and bills re-discouuted . Bills payable 4,107. 83 "3,~452"37 3,855. 00 35. 40 18, 350. 85 5, 200. 00 "29,"o6o.'66 880.00 Total. 651,160.11 651,160,11 Merchants' National Bank, Hillsborough. E. L. FERRIS, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents . Due from other national banks Dne from State banks and bankers. Bank' g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2449. $184, 449. 53 1, 886. 01 50, 000. 00 20,470.00 23, 650.97 13, 974. 08 ALBERT MATTHEWS, Cashier. Capital stock paid i n . $100, oooToo Surplus fund Undivided profits. 20, 000. 00 9, 471. 21 National-bank notes outstanding. State-bank notes outstanding 45, 000. 00 Dividends unpaid. 1, 774.70 10,483. 91 2, 469. 94 3, 000.00 272.15 2, 610. 00 27. J.9 14, 236.20 8, 500. 00 Individual deposits United States deposits DepositsofU.S.disbursingoflicers. Due to other national banks Due to State banks and bankers .. 161, 898.22 2,585.25 Notes and bills re-discounted . Bills payable 1,150. 00 338, 954-68 ! Total.. 338, 954. 68 654 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Ironton. No. 98. GEORGE WILLABD, President Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total.. E. W. BIXBY, Cashier. Liabilities. $079, 949. 02 1, 064.49 50, 000.00 308. 87 75, 321. 69 6,152.15 5,131. 20 14, 447.27 4,215.40 4, 760.68 2,525.77 3, 050.00 588.75 30, 752.10 7, 729. 00 Capital stock paid in. $300, 000.00 Surplus fund Undivided profits 75, 000. 00 29, 829.40 National-bank notes outstanding. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 386, 819.20 Dae to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 7,771.03 11, 737. 56 38, 749. 26 2, 250. 00 894,906.45 894, 906. 45 Total. Second National Bank, Ironton. C. C. CLARKE, President. It. MATHER, Cashier. No. 242. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents . Due from other national bauks Due from State banks and bankers. Bank'g-house, furniture, andfixturew Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for ciearing-houwse... Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $431, 306. 60 5, 028.21 50,000.00 Capital stock paid in. Surplus fund Undivided profits . 35,599.15 National-bank notes outstanding. 14, 748.09 State-bank notes outstanding 1, 665.08 154. 56 Dividends unpaid 12, 000.00 7, 200.70 Individual deposits 6,194.62 United States deposits 2, 400. 00 Deposits of U.S.disbursingofficers 2, 465. 54 Due to other national banks 4, 515. 00 Due to State banks and bankers. 156. 83 22,510,60 Notes and bills re-discounted 8,111.00 Bills payabl e $250, 000.00 13,400.00 13, 091. 00 45,000.00 255, 921. 52 16, 595. 05 3, 611. 77 8, 692. 64 2,250. 00 606,311. 98 Total. 606, 311.98 First National Bank, Jackson. T. S. MATTHEWS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houae,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. T. J. EDWARDS, Cashier. No. 1903. $50,000. 00 Capital stock paid in. 10, 000.00 Surplus fund 2, 734.24 Undivided profits . 11, 250.00 10, 883. 63 National-bank notes outstanding.. 16, 391.12 State-bank notes outstanding,... $150,248.94 1, 489. 27 12,500. 00 1, 207. 77 8,000. 00 8,000.00 1,278. 59 2, 000.00 866. 68 2,230. 00 269.90 15, 723. 00 5, 985. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Dae to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 158,930.55 4,721. 61 562.50 237,63C. 40 I Total. 237, 636.40 REPORT OF THE COMPTROLLER OF THE CURRENCY. 655 OHIO. NEWTON E. FRENCH, First National Bank, Jefferson. No. 427. President. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and morfg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $137,678. 80 4,111.94 70,000. 00 5," 550." 66" 11, 931. 00 40, 938. 7J 12,077.84 5,807.37 4,200.00 4,744.45 564. 86 1, 000. 00 12, 664. 34 5, 450. 00 95.00 14, 645. 00 3, 000.00 Capital stock paid in $70, 000. 00 Surplus fund Undivided profits 14, 000.00 15,845.70 National-bank notes outstanding.. State-bank notes outstanding 52, 890. 00 Dividends unpaid. Individual deposits United States deposits Deposits of (J. S. disbursing officers. 172, 623. 36 Due to other national banks Due to State banks and bankers.. 10,371.14 729.10 Notes and bills re-discounted. Bills payable 2, 000. 00 Total. 336, 459.30 Total. J. C. A. BUSHNELL, Cashier. Liabilities. 336,459.30 Kent National Bank, Kent. MARVIN KENT, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CHAS.K CLAPP, Cashier. No. 652. $100, 000. 00 Capital stock paid in. 20, 000. 00 Surplus fund 4, 075. 25 Undivided profits. 9, 300. 00 National-bank notes outstanding.. 22, 500. 00 10, 897. 87 State-bank notes outstanding $134, 905. 75 172. 75 25, 000.00 9, 472. 98 25," 666. oo 3, 300. 00 2, 279. 28 700. 00 392. 78 365. 103. 6, 632. 10, 037. 00 OH 83 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 89, 740.60 2, 725. 81 642. 61 1,125.00 Total . 239, 684.27 239, 684.27 First National Bank, Kenton. SOLOMON L. HOGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hou8e,furniture,andfixture9! Other real estate and mortg's ownedi Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie " Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. W. GRAMLICH, Cashier. N o . 2500. $97, 626.85 115. 67 12,500. 00 26, 737. 91 99.91 Capital stock paid in. Surplus fund Undivided profits. . National-bank notes outstanding. State-bank notes outstanding $50, 000.00 18, 000. 00 3,488. 07 11, 250. 00 Dividends unpaid. 6, 000. 00 941.72 Individual deposits United States deposits 85, 089.63 Deposits of U. S. disbursing officers *329."25 337. 00 79.82 1, 497.07 21, 000. 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 562. 50 167, 827.70 Total. L67, 827. 70 656 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Kenton National Bank, Ken ton. No. 3505. ASHER LETSON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc - Due from approved reserve agents Due from oilier national banks Due from State banks and bankers. | Bank'g-house, furniture, and fixtures; Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total- $195, 374.30 381.20 25, 000. 00 25, 657. 04 HUGH L. BUKKLE, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits I National-bank notes outstanding.. j I State-bank notes outstanding $100, 000. 00 6,200. 00 569. 78 22, 500. 00 Dividends unpaid. 183.75 1, 500.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 4, 462. 50 441. 79 145, 975.96 I Due to other national banks . Due to State banks and bankers . . 1,165. 00 36. 23 2, 887. 65 19, 000. 00 Notes and bills re-discounted . Bills payable 1,125.00 Total . 277, 214. 46 277,214. 46 Kinsman National Bank, Kinsman. ALLEN JONES, President Loans and discounts I Overdrafts i U. S. bonds to secure circulation... i U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and inortg's owned:. Current expenses and taxes paid ... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. 13. certificates of deposit Redemption fund with Tre; U. S . upti< sas. Due from Treasurer U. S. Total. N o . 3077. $90, 850.14 523.15 12, 500.00 G. W. BIRRELL, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits 7, 000. 00 13, 537. 82 6, 397. 34 3,000.00 10, 782. 84 National-bank notes outstanding.. State-bank notes outstanding ioo.oo 11,250.00 Dividends unpaid "4,'6o6.6o Individual deposits United States deposits Deposits of U.S. disbursing officers 193.27 1, 602. 00 500.00 Due to other national banks Due to State banks and bankers . . "1,500.00 8.54 4, 750. 00 1, 000. 00 66,107.20 3, 884. 72 Notes and bills re-discouuted . Bills payable 562. 50 145,024.76 | Total . 145, 024. 76 Hocking'Valley National Bank, Lancaster. THEO. MITHOFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. ©. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1241. $130, 021.90 1, 036. 04 15, 000.00 7, 560. 00 20, 655. 28 4, 707.38 268.26 11,700.00 2,128. 24 1,856. 79 7, 395.94 6, 415. 00 102.39 8, 903. 35 20, 342. 00 THOS. MmiOFF, Cashier. Capital stock paid in Surplus fund Undivided profits ! National-bank notes outstanding.. I State-bank notes outstanding Dividends unpaid Individual deposits . United States deposits . Deposits of U. S. disbursing oflicers. Due to other national banks Due to State banks and bankers .. : Notes and bills ro-disconnted.. Bills payable $60, 000.00 12, 000. 00 9, 341.92 13, 500. 00 142, 581. 51 1,344.14 675.00 I 238, 7ti7. ?>7 Total ,.„ 238, 767. 57 REPORT OF THE COMPTROLLER OF THE CURRENCY. 657 OHIO. Lebanon National Bank, Lebanon. No. 2360. JOHN M. HAYNER, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgment a, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixturesj Other real estate and mortg's owned Current expenses and taxes paid... j Premiums on U. S. bonds Checks and other cash items ' Exchanges for clearing-house Bills of other national banks J Fractional currency, nickels, cents j Specie i Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $145,667.23 j! Capital stock paid in 8,087.1)8 li 12,500.00 ;!•• Surpl us fund i Undivided profits | $50,000. 00 ; 35, 000. 00 6, 275. 39 55, 600. 00 '< National-bank notes outstanding.. \ 15, 768. 64 I State-bank notes outstanding '• 10, 690. 00 Dividends unpaid 1, 500. 00 1,342.05 353.00 91.85 16, 226. 00 8, 000. 00 * j [ Individual deposits United States deposits Deposits of TT.S. disbursingofticers Due to other national banks Due to State banks and bankers ..! Notes and bills re-discounted . Bills payable 163, Mil). 63 364.23 562. 50 265, 699.25 Total. J. M. OGLESBY, Cashier. 265, 699.25 Total. First National Bank, Leetonia. CHARLES N. SCHMICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. BanK'g-hout<e,rurniture,andnxtures Other real estate and mortg's owned Current expenses and taxes paid .. j Premiums on U. S. bonds j Checks and other cash items ' Exchanges for clearing-house j Bills of other national banks j Fractional currency, nickels, cents . j Specie I Legal-tender notes j U. S. certificates of deposit ' Redemption fund with Treas. U. SDue from Treasurer U. S Total. ^Y. G-. HENDRICKS, Cashier. No. 3519. $224, 225. 39 ! Capital stock paid in. $100, 000. 00 345.51 i: 25,000.00 I Surplus fund -. | 11,500.00 ' Undivided profits j 3,741.48 National-bank notes outstanding.. I State-bank notes outstanding ; 22, 500. 00 ' J Dividends unpaid | 1,133. 9J! ... ! Individual deposits I 897.71 ,i United States deposits 71 4,112.08 DepositsofU.S. disbursing officers.. 146, 544. 50 5, 510. 91 9, 095. 44 Due to other national banks 5, 39"). 00 Due to State banks and bankers. 181. 54 21, 054. 35 j | Notes and bills re-discounted 5, 000.00 !j Bills payable 1, 125. 00 Total. 293, 981. 42 293, 981.42 First National Bank, Lima. S. A. BAXTER, President. Total. H. Ex. 3 C. M. HUGHES, J R . , Cashier. No. 2035. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks ... Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's ownedj Current expenses and taxes paid ... i Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency^ nickels, cents Specie J. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S 'I 42 $325,512.71 ' Capital stock paid in 5,275.10 I 25,O00.OJ ! Surplus fund Undivided profits i $100, 000.00 26, 000. 00 8,566.88 8, 500. 00 p National-bank notes outstanding .. 20,505.19 \\ State-bank notes outstanding . . . . 1, 264.16 332. 65 Dividends unpaid. 22, 500. 00 Individual deposits United States deposits DepositsofU.S. disbursing officers. 243, 010. 95 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 11, 652. 88 1, 623. 36 6, 445.65 2,162.70 1, 531.10 1, 275. 00 337. 31 4,107. 50 10, 000. 00 20.00 1,125.00 413, 374.07 Total. 413, 374. 07 658 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Lima National Bank, Lima. No. 2859. B. C. FAUROT, President. Resources. Loans and discounts Overdrafts 17. S. bonds to secure circulation .. 17. S. bonds to secure deposits 17. S. bonds on hand — Stocks, securities, judgments, etc -. Due from approved reserve agents Duo from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Otherreal estate and mortg's owned Current expenses and taxes paid Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes 17. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. F. L. LANG AN, Cashier. Liabilities. $545,170.35 3, 800. 59 50,000.00 315.00 57, 900.16 662.64 1, 059. 57 5, 738.17 5, 570. 26 8,453.12 2, 620. 70 1, 057. 00 105.25 3, 590.00 37, 000.00 Capital stock paid in Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Duo to State banks and bankers .. Notes and bills re-discounted. Bills payable | $200,000.00 38, 000. Oft 5, 3l?0. 36 4o, COO. 00 431,110.47 5,861. 98 2, 250.00 725, 292.81 Total. 725, 292.81 Ohio National Bank, Lima. JOSEPH C. THOMPSON, President. Loans and discounts Overdrafts T7. S. bonds to secure circulation... 17. S. bonds to secure deposits 17. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Duo from other national banks Duo from State banks and bankers Bankrg-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on 17. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. T7. S Due from Treasurer TJ. S Total. J. H. WOODS, Cashier. No. 3772. $120,000. 00 Capital stock paid in. 3, 000. 00 Surplusfund 6, 796. 82 Undivided profits . 27, 000. 00 National-bank notes outstanding. 7,110.01 State-bank notes outstanding . . . $261,614.26 1,17a 51 30, 000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks "4,*357."o6' Due to State banks and bankers .. 100.59 16, 366.00 Notes and bills re-discounted 10, 000. 00 Bills payable 2, 500.00 3, 000. 00 2, 836. 74 4,000.00 623.00 780.00 174, 791.48 3,167. 81 9, 500.00 1, 350.00 345, 036.11 Total. 345,036.11 Madison National Bank, London. S. WATSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments,etc.. Duo from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-honse, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. B. F. CLARK, Cashier. No. 1064. $120, 000.00 Capital stock paid in. 24, 000.00 Surplusfund 3, 987.28 Undivided profits. National-bank notes outstanding.. 27, 000. 00 16,060.48 State-bank notes outstanding $201,750.55 4,224.04 30,000.00 1, 984. 36 10,481.24 2, 226.50 397. 65 1,954. 83 39, 857.09 9,857.00 168.00 15, 953.00 16, 300. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 170, 939.08 Due to other national banks Due to State banks and bankers . . 4,169.67 2,468.71 Notes and bills re-discounted'.. Bills payable 1, 350. 00 352, 564. 74 Total. 352,604.74 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 659 OHIO. First National Bank, Lorain. No. 2625. DAVID WALLACE, President. THEO. F . DANIELS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. b. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $164,216. 06 150.00 18, 750. 00 Capital stock paid in. $75, 000. 00 Surplus fund Undivided profits. 26, 697.91 National-bank notes outstanding. 8, 533. 23 State-bank notes outstanding 351.10 Dividends unpaid . 11, 000.00 500.00 Individual deposits 1,208. 83 United States deposits 1, 000. 00 Deposits of U.S. disbursing officers. 386. 39 Due to other national banks 770. 00 Due to State banks and bankers .. 142. 52 2,465. 00 3, 300.00 4,100.00 2,111.03 16,875.00 140, 302.61 l f 926.15 Notes and bills re-discounted . Bills payable 843.75 Total . 240, 314.79 240, 314.79 Malta National Bank, Malta. GEOUGK S. CORNEK, Acting President. Loans and discounts Overdrafts U. S. bonds to secure circulation... 17. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from ot her national banks Due from State banks and bankers. Bauk'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. P. SPKAGUE, Cashier. No. 2052. $117,439.03 1, 614. 36 20,000.00 14, 305.39 Capital stock paid in. $75, 000. 00 Surplus fund Undivided profits. 3, 049. 21 National-bank notes outstanding. State-bank notes outstanding 18, 000.00 Dividends unpaid. 1, 000. 00 295.96 1, 000. 00 1,225.18 6, 200. 00 40.20 4,686. 80 3, 000.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 74,233. 22 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 1,424. 49 900. 00 Total. 171, 706. 92 171,706. 92 Citizens' National Bank, Mansfield. GEORGE F. CARPENTER, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furnitur6,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks , Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S , Total. No. 2577. $223,476. 05 6, 621. 59 25, 000.00 50.00 8,491.25 10,371. 37 2,518. 71 500.00 2, 856.07 S. A. JENNINGS, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits. 28, 000.00 5, 414.65 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 159,136. 74 Due to other national banks Due to State banks and bankers . . 3,706.61 2,753. 98 5,066.77 3, 620. 00 33.17 685.00 31,097. 00 Notes and bills re-discounted . Bills payable 1,125.00 321,511.98 Total. 321,511.98 G60 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Farmers' National Bank, Mansfield. No. 800. J. S. HEDGES, President. J. J. MILLER, Assistant Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand * . Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national b a n k s . . . . Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $196,081.37 991. 92 25, 000. 00 19, 730. 00 644.26 11, 556. 05 4, 509. 22 20, "292. 00 2,891. 70 "i2, 203." 40 11, 756. 00 347. 00 32, 802.25 15, 500.00 Capital stock paid in. 33, 000.00 9,237.51 22, 500. 00 Dividends unpaid. Individual deposits United States dt-posits Deposits of U. S. disbursing officers. 182,132.68 Due to other national banks Due to State banks and bankers.. 4, 947. 48 3, 612. 50 Notes and bills re-discounted. Bills payable 1,125.00 Total. 355, 430.17 Total. $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding ; 355, 430.17 First National Bank, Marietta. W. W. MILLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hoose,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U.,S. Due from Treasurer XJ. S Total. E. M. BOOTH, Cashier. No. 142. $409,413.99 Capital stock paid in. $150, 000. 00 1, 028.12 50, 000.00 Surplus fund 30, 000. 00 10, 095.51 Undivided profits 21, 600. 00 National-bank notes outstanding.. 44,100.00 64, 890. 30 State-bank notes outstanding 41, 565. 34 922. 81 Dividends unpaid. 9, 700. 00 20,100.00 Individual deposits. 398, 401. 02 4, 978. 38 United States deposits Depositsof U.S.disbursing officers. 1, 599. 05 Due to other national banks 21, 478. 06 1, 550. 00 Due to State banks and bankers.. 17, 272. 53 417. 04 25, 844.12 Notes and bills re-discounted. , 18, 548. 00 Bills payable 2, 250.00 674,407.15 Total . 674, 407.15 First National Bank, Massillon. SALMON HUNT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, iudgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 216. $405,341.85 2,140.16 58, 000.00 19, 300. 00 32, 505.46 20.48 12,190.58 3, 000. 00 2, 638. 51 "2,"648.*50" 1, 900. 00 30,416.34 2,000. 00 CHARLES STEBSE, Cashier. Capital stock paid in. $150, oooToo Surplus fund Undivided profits. 50, 000.00 56, Ik9. 85 National-bank notes outstanding.. State-bank notes outstanding 51,561.00 3, 211. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers 1, 740.00 235, 655.87 Due to other national banks Due to State banks and bankers .. 14,057. 54 1, 756. 62 Notes and bills re-discounted Bills payable 10, 000.00 2, 610. 00 574,111.88 Total . 574, 111. 88 REPORT OF THE COMPTROLLER OF THE CURRENCY. 661 OHIO. Union National Bank, Massillon. No. 1318. •J. COLEMAN, President. J . H. HUNT, Cashier. Resources. Loans and discounts Overdrafts TL S. bonds to secure circulation... TT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' "-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national jbanks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit ... Redemption fund with Treas. U. S.! ; Due from Treasurer U. S Total. Liabilities. $253, 358.17 1,4H1. 00 100, 000. 00 14,651.01 Ij 9,027. 20 il 690.56 | 4,000.00 1 1 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits 50, 000. 00 8, 584. 02 .. National-bank notes outstanding.. State-bank notes outstanding 90, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 152, 408. 89 ...* 547.10 Due to other national banks 4,530.00 I Due to State banks and bankers .. 10, 087.48 4, 500.00 2, 502.30 3, 646. 71 Notes and bills re-discounted . Bills payable 3,120.00 Total 407,142. 52 407,142. 52 Vinton County National Bank, McArthur. DANIEL WILL, President. No. 2036. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U.S. bonds ('hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $141, 776. 02 7, 209. 97 I 20,000.00 I 11,745.20 ! 2,128.99 j J". W. DELAY, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits . . . .1 10,000,00 4, 591). 39 National-bank notes outstanding.. j State-bank notes outstanding. " . . j 18, 000, 00 J Dividends unpaid ! 2, 000. 00 "i'072. 29 1,100. 00 74.17 15, 085. 40 12,000.00 Individual deposits United States deposits Deposits of U.S.disbursingorticei's. i'J8, o:r,. 30 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1,60"). 08 7 900. 00 Total. 215, 092.04 215,002.04 First National Bank, McConnelsville. JAMES K. JONES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other c$sh items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2712. $174, 256.10 3, 628.26 25, 000. 00 6, 902.10 1, 809.12 615.35 1,450. 00 979. 66 2,000. 00 2, 958. 25 8, 250.00 46.22 8, 350. 00 11, 000.00 J. T. STANTON, Cashier. Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 7, 000. 00 3, 762. 91 22, 500. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S.disbiirsing officers. 111,929. 15 Due to other national banks Duo to State banks and bankers . . 3, 178. 06 Notes and bills re-discounted. Bills payable 1,125.00 248, 370.12 Total. 248, 370.12 662 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Phoenix National Bank, Medina. No. 2091. JAMES H. ALBRO, President Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation--. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andflxtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items.... Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents Specie • Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due fron Treasurer U. S Total. R. M. MCDOWELL, Caxhier. Liabilities. $156,764.12 569. 23 19,000. 00 38,044.70 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 350"00 80.00 1, 741.00 179.16 6,673.10 1,108.00 $75, 000. 00 la, 000. 00 (5, 746. 0(5 17,100. 00 100. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers 110, 5 U . 66 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bill* payable 2, 260. 87 355.00 226, 748. 59 Total. 226,748.59 First National Bank, Miamisburgh. N. J . CATROW, Cashier. No. 3876. HENRY GROBY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg' s owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house . . . Bills of other national banks. .. Fractional currency, nickels, cents . Specie Legal-tender notes U. o. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $252,840.23 30.57 25,000.00 72,697.60 13, 000.00 1, 828. 91 5, 000.00 270.13 13, 342.00 99.81 18, 667.00 5, 000.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $100, 000. 00 6, 000. 00 12, 268.24 22, 490. M 26.', 512.12 f», 630.89 1,125.00 Total. 408,901.25 408, 901. 25 First National Bank, Middletown. D. MCCALLAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxea paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. M. W. RENICK, Cashier. N o . 1545. $350,586.26 150. 71 40, 000.00 3, 633.66 66,197. 04 4, 500. 00 3, 522.70 8,250.00 1, 909.92 7, 500. 00 120.00 8, 760. 00 10,000.00 Capital stock paid in. Surplus fund Undivided profits.. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits DepositsofU.S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $150,000. 00 50, 000.00 la, 995. 01 36, 000.00 253,270.1:1 3, 665. 15 1,800.00 506, 930.29 Total. 506,930.29 REPORT OF THE COMPTROLLER OF THE CURRENCY. 663 O II f O . Merchants' National Bank, Middletown. CHARLF.8 F. GUNCKEL, President, No. 2025. E. W. GUNCKEL, Cashier. Liabilities. Resources. $902, 945. 74 Loans and discounts 4, 660. 90 Overdrafts 50, 000. 00 TJ. S. bonds to secure circulation... 125, 000. 00 U. S. bonds to secure deposits 1, 000. 00 TL S. bonds on hand 62, 650.00 Stocks,securities,judgments, etc.. 105,119.82 Due from approved reserve agents.. 20.63 Due from other national banks 324.37 Due from State banks and bankers 21, 488. 54 Bank'g-house,furniture, and fixtures 9,490. 75 Other real estate and mortg's owned 6,446.87 Current expenses and taxes paid.. 33,270. 00 Premiums on XL S. bonds... Checks and other cash items 2,481. 54 Exchanges for clearing-house 2, 000.00 Bills of other national banks 64.50 Fractional currency, nickels, cents. 4, 785.45 Specie 46, 000. 00 Legaltender n o t s Legal-tender notes U. S U S. certificates of deposit of Redemption fund with Treas. U. S. 2,250.00 Due from Treasurer U. S 1, 379, 998.61 Total. Capital stock paid in $400, 000. 00 Surplus fund Undivided profits 90, 000. 00 16,019.70 National-bank notes outstanding. . State-bank notes outstanding 45, 000.00 Dividends unpaid. 140. 00 Individual deposits United States deposits Deposits of U. S.disbursingofficers. 681, 025. 26 130, 000.00 Due to other national banks Due to State banks and bankers.. 17,183.65 Notes and bills re-discounted. Bills payable Total. 1, 379, 998. 61 Milford National Bank, Milford. JOHN B. IUEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Mocks, securities, judgments, etc.. Due from approved reserve agents . Due from other national banks Due from State banks and bankers.. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. M. SANFOUD, Cashier. No. 3234. $30, 001). 00 Capital stock paid in. Surplus fund 1, 000. 00 5)15.29 Undivided profits.... 29,007. 00 National-banknotes outstanding.: 45, 000. 00 3, 583. 03 State-bank notes outstanding $37,973. 68 98.51 50, 000. 00 Dividends unpaid. 278. 07 1, 900.00 Individual deposits 465.' 66" United States deposits 13,250. 00 DepositsofU.S.disbursingofncers. 500. 00 Due to other national banks 370. 00 Duo to Stato banks and bankers..] 24.24 2,160. 00 Notes and bills re-discounted. 4,110. 00 Bills payable 44,154. 24 4, 000. 00 2, 250. 00 145,969. 53 Total. 145, 969. 53 First National Bank, Monroeville. H. P. STENTZ, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes..,..,. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. B. SALISBURY, Cashier. No. 2438. $50, 000. 00 Capital stock paid in. 10, 000. 00 Surplus fund 2, 748.12 Undivided profits. National-bank notes outstanding. 45, 000.00 31, 909.17 State-bank notes outstanding. $133,292. 76 54.79 50,000.00 20, 504. 42 1,972. 65 2, 850. 00 Dividends unpaid Individual deposits 633.31 I!United States deposits Depositsof tT.S.disbursingofiicers. ij 390. 00 Due to other national banks 6, 500. 00 Due to State banks and bankers.. 35. 46 8,850.00 i Notes and bills re-discounted. 3, 000.0J | Bills payable 152, 607. 40 682. 38 204. 66 1, 250. 00 201,242.56 ' Total.. 261, 242.56 664 BEPOBT OF THE COMPTKOLLER OF THE CURRENCY. OHIO. First National Bank, Mount Gilead. ALLEN LEVEKING, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... 17. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes , TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S , Total. No. 258. R. B. LEVERING, Cashier. Liabilities. $69, 845.62 1, 6(52. 39 12,500.00 5,395. 00 13,398.14 2, 072.12 4, 777. 99 5, 700. 00 1,000. 00 977. 92 4, 00Q. 00 52.44 9, 738.00 3.03 4, 610.75 5, 000. 00 Capital stock paid in. $50, 000. C O Surplus fund Undivided profits 9,195.18 National-bank notes outstanding. State-bank notes outstanding.... 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 70, 210. 78 Due to other national banks Due to State banks and bankers.. 721.91 18.00 Notes and bills re-discounted. Bills payable 562. 50 100.00 Total. 141,395.90 141, 395. 90 Morrow County National Bank, Mount Gilead. WILLIAM G. BEATTY, President. Loans and discounts Overdrafts.U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house.furniiure.andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit — Redemption fund with Treas. U. S. Due from Treasurer XJ. S No. 2459. $104,170.23 3, 648. 37 12, 500. 00 7, 853. 75 239. 74 3, 291. 57 7, 297.28 1,125.04 900. 00 435. 70 C00. 00 32. 91 3, 935.00 5,000. 00 Surplus fund Undivided profits National-bank notes outstanding . State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and .bills re-discountedBills payable $50, 000. 00 5, 250. 00 2,977. 58 11,250.00 129. 50 78, 312. 0'i 2, 72S. R3 849.13 562. 50 151,492.09 Total. D. V. WHERRY, Cashier. Capital stock paid in . Total. 151,492.09 First National Bank, Mount Pleasant. R. W. CHAMBERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixture? Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie — Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. I. K. RATCLIFF, Cashier. No. 492. $175, 000.00 Capital stock paid in. 35, 000. 00 56,666." oo Surplus fund 8, 445. 49 Undivided profits 45, 000.00 21,100. 00 National-bank notes outstanding.. 21,580.32 State-bank notes outstanding $275,675. 23 127. 31 4, 350. 00 1,167. 24 7,000.00 2, 685. 71 34.79 900.00 7, 941. 00 Dividends unpaid. Individual deposits United States deposits Deposits ofU.S.disbursing officers. 128, 324. 64 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable .... 344. 54 2,696. 93 2, 250. 00 394,811. 60 Total . 394,811. 60 REPORT OF THE COMPTROLLER OF THE CURRENCY. 665 OHIO . First National Bank, Mount Vernon. FRED. D. STURGIS, Cashier. No. 908. C. DELANO, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total . Liabilities. $90, 993.23 117, 81 12, 500. 00 32.018. 95 71,139. 60 2, 828. 74 10, 500.00 251. 45 $50, 000. 00 Capital stock paid i n . 15, 000. 00 2, 249.44 Surpl us fund Undivided profits National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g 700.00 Dividends unpaid Individual deposits United States deposits j Depositsof U.S. disbursing officers.; 229, 517. 83 '•2,"223. 46' 5, 310. 00 94.51 8, 603. 20 69, 723. 00 D u e t o other national b a n k s D u e to State b a n k s and b a n k e r s . . 8, 753. 44 645. 74 Notes and bills re-discounted . Bills payable 562. 50 306, 866. 45 306, 866. 45 Total . Knox National Bank, Mount Vernon. No. 3328. HENRY L. CURTIS, President, Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house. Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $140, 349. 39 4, 568.99 23, 000. 00 18, 438. 72 2, 086.25 3, 640. 31 J N O . M. E W A L T , Cashier. $50, 000. 00 Capital stock paid i n . 2,170. 00 1, 988.07 Surplus fund Undivided profits National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 20, 700.00 Dividends unpaid Individual deposits U Hi.ted States deposits Deposits of U.S.disbursing onicers. 147, 0G9. 71 10, 000. 00 D u e to other national b a n k s D u e to State b a n k s a n d b a n k e r s . . 706. 05 2, 527.02 8,178.45 10, 000. 00 Notes and bills re-discounted . Bills payable 1, 572. 56 2," 291.18' 1, 035. 00 Total . 225,160.85 225,160. 85 First National Bank, Newark. J . BUCKINGHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andtixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items... Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Dae from Treasurer TJ. S Total. No. 858. F . S. W R I G H T , Cashier. $215,442.87 ! I Capital stock paid in 4,711.53 i 31,000.00 jj Surplus fund : i Undivided profits 6, 841.06 39, 544.94 10,149.99 6, 984. 48 16,804.92 | 1,119. 61 6,8L3.27 2, 019.00 7, 848. 00 40.88 27, 625. 00 30, 000.00 $100, 000. 00 \ National-bank notes outstanding.. State-bank notes outstanding 20, 000. 00 12,830. 23 17, 345. 00 Dividends unpaid Individual deposits : United States deposits DepositsofU.S. disbursing officers. Due to other national banks Due to State banks and bankers... 251,725.10 8, 440.16 Notes and bills re-discounted . Bills payable 1, 3&5. 00 2, 000. 00 410, 340. 55 Total. 410, 340. 55 666 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. People's National Bank, Newark. No. 3191. W, N. FULTON, President J. H. FRANKLIN, JR., Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,aadfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $361, 384. 95 1, 888.59 50, 000. C O 50.00 15, 875. 00 27, 672. 52 391. 66 878. 52 5, 000.00 3,980.83 10,677. 22 1, 917.87 5,190. 00 139. 56 19, 701.00 25, 000. 00 $150, 000. 00 Capital stock paid in Surplus fund Undivided profits. 22, 000. 00 1*2, 909. 52 National-bank notes outstanding . State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of 17. S.disbursing officers. 296,188. 22 Due to other national banks Due to State banks and bankers -. 4, 51!>. 84 1, 380.14 Notes and bills re-discounted . Bills payable 2,250. 00 531, 997.72 531,997.72 Total First National Bank, New Lisbon. M. J . CHILD, Cashier. No. 2203. J . F . BENNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g-house,fnrniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house ... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $81, 061. 85 6,895. 02 12,500.00 8, 007. 52 264.05 643. 97 7,350. 00 32568 5, 920.00 40.98 15, 307. 75 2, 867. 00 Capital stock paid in. $50, 000. 00 C, 610.07 3, 278. 70 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding . „ . . ll,25:j.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disb ursin g officers 68, 867.40 Due to other national banks Due to State banks and bankers .. 1, 740. 09 Notes and bills re-discounted. Bills payable 562.50 Total. 141, 746.32 141, 746. 32 First National Bank, N e w London. J . S. TOWNSEND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-h o us e, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer IT. S Total. No. 1981. $98, 276. 64 16,418.00 10,766. 64 120.15 5, 000.00 3, 485.66 73.30 291. 69 1,143. 00 24.71 1, 577.10 2,000. 00 JOHN M. SHERMAN, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $50, 000. 00 10, 000. 00 4,141.08 11,250.00 76,374.88 473. 43 562.50 152, 239. 39 Total. 152, 239.39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 667 OHIO. Citizens' National Bank, New Philadelphia. S. O'DONXELL, President. No. 1999. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bauk'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Leeal-tender notes U.ft.certificates of deposit Redemption fund with Treas. XJ. S . Dae from Treasurer T7. S Total. C. C. WELTY, Cashier. Liabilities. $252, 062. 94 376. 20 40, 000.00 63, 386. 22 2, 016. 48 1, 715. 80 4, 000. 00 1,233.57 700.00 790.40 3, 550.00 6, 909.08 18, 500.00 Capital stock paid in. Surplus fund $50, 000. 00 8, 200. 00 3,863. 00 Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 23, 155. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. diabursingolficers. 304, 585. 77 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 3,236.09 2, 000.83 1, 800. 00 397, 040. 69 Total. 397,040.69 First National Bank, New Richmond. F. FREDMAN, President. No. 1068. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-bouae, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $107, 522. 36 70. 22 80, 000. 00 636.00 29, 847.08 3, 500.00 9, 828. 37 582. 50 2, 500.00 1. 000. 00 5.12 880.00 5, 000. 00 GEO. W. MCMURCHY, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $80,000. 00 17,300. 00 1,974.79 71, 200. 00 72, 596. 81 1, 900. 05 3,600.00 244,971.65 Total., 244, 971.65 First National Bank, Norwalk. THEODORE WILLIAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank 'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums onU. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 215. $128, 092.73 2, 771.96 25,000.00 2,750.00 6,251. 83 9, 723. 43 494. 43 2, 221.00 2,134.00 2, 987. 21 1, 000. 00 877. 02 11, 365. 00 194.72 3, 288. 00 8,000. 00 CHARLES H. GLASER, Assistant Cashier. Capital stock paid in. Surplus fund. Undiv livided profits . National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 10, 050. 00 4, 318.41 22, 500. 00 Dividends unpaid Individual deposits Uni ted States deposits Deposits of U.S. disbursing officers. 114,287.20 Due to other national banks .. Due to State banks aud bankers .. Notes and bills re-discounted. Bills payable 6,232.14 1,008.58 1,125. 00 120. 00 208, 396,33 Total . 208, 396. 33 668 REPORT OF TILE COMPTROLLER OF THE CURRENCY. OHIO. Norwalk National Bank, Norwalk. No. 931. JOHN GARDINER, President. C. W. MILLEN, Cashier. Resources. Loans and discounts O verdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums ou U.S.bonds C hecks and other cash items .E xchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $193, 081. 03 3. 539. 98 50, 000. 00 $100,000.00 Capital s t o c k p a i d i n . 20. 000.00 17, 001. H7 National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g 3, 522. 30 517. 49 6, 500. 00 8, 038. 44 1, 410. 30 5, 000. 00 S u r p l u s fund Undivided profits 45, 000. 00 Dividends unpaid . I n d i v i d u a l deposits U n i t e d S t a t e s deposits D e p o s i t s of U.S. d i s b u r s i n g officers. 133, 351. 24 D u e to o t h e r national b a n k s 4, 600. 00 144.72 39, 617. 34 9, 350.00 11, 983. 03 235. 46 Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 2,250.00 Total. 327, 571. 60 327, 571. 60 Citizens' National Bank, Oberlin. M O N T R A V I L L E STONK, President. L o a n s and discounts Overdrafts U . S. b o n d s t o s e c u r e c i r c u l a t i o n . . . U. S. b o n d s t o s e c u r e deposits U. S. b o n d s o n h a n d Stocks, securities, judgments, e t c . . D u e from a p p r o v e d r e s e r v e a g e n t s . D u e from o t h e r national b a n k s Dae from S t a t e b a n k s a n d b a n k e r s . Ba u k' g-ho use, furniture, and fixtures O t h e r r e a l e s t a t e a n d m o r t g ' s owned C u r r e n t expenses a n d t a x e s p a i d . . . P r e m i u m s on U . S. b o n d s . C h e c k s a n d o t h e r cash i t e m s E x c h a n g e s for clearing-house Bil Is of o t h e r national b a n k s F r a c t i o n a l c u r r e n c y , nickels, centsSpecie Legal-tender notes U. S. certificates of deposit R e d e m p t i o n fund with. T r e a s . U. S . D u e from T r e a s u r e r U. S Total. N o . 2718. $140,421.62 """"157666*66" 4, 400. 00 2, 092. 04 451.02 694. 89 2, 030.52 1, 521.67 3, 500.00 1.20 C H A S . C . BECKWIT'U, Cashier. $60, GOO. 00 Capital stock paid i n . Surplus fund Undivided profits 12, 000.00 4, 650. 98 National-bank notes outstanding.. State-bank notes outstandiag . . . . 13,500.00 Dividends unpaid Individual deposits J United States deposits i Deposits of U. S. disbursing oulcers.; 96, 127. f>5 Due to other national banks 3,010.00 Due to State banks aud b a n k e r s . 133.57 9, 555.00 !! Notes and bills re-discounted 2, 792.00 jj Bills payable 675. 00 Total. 186, 278. 53 186, 278. 53 Painesville National Bank, Painesville. C. O. CHILD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-b ouse, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. 3. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 2842. $269, 887. 40 4,079.15 50, 000. U0 3, 000. 00 1, 726. 89 8, 749. 34 3, 917.47 10, 000.00 C. D. ADAMS, Cashier. Capital stock paid in. , Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstandingDividends unpaid 1 $200,000.00 n, ono. 00 6,070.11 43, 900. 00 3">4. 00 115,970.18 2,245.20 3,840. 00 Individual deposits United States deposits. Deposits of U.S.disbursing officers . 3, 680. 00 8.96 7, 428. 00 7,159. 00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 433.11 1,344.01 2, 230. 00 377,971.41 Total. 377,971.41 REPORT OF THE COMPTROLLER OF THE CURRENCY. 669 OHIO. Third National Bank, Piqua. No. 3750. LEWIS LEONARD, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. TL S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds C necks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie . Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total. "DAVID N. REID, Cashier. Liabilities. $197, 770.19 Capital stock paid in 251. 36 37, 500.00 Surplus fund Undivided profits. National-bank notes outstanding.. 42, 008. 70 State-bank notes outstanding $150,000. 00 1,500.00 4, 408. 55 24, 935. 00 11.29 5, 800.00 Dividends unpaid. Individual deposits 1, 602. 69 United States deposits 7, 067. 07 Deposits of U.S. disbursing officers 255. 37 545.00 316.34 3, 027.80 6, 076. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 118, 591. 57 4, 039.69 1, 243. 00 Total. 303, 474.81 303,474.81 Citizens' National Bank, Piqua. W. P. ORB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits •U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U\ S. Due from Treasurer U. S Total. No. 1061. HENRY FLESH, Cashier. $408, 648.30 1,103.58 25,000. 00 Capital stock paid in. Surplus fund Undivided profits. 700.00 National-banknotes outstanding.. 20,169. 27 State-bank notes outstanding 3,174.62 449. 57 14, 000. 00 Dividends unpaid $100, 000. 00 20,000. 00 6, 764.76 21, 340. 00 325. 00 Individual deposits 1,785.00. United States deposits 1, 000.00 Deposits of U. S. disbursing officers. 797.16 Due to other national banks 10,000.00 Due to State banks and bankers .. 50.00 16, 450. 00 Notes and bills re-discounted . 25,000.00 Bills payable 375,117.47 5, 715. 82 189.45 1,125.00 529,452.50 529,452. 50 Total . Piqua National Bank, Piqua. F. JAKVIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixturee Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1006. JOHN S. PATTEKSON, Cashier. $300,282.83 ; Capital stock paid in. 1,987.82 j 50,000.00 i Surplus fund 1, 000. 00 60,200. 00 160,607.93 5, 778.01 208.33 1,740. 00 1,106. 79 12, 803. 00 Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits ofU.S.disbursing officers. Due to other national banks $200, 000. 00 40, 000. 00 7, 925. 57 45, 000. 00 1,268.00 325, 940.51 9,154. 38 1, 800. 00 Due to State banks and bankers.. 23.72 9, 500. 00 Notes and bills re-discounted. 20, 000. 00 Bills payable , 2,250.00 629,288.46 Total . 629,288.46 G70 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Plymouth. W . B. CUYKENDALL, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationallaanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total. No. 1904. WM. MONTEITH, Cashier. Liabilities. $95,579.13 404.41 50,000.00 13,475.83 4,056.31 7, 500, 00 """882.*75" 2,450. 00 28.18 6, 090. 00 4,000.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50,000. 00 10,000.00 2, 630. 54 45,000. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers 78, C94. 11 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 391.96 2,250.00 186,716. 61 Total. 186, 716.61 Pomeroy National Bank, Pomeroy. (x. MCQUIGG, President. JOHN MCQUIGG, Cashier. No. 1980. Loans and discounts Overdrafts '. n U. S. bonds to secure circulation .. U. S.bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Duo from other national banks Duo* from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $110,960. 70 189.36 25,000. 00 25, 540.00 56,854.42 38,357.05 17,315.00 27,156. 05 1,150.64 2, 200.00 61.50 2,897.00 62.60 7,142. 00 28, 747. 00 Capital stock paid in j Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding , Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $100,000.00 20, 000.00 U, 016. 63 •22,500.00 187, 21V. 49 3,722.81 2, L'98 3J 1,125.00 344,758.32 Total . 344, 758.32 First National Bank, Portsmouth. ROBERT BAKER, President. Loansand discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bunk'g-house, furniture, andfixtures Other real estate'and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. A.T.JOHNSON, Cashier. No. 68. $100, 000. CO Capital stock paid in. 12, 000. 00 Surplus fund 4, 2G8. 76 Undivided profits. 9,900.00 National-bank notes outstanding.. 22, 500. C O 36,102. 77 State-bank notes outstanding $218,214.46 108.26 25,000.00 2, 527.55 321.96 8, 500.00 15,022. 34 1,756.40 6, 500.00 28.49 430.00 93.42 16,160.10 12,000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 212,428.04 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 2, 208. 33 385.12 1,125.00 353, 790. 75 Total . 353,790.75 REPORT OF THE COMPTROLLER OF THE CURRENCY. 671 OHIO. Farmers' National Bank, Portsmouth. No. 1088. G. DAVIS, President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-bouse, furniture, andfixtures Othrr real estate and inortg'sowned Current expenses and taxes paid... Premiums on IT. S. bonds Checks .and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Duo from Treasurer TT. S $549,453. 33 2,110.41 50, 000. 00 31,005.00 70, 930.59 31,027.61 1, 446.62 9, 000.00 10,000. 00 4,936.37 12, 500.00 592.12 14,100.00 27.01 1,940.00 41, 547.00 Liabilities. Capital stock paid in. $250, 000.00 Surplus fund. Undiv tivided profits . 50, 000. 00 17, 300.30 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid 1, 062. 00 Individual deposits United States deposits Deposits of IT. S. disbursing officers 450, 98G. 83 Due to other national banks Due to State banks and bankers. . Notes and bills re-discounted. Bills payable 18,411.15 105. 78 2, 250.00 Total. 832,866. 06 Total. J . M. WALL, Cashier. 832, 866. 06 Portsmouth National Bank, Portsmouth. J. G. PEEBLES, President. Loans and discounts Overdrafts U. S. bonds to secure peculation. . . IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Ban kg- house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Duo from Treasurer IT. S Total. No. 935. $296, 013.24 1, 815.91 50,000.00 19, 929.50 19, 218.04 12, 260.79 2, 382. 89 8, 400. 00 2, 775. 00 4, 240. 74 W. C. SILCOX, C&shicr. Capital stock paid in. $125, 000.00 Surplus fund , Undivided profits National-bank notes outstanding.. State-bank notes outstanding 27,000. 00 8,862.01 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 248. 58 Due to other national banks 4,185.00 Due to State banks and bankers .. 115.93 6, 250.25 Notes and bills re-discounted. 31,150.00 Bills payable 226, 725.41 24, 694. 93 3, 953. 52 2,250.00 Total. 461, 235.87 461, 235. 87 Quaker City National Bank, Quaker City. J. R. HALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Duo from State banks and bankers. Ban k'g-hou se, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1989. $181, 820.48 1, 727. 39 25, 000.00 6, 350.00 3,090. 64 2, 015. 62 2, 229.91 6, 500.00 327.74 310.00 40.75 7, 718.00 3, 700. 00 I. P. STEELE, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $100, 000. 00 20,000. 00 5,147.9 L 22,400. 00 142.00 93, 604. 03 601. 59 1,125. 00 241, 955. 53 Total. 241, 955. 53 672 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Ravenna. N E W E L D. CLARK, President. No. 106. R. B. CAKNAHAN, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds oa hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-b ouse, fnrniture, andiixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house.. Hills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $165,121.45 ; Capital stock paid in 38.44 ; 30,000.00 Surplus fund Undivided profits 5,458.96 24,137.60 5,299.71 *i2,'5OO.'o6" 9, 653. 33 1,665.13 $100,000.00 20, 000. 00 3, 629.58 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 127, 000. 00 Dividends unpaid 50.00 Individual deposits United States deposits Depositsof U. S. disbursing otlicors. 121, 369.03 "3^029^99' 4, 200.00 18.07 1, 379. 50 8, 798.00 Due co other national b a n k s Due to State banks and b a n k e r s 601. 57 Notes and bills re-discounted Bills payable 1, 350. 00 Total 272,650.18 1 272, 650.18 Second National Bank, Ravenna. No. 350. D. C. CdOLMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. $248,923.12 1,519.24 50,000. 00 1,666.66 20, 225.00 14, 271.18 2,936. 65 4, 999.04 17, 500. 00 1, 659.22 3, 000.00 5,453.80 5, 735.00 139.53 4,145. 00 21,500. 00 W. H. BKEBE, Cashier. Capital stock paid in I $150,000.00 Surplus fund Undivided profits j , 14, 750.00 18, 104.86 * National-bank notes o u t s t a n d i n g . . State-bank notes outstanding Dividends unpaid 45, 000.00 60.00 Individual deposits United States deposits Deposits of U. S. disbursing oiiicors. Due to other national banks D u e to State banks and b a n k e r s . 175, 991. 27 1, 350. 65 Notes and bills re-discounted. Bills payable 2, 250.00 Total. 405,256. 78 405,256.78 Citizens' National Bank, Ripley. W. A. GILLALAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3291. $175, 930. 74 1, 208. 85 25, 000. 00 1,138.43 11, 884.44 3,673.78 6,251. 31 1, 213. 71 20, 734.00 235.09 4, 000. 00 15, 000. 00 A. B. MoituisoN, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid r Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. $100,000.00 3, 600. 00 4,176.80 22, 500. 00 142,157. 02 3, 023. 30 1, 0J2. 39 Bills payable 1,125.00 276, 489. 51 Total. 276,489.51 REPORT OF THE COMPTROLUSR OF THE CURRENCY. 673 OHIO. Ripley National Bank, Ripley. JOHN T. WILSON, President. No. 2837. W. T. GALB HEATH, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned| Current expenses and taxes paid... Premiums onTJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 13. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. $377, 917.82 6, 700. 78 25, 000. 00 43,569.98 39, 462.02 $100, 000. 00 C a p i t a stock paid i n . Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 12, 327.05 22, 500.00 Dividends unpaid. 7,100.00 1, 712. 68 2, 076. 00 24,139.00 458. 96 22, 200. 00 19,000. 00 Individual deposits ITT> «Wl States deposits D e b u t s of U.S. disbursing officers. 385, 007.45 Due to other national banks Due to State banks and bankers .. 627.74 Notes and bills re-discounted . Bills payable 1,125.00 570, 462.24 Total . 570, 462.24 First National Bank, Saint Clairsville. GEORGE BROWN, President. No. 315. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalpanks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. Is. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. $191, 989. 94 491. 88 100, 000. 00 22, 000. 00 11, 795. 58 5,547.40 212. 97 6, 500. 00 10,000. 00 2,867.22 j J. B. MITCHELL, Cashier. Capital stock paid in | $100,000.00 Surplus fund Undivided profits 40, 000.00 8, 378.13 National-bank notes outstanding.. State-bank notes outstanding..... 86, 000. 00 Dividends unpaid. Individual deposits United States deposits IX , .Mit' >i'U.S.disbursingofficers 148, 958.33 139. 60 ""3,"i82."(V" 109. 87 4, 000, 00 20,000. 00 Dufc, to other national banks Due to State banks and bankers .. Not' ' and bills re-discounted . Bills payable 4,500.00 383,336. 46 Total 383,336.46 First National Bank, Saint Paris. D. J. BBUBAKBB, President. Loans and discounts O verdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned] Current expenses and taxes paid... Premiums on U.S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. H. Ex. 3 No. 2488. $93, 300.34 5,100. 00 13, 050. 00 5, 522. 70 5, 795.79 4, 636. 83 $52,100.00 Surplus fund Undivided profits. 10,500.00 15, 338. 57 National-bank notes outstanding. State-bank notes outstanding 11, 735. 00 Dividends unpaid. 8 00 6,000.00 """94L22' Individual deposits United States deposits DepositsofU.S. disbursing officers. 65,135. 91 1,793.27 5,000. 00 131. 77 7, 843. 70 5, 384. 00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 2G9,36 587.25 155,086.87 43 H. M. BLACK, Cashier. Capital stock paid in. Total. 155,086. 87 674 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Salem. No. 2691. FURMAN GEK, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits Stocks,securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andflxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total RICHARD P O W , Cashier. Liabilities. $210,906.01 94.47 25, 000.00 33, 747.11 508.19 317.23 2, 000. 00 5, 900. 00 2, 547. 00 2, 000.00 1, 16d. 27 3, 547.00 64.81 5, 600. 00 15, 000.00 Capital stock paid in Surplus fund Undivided profits $100, 000.00 20,000.00 8,433.41 National-bank notes outstanding . State-bank notes outstanding 22, 500.00 Dividends unpaid 3.00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 150, 286. 66 Due to other national banks Due to State banks and bankers .. 8, 300.02 Notes and bills re-discounted Bills payable 1,125.00 Total 309, 523.09 309, 523. 09 Farmers' National Bank, Salem. J . T. BROOKS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dne from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. R. V. HAMPSON, Cashier. No. 973. $200, 000. 00 Capital stock paid in . 46, 000. 00 Surplus fund 3, 9U0.49 Undivided profits. National-bank notes outstanding. 44,400.00 10, 265. 62 State-bank notes outstanding $289,442.78 2, 744.56 50, 000. 00 18, 267. 24 632.06 7, 600.00 7, 500.00 3,226. 63 5, 000.00 2, 976.50 6,121.00 150. 00 11,000.62 10, 000. 00 Dividends u n p a i d . 871.00 Individual deposits United States deposits Depositsot'U.S. disbursing oincers. 13(5, 481. 69 D u e t o other national b a n k s Due to State banks and bankers . . 471.70 982.13 Notes and bills re-discounted. Bills payable 2, 250. 00 Total . 427,197. 01 427,197.01 Second National Bank, Sandusky. R. B. HUBBARD, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. 8 Due from Treasurer U. S Total. No. 210. $306,094.87 514. 69 50,000.00 56, 500.00 19, 548. 64 981.46 4,165.44 9, 000. 00 4, 258.13 3,396.66 10,229.00 26, 513. 25 50, 000. 00 A. W. PKOUT, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disburaingonicers. Due to other national banks Due to State banks and b inkers.. Notes and bills re-discounted. Bills payable | $100,000. 00 80,000. 00 13, 601. 29 45, 000. 00 295, 395.34 9,361.85 2, 250. 00 543, 451. 48 Total. 543,451.48 REPORT OF THE COMPTROLLER OF THE CURRENCY. 675 OHIO. Third National Bank, Sandusky. No. 2061. L A WHENCE CABLE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.TL S. Due from Treasurer U. S Total. F. P. ZOLLINGER, Cashier. Liabilities. $526,857. 07 2, 527. 73 50, 000. 00 2,100.00 82,991.86 10, Oil. 83 2, 069. 50 2, 500. 00 14,287.12 6, 251. 70 Capital stock paid in ; Surplus fund i Undivided profits National-bank notes outstanding . State-bank notes outstanding ! $200, 000.00 40, 000. 00 18,88 L. 98 45, 000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 505,040.54 3,125.33 38, 439. 00 61, 231. 22 4,500. 00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 219.99 2,250. 00 .15 Total . 809,142. 51 809,142. 51 1 Citizens National Bank, Sandusky. ALBERT E. MERRILL, President. Loans and discounts O verdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-honse, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. HENRY GRAEFE, Cashier. No. 3141. $339,987.67 5,240.38 25,000.00 52,494. 84 2, 935.63 975.42 1,100. 00 3, 373. 61 1, 000.00 577. 36 "30,~857*66" 136.93 64, 596.00 10, 000.00 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits. 15. 000.00 8, 877.18 National-bank notes outstanding State-bank notes outstanding... 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing oificer3. 390,120.01 Due to other national banks Due to State banks and bankers .. 3, 793.17 Notes and bills re-discounted . Bills payable 1,125. 00 890. 52 540, 290. 36 Total . 540, 290. 36 Moss National Bank, Sandusky. JAY O. MOSS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C HARLES H. Moss, Cashier. No. 2810. $286, 627.36 I Capital stock paid in 2,883.00 ' 100,000. 00 Surplus fund 55, 703.23 11, 922. 72 10, 639.78 6, 357.31 8, 000. 00 3, 690. 83 2, 004. 51 25, 452. 00 265. 92 13, 833. 50 25, 000. 00 $150, 0u0. 00 40, 000.00 13, 353. 52 Undivided profits National-bank notes outstanding.. State-bank notes outstanding 90,000.00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. 261, 278. 63 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 401.94 866.07 3, 520. 00 555, 900.16 Total . 555,900.16 676 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Shelby. No. 1929. W. R. BBICKER, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other dish items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. B. J . WILLIAMS, Cashier. Liabilities. $128,005. 77 2, 055. 50 12,500.00 29, 055.90 709.45 1, 338. 05 6, 500. 00 2,107.71 43*o6" 520.00 17.06 11, 557.75 2, 500.00 $50, 000. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 14, 000. 00 6, 246. 27 11, 250. 00 Dividends unpaid.. Individual deposits. United Stales deposits DepositsofU.S.disbursing 115,976.42 officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562.50 197, 472. 69 Total . 197,472.69 First National Bank, Smithfield. C. D. KAMINSKY, President Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national [banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. WM. VEUMILLION, Cashier, No. 501. $100, 000. 00 Capital stock paid in . 20, 000. 00 " "ioo, 666.60 Surplus fund 17,863.52 Undivided profits 90, 000. 00 6, 448. 71 National-bank notes outstanding.. 7, 045.02 State-bank notes outstanding $213, 815.14 588.77 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 566.90 Due to other national banks 26.92 Due to State banks and bankers.. 3, 822.16 Notes and bills re-discounted. 4, 248. 00 Bills payable 2,666.66" 5,118.96 1, 875. 76 121, 741. 08 451. 74 4, 500. 00 350, 056.34 350, 056.34 Total. Farmers' National Bank, South Charleston. ANDREW D. PANCAKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from Slate banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banksFractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2754. $59,213.10 1, 773. 91 12, 500. 00 9,423.14 3, 099.57 1, 346. 91 11, 767. 01 1,864. 66 1, 008.33 2, 515.63 283. 87 855.00 16.46 8,277. 00 500. 00 M. CLARK, Cashier. Capital stock paid in . Surplus fund urpl Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00' 3, 487.00 1, 904. 21 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers. 46, 043. 07 Due to other national banks Due to State banks and bankers . 2, 052. 29 270. 52 Notes and bills re-discounted . Bills payable 562. 50 115, 007.09 Total . 115, 007. 09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 677 OHIO. First National Bank, Springfield. No. 238. B. H. WARDER, President C. A. PHELPS, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total Liabilities. $866,334.56 861. 23 50, 000. 00 119, 385. 50 280, 893.16 7, 762. 09 7, 006. 21 15, 000. 00 2, 839. 06 7, 211. 62 10, 881. 00 400. 00 15, 500. 00 50,000.00 $400, 000.00 Capital stock paid in. 350, 000. 00 28, 785.41 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 Dividends unpaid . Individual deposits United States deposits Depositsof TJ. S. disbursing officers. 607, 774. 67 Due to other national banks Due to State banks and bankers . . 4,746.76 17. 5Q Notes and bills re-discounted. Bills payable 2,250.00 1,436,324.43 Total 1,436,324.43 Second National Bank, Springfield. AMOS WHITELEY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. .3. certificates of deposit Redemption fund with Treas. TJ. S.. Due from Treasurer TJ. S Total.. No. 263. J. G. BENALLACK, Cashier. $417, 914. 61 Capital stock paid in $200, 000. 00 33.25 50, 000. 00 Surplus fund 120, 000. 00 39, 782. 20 Undivided profits 59, 680. 00 National-bank notes outstanding.. 57,165.1)8 State-bank notes outstanding 45, 000. 00 1, 650.05 Dividends unpaid 6,167. 26 ""506." 50 14,987. 00 536. 52 3, 456. 35 30,000.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 172, 653. 63 8,441.74 58, 469. 95 2, 250. 00 644, 347.52 Total . 644, 347. 52 Lagonda National Bank, Springfield. JOHN HOWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2098. $247, 466. 96 1, 325.98 93, 000. 00 2,550.00 10,400.00 37,880.92 6,703. 07 8, 962. 35 25, 000.00 3, 868.80 *4,025.26 • 1,365.00 171. 60 4, 609. 00 22, 425. 00 D. P . JEFFERIES, Cashier. Capital stock paid in. "$100, 000.1)0 Surplus fund Undivided profits. 33, 000. 00 13,117.15 National-bank notes outstanding.. State-bank notes outstanding 83, 700.00 Dividends unpaid. Individual deposits United States deposits .*.. Depositsof U. S. disbursing officers. 231, 417. 82 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 5, 529.26 7,174.65 4,185. 00 473,938. 88 Total. 473, 938. 88 G78 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO, Mad River National Bank, Springfield. No. 1146. J . S. GOODE, President. THOMAS F. MCGREW, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,ami fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $546, 786. 69 375. 30 100, 000. 00 54, 977. 56 15,105.53 5, 274. 20 8, 300. 64 20, 000. 00 2, 450. 35 Capital stock paid in. $3(n, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 100,000.00 15, 050. 52 90, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing oflicers. 317, 788. 00 Due to other national banks Due to State banks and bankers... 9.882. 33 156. 32 "377.32 17,199.00 878. 00 31, 652. 58 30, 000. 00 Notes and bills re-discounted. Bills payable 4, 500. 00 832, 877. 23 Total. 832, 877. 23 Springfield National Bank, Springfield. No. 2620. P. P. MAST, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $178, 959. 04 I 498. 42 25, 000. 00 7, 001. 43 11, 234.30 678. 74 1,013.16 12, 950. 36 388. 80 3,031.05 6, 000. 00 3, 968.03 3, 835. 00 473. 64 5,162. 75 6, 600. 00 F. S. PEXFIELD, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits . 25,000.00 8,812.55 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers - 108,736. 06 Due to other national banks Due to State banks and bankers . . Notefc and bills re-discounted . Bills payable 1, 786.46 1, 084. 65 1,125.00 267, 919.72 Total. 267, 919. 72 National Exchange Bank, Steubenville. W. R. PETERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 2160. $189, 292. 98 263.10 100, 000. 00 50, 000. 00 48, 000.00 18,068.09 17, 413. 46 6, 379. 78 2, 510. 00 777.79 15,135. 33 1, 938. 02 5, 594. 00 119.41 18, 225. 00 19, 230. 00 T. A. HAMMOND, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits 14,000.00 10, 406. 46 National-bank notes outstanding.. State-bank notes outstanding 90, 000. 00 Dividends unpaid 577. 50 Individual deposits United States deposits Deposits of U. S. disbursing oflicers 165, 053. 96 55, 000. 00 Due toother national banks Due to State banks and bankers .. 12, 831. 38 10, 677. 66 Notes and bills re-discounted . Bills payable U. S. bond account 38, 000. 00 4,500. 00 497, 440. 96 Total. 497,446. 96 REPORT OF THE COMPTROLLER OF THE CURRENCY. 679 OHIO. Steubenville National Bank, Steubenville. R. L. BROWNLEE, President. No. 3310. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate aud mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S $239, 571. 77 249.98 125, 000.00 9,000.00 14, 635. 51 5, 230.53 6, 524.98 15, 775. 00 1,433.30 4,375. 00 17.07 19, 215.15 38, 916.00 Liabilities. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable. $125, 000. 00 16, 000.00 7, .807.87 112,500.00 203,722.13 15,106.29 1, 609. 23 1, 645. 00 481, 745. 52 Total . 481, 745. 52 Total. CHAS. GALLAGHER. Cashier. Tiffin National Bank, Tiffin. JOHN D. LOOMIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house BUls of other national banks FrUctionalcurrency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total., J. W. CHAMBEULIX, Cashier. No. 3315. $316,494.83 128.31 50, 000.00 3 "460." 66 43, 900. 00 25,076.95 77, 221. 38 1, 697.50 15,000. 00 1, 677.46 3,141.25 2,964. 96 23,881. 00 228.41 15, 456.00 29, 000. 00 Capital stock paid in $125, 000.00 Surplus fund Undivided profits 17, 000.00 7,187.00 National-bank notes outstanding.. State-bank notes outstanding 44, 440. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 383, 657. 37 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 13,502.15 20, 731. 53 2, 250. 00 611, 518.05 Total . 611,518.05 Tipp National Bank, Tippecanoe City. SAMUEL SULLIVAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3004. AHIJAH W. MILES, Cashier. Capital stock paid in. """i5,"66o."6o" Surplus fund Undivided profits . 13,060.62 National-bank notes outstanding.. 32,187.12 State-bank notes outstanding $75, 868.95 2, 315.38 784.69 7,980.45 700.63 3, 400. 00 5,893. 00 1,653.00 144. 76 9, 026. 83 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing ofiicers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $60, 000. 00 2,660. 00 2, 363.49 13, 500. 00 90,038.98 127.96 67o.OO I 168,690.43 Total . 168, 690.43 680 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Toledo. No. 91. M. NEARING, President. Kesources. Loans and discounts Overdrafts IT. S. bonds to secure circulation X S. bonds to secure deposits L XT. S. bondson hand Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $1,738, 083.19 2,786. 22 50, 000. 00 75, 000. 00 350.00 250, 017. 92 139, 050.39 32, 805. 92 34,101. 93 20, 000.00 9,205.32 '"819." 67" 11, 000. 00 724. 70 24,784.50 91, 000. 00 J. M. SPENCER, Cashier, Liabilities. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $500, 000. 00 350, 000.00 113, 611. 43 45, 000. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingoliicers. 1, 229, 958. 42 72, 279.99 1, 774. 66 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted . Bills payable 55, 582. 79 63, 772. 47 50, 000.00 2, 250.00 Total. 2,481,979. 76 2,481, 979. 76 Second National Bank, Toledo. G-. W. DAVIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on h a n d Stocks, securities, j u d g m e n t s , e t c . . D u e from approved reserve a g e n t s . D u e from other national b a n k s D u e from State b a n k s and banker * Bank'g-house,furniture,andfixtures O t h e r r e a l estate a n d m o r t g ' s owned C u r r e n t expenses and t a x e s p a i d . . . P r e m i u m s on U . S. bonds C h e c k s and o t h e r cash items E x c h a n g e s for clearing-house Bills of o t h e r national"banks F r a c t i o n a l currency, nickels, c e n t s . Specie Legal-tender notes U . S. certificates of deposit R e d e m p t i o n fund w i t h Treas. U. S. D a e from T r e a s u r e r U . S Total No. 248. Capital stock paid in. $1,490,055. 83 3,285. 27 50, 000.00 134, 98, 33, 47, 389*. 00 6,74.34 381.65 781. 79 5,639.02 30,606.00 95.15 121,900.00 40, 000. 00 C. F. ADAMS, Cashier. $350, 000. 00 Surplus fund Undivided profits. 350, 000.00 26, 937.72 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits 45, 000.00 190. 00 United States deposits Depositsof U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. 1, 036, 434. 01 154, 206. 66 99,132.73 Bills payable 2,250; 00 Total 2,061,907.12 2,061,907.12 Ketcham National Bank, Toledo. JOHN B. KETCHAM, 2d, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on 0. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dne from Treasurer U. S Total. S. H. WARING, Cashier. No. 3820. $662,662.92 3, 542.13 50,000.00 18, 000.00 46,115.23 14, 767.54 13,282. 04 6, 694. 30 4, 339. 38 13,000.00 3,476.81 14,095. 00 862.64 43,588.00 40,000. 00 Capital stock paid in $250, 000. 00 Surplus fund Undivided profits 20, 000.00 11,611.20 National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 550, 391.22 Due to other national banks Due to State banks and bankers .. 11,376.97 48, 296.60 Notes and bills re-discounted.. Bills payable 2, 250. 00 936, 675. 99 Total 936, 675.99 REPORT OF THE COMPTROLLER OF THE CURRENCY. 681 OHIO. Merchants' National Bank, Toledo. R. V. Boies, President. No. 1895. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation -.. U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,funiiture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Species Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. CIIAS. 0. DOOLITTLE. Cashier. Liabilities. $704,223.09 . 435.01 I 50,000.00 39,100.00 22,451.34 17,695.6!) i 2,532.38 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. $300, 000. 00 60, 000. 00 20,382. 37 45, 000. 00 9.00 32,700.00 j Individual deposits 6,944.72 |j United States deposits 439,140. 60 Deposits of U.S. disbursing officers. 2, 341. 62 11, 539.00 471.22 46, 821.15 40, 000. 00 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 95, 613. 81 19, 378.16 2,250. 00 18.72 Total. 979, 523. 94 979, 523. 94 Northern National Bank, Toledo. No. 809. W. CUMMINGS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furnitnre,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total W. A. EGGLESTON, Cashier. $858,430. 54 Capital stock paid in. 4, 754. 88 50, 000. 00 Surplus fund 100, 000. 00 Undivided profits $300, 000.00 70, 000. 00 22, 931. 43 6,186. 84 National-bank notes outstanding.. 20, 261. 31 State-bank notes outstanding 37,161. 50 3, 440.13 Dividends unpaid 3, 305. 21 Individual deposits 4,473. 95 United States deposits 9, 350. 00 Deposits of U.S. disbursing officers 1, 546.02 Due to other national banks 3, 250. 00 Due to State banks and bankers... 17.15 18, 992. 50 Notes and bills re-discounted. 38, 000. 00 Bills payable , 45, 000. 00 502. 357. 60 98, 683.46 1, 593.10 27, 346.86 23, 507.58 70, 000.00 2,250.00 1,161,420.03 Total 1,161,420.03 Toledo National Bank, Toledo. S. M. YOUNG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g • h ouse, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiumson U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 607. $330, 827.12 1, 633. 82 25, 000.00 50,295. 87 11, 254. 06 3, 951. 43 1, 220.14 1, 875.00 7, 921.40 2, 558.01 H. S. YOUNG, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits 40,000.00 23, 964. 37 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 215, 570. 15 2,409.16 Due to other national banks Due to State banks and bankers .. 3, 053. 84 Notes and bills re-discounted . Bills payable 25, 000.00 2, 368. 00 39,979.61 28, 478.72 1,125. 00 470,492.85 Total. 470, 492.85 682 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Troy. No. 2727. HENRY W. ALLEN, President. DAN'L W. SMITH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S $327, 247. 65 710.10 50, 000. 00 $200, 000. 00 Capital stock paid in Surplus fund Undivided profits 550. 00 58, 040. 00 National-bank notes outstanding.. 27, 243.19 State-bank notes outstanding 5, 179.13 1, 027. 29 Dividends unpaid 2, 200. 00 Individual deposits 1, 577. 97 United States deposits DepositsofU.S.disbursing officers. 155.60 Due to other national banks 12,943.00 1 Due to State banks and bankers.. 234.72 ! 32, 968. 36 2, 000. 00 2, 250. 00 43, 070. 00 45.00 224, 261. 13 7, 234. 01 Notes and bills re-discounted .524,327.01 Total 40, ( 00. 00 9,710.87 524,327.01 Troy National Bank, Troy. Total J. M. CAMPBELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3825. $158,114. 89 2, 274.18 15,000.00 7,121.98 3,221.64 257. 97 3, 000. 00 NOAH YOUNT, Cashier. Capital stock paid in $60, 000. 00 Surplus fund Undivided profits 11,990.57 National-bank notes outstanding.. State-bank notes outstanding 12, 500. 00 Dividends unpaid . Individual deposits 1, 360. 45 United States deposits 3, 787. 50 Deposits of U. S. disbursing officers. 280. 04 Due to other national banks 5, 454.00 Due to State banks and bankers . . 147.43 2,191.15 Notes and bills re-discounted. 13, 500. 00 Bills payable , 130, C45. 42 1,245.73 4.51 675. 00 Total. 216,386.23 216, 386. 23 First National Bank, Upper Sandusky. J. G. ROBERTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 90. $169,469.44 2,101.11 27,000. 00 1,150.00 CIIAS. F. PLUMB, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. 81,606. 23 State-bank notes outstanding 190.41 7, 326.24 Dividends unpaid 3, 619.60 9, 785. 23 Individual deposits 1, 289. 03 United States deposits Deposits of U.S. disbursing officers. 6, 964. 85 Due to other national banks 24, 579.00 Due to State bauks and bankers -. 115. 03 42, 388. 00 Notes and bills re-discounted. 8, 000. 00 Bills payable 40,167.25 2,400. 89 17,300.00 220, 336. 80 683. 23 911.00 1, 215. 00 386, 799. 17 Total. 386, 799.17 REPORT OF THE COMPTROLLER OF THE CURRENCY. 683 OHIO. Third National Bank, Urbana. No. 2071. JOHN H. YOUNG, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand .• Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks ... Due from State banks and bankers. Bauk'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total A. F. VANCE, J R . , Cashier. Liabilities. $192,431. 52 2, 700. 81 2e, 000. 00 Capital stock paid in $100, 000. 00 30, 000. 00 13, 028. 81 Undivided profits 24, 859.00 40,751.69 8, 206. 86 il,"6oo"oo 472. 78 5, 000. 00 5, 383. 27 1, 630. 00 52. 60 1,185. 00 19, 000. 00 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing olncers. Due to other national banks Due to State banks and bankers... 172,147.12 1,122. 00 Notes and bills re-discounted 1,125. 00 Total 338, 798. 53 333, 708.53 Champaign National Bank, Urbana. W. R. Ross, Cashier. No. 916. J. READ, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items .Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $156, 571.40 1, 573. 57 25, 000. 00 15, 40, 2, 2, 9, 200. 648. 398. 210. 400. 00 30 43 47 00 1,725.31 1, 888. 00 5, 321. 63 963. 32. 2, 800. 11, 000. 00 05 00 00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 20, 000. 00 10, 234. 27 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted.. Bills payable 121,851.61 2, 5^3. HO 707. 48 1,125.00 Total. 277,857.16 277, 857.16 Citizens' National Bank, Urbana. C. F . COLWELL, President. Loans and 'discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie * Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. iNo. 863. $252, 963. 98 2,147. 27 100, 000. 00 150.00 21, 240. 00 82, 506. 35 3, 896.49 1, 332. 57 1, 000.00 1, 395. 05 '3," 559.06' 1, 000. 00 31.82 3, 380.00 13, 000. 00 W. W. WILSON, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $100,000.00 20, 000. 00 33, 406. 30 90, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing otiVa r.-i 244, 534. 29 Due to other national bauks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable , 4,162. 00 4, 500. 00 492,102. 59 Total. 492,102. 59 684 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. First National Bank, Van Wert. No. 422. ALONZO CON ANT, President. JOHN A. CONN, Cashier, Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits . . . . . XJ. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furaiture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds , Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $140,469. 08 2,531.37 15,000.00 12.687.05 71,494. 76 13, 563.06 707.97 11, 235.50 1,287.03 2, 588. 30 965.24 4, 520.00 83.16 8,172.65 5,190. 00 Capital stock paid in. $60,000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 15,000. 00 5,143. 89 13, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 197, 280. 42 245. 86 675. 00 291,170.17 Total. 291,170.17 Van Wert National Bank, Van Wert. J . S. BBUMBACH, President. No. 2628. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash i t e m s . . . . Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. - U. S. certificates of deposit _ Redemption fund with Treas. U. S . Due from Treasurer U. S Total. W. H. PENNELL, Cashier. $195, 716. 49 Capital stock paid i n . 1,101.35 25,000.00 Surplus fund Undivided profits 35, 389. 52 17, 836. 84 1, 546. 62 $100, COO. 00 25, 000. 00 5,128. 78 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. 6, 000.00 Individual deposits 1, 404. 73 United States deposits 4,093.75 Deposits of U. S. disbursing officers. 150, 829. 43 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted.. Bills payable 5, 289.08 6,452. 34 4,460.00 180.33 1,445.00 19, 900.00 1,125. 00 Total. 315,199.63 315,199. 63 First National Bank, Wapakoneta. L. N . BLUME, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure d e p o s i t s . . . . . U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid. -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3157. $272,952.35 4, 768.70 25,000.00 13,088.95 1,000.00 803. 68 1, 000. 00 582.64 420.00 76.60 2,100. 00 17,000.00 CHAS. F . HERB8T, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $100,000.00 20, 000.00 8, 466.44 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted...... Bills payable 184,951. 48 4, 000.00 1,125.00 339, 917.92 Total. 339,917. 92 REPORT OF THE COMPTROLLER OF THE CURRENCY. 685 OHIO. People's National Bank, Wapakoneta. FRANCIS FRITSCH, President. No. 3535. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixturea Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S Total . F. J . MCFARLAND, Cashier. Liabilities. $302, 430.28 6,274. 78 25, 000. 00 21, 591. 07 1,500. 00 4, 727. 05 1, 098. 57 1,000.00 176. 35 16. 33 3,220.10 7, 000.00 Capital stock paid in $100, 0U0.00 Surplus fund Undivided profits 20, 000. 00 8, 998.50 National-bank notes outstanding.. 22, 500. 00 State-bank notes outstanding ; Dividends unpaid I Individual deposits \ United States deposits | Deposits of U.S. disbursing officers.! Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 220,461.03 3,200.00 1,125.00 Total . 375,159. 53 375,159.53 First National Bank, Warren. HENRY B. PERKINS, President. ¥ M . K.. STILES, Cashier. No. 74. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reservo agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furn iture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $232, 530.25 603.59 40, 000.00 4, 960. 00 30, 236. 33 23,109. 99 9, 950. 95 30, 000.00 32,781. 99 4,143. 57 10. 000. 00 2, 754.14 44,754.00 1, 925.35 24,250.00 33,000.00 Capital stock paid in $150, 000.00 Surplus fund Undivided profits 31, 000.00 11, 356.58 National-bank notes outstanding . State-bank notes outstanding 33,950.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officer.-* 296, 064.78 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 4, 428.80 1, 800. 00 Total . 526, 800.16 526, 800.16 Second National Bank, Warren. HENRY C. CHRISTY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. C. A. HARRINGTON, Cashier. No. 2479. 1,069.67 25,000.00 Capital stock paid in. Surplus fund Undivided profits 13, 000.00 5,396.40 8,164.60 National-bank notes outstanding. State-bank notes outstanding 24,421.40 *3,"i92.*88 2, 210. 87 4, 381. 00 2o6. 85 12, 685. 00 22,000. 00 $100, 000. 00 17, 000. 00 16, 720.88 21, 620. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 212,177. 88 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1,268.31 777. 23 1,125.00 369, 564.30 Total.. 369,564.30 686 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. "Western Reserve National Bank, Warren. ALBERT WHEELER, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities,judgments, etc.. DUP zrom approved, reserve agents. Drte from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 3362. O. L. WOLCOTT, Cashier. Liabilities. $284, 579.62 2, 840.00 25,000.00 5,679. 65 8,530.78 9, 469.15 18,266.66 "*2,"847."9i" 4,498.67 13, 465.00 357.35 19, 687.50 20, 000.00 Capital stock paid in $100, 000.00 Surplus fund Undivided profits | National-bank notes outstanding..! State-bank notes outstanding j Dividends unpaid 6, 000.00 16, 440. 89 22, 500. 00 ! Individual deposits United States deposits Deposits of U. S.disbursing officers 263,113. 0L 5, 983. 67 2, 243.06 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 1,125.00 416, 280.63 Total.. 416,280. 63 WaynesviUe National Bank, Waynesville. SETH S. HAINES, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national jbanks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 2220. $97,786.09 Capital stock paid in. 887. 06 12, 500.00 Surplus fund 100.00 5,750.00 16,694.77 8, 661. 77 "W. H. ALLEN, Cashier. $50,000. 00 12, 500. 00 2, 637. 00 Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid. 900. 00 135. 00 482.42 3, 578.13 Individual deposits United States deposits Deposits of U.S. disbursing officers. 1, 784.00 37.58 2,175.00 2,600.00 77,864.68 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 112.64 562. 50 154,499.32 Total. 154,499. 32 First National Bank, Wellington. SIDNEY S. WABNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items . . . Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer TJ. S Total. No. 2866. R. A. HOUR, Cashier. $144, 757. 53 I Capital stock paid in 3,332. 54 25, 000.00 Surplus fund Undivided profits . 23, 203.25 National-bank notes outstanding. State-bank notes outstanding 194.10 11. 500.00 i $100,000.00 7, 000. 00 3, 357.14 Dividends unpaid . 640.62 687.00 201. 89 10, 568.05 4,030.00 22,500.00 Individual deposits , . United States deposits Deposits of U. S. disbursing officers. 91, 607. 52 Due to other national banks Due to State banks and bankors . . 775. 32 Notes and bills re-discounted. Bills payable 1,125.00 225, 239.98 Total., 225,239.98 REPORT OF THE COMPTROLLER OF THE CURRENCY. 687 OHIO. First National Bank, Wells ton. No. 3565. H. S. WILLARD, President. J . H. SELLERS, J R . , Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S, bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds onhand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned! Current expenses and taxes paid... | Premiums on U. S. bonds j Checks and other cash items i Exchanges for clearing-house I. Bills of other nationalTaanks j Fractional currency, nickels, cents. Specie Legal-tender notes ! U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $99,501.46 5,294.82 12,500.00 1, 833.92 19,608. 61 4,915.70 830.40 8, 790.96 2,342.20 3, 000.00 2, 000.00 134.97 1,500. 00 4, 500.00 Capital stock paid in $30, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notea outstanding : 5, 000. 00 5,716.48 11, 250.00 Dividends unpaid •I Individual deposits United States deposits Deposits of U. S. disbursing officers. 87, 046.18 Dae to other national banks Due to State banks and bankers... 7,109. 05 493.83 140. 00 Notes and bills re-discounted. Bills payable 2.50 Total. 166, 755.54 166, 755.54 First National Bank, Wellsville. J. W. REILLY, President. Loano and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits i U. S. bonds on hand \ Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Ban k' g-house, furniture, andfixtures! Other real estate, and mortg's owned I Current expenses and taxes paid... j Premiums on U. S. bonds | Checks and other cash items i Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer IT. S H. B. NICHOLSON, Cashier. No. 1044. $142,773.37 ! Capital stock paid in $50, 000. 00 368.94 ! 20,000.00 40,000.00 • Surplus fund i 8, 875. 66 Undivided profits , 35, 340. 00 22,850.00 , National-bank notes outstanding.. ! 14,233.08 State-bank notes outstanding ..'...,. 4,4U3.88 ! 264.42 i Dividends unpaid 1, 314. 00 10,000.00 | Individual deposits j 141,117. 69 United States deposits i Deposits of U. S. disbursingofticers.! 792. 45 2,147. OiJ Due to other national banks 1, 059. 00 Due to State banks and bankers . . 233.91 75.00 4, 578. 00 Notes and bills re-discounted . 14, 000.00 Bills payable 1,800.00 259, 028.29 Total. Total. 259,028. 29 First National Bank, Wilmington. C. A. BOSWORTH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks. Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate, and mortg's owned Current expenses and taxes paid... Premiumson U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 365. $263, 624.93 4,591.96 25,000.00 C. C. NICHOLS, Cashier. Capital stock paid in j $100, 000. 00 Surplus fund Undivided profits ! ! 20,000. 00 5,867.79 22, 500. 00 10,944.73 ! National-bank notes outstanding.. 28,365.96 ! State-bank notes outstanding 4, 895. 96 2,748.71 I Dividends unpaid.. 1,800.00 Individual deposits j 1, 829. 89 United States deposits 1, 500.00 Deposits of U.S. disbursing officers 350. 00 Due to other national banks 1,056.00 |! Due to State banks and bankers . . 114.00 1 1 20,253.50 ! Notes and bills re-discounted. 5,500.00 l! Bills payable 223, 661.36 182. 00 1, 492.49 1,125.00 373,703.64 Total.. 373,703.64 688 REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Clinton County National Bank, Wilmington. M. ROMBACH, Vice-president. No. 1997. J. W. DENVER, JR., Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Cheoks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S ,. Total. $190, 7S2. 55 4,428. 32 25, 000.00 2, 700,00 12, 800. 00 29,468.13 4, 076. 30 47.90 21, 263.45 1,212.56 2, 500.00 1,340.36 4,168. 00 130.61 16,900.50 18,500.00 Capital stock paid i n . $100,000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 35, 000. 00 3, 896.25 22, 500. 00 343. 00 Individual deposits United States deposits Deposits of U. S. disbursing ofncers Due to other national banks Due to State banks and bankers... 172, 832.17 1,822. 26 Notes and bills re-discounted. Bills payable 1,125. 00 Total. 336,393.68 336, 393.68 National Bank, Wooster. J . ZIMMERMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds t o secure deposits U . S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . Premiums on U. S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . | Specie I Legal-tender notes j U. S. certificates of deposit I Redemption fund with Treas. U. S D u e from Treasurer U. S No. 1912. $147, 985.91 5, 968. 83 53,900. 00 2, 500. 00 33,494.21 9, 610.51 893.79 10, 246. 35 3, 000.00 932. 30 4, 242.04 8, 395. 00 106.06 20, 060.00 3,000.00 $53,900.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . 27, 500. 00 2, 099. 03 46, 560. 00 77.50 Individual deposits United States deposits Deposits of U. S. disbursing officers 173, 796.40 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 2, 827. 57 2, 425.50 306,760.50 Total. CURTIS V. H A R D , Cashier. Capital stock paid in. Total. 306, 760. 50 Wayne County National Bank, "Wooster. J. FRICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agentsDue from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit ... Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 828. $138,413.95 485. 89 18, 750.00 4, 000.00 69,476. 73 12,940.09 C. S. FROST, Cashier. Capital stock paid in . $75, 000.00 Surplus fond Undivided profits 31,000.00 9, 575. 68 National-bank notes outstanding. State-bank notes outstanding 16, 875.00 Dividends unpaid 10,000. 00 2,051.04 700. 00 1, 802. 25 18, 977.00 114. 85 12,300.00 5. 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 159,168.63 Due to other national banks Due to State banks and bankers.. - 4, 236.24 Notes and bills re-discounted. Bills payable 843. 75 295, 855.55 Total. 295,855. 55 REPOJJT OF THE COMPTROLLER OF THE CURRENCY. 689 OHIO. Citizens' National Bank, Xenia. No. 2575. J. D. EDWARDS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, et1-.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house.fumiture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bond s Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Troas. U. S. Due from Treasurer U. S Total. W. R. MCGKTIVEY, Cashier. Liabilities. Capital stock paid in r Surplus fund ..... Undivided profits National-bank notes outstanding.. State-bank notes outstanding $357,144.] 6 1, 9:58. 45 25, 000.00 3, 215.90 23, 2G7.48 6, 677. 80 9, 571. 03 1, 800. 00 Dividends unpaid 3, 000. 00 145. 00 17, 542. 50 28, 398. 00 20, 000. 00 5, 402. 24 21, 8G0. 00 2,136. 50 Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers 1,835.19 3, 800. 00 761.74 $100, 000 00 332, 217.18 3, 627. 23 Notes and bills re-discounted Bills payable 1, ] 25. 00 Total 485,243.15 485, 243.15 Xenia National Bank, Xenia. JOHN B. ALLEN, President. A . S. F R A Z E R , Cashier. No. 2932, Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits T7. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and h xtures " Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickols, cents . Specie Logal-tender notes ' TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $120, 000.00 Capital stock paid i a . $245, 587.62 i , r>99. ?>$ 5,100. 00 4, 97f. 41 30, 000. 00 Surplus fund Undivided profits 5, 693.87 24. 212. 78 9, 205. 15 6, 82:'-. 77 24, 000. 00 6, 046. 90 1,670.71 2,100.00 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding Individual deposits United States deposits Depositaof U.S. disbursing officers. 23-, 279. 57 •j 510, D ii O 109.00 > i 13, 706. 00 |j 26,300.00 I Duo to other national banks Due to State banks and bankers .. 6, 682. 66 892.34 23.50 Dividends unpaid . Notes and bills re-discounted Bills payable 27, 000. 00 ... I i, 350." 66*! Total. 400,948.48 j 400, 948. 48 First National Bank, Youngstown. K. MCCURDY, President. Total H. Ex. 3 -, Cashier. No. 2693. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other casli items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, rents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S '. $1, 391, 551. 28 47, 862. 87 50,000.00 10, 000. 00 253.193.85 102,211.46 "'H', 500.00 4, 709. 72 5,032.05 37, 391. 00 60.17 95, 639. 00 51,731.00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding $500, 000. 00 10), 000. 00 116, 722. 99 45,000.00 Di\ id en ds unpaid Individual deposits United States deposits Depobitsof U.S.disbursingofiioers 1, 247, 501. 68 Due to other national banks Due to State banks and bankers .. 47, 633. 37 11,714.36 Notes and bills re-discounted . Bills payable 2, 250. 00 2,008,632.40 44 Capital stock paid in.. Total. 2, 068, G32. 40 GOO REPORT OF THE COMPTROLLER OF THE CURRENCY. OHIO. Second National Bank, Youngstown. No. 2217. HENRY TOD, President. Resources. $588, 905. 87 Loans and discounts 7, 802. 98 Overdrafts 50, OOU. 00 U. S. bonds to secure circulation .. U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. 115, 239. 00 Due from approved reserve agents. 90,811.91 1,070.05 Due from other national banks Due from State banks and bankers. 674. 75 Bank'g-house,furniture, and fixtures 57, 664. 44 Other real estate and raortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks aud other cash items "*7,"669.4i Exchanges for clearing-house Bills of other national banks "25," 477." 00 Fractional currency, nickels, cents 335. 67 63, 365. 60 Specie 25, 000, 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S 2, 250. 00 Due from Treasurer U. S 1,042,141.28 Total. H. M. GARLICK, Cashier. Liabilities. Capital stock paid in . |200, 000. 00 Surplus fund Undivided profits 40, 000. 00 47, 757. 52 National-bank notes outstanding . State-bank notes outstanding 35, 6G0. 00 Dividends unpaid 1, 028. 00 Individual deposits. United Stat es deposits Deposits of U.S.disbursing officers Due to other national banks Due to State- banks and bankers .. 655, 918, 71 13, 277. 90 47, 959. 0U Notes and bills re-discounted. Bills payable Total 1,042,141.28 Commercial National Bank, Youngstown. CHAUNCEY H. ANDREWS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankersBank'g-h ous e, furniture, an d fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificate of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2482. $368, 335. 69 2, 465. 08 50,000. 00 6, 333. 42 8, 5(30. 77 3-")8. 51. 2,164. 81 MASON EVANS, Cashier. Capital stock paid in $200, 000. 00 Surplus fund Undivided profits. 19, 000. 00 13, 775.16 National-bank notes outstanding. State-bank notes o u t s t a n d i n g . . . . . 45, 000.00 Dividends unpaid Individual deposits United States deposits Deposit .s of U. S.disbui sing oiiicers. 191,422.03 Due to other rational banks 2,17S. 00 j Due to State t a n k s and b a n k e r s . . 425.40 ' 7, 777. 50 Notes and bills re-discounted. 14, 000. 00 Bills payable 510.05 784. 54 1,910.54 3, 01=0. 00 732.00 il 2, 250. 00 470, 491. 78 Total. 470, 491. 78 Mahoning National Bank, Youngstown. HENEY O. BONNELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate aud mortg's owned Current expenses aud taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. D ue from Treasurer U. S Total . No. 2350. J. H. MCEWEN, Cashier. $229, 000. 00 Capital stock paid in . 45, 800. 00 Surplus fund 27,510.98 Undivided profits . National-bank notes outstanding. 57, 195.00 46, 954. 42 State-bank notes outstanding...'.. $570,366.10 2,070.71 63, 550. 00 21, 836. 75 15, 371. 00 1, 652. 42 '3," 242." 55 12,550. 00 CO. 00 43, 916. 38 11,183.00 Dividends unpaid. Tndivirtual deposits United States deposits DeiiusitsofU.S.disbursingofli.ers. Due to other national banks. Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 121.00 425,807. 10 7, 828. 73 2, 347. 21 "2*859.'75 795,613.08 Total. 795, 613. 08 REPORT OF THE COMPTROLLER OF THE CURRENCY. G91 OHIO. First National Bank, Zanesville. No. 164. W. A. GRAHAM, President. G. IT. STRWAUT, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. "bonds to secure circulation.. U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks ... Due- from Stale banks and bankers Hank 'g-h >use. furni t»ire,and i\x tri res Other real estate,and mortg's owned Current expenses and taxes paid ..j Premiums on XJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national ban ks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $560,552.01 <!, 211. 17 50, 0 0. 00 2, 70s>. 00 71, 500. D O «(>, 0:>2. 21 74, «ti». 41 17, 27*. 72 17, 20 J. 00 2,5tL Si"; 215.24 28, 845. 3!) 21,307.0;) ](>5.151 25, 112. 50 33, If-8. 00 Capital stock paid i n . $200, 000. 00 100, 000. 00 9,218.43 S u r p l u s fund Undivided profits National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbui sing officers D u e to other national b a n k s D u e to State b a n k s and b a n k e r s . . 613, 493. 54 10,0-8.06 3, 058. 56 N o t e s and bills re-discounted . Bills payable 2, 2.")0. 00 180. 00 9S0, 859.1(J Total., 986, 859. 19 Citizens' National Bank, Zanesville. H. C. VAN VOOUMTS, President. ' Loans and discounts Overdrafts ir. S. bonds to secure circulation .. IT. S. bonds to secure deposits IT. S. bonds on hand. Stocks, securities,.judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Hank'g-house, furniture,and fixtures Other real estate and rnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S Due from Treasurer U. S Total No. 2529. A. V. SMITH, Cashier. $;tt)fi, 179. 99 !iI Capital stock paid in (5,021. 17 | 80, 0i»0. 00 !j| Surplus fund Undivided profits 45, 500. (00 National-bank notes outstanding .. 62, 241. .)8 State-bank notes outstanding 31,389.05 4,401.15 |! Dividends unpaid 22,000.00 ;| i Individual deposits 2, 227. 70 |j United States deposits 381. 50 i| Deposits of U.S. disbursing officers. 19,820.30 !j j! Due to other national banks 51, 0l>7. 00 Due to State banks and bankers .. 110.35 18, Stiii. 50 Notes and bills re-discounted 25, 0t;0. 00 Bills payable 739, 513. 75 Total. $200, 000. 00 20. 000. 00 17, 308. liO 72, 000. 00 413, 730. 50 1(5,421.0.") 739, 513.75 692 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. Citizens' National Bank, Attica. No. 3755. ZIMRI DWIGGINS, President. JOHN W. PAIUS, Cashier. Liabilities. Resources. Loans and discounts Overdra fts U. S. bonds to secure circulation. U. S. bonds to secure deposits . . . U. S. bonds on band Stocks;, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. . . . Due from State banks and bankers. Bank'g-house,furniture.and fixtures Other real estate audinoitg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national bunks. Fractional currency, nickels, cents . Specie Legal-tender notes U. S. cert ificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $ Capital stock paid in . 4, 52-9. (JO 12, 500. 00 1, 225. 00 830. 50 04.-. 7o I National-bank notes outstanding.. 343. 47 ;'| State-bank notes o u t s t a n d i n g . . . . . 11,250.00 13, 238. -18 Dividends u n p a i d . \ . 10, 400. 95 Individual deposits (i 7<;:>. o : , 1, 052. 5« United States"deposits 3, 400. 00 Dopositsof U.S.disbursingoilicers.' 2. 141. 50 Due to other national banks I 1,400. 00 Due to S'iate banks and bankers - J 59. 30 8, 4"H). 00 2, OOu. 0U Notes and bills re-discounted Bills payable ! j 75, 307, 34 3, 664. 31 13, 407. 97 5(52. 50 Total. 155, C91.12 Total. $50, 000. 00 Surplus fund. p l.'ndivided profits . 155, 091.12 First National Bank, Auburn. So. 2238. C. A. O. MCCLTCLLAN, President. Loans and discounts : Overdrafts ; U. S. bonds to secure circulation...! U. S. bonds to secure deposits ' U. S. bonds on hand ! Stocks, securities, judgments, etc .. I Due from approved reserve agents, i Due from other national banks j Due from State banks and bankers.! Bank'g-hoii8e,furnitiire,and fixtures; Other real estate and n.ort^'s owned' Current expenses and 1 ax.es paid . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tendeT notes U. S. certificates of deposit Redemption fund with T u r n . U.S.I Due from Treasurer U. S Total. $91, 015. 22 1,020.01 12, 50J. 00 W. H. McTxTYitH. Cashier. $50, 000. 00 Capital stock paid in. Surplus fund !; Undivided profits 7, 050. 00 2, 533. 09 406 99 I National-banknotes outstanding.. 5, 020. 51 , State-bank notes outstanding 8, 044. 74 j Dividends unpaid 6, 500. 00 3, 500.00 Individual deposits 552. 04 . I Un ited States deposits 2, 000. 00 '! Deposits of U. S. disbursing officers. 300. 00 . •! Due to other national banks 1, 278. 00 Due to State banks and bankers . 37. 85 1, 832. 85 |! Notes and bills re-discounted. 11,100.00 Bills payable i i , 2r.o oo 5G2. 50 : Total. 145, 731.37 145, 731.37 First National Bank, Aurora. H. W. SMITH, President Loans and discounts O\ erdrai'ts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved resei ve n .i'euts. Due Irom other national banks Due from State banks and bankers . Bank'g-bouse,furniture,and fixtures Other real estate and morlg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national hanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total E. H. DAVIS, Cashier. No. 099. $348,321.24 j Capital stock paid in. 1, 555. (39 200, 000.00 Surplu s fund Undivided profits 1,500. 00 3, 200. 07 3, 8(12.05 197.19 13, 000. 00 13, 000.00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. $200, 000. 00 40, 000. 00 1, 115. 88 180, 000.06 4, 000. 00 199,012.09 350. 00 59:}. oo 182.5;; 24, 445. 0) 2, 500. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 9, 000. 00 2. o30. 00 Total. 624,127. 97 REPORT OF THE COMPTROLLER 0^ THE CURRENCY. 693 INDIANA. Aurora National Bank, Aurora. WILL F. STEVENS, President. No. 2963. A LEX. 15. PATTISON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national bunks — Due from State banks and bankers Baiik'g-housc,furniture,and lixtures Other real estate and niortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Kedemptioii fund with Treas. U. S Due from Treasurer U. S $111,996.18 2:57. 00 25, 000. 00 Surplus fund Undivided profits 5, 250. 00 3, 0J6. 47 National-banknotes outstanding State-bunk notes outstanding ',{7,280.37 21, 775. 47 22, 500. 00 4,403.00 j ! || Dividends unpaid 2, 500. 00 i| 3, 780. 27 ! j Individual deposits 138, 220, 29 1,149.00 !I United States deposits 4, 00i). 00 jj Depositsof U.S. disbursingoflicers. 473.00 1 1 D ue to other natii al bank 1, 500. 00 jj Due to State banks and bankers . 70. 4L || 18,718.00 |j Notes and bills re-discounted 2,000.00 .1 Bills payable 1,125.00 i Total. 269,015.76 !j Total. $100, 000.00 Capital stock paid in 269, 015. 76 First National Bank, Bloomington. N A T . N. HILL, No. 1888. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents Due from other national banks . . . Due from State banks and bankers Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Kedemptioii fund with Treas. TJ. SDue from Treasurer TJ. S Total. W. E. WOOD BURN, Cashier. $211,197.22 i Capital stock paid in 8, 300. 73 j 30, 000. 00 ! Surplus fund Undivided profits 34. 708. 35 18, 182. 57 54, 297. 72 22, SLNJ. 1)2 1, 094. 00 617. 2 L 1. 840. 31 $120,000.00 31,000.00 17, 31)6.16 National-bank notes outstanding.. State-bank, notes outstanding 27, 000. C O Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursingolticers Due to other national banks 212,305.98 j 7. 935. 01) , Duo to State banks and bankers . . '510.72 ! 16,368.00 ! Notes and bills re-discounted. 1, 523. f.£ Bills payable 1, 350. 00 409, 225. 75 Total. 409, 225. 75 Boonville National Bank, Boonville. ,. J . M I L L E R , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Lefal-tender notes U. S. certificates of deposit Kedemptioii fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 2207. E. W. BETHELL, Cashier. $79, 334. 8'3 ! Capital stock paid in. 22.91 50, 000. 00 I Surplus fund 6, 000. 00 37, 729. 17 34, 809. 70 4, 000. 00 2, 4 JO. 00 1, 267 20 2, 10'.). 00 21.4.4 18, 910.05 12, 500. 00 $50, 000. 00 15, 000. 00 4,851.32 Undivided profits ! National-bank notes outstanding.. ! State-bank notes outstanding . . . . 41,200.00 Dividends unpaid |j Individual deposits |i United States deposits Deposits of U. S. disbursing officer, n - 137,300. 6 L Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2, 2;"0. 00 251,411.93 Total 251,411.93 G94 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Brazil. EDWARD F . LAWRENCE, President. No. 3583. CHARLES S. ANDREWS, Cashier, Resources. Liabilities. Loans and discounts I $159, 015.98 Capital stock paid in Overdrafts 1, 540. 00 , U. S. bonds to secure circulation .. 12, 500. 00 Surplus fund TJ. S. builds to secure deposits ' Undivided profits ! 1J. S. bonds on hand National-bank notes outstanding.. Stocks, securities, judgments, etc . . . . . 34, (808. 24 State-bank notes outstanding Due from approved reserve agents 27, J05. 70 Due from other national banks Div idends unpaid Due from State banks and bankers i 5U0.00 Bank'g-house,furniture,and fixtures, Individual deposits Other real estate and mortg's owned Current expenses and taxes paid. ..'• United States deposits Premiums on U. S. bonds I • Deposits of U.S. disbursing officers. Checks and other cash items | 1, 951). 27 Due to other national banks Exchanges for clearing-house j Bills of other national banks J 7,270.00 Due to State banks and bankers .. 123.31 Fractional currency, nickels, cents . 14, 25."). 00 Notes and bills re-discounted Specie 12, 450. 00 Legal-tender notes Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. " " 5G2.50 Due from Treasurer U. S , 272, 956. 06 Total. $50, 000. 00 2, 000. 00 2, 335. 4 L 10, 750. 00 205, 040. C9 1,234.94 989. 02 272, 956. 06 Total. First National Bank, Cambridge City. LINVILLE FERGUSON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from othrr national banks Due from State banks and bankers Bank'g-house,funriture,andnxtures| Other real estate and mortg's owned Current expenses and taxes p a i d . . . • ' Premiums on U. S. bonds ' Checks and other cash items j Exchanges for Ciearing-house | Bills of other national banks ! Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Tioasurer U. S No. 2734. $100,000.00 43, 0.10. 00 25, 000. 00 ! Surplus fund 5,172.40 Undivided profits National-bauk notes outstanding.. 22, 500. 00 24, 426. 55 State-bank notes outstanding 397. 25 Di vidends unpaid 3, 500. 00 Individual deposits 163, 051. 38 United States deposits l)ep.)sitsof U.S.disbursingoilieers. . . . 660.32 700.00 17.07 5, 370. 00 8, 000. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 1,125. 00 333, 723. 78 Total. J O H N JACKSON. Cashier. $264, 527. 59 j Capital stock paid in Total. 333, 723. 78 First National Bank, Columbus. W I L L I A M J . LUCAS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, secuiities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes.., TJ. S. certificates of deposit Redemption fund with Treas U. S. Due from Treasurer TJ. S Total. L. K. ONG, Cashier. No. 1066. $184,017.50 Capital stock paid in $100,000.00 137.82 50, 000. 00 Surplus fund 20,00.) G O 14, 181.31 Undivided profits 57, 000. 00 National-bank notes outstanding.. 44, 550. G O 119, 929. 26 State-bank notes outstanding 22, 546. 11 Dividends unpaid "12,000.00* 302.u0 Individual deposits 3ll.17C.10 1, 646.13 United States deposits 3, 000 00 Depositsof U.S. disbursing officers 568. 30 Due to other national banks " 670.00 Due to State banks and bankers ..!. 182. 29 5,711.00 Notes and bills re-discounted I29, 947. 00 Bills payable j 2, 250. (JO 489, 907.41 Total. 489,907.41 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 695 First National Bank, Connersville. No. 1034. F . M. HOOTS, President. Kesources. Loans and discounts Overdrafts - -U. S. bonds *.o secure* circulation .U. S. bouds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Duo from other uatioual banks Due from State banks and bankers. Bauk"g-house, furniture,and fixtures Other real estate and nioi tg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. cortiiicates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $255, 037. 30 2, 563. 01 25,000. 00 46, 631. 78 36. 25 25,000. 00 1,465.43 1, 718. 75 Capital stock paid in $100,000. 00 Surplus fund Undivided profits National-bank notes outstanding . State-bank notes outstanding 1 30,000.00 3,518.09 22, 500. 00 Dividends unpaid ... Individual deposits . 214,015.24 United States deposits Deposits of U.S. disbursing officers. Due to other national banks 1,000.00 460. 81 Due to State banks and bankers. 3, 000.00 Notes and bills re-discounted. 7,000.00 Bills payable 1*120*00' Total. 370, 033. 33 Total. C. MOUNT, Cashier. Liabilities. 370, 033.33 First National Bank, Crawfordsville. JOSEPH MILLIGAN, President. Loaus and discounts Overdraft s IT. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,lurniture;and fixtures Other real estate a-Ed mortg's*owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items JKxehanges for clearitig-house ' Bills ot other national banks ^Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 571. SAM'L W. AUSTIN, Cashier. Capital stock paid in . $100, 000. 00 $290, 369. 20 8, 418. 59 25, 000. 00 12, 921. 00 43, 079. 34 19, 527. 65 Surplus fund Undivided profits 75, 000. 00 National-bank notes outstanding State-bank notes outstanding 22, 500. 00 12,286. 51- Dividends unpaid 3*640.00 31, 242. 23 1, 780. 87 3, 700.09 12,905. 66 90.85 16, 850. 00 25,000.00 Individual deposits United States deposits Depositsof U.S.disbursingottieers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 275,903.12 16, 520.19 1,125.00 500.00 502, 209.82 Total. 502, 209.82 Citizens' National Bank, Crawfordsville. No. 2533. A. F. RAMSEY, President. Loans and discounts Overdrafts U. S. bouds to seeure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers.! Bank'g-house,furniture,and fixtures Other real estate and niortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . I" $183,156. 50 7, 000. 00 50, 000. 00 B. WASSON, Cashier. Capital stock paid in . Surplus fund Undi vided profits $100, 000. 00 35, 000. 00 7, 016. 26 , National-bank notes outstanding . State-bank notes outstanding 39, 820.00 78, 066. 77 27,104. 61 5, 970. 00 2, 400. 00 14, 000. 00 1,412.76 i; 3,000.00 || Individual deposits United States deposits Depositsof U.S.disbursingoliioers- 6, 500. 00 l)ue to other national banks ; Due to State banks and bankers..;• 149. 5S 21, 400.00 28, 000. 00 45,000.00 Dividends unpaid. 282, 283. 58 130. 33 800. 00 Notes and bills re-discounted . Bills payable 2,250.00 470,230. 17 Total , -- 470, 230.17 696 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIA NA. First National Bank, Crown Point. No. 2183. JOHN BROWN, President. TV. C. MUKPHEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtuies Other ieal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XJ. S . Due from Treasurer U. S Total. Capital stock paid in. Surplus fund Undivided profits. $50, 000. 00 National-bank notes outstanding.. 38, 009. 36 State-bank notes outstanding 9, 915.13 4, 734. 73 Dividends unpaid 7, 000.00 Individual deposits United Statos deposits Deposits of U.S. disbursing officers 672.95 Due to other national banks 7, 700. 00 Due to State banks and bankers . 155.02 6, 665.00 Notes and bills re-discounted 12, 000.00 Bills payable : 18, 000. 00 $209, 901. 64 986.23 20, 000. 00 50, 000. 00 1, 798. 89 198, 848.07 900.00 318, 646. 96 318,646.96 Total. First National Bank, Danville. No. 152. THOMAS J. COFER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and moitg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total $201,363.97 6, 380. 20 25,000.00 1,500.00 8, 906. 99 28, 834. 05 2, 000. 00 6, 578.47 1,227. 45 "i,640.7i 2, 085.00 5.46 12, 090. 00 3, 450. 00 BENJ. F. THOMAS, Cashier. $82, 500. 00 Capital stock paid in. Surplus fund Undivided profits 17,500.00 18, 032. 04 National-bank notes outstanding. State-bank notes outstanding 22, 500. 00 Dividends unpaid. 260. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 161, 389. 26 Due to othoivnational banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1,125. 00 302,187.30 302, 187. 30 Total.. Decatur National Bank, Decatur. T. F. DORWIN, President. Loans and discounts Overdrafts V. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixturos Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. R. S. PKTKKSON, Cashier. No. 3028. $100,103. 25 1, 995.15 12, 500. 00 9, 962. 82 6, 220. 02 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 7, 500. 00 1, 978. 02 11, 240.00 Dividends unpaid 1, 500. 00 "i, 622. ii 2, 406. 25 865. 29 3, 960. 00 152. 08 2, 248.35 6, 235. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 79, 014. 80 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562.50 149, 732. 82 Total . 149, 732. 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 697 INDIANA. First National Bank, Elkhart. C. H. WINCHESTER, President. No. 206. "W. H. KNICKERBOCKER, Cashier. I! Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits.. IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,fiiriiiture,and fixture? Other real estate and moi tg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $252,30(1. 2, 250. 47, luO. 2,901. 34, 153. 8, 000. 6, 200. 2,18 L 289,43 15, H;J. 42. 2, 300. 15, 000. Liabilities. $100, 000. 00 j! Capital stock paid in [| Surplus fund j i Undi vided profits 40, 000. 00 15, 030. 57 <• National-bank notes outstanding.. j State-bank notes outstanding 42, 300. 00 I Dividends unpaid I: Individual deposits : United States deposits DepositsofTJ.S. disbuisingonicers. 192,004.30 Due to other national banks ! Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 2,115.00 390, 000. 9 Total. 390, 000. 93 Elkhart National Bank, Elkhart. No. 2502. ABRUM IJPP, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks .. Due from State banks and bankers Bank'g-house,furnifnre,and fixtures Other real estate and tnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. $79, 495. 07 1, 259, 93 12, 500. 00 1,392.91 1 53. 33 942. 07 10, 200. 00 ""m.'oi" ED. R. KERSTETTER, Cashier. Capital stuck paid in $50, 000. 00 Surplus 1fund •mrplus Undivided profits . National-bank notes outstanding State-bank notes outstanding . . . 10, 000. 00 1, 585. 50 11, 250. 00 Dividends unpaid I Individual deposits j : TTnited States deposits Depositsof U.S. disbursingomcerp 828. 04 Due to other national banks "I," 558. 00 Due to State banks and bankers .. .27 1, 904. 00 Notes and bills re-discounted . 11,500.00 Bills payable 48, 253. G O -1, 308. 54 502. 50 122,487.73 Total 122,487.73 First National Bank, Evansville. CHARLES YIELE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'ghouse,furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Cheeks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 2092. Capital stock paid in . $1, 332, 231. 75 3, 847. 25 50, 000. 00 16, 020. 00 140, 032. 35 95, 305. 08 84, 324. 50 42, 950. 00 13,050.00 12, 788. 74 13, 000. 00 6, 300. 49 44, 049.00 434.15 61,212.30 67,000.00 J. H. CUTLER, Cashier. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding ...... $500, 0,)u. 00 200, 000. 00 51, 130. 15 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursingofncers Due to other national banks Due to State banks and bankers.. 10"), 247. 39 118,194.4-2 Notes and bills re-discounted. Bills payable 2, 250. 00 1, 992, 001. 67 Total 1,992,001.67 KEPOiit Oi THE COMPTKOLLEK OF THE CUIiKEiNCif. I N 1>I A IV A . Citizens' National Bank, Evansville. S. P. GILLETT, President. No. 2188. Resources. .Loans ami discounts Overdrafts 'XT. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c Due from approved reserve agents. Due from other national banks Dae from State banks and bankers Bank'g-house,fumiture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house 13ills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. \V. L. SWOKMRTEDT, Cashier. I $482, C9U. 28 2,3*7.43 50, 000. 00 5,000.00 49, 752.10 851.89 1, 094.58 3,142.81 7, 210. 0(5 4, 407. 08 3,150.00 GO. 00 3,160. 00 . 134.18 2, 425.00 20, 500. 00 Liabilities. Capital stock paid in Surplus fund Undivided profits 40, 000. 00 7, 343. 06 Nation.il-bank notes outstanding.. State-bank notes outstanding ..'..... 45, 000. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingoificers. Due to other national banks Due to State banks and bankers . . 274, 283. g 8, 000. 95 63,010. 14 Notes and bills re-discounted . Bills payable 2*250.00 G38, 298. 01 Total. 638, 298. 01 German National Bank, Evansville. JOHN A. REITZ, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks cents. Fractional currency, nickels, Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1772. IT. L. COOK, Cauhicr. 5250, 000. 00 Capital stock paid in. 50, 0( 0. C O Surplus fund 63, 538. 39 Undivided profits National-bank notes outstanding.. 45, 000. 00 977. 9? State-bank notes outstanding $367, 422. 77 811.74 50, 000.00 147, 57,492.53 5, 534. 26 2, 300. 00 6, 204. 25 10, 000. (:() 4, 093.33 *37,*936.'(KV 179.43 11,371.00 27, 000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Duo to other national banks Due to State banks and bankers . . 315,217.45 6, 817. 40 Notes and bills re-discounted. Bills payable 2, 250.00 730, 573.24 Total- 730, 573. 24 Old National Bank, Evansville. SAMUEL BAYARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3281. HENRY KEIF, Cashier. $500, 000. 00 Capital stock paid in. 50, 000. 00 250, 000. 00 Surplus fund 100, 000. 00 32, 397. 01 Undivided profits. 123, 000. 00 National-bank notes outstanding 45, 000. 00 154, 886. 87 State-bank notes outstanding . . . $1,254, 959. 00 370, 748, 34 170, 692. 78 28, 000. 00 8, 305. 00 13,071.77 26, 000. 00 15, 886. 04 109, 000. 182. 100, 570. 37, 000. 00 74 00 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1,153, 091, 01 107, 546. 09 5.50 143, 996. 43 332, 513. 50 2, 250. 00 2, 561, 552. 54 Total 2, 564, 552. 54 REPORT OF THE COMPTROLLER OF THE CURRENCY. 099 INDIANA. First National Bank, Fort "Wayne. No. 2701. J. H. BASS, President. L E M . E . HAUTMAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank' g- ho u so, furniture, and ti x tares Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Kedcmption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $640, 378.70 16,457. 57 50, 000. 00 $300, 000.00 Capital stock paid i n . Surplus fund Undivided profits National-bank notes o u t s t a n d i n g . State-bank notes outstanding 63,112. 80 1, 785.42 302. 25 G, 185. 00 80, 000.00 37, 367. 27 45,000.00 315.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Duo to other national b a n k s Due to State banks and bankers-... "4,186. 52 402, 733. 87 60, 430.78 13, 801. 25 "17," 850." 22" 48, 533. 00 702. 64 15, 449.05 72, 455.00 Notes and bills re-discounted. BilLs payable 2, 250. 00 .1 Total. 939, 648.17 939,048.17 Hamilton National Bank, Fort Wayne. Loans and discounts I Overdrafts U. S. bonds to secure circulation ...! U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bimk'g-house.furniture, and fixtures Other real estate and raortg's owned Current expenses and taxes paid . . Premiums ou U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total., JOHN Moiui, JK., Cashier. No. 2439. CHARLFS MCCULLOUGH, President. $786,116. 76 ! Capital stock paid in 19,978.16 •! 200,000.00 i Surplus fund 80,000.00 Undivided profits. 14,750.00 : 22,148.75 !i National-bank notes outstanding 50, 656. 7 L ;!State-bank notes outstanding-... 118,215.05 ' 4,126.89 J Dividends unpaid 8,471,31 !i 1,490.00 !; Individual deposits 6,255.22 'I United States deposits 19,435.50 1 Deposits of U.S.disbursing officers. 1 7,572. 16 | 64,117. 00 4, 626. 00 67, 071. 20 42, 000.00 i Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable $200, 000. 00 200, 000.00 39,852.92 180, 000. 00 793.217.14 79, 066. 32 3. 42 8,940.49 44, 050. 42 9, 000. 00 Total . 1, 526, 030. 71 1, 526, 030. 71 Old National Bank, Fort Wayne. No. 3285. S. B. BOND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-houso,furniture,and fixtures Other real estate and mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationarbanks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit . ^Redemption fund with Treas. U.S npti Due from Treasurer U. S . Total. $763, 971.15 11,184.61 50, 000.00 2*556.6o" 2, 285, 36, 2, 12. 908. 73 296. 38 291. 94 023. 63 000.00 4, 845. 76 J. D. BOND, Cashier. | Capital stock paid in j Surplr s fund Undivided profits $350, 000. O G 70, 000.0G 50, 935. 29 i National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 45, 000. 00 600. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 762,442. 94 ! Due to other national banks ! Due to State banks and bankers . . 15,993.57 17, 244.17 9,297.32 12, 032.00 928.60 60,179.85 51,456. 00 I Notes and bills re-discounted . j! Bills payable 2, 250. 00 5, 000. 00 1, 312, 215. 97 Total 1, 312, 215.07 700 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Frankfort. No. 1854. J . W. COULTER, President DAVID P . BARNES, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to securo circulation... U. S. bonds to secure deposits U. S. bonds on band j Stocks, securities, judgments, etc.. Due from approved reservo agents Duo from other national banks Due fiom State banks and bankers. Ban k'g-bouse,furnitur(>,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XJ. S. Due from Treasurer U. S Total. Liabilities. $341,120.84 6,003. 49 200, 000.00 13, 051.00 54, 217.10 Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding .."... 40,000. 00 16, 270. 91 180,000.00 i Dividends unpaid 2,439.39 Individual deposits United States deposits Deposits of U. S. disbursing officers. 235, 013. 85 2,487.45 19, 975. 00 1, 261. 40 6, 7*4.00 15,000.00 Duo to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 9,000.1)0 671,284.70 , Total . 671, 284. 76 Citizens' National Bank, Franklin. THOMAS W. WOOLLEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits . . . U. S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture.and fixtures Other real estat e and mortg's ownedi Current expenses and taxes paid...! Premiums on U. S. bonds j Checks and other cash items Exchanges for clearing-house | Bills of other national banks \ F r a c t i o n a l currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund w i t h T r e a s . IT. S. D u e from T r e a s u r e r U. S Total. No. 39(57. $80, K50. 08 2,592 2!) 12, 500. 00 J . W. RAGSDALE, Cashier. 0, 000. 00 Capital stock paid i n . Surplus fund Undivided profits | 10, 000. 00 Xational-bank notes outstanding.. 23, 814. fc'(J State-bank notes outstanding 5, 587. 94 1, 800.89 7, 171.71' 917.91 J, 117.18 3,513.30 2, 201. 3. 8, 780. 2, 1G0. 00 75 30 00 2, 753.83 11,250.00 Dividends unpaid Individual deposits | United States deposits I Deposits of U. S. disbursing of li cers Due to other national banks. Due to State banks and bankers... Notes and bills re-discounted. Bills payable 98,172. 23 743. 69 562.50 Total . 162, 919. 75 162, 919. 75 Franklin National Bank, Franklin. JOHN CLARKE, President. Loans and discounts Overdrafts U. S. bonds to securo circulation. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Duo from other national banks. . . Due from State banks and bankers Bank'g-bonso, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U, S bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund witli Treas. U. S. Due from Treasurer U. S- Total . E. C. MiLLEit, Cashier. No. 3338. 167,583.12 i 1,396. 79 ' 25, 000.00 2,000,00 56,080.10 79, 8 m 44 25, 180. 99 7, 000. 00 55.40 Capital stock paid i n . . $100,000.00 Surplus fund Undivided profits 25, 000. 00 3, 185.71 Xational-bank notes outstanding. Stato-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 245, 315.44 " 5"861'88' 1,300.00 64 39 23. 639.: 0 205. 00 Due to other national banks Duo to State banks and bankers Notes and bills re-discounted. Bills payable 401.46 1,125. 00 390, 402. 61 Total . 396,402. 61 REPORT OF THE COMPTROLLER OF THE CURRENCY. 701 INDIANA. City National Bank, Goshen. A. L. HUBBELL, President. Tuos. H. DAILY, Cashier. No. 2067. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Duo from other national hanks Duo from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds . Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. Liabilities. $130, 622.91 2, 205.43 20, 000.00 $77, 000. 00 Capital stock paid i n . Surplus Undivided profits National bank notes o u t s t a n d i n g - . State-bank notes outstanding 600. 00 485. 58 107. 87 19, 000. (0 2,188. 78 18, 000. 00 Dividends unpaid Individual deposits United States deposits DeyoHitaofU.S.disbursiiig officers. 4, 8-13 176 76.41 122, 095.18 Due to other national banks Duo to State banks and bankers. Motes and bills re-discounted.. Bills payable 5, 495 00 60. 81 9, 467. 50 8,000. 00 | 900. 00 238,283.96 i Total. 238, 283. 96 First National Bank, Greencastle. THOMAS C. HAMMOND, President. Loans and discounts j Overdrafts I U. S. bonds to secure circulation... li U, S. bonds to secure deposits U. S. bonds on hand I Stocks,securities, judgments, etc...! Due Irom approved reserve agents ! Due from other national banks Due from State banks and bankers. Bank'g-home,furniture, and fixturesi Other real estate and mortg's owned Current expenses and taxes paid.. \ Premiums on U. S. bonds ' Checks and other cash items | Exchanges lor clearing-house :. Bills of other national banks j Fractional currency, nickels, cents, j Specie 1. j Legal-tender notes i U. S. certificates of deposit [. Redemption fund with Treas. U. S . I Due from Treasurer U. S j Total.. No. 219. $250, 437.43 4, 260. 00 31, 500. 00 JEROME ALLEN, Capital stock paid in Surplus fund Undivided profits 60, 000. 00 5, 508, 03 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 35, 05L. 24 43, 883.08 8, l i t . 23 26, 60J. 18 28, 350. 00 Dividends unpaid Indi vidual deposits United States deposits Depositsot'U.S. disbursingoifieers 2,641.80 2, 408. 59 6, 6 JO. 03 i Duo to other national b a n k s j D u e to State banks and bankers . . l.'O. :u> 41, 2U0. 00 8. 500. 00 Cashier. $125,000. 00 6.18.00 254, 348. 97 459. 91 j Notes and bills re-discounted Bills payable 1,417. 50' . 50 474, 284. 91 Total.... 474, 284. 91 Central National Bank, Greencastle. ALFRED HIRT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IJ. S. bonds to secure deposits "0". S. bonds on hand StocKs, securities, judgments, etc .. Due from approved reserve, agents Due from other national banks Duo from State banks and bankers Bank'g-house, furniture,and fixtures O th ei-real estate and mo it g' s o wned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items .Exchanges for cJearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tendemotes TJ. S. certificates of deposit ... Redemption fund with Treas. U. S . Due from Treasurer X S L Total No. 2896. R.L.O'HAIR, Cashier. $100,000.00 Capital stock paid in. 5,103.69 Surplus fund 7, 081. 91 Undivided profits National-bank notes outstanding.. 22, 500. 00 48,124.69 State-bank notes outstanding $165, 710.19 H, m8. 58 25, 000.00 25, 579. 77 318.54 22,155). 35 1,745.35 6, 200. 00 {>, 121.36 7, 529.00 228. C O 10,400.00 6, 500. 00 Dividends unpaid .. Individual deposits United States deposits Deposits of U. S. disbursing officers. 199, 964. 23 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bi Ik payable 1,125.00 334,700.83 : Total. 334, 709.83 702 REPORT OF Til 1 COMPTROLLER OF THE CURRENCY* 0 INDIANA . First National Bank, Greensburgh. No. 356. A. R. FORSYTH, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash.'items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer U. S Total. E. R. FORS\TH, Cashier. Liabilities. Capital stock paid in. Surplusfund Undivided profits. 6,000.00 National-bank notes outstanding.. 25, 282. 25 State-bank notes outstanding $198, 734. 91 2, 071.17 30,000.00 $120, 000. 00 24, 000. 00 6, 719. 94 27, 000. 00 3, 845. 59 "14,336.95 10,472. 36 2,149. 67 5,180.00 Dividends unpaid Individual deposits United States deposits Depositsot U.S.disbursing officers 137, (63. 51 Due to other national banks 2, 370. 00 23.05 Due to State banks and bankers. 8, 067. 50 Notes and bills re-discounted. 5, 500. 00 Bills payable 1, 350.00 Total. 315, 383.45 315, 383.45 Third National Bank, Greensburgh. JOHN E. ROBBINS, President. Loans and discounts Overdrafts U. S. bonds to securo circulation... U. S. bonds to secure deposits If. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reservo agents Duo from other national banks Duo from {State banks and bankers Ban k 'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges ^for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2844. $152, 223.54 6, 340. 36 20,000.00 85, 826. 42 W A L T E R W. BONNER, Cashier. Capital stock paid in $75, 000. 00 Surplus fund Undivided profits 4, 100,00 1,890.11 National-bank notes outstanding. State-bank notes outstanding 18, 000. 00 Dividends unpaid 7, 089. 51 2, 000.00 356. 00 149. 00 ],000. C O 58. 05 Individual deposits United States deposits Deposits of U. S. disbursing officers. 169.00 132. 64 5, 757.85 8,472.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 191,481.26 "*966.'6o" Total. 290,474. 37 290, 474.37 Citizens' National Bank, Greensburgh. DAVID LOVETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks . . . . Duo from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses aud taxes paid. -. Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1890. $159,465. 36 1, 978.51 100, 000.00 4, 700.00 77, 873.33 4,409. 70 544.13 3, 877.00 SAM'L CHRISTY, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits 2, 099. 50 United States deposits 26, 2f)0.00 Deposits of U. S.disbursingofficers. $100,000.00 20, 000.00 5, 880.56 90,000.00 195, 293.39 2,817.42 Due to other national banks 1, 000. 00« 124. 00 Due to State banks and bankers. 16, 535. 00 Notes and bills re-discounted. 5, 000. 00 Bills payable 4, 500. 00 411,173.95 Total. 411,173. 95 REPORT OF THE COMPTROLLER OF THE CURRENCY. 703 INDIANA. First National Bank, Hammond. No. 3478. M. M. TOWLE, President. F. H. TUTHIL ,, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation.. XJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Duo from other national banks Duo from State banks and bankers. Bmk'g-houso, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. 8. bonds 0hecks and other cash i terns Exchanges for clearing-house Bills of other iiationarbanks Fractional currency, nickels, cents. SpecieLegal-tender notes "IL S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer XJ. S Total. Liabilities. $81,615.43 I Capital stock paid in "* 12, 500.00 Surplus fund Undivided profits 42. 70 National-bank notes outstanding.. 16,747.50 ; State-bank notes outstanding $50, 000. 00 5,210.48 3, 794. 03 11, 250.00 Dividends unpaid Individual deposits 990. 52 United States deposits Deposi ts of U. S. di sbu rsin g oiucers. 94.18 jl I Due to other national banks 50. 00 Due to State banks and bankers (51.27 10,193. 05 Notes and bills re-discounted . j Bills payable 53, 590. 04 502.50 1, 000. 00 Total. 123, 857. 75 123, 857.75 First National Bank, Huntington. "WILLIAM Me GREW, President. No. 2508. SAKAH F. DICK, Cashier. Capital stock paid in Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Stocks, securities, judgments, etc . Duo from approved reserve agents. Due from oilier national banks Duo from State banks and bankers. Ban k'g- house, furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. L-onds Checks and other cash items Exchanges for clearing-houseBiils of other national banks Fractional currency, nickel3, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S $100,000.00 Surplus fund Undivided profits 26, 500. 00 4, 790. 99 National-bank notes outstanding.. State-bank notes outstanding . . . . 22, 500. 00 Dividends unpaid 5, 000. 00 Tndi vidual deposits United States deposits Deposits of TJ. S. disbursing officers. 228, 033.81 Due to other national banks Du.b to State banks and bankers . Notes and bills re-discounted 'Bills payable Total. Total. 386, 824. 80 Indiana National Bank, Indianapolis. V. T. MALOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds oil hand Stocks, securities, judgments, etc .. Duo from approved reserve agents Duo from other national banks Duo from State banks and bankers Bimk'g-house, furniture, and fixtures Other real estate andmortg's owhed Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. fi. D uo from Treasurer U. S Total. No. 984. Capital stock paid in ., 264, 077. 04 104.75 50, 000. 00 350, 000. 00 250, 000. 00 797, 779. 29 289,291.03 53,7-19.29 E. B. PORTER, Cashier. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 100, 000.00 200, 356. 25 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 581. 80 91,590.77 198, 543. 00 1,287.53 440, 8i*2. 00 90, 000. 00 $300, 000.00 Due to other national banks Due to State banks and bankers .. 2, 012, 547. 73 293,407.46 55, 549.16 494,1-54. 64 373, 751. 92 Notes and bills re-discounted . Bills payable 2, 250. 00 3, 880, 807.16 Total. 3,880, 807.16 704 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. Indianapolis National Bank, Indianapolis. THEO. P. HAUGHET, President. No. 581. EDWIN E. REXFORD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to securo circulation .. U. S. bonds to securo deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Dae from other national hanks Duo from State hanks and hankers I Bunk'g-house,furniture,aiidnxturos Other real estate- and inortg's owned Current expenses and taxes paid... Premiums onU. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national hanks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treat*. XJ. S. Due from Treasurer IL S Total ,ui,768.ar> 3, 434. 90 50, 00D. 0:) 350, 000.00 31, £49. 09 497, 002. IJ8 3,38-'. 87 1, 033. <\Q 10, 000. 00 12,080.00 7, 168.18 20, 000.00 ll,28:i.88 1",, 40;j. 30 84,C9"). 00 ! 308.57 115, 990.55 150, 000. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding-. State-bank notes outstanding Dividends unpaid $300, 000. 00 60, 000. 00 29,750.91 45, 000.00 177.00 Individual deposits United States deposits Deposits of U. S. disbursing officers 1, 223, 484. 48 270,501.05 83, 308. 2G Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bill s payable 3G0, 249. 31 130, 316. 75 2, 250.00 ; 2,508,850.76 \ 2, 508, 850.76 Total Merchants' National Bank, Indianapolis. J. P. FRENZEL, President. No. 869. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to securo deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and hankers Bank'ghouse,furniUvre,andnxtures O t h cr real cstato and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes . U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $359,281. 29 65. 93 25, 000. 00 16,650.00 129,765.01 21,518.99 4, 095. 26 800. 00 4, 006.11 5, 534.60 11,743.87 40, 729. 00 27.99 78, 710. 00 35,000.00 O. N. FRENZEL, Cashier. Capital stock paid in. iioo, ooo. oo Surplus fund Undivided profits 50, 000. 00 8, 713. 89 National-bank notes outstanding.. 22, 500. 00 State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable Total. 732, 958. 05 514,046.66 35,172. 39 2, 525.11 732,958.05 Meridian National Bank, Indianapolis. " V P. GALLUP, President. N. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits . ... U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-kouse, furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie -. * Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1878. 54,650.25 278, 996.44 37, 786. 14 30, 305. 35 1, 000.00 38, 222. 89 3,811.58 2, 332. 42 26,311,40 63,1J0. 00 743.70 54, 200. 00 200, 000. 00 A. F. KOPP, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $200,000.00 100, 000. 00 12, 501. 63 90, 000. 00 918, 943. 93 154, 443.64 172, 620. 83 4, 500.00 1, 648, 510.03 Total . 1,648,510.03 REPORT OF THE COMPTROLLER OF THE CURRENCY. 705 INDIANA. First National Bank, Jeffersonville. No. 956. S. C. TAGGART, President. H. E. HEATON, Cashier, Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to seenre deposits U. S. bonds on hand ... Stocks, securities, j u d g m e n t s , etc . . D u e from approved reserve a g e n t s . Duo from o t h e r national b a n k s D u e from State b a n k s and b a n k e r s . Bank'g-hoiuo, furniture, andtixuiresj O t h e r r e a l estate and mortg's owned 1 ('in rent expanses and taxes paid. ..I P r e m i u m s on U. S. bonds Checks ar.d otlier cash items E x c h a n g e s for clearing-house Bills of other national b a n k s Fractional currency, nickels, cents Specie Legal-tender notes IT. S. eertiiicates of deposit Redemption fund "\vit.li T r e a s . TJ. S Due from T r e a s u r e r U. S Total. Liabilities. Capital stock paidin $334,598.31 3, 682. 34 52, 300. C O $150, 000. 00 Surplus fund Undivided profits 33,100.00 44, 604. 52 National-bank notes outstanding State-bank notes outstanding 500. 00 24,150.55 27, 135.43 22,420.21 35, 584.10 25, 000. 00 47, 070. 00 Dividends unpaid 942. 00 Individual deposits '"i."658."77'| United States deposits ' 142. 50 I Deposi ts of U. S. disbursing officers. 254, 370. 03 14G.40 | I/ue to other national banks Due to State banks and bankers .. 4, 300. 00 119. u 14,511.51 7,181.69 Notes and bills re-discounted . Bills payable 10, 088. 00 7, 000. 00 2, 353. 50 551, 779. 75 551, 779. 75 Total.. Citizens' National Bank, Jeffersonville. G. W. LEWMAN, President Loans and discounts Overdrafts U. S. boiuls to secure circulation . . . U. S. bonds to secure deposits IT. S. bonds on hand j Stocks, securities, judgments, etc - -I Due from approved reserve agents, i Dui'- from other national banks . . . . Duo fio:n State banks and bankers.! Bank'g-house,furniture,andnxturesj Other real estate and inortg's o\v in.id: Current expenses and ta xes paid...; Premiums on U. S. bonds ("hecks and other cash items Exchanges for clearing-house JJills of other national, hanks. Fractional currency, nickels, cents. Specie '. Legal-tender notes IT. S. certiiicates of deposit Redemption fund with Treas. U. S . Due from Treasurer 0". S Total. No. 1406. $338,137. 43 Capital stock paid in. JOHN ADAMS, Cashier. $150, 0J0. 00 40, 000. 00 ; Surplus fund ' Undivided profits . National-bank notes outstanding 27, 981. 55 State-bank notes outstanding .. 4, 238, 36 19, 425. 70 | Dividends unpaid 12, 900. 00 • Individual deposits 1,498. 50 ; United States deposits '- Depositsof U.S.disbursing officers. I, 3. 785. 00 1 12.41 ; 7, 2<)0. 00 j 7, 750. 00 50, 000. 00 15,147. 39 36, 000. 00 364.00 213, 217. 56 Due to other national banks Due to State banks and bankers ..-, Notes and bills re-discounted Bills payable 1, 800. 00 464, 728. 95 Total. 464, 728. 95 First National Bank, Kendallville. No. 2637. JOHN MITCHELL, President. Loans and discounts i Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits [ U. S. bonds on hand j, Stocks, securities, judgments, etc .. Due from approved reserve agents. | Due from other national banks Due from State banks and bankers. . Bauk'g-house,furniture,and fixtures Other real estate and inortg's owned; Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items | Exchanges f:>r clearing-house j Bills of 'dt her national banks ! : Fractional currency, nickels, centsSpecie i Legal-tender notes j U. S. certiticates of deposit. I Redemption fund with Treas. U. S . Due from Treasurer U. S Total H. Ex. 3 $119, 445. (: • )> 2, 812. (55 50, 000. 00 Cashier. $50, COO. 00 Surplus fund Undivided profits 7, 7(i0. 00 National-bank notes outstanding.. 2, 695. 38 i State-bank notes outstanding 4, 300. 00 4, 206.94 45, 000. 00 1, 035. 00 .11 Dividends unpaid. 550. 00 1, 5'iO. 31 , Individual deposits ], 605. 50 i United States deposits 1, 550. 44 I 96,195.10 ' 4, 858. 68 I Deposits of U.S.disbursin gofficers.! ,! Due to other national banks 2, 075. 00 jj Due to State banks and bankers ..! 213. 41 6, 008 00 j Notes and bills re-discounted . 5, 000. 00 ; 15 ills pay able 2. 2.">0. 0i> 204, 560. 72 45 H E N K Y C. B O W E R , Capital stock paid in Total. 204, 560. 72 706 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Knightstown. EOJ3EKT WOODS, President. No. 872. Resources. Loansand discounts Overdrafts TJ. S. bonds to secure circulation.. IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities,, judgments, etc. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other casli items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $130, 087. 89 049. 44 12, 5U0. 00 j| 3,000.00 j 28,076.10 31, 038. 69 "*4*i66"<j.j" CHAS. D. MORG A.N, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding..... $50, 000. i 0 50, ():M). r.() 30, 4OL. ui 11, 250. 0b Dividends unpaid " 2, 616.84 Individual deposits United States deposits Deposits of U.S.disbursing officers 3, 260.00 40. 75 20, 536.00 4, 000. 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 94,381.19 562. 50 241,062.21 241, 062.21 Total Howard National Bank, Kokomo. NATHAN PICKETT, President. Loans and discounts Overdrafts U. S. bonds to secure circnla-1 Ion... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, f urniture,and fixtures Other real estate and mortg's owned Current expenses and taxos paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total.. JOHN A. J A Y , Cashier. No. 2375. $100, 000. 00 Capital stock paid in. 28, 000. 00 Surplus fund 5,143.10 166.66 Undivided profits 45, 000. 00 29, 286. 76 National-bank notes outstanding.. 82,158. 51 State-bank notes outstanding $205,107.74 1,501.75 50, 000.00 28, 629. 24 ""13,088.'82 2,008.20 27. 00 1,068.91 12, 309. 00 570.18 23, 531.10 29, 425.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 302, 919.11 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2, 250.00 481, 062. 21 Total. 481,062.21 First National Bank, La Fayette. M. L. PEIKCE. President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Ban k'g-house,furniture, and fixtures Otherreal estate and mortg's owned Current expenses and taxes paid..Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-Louse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 2717. Capital stock paid in. Surplus fund Undivided profits $351,036.94 !j 206.50 31, 250.00 50, 000. 00 1, 000. 00 32, 000. 00 88, 468. 98 115, 624. 49 1,796.03 37, 000. 00 11,000.00 2, 927. 33 14,180.45 5, 583.97 15, 648. 138. 28, 067. 5, 000. 00 98 50 00 H. W. MOORE, Cashier. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. $125, 000. 00 2", 000. 00 11, 758. 24 28,125. 00 166.00 Individual deposits United States deposits Deposits of U. S. disbursingofneers. 528, 829.48 55, 000.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 12,381.11 6, 075. 59 1,406.25 ' 792, 335. 42 Total . 792, 335. 42 REPORT OF THE COMPTROLLER OF THE CURRENCY. 707 I BfDIANA. Fowler National Bank, La Fayette. No. 3280. J . M. FOWLER, President. B. BROCKENBROUGH, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits XT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houuo, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds -i C becks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. XT. S. Du e from Treasurer XT. S Total. Liabilities. $325, 380. 78 200. 00 25,000. 00 50, 000. 00 82, 800. CO 250,94(1.21 104,288. 15 4 J , 57;$. 55 1, 394.11 30, 000. 00 2, 000. 00 2, 872.89 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid . Individual deposits United States deposits Deposits o f U. S. disbursing officers - 791,042.70 55, 000. 00 Due to other national banks Due to State banks and bankers . . 11,694.19 19, 986.98 5," 948.'17' 27,"soi.66 107, 948.99 52, 837. 00 Notes and bills re-discounted. 40, 000. 00 Bills payable ""i," 125." 66' 1,108,172. 86 Total 1,108,172.86 Indiana National Bank, La Fayette. JAMES J. PEREIN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ; Stocks, securities, judgments, etc ..j Due from approved reserve agents. | Due from other national banks j Due from State banks and bankers.! Bank' g-ho u so, furnitu re, and fixtures j Other real estate and mortg's owned; Current expenses and taxes paid j Premiums on U. S. bonds | Checks and other cash items j Exchanges for clearing-house j Bills of other national banks ; Fractional currency, nickels, cents . Specie Legal- tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S No. 1967. $228, 085. 87 450.38 40,000. 00 120, 000. 00 25, 200. 00 25, 000. 00 74, 218.18 10, 143. 90 22,666.66 $100, 000.00 Surplus #»nd Undivided profits . . National-bank notes outstanding. State-bank notes outstanding 20, 000.00 18, 287.13 36, 000.00 Dividends unpaid 103. 30 Individual deposits 2,274.01 United States deposits 24, 704. 59 Deposits of U.S. disbursing officers 6.27 Dae to other national banks io," 666.66 Due to State banks and bankers . 500.00 15, 000. 00 Notes and bills re-discounted. 5, 000.00 Bills payable 289, 247.19 132, 000. 00 2, 622. 00 6,450.18 1,800.00 604, 606.50 Total. J". C. BROCKEXHROUGH, Cashier. Capital stock paid in. Total. 604, 606. 50 La Fayette National Bank, La Fayette. JOHN W. HEATH, President. C. E. WELLS, Cashier. No. 2213. $362,152. 66 | Capital stock paid in. Loans and discounts j 1, 833. 58 I Overdrafts 50,000.00 ! • Surplus fund U. S. bonds to secure circulation. U. S. bonds to secure deposits J... Undivided profits U. S. bonds on hand j "" 2,566.00 15,595.59 National-banknotes outstanding.. Stocks, securities, judgments, etc .. j 86, 281. 78 ! State-bank notes outstanding ...... Due from approved reserve agents. 15, 308. 96 Due from other national banks Due from State banks and bankersDividends unpaid 13, 970. 54 Bank'g-house, furniture, and fixtures 2, 616. 66 Individual deposits Other real estate and mortg's owned 1,498.74 XTnited States deposits Current expenses and taxes paid... 10, 944. 48 Depositsof U.S. disbursing officers. Premiums on U. S. bonds 1,531.56 Checks and other cash items Exchanges for clearing-house ;i Due to other national banks . .* Bills of other national banks 12, 677.00 h Due to State banks and bankers .. 375.03 Fractional currency, nickels, cents . 22,165.50 Notes and bills re-discounted . Specie 13. 000.00 Bills payable Legal-tender notes U. "S. certificates of deposit Redemption fund with Treas. XT. S . 2,250.00 I Due from Treasurer U. S Total. 616,788.68 Total. $300, 000.00 50,000. 00 4, 567. 02 45, 000.00 216, 927. 69 293. 97 610, 788. 08 70S REPORT OF THE COMPTROLLER OF THE CURRENCY. I N D I A I A. V First National Bank, Lagrange. N o . 2184. SOLOMON ROSE, President. JOHN M. PKKSTON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts IJ S. "bonds to secure circulation-.. II. S. bonds to secure deposits 1 [. S. bonds on hand Slocks, securities, judgments, etc .. Capital stock paid in. Due from other liational banks Due from State bonks and bankers Bank'g-l.ou.--o, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on II. S. bonds Checks and other cash items Exchanges for cleariiisr-IiouseBills of other national banks Fractional.currency, nickels, cents | 15, 000. 00 7, 434. 71 20, 300.00 | Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 78, 592. 46 Due to other national banks Duo to State banks and bankers . Notes and bills re-discounted . Bills payable Specie I Legal-tender notes j U. S. certificates of doposit ! Redemption fund with Treas. TJ. S. Due from Treasurer U. S ... 186, 327.17 Total. $65, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding .| Total . 186, 327.17 First National Bank, La Porte. WILLIAM NILES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. II. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-houst••,furniture,and fixtures Other leal estate and mortg's owned; Current expenses and taxes paid .. j Premiums on U. S bonds,. j Checks and other cash items Exchanges for clearing-house j Bills of other national banks j Fractional currency, nickels, cents ; Specie :.." i Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. II. S . Due from Treasurer U. S j $100, 000. 00 : j 25, 000. 00 2, 058. 08 ! National-bank notes outstanding.. I 23, 791. 54 I State-bank notes outstanding |. 16."). 50 i' Dividends unpaid 10, 000. 00 i; ' j Individual deposits 1 United States deposits 1 .. i Deposits of U.S. disbursing officers. 299. 63 ;i Due to other national banks 4, 093.00 Due to State banks and bankers .. 75. 44 21, 800. 00 1L2,180.88 558. f>5 1,144. 33 183. G4 17,-JJT). 10 ii N o t e s a n d bills r e - d i s c o u n t e d . . 6, 804. 00 ! I Bills p a y a b l e "i,'i25.'66 Total . 262,366.93 || Total . R. E. MOKBISOX, Cashier. No. 377. $172, 600. 33 1 Capital stock paid in 1 578. 84 25, 000. 00 Surplus fund Undivided profits 262, 366. 93 People's National Bank, Lawrenceburgh. WILLIAM PKOBASCO, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and baukers Bank'g-house,furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. II. S . Duo from Treasurer U. S Total. No. 2612. $173, 856. 37 64. 09 27, 500. 00 PETER BRAUN, Cashier. Capital stock paid in Surplus fund 1,600.00 I Undivided profits 45,500.00 ! National-bank notes outstanding.. 59,146. 07 State-bank notes outstanding $110,000.00 8, 089. 73 6, 370. 06 24, 750. 00 15, 672. 46 ; 4, 3S4. 96 672.55 140.76 2, 7M.37 710. 06 2, 000. 00 100. 62 29, 246. 00 3, 873. G O Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 219,174. 77 56.25 1, 237. 50 368, 440. 81 Total . 368, 440.81 709 REPORT OF THE COMPTROLLER OF TI1E CUKRENCi*. INDIANA. First National Bank, Lebanon. WISS.LA.NE, No. 2057. (>. W. BAIRD, President. Liabilities. Resources. $75, $105. O'.K 09 }! Capital stock paid in . . . Loans and discounts 3, 122!). \',y) II Overdrafts IT. S. bonds t o s e c u r e c i r c u l a t i o n . . . 75. OuO. 00 !• S u r p l u s f u n d II. S. bonds to secure deposits j !j Undivided pi'oiits . . . .. . U , S . bonds on hand Slocks, securities, j u d g m e n t s , e t c . . : Xation'«l-bank notes out stan ling.. 7J51.4G Duo from a p p r o v e d r e s e r v e a g e n t s . j 11, 91)2. J)4 St.ato-I»ank Dotes o u t s t a n d i n Due from o t h e r national b a n k s . . ..J !| 75;). 51 i; Divi lends u n p a i d . Due from Stale b a n k s a n d b a n k e r s . ! Ban k'gdiouse. furniture, and fixture si 1, 400. C ': Individual d e p o s i t s . . . O Other i\.:ales • a n o a n d n i o r t g ' s owned; C u r r e n t e x p e n s e s and t axes p a i d . . . I P r e m i u m s on U. S. bonds i .., .; Depusiisoi' U.S.disbursin Checks a n d o t h e r cash i t e m s j 2, 525. OjJI E x c h a n g e s for clearing-house ' '[ Due to wlher nat ionji! D u e to S t a t e b a n k s a n d bank Bills of o t h e r national b a n k s . j 8,100.0!) Fractional c u r r e n c v , nickels, cents j ISO, 57 Notes and bills re-discounted Specie ". 10. 800. 00 12, 500. u() ;, Hills p a y a b l e Legal-tender notes U. S. certificates of deposit 3, 375. 00 || Kedemptiou fund w i t h T r e a s . U. 3 D u e from T r e a s u r e r U . S 250. 318. 21 Total . Cashier. 10. 000. 00 3Sii. 80 G7, 500. 00 256, 318. 27 Total. Lebanon National Bank, Lebanon. A M E R I C U S C. DATLY, President. L o a n s and discounts Overdrafts J U . S. b o n d s t o s e c u r e oirculuiitMi. ..• U . S. bonds t o s e c u r e de[>osiis '. U . S. bonds on h a n d ' Stocks, securities.judiinieni s, e t c . . : Due from a p p r o v e d r e s e r v e a g e n t s I Duo from other national b a n k s \ Due from State bank sand bankers.: Bauk'g-hoiiso,i'urni?uro.anduxtures Other real estate and mwt^'s owned Current expenses and t a x e s p a i d . . . j J i reiniuma on T7. S. bonds C h e c k s a n d o t h e r cash i t e m s j -Kxchansjcs for clearing-house .... i Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S N o . MtJGO. Cashier. | $00, 000.00 j 8. 000. 00 4,170.9J K», !)?-0. 6(> I Xaiioiial-bank notes o u t s t a n d i n g . . ;>7, 10;). 80 ! S? ite-bank notes o u t s t a n d i n g . . . . . 10'., 50 L 70 Dividends u n p a i d 27. 000. 00 4, VJ2, G?> I n d i v i d u a l deposits 501.88 ; United S t a t e s deposits 7->o. 00 Depositsof l ^ S . d i s b u r s i n g olueors. I'?, "214. 87 Due to o t h e r national b a n k s 2, 7"0.00 Due to S t a t e b a n k s a n d b a n k e r s . 71. :>3 ] 3, JJG8. 70 I Xotes a n d bills r e - d i s c o u n t e d . . 17, 000.00 i Bills p a y a b l e 24'?, G-42. 38 300. C O ; 1, 350. 00 j 343,113. 37 Total. SAMUKL S. D A I L Y , $109, 724. 24 ; Capital slock paid in 4, G 4. "0 O y'J, 000. 00 j Surplus fund 1 U n d i v i d e d profits 343,113.37 Total. Union County National Bank, Liberty. J. E. MORRIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bondd to secure deposits U. S. bondsf on hand Stocks, securities, judgments, etc.. Due from axvproved reserve agents Due from other national banks Duo from State, banks and bankers. Bank'g-house,furniture,andlixtures Other real estate and mortg'd owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house . Bills of other national banks Fractional currency, nickels, cents. Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. II. nusTED, Cashier. No. 2007. $161.042. 92 • I Capital .stock paid in 24 08 jj 20,000.00 j | S u r p l u s fund ; Undivided profits 2.900.00 |: Xavional-hank notes out-standb 34, 507. 49 ii State-bank notes o u t s t a n d i n g . $50, 000. 00 30, 000. 00 3,1500. 49 • 8, 000. 00 1) iv i<iends unpaid . 6, 500. 00 Ii I n d i v i d u a l deposits 9-3. G:j li U-iited States deposits J A.poriits of U. S. disbursing o flic-era. 1G9. 13 !j i: Duo to other national b a n k s . , 5, G"0. 00 ji Duo t o Stale b a n k s a n d b a n k e r s .. j 35.4.3 ;i ] 0, 603.40 !; Not cs and i)ills re-discounted 10,000.00 | : Bills p a y a b l e . 151, 055. 59 900.00 |; :;>;J, 25 J. u8 i Total . 25-5, Ii5ti. 08 710 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Logansport. "W. W. "Ross, Cashier. No. 3084. A. J. MUHDOCK, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits TI. S, bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents Duo from other national banks Due from State banks and (bankers Bank'g-house, furniture, andfixtures Otherrcal estate and mortg'sowned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $273, 495.85 2, 274. 94 50, 000. 00 8,192.56 88, 0(52.02 5, 813.26 13,000.66 1,197. 91 11, 000. 00 586.19 10, 565. 00 622. 84 19, 947.00 34,106.00 Liabilities. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $230, 000. 00 2, 600. 95 7,143.41 33, 390. 00 ,. Individual deposits United States deposits Deposits of U.S. disbursing officers. 248, 579.21 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250.00 Total. 521, 713. 57 521,713. 57 State National Bank, Logansport. No. 2596. "W. H. JOHNSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... Lr. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Duo from State banks and bankers. B-ank'g-house, furniture,audfixtures Other real estate and niortg's owned Current expenses and taxes paid... Vcemiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $403, 868. 70 16, 410. 33 50, 000. 00 277.29 31,185.79 816. 54 12, COO. 00 3, 469. 26 3, 400.00 3, 783. 73 4,550.00 740. 85 36,330. 50 34, 500.00 JNO. F. JOHNSON, Cashier. Capital s t o c k paid in $100, 000.00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States*deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 55, 000.00 24,746. 65 45, 000. 00 369, 573. 27 10, 525. 07 2, 250.00 656. 00 Total. 604, 844.99 604, 844. 99 First National Bank, Madison. A. B. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andtixture.s Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks FractionaLcurrency, nickels, conts Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 111. THOS. A. POGUE, Cashier. $255, 961. 22 I Capital s t o c k paid i n 90.83 i 25,000.00 ! Surplus fund • 24,666.66 Undivided profits 28, 406. 40 National-bank notes outstanding.. 51, 016. f 1 State-bank notes outstanding . . . . . 27,761.84 601.76 Dividends unpaid 9, 500.00 1, 067. 80 Individual deposits 1, 522. 47 United States deposits 14,415.00 Depositsof U.S. disbursing officers. 33.45 12, 334. 00 569. 64 24, 745. 43 35,048.00 $100,000.00 20, 000.00 16,275.54 22, 500. 00 3:50, 223.81 Due to other national banks Duo to State banks and bankers . Notes and bills re-discountod . Bills payable 1,125. 00 494, 999.35 Total . 494, 999. 35 REPORT OF THE COMPTROLLER OF THE CURRENCY. 711 INDIANA. National Branch Bank, Madison. FRANK L. POWELL, President. * No. 1457. DAVID G. PHILLIPS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to securo circulation... IT. S. bonds to secure deposits \J. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks — Due from State bauks and bankers Bank'g-house, furniture, andfixturos Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bo mis, Checks and other cash items Exchanges for clearing-house ... . Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $480, 353. 14 480. 00 50, 000. 00 50, 000. 00 900.00 38, 380.00 70,924.83 3, 715.19 24,459. 01 7, 000. 00 11,939.48 1,971.27 5, 000.00 80, 000.00 27, 057. 53 National-bank notes outstanding, State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits — Deposits of U. S. disbursing ofii cers. Due to other national banks 1, G98. 00 491.88 Due to State banks and bankers .. 36, 309.00 6,136. 00 423. 940.83 55,000. 00 10,625.62 383.82 Notes and bills re-discounted . Bills payable 2, 250. 00 792^007. 80 Total.. $150, 000. 00 Capital stock paid iv. Surplus fund Undivided profits . Total. 792, 007.80 First National Bank, Martinsville. HARVEY SATTEUWHITE, President. Loans and discounts I Overdrafts j U. S. bonds to secure circulation.. - j U. S. bonds to secure deposits j U. S. bonds on hand. Stocks, securities, judgments,.etc.. Due from approved reserve agents. Due from other national banks Due from State bunks and bankers j Bank'g-house, furniture, and fixtures' Other real estate and inortg's owned; Current expenses and taxes paid.. - j Premiums on U. S. bonds \ Checks and other cash items I Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 794. $102, 372. 38 839.18 30, 000. 00 3,850.01) 63, 299. 84 41,039.82 " A, 6'J6.65" C. A.MCCRACKEX, Cashier. Capital stock paid in. i $70,000.00 Surplus fund Undivided protits ' j 14, 300. 00 2, 922. 69 National-bank notes outstanding.. | Stare-bank notes outstanding 27, 000.00 Dividends unpaid ! 14. 300. 00 ' 338. J5 Individual deposits United States deposits Deposits of U.S.disbursing officers. 2, 950. 00 97.24 11, 400. 00 2, 650.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 163, 263.92 1, 350. 00 277,486.61 Total . 277, 486. 61 First National Bank, Michigan City. GEORGE AMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks ... Due from State banks and bankers. Bank'g-houso, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional cnrrency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2747. $453, 508. 05 3, 469. 39 50, 000.00 69,347.07 7,129. 27 WALTER VAIL, Cashier. Capital stock paid in Surplus fund Undivided profits $250,000. 00 - National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits " "2,"479."65' United States deposits Depositsof U.S.disbursingofficers 75, 000. 00 7, 090. 38 • 45, 000.00 " 7,"66o. 66 2, 718. 01 110.00 27.05 25, 733. 90 1, 088. 00 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted . Bills payable 245, 671.19 1,816.36 282.41 2, 250.00 624, 860.34 Total. 624,860.3* 712 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Mount Vernon. A. C. WILLIAMS, President !No. 3G6. E. W. ROSENKUANS, Cockier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks Due from Stato banks and bankers. Bank'g-house,furniture,anduxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes 13. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Liabilities. $166, 236. 24 Capital stock paid in 3,136.40 ! 100,000.00 ! Surplus fund Undivided profits . 13, 74G, 47 61, 332. 80 26, 558. 26 229. 78 10,000.00 | 9,453.00 I 1, 315. 37 $100, 000. 00 20, 000.00 13,681.22 90, 000.00 Xational-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . 199, 257. (13 Individual deposits United States deposits Deposits of U. S. disbursing ofiicers 2, 90S). 63 Due to other national banks Due to State banks and bankors . . 4, 521.00 124.90 15,035. 00 6, 000. 00 Notes and bills re-discounted . Bills payable 2, 340. 00 422, 938.85 Total. i 422, 938. 85 Total. Citizens' National Bank, Muncie. A . L. K E it WOOD, President. W. M. MAKSH, Cashier. X o . 2234. Loans and discounts ! Overdrafts ; U. S. bonds to secure circulation . . : U. S. bonds to secure deposits U. S. bonds on hand j Stocks, securities, judgments, e t c . . ! Due from approved reserve agents ; Duo from other national hanks . . . . ! Due from State banks and bankers Bank'g-house,furniture,nnd fixtures Other real estate and mortg's owned Current expenses and taxes paid . . i Premiums on U. S. bonds j Checks and other cash items ! Exchanges for clearing-house ' Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S ; Due from Treasurer U. S $312,170. U ' Capital stock paid i n . "-', 436. 23 34, 000.00 Surplus fund j i Undivided profits ; 1,150.00 | JNTati ona! -bank notes outstanding.. j 41, 59G. 87 j; State-bank notes outstanding : 32, 707. '.'8 ji Dividends unpaid : 2, 0)0. 00 j Individual deposits 3, 119, 01 I United States deposits Deposits of U.S. disbursing officers. 11, 257. 89 Due to other national banks 13,820.00 ; Due to State banks and bankers . 190.50 ! 21,960.00 • ISTotes and bills re-discounted. 17, 500. 00 ! Bills payable 28, 000. 00 10,755. G L 30, 600. 00 320, 452. 27 1, 530. 00 j 495, 807. 88 Total. $100,000.00 Total. 495, 807.88 First National Bank, New Albany. V. S. CULBERTSON, President. Loans and discounts j Overdrafts U . S. bonds t o secure c i r c u l a t i o n . . . j U . S. bonds t o secure deposits ! U . S. bonds on hand ! Stocks, securities, j u d g m e n t s , e t c - • D u e from approved r e s e r v e a g e n t s j D u e from other national b a n k s i D u o from Stato b a n k s and b a n k e r s . ! Bank'g-houso,furnitiire,and fixtures! O t h e r real e s t a t e and inortg's owned; C u r r e n t expenses a n d t a x e s p a i d . . i P r e m i u m s on U. S. bonds ;. C h e c k s a n d o t h e r cash items ! E x c h a n g e s for clearing-honso I Bills of o t h e r national b a n k s j F r a c t i o n a l currency, nickels, c e n t s ; Specie Legal-tender notes U. S. certificates of deposit R e d e m p t i o n fund with T r e a s . TJ. S D i e from T r e a s u r e r U . S Total. X o . 701. S. A . C U L B E R T S O X , $454, 861. 85 Capita] stock paid in 20, 7(JG. 91 50, 000. 00 ; S U I ]p l u S tUTKl 1 u r > 1 U s fund U Jndivided profits 4, 387.48 : V>, 998. 78 , 51, 800.84 43, C>19. 35 ; 1'Cy, 000. 00 .'j 1, 512.32 'j | Xutional-bank notes outstanding.. I State-bank notes outstanding ..*... Dividends unpaid Cashier- $300, 000. 00 j Individual deposits j Unit ed Sta 1 es deposits ] Depositsoi'U.S.disbursingofficers. I 00, 000. 00 25, 380.13 45, 000.00 803.18 242,198.70 31.73 Due to other national banks ! Due to State banks and bankers . . ' 2, 347.16 Notes and bills re-discounted J Bills payable G75, 729. 26 Total. 675, 729. 2 G REPORT OF T H E COMPTROLLER O F T H E CURRENCY. 713 INDIANA. Second National Bank, New Albany. LAURENCE BRADLEY, President. No. 2166. E. B. LAITING, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc. .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-liouse,f uniilure,and iix.turo:> Other real estate and mortg;s owned Current expenses and taxes paid ... Premiums on U. S. bonds Checks and other cash items Exchanges Cor clearing-houseBills of other national.'bunks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S ' Total. Liabilities. $173,818.25 2,691.53 25. 000. 00 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 4, 407. 50 || Xational-buiik notes outstanding.. 31,905.01 ij State-bank notes outstanding Di videuds unpaid 7, au.oo !| . •! In;li vi(1 ual deposits 608. 7 G United States deposits 8,312.50 Deposits oi" U.S. disbursing officers. 4. 07 Due tu other national brinks 325. 00 Due to .State banks and bankers. 8. 00 .'570. 25 j Notes and bills re-discounted 11,147.00 Bills payable 20, 000. 00 13, 8i7J. 12 22, 500.00 795. 00 110, 000. 41 3,125.00 267,154. 53 Total. 207,154. 53 Merchants' National Bank, N e w Albany. N. T. DKPAUW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . IT. S. bonds to securo deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . . . . Duo from State banks and bankers. Bank'g-house, furniture,and fixtures Ot her real estate and mortg's owned Current expenses and taxes paid. - Pi/emiuniH on U". S. bonds Checks and other cash items Exchanges for clearing-house Bills of other, national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 965. E. C. HAXGAKY, Cashier. $348, 624.19 I Capital stock paid in J $100, 0i)0. 00 Surplus fund.. *. « " i , " ooo. 66 Undivided profits 1, 200. 00 I National-bank notes outstanding.. 53, 078. 75 I State-bank notes outstanding 4,415.29 133. 52 i Dividends unpaid 10, 000.00 i Individual deposits ' United States deposits .j\ Depositsoi'U. S.disburaing officers. 626. 41 Due to other national banks " 3, 230. 66 Due to State banks and bankers .. 147. 75 900. 00 Notes and bills re-discounted. 12, 000.00 Bilis payable 50, 000. 00 68, 4S4. 00 22, 500. 00 25, 000.00 220, 400. 91 1,125. 00 Total. 461,480.91 461, 480. 91 New Albany National Bank, New Albany. J.M. HAINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure d eposita U. ". bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures: Other real estate and mortg's owned C unent expenses and taxes paid... I Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption, fund with Treas. U. S . Due from TreasurerU. S Total . N o . 775. 50 03 00 $373, 100, M. A. WEIR, Cashier. Capital stock paid in. !, 78-4. i, 498. ), 194. », 000. 80, 000.00 26, 350.03 National-bank notes outstanding.. State-bank notes outstanding !, 050. ', 995. 90, 000. 00 Dividends unpaid Individual deposits U nited States deposits DepositsofU.S.disbursing officers. "883." 108." Dno to other national banks 900. $200, 000.00 Surplus fund Undivided profits. co ! Due to State banks and bankers . . 15 00 00 772. 5f) 244,154. 58 10, 200. 33 1,083.10 Notes and bills re-discounted . Bills payable „ 4, 500. 00 652, 501.14 Total 632,501. 14 fl4 REPORT OF THE COMPTROLLER OF THE CURRENCY. I JVI>IArV A • First National Bank, N e w Castle. X o . 804. TV. F . BOOR, President. E. B. PHILLIPS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits . . . "IU. S. bonds on hand Stocks, securities, judgment3, etc Due from, approved reserve agents. Due from other national bunks ! Due from State banks and bankers ' Bauk'g-house, furniture, and fixtures; Other real estateandmortg'sownedCurrent expenses and taxes paid...! V cemiums on U. S. bonds C h ecks and other caah item 3 Exchanges for clearing-house Buls of other national bank >. Fractional currency, nicke• .•», cents Specie i ! Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S $223,115. 320. 25, 000. 5, 274. 12,274. 12, 871. "c.'son." 3, 000, 1, 035. 210. 0, 204. 100. 5, 323. 9, 000. Capital stock paid in | $100, 000. 00 Surplus fund Undivided profits ; j 25, 000. 00 20, 315. 8". N"ational-b;mk notes outstanding.. j State-bank notes outstanding ! Dividends unpaid ' ; Individual deposits United Stales deposits ,! DepoditsofU.S.disbursingofficers. 144, 030. 44 Due to other national banks I; Duo to State banks and bankers .. Notes and bills re-discounted. Bills payable 1,125. 311,852.29 Total. 22, 500. 00 311, 852.29 Total First National Bank, North Manchester. J E S S E ARNOLD, President. Loans and discounts O verdrafts IT. S. honds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j u d g m e n t , etc .. Due froin approved reserve agents. Due from other national banks Duo from State banks and b,inkers Bank'g-house,furniture, and fixtures Other real estate and mort g's owned Current expenses and kaxes.pa.id.. i Premiums.on U. S. bonds j Checks and other cash items j Exchanges for clearing-house • Billsy)f other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S No. 2903. $116, 585.70 4, 641. 97 12, 500.00 $50, 000. 00 Surplus fund Undivided profits 10, 000. 00 3, 474. 28 !j National-bank notes outstanding.. 5,033.61 i| State-bank notes outstandiu g . . . . . 11,470.56 !i 5,353.09 i Dividends unpaid j 9, 800. 00 Individual deposits I " 1*964.' 55 United States deposits ! 400.00 Deposits of U.S. disbursing o Ulcers. j 2:50. 48 400. 9 J Due to other national banks | 900.00 301. 75 Due to State banks and bankers ..! 5, 943. 25 Notes and bills re-discountcd . 6, 000.00 Bills payable 11, 250. 00 102, 673. 28 ,.331.42 562.50 182,728.98 Total. THOMSON AKNOLD, Cashier, Capital stock paid i n . . Total 182,728.98 Lawrence National Bank, North Manchester. G. W. LAWRENCE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposit U. S. bonds on hand Stocks, securities,judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Uank'g-houae, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills ofother national banks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit . Redemption fund with Treas. U. S . Due from Treasurer U. S Total. D. C. HAUTEu, Cashier. No. 3474. $130,177. 75 Capital stock paid in $75, 000. 00 8, 737. 69 20,000.00 Surplus fund 6, 750. 00 3, 530. (il Undivided profits 1,092.35 Rational-bank notes outstanding 18, 000.00 1, 632.93 State-bank notes outstanding 1, 873. 83 3, 338. 52 j Dividends unpaid . 9, 530.00 '! Individual deposits 83, 542. 49 1,174. 48 I United States deposits 1, 512. 50 || Deposits of U.S. disbursing officers. 55.00 Due to other national banks 73. 62 2, 750. 00 Due to State banks and bankers .. 104.17 872.50 Notes and bills re-discounted . 3,151.00 Bills payable 900.00 186, 902.72 Total I 180,902. 72 REPORT OP THE COMPTROLLER OP THE CURRENCY. 715 INDIANA. First National Bank, Peru. No. 363. MILTON SHIKK, President. R. A. EDWARDS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IF. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national b.mks Due from State banks and bankers. Bank\g-hous(^furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on 17. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie . -.. Lojial-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due iron! Treasurer U. S Total. $738, 684. 09 7,888.91 25,000. 00 2,835.43 188, 758.27 57,480.18 15. 59 24,956.13 9, 553. 11 1, 803. 06 ""15," 876." 03* 14, 609. 00 | 935. 50 34,198. 50 63, 300. 00 Capital stock paid in j $100, 000.00 Surplus fund j Undivided profits National-banknotes outstanding.. State-bank notes outstanding 150,151.13 35, 073. 41 22,500. 00 Dividends unpaid ' Individual deposits I United States deposits j Depositsof U.S.disbursing officers.; Due to other national banks . . . Due to State banks and bankers . . Notes and bills re-discounted ... Bills payable 806, C85.8* 72, 009. 59 1,125.00 Total. 1,187, 020.00 1,187, 020. 00 Citizens' National Bank, Peru. C. H. BUOWNELL, President. Loans and discounts Overdrafts U. S. bonds to securo circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgments, etc.. Due from apx>rovod reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g-house,furnituro,an<l fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional.currency, nickels, cents. Specie Leg;d-tendtT notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Total.. No. 1879. M. S. ROBIXSOX, Cashier. $188, 714. 74 | Capital stock paid in 4, 474.10 25, 000. 00 Surplusfund Undivided profits 30, 850. 00 10, 34.). 80 1), 219. 59 10, 72t>. 57 17, 500. 00 520.47 1, 181.Gl 1, 000. 00 3,619.02 1, 543. 550. 10, 390. 6, 500. 00 04 00 00 $100, 000. 00 ; j 18,500.00 7, 174. 00 National-bank notes outstanding..! State-bank notes outstanding 22, 500. 00 ! Dividends unpaid Individual deposits United Stales deposits I. Depositsof U.S. disbursing officers. I. 00. <<;0 1 7 5 , 030. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable „ 1,125.00 323,2u0. 00 Total. 323, 260.00 First National Bank Marshall County, Plymouth. M. A. O. PACKARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Siocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-houso,furniture,and fixtures OI her real estat e and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 2119. J A S . A. GILMCHE, Cashier. $132, 500. 04 Capital stock paid in. 2,407. 64 50, 000. 00 Surplusfund Undivided profits. 20, 000.00 8, 000.00 11,192.03 4,331.85 4,939.73 900. 00 1, 047. 05 4, 634. 50 767. 24 10,317.00 170.14 9,588.00 5, 000.00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits : United States deposits . . . ... Deposits of U. S.disbursing officers. $50, 000. 00 18, 000. 00 3, 753. 97 44,360. 00 425. 00 151,506.85 Duo to other national banks Duo to State banks and bankers . Notes and bills re-discounted . Bills payable 2,250.00 268, 045.82 Total. 268, 045. 82 71G REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. People's National Bank, Princeton. W. L. EVANS, President. No. 2180. \V. P. WBLBOBN, Cashier. Resources. Loans aud discoun t:a Overdrafts U. S. bonds to secure circulation . . U. 8. bonds to secure deposits U, S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Duo lYom other national banks Due from State banks and bankers. Bank'g-liouso,furniture. a rid fixtures, Otlmr real estate and inortg'sowned. C.J irent expenses and taxes paid. -. | Premiums on U. IS. bond••;. j C hecks aud other cash items \ Exchanges for clearing-house ' Biiis of "other national banks j Fractional currency, nickels, cents ] Specie i Legal-tender notes U / S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. 8 Total., Liabilities. H83, 910. 07 420. < 1 > 19, 000. 00 Capital stock paid in $75, 000. 00 Surplus fund Undivided prolits . . . . 15, 000. 00 12,281.52 v 32,000.00 !i National-bank notes o u t s t a n d i n g . . 58, 7 4 1 . 07 ;; State-bank notes outstanding 73, 000. 28 li 7,:u.s.<n j; Dividends unpaid 1,500. (i0 ji 1,8-3"). 00 ! Individual deposits • -... 2.931.10 |! United States deposits Deposi ts of U. S. disbursing 0ulcers "•2," 8.39." 74"!! Duo to other national banks 7,724.00 I Due to State banks and bankers 2.32. 50 li 1 20,715.00 i Notes and bills re-discounted 5,300.00 |j Bills pavuble 17,100. 00 4.3. 00 299, 010. G O '" 855.66 418, 437. 18 Total 418, 437.18 First National Bank, Richmond. J. E. REEVES, President. No. 2G80. Loans and discounts j Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand | Stocks, seen*itiosjud-jcin rits, ore . . ' Di.iofrom.iij_i;>i-i>\-iv.l reserve agents Dae from other national hunks j Duo from State banks and-bankers j iiaMk'g-hou :w, f«irni t Lire, 11 idiixt'ires'; 1 Oilier real estate and Minna's owned1 Current expenses and tax'.-s p a i d . . . j Premiums on TJ. S. bonds i CheckSvand other cash it-.j :ns Exchanges for clearing-bo uso ' Bilisof othernational banks | Fractional currency, nickels, cento, j Specie 1 Legal-tender notes ' XI vS. certificates of deposit -! Redemption fund with Treas. U. S | Due from Treasurer U. S ... '• Cashier. $200, 000. 00 100, 000. 00 14, 054.40 38, 500. 00 514, C93.87 2, 250. 00 867, 243. 27 j Total. J . F . REEVES, $515,285.89 Capital stock paid in 1,801.95 . 50,000.00 Surplus fund Undivided profits 1, 900. 00 . National-bank notes outstanding. 'sT, -2C2.09 State-bank notes outstanding .."... 19,'.«>•>. 02 2, y.9!. 8:) Dividends unpaid '.25,000.00 •• 8,500.00 ' I Ir.dividu;i 1 deposits 5, 418. 02 | : Unit ed States deposits 12,527.50 i : Dcpositsof U.S. disbursing officers. 9, 737. 28 Duo to otiier national banks 10,000.00 Due to State banks and bankers . 23!). 15 ; 9,400.00 i Notes and bills re-discounted. 159,000.00 : l/>;lls payable Total. 867, 248. 27 Second National Bank, Richmond. A N D R E W F . SCOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . . XL S. bonds to secure deposits . . . . . TJ. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reservo agents. D-.io from other national banks i> M; ir\> n Slate banks and bankers. Jianiv 'g-houso,furnituro,aiid fixtures! Other real estat o and raori _.'s o wnedj Current expenses and taxes p a i d . . . Premiums on U. S. b> nds (J iiecks aud otiier cash, items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 1988. $483, 4.33.15 4, 88.3. 35 37, 500. 00 97, 000. 00 54, 484. 57 7i; 209. 30 4,15(i. 7G 22, 300. 00 2,0.30. 00 2,937.61 2, 732. 09 603. 88 22, 750. 00 398. 48 8, 2.30. 00 125, 000. 00 J O H N B . DOUGAN, Capital stock paid in Surplus fund Undivided profits Cashier. $150, 000.00 , 60, 000. 00 19, 337.18 National-bank notes outstanding., State-bank notes outstanding . . . . 33, 750. 00 Dividends unpaid Individual deposits " . United States deposits Deposits of U.S. disbursing oincers. 670,899.25 Due to other national banks Due to Stale banks and bankers . . 7,412.26 Notes and bills re-discounted Bills payable 1,687.50 Oil, 398. C9 Total. 941, 398. 69 REPORT OF THE C0XPT8.0lAAi'.i OF THE CURRENCY. 717 INDIANA. Union National Bank, Richmond. No. 3413. JBS8B CATES, President. Resources. J. K. JONES, Cashier* | Liabilities. $21)6, 251. 52 ! Capital stock paid in Loans and discounts $100, 842. 30 i Overdrafts 3, 000. 00 25, 000. 00 !j Si!rplSIR fund IT. S. bonds to secure circulation... 1 0G4. liti "..divided w o n t s . IT. S. bonds to secure deposits U. S. bonds on hand National-bank notes outstanding.. 22, 500/00 Stocks, securities, judgments, e t c . . ' ;Stali'-biiiik notes outstanding D a e from approved reserve agents Due from other national banks j I)iie from State banks and bankers j : Dividends unpaid Bank'g-house,furniture,and fixtures! 4.000. On ; Other real estate and mortg's owied j Individual deposits 188, 520. 42 Current expenses and taxes p a i d . . . j 540. '0 j United States deposits Premiums on IT. S. bonds j 1,(00.00 i Depo ; -,ksoilJ.S.disbursing*.furors. |. Checks and other cash items j 4, 157. 70 • | | Exchanges for clearing-house ; i Due to other national brinks ' 2, 130. 39 Bills of other national banks j 7,011.00 i l)ne to State banks and thinkers..;. Fractional currency, nickels, cents. <S2. 72 \ \ Specie 1 15, 031. :">') : N"ot<'v. and bills re-discounted '. Legal-tender notes j 30, ()0,i. 00 j| I Jills payable U. S. certificates of deposit I • Kedemption fund with Treas. U. S. 1,12a. 0:i 'j Due from Treasurer U. S j Total ...! 322,221. 17 Total . 321,221.17 National Bank, Rising Sun. No. li)."9. S. BEYMER, President. Loans and discounts Oveiatoafts IT. S. bonds to secure circulation.. - j IT. S. bonds to secure deposits | U. S. bonds on hand j Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks J Due from State banks and bankers, j Bank'g-house,furniture,and -fixtures' Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nat ional banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Kedomption fund with Treas. U. S. Due from Treasurer U. S Total. J . 1ST. PEKKIXS, Cashier. $131, 8(53. 75 ;, Capital stock paid i n , | 75, 000. 00 ,, Surplus fund ' I Undivided profi ts $100, 000. 00 20, 000. 00 3, 024. 42 70, 002. 50 !1 National-bank notes outstanding.. | 1 13, 72:). 41 i State-bank notes outstanding ' 28,4S.\ii5 ; ; Dividends unpaid 2,900.00 li 2, 3*.0. 00 Individual deposits 1, 0 .5. 52 !;; United States deposits I i Deposits of U.S. disbursingoJncers. | 20;). 30 .' i Due to other national banks ] 1. 780. 00 | Due to State banks and bankers . . C51 |! I 7, 292. 00 'I Notes and bills re-discounted j 6, 7G0. 00 !! Bills payable C7, 500. 00 153,01(5.25 3, 375. 00 344, 770. Total . G7 344, 770. 67 National Bank, Rockville. J. M. NICHOLS, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand i Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S D ue from Treasurer U. S Total. X o . 2361. $182,449.81 4, 250. 00 50, 000. 00 S. L. M C C U X E , CasJder. Capital stock paid in .Surplus fund I Undivided profits 8"0. 00 1, 0 30. 00 ; National-bank n o t e s o u t s t a n d i n g . . 40,571.05 j State-bank n o t e s o u t s t a n d i n g 22, 293. 70 Dividends u n p a i d 11,350.00 9, 8(55. 00 Individu.nl deposits 1, 661. 20 U n i t e d S t a t e s deposits 8, 000. 00 Depositsof U.S. d i s b u r s i n g o l t k e i s 5.79 2, 800. 00 285. 54 13, 052. 50 19, 79LOO $100, 000. 00 12, GOO. 00 8, 167. 75 39, 000. 00 210,711.74 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 2, 250. 00 370, 479. 49 Tota 370, 479.49 718 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. Rush County National Bank, Rushville. No. 1869. L. LINK, President. E. D. PUGIT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TT. S. bonds on liand. Stocks, securities, judgments, etc..! Due from approved reserve agents. I Due from other national banks ! Due from State banks and bankers \ Bank'g-house,furnituro,and fixtures, Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities $194, 048. 39 7, 402. 03 25, 001'. 00 50, j-iii. : u 2, 230.11 " "6," ioi" 66" 1,100.07 6, 000. 00 1, 820. 30 Capital stock paid in 20, 000. 00 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 4, L42 6$ Dividends unpaid j Individual deposits United States deposits Deposits of TT. S. di sbu rsin g officers. 186, 172. 3 i Due to other national banks 12, 02:"). 00 Due to State banks and baukers ..! 159. «:{ 8, 655. 00 Notes and bills re-discounted . 10, 000. 00 Bills payable 2,407. 05 1,125. 00 335, 582. 87 Total $100, 000. 00 Surplus furid Undivided profits Total . 335, 582. 87 Rushville National Bank, Rushville. No. 1450. G. C. CLARK, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture.and iirturesj Other real estate and niortg's owned Current expenses and taxes paid .. j Premiums on U. S. bonds Checks and other cash items I Exchanges for clearing-house Bills of other national banks .Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U . S . Due from Treasurer U. S Total. E. PATKR, Cashier $214,171. 84 I Capital stock paid in 7, 020. 28 25, 000. 00 Surplus fund Undivided profits 113,4*3.51 10,020.37 10, 000. 00 5, 782. 00 61. 09 13. 5(57. 80 7, 000. 00 $10;), GOO. 00 20, 000. 0.) 22, 357. 78 National-bank notes outstanding.. State-bank notes outstanding 22, 5(0. 00 Dividends unpaid I Individual deposits | United States deposits Deposits of U.S.disbursing officers. I 244,150. 77 i Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 1,125. 00 409,008. 55 Total. 409, 008. 55 First National Bank, Seymour. J. L. GARDINER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate andmortg's owned: Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills- of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ..._ Redemption fund with Treas. il. S. Due from Treasurer TJ. S Total. No. 1032. $178, 947. 51 130. 0G 100, 000. 00 33, 300.00 157, 479. 89 G. H . MURPHY, Cashier. Capital stock paid in $100, 000.00 Surplus fund Undivided profits 20, 000. C O 18,544.05 National-bank notes outstanding . State-bank notes outstanding 87, 800. 00 Dividends unpaid 8,7)0.00 Individual deposits ' i , 435.'70' United States deposits Deposits of U. S. disbursing officers. 530.00 ; Due to other national banks 10, 380. 00 Due to State banks and bankers 37.82 8,609.31 Notes and bills re-discounted . . 11, 184.00 Bills payable 2£8, *U5. G4 4 , 5 0. vO 515,240. .9 Total j 515, 240. L<) KKl'OUT OF TUK COMPTROLLER OF THE CURRENCY. 719 INDIANA. First National Bank, Shelbyville. No. 1263. MISSSICK, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits .. U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. JOHN A. YOUNG, Cashier. Liabilities. $293, 482. 35 1, 434.14 25, 000.00 4, 000. 00 101,519.09 145, 638. 88 11,913.97 1, 500. 00 " 2,160.61 4, 500.00 692. 63 4, 500. 00 162.53 32, 05"). 00 2, 000. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Indi vid ual deposits United States deposits Deposits of U.S. disbursingofficers. $100, 001). 00 20, 000. 00 14, 30(3. 07 21,700.00 4.75, 703.18 Due tc> other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125. 00 Total. 631, 709.25 631, 709. 25 First National Bank, South Bend. Lucius HUBBARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, aodfixtures Other real estate and mortg's owned Current expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 126. $219, 970. 57 305. 53 40, 000. (J0 102,318.03 14, 633.72 "12'siz.il 8, GOO. Of) 2, 3(52. U0 C. A. KIMBALL, Cashier. Capital stock paid in. $105, 000.00 Surplus fund Undivided profits. 52, 000. 00 15, 412.40 National-bank notes outstanding.. State-bank notes outstanding 35, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursingofficers 267, 286.17 1, 208.11 Due to other national banks "41, hY. hi) Dne to State banks and bankers .. 3915.00 19, 653. 60 10, 000. 00 Notes and bills re-discounted . Bills payable 1, 800. 00 Total . 475,198. 57 475,198.57 South Bend National Bank, South Bend. D. H. BAKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agentsDue from other national banks Due from State banks and bankers. Bank'g-house,furuiture,andfixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other casli items Exchanges for clearing-house Bills of other national banks , Fractional currency, nickels, cents Specie Legal-tend er notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 1739. $157,100. 83 3,041.56 100, 000. 00 4, 200. 00 18,624. 97 "War. MILLBU, Cashier. Capital stock paid in. Surplus fund Undivided profits.. National-bank notes outstanding... State-bank notes outstanding $100, 000. 00 20, 000. 00 39, 407. 42 60, 000.00 Dividends unpaid 20, 006. 47 9,418.46 2, 805. 23 27, 750. 00 21,160.00 26, 244. 173. 12, 700. 2, 500. 00 43 00 00 Individual deposits Un ited States deposits Deposits of U.S. disbursiugofficers. 159, 777. 53 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable - 3, 400. 00 409,184. 95 Total . 409,184.95 720 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. First National Bank, Terre Haute. D. No. 2742. , President. B. MCCOEMICK, Cashier» Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . .• Due from approved reserve agents. 1 Due from other national banks Due from State banks and bankers. Bank'g- house, furniture, and fixtures Other real estate and mortg's ownedl Current expenses and taxes paid... I Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents.' Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S . Due from Treasurer U. S $902,027.32 ! Capital stock i>ai>l in. 1, 347. 35 50, 000. 00 Surplus fund ! Undivided profits 213,000. 00 National-bank notes outstanding.. 218,014. 4 T State-bank notes outstanding 75,474. 40 10, 474. 40 15, 300. 00 5, 000. 00 5, 40r>. 75 200, 000. 00 102.09i.64 45, 000. 00 ! Dividends unpaid. United States deposits i Deposits of U.S. disbursingofticers.j 838,251.23 ".12," 207." 74* "" 16"(320. 00 50.00 52, 303. 30 45, 000. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 31, 052.47 20,176. 39 2, 250. 00 3,000. 00 1, 437, 474. 73 Total. $200,000.00 1,437,474. 73 Total . National State Bank, Terre Haute. PRESTON HUSSEY, President. No. 1103. CKAS. M. WAHKRIT, Cashier. $403, 890.2G j Capital stock paid in. Loans and discounts 719. (50 Overdrafts 200, 000. 00 Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits Undivided profits U. S. bonds on hand 6, 000. 00 National-bank notes outstanding.. Stocks, securities, judgments, etc .. 32, 584.65 State-bank notes outstanding Due from approved reserve agents 10, 993. 06 Due from other national banks . . . . Dividends unpaid Due from State banks and bankers. . . . Bank'g-house, furniture, and fixtures' 18, 000. 00 Individual deposits Other real estate and mortg's owned; 21, 500. 00 United States deposits -.. Current expenses and taxes paid... j 3, 552. 74 Premiums on U. S. bonds !... Deposits of U.S. disbursing officers. 11, 588. 72 Checks and other cash items i Due to other national banks Exchanges for clearing-house ' 10, 775. 00 Bills of other national hanks j Due to State banks and bankers .. 304.19 Fractional currency, nickels, cents . 28, 200.10 Notes and bills re-discounted. Specie 53, 471. 00 Bills payable , Legal-tender notes U. S. certificates of deposit 9, 000. 00 Redemption fund with Treas. U. S. 374.47 Due from Treasurer U. S 810, 954. 59 Total. $2oo,oooToo 60, 000. 00 12. 816.71 176, 560. 00 123. 50 332, 502. 78 19, 556. 59 9, 395. 01 810, 954. 59 Total . Vigo County National Bank, Terre Haute. B. G. HUDNUT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and hankers. UankV-h o use, f urnit ure,andtixtures Other real estate and mortg's owned C urrent expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of cither national banks.... Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3929. $246,186. 33 4,664.65 37, 500. 00 CHAS. W. CONN, Cashier. Capital stock paid i n . Surplus fund Undivided profits . . National-bank notes outstanding. 12, 643. OS State-bank notes outstanding 21, 911. 55 ! Dividends unpaid. $150, 000. 00 2,000,00 7, 742.80 33, 750.00 3, 000. 00 j Individual deposits 1, 370. 25 ! United States deposits 9, 992.19 i Deposits of U. S. disbursin g officers 14, 345. 78 |l 1 \ Due to other uational ban ks 6, 400. 00 ,, Due to State banks and bankers.. 362. 98 13, 793. 00 |j Notes and bills re-discounted 9, 500. 00 |! Bills payable 176,666. 60 176. 84 8, 021. 07 5, 000. 00 1,687.50 383,357.31 Total . 383, 357. 31 REPORT OF THE COMPTROLLER OF THE CURRENCY. 721 IWDIAMA, First National Bank of Porter County, Valparaiso. DEFOREST F. SKINNER, President. E. BALL, Cashier. No. 2704. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure c i r c u l a t i o n . . . IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Duo from other national banks D u e from State banks and b a n k e r s . Bank'g-houso, furniture,and fixtures Other real estate and mortg's owned C u r r e n t expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specio '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S D u e from Treasurer U. S Total. $188, 4157. 3, 757. 80. 000. 25,141. 25,921. 50. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 20, 000. 00 9, 028.87 National-bank notes outstanding-. State-bank notes outstanding . . . . . 72, 000. 00 Dividends unpaid 11,000.00 (502. 812. 1, 031. 4, 266. 157. 8, 580. 14, 950. Individual deposits ' United States deposits DepositsofU.S. disbursingoth'cers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 167, 006. 51 293. 93 3, GOO. Total. 368, 329.31 368, 329. 31 Farmers' National Bank, Valparaiso. JOSEPH GTAIIDNER, President. No. 2403. Loans and discounts Overdrafts IT. S. bonds to secure circulation.. IT. S. bonds to secure deposits TJ. S. bonds on hand. Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $105, 297. 71 699. 85 12, 500. 00 150.00 96,145. 92 20, 215.15 1, 525, 76 2, 823. 00 5, 000. 00 1,676.20 3, 718. 75 1, 762. 44 404. 00 85. 03 11,120.00 15, 000. 00 G. F. BARTHOLOMEW, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $50, 000. 00 20, 000. 00 4,003. 55 11, 250. 00 170, 630. 87 5,000.00 17, 802.49 562. 50 278, 686. Total. 278,686. 91 First National Bank, Vevay. C. S. TANDY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents.! Due from other national banks 1 Due from State banks and bankers. I Bank'g-house, furniture,and fixtures1 Other real estate and mortg's owned' Current expenses and taxes paid.... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. H. Ex, 3 No. 346. WILLIAM HALL, Cashier. $69, 322. 00 Capital stock paid in $50,000.00 296. 63 50, 000. 00 j Surplus fund 20, 000. 00 14 650.01 Undivided profits 105, 000.00 j National-bank notes outstanding.. 45, 000. 00 42,200,20 State-bank notes outstanding 26,420. 09 I Dividends unpaid 61.00 "l2,"oo6.6o Individual deposits 199,100. 95 " 850*40 I United States" deposits ! Deposits of U. S. disbursing officers. 250. 00 3,140.00 35. 58 9, 050. 00 8, 000.00 Notes and bills re-discounted. Bills payable 2, 250.00 328, 814. 96 46 Due to other national banks Due to State banks and bankers . Total. 328, 8J4. 96 122 UEl'OKT O : THE COMPTROLLER OF THE CURRENCY. l1 INDIANA. First National Bank, Vincennes. J. L. BAYARD, Cashier. N o . 187:5. J . H. BAISB, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on Land Stocks, securities, judgments, etc .. Duo from approved reserve agents*. Due from other national banks Due from State banks and bankers. Bauk'g-house, furniture-, and fi >:tu res Other real estate and rnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. ~S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer II. S Total. $304, 435.19 14, 734. 30 100, 000. 00 24, 800.00 112,054.44 10l r 985.99 10, 000. 00 6, 500. 00 25, 000. 00 3, 300.00 35K. 47 14, 400.00 32, 000. 00 Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid $100,000.00 20, 000.00 25, 231. 48 90, 000.00 5, 2G5. 00 Individual deposits United States deposits Deposits of U.S. dislmrsingofficers. 588, 435. 36 Due to other national banks Due to State banks and bankers .. 2, 549.16 12, 587. 39 Notes and bills re-discounted . Bills payable 4, 500.00 844, 068.39 844, 068.39 Total. German National Bank, Vincennes. SELEMAN GIMBEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and ti xtures Other real estate and moitg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 3864. $245,129. 2, 936. 25, 000. 87, 793 2, 408 3, 700. 00 6, 078. 580. 4,280. 37. 6, 841. 20, 000. GEORGE R.ALSor, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits. 1,000.00 5, 284.15 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 22, 500.00 591.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. !0,847.12 Due to other national banks Due to State banks and b a n k e r s . . 1, 553. 75 Notes and bills re-discounted . Billspayablo 1,12o. 00 Total . 411,776.02 411, 776. 02 Vincennes National Bank, Vincennes. "W. M. TYLER, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from ot her national banks Due from State banks and bankers Bank'g-house, furniture,aiul fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national 'banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1454. $285, 799.80 H . A. F O U L K S , Cashier. Capital stock paid in $ L O 000.00 O, 25,"666."66 Surplus fund Undivided profits 50, 000. 00 1, 471. 84 11,583.06 62, 287. 89 7, 213. 60 7, 109.97 12,000.00 9, 253. 38 National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g . . . . . 22,500.00 Dividends unpaid 350. 00 Individual deposits United States deposits Depositsof U.S.disbursing officers, 258, 575. 06 Due to other national b a n k s Due to State b a n k s and b a n k e r s . . 31,019.44 538. 77 3, 244. 43 4, 500. 00 48.52 8, 200.00 27, 000. 00 Notes and bills re-discounted. Bills payable 1,125. 00 401,455.71 Total. 404, 455. 71 REPOKT OF TILE COMPTROLLER OF THE CUKUENCY. 723 ODIAMA. First National Bank, Wabash. No. 129. J. S. DAUGHERTT, President. F . W. MORSE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agouta. Due from otlnr national banks Due from State banks and baukers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U S. Due from Treasurer TJ. S $275, 926. 98 Capital stock paid in. 2,901.41 30, 000. 00 Surplus fund.. Undivided profits proi 200.00 3,17-. 67 National-bank notes outstanding. 12, 205. 21 li State-bank notes outstanding 3, 411.17 1, 937. H81 Dividends unpaid 1 12, 000. 00 295. 50 !'l Individual deposits 2, 469. 981 United States deposits 1 4, 872. 00 Deposits oi U.S.disbursing officers, 1,342.98 Due to other national banks 920. 00 Due to State banks and bankers.. 501.08 25,569.40 Notes and bills re-discounted. 10,15(5. 00 Bills payable 37, 500. 00 9, 561. 86 27, 000. 00 237, 520. 74 2, 649. 75 1,350. 00 389, 232.35 Total . $75, 000. 00 389, 232. 35 Total . Wabash National Bank, Wabash. J. W. BUSICK, President. Loans and discounts O verdrafts U. S. bonds to secure circulation ... XJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bnnk'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds ("hecks and other casli items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 3935. Capital stock paid in. $168, 078. 08 8, 008. 40 30, 000. 00 3, 328. 50 28, 121,08 1,468. 06 2, 307.17 11, 753.98 1,131.70 7, 925.17 145.13 4, 280. 00 44.21 4,143. 65 15, 000. 00 J. I. ROBERTSON, Cashier. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. $120, 000.00 500.00 3, 300.87 27,000.00 6.00 136,164.25 114.01 Notes and bills re-discounted . Bills payable 1, 350.00 287, 085.13 Total . 287, 085.13 People's National Bank, Washington. HUGH BARR, President Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents . Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional cuirency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . R. C.DAVIS, Cashier. No. 3842. $50, 000. 00 Capital stock paid in. Surplus fund 2, 000. 00 3, 530.31 Undivided profits 3, 000. 00 National-bank notes outstanding.. 11, 250.00 29, 803. 76 State-bank notes outstanding $135,129. 36 637. 00 12, 500. 00 9, 455. 27 260. 00 519.40 2, 800.00 781.53 ""4,876.00 139. 25 2,191. 35 18, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 153, 875.11 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 562.50 220, 655. 42 Total. 220,655.42 724 REPORT OF THE COMPTROLLER OF THE CURRENCY. INDIANA. "Washington National Bank, Washington. XL W. THOMPSON, President. No. 2043. Kesources. TJ. S. bonds to secure circulation... U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,fjirniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie . -. Legal-tender notes U. o. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total $86, 245. 65 47.14 30, 000.00 1,000.00 ; 20, 476. 00 81, 705. 24 46, 647. 29 6,000.66 1,164.52 250. 00 1,714.34 30, 000. 00 74. 72 12 900.00 50, 000. 00 AV. M. HAYES, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers - $50, 000. 00 15,000.00 5, 445.0'J 27, 000. 00 272,129.81 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable - 1, 350.00 369,574.90 Total. 369, 574.90 REPORT OF THE COMPTROLLER OF THE CURRENCY. 725 ILLINOIS. First National Bank, Abingdon. No. 3377. M. C. KIMBALL, President. H. B. SCIIEITLIN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks,securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and .fixture^ Otherreal estate and mortg's owned: Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $145,112. 77 1, 855. 47 12, 500. 00 275. 00 15, 619. 80 802. 28 **5"446.'91 1, 849. 99 600.00 2, 204.91 Capital stock paid in. $51), 000. 00 Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding 2, 000. 00 9, 747. 84. 10, 690.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks 410.00 Due to State banks and bankers . 71.34 7, 796. 05 Notes and bills re-discounted . 705. 00 Bills pa,y a ble 123, 052. 94 321. 30 562. 50 Total. 195, 812. 08 195, 812.08 Alton National Bank, Alton. No. 1428. C. A. CALDWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and hankers. Bank'g-house,furniture,aiid fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . $265, 956. 40 4, 574. 92 52, 000. 00 50, 000.00 30,050.00 93,150. 00 307,124. 82 45, 677. 08 44, 004. 05 14, 000.00 EDWARD P. W A D E , Cashier. Capital stock paid in $100,000. 00 Surplus fund Undivided profits 60, 000.00 11, 357.15 National-bank notes outstanding.. State-bank notes outstanding 41, 840. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disb ursing officers. 334.87 2,671.00 154.80 72, 469. 32 11, 667.00 652, 653. 98 55, 000. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted.. Bills payable , 2, 206.22 54, 382. 57 2, 340.00 1, 265. 66 977, 439. 92 Total. 977,439.92 First National Bank, Arcola. JAMEB BEGGS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation..U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and morte's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other natioual banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2204. $140, 785. 91 268. 62 12, 500. 00 560.66 800.00 8, 397. 67 17, 391. 08 3,173. 96 6, 300.00 GEO. L. TVICKS, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits 10, 000. 00 3, 678.26 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid. Individual deposits 1, 097. 62 United States deposits 500. 00 Deposits of U.S.disbursingofficers. 1,105.85 Due to other national banks 3, 405. 00 Due to State banks and bankers . 110. 71 9, 422. 20 Notes and bills re-discounted . 7, 000.00 Bills payable 138, 392. 86 562. 50 213, 321.12 Total. 233,321.12 726 REPORT OF THE COMPTROLLER OF THE CURRENCY. I L L I \ O I S. Atlanta National Bank, Atlanta. No. 3711. SAMUEL H. FIELDS, President. J.P.HIEKONYMUS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $50, 000. 00 Capital stock paid in. $109,648.24 1, 631. 2(5 12, 500. 00 2, 500. 00 5, 394. 28 Surplus fund Undivided profits . I' National-bank notes outstanding.. 11, 250. 00 Dividends unpaid. Individual deposits 931.65 United States deposits 3, 200. 00 Deposits ofU.S. disbursing officers. 113, 312. 85 "24,591.58 3,818.(56 346.38 11,000.00 !! !| !! I1 State-bank notes outstanding 15.25 Due to other national banks 3, 940. 00 71. tilDuo to State banks ami bankers . 1, 700. 00 Notes and bills re-discounted . 8, 500. 00 Bills payable 502. 50 182,457.13 182,457. KJ Total. First National Bank, Aurora. JOHN VAN NORTWICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banksand bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S. D ue from Treasurer XJ. S Total. No. 38. Capital stock paid in. $388, 580.67 328. 68 25, 000.00 46, 500. 00 23, 343. 07 11,172. 29 "i," 4oo. 66' E. B. Mix, Cashier. $100, 000. 00 20, 000. 00 144, 504. 13 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 22, 20 i). 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 260,314.90 Due to other national banks 7, 408. 00 ! Due to State banks and bankers. 341. 32 12, 820. 00 Notes and bills re-discounted . 35, 000. 00 Bills payable 1,125. 00 553, 019. 03 553,019.03 Total. Second National Bank, Aurora. ALONZO GEORGE, President. Loans and discounts O verdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items E xchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1909. $356, 801.14 3,153. 73 25,000. 00 17, 828.19 791. 97 •7. A . EGLESTOX, Cashier. Capital stock paid i n . Surplus fund Undivided profits National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g Dividends unpaid 20, 383. 08 2, 000. 00 902. 28 Individual deposits United States 'deposits Deposits of U.S.disbursing officers. $100, 0U0. 00 21, 000. 00 118,163. 81 22, 500. 00 2, 000,00 190, 387.43 751.44 3, 520. 00 239. 51 15, 0-->4. 90 6, 500. 00 D u e to other national bunks D u e to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125. 00 454, 051. 24 Total. 454, 051. 24 REPORT OF THE COMPTROLLER OF THE CURRENCY. 727 ILLINOIS. Aurora National Bank, Aurora. No. 2945. O. D. POWELL, President. W. S. BEAUFRE, Cashier. Resources. Loans and discounts Liabilities. - IT. S..bonds to-secure circulation . . TJ. S. bonds to .secure deposits TL S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks.and bankers. Bank'g-house,furniture,andnxtures Other real estatoand mortg's owned Current expenses and taxes paid. .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S.'certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $209,049.18 2 527. 78 25, 000.00 Capital stock paid in 18. 000. 00 9, 088. 58 Individual deposits 1,7)88." i7" United States deposits 708. 75 Deposits of U". S. disbursing officers 190.23 Duo to other national banks 19,110. 00 Due to State banks and bankars .. 30. 00 32,008. H Xotes and bills re-discounted . O 20, 000.00 Bills payable 295, 727. 04 22, 500. 00 1,325.00 445, 915.62 Total $100, 000. 00 Surplus fund Undivided profits 2, GOO. 00 8, 200. 00 National-bank notes out standing.. 02,105. 21 State-bank notes outstanding 1,452.80 Dividends unpaid Total . 445,915.02 Merchants' National Bank, Aurora. "W. C. ESTEE, Cashier. "No. 3854. JACOB O. CURRY, President. Loans and discounts j Overdrafts D. S. bonds to secure circulation...! TJ. S. bonds to secure deposits I TJ. S. bonds on hand j Stocks, secarities, judgments, etc ..I Due from approved reserve agents. Due from other national banks. Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and morfcg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national"banks Fractional currency, nickels, cents Specie '. Legal-tender notes U. S. certificates of deposit "Redemption fund with Troaa. U. S . Due from Treasurer U. S Total. $216,052.10 ; Capital stock paid in. 1,546.25 ] 25, 000. 00 ; Surplus fund Undivided pr :d profits i ; National-banknotes outstanding.. 23,98 { 66 j State-bank notes outstanding . j i Dividends unpaid. 4,551. 80 Individual deposits 623.2i5 United States deposits 0,500.00 Deposits ot'U.S.disbursing officers 611.56 Due to other national banks (5, 940. 00 Due to State banks and b a n k e r s . 206. 00 13, 984. 00 Notes and bills re-discounted. 5, 000.00 Bills payable $100, 000. 00 3, 000. 00 4, 306. V9 22, 500. 00 740. 00 175, 576. G4 1,125. 00 306,123. 63 Total . 300,123.03 First National Bank, Beards town. JOHN H. HARRIS, President. Loans and discounts ! Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand | Stocks, securities, judgments, etc . „ j Due from.approved reserve agents. | Due from other national banks i Due from State banks and bankers Bank'g-house,furniture,andfixtures, Otherreal estate and mortg's owned' Current expenses and taxes paid... Premiums onU. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Iaegal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S. \ Due from Treasurer U. S Total. No. 3640. $165,144.93 3,070.05 19,000. 00 THOMAS K. CONDIT, Cashier. Capital stock paid in. Surplus fund Undivided profits 21, 500. 00 National-bank notes outstanding.. 3, 696.15 State-bank notes outstanding 1,023.60 Dividends unpaid. 10, 800. 00 Individual deposits 772.92 United States deposits 4,500. 00 Deposits of U.S. disbursing officers 1, 222.53 Due to other national banks 637.00 Due to State banks and bankers . 7. 22 10,800.00 Notes and bills re-discounted. 1,500,00 Bills payable $50, 000.00 4, 000, 00 2,061.48 17,100.00 162, 468. 52 8, 000. 00 855, 00 244, 530. 00 Total 244, 530. 00 728 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Belleville. No. 2154. JOSEPH FUKSS, President. C. ANDEL, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to^ecure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Qther real estate and mortg's owned Current expenses and taxes paid... Premiumson U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $281,995. 06 533. 62 50, 000. 00 83,150. 00 127,434.82 Capital stock paid in. $100, 000.00 Surplus fund Undivided profits . 50, 000.00 8, 314. 62 National-bank notes outstanding.. State-bank notes outstanding 42, 010.00 Dividends unpaid. 1, 000. 00 i,'408.i9 Individual deposits United States deposits Deposits of U. S. disbursing officers. 428, 838. 81 5,180.59 12, 315. 00 196.05 17, 650. 10 45,500.00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2,250.00 550.00 Total . 629,163.43 629,163.43 First National Bank, Belvidere. No. 1097. M A R K RAMSEY, President. Loans and discounts Overdrafts TJ. S. bonds to sec are circulation TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned C urrent expenses and taxes paid... Premiamson U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. $84,206.90 1,092.11 25,000. 00 66, 500.00 14,576.27 1,158.19 J. S. TERWIL LIGER, Cashier. Capital stock paid i n . $75, 000. 00 Surplus fund Undivided profits. 25, 000.00 1, 047. 40 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid 6, 782.66 621.75 Individual deposits United States deposits Deposits of U. S. disbursing officers 100,146. 76 2, 416. 50 900.00 262.63 8, 946.15 6, 706. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125.00 Total. 223,694.16 223, 694.16 Second National Bank, Belvidere. ALLEN C. FULLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tendor notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3190. IRVING TERWILLIGER, Cashier. $83 403.75 1 50.40 i 25,000.00 Capital stock paid in. Surplus fund Undivided profits. 11, 200.00 1, 726. 69 102, 450. 58 j 32,549.81 17.97 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 $75,000.00 Dividends unpaid 6," 951." 87" Individual deposits United States deposits Deposits of U.S. disbursing officers 164, 557.28 236.94 995.66 115. 84 9, 501. 85 11,900.00 Due to other national banks Due to State banks and bankers .. 315. 04 Notes and bills re-discounted . Bills payable 1,125.00 1,000.00 ; 275,299.01 ! Total . 275,299.01 REPORT OF THE COMPTROLLER OF THE CURRENCY. 729 ILLINOIS. First National Bank, Biggsville. H.M.WHITEMAN, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furn iture, andfixtures Other real estate and mortg's ovyned Current expenses and taxes paid... Premiums on 0". S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3003. J. E. BARNES, Cashier. Liabilities. $88, 601. 27 497. 28 16, 000. 00 27, 828. 02 549.54 165.10 4,517.65 3, 000. 00 520. 48 600.00 118.14 1, 050. 00 36. 89 10, 863. 50 1, 320.00 $50, 000. 00 Capital stock paid in Surplus fund Undivided profits 10, 000. 00 14, 792. 79 National-bank notes outstanding-. State-bank notes outstanding 14, 400. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 67,195. 08 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 720.00 156, 387. 87 156, 387. 87 Total.. First National Bank, Bloomington. DUNCAN M. FUNK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 819. C. W. ROBINSON, Cashier. $472,863.42 Capital stock paid in. 6, 585. 80 50,000.00 !| Surplus fund : Undivided p r o f i t s . . . . $225, 000. 00 150,000.00 19,857.11 142,300.00 1 National-bank notes outstandi 1 Nationalbank outstanding.. 138,951.24 • 'State-bank notes outstanding «''* • • -• 12, 012. 9X 1, 170.34 Dividends unpaid 29, 500. 00 3, 000. 00 |! Individual deposits 92(5. 50 l!1 United States deposits 1 Deposits of U.S. disbursing officers. 828.83 ;l i j Due to other national banks 2, 710. 00 ij Due to State banks and bankers . . 354.77 |j 75, 520. 05 ii Notes and bills re-discounted 3S, 000. 00 Bills payable 584, 875. 73 3, 542. 63 2, 250. 00 2, 000. 00 1, 012, 775. 47 Total 1,012,775.47 Third National Bank, Bloomington. J. M. DOOLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2676. $297, 295. 68 5, 256.15 31,250.00 20, 230. 55 4, 525.83 913.45 3, 000. 00 405.72 2, 000. 00 891.14 13, 604. 00 134. 64 9,178.54 16, 000. 00 A. S. EDDY, Cashier. Capital stock paid in. $125, 000. 00 Surplus fund Undivided profits 33, 000. 00 7, 384. 48 National-bank notes outstanding.. State-bank notes outstanding 28,125. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 210, 754. 69 1, 827. 78 1,406.25 406, 091.95 Total . 406, 091. 95 730 REPORT OF THE COMPTROLLER OP THE CURRENCY. ILLINOIS. National State Bank, Bloomington. No. 2386. JACOB FUNK, President. ALVIX B. HOBLIT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Kedemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $407, 585. 06 5, 750. 53 50, 000. 00 23, 050. 00 34, 210. 97 3,351.73 4,021.78 4, 000. 00 5,730.24 4, 000. 00 4, 595. 50 9, 861.00 33,163.85 35, 000. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable * . $150,000.00 25, 000. 00 16, 905. 49 45, 000.00 156.00 384, 466.46 2, 063. 55 2, 779.16 2, 250, 00 626, 370. 66 Total. 626, 370.66 Alexander County National Bank, Cairo. FREDOLIN BROSS, President. No. 3735. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. 3 Jank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiumson U.S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. $178,178. 39 2,174. 98 25, 000. 00 5, 765. 00 40,261.27 4, 598. 32 10, 022,14 20, 000. 00 "5,'836." 57 6, 750. 00 225. 79 17, 593. 00 202/85 19, 627. 00 14, 000. 00 H. "WELLS, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $100, 000. 00 6, 000. 00 5, 492. 84 15, 600. 00 173, 768. 80 1, 401. 39 47, 007. 28 1,125. 00 349, 360. 31 Total. 349, 360. 31 City National Bank, Cairo. WILLIAM P. HALLIDAY, President. Loans and discounts O verdr aft s U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. BaDk'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiumson U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. THOS. TV. HALLIDAY, Cashier. No. 785. 82 Capital stock paid in. $100, 000.00 54 00 150, 000. 00 Surplus fund 00 18, 215. 73 Undivided profits. 123, 284. 22 National-bank notes outstanding. 22, 500. 00 53,061.15 State-bank notes outstanding. $501, 1, 25, 50, 772. 655. 000. 000. 21, 684. 50 15, 778. iW 22, 791. 90 292. 62 3, 505.28 Dividends unpaid Individual deposits United States deposits Deposits of d.S.disbursingofiicers. 469,391.61 55, 000. 00 2,169. 51 33, 258. 500. 30, 287. 27,000. 00 02 85 00 Due to other national banks , Due to State banks and bankers... Notes and bills re-discounted. Bills payable - 6, 854.16 93, 205. 27 1,125. 00 2, 000.00 915,166. 77 Total. 915,166. 77 REPORT OF THE COMPTROLLER OF THE CURRENCY. 731 ILLINOIS. First National Bank, Cambridge. NATHANIEL B. GOULD, President. HENRY WHITE, Cashier. No. 2540. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from, approved reserve agents. Due from other national banks Due from State bank3 and bankers. Bank'g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes *... TJ. S. certificatesof deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $105), 268. 28 I Capital stock paid i n . 3,248.78 SO, 000. 00 Surplus fund Undivided profits . 1,000.00 National-bank notes outstanding. 8, 135. 81 State-bank notes outstanding 2, 468. 23 Dividends unpaid. 1, 000.00 Individual deposits 545. 05 United States deposits 6, 000. 00 Deposits of U.S. disbursing officers. 324. 31 Due to other national banks 1,535.00 Due to State banks and bankers . 37.48 4, 867.70 Notes and bills re-discounted . 2, 000. 00 Bills payable $50, 000. 00 10, 000.00 6, 607.60 27, 000. 00 140.00 78, 033. 04 1, 350. 00 171,780.04 Total. 171, 780. 64 Farmers' National Bank, Cambridge. No. 2572. L. H. PATTEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. E. D. RICHARDSON, Cashier. $102,432.49 | Capital stock paid in. 531.65 12, 500.00 Surplus fund Undivided profits National-bank notes outstanding.. 15. 552.21 State-bank notes outstanding 2; 817. 22 Dividends turpaid " i , " 606." 00" Individual deposits 727.25 United States deposits 800.00 Depositsof U.S. disbursing officers. 144. 98 Due to other national banks , 4, 489. 00 Due to State banks and bankers. 49.04 2, 002. 00 Notes and bills re-discounted . 3, 000. 00 Bills payable $50, 000. 00 8,500. 00 2, 983. 56 11, 250. 00 73, 934.78 562. 50 146, 668. 34 Total. 146,668.34 First National Bank, Canton. R. B. UNDERWOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-honse, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash item s Exchanges for clearing-hoi: *e Bills of other national ban J A Fractional currency, nickuisrcentsSpecie Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 415. F. W. HULIT, Cashier. $143, 549. 02 Capital stock paid in. $50,000.00 2, 896. 56 12, 500. 00 Surplus fund 20, 000.00 3, 060. 07 Undivided profits 15, 700. 00 National-bank notes outstanding.. 11, 250. 00 10,005.19 State-bank notes outstanding 2,915.46 Dividends unpaid 1,155. 83 "3," 485." 08" 6, 496, 00 136.56 2, 828. 75 16, 000.00 Individual deposits United States deposits Depositsof U.S. disbursing officers. 147,156.74 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 562. 50 :, 000. 00 231,406. 81 Total. 231,466. 81 732 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Canton National Bank, Canton. DAVID BEESON, President. C. T. IIEALD, Cashier. No. 3193. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . .. IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Dne from State banks and bankers. Bank'g-bouse,furnitiii'e,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. .. Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, ceuts. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S Total. 1162, 054. 87 189. 83 12, 500.00 4,930.90 19, 584. 37 1, 530. 57 175. 30 2,158.65 i, 451.48 2,750. C O 177. 00 7,254.00 178. 55 3, 947.60 25, 000. 00 $50, 000. 00 Capital stock paid in ...... 3, 500. 00 4,370.71 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 11, 250. 00 Surplus fund Undivided profits 208. 00 Dividends unpaid Indi vidual deposits United States deposits Deposits of U. S. disbursing officers. 175,119.91 Due to other national b a n k s Due to State banks and bankers . . Notes and bills 1 re-discounted 562. 50 Total 244, 448.62 244,448.62 Greene County National Bank, Carrollton. JOHN I. THOMAS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure,deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents Due from other national banks ... Due from State banks and bankers Bank'g-houso,furniture,andli>auros Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie . Legal-tender notes U. S. certificates of deposit Redemption fund with Tieas.U . S Due from Treasurer U. S Total. No. 2390. $407,450.12 3,929. 04 100, 000. 00 OHXAN PIEUSON, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund i ,"f)6o."oo" Undivided profits National-bank notes outstanding-. 6, 000. 00 9J>, 14!>. 59 State-bank notes outstanding 2, 651. (53 24"). 22 1, 074. 00 1,027.55 17, 900. 75. 17, 808. 20, 000. G O 34 20 00 19,000.00 20,347, 98 90, 000. 00 Dividends unpaid Tndividizal deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . . Bills payable) 448,186. 01 1, 036. 70 4, 500. 00 684, 570.69 Total. 4, 570.09 Hancock County National Bank, Carthage. HIRAM G. FERRIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-hou9e,furnituro,an<lfixtuivs Other real estate and moil g's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1167. $131,012.31 1, 638. 26 12,510.00 7, 300.00 26, 854. (8 4, 291.57 12, 43:\ 26 15, 255.12 1,332. 83 1,216.32 562. 37 • 70.00 6, 394. 00 308. 31 13,932.45 8, 000.00 W. H. GRIFFITH, Cashier. Capital stock paid in . Surplus fund Undivided profits . 10, 000. 00 2, 995. 44 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable.« , 165,473.31 100.57 3, 843. 66 562. 50 243, 6G2. 98 Total. 243,662. 98 REPORT OF THE COMPTROLLER OF THE CURRENCY. 733 ILLINOIS. Old National Bank, Centralia. N o . 3303. E. S. CONDIT, President. F. KOHL, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Dae from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate andniortg's owned Cun eat expenses and taxes paid... Prerr iunison TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas.U. S. Dae from Treasurer U. S Liabilities. Capital stock paid in. 20, 000.00 6, 464.46 National-bank notes outstanding.. State-bank notes outstanding .."... 20, 220. 00 Dividends unpaid . 18, 836. 21 Individual deposits United States deposits Deposits of U.S. disbursing officers. 1, 297. 23 10, 002.15 (513. 61 314,160.50 81,878.48 Due to other national banks 093.00 Due to State banks and bankers . 257.89 10, 980. 00 Notes and bills re-discounted. 20, 440. 00 Bills payable 1,350.00 Total . 528, 723. 44 Total. $80,000. 00 Surplus fund Undivided profits . 528, 723.44 First National Bank, Champaign. BENJAMIN F. HARRIS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixture? Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 913. $183,471. 92 5,324. 21 50, 000.00 H. II. HARRIS, Cashier. Capital stock paid in $65, ooa. oo Surplus fund Undivided profits 50, 000.00 15, 274.79 31, 393. 07 70, 800. 00 11,174.18 National-bank notes outstanding.. State-bank notes outstanding "*"l6,95G.'oo" 45, 000. 00 Dividends unpaid 20, 246.69 2, 224. 77 Individual deposits 2,387.01 United States deposits 1,809.05 Depositsot'U. S. disbursing officers. .14. 70 Due to other national banks 72, 528.00 Due to State banks and bankers . 122. 84 27,890. 60 Notes and bills re-discounted 13,000. 00 Bills payable 308, 973. 47 2, 250.00 500,947. 65 Total . 500, 947. 65 Champaign National Bank, Champaign. EDWARD BAILEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U, S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned C arrent expenses and taxes paid... Premium s on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks FractionaLcurrency, nickels, cents. Specie 1 Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2829. $137,453.46 907.42 12, 500.00 W. A. HEATH, Cashier. Capital stock paid in ! Surplus fund • Undivided profits 1,400.00 i 29,300.00 ; 1 National-bank notes outstanding.. 34, 525. 77: |! State-bank notes outstanding 221.27 2, 899. (>:; [|; Dividends unpaid 1,527.99 ! Individual deposits .' 1, (M'). 99 United States deposits 2,834.23 Deposits of U.S. disbursing officers. 1,041.13 Due to other national banks 6,089. 00 Due to State banks and bankers . 137.13 12, 2m. 25 Notes and bills re-discounted. 18,000.00 Bills payable , $50, 000. 00 44, 000.00 3, 087. 96 11,250.00 154,044.49 949. 32 562. 50 263, 931.77 Total . 263,931.77 734 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Charleston. W. M. CHAMBERS, J R . , President. No. 763. W. E. MCCRORY, Cashier. Resources. Liabilities. Loans and discounts O verdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houae,furniture,andfixtures Other real estate and mortg'e* owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items — Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $250,192. 38 2,418.04 25, 000. 00 9,144.92 10, 557. 70 1,890. 33 13. 06 6,000.00 1,625.00 1, 1.94. 78 Capital stock paid in. $100, 000. CO Surplus fund Undivided profits ,- National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 40, 000. 00 29,372. 48 21, 800. 00 84.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 130, 496. 53 1,"783." 59* 752. 00 80.28 6, 453. 55 6,402.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 2, 889.17 1,125.00 Total. 324, 642.18 324, 642.18 Second National Bank, Charleston. No. 1851. I. H. JOHNSTON, President. Loans and discounts O ve rdraft s U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,fiirnituie,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Troas. U. S. Due from Treasurer U. S Total. $246, 984.82 1,726. 54 25,000.00 31,025. 00 10,438. 43 8,970.17 FELIX JOHNSTON, Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 40, 000. 00 26, 009. 03 National-bank notes outstanding. State bank notes outstanding 22, 500. 00 Dividends unpaid.. 6, 500. 00 Individual deposits "l," 058.' 45* United States deposits Deposits of U. S. disbursing officers 160, 345. 48 965. 27 5, 839. 00 40.80 10, 683.85 3,000. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 4,458.82 1,125.00 Total. 353, 363. 33 353, 363. 33 First National Bank, Chicago. S. M. NICKERSON, President. No. 2670. $16, 531, 392.65 Loans and discounts 6,211.36 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits 20, 700.00 U. S. bonds on hand 788, 250.00 Stocks, securities, judgments, etc .. Due from approved reserve agents. 2,741,840.70 Due from other national banks 1,959,388.61 Dne from State banks and bankers. 500, 000.00 Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds 1,889.32 Checks and other cash items 969, 345.41 Exchanges for clearing-house 135, 000. 00 Bills of other national banks 6,814.81 Fractional currency, nickels, cents. 5,623,935. 00 Specie 1, 432, 500. 00 Legal-tender notes TJ. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S 16, 500. 00 Duo from Treasurer U. S Total 30,786,017.86 H. R. SYMONDS, Cashier. Capital stock paid in. Surplus fund Undivided profits. $3,000, 000. 00 1, 500, 000. 00 638, 719. 01 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 75, 522. 50 Individual deposits 12,1(56, 589. 57 United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. 8, 794, 604. 75 4 610, 582.03 Notes and bills re-discounted Bills payable Total. 30,786,017.80 BEFOBT OF THE COMPTROLLER OF THE CURRENCY. 735 ILLINOIS. First National Bank of Englewood, Chicago. A. S. GREEN, President. N o . 4073. PRANK LELAND, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents . Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . . Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $80, 799.06 1,196.18 25, 000. 00 2, G40. 89 4, 405. 63 2, 733. 68 761. 93 7,150.25 740. 28 3, 040. 00 37. 88 713. 95 Capital stock paid in. $70,000. 00 Surplus fund Undivi< ided profits. 614.77 National-bank notes outstanding.. State-bank notes outstanding . . . . 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 36,176.96 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. . 129, 291. 73 129, 291.73 American Exchange National Bank, Chicago. D. B. DEWEY, President. No. 3500. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items . Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. D u e from Treasurer U. S 195, 788. 84 5, 000. 00 500.13 147, TOO. 00 287, 000. 00 Duo to other national banks j Due to State banks and bankers..! Notes and bills re-discounted . . Bills payable 437, 351. 81 216, 056. 38 2, 250." 00* 3,412, 988. 85 Total , A. L. DEYVAR, Cashier. $2, 347, 372.66 | Capital stock paid i n . $1, 000, 000. 00 1,037.09 '| 50,000.00 .1 Surplus fund. 65, 000.00 91,645.94 Undivided profits. 45, 000.00 100. 00 National-bank notes outstanding. State-bank notes outstanding 233, 999. 94 95, 087. 95 Dividends unpaid 18. 00 17, 045. 33 Individual deposits 1, 557, 916. 72 17, 600.91 United States deposits 12, 500. 00 Deposits of U.S.disbursingofficers. Total 3,412,988.85 Atlas National Bank. Chicago. TV. C. D. GRANNIS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand^ Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house, furniture.andh'xtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total • No. 3503. $2, 380, 753.19 652. 90 50, 000. 00 161,190.98 211, 815. 90 103, 933. 94 21,009.66 10, 800.00 164,405.18 25, 500.00 1, 490. 53 191,132.50 374, 000. 00 * S. W. STONE, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits DepositsotU.S.disbursingofficers Dne to other national banks Due to State banks and bankers.. $700, 000.00 105, 000. 00 52, 453. 22 24,410. 00 150. 00 2, 258, 471. 59 242, 973. 79 316, 076.18 Notes and bills re-discounted. Bills payable 2, 250. 00 3, 699, 534. 78 Total. 3, 699, 534. 78 736 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Calumet National Bank of South Chicago, Chicago. HORACE P. TAYLOR, President. Xo. 3102. A. G. IN GRAHAM, Cashier. Resources. Loans and discounts Overdrafts TJ. S.bonds to secure circulation ... TJ. S. bonds to secure doposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-bouse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-bouse .Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. b. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. Liabilities. $165,511.14 214. 08 12, 500. 00 45, 087. 68 (51)6. 05 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.". State-bank notes outstanding 6, 500. 00 7, 613. 44 11,250.00 Dividends unpaid. 1, 200. 00 1,001. 87 Individual deposits United States deposits Deposits of U.S.disbursing officers. 167, 543. 91 149. 90 Due to other national banks 3,512.00 Due to State banks and bankers. 30. 96 10, 440. 00 Notes and bills re-discounted . 2, 000. 00 Bills payable 562.50 Total. 242, 907.38 242, 907. 38 Chicago National Bank, Chicago. J. R. WALSH, President. WIILIAM Cox, Cashier. No. 2601. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bauk'g-house,furniture,and fixtures Other real estate and mortg's owned C urrent expenses and taxes paid Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total $3,431, 595. 99 | Capital stock.paid in. 781.06 50, 000. 00 Surplus fund .-. Undivided profits 4, 500. 00 319, 807. 62 National-bank notes outstanding.. State-bank notes outstanding 599, 020, 73 23, 067. 41 Dividends unpaid $500, 000. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers 4,188, 263.85 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 454, 349. 27 102, 698. 74 151,601.94 37, 610. 00 467.12 675, 000. 00 387, 800. 00 350, 000. 00 43,190.01 45, 000. 00 2, 250. 00 5,683,501.87 Total. 5, 683, 501. 87 Commercial National Bank, Chicago. H. F. EAMEB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legai-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total No. 713. $6,169,856.64 Capital stock paid in. 974.78 50, 000. 00 Surplus fund Undivided profits 81, 432.05 627, 342. 03 10,010.52 48,815.98 9, 961. 60 910.15 301,189.17 21, 990. 00 1, 989. 50 693, 089. 39 809, 000.00 J O H N B. MEYER, Cashier. $1, 000, 000. 00 •„ National-bank notes outstanding.. State-bank notes outstanding 700, 000. 00 84,018.54 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 3, 795,109. 57 Due to other national banks Due to State banks and bankers - - 1, 672, 208.60 1, 532,475.10 Notes and bills re-discounted . Bills payable 2, 250. 00 8,828,811.81 Total 8,828,811.81 REPORT OF THE COMPTROLLER OF THE CURRENCY. 737 ILLINOIS. Continental National Bank, Chicago. JOHN C. BLACK, President. No. 2894. DOUGLASS TIOYT, Cashier. Resources. Liabilities. $6, 053,261.18 Loans and discounts 3, 438.90 Overdrafts 50, 000.00 U. S. bonds to secure circulation... II. S. bonds to secure deposits XT. S. bonds on hand Stocks, securities, judgments, etc . . 1, 600. 00 ])ue from approved reserve agents. 937, 346.26 Duo from other national banks 203, 433.32 Due from State banks and bankers. 5,000. 00 B;mk'g-house, furniture,and fixtures Other real estate and niortg's owned 72, 617. 22 Current expenses and taxes paid... 21, 600. 24 8, 500. 00 Premiums on U. S. bonds 3,133.26 Checks and other cash items 790, 791.09 Exchanges for clearing-house 92,801.00 Bills of other national banks 90(5. 62 Fractional currency, nickels, cents . 313, 908. 00 Specie 1, 007,284. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2,250. 00 Due from Treasurer U. S Total Capital stock paid in. $2, 000, 000.00 Surplus fund Undivided profits 180, 000. 00 131, 499. 49 National-bank notes outstanding.. State-bank notes outstanding 22, 900. 00 1,083.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 3,152,479.39 Due to other national banks Due te State banks and bankers . . 2, 726, 702.51 1, 353, 266. 70 Notes and bills re-discounted. Bills payable 9,567,931.09 9, 567, 931. 09 Total. Drovers' National Bank of Union Stock Yards, Chicago. So LVA BRINTNALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 2858. $685, 313. 08 3, 796.49 50, 000. 00 154,122. 39 25, 560. 21 20, 022.40 12, 500. 00 7, 000. 00 7, 051. 91 6,012.00 470. 71 25, 447. 50 32, 400. 00 $250, 000. 00 50, 000. 00 9, 244. 25 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 534, 328. 87 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 31, 640.17 111,739.40 2, 250. 00 1, 031, 952. 69 Total. W. II. BUINTXALL, Cashier. Capital stock paid in 1, 031, 952. 69 Total. Fort Dearborn National Bank, Chicago. JOHN A. KING, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie . . -• Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total H, Ex73—47 No. 3698. Capital stock paid in $925, 402. 38 2,172.35 50, 000.00 11,175. 00 101,617.58 48, 271.84 6, 977. 06 PETER DUDLEY, Cashier. $500. 00*0.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding . . 15,379.11 i 44, 300.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 18, 750.00 1,963.35 ! 59, 777.10 Due to other national banks 30,346.00 Due to State banks and bankers . . 1, 780. 00 21, 779. 86 Notes and bills re-discounted . 101, 000.00 Bills payable 595, 926. 61 30, 732.96 190, 923. 84 2, 250. 00 1,377,262.52 Total 1,377,262.52 738 JJEI'OliT OF THE COMPTROLLER OF THE CURRENCY. ILilNOIS. Hide and Leather National Bank, Chicago. CHAS. F. GREY, President. No. 2450. T. L. FOUUEST, Assistant Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U S bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks. . . . Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Cheeks and other cash items Exchanges for cleariug-house Bills of other national ban ks Fractional currency, nickels, centsLegal-tender notes U. S. certificates of deposit. Kedemption fund with Treas. U. S. Due from Treasurer U. S Total $1,143, 922. 36 762.47 50, 000. 00 Capital stock paid in $300, 000. 00 Surplus fund 1 Undivided profits 80, 000. Op 35,001 94 .-•- . . . . . 2,600.00 57, 230.85 i National-bank notes outstanding.. 75;i2L56' State-bank notes outstanding 17, 318. 74 Dividends unpaid 7, 739. 85 Tudividual deposits United States deposits Deposits of U.S.disbursing officers. 12,513.85 1,108.17 50, 536. 74 Due to other national banks 22, 371. 00 ; Due to State banks and bankers.. 18.74 422,430. 00 Notes and bills re-discounted 45, 000. 00 6, 000. 00 1,172, 339. 43 „_•_ . 108, 681. 72 199, 099. 24 19 1st; oo 50, 000. 00 2, 250. u0 11, 000. 00 1, 946,122. 33 Total 1, 946,122. 33 Home National Bank, Chicago. No. 2048. A. M. BILLINGS, President Loans and discounts Overdrafts U. S. bonds to securo circulation... U. S. bonds to secure deposits XT. S. bonds on hand Stocks, securities, judgments, e t c . . D u e from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national b a n k s . . . . . . . Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. $769, 955. 29 9, 878. 55 50, 000. 00 '""i56,"6oo."o6* 33, 200. 00 170,877.98 G, 938. 31 2, 250. 00 " 5,899."76* 1,121.25 22, 273. 80 6,616.38 28, 08*. 00 30. 66 165,602.00 590, 000. 00 H. H . B L A K E , Cashier. Capital stock paid in Surplus fund Undivided profits $250,000.00 • National-hank notes outstanding.. State-bank notes outstanding 100, 000.00 138, 427. 01 9, 020. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national hanks Due to State banks and b a n k e r s . . Notes and bills re-discounted. Bills payable 1, 488,812.86 28, 218.11 2,250. 00 2,014,477.98 Total. 2, 014, 477. 98 Lincoln National Bank, Chicago. V. C. PRICE, President Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer TJ. S Total -, Cashier. N o . 36*7. $293, 670, 75 513. 45 50, 000. 00 52,372.17 32, 511. 38 2,319.15 3,379.62 14,812.50 134.53 13,931.71 3, 325. 00 74.12 48, 336.50 19, 975.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding./.. $200, 000. 00 4, 000, 00 5, 651.46 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 274,112. 57 Due to other national banks Due to State banks and bankers.. 7, 787.14 1,054. 71 Notes and bills re-discounted.. Bills payable 2,250. 00 537, 605. 88 Total.. 537, 605. 88 REPORT OF THE COMPTROLLER OF THE CURRENCY. 739 ILLINOIS. Merchants' National Bank, Chicago. No. 642. C. B. BLAIR, President. Jxo. C. NEELY, Cashier. Resources. Liabilities. $6,474, 058. 84 Loans and discounts 3.43 Overdrafts 50, 000. 00 U S. bonds to secure circulation-.. IT. S. bonds to secure deposits 23 "mob" U. S. bonds on band Stocks, securities, j udgments, etc.. 183, 200. 00 Due from approved reserve agents Due from other national banks 986,"'3f>2."9r>" Due from State banks and bankers Bank\^house,furniture,and.fixtures 35, 151.74 Otber real estate and mortg's owned! 125,000.00 Current expenses and taxes paid... i 11, 537. 55 Premiums on U. S. bonds Checks and other cash items 308, 657. 64 Exchanges for clearing-house 369, 238. 00 Bills of other national banks 378. 91 Fractional currency, nickels, cents3,116, 907. 30 Specie , 205, 500. 00 Legal-tender notes 17. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. 2, 000. 0C Due from Treasurer U. S Total Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding $500, 000.00 1, 000, 000.00 589, 956. 25 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 4, 037,440.12 Due to other national banks Due to State banks and bankers .. 3, 380, 648. 74 2,379, 891.25 Notes and bills re-discounted. Bills payable 11,887,936.36 Total. 11, 887, 936. 36 Metropolitan National Bank, Chicago. E. Gr. KEITH, President. No. 3179. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. I) le from approved reserve agents. Due> from other national banks. Duo from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg'a owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. WILLIAM D. PKESTON, Cashier. I, 610,934. 21 Capital stock paid in . 2,206.21 50, 000. 00 Surplus fund Undivided profits 11,800.00 National-bank notes outstanding. State-bank notes outstanding 574,711.55 207, 071. 06 Dividends unpaid , $500, 000. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers 4,428, 254.12 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1,126, 704.02 1,158, 894.28 1, 025. 61 408, 633. 96 38, 062. 00 1,486.40 857, 223.75 833, 355. 00 300, 000. 00 39, 877.93 45, 000.00 30.00 2, 250.00 7, 598, 760.35 Total 7, 598,760. 35 National Bank of America, Chicago. I. G. LOMBARD, President. No. 2826. $3, 080, 562.26 Loansand discounts 2, 2(52.53 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... X S. bonds to securo deposits L U. S. bonds on hand Stocks, sec unties, judgments, etc - 100, 5G0.00 Due from approved reserve agents. 376, 770. 06 Duo from other national banks 61, 901. 33 Duo from State banks and bankers. Bank' g-hou se, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds 1,007.48 Checks and other cash items 200. 544. 65 Exchanges for clearing-house 18,984.00 Bills of other national banks 5. 21 Fractional currency, nickels, cents. 633, 818.45 Specie 332, 000.00 Legal-tender notes XT.13. certificates of deposit Redemption fund with Treas. U. S. 2,250.00 Due from Treasurer U. S Total 4,866,605.97 EDWAUD B. LATHROP, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid $1, 000, 000. 00 200, 000. 00 50, 993. 70 44, 500.00 220.00 Individual deposits United States deposits Deposits of U. S. disbursing officers 1, 564, 308.62 Due to other national banks Due to State banks and bankers... 1, 318, 867. 20 687, 716.45 Notes and bills re-discounted . Bills payable Total. 4, 866, 605.97 740 REPORT OF THE COMPTROLLER OF THE CURRENCY. National Bank of Illinois, Chicago. No. 1867. G. SCHNEIDER, President. W M . A . HAMMOND, Cashier. Resources. Loans-and discounts 0 v erdr aits \ TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S.. Due from Treasurer TJ. 8 Total Liabilities. $6,147, 944.35 11, 462. vS 50, 000. 00 203 "456.'66' 205, 275. 00 918,440.14 391,195.06 $1, 000, 000. 00 Capital stock paid in Surplus fund 600, 000. 00 156, 600. 21 <• Undivided profits National.bank notes outstanding.. State-bank notes o u t s t a n d i n g . . . . . 45, 000.00 22, 917.50 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingomcers. 513, 656. 64 35, 000.00 4, 645. 4H 940, 000. 00 720, 000. 00 420, 000.00 2,250.00 6, 281,143.17 Due to other national banks Due to State banks and bankers.. 1, 618, 465. 36 839,192.49 Notes and bills re-discounted Bills payable Total. 10, 563, 318.73 10,563,318.73 National Live Stock Bank, Chicago. L. B. DOUD, President. No. 3847. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from, other national banks Duo from State banks and bankersBank'g-house,furniture, andfixiures Other real estate aud mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks aud other cash items Exchanges for clearing-house Bills of other national "banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $1, 591, 729.88 11, 148,65 50, 000. 00 181,380.00 701, 804.61 171,049.40 1,171.77 ROSWELL Z. HERRICK, Cashier. Capital stock paid in. $750, 000. 00 Surplus fund Undivided profits. 100, 000.00 98, 208.48 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 19, 500. 00 116. 00 1, 257, 433.11 13,000.00 Individual deposits United States deposits Deposits of U. S.disbursing offi cers, 21, 022. 89 31, 292. 00 181.19 57,016.00 271, 000. 00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discountod. Bills payable 688, 256. 64 190, 532.10 2, 250. 00 3,104,046.39 Total. 3,104, 046. 39 Northwestern National Bank, Chicago. G. STURGES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie .. -• Legal-tender notes., TJ. S. certificates of ueposit Redemption fund with Treas. U. S Due from Treasurer U. S Total F. W. GOOKIN, Cashier. No. 508. $1,862,401.43 1, 220.08 200,000. 00 800, 000.00 340, 691.28 59, 199.06 522. 92 300,692. 83 9,125. 00 129.17 203, 645.30 636, 505.00 Capital stock paid i n . Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. Due to other national banks , Due to State banks and bankers.. Notes and bills re-discounted. Bills payable $200,000.00 50, 000.00 84, 224. 48 105, 820. 00 1, 908, 505. 95 760,999.15 19,690.59 802, 995. 92 490, 833.98 9, 000. 00 4,423,132.07 Total . 4,423,132. 07 REPORT OF THE COMPTROLLER OF THE CURRENCY. 741 ILLINOIS. Oakland National Bank of Hyde Park, Chicago. HORACE P. TAYLOR, President. No. 3916. JOHX J. KNIGHT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation : . . TJ. S. bonds to secure deposits U. S. bonds on hand j Stocks, securities, judgments, etc Due from approved reserve agents, j Due from other national banks. Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and niortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $124,045.04 Capital stock paid i n . 11.50 12, 500. 00 Surplus fund 3, 665.94 Undi vided profits 14, 566.17 $50,000.00 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid 1, 000.00 2. hi' Individual deposits Unitcd States deposits Deposits of U. S. disbursing officers. 96, 963.31 27.21 1, 095. 00 24. 57 3, 684. 75 3, 700. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 Total. 161, 879. 25 161,879.25 Park National Bank, Chicago. F. C. BELL, Assistant Cashier. No. 3502. C. P. PACKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 5682, 675. 77 22, 056. 81 50, 000. 00 Capital stock paid i n . $200, 000. 00 15, 000. 00 13,124. 79 National-bank notes outstanding. State-bank notes outstanding 50, 023.89 134.44 4, 923.34 805.12 6,411.23 12, 409. 39 2,151. 78 39, 209. 06 3, 922.00 65.14 11, 573. 00 95, 000.00 Surplus fund Undivided profits. 44,100. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 524, 661. 63 Due to other national banks Due to State banks and bankers .. 20,951.81 85, 772. 74 Notes and bills re-discounted . Bills payable , 80, 000.00 2, 250.00 Total. 983, 610. 97 983, 610.97 Prairie State National Bank, Chicago. J. W. SCOVILLE, President. Loans and discounts Overdrafts XJ. S. bonds to secure circulation . . . U.S.bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agensts. Due from other national banks. Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3882. $700, 222. 51 1, 995. 57 50, 000. 00 GEORGE VAN ZANDT, Cashier. Capital stock paid i n . Surplus fund Undivided profits 73, 665.00 National-bank notes outstanding.. State-bank notes outstanding 1G8, 239. 52 35, 992. 94 Dividends unpaid. 1, 850.00 Individual deposits United States deposits 2,812.50 I DepositsofU.S.disbursingofficers. 241.55 ! 39,929.50 ! Due to other national banks 5,861.00 I Due to State banks and bankers . . 209.66 187,254. 64 Notes and bills re-discounted . 101, 787.00 Bills payable $200, 000. 00 2, 000.00 6,546.96 1,121, 952. 25 6, 929. 33 35, 882. 85 2,250.00 1,000. 00 1,373,311. 39 Total. 1,373,311.39 742 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Union National Bank, Chicago. C. R. CUMMINGS, President. No. 3278. W. C. OAKLEY, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation.. IT. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total Liabilities. 16, 587, 774. 36 4, 717. 88 50, 000.00 3, 800. 00 940, 026. 76 1, 051. 645. 33 454, 015.40 10,000. 00 53,242. 31 335, 978.15 32, 000.00 3, 430. 79 1, 028, 700.00 835,000.00 $2, 000, 000. 00 Capital stock paid in 600, 000. 00 40, 590.03 Surplus fund . . . ' . Undivided profits National-bank notes outstanding- State-bank notes outstanding Dividends unpaid 20, 000.00 40, 368.00 , Ind ividual deposits United States deposits Deposits of U.S.disbursing officers. 3, 601, 216. 90 Due to other national banks Due to State banks and b a n k e r s . . 2, 769, 756. 99 2, 320, 649. 06 Notes and bills re-discounted . Bills payable 2, 250.00 11,392,580. Total.. 11, 392, 580. 98 United States National Bank, Chicago. ZIMKI DWIGGINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... 'Premiums c*i U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3677. JAMES ]M. STARBUCK, Cashier. $500, 000. 00 $589, 588. 85 || Capital stock paid in. 3,657.33 50,000.00 1 Surplus fund 1 Undivided profits . . . 4, 000.00 20, 598.71 National-bank notes outstanding. State-bank notes outstanding 61,777.60 ! 18, 335.'81 I 2, 944. 74 4,245.13 I 4,027.50 11,815.94 5, 059.44 12, 600. 00 138.95 3,741.50 | 2 J, 000. 00 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 59, 991. 59 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 12, 768.57 152, 823. 92 2,250.00 Total. 795,182. 79 795,182.79 De "Witt County National Bank, Clinton. JAMES T. SNELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationarbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1926. $125, 332. 32 7, 924. 53 12, 500. 00 53, 530.75 2, 545. 54 746.68 13, 584. 25 W M . METZGER, Cashier. Capital stock paid in . $50, 000. 00 Surplus fund Undivided profits 10,000.00 811. 94 National-bank notes outstanding State-bank notes outstanding. 11, 250. 00 Dividends unpaid Individual deposits "*'"248.i5* United States deposits 940.02 Deposits ofU. S.disbursing officers. 1,446.11 Due to other national banks 787. 00 Due to State banks and bankers. 7.10 4, 555. 00 Notes and bills re-discounted. 12, 500.00 BilLs payable 165,148. 01 562.50 237, 209.95 Total. 237, 209. 95 REPORT OF THE COMPTROLLER OF THE CURRENCY. 743 ILLINOIS. First National Bank, Danville. J O S E P H G-. ENGLISH, President. No. 113. C. L. ENGLISH, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie '. Legal-tender notes TJ. S. certificates of deposit . . Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $504,701. 74 8,927.10 37, 500. 00 $150, 000. 00 Capital stock paid in. 40, 000. 00 15, 404. 38 Surplus fund Undivided orotits 7, 308. 00 | National-bank notes outstanding.. 60, 088. 11 State-bank notes outstanding 6,1)59.81 3, 566. 28 | Dividends unpaid 23, 000. 00 11, 595.12 Individual deposits ' 2,105. 73 United States deposits 1, (539. 73 Deposits of U.S. disbursing officers. 4, 827.13 Due to other national banks j "il"58o.66' Due to State banks and bankers . . 38. 05 Notes and bills re-discounted 16, 939. 00 45, 000. 00 ! Bills payable'. 33, 750. 00 511,122. 03 2, 576. 89 87.50 752,913.30 752r 913. 30 Total Second National Bank, Danville. "WILLIAM P . CANNON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2584. $249, 655.16 1, 436. 53 25, 000. 00 600. 00 115, 210. 65 1, 878.09 15,218.93 1,317.46 3, 000. 00 6, 000. 00 1, 241. 63 6, 885. 00 341. 39 43, 512. 00 5, 500. 00 A. R. SAMUEL, Cashier. Capital stock paid in $100 000 •')<"• Surplus fund Undivided profits 25 000 00 ~3 895 85 National-bank notes outstanding.. State-bank notes outsfcaiulitiiT 22 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 317 479. 37 Due to other national banks Due to State banks and bankers . . 1, 743. 75 305. 87 Notes and bills re-discounted Bills payable 1,125. 00 Total 477, 924. 84 477, 924. 84 Decatur National Bank, Decatur. K. H . ROBY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit : Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2124. $375, 440. 50 7, 765.27 25, 000. 00 25,476. 42 2. 755. 26 4, 344. 47 4, 096. 40 86, 500. 00 112.50 B. O. MCRETXOLDS, Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Cashier. $100, 000. 00 100, 000.00 20, 545. 08 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 323, 718. 56 3, 750. 94 1,511.00 330.88 9, 555. 00 13, 000. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discouutedBills payable , 1,125. 00 566, 763. 64 Total. 566, 763. 64, 744 REPORT OF THE COMPTROLLER OF THE CURRENCY. I L LIJVOIS. De Kalb National Bank, De Kalb. No. 2702. H. D. WYMAN, President T. A. LUNBT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $118, 001.75 1, 838. 22 12, 500.00 5,300.00 35, 503.43 7, 873. 26 " ( j * 656." 65" 824. 84 454. 37 1,018. 50 99.00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 10, 000. 00 2,475. 79 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 134, 578.11 Due to other national banks ""I,"200. 65" Due to State banks and bankers . . 59.53 7, 568. 50 9, 500. 00 Notes and bills re-discounted . Bills payable 562.50 208, 303.90 Total . 208, 303. 90 Tazewell County National Bank, Delavan. MARTIN KINGMAN, President. Loans and discounts Overdrafts . . . . . No. 3781. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Uue from State banks and bankers. Bauk'g-house,furniture,andtixtuiC8 Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks ami other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $112, 726. 32 3, 090. 78 12, 500. 00 8, 368. 07 944.69 700. 51 10, 000.00 212 90 3, 437. 50 41.85 6, 243. 00 42.95 1,693.00 3 500 00 JAMES N. HALL, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits 1, 700. 00 452. 13 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 240. 30 Dividends unpaid 98,709.10 Individual deposits United States deposits Deposits of U. S. diebursiugofficers. 872 26 840. 28 Due to other national banks Due to State banks and bankers.. Bills payable 562. 50 Total 164, 064. 07 '.. 164, 064.07 City National Bank, Dixon. JOSEPH CRAWFORD, President. No. 3294. $189, 924.14 176. 64 25, 000. 00 Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits 19, 796. 00 Stocks, securities, judgments, etc .. Due from approved reserve agents. 32, 967. 49 2,107. 50 Due from other national banks . Due fromfcitatebanks and bankers. 1, 000. 00 Bank'g-house, furniture, and fixtures Other real estate and mortg's owned . . . . Current expenses and taxes paid-.. 1 908.80 1.125. 00 Premiums on U. S. bonds 74.09 Checks and other cash items Exchanges for clearing-house Bills of other national banks 2, 697.65 182.91 Fractional currency, nickels, cents. 13, 913. 90 Specie 8 000.00 Legal-tender notes U S certificates of deposit i, 125.00 Redemption fund with Treas. U. S. Due from Treasurer U. S 299, 998. 47 Total SAMUEL C. EELLS, Capital stock paid in Cashier. $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 2, 900. 00 3, 829. 85 22, 500. 00 ...... . 170, 768. 62 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable . . . . . . . . . .. Total 299, 998.47 REPORT OF THE COMPTROLLER OF THE CURRENCY. 745 ILLINOIS. Dixon National Bank, Dixon. JAMES A. HAWLEY, Cashier. No. 1881. JASON C. AYRES, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ- S. Due from Treasurer U. S Total. $189, 002.17 6,132. 86 25, 000.00 Liabilities. Capital stock paid in. Undivided profits 7, 800. 00 14, 744. 53 1,042.50 1, 500. 00 1, 450. 00 1, 478. 43 6, 500,00 510.40 2, 621. 00 118.56 15, 385. 00 5, 000.00 $100, 000. 00 17, 000.00 4,178. 40 Surplus fund National-bank notes outstanding. State-bank notes outstanding 22, 500.00 135.00 Dividends unpaid. Individual deposits 135, 097. 05 United States deposits T Deposits of L . S:disbursing officers Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1,125. 00 278, 910.45 Total. 278, 910.45 First National Bank, Earlville. No. 3323. WILLIAM R. HAIGHT, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $99, 000. 42 344. 50 12,500. ro 5, 000. 00 18, 209. 44 424. 73 1,197. 52 744. 34 2, 687. 50 225. 22 3, 635. 00 96.67 12,156.10 1, 000. 00 CHAS. HOBS, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. $50, 000.00 3, 000. 00 4, 579. 56 11, 250. 00 88, 954.38 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562. 50 157, 783. 94 Total . 157, 783. 94 First National Bank, Elgin. MORRIS C. TOWN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation,.. TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfi xturei Other real estate and raortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie ." Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 1365. $441, 249. 62 7,270.9$ 25, 000. 00 323. 00 124, 416. 36 76. 23 20, 662. 41 21, 599. 75 ""2," 748." 09* 15, 617. 31 6, 566. 88 7, 909. 00 704. 45 34, 924. 80 17,119. 00 A L F R E D BOSWORTH, Cashier. Capital stock paid i n . $100,000. 00 Surplus fund Undivided profits. . 20, 000. 00 63, bOO. 49 National-bank notes outstanding.. State-bank notes outstanding 22, 000. 00 Dividends unpaid Individual deposits United Statt-s deposits Deposits of U.S. disbursing officers. 521,512.30 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1,125. 00 727,312.88 Total . 727,312.88 746 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLIJVOIS. Home National Bank, Elgin. No. 2016. J . W. BANSTEAD, President. E. D. WALDBON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S Dne from Treasurer U. S Total. $315, 008. 79 1, 438. 33 50, 000. 00 4, 500. 00 127, 888. 25 15, 000. 00 Capital stock paid in . $100, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 20, 000. 00 15,281.06 45,000. 00 Dividends unpaid. 1, 900. 00 2,142.98 3, 000. 00 9, 935. 48 9,215.00 255. 00 28, 382.14 7, 800.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 399, 704. 91 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable 2,250. 00 1, 270. 00 Total . 579, 985. 97 579, 985. 97 National Bank, El Paso. No. 2997. A. S. MCKINNKY, President. Loans and discounts Overdrafts .• U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $106, 994. 39 12, 500. 00 Surplus fund Undivided profits 28, 21, 18, 3, 8, National-bank notes outstanding.. State-bank notes outstanding 600. 330. SOL 149. 050. 00 05 73 9H 00 381. 77 2, 500. 00 6.O0 613. 00 54. ^ 7,710.00 5, 500. 00 $50, 000. 00 6, 500. 00 5, 056. 97 Dividends unpaid 11,250.00 40.00 Individual deposits United States deposits Deposits of U.S. disbursing officers - 143, 907. 26 Due to other national banks Due to State banks and bankers Notes and bills re-discounted 562. 50 Total 216, 754. 23 Total FRANK B. STITT, Cashier. Capital stock paid in 216, 754. 23 First National Bank, Fairbury. ISAAC P . MCDOWELL, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IX. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents . Due from other national hanks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S*. Due from Treasurer U. S Total. No. 1987. $137, 670. 29 8,471.85 12, 500. 00 13,468.22 787. 30 "*i,"6oo[bo" "816. 50 2, 000. 00 15.24 3, 200. 00 5, U00. 00 1 1 T. S. O. MCDOWELL, Cashier. Capital stock paid in. $50, GOO. 00 Surplus fund Undivided profits . 10, 000. 00 9, 940. 82 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 101, 734.12 Due to other national banks Due to State banks and bankers . . 2, 566.96 Notes and bills re-discounted. Bills payable 562. 50 185,491.90 Total . 185,491. 90 REPORT OF THE COMPTROLLER OF TTTE CURRENCY. 747 First National Bank, Farmer City. No. 2156. R. 0. CRAWFORD, President. J. H. HAERISON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $101, 544. 05 j Capital stock paid in 2,'.190.05 12,500.00 Surplus fund Undivided profits National-bank notes o u t s t a n d i n g . . 1,515.88 .; State-ban k notes outstanding • 230. 95 | Dividends unpaid 15, 000.00 1, 841. 22 11, 250.00 I 601. f 3,3 25.00 |J Individual deposits I United States deposits ! Depositsof U.S.disbursingouicers.' 60, 818. 80 138.70 " Due to other national banks ' 4, 883. 00 , Due to State banks and bankers . 35. 00 80. 00 Notes and bills re-discounted 4, 000, 00 Bills pay able 562. 50 138, 910. 02 Total. $50, COO. 00 Total . 138, 910. 02 John Weedman National Bank, Farmer City. MATTHIAS CRUM, President. No. 3407. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furnit ure,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $J45,598.22 8, 070. 02 12, 500.00 C. M. C. WEEDMAN, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits 12, 500. 00 3, 454. 79 National-bank notes outstanding.. State-bank notes outstanding 11,250. 00 4,436.09 Dividends unpaid 4.846.00 I Individual deposits i, 022. 55 ! United States deposits 2,8."HU)0 i Deposits of U.S.disbursing officers. 107, 065. 87 3,515.53 : 820.66 1 1 3,530.66 i 3. OS) ! Duo to other national banks Duo to State banks and bankers... 1,910.00 Notes and bills re-discounted 4,000.00 I Bills payable 10, 000. 00 562. 50 Total 194,270.66 194, 270. 66 First National Bank, Flora. OSMAN PIXLKY, President. Loans and discounts Overdrafts 17. S. bonds to secure circulation . . . U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Excbanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 1961. $124,009.08 6:}. 09 50,000.00 6, 244. 86 51,107. 99 2, 033. 83 7,300. 66 5, 700. 00 901. 47 12, 700. 00 65.16 R. SMITH, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursin g offi cers. $50, 000. 00 21, 000. 00 2, 908. 58 44, 500. 00 125.00 157, 704.11 Due to other national banks 2, 693." 60" Due to State banks and bankers .. 111.56 4, 117.65 Notes and bil)s re-discounted . 7, 000. 00 Bills payable 2, 250. 00 276, 297. 69 Total . 276, 297. 69 748 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Freeport. No. 2875. O. B. BIDWELL, President A. H. BARSHINGEK, Cashier, Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and rnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $355,731.48 1, 575. 65 40, 000. 00 38, 539. 21 i,"3O(i."o6' Capital stock paid in $150, OOC.OO Surplus fund Undivided profits 16, 000. 00 21, 377. 03 National-bank notes outstanding.. State-bank notes outstanding 36, 000. 00 Dividends unpaid Individual deposits 2,199.07 ( United States deposits Deposits of U. S. disbursingoflicers. 1, 565.10 Due to other national banks 3,810.00 Due to State banks and bankers . . 45.75 24, 394. 00 Notes and bills re-discounted 2, 500. 00 Bills payable 250, 083. 23 ],800.00 j 473,460. 26 1 Total 473 460.26 Second National Bank, Freeport. No. 385. JACOB KROHN, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national "banks Fractional currency, nickeln, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $301,926.00 604.67 25, 000. 00 500. 00 41, 264. 67 1, 638. 60 525. 00 1, 000. 00 1, 877.00 "l," 356.'78 1, 800.00 226. 36 8, 283.00 6,000.00 $100,000.00 Surplus fund Undivided profits 60, 000. 00 12, 901. 53 National-bank notes outstanding.. State-bank notes outstanding 22, 500 00 Dividends unpaid . 190. 00 Individual deposits Uni ted States deposits Deposits of U. S. disbursing o mcors. 197, 535. 55 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125.00 393,127.08 Total. J. B. TAYLOR, Cashier. Capital stock paid in. Total. 393, 127. 08 Galena National Bank, Galena. JOHN ROSS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. o. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . E. C. RIP LEY, Cashier. No. 3279. $327,219.46 9,124.23 25, 000.00 ioo.'oo" 2, 548, 23 11,514.93 850.00 1,201.77 3, 027. 50 6, 747. 38 285. 00 45.70 36, 083. 90 3, 500. 00 Capital stock paid in $100, 000.00 Surplus fund Undivided profits 30, 000. 00 11,012.43 National-bank notes outstanding.. State-bank notes outstanding 22, 480. 00 Dividends unpaid Individual deposits United States deposits U nited totates deposits Deposits oi'U.S. disbursing officers. I Due to other national banks Due to State banks and bankers . . 340. 00 264, 342. 07 198. 60 Notes and bills re-discounted . Bills payable 1,125.00 428,373.10 Total. 428,373.10 REPORT OF THE COMPTROLLER OF THE CURRENCY. 749 Merchants' National Bank, Galena. W. H. SNYDER, Cashier. No. 979. THOMAS FOSTER, President. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer TJ. S $214,147. 29 3, 702. 34 31, 250. 00 Capital stock paid in $125, 000. 00 42, 000.00 3, 003.86 28,325.00 40.00 159, 964. 97 653. 43 1,406.25 I! Total. 358. 787.26 Total. r Surplus fund Undivided profits i 6, 000. 00 National-bank notes outstanding.. ' 3, 001.15 State-bank notes outstanding 16, 342. 34 1, 079. 49 Dividends unpaid. 5,100. 00 Indi vidnal deposits 1,821.74 United States deposits 7, 500. 00 Deposits of U.S.disbursingofficers. 934. 26 Due to other national hanks 8,199. 00 i Due to State banks and bankers . . 70.10 50, 667. 30 Notes and bills re-discounted. 6, 000. 00 Bills payable 358, 787. 26 First National Bank, Galesburgh. FRANCIS FULLER, President. Loan s and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Otherreal estate and mortg's owned C urrent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 241. $325, 395.11 1, 770. 02 37, 500. 00 58, 922. 08 45. 55 60. 42 12, 000. 00 9,216.41 3,311.45 2, 375. 00 2,146. 58 5, 063. 00 116.60 22, 773. 50 3, 500. 00 JOSEPH HOOVEU, Cashier. Capital stock paid in , Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. $150, 000. 00 30, 000. 00 15, 574. 48 33, 750.00 144.00 Individual deposits United States deposits Dej>osits of U. S. disb ursiiig officers. 256, 414. 74 Due to other national banks. Due to State banks and bankers . Notes and bills re-discounted Bills payable 1, 687. 50 Total . 485, 883. 22 485, 883.22 Second National Bank, Galesburgh. M. TV. GAT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. honds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S Due from Treasurer U. S Total . No. 491. $167, 495. 05 130. 38 25, 000. 00 300.00 1, 000. 0i) 31, 21-2. 71 8, 700. 00 J. Gr. VIVION, Cashier. Capital stock paid i n . $100, 000.00 Surplus fund Undivided profits 30, 000. 00 14, 5'21.46 National-bank notes outstanding.. State-bank notes outstanding 21, 900. 00 Dividends unpaid 14, ">00. 00 8, 917. 67 Individual deposits 2, 000. 95 i United States deposits 1, 340. 73 ; Deposits of U.S. disbursing officers. 600. 97 j Due to other national banks 2, 484. 00 ; Due to State banks and bankers .. 19,00 4, 862. 05 Notes and bills re-discounted. 9,000.00 Bills x>ayable 544. 00 106,058.34 5,071.91 525.00 '.18, OUo. 71 | Total., 278, 095. 71 750 JREPOKT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Galesburg National Bank, Galesburgh. J. TT. Losrcr, Cashier. No. 3138. P. F. BROWN, President Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from oiher national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures' Other real estate and mortg's owned Current expenses and taxes paid...! Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TT. S. Due from Treasurer U. S 767. 74 :ut>. 27 000. 00 Capital stock paid in. * '210.00 014. 90 054.42 Dividends unpaid 947. 04 000. 00 0L3. 78 602. 00 249.05 550. 00 10, 000.00 ; ! 18, 000. 00 5, 320. 25 22, 500. 00 100.00 2,500,00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 294, 054. 55 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable " 1,125.00 440, 580. 80 Total. $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding . . . . Total . 440, 5P0. 80 Farmers and Merchants' National Bank, Galva. Ah AH DEEM, President. No. 2793. Loans and discounts Overdrafts U. S. bonds to secure circulation... TT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TT. S . Due from Treasurer IT. S Total. O. P. STOI>DAKP, Cashier. $140, 045. 41 Capital stock i>aid in. 1, T.02. 83 15, 000. 00 Surplus fund Undivided profits 32, 389. 73 275. 00 8, 326. 94 """638.90 473. 07 325. 30 1,100. 00 45. 46 6,218.00 932. 00 $50, 000. 00 10,000.00 9, 081. 04 National-bank notes outstanding.. State-bank notes outstanding 13, 500. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S. disbursing officers. 125, 7G6. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discovinted . Bills payable 675. 00 208, 347. 70 Total . 208, 347. 70 First National Bank, Geneseo. JAMBS MCBROOM, President Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TT. S. certificates of deposit Redemption fund with Treas. TT. S . Due trom Treasurer TT. S Total. No. 534. HIRAM WILSON, Cashier. $225,911.81 j Capital stock paid in 2,351.09 I 25, 000. 00 ' Surplus fund Undivided profits 41,008.17 300.80 National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 50, 000. 00 26,189. 00 22, 500. 00 Dividends unpaid 3, 000. 00 Individual deposits "United States deposits DepositsofU.S. disbursing officers. 6,137. 00 184. 90 11,410.00 10, 000. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 62, 228.85 66, 529.17 1,125. 00 327, 447. 02 Total . 327, 447. 02 KEPOliT OF THE COMPTROLLER OF THE CURRENCY. 751 Farmers' National Bank, Geneseo. LEVI WATERMAN, President. No. 2$2. JNO. P. STEWART, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits. ! National-bank notes outstanding.35, 600. 90 State-bank notes outstanding 25, 000. 00 9, 710. 47 $210,931.53 1,109.87 15, 000. 00 13, 500. 00 Dividends unpaid 8, 000. 00 Individual deposits "i,"236."8ti' United States deposits Deposits of U.S. disbursing officers. 1, 023. 49 Due to other national banks. 2, 842. 00 Due to State banks and bankers. 191.50 10, G73. (JO Notes and bills re-discounted. 7, f>(JO. 00 Bills payable 197, 233.18 675. 00 295, 449. 65 Total . 295, 449. 65 G-riggsville National Bank, Griggsville. BENJAMIN NEWMAN, President. Loans and discounts Overdrafts U . S. bonds to secure c i r c u l a t i o n . . . U . S. bonds to secure deposits U . S. bonds on hand Stocks, securities, judgments, etc . . D u e frojn approved reserve a g e n t s . D u e from other national banks D u e from State b a n k s and b a n k e r s Bank'g-house, furniture, andfixtures Oilier real estate and mortg's owned C u r r e n t expenses and taxes p a i d . . . P r e m i u m s on U. S. bonus Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S. certificates of deposit Redemption fund with Treas. U. S . D u e from Treasurer U . S No. 2116. $145,115.47 4, 95H. 36 12, 500. 00 39, 42, 14, 5, 2, 419. 42 9.">9.13 035. 00 690. 53 500. 00 ISAAC A. H A T C H , Cashier. $50, 000. 00 Surplus fund Undivided profits . 10, 000. 00 33, 553. 70 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 10, 750. 00 Dividends u n p a i d . Individual deposits 747.24 ij United States deposits ! Depositsof U.S.disbursingofucers. 174, 385. 32 228. 00 Due to other national banks 820.00 Due to State banks and bankers . 40.17 7, 552. 20 Notes and bills re-discounted . 1, 455. 00 Bills payable 62. 50 278, 689. 02 Total. . Capital stock paid i u . Total., 278, 689.02 First National Bank, Harrisburgh. ROBEET MICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,.]udgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total No. 4003. $74, 953. 78 12, 500. 00 5, 303. 50 4, 672. 04 561. 97 1, 598. 01 925. 69 3,484.38 212. 50 50. 00 1. 24 4,051.50 2, 173. 00 T. W. HALL, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000, 00 3, 984.29 11, 250, 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 46,415.88 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable.... 502. 50 111,050.17 T>tal. 111, 600. 17 752 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Havana National Bank, Havana. No. 2242. FRANCIS LOW, President. N. C. "KINO, Cashier, Resources. Liabilities. Loans and discounts. Overdrafts U. S. bonds to secure circulation... T7. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and m o r t i s owned Current expenses and taxes paid... Premiums onU. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total., $110, 087. 71 1,983.29 12, 500. 00 17,680.41 42,121.09 4, 865. 50 Capital stock paid in. 50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 10, 331. 91 2, 991. 61 Dividends unpaid 8, S.")0.96 7, 250. 54 5.")7. 35 1, 279.30 7,121.44 2, 958. 00 221.60 10,892.80 6, 500. 00 11,250.00 150. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 167,911.89 1,797. 08 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted., Bills payable , 562. 50 Total. 244, 432. 49 244,432.49 First National Bank, Henry. "WILLIAM T. LAW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities,judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 1482. $143, 022.82 120. 00 15, 000. 00 15, 000. 00 23, 205. 50 3,149.34 5, 000.00 430. 40 $50, oooToo Surplus fund Undivided profits 25, 000. 00 2,364. 95 National-bank notes outstanding. State-bank notes outstanding 13, 500. 00 Dividends unpaid , Individual deposits United States deposits Deposits of U.S. disbursing officers 132. 948. 51 Due to other national banks 2, 516. 00 95.10 Due to State banks and bankers . 12, 897. 85 Notes and bills re-discounted. , 2, 000. 00 Bills payable 675. 00 223, 813. 46 Total. CFTAS. R. JONES, Cashier. Capital stock paid in. Total 223,813.46 Hillsboro' National Bank, Hillsborough. CHARLES A. RAMSEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. L. M. BECK, Cashier. No. 2789. $64, 972. 80 4, 572. 59 12, 500. 00 2,000.00 13, 427. 33 1, 733. 78 12, 634. 68 4, 678.13 Capital stock paid in . Surplus fund , Undivided profits. National-bank notes outstanding State bank notes outstanding.. .*. Dividends unpaid $50, 000. 00 8,100. 00 1, 305. 54 11,250.00 155. 00 Individual deposits United States deposit? Deposits of U. S.disbursing officers. 70, 404. 58 Due to other national banks 39.56 Due to State banks and bankers.. 9, 703. 91 Notes and bills re-discounted . 8, 626. 00 Bills payable 1, 250. 99 580.03 814.33 2, 480. 47 3,140. 00 562. 50 142, 466.11 Total . 142,466.11 REPORT OF THE COMPTROLLER OF THE CURRENCY. 753 ILL1N OIS. First National Bank, Hoopeston. JACOB S. MCFERREN, President. No. 2808. E. C. GRIFFITH, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg\s owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S; certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $143, 071. 39 4, 343. 86 12, 500. 00 5, 749. 49 4, 692. 02 $50,000.00 Surplus fund Undivided profits 30,000.00 3, 218. 01 National-bank notes outstanding . State-bank notes outstanding 11, 250. 00 Dividends unpaid 9,"io5.'o6* 1, 374.34 450.00 121.55 725. 00 1, 388.50 5, 000. 00 Individual deposits United States deposits Deposits of U. S.disbursin g oflieers - 91, 675. C4 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted 3, 000.00 562. 50 Total 189,143. 65 189,143. 65 First National Bank, Jacksonville. EDWARD SCOTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank1 g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid-. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes .*. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 511. Capital stock paid in. Surplus fund Undivided profits F . Gr. FARRELL, Cashier. $195, 953. 76 9, 329. 53 25, 000. 00 11, 036. 77 25,183.14 1,961.71 22, 696. 00 966. 01 6, 904. 00 23.03 2, 970. 00 10, 000. 00 $100, 000.00 50, 000,00 2,477.40 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. 138,171.55 Due to other national banks Due to State banks and b a n k e r s . Notes and bills re-discounted. Bills payable 1,125. 00 Total. 313, 148. 95 313,148. 95 Jacksonville National Bank, Jacksonville. OSCAR D. FITZSIMMONS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand; Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Ban k 'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for cleariag-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. Ex. 3-—48 No. 1719. $506, 664. 76 20, 039. 02 100, 000. 00 23, 925. 65 79, 256. 24 19,185.42 10, 349. J 6 19, 500.00 6, 800. 00 2, 242. 60 10, 000.00 3,103.95 4, 321. 00 93. 53 4, 507. 50 41, 000. 00 B. F . BEESLEY, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $200, 000. 00 65, 000.00 9, 880.12 90,000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing oflieers Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 483,409.62 7,199. 69 4, 500.00 855, 489. 43 Total. 855,489.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 755 ILLINOIS. First National Bank, Kankakee. H. C. CLARKE, Cashier. No. 1793. EMORY Conn, President. Liabilities. Resources. Loans and discounts Overdrafts I). S. bonds to secure circulation . . IT. S. bonds to secure deposits IT. IS. bonds on hand Stocks, securities,judgments, e t c . . Due ii'otn approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house.furniture,and fixtures Other real-estate and mortg's owned Current expenses and taxes paid . . Premiums on IT. S. bonds . . . Checks and oth^r cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $112, 434. 85 166. 93 12, 500. 00 100, 600. 00 72, 469.60 300. 00 45.63 754. 29 5,218.00 235. 05 30, 747. 60 20, 033. 00 Capital stock paid in 22, 000.00 4, 045.47 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid Indi vidual deposits .United States deposits Deposits of U. S.disbursing oificers. 271, 752. 29 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills* payable 562. 50 359, 047. 76 Total . $50, 000. 00 Surplus fund Undivided profits Total.. 359, 047. 76 First National Bank, Kansas. No. 2011. W. F. BOYEU, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from api>roved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds ("hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $103,388.24 4,153.19 50, 000. 00 9, 000. 00 14, 257. 08 5, 974.90 W. C. PINNELL, Cashier. Capital stock paid in . $50, 000.00 Surplus fund Undivided profits. 17, 000. 00 2, 764. 22 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid "2, 215.20 j 300.30 Individual deposits , United States deposits Deposits of U.S.disbursing officers 86, 817. 92 Due to other national banks Duo to State banks and bankers.. 351. 30 48.55 "2," 805." 66' 20. 38 6, 420. 00 1,100. 00 Notes and bills re-discounted. Bills payable 2, 250. 00 201, 933. 44 Total.. 201, 933.44 First National Bank, Kewanee. No. 1785. CHAKLES C. BLISH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Duo from other national banks Duo from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Leg.-il-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $226, 668. 2") 998. 94 25, 000. 00 36, 634.82 1, 1, 1. 4, 18.47 500. 00 366. 58 224. 95 500. 00 325.00 54.43 9, 837. 40 6, 850.00 C.E. MCCULLOUGH, Cashier. Capital stock paid in . $100, 000. 00 Surplus fund Undivided profits 35, 000. 00 15,810.10 National-bank notes outstanding.. State-bank notes outstanding 22, 498.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 30.00 142, 765. 74 Due to other national banks Due to Stato banks and bankers. Notes and bills re-discounted. Bills payable 1,125. 00 310,103. 84 Total. 316,103. 84 754 REPORT OF TJIE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Jerseyville. Xo. 2328. A. W. CROSS, President EDWARD CROSS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank g house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $101,863.91 2, 831. 06 12, 500. 00 28,154.33 12, 023. 27 7, 665. 62 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits , National-bank notes outstanding.. State-bank notes outstanding 15, 000. 00 7, 447. 26 11, 250. 00 Dividends unpaid. 8,257.24 j; Individual deposits . 1 '"'272*25' 1 United States deposits . ! Deposits of U.S.dis gofficers. 4, 859. 79 Due to other national banks 3, 000. 00 Duo to State banks and bankers . 25.00 4, 240. 23 Notes and bills re-discounted. 4,100. 00 Bills payable 106, 657. 94 562. 50 Total. 190, 355.20 190, 355. 20 First National Bank, Joliet. F . W. WOODRUFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie : Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 512. $371, 470.95 5, 346.81 80, 000. 00 TV. G. WILCOX, Cashier. $100, 000. 00 Capital stock paid in. Surplus fund Undivided profits. 8,"i5o."66" 141, 339.19 National-bank notes outstanding.. 78, 898. 90 State-bank notes outstanding 683.69 Dividends unpaid . 13, 990. 00 8,549.75 I Individual deposits 1.797.49 : United States deposits 2.377.50 ;; Deposits of U. S. disbursing officers. 4, 028. 25 Due to other national banks 20, 700. 00 Due to State banks and bankers . 249. 02 60, 282. 50 Notes and bills re-discounted. Bills payable 95, 000. 00 12,717.59 72, 000. 00 521, 528. 89 3,382.43 ', Total. 801, 246.48 801, 246. 48 Will County National Bank, Joliet. W. S. BROOKS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-bouse, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1882. $200, 696. 84 1, 887. 28 25, 000. 00 22, 300. 00 137,364. 24 1, 945. 57 C. H. TALCOTT, Cashier. Capital stock paid i n . $100, 000. 00 Surplus fund Undivided profits. 11, 000. 00 8, 723. 89 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid . " "6,546.96 13,800.00 |j 3,534.25 ;l 5,000.00 1 1 4,238.02 5, 000. 00 211. 85 33,123.00 5, 779. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 325,152.33 Duo to other national banks Due to State banks and bankers . . 175. 79 Notes and bills re-discounted . Bills payable 1,125. 00 467,552.01 Total. 467, 552. 01 756 REPORT OF THE COMPTROLLER OP THE CURRENCY. ILLINOIS. Union National Bank, Kewanee. No. 2501. THOMAS P. PIERCE, President. H. L. KKLLOGG, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc.. Due from approved reserve agents Duo from other national banks Due from State banks and bankers Bank'g-house. furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid. -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills ot'other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. Liabilities. $152,000.27 1,822.57 30, 000. 00 $75, 000. 00 Capital stock paid in Surplus fund Undivided profits 22, 000. 00 4, 070. 37 14,000.00 I National-bank notes outstanding-. 42,196. 75 | State-bank notes outstanding . . . 25.00 ! 34. 89 j Dividends unpaid 2,000.00 i Individual deposits 978." ii" United States deposits 6,000.00 i Deposits of U. S. disbursing officers. 1,464.50 i Due to other national banks 901.00 Due to State banks and bankers . 99.45 7, 754. 50 Notes and bills re-discounted 5, 000. 00 Bills payable 27, 000. 00 3,224.00 135, 732.70 1,350.00 205, 627. 07 Total. 265, 627. 07 First National Bank, Kirk wood. No. 2313. HENRY TUBBS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks^nd bankers. Bank'g-house,furnituie,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of'ot her national banks Fractional currency, nickels, cents Specie Legal-tender notes ^ U. S. certificates of deposit Redemptionfiundwith Treas. U. S. Due from Treasurer U. S $197,625.53 1, 467. 45 12, 500.00 Surplus fund Undivided profits National-bank notes outstanding.. 21. 906.45 State-bank notes outstanding 4, 353. 35 Dividends unpaid 5, 000. 00 Individual deposits 907.43 United States deposits 2, 687. 50 Deposits of U.S. disbursing officers. 172.60 Due to other national banks 170.00 Due to State banks and bankers . . 54. 97 13,168. 50 Notes and bills re-discounted. 2, 500.00 Bills payable $50, 000. 00 50, 000. 00 25,100. 03 11, 250. 00 230. 00 121,142. 26 1, 612. 79 3, 681. 20 562.50 263, 076.28 Total. \V. 0. TUBBS, Cashier. Capital stock paid in. Total. 263, 076. 28 Farmers' National Bank, Knoxville. F. Gr. SANBURN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other roal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . No. 3287. J. Z. CARNS, Cashier. $60, 000. 00 Capital stock paid in Surplus fund 4,500.00 4, 488. 50 Undivided profits National-bank notes outstanding-. 13, 500. 00 38, 757. 85 State-bank notes outstanding $185, 773. 48 3.63 15,000. 00 7, 429. 86 564.07 6,400.00 875.75 500. 00 150.12 2, 220. 00 2G1.61 23, 000.00 1, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 200, 622.87 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payablo 675.00 283,111.37 Total. 283, 111. 37 REPORT OP THE COMPTROLLER OF THE CURRENCY. 757 ILLINOIS. First National Bank, Lacon. No. 347. J. S. THOMPSON, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Dae from other national banks . . . Due from State banks and bankers. Bank'g-house,furniture, and fixture? Other real estate and mortg's ONyned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $94, 633.16 247.27 15,000. 00 40, 750. 00 12, 565.11 2, 274.92 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 12, 000.00 5,102.78 13, 500. 00 Dividends unpaid . 5, 000.00 6,164. 86 851.89 310.24 3,725.00 42.86 8, 900.50 2, 000. 00 Individual deposits United States deposits Deposi ts of U. S. disbursing officers 112, 538. 03 Duo to other national banks Duo to State banks and bankers . Notes and bills re-discounted . Bills payable 675.00 Total. 193,140.81 Total. W. H. FORD, Cashier. Liabilities. 193,140. 81 First National Bank, Lanark. CHARLES W. FRANCK, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture, and fixtures Oth or real estato and mortg's o wned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash Horns Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 1755. $84, 420. 78 70.29 20, 000. 00 500. 00 45, 301, 55 W. L. FRANCK, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits 10, 000. 00 6, 902. 90 National-bank notes outstanding State-bank notes outstanding . . . 18,000.00 Di vidonds unpaid 9,000.01) 476.02 275. 00 673.90 550. 00 82. 28 6,154.75 7, 000. 00 Individual deposits United States deposits Depositsof U.S.disbursing oificers. 90, 441.67 Duo t« other national banks Duo to State banks and bankers . Notes and bills re-discounted . Bills payable 900.00 175, 404. 57 Total. 175, 404.57 La Salle National Bank, La Salle. M. A. MCKEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-houso, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bondvS Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. W. B. HUMMER, Cashier. No. 2503. $100, 000. 00 Capital stock paid in. $273, 590. 87 4,447.12 25, 000.0£ 4, 000. 00 48, 719.12 10, 408. 20 " '97873*55' 1, 505.21 5,125.00 23. 71 313. 00 118.19 5, 351. 00 12, 478.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 20, 000. 00 17,102. 98 22, 500. 00 25.00 242, 449. 99 Duo to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1,125. 00 402, 077.97 Total. 402,077.97 758 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Lexington. No. 2824. S. R. CLAGOETT, President. B. J. CLAGGETT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Dae from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $169, 626. 33 6, 299.61 30,000.00 234.08 ""96." 60 461.68 2, 500.00 846.42 2, 000.00 15.25 2, 267.00 $50, 000. 00 Capital stock paid in. Surplus fund Undivided profits .... National-bank notes outstanding. State-bank notes outstanding 50, 000. 00 6, 409. 91 27, 000. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing ofi&cers. 47, 347. 59 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 9.47 34, 000.00 1,350.00 215, 696.97 Total. 215, 696.97 First National Bank, Lincoln. F. FRORER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture,andfixtures Other real cstatetaJid mortg's owned C urrent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specio . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. D ue from Treasurer U. S Total. No. 2126. $315, 063.14 Capital stock paid in. 3, 078.05 25,000.00 Surplus fund 100, 000.00 20,000.00 29, 661.43 6,302.29 4,157. 72 2, 000.00 500.00 614.18 18, 000.00 946.71 " 5,"800.00 6.76 19,142.20 20, 000.00 FBANK IIOULIT, Cashier. $100,000.00 10, 000. 00 1,135. 82 Undivided profits National-bank notes outstanding 16, 330.00 State-bank notes outstanding . . . Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 335, 391. 60 105, 000. 00 3,181.56 816.50 571,088.98 Total. 571,088.98 German American National Bank, Lincoln. ADOLPH RIMERMAN, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... II. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agentsDuo from other national banks Duo from State banks and bankers Ban k'g-houso, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. No. 3613. L. C. SCHWERDTFEGEU, Cashier. $142, 357.95 Capital stock paid in $50, 000. 00 564.67 12,500.00 Surplus fund 2, 250. 00 Undivided profits 2 539.16 13, 395.49 102. 20 *13," 592.66' 1, 849. 25 3, 000.00 414.45 1, 130. 00 6.'J. 98 3,170.00 8, 000. 00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 11, 250.00 • Individual deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. 134, 0G7. 08 513.23 83. 02 Notes and bills re-discounted Bills payable 5C2.50 200, 702.49 Total 200 702. 49 REPORT OF THE COMPTROLLER OF THE CURRENCY. 759 ILLINOIS. Lincoln National Bank, Lincoln. No. 3369. STEPHEN A. FOLEY, President. F. C. ORTON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers. Bank'g-house, furniture, andfixturea Other real estate and mortg's owned, Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Dae from Treasurer U. S Total. Liabilities. $292, 527.11 1,880. 84 15,000.00 34, 884.84 4, 827. 66 14,746."24 | 1, 855. 93 600. 00 24.96 1, 640. 00 90.96 9,173. 50 10, 500. 00 Cai>ital stock paid i n . $60,000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 14, 000. 00 6, 540. 62 13, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 293, 058.21 Due to other national banks Due to State banks and bankers.. 1,322.21 Notes and bills re-discounted. Bills payable 675.00 Total. 388,421.04 388, 421. 04 First National Bank, Litchfield. R. J. WHITNEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Duo from other national banks Duo from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. ELI MILLER, Cashier. No. 3962. $50, 000.00 Capital stock paid in. 269.44 Surplus fund 5, 699. 45 Undivided profits. 1,400.00 National-bank notes outstanding.. 11,250.00 71, 394.96 State-bank notes outstanding $144,350. 71 763.41 12, 500. 00 4, 539. 29 2,179. 21 15, 583.64 910.07 1, 085. 93 2, 541.58 7, 471. 00 24.53 9,215. 50 4, 980.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 212, 283. 44 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable , 562.50 279,502.33 Total 279, 502. 33 Union National Bank, Macomb. W M . S. BAILEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estato and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie m Legal-tender notes '. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1872. $259, 336.76 2,127. 31 50,000.00 62, 777. 51 45, 237. 72 2, 785.84 56.00 1, 258. 00 3,095.90 "47746*42" 62.00 476.62 30, 867. 00 13, 000. 00 ALBERT EADS, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 50, 000.00 17, 332. 84 45, 000. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S. disbursing offic ers. 315,744,24 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 2, 250. 00 478, 077. 08 Total. 478, 077. 08 760 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Marengo. RICHARD M. PATRICK, President. No. 1870. N. V. WOLEBES, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulaT.o: ... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agonts. Due from other national banks Due from State banks and bankers. Bank'g- house.furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationaibanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TT. S. Due from Treasurer TJ. S Total. Liabilities. $159, 537.41 1, 837. 30 12, 500. 00 39. 630. 0) 8, 721.19 1,408.44 "36O."io" 125.00 691.00 42.94 10,025.00 3,200.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers $50, 000. 0C 21,000.00 3, 092. 27 11,250.00 153,298.91 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562.50 238, 641.18 Total. 238, 641.18 First National Bank, Marseilles. W. A. MOREY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . F. T. NEFF, Cashier. No. 1852. $')0, 000.00 Capital stock paid in. 7, 575. 00 Surplus fund 2, 596. 71 Undivided profits National-bank notes outstanding.. 11,250.00 10,715.66 State-bank notes outstanding $91,410.27 7.2612,500.00 4,991.00 3,110.00 875.12 3, 312. 51 65.11 2, 500.00 87.12 7, 682. 00 6, 836. 00 Dividends unpaid Individual deposits United States deposits Depositsof U. S. disbursingofiicers 272.00 72, 9(50. 84 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 562. 50 144,654.55 Total. 144, 65t. 55 First National Bank, Mason City. A. A. BLUNT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house.furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. OTHO S. KING, Cashier. No. 1850$50, 000. 00 Capital stock paid in . 9, 500. 00 Surplus fund 81)4. 50 Undivided profits. National-bank notes outstanding. 11, 245. 00 26, 6?4. 43 State-bank notes outstanding $87, 834.47 6,303.15 12,500.00 4, 776. 68 490. 93 7, 925. 80 8, 590.80 250. 70 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers 270.00 128, 589. 23 2,250.00 785. 00 3.77 14,465. 00 3,000.00 D u e to other national b a n k s Due to State banks ;md b a n k e r s . . 514. 81 !, 003. 55 Notes and bills re-discounted. Bills payable 562. 50 203,020.09 Total. 203, 020. 09 REPORT OP THE COMPTROLLER OF THE CURRENCY. 761 ILLINOIS. First National Bank, Mattoon. WILLIAM B. DUNLAP, President. P. F. MCNAIR, Cashier. No. 1024. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits . . U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-houso, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $282, 899. 53 1, 919. 55 12,500.00 30,100.00 63, 308.49 7,859.48 254. 53 11, 520. 00 1,104.90 'i,'374.'75 8, 970.00 97.13 17,462. 55 6, 950. 00 Capital stock paid in. $50,000. 00 Surplus fund Undivided profits . 15,000. 00 58,694.16 National-bank notes outstanding. State-bank notes outstanding 11,250.00 Dividends unpaid. 440. 00 Individual deposits United States deposits Deposits of U. S. disbursing oflicers Due to other national banks Due to State banks and bankers .. 304, 824.10 4,272.06 2,403.09 Notes and bills re-discounted. Bills payable 562. 50 446,883.41 Total. 446, 883. 41 Mattoon National Bank, Mattoon. C. E. WILSON, President. THOS. W. GAW, Cashier. No. 2147. Loans and discounts Overdrafts U. S. bonds to secure circulation,.. U. S. bonds to secure deposits U. S. bondson hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationafbanks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due fromTreasurer U. S $172, 081.08 1, 934.74 15, 000.00 200.00 24, 894. 73 9,115. 71 298. 75 10, 700. 00 9, 220. 00 1, 380.71 780. 00 3,962. 72 6,900. 00 150.20 11, 450. 00 7, 000.00 Capital stock paid in. 12, 000. 00 13, 907. 20 National-bank notes outstanding-. State-bank notes outstanding 13, 500.00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. 170, 523.27 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 1,831.30 3, 981. 87 675.00 275, 743. 64 Total. $60, 000. 00 Surplus fund Undivided profits Total. 275, 743.64 First National Bank, Mendota. EDWIN A. BOWEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other nationaL banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1177. $227, 345. 78 388. 53 25,000. 00 14, 000. 00 36, 780. 46 3, 584.34 204. 89 11, 581.00 1, 414.93 500. 00 7,194. 00 295. 00 12, 977.29 14, 363. 00 FULTON GIFFORD, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits . 24,500:00 4, 264. 34 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 205, 489. 88 Due to other national banks Due to State banks and baukers .. Notes and bills re-discounted. Bills payable 1,125. 00 356, 754. 22 Total. 356,754.22 762 REPORT OF TFIE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Metropolis. ROBERT W. MCCARTNEY, President. W. H. ARMSTRONG, Cashier. No. 3156. Resources. Liabilities. Loaus and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on h a n d | Stocks, securities, judgments, etc . . Due from approved reserve agents. Duo from other national banks Duo from State banks and bankers 1 i.i nk' g- house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specio Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ. S Total. $115,725.17 Capital stock paid in $50, 000.00 12, 500.00 Surplus fund Undivided profits 12, 000. 00 3,125. 98 17,190.00 5,953.37 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 3,125.24 1, 917.20 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursiugoffhiers. 644." 25 253. 64 93,839. 54 Due to other national banks.. Due to State banks and bankers.. 55.00 2.23 3,334.75 9, 215. 00 262.83 Notes and bills re-discounted Bills payable 562.50 Total 170,478.35 170, 478.35 First National Bank, Moline. JOHN M. GOULD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit lledemption fund with Treas. U . S . Due from Treasurer U. S Total. No. 160. $472,294.60 ! | Capital stock paid in 3,043.49 ! 37,500.00 j Surplus fund Undivided profits J". S. GILLMORK, Cashier. $150, 000. 00 ! i 5,000.00 j; National-bank notes outstanding.. 56,160.61 State-bank notes outstanding 2, 754.82 177.10 Dividends unpaid. 2, 300.00 Individual deposits 1, 779. 52 United States deposits 3,100. 00 Depositsof U.S.disbursing officers 6, 597. 33 Due to other national banks 635. 00 Due to State banks and bankers.. 256. 92 16,753.05 Notes and bills re-discounted . 24, 705. 00 Bills payable 30, 000. 00 10, 594.30 33, 040. 00 2, 789.00 406, 953. 30 1, 368.34 1, 687. 50 Total . 634, 744.94 634, 744. 94 Moline National Bank, Moline. STILLMAN "W. WHEELOCK, President Loans and discounts Overdrafts U: S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Duo from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. "I C. P. HEMENWAY, Cashier. No. 1941. $160,033.63 1,612.34 25, 000. 00 Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 19, 703.46 4, 788. 91 $100,000.00 21,000.00 3, 525. 95 22, 500. 00 Dividends unpaid . 15, 000. 00 Individual deposits United States deposits Depositsof U.S.disbursing officers 3, 549.11 8, 985. 00 77.29 6,421.98 18, 275. 00 105,116.79 Due to other national banks Due to State banks and bankers.. *"*536." 25 2, 774. 32 184. 91 Notes and bills re-discounted Bills payable 10, 000.00 1,125. 00 265,101.97 ; Total . 265,101. 97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 763 ILLINOIS. Second National Bank, Monmouth. CHANCY HARDIN, President. No. 2205. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. FBKD. E. HARDING, Cashier. Liabilities. $315, 806.47 5,455.26 20, 000. 00 1, 050.00 76, 098.46 13, 758. 37 4, 672.77 21, 000.00 1, 916.31 1, 400.00 6, 069.11 4, 253. 00 63.00 33, 052.35 2, 000. 00 Capital stock paid in . Surplus fund , Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits DepositsofU.S.disbursing officers $75, 000. 00 20, 000. 00 86, 106.14 18, 000. 00 1,070.00 307, 2G8. 96 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 900. 00 507,495.10 Total. 507, 495.10 Monmouth National Bank, Monmouth. H E N R Y TUBBS, President. No. 1706. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S Total . $329, 843.62 2, 073.22 25, 000.00 50, 430.31 3, 218.10 1, 228.70 28, 873. 63 5, 783. 34 1, 589.10 1, 500. 00 1, 950.73 1, 502. 00 118. 70 34, 719.40 1, 721. 00 W M . B. YOUNG, Cashier. Capital stock paid in. Surplus fund Undivided profits.. National-bank notes outstanding State-bank notes outstanding ... Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $100, 000. 00 37, 000. 00 82, 93 4. 88 22,500.00 100.00 247,291.55 850.42 1,125.00 490, 676.85 Total.. 490, 676. 85 First National Bank, Morris. JOHN CUNNEA, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Gr. A. CUNNEA, Cashier. No. 1773. $50,000.00 Capital stock paid in. 50, 000. 00 Surplus fund 14,125.00 Undivided profits National-bank notes outstanding.. 11, 250.00 576. 63 State-bank notes outstanding $157, 798. 21 2, 859. 08 12, 500. 00 74, 3, 582. 40 4, 500. 00 200. 00 610. 00 9, 805.00 4(5. 53 17,380. 00 3, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 162,0J5.35 Due to other national brinks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 287, 420. 35 Total. 287,420.35 764 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Grundy County National Bank, Morris. CHARLES H. GOOLD, President. No. 531. J. C. CATIR, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total- Liabilities. $218, 906. 09 1,305.03 50,000.00 11, 450. 00 89, 952. 53 1,339.01 472. 27 1, 256. 05 Capital stock paid in. $75, 000. 00 Surpluis fund Undivided profits 25, 000. 00 6, 105. 90 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits DepositsofU.S. disbursing officers 254, 320. 50 12.00 4,058. 00 13.42 22, 378. 00 1,000.00 Due to other nai ional banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250. 00 1, 040. 00 405, 432.40 Total. 405, 432.40 First National Bank, Morrison. No. 1033. LEANDER SMITH, President $228, 368. 92 Loans and discounts Overdrafts U. S. bonds to secure circulation... """25," 666.'66' U. S. bonds to secure deposits U. S. bonds on hand 14,011.93 Stocks, securities, judgments, etc .. 41, 277. 04 Due from approved reserve agents. 2, 700. 00 Due from other national banks Due from State banks and bankers. 8,400. 00 Bank'g-house,furniture,andfixtures Other real estate andmortg's owned 987.12 Current expenses and taxes paid... Premiums on U. S. bonds 433.57 Checks and other cash items Exchanges for clearing-house 5,102. 00 Bills of other national banks....... 548. 24 Fractional currency, nickels, cents . 3, 433.00 Specie 32, 265. 00 Legal-tender notes U. S. certificates of deposit 1,125. 00 Redemption fund with Treas. TJ. S. Due from Treasurer U. S 363, 651.82 Total. A.. J . JACKSON, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits 40. 000. 00 10, 833. 20 National-bank notes outstanding.State-bank notes outstanding 22, 500. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. 303, Col. 82 First National Bank, Mount Carroll. DUNCAN MACK AY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 0 . P . MILKS, Cashier. No. 409. $100,000.00 ! Capital stock paid in. Surplus fund 40, 000. 00 7, 873. 35 Undivided profits . 21, 400. 00 National-bank notes outstanding.. 63, 000.00 $165,914.25 822. 35 70, 000. 00 25, 949. 7 L 11, 525. 53 "7,666.66 1,304 75 2, 955. 00 61.08 14,008.15 7, 810. 00 State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursiiigofuoers. 121,027.47 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 3, 150. 00 331, 900. 82 Total. 331, 900. 82 REPORT OF THE COMPTROLLER OF THE CURRENCY. 765 ILLINOIS. First National Bank, Mount Pulaski. JOHN LINCOLN, President. No. 3839. C. W. LINCOLN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand I Stocks, securities, judgments, etc . . ! Due from approved reserve agents j Due from other national banks j Due f i om State banks and bankers I Bank'g-house,furniture,andnxtures| Other real estate and mortg's owned: Current expenses and taxes paid.. p p Premiums on U. S. bonds Cheeks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tendei'notes IT. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $110, 702. 58 1, 350. 58 12, 500. 00 11, 050. 73 5, 755. 04 Capital stock paid in. 4, 000. 00 2, 755. 20 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid 4, 070. 00 613. 29 3, 312. 50 293. 83 """moo" 89.39 9, 365.50 3, 500. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 95, 769. 64 Due to other national banks Due to State banks and bankers . . 273.10 Notes and bills re-discounted . Bills payable 562. 50 164, 047. 94 Total. $50, 000. 00 Surplus fund Undivided profits 164, 047. 94 Total. First National Bank, Mount Sterling. ELIAS F. CRANE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bai i k"g- house, furniture, and fixtures ()t her real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. F . D. CIIANE, Cashier. No. 2402. $118, 894. 72 7, 652. 40 12,500.00 49, 036.48 24, 273. 33 3, 559. 09 3,375. 73 984.05 5D6. 00 424. 69 9, 941.00 5, 500. 00 $50,000.00 Capital stock paid in. Surplus fund Undivided profits , 10,000. 00 16, 0V8. 34 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 149,421.65 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable """502." 50* 237, 299. 99 Total. 237, 299. 99 First National Bank, Murphysborough. W. K. MURPHY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due froKi approved reserve agents Due from other national banks Due from States banks and baukers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds C hecks and other cash items E xchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. D ue from Treasurer U. S Total. No. 4019. $48,951.44 "12," 500." 66" 7, 437.23 34, 089.17 5, 000. 00 2, 750. 00 4, 030.19 3, 695. 31 503. 34 510. 00 130.15 4, 906. 25 1, 335.00 WILLABD WALL, Cashier. Capital stock paid i n . Surplus fund.. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 3, 809. 68 10,250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 62, 340.95 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562.50 126, 400. 63 Total. 126,400.63 766 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Nokomis National Bank, Nokomis. HORACE F . EOOD, President. N o . 1934. A. J . WILLIFORD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items, Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total., $65, 608. 54 640.88 50, 000. 00 300.00 44, 689.02 13, 800.77 1,936.00 3, 500. 00 822.27 899.61 3, 500.00 99.60 6, 800. 00 3, 281. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits. 10, 000. 00 2,161. 84 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 90, 965. 85 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2,250.00 198,127.69 Total . 198,127. 69 Oakland National Bank, Oakland. LAFAYETTE S. CASH, President. No. 2212. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,,judgments, etc.. Due from approved reserve agents. Due from othor national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate aud mortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $105,470. 25 221.42 13, 250. 00 6,419. 37 17, 914. 61 3, 904. 09 5, 503. 61 133.85 6, 895. 00 81.69 6, 500. 00 6, 500.00 JOHN RUTHERFORD, Cashier. Capital stock paid in. $53, 000. 00 Surplus fund Undivided profits. 30, 000.00 1,971.00 National-bank notes outstanding.. State-bank notes outstanding 11, 925. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 76,494.14 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 596.25 173,390.14 Total. 173, 390.14 First National Bank, Olney. ADEN KNOPH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . R. N. STOTLER, Cashier. No. 1641. $145,979.61 Capital stock paid in . $50, 000. 00 6, 904. 03 50, 000. 00 Surplus fund 26, 861. 4S 3, 020. 33 Undivided profits. 2, 961.07 National-bank notes outstanding.. 41,315. 38 State-bank notes outstanding 4, 692. 20 Dividends unpaid "15,'382.'90 3,193.35 Individual deposits 1, 031. 04 United States deposits Deposits of U.S.disbursing officers. | 45, 000. 00 1,184. 00 156, 905. 57 ! Due to other national banks 4, 026. 00 1 Due to State banks and bankers. 246.19 2,195.15 Notes and bills re-discounted . 4, 614. 00 Bills payable 430.46 ! 282,971.38 Total . 282, 971. 38 REPORT OF THE COMPTROLLER OF THE CURRENCY. 767 ILLINOIS. First National Bank, Oregon. No. 1969. DANIEL ETNYRE, President CHARLES SCHNEIDER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house.furniture, andtixtures Other real estate andrnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items ,.. Exchanges for clearing-house Bills of other national Tbanks Fractional currency, nickels, cents. Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U.S..Total. $86, 096.31 812. 23 40, 000. 00 $50, 000. 00 Capital stock paid in. 10,000.00 2,111.64 Surplus fund Undivided profits National-banknotes outstanding.. 36, 000.00 State-bank notes outstanding 23, 449. 47 492. 46 8.00 Dividends unpaid 13 004.00 7, 200. 00 600.23 173. 00 265.22 i Individual deposits i United States deposits j. DepositsofU.S.disbursing officers-!. 10G, 465. 88 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 16, 553.00 50.35 4, 089. 25 10, 000. 00 1,800.00 204, 585. 52 Total. 204, 585. 52 First National Bank, Ottawa. HUGH M. HAMILTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total., No. 1154. Capital stock paid in $249, 339.07 2,174. 31 25, 000. 00 """io," 666." 66' 32, 000.00 78, 644. 91 J. F . NASH. Cashier. $100, 000. 00 Surplus fund Undivided profits 60, 000. 00 34, 618. 35 National-banknotes outstanding.. State-bank notes outstanding 22, 500.00 150. 00 Dividends unpaid. 10, 000. 00 9, 350. 00 1,927.61 Individual deposits United States deposits Deposits of U.S.disbursing oflicerd ""5,"83L56' 257, 557. 93 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 8, 587. 00 268.82 32, 609. 00 7, 969. 00 1,125.00 474, 826. 28 474, 826. 28 Total. National City Bank, Ottawa. EDWIN C. ALLEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g house, furniture,andfixturesj Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1465. E. C. ALLEN, Jit., Cashier. $415,192.48 Capital stock paid in. 2, 290. 35 25, 000.00 [ Surplus fund I Undivided profits 5, 325. 00 [ National-bank notes outstanding.. 166, 000. 05 State-bank notes outstanding $100, 000. 00 32, 000. 00 81,248.06 22, 500. 00 13, 841. 22 -ii Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursing officers. j 8," 666." 66 2, 400. 00 2, 038. 86 2, 911. 42 25, 849. 00 617.32 30, 742. 00 6, 400.00 474, 897. 64 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125.00 2, 913. 00 710, 645. 70 Total. 710,645.70 768 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Pana. W. L. COHENOUR, President. N o . 4038. A . P . WEvST, Resources. Cashier. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Trcas. TJ. S. Due from Treasurer U. S Total. $33, 792. 73 418.91 12, 500. 00 7, 622. 28 3, 570. 54 4J8. 20 1, 9IJ9.89 1, 085. 05 3,718. 75 2,105. 00 80. 17 6, 317.15 5,000.00 Capital stock paid in. $45,000.00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 388. 80 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 20, 633. 67 Due to other national banks Due to State banks and bankers .. 1, 874.70 Notes and bills re-discounted . Bills payable 562. 50 Total. 79,147.17 79,147.17 First National Bank, Paris. No. 3376. A S A J . BABER, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and n xtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $519, 813. 83 6,781.23 27, 000.00 1,933.55 42, 734.08 84, 852.87 9, 727.80 8, 400.00 995.25 5, 383.13 1, 432.46 9, 859. 00 510, 28 24, 882.00 30, 000.00 W M . SIEBERT, Cashier. Capital stock paid in. $108, 000. 00 Surplus fund Undivided profits... National-bank notes outstanding. State-bank notes outstanding 54, 000. 00 18, 547. 67 24, 300. 00 Dividends unpaid. Individual deposits United States deposits DepositsofU.S. disbursingofficers. 561, 304. 59 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 9, 258. 72 55.50 1, 215. 00 Total. 775, 526.48 775, 526. 48 Edgar County National Bank, Paris. J . E. PABRISH, President Loans and discounts O verdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits "U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2100. $289, 456. 20 3,108.19 25, 000. 00 20. 796.50 77, 136. 80 13, 095.49 2,. H. KILE, Cashier. Capital stock paid in. $100, 000.00 Surplus fund Undivided profits 60, 000.00 6, 820. 77 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. 9, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 2,279.02 2,198.00 178.05 13.328.05 10,000. 00 Due to other national banks Due to State banks and bankers . 277,762.73 1,115.15 Notes and bills re-discounted . Bills payable 1,125.00 408,11)8. 65 Total.. 468,198. 65 REPORT OF THE COMPTROLLER OF THE CURRENCY. 769 ILL1NOIS. First National Bank, Paxton. No. 2926. S. P. BUSHNELL, President J . B. SHAW, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $117,997.94 5, 739.03 12, 500.00 6, 680. 34 Capital stock paid i n . $50, 000.00 Surplus fund Undivided profits 10, 000; 00 2, 051. 37 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid. 8, 000. 00 1,274.50 2, 500.00 207. 23 1,200.00 47.08 3,836.30 4, 500.00 Individual deposits United States deposits Deposits of U.S. disbursingofficers. 91,143. 55 Due to other national banks Duo to State banks and bankers . Notes and bills re-discounted . Bills payable f>62. 50 Total . 165, 044.92 165, 044.92 Farmers' National Bank, Pekin. No. 2287. F. E. RUPERT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from otner national banks Due from State banks and bankers. Bank'g-house,fumiture,andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items... — Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $190, 960.69 1,290. 50 25, 000. 00 33,700. 00 32, 797. 59 15,442.86 5,635.55 1, 425, 39 4, 500.00 5,255.37 6,238. 00 8.86 9, 344. 91 6, 500. 00 C. H. TURNER, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits. 25, 000. 00 11,117.62 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits . . . • United States deposits Depositsof U. S. disbursing officers. 180, 607.10 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125.00 Total . 339, 224. 72 339.224. 72 German American National Bank, Pekin. E. W. WILSON, President No. 3770. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits . . U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notea U. 3. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. H. Ex. 3 $119,158.06 " " 25," 000.'66" Surplus fund Undivided profits 1,029.67 21,358.29 7,275.52 1,120. 85 5, 000.00 1, 042.30 6, 500.00 205.76 7, 047.00 8.79 13, 852.30 5,000. 00 National-bank notes outstanding.. State-bank notes outstanding . . Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. $100, 000. 00 2,500.00 2,628.30 22,500. 00 42. 00 87, 053.24 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125.00 214,723.54 49 A. H. PURDIE, Cashier. Capital stock paid in. Total. 214,723.54 770 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Peoria. No. 176. J O H N C. PROCTOR, President. Resources. $1, 205,186. 62 Loans and discounts 11, 243.15 Overdrafts 50, 000. 00 U. S. bonds to secure circulation-.. U. S. bonds'to secure deposits TJ. S. bonds on hand 93, 625,00 Stocks, securities, judgments, etc .. 146,575.25 Dae from approved reserve agents. 2,886.06 Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures 36,680.47 Other real estate and mortg's owned 6, 343. 87 Current expenses and taxes paid.. 1, 500.00 Premiums on TJ. S. bonds Checks and other cash items 13, 591.78 Exchanges for clearing-house 3, 478. 00 Bills of other national banks 29.75 [Fractional currency, nickels, cents 42, 069.25 Specie .". 41,000. 00 Legal-tender notes TJ. S. certificates of deposit 2, 250.00 Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S 1,656,459.20 Total. W. E. STONE, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $150,000.00 375, 000. 00 38,864.20 45, 000. 00 Dividends unpaid. 1, 047 595.00 Individual deposits United States deposits Deposits of U. S. disbursing officers, Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total 1,656,459.20 Central National Bank, Peoria. MARTIN KIXGMAN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation ... U. S. bonds to secure deposits.. U. S. bond3 on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Dae from other national banks Due from State banks and bankers. Baiik'g-house,furniture,andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U« S Total.. B. F. BLOSSOM, Cashier. No. 3214. $426,120.90 16, 352.27 50, 000.00 200. 00 41, 038.11 29, 572.25 1, 270. 96 10, 826. 82 2,029.48 9, 812. 50 5,241.03 2,930. 00 40.88 6, 392. 00 21, 000.00 $200, 000.00 Capital stock paid in. Surplus fund Undivided profits 17, 000.00 14,385.97 National-bank notes outstanding. State-bank notes outstanding 45,000.00 Dividends uupaid Individual deposits United States deposits DepositsofU.S.disbursing 200. 00 321,738.02 officers. Due to other national banks Due to State banks and bankers... 5, 685. 59 21, 067. 62 Notes and bills re-discounted. Bills payable 2,250.00 Total. €25, 077.20 625, 077. 20 Commercial National Bank, Peoria. G. T. BARKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3296. $505, 651. 58 38, 818. 21 50, 000.00 125,000. 00 54, 067.14 1, 549. 59 17,843.28 2,283.82 46, 414.05 273. 31 20, 845.33 10, 634. 00 470.69 36, 241.90 20,000.00 H. B. Dox, Cashier. $200, 000. 00 Capital stock paid in. 42, 000. 00 Surplus fund 10, 905. 98 Undivided profits. National-bank notes outstanding.. 45,000.00 State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . 44.00 420,453.84 115, 000. 00 92,383.98 6,555.10 Bills payable 2, 250. 00 932, 342.90 Total. 932,342.90 REPORT OF THE COMPTROLLER OF THE CURRENCY. 771 ILLINOIS. German-American National Bank, Peoria. VALENTINB ULRICH, President. No. 3070. WESTON ARNOLD, Cashier. Liabilities. Resources. L<jaiis and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds/on hand Stocks, securities, judgments, e t c . . Duo from approved reserve agents Duo from other national banks Duo from State banks and bankers Bank V-house, furniture, andfixtures Other reai estate and niortg's owned Current expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks F-actional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $593,591.21 13,197. 22 50, 000. 00 150, 000. 00 14, 016. 76 205, 662. 37 Capital stock paid in 40, 000.00 17,636.12 National-bank notes outstanding.. State-bank notes outstanding 45, 000.00 2, 504. 37 Dividends unpaid 4,000. 00 2, 000. 00 Individual deposits 1,999. 61 United States deposits 49,000.00 Deposits of U.S. disbursing officers. 1,947. 92 4, 758.95 Due to other national banks 18, 709.00 Due to State banks and bankers . 46.55 20, 527. 40 Notes and bills re-discounted. 70,000.00 Bills payable 811,575.24 140,000. 00 2,250.10 Total. 1,204,211.30 Total. $150,000.00 Surplus fund Undivided profits 1, 204,211.36 Merchants' National Bank, Peoria. No. 3254. A. J. HODGES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Tceas. U. S. Dae from Treasurer U. S Total. $403,811.13 8,956.81 50,000.00 125, 000.00 5, 250. 00 32,147. 22 1,481.45 11,000.00 2, 561. 38 2, 276.30 7, 500. 00 123.67 16,274. 06 3, 758. 00 38.46 2, 267. 91 28,000. 00 GEO. H. LITTLEYTOOD, Cashier. Capital stock paid in - Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $200, 000.00 15,000. 00 10, 026. 23 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 279, 559. 72 110, 073.85 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable «... 7, 380. 26 15, 656.33 15, 000.00 2, 250.00 Total. 697.696.39 697,696.39 Peoria National Bank, Peoria. CHARLES P. KING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondson hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Duo from other national banks Duo from State banks and bankers BankV-house,furniture,andfixtures Other real estato and mortgs owned) Current expenses and taxes paid... Psamiums on U. S. bonds Checks and other cash items "Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. IS. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2878. $535,051.63 8, 644.26 50, 000. 00 170, 000.00 R. A. CULTER, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. 25,634. 71 State-bank notes outstanding 5, 827.94 3,143.76 Dividends unpaid 27, 000. 00 Individual deposits 5, 798.12 United States deposits 35, 500. 00 Deposits of U. S. disbursing officers. 759.93 25, 798. 59 Due to other national banks 4, 722.00 Due to State banks and bankers . . . 28.95 2,152. 20 Notes and bills re-discounted . 43,000.00 Bills payable $200,000.00 37,000. 00 16, 858.23 45,000.00 376,144. 54 164,579.03 6, 217.94 38, 029.66 61, 482,69 2,250.00 945,312.09 Total. 945,312.09 772 REPORT OP THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Peru National Bank, Peru. No. 2951. JOEL W. HOPKINS, President. HENRY REAM, Cashier. Resources. Liabilities. Loans and discounts ' $171,675.93 Overdrafts i 3, 943. 83 U. S,. bonds to secure circulation... 15?, 500. 00 U. S. bonds to secure deposits i• U. S. bondson hand I Stocks, securities, judgments, etc . . I 19.000.00 Due from approved reserve agents. 27,159.53 Due from other national banks 17.25 Due from JState banks and bankers. J 1,237. (51 Bank'g-house, furniture, and fixtures 7,000.00 Other real estate and mortg's owned j — Current expenses and taxes paid... \ % 337.44 Premiumson U. S. bonds 2, 421. 88 ! Checks and other'cash items 7,267. 94 Exchanges for clearing-house 4, 771. 00 Bills of other national banks 89.74 Fractional currency, nickels, cents . 23, 277.10 Specie 6, 004.00 Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S . j 562.50 Due from Treasurer U. S i 289,265.75 Total. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 17, 500. 00 6, 567. 62 11, 250. 00 50.00 Individual deposits United States deposits Deposits of U. S. disbursingofficers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable Total. 194, 272.05 9, 626. 08 289,265.75 First National Bank, Petersburgh. No. 3043. C. B.LANNING, President. Loans and discounts .* O verdrafts U. S. bonds to secure circulation-.. IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e£c . . Due from approved reserve agents Duo from other national banks . . . Due from State banks and bankers. Bank'g-house, furniture, andfixturesj Other real estate and mortg's owned; C urrent expenses and taxes paid. .. Premiums on U. S. bonds Checks and other cash i t e m s . . . . Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents . ; Specie i Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $151,010.81 9, 923.00 12, 500. 00 17,469.51 52,416. 33 196. 07 3, 063.27 12,000.00 $50, 000.00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 21, 000. 00 1, 530. 29 11, 250.00 50.00 Individual deposits United States deposits* Deposits of U.S. disbursing officers. 188, 446. 81 Due to other national banks 1,499.00 Due to State banks and bankers .. 76. 94 6, 250. 05 Notes and bills re-discounted . 4, 500. 00 Bills payable 510.10 693.15 96.66' 1, 916.87 562. 50 Total. 273,480.35 Total. J . M. ROJJBINS, Cashier. Capital stock paid in. 273,480.35 First National Bank, Fittsfield. C. P . CHAPMAN, President. Loans and discounts .1 Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks ; Due from State banks and bankers. | Bank'g-liouse, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items* Exchanges for clearing-house ' Bills of other national banks I Fractional currency, nickels, cents . • Specie | Legal-tender notes i U. S. certificates of deposit I Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 1042. D. D. HICKS, Cashier. $254,422.90 j Capital* stock paid in. 2, 262.47 25, 000. 00 Surplus fund Undivided profits. 18,000.00 National-bank notes outstanding.. 51,199.17 State-bank notes outstanding 1, 722.13 5, <5C0. 00 218.10 1,071.25 56.85 2,118. 00 74. 42 13, 504. 83 3, 725. 00 $100,000.00 25, 000. 00 12, 986. 86 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. 219, 776. 26 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125.00 163. 00 ~380, 263.12 Total. 380, 263.12 REPORT OF THE COMPTROLLER OF THE CURRENCY. 773 ILLINOIS. Exchange National Bank, Polo. No. 1806. JOHN BINGAMAN, President, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. SDue from Treasurer TT. S $132,887. 30 499. 22 20, 000.00 Capital stock paid i n . $65,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding .. 15,950.02 Dividends unpaid * Individual deposits 1,633.58 i United States deposits 1,100.00 : Deposits of U. S. disbursingoliicers 13,000. 00 6, 794.62 18,000.00 20, 0U0.00 103, 013.13 1,720.52 I 1, 784. 90. 6, 243. 3, 000. Dne to other national 1?anks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 00 U 00 00 900. 00 205, 807. 75 Total. W. T. SCHKLL, Cashier. Liabilities. 205, 807. 75 Total. Livingston County National Bank, Pontiac. JOSEPH M. GKEKNEBAUM, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J O S E P H SPIRO, Cashier. No. 1837. $170,140. 95 681. 54 18, 750. 00 Capital stock paid in. $75, 000. 00 Surplus fund Undivided profits. 30, 000. 00 10., 320. 33 National-bank notes outstanding.. State-bank notes outstanding .. 16, 875.00 . J! Dividends unpaid :1I Individual deposits United States deposits 1, 1130.00 Deposits of U.S. disbursing officers. 98, 833.91 11.797.42 53!). 28 • 11 8,103. 62 3, 094.00 52. 41 1, 730. 00 7, 000. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 843.50 231, 029. 24 Total 231, 029.24 National Bank, Pontiac. JAMES E. MORROW, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankersBank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Pr amiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2141. P. BOURLAND, Cashier. $181,118.92 Capital stock paid in. 13, 855. 81 ; 12, 500. 00 ; Surplus fund 5, 268.16 1,611.98 2, 900. 00 948. 82 6, 901. 00 286.33 3, 000. 00 10, 000.00 $50, 000. 00 20, 000. 00 2, 293.97 Undivided profits National-bank notes outstanding-. State-bank notes outstanding 11, 250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. diaburg ing otficers. 150, 409. 55 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 5, 000. 00 562. 50 238, 953. 52 Total. 238, 953. 52 774 REPORT OP THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Princeton. No. 903. D. H. SMITH, President, Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-hoiise,fiirniture,anduxturey Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Che'cks and other cash items Exchanges for clearing-h«use Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $291, 545. 29 119,09 30, 000. 00 Capital stock paid in $105, 000. 00 Surplus fund Undivided profits 60, 000. 00 11, 644. 34 31, 750.00 National-bank notes outstanding.. 23, 991. 38 State-bank notes outstanding :M 95 Dividends unpaid 27, 000.00 8,000.00 Individual deposits . 210, 785. 23 United States deposits deposits •!l D 1,231.89 180. 00 112.47 9, 737. 50 16, 411. 00 Deposits of U.S. disbursing officers. [ Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,350. CO 414,429. 57 Total. . C. ROBERTS, Cashier. Liabilities. 414, 429. 57 Total. Citizens' National Bank, Princeton. TRACY REEVE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of i1eon«it Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2413. A. B. REEVK, Cashier. $100, 000. 00 Capital stock paid in. 31, 000. 00 Surplus fund 3, 689.96 Undivided profits. 22, 500. 00 National-bank notes outstanding.. 24,136. 98 State-bank notes outstanding $239, 586. 54 410.82 25, 000. 00 2, 696.13 Dividends unpaid Individual deposits ...'. 313. 97 United States deposits 1, 000.00 Deposits of U. S. disbursing officers 850.00 7, 700. 00 165, 280. 96 1, 826.12 1,288.00 110. 50 16, 958. 60 2, 568. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1, 399. 74 1,125.00 324, 720. 66 Total. 324, 720. 66 Farmers' National Bank, Princeton. EDWARD R. VIRDEN, President Loans and discounts | Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from Stute banks and bankers Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on (J. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. No. 2165. AUSTIN NORTON, $243, 309. 25 | Capital stock paid in. 2,857.69 27, 500. 00 Surplus fund 31, 331.43 Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits 1, 064.93 United States deposits 500. 00 Deposits of U.S. disbursing officers Cashier. $110, 000. 00 45, 000. 00 8, 358. 08 24, 750. 00 6,665.66 ! 164,444.98 2,384. 03 1, 895.00 72. 51 27,213.75 7, 250. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 63.03 1, 237. 50 352, 616. 09 Total. 352, 616. 09 REPORT OF THE COMPTROLLER OF THE CURRENCY. 775 ILLINOIS. First National Bank, Quincy. No. 424. W. S. WARFIELD, President. F. W. MEYER, Cashier. Resources. Loans and discounts Overdrafts TJ. S.bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andflxtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house BilJs of other national banks Fractional currency, nickels, cents. Specie — Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . Liabilities. $511,871.58 6, 823. 57 25, 000.00 100,000. 00 700.00 25, 000. 00 83,162. 44 15, 789. 68 13, 625.14 23, 605.75 17, 000. 00 30,191.50 2,424.16 8,130. 00 123. 34 23, 775. 45 22, 810. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding State-bank notes outstanding Dividends unpaid. $100,000.00 20,000.00 89,497. 23 22, 500. 00 5, 000. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers 409, 786. 20 96, 334. 25 13, 665. 75 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 3, 352. 79 151, 021. 33 1,125. 00 Total. 911,157.61 911, 157. 61 Quincy National Bank, Quincy. J . M. I it wix, Cashier. No. 3752. $100, 000. 00 Capital stock paid in. 7, 500. 00 Surplus fund 4, 317. 35 Undivided profits. 22, 500. 00 National-bank notes outstanding.. J. H. DUKEB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $307, 284. 52 5, 816.31 25, 000. 00 11, 007. 06 2, 253.46 3, 494. 36 3, 068.13 3, 645. 71 1, 750. 00 6, 655.18 440. 00 42.29 9, 995.75 17, 200. 00 State-bank notes outstanding Dividends unpaid 80.00 Individual deposits United States deposits Deposits of .U.S. disbiirsingofficers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 233,713.48 9, (566. 94 21, 000. 00 1,125.00 Total., 398, 777. 77 398, 777. 77 Ricker National Bank, Quincy. EDWARD SOHM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgment?, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national laanks Fractional currency, nickels, cents . Specie Legal-tender notes ' U. o. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2519. $727,119, 05 13, 380. 61 100, 000. 00 100, 000.00 173, 800.00 240, 575.00 124, 677.40 5, 229.49 21,179.08 978.12 4, 49, 28, 12, 15, 022.30 084.18 040.15 802. 92 445. 00 83.70 65, 54(5.40 49, 000. 00 HENRY F. J. RICKEK, Cashier. Capital stock paid in. Surplus fund Undivided profits.. National-banknotes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $200, 000. 00 40, 000. 00 36, G43. 29 37, 330. 00 276. 00 1, 254, 916. 90 10!), 398. 02 8, 892.49 48, 506. 70 4, 500. 00 500. 00 1,735,963.40 Total . 1, 735,903. 40 776 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. Rochelle National Bank, Rochelle. MORTIMER D. HATHAWAY, President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund witb Treas. U. S. Due from Treasurer TJ. S Total . No. 1907. JOHN C. CRAFT, Cashier. Liabilities. $168, 088.16 232. 98 20, 000.00 16,193.65 6, 000. 00 ""504.'20 Capital stock paid in . $50, 000.00 Surplus fund Undivided profits. 25, 000. 00 3, 878. 95 National-bank notes outstanding.. State-bank notes outstanding 18, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 134, 907. 21 Due to other national banks 2,900. 00 92.17 Due to State banks and bankers. 3, 375. 00 Notes and bills re-discounted . 13, 500. 00 Bills payable 900.00 Total . 231, 786.16 231, 786. L6 Second National Bank, Rockford. GOODYEAR A. SANFORD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. G E O . E. KING, Cashier. No. 482. $484,292. 29 744.32 50, 000.00 94, 337.62 66, 868. 89 41,482.15 $200, 000. 00 Capital stock paid in . Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. 52, 000. 00 39,631.88 44, 980. 00 1, 098. 00 26,948.21 2, 944.64 3,000. 74 3, 000.00 5, 665. 09 Individual deposits United States deposits Deposits of U.S.disbursing officers 9, 260. 00 128. 89 14, 241. 35 47, 616.00 Due to other national banks Due to State banks and hankers . Notes and bills re-discounted. Bills payable 515, 070. 31 2, 250. 00 852,780.19 852, 780.19 Total . Third National Bank, Rockford. AMOS C. SPAFFORD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-ho use, furniture, and fixtures Other real estate and mortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 479. $304, 069.11 628.35 20,000. 00 10, 220. 00 35, 646. 87 4, 754. 23 12, 000. 00 26, 917. 83 1,461. 81 2, 528. 29 1, 519. 00 313. 12 13, 745.45 11, 000.00 10, 000. 00 900. 00 455, 704.0t> L. A. TROWBRIDOH, Cashier. ~~ Capital stock paid in. ~ Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing oflBcers $80,000.00 20, 000. 00 30,100.05 18, 000. 00 307, 604.01 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable Total. 455, 704.06 REPORT OP THE COMPTROLLER OF THE CURRENCY. 777 ILLINOIS. Manufacturers' National Bank, Rockford. CHARLES O. UPTON, President. No. 3952. AUG. P. FLOBERG, Cashier. Resources. Loans and discounts Overdrafts 17. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank 'g-house, furniture, andflxtures Other real estate andmortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $212,573.48 si, 500. oo 500. 00 20.118.77 6,137.16 1. 556.08 5, 557. 05 '"]"," 407." 22' 8, 758.12 5, 896.98 660.00 246. 53 5, 786. 80 8, 510. 00 Capital stock paid in ; $125, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.| State-bank notes outstanding 3, 000.00 3, 293.63 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 150,419. 81 Due to other national barks Due to State banks and bankers.. 562.25 Notes and bills re-discounted Bills payable 1,417.50 310, 625.69 ! Total. 28, 350. 00 Total. 310,625. 69 Rockford National Bank, Rockford. GILBERT WOODRUFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Dae from State brfnks and bankers. | Bank'g-house,fiirniture,andn'xtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. . . . . Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates, of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1816. $348, 469. 99 794. 56 25, 000. 00 5, 602.50 24, 373.00 2, 444. 08 1,483.24 20,338.25 ; 1,000.00 i 2,622.65 ' 2,000.00 7,624.44 3, 959. 00 132.52 15,407.05 5,146. 00 TV. F . WOODRUFF, Cashier. Capital stock paid in Surplus fund Undivided prolits National-bank notes outstanding.. State-bank notes outstanding ! $100,000.00 70, 000. 00 5, 594. 82 22, 500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers 269,427. 46 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 1,125.00 467,522.28 || Total. 467,522.28 Winnebago National Bank, Rockford. THOMAS D. ROBERTSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks — Due from State banks aDd bankers. Bank'g-hou8e,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds I Checks and other cash items I Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie . .. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U S Total. No. 883. CHANDLER STARR, Cashier. $429, 969. 88 I Capital stock paid in. $100, 000. 00 117.87 25, 000. 00 :! Surplus fund 30, 000. 00 '. 80,462. 88 Undivided profits 100, 600. 00 National-bank notes outstanding. 21, 000. 00 64, 997. 86 State-bank notes outstanding..... 10,141.21 4,662. 30 Dividends unpaid 15, 000.00 Individual deposits '474,000. 08 5, 661.46 United States deposits Deposits of U.S.disbursing officers. 2, 080. 24 741.00 117.18 14, 292.61 31,364.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 407. 65 1,125.00 705, 870. 61 Total. 705, 870. 61 778 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Rock Island. PHILEMON L. MITCHELL, President. No. 108. GEO. M. LOOSLEY, Cashier. Resources. Loans and discounts I Overdrafts ' U. S. bonds to secure circulation... j U. S. bonds to secure deposits i U. S. bonds on hand ! Stocks, securities, judgments, etc.. Due from approved reserve agents Dae from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks ! Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $184,600.97 66.62 25, 000. 00 50, 000. 00 35,148. 71 1, 890. 70 $100, 000. 00 Capital stock paid in. Surplus fund Undivided profits. 50, 000.00 6, 242. 45 ISTational-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid 3, 000. 00 2,713.13 3,000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 128, 782. 58 36,192.46 14, 986. 81 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1, 504. 53 12, 665. 00 8.70 26, 990. 00 14, 000.00 1,125.00 Total •. 360,208.83 360,208. 83 . People's National Bank, Rock Island. BAILEY DAVKNPOBT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds . . : Checks and other cash items Exchanges for clearing-house Bills of other national bants Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total. JOHN PEETZ, Cashier. No. 2155. $287,015.76 256. 57 30,000. 00 153,269.98 22, 598.97 85.91 2,000.00 1, 335.09 $100, 000. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 55, 000. 00 17, 768.16 27, 000. 00 240.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 325, 275.46 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 1, 466.89 1,414. 80 48." 28 5,820.00 116.11 13,838.64 10,430.00 1,350.00 Total. 528,165.31 528,165. 31 Rock Island National Bank, Rock Island. THOMAS J . ROBINSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house...... Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 1889. $282,575.32 904.62 30,000.00 5,000. 00 33,952.50 11,744.75 3, 548.44 2, 000.00 1, 810.21 ""738.'i2 3,082.00 121.98 12, 342. 95 5, 950.00 J. F. ROBINSON, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding $100, 000.00 100, 000.00 11,016.91 27, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers 156,948.86 Due to other national banks Due to State banks and bankers.. 155.12 Notes and bills re-discounted. Bill s payable 1,350.00 395,120. 89 Total . 395,120.10 REPORT OF THE COMPTROLLER OF THE CURRENCY. 779 ILLINOIS. Salem National Bank, Salem. No. 1715. JAMES S. MAKTIN, President. B. F . MAUSHALL, Cashier. Resources. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits ! U. S. bonds on hand ! Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks i Due from State banks and bankers. j JJank'g-houso, f urn iture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds ('hocks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $170, 675.41 13.25 12, 500. 00 35, 912. 81 Capital stock paid in. 50, 000. 00 2,199.82 11,250.00 j j Dividends unpaid 11,500.00 19, 545.60 I Individual deposits 623.16 j United States deposits 800. 00 • Deposits of U.S.disbursing officers. 15.29 Due to other national banks 3,425.00 Due to State banks and bankers .. 237.41 6, 030. 85 Notes and bills re-discounted . 5, 324. 00 Bills payable 153, 648. 39 73.07 502.50 267,171.28 Total. $50, 000.00 Surplus fund Undivided profits National-bank notes outstanding-. State-bank notes outstanding 267,171.28 Total. First National Bank, Shawneetown. THOMAS S. RIDGWAY, President. Loans and discounts O verd rafts U. S. bonds to secure circulation . . . U. S. bondsHo secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 7, 669.20 45, 639.75 3, 700. 58 36.14 895.50 2,099.42 191.40 2, 500.00 1, 314. 28 9, 516.00 9.15 23, 641. 35 D. PHILB, Cashier. $50,000.00 Capital stock paid in.. Surplus fund. Undivided profits 25, 000. 00 6, 683. 86 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 156, 740. 48 Due to other national banks Due to State banks and bankers..! Notes and bills re-discounted. Bills payable 562. 50 249, 674.34 Total. WM. No. 915. $137,656.59 1, 742.48 12, 500. 00 249, 674. 34 Total. First National Bank, Shelbyville. A. MIDDLESWORTH, President. Loans and discounts | Overdrafts i U. S. bonds to secure circulation i U. S. bonds to secure deposits i. U. S. bonds on hand j Stocks, securities, judgments, etc..!. Due from approved reserve agents.! Due from other national banks | Duo from State banks and bankers. j Bank'g-house, furniture, andfixtures Other real estate and mortg's ovyned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationaljbanks Fractional currency, nickels, cents Specie . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer'U. S Total. No. 2128. $124,450.03 3. 584. 93 25, 000. 00 i,*2o6.'66" 9,104.63 24, 764.46 J. W. POWERS. Cashier. Capital stock paid in 278. 57 1, 312.00 2, 307.18 13, 684. 00 101. 81 4, 376.50 20, 000.00 12,500.00 6, 059. 51 National-bank notes outstanding.. I State-bank notes outstanding | Dividends unpaid 13, 000.00 $75,000. 00 Surplusfund Undivided profits 22, 500, 00 ; Individual deposits ! United States deposits j Depositsof U.S.disbursing officers. j 127,955. 09 Due to other national banks j Due to State banks and bankers.. i 274. 51 Notes and bills re-discounted. Bills payable : 1,125.00 244,289.11 I Total. 244,289.11 '780 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Springfield. No. 205. FRANK W. TRACT, President. W. W. TRACY. Cashier. Resources. Liabilities. Loans and discounts j Overdrafts j U. S. bonds to secure circulation... i XT. S. bonds to secure deposits j U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents.; Due from other national banks j Due from State banks and bankers, j Bank'g-house, furniture, and fixtures Other real estate and mortg's ovyned Current expenses and taxes paid.. r'. Premiums on U. S. bonds \. Checks and other cash items . . J> Exchanges for clearing-house Bills of other national banks j Fractional currency, nickels, cents.!. Specie ! Legal-tender notes U. S. certificates of deposit j. Redemption fund with Treas. TJ. S. j Due from Treasurer U. S !. Total j $822, 804. 07 5,594. 47 50,000.00 100,000.00 Capital stock paid in. $250,000.00 50, 000. 00 51,585.40 Surplus fund Undivided profits . 21, 700.00 National-bank notes outstanding. 49, 666. 11 State-bank notes outstanding 4, 293.66 1, 060. 74 30, 000.00 1, 000.00 45, 000. 00 1, 392.00 Dividends unpaid. 586,156.12 108, 783.99 1, 216. 01 Individual deposits 2, 830. 84 United States deposits Deposits of U. S. disbursing officers. 5, 287. 97 Due to other national banks 2,340.00 Due to State banks and bankers . 28, 586.14 Notes and bills re-discounted. 40,756.00 Bills payable 12, 334. 08 61, 702. 40 2,250.00 1,168,170.00 Total I 1,168,170.00 Farmers' National Bank, Springfield. BEN. F . CALDWELL, President. No. 2688. Loans and discounts ; Overdrafts i U. S. bonds to secure circulation... j U. S. bonds to secure deposits i. U. 8. bonds <m hand !. Stocks, securities, judgments, etc .. \ Due from approved reserve agents.' Due from other national banks Due from State banks and bankers. i Bank 'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums oil U. S. bonds i Checks and other cash items j Exchanges for clearing-house Bills of other national banks : Fractional currency, nickels, cents. | Specie | Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. E D W ' D D. KEYS, Cashier. $150, 000. 00 $442,918.93 I; Capital stock paid in 23,894.76 j 37,500.00 jj Surplus fund !! Undivided profits 30, 000. 00 18,186. 33 42, 746.37 National-bank notes outstanding.. 38, 746. 28 State-bank notes outstanding 1, 378. 73 Dividends unpaid 33, 750.00 " 3, 666.66 i Individual deposits 4,173.59 United States deposits \ 5, 000. 00 Depositsof U.S.disbursingofficers. I 8, 570.81 Due to other national banks I 19,446.00 I Due to State banks and bankers . . 96.75 28, 091. 25 ! Notes and bills re-discounted . . . 10, 000. 00 ! Bills payable 415, 920. 70 1, 698.99 17, 694.95 1, 687.50 Total. 667. 250. 97 667, 250. 97 Illinois National Bank, Springfield. D E W I T T W. SMITH, President. Loans and discounts I Overdrafts ,i U. S. bonds to secure circulation . . . j U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. | Duo from other national banks — j Due from State banks and bankers j Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... i Premiums on U. S. bonds j Checks and other cash items j Exchanges for clearing-house ' Bills of other national banks ; Fractional currency, nickels, cents.; Specie j Legal-tender notes | U. S. certificates of deposit.. I Redemption fund with Treas. U. S . I Due from Treasurer U. S Total . No. 3548. $600,045.10 2, 579. 66 50, 000. 00 100, 000.00 B. R. HIEKONYMUS, Cashier. Capital stock paid in Surplus fund Undivided profits. 987.36 National-bank notes outstanding.. 85, 251. 99 State-bank notes outstanding..'... 5, 044.21 2, 983.32 Dividends unpaid. 2, 000. 00 Individual deposits 3,178.06 United States deposits 41, 425.00 Depositsof U.S.disbursingofficers. 3, 21L. 37 Due to other national banks 12,200.00 Due to State banks and bankers .. 42.75 15, 770.20 Notes and bills re-discounted . 40, 000.00 Bills payable i $300, 000. 00 11,000.00 18, 647. 54 45, 000.00 .114.00 385, 612. 62 100, 329.11 9, 475. 19 19,021.38 77, 769.18 2,250.00 966, 969.02 Total . 966, 969,02 REPORT OF THE COMPTROLLER OF THE CURRENCY. 781 ILLINOIS. Ridgely National Bank, Springfield. WILLIAM RIDGKLY, President. No. 1662. EDW. RIDGELY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and uiortg's owned I Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer XJ. S $433, 698. 69 7,914.32 50,000. 00 100, 000.00 Capital stock paid in $100, 000. 00 100, 000.00 103. 34 44, 990.00 National-bank notes outstanding. State-bank notes outstanding 37, 287.11 177, 973.05 151. 25 8, 455. 38 5,510.13 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing officers. 5, 000. 00 499,319.01 59, 028. 63 50, 971.37 Due to other national banks Due to State banks and bankers .. 19, 000. 00 6, 88'J. 25 6, 000. 71 92, 415. 00 Notes and bills re-discounted . Bills payable 33, 722. 88 64, 970.00 2, 250. 00 Total. 952, 828. 06 Total. j Surplus fund Undivided profi ts 952, 828. 06 State National Bank, Springfield. SAMUEL H. JONES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . . IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Chocks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total.. No. 1733. $539, 350.17 11, 666. 54 50, 000. 00 100, 000. 01) 100.00 14, 125. 63 103, 781. 21 4, 440. 72 F . K. AVILITTKMOUK, Cashier. Capital stock paid in ; $200, 000. 00 Surplus fund Undivided profits 50, 000. 00 9, 460. 25 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid . '"""25*199.68" 7, 688. 68 Individual deposits 3, 273.13 United States deposits 10, 638. 00 Deposits of U. S. disbursing officers. 7, 311. 68 Due to other national banks 26, 564. 00 I Due to State banks and bankers .. 35,147.40 •! Notes and bills re-discounted. 50,000.00 || Bills payable 553, 570. 85 89,901.45 8,919.37 43, 814. 92 2, 250. 00 9,190. 00 Total 1, 000, 726. 84 1,000,726.84 Spring Valley National Bank, Spring Valley. C. »J. DEVLIN, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S.bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national ban ks Due from State banks and bankers Bank'g-house, furniture, and tixturesj Other real estate and mortg's owned1 Current expenses and taxes paid...) Premiums on U. S. bonds I Checks and other cash items Exchanges for clearing-house Bills of other national banks . . . . . . . Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due liom Treasurer U. S Total. No. 3465. $60,98^.30 I 1,247.94 !! 12,500.00 i 316. 50 18,659.93 488.10 811.36 875.00 303. 12 M. BAUTOX, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 1 $50, 000. 00 5, 000. 00 1, 655. 07 11,250.00 Dividends unpaid Individual deposits , United States deposits Deposits of U.S. disbursing officers. Due to other national banks 50, 00 [ Due to State bunks and bankers... I j | 7,753.20 ' Notes and bills re-discoun ted 199.00 : Bills payable [ o, 575. 83 11, 500. 00 562. 50 104,980.90 I Total. 104,980.90 782 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Sterling. No. 1717. JOHN S. MILLER, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits XT. S. bonds on hand -. . . . . Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total W. A. SANBORN, Cashier. 1 $292,255.68 1, 269. 36 50, 000. 00 37,100. 00 80, 890.07 1, 276.52 ii,"TOO.66" 3, 000. 00 Liabilities. Capital stock paid in $100,000.00 Surplus fund Undivided profits 25, 000. 00 17, 778. 59 National-bank notes outstanding.. State-bank notes outstanding 44, 280. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 335, 623. 70 589. 22 9, 986.00 156. 72 24, 208.72 5, 000. 00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted 2, 250.00 Total 522,682. 29 522, 682.29 Sterling National Bank, .Sterling. "No.. 2709. JAMES R. BELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. $146, 481.11 746. 27 18,750.00 2, 000.00 15, 213. 72 12. 00 J . H. LAWRENCE, Cashier. Capital stock paid in. $75, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 10,110.00 3, 981. 55 16, 875. 00 Dividends unpaid. 10, 000.00 735. 84 4, 500. 00 163.12 8, 335.00 110.15 11, 679. 90 4,165. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted.. Bills payable 117,580.55 188. 70 843. 75 Total. 223, 735. 86 223, 735. 86 Streator National Bank, Streator. M. J . LUTHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankersBank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house , Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ.o. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2681. $126,314.30 273. 27 12, 500.00 14, 000.00 11, 090. 79 E. H. BAILEY, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding . . . . $50, 000. 00 6, 500. 00 0,714,85 11, 250.00 Dividends unpaid 1,413.00 "i," 524.'51 2,143. 75 1, 044. 08 3, 885. 00 123. 4G 3, 246. 05 10, 501.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 06, 276. 50 14, 880.39 562. 50 188,62.1.74 Total. 188,621.74 EEPOET OF THE COMPTROLLER OF THE CURRENCY. 783 Union National Bank, Streator. No. 2176. A. B. MOON, President. G E O . L. RICHARDS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit . Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $215, 860.78 831.11 12, 500.00 83, 716.22 Capital stock paid in $50,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding . 20, 000. 00 15,512.48 11, 250.00 Dividends unpaid " "8," 000." 00 2, 385.92 2, 910. 00 115. 67 7, 586. 00 10, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 247, 705. 72 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 562.50 Total. 344, 468. 20 314,468.20 Sycamore National Bank, Sycamore. No. 1896. E. F . DUTTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $178, 307. 68 1,615.29 20, 000.00 8, 433. 04 P. M. ALDEN, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 25, 000.00 20, 088.14 18, 000. 00 Dividends unpaid 7, 000. 66 70.93 475. 00 61.77 1, 629. 50 3, 000.00 Individual deposits United States deposits Deposits of U. S. disb ursing officers. 108,103.17 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 301. 90 900.00 Total. 221,493. 21 221,493. 21 First National Bank, Taylorville. W. W. ANDERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3579. $166, 950. 45 893.16 18, 750. 00 6, 500.00 9, 568. 80 7, 258. 75 7, 464. 25 1, 598. 75 739. 36 4, 926. 56 107. 00 4, 270. 00 131. 54 8, 267.25 5, 000.00 H . R. ANDERSON, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . $75,000.00 6T 000. 00 7, 518. 21 16, 870. 00 120. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 137,145. 05 Due to other national banks Due to State banks and bankers . . 616.11 Notes and bills re-discounted . Bills payable 843. 50 243, 269.37 Total. 243,269.37 784 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Tuscola. No. 1723. HENRY T. CARAWAY, President. , W. H. LAMB, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from otherfiational banks Dae from State banks and bankers. Bank'g-house, furnit ure, and fixtures Other real estate and morfcg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks . . . Fractional currency, nickels, cents. Specie Legal-tender notes TJ. Is. certificates of deposit Redemption fund with Treas. IT. S. Due from. Treasurer U. S Total. $262, 485. 59 1, 305.47 30, 000.00 Capital stock paid in. Surplus fund Undivided profits. 3, 500. 00 National-bank notes outstanding. 2, 958.10 State-bank notes outstanding $n;}, ooo. oo 22, 704. 66 2,170.41 27, 000. 00 3, 346. 04 10, 477. 46 400. 00 442. 96 2, 644.08 11, 821. 00 50.00 6,735.15 15,000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 155, 829. 90 15, 000. 00 810. 88 16, 000. 00 1,350.00 352, 515. 85 Total. 352, 515. 85 First National Bank, Urbana. P. RICHARDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2915. $79, 880.00 2, 297. 22 12, 500. 00 H. W. MAHAN, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 34,500.59 1, 296. 62 188. 29 2, 700.00 4, 280.00 1, 227.46 2,429.69 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 4, 000. 00 99.24 2, 000.00 10, 000. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $50, 000. 00 15, 000. 00 2, 254. 46 11, 250. 00 79,432.15 25.00 562.50 Total. 157, 961. 61 157, 961. 61 Farmers and Merchants' National Bank, Vandalia. RICHARD T. HIGGINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments,etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1779. E D W . L. WAHL, Cashier, $164,153.66 Capital stock paid.in. 574.15 j 25, 000.00 Surplus fund Undivided profits 20, 341.20 National-bank notes outstanding.. 14, 689. 31 State-bank notes outstanding 2,155. 38 530. 88 11, 478. 41 742,46 1, 600. 00 1, 819. 95 3,100. 00 71.40 6, 616. 50 2, 000. 00 $100, 000. 00 20, 000. 00 5, 946. 75 22, 500.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 106, 801. 55 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 375.00 255, 248. 30 Total. 255, 248. 30 REPORT OF THE COMPTROLLER OF THE CURRENCY. 785 ILLINOIS. Centennial National Bank, Virginia, ADDISON Gr. ANGIKB, President. No. 2330. JAMBS 6. BLACK, Cashier. Kesouroes. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -Due from approved reserve agents. Due from other national banks . Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items ! Exchanges for clearing-house ! Bills of other national banks Fractional currency, nickels, cents . Specie Leeal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due f com Treasurer U. S Total, Liabilities. $82, 829. 09 1, 674.02 12, 500.00 18, 590. 74 489. 74 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits 4, 300.00 1, 200.11 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid 5, 500.00 6.157. 43 277.87 600.00 1,151.13 1,182.00 1.10 4,170. 20 2, 500. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . . 68,874.58 640. 27 1,920. 86 Notes and bills re-discounted . Bills payable 562. 50 Total. 138,185. 82 138,185.82 Farmers' National Bank, Virginia. GKOBGE VIRGIN, President. J. T. ROBERTSON, Cashier. No. 1471. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Dae from State banks and bankers Bank'g-house, furniture, and fixtures Other rwal estate and mortg's owned Current expenses and taxes paid... Premiumson U.S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $173, 329.18 4, 270.17 15, 000. 00 3,090. 00 18, 273.11 55.12 Capital stock paid in $50, 000.00 Surplus fund Undivided profits 20, 000.00 22, 541.14 National-bank notes outstanding. State-bank notes outstanding 13, 500. 00 Dividends unpaid. 5, 500. 00 14,400. 00 740. 90 15.49 "566.06 800. 00 1,400.00 Individual deposits United States deposits Deposits of U.S.disbursing officers 131,357.83 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 25.00 Total. 237, 398. 97 237, 398.97 First National Bank, Watseka. SAMUEL WILLIAMS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1721. $104, 639. 80 843. 98 50, 000.00 100. 00 50,142. 84 $50, 000.00 Surplus fund Undivided profits . 10, 000. 00 5,156.65 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid 4, 500. 00 3, 073. 73 4, 000 00 2, 944.10 2, 435. 00 23. 86 10,130.00 J,OOJ. 00 Individual deposits United States deposits Deposits of U.S. disbursingofficers. 127, 646. 6G Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250.00 1, 720.00 237, 803.31 EX. 3-^-50 GKO. C. HARRINGTON, Cashier, Capital stock paid in. Total 237.803. o i 786 REPORT OF THE COMPTROLLER OF THE CURRENCY. ILLINOIS. First National Bank, Waukegan. No. 915. NELSON A. STERLE, President. CHAB. F . WIARD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents. Due from other national bauks. Due fi oin State banks and hankers B ink'g-liousHi,fiimitiire,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums o-i U.S. bonds. Checks and other cash items Exchanges for clearirig-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certiticatesof deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. $273,661.40 52. 94 13,000.00 71, 258. 83 Capital stock paid in Surplus fund Undivided pro fits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits 1, 476/99 United States deposits DepositsofU.S.disbursingofnceis. $50, 000.00 10,000 00 47, 908. 65 11, 700. 00 255, 357. 25 118. 12 Due to other national banks 2,113.00 Due to State banks and bankers . 7.40 8,710.20 Notes and bills re-discounted. 4, 00'J. 00 Bills payable 585. 00 Total. 374, 965. 90 374, 965. 00 First National Bank, Wenona. LEWIS J. HODGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Storks, securities, judgments, etc.. Due from approved reserve agents. Due from other uatioual banks Due from State banks and bankers. Bank'if house,furniture,an<l fixtures Other real estate and morig's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. Redemption fund with L'reas. U. S Due from Treasurer U. S Total. J. W. H. HODGE, Cashier. No. 3620. $97,923. 30 582. 35 12,500. 00 31,163.04 154, 13 4, 506.12 60*. 54 875. 00 2(3. 83 1,091.55 7, 315. 00 Capital stock paid in. $50,000.00 Surplus fund Undivided profits... National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 3,000. 00 2, 462. 92 11, 250. 00 88,175.44 2,420.00 562. 50 Total. 157, 308. 36 157, 308. 36 First National Bank, Wilmington. JOHN W. STEWART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents Due from other national banks Due fro!i» State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 177. $102,001.44 695.92 25, 000. 00 8, 000. 00 94, 527.11 64, 363. 34 11, 395. 36 213.05 28.00 1, 658.00 139. 46 47, 6 Jo. 30 JAMES WHITTEN, Cashier, Capital stock paid in Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding..... $100,000.00 72,106.99 5, 996. 65 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers - 156,178. 34 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1,125. 00 356, 781. 98 Total. 356, 781.98 REPORT OF THE COMPTROLLER OF - THE CURRENCY. 787 ILLINOIS. Commercial National Bank, "Wilmington. E. W. FELTON, President. No. 19G4. WM. H. ODELL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts i U. S. bonds to secure circulation...' U. S. bonds to secure deposits , U. S. bonds on hand • Stocks, securities, judgments, e t c . j Due from approved reserve agents. I Due from other national banks ; Due from State banks and bankers j Bank'g-houso,firrniture,andfixturesj Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $123,429.41 GL 28 12, 500.00 Capital stock paid in. 30,000.00 9, 338.32 29, 650.00 58, 745.22 1, 544. 07 4.111.84 Dividends unpaid . 2, 000.00 Individual deposits 1, 361.08 United States deposits Deposits of U. S. disbursing officers. " 458.24 Due to other national banks 14G.00 Due to State banks and bankers . 106. 42 17, 350. 40 Notes and bills re-discounted . 500.00 Bills payable 11,247.00 151, 941.14 562. 50 Total . 252, 526.46 Total. $50, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 252, 526.46 First National Bank, "Woodstock. JOHN J. MURPHY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks* Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2675. $70, 673.01 243.78 30, 000. 00 58,1)37. 58 13, 337. 30 EDWARD C. QUINLEX, Cashier. Capital stock paid in $50,000.00 10,000.00 9,140.12 National-bank notes outstanding.. State-bank notes outstanding 27, 000. 00 Dividends unpaid 1, 003. 60 J Surplus fund Undivided profits. j Individual deposits i United States deposits j Deposits of U.S. disbursing oflicers. \. ] 24, 034.27 93.70 7, 300.00 72.42 20, 755. 00 16, 908. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 850.00 220,174.39 Total. 220,174.39 788 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Albion. H. M. DKABIKG, Cashier. No. 3316. SAMUEL V. IRWIX, President Resources. Liabilities. Loans and discounts i $283,409.92 Capital stock paid in. Overdrafts ! 787.68 urplus TJ. S. bonds to secure circulation... 37, 500.00 Undivided profits. U. S. bonds to secure deposits U. S. bonds on hand ! Stocks, securities, judgments, etc.. i 00.00 '; National-bank notes outstanding.. Due from approved reserve agents, i 10. 486.80 • I State-bank notes outstanding Due from other national banks Due from State banks and bankers.' j! Dividends unpaid . Bank'g-house.furniture.and fixtures 8, 000.00 •Other real estate andmortg's ownedj 11,190.10 I Individual deposits Current expenses and taxes paid... i 1,104. (59 ! United States deposits Premiums on U. S. bonds ; 1,000.00 : Deposits of U.S. disbursing officers. Checks and other cash items 4,323.43 ! Due to other national banks Exchanges for clearing-house Bills of other national banks 1, 204.00 I Due to State banks and bankers . . y 'fictional currency, nickels, cents 54.0L : Specie 6,933.90 I Notes and bills re-discounted Legal-tender notes 4, 000.00 j Bills payable U. S. certificates of deposit ' Redemption fund with Treas. U. S . j 1, 687.50 ; Due from Treasurer U. S , I Total. Total. 371,822.09 $150, 000.00 7,000. 00 11, 035. 34 33, 750. 00 130. 310. 05 39, 726. 70 371,822.09 First National Bank, Allegan. BENJAMIN D. PRITCHARD, President. Loans and discounts Overdrafts X . S. bonds to secure circulation . . . T U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc.. Due from approved reserve agents. Due from other national banks... . Due from State banks and bankers. Bank'g-house.furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. LEON CHICHESTER, Cashier. No. 1829. $136,413.51 1, 211.13 12, 500.00 Capital stock paid in. $50,000.00 Surplus fund Undivided profits 5, 995.85 National-bank notes outstanding.. 9, 048. 30 State-bank notes outstanding 257.85 100.00 Dividends unpaid. 6,709.00 8, 783. 69 Individual deposits 605.35 United States deposits 2, 750. 00 Deposits ofU.S. disbursing officers. 793.95 Due to other national banks Io0. 00 Due to State banks and bankers.. l]0. 76 3, 928. 80 Notes and bills re-discounted 1,135. 00 Bills payable 10, 000.00 8,706.79 10, 750. 00 155.00 '89, 877. 66 21, 060.58 62.50 Total . 190,555.69 !! 190, 555.69 Alpena National Bank, Alpena. • GEORGE L. MALTZ, President Loans and discounts. Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other veal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-houae Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Total. No. 2847. $279,183. 72 397.28 50,000.00 4,431. 99 78, 600.77 1,188. 56 * 3,'666.66' 3,310.94 1, 250.00 107.34 JOHN C. COMFORT, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits 10, 000. 00 0,451.14 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits. United States deposits Deposits of U. S. disbursing officers. 344, 286.62 Due to other national banks 3,160.00 Due to State banks and bankers. 233.41 6,917. 75 Notes and bills re-discounted. 21, 706. 00 Bills payable 2, 250. 00 4.55,737.76 j Total . 455,737.76 OF THE COMPTROLLER OF THE CURRENCY. 781) MICHIGAN. First National Bank, Ann Arbor. No. 2714. C. H. EICHMOND, President. S. W. CLARKSON, Cashier. Resources. Loans and discounts Overdrafts... .rf IT. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie ". Legal-tender notes U. S. certificates of deposit ... Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total . Liabilities. $316, 661. 58 733 17 25, 000.00 Capital stock paid in ] Surplus fund Undivided profits , 900.00 81, 2tfO. 27 National-bank notes outstanding.. j State-bank notes outstanding \. 16,315.42 13, 950. 00 Dividends unpaid. 13,000.00 26, 889. 30 22,500.00 40.00 Individual deposits United States deposits DepositsofU.S.disbursing officers. 14,145. 00 150.19 10, 324. 20 6, 629. 00 $100,000.00 335,676. 04 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 1,125. 00 701. 45 Total . 498,105.34 498,105.34 Merchants' National Bank, Battle Creek. AMMI W. "WRIGHT, President. No. 3896. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items «.. Exchanges for clearing-house. Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $160,257.41 726. 09 25, 000. 00 4, 900.00 34, 215.32 SCOTT F I E L D , Cashier. Capital stock paid in $100, 000.00 Surplus fund Undivided profits 4, 410. 00 7, 954. 86 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid 2, 801. 76 1, 669. 78 4, 250. 00 243.67 3, 613.00 187.31 7, 479. 95 5, 500. 00 Individual deposits United States deposits Deposits ofU. S.disbursing officers. 116,101.63 Due to other national banks Due to State banks and bankers.. 022. 16 80.64 Notes and bills re-discounted Bills payable 1,125.00 Total 251,969.29 251,969.29 National Bank, Battle Creek. VICTORY P . COLLIER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national bauks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3314. J A M E S BOUGHTON, Cashier. $272,195.81 j Capital stock paid i n . 8,481.10 40,000.00 Surplus fund Undivided profits. 10, 400.00 36, 595. 76 3, 089. 79 21.64 10, 740.18 1,085.43 9, 888. 33 207. 98 7,110.00 87.36 17,868. 00 3, 000.00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing offic $150,000.00 9,000.00 11, 615.01 35, 40D. 00 120.00 216, 436.37 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 1, 800. 00 422,571.38 Total. 422, 571. 38 790 REPORT OF THE COMPTROLLER OF THE CURRENCY MICHIGAN. Second National Bank, Bay City. WILLIAM "WESTOVER, President. No. 2145. ORRIN BUMP, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. b'mds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hou8e,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractionalcurrency, nickels, cents . Specie Legal-tender notes U. 8. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $842, 512. 21 U.->. 86 50, 000.00 $250, 000. 00 Capital stock paid in ! 300,000.00 54, 237. 03 National-bank notes outstanding . 134,636.02 | State-bank notes outstanding 4,990.67 j Dividends unpaid 4, 000. 00 45,000.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. 613, 205. 81 Due to other national banks Due to State banks and bankers -. 7, 280. 96 29, 961. 38 10, 078*65 I! 53. 68 4, 003.00 6, 292. 00 2, 382.49 31, 400. 00 5, 000. 00 Surplus fund Undivided profits Notes and bills re-discounted . Bills payable 2,250.00 I 1,099,745.18 Total 1,099,745.18 Bay National Bank, Bay City. BYRON E . W A R R E N , President. No. 2853. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,fnrniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. $629, 730.28 101.53 50, OUU. 00 67, 409.58 1(5, 790.42 7, 954.18 35, 000. 00 3,145. 81 7, 500. 00 4, 105. 94 2, 659.76 6, 353. 00 222.80 22,300.00 8, 367.00 EKED'K. P . BROWXE, Cashier. Capital stock paid in. $200,000.00 Surplus fund Undivided profits 40,000.00 35, 552.26 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. 250. 00 Individual deposits United States deposits Deposits o f U. S. disbursin g officers 511, 223.60 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 7, 517. 46 24, 906. 98 2, 250.00 500.00 Total. 864,450. 30 864,450.30 First National Bank, Bessemer. JOSEPH SELLWOOD, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Trea*. U. S Due from Treasurer TJ. S Total. No. 3947. $83, 015. 82 83. 77 12, 500. 00 4, 688. 83 142. 48 4, 617. 93 680. 00 3,421. 87 1, 286.38 1, 282. 00 9.00 4, 243. 85 GEO. H. STRONG, Cashier. Capital stock paid i n . Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 300. 00 1,302.81 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 52, 312. 90 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 368.72 562. 50 116, 534. 43 Total. 116, 534.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 791 MICHIGAN. Big Rapids National Bank, Big Rapids. DANIEL F. COMSTOCK, President. No. 2944. C. W. COMSTOCK, Cashier. Resources. Loans and discounts ! Overdrafts I TJ. S. bonds to secure circulation... j U. S. bonds to secure deposits I TJ. S. bonds on hand | Stocks,securities,judgments, eto.J Due from approved reserve agents.. Due from other national banks. ... Duo from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ... Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $203, 662. 99 791.18 25. 000. 00 32, 654. 34 171.98 7(56.49 2, 600. 00 """ 793.34 2,071.19 790.87 900.00 85.43 6, 330. 75 10,907. 00 $100, 000. 00 Capital stock paid in Surplus fund Undivided profits 12, 900. 00 3, 468. 35 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid 65.00 Individual deposits United States deposits Deposits of U.S. disbursingofficers. 138,883.74 Due to other national banks Due to State banks and bankers.. 943. 83 11, 889. 64 Notes and bills re-discounted Bills payable 1,125. 00 290, 650. 56 Total. 290, 650. 56 Northern National Bank, Big Rapids. G. F. STEARNS, President. No. 1832. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents . Due from other national banks. Due from State banks and bankers.. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Check* and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S .432, 761.11 478.32 37,500.00 134,339.74 18,089.60 819. 03 20,000.00 """2," 538." 06* 249.50 910.00 273.43 21, 919.03 1, 290. 0J $150,000.00 30, 000. 00 71.4ti7. 51 National-bank notes outstanding.. State-bank notes outstanding 33,200. 00 3,102.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbiiTsingofficersDue to other national banks Due to State banks and bankers.. 384,147. 51 1,998. 30 Notes and bills re-discounted Bills payable 1, 600. 0:) 1, 027. 50 673, 915. 32 Total F. R. FOWLER, Cashier. Capital stock paid in Surplus fund Undivided profits Total. 673, 915.32 First National Bank, Buchanan. J O H N REYNOLDS, President. Loans and discounts — Overdrafts U. S. bonds to secure circulation... j U. S. bonrts to secure deposits IT. S. bonds on hand ...j Stocks, securities, judgments, etc .. i Due from approved reserve agents | Due from other national hanks Due from Sta?e banks ami bankers.! Bank'g-house, furniture,and fixtures! Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national'bunks Fractional currency, nickels, cents. vSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3925. JNO. F. REYNOLDS, Cashier. $43,624.66 jj Capital stock paid in. 12,500.00 j Surplus fund Undivided profits 29,262.16 1,712.50 3,443. 00 2.17 876.25 5, 500. 00 562. 50 103,116.62 $50, 000. C O 898. 83 1, 8J4. 03 National-bank notes outstanding. Staie-bauk notes outstanding...'.. 5,470.00 Dividends unpaid. Individual deposits United States deposits DepositsofU.S.disbursing officers. 44, 923.16 Due to other national banks Due to State banks and bankersNotes and bills re-discounted Bills payable Total. 103,116.62 792 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. First National Bank, Cassopolis. No. 1812. J. K RITTER, President. C. H. KINGSBURY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, j augments, etc.. Due from approved reserve agents Due from other natioual banks Duo from State banks and bankers Bank'g-bouse, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $119,966.03 Capital stock paid in 143. 34 12, 500. 00 Surplus funu Undivided profits National-bank notes outstanding.. 14,952.26 State-bank notes outstanding Dividends unpaid 520.01 Individual deposits United States deposits Deposits of U.S.disbursing officers. $50,000.00 10,000.00 16,162.04 11,250.00 * 73,990.82 Due to other national banks 2, 445. 00 Due to State banks and bankers.. 06.72 10, 245.00 Notes and bills re-discounted Bills payable 562. 50 161,402. 86 Total 161,402.86 First National Bank, Centreville. L. A. CLAPP, President. Loans and discounts Overdrafts "... U. S. bonds to secure circulation... U. >. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixture* Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. •I L. B. HESS, Cashier. No. 2095. $67,655.79 Capital stock paid in . $50, 000.00 10,000.00 12, 500. 00 Surplus fund 1, 588. 92 Undivided profits National-bank notes outstanding 11, 250. 00 8,240.29 State-bank notes outstanding Dividends unpaid Individual deposits 416.43 United States deposits 2, 500.00 DepoaitsofU.S.disbursingofiicers. 1,104. 54 Due to other national banks 378.00 Due to State batiks and bankers. 199. 51 1,331.00 Notes and bills re-discounted. 2, 000. 00 Bills payable 24,049.14 562. 50 96,868.06 Total . 96, 888. 06 First National Bank, Charlotte. F. S. BELCHER, President. Loans and discounts Overdraft* U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand.. Stocks, securities, judgments, etc. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furnilure,andfixture5 Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. W. P. LACEY, Cashier. No. 1758. $155,877.36 l! Capital stock paid in $75, 000. 00 481. 77 i; 18, 750.00 || Surplus fund 15, 000. 00 ':} Undivided profits 7,505.39 II 200.00 National-bank notes outstanding.. 16, 875.00 22,348.97 State-bank notes outstanding..... 5,578.20 115.00 Dividends unpaid. 10,450.00 5,000.00 Individual deposits 117,572.14 1,533.21 United States deposits 1,202. 34 Deposits ofU.S.disbursing officers. 126.50 Due to other national banks 681.00 Due to State banks and bankers . 100.93 5, 929. 50 Notes and bills re-discounted. 2, 734. 00 Bills payable 843.75 231,952.53 Total. 231,952.53 REPORT OF THE COMPTROLLER OF THE CURRENCY. 793 MICHIGAN. Merchants' National Bank, Charlotte. A. D. BAUGHMAN, Cathier. No. 3034. B. T. CHURCH, President. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Dae from other national banks - . . Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and rnortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes , TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S ;l0L,980.06 9,775.80 12, 500. 00 4,100. 00 11, 814. 35 226.04 9,000. 00 2, 000.00 492. 34 4, 535 00 139. *J 5,1)75. f>0 10,000.00 10,239.70 National-bank notes outstanding. State-bank notes outstanding 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 81,641.12 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 502. 50 163,130. 82 Total. $50,000.00 Capital stock paid in. Surplus fund Undivided profits. Total. 163,130.82 First National Bank, Cheboygan. No. 3235. E. A. SMITH, President. Loans and discounts I Overdrafts . , U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Duelrom State banks and bankers. Bank'g-house, furniture, andfixtures Otherreal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. I Due from Treasurer U. S ! $114,281.87 108 61 13, 000. 00 22, 254. 30 4, 216. 07 18,239.26 $50, 000. 00 Surplus fund Undivii ided profits 6, 000.00 2, 384.25 National-bank notes outstanding.. State-bank notes outstanding II, 700. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. dis bursing officers. 114, 551.74 657.44 367. 00 121. 23 6J19. 05 3, 617. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 585.00 184, 635.99 Total. G. F . RAYNOLDS, Cashier* Capital stock paid in. 184, 635. 99 Total.. Coldwater National Bank, Coldwater. GEORGE STARB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Dae from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. No. 1235. $264, 641. 95 4,007.57 25, 000. 00 15,081.57 2, 240. 55 1, 800.00 'i''dO4.*83 225.05 4, 202.00 120. 81 3, 037. 80 12,000. 00 L. A. JACKSON, Assistant Cashier. Capital stock paid in ^ $100,000,00 Surplus fund Undivided profits . 35,000. 00 38,211.57 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 139,075.56 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125. 00 334, 787.13 Total. 334,787.13 794 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. Southern Michigan National Bank, Coldwater. CALEB D. RANDALL, President No. 1924. L. E. ROSE, Cashier. Liabilities. Resources. Loans and discounts j Overdrafts i U. S. bonds to secure circulation...! U. S. bonds to secure deposits j IT. S. bonds o J hand ! Stocks, securities, judgments, etc . . Due from approved reserve agents, i Due from other national banks ! Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $307,214.95 Capital stock paid in. 754.95 50,000.00 ! Surplus fund ! Undivided profits ) 35, 000.00 34, 821.53 45, 000.00 2,800.00 ii. National-bank notes outstanding.. 42,657.50 it State-bank notes outstanding •J, 899.11 j Dividends u n p a i d . ] 8, 000.00 a, ooo. oo Individual deposits 1, 913. 79 1,153.94 4, 082. 00 76.71 9, 539.60 9, 000.00 178, 621.02 United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2,250. 00 100.00 458, 442. 55 Total. 458, 442.55 Total. $165,000.00 First National Bank, Constantine. No. 813. J. W. SIMONS, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g- house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U . S. certificates of deposit Redemption fund with Treas. U. S . D u e from Treasurer U. S $90,901.59 846.97 12,500.00 11, 09(5. 08 j $50, 000.00 Surplus fund Undivided profits ; j 10,000.00 11,959 87 National-bank notes outstanding.. State-bank notes outstanding . . Dividends unpaid 4, 787. 25 58. 23 136.13 9, 420.00 1,255.00 11,250.00 I Individual deposits United States deposits I Deposits of U.S. disbursing oin cers. \ 48,718. 51 Due to other national banks i Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562.50 10.00 i 131,928.38 ' Total. W. W. HABVEY, Cashier. Capital stock paid in 131,928.38 Total. Farmers' National Bank, Constantine. CHARLES H. BARRY, J R . , President. Loans and discounts Overdraft s U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due frum State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer IT. S Total. No. 2211. $154, 054. 55 1,226.83 12, 500.00 9,135. 27 W. B. PIERSOX, Cashier. Capital stock paid i n . . . $50, 000.00 Surplus fund Undivided profits 20, 000.00 64,472.10 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid. 3,167.18 411.15 750. 00 976. 89 660. 00 84.94 2, 020.95 6, 400. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 46,228 16 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562. 50 191, 950.26 Total. 191,950.26 REPORT OF THE COMPTROLLER OF THE CURRENCY. 795 UHCHIG AN. First National Bank, Corunna. "WILLIAM MCKELLOPS. President No. 1256. A. T. NICHOLS, Cashier. Resources. Liabilities. Loans and discounts j Overdrafts ! U. S. bonds to secure circulation... i U. S. bonds to secure deposits i U. S. bonds on hand ' Stocks, securities, judgments, etc .' Due from approved reserve agents.! ; Due from other national banks Due from State banks and bankers, j Bank'g-house. furniture, and fixtures: Other real estate and inortg's owned! Current expenses and taxes paid... j Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $163, 513.68 7.54 12, 500.00 16, 899. 65 Capital stock paid in ! $50,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding \ 12,000.00 29,086.11 11,250.00 Dividends unpaid ! 1, 000. 00 467. 32 Individual deposits United States deposits Deposits of U.S. disbursing officers 107,834.35 1,876.02 1,005. 00 68.75 8,170.00 4,100. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562.50 Total . 210,170.46 210,170.46 First National Bank, Decatur. A. B. COPLEY, President. A. H . H U T C K , Cashier. No. 1722. Loans and discounts Overdrafts U S. bond3 to secure circulation... U S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nat ional banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $109,323.72 8.09 12, 500.00 4, 774.75 436. 79 ' "MOO." 6b" 435. 59 $50, 000.00 Capital stock paid i n . Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 16, 000.00 4, 264.51 11,250.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 46,179.17 788.77 410. 00 30.62 1, 29(5. 85 126. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 8, 000.00 562.50 Total . 135,693.68 135, 693.68 First National Bank, Detroit. EMORY W E N D E L L , President. Total. L . E . C L A R K , Cashier. No. 2707. $2, 279, 992.58 Loans and discounts 1, 405.86 Overdrafts 50, 000. 00 U. S. bonds to secure circulation 500, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand 50,000.00 Stocks, secuiities, judgments, etc . 461,441.01 Due from approved reserve agents. 93, 132.76 Due from other national banks . . . 22, 170. 44 Due from State banks and bankers .1 86,778.46 Bank'g-house, furniture.and fixtures Other real estate and niortg's owned Current expenses and taxes paid...! " i o , 205." 35 Premiums on U. S. bonds | 134, 437. 50 Checks and other cash items • 558. 28 Exchanges for clearing-house j 68, 830. 39 Bills of other national banks j 7,297. 00 Fractional currency, nickels, cents.! 576.58 Specie 309, 366.22 Legal-tender notes 78, 909. 00 U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S 265. 54 4,157, 616.97 Capital stock paid in $500,000.00 100,000.00 99,487.50 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 38, 700.00 , Individual deposits United States deposits Deposits of U.S.disbursingofficers. 1, 932, 664.87 441,011.36 104,816.94 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 129,180.54 811, 725. 76 Total . . . 4,157,616,97 796 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. Third National Bank, Detroit. No. 3514. W. H. STEVENS, President. FREDERICK MARVIN, Cashier. Liabilities. Resources. Loans and discounts ! Overdrafts 17. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. \ Due from other national banks | Due from State banks and bankers.' Bank'g-house,furniture,andftxturea; Other real estate and mortg'sowned; Current expenses and taxes paid — Premiums on IT. S. bonds ; Checks and other cash items Exchanges for clearing-house i Bills of other national banks ; Fractional currency, nickels, cents.; ! Specie Legal-tender notes U.S. certificates of deposit : Redemption fund wil h Treas. IT. S . Due from Treasurer TJ. S ' Total | $699,990.93 8,137.25 50,000.00 83,294. 07 64,422.37 17, 696.17 3, 500.00 89, 623. 34 4,235.60 13,000 00 973.82 22, 190.17 5,957.00 37,703.00 44, 000.00 Capital stock paid in | $300,000.00 Surplus fund TJ ndivided profits National-bank notes outstanding..! State-bank notes outstanding . j 10,000.00 18, 048.44 45,000.00 i Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 377, 779. 38 Due to other national banks ! Due to State banks and bankers .. J Notes and bills re-discounted i Bills payable j 187, 232.49 208, 913.41 2,250.00 1,146,973.72 Total | 1,146,973.72 American Exchange National Bank, Detroit. M. S. SMITH, President. No. 3357. HAMILTON DEY, Cashier. Loans and discounts ...... I $2,441,10">. 29 Capital stock paid in. 735.15 Overdrafts I 50,000.00 Surplus fund 100, 000. 00 U. S. bonds to secure circulation .. j 91, 803. 55 U. S. bonds to secure deposits !. Undivided profits U. S. bonds on hand j. 30, 780. 00 j National-bank notes outstanding.. Stocks, securities, judgments, etc .. i. 380,019.24 j State-bank notes outstanding Due from approved reserve agents 202,641.13 Due from other national banks 61,801.73 Dividends unpaid. Due from State banks and bankers. 2, 200. 00 Ban k'g-house, furniture, andfixturea Individual deposits , 2, 387, 096.47 Other real estateand mortg's owned . 10,928.40 United States deposits Current expenses and taxes paid... • 3,000.00 Deposits of U.S. disbursing officers. Premiums on U. S. bonds 5, 989.95 Checks and other cash items 60, 858. 40 Due to other national banks 331,618.88 Exchanges for clearing-house j 28,753.00 Due to State banks and bankers .. 319, 058. 20 Bills of other national banks I 1,559.06 Fractional currency, nickels, cents . 16?, 199. 50 j Notes and bills re-discounted . Specie .-! 245, 650.00 I Bills payable Legal-tender notes J U. S. certificates of deposit !. Redemption fund with Treas. U. S . j Due from Treasurer U. S ! Total | 3,660,357.10 Total . 3, 660, 357.10 Commercial National Bank, Detroit. HUGH MCMILLAN, President. No. 2591 M. L. WILLIAMS, Cashier, $2,474,387.12 Capital stock paid in i $500, 000. 00 Loans and disoounts 1,795.00 Overdrafts 50,000.00 Surplus fund 100, 000. 00 U. S. bonds to secure circulation... 200,000.00 i Undivided profits. 80, 535.94 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . National-bank notes outstanding.. 43, 720.00 343, 816.08 State-bank notes outstanding Due from approved reserve agents 108, 546. 29 Due from other national banks 21, 933.45 Dividends unpaid. Due from State banks and bankers. 3,800.00 Bank'g-house, furniture, andfixturos Individual deposits Other real estate and mortg's owned 1, 851, 750. 23 Current expenses and taxes paid United States deposits 160, 796. 09 50, 000. 00 Deposits of U. S. disbursing officers. Premiums on U. S. bonds 38, 804. 02 13, 702.88 Checks and other cash items ' 38,064.75 Due to other national banks Exchanges for clearing-house i 314,280.53 0, 332. 00 Due to State banks and bankers .. Bills of other national banks j 640, 246. 00 1,136.24 Fractional currency, nickels, cents j 118,869.00 Notes and bills re-discounted. Specie ! 292, 500.00 Bills payable Legal-tender notes U. S, certificates of deposit i Redemption fund with Treas. U. S 2,250.00 Due from Treasurer U. S Total 3,730,132.81 Total . 3, 730,132.81 REPORT OF THE COMPTROLLER OF THE CURRENCY. 797 MICHIGAN. Detroit National Bank, Detroit. C. H. BUHL, President. No. 2870. C. M. DAVISON, Cashier. Resources. Liabilities. $2, 453, 375. 09 Loans and discounts 1,6(39.06 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 483, 208. 36 Due from approved reserve agents. 28, 723. 59 Due from other national banks 5, 852. 57 Due from State banks and bankers Bank'g- house, furniture, and fixtures Other real estate and mortg'sowned 12,000.00 Current expenses and taxes paid... Premiums on U. S. bonds 11,776.32 Checks and otLer cash items 32,456. 77 Exchanges for clearing-house 22, 609. 00 ±*ills of other national banks ! 410.60 Fractional currency, nickels, cents 283, 703. 00 Specie 25,720. 00 Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Capital stock paid in. 105, 000. 00 102, 371. 87 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 25, 218.23 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers.. 1, 382, 486.41 383, 710. 91 369, 966. 94 Notes and bills re-discounted. Bills payable 3,413,754. 36 Total. $1,000, 000. 00 Surplus fund Undivided profits . Total 3,413,754.36 Merchants and Manufacturers' National Bank, Detroit. THEO. H. HINCHMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand • Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes '. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2365. $1, 491,201.30 19S. SO 50, 000. 00 65,000.00 157, 720.06 108,464.39 46,927.41 3, 500. 00 70, 701. 06 12, 500. 00 5, 259. 54 35, 350. 8*J 21,015.00 40. 62 110, 471. 00 90, U00. 00 H. L. O'BUIEX, Cashier. Capital stock paid in. Surplus fund , Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted.. Bills payable., , $500, 000. 00 100, 000. 00 34, 565.24 45, 000. 00 702,114.43 279, 349.77 609, 570. 56 !, 250. 00 2,270,600.00 Total. 2,270, 600.00 Preston National Bank, Detroit. No. 3730. JULIUS P . GILMORE, Cashier. RUPUS W. GILLETT, President. $2, 600, 376.68 Capital stock paid in Loans and discounts $1, 000,000.00 1, 945. 25 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... 30, 000. 00 U. S. bonds to secure deposits 67, 638. 54 Undivided profits U. S. bonds on hand 525. 00 National-bank notes outstanding. Stocks, securities, judgments, etc .. 44, 100. 00 299, 542. 69 State-bank notes outstanding Due from approved reserve agents. 151,119. 07 Due from other national banks. 93, 959. 29 Dividends unpaid Due from State banks and bankers. 3, 500. 00 Bauk'g-house, furniture, and fixtures Individual deposits Other real estate and mortg's owned 1,362,863.27 3, 782. 07 United States deposits Current expenses and taxes paid... 13, 000.00 Deposits of U. S. disbursing officers. Premiums on U. S. bonds 2, 389. 90 Checks and other cash items 26, 675. 62 Due to other national banks Exchanges for clearing-house 328,459. 55 31, 189. 00 Due to State banks and bankers .. Bills of other national banks 712, 609.73 1,797.74 Fractional currency, nickels, cents 149, 818.78 Notes and bills re-discounted . Specie 112, 800. 00 Bills payable Legal-tender notes U.S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. 1, 000. 00 Da© from Treasurer U. S 3,545,671.09 Total.. Total.. 3, 545,671. 09 798 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. Union National Bank, Detroit. JOHN P. FISKE, President No. 3487. J. B. PAPBERG, Cashier. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation Stocks, securities, judgments, etc . . Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie X S certificates of deDosit T Redemption fund with Treas. IT. S Due from Treasurer U. S Total Liabilities. $491, 789. 39 1,174.61 50, 000. 00 Capital stock paid in $200, 000.00 12 000 00 11, 350. 09 Undivided profits 214,716.65 16, 799.35 2, 798.37 3, 000.00 3, 208. 81 13,125.00 3, 365.02 3, 214. 61 6, 612. 00 30.90 47, 584.05 65,407. 00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 45, 000. 00 223. 82 Individual deposits United States deposits Deposits of U.S. disbursing officers. 625, 734. 20 Due to other national banks Due to State banks and bankers . . 8,269.71 22,491.94 Notes and bills re-discounted Bill*payable ............ .... 2, 250.00 925,075. 76 \! Total 925, 075. 76 First National Bank, East Saginaw. ERASTUS T. JUDD, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g- house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. ». certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 637. $481. 260.02 3, 008. 81 25, 000. 00 8, 623. 03 1,490.29 CLARENCE L. J UDD, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 50,'000. 00 15,426.31 22, 500. 00 150. 00 20,000.00 2,658 62 3, 705.27 2,302. 88 1,970.00 45.60 3,620. 75 11,697.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 281, 988. 75 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 1, 076.60 34, 804.71 60, 560. 90 1,125. 00 Total. 566, 507.27 566, 507. 27 Second National Bank, East Saginaw. GEOBGB W. MOELEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits X . S. bonds on hand T Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items _ Exchanges for clearing-house Bills of other nationaljbanks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 1918. $950, 796.37 6,172. 00 37, 500. 00 34,695. 20 1, 229.31 7, 059.78 10, 000.00 G-. B. MOKLEY, Cashier. Capital stock paid in. $150, 000.00 Surplus fund Undivided profits. 30, 000. 00 57, 567. 54 National-bank notes outstanding. State-bank notes outstanding 33, 750. 00 Dividends unpaid Individual deposits 6, 626.86 . 1, 362. 64 2, 526.78 2,470.00 269. 57 14, 311.90 49, 678.00 United States deposits Depositsof U.S.disbursing officers. 788, 044. 09 Due to other national banks Due to State banks and bankers .. 2, 860.63 11, 002.80 Notes and bills re-discounted Bills payable 53,160.85 ., 1,687.50 1,126,385.91 Total. 1,126,385.91 REPORT OF THE COMPTROLLER OF THE CURRENCY. 799 MICHIGAN. East Saginaw National Bank, East Saginaw. S. S. WILHBLM, President. No. 3123. WILLIAM T. "VVICKWARE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U S. bonds to secure c i r c u l a t i o n . . . U S. bonds to secure deposits U S. bonds on hand Stocks, securities, j u d g m e n t s , etc .. Due from approved reserve agents. Duo from otht.T national b a n k s . . . Due from State b a n k s and bankers. B a n k g house, furniture, and fixtures Other real estate anil mortg s owned C a n en; expenses and taxes p a i d . . . P r e m i u m s on U. S. bonds C h e c k s and other cash items Exchanges for clearing house Bills 01 other national b a n k s Fiactional currency, nickels, cents . Specie Legal tender notes U S. certificates of deposit Redemption fund with Treas. U. S. D a e from Treasurer TJ. S .1 Total. $431, 322. 26 628.20 37, 500. 00 17, 620.19 J, 218.75 3, O'JO. 43 3, 000. 00 2,381.19 9, 000. 00 1,102. 20 1,401.00 84. 56 3, 597.10 17, 900.00 $150,000.00 Capital stock paid i n . Surplus fund Undivided profits. 30, 0G0. 00 10, 741. 72 National-bank notes outstanding.. State-bank notes outstanding 33,750.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofficers. 247,053. 87 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 280. 00 1,944.85 57,702.94 1,687.50 531,473.38 jj Total. 531,473.38 Home National Bank, Hast Saginaw. No. 2761. W. R. BURT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bantt'g hom*e, furniture,andnxtures Other real estate and inortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $806,095.12 1,742.31 50,000.00 73, 068. 71 18, 948.14 753. 71 10, 000.00 5, 399.96 1,604.90 4,155. 81 2,412.00 95. 36 7, 514. 65 31, 792.00 J. H. BOOTH, Cashier. Capital stock paid in I $300,000.00 Surplus fund 60,000.00 26, 724.98 Undivided profits National-bank notes outstanding.. 42,120.00 State-bank notes outstanding .. Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 485,554. 54 1,402.99 71,508.49 29,361.67 2, 250. 00 840.00 Total 1, 016,672.67 1,016,672.67 First National Bank, Eaton Rapids. ANDREW J. BOWNE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U S. bonds to secure deposits U S. bonds on hand I Stocks, securities, judgments, etc ..I Due from approved reserve agents I Due from other national banks 1 Due from State banks and bankers I Bank'g-house,furniture,andnxtures Other real estate andmortg's owned! Current expenses and taxes paid ... Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house B Jls of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2367. $121,449. 25 1,735.39 12, 500.00 5, 622.33 .19 8, 200. 00 2,140. 00 1,414. 49 2, 5.0. 00 60.34 70.00 9.06 2,511.60 4,744.00 F. H. DE GOLIA, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $50,000.00 .10,000.00 5,631.59 11,250.00 18.00 Individual deposits United States deposits Depositsof U.S. disbursing officers. 72,775.99 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 968.84 12,874.73 562.50 163, 519.15 Total. 163,519.15 800 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. First National Bank, Escanaba. No. 3761. C. C. BOTCE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand. Stocks, securities, judgments, etc Due from approved reserve agents Due from other national banks i Due from State banks and bankers | Ban k'g-house, furniture, andfixtures' Otberreal estate andmortgs owned; Current expenses and taxes paid ' Premiums on U. S. bonds i Checks and other cash items | Exchanges for clearing-house I Bills of other national banks I Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. FRANK C. BUCK, Cashier. Liabilities. $170,418.02 i Capital stock paid in. 911.08 i 15, 000. 00 Surplus fund 36,470.00 49,450.21 12,462.31 981.38 12,000.00 2,114.20 4,000.00 8,071.78 17, 509. 00 123. 50 32,108.00 10, 000.00 $50,000.00 Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 2, 650. 00 5, 099.32 13, 500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 301,046. 06 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 675.00 372, 295.38 372,295.38 Total. Citizens' National Bank, Flint. R. J. WHALEY, President. H. C. VAN DEUSEN, Cashier. No. 1780. Loans and discounts Overdrafts U S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dua from approved reserve agents Due from other national banks Due from State banks and bankers Bankg-bouse, furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes tT. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $267,005.13 2, 309. 82 35,000.00 30,000.00 10,012.49 1,434.71 1, 058.83 10,000.00 1, 503.14 970.'88 1,000.00 177.92 3, 436.72 6,649.00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $125, 000. 00 40,000.00 10,032.14 31,500.00 160, 315.43 286. 07 5, 000. 00 1,575.00 Total. 372,133. 64 372,133. 64 Flint National Bank, Flint. DAVID S. FOX, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bondsonhand Stocks, securities, judgments, etc.. Due trom approved reserve agents Due from other national banks Dae from State banks and bankers Bank'g house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid.. Premiums on U.S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Duo from Treasurer U. S T«tal. No. 3361. $421,832.64 4,160.41 50, 000. 00 27, 774.69 17,236.87 396.52 22, 000.00 5,691.40 4,018.36 10, 000. C O 2,066. 06 925.00 148. 81 6, 8S7. 00 12,107.00 C. S. BROWN, Cashier. Capital stock paid in. Surplus fund , Undivided profits National-bank notes outstanding.. State-bank notes outstanding $200,000.00 8,000.00 10,320. 80 45,000.00 Dividends unpaid Individual deposits IfnitecFStates deposits Deposits ofU.S. aisbursingofiicers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 317,076.72 1,144.75 366.83 5, 595.66 2, 250. 00 687,504.76 Total., 587,504.76 REPOKT OF THE COMPTROLLEK OF THE CURRENCY. 801 MICHIGAN. First National Bank, Flushing. OSCAR F. CLARKE, President. Resources. Loans a n d discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U S bonds on hand Stocks, secutities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit . Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total No. 2708. GEO. PACKARD, Cashier. Liabilities . $113, 693.38 12,500.00 10, 821. 99 191.28 5, 000.00 173. 25 27.00 30.77 3, 936. 65 2, 625.00 $50,000. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 6,100.00 6,009.04 11, 250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 76, 202.78 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 562. 50 Total 149, 561.82 149, 561.82 First National Bank, Grand Haven. DWIGHT CUTLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,antl fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S GEO. STICKNEY, Cashier. No. 1849. $200, 000.00 Capital stock paid in. 40, 000. 00 Surplus fund 65, 315.65 Undivided profits . National-bank notes outstanding.. 44, 000, 00 57, 023.86 State-bank notes outstanding $478,734.56 5, 855.55 50,000.00 1,097.25 1, 002.43 2, 500. 00 95, 532, 23 2, 512.30 298.24 2,470. 00 234.68 8,717.25 13, 200.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing ofl&cers Due to other national banks , Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2, 250. CO 721,428. 35 Total . 372,112. 70 Total. 721,428.35 Fourth National Bank, Grand Rapids. A. J . BOWNE, President. No. 2611. H. W. NASH, Cashier. $1,057,268.87 Capital stock paid in Loans and discounts 6,671.23 Overdrafts 50,000.00 Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits Undivided profits U. S. bonds on hand 2, 961.67 National-bank notes outstanding-. Stocks, securities, judgments, etc .. 94,176.52 State-bank notes outstanding Due from approved reserve agents. 16,637. 00 Due from other national banks 19, 899.99 Dividends unpaid Due from State banks and bankers 2, 849.77 Bank'ghouse,furniture,andfixtures «4,193.67 Individual deposits Other real estate and mortg's owned 2, 855. 36 United States deposits Current expenses and taxes paid... 7, 500.00 Deposits of U. S.disbursing officers. Premiums on U.S. bonds 406.83 Checks and other cash items Exchanges for clearing-house 30, 337.28 Due to other national banks Bills of other national banks 2,260.00 Due to State banks and bankers .. 529.23 Fractional currency, nickels, cents . 30,290.90 Notes and bills re-discounted Specie i 29, 391. 00 Bills payable Legal-tender notes ! U. S. certificates of deposit ! 2,250.00 Redemption fund with Treas. U. S.| Due from Treasurer U. S j Total Total 1,440,479.32 H. Ex. 3 51 $300,000.00 32, 000.00 21, 835.26 45,000.00 827,828.73 24,367.82 189,447.51 1,440,479.32 802 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. Fifth National Bank, Grand Rapids. WILLIAM DUNHAM, President. No. 3488. W. H. FOWLER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks . . . Due from State banks and bankers . Bank'^-house.furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash, items Exchanges for clearing-houso Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. TJ. S. Due from Treasurer U. S $252, 338. Oi ! Capital stock paid in. 102. 00 25, 000. 00 I Surplus fund j Undivided profits. I National-bank notes outstanding.. 25, 851.75 I State-bank notes outstanding 6,293.71 3,499. 97 Dividends unpaid. 2,170.55 Individual deposits 1,411.93 : United States deposits 1, 557. 00 Depositsof U.S.disbursing officers. 7, 893.05 2, 796. 77 Due to other national banks 7, 358.00 Due to State banks and bankers.. 298.94 14,437.65 Notes and bills re-discounted. 2,650.00 Bills payable 2,000.00 3, 306.70 22, 500. 00 226,897.56 80.07 1,125.00 354,784.33 I Total. $100,000.00 Total. 354,784.33 Grand Rapids National Bank, Grand Rapids. EDWIN F. UHL, President. No. 2460. NATHAN B. BRISBIN, Cashier. $1,262,943.71 Capital stock paid in Loansand discounts 1,357.99 Overdrafts 50, 000.00 1 Surplus fund ... U. S. bonds to secure circulation. -. U S. bonds to secure deposits Undivided profits U S. bonds on hand Stocks, securities, judgments, etc .. National-bank notes outstanding.. Due from approved reserve agents 201, 292. 53 State-bank notes outstanding Due from other national banks . . . 5, 427. 77 Due from State banks and bankers 6,447. 91 Dividends unpaid Bank'g-house, furniture, andfixtures 8, 948.29 Other real estate and mortg's owned 26,549.17 1 Individual deposits Current expenses and taxes paid.. 3, 944. 03 United States deposits Premiums on U. S bonds 2, 500. 00 Deposits of U. S. disbursing officers. C becks and other cash items 581.09 E xchanges for clearing-house 6, 704. 62 Due to other national banks Bills of other national banks 31,293. 00 Due to State banks and bankers . . Fractional currency, nickels, cents . 187.24 60, 088.00 Notes and bills re-discounted Specie 25, 000. 0C Bills payable Legal-tender notes U S. cert iticates of deposit Redemption fund with Treas. U. S . 2,250.00 Due from Treasurer U. S Total 1, 695, 515.35 Total. $500,000.00 100,000. 00 45,191.90 43, 450.00 598.00 063,687.84 5,072.16 37,515.45 1,695,515.35 National City Bank, Grand Rapids. THOMAS D. GILBERT, President. No. 3293. Loans and discounts $1, 098, 439.47 2, 367.33 Overdrafts U. S. bonds to secure circulation... 50, 000.00 50, 000. 00 U. S. bonds to secure deposits U. S. bonds on hand — 1,100.00 Stocks, securities, judgmonts, etc . . 7, (100. 00 Due from approved reserve agents. 145, 934. 86 Due from other national banks — 38,234.15 Due from State banks and bankers 39, 744. 81 Bank'g-house, furniture, and fixtures 52, 300.00 Other real estate and mortg's owned 42, 603. 71 Current expenses and taxes paid.. 4,204.41 Premiums on U. S. bonds 23, 000.00 Checks and other cash items Exchanges for clearinsr-house 22,167.23 Bills of other national banks 18, 077.00 Fractional currency, nickels, cents . 1,000.00 112, 79^. 33 Specie Legal-tender notes 20,000. 00 U. S. certificates of deposit Redemption fund with Treas. U. S 2,250.00 Due from Treasurer U. S Total 1,731,821.30 J. FREDERIC BAARS, Cashier, Capital stock paid in. $500,000.00 Surplus fund Undivided profits 45,000.00 31,954.19 National-bank notes outstanding.. State-bank notes outstanding 45,000.00 Dividends unpaid. 120.00 Individual deposits United States deposits Depositsof U.S. disbursing officers. 1, 047,957.10 42,942.68 4, 509. 51 Due to other national banks Due to State banks and bankers .. 11, 334.11 3,003. 71 Notes and bills re-discounted. Bills payable Total 1,731,821.30 REPORT OF THE COMPTROLLER OF THE CURRENCY. 803 H If IIIO A N . Old National Bank, Grand Rapids. M A R T I N L . S W E E T , President. N o . 2890. HARVEY J . HOLLISTER, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents Due from other national banks . . . Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortis owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S '.. Total Liabilities. $1,909,011.93 4, 169.27 50, 000.00 14, 693. 47 412, 539. 35 76,147.44 4, 250. 37 14, 426. 60 14, 523. 25 5,615.90 10, 000. 00 Capital stock paid in I $800, 000.00 Surplus fund \ Undivided profits National-bank notes outstanding.. !\ State-bank notes outstanding 85, 000.00 59,128. 89 Dividends unpaid. 45, 000. 00 515.00 Individual deposits United States deposits | Deposits of U.S. disbursing officers. 1,621,724.41 13. 203. 71 > Due to other national banks 53, 139. 00 ! Due to State banks and bankers . . 311.06 78, 701. 00 Notes and bills re-discounted . 17, 000. 00 ! Bills payable 27, 944. 09 40, 669. 93 2, 250. 00 2,679,982.35 I ! Total 2,679,982.35 First National Bank, Greenville. No. 2054. E. MIDDLETON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers 1 j Bank'g-house,furniture,and fixtures Other real estate and raortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. HENRY HILL, Cashier. $176,089.34 j1 Capital stock paid in. 206.87 32,500.00 i 19, 626. 50 14, 096.86 614. 66 800.00 $50, 000.00 13, 000.00 2, 788.43 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 11, 250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers 168, 498.96 Dufe to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 632.13 373.47 562.50 246, 542.99 Total . 246, 542.99 City National Bank, Greenville. L E R O Y MOOBE, President. No. 3243. Loans and discounts I $179,285.83 Overdrafts 2,155.47 U. 'S. bonds to secure circulation... | 12, 500.00 U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc..; Due from approved reserve agents. 12, 064.13 Due from other national banks 388.73 Due from State banks and bankers. 2,930.85 Bank'g-house,furniture,and fixtures 1, 700.00 Other real estate and mortg's owned Current expenses and taxes paid... 15.00 Premiums on U. S. bonds I 2, 546. 88 C hecks and other cash item s ; 573.59 Exchanges for clearing-house Bills of other national banks 680. 00 Fractional currency, nickels, cents. 144.49 Specie 7, 487.00 Legal-tender notes 2, 500.00 U. S. certificates of deposit Redemption fund witli Treas. U. S j 562. 50 Due from Treasurer U . S . ....\ , Total. 225, 534. 47 F. B. WARREN, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits. 4,000.00 4, 528.99 National-bank notes outstanding. State-bank notes outstanding 11, 250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursingofticers. 125,115.49 Due to other national banks Due to State banks and bankers . . 1, 594.65 251.81 Notes and bills re-discounted Bills payable Total . I !. 28, 793. 53 225, 534. 4? 804 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Hancock. No. 2143. SETH D. NORTH, President. W M . CONDON, Cashier. Resources. Liabilitiei Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, e t c . . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, aiidfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. SDuefrom Treasurer U. S Total . $465, 297.39 I Capital stock paid in. $200, 000. C O 1,492.16 50, 000.00 900.00 74,803.11 \\ 18,165.38 10, 767. 70 23,941.20 449.10 4, 538.28 Surplus fund Undivided profits. 35,000.00 19, 774. 32 National-bank notes outstanding . State-bank notes outstanding 45, COO. 00 Dividends unpaid - 286. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 392,133.26 233.84 8,165.00 201.89 20, 775.09 19, 774.00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 2, 250. 00 3, 720. 00 705, 474.14 Total. 6, 636. 34 6, 644.22 705,474.14 Hastings National Bank, Hastings. No. 1745. ANDBEW J . BOWNE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgraents, etc . . Due from approved reserve agents. Due from other national banks . . Due from State banks and bankers. Bank'g-house,furniture,andfixtu res Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. ertificates of deposit. U.S.certif Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. $225, 331. 96 1,323.37. 25, 000. 00 W. D. HAYES, Cashier. Capital stock paid in . Surplus fund Undivided profits. 14,854.98 18, 773.00 National-bank notes outstanding. State-bank notes outstanding $100,000.00 20,000.00 2, 606. 67 22, 500.00 Dividends unpaid ' 17," 500.'66' 353.22 1,190.58 Individual deposits United States deposits Deposits of U. S.disbursing officers. 152, 986.24 687. 58 44. 92 1,430.30 7, 586.00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 17,108.00 1,125.00 Total . 315,200.91 315,200.91 First National Bank, Hillsdale. '.. STEWART, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit. Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 168. $350,316.72 3,066.89 13, 750.00 39, 885. 82 30,121. 73 CHARLES F. STEWART, Cashier. Capital stock paid in . $55,000.00 Surplus fund Undivided profits. 30, 000. 00 24, 818. 23 National-bank notes outstanding.. State-bank notes outstanding 12, 375.00 Dividends unpaid 5, 000.00 "392*92 Individual deposits United States deposits Deposits of Q.S. disbursing officers. 361,093.65 2, 772.68 7,165.00 32.07 24,392.35 5,483.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. 201.05 Bills payable 618.75 510.00 483, 487.93 Total. 483, 487.93 REPORT OP THE COMPTROLLER OF THE CURRENCY. 805 MICHIGAN. First National Bank, Holly. No. 1752. J . C. SIMONSON, President EMERSON M. NEWELL, Cashier. Liabilities. Resources. Loans and discounts ! Overdrafts TJ. S. bonds to secure circulation... j TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . „! Due from approved reserve agents, i Due from other national banks ! Due from State banks and bankers. I Bank'g-house,furniture,andfixturesj Other real estate and rnortg's owned! Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearinghouse Bills of other national banks . . ; . . . Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $126, 097.74 21.24 30, 000.00 10, 616.12 2, 082. 23 Capital stock paid in. 12,000.00 5, 985.49 National-bank notes outstanding.. State-bank notes o u t s t a n d i n g . . . . . 27, 000. 00 Dividends unpaid. 102.50 5, 000.00 Individual deposits 639. 78 United States deposits 1, 200. 00 Deposits of U. S.disbursing officers. 78,180.39 164. 60 1, 254.00 23. 02 1,819.65 3, 000. 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 1, 350.00 183, 268.38 Total . $60,000.00 Surplus fund Undivided profits. Total . 183,268.38 National Bank, Houghton. No. 3334. Z. W. WRIGHT, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation. U. S. bonds to secure deposits... U. S. bonds on hand . Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks . . . | Due from State banks and bankers. Bank'g-house,furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie — Legal-tender notes. U. S. certificates of deposit . Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $438,408.83 2,347.50 50, 000. 00 169, 899. 99 25, 209. 58 2, 900.43 39, 056. 52 1,247. 39 2.756.08 10, 812. 50 991. 02 10,003. 00 155.13 37,099. 35 25, 000.00 JAMES B. STURGIS, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding . State-bank notes outstanding Dividends unpaid Individual deposits Uniied States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $150, 000.00 30, 000. 00 15,535.30 45, 000.00 1,158.00 C66, 944. 57 5, 567. 09 3, 932.36 2,250.00 818,137. 32 Total . 818,137. 32 First National Bank, Ionia. S. A. YEOMANS, President Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc .. Due from approved reserve agents. Due from other national banKS Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house BUis of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 275. FRANK A. SESSIONS, Cashier. $100, 000.00 Capital stock paid in. 20, 000. 00 Surplus fund 3,768. 75 Undivided profits National-bank notes outstanding.. 45, 000.00 8,880.25 State-bank notes outstanding $264, 013.82 3,268.02 50, 000.00 596.46 6,438.41 8, 275 00 18, 264.97 1,768.92 3,070.00 2,198.82 115.00 65.32 31,016.80 1,487.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 232,715. 99 224. 05 2,250. 00 401, 708. 79 Total. 401,708.79 806 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Iron Mountain. No. 3806. JOHK R. "WOOD, President. Resources. Loans and discounts ! Overdrafts TJ. S. bonds to secure circulation .. U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, e t c Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on TJ. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other natioual banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total.. OLIVER EVANS, Oaskier. Liabilities. $125,015. 59 Capital stock paid in I 32.28 I 12, 500.00 Surplus fund Undivided profits National-bank notes outstanding-. 5,999. 59 31,159.00 State-bank notes outstanding 54.46 Dividends unpaid 13, 250. 00 2, 875.00 280.42 2, 828. 00 1G7. 85 6, 054.75 4,375.00 $50,000.00 3,000. 00 8,234.91 11, 240. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 131, 510. 04 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . 1,175.05 Bills payable 562.00 205,160.00 Total. 205,160.00 First National Bank, Ironwood. No. 3971. S. S. CURRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. E. D. NELSON, Cashier. $88,661.61 Capital stock paid in 170.00 12, 500. D Surplus iund O Surplus fund 37, 993.70 $50, 000.00 i 150.00 J Undivided profits ! National-bank notes outstanding..; State-bank notes outstanding J. 3,440.10 11,240.00 Dividends unpaid. 9,716.65 Individual deposits 587.67 j United States deposits 1,156. 25 Deposits of U. S. disbursing officers. 1,306.54 3.94L.00 40. 00 8, 728.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 99,035.97 1,497.35 562.00 Total. 165, 363.42 165,363.42 Ishpeming National Bank, Ishpeming. CHARLES H. HALL, President Loans and discounts., j Overdrafts I U. S. bonds to secure circulation... | U. S. bonds to secure deposits ! U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. Is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 3095. A. B. MINER, Cashier. I $314, 749.68 Capital stock paid in 877.93 12, 500. 00 Surplus fund Undivided profits 2, 800.00 National-bank notes outstanding.. 12,895.16 State-bank notes outstanding $50, 000.00 75,000.00 8, 549.22 9, 950.00 9,912.41 Dividends unpaid "l6f"514."6l" 1, 605.00 204.71 3, 395. 00 17.50 26, 952.50 5,000.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 260, 905. 89 3,641.89 562. 50 408, 047. 00 Total. 408,047.00 REPORT OF THE COMPTROLLER OF THE CURRENCY. 801 First National Bank, Ithaca. JJOBERT M. STEEL, President. M. FOSTER CHAFEY, Cashier. No. 3217. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from otner national banks -.. Due from State banks and bankers Bank 'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Kedemptidn fund with Treas. U. S. Due from Treasurer U. S Total.. Liabilities. $125,79G. 82 1,517.51 12, 500.00 300. 00 8,170. 45 4J9.18 900.00 187 50 82J. 67 2,106.78 350.18 111.39 688. 75 3, 800.00 $50,000.00 Capital stock paid i n . G, 050. 00 4, 891.06 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 11,250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 84, 635.49 Due to other national banks Due to State banks and b a n k e r s . . . 1, 957.58 Notes and bills re-discounted Bills payable 60.00 562. 50 670. 00 158,844. 73 158, 844. 73 Total. People's National Bank, Jackson. J . M. ROOT, President. W. C. LEWIS, Cashier. No. 1533. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Dne from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiumson TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender no tes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total.. $204,187. 27 2,043. 21 25, 000.00 32,800. 00 45,055. 50 17,757. 70 3,355.35 17,185.11 1,310.9* 1,825.00 1,651.45 1, 474.19 7,978.00 43.40 17,113.80 5,100.00 $100, 000.00 Capital stock paid in. Surplus fund Undiviided profits. 20,188. 20 6,502.27 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of TJ. S. disbursing officers. 235,821.45 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125.00 Total. 385, 011. 92 385, 011. 92 First National Bank, Kalamazoo. J. K. WAGNER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bondsonhand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks .. Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. 5. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. D. W. OSBORNE, Cashier. No. 191. $462,834.11 5, 300. 05 25,000.00 14,000.00 55,193.03 1,605.40 13, 597. 51 4, 990.64 1, 355. 59 2,983.00 314. 79 8,323.10 14,095.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing offict rs Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable , $100,000.00 100, 000. 00 64,729.48 22,500.00 90.00 317, 024. 22 6, 373. 52 1,125.00 610,717.22 Total. 610, 717. 22 808 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. City National Bank, Kalamazoo. CHARLES S. DAYTON, President. No. 3210. E. C. DAYTON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned! Current expenses and taxes paid... { Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $125, 000. 00 $475, 511. 49 1,872.42 32,000.00 Capital stock paid in. Surplus fund. Undiv livided profits. 9, 000.00 National-bank notes outstanding.. 61,314. 04 State* bank notes outstanding 81, 000.00 6, 373. 28 28, 800.00 Dividends unpaid. Individual deposits 2,570. 9 L United States deposits 6, 895.00 Deposits of U.S. disbursing officers. 3, 929. 28 1,100.60 366. 00 859.15 6,803.91 20, 050.00 368, 902. 77 I Due to other national banks ! Due to State banks and bankers .. i Notes and bills re-discounted Bills payable 9.85 3, 084.74 10, 542.16 1, 440. 00 623, 712.80 623, 712.80 Total . Kalamazoo National Bank, Kalamazoo. EDWIN J. PHELPS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S . . . : Total. T. S. COBB, Cashier. No. 3211. $364, 211.35 , Capital stock paid in 1,031.60 38,000.00 ! Surplus fund | Undivided profits 350.00 32, 895.28 4, 200.00 4,410.00 2,429.51 4, 600.00 1, 308.98 ! $150, 000.00 43, 000.00 7,738.52 34,200.00 National-bank notes outstanding.. State-bank notes outstanding 180.00 262, 893. 30 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks 2, 200.00 27 10 Due to State banks and bankers . 4,438. 00 Notes and bills re-discounted. 36, 200.00 Bills payable 1, 710.00 Total. 498,011.82 498,011.82 Michigan National Bank, Kalamazoo. JOHN W. TAYLOR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits .. U. S. bonds on hand..., Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes I U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. ALBERT HENRY, Cashier. No. 1359. $430,084.59 324.48 50, 000.00 3,350.00 37, 726.79 1,208.61 16, 000. 00 10,710.51 3, 578. 78 1,475.82 4,115. 00 183. 56 18,963.93 12,023.00 Capital stock paid in Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable j $100, 000.00 100,000.00 34, 798.52 45,000.00 160. 00 311, 678. 36 342.71 15.48 2,250.00 591,995.07 Total. 591.995.07 REPORT OF THE COMPTROLLER OF THE CURRENCY. 809 M ICHIGAN, First National Bank, Lake Linden. JOHN E. JONES, Cashier. No. 3948. JOHN TRELEASE, President. Liabilities. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand ... Stocks, securities, judgments, e t c . . Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures! Other real estate and mortg's ownedj Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash ilems Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TL S. certificates of deposit Redemption fund with Treas. XJ. S Due from Treasurer U. S Capital stock paid in 15, 408. 55 5,2(50. 61 1,495. 06 4,472. 23 837. 45 6, 896.00 22.44 1,150. 00 123.92 5, 785. 35 6, 342.00 j Surplus fund Undivided profits ! $100,000.00 7,086.26 National-bank notes outstanding . State-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 80, 286.61 Due to other national banks Due to State banks and bankers.. 918.76 Notes and bills re-discounted Bills payable 1,125. 00 210, 791. 63 Total. Total . 210,791.63 City National Bank, Lansing. B. F. DAVIS, Cashier. No. 3513. EDWARD W. SPARROW, President. $214, 709. 85 Capital stock paid in. Loans and discounts 295. 92 Overdrafts 25,000. 0 J i Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits ; Undivided profits U. S. bonds on hand Stocks, securities, judgments, etc .. I; National-bank notes outstanding . 29,404. 75 |j State-bank notes outstanding Due from approved reserve agents. 408. 69 !l Due from other national banks Due from State banks and bankers. Dividends unpaid Bank:g-house, furniture, and fixtures] Other real estate and mortg'a owned Individual deposits Current expenses and taxes paid .. 1,284.14 United States deposits 6, 468. 75 Deposits of U. S.disbursing officers. Premiums on U. S. bonds 5,443. 55 Checks and other cash items Exchanges for clearing-house Due to other national banks 1,320.00 Due to State banks and bankers . Bills of other national "banks 62.90 Fractional currency, nickels, cents.! 4, 522.40 Notes and bills re-discounted . Specie 3, 000. 00 Bills payable Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. 1,125.00 Due from Treasurer U. S 294,358. 73 Total. $100,000.00 20,000.00 6,120.27 22,500.00 40.00 145,422. 64 275.82 294, 358. 73 Total. Lansing National Bank, Lansing. ORLANDO M. BARNES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc .. Dae from approved reserve agents Due from other national banks : Due from State banks and bankers Bank'g-house,furniture, and fixtures! Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items . . . Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. " M. L. COLEMAN, Cashier\ No. 1953. $307, 973. 06 2, 012. 62 55, 000. 00 18,199.81 12, 500.00 1,452.01 3,689.44 5,113. 00 42.95 17, 852. 50 2,000. 00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursmgoflicers. $185,600.00 37,120. 00 13, 057. 90 49, 500.00 624.50 142, 908. 59 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 2, 475. 00 500. 00 428, 810.99 Total. 428,810. 99 810 REPORT OF THE COMPTROLLER OF THE CURRENCY. JftlCHIO AN. First National Bank, Lapeer. No. 1731. HSMBT K. WHITE, President, C. G. WHITE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds C hecks and other cash items Exchanges for clearinghouse Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund wiih Treas. U. S Due from Treasurer U. S Total. Liabilities. $275,765.81 9, 801. 34 25, 500.00 9, 500.00 36,215.33 1,299.33 11,794.02 485.17 $75,000.00 Capital stock paid in. Surplus fund Undivided profits 25,000.00 85,408.84 National-bank notes outstanding.. State-bank notes outstanding 19,490.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 182, 996.25 15.18 Due to other national banks 5,560.00 ! Due to State banks and bankers . 746.41 ! 9,950.00 j Notes and bills re-discounted. 115.00 Bills payable i, 147.50 387,895.09 Total. 387, 893. 09 First National Bank, Ludington. GEOKGE W. ROBY, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes ' U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. GEO. N. STRAY, Cashier. No. 2773. $239, 723.22 Capital stock paid in . $50,000.00 484.20 35, 000. 00 15, 000.00 Surplus fund 6, 506.25 Undivided profits. 100.00 833.34 National-bank notes outstanding.. 13,500.00 97,315.78 State-bank notes outstanding 177. 07 178.27 Dividends unpaid 10,000.00 5,000.00 Individual deposits 289, 712. 94 1,223. 56 United States deposits 1, 000.00 Deposits of U. S. disbursing officers. 4,805.60 62.65 15,940.50 2, 000. 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 675. 00 200.00 Total. 394, 719.19 394,719.19 First National Bank, Manistee. THOMAS J . RAMBDELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments,etc.. Due from approved reserve agents. iDue from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned •Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. No. 2539. $422,726.47 9, 703. 50 25,000.00 79,600.00 117,673.42 608. 74 861.23 GEO. A. DUNHAM, Cashier. Capital stock paid in . $100,000.00 Surplus fund Undivided profits 50,000.00 4,794.81 National-bank notes outstanding.. State-bank notes outstanding 22,500.00 Dividends unpaid. Individual deposits United States deposits DepositsofU.S.disbursingofficers. 551,463.76 Due to other national banks 25,678.00 Due to State banks and bankers . 188.49 27,701. 75 Notes and bills re-discounted. 14,403.00 Bills payable 52.95 1,03419 4,000.00 576.11 1,125.00 729,845. 71 Total. 729,845. Tl REPORT OF THE COMPTROLLER OF THE CURRENCY. 811 niCHIOAN. Manistee National Bank, Manistee. RICHARD G. PETERS, President. GEO. M. BURR, Cashier, No. 2606. Resources. Liabilities. Loans and discounts Overdrafts U. S bonds to secure circulation.. IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks — j Due from State banks and bankers. I Bank'g- house, furnit ire, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $263,161. 98 4,964. 52 25, 000. 00 1,600.00 77,853. 73 5,227.48 340. 25 475. 36 3, 519.00 25.75 18,564.45 5, 500.00 $100,000.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 55,000.00 4,462. 81 22,500.00 225,362.60 32.09 1,125.00 Total. 407, 357. 50 407, 357.50 First National Bank, Marquette. GEORGE BARNES, Cashier. No. 390. PETER WHITE, President. Loans and discounts Overdrafts U. S bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalibanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $189, 626.86 1,213.01 35,000.00 10, 500. 00 122, 589.25 30, 291.8 J 5, 435.95 39,000. 00 5,194.06 13,223. 00 73.68 30,987.00 9, 900. 00 $100,000. 00 Capital stock paid i n . Surplus fund Undivided profits 30, 000.00 2, 676.10 National-bank notes outstanding.. State-bank notes outstanding 31, 300.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 329,281.80 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1, 371. 71 1,575.00 Total. 494, 629.61 494, 629.61 First National Bank, Marshall. CHARLES T. GORHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. . . . Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other reai estate and mortg's owned Current expenses and taxes paid... | Premiumson U. S. bonds ! Checks and other cash items ' Exchanges for clearing-house j Bills of other national banks J Fractional currency, nickels, cents . j Specie : Legal-tender notes ! U. S. certificates of deposit j Redemption fund with Treas. U. S .! Due from Treasurer U. S I Total No. 1515. $241,418.57 4,835.76 25,000. 30 58, 800.00 39,714.10 17, 730. 73 10, 000.00 28,417. 68 2, 352.88 NORRIS J. FRINK, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 100, 000. 00 18,419.07 22,500.00 Dividends unpaid Individual deposits United States deposits Depositsof U. S. disbursing officers. 196,724.86 650.38 1, 334. 00 242.83 2,772.00 2, 250. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125.00 1,01)0.00* 437,643.93 Total. 437,643.93 812 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN, National City Bank, Marshall. No. 2023. GEORGE W. BENTLEY, President J. K. BENTLEY, Cashier. Liabilities. Resources. Loans and discounts. Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie.. Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. X S. L Due from Treasurer TJ. S Total. -I $181,316.19 11,325.85 50, 000.00 231.92 3,518.43 2, 538.78 " 8," 040." 66" 677.24 2,100.86 1,122.00 25.31 3,128.15 5, 000.00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 20,000.00 10,130. 24 45,000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 96,144.49 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2, 250.00 271,274.73 Total. 271, 274. 73 First National Bank, Mason. THADDEUS DENBMORE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from Slate banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S bonds ; Checks and other cash items j l Exchanges for clearing-house Bills of other national banks j Fractional currency, nickels, cents . i Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1764. $68,664.21 230.42 15, 000.00 4,063.28 3,904. 56 2, 500.00 691.87 H. L. HENDEBSOX, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits 10, 000. 00 1,703.44 National-bank notes outstanding.. State-bank notes outstanding .."... 13, 500. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 26, 646. 40 268.00 Due to other national banks 110.00 Due to State banks and bankers. 31$. 80 5, 6')4. 70 Notes and bills re-discounted. 54.00 Bills payable 675. 00 101, 849.84 Total. 101, 849. 84 First National Bank, Menominee. S. M. STEPHENSOX, President. Loans and discounts Overdrafts U. S.bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Exemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3256. $342,619.75 322.72 15, 000.00 55,356.73 578.24 38.00 1,011.23 5, 000.00 256.76 28,122. 50 7,032.00 a . A. BLEriCH, Cashier. Capital stock paid in $50,000.00 Surplus fund Undivided profits 25, 000.00 6, 685.68 National-bank notes outstanding. . State-bank notes outstanding 13, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 354, 866.58 Due to other national banks Due to State banks and bankers... 1, 861. 67 4,119.00 Notes and bills re-disoounted. Bills payable 675.00 456,032.93 Total. 456,032.93 REPOKT OF THE COMPTROLLER OF THE CURRENCY. 813 MICHIGAN. First National Bank, Monroe. FREDERICK WALLDORP, President. GrEO. SrALDiNG, Cashier. No. 1587. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, sec unties, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers | Bank'g-house,furniture,andfixturesj Other real estate and mortg'3 owned j Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $148,196. 89 2,157.04 12, 500.00 100. 00 6, 075.00 9, 489.21 1,301.97 5,434. 94 179. 00 020.04 3, 375. 00 17.87 165. 00 8.38 8, 470. 25 2, 200. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . $50, 000. 00 7, 000. 00 3,288. 16 11,250.00 98.00 Individual deposits United States deposits Depositsof U.S. disbursing officers. 129, 379. 84 Due to other national banks Due to State banks and bankers .. 137. 09 Notes and bills re-discounted. Bills payable 562.50 Total. 201,153. 09 201,153.09 First National Bank, Mount Pleasant. ROBERT M. STEEL, President. Loans and disco ants O verdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer U. S Total. N o . 3215. $108, 873. 56 371.62 12, 500.00 7, 753. 03 477.16 10, 955.17 5, 196.02 1, 699. 76 1, 933. 34 411. Of) 45.00 6.36 704. 35 5, 362. 00 D. SCOTT PARTRIDGE, Cashier. Capital stock paid in. Surplus fund , Undivided profits National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 10, 000. 00 7, 389. 99 11, 250. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursingofficers. Due to otber national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable , 62,331.97 15, 879.00 562. 50 Total . 156,850. 96 156,850. 96 Lumberman's National Bank, Muskegon. A. Y. MANN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2081. $522, 334. 89 4, 202.86 25,0U0. 00 89,111.10 1, 618.15 C. C. BILLINGHURST, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits. 50,000.00 30, 404. 59 National-bank notes outstanding. State-bank notes outstanding 22, 500. 00 Dividends unpaid. 12, 832. 35 Individual deposits " *5*626.26' United States deposits Deposits of U. S. disbursing officers 2,924.23 Due to other national banks 11, 371. 00 Due to State banks and bankers .. 105. 25 23, 329.79 Notes and bills re-discounted. 22,000.00 Bills payable 165. 00 517, 950.09 555.20 1,125. 00 721, 574. 88 Total . 721,574.88 814 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. Merchants' National Bank, Muskegon. MATHBW WILSON, President. No. 3088. W. B. McL A UGH US, Cashier. Resources. Loans and disconnts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers Bank'g-house.furniture.andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $255, 906. 74 5,563.47 25, 000. 00 1,000.00 15,114. 57 3, 565. 30 401.10 3, 000.00 4,439.59 1, 750.00 2, 030. 47 3, 059. 00 312.31 16, 574.50 700. 00 Capital stock paid in. $100, 000. 00 urpl Undivided profits 25, 000. 00 4, 324. 46 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 138,107.12 Due to other national banks Due to State banks and bankers... 2, 530.29 211.91 Notes and bills re-discounted Bills payable 46, 868. 27 1,125.00 339, 542. 05 Total. 339, 542. 05 Muskegon National Bank, Muskegon. C. H. HACKLEY, President. No. 1730. Loans and discounts Overdrafts V. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houae. furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S • Total. $508, 373.96 6, 900. 82 25, 00U. 00 3, 470.17 50, 933.42 3, 352. 79 768. 32 37,057.31 6, 267.19 "29," 342* 36 ' " 7," 7ii. 66 300. 57 30, 534. 00 16, 000. 00 GEO. A. ABBOTT, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits . 40, 000.00 63, 098. 53 National-bank notes outstanding. State-bank notes outstanding 22, 500.00 Dividends unpaid. 37.50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 464,469.95 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 37, 030.93 1,125. 00 727,136. 91 Total. 727,136.91 First National Bank, Negaunee. A. MAITLAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers. Bank'g-house, furniture, andfixtnres Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TT. S. certificates of deposit Redemption fund with Treas. U. S. Duefrom Treasurer U. S Total. T. C. TATES, Cashier. No. 3717. $178,476. 75 """i2*566.'66" 19,950.94 4, 742. 58 350. 52 1, 852. 34 3, 000. 00 171.67 465. 00 79.86 16, 282.50 1, 500. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 4,000.00 2, 558. 75 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. ]72,125. 91 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 562.50 239, 934.66 Total. 239,934.66 BEPORT OF THE COMPTROLLER OF THE CURRENCY. 815 MICHIGAN. First National Bank, Niles. No. 1761. THOMAS L. STEVENS, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on D". S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. is. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S 7, 000.00 13, 034.59 1,092. 52 5, 000.00 2,107.93 812.00 78.94 4,656. 95 5,000.00 Dividends unpaid. 775.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 143,174.44 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125.00 500. 00 300, 709.60 Total. CHAS. A. JOHNSON, Cashier. Liabilities. $203, 677.16 Capital stock paid in I $100,000.00 2, 883. 03 25, 000.00 Sur )lusfund 25,000.00 Unc ivided profits. 9,260.16 11, 487. 00 National-bank notes outstanding.. 22,500. 00 17, 254. 48 State-bank notes outstanding | Total . 300, 709.60 Citizens' National Bank, Niles. No. 1886. ORLANDO F. BARNES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total- $156, 083.12 11.05 12, 500. 00 1, 550.00 12,839. G2 17, 624. 02 E. F. WOODCOCK, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits | National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 10,000.00 4,018.04 11,250.00 120.00 Individual deposits United States deposits 2, 679. 68 Deposits of U. S. disbursing officers. 140,167.15 112. 06 1, 302. 00 102. 79 5,188.35 5,000.00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable , 562.50 Total. 215, 555.19 215, 555.19 First National Bank, Ovid. R. M. STEEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund witn Treas. U. S Due from Treasurer U. S Total. No. 3264. $125,130.85 815.25 12,500.00 4, 670.90 190.33 7,358. 00 1,005.94 2,200. 00 4.16 535.00 56.23 3,417.50 5, 995. 00 HORACE N. KEYS, Cashier. Capital stock paid in. lusfund profits . National-bank notes outstanding.. State-bank notes outstanding $50,000.00 5,215.00 1,933.98 11,250.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted...... BiUs payable 81,542.68 14, 500. #0 562. 50 164,441. 66 Total 164,44166 816 KEPOET OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. Second National Bank, Owosso. JACOB SELIGMAN, President. No. 3410. A. D. WHIPPLE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $163, 403.12 1,154.44 15, i)00. 00 2,998.63 137. 08 18, 914.89 Capital stock paid in $60,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 321.15 13, 500.00 10.00 Individual deposits 1, 056. 61 United States deposits Deposits ofU.S. disbursing officers. 8, 657.00 324.77 10, 560. 90 14, 000.00 12,000.00 2, 577.70 149,115. 89 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 675.00 Total 237,203. 59 237, 203.59 First National Bank, Paw Paw. E. SMITH, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation .. U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks - -. Due from State banks and banker) Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks aad other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer TJ. S E. F. PARKS, Cashier. No. 1521. $100, 000.00 Capital stock paid in. 9,000.00 Surplus fund 3, 795. 95 Undivided profits. National-bank notes outstanding-. 22, 500.00 2,121. 06 State-bank notes outstanding 866. 37 Dividends unpaid 5, 000.00 7, 500.00 Individual deposits 64, 778.17 659.37 United States deposits 5, 000.00 Deposits of U. S. disbursin g offi cers. $144,943.48 2, 235. 79 25, 000.00 19.26 592.00 HO. 14 4, 301.65 2,600.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 202,074.12 Total. 2,000.00 1,125. 00 Total. 202,074.12 First National Bank, Plymouth. G. A. STAKKWEATHEB, President. Loans and discounts j Overdrafts ! TJ. S. bonds to secure circulation... I U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers. Bank'g-house,furniture,andnxture Other real estate and mortg's owned Current expenses and taxes paid... Premiums on 0. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. i Specie Legal-tender notes TJ. o. certificates of deposit Redemption fund with Treas. U. Dnefrom Treasurer U. S Total. No. 1916. $82,301. 55 556. 83 50,000.00 350.00 500.00 29,793.44 5,123. 68 7, 775.00 616.49 436. 00 1<>. 99 12,026.00 O. A. FRASER, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 340.00 189,838. 98 Total. $50,000.00 14,000.00 7,202.82 38,460.00 700.00 79,476. J 6 KEPOKT OF THE COMPTROLLER OP THE CURRENCY. 817 1 I C H I GAIV. Plymouth National Bank, Plymouth. N o . 3109. L. D. SHEARER, President. L. C. SHERWOOD, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. U. S. bonds to secure deposits Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andiixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 15. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $116,329.43 439. 59 12,500, 00 801. 64 12.68 4, 298. 86 Capital stock paid in $50,000.00 Surplus fund 2, 500.00 3, 272.11 Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 285.00 Individual deposits 408. 86 United States deposits 1, 000.00 Deposits of U. S. disbursing officers. 58.50 5,210.00 27.51 2, 678.10 3,009.00 11,250.00 70, 059.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted 10,000.00 562. 50 29.44 Total 147,366.11 147,366.11 First National Bank, Pontiac. J O H N D. NORTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. B. S. TREGENT, Cashier. No. 2607. $100,000.00 Capital stock paid in. Surplus fund 20, 000. 00 18, 802. 89 Undivided profits National-bank notes outstanding.. 22, 500. 00 6, 373. 70 State-bank notes outstanding $305,398.66 5,682.99 25, 000.00 1, 713. 66 Dividends unpaid . 8, 000.00 3, 927.19 1, 628.42 81.42 5,324.66 305. 00 3, 200. 00 5, 000.00 18.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 199,199.11 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 12, 240.04 1,125. 00 Total. 372, 760. 04 372, 760. 04 Pontiac National Bank, Pontiac. No. 3388. A. A. LULL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. fi, Ex. 3 52 $237, 345.06 2,117. 33 25, 000. 00 9, 288.96 HENRY J. GERLS, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 10, 514.41 1, 537,02 5, 718. 75 334. 51 1,128. 00 129.15 5, 557. 66 10,151. 00 $100,000. 00 8, 000.00 6,062. 53 22, 500. 00 100.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 165,149.23 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 3,135. 09 5, 000. 00 1,125. 00 309,946. 85 Total. 309, 946. 85 818 REPORT OF THE COMPTROLLER OF THE CURRENCY. M I C H I Q A N. First National Bank, Port Huron. No. 1857. HENRY HOWARD, President. H. Gr. BAKNUM, Resources. Cashier. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits = XT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned; Current expenses and taxes paid... Premiums on U. S. bonds ; Checks and other cash items I Exchanges for clearing-house j Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treat*. XT. S. Due from Treasurer XT. S — - $448. 649.15 1,21.4.64 50, 000.00 5, 231. 35 63, 266. 83 7,170.03 11,480. 37 1, 800. 00 | 3,900.00 ; 1, 819. 98 ! 3, 928.16 3, 521.54 4, 622.00 33.91 16, 899.05 16, 202. 00 Surplus fund Undivided profits. 33, 750. 00 58, 718. 58 National-bank notes outstanding. State-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits United States deposits Depositsof U. S. disbursing oilicers. 369, 526.43 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 2,250.00 i Total. 641,995.01 ! Total. $135, 000.00 Capital stock paid i n . 641, 995. 01 First National Bank, Quincy. C. H. WINCHESTER, President. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. r Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items.. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.lS. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2550. C. L. TKUESDELL, $84, 700.77 i Capital stock paid i n . 1, 235.15 I 12,500.00 ! Surplus fund 10,377.092, 869.95 693.78 469. 80 1, 000. 00 243. 89 3, 327. 00 73.63 1,130.00 1,500.00 Cashier. $50, 000. 00 10, 000. 00 3, 954.48 Undivided profits National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing ofiicers. 45,479.08 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 502. 50 Total. 120, 683. 56 120, 683. 56 First National Bank of Calumet, Red Jacket. EDWARD RYAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixturev« Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3457. $284,847.53 213.95 25, 000.00 73,909.19 10,865.62 9.38 18, 243. 38 463.64 1,100. 00 1, 267. 42 1,160.00 271.75 27, 911. 75 28, 000.00 W I L L I A M B. ANDEESOX, Capital stock paid in. Sur >lusfund Urn ivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Cashier. $100, 000.00 25, 000.00 11,126.71 22, 500. 00 315,911.90 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125. 00 150.00 474, 538.61 Total . 474,538.61 »EPOET OP THE COMPTROLLER OF THE CURRENCY. 819 IICHIGAN. First National Bank, Romeo. No. 354. JOHN H. BUADB, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand [. Stocks, securities, j udgments, etc ..;. Due from approved reserve agents | Due from other national banks : Due from State banks and bankers . Bank'g-house,furniture,andfixture?| Other real estate and mortg's owned! Current expenses and taxes paid.. i Premiums on TJ. S. bonds \. Checks and other cash items ! Exchanges for clearing-house j. Bills of other national banks | Fractional currency, nickels, cents . \ Specie '• Legal-tender notes | TJ. S. certificates of deposit I. Redemption fund with Treas. U. S. i Due from Treasurer TJ. S j Capital stock paid in $100,000.00 Surplus fund Undivided profits 30,000.00 4,092.15 National-bank notes outstanding.. 68,100.00 41,280.87 I State-bank notes outstanding 1,927.00 ' Dividends unpaid 268. 75 8,204.90 j 12,000.00 : Individual deposits 566.33 TJnited States deroosits 68,412.82 Deposits of U.S. disbursing officers. 339.79 J Due to other national banks 180.00 I Due to State banks and bankers 103.43 5,258.40 ' Notes and bills re-discounted 956.00 | Bills payable 3,510.00 j: 1,000.00 j' 270,873.72 Total. CHAS. M. FACKBLS, Cashier. Liabilities. Total ; 270,873.72 Citizens' National Bank, Romeo. No. 2186. EDWIN "VV. CHDDINGS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. - U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furnitnre,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $139, 089. 50 61.57 25, 000.00 26, 716. 61 35.00 10,354.36 1, 800. 00 462. 83 1,101.29 2, 937. 00 64. 32 8, 422. 40 $100,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 16,000.00 5, 937. 76 22, 500. 00 192.50 73,199. 62 1,123.00 Total 217, 829. 88 Total. S. A. READE, Cashier. Capital stock paid in 217, 829.88 First National Bank, Saginaw. No. 1768. AMMI W. WRIGHT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtureiOtherreal estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. I | | \ $561,455.65 140.65 50s 000,00 6(5, 479. 85 3,861.40 1,500.00 T. W. STALKER, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $200,000.00 100,000.00 28,672.37 44, 200. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 346, 739. 53 1, 834. 32 2, 500. 00 13,090.00 73.14 21, 758.70 14, 775. 00 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 7,442. 76 12,664.05 !, 250.00 739, 718. 71 Total. 739,718.71 820 KEPORT OF THE COMPTROLLER OF THE CURRENCY. M I C 21 I <i A I . V Commercial National Bank, Saginaw. DANIEL HXEDIX, President. No. 3911. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. : Due from approved reserve agents.' Duo from other national banks . ... j Due from State banks and bankers i Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... ! Premiums on U. S. bonds ; Checks and other cash item • * Exchanges for clearing-house Bills of other national banks • Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Tivas. U. S. : Due from Treasurer U. S Liabilities. $252, 238.'.',?, j Capital stocirpaicl'in"!.'.".'7.."77. 1,017.87 ! 25, GOO. 00 ! Surplus fund - -.. Undivided profits $100, 000. 00 National-bank notes outstanding.. Slate-bank notes outstanding Dividends unpaid . 22, 500. 00 17, 441. 0'* 502.71 13, 8*5. 77 Individual deposits United States deposits " DepositsorU.S.disbursingofticers. ; ! Due to other national banks 810. 00 ; Due to State banks and bankers . . ; 117.(55 : | fi, 407. M Not es and bills re-discounted 5 ! C,fcOO.00 Bills payable » ' J-C1?. H O G, 875.00 0.11.80 Total. 333, 740. 05 Total. M . 0 . ROBINSON, Cashier. • 10,000.00 3, 655. 79 191, 575.57 0, 014. 69 333, 746. 05 First National Bank, Saint Ignace. No. 3886. O. W. JOHNSON, President. Loans and discounts Overdrafts 17. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents Due from other national b a n k s . . . . Due from State banks and bankt' ^ Bank'g-houso,furniture,and fixtures Other real ostatoand mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund "with Treas. U. S Due from Treasurer TJ. S Total.. $99, EDWARD L. DUIIZIN, Cashier. Capital stock paid i n . 12, -, 087. ( , 005.4r 43 L. , 375. ( 903. ' 347. i 747.1 42. \, f»50. I Surplus fund Surplus fund. Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 4, 000. 00 2, 697. 26 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursingofficers. 73, 799. 50 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 1,174.78 ^02.; 142,921.54 I; Total. 142,921,54 Saint Johns National Bank, Saint Johns. JOHN HICKS, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-liouscfumiture.and fixture? Other real estate and mortg's owned Current expenses and taxes })aid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Trcas. T " S T. Due from Treasurer TJ. S Total. No. 3378. 1\ E . WALSWORTH, Cashier. $276,172.15 :: Capital stock paid i n . . . 2,772.18 :| 33,750.00 ;| Surplus fund I Undivided profits 20, (187. 20 ! National-bank notes outstanding.. 1(5,120. 75 li State-bank notes outstanding .."... 1 Dividends unpaid 8, 500.00 iI Individual deposits 1, 097.12 !: United States deposits 0, 397. 38 Deposits of U. S. disbursing officers. 57.35 Due to other national banks . . . fcri. 00 Due to State banks and banker; 139.37 9. 295. 55 : Notes and bills re-discounted 3,773.00 ! Bills payablo $135, 000. 00 6, (500. 00 5, G39./24 30, 370. 00 203, 326. 31 1,518. : 0 380, 93.3. 55 Total: 380, 935.1 11KP0HT OF THE COMPTROLLER OF THE CURRENCY. 8 2 1 Ill I V. U K J J A N , First National Bank, Saint Louis. 11. M. S T E I X , President, J. A. AYELLER, Cashier. Liabilities. Loiina and discounts Overdrafts IT. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand . Stocks, securities, judgments..etc . . : Due from approved reserve agvurs-; Due from other national banks j Due from State banks and b a n k e r s . 1 . . . . . . Bank'g-house,furniture,andlixtures Other real estate and mortg'sownedi Current (expenses and taxes p a i d . . . ! Premiums on U. S. bonds ! Checks and other cash items j Exchanges for clearing-house i Bills of of her national ban ks I Fractional currency, nickels, cents .! Specie., ." \ Legal-tender notes ; l T . S. certificates of deposit Redemption fund with Treas. U. S . ; Due from Treasurer IT. S ! -! Total. . o!)0. f Capital stock paid in $50, 000.00 « 7 L .'• ,500.0 2,728.7 2, 33-1. 7 1, 823. 0 2, 200. 00 1,349.38 Surplus fund Undivided proiits 1 National-bank notes outstanding., j State-bank notes outst and ing ' j Dividends unpaid 1 700. 91. 917. 2 5i:(). 480. 37. 91. 2,170. 4, 500. 11,250.00 ' Individual deposits (Iniled States deposits 1 )e posits of U.S. disbursing oll'ieers. 63, 702. 83 Due to other national banks Due to State batiks and hankers . NOtes and bills re-discounted . Bills payable 6, G70. G2 5G2. 135,232.83 j 135, 232. 83 Total. First National Bank, Sault Ste. Marie. OTTO TTOWLB. President. Loans and discounts , Overdrafts ; U. S. bonds to secure circulation U . S . bonds to secure deposits U. S. bonds on hand. Stocks, securities, judgments, etc . . Due from approved reserve agents, j Due from other national banks i Due from State banks and bankers. 1 Bank'g-house.furn iture. and fixtures Other real estate av.d morfg'sowned . Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house .. . Bills of other national nanks Fractional currency, nickels, cents. Specie ; Legal-tender notes ! U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer IT. S Total. No. 3547. E. II. M E A D , Cashier. $100,285.58 Capital stock paid in. 237. 34 12,500.00 ' Surplus fund :: Undivided profits i $50,000.00 25, 000. 00 1, 373. 52 13, 800. H) National-bank notes outstanding.. j 2!), 35!.». 57 State-bank notes outstanding. . . . . i 1,086.37 ,• 143. 74 ;! Dividends unpaid 45,785. 14 ;: i ;: Individual deposits ij United. States deposits 3, :<75. ()'.) ij Depositsoi U.S.disbursin<M)lHcers 57i». W " i Due to other national banks j 1,322.0!) ; Due to State banks and b a n k e r s . . ! . 187. Uii ! I 14,735.45 : Notes and bills re-discounted 22, 000. 00 i: Bills payable i 11, 250. 00 158, 932.89 562.50 ;: 240,556.41 || Total. 246, 556. 41 Sault Ste. Marie National Bank, Sault Ste. Marie. T. W. BUKDICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve ageuts. Due from other national banks Due from State banks and bankers.; Bank'g-house, furniture, and (ix lures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges f:)r clearing-house Bills of oth<T national banks | Fractional currency, nickels, cents.: Specie \ Legal-tender notes j U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer IT. S Total.. No. 3747. #14";, «7J). 000,0 •. oOii. •'.7 1 8 . YV. B. CAI»Y, Cashier. Capital stOv-k paid in ,$100, 000. 00 Surplus fund Un<Ii vided jiroiits : I Xational-bank notes o u t s t a n d i n g . . State-bank notes outstanding 1, 000. 00 3, 527. 72 22, 500. 00 ' 834. Dividends unpaid. 480. 00 81.443.41 i, 187. :, ooo. 295. 530. SI. , 583. , 000. Individual deposits ] United States deposits.. j. Deposilsof U.S.disbursingoilicers.'. 17L 503. 90 Due to other national banks Due to State banks and bankers . . : . Xotes and bills re-discounted Bills payable I !. 10,000.00 1,125.00 ; 309, 011. 62 Total. 309, 011. 62 822 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, South Haven. C. J. MOXROE, President. No. 1823. LYMAN S. MONROE, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-hoase,ftirniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid...! Premiums on U. S. bonds i Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $111,210.34 12, 500. 00 100.00 20, 913.50 3,414.35 2,000. 00 Surplus fund Undivided profits. 26,000.00 3,193.25 National-bank notes outstanding. State-bank notes outstanding 11,250.00 Dividends unjmid Individual deposits United States deposits Deposits of U.S.disburaiug officers. 80, 330.52 611.39 3, 588. 00 71.87 8, 751.50 500.00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 87.63 5ti2. 50 170,861.40 Total. $50, 000.00 Capital stock paid in. Total . 170, 861.40 National Bank, Sturgis. N E L S O N I . PACKARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andnxtures Other real Estate andmortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house— Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3276. $111,247.70 1 1 2,099.96 1 1 16, 500.00 25, 731. 25 21, 012. 31 2, 009.50 11,472.98 16,498.76 3, 000. 00 2, 60(5. 38 1, 777. 01) 114.43 5, 784.25 1, 000. 00 W M . M. A.LLMAN, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers $65,000.00 5, 500. 00 2, 549. 02 14, 850. 00 133, 698. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 742. 50 221,597. 02 Total. 221, 597.02 First National Bank, Three Rivers. CHARLES L. BLOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,funt iture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house .. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 600. J. P. MCKEY, Cashier. $100, 000.00 Capital stock paid in. Surplus fund. 20,000.00 Undiv 6,262.20 divided profits. 19, 947. 75 National-bank notes outstanding.. 45,000.00 6,078. 89 State-bank notes outstanding $141, 963. 81 1,280.04 50,000. 00 14, 478.99 9, 576. 00 21,282. 59 2, 055 61 2, 500. 00 551. 79 1, 434. 00 103. 48 20, 306. 70 7, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers Notes and bills re-discounted ... Bills payable 128, 701.78 845.67 2, 250. 00 300, 809. 65 Total . 300,809.65 REPORT OF THE COMPTROLLER OF THE CURRENCY. 823 MICHIGAN. Three Rivers National Bank, Three Rivers. J. W. FRENCH, President No. 3133. L. T. WlLCOX, Cashier. Liabilities. Resources. Loans and discounts Overdrafts*. U. S. bonds to secure circulation... U. S. bonds to secure deposits XJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $119,137. 83 Capital stock paid in. 3, 4'J8.47 16, 000. 00 Surplus fund Undivided profits National-bank notes outstanding. 5, 840.99 State-bank notes outstanding 7,477.03 3, 500. 00 816.10 4, 000. 00 351.49 $64,000.00 9,000.00 6,135. 09 14,400.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks 440. 00 Due to State banks and bankers . 181.58 4, 990. 00 Notes and bills re-discounted . 6, 000.00 Bills payable 77,918. 38 1,430. 02 720.00 Total.. 172,883.49 172, 883.49 First National Bank, Traverse City. JOHN C. LEWIS, President. No. 3325. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Dae from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Duo from Treasurer U. S Total. W. L. HAMMOND, Cashier. $99, 956.46 Capital stock paid in. 1, 600. 85 12, 500.00 Surplus fund Undivided profits - $50,000.00 9,000.00 3,159.11 National-bank notes outstanding.. 3, 348.18 State-bank notes outstanding . . 2, 220. 58 Dividends unpaid. 14, 421.47 Individual deposits 1, 593. 91 United States deposits 2, 656.25 Deposits of U.S. disbursing offici 391.39 Due to other national banks 3, 730. 00 Due to State banks and bankers. 146.48 5, 367. 50 Notes and bills re-discounted . 8, 500.00 Bills payable , 11,250.00 83,586.46 562. 50 Total. 156, 995. 57 156,995. 57 Farmers' National Bank, Union City. THOMAS B. BUELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hon se, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 2372. $85, 317. 50 1, 809.02 50, 000. 00 200. 00 2, 531.06 357. 01 6, 382. 28 7,400.00 2, 675. 00 671.84 767. 50 714.14 H. T. CARFRNTER, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits. 10, 000.00 4,726.74 National-bank notes outstanding.. State-bank notes outstanding 45,000.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks , 1, 794.00 Due to State banks and bankers.. 2.27 2,316.45 Notes and bills re-discounted 6, 000. 00 Bills payable 160.00 56, 612.33 4,689.00 2, 250. 00 171,188.07 Total. 171,188.07 824 REPORT OF THE COMPTROLLER OF THE CURRENCY. MICHIGAN. Union City National Bank, Union City. EZRA BOSTWICK, President. No. 1826. J. W. MCCAUSEY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . .. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and niortg's owned Current expenses and taxes paid..Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $136, 660. 59 ! Capital stock paid in . 4, 316. 70 • ' 12,500.00 j Surplus fund Undivided profits 2, ooo. 66 j $50, 000.00 , National-bank notes outstanding. 7," 698." 85 State-bank notes outstanding Dividends unpaid 1. 800.00 5,102.64 Individual deposits 380.1)7 United States deposits 2, 500. 00 Deposits of U.S. disbursing officers 446. 77 Due to other national banks 1,157.00 Due to State banks and bankers . 53. 50 6, 486. 20 Notes and bills re-discounted . 3,574.00 |i Bills payable 10,000.00 9,127.10 11,250.00 102, 968. 09. 1, 394. 53 62.50 I 184, 739. 72 Total. 184, 739. 72 First National Bank, Vassar. D. Gr. SLAFTER, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks . Due from State banks and bankers. Ban k'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U . S. Due from Treasurer U. S Total. No. 2987. $73, 544. 67 Capital stock paid in. .37 12, 500. 00 Surplus fund • . . Undivided profits. 10, 323. 54 5, 068. 92 5,192. 68 FRANK NORTH, Cashier. $50, 000. 00 6, 000.00 1, 871.65 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid . 1, 036.74 2, 390.62 Individual deposits United States deposits Deposits ofU.S.disbu rain gotticers. 1, 345. 00 82. 02 3, 461. 50 6, 683. 00 Due to other national banks Due to State banks and bankers Notes and bills re-discounted . Bills payable 53, 069.91 562. 50 . 122,191. 58 Total. 122,191.56 First National Bank, Whitehall. ISAAC M. WESTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house.furniture^nd fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 2429. $168, 747. 84 Capital stock paid in . .91 12, 500. 00 Surplus fund Undivided profits . 4, 207. 31 953. 39 S. H. LASLET, Cashier. National-bank notes outstanding.. State-bank notes outstanding $50,000.00 15,000.00 4, 522.22 11,250.00 Dividends unpaid . 6, 500. 00 Individual deposits " "893." 69* United States deposits DepositsofU.S.disbursingofticers. 'i,*547."30" Due to other national banks Due to State banks and bankers . . 20. 75 6, 284.40 Notes and bills re-discounted. 12,323. 00 Bills payable. ~ 133, 719.97 48.90 562. 50 214, 541. 09 Total. 214,541.09 REPORT O F T H E COMPTROLLER Of" T H E O U R R E X O Y . 8 2 5 MICHIGAN. First National Bank, Ypsilanti. DANIEL L. QUIRK, President. No. 155. W. L . PACK, Cashier. Liabilities. Resources. Loans and discounts $305, C33.45 11(5.72 Overdrafts 25, 000. 00 U. S. bonds to secure circulation... XT. S. bonds to secure deposits XT. S. bonds on hand Stocks, securities, judgments, etc . . 18, 524. 25 Due from approved reserve agents. 2G, 720.28 Due from other national banks Due from State banks and bankers. fl, 087.1 6 Bank'g-house,farniture,andnxturesi (i, 000.00 Other real estate and mortg's owned I Current expenses and taxes paid... I 4,051. 80 Premiums on U. S. bonds | Checks and other cash items I 9, G68.89 j Exchanges for clearing-house j Bills of other national banks j 1, 025. Ou Fractional currency, nickels, cents . I 98.17 Specie j 17,276.00 Legal-tender notes 14,017.00 TJ. S. certificates of deposit Redemption fund with Treas. TJ. S 1,125. 00 Due from Treasurer TJ. S Total. 439, 543.72 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $75, 000. 00 25, 000. 00 24,134.96 22, 500. 00- Dividends unpaid Individual deposits United States deposits DepositsofTJ.S. disbursing officers. 292, 908. 76 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total 439, 543. 72 826 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. First National Bank, Appleton. AUG. LEDYARD SMITH, President. HERMAN ERB, Cashier. No. 1749. Liabilities. Resources. Loans and discounts Overdrafts II. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer U. S Total $748, 781.00 13, 375.03 25,000.00 132,942.45 8,456.90 3,993.63 10,000.00 Capital stock paid in. $100,000.00 120, 000. 00 24,930. 39 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaidIndividual deposits United States deposits Depositsof U.S.disbursing officers. 2,842.04 7,699.00 1,407.78 43, 749.00 15, 00D. 00 746,314.57 Due to other national banks Due to State banks and bankers. 626.87 Notes and bills re-discounted . Bills payable 1,125.00 1,014,371.83 1,014,371.83 Total. Commercial National Bank, Appleton. E. C. GOFF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds ou hand Stocks, securities, judgments, etc .. Due from approved reserve agents . Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of otber national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. H. G. FREEMAN, Cashier. No. 2565. • $446, 871.99 Capital stock paid in. $150, 000.00 3,302.82 37,500.00 Surplus fund 30, 000. 00 6,010.84 Undivided profits 2,400.00 35,542.31 5,765.48 1, 346.34 10, 000. 00 3,213.42 3,940.00 201.66 22, 778.23 12, 500.00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing ofiicers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 33, 750.00 362,616.61 2,106. 22 2, 566. 08 1,687.50 587, 049.75 Total. 587,049.75 First National Bank, Ashland. EDWIN ELLIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, btc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate ana mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3590. $200, 555. 82 Capital stock paid in 35. 36 18,750.00 Surplus fund Undivided profits 6, 557. 77 6,173.02 4,866.50 .35,622.93 355. 72 1,317.08 3,103.70 170.00 275.61 7,152.10 8,457.00 C. E. STREET, Cashier. National-bank notes outstanding.. State-bank notes outstanding $75, 000.00 3, 000.00 3,136.96 16,875.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 148,495.50 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 47,500.00 614.85 294,007.46 Total. 294,007.46 REPORT OF THE COMPTROLLER OF THE CURRENCY. 827 Ashland National Bank, Ashland. N. I. WILLEY, Cashier. No. 3196. THOMAS BARDON, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate andmortg's owned Can eat expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. 1271, 902. 88 1, 282.13 12, 500. 00 50, 000. 00 Capital stock paid in $50, 000. 00 2G, 500.00 5,160. 54 Surplus fnnd Undivided profits National-bank notes outstanding. 32,1)05. 00 State-bank notes outstanding 7, 036.19 2,149.20 | Dividends unpaid . 2,1U2. 93 ! Individual deposits 550.81 | United States deposits Deposits of U.S. dLsbursiugotiicers "l25."lC 11, 250. 00 240,159.21 39, 521. 33 4, 898.04 Duo to other national banks 9(55.00 jl 122,77 u Due to State banks and bankers . 30,896.55 ;; Notes and bills re-discounted 3, 728. 00 |i Bills payable 40, 000.00 502. 50 417, 489.12 Total . 417, 489.12 Northern National Bank, Ashland. No. 3607. EUGENE A. SHORES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. C. F. LAI IMER, Cashier. $235,027.69 ji Capital stock paid in.. 1,406.89 i 25,000.00 ! Surplus fund Undivided profits National-bank notes outstanding., 18, 442. 07 j State-bank notes outstanding 4,426.47 ' 28, 990. 89 ; , Dividends unpaid 4,000.00 5, 88U. 02 Individual deposits 2,076.07 ; United States deposits 6, 500. 00 ! Deposits of U. S. dis bursing officers. 1,468.51 • ' 1, 345. 00 113. 63 1, 667. 90 7, 500. 00 Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable , $100, 000. 00 8, 000. 00 11,074. 03 21, 700.00 8.00 191, 955, 46 232. 65 12, 000.00 1,125.00 344,970.14 ; Total . 344, 970.14 First National Bank, Baraboo. T. M. WARREN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,an(lfixtuies Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3609. WM. A. WARREN, Cashier. ; $50, 000.00 Capital stock paid in 12,500.00 ! Surplus fund 900.00 1,603.18 Undivided profits National-bank notes outstanding.. 11, 250. 00 2,591.74- i State-bank notes outstanding $88,690.02 1,854.34 j 971.20 ! Dividends unpaid 7,735.97 I, Individual deposits 1,111.99 :i United States deposits 3,350.00 | Deposits of'U.S. disbursingofficers. 631.47 'j 65,835.02 Due to other national banks 820. 00 58.72 , Due to State banks and bankers . 3,990.25 j Notes and bills re-discounted. 4,720.00 | Bills payable 562.50 i 129, 588. 20 I I Total . 129,588.20 828 REPORT OF THE COMPTrtOU.K.i:, Or1 First National Bnn!: JOHN J. WILLIAMS, President CCI.ICE, Cashier. llesources. Loans and discounts j Overdrafts ! U. S. bonds to secure circulation... U. S. bonds to secure deposits j. U. S. bonds on hand i. Stocks, securities, judgments, e t c . : Due from approved reserve agents. Due from other national banks j Due from State banks and bankers.; Bank'g-house, furniture, and t'ixtui'esj Other real estate and mortg's owned Current expenses and taxes paid...; Premiums on U. S. bonds Checks and other cash items. E x c h a n g e s for clearing-house Bills of other national Wanks j i Fractional currency, nickels, cents. Specie 1 Legal-tender notes ' U. S. certificates of deposit Kedemption fund with Treas. IT. S. Due from Treasurer U. S i C a p i t a l >Ut k \.^i:: i n . ! Undivided $50, 0;.)0. 00 10, 000. 00 0,191.90 :>i o Xational-h State-banfc 2, (>r>3. 27 41, 098.82 7, 11U. 01) 11,250.00 Dividends unpaid 20, 000. 00 4, DUO. 0U individual deposits United SfMtcs dt'posifs C56. 48 i I , ... 103, 928.97 i Duo to other nut ional iuniks 2.8)7.00 j Due to Siat.;«. luijiks am! bankers ..'.. :n.4L 5, 000.00 \ Bills payable. i Total., Total 241, 370. 87 Second National Bank, iieioit. CHARLES H. P A R K E R , President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation...j U. S. bonds to secure deposits j U . S. bonds on hand Stocks, securities, judgments, etc . . Due from appro veil reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, ami (ix.t ures Otb.er real estate and mortg s owned Current expenses and taxes p a i d . . . Premiums an U. S. bonds Checks and other cash items Exchanges for clearing-ho use j Bills of other national banks j Fractional currency, nickels, cents. Specie Legal-tender notes TL S. certificates of deposit Redemption fund with Troas. IT. S Due from Treasurer TJ. S Total. No. 2725. y.'t.wK II. STARKWEATHER, Cashier. $134,908.10 l| Capital stock paid in I 424.70 jl I 12,500.00 || Surplus fund i j| Undivided profits I i; ! 8,202.50 | Xatumal-bank notes o u t s t a n d i n g . . | 3,348.38 I State bank note:* outstanding ..'...I 1,223.37 il 1, 223. 37 il Dividends unpaid. 1, 600.00 1 1 | 2,237.02 2,901.09 2, r>oo. oo 74. 28 2,105. 00 10, 000. 00 $50,000.00 7,000.00 8, 122.38 11,250.00 J Individual deposits i United States deposits ! Deposit sof U.S. disbursingolHoBra. J 108,033.80 Due to other national banks | Due to Sta te banks and bankers . . j Xote.s and bills re-discouuted . Bills payable 502. 50 Totdl . 184,400.18 184, 401). 18 First National Bank, Black River Falls. H U G H H. PRICE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. U. S. bonds to secure deposits . . . U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. Due from State banks and bankers. Bank'g-house, furniture, and u xtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds | Checks and other cash items | Exchanges for clearing-house '. Bills of other national banks I Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total., X o . 3897. E. 1*. LEWIS, Cashier. $77,287.43 li Capital stuck paid in. 044.07 !j 12,500.00 j i" ndiVKied profits $50, 000. 00 2, 500. 00 1,743.15 j; ' Xational-bank notes outHtandin" 0,230.03 |. State-bank notes outstanding ..". 11, 240. 00 224.50 8, 381). til) 0, 00'). 00 990.82 2, <Su). 00 545. 46 52, 338. 79 02. 25 6, 724. 30 Dividends unpaid . Individual deposits United Slaiesdeposits ' Deposi ts of U. S. d is bur.sin % oiftcers. j Due to other national banks I Due to State banks and bankers ..j Notes and bills re-diocounted . Hills payable G, 000. 00 502. 50 123,821.94 Total. 123,821.94 LIE (JO.VI'\ ROlAAlti, OF THE CUKKENCY. KEi'OJiT 829 \Y I ft € O N S I JV . ::i.o'.!,il B ank, Xo. JEROME I. CASK, Burlington. CIIAUNCY HALL, Cashier. lieSoUl'COS. Liabilities. Loans and discounts Overdrafts i U. S. bonds to secure, eireul.it ion...: "U. S. bonds to secure de.i«tsi:N j U. S. bonds on hand -Stocks, securities, juduiue.i;!,.;, e i e . . . Due from approved reserve iu^-um. i Due from other nut ion;; 1 h,!- iks ;, Duo from Slate banks ;ma !>if.j';'-;-s.' Bank'g-house, furniture, and Si •;» ;nv-. Other real estate and IIIOII.U"S,>A u.-.»l Current expenses ami taxe.s paid. ... :• Premiums on U. S. bonds Checks and other cash ileM-..*» ; Exchanges for clearin^-h^uso \ Bills of o t h e r n a t i o n a l '<;.),iUs j F r a c t i o n a l c u r r e n c y , n;ekeki, c e n t s . : Specie | L e g a l - t e u d e r notes I TJ. S. cortilieates ,>i-'d<-p<»sii..: R e d e m p t i o n fund wii h Tre.as. U . S . ; D u o from T r e a s u r e r U. S \ •tf;li;';, ;>8i. 40 1 CapitaI stock paid in . J_\ ">;;•). 10 Surplus fund Undivided profits National-bank notes outstanding.. 3, 231. 74 •State-bank notes outstanding ..'... 15, 000. 00 14, 560. 47 11, 250. 00 Dividends unpaid .... i>, S78. !»8 ;'. Individual deposits 1, !0.->. 0:; '••\ United States deposits Deposits of U. S. disbursing officers. '.! D u e to other national banks Due to State banks and bankers .. 2,0-tt. <;0 11 41.15) 5, 02"). < ; > > (>, 000. 00 ,. G»2. 00 2, 157. 29 5, 913. (il '.Notes and bills re-discounted . Bills payable 11)7, o4!>. 83 ij Total. $50, 000.00 Total . 197, 349. 83 First National Bank, Cliippewa Falls. L. C. STANLEY, President. No. 2125. Loans and discounts j Overdrafts i T). S. bonds to secure circulation. ..j U. S. bonds to secure deposits i U. S. bonds on h a n d . . -. S t o c k s , s e c i i t i t i e s , j i i d . u . i u i ' - . i r s , e f o __• Due from approved reserve ^^ents. 1 Due froit! other national ban Us. .i Due from Statt^ banks and bankers.; Bank\u:-boiKse,fur.;iii ui<\;indtix; ures' Other real esiaie and nion^'stiwneiV Current expenses and luxes }>HH1 . . j P r e m i u m s OP. U. S. bonds *. ... . i Checks and other easii items .: Exchanue.-s for eieit'.-inli'-liciiise Bills of other nation;!I banks ; fractional curre.ncy, nickels, eeiits ; Specie j Leual-tender notes ..'. TJ.'S. <:ertitk:ates of deposit i Itedernption fund with Ti.'e::s. XJ. S -j Due from Treasurer U. S f Total •I L.M.NEWMAN, $:.!>'), ~>">\). 155 i! C a p i t a l stock p a i d i n n,2tn.;u !| 25, (>0U. UU J| Surplusfand. jj Undivided profits 21, 17, :i, 7, 11, r>00, 00 i43. 40 ooo. oo ;">22. (>"> 000.00 Cashier. $100, 000. 00 40, 000. 00 4, 643. 0I !; National-banknotes outstanding. -: ij State-bank notes outstanding ij ! ;I Dividends unpaid j ;i " I •! Individual deposits j 22, 196. 00 210. 101. 57 1, -111* •>• i| U n i t e d S t a t e s deposits ' ], • ''ii. {•{) i Deposits of U . S . d i s b u r s i n g officers.; \, Si.O. 00 2!U>L 14, 7!;>. 00 3, (.'i.iu. 00 \ I ) u e to other n a t i o n a l b a n k s I D a e to S t a t e b a n k s a n d b a n k e r s . . i| |' N o t e s a n d bills re-discounted !; Bills p a y a b l e 4,201.31 342. 87 421.00 ;| Total . 411, 84i. «2 ij 411,844. 82 Lumbermen's National Bank, Chippewa Palls. A. B. MCDOWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, ete .. Due from approved reserve a.^e]\i;\ Due from other national banks . .. Due from State banks and b inkers Bank'g-house, furniture.:!n>.Jli xs i•.;•«'iOther real estate and mortu's u\>'iuy C u r r e n t expenses and tn::es paiil. P r e m i u m s on U. S. bo mis Checks and other cash items Exchanges for clearing-house Bills of other national uanlcs Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund ^vit n Treas. IT. S. D u e from Treasui er U . S Total. N9. 3778. E. D E F. BAKNETT, Cashier. 52.17, <»0R. 77 II C a p i t a l s t o c k p a i d in MI.'20 25, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. Sfcat-(3-bank notes outstanding 23, is:;. 3, J)!);J. $100, 000. 00 10, 000. 00 32,503.08 22, 500. 00 j Dividends unpaid. 17,4^.45 j Individual deposits ! Uni ted States deposits | Do posits oi'U.S. disbursing officers. 203, 238.26 [ Duo to other national banks ! Due to State banks and bankers . 14,31.1 ,r>o i Notes and bills re-discounted. Bills payable ,00 d, 211. 34 Total.. 348, 241. 34 830 KEPOKT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. First National Bank, Columbus. EEUJiEN "W. CHADBOURX, President. No. 178. S. "W. CHADBOURN, Cashier. Resources. ( Loans and discounts O verdraf ts : U. S. bonds to secure circulation... j U. S. bonds to secure deposits : U. S. bonds on hand ! Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dxie> from State banks and bankers Bank'g-house, furniture, and fixtures, Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. IT. S. Due from Treasurer IT. S Liabilities. $103, 015. 00 204. 85 12, 500. 00 in, 681.(34 22, 174. 9-1 1,200.00 Capital stock paid in. 10, 000. 00 5, 797.18 National-bank notes outstanding.. State-bank notes outstanding 11, 240. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 7, 742. 00 (W. 52 5, 224. 7.") 7, 500. 00 106,314.84 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 502. 50 Total . 183,352.02 l Total. $50, 000. 00 Surplus fund '.. Undivided profits . 183, 352. 02 First National Bank, Darlington. P H I L O A . ORTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation — U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. .| Due from approved reserve agents. Due from other national banks j Due from State banks aud bankers.: Bank'g-house, furniture,andtixturos| Other real estate and mortg's owned; Current expenses and taxes paid... Premiams on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks j Fractional currency, nickels, cents. | S pecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S 22, 500. 00 0, 570. 76 349.65 Capital stock paid in. $50, 000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 10,000.00 3, 516. 32 11, 250.00 150. 00 8, 000. 00 " i , " 175*89" Individual deposits United States deposits : Deposits of U. S. disbursing officers. 138, 565. 59 "i, 587.51 Due to other national banks 75.00 Due to State banks and bankers . 70.86 7,759.90 Notes and bills re-discounted. 7, 992. 00 Bills payable 562.50 213,481.91 Total.. GrEO. S. ANTHONY, Cashier. No. 3161. $142. 038. 44 2, 293. 40 12, 500. 00 Total. 213, 481.9L Citizens' National Bank, Darlington. JAMKS JUDGE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Ti-eas. U. S. Due from Treasurer U. S Total. No. 3308. $135,236.62 i 298.41 ' 12, 500. 00 9, 534. 68 175.14 2,169.29 3, 300. 00 368. 74 2, 750.00 204.89 3,331.00 22.91 3, 365. 00 6, 000. 00 G E O . F. W E S T , Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 7, 000.00 2,899.40 11, 250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers 108, 669. 78 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 179,81.9.18 Total . 179,819.18 REPORT OF THE COMPTROLLER OF THE CURRENCY. 831 WISCONSIN. Eau Claire National Bank, Eau Claire. O. H. INGRAM, President. No. 2759. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ' Legal-tender notes TT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. W. K. COFFIN, Cashier. Liabilities. $400, 412. 54 2,243. 96 25, 000.00 20, 507. 58 7,231.73 689.42 1, 262. 40 2, 023. 49 1, 000. 00 7, 357. 78 1,406.00 601. 94 20,174. 50 11, 500. 00 Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding. $100, 000.00 12, 000. 00 27, 813.42 22, 500. 00 Dividends u n p a i d . Individual deposits United States deposits Deposits of U.S.disbursing officers. 310,182.14 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 572. 88 7, 550. 71 21, 917.19 1,125. 00 Total. 502, 536.34 502, 536. 34 First National Bank, Elkhorn. No. 873. J. L. EDWARDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $147, 818.76 2, 716.97 45, 000. 00 W. H. CONGER, Cashier. Capital stock paid In. $50, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. 26,003. 66 State-bank notes outstanding 11, 000. 00 8,091.14 8,197.74 3, 500.00 684. 53 1.461. 34 5, 340. 00 48.91 8, 517.00 10, 000. 00 40, 500. 00 Dividends unpaid. Individual deposits United States deposits I Deposits of U.S. disbursing oiticers. | 151, 722.77 Due to other national banks ! Due to State banks and bankers . . j Notes and bills re-discounted. Bills payable 2, 025. 00 Total. 261, 313. 91 261, 313. 91 First National Bank, Fond du Lac. E. A. CAREY, President, Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estateand mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 555. $388,169.44 89.93 31, 250.00 39,731. 25 23, 066.18 2, 404.13 25, 000.00 3, 689.45 J , B. PERUY, Cashier. Capital stock paid in $125, 000. 00 Surplus fund Undivided profits . 76,914.02 11, 841. 03 National-bank notes outstanding.. State-bank notes outstanding 27, 980.00 Dividends u n p a i d . Individual deposits United States deposits Deposits of U.S. disbursing officers. 333, 800. 28 "l," 541* 65 2, 366.00 315. 30 36, 007. 00 20, 000. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1, 406.25 498. 75 575, 535.33 Total. 575, 535. 33 832 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. Fond du Lac National Bank, Fond du Lac. CHARLES A. GALLOWAY, President. No. 3085. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... I TJ. S. bonds to secure deposits ; U. S. bonds on hand Stocks, securities, judgments, etc . . D u e from approved reserve agents, i Due from other national banks . . . ; Due from State banks and bun leers Bank'g-house.furniture,antl fixtures ; Other real estate and mortg's owned; Current expenses and taxes p a i d . . . j P r e m i u m s on TJ. S. bonds Checks and other cash items j Exchanges for clearing-house ; Bills of other national banks I Fractional currency, nickels, cents .1 Specie j Legal-tender notes i U . S. certificates of deposit I Redemption fund with Treas. IT. S. j D u e from Treasurer TJ. S • Total I G. A . K N A P P , Liabilities. Capital stock paid in Surplus fund Undivided profits , National-bank notes outstanding.. State-bank notes outstanding $-110, 568. 03 289. 48 25, 000. 00 97, 642. S O 3, 603. 09 212.47 11, 000. 00 Cashier. $100, 000. 00 20, 000.00 13,677.71 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 030. 07 5, 7")0. 00 1,088. 10 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 13, 680. 00 217.04 22, 707. 50 30, 000. 00 468,452.85 18.02 1, 125. 00 Total 624, 048. 58 624, 648. 58 First National Bank, Fort Atkinson. No. 157. JOSEPH D. CLAPP, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $99, 077. 08 1, -441.08 15. 000. 00 L. B. CASWELL , Cashier. Capital stock paid in Surplus fund Undivided profits 18,800.00 •j National-bank notes outstanding . . 23, 032. 71 1 State-bank notes outstanding 1 3, 242. 51 705. 09 Dividends u n p a i d . 3, 000. 00 3, 000. 00 Individual deposits (546. 51 I { United States deposits $60, 000.00 12, 000. 00 8, 984. 34 13, 500.00 85, 565.96 ' I Deposits of U. S. disbursing officers. 1, 002. 92 j! Due to other national banks Ji Due to State banks and bankers . I! Notes and bills re-discounted Bills payable 1,413.00 9.10 6,004.10 3, 000. 00 075. 00 Total. 180, 050.3C 180, 050. 30 First National Bank, Fox Lake. . 426. JOHN T. SMITH, President. Loans and discounts — Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owued Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. $78, 013. 58 I 50, 000. 00 6, 000.00 13, 078.14 6, 800. 00 495.45 3, 300. 00 34. 50 1, 246. 08. 5, 525. 0, 000. 00 43 14 00 I J. F. TUTTLE, JR., Cashier. Capital stock paid in. Surplus fund Undivided profits. National-banknotes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. $50,000.00 10, 000. 00 1,146. 02 45, 000. 00 67, 865. 22 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250. 00 1, 200. 00 174, OIL 24 Total . 174,011.24 REPORT OF THE COMPTROLLER OP THE CURRENCY. 833 WISCONSIN. First National Bank, Grand Rapids. No. 1998. J. D. WITTER, President. F. J. Wooi>, Cashier. Liabilities. Resources. Loaus and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ha Stocks, securities, judgments, etc.. j Due from approved reserve agents. ! Due from other national banks ! Due from State banks and bankers. j Ban k'g-house, furniture, and fixtures: Other real estate and mortg's owned; Current expenses ami taxes paid...' Premiums on U. S. bonds ..< Cheeks and other cash items i Exchanges for clearing-house ! Bills of other national banks ; Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit j Redemption fund with Treas. U. S.! Due from Treasurer U. S 183, 960.82 Capital stock paid in 607. 74 1,1, 000. 00 Surplus fund Undivided profits 25, 000. 00 4, 336.11 12, 021. 00 National-hank notes outstanding.. 13, 595.72 State-bank notes outstanding 729.36 ('),(} to. 98 Dividends unpaid . 13, 500.00 i! Individual deposits | 1, G32. 91. ji Uui ted States deposits i i! Deposits of U.S. disbursing officers | j -j Due to other national banks 365.00 i Due to State banks and bankers .. 329.66 I 10, 576.00 j| Notes and bills re-discounted 725.00 :i .Bills payable 148,168. 34 854. 74 5, 000.00 675. 00 246, 859,19 Total.. $50, 000. 00 Total. 246, 859.19 Citizens' National Bank, Green Bay. M, F. MKRICK, President N o . 3884. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank ; g-house, furniture, andfixtures Ot her real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items. Exchanges for clearing-house Bills of other national ban ks Fractional currency, nickels, cents. Specie Legal-tender notes U. 8. certificates of deposit Redemption fund withr Treas. U. S. Due from Treasurer L . S Total. W M . P . WAGNER, Cashier. Capital stock paid in $225, 780.00 64.81) 25, 000. 00 $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 23, 417. 93 2, 54S. J 5 1,799. 2 L 7, 07-"). 00 4, 000. 00 4, 206. 99 22, 500. 00 Dividends unpaid Individual deposits . United States deposits Depositsof U.S. disbursingofticers. Due to other national banks 2, 602. 00 I Due to State banks and bankers . . 46. 30 12, 877. 00 ji Notes and bills re-discounted 5, 000, 00 ] | Bii is pay able 184,460.67 1, 742. 42 6, 500. 00 2,182. 05 2, 002. 57 589.72 1,125.00 Tota]. 31.7, 759. 95 317, 759. 95 Kellogg National Bank, Green Bay. BUFUS B. KELLOGG, President. Loans and discounts j O verdrafts j U. S. bonds to secure circulation... j U. S. bunds to secure deposits ; U. S. bonds on hand. Stocks, securities, judgments, etc .. i Due from approved reserve agents, i Due from other national banks Due from State banks and bankers j Bank'g-house, furniture, and fixtures1 Other real estate and mortg's owned Current expenses and taxes paid .. j Premiums on U. S. bonds j Checks and other cash items ! Exchanges for clearing-house j Bills of other national banks ; Fractional currency, nickels, cents . j Specie j Legal-tender notes ; U. S. certificates of deposit j Itedemption fund with Treas. U. S. Due from Treasurer U. S , Total. H4 Ex. 3 No. 2132. 000. 00 76, 479, 50 1,1 676. 64 3, 524. 35 12. OiiO. 00 • j 12,000.00 ID, 002, 88 13, 500. 00 Dividends unpaid . Individual deposits | U nlted States deposits . !| Depositsof U.S. disbursingofficers. 18, 733, 316. $60,000.00 | : National-bank notes outstanding..! ' State-bank notes outstanding j i Due to other national banks ;: Due to State banks and bankers .. 519, 75 L 22 2, 482,82 33, 303. 29 i; Notes and bills re-discounted. ', Bills payable 675. 1, 000. 660,040.21 ' 53 H. B. BAKER, Cashier. $146, 082. A Capita] stock paid .in. 769. i. 15, 000.1 '•. Surplus fund Undivided profits Total.. 660, 040.21 834 REPORT OF THE COMPTROLLER OF THE CURRENCY WISC ONSIN. First National Bank, Hudson. No. 95. JOHN COMSTOCK, President. A. E. JEFFERSON, Cashier, Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,funiiture,andnxture8 Other real estate and mortg's ovyned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $165,128. 03 .39 12, 500. 00 Capital stock paid in. $50, 000. (0 Surplus fund Undivided profits . 25, 000. << )) 40. O'J6. 02 National-bank notes outstanding.. 18, 302. 95 State-bank notes outstanding 9, 672.73 548. 30 Dividends unpaid. 12, 357. 00 3, 500. 00 ; | Individual deposits : 1, 451.11 ! | U n i t e d States deposits 11, 250.00 109, 648.16 ; D c p jsitsof U.S. disbursing officers.! "l, 845.U3* i Due to other national banks 1,069.00 Due to State banks and bankers . . 90.38 4,200.00 Notes and bills re-discounted . 6, 500. 00 Bill3 payable 1, 732.43 562.50 237, 728.61 Total. 237,728.61 First National Bank, Janesville. J . D. REXFORD, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks j Due froni State banks and bankers. I Bank'g-house, furniture, andfixturesj Other real estate and mortg's owned! Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . No. 2748. $267, 430. 30 612. 54 31, 500.00 3, 000. 00 26,415.48 928.10 928,42 8, 000.00 , 5 2, 000.00 1, 795. 04 8,482.00 193.36 24, 066.20 5, 000.00 J. BODWELL DOE, Cashier. Capital stock paid in I Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $125, 000. 00 17, 000.00 14, 802.14 28, 350. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. 201,666.6,1 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1, 417.50 386, 818.79 Total. 386, 818.7!* Rock County National Bank, Janesville. C. S. JACKMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 749. $298, 495.29 987. 07 25,000.00 58, 738.31 4, 694.92 5, 351. 50 2,434. 93 S. B. SMITH, Cashier, Capital stock paid in. $100,000. 00 Surplus fund Undivided profits 30, 000. 00 9, 032.08 National-bank notes outstanding.. State-bank notes outstanding 21,190. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 289, 518.48 " 3," 030." 82 6,267. 00 216.60 33,189. 56 10, 000.00 Due to other national banks Duo to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125. 00 159. 50 449, 740.56 Total . 449, 740. 56 KEi'OUT OF THE COMl.'1'UULbiiK OV THE CUlittKXUY. W ISCO W SIN. First National Bank, Kaukauna. No. 36 U. H. A.. FRA.MBA.CH, President. FRANK F. BECKER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g-house, furn itu re. and fixtures Other real estate and morlg'sowned Current expenses and taxes paid . Premiums on II. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie '. „ Legal-tender notes IT. S. certificates of deposit Itedomption fund with Treas. U. SDue from Treasurer TJ. S Total. $120, 1, Capital stock paid in $50, 000. 00 '\ Surplus i'and ! : undivided profits . :|! *sr;it ional-bank'notes outstanding. Sure-bank notes outstanding ,3 24 1 0 |; 5 Kit). 0!» j] Dividends unpaid. Wl.K j! ;' Individual deposits 310.1)0 |. United States deposits . •A) I. United States (deposits 2<r>. i s t . (i.'i I Deposit* of U.S.disbursingolHcer.s. '•, Due to otlier national banks Due (.0 State banks and bankers .. |; Notes and bills re-discounted . I Bi 11s payable 9, 50,). 00 2, 3(iO. 20 11, 250. 00 99, 951. 76 32^. 01 5G2. 50 173, 386.97 Total . 173, 38D. 97 First National Bank, Kenosha, Z. G. SIMMONS, President. Loans and discounts. Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Dae from Treasurer U. S Total. 1 GILBERT M. SIMMONS, Cashier. No. 212. $50, 000.00 Capital stock paid in 25, 000. 00 Surplus fund 29, 588. 21 Undivided profits 93,151.50 National-bank notes outstanding.. 11, 250. 00 53, 522. 37 State-bank notes outstanding $293,082.65 j| 1,761). 59 I 12,500.00 I S 579, 49 064.12 7,106.41 . i, 505. 33 I 5, 368. 96 G44. 00 125.71 20, 425. 80 6, 550. 00 Dividends unpaid Individual deposits TTni ted States deposits Deposits of U.S.disbursingoffieers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 377. 790. 58 3, 980. 64 552.50 Total . 497, 609.43 497, 609. 43 La Crosse National Bank, La Crosse. No. 2344. GIDEON C. HIXON, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, e t c . . Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit i Kedemption fund with Treas, TJ. S J Due from Treasurer II. S | Total. •I $532, 238. 29 1,112.72 50, 000. 00 500. 00 41, 789. 84 5, 971. 83 3, 586. 39 20, 000. 00 5,000.00- S. S. BUUTOX, Cashier. Capital stock paid in. Surplus iund burplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $200, 000. 00 40, 000. 00 20, 790. 69 45, 000. 00 Dividends unpaid Individual deposits : TJ nit (id States deposits I Deposits of U.S. disbursing o Ulcers.! 5, 490. 68 i ' 13,609. 00"' Due to other national banks Due to State banks and bankers .. 134.58 31, 810. 50 Notes and bills re-discounted . . 11, 000. 00 j Bills payable , 370, 052.13 48, 645.01 2,250. 00" 721, 4M. 81} Total . 724,493.83 83iJ KEroKT OF TUG COMPTKOLLKR OF T L : CURRENCY. IL WISCONSIN. Union National Bank, La Crosse. ANGUS CAMERON, No. 3412. President. T. N . P E R R Y , Resource Cashier. Liabilities. Loans arid discounts Overdrafts IT. S. bonds to secure c i r c u l a t i o n . . . IT. S. bonds to secure deposits U. S.. b o n d s I 'hand. ' Stocks, securities, judgments, etc Due from approved reserve agents | Due from ot her national banks j Due from State banks and bankers.! Bank'g-hoiise,furniture,andfixtiires Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national'banks Fractional currency, nickels, cents .' Specie ' | Legal-tender notes U. S. certificates of deposit Redemption fund with Troas. U. S. Due from Treasurer U. S Total £244, 605. 104. Capital stock paid in $100, 000. 00 I i 35,000.00 3, 208.80 National-bank notes o u t s t a n d i n g - . j State-bank notes o u t s t a n d i n g . . . . . ; 9, 8'.)9. 10 2, 758. < f Si 583.29 8, 000. 0J | S u r p l u s fund Undivided profits 22, 500. 00 Dividends unpaid j Individual deposits United States deposits Deposil s of U.S. disbursing oflicers. 0'»s. O H (?, 00 i. oo 3, 122. 82 103,148.00 Due t o other national b a n k s D u e to S t a t e banks and b a n k e r s . . 4, m . 00 135. 20 2, 410. O o 15, 000. 00 Xotes and bills re-discounted Bills payable 1,125. 00 Total . 323, 85(5. 80 323, 850. 80 First National Bank of Lake Geneva. AI/VAN E . T Y L E R , President. No. 3125. Loans and discounts Overdrafts. IT. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks .Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. J O S I A I I P>ATIKIELT>, Cashier. Capital stock paid i n . $50, 000. 00 Surplus fund urplus fund L.ndivided profits 3, 700. 00 1,738.48 National-bank notes outstanding . . State-bank notes outstanding . . ' . . . 13, 259. 63 ! Di vidends unpaid 2, 300. 00 Individual, deposits U n i t e d States deposits Deposits of U.S. disbursingofficers. "615." 92* 67,071.15 661.79" Due to other national banks 1, -259. 00 i1 Due to State banks and bankers . 57. 13 6,350.50 I Notes and bills re-discounted 1 , 000. 00 I Bills payable 5G2.50 Total. 134, 359. 63 134,359.63 First National Bank. Madison. "N. B. V A N SLYKE, President. Loans and discounts Overdraft s U. S. bonds to secure circulation... U. S. bonds to secure deposits .. U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 144. $610,477. 98 2,816. 00 25, 000. 00 50, 000. 00 2, 450. 00 8, 819. 70 214,183. 10 W A Y N E RAMSAY, Cashier. i Capital stock paid i n . i i Surplus fund . Undivided profits . { i National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 50, 000. 00 47, 9U4. 00 22, 500. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. i.OO 1, 410. 557 i.-00 21, 381). 59 22, 382. 00 763, 46(5. 04 41, 643. 50 5, 376. 96 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable. 1, 125.00 i: ii 1, 030,1)30. 5!) Total 1,030,980.50 REPORT OF TIIU COMPTROLLER OF THE CURRENCY. 837 WISCONSIN. First National Bank, Manitowoc. No. 832. C. C. BARNES, President. CHAS. LULIXO, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ds o a S Stocks, securities,judgments, ot •-. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bauk'g-kouse, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $217,450.35 Capital stock paid in 1, ;50(). 28 i! 12, 500. 00 ! Surplus fund Mirplus hind.... IJndi vided profits $50, 000. 00 • 13, 000. 00 | National-bank notes outstanding.. | 30,512.18 State-bank notes outstanding .."...'• 4,:'>71.24 108. 28 ; Dividends unpaid 5, 000. 00 •' Individual deposits . •19."), 01. . United States deposits 2, 0 0 5 . 0 0 i! Deposits of U.S. disbursing officers 184.08 : Due to other national banks .1,3(50.00 j Duo to State banks and bankers . 123. 30 13,547.70 : Notes and bills re-discounted . 4, 000. 00 | i Hills payable 10, 000. 00 3, 403. 07 11, 250.00 232, 703. 51 502.50 I 3.7, 447.18 ! j Total. 307,417. 18 First National Bank, Menasha. •So. 3724. R. C. RUSSELL, President. Loans and discounts ! Overdrafts U. S. bonds to secure circulation. - U. S. bonds to secure deposits | U. S. bonds on hand j Stocks, securities, judgments, etc Due from approved reserve agents Due from other national banks ....I Due from State banks and bankers J Bank'g-house,furniture, and fixtures| Other real estate and mortg's owned! Current expenses and taxes paid . . . j Premiums on U. S. bonds Checks and other cash items ! Exchanges for clearing-house Bills of other national "banks j Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Ro BERT GRATIAM, Cashier. $151, 474.95 '• Capital stock paid in 39-1.13 I 20, 000. 00 i Surplus fund Undivided profits 14, 493. 54 787.30 iO, 000. 00 3, 320. 00 2, 844. 27 National-bank notes outstanding. State-bank notes outstanding 1 18, 000. 0 ) Dividends unpaid 13, 857. (52 ; Individual, deposits 888.10 | United States deposits 1, G O 00 '. DepositsofU.S.disbursingorticers O. 240. 03 Duo to other national banks 2, 490. 00 Duo to State banks and bankers . 27. 37 10, 028. 75 Notes and bills re-discounted . . . . 3, 507. 00 Bills payable 117,130. 58 900.00 221,294.85 !| Total. 221,294.85 First National Bank, Menomonie. FRANK J . MCLEAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andnxtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. No. 2851. W. C. MCLEAN, Cashier. $200,772.48 \, Capital stock paid in 117.00 |i 15, 000. 00 j, Surplus fund ! Undivided profits .... j $50, 000. 00 ,..' 10, 000. 00 25, 210.55 National-bank notes outstanding..' 24, 437. O ! State-bauk notes o u t s t a n d i n g . . ' . . . ' . S 8,231.15 | Dividends unpaid '• 15, 240.03' ' 5, 808. 1 0 Individual deposits . 94*. 53 United States deposits [ 1,000.00 Depositsof U.S.disbui'sim;offi<:ers.! i 5. 00 Due to other national banks . 510. 00 <\ Due to State banks and bankers . ! 51.39 i 10,790.40 i ! Notes and bills re-discounted 3,000.00 !|I JJills x>ayable 13, 500.00 193, 901.87 075. 00 292,07«.42 ;| Total. 292,078.42 838 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. First National Bank, Merrill. J. W. LAUD, Cashier. "So. 3704. LKANDER CHOATB, President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation . . IT. S. "bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bunk'g-house,furniture,and fixtures Other real estate and mortis owned Current expenses and taxes paid . . Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house 33'ills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TT. S. certificates of deposit Redemption fund with Treas. TT. S. Due from Treasurer U. S Liabilities. $189,908.98 01.91 12, 500. 00 9,941. 4;} 65,221.98 5,861.91 1, 95(5. 44 122.30 423. 65 3, 500. 00 3,115. 07 3, 755. 00 45. 29 13, 425. 25 4, 000.00 Capital stock paid in 50, 000. 00 13,056.97 National-bank notes outstanding . State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 189, 399. 36 G98.-38 562.50 Total. 314,404.71 Total. $50, 000.00 Surplus fund . Undivided profits 311,404.71 First National Bank, Milwaukee. H. H. CAMP, President. No. 2715. F. G. BIGELOW, Cashier. $1,435,552.56 Capital stock paid in . Loans and discounts 8, 856. D'J Overdrafts 50, 000.00 Surplus fund U. S. bonds to secure circulation... , 180, 000.00 Undivided profits . U. S. bonds to secure deposits 1, 500.00 U. S. bonds on hand 266,480.11 Xatioi'al-bank notes outstanding. Stocks, securities, judgments, etc . . 446, 463. 20 State-bank notes outstanding..... Due from approved reserve agents. 70, 914.05 Duo from other national banks 10, 325. 00 Dividends unpaid Due from Stato banks and bankers. Bank'g-houso,furniture,and fixtures Other real estate and mortg's owned Individual deposits Current expenses and taxes paid . . United States deposits 32, 974.52 Depositsof U.S. disbursing officers. Premiums on U. S. bonds 6, 034.15 Checks and other cash items 60,812.39 Due to other national banks Exchanges for clearing-house 2, 865.00 Due to State banks and bankers.. Bills of other national banks 1,281.83 Fractional currency, nickels, cents426,670.00 Notes and bills re-discounted Specie 78, 000. 00 Bills payable Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total. 3, 080, 979.74 Total $200, 000. 00 100, 000. 00 75, 000. 00 45, 000. 00 1,709,174.24 19,979.73 151, 860, 41 635, 418. 50 144, 540.86 ! 3,080,979.74 Milwaukee National Bank of "Wisconsin, Milwaukee. CHARLES T. BRADLEY, President. So. 1017. $1,453,241.74 Loans and discounts 7, 390. 64 Overdrafts 50, 000. 00 U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 300, 832.42 Due from approved reserve agents. 39, 902. H Due from other national banks 2, 708. 27 Due from State banks and bankers. 75, 000. 00 Bank'g-hoTise.furniture,and fixtures Other real estate and mortg's o wne-d Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items 38,815. 14 Exchanges for clearing-house 5, 570. 00 Bills of other national banks 809. 07 fractional currency, nickels, cents. 120, 100.00 Specie 100, 000.00 Legal-tender notes U. S. certificates of deposit "*2," 250.00 Kedemption fund with Treas. U. S. Due from Treasurer U. S Total 2,190,716.5!) F . L . B A K E U , Cashier. Capital stock paid in . Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding.. _\. $250, 000. 00 2"0, 000. 00 01, 243. 55 45, 000. 00 Dividends unpaid Tndividuai deposits United States drposits Depositsof U.S. disbursing officers. 1, 018, 530. 83 Due to other national banks Due to State banks and bankers.. 375, 333. 04 1G6, 600.17 Notes and bills re-discounted. Bills payable Total. 2,196, 710. 59 REPORT OF THE COMPTROLLER OF THE CURRENCY. 839, WISCONSIN. National Exchange Bank, Milwaukee. CHARLES D. NASH, President. No. 1003. GRANT FITCH, Cashier. .Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from, other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mottg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $1, 519, 523. 51 1, 402. 99 200, 000.00 250, 000. 00 6, 950. 00 140, 800. 00 335, 566.13 120, 797. 77 33, 875. 64 45, 0U0. 00 142, 842. 92 6, 728. 00 234. 53 202,104.00 192, 280.00 $400, 000.00 Capital stock paid in . Surplus fund Undivided profits 100, 000.00 48,713.22 Xafional-bank notes outstanding Slate-bank notes outstanding 180, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingonicers . 1, 953, 079.22 143, 068.60 119, 711. 7.1 Due to other national banks.'. Due to State banks and bankers.. 156, 229. 73 113,241.39 Notes and bills re-discounted. Bills payable 9, 000.00 Total. 3,214,043.87 3,214,043.87 First National Bank, Mineral Point. JOHN H. VIVIAN, President No. 3203. Loans and discounts Overdrafts U. S. bonds to secure circulation .. TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-houso,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other natioual banks Fractional currency, nickels, cents . Specie Legal- tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. 5177,640.89 4, 959. 63 25, 000. 00 8, 865. 79 1,711.50 1, 793. 45 ""752."33" 1, 700, 00 166.11 "375.66 54. 30 5, 582.15 447. 00 PHIL. ALLEN, J R . , Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 10, 000.00 5, 513.48 National-bank notes outstanding State-bank notes outstanding 22, 500.00 Dividends unpaid 80.00 Individual deposits United States deposits DepositsofU.S.disbursingofhcers. 92, 079.67 Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 1,125. 00 230,173.15 Total. 230,173.15 First National Bank, Monroe. A. LUDLOW, President. Loans and discounts J Overdrafts TJ. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits i U. S. bonds on hand ! Stocks, securities, j udgments, etc .. I Due from approved reserve agents. | Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned! Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ". Legal -tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 230. $292,566. 34 25, 000.00 53, 297.82 3, 604. 60 150^91 2,127.15 315.93 123.66 52. 78 13,591.35 2,500.00 HENRY LUDLOW, Cashier. Capital stock paid in . $100, 000. 00 Surplus fund Undivided profits 50, 000. 00 29, 886.02 National-bank notes outstanding . State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Depositsoi'U.S.disbursingoHicers. 192, 570. 86 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 1,125. 00 502.00 394, 956. 88 Total. 394, 950. £ 840 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. Manufacturers' National Bank, Neenah. HIRAM SMITH, President. S. B.MORGAN, Cashier. No. 2G03. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national b;mks Due from State>banksand bankers. Bauk'g-house,furniture,andtixtures Other leal estate and mortg's owned Current expenses and taxes paid... Premiumson U. S. bonds Checks and other cash items Exchanges for cloaring-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund "with Treas. TJ. S . Due from Treasurer U. S Total. $248, 512. 84 1,181.90 17, 000. 00 10, 083. 20 89;*. 21 $65, 000.00 Capital stock paid in. Surplus fund Undivided profits 15,000.0 ) 34, 97U. 4 i National-bank notes outstanding.. State-bank notes outstanding 15, 300.0\) Dividends unpaid ""8,"069.*2i" Individual deposits Obi." 4 4* Unit ed States deposits 4,418.48 Depositsof U.S.disbursing officers. 174, 394. :U 159. G5 3, 720. 00 88.78 5,5(51.00 (5, 6JU. 00 Due to other national banks Due to State banks and bankers . . 3,415.9* Notes and bills re-discounted . Bills payable ""765." 66" 308, 080. 74 Total. 308, 080.74 National Bank, Neenah. No. 1602. ROBERT SHIELLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to-secure deposits U. S. bonds on hand ... Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks... Due from Stato*4)anks and bankers Ban k'g- house, furniture, andfixtures Other real estate andmort g's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total . :;JS2, S;NJ. 05 7,9:51.80 20, 000. 00 40,710.5)0 4, 875.2(5 15, 373. 97 J x o . P . SHIELLS, Cashier. Capital stock paid in $75, 000. 00 Surplus fund Undivided profits 25, 000, 00 7, 2o7. &9 National-banknotes outstanding.. State-bank notes outstanding 18, 000. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingollieer.s. 373,450. 6(5 1,052.32 1,400.00 424. 44 12,046.75 5, 50U. 00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 490. &\ 806.11 900. 00 500,041.49 Total. 500,041.49 Oconto National Bank, Oconto. GEORGE BEYER, President. Loans and discounts I Overdrafts I U. S. bonds to secure circulation.. ! U. S. bonds to secure deposits \. IT. S. bonds on hand Stocks, securities, judgments, etc .. j Due from approved reserve agents, j Duo from other natuftial banks L Due from State banks and bankers.!. Bank'g-house,furniture,and fixtures] Other real estate andmortg'sowiiedj. Current expenses and taxes paid - i Premiums on U. S. bonds . j Checks and other cash i terns Exchanges for clearing-house \. Bills of other national banks • Fractional currency, nickels, cents. | Specie '. ; Legal-tender notes i U. S. certificates of deposit'. .. ... !. Redemption fund Avith Treas. U. S. Due from Treasurer U. S Total. No. 3541. WM. K. SMITH, Cashier .$18:;, 927.89 1 Capital stock paid in 1 1,577.00 | 15,000.00 |j Surplus fund ij Undivided profits 5, 450. (K) i National-bank notes outstanding.. 7, 858.61 j State-bank notes outstanding Dividends unpaid ' 5,000.00 |f I Individual deposits 11 (J. 95 ji Unit od States deposits ; (581. 25 :| Depositsof U.S.disbursing otticers-j 1,090.11 •'! ! j Due to other national banks 9, ".OH. 00 '\ Due to State banks and bankers 1491 12, 117.80 Notes and bills re-discounted 7, 500.00 Bills payable $50, 000.0U 10, 000. 00 3, 547.49 12, 690.00 174, 481.03 075. 00 250, 718.52 Total . 250,718.52 REPORT OF THE COMPTROLLER OF THE CURRENCY. 841 WISCONSIN, National Bank, Oshkosh. No. 2877. SAMUEL M. HAY, President. CHAS. SCHRIBER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation... XT. S. bonds to secure deposits XT. S. bonds on liand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks J)ue from State banks and bankers Bank'g-house,furniture.and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, ceuts. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XT. SDue from Treasurer U. S Total. $888, 793. 1, 300. 50. 000, 50| 000. 0r> 78 00 00 Capital stock paid in $200, 000. 00 Surplus fund Undivided profits. 35, 000. 00 National-bank notes outstanding.. 219,673.57 ! State-bank notes outstanding 61,825.31 ; 33, 208. 30 ; Dividends unpaid 40,000.00 , Individual deposits United .States deposits 10, 000. 00 Deposits of U.S.disbursing officers9, 105. 26 Due to other national banks 13,429.00 ! Due to State banks and bankers. 810.29 j 100,550.00 i Notes and bills re-discounted. 40, 000. 00 Bills payable 100, 000. 00 28, 811. 72 44, 250. 00 1,129,751.63 47, 245. 00 35. 97 5,971.28 2, 250. 00 Total 1,556,005.60 ; 1,550,065.00 Union National Bank, Oshkosh. No. 1787. DANIEL L. LIBBEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ! Stocks, securities, judgments, etc... Due rroni approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houge, furniture, and fixtures Other real estate aud mortg's owned Current expenses and taxes paid-.. Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT, S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $544, 364. 04 * 75.35 50, 000. 00 14. 479. 02 8,517.29 1, 247. 64 23, 789. 58 4, 030. 06 3, 500. 00 3,454. 04 MORRIS JONES, Cashier. Capital stock paid in $200, 000. 00 Surplus fund Undivided profits .' National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 50, 000. 00 ] 7, 956. 52 45, 000. 00 1, 528. 87 Individual deposits United States deposits Depositsof U.S. disbursing officers. 402, 238. 62 Due to other national bunks 4*922. ()(V Due to State banks and bankers .. 60. 00 36, 929.14 Notes and bills re-discounted . 21, 500. 00 Bills payable 2,250.00 719,118.76 719,118.70 Total First National Bank, Racine. NICHOLAS D. FRATT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.'S. bonds Checks and other cash items Excuanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 457. $455, 571.49 |[ Capital stock paid in 757. 39 ii 25, 000. 00 Surplus fnnd Undivided profits 43, 943. 58 3, 825. 03 10,000.00 j H. B. MUNEOE, Cashier. National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 95, 000. 00 7, 935. 69 22, 500. 00 Dividends unpaid . Individual deposits " l , 6 0 2 . ' 4 8 "ij United States deposits Depositsof D.S. disbursing officers. 3,528.95 |j Due to other national banks 4,131.00 Due to State banks and bankers .. 172. 76 24,401.45 Notes and bills re-discounted.. 15, 350. 00 Bills payable , 361, 958.44 1, 560. 53 445.47 1, 125.00 I 581), 409. 13 Total. 589, 409. 13 842 KEPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. Manufacturers' National Bank, Racine. JEROME I. CASE, President. No. 1802. B. B. NOKTHROP, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items $981, 539. 98 4, 930. 27 50, 000. 00 Bills of other national banks Fractional currency, nickels, cents. Specie • Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U.S 5, 729. 00 321. 90 59, 735. 29 4,259. 00 Total 75, 680. 00 70, 762. 31 22,18(3. 32 3, 338.41 10, 000. 00 2, 607.65 Capital stock paid in $250, 000. 00 Surplus fund Undivided profits 100,000.00 34, 918.59 National-bank notes outstanding.. State-bank notes outstanding 45,000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 667, 947.97 5, 201. 89 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 2, 675.46 100,000.00 100, 000.00 2, 250. 00 2, 000. 00 Total 1, 300, 542. 02 1, 300, 542. 02 Union National Bank, Racine. C. R. JOHNSON, President. N o . 2557. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house,furniture,and fixtures Other real estate and mortg's ownedj Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $480,211.78 2, 225.46 37, 500. 00 21,254.84" 14, 093. 84 25, 160.47 2, 000. 00 2,781.66 E. C. DEANE, Cashier. $150,000.00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding-. State-bank notes outstanding 30, 000. 00 29, 110.14 33, 750. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers, j 2*505.12" Due to other national banks 4, 820. 00 Due to State banks and bankers . . 258. 84 12, 972.00 Notes and bills re-discounted 10, 620. 00 Bills payable 300,124. 75 106. 62 15, 000. 00 1, 687.50 Total. 618,091.51 618, 091. 51 First National Bank, Ripon. EDWARD P . BIIOCKWAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national ban ks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U Due from Treasurer U. S Total. No. 425. $228, 335. 30 196. 0 L 15, 000. 00 30, 482. 60 21,080.00 '"" 8," 660." 66" GEO. L. FIELD, Cashier. Capital stock paid in Surplus fund Undivided profits $60, 000. 00 * National-bank notes outstanding.. State-bank notes outstanding. 36, 000. 00 2, 072. 51 13,500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers. 213, 640. 71 347.77 i 2, 223. 00 22. 74 10,150.80 8, 700. 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 675.00 325,213.22 Total. 325, 213. 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. 843 W 1 S C O W$I!¥. First National Bank, Shullsburgh. JOSEPH COPELAND, President. No. 4055. . SAVAGE, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation . . . U. S. bonds to securo deposits X S bonds on band J Stocks, securities, judgments, etc.. Duo from approved Tcserve agents Due from other national banks Duo from State banks and bankers Bank'ghouse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes i>aid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills or" other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due fro in Treasurer TJ. S Liabilities . $112,519.41 2, 725. 02 12, 500, 00 Capital stock paid in National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid i,'iH7.'8<J' 1, 759. 24 : '. Individual deposits 236.70 United States deposits 3,(509.38 ; Deposits of U.S. disbursing officers. 134.75 Due to other national banks 255.0.) Due to State banks and bankers 10. 5G 3,806.25 Notesand bills re-discounted 7, 096. 00 .Bills payable 11, 250. 00 89,713.14 502. 50 151, 624. 35 Total 661. 21 Undivided profits 189.17 4,241.88 $50, 000. 00 151 0C)4 35 Total First National Bank, Stevens' Point. A. E. BOSWOETH, President Loans and discounts Overdrafts IT. S. bonds to securo circulation... TJ. S. bonds to secuVc deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due, from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,furnLture,and fixtures Other i eal estate and morrg's owned] Current expenses and taxes paid ..j Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit liedemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3001. W. B. BUCKINGHAM, Cashier. Capital stock paid in. $50, 000.00 12~ 50b". "o"o Surplus fund Undivided profits . National-bank notes outstanding.. 42, 028. 69 State-bank notes outstanding 15,908.98 202.24 Dividends unpaid. 23, 500. 00 2, 684. 77 $241,287.91 8U0. 00 3, 500. 00 1,176.27 3, 000. 00 116. 30 Individual deposits United States deposits Deposits of U. S. disbursing officers 3, 598. 00 237. 09 4,981.40 8,475.00 11,250.00 250. 00 Duo to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 250, 635. 95 562.50 338, 49 i. 38 Total. 338,494.38 First National Bank of "West Superior, Superior. W. B. BANKS, President. Loans and discounts . Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand | Stocks, securities, judgments, etc ..' Due from approved reserve agents. | Due from other national banks i Due from State banks and bankers j Bank.'g-house, furniture, and fixtures! Other real estate and mortg's o wned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specio Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dne from Treasurer U. S Total.. No. 3926. W. H. SLACK, Cashier. $130, 430.86 Capital stock paid in $100, 000. 00 105.12 2,000.00 25,000.00 Surplus fund 6, 507. 98 Undivided profits. 22,000.00 National-bank notes outstanding.. 28, 4G3. 09 State-bank notes outstanding . . 22, 394. 68 667. 85 Dividends unpaid 51,573.16 Individual deposits 156, 535. 58 1,813.28 United States deposits 1, 218.75 Deposits of U. S. disbursing ofh" cers. 2,437.27 Due to other national banks Due to State banks and bankers . 44. 35 12,770.15 Notea and bills re-discounted . 9, GOO. 00 Bills payable 1,125. 00 287,043.56 j Total. 287, 043. 5G 8-li REPORT or Tin: COMPTROLLER OF THE CURRENCY. WISCONSIN. "Wisconsin National Bank, Watertown. DANIEL -TONES, President Xo. 10)0. P E T E R V. BROWN, Cashier. Resources. Liabilities. Loans a n d d i s c o u n t s Overdrafts U. S. bonds t o secure circulation . . . U. S. bonds t o secure deposits IF. S, bonds on h a n d Stocks, securities, j u d g m e n t s , etc . . D u o from a p p r o v e d r e s e r v e a g e n t s D u e from o t h e r national b a n k s D u o from S t a t e b a n k s a n d b a n k e r s . Baiik\<;-h<>uso,furniture.anduxturesj Other real e s t a t e and mortg's owned C u r r e n t expenses a n d t a x e s p a i d . . . P r e m i u m s on U. S. bonds C h e c k s and o t h e r c a s h i t e m s E x c h a n g e s for clearing-house Bills of o t h e r national b a n k s F r a c t i o n a l currency, nickels, c e n t s . Specie '. Legal-tender notes XL S. certificates of deposit Redemption fund witli Treas. U. S. D u e from T r e a s u r e r U . S 17.'), 592. 11) I Capital stock paid in 4, 147. Si) 12, 500. Oi) Surplus fnud U11 d i vided p rofits $50, 0;;0. 09 25, 000. 00 5,309.34 10, 000. 00 ! Xational-bauk notes o u t s t a n d i n g . . 24, OSS. D i State-bank notes o u t s t a n d i n g O 1,184. 09 ' Dividends u n p a ; 1 5,000.00 i 2,771,08 i I n d i v i d u a l deposits 1,2:59.10 United States deposits J, 800.1.0 . Deposiisof. (J.S.disbursing officers 472.03 ' D u e to o t h e r national b a n k s 7, 879. 00 D u e to S t a t e b a n k s a n d b a n k e r s . . 201. 'AS 11, 812. 75 N o t e s and bills re-discounted . 3, 700. 00 Bills payable 11, 250.00 171,484,92 910. 20 502.50 1 204, 004.46 Total. | Total. 264, 004. 46 National Exchange Bank, Waukesha. E . M. JAMESON, President. No. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,.judgments, vtc . Due from approved reserve agents Duo from other national banks Due from State banks and bankers . Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes X . S. certificates of deposit T Kedemption fund with Treas. XJ. S . Due from Treasurer XJ. S 2647. 3oo." 66" : $50,000.00 3, 000. 00 5, 043. 36 Undivided profits 10, 521.1)3 National-bank notes outstanding.. 36,721.87 i State-bank notes outstanding ..... 3,920.77 """i,"p66.*66" 8,000.00 1, 020. 77 1, C89. 00 289. 30 5, 4Q~). 0 0 88. 96 0, 216. 80 2, 335. 00 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officors. 128,226. 81 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable , 5(32. 50 197, 520.17 Total. W. P. SAWYER, Cashier. $98, 699.15 .' Capital stock paid in. 1,389.00 '• 12, 500. 00 Surplus fund Total. 197, 520.17 Waukesha National Bank, Waukesha. Xo. 1086. A. J. FRAME, President. TiOans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to »secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . D'ie from approved reserve agents. 1) u 0 from oi her nat ional ban ks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C liecka and other cash items Exchanges for clearing-house Bills of other national banks Fractional ourroncy, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. "I $558, 539.1 5 2,411.93 50, 000.00 no.'oo 88,100. (i0 64,603.47 19, 696. 64 ""i'i,"000. (10 " Hi XHY M, FRAME, Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 20, 000. 00 22, 504. 88 Xational-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 I Dividends unpaid Individual deposits I T nited States deposits 13, 000. 00 ; Deposits of U.S. disbursing officers 4,041.02 I Due to other national banks 1,083.00 Due to State banks and bankers .. 300.00 28,291.10 ; Xotes and bills re-discounted. 17, 450. 00 ! Bills payable .• 676, 532. 07 2, 250. 00 Total. 864, 036.95 REPORT OF TUK CO.MPTROM.Kit Ol' fill:', CURRENCY. 845 WISC OIVSIN. First National Bank, Waupun. G. W. MITCHELL, President. GEO. F. WHEELER, Cashier. Liabilities. Resources. Loans and discounts $114, 410. 75 Capital stock paid in. 54. 00 Overdrafts TT. S. bonds to secure circulation 12.500.0U | Surplus fund 17. S. bonds to secure deposits . . Ii ITiidivided profits U. S. bonds on hand Stocks, securities, judgments, e t c . . ' . . I' Nat ional-bank notes outstanding.. Due from approved* reserve agents, j 12. 72!). 18 i: State-bank notes outstanding . / Duo from other national banks. • f j 7 8 . l l . ;' | Duo from State banks and bankers. 138. 55 i! Dividends unpaid ' Bank'g-houso,furnituro,and fixtures 8,107.41 i! Other" real estate and mortg's owned . . ! | Indi virtual deposits Current expenses and taxes paid... 5:.'4, 79 I j United States deposits Premiums on U. S. bonds «";00. 00 !: DepositsofU.S.disbmsingotficers.! Checks and other cash items 110.00 I t Exchanges for clearing-house '.. i Due to other national b a n k s Bills of other national banks | 3, SJOO. 00 |i D u e to State banks and bankers. Fractional currency, nickels, cents. 76.73 | Specie Notes and bills re-d iscounted Legal-tender notes H, 500.00 I Bills payable. IT S. certificates of deposit . . . Redemption fund with Treas. U. S 5G2. 50 Due from Treasurer U. S Total. 162,185. 02 | Total.. $50, 000. 00 io ooo.oo 0, 080. 27 11, 250. 00 84, 815. 75 162,185. 02 First National Bank, Wausau. DANIEL L. PLUMKR, President. Xo. 2820. A..H. GUOUT, Cashier. Loans and discounts $393,792.43 , Capital stock paid in | Overdrafts 17. S. bonds to secure circulation... 25, 000. C ; Surplus fund O j IT. S. bonds to secure deposits !... j Undivided profits" i TT. S. bonds on hand j. „. 'I ! Stocks, securities, judgments, e t c . . ! . . . j National-bank notes outstanding..! I>ae from approved reserve agents.! 121,132. 75 !: State-bank notes outstanding | Due from other national banks ... Due from Slate banks and bankers., 3, 844.20 i Dividends unpaid Bank'g-house, furniture,anu fixtures i 6,000.00 ij Other real estate and mortg's owned . . . i Individual deposits Current expenses and taxes paid...' 1,499.36 ;j United States deposits ! Premiums on U. S. bonds !... ' Deposits of U. S.disbursing officers. Checks and other cash items | 1, (i i 5. C O Exchanges for clearing-house i Due- to other national banks Bills of other national banks i 935. 00 Fractional currency, nickels, cents.! 157. 30 Due to State banks and bankers . . Specie 21,903.20 Notes and bills re-discounted . Legal-tender notes 9,465.00 Bill s payable U. S. certificates of deposit Redemption fund with Treas. TT. S. 1,125. 00 Due from Treasurer U. S. Total. 586, 984.05 Total. $100,000.00 11, 000. 00 7, 406. 45 22, 500.00 446,020.34 57.26 586, 984. 05 First National Bank, "Whitewater. C. MORRIS BLACKBURX, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... iremiums on TT. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. G-EO. S. MARSH, Cashier. No. 124. $378, 990.88 2, 209. 22 32, 000. 00 50, 571, 50 3. 52 Capital stock paid in. $125, 000. 00 Surplus fund Undivided profits 50, 000. 00 5, 260.59 National-bank notes outstanding.. State-bank notes outstanding 28, 800. 00 Dividends unpaid . ! Individual deposits 2,419.78 ; United States deposits Depositsot'U.S. disbursingofncei s. 108.80 ij ! Due to other national banks 1,515.00 I Due to State banks and bankers . 11.18 18, 398. 75 i Notes and bills re-discounted . .s , 5, 079. 00 j Bi 11 payable 284, 037. 04 1, 440. 00 200. 00 493, 097.63 Total. 493, 097. 63 846 REPORT OF THE COMPTROLLER OF THE CURRENCY. WISCONSIN. Citizens' National Bank, Whitewater. JOHN S. PARTRIDGE, President. ZsTo. 2925. E. M. JOHNSON, Cashief. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. I U. S. bonds to secure deposits U. S, bonds on hand Stocks, securities, judgments, etc .-! Duo from approved reserve agents I Duo from other national banks j Duo from State banks and bankers . Bank 1 g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $274,471.'.'. 1 Cai»tal stock paid in. :*, 768.84 18, 750. 00 Surplus fund Uudiviided profits. 10,850.14 21,859. 70 National-bank notes outstanding.. State-bank notes outstanding $75, 000. 00 10, 000. Of) 5,150.71 16, 875. 00 6, U«;j. 87 Dividends unpaid . 7, 000. 00 1, 377.00 660.10 1, 284. 37 3,871.00 20. 35 12, 962. 01) 7, 200. 00 Individual deposits United States deposits DepositsofU.S.disbursingonicers. 264 203.17 Due to other national banks Due to State banks and bankers .. 95.61 Notes and bills re-discounted. Bills payable , 843. 75 371,324.49 Total . 371, 324.49 REPORT OF THE COMPTROLLER OF THE CURRENCY. 847 IOWA. First National Bank, Albia. TOM. D. LOCKMAN, Cashier. No. 1799. J. H. DRAKE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . Due from State banks and bankers Bank'g-house, furniture, and fixtures! Other real estate and nuortg's owned Current expenses and tuxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S. Liabilities. $109,362.32 1,101. 2tf 12, 500.00 Capital stock paid in 10, 000. 00 5, 606. 69 National-bank notes outstanding.. State-bank notes outstanding 19, 733. 90 3, 812. 88 "16,666. 00 11, 250. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingofnoers. 1,308.19 2, 250. 00 624.00 4, 597. 00 7.00 19, 000. 00 8, 000. 00 120, 032. 77 Due to other national banks Due to State banks and bankers.. 4, 500.00 4G9. 61 Notes and bills re-discounted. Bills payable 562. 50 197, 359. 07 Total. $50, 000. 00 Surplus fund Undivided profits Total. 197, 359. 07 First National Bank, Algona. A M B R O S E A. CALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house, furniture,and; fixtures Other real estate and mortg s owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks aud other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S No. $65,757.09 2,820.19 13,000.00 jl 1, 522.80 11,059.79 15.00 6, 990. 00 3, 470. 00 404. 95 2, 600. 00 1, 329. 95 875. 00 26.12 1, 909.50 2, 500.00 National-bank notes outstanding.. : State-bank notes outstandin 11, 700. 00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 43, 794. 80 4, 950. 00 585.00 114, 865. 39 Total. J. C. BLACKFORD, Cashier. 3197. ; i Capital stock paid in $50, 000. 00 |i jj Surplus fund 3,000.00 j! Undivided profits 1,420.59 Total . 114,865. 39 Union National Bank, Ames. W. M. GrREELEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house.furniture.andtixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S •. Total. E, R. CHAMBERLAIN, Cashier. No. 30 L7. $95, 500. 65 Capital stock paid in . $50, 000. 00 1,149.11 12, 500.00 Surplus fund 7, 000. 00 4, 664.04 Undivided profits . 4,103.08 6, 263. 42 3, 500. 00 715.00 573. 54 2, 343.75 1, 388. 29 16.35 1,619.00 3, 000. 00 National-bank notes outstanding State-bank notes outstanding... 11, 250.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbuising officers . 56, 326. 65 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 2, 000. 00 2, 000.00 562.50 133,240.69 Total. 133,210.69 818 REPORT OF THE COMPTROLLER OF THE CURRENCY. IO W A , Atlantic National Bank, Atlantic. No. 2762. M. L. STEARNS, President. H. M. BOORMAN, Casliier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-ho use, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national hanks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemptiou fund with -Treas. TJ. S. Due from Treasurer U. S Capital stock paid in $158, 293.89 1,592.28 12, 500. (JO 157. 50 16, 429. 76 3, 566. 26 1,190.25 7, 000. 00 9, 919. 06 1, 176.95 875.00 1, 224. 70 50, 000. 00 1,481. 00 11, 250. 00 State-bank notes outstanding Dividends unpaid Individual deposits i United States deposits Depositsof U.S. disbursingofficers.' I Due to other national banks . Due to State banks and bankers . . Notes and bills re-discounted. Dills payable 7, 000, 00 18.73 10, 788. 50 7, 796. 00 127,356.79 66. 09 562. .'0 62. 50 240,153. 88 Total. $50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. Total. 240,153. 88 First National Bank, Belle Plaine. No. 2012. S. S. SWEET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand — Stocks, securities, judgments, etc... Due from approved reserve agents . Due from other national banks Due- from State banks and bankers . Bank'g-house,furniture, and fixtures; Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checksand other cash items Exchanges for clearing-house Bills of other national banks fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. L. T. SWEET, Cashier. $123,687.60 I Capital stock paid in 314.41 1 12,500.00 , Surplus fund Undivided profits National-hank notes outstanding. 5,891.09 ! State-bank notes outstanding 338.74 j Dividends unpaid $50, 000. 00 25,000. 00 7, 063. 65 11,250.00 350.00 Individual deposits i United States deposits . DepositsofU.S.disbursingotlieers. . "i, 444. 66 "771.59 61, 458. 69 i. ; Due to other national banks Due to State banks aud bankers .. I. Notes and bills re-discounted . Billspayable 1, 095. 00 !| 50.75 i| 6,766.00 1 1 1,000.00 562. 50 1 154, 772. 34 Total . 154, 772. 34 First National Bank, Boone. S. L. MOORE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . . . . Due from State banks and bankers . Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses aud taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3273. J . H. HERMAN, Cashier. $100, 546. 32 Capital stock paid in 688.63 12,500.00 ! Surplus fund Undivided profits 18,278.26 National-bank note* outstanding.. State-bank notes outstanding $50, 000. 00 16, 000. 00 3, 316. 90 10, 750. 00 3, 228. O> " . Divideuds unpaid 9,600.00 j Individual deposits 861." 84" !j United States deposits 2,750.00 I Depositsof U.S.disbursing officers 92,618.98 438.63 | Due to other national banks j " i, 700.' 61V Due to State banks and bankers. 20. 05 21, 011. 00 Notes and bills re-discounted 500.00 Bills payable 562.50 ,i 172,685.88 Total .. 172, 685. 88 REPORT OF THE COMPTROLT/RTl OF THE CURRENCY. 849 I OW A. First National Bank, Brooklyn. No. '{284. T. J . HOLMES, President B. M. TALF.OTT, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits Liabilities. •$86, 822. 70 i Capital stock paid i n . 0 1,533.45 14, 500. D ; Surplus fund O i! Undivided profits Stocks, securities, judgments, etc . . Due from approved reserve agents. Due.frorn other natioual banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and inovtg'a owned C urrent exj)en ses and taxes paid. . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S Due from Treasurer U. S Total ! $50,000.00 | 3,800.00 1, 707. 90 National-bank notes o u t s t a n d i n g . . 15,982.40 State-bank notes o u t s t a n d i n g . . . - . 21,807. ;JG 6, 005. 02 ! Dividends u n p a i d . 5, 000. liO j j Individual deposits fiUO. 10 I United States deposits 1, 000. 00 : Deposits oi'IJ.S.disbursing officers. 1, 018. 37 D u e to other national b a n k s 1, 94;). 00 !i D u e to State b a n k s and b a n k e r s . 28. 44 4, 396. 75 I Notes and bills re-discounted . 500.00 j Bills payable 13, 031). 0!) 93, 781). 49 052." 50" 161, 847. 39 161, 847. 39 Total. First National Bank, Burlington. No. 351. LYMAN COOK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve- agents. Duo from other national banks Due from State banks and bankers. Bank'g-hv»use,furniture,and fixtures Other real estate and rnortg'sovrnod Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash itoras Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . D ue from Treasurer U. S Total . W M . P . FOSTER, Cashier. $214, 358. 14 I Capital stock paid in 1, 769. 93 2f>. 0u0. 00 ; Surplus fund 50, 000. 00 j Undivided profits 34, 277.42 234,818.22 779. 40 288 Hi) 3,343.81 " 2,462.58' 13,180.22 2, 979. 03 5, 000. 00 21.80 54, 336. 00 6, 00U. 00 $100, 000. 00 30, 000. 00 10, 415. 31 National-bank notes outstanding.. i State-bank notes outstanding 1 1 Dividends unpaid 22, 500. 00 ! Individual deposits U n ited States deposits Deposits ot U. S. dis bursing officers. 431, ."82. 97 49, 912. 50 Due to other national banks : Due to State banks and bankers.. i Notes and bills re-discounted Bills payable 3,367.19 2, 932.18 1,125.00 i 1,000.00 650, 740.15 Total 050, 740.15 I Merchants' National Bank, Burlington. T. W. BAIIHYIVT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due froin Treasurer U. S Total. H. Ex. 3 No. 1744. $396,192.19 866.45 25, 000. 00 5, 910. 28 52, 924.11 11,927. 70 1,813.90 17,873.00 2, 880. 00 2, 330. 56 2. 250. 00 7,348.00 14, 86"). 00 498. 2i? 29, 908. 00 10, 000. 00 $100, 000. 00 Surplus fund Ud Undivided profits 40, 000. 00 32, 349. 79 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 34S, 878. 82 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 300.01 28. 537. 80 11, 637. u l 1,125. 00 5uO. 00 584, 293. 43 54 H. C. GAHHETT, Cashier. Capital stock paid in Total. 584, 2i).;«. 43 850 BEPOfiT OF TILE COMVTROLLEli OF THE CURRENCY. IOWA. National State Bank, Burlington. No. 751. JOHN T. KEMEY, President. JNO. J. FLEMING, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for olearing-house Bills of other national banks Fractional ourrenoy, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Capital stock paid in $082, 657. 48 1,220.14 37, 500. 00 j 100, 000. 00 73, 177. 66 33, 750. 00 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding . 169,436.36 12, 579.1)2 242. 80 30, 000. 00 I Dividends unpaid Individual deposits TTniied States deposits Deposits of U.S.disbursing oilieersJ 7, 00.-). 00 315.50 22, 075. 52 22, 140. 00 566, 541.70 Duo to other national b a n k s D u e to State banks and bankers . . 3, 958.4.0 6, 837. 61 17, 060. 40 41,640. 17 49, 601.11 Notes and bills re-discounted . 13ills payable 1, 087. 50 1,014, 716.64 Total. $150, 000. 00 Surplus fund Undivided profits 1, 014, 716. 64 Total. First National Bank, Carroll. No. 3909. G. W. WATTLES, President. Loans and discounts O verdrafts U. S. bonds to secure circulation. .. IJ. S. bonds to secure deposits IJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-bouse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total. $88, 830. 39 35. 74 12, 500. 00 R. Gr. SMITH, Cashier. Capital stock paid in Surplus fund Undivided profits 399. 21 3, 394. 63 122. 41 1, 364. 50 National-bank notes outstanding.. State-bank notes outstanding Dividends uupaid ! Individual deposits $50, 000. 00 2, 500. 00 2, 370. 20 11, 250. 00 100. 00 41,851.90 3, 018. 39 j United States deposits 3,484.37 i! Deposits of a. S. disbursing officers. 223. 40 ' Due to other national banks 889. 00 30. 99 Due to State banks and bankers .. 3, 753. 00 . Notes and bills re-discounted. 1, 500. 00 I Bills payable , 9, 976.49 562. 50 118,108.59 | Total. 118,108. 59 First National Bank, Cedar Falls. "W. M. FIELDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, iudgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and ban kers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national Danks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2177. C. J". FIELDS, Cashier. $50, 000. 00 Capital stock paid in. 20, 000. 00 Surplus fund 1,110. 94 Undivided profits . National-bank notevS outstanding. 41,04:5.00 11,379.05 State-bank notes outstanding . . . . $81, 057.05 383.44 50, 000.00 6,047.99 "i4t"097."74" 8, 475. 00 1,601.37 5, 625. 00 1,171.50 480. 00 29. 55 5, 333. 70 2, 825. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers 74,705.45 Due to other national banks Due to State bauks and ban kers. Notes and bills re-disco unted. Bills payable , 2, 250. 00 190, 759. 39 Total. 190, 759.39 EEPOUT OF THE COMPTROLLER OF THI3 UUliliUXCY. 851 Cedar Falls National Bank, Cedar Falls. JAMES MILLKit, President. N o . 3871. Itoniat LK.VVITT, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents Due from o t h e r national b a n k s . Duo from State b a n k s ai' ~ bankers . Han k'g-houso, furniture, aud fixture^ Other real e s t a t e and mortg's owned C u r r e n t expenses and tax.es p a i d . . . P r e m i u m s on U. S. bonds Checks and other cash items E x c h a n g e s for clearing-house Bills of other national banks Fractional currency, nickels, c e u t s . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Trea-3. IT. S. D u e from T r e a s u r e r TJ. S Total. Liabilities. $86,137.97 572. 78 12, 500. 00 Capital stock paid i n . $50, 000. 00 Surplus fund Undivided pro His 2, 739." 76 105. 00 Xational-biink notes o u t s t a n d i n g . . 3,0156.8:; I State-bank notes outstanding 1, 97s>. 37 ! Dividends unpaid 8:>5. 40 |i Individual deposits 003. (51 I United States deposits 7*7.00 ; Deposits of fJ.S. disbursing officers 157.85 • D u e to other national b a n k s 105.00 Due to State banks and bankers . 45.03 993.80 ! Xotes and bills re-discounted . 3, M44. 00 : Bills payable 11,250.00 49, 036. 78 50.20 502.50 9. 50 113,070.74 Total. 113, 076. 74 Cedar Rapids National Bank, Cedar Rapids. A R T H U R T. AVELIILL, President. Loans and disco a n t s I Overdrafts [ II. S. bonds to secure circulation . . I U. S. bonds to secure deposits | U. S. bonds on hand | Stocks, securities, j u d g m e n t s , etc ..j Duo from approved reserve agents i D u e from other national b a n k s . . . . J Due from State banks and b a n k e r s , j Bank'g-house,furniture,and fixtures! Ot her real estate and mortg's owned: C u r r e n t expenses and taxes p a i d . , J P r e m i u m s on U . S . bonds I Checks and other cash items. ; Exchanges for clearing-house j Bills of other national banks ! F r a c t i o n a l currency, nickels, cents j Specie | Legal-tender notes U. S. certificates of deposit | Redemption fund w i t h Trcas. TJ. S . Dae from T r e a s u r e r U . S Total - Xo. 3643. $225, 8 79.60 89 L. 09 25, 000. 00 It. V A N VEUUTEN, Capital stock paid in Cashier. $100,000.00 Surplus fund. | Undivided profits 9, 000. 00 5, 465, 85 5, 444. 04 | Xaiional-bank notes o u t s t a n d i n g . 77,010.01 State-bank notes outstanding . . . . 18, 192. 72 978.77- Dividends unpaid ... 603.85 Individual deposits 1, 950. 94 United States deposits 5, 000. 00 Deposits of U.S.disbursing officers 2,319.75 Due to other national banks 4, 938.00 D u e to State banks and bankers . . 100.18 14,213.94 N o t e s and bills re-discounted. 10, 900. 00 Bills payable iil, 700. 00 22, 719.16 72, 503. 40 1,125.00 1, 410. 00 Total. "395^969789" City National Bank, Cedar Rapids. S. C. B E Y E R , President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due irorn State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national 'banks Fractional currency, nickels, cents Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 483. $293/362.32 5, 226. 52 30, 000.00 17, 200. 73 38, 06J. 91 39, 779. 72 6, 705. 93 9, 500.00 "5," 698.'13" J A S . L. BEYER, Cashier. Capital stock paid i n . $100,000.00 Surplus fund Undivided profits 50, 000.00 13, 770. 47 Rational-bank notes o u t s t a n d i n g . State-bank notes outstanding 27, 000.00 Dividends unpaid Individual deposits United States deposits Depositsof U. S. disbursing officers 285, M2. 69 Due to other national b a n k s Due to State b a n k s and b a n k e r s .. 4, 839. 07 29, 124.25 5, 700. 17" 16, 033. 00 930. 00 11,094.05 30, 000.00 Xotes and bills re-discounted. Bills payable , 1, 350. 00 510, 702. 48 Total. 510, 702. 48 852 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Merchants' National Bank, Cedar Rapids. M. A. FIIOLEY, President. No. 2511. CHARLES E. PUTNAM, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S, bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Duo from other national banks Due from State banks and bankers. Ban k' g-hou se, fumitu re, andtixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. 8. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U / S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $244,911. 78 1, llli. 95 23, 000. 00 Capital stock paid in 75, 000. 00 5, 780. 89 3, 364. 35 : Xational-bank notes outstanding. 89,17."). 18 ^ State-bank notes outstanding 2,(341.39 ' \. 1.186. o:$ Dividends unpaid 3,401.05 Individual deposits United States deposits 2,000.00 Deposits of U.S. disbursingoffieers . 3, 928. 34 Due to other national banks j 10. 00D. 00 Due to State banks and bankers ..! 51.2.! 8, 000. 00 j Notes and bills re-discounted . 11,000.00 ! Bills payable 22, 500.00 1(39, 667. 49 1,996.51 34,881.43 1, 125. 00 1, 000. 00 409, 826.32 Total . $100, 000. 00 Surplus fund Undivided profits Total. 409, 826. 32 First National Bank, Centerville. WILLIAM BRADLEY, President. Loans and discounts Overdrafts U. S. bonus to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks .... Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses andtaxos paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ.Is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J . R. HAYS, Cashier. Xo. 337. $106, 786. 975. 12, 500. Capital stock paid in. 21, 660. 54 12, 937. 10,381. $50, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 2, 723. 00 11. 49 2, 530. 00 15, 000. ou 188, 700.10 11,250.00 « . Individual deposits United States deposits Deposits of U.S. disbursing officers. 417. 523. 1, 691. J 0, 000. 00 1, 951. 06 115, 499. 04 Due to other national banks . Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total. 188, 700.10 Centerville National Bank, Centerville. I\ M. DRAKE, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S\ bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Duo from other national banks Due from State banks and bankers. Bank'g-houso, furniture, and fixtures Other real estate and mortg's owned Current oxpenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of "other national banks Fractional currency, nickels, cents . Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. Xo. 2841. J. C. BEVIKGTOK, Cashier. $85, 149.02 Capital stock paid in. $50. 000. 00 2, 3(54. 59 12, 500.00 Surplus fund 10,000.00 2, 084. 08 Undivided profits. 1, 550. (59 XationaVbank notes outstanding-. 11,250.00 7, 280.1)8 State bank notes outstanding 1,636.82 1, 870. 54 Dividends unpaid 7,479.01 9, 570. 419. 625. 5, 278. 17 74 00 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 75, 499. 61 Due to other national banks 2,760.00 j; Dur to State banks and b a n k e r s . . 31.23 !i 3,750.00 -\ Xotes and bills re-discounted 6, 000. 00 Bills payable 562. 50 148, 834.29 Total. 148, 834. 29 REPORT OF THE COMPTROLLER OF THE CURRENCY. 853 IOWA . First National Bank, Chariton. No. 1724. S. H. MALLORY, President. F. 11. CROCKER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank"g-house, furniture, and fixtures Other "real estate and moitg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund witli Treas. TJ. S. Due from Treasurer TJ. S Total. Liabilities. $174,163. 80 7, 013. 00 12, 500.00 Capital stock paid in . $50, 000. 00 25, 000. 00 7, 201. 77 Surplus fund Undivided profits. 10,157.19 National-bank notes outstanding 22, 074. 07 State-bank notes outstanding . . . 4,811.00 2, 850. 20 Dividends unpaid 2, 700. 00 Individual deposits "*2~ 383.00" United States deposits 3, 000. 00 Deposits ot'TJ.S. disbursing officers 834. 77 Due to other national banks 7,500. 00 Due to State banks and bankers . 27. 35 11,010.00 Notes and biUs re-discounted.. 7,000.00 Bills payable 11,250.(0 182, 012.48 31. 84 502.50 Total . 275,496. 09 275, 496.09 First National Bank, Charles City. No. 1810. A. G-. CASE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation ... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $280,449.79 4,403. 31 12, 500. 00 20, 045. 48 58, 557.04 2, 598 70 1,177. 03 90.85 5,620.00 28. 00 18, 330. 00 13, 200. 00 II. C. BALDWIN, Cashier. Capital stock paid in $50,000.00 Surplus fund Undivided profits •j 20, 000. 00 18,318.52 National-bank notes outstanding-. \. State-bank notes outstanding |. Dividends? unpaid. 1, 540. 00 Individual deposits United States deposits Depositsof U.S.disbursing officers.' 339, 706.04 Due to other national banks ! Duo to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 429, 564.50 Total 429, 504. 56 Charles City National Bank, Charles City. S. F. FABNHAM, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents . Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 2579. J . II. OWEN, Cashier. 5123,008.48 'I Capital stock paid in. 1,501.50 J 12,500.00 I Surplus fund Undivided profits 15, 509.13 National-bank notes outstanding.. 12, 723. 31 State-bank notes outstanding 4, 58:2. 02 " 10," 145." 00" 7,500.00 923.41 725.00 3, 068.38 934.00 I 20.05 9, 255.00 6,500.00 ! Dividends unpaid Individual deposits United States deposits Deposits o t'U. S. disbursing officers. $50, 000, 00 6, 500.00 2, 304. 72 10,750.00 90.00 140,407. 06 Due to other national banks Due to State banks and bankers . Note3 and bills re-discounted. Bills payable 562.50 i 210,117.78 Total . 210,117.78 854 REPORT OF TUP] COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Cherokee. No. 3049. K. T. BURBOUGHS, President. R. H. SCRIBNER, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand ; Stocks, securities, judgments, etc.. | Due from approved reservo agents ! Due from other national banks ! Duo from State banks and bankers ! Bank'g-house,furnituro,andfix:tureV Other real estate and mortg's owned Current expenses and taxes paid... | Premiums on TJ. S. bonds | Checks and other cash items i Exchanges for clearing-house ; Bills of other national banks I Fractional currency, nickels, cents. I Specie i Legal-tender notes j TJ. S. certificates of deposit j Redemption fund with Treas. TJ. S.j Due from Treasurer TJ. S Liabilities. $154,702.49 ;| Capital stock paid in :.i,106.5G |! 12, 500. 00 ' Surplus fund. ! : Undivided profits 3, 386. :V.) ;1 National-bank notes outstanding.. ; 3, 967. 89 i State-bank notes outstanding . . . . . 11,432, SI 939.9!) [ Dividends unpaid 12, 500. U0 I Individual deposits 2, GIG. 70 ! United States deposits ; Deposits of U.S. disbursing officers 2, 835. 84 , ! Due to other national banks 4, 535. 0 J ,j Due to State banks and bankers . 332. 20 1,911.00 ! Notes and bills re-discounted. 7, 000. 00 !: Bills payable ii 5G2.50 222, 459. 54 Total. $50,000. 00 22, 500. 00 8, 040. 8G 11,250.00 130, 068. G8 222, 459. 54 Total. Clarinda National Bank, Clarinda. F. W. PARISH, President No. 3112. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks ! Due from State banks and bankers I Bank'g-house,furniture,andnxtures) Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national"banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S ' $50, 000. 00 I I 8 000. 00 3,591.78 3,405.00 : National-bank notes outstandi ng.. | 13, 705. 98 : State-bank notes outstanding 9, 250. 00 Undivided profits . 7U. 04 j Dividends unpaid i "13,596.6o Ij Individual deposits i "i,*34i)*!)5*| United States deposits i 500.0(1 I Deposit".s of U. S. disbursing officers : 89, 258. 70 00.(10 Due to other national banks 4, 77.". 00 :! Due to State banks and bankers . 25.04 i| 5,891.70 jj Notes and bills re-discounted . 5,000.00 !! Bills payable 983.10 "5G2." 50* I! Total. 161, 083. 58 Total. W. W. NEWLOX, Cashier. $97, 711. 78 I Capital stock paid in. 1, 939. 99 12, 500.00 Surplus fund 161, 083. 58 First National Bank, Clarion. G. S. RINGLAXD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtnres; Other real estate and mortg's owned Current expenses and taxes paid ..! Premiums on U. S. bonds ; Checks and other cash items | Exchanges for clearing-house ! Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 379G. N. F . W E I I E H , Cashier. $74, 373. 01 ji Capital stock paid in. 809.96 12, 500. 00 Surplus fund Undivided profits . !•' National-bank notes o u t s t a n d i n g . . $50, 000.00 1, 0G8. 73 4, G38.32 11,250.00 9,157. 95 ,1 State-bank notes outstanding 1, 903.60 • I1 Dividends unpaid 0,850.00 j !| Individual deposits "i," 585." 26 i! United States deposits 58G. 52 i DepositsofU.S.disbursmgomcers. 789. 99 ';'• Due to other national banks 50, 980.70 9.56 2, 470. 00 Duo to State banks and bankers . . 2O.J. 32 1,150. 00 j N o t e s and bills re-discounted . 5, 000. 00 Bills payable 5G2. 50 117, 947. 31 Total . 117, 947.31 REPORT OF THE COHPTltOLLEK OF THE CURRENCY. 855 I0 W A. City National Bank, Clinton. AUGUSTUS L. STONE, President. A. G-. SMITH, Cashier. No. 2469. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks [Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $326,188. 'A 4, 04)7. 63 37, 500. 00 46, 244. 50 7, 7!)4. 33 2, 503. (57 14, 971). 50 ' 4,318.81 4, 700. 00 1,212.8") 6,305. 00 670. 66 24, 324. 80 Capital stock paid in , $150, 000. 00 Surplus fund. Undivided profits . 30, 000. 00 9, 8 J8.60 National-bank notes outstanding.. State-bank notes outstanding . . . . 33, 750. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.d'is nursing officers. 179, 702. 77 Due to other nation?. 1 banks Due to State banks and bankers . . 11, 299. 50 41,916.92 Notes and bills re-discounted Bills payable 26, 000. 00 1, 6S7. 50 Total. 482, 527. 79 482, 527. 79 Clinton National Bank, Clinton. No. 994. J. C. WESTON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. J>ank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. $150, 287.00 3,021.04 60, 000. 00 29, 932. 00 87, 657. 71 11, 046. 80 C. C. COAN, Cashier. $60,000. 00 Capital stock paid in. Surplus fund Undivided profits 12, 000. 00 7,463.10 National-bank notes outstanding. State-bank notes outstanding . . . . 53, 200. 00 Dividends unpaid. 19, 000. 00 1, 961. 00 4,433.99 2, 850. 00 2, 020. 26 7, 250. 00 455.13 17, 200. U0 3, 876. 00 Indi vidnal deposits United States deposits .. ^ Deposits of U.S. disbursing officers. Due to other national bank si Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 260,780. i 3,190.35 1, 076. 30 2, 700. 00 403, 710. 93 Total. 403, 710.93 Merchants' National Bank, Clinton. E. S. BAILEY, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from Stato banks and bankers. Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3736. $197,109.68 97.50 25, 000. 00 29.521.41 2, 555. 85 R. C. VAN KURAN, Cashier. Capital stock paid in Surplus fund Undivided p rofits d National-bank notes outstanding.. State-bank notes outstanding..... Dividends unpaid 1,6(51.74 2, 000. 00 2, 263. 03 5, 41s). 67. 6, 673. 5, 000. 00 53 25 00 6, 000. 00 7,126.40 21, 430.00 20.00 Individual deposits United States deposits Deposits of U.S.disbursingofh'oers. 133, 803. 36 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 1,114.23 J, 125.00 178, Ail'.i. 99 $100,000.00 Total. 9,000. 00 8o6 EKPOKT Ol THE COMPTROLLER OF THE IOWA. Louisa County National Bank, Columbus Junction. J . TV. GABKBK, President. No. 2032. \V. A. COLTOX, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. j Premiums on U. S. bonds | Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $113,76:5.41 2, 035.28 15, 000. 00 $50, 000. 00 - Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 17, 380.19 10, 201. 03 10, 000. 00 13,475. 59 13, 500. 00 Dividends unpaid "7,666'66 Individual deposits 72(5." 93* United States deposits Dox>osits of U.S. disbursing officers 1»5, 779. 30 858.62 Due to other national banks ! Due to State banks and bankers .. | I Notes and bills re-discounted j Kills payable ""4," 721."66" 08. 20 8,727.50 3,100. 00 1, 562.27 G75.00 184,317.1(5 184, 317.16 Total . First National Bank, Corning. L E W E. D ARROW, President. Loans and discounts j Overdrafts ! IT. S. bonds to secure circulation... j TJ. S. bonds to secure deposits i U. S. bonds on baud j Stocks, securities, judgm^uts, etc..! Due from approved reserve agents.! Due from other national bunks : Due from State banks and bankers. | Bank'g-house, furniture.iind fixtures Other real estate and mortg's owned Current expenses and taxes paid... \ Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2936. $132, 274. 2, 334. 12, 500. $50, 000.00 10 000. 00 26,018.96 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 43, 505. 13,907. 10,115. CHAS. C. NORTON, Cashier. Capital stock paid in 10, 750. 00 Dividends unpaid 1 134, 900. 59 Indiv idu al deposi ts 2, 342. 46 ! United States deposits ; 1, 281. 25 ! Depoaitsof U.S. disbursing officers. 1,122. 97 Due to other national banks 2, 7(50. Due to State banks and bankers . 42. 4, 215. Notes and bills re-discounted . 4, 044. Bills payable 231,609.55 j Total . 231, 669. 55 First National Bank, Council Bluffs. J . F . EVANS, President. Loans and discounts I Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand \ Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-lioiis?e,fiirnitiire,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items ' Exchanges for clearing-house • Bills of other national banks Fractional currency, nickels, cents j Specie Legal-tender notes U. S. certificates of deposit Redemption fund "with Treas. U. S . Due from Treasurer U. S Total. No. 1479. S. FARSSWORTIT, Cashier. $380,813.(32 i: Capital stock paid in 13, f J * 02 j| >M 25, 000. 00 Surplus fund Undivided profits 2, 73.'). 03 132,071.28 187.37 3, 90'.). 38 2, 510. 00 $50,000. oe 12, 500. 00 39,196.16 Nationi'-bank notes outstanding.. State-bunk notes outstanding 22, 500. 00 1 Dividends unpaid. Individual deposits i! United States deposits 5, :$<K 44 ' Deposits of U.S.disbursingofficers. 725. 09 Dut- to oMier national banks 14. 002. 00 1 Due to State banks and bankers .. 4T 415. 53 i ^ Notes and bills re-discounted . 35, 000. 00 ! Hills payable 022, 080. Total 2, 375. 00 401,511.81 26, 022. 97 7, 974.92 i 622, 080. 86 REPORT OF THE COMPTROLLER OF THE CURRENCY. 857 IOWA. First National Bank, Creston. No. 2586. H. S. CLARKE, President. F. W. CLARKE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc... Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. II. S. Due from Treasurer U. S 13, 000.00 4, 132.60 Surplus fund Undivided profits National-bank notes outstanding . 108. 00 11,513.81 1,334.02 j • State-bank notes outstanding 11, 250. 00 : 17, 26*1.75 I Dividends unpaid 120,331.86 ' j Individual deposits ! United States deposits ; I Depositsoi" U.S.disbursingoincers.j • Due to other national banks 00 ! Due to State banks and bankers . . 02 05 Notes and bills re-discounted 00 Bills payable , " 1,487.74: 3, 500. 01) 1,132. 6.1 1, 080. 75. 16, 059. 5, 800. 1,130. 40 6, 707. 88 562. 50 i 206, 618. 74 Total . 206, 618. 74 I Total . $50, 000. 00 Capital stock paid in 5129, 522. 89 :*, 720. :J5 12, 500. 00 Creston National Bank, Creston. R. E . BOYKR, Cashier. No. 2833. JAMES B. HARSH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks ... Due from State banks and bankers. Bank'g-house, furniture, andfixtnres Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $156, 253. 20 436. 22 25, 000. 00 Capital stock paid in . $100, 000. 00 5, 800. 00 3,510.70 Surplus fund \ Undivided profits I National-bank notes o u t s t a n d i n g . . 12, 436. 26 i State-bank notes outstanding 263. 72 Dividends unpaid ... 16,7)00. 00 6, 529. 48 j Individual deposits. 3, 055. 84 i United Stales deposits j ! Deposits of U.S. disbursing officers. 152. 56 ' Due to other national banks 6, 000. 00 Due to State banks and bankers . . 145. 22 Notes and bills re-discounted. 6, 087. 30 6, 638. 00 Kills payable 22, 500. 00 107, 320. 58 1,125. 00 240,122. 80 240,122. a Total . First National Bank, Davenport. JAMES THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house. furn iture, and fixtures Other real estate and mortg's ownod Currant expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2695. J O H N B. FIDLAK, Cashier. $523, 811.14 j Capital stock paid in . 3. 076. 49 50, 000. 00 j Surplus fund . 1 profits. Undivided pro] 1-bank National-bank notes outstanding 70, 271.00 ! State-bank notes o u t s t a n d i n g . . . 17, 687. 38 5, 885. 50 • Dividends u n p a i d . . 20,000.00 . ; Individual d e p o s i t s . j; United States deposits 1, 280. 00 | j Deposits of U.S.disbnrsing officers. 3, 8.30. 87 Due to other national banks 0, 744. 00 Due to State banks and b a n k e r s . . 308. 30 Notes and bills re-discounted. 39, 830. 00 Bills payable $100,000. 00 50, 000. 00 76, 957. 87 45, 000.00 3, 410. 00 326, 636.25 98,489.30 48, 350. 23 2, 250. 00 840. 00 718, 813.74 Total . 748. 843. 74 858 REPORT OF THE COMPTROLLER OP THE CURRENCY. IOWA, Citizens' National Bank, Davenport. JP. H. G-RIGGB, President. No. 1671. E. S. CARL, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,aud fixtures Ouier real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redumption fund with Treas. U. S. Due from Treasurer IT. S Liabilities. $651,662.91 3, 000. 21 100,000.00 50, 000. 00 11, 700. 00 169, 354. 59 54, 543.17 25, 447.64 Capital stock paid i n . 100, 000. 00 40, 292.15 National-bank notes out-stalling..[ State-bank notes outstanding j 90, 000. 00 Dividends unpaid Tndiv idual deposits United States deposits DepositsofU.S.disbui sing officers. 9, 397. 56 *20,942. 66 361.10 26, 381). 95 40, OuO. 00 422, 987. 39 32, 405. 18 17, 475. 38 Due to other national banks Due to State banks and ban kers.. \ 174, 939. 65 J.. ,, ,..,„. „„ 192, 099. 38 Notes and bills re-discounted. Bills payable 4, 500.00 2, 900. 00 1,170, 259.13 Total. $100, 000. 00 Surplus fund. Undivkl ided profits. 1,170, 259.13 Total. Davenport National Bank, Davenport. No. 848. E. S. BALLARD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. . . . Due from State banks and bankers. Bank' g-house, furniture, audfixtu res Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $355, 631. 78 3, 208. 32 50, 000. 00 1, 41, 22, 11, 30, 10, 500. 00 72*. 99 526. 53 689. 75 woO. 00 000. 00 $200, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 40,000.00 4, 798. 99 45, 000. 00 Dividends unpaid • 4,138.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 163, 373. 50 Due to other national banks Due to State banks and bankers .. 1,687. 09 7,133. 70 Notes and bills re-discounted. 10, 000. 00 Bills payable 32. 401. 34 73,061. 79 7,1 GO. 86 "'8*250." 66' 2, 250.00 562, 773. 62 Total. S. D. BAWDEN, Cashier. Capital stock paid in. 562, 773.62 Total . Iowa National Bank, Davenport. CHARLES BEIDERBECK, President Loans and discounts :. Overdrafts U. S. bonds to secure circulation .. TL S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bauk'g-houde,furniture,andfixtures "Hher real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items. Exchanges for clearing-house... Bills of other national banks . . . Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. D ue from Treasurer U. S Total. D. H. V E I T H S , Cashier. No. 4022. $106, 871. 26 94. 73 25, 000. 00 13, 260. 07 22, 981.35 13, 325.99 344.30 Capital stock paid in. Surplus fund U ndi vided profits National-bank notes outstanding.. State-bauk notes outstanding $90, 000. 00 1, 635. 84 22, 500.00 Dividends unpaid Individual deposits. ""2,"520." 08* | United States deposits 7,375.00 Deposits of U. S.disbursing officers. 1, 945.43 Due to other national banks 875. C Due to State banks and bankers. O 47.78 5,374. 15 Notes and bills re-discounted. 725.00 Bills payable 87, 223. 51 505. 79 1,125.00 I 201,805. 14 Total . 201,805. 14 REPORT*0F THE COMPTROLLER OF THE CURRENCY. 859 IOWA. First National Bank. Decorah. JAMES H. EASTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits $256,411.79 720.73 20, 000.00 Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S 47,215.03 21,505.96 2,148.46 Total GrEO. Q. GARDNER, Cashier. No. 493. Resources. 16,414.45 593. 00 2, 061. 73 1, 400. 00 1, 748.06 906. 00 127. 46 13,468. 75 6, 000. 00 Liabilities. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $75, 000.00 15,000.00 6, 020.19 18, 000. 00 28.00 Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable ... ... .. 263,601.69 4, 471. 54 9, 500.06 900.00 Total 391, 621.42 391, 621.42 Citizens' National Bank, Des Moines. J. H. MERRILL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-ho use, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. G-. ROUNDS, Cashier. No. 1970. $488, 822.75 6,701.43 25,000. 0^ 101, 904.40 104, 084. 90 11,132.00 37, 994. 58 2, 000.00 17, 20-!. 61 2, 516. 33 Capital stock paid in. $100,000.00 Surplus fund Undivided profits . 175, 600. 00 14, 984. 87 National-bank notes outstanding.. State-bank notes outstanding ..... Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing o fiicers 198. 34 5, 6(57. 72 Due to other national banks 14, 888.00 Due to State banks and bankers... 397.68 12,417. 25 Notes and bills re-discounted. 76,057.00 Bills payable 2i, 770. oe 357, 080. 66 89, r75S. 26 149,510.26 1,125.00 908,109.99 908,109. 99 Total. Des Moines National Bank, Des Moines. R. T. TVELLSLAGER, President. Loans and discounts pverdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-ho use, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. 15. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2583. $547, 334.16 5,180. 25 50, 000.00 27, 302. 92 78, 536.25 6, 487.53 7,625.01 63,541. 29 11, 378. 53 3, 010. 97 7, 625. 00 940.27 12, 275. 36 7, 816.00 615. 73 45,311.20 6, 711.00 V. F. NEWELL, Cashier. Capital stock paid in , Surplus fund , Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits , United States deposits DepositsofU.S.disbursing officers Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable , $300,000. 00 33,600. 00 25, 045. 36 45, 000.00 738. 00 278, 036.17 79,124. 05 122, 397. 89 2, 250.00 883,941.47 Total. 883,941.47 800 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Iowa National Bank, Des Moiiies. H E N R Y K. LOVE, President. No. 2307. C. B. WOBTHINGTON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Duo from other national banks Due from State banks and bankers Bnnk'g-house, furniture, andtixturesj Other real estate and mortg'sownedi Current expenses and taxes paid... I Premiums on XI. S. bonds Checks and other cash items j Exchanges for clearing-house Bills of other'national banks Fractional currency, nickels, cents | Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S I Due from Treasurer TJ. S Capital stock paid in ;275, 701.93 6, 262. 3:5 25,000. 00 85, 997. 20 9, 785. 55 6,541.54 12, 3rf4. 41. 3i,r»94.::r> 27,967.09 5, 758. 05 2, 0(10. <:<0 3, ( i l l . 1 4 37, 258. 55 1(5, 231. M) 30, 000. 00 9, 707. 76 | X ational-bank notes outstanding. . j State-bank notes outstanding 22, 500.00 Dividends unpaid 20. 00 Individual deposits United States deposits Deposits o I' U.S. disbursing officers. 369, 875.14 Due to other national banks Duo to State banks and bankers .. 107.00 21,081. :<\ Notes and bills re-discounted 17, 084.00 Bills payable 38, 323. 31 16, 265. 86 1,125. 00 58(3, 752. 07 Total. $100, 000.00 Surplus fund Undivided profits Total. 586, 752. 07 Valley National Bank, Des Moines. J . J. TOWN, President Loans and discounts Overdrafts . —•U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due Irom other national banks Due from State banks and bankers Bank'g-house, furniture, andfixturea Other real estatoandmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Xo. 2886. $49J, 174.40 ; Capital stock paid i n . . 40. (i'J 37,500.00 , S u r p l u s fund "VVM. D . L U C A S , Cashier. $150, 000. 00 40, 000. 00 29, 453.15 Undivided profits National-bank notes o u t s t a n d i n g . . 72,023.46 State-bank notes o u t s t a n d i n g 26, 7-J3.28 j G. 9 tO. 82 • Dividends u n p a i d . 25, 89;), 75 I 20,991.6:5 | I n d i v i d u a l deposits 3,877.08 ! U n i t e d States deposits 1, 500. 00 ' Depositsof U.S. d i s b u r s i n g officers J3, 910. 72 ; D u e t o o t h e r national b a n k s , Due to State banks and bankers . 65.43 10,178.65 N o t e s and bills re-discounted . 19, 315. 00 Bills p a y a b l e 32, SCO. 00 300. 00 303, 706. 70 64,203.40 115,915.97 1,687.50 I Total. 736, 499.22 736,499.22 First National Bank, De "Witt. K. A. MERRELL, President. Loans and discounts j Overdrafts j U. S. bonds to secure circulation...\ TJ. S. bonds to secure deposits J TJ. S. bondson hand ! Stocks, securities, judgments, etc . J Due from approved reserve agents. | Due from other national banks j Due from State banks and bankers Uank'g-housejfurniture.andfixture^i Other real estate and mortg's owned' Current expenses and taxes paid... i Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie *. Legal-tender notes U. S. certificates of deposit j Redemption fund with Treas. U.S.] Due from Treasurer U. S i Total. No. 3182. E. W. PRICE, Cashier. $134, 708.67 Capital stock paid in 667. 7 L 12,5JO. 00 Surplus fund Undivided profits 9, 3L5.07 2,126.37 2,052.00 1, 014.48 2, 937. 50 142. 00 5, 909. 00 104.82 12, 446. 95 , 562. 50 184,547.07 i Xational-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursingomcers. $50, 000. 00 3, 000, 00 3, 783. 75 11,250.00 321. 00 116,192, 32 Due to othe1"national banks Due to State banks and bankers Notes and bills re-discounted Bills pa vable Total 184,547.07 ItKPOKT OF THE COJII'TROLLKH OV THE CURRENCY. 861 IOWA. First National Bank, Dubuque. No. 317. D. N. Coo Mir, President. O. E. GUERNSKY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, audfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $811, 370.04 7, 898. 38 50, 00U. 00 6, 700. 00 70, 592. 31 10,813.7(3 7, (50!*. 09 25, 7(L\ 99 2, 000. 00 6, 007. 22 4. 91)2. 11 7,377.10 25, 05(5. 00 J 90. 00 9, 958. 35 40, 000. 00 Capital stock paid i n . Dividends unpaid '. 00, 000. 00 18, 822. b6 41,100.00 300. 00 Individual deposits Uni tod States deposits Deposits of U.S. disbursing officers. 536, 527. 39 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 123, 005. 84 104, 742. 00 2, 250. 00 Total. 1, 088, 487. 95 Total.. $200,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding . . . . 1, 088,487. 95 Second National Bank, Dubuque. GEORGE B. BUIICH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, audfi xtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on 17. S. bonds Checks anil other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fun<l with Treas. U. S . Due from Treasurer U. S Total. No. 2327. $69l,«28.5l 5, 90S. (57 50, 000. 00 J . K. DEMLNG, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. 00,401.51- i! State-bank notes outstanding . . . . 3(5, Ol'.t. 00 j 13, 00:!. 01 | Dividends unpaid. 5, 000. U O Individual deposits . 3, 516. 91 I j Uu i t (Ml States deposits II Deposits of U.S. disbursingouicers. 1, H28. 30 Due to other national banks . . . . . . 5,151.00 i| Due to State banks and bankers .. 112.10 ! > 7,8o7.75 Notes and bills re-discounted 30,000.00 ij Bills payable $200, 000. 00 40, 000. 00 IS, 855.10 45, 000. 00 800. 00 329, 030. 84 152,178,29 130, 557.16 2, 250. 00 910,421.39 Total. 910,421.39 Dubuque National Bank, Dubuque. B. B. RICHARDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secui'e deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andtixtures: Other real estate and mortg's o wnedj Current expenses and taxe5 p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-bouse Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes 17. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 3140. $239,0(>l. 00 1, 200.10 j 25, 000. 00 ! ' j 3,000.00 | 27, 23(5. 92 l(i, 307. 00 5, 000. 00 JAMES ITAKKAOAX, Cashier. Capital stock paid in $100, 000. 00 Su rplus fund Undivided profits 15. 500.00 3, 507, 44 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid 178,00 ; Individual deposits 3, 205. 88 j United States deposits 1, 750. 00 Deposits of U.S.dis burning officers. 2, 047. 55 j Due to other national banks 11,810.00 ; Due to State banks and bankers .. 10.38 ; 3, IV>:J. 20 ! Notes and bills re-discounted . 10,000.00 ; Bills payable I 1,125.00 j J ! 149, 030.11 350, 977. 09 350,977.09 Total 29, 985.03 30,196. 51 862 REPORT OF THE COMPTROLLER OF THE CURRENCY. IO W A . First National Bank, Eagle Grove. No. 3439. H. A. MILLER, President. A.N. ODENHEIMER, Cashier. Resources. Liabilities. Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on XT. S. bonds Bills of other national banks Fractional currency, nickels, cents . Specie U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $97, 209. 99 2, 646. 59 12, 500. 00 2, 952.79 4,148. 38 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits 10, 000. 00 21,185.81 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid 4* 300." 00* 765*54" 2, 900.00 10. '6$ 21.68 4, 831. 50 Individual deposits United States deposits Deposits of U. S. disbursing officers. 35, 413. 54 Due to other national banks Due to State banks and bankers . . 5,000.00 562. 50 Notes and bills re-discounted 132, 849. 35 132, 849. 35 First National Bank, Total Elkader. WILLIAM LARRABEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents. Die from otner national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national ban ks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. No. 1815. $109, 990. 43 13, 000.00 16, 348.02 1,183.61 5, 850. 00 7, 347. 30 1, 720. 06 1, 568. 00 72.55 3,415.00 5, 500. 00 H. MEYEU, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 10, 900. 00 4, 765. 26 11,250.00 Dividends unpaid . Indi vichial deposits United States deposits Deposits of U. S. disbursin g oftlcers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 82, 248. 21 20, 000. 00 562. 50 100. 00 Total. 179,163.47 179,163.47 First National Bank, Emmetsburgh. E. S. ORMSBY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Ohe>iis and other cash items Excnanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. N o . 3337. $110,920.11 1,257.22 20, 000. 00 10, 808. 51 131.94 72.07 16, 040. 85 3, 561. 32 876. 77 1, 466. 50 4, 454.14 760.00 50, 62 2,135. 70 3, 754. 00 J. J . WATSON, Cashier, Capital stock paid in. Surplus fund , Undivided profits National-bank notes outstanding.. State-bank notes outstanding $80, 000. 00 2, 750.00 1, 920. 68 17, 775. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursingofficers. 58, 086. 57 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 10, 757. 50 5, 000. 00 900. 00 177,189. 75 Total. 377,189. 75 KKI'OJiT OF THE COMPTliOI^LliU OF THE CUHUENCY. 8G3 IOWA. First National Bank, Fairfield. No. 1475. JAM IS F. WILSON, President. 13. S. MCELTIINXY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national banks Due from Stato banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. -. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house r>ills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $128,227.46 296.48 25, 000. 00 58,162. 50 32, OSS. 09 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding .... 17, 625. 45 3, 828.42 17, 790.00 Dividends unpaid 17, 000. 00 6, 592. 53 674. 72 6,420. 37 192.10 Individual deposits United States deposits Depositsof U.S. disbursingomcer» 45. 00 125. 38 23, 577. 50 3, 912.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 164,145.32 1,125.0 J Total . 303, 389.19 303,389.19 First National Bank, Fort Dodge. No. 1661. L. BIANDEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Duo from other national banks Duo from Stato banks and bankers. Bank'g:houso, furniture, and fixtures Other real estate and mortg's owned! Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items ! Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. C, G. BLANDEX, Cashier. $]37,055.84 i! Capital stock paid in 1,822.72 I I 25, 000.00 |! Surplus fund Undivided profits $50, 000. 00 17, 000. 00 5, 321. 75 7, 204.49 National-bank notes outstanding.. 10, 399.03 State-bank notes outstanding 5, 674. 49 978.87 | Dividends unpaid. 1,600.00 I 2,493.92 | Individual deposits 1,599. SS ; L nited States deposits i ! " Deposits of U. S.disb ursing officers " 2. 680.08 i Duo to other national banks , 4, 500. 00 1 Duo to Stato banks and bankers - -1 205. 68 j | 2,451. 40 : Notes and bills re-discounted i 10,000. 00 i Bills payable 22, 500. 00 114,745.71 1, 081. 00 4,143.82 1,125.00 214, 792. 28 Total. 214, 792. 28 Fort Dodge National Bank, Fort Dodge. A. F. GUENTHER, President, Loans and discounts | Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents Due from otber national banks Duo from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banjts Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2763. J . C. CHENEY, Cashier. $126,599,65 I Capital stock paid in. l,5:!0.78 j 25,000.00 : Surplus fund Undivided profits 4,430.22 ' 16,911.04 | 6,591.35 : l,*91.70 j 3,764.70 ! 8,479. 77 ; 2,003.72 ; 1,329.86 : 1,820.51 j National-bank notes outstanding . State-bank notes outstanding $50, 000. 00 10,000. 00 9, 402. 60 22,500.0 Dividonds unpaid. Individual deposits United States'deposits Deposits of U. S. disbursing officers. 113,227. 70 Due to other national banks 5, 020.00 i Due to State banks and bankers . . 33.50 I 1,363.50 f Notes and bills re-discounted . 7, 500. 00 I Bills payable 1,121. 32 8, 903.68 1,125.00 I 215,245.30 j Total . 215, 245.30 8G-i REPORT OF THE COMPTROLLER OF THE CURRENCY. I OW A. Merchants' National Bank, Port Dodge. W E B B VINCENT, President. No. 1947. E.II.Bicii, Cashier. Eesources. Loans and discounts j Overdrafts IJ. S. bonds to secure circulation. -. | U. S. bonds to secure deposits j U. S. bonds on hand Stocks, securities, judgments, etc.. j Due from, approved reserve agents, j Duo from other national banks ! Duo from State banks and bankers j Bank'g-house,furniture,and fixtures' Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDuo from Treasurer U. S Total.. Liabilities. $272,908.12 i Capital stock paid in 3, 093. 05 ! 25,000.00 ! Surplus fund Undivided profits 10,452.01 National-bank notes outstanding.. 17,223.44 I State-bank notes outstanding 11,313.53 ' 19,500.00 i Dividends unpaid. 22,237.00 I Individual deposits 605.12* United States deposits 1, 500. O'J Deposits of U.S.disbursing officers. 64.61 Due to other national banks 1, 400. 00 Due to State banks and bankers.. 26. 75 2, 235.00 Notes and bills re-discounted. 14, 500. 00 Bills payable $100, 000. 00 20, 000. 00 6,876.15 22, 500. 00 237, 216.03 1,903.60 14, 782. 85 1,125. 00 403, 278. 63 Total . 403, 278. 63 . First National Bank, Fort Madison. 'JOSEPH B. MORRISON, President. Loans and discounts Overdrafts U. S. bonds tosecure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-honse,furn iture,and fixtures Other real estate and moitg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. TV. H. MILLER, Cashier. No. 3974. •$220,258.04 ! Capital stock paid in j 2,234.57 i 25, 000.00 ! Surplus fund I Undivided profits ! National-bank notes outstanding.. j 21,060.20 i State-bank notes outstanding 9,025.71 263.38 Dividends unpaid 4,000.00 Individual deposits I " 1,453.8}" United States deposits I 7, 000. 00 Deposits of U.S. disbursing officers- j 2, 059. 75 Due to other national banks ' 3, 374. 00 Due to State banks and bankers .. i 79.33 7. 645. 00 Notes and bills re-discounted. 7, 650. 00 Bills payable $100,000.00 1, 000. 00 4, 265. 56 22, 500. 00 184,853.38 239.86 1,125.00 630. 00 Total . 312, 858.80 312,858. 80 Mills County National Bank, Glen wood. B. "P. BUFFINGTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1862. WM. H. ANDERSON, Cashier. i209,096. 71 ! Capital stock paid in. 4,872.88 | 16,500.00 Surplus fund Undivided profits 31,228.95 21,196. 38 42, 256. 76 52.33 j! 2,007.45 !l ] 4, 895.1=8 il 1,323.04 ii 1, 000. 00 102.19 11, 916.00 93.24 18,900.00 11,500.00 National-bank notes outstanding.. State-bank notes outstanding $65,000.00 65, 000. 00 18, 943. 93 14, 850.00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 199, 517.72 3, 872.46 242. 50 367,184.11 Total. 367,184.11 REPORT OF THE COMPTROLLER OP THE CURRENCY. 865 IO W A . First National Bank, Grinnell. CHARLES F. CRAVER, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks .. Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate andraortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit. .. Redemption fund with Treas. U. S. Due from Treasurer U. S No. 1629. $149,721.38 699.25 25,000.00 21,114 83 9,984. 78 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 16,900.00 3,118. 91 22, 500. 00 I, Dividends unpaid. 2, 700.00 1,776.33 1, 5G7.70 4.96 9, 009. 24 3, 228.00 63. 01 6, 546. 02 5, 000. 00 Individual deposits United States deposits . 95,021.59 Deposits of U.S.disbursing officers. Due to other national banks Due to State bauks and bankers. Notes and bills re-discounted. Bills payable 1,125.00 Total 237, 540.50 Total. CHAS. H. SPENCER, Cashier. Liabilities. 237, 540. 50 Merchants' National Bank, Grinnell. SAMUEL F. COOPER, President. No. 2953. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents Due from other national banks. . Due from State banks and bankersBank'g-house,furniture.andfixtures Other Teal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $135, 602.56 4, 034.12 25, 000.00 23,867.34 26,878. 00 1,984.41 1,065. f>6 2,030. 00 1, 983. 81 "2,413. 00' 244. 26 1,350.15 3,400.00 GEO. H. HAMLIN, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits ofU. S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable $100, 000. 00 4,700 00 3, 646.74 22, 500.00 2. C O 100,159. 57 1,125.00 Total. 231,008.31 231, 008.31 First National Bank, Griswold. THEO. H. BROWN, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks. ... Due from State banks and bankers. Bank'g-house,furniture,andfixtures Otherreal estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TT. S Total ~H. Ex. 3- -55 No. 3048. R. L. BROWX, Cashier. $111,209.89 Capital stock paid in. 6 55.75 12, 500. oO Surplus fund 13,382.77 3, 552. 90 657. 37 7, 900. 00 874.12 1,170.24 2, 534.00 88.56 6, 224. 75 5,400.00 $50, 000.00 12,900.00 1,503.07 Undivided profits National-bank notes outstanding. State-bank notes outstanding 11, 250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. 82,428. 95 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 925.70 1,620.51 6,124. 62 562. 50 166, 752.85 Total. 166, 752.85 866 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Grundy Center. GEORGE WELLS, President, No. 3225. CHRIS. C. SHULBE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g bouse,furniture, andnxturesj Other real estate and mortg's owned' Current expenses and taxes paid...! Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills oi other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $133, 918. 8G 3, 969.40 12, 500.00 12,178.1') 585. '27 237.70 11, 551. 00 Capital stock paid in. $50, 000. 00 5, 500. 00 864. 87 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid . ; Individual deposits G80. 08 ! United States deposits 800. 00 Deposits of U. S. disbursing officers. 117.05 Due to other national banks Due to State banks and bankers . 134. 00 968. 00 Notes and bills re-discounted . 7, 488. 00 Bills payable 118, 075. 23 562. 50 185,690.10 Total. 185,690.30 Grundy County National Bank, Grundy Center. S. R. RAYMOND, President. No. 3396. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bant'g-hou^o,fumiture,ancl fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $146, 614.60 12, 500.66 13, 292.08 4, 299.62 97.50 800.00 350.00 267.91 90.00 60.42 1, 575.00 6,145.00 $50, 000. 00 Surplus fund Undivided profits 12, 000. 00 741. 89 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid . 2,500.00 Individual deposits United States deposits Depositsof U.S. disbursing officers. 110,162. 74 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 562.50 Total.. 186,654.63 Total. H. S. BECKMAN, Cashier. Capital stock paid in. 186, 654.63 First National Bank, Ida Grove. E. M. DONALDSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3930. $191,041.43 1, 847.46 37, 500. 00 10, 000.00 6,061.13 12,810.04 22,207. 35 5, 000. 00 484.51 2, 600. 00 248.95 656.00 32.09 1,284.43 2,100.00 EDWIN COLES, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $150, 000. 00 4, 000. 00 4,426. 38 33, 750. 00 74,958. 53 1,123.07 3,345.91 23,960. 00 1, 687. 50 295, 563.89 Total. 295,563.89 REPORT OF THE COMPTROLLER OF THE CURRENCY. 867 IOWA. First National Bank, Independence. RICHARD CAMPBELL, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TL S. bonds on hand Stocks, securii ies, judgments, etc -. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g- house, furniture, andiixtures Otherreal estate and mortg'sowned Current expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3263. W. W. DONNAN, Cashier. Liabilities. $257, 609. 72 697. 70 25,000.00 Capital stock paid in. Surplus fond Undivided profits National-bank notes outstanding.. State-bank notes outstanding .. 37, "24.00 52, 299.16 38,011.03 370.31 17, 236. 35 Dividends unpaid ... Individual deposits . United States deposits United States deposits. 1, 836.36 $100,000.00 20,000.00 64, 307.44 22,500.00 150.00 263,316.16 Deposits of TJ. S. disbursing officers. "l, 821.19 Due to other national banks Duo to State banks and bankers . Notes and bills re-discounted. Bills payable 4,013.00 311.00 10, 707. 78 21,481.00 1,125. 00 Total. 470,273.60 470,273.60 People's National Bank, Independence. J. F. COT, Cashier. No. 2187. EDWAED ROSS, President. Loans and discounts Overdrafts U S. bonds to secure circulation... U S bonds to secure deposits TJ. S bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national bants Due from State banks and bankers. Bank?g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.... Premiums OQU. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total.. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $155,133.39 3,201.28 20,000.00 11, 527.89 12, 086. 69 8, 569.49 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 3,000. 00 5, 714.68 1, 308. 73 800. 00 1,090. 01 $75,000.00 15, 000.00 12,230.58 18, 000. 00 116,855. 20 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 800.00 252. 47 10,910.15 1,761.00 900. 00 Total. 237, 085.78 237,085.78 First National Bank, Indianola. J. G. SANDY, President. Loans and discounts Overdrafts , U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g house, furniture, and fixtures Other real estate and mortg's owued Current expenses and taxes paid Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 1811. G. A. WORTH, Cashier. Capital stock paid in Surplus fund Undivided profits $115,145.59 822.46 12, 500. 0J $50,000.00 25,000.00 2,007. 68 National-bank notes outstanding.. State-bank notes outstanding 6, 911.92 24, 470. 57 " 9, 300." 65' 380. 97 1, 598.38 10,170. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 103, 961.80 Due to other national banks Due to State banks anil bankers .. Notes and bills re-discounted . Bills payable 1,243. 00 60. 30 9, 62"). 00 9,900.00 1,321.21 502.50 I 192,520.69 : Total. 192, 520. 69 868 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Iowa City. No. 2738. L. PABSOXS, President. LOVELL SWI8HER, Cashier. Liabilities. Kesources. Loans and discounts j Overdrafts I IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits • U. S. bonds on band ' Stocks, securities, judgments, etc ..! Due from approved reserve agents ! Due from other national banks ; Due from State banks and bankers, i Bank'g-house. furniture, andfixturesj Other real estate antimony's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalibanks Fractional currency, nickels, cents. Specie Logal-tender notes XL S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $178, 959.58 Capital stock paid in 8, 30t). 20 3G, 00d. 00 Surplus fund Undivided profits 200.00 National-bank notes outstanding.. 8,711.55 State-bank notes outstanding 404.9!) 2,002.48 Dividends, unpaid 13, 500. 00 12, 320. 54 Individual deposits 1,435.08 United States deposits 6,615.32 Depositsot'U.S.disbursing officers. 7, 338. 05 Due to other national banks 1, 325.00 Due to State banks and bankers.. 176.45 18,531.75 Notes and bills re-discounted 3, 782.00 Bills payable $100, 000. 00 10,646.10 8, 096. r»0 32, 400. 00 160. 00 148, 630. C O 874. 05 416.11 1,620.00 301,222.94 301, 222. 94 Total. First National Bank, Iowa Falls. J. H. CARLETON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on. hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house, furniture, andtixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. W. H. WOODS, Cashier. No. 3252. $121, 793.53 Capital stock paid in $50, 000. 00 97.72 25,000.00 12,500.00 Surplus fund 12,187.47 Undivided profits 11, 250. 00 National-bank notes outstanding. 6, 155.93 State-bank notes outstanding 6, 861.82 Dividends unpaid. 9,530.00 69, 736.29 Individual deposits 1, 382.36 United States deposits 1,015.62 Deposits of U. S.disbursing officers 9.70 Due to other national banks 2,520.00 Due to State banks and bankers . 100. 03 5,217. 55 Notes and bills re-discounted. 427.00 Bills payable 562. 50 168,173.76 Total. 168,173.f6 Keokuk National Bank, Keokuk. S. P. POND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits* U. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g house, furniture, andfixtures Other real estate and mortg's o\v ned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks j Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. E D . F. BROWNELL, Cashier. No. 1992. $186, 734.10 I Capital stock paid in. $100, 000.00 5, 756. 70 25, 000.00 Surplus fund 13,000. 00 3,048. 84 Undivided profits 3,293.76 National-bank notes outstanding. 22, 500. 00 1,133.08 State-bank notes outstanding. 1,428. 85 Dividends unpaid 340. 00 12,915.00 Individual deposits 110, 058. 24 " 3 * 782.' 99' j United States deposits 1, 527. 79 Deposits oi'U.S.disbursing officers. 2,445.48 Due to other national banks 3, 243. 19 287.00 7, 044.48 Due to State banks and bankers .. 17,185.00 1, 620.00 Notes and bills re-discounted Bills payable 5, 000.00 , 1,125.00 264, 234.75 Total. 264, 234. 75 REPORT OF THE COMPTROLLER*OF THE CURRENCY. 869 IOWA. Knoxville National Bank, Knoxville. No. 1871. A. W. COLLINS, President J . B. ELLIOTT, Cashier. Liabilities. Resources. Loans and discounts Overdrafts ••U. S. bonds t o secure circulation IT. S. bonds to secure deposits U. S. bondsonhand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds C tiecks and other cash items Exchanges for clearing-house Bills of other national banks.. Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit lledemption fund with Treas. TJ. S. Due from Treasurer U. S $166, 539.2'i 6, 867.48 23, 000.00 22, 597. 5.'i 9, 862.47 8,919.14 9, 800. 00 1, 028. 95 1,640.00 6, 933. 69 3, 280. 00 76.45 8, 053. 00 11,000.00 Capital stock paid in $100,000.00 22, 000. 00 7, 671. (JO National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid 40. CO Individual deposits United States deposits Deposits of U.S. disbursing officers. 130, 531. 34 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1,125.00 282,742.94 Total. I Surplus fund Undivided profits 282,742. 94 Total. Marion County National Bank, Knoxville. L A R K I N W R I G H T , President No. 1986. Loans and discounts Overdrafts U. S. bonds to secure circulation... U S. bonds to secure deposits U. S. bonds-onhand Stocks, securities, judgments, etc Due from approved reserve agents Due from >ther national banks. . . Due ii om State banks and baukers Ijauk'g-house,furniture,and fixtures Other ical estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash J terns Exchanges foi-clearing-house B ils of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U S. certificates of deposit nptii lledemption fund with Treas. U. S . Due from Treasurer IT. S. $105,558.97 10, 205.09 15, 000. 00 18,975.52 42, 513.18 OLIVER P . W R I G H T , Cashier. $60,000.0J Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 12, 000.00 3, 939.15 13, 500.00 Dividends unpaid. 574. 30 "345.46' 13. 00 65. 81 1,000.00 8,150. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers 113, 637.12 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 675.00 203, 076.27 Total. . Capital stock paid in 203, 076. 27 Total. First National Bank, Le Mars. P . F . D ALTON, President. Loans and discounts Overdrafts U S. bonds to secure circulation ! U S bonds to secure deposits U S. bonds on hand ' Stocks, securities, judgments, etc . i Due from approved reserve agents. | Due from oih r national bunks '• Duo from ^tate banks and bankers Bank g-house.fu niture,and fixtures Q t h e r i r a l estate and mortg's owned; Current expenses and taxes p a i d - . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house BilW of other national banks j F actionaicurrency, nickels, cents. Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas . U S Due from Treasurer U . S Total. No. 2728. $391>875-03 5,627.87 30,000.00 G-. L. W E R N L I , Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 33,170.17 37. 289. 06 2, 537.82 Dividends unpaid 15,000.00 _ _ Individual deposits 2, 678.54 United States deposits 2,000. t 0 Deposits of U.S. disbursing officers. 5,108. 68 Due to other national banks 2,088.00 Due to State banks and bankers.. 52.40 7,761.50 Notes and bills re-discounted 16,475.00 Bills payable 1,350.00 400.00 555,414.07 Total.. $100, 000,00 40,000. 00 22, 687. 57 27,000. 00 15.00 362,499. 68 3,211.82 555,414.07 870 REPORT OF THE COMPTROLLER OF THE CURRENCY. I OIF A. Le Mars National Bank, Le Mars. No. 2818. WILLIAM H. DENT, President. G. C. MACLAGAK, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation. -. U S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due fro u other national banks Due from State banks and bankers. Bank'g-house,furnituie,au<liixture* Other real estato ami mortg's owned Current expenses and taxes paid... Premiums on U. S bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U, S Total. $234, 734.06 7.104. 18 25,000.00 17,200.00 25. 82!). 27 16. 53< 40 7, 72S. 15 10, 400.00 7, 8 ;5. 76 2, 29 L 35 1,781.25 3, 792.95 5, 700. 00 10.68 7, 786. C O 8, 270. 00 Capital stock paid i n S u r p l n s fand Undivided profits . . $100,000. 00 l j National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 20, 000. 00 9,745.69 22, 500.00 I Individual deposits i United States deposits 1 Deposits of U.S. disbursing officers.! : Due to other national banks Due to State banks and bankers . . j Notes and bills re-discounted Bills payable 202, 268. 30 16,616. 0 G 12,000. 00 1,123.00 383,130. 05 Total . 383,130. 05 First National Bank, La Porte City. JAMES F. CAMP, President Loans and discounts O verdrafts U S. bonds to secure circulation... U. S. bonds to secure deposits . -. U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other nat ional banks . . . Duo from State banks and bankers Bank g-house,furniture and fixtures Other reaiestateandinortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 4114. F. E. TVELLSTEIN, Cashier. "$25,000.00 Capital stock paid in "iijhoo'bo Surplus fund 297 ."85 Undivided profits National-bank notes outstanding.. 2,034. 95 State-bank notes outstanding 2,09 J. 02 Dividends unpaid 1,250.00 6,117. 96 Individual deposits United States deposits 416.48 750. 00 Deposits of U. S. disbursing officers. $11,326.88 143.41 166. 00 9.07 177. 00 550.00 31,415.81 | Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable Total. 31,415.81 First National Bank, Lyons. OLIVEE MCMAHAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ..." U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks ... Due from State banks and bankers. Bank'g-houso,furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional cuirency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. WM. HOLMES, Cashier. No. 2733. Capital stock paid in I $100, 000.00 50, 000. 00 Surplus fund 20,615.96 : Undivided profits. 45, 000. 00 9, 277. 77 National-bank notes outstanding.. 63,544.8* | State-bank notes outstanding $457,931.22 1,097.77 50, 000.00 6, 918. 51 867, 64 1, 200.00 2, 8u7. 09 i6* 66" 4,610.00 1,143. 4fi 22, 395, 00 10, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 392, 326.35 Due to other national banks Due to State banks and bankers -. Notes and bills re-discounted Bills payable 2, 940. 99 25, 200. 00 2, 250.00 636,083.30 Total. 636,083.30 872 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Marengo, No. 2484. J . H. BRANCH, President. C. E. BINGHAM, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stock securities, judgments, etc ..! Due from approved reserve agents. • Due from other natioual banks Due from State banks and bankers. I Ban k'g-house,furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $86,115.98 276. 37 12, 500. 00 2,715.39 8, 6*22. 06 100. 00 10,000. 00 4, 343.13 Capital stock paid in . $50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding- . . 5, 539.90 1,669.74 11, 250.00 Dividends unpaid Individual deposits 1, 039. 10 United States deposits 8U0.00 DepositsofU.S.disbursingofficers 30.00 Due to other national banks 718.01) Due to State banks and bankers... 25.32 5, 374. 95 Notes and bills re-discounted . 2,000.00 Bills payable 49,001.06 17, 862. 60 562. 50 100.00 135, 323.30 Total. 135, 323.30 First National Bank, Marion. No. 2753. J A Y J . SMYTH, President. Loans and discounts Overdraft* U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers Bank'g-hous6,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legai-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $140, 847.22 4,439.40 12,500.00 9,242. 59 4, 583. 56 1,082.71 7, 500,00 SAM'L N. GOODHUE, Cashier, Capital stock paid in. $50, 000.00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 25,000. 00 2, 954. 00 11, 250.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. 98, 399. 37 " 685. 66 2, 000. 00 325.00 29. 39 9,158.00 855.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-diacounted . Bills payable 3, 024.44 3,183. 22 562.50 Total. 193,811. 03 193, 811.03 First National Bank, Marshalltown. GEORGE GLICK, President. Loans anil discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house.furniture.audfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit. . . . Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 411. $298,224. 07 4, 529. 62 25, 000. 00 105, 395. 68 9, 063.63 A. G. GLICK, Cashier. Capital stock paid in. $100, 000. 00 Surplus fond Undivided profits. 25,000.00 4, 968. 90 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid 17, 500. 00 2, 76-*. 28 1.86J.56 Individual deposits United States deposits Deposits of U.S. disbursing officers 349, 525.48 Due to other national banks Due to State banks and bankers .. 95.00 6,465.06 5,160. 55 11,910.00 151.45 14, 609 60 11,200.00 Notes and bills re-discounted . Bills payable 1,125.00 508,554.44 Total. 508,554.44 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Malvern. ]STo. JAMES M. STKAHAN, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure doposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ. S Total. L. BENTLET, Cashier. 2247. Liabilities. $104, 713.10 641.44 12, 500. 00 1 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits j 25, 000.00 3, 820. 4 5 National-bank notes outstanding.. 11, 250.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 65, 079. 38 28. 04 9, 612.25 State-bank notes outstanding 24^. 74 129. 43 ! Dividends unpaid. 10, 084.18 208.92 6,491.00 n.r.o 6,979.81 3,000.00 5G2. 50 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable Total. 155,177.87 155,177.87 First National Bank, Manning. D. "W. SUTHEELAND, President. 3455. Loans and discounts O verd rafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds oil hand ; Stocks, securities, judgments, etc . J Duo from approved reserve agents. I .Due from other national banks j Duo from State banks and bankers. ! Ban k'g-houso, furniture, andfixturesj Other real estate and mortg's owned Current expenses and taxes p a i d . . . j Premiums on U. S. bonds | Checks and other cash items Exchanges for clearing-ho use Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of d e p o s i t . . . . . Redemption fund with Treas. U. S Due from Treasurer U. S Total. .| $90,831.23 1,591,85 12,500.00 O. E. BUTTON, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding ..".'.. Dividends unpaid $50, 000. 11, 250. 00 Individual deposits United States'deposits Doposits of U. S. disbursing officers. ""i,"432.~68" Due to other national banks 4oo. 66 Due to State banks and bankers .. 26. 33 4,400.00 Notes and bills re-discounted 1,000. 00 Bills payable 81, 757. 78 20, 303.92 5, 745. 92 " 8,*(Joo."oo" 577*09* 00 7, 500.00 2:8ii4.34 562.50 153,372.12 Total 153, 372.12 First National Bank, Maquoketa. J . E. SQUIRES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-. U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc .. Due from approved reserve agents Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture.audiixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes ". U,. S. certificates of deposit Itedemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 999. $89,440.40 1,510.18 38, OuO. 00 9,183.77 10,5 9.14 28. 877.47 r>, 00v). oo 8, OUO. 00 3, 000. 00 280. 02 3, 025. 00 61.27 4, 6C0. 50 3, 000. 00 C. Vox SCHRADEK, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual- deposits United States'deposits Deposits of U.S. disbursing officers. $50,000.00 15, 000. 00 5, 632.56 34,200.00 101, 428.1 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1,710.00 206,260.75 Total . 206,260.75 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 873 IOWA. First National Bank, Mason City. N o . 2574. HENRY I. SMITH, President. Resources. Loans and discounts Overdrafts .. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Due from o. ner national banks ... Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owued Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $122,126.67 1, 452. 77 12, 500.00 14, 233. 36 20,905.63 j 6,158.83 662. 96 3, 000. 00 C. H. MCNIDER, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits . . . . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. $50, 000. 00 15,000.00 7,127.37 10, 750.00 118, 162.59 391.54 4, 209.00 69. 20 6, 264. 50 8, 500.00 Due to other national banks Duo to State banks and bankers . Notes and bills re-discounted. Bills payable 562.50 Total., 201,039. 96 201,039.96 First National Bank, McGregor. PRANK LARRABEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from appro veil reserve agents. Duo from other national banks Duo from State .bank sand bankers. Bank'g-hou8e,furniture,andtixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U S. bonds Checks and other cash items Exchanges for clearing-house Bills of.otbernational banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total., No. 323. $133, 574. 73 11.86 25, 000. 00 100,00 76, 038. 55 20, 631. 72 10,627. 91 108.17 9,185.00 1, <>40. 66 2,991.03 5. 500. 00 53.90 1, 923.00 70.00 7, 006. 8(J 10,154. 00 W. R. KINNAIRD, Cashier. Capital stock paid i n . $100, 000. 00 Surplus fund Undivided profits 25, 000. 00 9, 602.71 National-bank notes outstanding. State-bank notes outstanding 22, 500.00 Dividends unpaid 420.00 Individual deposits United States deposits Deposits of U. S. dis bursing officers. 142, 557. 59 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 643.57 5, 318.49 1,125.00 306,042.36 Total. 306, 042. 36 First National Bank, Missouri Valley. ORSON B. DUTTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other n.itional banks Due from State banks and bankers. Bank'g-house,f urn iture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Duefrom Treasurer U. S Total. No. 3189. $94,494. 26 3,754.99 17,000. 00 4,773. 39 20,917.57 6,150.00 "2,515.16 677.79 706. 00 14.22 4,334. 00 2,000.00 JAY G-. DUTTOX, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 36, 000. 00 9, 322. 21 15, 300.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 47, 480.11 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 765.00 158,102.32 Total. 158,102.32 874 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Montezuma. No. 2961. JOHN HALL, President G-. W. KIERULFP, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand . . ... Stocks, securities, judgments, etc . Dae from approved reserve agents. Due from o her national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other realestato andraortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total Liabilities. $75,255.41 167.20 12, 500. 00 15,061.93 4,283. 34 3,400.00 913.96 322.50 140.00 2.05 4, 337.00 3, 245.00 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits 3,183. 09 1, 779. 91 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 53, 932. 89 45. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 562.50 Total 120,190.89 120,190.89 First National Bank, Mount Pleasant. CHARLES SNIDER, President. Loans and discounts Overdrafts U S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agentsDue from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items... — Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. T. J. VAN HON, Cashier. No. 299. $144,469. 75 500, 75 25,000.00 21,189.10 56, 593. 08 9,406.17 11, 885.00 4,916.13 995.79 6,250.00 7§4.66 1,885.00 40.85 12,198.00 13, 204.00 Capital stock paid i n . $100, 000.00 Surplus fund Undivided profits 25, 000. 00 4,715.86 National-bank notes outstanding. State-bank notes outstanding 22, 500.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S. disbursing officers. 157,495. 24 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 83.08 1,125.00 310, 394.18 Total. 310, 394.18 National State Bank, Mount Pleasant. J. H. WHITING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificated of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 922. ROBERT S. G-ILLIS, Cashier. $205, 5*2.87 Capital stock paid in. $100, 000.00 728.03 74,500.00 50, 000.00 >lus fund Un 16, 954.68 profits. 50.00 32,884. 06 National-bank notes outstanding-. 67, 050.00 56, 643.07 State-bank notes outstanding 8, 338.95 1,639.00 Dividends unpaid 14, 201.27 7,700.00 Individual deposits 201,041.97 1, 891.99 285.00 90.00 14, 306. 75 15,636.00 United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1,442.84 2,052.50 436,489.49 Total. 436,489.49 REPORT OF THE COMPTROLLER OF THE CURRENCY. 875 IOWA. First National Bank, Muscatine. No. 1577. S. G. STEIN, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso, furniture, and fixtures Other real estate and mortg's owned! Current expenses and taxes paid... I Premiumsou U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $165, 588. 99 11, 7 J1. 83 25,000.00 •9,409.57 30, 007. 0G 7,594.49 1, 442, 47 15, 200. 00 1,981.9.3 930.88 930.28 2, 800.00 35.60 9,360. 00 16, 500.00 T. N. BROWX, Cashier. Liabilities. Capital stock paid in. Surplus fond Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Depositsof U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $50, 000. 00 50, 000. Off 2, 992. 02 22, 500. 00 345.00 165, "89. 09 5,324.61 2, 072.86 1,125.00 299,624.18 299, 624.18 Total . First National Bank, Nashua. A. G. CASE, President. AMOS CASE, Cashier. No. 2411. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds ou hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due iroui other natioual banks Duo from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national bants Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $76, 354.2.3 1,551.39 12,500.00 5, 000.00 7, 348.02 7,418.17 460. 08 8, 000. 00 Capital stock paid in $50, 000.00 Surplus fund Undivided profits 12, 000. 00 4, 766. 68 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid Individual deposits '" "720." 34" United States deposits 2,403.38 Depositsof U.S. disbursing officers. 310.17 Due to other national banks 569.00 Due to State banks and bankers . 76.78 8, 590. 50 Notes and bills re-discounted . 3,000.00 Bills payable 500.00 55, 698.25 653.25 562.50 134,868.18 Total . 134,868.18 First National Bank, Nevada. E. J. SILLIMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, secui ities, judgments, etc .. Due from approved reserve agents. D ue from other national banks Duo from State banks and bankers. Bank'g-houst\furniture,an<lfixtures Other real estate and mortg'sowned Current expenses and taxes paid... Premiums ou U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit "Redemption fund with Treas. U. S. Due from Treasurer U, S Total. W. F. SWAYZE, Cashier. No. 2555. $50, 000. 00 Capital stock paid in. Surplus fund 11, 500.00 3, 247. 38 Undivided profits National-bank notes outstanding.. 11, 250.00 9,954.26 State-bank notes outstanding. $90,652.47 2, 577. 59 12,500.00 10,316.18 3, 644. 28 7, 0G0.00 2, 996.61 163. 20 388. 35 815.44 735.00 6,'650." 66 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 72, 958. f>0 I Due to other national banks j Due to State banks and bankers. Notes and bills re-discounted. BilJs payable 562. 50 148,955. 88 Total . 148, 955. 88 876 REPORT OF THE COMPTROLLER OF THE CURRENCY. IO W A . First National Bank, New Hampton. SAM. J. KENYON, Cashier. No. 2588. O. B. SHERMAN, President. Resources. Loans and discounts Overdrafts •U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. Liabilities. $89, 323. 60 271.8G 12, 500. 00 5,400. 99 9,170. 54 4,123.11 National-bank notes outstanding. State-bank notes outstanding Total. 10,750.00 Dividends u n p a i d . 12, 695. 8t> 4,818.18 2,387.34 900.00 976. 74 465. 00 32. 38 6, 597. 50 4,830.00 Individual deposits United States deposits Deposits of U. S. disbursing oificers. 85, 519.54 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 Total. 155,055.62 No. 2644. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bankg-house, furniture, andfixtures Other real estate and mortg's owned C urrent expenses and taxes paid Premiumsou U. S. bonds Checks and other cash items Exchanges for clearing-house Bills ol other national banks Fractional currency, nickels, cents . Specie Legal tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S 1, 000. 00 7, 786. 08 Surplus fund Undivided profits . First National Bank, Newton. J. H. LTDAT, President $50,000. 00 Capital stock paid i n . $132,88Q. 58 10,296.96 12, 500.00 4, 400.00 463.44 11,366.62 254.71 10, 808.15 7,205.90 803.55 3, 300. 00 1,450.47 3,191. 00 10.31 5,85L. 50 12,6u0.0J 155, 055.62 C. SLOANAKER, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $50,000.00 7, 500. 00 3, 077. 47 11,250. 00 144,991.38 1,132.84 562.50 217, 951.69 Total- 217,951.69 Osage National Bank, Osage. J . H. BRUSH, President. Loans and discounts i Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... [ Premiums on U. S. bonds Checks and other cash items ! Exchanges for clearing-house ! Bills of other nationalbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U". S Total. AVERT BRUSH, Cashier. No. 1618. $50,000.00, Capital stock paid in. 25, 000.00 Surplus fund 18, 574. 99 Undivided profits. 10, 800. 00 120, 835.98 National-bank notes outstanding.. 17,495.49 State-bank notes outstanding $163,231.94 6,179.21 12, 500.00 8,042.36 6, 500.00 218.69 J Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 244,586.61 737.74 515. 00 10. 29 4, 532. 40 7, 500.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 562.50 100. 00 348,961.60 I Total. 348,961.60 BEPOKT OF THE COMPTROLLER OF THE CURRENCY. 877 IOWA. Farmers and Traders1 National Bank, Oskaloosa. •J. G. JONES, President. N o . 2895. JOHN H. WARREN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Duo from other national banks -. Due-from State banks and bankers Bankg-house,furniture.an(lnxtures Other real estate andmortg's owned Current expenses and taxes paid... Pcemiumson U. S. bonds .• Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total: , $165,136.31 102. 29 25, 000.0U 30,141.00 32, 639.44 4, 837. 57 Capital stock paid in $100,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding .."... Dividends unpaid 5, 500. 00 11, 726. 65 22, 500.00 24.00 485.00 2, 306.27 2,000.00 983.98 6, 235. 00 22.33 14,438. 50 8,000.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 153, 762. 04 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125.00 Total . 293, 512. G9 293, 512. 69 Oskaloosa National Bank, Oskaloosa. "W. H. SEEVEES, President Loans and discounts Overdrafts. U. S. bceids to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, secu; i' ies, judgments, etc .. Due from approved reserve agents. Due from o her national banks . . . Due from State banks and bankers Bank'g-house,fu.rniture,anduxture9 Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S bonds Checks and other cash items Exchanges for clearing-house Bills of Dther national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total.. C. E. LOFLAND, Cashier. No. 2417. $238, 377. 37 ( Capital stock paid i n . $50,000. 00 1,357.03 i 12, 500.00 Surplus fund 11,000.00 3, 585.49 Undivided profits National-bank notes outstanding.. 11, 250. 00 53,141.01 State-bank notes outstanding 28, 522.72 4, 357. 90 Dividends unpaid. 19,52«. 66 3, 200. 00 Individual deposits 310,266.13 1,362.79 United States deposits Deposits of U.S. disbursing officers. 3, 346.14 Due to other national banks 2, 782. 00 Due to State banks and bankers . . 5,372.81 305.61 12, 632. 70 Notes and bills re-discounted.. 9,500.00 Bills payable 562.50 Total . 391,474.43 391,474. 43 First National Bank, Ottumwa. W. B. BONNIFIELD, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... XL S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-houae,furniture. and fixtures Other real estate and mortg's o wned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other eash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U, S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. No. 107. $253,537.47 1, 831. 73 60,000. 00 33,316.26 4,851.30 9, 029. 81 8, 560. 00 28. 714.93 3, 500. 00 1, 654.02 W. T. FENTOX, Cashier. Capital stock paid in. $60, 000. 00 Surplus fund Undivided profits. 40, 000. 00 36, 50J. 10 National-bank notes outstanding.. State-bank notes outstanding 54, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 4,995.52 Due to other national banks 12,541.00 Due to State banks and bankers .. 35.49 17,517.9") |; Notes and bills re-discounted . . 24, 000.00 Bills payable 263,646.45 1, 307. 67 11, 329. 26 :, 700.00 466, 785.48 Total . 466, 78 J. 18 878 REPORT OF THE COMPTROLLER OF THE CURRENCY. IO W A. Iowa National Bank, Ottumwa. CHARLES F. BLAKE, President. No. 1726. T. H. EATOX, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds ou hand Stocks, securities, judgments, etc .. Duo from approved reserve agents Due from other nat ionai banks ... Due from State banks Jind bankers. Bank'^-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid.... Premiums ou U. S. bonds Checks and other cash items Exchanges for clearing-house Buis of other national banks. Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $404,426.63 ! 3,810.99 I 25,000.00 I 5,294.49 21, 2S1. 74 1,001.10 284 32 9, 80 L 00 20,182. 56 2, 040. 45 4, 324.68 3, 570. 00 5 J6 50 8,180. 00 25, 720. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $100,000. 00 20, 000. 00 39, 077.49 22,500.00 353, 882.83 618.14 1,125.00 Total. 536,678.46 536,678.46 Ottumwa National Bank, Ottumwa. J. B. MOWREY, President. Loans and discounts Overdrafts U, S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from othernational bunks Duoiroiri State banks and bankers. Bank'g-house, furuitu re, anddxtures Ocherreal ostatoatid mortg's owned Current expenses and taxes paid.. Premiums ou U. S. bonds Checks and other cash items Exchanges for clearing-house Bids of other national banks Fractional currency, nickels, cents . Specie • * Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total M. B. HUTCHISOX, Cashier. No. 2621. $214,092. 95 1. 300. 77 25, 0U0.00 3,122.50 18,912.51 6, 8.30. 58 3, 5S5. 16 6, 9 JO. 65 1, 009. 32 1, !!0U, 00 645. fcO 1,275. 00 «7.27 2, 024. 90 10, 230. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding. Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $100,000.00 7, 500. 00 4, 378. 30 22, 500. 00 164, 095. 64 274. 47 1,125.00 Total. 298, 748.41 298, 748.41 Guthrie County National Bank, Panora. GEORGE H. MOORE, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S. bonds on hand Stocks, securities, judgments, etc .. Due from approved, reserve agents Due from other national banks. ... Due from State banks and bankers Bank'ghouse, furniture, andfixt urea O 'her real estate and mortg's owned Current expenses and taxes paid... Premiums^n U. S, bonds Checks and other cash items E ichanges for clearing-house B Is of other national banks [Fractional currency, nickels, cents . Specie .". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3226. $105,033.62 267. 37 12, 500.00 14,054.57 2,851.64 " 10,000.00 1, 227.41 903. 99 145.00 58. (36 G, 070. 50 3, 223. 00 G. M. REYNOLDS, Cashier, Capital stock paid in . Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 5, 500. 00 2, 510. 88 ' 11, 250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S|. disbursing officers 87, 719. 38 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted BiilH payable 502.50 15u, 960. 2(i I Total. 156,9S0.26 REPORT OF THE COMPTROLLER OF THE CURRENCY. 879 IOWA. First National Bank, Pella. No. 1891. E. R. CASSATT, President. Resources. Loans and discounts Overdrafts. :.. TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds o 1 hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and morts's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house.. — Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S Total. J". H. STUBENRAUCH, Cashier, Liabilities. $83, 883. 44 Capital stock paid in. "iii.'ooo'oo' Surplus fund Undivided profits 1,450.00 National-bank notes outstanding.. 17, 325.88 State-bank notes outstanding 25,769. 22 13(5. 59 2,150.00 2,388.15 266. 55 900. 00 084.18 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 974. 00 62.14 11,650.00 4, 000. 00 $50, 000. 00 3, 340. 00 1,804.94 11, 700. 00 Due co other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable >9, 329. 37 534.10 166,174.31 Total. 166,174.31 Pella National Bank, Pella. No. 2063. P. H. BOUSQUET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank1 g- house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationaibanks Fractional currency, nickels, cents . Specie Legal-tender notes 17. Is. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $185, 651.24 25,665. oo 4,746. 72 11,560.04 5,145.24 JOHN NOLLEX, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 950. 00 3, 226. 98 939. 93 Dividends unpaid Individual deposits United States'deposits Deposits of U.S. disbursing officers. 1, 528.00 73.35 672.25 8,000.00 $100, 000. 00 20, 000. 00 4,123. 79 22, 500. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 101, 999. 96 1,125. 00 248,623. 75 Total. 248, 623. 75 First National Bank, Perry. D. J. PATTEE, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents Duo from other national banks ... Duo from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3026. $113, 266. 93 3, 843.10 12,500.00 9,516.09 23, 889.12 9, 500.00 5, 015. 76 2, 890. 62 69.10 235.00 481.18 10, 992. 45 5,000.00 H. J. HOLMES, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $50, 000.00 6,500. 00 10, 845. 34 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 119,166. 51 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562.50 197,761.85 Total. 197,761.85 880 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Red Oak. No. 2130. F. M. BTRKIT, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due i'rom other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixture.Other real estate and mot tg's owned Current expenses and taxes paid... Premiums on U.S. bouds Checks and other cash items Exchanges for clearing-house Bdls of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CHARLES F. CLARKE, Cashier. Liabilities. $182, 942. 17 6, 68(J. 63 20, 000.00 Capital stock paid in. Surplus fund $50, 000. 00 50, 000. 00 4,549. 59 Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 1G, 885. 83 "i2,6o6.66 871.68 *i4,"275."66" 5,112.65 15, 000. 00 18, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 147, 730. 66 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 4, 743.26 271. 85 900.00 618.40 275, 295.36 Total. 275, 295.36 Red Oak National Bank, Red Oak. JUSTUS CLARK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved^reserve agents. Due from other national banks ... Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mort^'s owned C urrent expenses and taxes paid.. Premiums onU. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationafbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3055. $179,742. 72 Capital stock paid in 6,381.00 25,000.00 Surplus fund 44 323.47 43.16 598. 22 25, 748.00 1, 875.00 1, 716.46 1, 319. 00 65.70 10, 628.90 6, 850. 00 PAUL P . CLARK, Cashier. $100,000.00 , Undivided profits , National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 13,000. 00 9, 2^:7. 91 Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 160, 682. 30 22, 500. 00 7.02 1,125.00 305,417. 23 Total.. 305,417.23 First National Bank, Rockford. O. H. LYON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand. Stocks, seem it ien, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-bo use, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationafbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 3053. $91,432.1.9 Capital stock paid in. 6,910.93 12, 500. 00 Surplus fund 1, 928.07 728.18 10, 500.00 1,105.40 2,312.50 1, 385. 80 545.00 36.89 4,4:i9. 00 2, 650. 00 H. A. MERRILL, Cashier. Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. $50,000.00 10, 000.00 4,293. 24 11,250. 00 525. 00 60,998.28 Due to other national banks Due to State banks and bankers. Notes and*bills re-discounted. Bills payable 562.50 137, 0G0. 52 Total. 137,066.52 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 881 IOWA. First National Bank, Rock Rapids. No. 3153. B. L. RICHARDS, President. E. L. PARTCH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. . . . Due from State banks and bankers. Bank'g- house, furniture, and fixtures Other real estate and mortg's'Owned Current expenses and taxes paid.. Premiums on TJ. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $91, 887.67 384. "J .O 12, 5J0.00 8,039. 63 174. 00 9,184. 30 2, 762.89 2, 700. 00 3, 000. 00 1,099.41 600. 00 375.32 520.00 67.65 3,188. 55 2, 500. 00 Capital stock paid in j Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 8, 500.00 4, 346. 80 11,250.00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 42, 637.42 12, 812. 00 10, 000.00 562.50 139, 546. 22 Total. 139, 546.22 First National Bank, Sheldon. No. 3848. C. S. MCLAURY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and niortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $66, 229.10 444.18 12,500.00 1, 331. 06 4, 858. 50 11, 294. 07 " "316." 75 475.00 112.82 959.00 11.25 623.10 3, 500. 00 W. M. SMITH, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding. . . Dividends unpaid 2, 500. 00 1,170.46 11,250.00 100. 00 Individual deposits United States deposits Deposits of U. S.diabursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 30, 393. 02 2, 880. 35 4, 933. 50 562. 50 10.00 103,227.33 Total 103, 227.33 First National Bank, Shenandoah. THOMAS H. READ, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks. . . . Due from Slate banksand bankers. Ban k'g-house, furniture, andfixturen Other real estate aud rnortg's owned Current expenses and taxes paid... Premiums on U. S bonds Checks and other cash, items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. Ex. 3- No. 2363. $104,096.75 3, 757. 75 12, 500. 00 47, 048.29 91.50 7,862.00 88.95 FRANK HOOKER, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits 10, 000.00 4, 305. 50 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 116,883. 76 "l,"984. 93 1,868.00 l.~). 82 4,216.05 7, 500. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable. 509.22 192, 439.26 Total. 192,439. 26 882 REPORT OF THE COMPTROLLER OF THE CURRENCY. I OWA. Shenandoah National Bank, Shenandoah. GEORGE BOGJLRT, President. E. S. EEunits, Cashier. No. 2679. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks . . . Due from State banks and bankers. Bank 'g-house, furniture, and fixtures Other real estate and mortg's owned •Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-bouse [Bills of other national banks Fractional currency, nickels, cents Specie Xegal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $103, 807. 05 3,434.71 15, 000. 00 6, 700.00 7, 409. 65 130. 95) 61.35 7, 294. 79 602. 69 500. 00 953. 74 2,686. 00 27.77 736.40 6,500. 00 Capital stock paid in. $00, 000. 00 Surplus fund „_.. Undivided profits National-bank notes outstanding.. State-bank notes outstanding 6, 000. 00 5, 072. s:; 13, 500.00 Di vidends unpaid Individual deposits United States deposits Deposits of U. Si disbursing officers. 71,258.4.8 Due to other national banks Duo to State banks and bankers. 88.83 nd bills re-discounted. Bills payable 675.00 156, 520.14 Total . 156, 520. 14 First National Bank, Sibley. CHARLES E. BROWN, President. No. 3320. Loans and discounts Overdrafts : U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from, other national banks Due from State banks and bankers. Bank'g- house, furniture, and fixtures Other real estate and mortg's owned •Current expenses and taxes paid... Premiums on U. S. bonds O hecks and other caali items ^Exchanges for clearing-house Bills of other national banks ^Fractionalcurrency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $87, 960.89 2, 336.00 12, 500.00 2, 955.88 3, 406. :-;4 217. 0(5 2, 500. 00 1,156. 35 l,ti(>7.3l 177.30 1,132.00 29.22 1,802.45 2, 500. 00 H. L. EMMERT, ( Capital stock paid in $50, 000. 00 S u r p l u s fund Undivided profits 2, 350. 00 7, 917. :!9 Xational-bank notes o u t s t a n d i n g State-bank notes o u t s t a n d i n g . . . Dividends u n p a i d 11, 250. 00 21.00 Individual deposits United S t a t e s deposits Deposits of U. S. disbursing o fticers. 38, 339. 55 Duo t o other national b a n k s Due to State b a n k s a n d b a n k e r s . . N o t e s a n d bills re-discounted Bills payable 11, 085. 86 562.40 Total. 120, 963.80 120, 963. 80 First National Bank, Sigourney. J. P. YERGER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to»secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andtixtnres Otherreal estate and mortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S . * Total. No. 1786. $93,956.20 280. ?A 12, 500. 00 100. 00 24, 882. 88 54, 024. 07 J . R. MACKEY, Cashier. Capital stock paid i n . $50, 000. 00 Surplus fund Undivided profits. 10, 000. 00 13, 058. 56 Xational-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid "ISVOOO'OO" """792'2T 4,510.00 120. 00 11,177.00 6, 000. 00 Individual deposits United States deposits '. Deposits oi'U. S. disbursing oinct-rs Due to other national ban kg Due to State banks and bankers . .140,846.07 98. 2 L ISTotes and bills re-discounted . Bills payable 562.50 225, 252. 84 Total. 225,252.84 REPORT OP THE COMPTROLLER OF THE CURRENCY. 883 IOWA. First National Bank, Sioux City. No. 1757. T. J. STONE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned C urrent expenses and taxes paid .t. . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. E. H. STONE, Cashier. Liabilities. $614,109.46 13, 840.40 50,000.00 35, 021.09 30,771.95 77, 545. 48 11,879.94 25, 000.00 6, 839.50 4, 193.22 3, 000. 00 3, 918. 23 19,500.41 11, 007. 00 385. 00 14, 811. 29 26, 018. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 100, 000.00 8,384.32 44, 830.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers 427,409.29 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 96, 265. 99 145, 221. 37 28, 000.00 2, 250. 00 Total. 950,110.97 950,110.97 American National Bank, Sioux City. No. 3940. O. J . TAYLOR, President. Loans and discounts Overdrafts U.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from otuer national banks . . Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $208,331). 54 310.51 37, 500.00 95.71 2, 167. 58 3,142.69 2, 819. 62 166. 05 2,812.50 1,152. 32 2, 382.00 4S.90 5,962.65 4, 500. 00 $150,000.00 5, 364.77 33,750.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 58, 927.19 Due to other national banks Due to State banks and bankers . . 2, 218. 71 I, 222.51 Notes and bills re-discounted B1II3 payable 21, 604.39 1, 687. 50 Total . 273, 087.57 Total. HERMAN RUSSELL, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 273. 087.57 Iowa State National Bank, Sioux City. D. T. GILMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits .. U. S. bonds on hand Stocks, securities, judgments, etc - Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3968. $161, 995. 9G 120.52 25, 000. 00 10,170.77 4, 5LI. 20 4, 351.10 2, 847. 00 1, 333. 75 1, 800. 00 316.12 1, 065. '20 1, 222. 00 8. 33 6, 430.00 3, 000. 00 R. S. VAN KEUKEN, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding | $10C, 000.00 500.00 3,497. 04 22,500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 82, 253. 61 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted 278.76 10, 287.12 5,980.42 Bills payable 1,125.00 |i 225,296.95 !| Total. 225,296.95 884 EEPOKT OF THE COMPTROLLER OF THE CURRENCY. IOWA, Security National Bank, Sioux City. No. 3124. J. D. SPALDING, President. W. P . MANLEY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on .hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $476, 765.86 1, 546. 04 50, 000.00 30, 916.10 34,334.39 52, 578. 34 8,181.47 43, 985.00 3, 746. 76 12, 700.00 1,406.48 8,149.61 16,189.00 406. 11 11,312.85 25,0U0.00 8200, 000. 00 Capital stock paid in. Surplus fund Undivided profits . 35, 000.00 8,610.96 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers... 372, 703. 06 30,411.36 88, 542. ti3 Notes and bills re-discounted Bills payable 2, 250. 00 800.00 Total 780,268.01 780, 268. 01 Sioux National Bank, Sioux City. WILLIAM L. JOY, President. No. 2535. A. S. GARRETSON, Cashier. $1, 266, 849.52 Capital stock paid i n . Loans and discounts 1,870.37 Overdrafts 50,000. 00 Surplus fund U. S. bonds to secure circulation ... 100, 000.00 Undivided profits. U. S. bunds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 45,797.09 National-bank notes outstanding Due from approved reserve ag3nts. 236,410,57 State-bank notes outstanding 40,371.57 Due from other national banks 33,491.98 Dividends unpaid.. Duo from State banks and bankers 28,144.14 Bank'g-house.furniture. and fixtures Other real estate andraortg'sowned Individual deposits Current expenses and taxes paid .. 9, 749. 62 United States deposits Premiums on U. S. bonds Deposits of U.S.disbursing officers 6, 051.05 Checks and other cash items 36,480, 30 Due to other national banks Exchanges for clearing-house 22,197.00 Bills of other national banks 580.24 Due to State banks and bankers.. Fractional currency, nickels, cents. 49, 973.00 Notes and bills re-discounted . Specie 72,190.00 Bills payable Legal-tender notes U.fc>.certificates of deposit Redemption fund with Treas. U. S. 2, 250.00 Due from Treasurer U. S Total. 2,002,406.45 Total. $500, 000. 00 90, 000. 00 21, 032.49 45, 000. 00 551, 377. 52 70, 564. 71 31, 891. 24 29, 835. 42 662, 705. 07 2, 002,400.45 First National Bank, Spencer. ALBERT W. MILLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with. Treas. U. S Due from Treasurer U. S Total. P. E. RANDALL, Cashier. No. 3898. $60, 000. 00 Capital stock paid in. 1, 400.00 Surplrsfund 1, 233. 64 Undivided profits. 3, 066.47 National-bank notes outstanding.. 13, 500. 00 377.32 State-bank notes outstanding $83, 812.70 4,403.30 Dividends unpaid. 1, 054.19 650. 70 900.00 856.19 3, 517.00 69.20 4, 725. 05 2, 000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 40,520. 48 4, 453. 00 675.00 121,107.12 Total . 121,107.12 REPORT OF THE COMPTROLLER OF THE CURRENCY. 885 IO W A . First National Bank, Storm Lake. No. 2595. Z. C. FELT, President. R. H. BROWN, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on band Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges fur clearing-house Bills of other national banks F.actional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. $147, 878.10 Capital stock paid in. 69. m 12, 500. 00 Surplus fund Undivided profits. National-bank notes outstanding.. 7,080.15 State-bank notes outstanding 109.17 Dividends unpaid. 12, 000. 00 1,781.90 Individual deposits 1, 236. 92 United States deposits 2, 000.00 Deposits of U.S. disbursing officers. 1, 066.45 Due to other national banks Due to State banks and bankers... 62.41 1,631.30 Notes and bills re-discounted 7, 049. 00 Bills payable $50, 000. 00 10, 000.00 6, 262. 87 11, 250. 00 103,282.31 5, 759. 46 9,475.89 562.50 195, 030. 53 195, 030.53 Total. First National Bank, Stuart. J . R. BATES, President. No. 2721. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits . . . TJ. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house,furniture,and fixtures Other real estate and mortg's ovmed Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes t TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $118, 741. 08 107. 27 20, 000. 00 7, 344. 00 1, 066. 62 H. LEIGHTON, Cashier. Capital stock paid in. $75, 000.00 Surplus fund Undivided profits 15, 000.00 2, 867. 66 National-bank notes outstanding.. State-bank notes outstanding . . 18, 000. 00 Dividends unpaid. 8, 075. 00 10, 200.00 1,912.37 3,925. 00 877. 50 3, IK). 00 160.53 3, 600. 00 5, 799. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 71.020. 71 5, 000.00 900. 00 1, 000.00 186, 888. 37 Total . 186,888.37 First National Bank, Sutherland. BENJAMIN THOMPSON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and inortg'a owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 3618. $92,862. 78 1, 835. 05 12, 500. 00 456. 00 2,644.05 2, 998. 22 3, 600. 00 1,053.17 200.00 317.62 210.00 30.72 6,150. 60 625. 00 C. H. BRINTNALL, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 5,100. 00 2.690.27 11,250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 56, 528. 60 19.87 456.97 562. 50 126,045.71 Total. 126,045.71 886 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, Tama City. No. 1880. J. L. BRACKEN, President. A. P . STARR, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank 'g house,furniture.andti xtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. $138, 557. 04 6, 243. 28 12,500.00 Capital stock paid in . $50, 000.00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 24, 584.97 11,264. 43 644. 12 9, 775.00 Dividends unpaid 644.06 125, 252.91 Due to other national b a r k s Due to State banks and bankers.. 2, 640. 00 85.55 15, 660.35 4, 498.00 11,250.00 250. 00 Individual deposits United States deposits Deposits of U.S.Uisbursingoffieers ' 399.'57 37, 000.00 3, 894.35 412. 51 Notes and bills re-discounted. Bills payable 562. 50 228, 059.77 Total. 228, 059. 77 First National Bank, Tipton. No. 2983. H. L. DEAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g-houae,furniture,andtixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national bauks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $91, 674.98 854. 89 12, 500.00 C.W.HAWLBY, Cashier. Capital stock paid in. $50, 000. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 16,861.00 6, 824. 30 9,264. 89 Dividends unpaid "~9 "450." 66" 00 4, 800. 00 6, 325. 59 11, 250.00 270. 00 ""*506.*3i' Individual deposits United States deposits Deposits of U.S. disbursing officers 309. 00 96. H9 5,616. 85 1, 000. 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable <.... 3, 703. 13 282.39 :6, 861.04 562.50 159, 506.63 Total. 159, 506. 63 First National Bank, Villisca. No. W. S. ALGER, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation . . . U.S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g-house,furniture,and fixtures! Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer CJ.S Total. 2766. $96, 688. 06 1, 177.89 12, 5uO. 00 B. F. FAST, Cashier. Capital stock paid in $50, 000.00 , 10, 000. 00 12,743.21 National-bank notes outstanding. 3,757.04 i State-bank notes outstanding 2L1.75 Dividends unpaid . 10, 710.00 Individual deposits United Si ates deposits Deposits of U.S.disbursing officers. 53,425. 33 Due to other national banks Due to State banks and bankers.. 1, 633.43 "io.'ooo.'oo"; 365. 46 200. 00 197.51 6, 720. 00 37. 76 3,594.00 2, 500.00 562. Surplus fund Undivided profits Notes and bills re-discounted. Bills payable 50 138,511.97 Total. 138.511.97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 887 First National Bank, Washington. JOSEPH KECK,President. S. A. WHITE, Cashier. No. 2656. Resources. Loans and discounts Overdrafts. IT. S. bonds to secure circulation ... IT. S. bonds to secure deposits TT. S. bunds on hand Storks, securities, judgments, etc .. Due from approved reserve agents Dae from other national banks Duo from State banks and bankers. Ba,nk'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Cheeks and other cash items iJxchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $154,033.84 793. 28 25,000.00 26, 065. 61 32,304. 63 8, 000.00 1,092.20 2, 000.00 3,465.73 3,212.00 70.67 9,848. 50 7,000.00 Surplus fund Undivided profits...National-bank notes outstanding.. State-bank notes outstanding 13, 000.0016, 243. 79 22, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 122,767.67 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 1,125.00 274,011.46 Total. $100,000.00 Capital stock paid in. Total. 274, 011.46 Washington National Bank, "Washington. A. W. CHILCOTE, President. No. 1762. Loans and discounts Overdrafts TJ S. bonds to secure circulation... TJ S. bonds to secure deposits TJ S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills oi other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ S. certificates of deposit lledemption fund with Treas. TJ. SDue from Treasurer TJ. S Total. $245, 835. 79 2. 078. 35 25,000.00 42,788.91 12, 994.07 12, 519.46 1, 396. 09 6, 375. 00 595.85 4,234.00 60.34 6,728. 80 11,000.00 1,125.00 372, 731. 66 J . A.. YOUNG, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 50, 000. 00 10,159.08 22,500.00 Dividends unpaid Individual deposits United States deposits , Deposits of TJ. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted.. Bills payable Total. 189,974.95 97.63 372,731.66 First National Bank, Waterloo. IT. B. ALLES, President Loans and discounts Overdrafts U S . bonds to secure circulation... U. S. bonds to-secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. . Duo from approved reserve agents. J Due from other national banks | DUB from State banks and bankers. i Bank'g-house, furniture,and fixtures! Other real estate and mortg'sowned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. No. 7J»2. Capital stock paid in. $254, 708. 24 1,113. 87 12, 500.00 51,946.22 82, 200. 25 153.75 9, 000. 00 7, 894. 73 2, 315. 54 2, 930. 52 8, 498. 00 53.18 12, 207. 37 10, 500. 00 J. TV. KBAPPEL, Cashier. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $50,000.00 50,000.00 IS, 376.03 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits ofU. S. disbursing officers. 325,471.54 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 972.55 514.05 562. 50 Due from Treasurer TJ. S Total. 456,584.17 Total 456,584,17 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. Commercial National Bank, Waterloo. F. L. GILBERT, Cashier, No. 2910. W. W. MILLER, President Resources. Loans and discounts* Overdrafts .-•-.--• U. S. bonds to secure Circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities Judgments, etc .. Due from approved reserve agents Due from other national banks. D le from State banks and bankers Bank'g-bouse, furniture,and fixtures Oi her real estate and mortg's owned Current expenses and tax.es paid Premiums on U. S. bonds Ckecks and other cash items Exchanges for clearing-house B Us of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit liedeu.ption fund with Treas. U. S Due from Treasurer U. S Total . Liabilities. $116, 015. 70 1, L»9J. 47 1U, 500.00 4, 6G7. 7;> 7,186. :r> 12,519.01 100. 00 2, 00U. 00 2, 345.91 875.00 . 801.59 10,114.00 83. 54 4,052. 50 5,000.00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers Due to other national banks ... Due to State banks and bankers -. $50, 000.00 17, 500.00 5, 3'J4. 92 11,250. 00 75.00 96, 348.83 151. 63 Notes and bills re-discounted. Bills payable 502. 50 Total. 180, 720. ^ 180,720.38 First National Bank, Waverly. No. 3105. J. H. BOWMAN, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks. ... Due from State banks and bankers Bank'g-house,furniture,and fixtures CKher real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ. S Total. $177, 697. 81 2,077.41 25,000.00 9, 997.85 16,291.2:* 4,108. 26 9, 085. 49 25,100. 00 10, 500.00 Si.}. 50 4, 500. 00 5, 720. 20 6,856. 00 48. 21 2, 852. 50 10, 000.00 H. S. BURR, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $100,000.00 19,000. 00 1,325.09 22, 500.00 320. 00 156,753. 61 4,496. 82 8,000.00 1,125.00 312,395. 52 Total. 312,395.52 First National Bank, "Webster City. KENDALL YOUNG, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Dae from other national banks Due from State banks and bankers Uank'g-house,furniture,and fixtures O ther real estate and moi tg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Dne from Treasurer U. S Total. B.C. MASON, Cashier. No. 1874. $50,009.00 Capital stock paid in. 28,000.00 Surplus fund 6,860.22 Undivided profits H00. 30 National-bank notes outstanding.. 22,500.00 17, 027.53 State-bank notes outstanding $117, 575.46 590. 60 25, 000. 00 11,518.87 4,450.00 1,473.49 1, 627.00 135 00 470.00 8,000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers 81,767.11 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable , 976.12 1,125. 00 190,103.45 Total. 190,103.46 REPORT OF THE COMPTROLLER OF THE CURRENCY. 889 IOWA. Farmers' National Bank, "Webster City. B. F. MILLER, President. No. 3420. AUG. F. HOFFMAN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national ban ks. . . . Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal tender notes U.S. certificates of deposit ^Redemption fund with Treas. U . S . Due from Treasurer U. S Total . Liabilities. $101,512.56 766. :<4 12, 50J. 00 812. 27 8, 522.09 7,219.64 62. 72 4, 671. 66 662. 50 887. 64 700. 00 518. 45 145.00 32. 00 8,084. 25 1,150. 00 Capital stock paid i n . . $50, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding- 10. 000. 00 15, 914.35 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 61, 406.87 Due to other national banks Due to State banks and bankers . . 208.40 Notes and bills re-discounted . Bills payable 562.50 Total . 148, 809.62 148, 809.62 Hamilton County National Bank, Webster City. L. A . M e MURRAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks. . . . Due from State bank* and bankers. Bank'g-bouse, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bouds Checks and other cash items Exchanges for clearing-house Bills of other national banks. . . . Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S '. Total. No. 2984. $111,574.53 3, 231. 22 12, 500. 00 4, 465.97 20, 350. 76 4, 769. 25 1, 544. 24 1, 800. 00 4, 4()0. 00 672.8:{ 2, 600. 00 628. 85 682.00 51.18 2, 527. 60 5, 000.00 CYRUS SMITH, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits 10, 000.00 3, 8U9. 48 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends nnpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 102, 301. 45 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 562. 50 177, 360. 93 Total 177, 360.93 Fayette County National Bank, West Union. S. B. ZEIGLER, President. Loans and discounts Overdrafts TJ S. bonds to secure circulation.... TJ. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks. Due from tate banks and bankers. Bankg-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges tor clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Duefrom Treasurer TJ. S Total. No. 2015. $146,163.17 3,455.10 25, 000. 00 17, 35S. 31 21,103. 91 "ie, 566.66 E . B. SHAW, Cashier. Capital stock paid in. $100, oooToo Surplus fund Undivided profits. 15, 700.00 3,113. 66 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits Unitea States deposits Deposits of U.S.disbursingoflicers. 100, 864. 88 Due to other national banks 1,050 00 Due to State banks and bankers . . 382.40 !| 6,804. 95 |i Notes and bills re-discounted 1,262.00 ! Bills payable 1, 332. 85 71.14 " i j " 3^*19' 1,500.00 1,125. 00 339. 50 243, 582. 53 Total. 243, 582.53 800 REPORT OF THE COMPTROLLER OF THE CURRENCY. IOWA. First National Bank, What Cheer. No. 31G2. THEO. RomsON, President. J. L. MITCHELL, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house, furniture, and fixtures Other real estate and mortg's ovvued Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. Liabilities. $101, 300. 88 1 053.78 12, 500. 00 Capital stock jjaid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 476. 87 38, 644.52 " 1 i," 650." 66' 1, 049.12 COO. 00 574. 53 967. 0) 29. 50 9, 200. 00 4, 000. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursingoflicers. $50, 000. 00 11,000.00 1,811.49 11, 250. 00 108,547.21 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 182, 608. 70 Total. 182, 608. 70 First National Bank, Winterset. No. 1403. C. D. BEVINGTON, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation ... U. S. bonds to secure deposits U.S. bonds on hand — Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks... . Due from State banks and bankers. Bauk'g-bouse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency,nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $99, 263.73 3,611.34 12, 500. 00 9,881.47 7, 8:>6.98 135. 52 2,476.92 793/24" 2,216.69 1, 856. 97 2, 552. 00 283. 57 7,628.25 725.00 W. S. WHEDON, Cashier. $50, 000. 00 Capital stock paid i n . Surplus fund Undivided profits 20,000.00 1, 698.42 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. 69, 3G2.31 Due to other national banks Due to State banks and bankers.. 33.45 Notes and bills re-discounted. Bills payable 562. 50 152,344.18 Total. 152, 344.18 Citizens' National Bank, Winterset. EDWAED BROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national bunks Duo from State banks and bankersBan k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 2002. $95,967.26 6, 374. 53 12, 500. 00 1,026.04 29, 274. 87 12, 502. 80 "ii,'ooo.'oo" 2, 500. 00 754.43 ' 75." 73* 860. 00 56. 68 3, 4<»0. 25 8, 000.00 W. J. CORNELL, Cashier. | Capital stock paid in. Surplus fund Undivided profits . National-bank notes o u t s t a n d i n g . . State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Depositsof U. S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable $50, 000. 00 20, 000. 00 2, 672. 58 11, 250. 00 98, 512.29 2,600.28 562. 50 185, 035.15 Total. 185, 035.15 REPORT OF THE COMPTROLLER OF THE CURRENCY, 891 1OW A. Pirst National Bank, Wyoming. WALLACE T. FOOTE, President Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house.furniture.andfixtures Other real estate andjnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other n at ionar banks Fractional currency, nickels, centsSpecie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. No. 1043. JOHN K. PIXLEY, Cashier. Liabilities. $106,977.34 917.32 12, 500,00 31, 790.87 J, 201.46 4, 753.66 1,500.00 1,051.39 I 612.00 124.31 5,19.']. 50 3,100.00 Capital stock paid in. Surplus fund.. Undivided profits. $50,000.00 8,500.00 2, 344.58 National-bank notes outstanding.. State-bank notes outstanding 10, 700.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 95, 039.77 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 10, 000.00 5(J2. 50 176,884:. 35 Total. 176,884.35 892 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. First National Bank, Albert Lea. GILBERT GULBRANDSON, President. D. W. DWTER, Cashier. No. 35(iO. Liabilities. Resources. Loans and discounts Overdraits TJ. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks. . . . Due from Stale banks and bankers Bank'g house,furniture andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $105,922.10 85. 26 12,500.00 10,534.37 11,191.54 2,412.14 7,792.45 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits National-bank notes outstandingState-bank notes outstanding 3,000.00 4,923.43 11,250. 00 Dividends unpaid Individual deposits '""MOO." 15' United States deposits 2, 650.00 Deposits of U. S. disbursing officers. 297.92 jl Due to other national banks 48"). 00 Due to State banks and bankers . 110.87 Notes and bills re-discounted. 6,' 586. 00 Bills payable 97,498.92 ' " "562*56' 166, 672.35 Total. 160,672.35 First National Bank, Alexandria. No. 2995. F . B. V A N HOKSEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,secnrities, judgments, etc.. Due trom approved reserve agents Due from other national banks. . . Duo from State banks and bankers Ban k' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency,nickels,cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDae from Treasurer U. S $126, 387.69 2,108. (J0 15, 000.00 2, 753.94 7, 488.93 6,918.73 2, 725. 88 1,200.00 1,194.83 311.25 3, 634. 77 $60,000.00 Surplus fund Undivided profits. 8,400.00 5, 547. 28 National-bank notes outstanding.. State-bank notes outstanding 13,500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks 1, 647. 00 Due to State banks and bankers . . 140.06 8,971.50 Notes and bills re-discounted . 1,000.00 Bills payable 94,413.37 297.85 675.00 182,158. 50 Total. G. B. WARD, Cashier. Capital stock paid in . Total. 182,158.50 Anoka National Bank, Anoka. "WILLIAM D. WASHBURN, President. Loansand discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents Due from other national banks. . . . Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3000. $203,806.77 j 1, 912.03 12,500.00 250.00 I 8,361.69 ! 17, 705.26 C. S. GUDERIAN, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50~ 000.00 7, 000.00 1,453.67 11,250.00 Dividends unpaid 2,113.91 6, 872. 53 1,695.44 1,140. 63 1,153. 52 160.00 345. 70 24,173.65 613.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 203,662.96 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 10,000.00 562. 50 283, 366.63 Total . 283,366.63 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 893 MINNESOTA. First National iBank, Austin. No. 1690. O. W. SHAW, President. N. F . BANPIELD, Cashier. Liabilities. Resources. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents Due from other national banks . . . Due from State banks and bankers. Bank'g-house,furnituie,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national"banks Fractional currency, nickels, cento. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . . Due from Treasurer U. S $174, 428. 21 884.40 12, 500. 00 580.00 22, 438.19 18.397.37 5,174. 09 11,500.00 3, 750. 00 1,766.62 3,440.89 | " i , 595. 00 59. 13 .12,118.90 5, 500.00 Capital stock paid in. 10, 000. 00 29, 045.15 National-bank notes outstanding. State-bank notes outstanding..'.!. 11,250.00 Dividends unpaid Tn d ivi dual deposits. United States deposits Deposits of U.S.disbursing officers. 174, 395.15 Due to other national brinks Due to State banks and bankers. Notes and bills re-discounted. Bills payable """562.'50 Total 274,690. 30 Total. $50, 000. 00 Surplus fund Undivided profits. 274, First National Bank, Brainerd. N o . 51590. H. J. SPENCER, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgment:*, etc .. Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers Bank'g-house.furniture.and u'xi ures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of oi her national banks Fractional currency, nickels, cents. Specie Logai-tender notes TJ. S. cert iticates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $143, 537.19 1,948.0") 12, 500. 00 10, 000. 00 15, 269. 58 40, 596. 37 $50, 000. 00 Surplus fund Undivided profits 30,000.00 8, 524.28 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid 41, 000. 0J Individual deposits **i*238.~79" United States deposits 1,000 00 Deposits of U.S.disbursing officers. 1,107. 90 Duo to ofher national banks 4, 592.00 Due to State banks and b a n t e r s . . 145. 51 16, 767.45 Notes and bills re-discounted.. 4,145. 00 Bills payable 194, 257. 33 378.49 562. 50 Total. 294,410.40- Total. A. F. FERRIS, Cashier. Capital stock paid in 294,410.40 First National Bank, Crookston. G-. Q. ERSKINE, President. Loans and discounts - Overdrafts TJ. S bonds to secure circulation... TJ. S bonds to secure deposits U. S bonds on hand Stocks, securities, .judgments, e t c . . Dae fiom approved reserve agents. Due from other national b tnka Due from State banks and bankers Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . Premiums on U. S. bonds Checks and other cash items ! Exchanges for clearing-house ! Bills of other national banks j Fractional currency, nickels, cents j Specie ! Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. No. 5:567. $190,748.19 1,060.68 25,000.00 4,691.97 9,621.72 13,500.00 6, 500. 00 1, 188.71 1,000.00 652. 27 l,!J81.00 174.77 14, 8J4 00 5, 000.00 CHAS. E . SAWYER, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable $100, 000. 00 12, 000. 00 5,174. 64 22,500.60 102, 696.67 34,800.00 1,125. 00 700. 00 277,171. 31 Total. 277,171.31 894 REPORT OF THE COMPTROLLER OF THE CURRENCY. M I N N E S O T A. Merchants' National Bank, Crookston. No. 3262. JOHN CEOMB, President. W. C. KELSO, Cashier. Liabilities. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Duo from ot her national ban ks . . . Due from State banks and bankers ! Bank'g-house, furniture,and fixtures' Other real est at o and mortg's owned; Current expenses and taxes paid...! Premiums on U. S. bouds Checks and other cash items ! Exchanges for clearing-house Bills of other national" banks Fractional currency, nickels, cents. Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $120,958.64 416.33 19,000.00 7,154. 27 5, 8:>2. 00 13,611.93 P 20, 000.00 10,199.82 5,331.70 3,800.00 29. 08 418.00 79.98 2, 762. 50 500. 00 Capital stock paid in. $75, 000. 00 2, 500. 00 6, 803.44 Surplus fund Undivided profits. National-banknotes outstanding.. State-bank notes outstanding.... 17,100.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursingofficers Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 91,402.11 483. 81 141.32 17,668.57 855.00 Total. 211,099.25 211, 099. 25 First National Bank, Detroit City. No. 3426. ELON G-. HOLMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approver! reserve.*agents. Duo from other national banks .. Duo from State banks and bankers Bank'g-bouse, furniture,and fixtures Ot her real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house B* '.» of other nat ional banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificat es of deposit.. Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $92, 902.41 348.15 12, 500.00 6, 790. 41 7, 914. 37 13, 337.07 191.95 10, 000.00 1, 297. 76 3, 257. 86 168.6b 1, 540. 00 61.42 10,155. 50 20, 020. 00 O. D. BROWN, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits 10,523.52 5, 374.32 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid - Individual deposits United States deposits Deposits of U. S. disbursing officers 103, 960. 22 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562.50 181,108.06 Total. 181,108.06 First National Bank, Duluth. S. MENDENHALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds t o secure deposits U. S. bonds on .Hand Stocks, securities, judgments, e t c . . Due from approved reserve agents D u e from other national banks — D u e from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned C u r r e n t expenses and taxes paid . . Premiums on U.S. bonds Checks and other cash, items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie " Legal-tender notes U. S. certificates of deposit Redemption fund wirh Treas. U . S. D u e from Treasurer U. S Total No. 3626. Capital stock paid in $1,847,417.91 7 21)5.34 50 000.00 50, 0U0.00 5, 910. 00 111,964.90 3f», 19."). 11 14,12-). 81 204, 708. 87 7, 580. 80 28,463.10 580.09 38, 3(50. ] 9 37. 402. 00 4">9. 71) 97. 120. ;~0 20, 700. 00 H. A. "WARE, Cashier. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $1, 000, 000. 00 100,000.00 43, 675. 26 44, 960.00 150. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 1,131,891.00 35, 305. 39 19, 694. 61 Due to other national banks Due to State banks and bankers .. 89,982.81 47, 8G4. 74 Notes and bills re-discounted . . . . Bills payable 50, 000. 00 2, 250.00 4, 000. 00 2,563,534741" Total 2, 563, 534.41 EEPOKT OF THE COMPTKOLLEK OF THE CURRENCY. 895 MINNESOTA. National Bank of Commerce, Duluth. No. 4001. J. A. WILLARD, President. E. W. MATTER, Cashier. Kesources. Loans and discounts Overdrafts TJ. S. bonds to secure circuLiaon. .. IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g houst\furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. .. Premiums on U. S. bonds . Checks and other cash items Exchanges for clearinff-house i Bills of other national banks I Fractional currency, nickels, cents-I Specie | Legal-temlei notes | IT. S. certificates of deposit . . .j ^Redemption fund with Treas. TJ. S - Due from Treasurer U. S Total. Liabilities. $203, 217. 24 2o3.09 25, 000. 00 14, 044. 77 3, 477. 97 2,1(51.08 1,975.74 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 5, 209. 91 22, 500. 00 Dividends unpaid. Individual deposits 4, 002.18 " United States deposits 7, 191.41 Deposits of U. S. disbursin g officers. 129, 573.18 1,825.9 V | j Due to other national banks 1, 265. 00 • Due to State banks and bankers .. < 5, 978." 15 3,500.00 Notes and bills re-discounted Bills payable 17, 700.00 1,125.00 274, 983.09 Total. 274, 983. 09 First National Bank, Faribault. T. B. CLEMENT, President THOS. MBB, Cashier. No. 1686. Loans ana discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house j Bills of other national banks I Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit ^Redemption fund with Treas. U. S . Due from Treasurer U. S $207,401. 82 1. 736. 53 50, 000. 00 6, 500. 00 35, 025. IX 50, 535. 17 3,219 31 17,001.00 1, 906. 25 2,448.01 3, 000. 00 2, 5U8. 31 1, 807.00 73. 93 11, 504. 40 7, 080. 00 Capital stock paid in. 10, 000. 0t) 31, 243.12 National-bank notes outstanding.. State-bank notes outstanding.... 45, 000. 00 Dividends unpaid. 400. 00 Individual deposits United States deposits Depositsof U.S.disbursingoffieers 272, 854. 53 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted.. Bills payable 599. 56 78. 68 ""2f"250."66" 410,175.91 Total . $50, 0,;0.00 Surplus fund Undivided profits Total. 410,175. 91 Citizens' National Bank, Faribault. HUDSON WILSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.Due from approved reserve agents. Due from other national banks . . . Due from State bauksand bankers. Bauk'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickuls, cents. Specie Legal-tender notes U. S. certificates of deposit j. 'Redemption fund with Treas. U. S. i Due from Treasurer U. S ! Total . No. 1863. W. S. MORSE, Cashier. $236,719.92 Capital stock paid in 407.«9 50, 000.00 I Surplus fund Undivided profits. 26,100. 00 National-bank notes outstanding 18, 741.98 State-bank notes outstanding... 29, 921.00 1, 755, 09 Dividends unpaid 14, 500. 00 3, 281. 40 Individual deposits 1, 571.13 United States deposits Deposits of U.S.disbursing officers ""i,"682.*52" D u e to other national banks 1, 490.00 Due to State banks and b a n k e r s - . 7(5. 37 11, 485. H Notes and bills re-discounted O 3, 000. 00 j Bills pa.s able 2,250.00 | j 402, 382. tiO Total $80, 000. 00 16. 000. 00 25, 288. 48 45, 000.00 236, 094.12 402, 382. 60 896 REPORT OF THE COMPTROLLER OP THE CURRENCY. MINNESOTA. First National Bank, Fergus Falls. T T . 2030. So C. D. WRIGHT, President. E. A. JEWETT, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits Stocks, securities, Judgments, e t c . Due from approved reserve a-ients. Due from other natioual banks Due from State hanks and bankers. Bank'g-house,furniture,andfixtures Oth«T real es ate, and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks an 1 other cash items Exchanges for clearing-house Billw of other national banks — . . Fractional currency, nickels, cents. Specie. Letral-tender notes U. S. certi ricates of deposit . . . Redemption fund with Treas. U.S. Due from Treasurer U. S Total Liabilities. $212,874.12 973. 79 25, 000. 00 11. 825. 89 6,090.21 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 20, 000. 00 1, 777. D O 22, 500. 00 Dividends unpaid 2M07.52" 9,921.41 1, 59-2. 63 99:{. 74 393.31 860. 00 105. 86 6, f»29 00 2, 000. U0 3C0.00 Individual deposits United States deposits Deposits of U.S.diabursing officers. 163,231.53 Due to other national banks Due to State banks and bankers.. 66?. 93 510.12 Notes and bills re-discounted. .•... Bills payable . . . . . . . . . . . . . . . . . 1,125.00 Total 308, 992.48 308, 992. 48 Citizens' National Bank, Fergus Falls. JAMES COMPTON, President. Loans and discounts • Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure, deposits . U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks . . . Due from State banks and bankers. Bank'g-houso.i'urnilure.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on II. S. bonds Checks ami other cash items Exchanges for clearing-house Bills ot other na'ional banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2934. $190, 828.13 2. 6M. 08 18; 800.00 495. 25 11,918.46 11, 604. 55 1,415.96 2, 6.W.47 454. 84 1, 681. 5L " 1,226. II 2, 0 > > 00 C~. 32. 43 11, 82.3. 25 C. C. WARFIELD, Cashier. Capital stock paid in. $75, 000. (0 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 11, 500. 00 8-18. 66 16, 920. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 153, 654. 38 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 846. 00 Total. 257, 923. 04 257, 923. 04 Fergus Falls National Bank, Fergns Falls. H. G. PAGE, President. Loans and discounts Overdrafts U S. bonds to secure circulation . U. S. bonds to secure deposits U S. bonds on hand Stocks, securities, j u d g m e n t s , etc D u e from approved reserve agents D u e from ot her national b a n k s . . . . D u e fiom Srat- banks and b a n k e r s Ban k ' g house, f urn it ure, andtixtures Other real estate an.I mortg's owned C u r r e n t expenses and taxes paid. . . P r e m i u m s on U. S. bonds C hecks and other cash items E x c h a n g e s for clearing-house Bills of yther national banks F r a c t i o n a l currency, nickels, cents. Specie Legal-tender notes U S. certificates of deposit Redemption fund with Treas. U. S D u e from T r e a s u r e r U. S Total No. 2648. 1178, G14. 38 3, 221. GI 17, 500. 00 3, 078. 51 7,120. 49 F . J . EVANS, Capital stock paid in. Cashier. $70, 000. 00 Siirpln s fund Undivided profits. 35, 000.00 1, 9UG. 08 National-bank notes outstanding.. State-bank notes outstanding 15, 750. 00 Dividends unpaid . 90.00 21,130.24 Individual deposits 997. o'.\ United States deposits Deposits of U. S. disbursing officers 967. 2(5 2, urn. 04 706. '35 1, 4'JO 00 ] 8. 22 5, 790. 'JO 1, 183. 00 Due to othor national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 104, 973. 42 74.72 16, 762.01 787.50 ]\ 244,640.23 Total . 244, 646. 23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 897 MINNE SOT A. First National Bank, Glencoe. No. 2571. I. A. LATTA, President. M. THOENY, Cashier. Resources. Liabilities. Loans and discounts ! Overdrafts U. S. bonds to secure circulation... j IT. S. bonds to secure deposits ! TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks ... Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $77,960.12 12, 500.00 2, 262.06 10, 449.07 3,897.91 1,712.46 3,136.22 1, 450. 82 2,018.75 98. 93 1.20.00 6.25 6, 306. 00 3, 900. 00 $50, 000.00 Capital stock paid in 3, 200. 00 2,113. 97 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers. 59, 776. 21 Due to other national banks , Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 40. 91 562. 50 126, 381. 09 Total. 126, 381. 09 First National Bank, Hastings. L. S. FOLLETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents. Due from other national banks. ... Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 496. DENIS FOLLETT, Cashier. $100, 000.00 Capital stock paid in. 20, 000. 00 Surplus fund 12,167.28 Undivided profits . 8,000.00 National-bank notes outstanding. 45, 000. 00 45,623. 32 State-bank notes outstanding $229, 516.56 603.47 50, 000.00 49, 540. 77 10, 004.26 6, 734.48 3, 332.07 319. 73 1, 271. 45 84.73 691. 00 138. 00 7, 819. 50 2, 000. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 240, 750. 96 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2, 250.00 417, 929. 34 417, 929. 34 Total. First National Bank, Kasson. T. S. SLINGERLAND, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities", judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. Ex. 3 57 No. 2159. $144,271.12 64.48 13, 000.00 E. E. FAIBCHILD, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits 1, 000. 00 i National-bank notes outstanding.. 12, 297.67 I State-bank notes outstanding 16,000.00 10, 839. 56 32, 944.92 1, 658.95 Dividends unpaid. 7, 000.00 7,391.74 Individual deposits 526.27 I United States deposits 11, 700. 00 145, 649. 51 ! Depositsof U.S. disbursingofficers. 122. 36 2, 837.00 115.20 7, 800.00 3,000. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 425.64 585. 00 234, 614. 71 Total. 234, 614. 71 898 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. First National Bank, Little Falls. No. 4034. A. D. DAVIDSON, President. A. R. DAVIDSON, Cashier. Kesources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits I U. S. bonds on hand i Stocks, securities, judgments, etc.. \ Due from approved reserve agents.. j Due from other national banks j Due from State banks and bankers. | Bank'g-house, furniture, and fixtures Other real estate and mortg's owned: Current expenses and taxes paid.. I Premiums on XL S. bonds j Checks and other cash items ' Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specio Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $54, 504. 64 Capital stock paid in 812.98 12,500.00 ! Surplus fund Undivided profits $46,320.00 3,161.66 National-bank notes outstanding.. 1, 592. 09 j State-bank notes outstanding 6,520.78 ! ; : 22.05 Dividends unpaid. 2,454. 95 Individual deposits 2, 046. 47 United States deposits 3, 679. 69 Depositsof U.S.disbursingoffic 189. 49 Due to other national banks 2, 275. 00 Duo to State banks and bankers.. 189. 39 4 J 60. 78 Notes and bills re-discounted 3, 500. 00 Bills payable 11,250.00 32, 002. 29 277.52 2, 000.00 562.50 95, 010. 81 Total. 95,010.81 First National Bank, Luverne. No. 3428. P . J . KNISS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers.. Bank'g-house, furni ture, and fixtures Other real estate and mortal's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items E xchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S. Due from Treasurer U. S $50, 000.00 5, 000. 00 2, 777. 26 11, 250. 00 91, 557. 88 1,114. 79 1,199. 01 2,482. 55 562.50 165, 381.49 Total. C . C . T H O M P S O N , Cashier. $101,317.43 I ; Capital stock paid in. 2, 059. 58 12,500.00 Surplus fund Undivided profits 841. 55 j National-bank notes outstanding.. 10, 925. 50 | State-bank notes outstanding 4, 232. 85 Dividends unpaid. 10, 015.15 7, 802.57 j Individual deposits 1,077.11 | United States deposits 3, 025. 00 ' Depositsof U.S.disbursingofficers. 264.07 ' Duo to other national banks 416. 00 | Due to State banks and bankers.. 76.58 8,145.60 Notes and bills re-discounted 2, 060. 00 Bills payable Total. 165,381.49 First National Bank, Mankato. J . A. WILLARD, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation...!I U. S. bonds to secure deposits U. S. bonds on hand ! Stocks, securities, judgments, etc .. ' Due from approved reserve agents. | Due from other national banks Due from Statebanksand bankers. | Bank'g-house,furniture, and fixtures: Other real estate and mortg's owned; Current expenses and taxes paid.. j Premiums on U. S. bonds •. Checks and other cash items i Exchanges for clearing-house | Bills of other nationarbanks j Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1683. GEO H. CLARK, Cashier. $414, 343.11 !! Capital stock paid in. 1,460.13 , 20,000.00 j Surplus fund Undivided profits. National-bank notes outstanding. 9,597.13 State-bank notes outstanding.. . 1 . 9,208.36 444.18 Dividends unpaid 17, 000.00 4, 890. 55 Individual deposits 2, 674. 28 United States deposits Deposits of U.S.disbursingofficers. 541. 22 Due to other national banks 1, 500. 00 Due to State banks and bankers.. 204.21 13. 530.25 Notes and bills re-discounted. 18, 237. 00 Bills payable $75, 000.00 15,000.00 51, 9J2. 18 18, 000.00 6.00 314,127.24 40,475.00 900.00 514,530.42 Total. 514,530.42 REPORT OF THE COMPTROLLER OF THE CURRENCY. 899 MINNESOTA. Citizens' National Bank, Mankato. JOHN F. MEAGHEK, President "W. G. HOERR, Cashier. No. 2005. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. !S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. Liabilities. $401,451. 52 790. 81 17, 500.00 25,172.67 12, 890.20 5, 388,83 8, 500.00 2, 462. 64 46:136 3, 814.00 202.77 16, 931. 05 14, 000. 00 $70, 000. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank uotes outstanding.. State-bank notes outstanding..'... Dividends unpaid. 14, 000. 00 42, 702. 85 15,750.00 75.00 Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 345,186. 50 19, 640.00 4, 000.00 787. 50 1, 000.00 511, 354. 35 Total. 511, 354.35 Mankato National Bank, Mankato. No. 3562. JOHN II. KAY, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. s. bonds to secure deposits U. S.bonds on hand Stocks, securities, judgments, etc Duo from approved reserve agents. DUB from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $201,230.72 453. 20 25,000.00 16,154, 71 17,219.78 7,468.00 1, 021. 08 1, 750.00 1,301.94 JNO. R. THOMAS, Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits ; National-bank notes outstanding . j State-bank notes outstanding I. 4, 000. 00 7, 802.83 22, 500.00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursing officers Due to other national banks 420. 00 Due to State banks and bankers.. 273.9t 8,141.50 Notes and bills re-discounted . 1, G00.00 Bills payable 147, 570. 84 1, 376.17 J, 125.00 283,249. 84 Total . 283, 249.84 First National Bank, Minneapolis. HENHY G-. SIDLE, President. No. 710. H. K. SIDLE, Cashier. Loans and discounts $3, 715, 759.73 Capital stock paid in. $1, 000, 000. 00 Overdrafts 7,104.13 U. S. bonds to secure circulation... 50, 000. 00 Snrplus fund 200, 000.00 U. S. bonds to secure deposits 100, 000.00 Undivided profits. 151, 431. 00 U. S. bonds on hand -. 600.00 National-bank notes outstanding.. Stocks, securities, judgments, etc. 45, 000.00 559,636.21 State-bank notes outstanding Due from approved reserve agents. Due from other national banks 235, 954. 97 Due from State banks and bankers 48, 696. 81 Dividends unpaid. 8.00 Bank'g-house, furniture, and fixtures 130, 687. 20 Other real estate and mortg's owned 11, 685. 44 Individual deposits 3, 583, 424. 71 Current expenses and taxes paid.. 11,030,31 United States deposits 94, 390. 87 30,137.50 Deposits of U.S. disbursing ofiicersPremiums on U. S. bonds 2, 364.46 Checks and other cash items 4, 713. 85 Exchanges for clearing-house 183,917.65 Due to other national banks 186,199.58 Bills of other national banks 40, 355. 00 Due to State banks and bankers . . 275,145.66 Fractional currency, nickels, cents. 591. 98 Specie 306,173. 50 Notes and bills re-discounted. Legal-tender notes 98, 670.00 Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250.00 Due from Treasurer U. S Total 5,537,964.28 Total 5, 537, 964.28 900 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA, Flour City National Bank, Minneapolis. F . B. WALKER, President. No. 3784. GEO. E. MAXWELL, Cashier. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... II. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, e t c . . Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other 7 eal estat e and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other casli items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit . Redemption fund with Treas. TJ. S Due from Treasurer U. S Total $072, 818.27 2,046.18 50, 000.00 $500, 000. 00 Capital stock paid in 30, 000. 00 41,301.92 Surplus fund Undivided profits National-bank notes outstanding.. j 66,172.75 I State-bank notes outstanding :, 8,084.98 ! 3,1105.86 ! Dividends unpaid 3,000.00 ] Individual deposits 11, 542.22 United States deposits 4, 000. 00 Deposits of U.S.disbursing officers. 152.16 12,339.30 Due to other national banks 4,521.00 Due to State banks and bankers . . 135. 32 1, 807.10 Notes and bills re-discounted 20, 0C0. 00 Bills payable 45, 000. 00 66.00 430,412. 83 28, 391.54 10, 782.85 74, 500. 00 500.00 1,160,455.14 1,160, 455.14 Total. National Bank of Commerce, Minneapolis. J . W. RAYMOND, President. Loans and discounts Overdrafts _ U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments,etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3206. , 334, 678.66 11,714.91 50,000.00 41, 550. 53 56,701.81 30, 513. 36 66,164. 90 305,793. 32 61, 780. 86 5, 368. 36 14,000. 00 4, 719. 97 45, 038. (32 4,459. 00 1,103.38 68, 898. 35 40, 000. 00 H. H. TIIAYER, Cashier. Capital stock paid in j $1, 000, 000.00 Surplus fund Undivided profits \ ! National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 40, 000. 00 35, 969.48 45, 000.00 Dividends unpaid 40.00 Individual deposits United States deposits | Depositsof U.S.disbursingofficers.! 617, 011. 59 Due to other national b a n k s ! Due to State banks and b a n k e r s . . < i ! Notes and bills re-discounted Bills payable 56,115. 32 351,199.64 2, 250.00 2,145, 336.03 Total i 2,145,336.03 Nicollet National Bank, Minneapolis. No. 3145. J". F. R. Foss, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. D u e from other national banks Duo from State b a n k s and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal tender notes IT. S. certificates uf deposit Redemption fund with Treas. U. S. D u e from Treasurer IT. S Total. S749, 227. 50 1, 638. 63 50, 000.00 57, 17, 4, 76, 200. 00 397. 79 046. 56 574.41 000. 00 8, 256.90 10, 000. 00 592.04 28, 030.67 9, 084. 00 215. 76 34, 644. 02 36, 000.00 H. U. K N A P P , Cashier. Capital stock paid in. $500, 000.00 Surplus fund . . . . Undivided profits. 16, 500.00 10, 469.51 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits ofU.S.disbursing officers. 469, 601. 59 Due to other national banks Due to State banks and bankers.. 13,886.72 29, 700.40 Notes and bills re-discounted. Bills payable "2/256." do"' 1,085,158.28 Total 1,085,158.28 REPORT OF TTTE COMPTROLLER OF THE CURRENCY. 901 MINNESOTA. Nortn Western National Bank, Minneapolis. S. A. HAKEIS, President. No. 2006. Resources. $2, 861, 606. 76 Loans and discounts 0, 029. 78 Overdrafts 50,000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits :. U S. bonds on hand j. Stocks, securities, judgments, etc ..I. Due from approved reserve agents.! 247,429. 64 100, 805. 35 Due from other national banks } 118,061.72 Due from State banks and bankers. [ 60, 000.00 Bank'g-house, furniture, and fixtures; 27, 920. 25 Other real estate and mortg's owned' 10,102.60 Qurrent expenses and taxes paid... \ Premiums on U. S. bonds i. " l , 889. 02 Checks and other cash items 165, 842. 63 Exchanges for<clearing-house 8, 770. (.0 Bills o t' other national banks Fractional currency, nickels, cents. 3,660. 64 213, 060.00 Specie '. 104,003. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S 2, 250.00 Dae from Treasurer U. S Total j JAS. B. FORGAN, Cashier. Liabilities. $1,000,000.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 200, 000. 00 126,980.47 45, 000. 00 44.00 Dividends unpaid. Individual deposits 1,905,014.33 United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. 316, 583.05 387, 874. 64 Bills payable 3,981,497.39 Total 3,981,497.39 Union National Bank, Minneapolis. No. 2795. H. J. NEILER, Cashier. $1, 046, 232. 54 Capital stock paid in. Loans and discounts $500,000. 00 15,421.21 Overdrafts 50, 000.00 Surplus fund U. S. bonds to secure circulation... 37, 500. 00 U. S. bonds to secure deposits 17, 477. 09 • Undivided profits. U. S. bonds on hand 1, 000.00 National-bank notes outstanding. Stocks, securities, judgments, etc . . 45, 000, 00 30, 938.40 State-bank notes outstanding Due from approved reserve agents. Due from other national banks 5, 382.32 lu, 894. 96 Dividends unpaid Due from State banks and bankers. 581. 50 38,700.00 Bank'g-house T fiuniture, and fixtures 14,107.42 Individual deposits Other real estate and mortg's owned 458, 705. 07 Current expenses and taxes p a i d . . . 7, 044.07 United States deposits 2, 500.00 DepositsofU.S.disbursing officers. Premiums on U. S. bonds 872. 32 Checks and other cash items 11,672.10 Due to other national banks Exchanges for clearing-house 16,140. 89 5, 729. 00 Due to State banks and bankers .. Bills of other national banks 67, 890.16 351.17 Fractional currency, nickels, cents. 10,163.00 Notes and bills re-discounted Specie ". 139, 963. 80 30,000.00 Bills payable Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . 2,250.00 Due from Treasurer U. S S. E. NEILER, President. 1, 283, 258. 51 Total. Total 1,283,258.51 First National Bank, Moorhead. F. J. BURNHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds, on hand j Stocks, securities, judgments, etc ..' Due from approved reserve agents. \ Due from other national banks ! Due from State banks and bankers j . Bank'g-house,furniture, and fixtures Other real estate and mortg's owned; Current expenses and taxes paid... j Premiums on U. S. bonds j Checks and other cash items , Exchanges for clearing-house ; Bills of other national banks '...] Fractional currency, nickels, cents, i Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2569. $96,793.19 174.90 12, 500.00 4,154. 68 8, 216.87 O. J . QUALLEY, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 10, 000. 00 1, 075. 89 11, 250. 00 Dividends unpaid. 27, 500.00 5, 834. 27 681.26 750. 00 249.77 1,181.00 83. 23 6,012.30 5,400.00 Individual deposits United States deposits Depositsof U.S.disbursingofficers. Due to other national banks Duo to State banks and bankers .. Notes and bills re-discounted Bills payable 91,593.85 614.23 5, 560.00 562.50 170, 093.97 Total . 170, 093. 97 902 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. First National Bank, Morris. CAUKINGTON PHELPS, President H. S. JUDSON, Cashier. No. 2933. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, centsSpecie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treaa. TJ. S. Due from Treasurer TJ. S Total. $66, 798. 59 916.53 20, 000. 00 10,778.46 2. 054. 06 2, 097. 54 ]2,772.73 7, 807.55 6, 291. 25 4,117.20 99.53 540. 00 26. 38 4, 312.50 1, 590.00 $80, 000.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 378.87 6, 393. 51 18, 000.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 31,051.94 5,278.00 900.00 Total 141,102.32 141,102. 32 First National Bank, Northfield. No. 2073. JOHN C. NUTTING, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $226,180. 78 1,149.83 20,000. 00 250.00 11, 687. 23 11, 252. 06 2,400.18 2, 870.89 11, 547. 24 2, 020. 64 2, 001. 55 803.69 511.00 133. 78 10,382.45 10,924.00 $75, 000.00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 15,000. 00 8,787.41 18, 000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers . 198,148. 90 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 79.61 900. 00 Total. 315,015.92 Total. G-. M. PHILLIPS, Cashier. Capital stock paid in. 315, 015. 92 First National Bank, Owatonna. W. R. KJXYON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from TreasurerU. S Total . No. 1911. $187, 352.98 496.61 15, 000.00 6,150. 00 5,130.47 12, 765. 76 355.71 3, 775.00 426. 29 900.00 498. 83 340. 00 53.00 13, 770.00 2, 800. 00 GEO. R. KINYON, Cashier. Capital stock paid in. $60, oooToo Surplus fund Undivided profits.... 12,000. 00 23, 423. 31 National-bank notes outstanding.. State-bank notes outstanding 13, 500. 00 Dividends unpaid 2, 496. 00 Individual deposits p United States deposits deposit Depositsof U.S.disbursing officers. 137,801.01 Due to other national banks Due to State banks and bankers . . 1, 269.33 Notes and bills re-discounted. Bills payable 675. 00 250,489. 65 Total. 250,489.65 REPORT OF THE COMPTROLLER OF THE CURRENCY. 003 MINNESOTA. Farmers' National Bank. Owatonna. No. 2122. L. L. BENNETT, President. A. C. GUTTERSON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S Total. $75, 000.00 Capital stock paid in. $185, 440. 84 445. 43 19, 000. 00 Surplus fund Undivided profits National-banknotes outstanding. State-bank notes outstanding 13, 250. 00 4, 674. 39 4, 036. 06 2, 952. 55 11,432.41 Dividends unpaid. 17,100. 00 170. 00 Individual deposits 1, 254. 24 United States deposits Deposits of U. S.disbursing officers. "i*327.22 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 4, 620. 00 102. 29 15, 633.80 928. 00 15,000.00 53, 934. 77 103, 244. 42 503.04 1, 000.00 855. 00 265, 952.23 Total. 265, 952. 23 First National Bank, Pipestone. CHARLES MYLIUS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. HENRY E. BRIGGS, Cashier. No. 3982. Capital stock paid in. $58, 382. 09 869. 30 12, 500. 00 <0, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 5,866.76 10, 347.48 381.69 2, 500. 00 1,493. 44 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 795. 30 3, 406. 25 1,107. 49 37, 663. 96 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 23. 04 1, 955, 50 1, 525. 00 562.50 125.00 Total. 100, 407.40 100, 407.40 First National Bank, Red Lake Falls. CHARLES E. SWEET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixturesi Other real estate and mortg's owned. Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3659. $59,627.17 402. 84 12, 500.00 JAMES I. "WYER, Cashier. Capital stock paid in. Surplus fund. Undivided profits 333. 90 National-bank notes outstanding.. State-bank notes outstanding 3, 516.10 $50, 000. 00 2, 600.00 4, 575. 27 11, 250.00 Dividends unpaid 1, 053. 20 Individual deposits United States deposits Deposits of U. S. disbursing officers 1,519.41 500.00 129.45 15, 669. 26 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1, 000. 00 30. 96 1, 719. 00 1, 200. 00 562. 50 84,094.53 : Total. 84, 094.53 904 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. First National Bank, Red Wing. THEODORE B. SHELDON, President. No. 1487. JESSE MCTNTIKE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts V. S. bonds to secure circulation ... U.S.bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc-Duefrom approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real-estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total $267, 215. 56 9, 009. 97 25,000.00 25, 250.00 19, 694. 85 3,198. 52 13,606.66" Capital stock paid in $100, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 20, 000. 00 3, 226. 45 22, 500. 00 Dividends unpaid 22, 660. 75 1, 053.05 1, 000. 00 Individual deposits United States deposits DepositsofU.S.disbursing officers. 997.00 55. 00 6,376. 90 13, 000. 00 Due to State banks and bankers.. Notes and bills re-discounted Bills payable 233, 010.15 30, 000. 00 1,120. 00 408, 736. 60 408, 736. 60 Total First National Bank, Rochester. JOHN R. COOK, President. Loans nnd discounts Overdrafts U. S. bonds to secure circulation . - U. S. bonds to secure deposits U. S. bonds on hand , Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and tixtui'es Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. WALTER HURLBUT, Cashier. No. 579. $271, 097. 99 Capital stock paid in $100,000. 00 149. 21 33, 000. 00 30, 000. 00 Surplus fund 6,172.53 Undivided profits 27, 000. 00 National-bank notes outst-i mling.. 52, 000.00 14, 762.24 State-bank notes OUIM anding. 26,854.91 9,719.07 Dividends unpaid 228.16 6, 235. 00 82.14 20, 065. 65 17, 000. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 272, 216. 46 170. 42 10, 984.96 1, 350.00 449, 544. 37 449, 544.37 Total. Rochester National Bank, Rochester. R. W. CHADBOURN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2316. $134, 585. 31 Capital stock paid in 513.92 12, 500.00 •Surplus fund 8, 290. 96 61, 775.55 15, 679.12 666. 32 486. 34 549. 51 6,235. 00 112.05 839. 75 5, 000. 00 H. M. No WELL, Cashier. $50, 000. 00 5, 000. 00 4, 978. 32 Undivided profits National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers 173, 677. 81 Duo to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 2,890.20 562. 50 247, 796. 33 Total. 247, 796. 33 REPORT OF THE COMPTROLLER OF THE CURRENCY. 905 I I N N E SO T A. Union National Bank, Rochester. • M. J . DANIELS, President. ]STo. 2088. T. H. TITUS, Cashier. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's ovyned Current expenses and taxes paid... Premiums on U. 3. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $239,187. 28 99-'. 11 12, 500,00 17, 583. 00 17, 990. 30 536. 92 2, 000. 00 7, 281.08 709.29 854. 80 4,410.00 121.35 19,257.50 9, 000.00 $50, 000. 00 Capital stock paid in 10, 000. 00 22, 092. 29 Surplus fund , Undivided profits National-bank notes outstanding.. State-bank notes outstanding 10,130. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 228, 039. 50 Due to other national banks Due to State banks and bankers .. 439. 72 Notes and bills re-discounted Bills payable 12, 394.74 562.50 I 333,096.25 Total. 333, 096. 25 First National Bank, Saint Cloud. JAMES A. BELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. J. G. SMITH, Cashier. No. 2790. $156,877.45 5, 835. 30 25, 000. 00 25,170.00 23,187.90 81, 813. 61 5,305.13 48, 285.12 1,161.51 5, 324. 21 1,425. 42 1, 750.00 244.28 10, 096.00 7,003. 00 Capital stock paid in ! Surplus fund Undivided profits $100, 000. 00 5, 700. 00 9, 829.00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 22, 500.00 !. Individual deposits ! United States deposits !. Deposits of U.S. disbursing officers.;. 262, 554. 93 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 605.00 1,500.00 400, 583.93 Total. 400, 583. 93 German-American National Bank, Saint Cloud. F. E. SEARLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houae,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3009. $197, 956. 41 5,624.10 12,500. 00 26,198.41 2, 738. 90 847.08 6, 000. 00 5,093.38 1, 831. 08 3,100.00 3, 629. 81 14, 677. 98 2, 950. 00 44.42 2,155. 00 10, 000.00 CHAS. DUEBER, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50,000.00 5, 000. 00 2, 065.41 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 217, 513. 45 Due to other national banks Due to State banks and banker3 .. 580.21 Notes and bills re-discounted Bills payable 9, 500. 00 562.50 295, 909. 07 Total. 295,909. 07 906 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINUTE S O T A . First National Bank, Saint Paul. HENRY P. UPHAM, President. No. 203. E. H. BAILEY, Cashier. Liabilities. Resources. $3, 787, 518. 04 Loans and discounts $1,000, 000. 00 4, 207. 39 Overdrafts 500, 000.00 50,000. 00 Surplus fund U. S. bonds to secure circulation . . . 200,000.00 Undivided profits 364, 977. 32 U. S. bonds to secure deposits U. S. bonds on hand 18, 010. 00 158,087.37 National-bank notes outstanding.. Stocks, securities, judgments, etc .. 688, 543. 73 State-bank notes outstanding Due from approvod reserve agents. 135.787.94 Due from other national banks 85,833.53 Dividends unpaid 1, 000.00 Due from State banks and bankers. 143,000.00 Bank'g-house,furniture,andfixtures 2, 759, 349.04 Other real estate and mortg's owned Individual deposits 130. 00 Current expenses and taxes paid 12,045.48 United States deposits 242,342. 53 Premiums on U. S. bonds Deposits of U.S.disbursing officers. 32, 540.73 Checks and other cash items 544,338.00 60,227.33 Due to other national banks Exchanges for clearing-house 30, 601.00 Due to State banks and bankers.. 381, 505. 70 Bills of other national banks 504. 92 Fractional currency, nickels, cents. 289,266. 50 Notes and bills re-discounted . Specie 98, 000. 00 Bills payable Legal-tender notes U. S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S . 33,238.63 Due from Treasurer U. S 5, 811, 652.59 5, 811, 652.59 Total Total Second National Bank, Saint Paul. ERASTUS S. EDGERTON, President. Loans and discounts Overdrafts to secure circulation U. S. bonds U. S. bonds to secure deposits Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g house,furnilure,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes Redemption fund with Treas. U. S . Due from Treasurer U. S Total D. A. MONFORT, Cashier. No. 725. $928, 970.68 8, 560.30 50, 000.00 600,000.00 48,266.48 24, 667. 82 2,175.71 6, 519.38 21, 000.00 733. 83 43, 617.14 20, 599.00 236.13 144,246.65 20,000.00 Capital stock paid in $200,000.00 55, 000. 00 251,715.63 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers.. 45, 000. 00 3, 866. 00 733, 085. 88 393, 846.32 195,779.47 20, 094.01 25, 503.33 Notes and bills re-discounted 2, 250.00 2,047.52 1, 923, 690.64 Total 1, 923, 890. 64 Commercial National Bank, Saint Paul. ALBERT SCHEFFER, President. No. 3689. HERMAN SCHEFFER, Cashier. $1,333, 636. 36 Capital stock paid in. Loans and discounts 3,290.31. Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... U. S. bonds to secure deposits Undivided profits. U. S. bonds on hand 33, 750. 00 National-bank notes outstanding.. Stocks, securities, judgments, etc .. Due from approved reserve agents. 43, 679. 79 State-bank notes outstanding Due from other national banks 12,361.43 Due from State banks and bankers. • 22,367.59 Dividends unpaid Bank'g-house, furniture, andtixtures 9,033. 51 Other real estate and mortg's owned Individual deposits Current expenses and taxes paid... United States deposits Premiums on U. S. bonds 2, 750.00 Deposits of U.S. disbursing officers. Checks and other cash items 677.23 Exchanges for clearing-house 25, 027. 75 Due to other national banks Bills of other nationalbanks 5, 338. 00 Due to State banks and bankers... Fractional currency, nickels, cents . 50.69 32,460.00 Notes and bills re-discounted Specie 32, 500.00 Bills payable Legal-tender notes U. S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S Due from Treasurer U. S 1, 609,172.66 Total. Total. $500, 000.00 22, 000. 00 17, 904.97 44, 470.00 16.00 815,987.98 9, 892. 69 55, 380. 35 143, 520.67 1, 609,172. 66 REPORT OF THE COMPTROLLER OF THE CURRENCY. 907 MINNESOTA. Merchants' National Bank, Saint Paul. W. R. MERKIAM, President. No. 2020. F. A. SEYMOUR, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $3, 465,198. 89 6, 089. 23 100,000.00 j $1,000,000.00 Capital stock paid in . 500, 000. 00 81,237.17 Surplus fund Undivided profits. ] 50, 878. 91 National-bank notes outstanding . 423,171.40 Siate-bank notes outstanding 98,199.10 34, 328. 22 Dividends unpaid. 5, 000. 00 22, 558. 37 Individual deposits United States deposits Deposits of n.S.diabursing officers. 19, 508. 79 45, 135. 86 Due to other national banks 25, 544. 00 Due to State banks and bankers . . 6, 544. 41 345, 286. 00 Notes and bills re-discounted 5, 973. 00 Bills payable 90, 000. 00 1, 966,100. 58 573, 464. 22 504, 967.10 48, 747.11 4, 500. 00 6, 600. 00 4,764,516.18 Total. 4, 764, 516.18 National German American Bank, Saint Paul. GUSTAV WILLIUS, President No. 2943. Loans and discounts $3, 378, 276. 57 4, 888.12 Overdrafts 50, 000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. 26, 695. 75 Due from approved reserve agents. 258, 855. 87 Due from other national banks 43, 362.40 Due from State banks and bankers. 243.711.64 Bank'g-house,fnrniture, and fixtures 417, 354.13 Other real estate and mortg's owned 23, 421.02 Current expenses and taxes paid... 12, 765. 28 Premiums on U. S. bonds 6, 374. 35 22,105. 25 Checks and other cash items 55, 550. 07 Exchanges for clearing-house 34,159. 00 Bills of other national banks 591.02 Fractional currency, nickels, cents . 86, 789. 58 Specie 32, 000. 00 Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S . 1, 000. 00 Due from Treasurer U. S 5, 200,150.95 Total. JOSEPH LOCKEY, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State bank notes outstanding Dividends unpaid. $2, 000, 000. 00 145, 000. 00 95, 397. 60 45, 000. 00 860. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers 2,217,810.94 Due to other national banks Due to State banks and bankers . 334,550.18 211,502.23 Notes and bills re-discounted Bills payable 150, 000. 00 Total. 5, 200,150. 95 Saint Paul National Bank, Saint Paul. A. C. ANDERSON, Cashier. No. 29, PETER BERKLEY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-bouse, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $964, 752.17 582. 77 50, 000. 00 55, 052. 69 2, 056. 70 7, 552.81 19, 659. 04 9, 000. 00 • 1, 594. 08 20, 672. 62 1, 725. 00 168. 21 8, 625. 50 11, 966. 00 Capital stock paid i n . $500, 000. 00 Surplus fund Undivided p r o f i t s . 25, 000. 00 42,024.16 National-bank notes outstanding. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers 494, 349.25 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 217. 00 21, 796. 22 22, 270. 96 5, 000. 00 2, 250.00 1,1*S5. 657. 59 Total. 1,155, 657. 59 908 REPORT OP^ THE COMPTROLLER OF THE CURRENCY. MINNESOTA. First National Bank, Saint Peter. F . A. DONAHOWER, President. No. 1794. J . C. DONAHOWRR, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items . . . Exchanges for clearing-house... Bills of other national banks . . . Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit . *... Redemption fund with Treas.U. S. Due from Treasurer U. S Total. $158,422.70 197. 36 12, 500. 00 19, 549. 50 39, 255. 60 8, 203.44 1, 951. 88 3,133.12 1, 218. 94 576. 82 1, 869. 00 9.50 16, 431. 70 2, 986. 00 Capital stock paid in. $50, 000.00 Surpl us fund Undivided profits National-bank notes outstanding . State-bank notes outstanding 10, 000. 00 16,184.70 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 179, 493. 36 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 Total . 266, 928. 06 266, 928. 06 First National Bank, Sauk Centre. No. 3155. HENRY KELLER, President Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State bauks and ban kers Bank'g-house, furniture, and fixtures' Other real estate and mortg's owned! Current expenses and taxes paid ..i Premiums on U. S. bonds j Checks and other cash items ; Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redeniption fund with Treas. U. S. Due from Treasurer U. S 157, 976. 72 Total. C. M. SPRAGUE, Cashier. $115,961.42 i, Capital stock paid i n . . 1,560.07 |; 12,500.00 ;' Surplus fund j Undivided profits ; 47. 00 j 1National-bank notes outstanding . 5, 203. 51 j State-bank notes outstanding 4,720.76 j; j Dividends unpaid i • 7,076.24 Individual deposits 603. 35 United States deposits 1, 000.00 Deposits of U.S.disbursing officers. 35.94 Due to other national banks 40.00 Due to State banks and bankers . . 92.13 7,698.80 Notes and bills re-discounted 875.00 Bills payable 562. 50 Total . $50,000.00 10, 000.00 5, 502. 56 11, 250.00 62, 789. 34 18, 434.82 157, 976. 72 First National Bank, Shakopee. HOEACE B. STRAIT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc . . Due from approved reserve agents.J Due from other national banks Due from State banks and bankers. Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned! Current expenses and taxes paid. -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3039. $254, 396.45 513. 06 37, 500.00 3, 000.00 5, 893. 00 6,110.01 6,066.60 9,111.53 1, 708. 66 4,478.13 95.94 1, 080. 00 18.20 1, 600. 00 8, 500.00 DAVID L. HOW, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $150, 000. 00 8,120.00 3, 480.14 33, 750. 00 96.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 123, 876. 98 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 472.64 347.66 21,549.06 .1,687.50 34J.692.48 Total. 341, 692.48 REPORT OF THE COMPTROLLER OF THE CURRENCY. 909 MINNESOTA. First National Bank, Stillwater. No. 2674. CHARLES N. NELSON, President. F. M. PRINCE, Cashier. Liabilities. Resources. Loans and discounts - ~ Overdrafts IT. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgraenta, etc Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-bouse Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . $728, 322. 87 5, 050. 27 50,000.00 69,773.16 29, 488. 93 40, 930. 40 10, 000.00 3, 800. 00 1,480. 05 3*705.06 218.17 32, 881.00 14, 54,5. 00 Capital stock paid in. $250, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 60,000.00 14, 755.78 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. dis bursing officers. Due to other national banks Due to State banks and bankers . . 608,427. 32 14,261.75 Notes and bills re-discounted. Bills payable 2,250.00 I Total . i2,444.85 992,444.85 Lumbermen's National Bank, Stillwater. No. 1783. ISAAC STAPLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and rnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $585,476.46 5,714.47 50, 000.00 152,810.88 24, 490.33 1, 079. 29 4,000.00 12, 622.60 2, 348. 46 8, 000. 00 383.00 225.00 69.77 29, 904.00 1, 500. 00 Surplus fund Undivided profits. National-bank notes outstanding-. State-bank notes outstanding $250, 000.00 18, 000. 00 12, 537.40 43, 760.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 555, 818. 37 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 688.49 70.00 2,250.00 880, 874.26 Total. E,. S. DAVIS, Cashier. Capital stock paid in . Total . 880, 874.26 First National Bank, Tower. H. A. WARE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.Due from approved reserve agents. Due from other national banks Due from Slate banks and bankers. Bank'g-house, furniture,aud fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3924. $139, 786.41 167.91 12, 500.00 380. 74 8,438.16 96.80 15, 000.00 GEO. W. HEIITGES, Cashier. Capital stock paid in . Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 3, 797.63 H, 250. 00 Dividends unpaid. 1,439. 39 3,164.07 Individual deposits United States deposits Depositsof U. S. disbursing officers - 2, 338.00 35.03 8, 916.10 6, 500.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 128, 315. 58 961.90 562. 50 19, 325. l i Total . 199, 325.11 910 REPORT OF THE COMPTROLLER OF THE CURRENCY. MINNESOTA. First National Bank, Wabasha. No. 3100. JOHN SCHWIRTZ, President. Resources. Loans and discounts I Overdrafts I U. S. bonds to secure circulation...! IT. S. bonds to secure deposits [ U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Duo from other national banks DUG from State banks and bankers. Bank'g-houso,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items'. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, con ts . Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. L. WHITMORE, Cashier. Liabilities. Capital stock paid in. ad Surplus fund adrvided profits Und 2, 000.00 National-bank notes outstanding.. 10,652. 33 State-bank notes outstanding $132, 000. 90 3,520.98 12, 500.00 758.53 2,785,01 2, 500. 00 6, 517.21 1,364.02 825.00 322. 92 120.00 117.50 9, 684. 25 1, 243.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing oflicers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $50,000. 00 3, 000.00 3, 831. 51 10, 690. 00 132.00 111, 029.81 1, 312.48 7, 478. 33 562.50 ! 187, 474.13 Total. 187, 474.13 First National Bank, Winona. L. C. PORTER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc ..! Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie .' Legal-tender notes... U. S. certificates of deposit Redemption fund with Treas. U. S. Due fromTreasurer TJ. S Total. E. D. HULBERT, Cashier. No. 3224. $225, 000. 00 Capital stock paid in. 75, 000. 00 Surplus fund 37, 602. 96 Undivided profits . 44, 200. 00 National-bank notes outstanding-. 44,615.46 State-bank notes outstanding $695, 714. 76 8, 364.09 50, 000.00 23, 360. 94 76.43 5, 000. 00 .13,264.84 1,423.32 13,100.89 2, 131, 93 "4," 487.'66' 319. 47 13, 654.75 7,000.00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 358,701.38 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 35,153.12 37, 606. 22 71, 500.00 2, 250.00 884, 763.68 Total. 884, 763.68 Second National Bank, Winona. W. H. GrARLOCK, Cashier. No. 1842. Loans and discounts $1,137, 052,62 Capital stock paid in. $200,000.00 Overdrafts 6,503.19 U. S. bonds to secure circulation... 50, 000. 00 Surplus fund 200, 000. 00 U. S. bonds to secure deposits 56,296.42 Undivided profits. U. S. bonds on hand Stocks, securities, judgments, etc .. 11, 800.00 National-bank notes outstanding. 44, 260.00 Due from approved reserve agents 86, 913.26 State-bank notes outstanding Due from other national banks 20, 803.96 Due from State banks and bankers Dividends unpaid Bank'g-house, furniture, and fixtures* 20, 500. 00 Other real estate and mortg's owned 1, 266. 00 Individual deposits 556, 517.11 Current expenses and taxes paid-.. 2, 619. 85 United States deposits Premiums on U. S. bonds 12, 500.00 Deposits of U. S. disbursing officers. Checks and other cash items 1, 753.31 Exchanges for clearing-house Due to other national banks 61, 808. 69 Bills of other national banks 60, 474. 09 1, 277.00 Due to State banks and bankers .. Fractional currency, nickels, cents . Specie ' 6,716.05 Notes and bills re-discounted 197,901. 93 Legal-tender notes 14,103. 00 Bills payable U. S. certificates of deposit Redemption fund with Treas. TJ. S. 2, 250. 00 Due from Treasurer U. S 1, 200. 00 1, 377, 258.24 1, 377,258.24 Total. Total. JOSEPH A. PRENTISS, President. REPORT OF THE COMPTROLLER OF THE CURRENCY. 911 MISSOURI. First National Bank, Appleton City. JSTo. 2636. \ EGGER, President. JNO. B. EGGEK, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank ? g-house,fuiniture,andfixtures| Other real estate and mortg'sownedi Current expenses and taxes paid... I Premiums on U. S. bonds I Checks and other cash items | Exchanges for clearing-house j Bills of other national banks i Fractional currency, nickels, cents [ Specie j Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. | Due from Treasurer TJ. S | $107, 516. 80 Capital stock paid in 9,581.65 14, 000. 00 Surplus fund 300.00 Undivided profits 1, 500. 00 National-bank notes outstanding.. 17,317. 24 State-bank notes outstanding 6, 367. 01 356.17 Dividends unpaid. 1,850.00 10, 347. 03 Individual deposits United States deposits Deposits of U. S. disbursing ofiicers. 683.15 Due to other national banks 4,1500. 00 Due to State banks and bankers . . 11.47 19, 903. 00 Notes and bills re-discounted. 6, 300. 00 Bills payable 50, 000. 00 4, 650. 36 12, 600.00 325.00 67, 761. 32 4, 591. 62 6, 035.31 630. 00 200,963. 61 Total. 200, 963. 61 Total. $55, 000.00 Central National Bank, Boonville. JAMES M. NELSON, President. No. 1584. TV. SPEED STEPHENS, Cashier. $200, 000.00 Loans and discounts I $285, 310.26 Capital stock paid in. Overdrafts ! 14,837.65 U. S. bonds to secure circulation... j 50, 000. 00 Surplus fund U. S. bonds to secure deposits : U. S. bonds on hand , 10,700. 00 Undivided profits . Stocks, securities, judgments, etc . . 193, 895.76 j National-bank notes outstanding. Due from approved reserve agents. \ 71,470. 69 \ State-bank notes outstanding Due from other national banks j 14, 060.98 j! Due from State banks and bankers. i 1 13, 855. 32 j | Dividends unpaid. Bank'g house, furniture, and fixtures 1,500.00 i Otherreal estate and mortg's owned j 1, 000.00 \ Individual deposits Current expenses and taxes paid...; 2, 083. 91 ! United States deposits Premiums on U. S. bonds \ : DepositsofU.S.disbursingoflicers. Checks and other cash items I 1, 200.50 Exchanges for clearing-house ; Due to other national banks Bills of other national banks ! 1, 060. 00 I Due to State banks and bankers .. Fractional currency, nickels, cents . J 63. 91 j Specie ' I 21,364.50 I Notes and bills re-discounted . Legal-tender notes 21, 806. 00 I Bills payable U. S. certificates of deposit \ Redemption fund with Treas. U. S. 2,250,00 j Due from Treasurer U. S | 710.00 ; 707,175. 48 Total . 40, 000. 00 32, 549. 64 45, 000.00 387, 214. 55 633.70 1,777.59 Total. 707,175.48 First National Bank, Brunswick. J . M. PEERY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furnituro,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4083. $24,137.66 35.18 12, 500. 00 A. M. DUMAY, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. 6, 644. 98 State-bank notes outstanding 134. 23 Dividends unpaid j $30, 000.00 545. 37 11, 230. 00 "2,"i74.*20 Individual deposits 1,263.50 United States deposits • 3, 546. 87 Deposits of U. S. disbursing ofiicers. 1, 903.32 9, 625. 00 240. 62 2, 556.23 3, 005.00 26,553. 42 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 562. 00 68, 328. 79 Total. 68, 328.79 912 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. Bates County National Bank, Butler. No. 1843. F. J. TYGARD, President J. C. CLARK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $201,676.76 1, 916. 34 20,000. 00 21, 9, 2, 2, 14, 768. 71 321. 97 289.16 520. 88 000.00 2, 729. 60 Capital stock paid i n . $75, 000. 00 Surplus fund Undivided profits . 33, 000. 00 4, 339.19 National-bank notes outstanding.. State-bank notes outstanding 12,860.00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursing officers. 130, 000. 42 """577." 13* 4, 895.00 90.45 5, 899.07 10, 000. 00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 13, 385.46 30, 000.00 900. 00 Total . 298, 585. 07 298, 585. 07 Moniteau National Bank, California. No. 1712. R. Q. ROACHE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $104,171.65 20,666.66" N . C. R I C E , Cashier. Capital stock paid in. $50,000.00 Surplus fund. urpl 12,000.00 8, 352.57 Undivided p r o f i t s . 1, 500.00 38, 950. 84 1, 010.48 56. 05 5, 000. 00 1,003.80 4, 400.00 190.34 15,000.00 11, 000.00 National-bank notes outstanding.. State-bank notes outstanding . 18,000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 113, 810.41 Due to other national banks . . . . . . Due to State banks and bankers Notes and bills re-discounted . Bills payable 1, 020.18 900.00 Total . 203,183.16 203,183.16 First National Bank, Carrollton. J. R. CLINKSCALES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks — Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer IT. S Total No. 4079. $44, 773.85 5,418.09 25, 000. 00 40, 372. 93 W. E. HUDSON, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $75, 000.00 1, 529. 38 22, 500. 00 Dividends unpaid 3,373.78 1, 337.84 1, 750. 00 1,007. 32 8, 570. 00 60.10 4, 682. 00 1, 765. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 40, 206. 53 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 1, 12;"). 00 Uiit 235. 91 Total . 139, 235.91 REPORT OF THE COMPTROLLER OF THE CURRENCY. 913 MISSOURI. First National Bank, Carthage. W. E. BRINKERHOFF, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation-.. TJ. S. bonds to secure deposits.. TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from appro veil reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 3005. V. A. WALLACE, Cashier. Liabilities. $173, 960.15 10, 276. 43 25, 000. 00 $100, 000. 00 Capital stock paid in. 2, 480.00 36.73 9, 684. 60 7, 000. 00 10, 750. 00 5, 265. 60 National-bank notes outstanding.. State-bank notes outstanding 11, 337. 50 765.10 438. 07 656. 25 499. 00 Surplus fund Undivided profits 21, 850. 00 Dividends unpaid. Individual deposits United States deposits Deposits of TJ. S. disbursing officers. 97, 589,02 Due to other national banks Due to State banks and bankers .. 2, 784. 21 Notes and bills re-discounted Bills payable 5, 000. 00 1,125.00 243, 238. 83 243, 238.83 Total. First National Bank, Chillicothe. J. M. DAVIS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. A. JOHNSON, Cashier, No. 3686. $50, 000. 00 Capital stock paid in 2, 500. 00 Surplus fund 2, 900. 33 Undivided profits 11, 250.00 National-bank notes outstanding. 7,122.12 25, 939.45 State-bank notes outstanding $108, 580.12 2,958. 63 12,500. 00 8, 613. 63 1,103. 88 296. 9L 6, 857. 41 8,431.00 65.54 4,812.00 6, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits.of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 127, 692. 86 562. 50 Total. 194, 343.19 194, 343.19 First National Bank, Clinton. J . M . A VERY, President. No. 1940. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. Ex. 3 58 $133, 408. 98 5, 990. 28 25, 000.00 4, 317. 94 170. 77 2, 462. 03 10, 000. 00 40, 924.13 1, 348. 56 2, 000. 00 1, 210. 00 2,971.00 10.03 2, 040. 00 8, 000. 00 "W. D. TYLER, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted ....*.. Bills payable $50,000. 00 37, 500. 00 575.13 22, 500. 00 122, 390. 82 1, 060.81 451.96 6, 500.00 1,125. 00 241), 978. 72 Total. 240, 978.72 914 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. Boone County National Bank, Columbia. R. B. PRICE, President. N o . 1770. I . O. HOCKADAY, Cashier. Resources. Loans and discounts O verdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtureH Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. .$222, 272.02 Capital stock paid in 2,758.61 i 25,000.00 i Surplus fund Undivided profits 30,000.00 National-bank notes outstanding.. 99,268.81 j.State-bank notes outstanding $100, 000. 00 71,000.00 14,281.28 22, 500. 00 . 9,443. 53 • I, ] Dividends unpaid . 19,500.00 i; 398.12 Individual deposits United States deposits Deposits of U. S. disbursing officers. 228, 951. 04 2,273.64 ]\ Due to other national banks Due to State banks and bankers . 11,325.00 : Notes and bills re-discounted. Bills payable 8,000.00 '•• 6,153.00 780. 41 1,125.00 437, 512.73 Total. 437, 512.73 Exchange National Bank, Columbia. No. 1467. JAMES H. WAUGTI, President. Loans and discounts Overdrafts . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks^ securities, judgments, etc - Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,fiirniture,andtixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificatew of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $136,961.64 1,379.78 25, 000.00 47, 300. 00 92, 808. 46 715.39 8,341.81. 12, 000. 00 I,'460.44 1,000.00 2, 756. 24 2, 890. 00 48.15 12, 608.15 7, 000. 00 R. L. TODD, Cashier. Capital stock paid in $100, 000! 00 Surplus fund Undivided profits 30, 000. 00 11,152. 29 National-bank notes outstanding.. State-bank notes outstanding 22, 470. 00 Di vidends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 188,821.79 950. 98 1, 125. 00 Total. 353, 395. 06 353, 395. 06 First National Bank, Grant City. ERDLKY O. SAYLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers .Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on 0". S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3380. $101, 130. 93 512.30 30, 000.00 J N O . F . ROBERTSON, Cashier. Capital stock paid in Surplus fund Undivided profits $50, 000.00 , 4, 414.24 7, 736. 20 National-bank notes outstanding., State-bank notes outstanding 90. 43 3, 000. 00 10, 000. 00 1, 917. 67 Dividends unpaid 776. 50 3, 000. 00 191.36 55. 50. 3, 787. 2, 225. 00 90 65 00 Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 27, 000. 00 60,614.53 8, 788. 31 1,350.00 158, 320.51 Total. 158,320.51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 915 MISSOURI. First National Bank, Hannibal. ROBERT ELLIOTT, President. No. 4010. W. A. LATIMER, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned| Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S I Due from Treasurer IT. S Total Liabilities. $143, 335. 42 2,157.37 25, 000. 00 2, 708. 09 136. S9 725.45 3, 937. 54 2, 777. 36 7, 312. 50 2, 098. 73 800. 00 14. 02 3, 047.25 4, 500. 00 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits 3, 867,09 National-bank notes outstanding.. State-bank notes outstanding 22,500.00 Dividends unpaid . Individual deposits United States deposits Depositsof U.S. disbursing officers. 73, 308. 53 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable . 1,125.00 199, 675. 62 199,675.62 Total. First National Bank, Harrisonville. H. CLAY DANIEL, President. .1 Loans and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. S. E. BROWN, Cashier. No. 3754. $92, 954.46 11, 966.02 12, 500.00 Capital stock paid in. $50, 000. 00 3, 000.00 4, 944.25 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits 3,193.18 United States deposits 2, 843. 75 Deposits of U.S. disbursing officers. 52, 012. 41 2, 073. 06 22.48 2,510.93 160.11 !, 000. 00 1,218.25 250. 00 Duo to other national banks . . . . . . Duo to State banks and bankers .. Notes and bills re-discounted Bills payable Total . 132, 254. 74 11, 048. 08 132, 254. 74 First National Bank, Jefferson City. W. C. YOUNG, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from Stato banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. Is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1809. $137,799.15 i Capital stock paid in. 175.65 ! 12,500.00 Surplus fund Undivided profits. 147, 500. 00 38,447.61 481.64 2, 000.00 4,338.15 1,016.18 207.35 3, 716. 00 74.53 13, 735.00 7,445.00 OSCAR G. BURCII. Cashier. $50, 000. 00 National-bank notes outstanding.. State-bank notes outstanding 35, 500. 00 5, 046. 32 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 268, 202. 44 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562. 50 369,908.70 , Total 369, 998. 76 916 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. First National Bank, Joplin. CHARLES SCHIFFERDECKER, President. J . A. CRAGDT, Cashier. No. 3841. Liabilities. Resources. .$123, 580. 60 Capital stock paid in. Loans and discounts 0, 670. 99 Overdrafts 25, 000.00 IT. S. bonds to secure circulation... Surplus fund U. S. bonds to secure deposits Undivided profits. ... 50. 00 TJ. S. bonds on hand Stocks, securities, judgments, etc .. ,, National-bank notes outstanding-. Duo from approved reserve agents. 22,132.19 1 State-bank notes outstanding 1 Due from other national banks i Dividends unpaid Duo from State banks and bankers.! Bank'g-house,furniture,and fixtures' 9, 895.55 Other real estate and mortg's owned Individual deposits j Current expenses and taxes paid ...> 1, 073.21 United States deposits Premiums on TJ. S. bonds 3, 213. 50 Deposits of U.S.disbursing officers ; Checks and other cash items. j 971.89 Exchanges for clearing-house Due to other national banks Bills of other national banks j 3, 845.00 Duo to State banks and bankers. Fractional currency, nickels, cents . | 177.76 Specie I 7,4K2.55 Notes and bills re-discounted.. Legal-tender notes I 800.00 Bills payable TJ. S. certificates of deposit • Redemption fund with Treas. TJ. S.! 1,125. 00 Due from Treasurer TJ. S Total . Total . 206, 024. 24 $100,000.00 1,600.00 3, 892.15 22, 500.00 78, 032.09 206,024. 24 First National Bank, Kansas City. No. 3456. JAMES L. LOMIIAKD, President. Loans and discounts i Overdrafts j U. S. bonds to secure circulation...! TJ. S. bonds to secure deposits TJ. S. bonds on hand I Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixture? Other real estateand mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S E . F . SWINNBY, Cashier. , 114.084.80 : Capital stock paid in 1,180.67 |! 50, 000. 00 W Surplus fund 100, 000.00 ;| Undivided profits 178, 586. 334, 788. 87, 642. 27, 563. 1, 000. 2, 950. 42, 000. 210. 86, 593. 60, 552. 487. 146, 052. 100, 000. I $250,000.00 150, 000.00 10,290.02 National-bank notes outstanding.. I State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits 1,102, 572. 30 110,000. 00 || United States'deposits I Deposits of U. S. disbursing officers.! ' j Due to other national banks 390, 259. 83 277, 821. 62 I Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 2, 250. 00 Total . 2,335,943. 77 Total 2,335,943.77 American National Bank, Kansas City. H. P . STIMSON, President No. 3544. D. V. RIEGER, Cashier. $2, 795, 701.02 Loans and discounts... Capital stock paid in } $1,250,000.00 20, 699. 05 Overdrafts 50,000.00 U. S. bonds to secure circulation... Surplus fund 46, 000.00 U. S. bonds to secure deposits Undivided profits. 44, 358. 80 U. S. bonds on hand Stocks, securities, judgments, etc .. 145, 463.50 National-bank notes outstanding.. 45, 000. 00 Due from approved reserve agents. 752, 979. 67 State-bank notes outstanding Due from other national banks 100,109. 01 Due from State banks and bankers. 77,489. 46 Dividends unpaid. Bank'g-house,furniture, and fixtures 39, 500. 00 Other real estate and mortg's owned 5, 550. 20 Individual deposits 1,551,642.94 Current expenses and taxes paid... 11, 708.87 United States deposits Premiums on U. S. bonds 13, 000. 00 Deposits of U.S. disbursing officers. Checks and other cash items 7, 693. 78 Exchanges for clearing-house 102,122.10 Due to other national banks 1,129,169.81 Bills of other national banks 78, 000. 00 I Due to State banks and bankers.. 556, 896. 35 Fractional currency, nickels, cents . 1, 301. 24 238, 500.00 Specie Notes and bills re-discounted 180, 000.00 Legal-tender notes Bills payable , V. S. certificates of deposit 2,250. 00 Redemption fund with Treas. U. S. 1. 000.00 Due from Treasurer U. S Total I 4, ar.i, OUT Total 4,623,067.90 KF/PORT OF THE COMPTROLLER OF THE CURRENCY. 917 MISSOURI. Citizens' National Bank, Kansas City. J. J. SQUIEE, President. No. 2613. W. H. SEEGER, Cashier. Resources. Liabilities. $1, 080,421. 40 Capital stock paid in. Loans and discounts 10, 308,87 Overdrafts 50, 000. 00 Surplus fund IT. S. bonds to secure circulation... 50, 000.00 Undivided profits U. S. bonds to secure deposits 1, 000. 00 TJ. S. bonds on hand 6, 000. 00 National-bank notes outstanding.. Stocks, securities, judgments, etc.. 324, 215. 37 State-bank notes outstanding Due from approved reserve agents. 60,229.94 Due from other national banks 106, 936. 92 Dividends unpaid. Due from State banks and bankers. 2, 080. 00 Bank'g-house, furniture,and fixtures 26, 837. 51 Individual deposits Other real estate and mortg's owned 31,370.00 United States deposits Current expenses and taxes paid... 23 770. 00 DepositsofU.S.disbursing officers. Premiums on U. S. bonds 15, 327. 57 Checks and other cash items 29, 202. 81 Due to other national banks Exchanges for clearing-house 75. 535. 00 Due to State banks and bankers .. Bills of other national banks 105. 02 Fractional currency, nickels, cents. 150, 004. 20 Notes and bills re-discounted Specie ' 100, 000. 00 ! Bills payable Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250 00 Due from Treasurer TJ. S Total 2,126,194.61 Total . $200, 000. 00 200, 000. 00 38, 413.16 45, 000. 00 900, 425. 37 25,679.12 19, 409. 83 241, 500. 43 455,766.70 :, 126,194.61 German American National Bank, Kansas City. J. K. BUBNHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie j Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3793. 5321, 703.17 2,796. 20 50, 000. 00 27,169. 37 4, 568. 23 5,979.21 9,627.40 W. F. SARGENT, Cashier. $250, 000. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 8,500.00 4, 576.13 45, 000. 00 Dividends unpaid. j Individual deposits 5,298.37 I United States deposits 12, 062. 50 DepositsofU.S.disbursing officers. 32, 77 40, 922. 26 Due to other national banks 16, 505. 00 Due to State banks and bankers... 98. 26 17,410. 00 Notes and bills re-discounted 20, 000. 00 Bills payable 167, 707. 80 16,528.32 10,610.49 33, 500.00 2, 250.00 536,422. 74 Total . 536, 422. 74 Merchants' National Bank, Kansas City. W. B. CLARKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned •Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2440. $917, 009. 27 23,757.96 50, 000. 00 200.00 71,191. 00 223, 505. 00 90, 984.10 20,521.51 3, 000. 00 58, 281. 57 9, 440. 50 7, 765. 92 2, 615. 25 64, 521.78 13, 305. 00 448.12 22, 572. 50 80, 000. 00 J. W. BARNEY, Cashier. Capital stock paid in. $500, 000. 00 Surplus fund Undivided profits. 55, 000.00 30, 972.11 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 581, 052. 00 Duo to other national banks Due to State banks and bankers .. 241, 834. 04 207,511.33 Notes and bills re-discounted . Bills payable 2, 250.00 1, 661, 369.48 Total. 1, 661, 369.48 918 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. Midland National Bank, Kansas City. WITTEN MCDONALD, President No. 3904. W. H. WINANTS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand ! Stocks, securities, judgments, etc . j Due from approved reserve agents. \ Due from other national banks j Due from State banks and bankers, j Bank'g-house^nrniturejandfixtures, Other real estate and mortg's owned! Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. o. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total ., 662, 332. 27 33, 787.42 50, 000.00 Capital stock paid in | Surplus fund Undivided profits 9,835.00 i National-bank notes outstanding.. 551,813.14 State-bank notes outstanding 109, 084. 97 130, 077.05 Dividends unpaid 16, 626. 3, 000. 19, 587. 43, 716. 17,170. 153. 103, 402. 150, OOC. $500,000. 00 10,000.00 40, 317. 26 45, 000.00 | Individual deposits 1, 610, 257.62 ; United States deposits ' Deposits of U.S. disbursing officers. Due to other national banks . . . . . . Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 331, 639. 77 365, 621. 24 2, 250.00 2,902,835.89 | !, 902, 835. 89 Total. National Bank, Kansas City. No. 3489. J". S. CHICK, President W . J . ANDERSON, Cashier. $3,858,212.07 Capital stock paid in Loans and discounts j $1, 000, 000. 00 24,132. 08 Overdrafts 50, 000. 00 ! Surplusfund U. S. bonds to secure circulation... 300,000.00 100, 000. 00 : Undivided profits U. S. bonds to secure deposits ! i 69,497.77 U. S. bonds on hand ! 45, 000. 00 Stocks, securities, judgments, etc.. 91, 647.11 ; National-bank notes outstanding.. | 454, 536.22 State-bank notes outstanding Due from approved reserve agents. 65. 045.29 Due from other national banks 117.023.72 Dividends unpaid Duo from State banks and bankers. 189, 038.06 Bank'g-house,furniture,andfixtures 31, 542. 95 Individual deposits 2,347, 587.49 Other real estate and mortg's owned United States deposits 105,02 5.38 Current expenses and taxes paid... 15,118.88 Depositsof U.S.disbursingonicers. 148. 04 Premiums on U. S. bonds ! 5, 408. 86 Checks and other cash items j 87, 396. 46 Due to other national banks 775,738.68 Exchanges for clearing-house 38, 409.00 Due to State banks and bankers . . j 1,189, 606.67 Bills of other national banks 235. 83 Fractional currency, nickels, cents . 353,107.50 Notes and bills re-discounted Specie | 349, 500. 00 Bills payable Legal-tender notes U. S. certificates of deposit 2,250.00 ' Redemption fund with Treas. U. S. Due from Treasurer U. S ! Total 5,832,604.03 Total i 5,832,604.03 National Bank of Commerce, Kansas City. W. S. WOODS, President No. 3760. C. «T. WHITE, Cashier. Loans and discounts $3, 946. 097.06 Capital stock paid in. $2,000,000.00 39,080.18 Overdrafts 50, 000. 00 Surplus fund 80, 000. 00 U. S. bonds to secure circulation... 500,000. 00 Undivided profits U. S. bonds to secure deposits 69, 359. 84 U. S. bonds on hand | 383,750.00 National-bank notes outstanding.. 45, 000.00 Stocks, securities, judgments, etc.. 978,444.41 State-bank notes outstanding Due from approved reserve agents I 116,625.38 Due from other national banks 439, 763. 06 Dividends unpaid Due from State banks and bankers. 265. 00 143, 674.49 Bank'g-house, furniture,and fixtures 7, 700. 00 Individual deposits Other real estate and mortg's owned 2, 202,203.65 500, 000.00 Current expenses and taxes paid... United States deposits 42, 000. 00 Deposits of U. S. disbursing officers. Premiums on U. S. bonds 345.44 Checks and other cash items 42,996.55 Due to other national banks 1, 370, 288.42 Exchanges for clearing-horrse 48, 755. 00 Due to State banks and bankers .. 1,135,144.23 Bills of other national banks 275, 32 Fractional currency, nickels, cents 450, 504. 25 Notes and bills re-discounted . Specie Legal-tender notes 210, 000. 00 Bills payable U. 13. certificates of deposit Redemption fund with Treas. U. S . !, 250.00 |! Due from Treasurer U. S Total 7,402,261.14 | Total.. 7,402,261.14 REPORT OF THE COMPTROLLER OF THE CURRENCY. 919 MISSOURI. National Exchange Bank, Kansas City. JOHN K. CRAVENS, President. No. 3863. L. D. COOPER, Assistant Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national bauks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer TJ. S Total. $232,788. 49 4, 569. 72 50, 000. 00 300. 00 15, 843. 45 1,171.68 6, 452. 06 3, 250, 61 2, 540. 00 56. 07 5, 449. 00 2, 360. 00 22. 36 7, 700. 00 10, 000. 00 Capital stock paid in. $250, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 47, 732.48 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable , 279. 31 1,741.65 2, 250. 00 Total . 344, 753.44 344, 753. 44 Union National Bahk, Kansas City. DAVID T. BEALS, President. No. 3637. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks aud bankers Bank'g-heuse, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonus Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $1, 472,182. 34 15, 695.98 50, 000. 00 CHAS. H. Y. LKWIS, Cashier. Capital stock paid i n . $600, 000. 00 22, 000. 00 51, 291.28 Surplus fund. surpl Undivided profits Jndi 45, 000. 00 277,198.12 National-bank notes outstanding.. 171, 973.18 State-bank notes outstanding 44,128 34! j 91,519.72 Dividends unpaid 4,612.50 j Individual deposits 1,187, 440. 09 24, 241. 56 United States deposits i. 9, 843. 75 Deposits of U. S. disbursing officers. i 1, 451. 74 69,153.14 Due to other national banks 194,849.85 i 493, 90(5. 64 54, 400. 00 Due to State banks and bankers .. I 738. 09 209,100. 00 Notes and bills re-discounted . 96, 000. 00 Bills payable 2, 250. 00 2, 594, 488. 46 Total 2,594,488.46 First National Bank, Kirksville. S. M. LINK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... • U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc ..; Due from approved reserve agents. | Due from other national banks | Due from State banks and bankers.' Bank'g-house,furniture,andtixtures; Other real estate and mortg's owned; Current expenses and taxes paid... j Premiums on U. S. bonds ! Checks and other cash items I Exchanges for clearing-house ! Bills of other national banks I Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2713. $145, 761. 66 W. T. BAIRD, Cashier. Capital stock paid in. $50,000. 00 12, 500. 00 Surplus fund Undivided profits. 22, 000.00 4, 895.45 47,001.86 9, 192. 50 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 442. 89 Dividends unpaid *"2,'493."o6" Individual deposits United States deposits "1,321.91 Deposits of U. S. disbursing officers. 894. 16 Due to other national banks 4, 580. 00 Due to State banks and bankers . 144.88 7, 441. 00 Notes and bills re-discounted . 4, 000. 00 Bills payable 148,190. 91 562.50 236, 33(5. 36 Total. 236, 336. 3G 920 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. First National Bank, Lamar. No. 4057. JAMES H. WILSON, President. GEO. T. RODGERS, Cashier. Resources. Loansand discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andnxtures Other real estate and mortg's owned j Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. Liabilities. $41,164.99 277.30 12, 500.00 13, 749.24 5,207. 50 457. 71 3, 600.94 157.05 225. 00 16. 03 3,501.00 2, 680.00 $39,410.00 Capital stock paid in. Surplus fund Undivided profits. 1, 295.72 National-bank notes outstanding.. State-bank notes outstanding 11,250. 00 Dividends unpaid. 32,143. 54 Individual deposits . United States deposits . Deposits of U.S.o Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 562.50 84,099.26 84, 099.26 Total. First National Bank, Liberty. DANIEL HUGHES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc..! Due from approved reserve agents. Due from other national banks Due from State banks and bankers. I Bank'g-house,furniture,aiid fixtures! Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 3712. $77, 799.89 1, 535. 24 12, 500.00 4,131. 78 $50, 000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 1,140. 75 2, 346.99 11, 250. 00 Dividends unpaid. 18, 923.88 856. 20 1,140. 63 417.00 951.00 5, 244. 54 Individual deposits United States deposits Deposits of U.S.disbursing officers. 58, 585. 06 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable , 739.86 562.50 124, 062. 66 Total . JAMES T. R I L E T , Cashier. Capital stock paid in. 124, 062. 66 Total. Mercantile National Bank, Louisiana. A. J . MCCUNE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house,furniture,and fixtures Other real estate and moitg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house 33ills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3111. $205, 815. 26 834. 93 12, 500. 00 W . G. TINSLET, Cashier. Capital stock paid in . Surplus fund , Undivided profits. National-bank notes outstanding. 12,333.42 i State bank notes outstanding 1,419.11 Dividends unpaid 2, 500.00 Individual deposits i," 292 "57' ! United States deposits 3, 015. 63 Deposits of U.S.disbursing officers. 1, 825. 00 Due to other national banks . . . . . 7,962.00 ! Due to State banks and bankers. 94.69 ' 8,413.20 ! Notes and bills re-discounted . 19,800.00 ! Bills payable $50,000.00 3, 500.00 4,115.37 11, 250. 00 209,502.94 562.50 I 278, 368. 31 Total . 278, 368.31 REPORT OF THE COMPTROLLER OP THE CURRENCY. 921 MISSOURI. First National Bank, Macon. No. 2862. JOHN H. BABCOCK, President. JNO. SCOVERN, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. | Bauk'g-house,furniture, and fixtures Other real estate and mortg's owned: Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tentier notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S Liabilities. $155,050.20 Capital stock paid in. 902. 01 15, 000. 00 Surplus fund Undivided profits. 8, 000. 00 National-bank notes outstanding.. 38, 652. 74 State-bank notes outstanding 6, 849. 03 Dividends unpaid 863.65 Individual deposits 109. 80 United States deposits 275. 00 Deposits of U.S. disbursing officers. 692. 72 Due to other national banks 11,010.00 Due to State banks and bankers . 19.08 19, 745. 00 Notes and bills re-discounted . 5,133. 00 Bills payable 8,200.00 1, 761. 04 13, 500. 00 189, 516.19 675.00 Total. 262,977.23 Total. $50, 000.00 262, 977.23 First National Bank, Maryville. JOSEPH JACKSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S H. W. RICHMOND, Cashier. No. 3268. $230, 906. 62 Capital stock paid in $100, 000. 0 11,087.19 25, 000. 00 Surplus fund 6, 287. 91 6,192. 22 Undivided profits 83, 066.67 National-banknotes outstanding. State-bank notes outstanding 3, 927. 94 17, 787.10 Dividends unpaid 1, 542.24 1, 437.59 2,803.28 3, 000. 00 64. 55 14, 962. 50 2,188.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 263, 918. 55 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125. 00 398, 898. 68 Total. 22, 500.00 Total. 398, 898. 68 Scotland County National Bank, Memphis. JAMES W. HARRIS, President. Loans and discounts . Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house,furniture,and fixtures' Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash i terns Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2432. J . W. BARNES, Cashier. $111, 725. 83 i Capital stock paid in. 228. 95 12,500,00 Surplus fund Undivided profits. 4, 000. 00 I National-bank notes outstanding.. 42, 583. 04 | State-bank notes outstanding 548. 07 4, 584. 45 Dividends unpaid 4, 035.63 Individual deposits 033. 90 United States deposits 812. 50 Deposits of U.S.disbursingofficers. $50,000.00 30,000.00 11, 810.42 11, 250.00 270.00 113, 553.10 Due to other national banks 1,215.00 Due to State banks and bankers. 62.20 8,731.45 Notes and bills re-discounted. 4,060.00 i Bills payable 562.50 196, 883. 52 Total . 196,833. 52 922 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. First National Bank, Mexico. R. R. ARNOLD, Cashier. N o . 2881. G-. B. MACFARLANE, President. Resouroes. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation-.. IT. S. bonds to secure deposits U. S. bonds on hand I Stocks, securities, judgments, etc ..] Due from approved reserve agents. i Due from other national banks I Due from State banks and bankers. i Bank'g-house, furniture, andfixtures I Other real estate and mortg'sowned' Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $90, 422 28 Capital stock paid in. 1,152.43 12, 500. 00 Surplus fund Undivided profits. National-bank notes outstanding.. 32, 660.11 State-bank notes outstanding 7, 000. 00 2, 530. 04 10, 690.00 Dividends unpaid . 1, 284.10 927.50 2,445.62 519.16 3, 500.00 9.27 5, 575. 00 2, 000.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 83, 337 93 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 Total . 153, 557.97 Total. $50,000.00 153, 557. 97 First National Bank, Milan. N o . 3110. W. MCCULLOUGH, President. Loans and discounts Overdrafts o U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $125, 283.04 1, 707. 88 18, 750. 00 21, 098. 62 139.12 6, 450.00 2, 273. 50 4, 540.03 503. 22 1, 496. 00 30.00 5, 518. 40 15, 000. 00 $75, 000.00 Surplus fund Undivided profits 7, 092. 35 10,197. 74 National-bank notes outstanding.. State-bank notes outstanding 16, 875. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 90, 973.47 3, 500. 00 843. 75 203, 638. 56 Total. J . C. MCCOY, Cashier. Capital stock paid in 203, 638. 56 Total . First National Bank, Moberly. GEORGE L. HASSETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 4000. $106,402. 32 186. 74 25, 000. 00 23, 686. 66 1, 586. 03 5, 000.00 1,187. 96 7,000.00 634.50 5,510.00 12. 76 8, 310. 60 6,000.00 E. W. MCJUNKIN, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 3, 015.44 19, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 69, 627.13 Due to other national banks . Due to State banks and bankers . . Notes and bills re-discounted Bills payable 1,125. 00 191, 642. 57 Total 191, 642. 57 REPORT OF THE COMPTROLLER OP THE CURRENCY. 923 JTIISfeOITJRI. First National Bank, Nevada. No. 3959. E. E. KIMBALL, President. F. E. CARR, Cashier. Resources. Loans and discounts Overdrafts XJ. S. bonds to secure circulation. .J XJ. S. bonds to secure deposits U. S. bonds/on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks. ... Due from State banks and bankers Bank'g-bouse, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $106,568.43 ; Capital stock paid in • 2,098.63 25, 000.00 Surplus fund Undivided profits . 18,936.50 j 6, 414. 84 j 2,653.36 I 110.07 6, 678. 12 1, 214.00 3, 277. 00 4, 344. 85 3, 000.00 I $100,000.00 1 , OOC. 02 2, 286. 90 National-bank notes outstanding-. State-bank notes outstanding .."... Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 22, 500. 00 55,633.88 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 1,125. 00 181,420. 80 Total. 181,420.80 I First National Bank, Palmyra. WILLIAM H. L E E , President. Loans and discounts Overdrafts IT. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie : Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2979. Capital stock paid in. $109, 388. 40 1, 650.07 15, 000.00 202.12 630. 70 659.10 434.17 800. 00 SAMUEL LOGAN, Cashier. $60, 000. 00 Surplus fund Undivided profits 12, 000. 00 4,129. 63 National-bank notes outstanding.. State-bank notes outstanding 13,500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers 455. 00 25. 25 563. 00 000. 00 91, 6(56.92 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 735. 35 2, 440. 37 675. 00 184, 472. 27 184, 472. 27 Total. National Bank, Paris. DAVID H. MOSS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house.furniture,and fixture? Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3322. W M . F . BUCKNER, Cashier. $203,424.42 |! Capital stock paid i n . 12,155.67 25,000. 00 Surplus fund 1, 000. 00 63, 361. 25 146. 06 1, 732.14 7, 500. 00 2, 433. 31 1,632.12 3, 900. 00 42. 52 7,163.00 73. 46 11, 769. 65 5, 000. 00 Undivided profits National-bank notes outstanding.. State-bank notes outstanding $100,000.00 12, 000. 00 4,189. 54 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 208,513.66 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 1,125. 00 347,458.60 [ I Total. 347,458.60 924 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. National Bank, Rolla. D. W. MALCOLM, Cashier. No. 1865. CYRUS H. FROST, President Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickols, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U". S $115, 036. 50 674.48 12, 500. 00 300. 00 71,068.28 3, 649. 37 6, 468. 72 2, 353. 78 1,199. 90 135.00 1, 026.45 15.00 378. 97 1, 520. 50. 20, 111. 3, 750. 00 00 60 00 Capital stock paid in. 10,000. 00 14, 764.13 11, 250.00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers 154,786.42 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562.50 Total. 240, 800. 55 Total. $50, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 240, 800. 55 First National Bank, Saint Charles. No. 260. HENRY AUGERT, President. Loans and discounts Overdrafts . . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'ghouse, furniture, and fixtures Otherreal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total $169, 259. 94 12, 500. 00 71, 240. 97 1, 790. 50 11, 350. 00 512.37 909. 56 4,570.00 28.09 20,000.00 6, 000.00 W. W. KIRKPATRICK, Cashier. $50, 000.00 Capital stock paid in Surplus fund Undivided profits 22,000.00 4, 878. 98 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 320.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 210, 274.95 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 562.50 Total 298, 723.93 298,723.93 National Bank, Saint Joseph. CALVfN F. BURNS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.... No. 2970. $886,136.75 749.49 50, 000.00 250,000.00 GEO. C. HULL, Cashier. Capital stock paid in. Surplus fund Undivided profits 6, 014. 55 National-bank notes outstanding. 180,211.89 State-bank notes outstanding 52, 048.66 21, 594.84 Dividends unpaid 25,000.00 Individual deposits 3, 689. 85 United States deposits Deposits of U. S. disbursing officers. 12,594.15 15,021.79 Due to other national banks 5, 765.00 Due to State banks and bankers .. 429.34 95, 508.20 Notes and bills re-disconnted . 89, 474. 00 Bills payable $100,000.00 60, 000. 00 4, 985.15 45, 000.00 917, 592.12 258, 437.18 15, 838. 52 116, 649. 67 177, 985. 87 2, 250.00 1,696,488.51 Total 1,696,488.51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 925 MISSOURI. Sax ton National Bank, Saint Joseph. S. C. "WOODSON, President. No. 2898. J. W. MCALISTER, Cashier. Liabilities. Resources. $1, 220, 360.87 Capital stock paid in. Loans and discounts 7, 486. 72 Overdrafts 50, 000. 00 Surplus fund U. S. bonds to secure circulation... 150, 000. 00 Undivided profits. U. S. bonds to secure deposits 1, 500. 00 U. S. bonds on hand 5, 700. 00 National-hank notes outstanding Stocks, securities, judgments, etc .. 183,593.54 State-bank notes outstanding... Due from approved reserve agents. 88, 032.31 Due from other national banks 28, 816. 71 Dividends unpaid. Due from State banks and bankers 3, 233. 20 Bank'g-house,furniture,andnxtures 8, 747. 84 Individual deposits Other real estate and raortg's owned 6, 239. 88 United States deposits Current expenses and taxes paid... 55,425. 00 DepositsofU.S.disbursingofficers. Premiums on IT. S. bonds 9,160. 68 Checks and other cash items 47, 523. 94 Due to other national banks Exchanges for clearing-house 4, 285. 00 Due to State hanks and bankers .. Bills of other national banks 88.72 Fractional currency, nickels, cents . 120, 556. 85 Notes and hills re-discounted . Specie 62, 000.00 Bills payable Legal-tender notes TJ. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total 2,055,001.26 Total. $400,000.00 21, 500. 00 16, 915.94 45, 000. 00 967, 426.76 165, 000. 00 121, 924.13 267, 234.43 50, 000.00 2, 055, 001.26 Schuster-Hax National Bank, Saint Joseph. A. N. SCHUSTER, President. No. 4053. Loans and discounts Overdrafts U. S. honds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andftxture* Other real estate and ruortg's owned Current expenses aud taxes paid-. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total- $930, 483. 74 20.951.40 50, 000. 00 166, 019. 23 180, 559. 37 92, 467. 31 3, 980.82 7, 898. 42 14, 250.00 62,918.81 38, 589. (37 5, 500. 00 9.76 100, 797. 00 27, 000. 00 S. A. WALKER, Cashier. Capital stock paid in $500,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 29, 969.13 44, 950.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursingofficers. 645, 390.14 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 130, 877. 57 352, 494. 69 2, 250. 00 1, 703, 681.53 Total 1, 703, 681. 53 Third National Bank, Saint Louis. No. $2, 562, 045.13 Loans and discounts 4, 882. 20 Overdrafts 50, 000. 00 U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand 200, 808. 05 Stocks, securities, judgments, etc Due from approved reserve agents. 455, 420.15 Due from other national banks 32, 446.78 Due from State banks and bankers. 160, 000.00 Bank'g-house, furniture, andfixtures 16, 475. 23 Other real estate and niortg's owned 24,473. 78 Current expenses and taxes paid... 12, 500.00 Premiums on U. S. bonds 13, 365.12 Checks and other cash items 320, 016. 58 Exchanges for clearing-house 25,114. 00 Bills of other national banks 658. 91 Fractional currency, nickels, cents. 291, 305. 00 Specie 34,005.00 Legal-tender notes 270, 000. 00 U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S Due from Treasurer U. S THOMAS E. TUTT, President. Total 4,475, 765. 93 170. T. A. STOOD ART, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid $1, 000, 000. 00 200, 000. 00 84, 483. 41 45, 000. 00 4, 855. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 1,497, 295. 87 Due to other national banks Due to State banks and bankers... 955, 928.63 688, 203. 02 Notes and bills re-discounted. Bills payable Total 4,475,765.93 926 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. Fourth National Bank, Saint Louis. J. C. H. D. BLOCK, President. No. 283. F . W. BIEBINGER, Cashier. Liabilities. Resources. $2, 816,101. 67 Capital stock paid in. $1, 000,000.00 Loans and discounts 3, 661. 22 Overdrafts 50, 000.00 400, 000. 00 Surplus fund TJ. S. bonds to secure circulation... 164,719.98 Undivided profits U. S. bonds to secure deposits 700.00 I TJ. S. bonds on hand 45, 000. 00 834,005.00 j| National-bank notes outstanding.. Stocks, securities, judgments, etc . . State-bank notes o u t s t a n d i n g Due from approved reserve agents. 1,444,460. 62 Due from other national banks 36,225.81 Dividends u n p a i d Due from State banks and bankers. Bank'g house, furniture, and fixture? Other real estate and mortg's owned Individual deposits 2, 488, 242.16 Current expenses and taxes paid.. 52,156. 77 United States deposits Deposits of U. S. disbursing officers Premiums on U. S. bonds " 10," 335." 07 Checks and other cash items 98, 440.14 Due to other national banks 1, 004,174. 92 Exchanges for clearing-house 25, 738. 00 Due to State banks and bankers .. 927, 256. 90 Bills of other national banks 528. 66 Fractional currency, nickels, cents 433, Till. 00 Notes and bills re-discounted. Specie 221, 000. 00 Bills payable Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total Total. 6, 029, 393. *J6 6, 029, 393. 96 Continental National Bank, Saint Louis. GEORGE A. BAKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due irom State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 4048. $4, 331, 687. 54 4, 058.47 50, 000.00 2," 500." 66" $1, 800, 000. 00 Surplus fund Undivided profits. 107, 362.18 109, 573.62 National-bank notes outstanding.. State-bank notes outstanding 368,"372."i)3" 103, 946. 73 Dividends unpaid . 68," 120. 19 26, "321. 53 15, 430. '.25 9, 291. 22 165, 573. 91 96, 864.00 259. 94 297, 705. 00 590, 000. 00 14, 000. 00 Individual deposits United States deposits I Deposits of U.S. disbursing officers. 1, 973, 465. 36 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 1,308,129.81 1, 039, 058. 58 2, 250.00 6, 242, 015.93 Total.. CHAS. W. BULLEN, Cashier. Capital stock paid in. Total. 6, 242, 015. 93 Merchants' National Bank, Saint Louis. JAMES E. YEATMAN, President No. 1501. $2,127,798.31 Loans and discounts 462. 58 Overdrafts 50, 000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. 116,504. 72 Due from other national banks 37, 537. 82 Due from State banks and bankers. 3, 000. 00 Bank'g-house, furniture,and fixtures Other real estate and mortg's owned 11,111.58 Current expenses and taxes paid... Premiums on U. S. bonds 29,710.82 Checks and other cash items 55, 254.19 Exchanges for clearing-house 4, 376. 00 Bills of other national banks 123.30 Fractional currency, nickels, cents . 127,113.50 Specie 201, 000.00 Legal-tender notes U. S. certificates of deposit 2,250.00 Redemption fund with Treas. U. S. 1, 000, 00 Due from Treasurer U. S Total. 2,707,242.82 F. W. RISQUE, CanHer. Capital stock paid i n . Surplus fund Undivided profits $700, 000. 00 , National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . 140, 000. 00 42,131.42 45, 000.00 1, 491. 25 Individual deposits , United States deposits , Deposits of U.S. disbursing officers. 1, 237, 572. 27 Due to other national banks Due to State banks and bankers .. 204,151. 43 203, 941. 93 Notes and bills re-discounted Bills payable 192, 954. 52 Total I 2,767,242.82 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 927 MISSOURI. Saint Louis National Bank, Saint Louis. W. E. BURR, President. No. 1112. J . NICKERSOX, Cashier. Liabilities. Resources. $1, 637, G13. 33 Loans and discounts 2, 237.12 Overdrafts 50, 000.00 U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, j udgments, etc . . 1,000. 00 Due from approved reserve agents. 545, 313. 53 Due from other national banks 19, 322. 23 Due from State banks and bankers. 100, 000.00 Bauk'g-house, furniture, andfixture? Other real estate and inortg's owned 19, 250.59 Current expenses and taxes paid... 13, 250. 00 Premiums on TJ. S. bonds 2, 923. 27 Checks and other cash items 107, 070. 80 Exchanges for clearing-house 62, 392. 00 Bills of other national banks 8. 93 Fractional currency, nickels, cents 427, 358. 50 Specie 295, 000. 00 Legal-tender notes U. &. certificates of deposit Redemption fund with Treas. U. S. 2, 250. 00 Due from Treasurer U. S Total Capital stock paid in. $500, 000. 00 Surplus fund Undivided profits. j National-bank notes outstanding State-bank notes outstanding 100, 000. 00 72, 369. 24 45,000. 00 1, 602. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 1,421,243.77 Due to other national banks Due to State banks and bankers .. 488, 560.10 656,215.19 Notes and bills re-discounted . Bills payable Total. 3,284,900.30 3,284, 990. 30 First National Bank, Sedalia. CYRUS NEWKIBK, President. Loans and discounts Overdrafts II. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national b a n k s . . . . . Due from State banks and bankers. Bank'g-house,fumiture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie * Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer D. S No. 1627. $462, 291. 22 Capital stock paid in. 5, 344. 32 25, 000. 00 Surplus fund Undivided profits . 21, 723.27 17, 612. 92 22, 683. 23 19, 124. 76 17, 037. 50 2,001. 55 4, 004. 61 5, 272. 30 1, 803. 85 21, 200. 00 79.13 17, 051. 50 44, 000. 00 $100, 000. 00 46, 000.00 8, 820. 42 National-bank notes outstanding.. State-bank notes outstanding . . 22, 500.00 Dividends unpaid Individual deposits United States deposits Depositsof U. S. disbursing officers. 390, 283.11 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 70. 239. 05 48, 992. 58 605. 00 686,835.16 Total . J.C. THOMPSON, Cashier. Total. 686, 835.16 Third National Bank, Sedalia. J O H N N. DALBY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2919. $279, 758. 65 2, 086.11 « 25,000.00 4,154.82 49, 627. 84 24,025.61 905.17 3, 000. 88 2,136. 98 7,141. 25 1, 623. 95 2, 667. 60 4, 606. 00 67.90 8, 558. 70 13, 500. 00 R. H. MOSES, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits 9, 942.77 17,785. 21 National-bank notes outstanding.. State-bank notes outstanding 22,500. 00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursing officers. 269,716. 08 Due to other national banks Due to State banks and bankers .. 10,000.00 42.40 Notes and bills re-discounted . Bills payable 1,125. 00 429, 986. 46 Total. 429, 986. 46 928 REPORT OF THE COMPTROLLER OF THE CURRENCY. MISSOURI. Citizens' National Bank, Sedalia. No. 1971. W. H. POWELL, President. A D A M TTTRL. Cashier, Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund -with Treas. TJ. S. Due from Treasurer U. S Liabilities. $203, 896.12 j Capital stock paid i n . 160. 91 25, 000.00 Surplus fund Undivided profits 12, 000.00 National-bank notes outstanding.. 53,145. 04 State-bank notes outstanding . . . . . 1,142.76 5, 453.2G : Dividends u n p a i d . 17, 550.00 Individual deposits 1, 852.13 United States deposits Deposits of U. S. disbursing officers. 3,897.90 Due to other national banks 14, 269.00 Due to State banks and bankers .. 145. 00 1,988.25 Notes and bills re-discounted 20, 000. 00 Bills payable 35, 000. 00 6,010.60 22, 500.00 191, 845. 23 5, 081. 33 1,188. 21 1,125.00 361, 625. 37 Total. $100, 000. 00 Total. 361, 625. 37 First National Bank, Springfield. No. 1701. R. J . MCELHANY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U . S . bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national batiks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fuud with Treas. U. S. Due from Treasurer U. S $186, 417.48 1, 066. 92 12, 50U. 00 3,884.10 39, 610. 25 987. 88 1, 452. 96 2, 076. 50 9, 280.00 75.40 12, 400. 00 21, 720. 00 $50, 000.00 Surplus fund Undivided profits. 20, 000. 00 4, 039. 21 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 205, 453. 06 Due to other national banks . . . . . . Due to State banks and b a n k e r s . . . 1, 291. 72 Notes and bills re-discounted . Bills payable 562. 50 292, 033. 99 Total. R. L. M C E L H A N Y , Cashier. Capital stock paid i n . Total. 292, 033. 99 Central National Bank, Springfield. J. W. POWERS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds ou hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from Stato banks and bankers. Bank'g-house,-furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums o n U . S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas=. U. S Due from Treasurer U. S Total. No. 3718. $366, 536. 67 178.11 50, 000. 00 65.10 43, 954. 75 10, 200. 00 1,112.14 22, 0139. 77 1, 911. 08 3,899. 88 8, 720. 00 912.19 1,477. 00 1.75 4, 935. 50 9, 500. 00 J . D. S H E P P A R D , Cashier. Capital stock paid i n . $200, 000.00 Surplusifund . Mirplui Undivided profits. 10, 000. 00 12, 235. 24 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid Iudividual deposits United States deposits Deposits of U. S. disbursing officers. 60.00 • 230, 428. 70 Due to other national banks Due to State banks and b a n k e r s . Notes and bills re-discounted. Bills payable 30, 000. 00 2, 250. 00 Total. 527, 723. 94 EEPOET OF THE COMPTROLLER OF THE CURRENCY. 929 MISSOURI. First National Bank, Tarkio. DAVID RANKIN, No. 3079. President. J A M E S S. WILSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks . . . . Due from State banks and bankers. Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $89, 801. 60 5, 770. 43 12, 500. 00 Capital stock paid in . 3, 000. 00 3, 267. 58 11, 250. 00 64,104. 33 277. 54 13, 200. 00 562.50 Total . 145, 099.45 Total. $50, 000. 00 Surplus fund Undivided profits National-liank notes outstanding-. 7,057.79 I State-bank notes outstanding 1, 715. 33 ! Dividends unpaid 16,003.64 I Individual deposits 806. 75 United States deposits 900. 00 Deposits of U. S. disbursing officers. 10, 978. 71 Due to other national banks 65.00 Due to State banks and bankers .. 18.40 1, 919. 30 Notes and bills re-discounted 3, 000. 00 Bills payable 145,099.45 First National Bank, Trenton. STEPHEN PEERY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand. Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank f g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. o. certificates of deposit Redemption fund with T r e a s . U. S. Due from TreasurerU. S Total.. B. M. COOK, Cashier. No. 3957. $57, 770.76 2,169.17 12, 500.00 3, 002. 91 3, 599.14 1,151. 53 2, 669. 70 Capital stock paid in. Surplus fund Undivided profits ^ National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 1,124.29 11, 250. 00 Dividends unpaid. Individual deposits 904. 92 1, 004. 68 175. 00 United States deposits Deposits of U.S.disbursing officers. 395. 00 .37 2, 593.75 770.00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 23, 675.14 3, 220. 00 562.50 19.43 Total . 89, 269.43 Grundy County National Bank, Trenton. C. A. HOFFMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from-Treasurer U. S 1, 202. 07 7,165 10 721.71 1, 046. 88 690.24 405. 00 40.30 3, 317. 80 4. 900. 00 -59 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 105,056. 88 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 562. 00 172, 778.89 Total . H. Ex. 3 No. 3946. H. F . HOFFMAN, Cashier. $105, 556. 95 Capital stock paid in $50,000. 00 2, 456. 62 12, 500.00 Surplus fund 258. 53 6, 223.48 Undivided profits 5, 821.38 National-bank notes outstanding-. 11, 240.00 26,140. 54 State-bank notes outstanding 252.30 Total . 172,778.8» 930 REPORT OF THE COMPTROLLER OF THE CURRENCY. JI i s s o IT R i • Marshall National Bank, Unionville. N. B. MARSHALL, Cashier. Xo. 3068. HUGH D. MARSHALL, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid...;: Premiums on U. S. bonds Checks and other cash items j Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S.: Due from Treasurer U. S Total. $82, 529.10 377. 29 15, 000. 00 I $50, 000. 00 Surplus fund i Undivided profits ! National-bank notes outstanding.. '• 5,759.70 ! State-bank notes outstanding I i, 527.80 :j j Dividends unpaid ; *8*50(U)0":! Individual deposits 830.15 ! United States deposits 1,000.00 i Deposits of U. S! disbursing officers. 4,531.56 : Due to other national banks 1, 430. 00 Due to State banks and bankers.. 69. 80 6,137. 00 Notes and bills re-discounted . 3, 100. 00 Bills payable Capital stock paid in 10, 000. 00 2, 410. 45 13, 500. 00 <. 55, 557. 01 675.00 131, 467. 46 Total. 131,467.46 National Bank, Union ville. D. W. POLLOCK, President. Loans and discounts ' Overdrafts j U. S. bonds to secure circulation .. • U. S. bonds to secure deposits U. S. bonds on hand | Stocks, securities, judgments, etc..: Due from approved reserve agents. Duo from other national ban ks . . . Due from State banks and banker '. Bank'g-house,furniture,and fixtures' Other real estate and mortg's owned • Current expenses and taxes paid...: Premiums on U. S. bonds | Checks aad other cash items : Exchanges for clearing-house ! Bills of other national banks Fractional currency, nickels, cents.; Specie I Legal-tender notes ! U . S . certificates of deposit ; Redemption fund with Treas. U. S.! Due from Treasurer U. S I Total. F. H. WENTWORTH, Cashier. No. 3137. $77, 674.40 I Capital stock paid in. 314, 73 ! 12,500.00 I Surplus fund ! Undivided profits. ! | I National-bank notes outstanding.. 8,657.17 ; | State-bank notes outstanding | \ J Dividends unpaid 1,955.65 ! 4, 863. 60 Individual deposits I 496.00 United States deposits 1,000.00 Deposits of U.S. disbursing officers. 1,141.17 Due to other national banks 2, 980. 00 Due to State banks and bankers . 5. 01 330.00 Notes and bills re-discounted. 2,000.00 Bills payable $50,000.00 13, 225. 59 2, 087. 58 11, 250. 00 , 37, 917. 06 562.50 114,480.23 Total. 114,480.23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 931 RAN SAS. First National Bank, Abilene. No. 2427. .1. E. BOSEJJRAKE, President. H. H. HAYES, Cashier. Liabilities. Resources. Loans and discounts Overdrafts IT. S. bonds to secuve circulation - -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'ghouse, furniture, and fixtures Other real estate and m o r t i s owned Current expenses and taxes paid . . Premiums on IT. S. bonds Checks and other cash items Exchanges for clearinsr-house Bills of other national banks Fractional currency, nickels, cents. Specio - . 1 Legal-tender notes IT. S. certificates of depositRedemption fund with Treas. U. S. Due from Treasurer U. S Total. $195, 721. 04 SOL. 05 Capital stock paid in $100, 000.00 Surplus fund Undi vided profits 6,16 230. 09 12,105. 17 5,270.57 982. 74 2, 200. 00 2,279, 69 17, 600. 00 4, 661.14 National-bank notes outstanding. State-bank notes outstanding 2:-, ouo. oo 22, 500.00 Dividends unpaid 62,100. 31 Individual deposits United Slates deposits Depositsof U.S.disbursing officers, Due to other national banks 1, 355.00 Due to State banks and bankers .. 130,70 1, 528. 36 *| Notes and bills re-discounted 4,379.00 i Bills payable 49, 203.12 1 , 1 2 5 . CO I i Total. ^50, 0C457~j 256, 064. 57 Abilene National Bank, Abilene. No. 3777. C. II. BARKER, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation . . . U. S. bonds to secure deposits IT. S. bonds on hand •. Stocks, securities, judgments, e t c . : Duo from approved reserve agents. Duo from other national banks j. Due from State banks and bankers, j . Bank'g-house, furniture, andfixtures. Other real estate and rnortg's owned' Current expenses and taxes paid...' Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house :. Bills of other national banks i Fractional currency, nickels, cents. Specio Legal-tender notes IT. S. certificates of deposit •. Redemption fund with Treas. U. S.! Due from Treasurer!!. S j. Total. E. D. HUMPHREY, Cashier. $208, 799.46 ; I Capital stock paid in 3, 89). 79 h 37,500.00 i; Surplus fund Undivided profits $ 150, 000.00 5,056. 00 j National-bank notes outstanding-. 10, 698. 8i |j State-bank notes outstanding ! I Dividends unpaid '•. 1,630.58 !i 3, 882. 07 '. Individual deposits 71.45 ii United States deposits 9, 500.00 i Deposits of U.S. disbursing officers. 3,654.09 ' • ; i Due to other national banks 500. 00 I Due to State banks and bankers 143.08 i 2,935. 80 I i Notes and bills re-discounted 1, 765. 00 ij Bills payable 4,100.00 468. 85 33,750.00 80. 50 77,102. 68 2,540.35 23, 672. 28 1,687.50 ' Total. 291,714.66 ; 291, 714. 66 First National Bank, Alma. JOHN F . LIMERICK, President. Loans and discounts Overdrafts , U. S. bonds to secure circulation . . . U. S.bonds to secure deposits U. S. bonds on hand ....'• Stocks, securities, judgments, e t c . . j Duo from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned . . Current expenses and taxes p a i d . . . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house [ Bills of other national banks Fractional currency, nickels, cents.; Specie } Legal tender notes ' U. S. certificates of deposit ; Redemption fund with Treas. U. S. Due from Treasurer U. S . Total. No. 3769. $75, G9 L. 75 MAUY LIMERICK, Assistant Capital stock paid in . Surplus fund Undivided profits 18, 750.00 National-bank notes outstanding -. • State-bank notes outstanding 287.24 390.91 14, 000. 00 1,603.77 91.07 16, 875. 00 Dividends unpaid. Individual deposits .* j ! | United State? deposits 971.40 ; Deposits of U.S.disbursingonicers 15. 00 22. 99 I 2,109.00 : 590. 00 Cashier. $75, 000.00 20,102. 20 Due to other national banks . Due to State banks and bankers .. i Notes and bills re-discounted . Bills payable 843. 75 ! .113,672.04 I Total. 113.672.04 932 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Anthony. Xo. 3385. S. A. DARUOUGH, President. W. L. MOYEK, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc - Due from approved reserve agents Duo from other national banks Due from State, banks and bankers. Bank'g-house4ur»iture, and fixtures Other real estate and rnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash il ems Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $143, 717.02 Capital stock paid in Undivided profits 320. 50 15,120.51 8,912.44 ] 94. 53 12, 200. 00 4, 9G3. 55 645.01 814.24 639. 00 24. 02 4, 437.10 4, 000. 00 $100,000.00 12, 500. 00 7, 308. 88 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits -United States deposits | Deposits of U.S. disbursing officers - 74, 648.25 Due to other national banks Due to State banks and bankers.. 3, 830. 36 1,331.43 Notes and bills re-discounted. Bills payable 1,125. 00 222,118.92 Total. j ! j 25,"o66."66" j Surplus fund 222,118.92 Total. Anthony National Bank, Anthony. P . ANDEKSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securitiesjudgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Xo. 3394. $65, 939. 36 178. 73 12, 500. 00 14, 012. 91 3,808.08 " i,"715.06 5, 300. 00 632. 70 659. 38 407. 73 535.00 28. 30 2, 632.15 5, 004. 00 $50, 000. 00 Surplus fund Undivided profits " 1,263.09 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. 51,402. 75 Due to other national banks Due to State banks and bankers. .Notes and bills re-discounted . Bills payable 562.50 113,915.84 Total. F. M. ANDERSON, Cashier. Capital stock paid in Total. 113,915. 84 Harper County National Bank, Anthony. L. C. BIDWELL. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on band Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with TreavS. U. S. Due from Treasurer U. S Total., No. 3384. $49, 558. 82 18.11 12, 500. 00 27,005.32 1, 061.12 16, 537.49 627. 75 C. D. ORGAN, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 290.26 2, 500.00 1, 274.56 10, 750.00 Dividends unpaid Individual deposits United States deposits """706." 66' DepositsofU.S.disbursing officers. 2, 245.00 29.08 5, 309.80 2, 500.00 $50, 000. 00 54, 420. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 562.50 118, 945.25 Total. 118, 945.2 69 REPORT OF THE COMPTROLLER OF THE CURRENCY. 933 KANSAS. First National Bank, Arkansas City. WILLIAM M. SLEETH, President. No. 3360. H. P. FARRAR, Cashier. Resources. Liabilities. Loans and discounts i Overdrafts : II. S. bonds to secure circulation...! IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national hanks . . . . Due from State banks and bankers. Bank'g-house.furniture,and fixtures Otherreal estate and ruoi/tg's owned . Current expenses and taxes paid... Premiums on U. S. bonds j Checks and other cash items Exchanges for clearing-house Bills of ot her national banks I Fractional currency, nickels, cents Specie Legal-tender notes i U. S. certificates of deposit — Redemption fund with Treas. U. S. Due from Treasurer U. S $562, 450. 03 10,191. 63 31, 250. 00 50, 000. 00 "29,350." 00' 45,211. 19 47, 145. 93 32, 256. 69 26, 000. 00 """ 4,357.45 19,226.25 16,726.54 13, 378.00 67. 73 48, 925.50 30, 000. 00 Surplus fund. Undivided profits 25,000.00 77, 449. 91 National-bank notes outstanding. State-bank notes outstanding 28,120.00 Dividends unpaid | Individual deposits United States deposits Deposits of U.S.di.sbursing officers. i Due to other national banks • Due to State banks and bankers... 1 632, 080.84 29, 278.45 20, 471. 24 16, 977.13 14,940.97 Notes and bills re-discounted . Bills payable 1, 406. 00 1, 375. 60 Total . 169, 318. 54 Total . $125, 000. 00 Capital stock paid in 969, 318.54 American National Bank, Arkansas City. F. II. TIIWING, President. No. 3992. I Loans and discounts . Overdrafts. U. S. bonds to secure circulation U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clear ing-house Bills of other national banks j Fractional currency, nickels, cents. j Specie Legal-tender notes ' U. S. certificates of deposit ... Redemption fund with Treas. TJ. S . j Due from Treasurer U. S Total. $330, 287. 52 15, 530. 28 25,000.00 54,133. 84 9, 691. 03 12, 773. 05 .90 1,375.00 6, 380.13 25, 277. 00 21. 17 8, 610.00 20, 350. 00 1,125.00 HARRY LAMSON, Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding Dividends unpaid 22, 500.00 4, 000.00 Individual deposi ts United States deposits 347,137. 08 Deposits of U.S.disbursing officersDue to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 510,554.92 6, 000. 00 1,122. 36 Total . 1, 295. 48 22, 500. 00 6, 000. 00 510, 554. 92 First National Bank, Ashland. O. C. EWABT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks,securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Totai . No. 3710. $58,143.24 642. 89 12, 500.00 11,565.10 5, 498.40 2, 320.14 GEO. THEIS, J R . , Cashier. Capital stock paid in. Surplus fund , Undivided profits J National-bank notes outstanding... State-bank notes outstanding $50, 000. 00 8, 500.00 2, 891. 98 11, 250. 00 Dividends unpaid. 3,826.13 2, 203.40 1, 562. 54 500.00 560.41 5, 020.00 136. 51 4, 320. 30 2, 225. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 38, 944. 58 Due to other national banks Due to State banks and bankers ..j Notes and bills re-discounted . Bills payable 562. 50 111, 586. 56 Total. 111,586.56 934 REPORT OF THE COMPTROLLER OK THE CURRENCY. KANSAS. First National Bank, Atchison. No. 1672. DAVID AULU, President. J . T. COPLAN, Cashier. Liabilities. Resources. Loans and discounts | Overdrafts ! U. S. bonds to secure circulation... U. S. bonds to secure deposits ; U. S. bonds on Hand . Stocks, securities,judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso, furnituro,and fixtures1 Other real estate and mortg's owned . Current expenses and taxes paid .. Premiums on IT. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other natioual banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $271, 311. 66 Capital stock paid in 9,536.15 i: 80,000.00 ji Surplus fund Undivided profits 39, 757. 53 National-bank notes outstanding.. J82.971.74 State-bank notes outstanding 9,405.71 ! 48i.9o; Dividends unpaid 9,683.67 i Individual deposits 2,"7L1."«8 i United States deposits 1,794.58 i Deposits of U. S. disbursing officers 4,430.07 I Due to other national banks 21,100.00 :: Due to State banks and bankers .. 2.20 37,250.00 I Notes and bills re-discounted 20,000.00 j Bills payable 20, 000. 00 83, 295. 75 72, 000. 00 411, 731. 45 3, 512. 68 3,577.01 3, 600.00 20.00 | 694,116. 89 Total. $100, 000.00 Total. 694,116.89 Atchison National Bank, Atchison. No. 2082. C. J . DRURY, President. M. BAUKATT, Cashier. Loans and discounts $122,657.20 ! Capital stock paid in. i Overdrafts 6,784.11 U. S. bonds to secure circulation... 50, 000.00 Surplusfund U. S. bonds to secure deposits Undivided profits U. S. bonds on hand 100.00 Stocks, securities, judgments, etc.. 15,850.00 l'1 National-bank notes outstanding-. Due from approved reserve agents. 28,913.96 State-bank notes outstanding . . . . . Duo from other national banks 19,798.14 Due from. State banks and bankers Dividends unpaid Bauk'g house, furniture,aud fixtures 3, 511. 75 Other real estate and mortg's owned ! 1 Individual deposits Current expenses and taxes paid .., 3, 909. 28 ; • United States deposits Premiums on U. S. bond3 1, 025.00 ; j Deposits of U.S. disbursing officers. Checks and other cash items 5, 516. 33 Exchanges for clearing-house Due to other national banks.. : Bills of other national banks 12, 989.00 Due to State banks and bankers .. Fractional currency, nickels, cents .' 5.29 Specie 8, 509.00 j Notes and bills re-discounted . Legal-tender notes 9, 500. 00 Bills payable t U. Is. certificates of deposit Redemption fund with Treas. TJ. S. j 2, 250.00 i Due from Treasurer U. S : Total. 291,319.06 ! $50, 000. 00 18,000.00 0, 289.27 45, 000. 00 167, 592. 36 4,437.43 291,319.06 Total. Exchange National Bank, Atchison. W. HETHERINGTON, President No. 2758. W. W. HETHERINGTOX, Cashier. Loans and discounts $330, 880. 80 •, Capital stock paid in $100, 000.00 Overdrafts 4,413.03 U. S. bonds to secure circulation... 25,000.00 Surplusfund 20,000. 00 TJ. S. bonds to secure deposits 9, 632.66 Undivided profits. U. S. bonds on hand i Stocks, securities, j udgments, e t c . . 15, 511.05 National-bank notes outstanding.. 22, 500. 00 Due from approved reserve agents 89, 790. 33 State-bank notes outstanding j Due from other national banks . . . 38,194.72 Due from State banks and bankers. 15, 936. 59 j Dividends unpaid Bank'g-house,furniture.and fixtures 5,000.00 ' Other real estate and raortg's owned 3, 521.15 ! I Individual deposits 445,136. 25 Current expenses and taxes paid... 4, 091. 31 j 1 United States deposits . Premiums on U. S. bonds j 3,156.25 | Deposits of U. S. disbursing officers. j . Checks and other cash items 4,092. 93 Exchanges for clearing-house i I Due to other national banks j 1, 879. 20 Bills of other nationalbanks 15,193.00 ! Due to State banks and bankers .. 837.30 r . Fractional currency, nickels, cents . 9. 99 Specie ." 29,624.60 ! Notes and bills re-discounted. Legal-tender notes 15, 000. 00 i Bills payable TJ. S. certificates of deposit : Redemption fund with Treas. U. S. • 569. 66 Due from Treasurer U. S Total. 599, 985.41 Total. i9, 985. 41 REPORT OF THE COMPTROLLER OF THE CURRENCY. 935 KASTS \ S . United States National Bank, Atchison. G. STORCH, Xo. President. L. A. WIIKELEU, Cashier. Resources. Liabilities, Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, e t c . Duo from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and lixtures Other real estate and mortg's owned j Current expenses and taxes p a i d . . . j Premiums ou U. S. bonds | Checks and other cash items ! Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S $330, 273. 80 i, Capital stock paid in 5,299.98 50, 000.00 ij Surplus fund j I Undivided profits 12, 750. 00 6, 538. 94 1, 585. 27 1, 98!). 55 7, 000.00 3, 700.00 2,913.65 12, 875.00 2, 519.39 $250, 000. 00 ' 6, 681. 28 !j Xational-bank notes outstanding-. ; State-bank notes outstanding 45, 000. 00 ' \ j Dividends unpaid i i Individual deposits United States deposits Deposits of U.S. disbursing olficers Due to other national banks ; 4,111.00 Due to State banks and bankers . . ! 44. C O 12,842. 35 Xotes and bills re-discounted j 4, 000. 00 Bills payable I 126, 525. 86 1,021.10 6, 465. 29 25, 000. 00 2, 250. 00 460, 693. 53 Total. | Total. 460, 693. 53 First National Bank, Belleville. Xo. 3386. G-. S. SIMOXDS, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... IJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-ho use, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes j U. S. certificates of deposit i Redemption fund with Treas. TJ. S.j Due from Treasurer TJ. S Total. $67, 550.62 1, 880.10 12, 500. 00 250. 00 2,19J. OS 105. 02 J . P . STUTESMAN, Cashier. $50, 000. 00 Capital stock paid i n . 3, 500. 00 2,131.04 Surplus fund Undivided profits Xational-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid *2O,"C49."38" 2,521.48" 1, 000.00 590.92 360.00 11.79 595. 00 3, 500. 00 Individual deposits United States deposits I Deposits of U.S. disbursing officers'.' 37, 981.19 Due to other national banks Due to State banks and bankers . . Xotes and bills re-discounted Bills payable 9, 407. 75 562.50 ! Total. 114,269.98 || 114, 269. 98 First National Bank, Beloit. MBLVIN S. ATWOOD, President. Xo. 3231. Loans and discounts ' $114, 525.75 Overdrafts '< 1, 035. 63 U. S. bonds to secilre circulation...' 12, 500. 00 U. S. bonds to secure deposits ! U. S. bonds on hand \ Stocks, securities, judgments, etc..: Due from approved reserve agents.; 20,366. 22 Diw from other national banks i Due from State banks and bankers. Bank'g-house, furniture,and fixtures, 13, 895.41 Other real estateand mortg'sovmedj 7, 731. 93 Current expenses and taxes p a i d . . . ; 2,010. 82 Premiums on U. S. bonds 937.00 ; Checks and other cash items i 993.43 Exchanges for clearing-house : • Bills of other national banks ; 2, 225.00 Fractional currency, nickels, cents. | 205.11 Specie i 5, 960. 45 Legal-tender notes j 7,070.00 U. S. certificates of deposit j Redemption fund with Treas. U. S .! 562.50 Duo from Treasurer U. S Total. 190, 019. 25 H. A. Capital stock paid in i'o, Cashier. $50, 000. 00 Surplus fund Undivided profits 20, 000. 00 2, 965. 63 Xational-bank notes outstanding..i State-bank notes outstanding . . ' 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 105,803,62 Due to other national banks Due to State banks and bankers . Xotes and bills re-discounted. Bills payable Total . 190, 019.25 936 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Burlingame. A. M. MINER, Cashier. No. 4040. C. M. SHELDON, President. Liabilities. Resources. Loans and discounts Overdrafts U S, bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Dae from approveol reserve agents Due from other national b a n k s Due from Stato banks and bankers Bank'g-house, furniture, and fixtures Oi her real estato and niortg's owned C u r r e n t expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . D u e from Treasurer U. S 126,727.79 384. 30 18, 750. 00 13, 042.84 7, 2r>8. 92 1, 045.73 5, 997.34 1, 487. 28 5, 574. 68 95.00 5, 955.28 4,102.00 Surplus fund Undivided profits . National-bank notes outstandingState-bank notes outstanding 4, 912.06 16, 870. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers 94,482. 60 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 843. 50 191,264.66 Total. $75, 000. 00 Capital stock paid in. 191, 264.66 Total. Burlington National Bank, Burlington. H. L. JARBOE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks J Due from State banks and bankers. I Bank 'g-house, furniture, and fisture Other real estate and mortg's owned Current expenses and taxes paid... Premiums on D. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Capital stock paid in. $125, 000.00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes* outstanding 13,810.89 12,189.42 551.43 10, 529. 16 Dividends unpaid. 4, 836.54 19, 610.56 Individual deposits 2, 366. 57 United States deposits 5, 000. 00 Deposits of U.S. disbursing officers. 1, 709. 74 Due to other national banks 17, 720.00 Due to State banks and bankers .. 25.35 13, 220. 00 Notes and bills re-discounted. 5, 000.00 Bills payable 15, 000. 00 9, 312.00 28,125. 00 129, 873. 41 «2, 038. 59 1, 406.25 309, 349.00 Total. C. H . R A C E , Cashier. No. 1979. $169, 211.21 911.88 31, 250.00 309, 349.00 Total. People's National Bank, Burlington. WARREN CRANDALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks.' Du£ from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. T. W. FOSTER, Cashier. No. 3170. $178,710.51 911. 20 25, 000.00 3,700.00 44, 496. 87 430.31 235.15 3, 250.00 I, 666. 67 7,375. 00 1,747.66 18, 968. 00 85.86 12, 428. 75 10, 000.00 Capital stock paid in Surplus fund 1 Undivided profits National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 11, 500.00 11, 271. 91 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 164,859.07 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 1,125. 00 310,130.98 Total. 310,130. 98 REPORT OF THE COMPTROLLER OF THE CURRENCY. 937 KANSAS. First National Bank, Burr Oak. JAMES B. WILBUR, President. A. A. JOHNSTON, Cashier. No. 3880. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Duo from other national banks . Duo from State banks and bankers. J Bank'g-house, furniture, an (Mixtures: Other real estate and mortg's owned! Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house , Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $48, 566. 84 866.02 12, 500. 00 Capital stock paid in. 1, 000.00 1,797.34 11,250.00 National-bank notes outstanding State-bank notes outstanding . . . Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursingofticers. 565. 00 82.20 1,011.00 1, 750. 00 17, 295,39 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562. 50 81, 342. 73 Total $50, 000. 00 Surplus fund Undivided profits. 81, 342. 73 Total . First National Bank, Caldwell. S. P . Gr. LEWIS, President. No. 3658. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures. Other real estate and inortg's owned1 Current expenses and taxes paid... I Premiums on U. S. bonds i Checks and other cash items Exchanges for clearing-house Bills ofiother national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $50, 000. 00 800. 00 2, 842.16 11, 250. 00 13,129.49 562.50 Total. 128, 021. 65 Total. T . E . N E A L , Cashier. $70, 828. 70 | Capital stock paid in 1,190.49 12, 500.00 I Surplus fund Undivided profits National-bank notes outstanding.. 13, 665.81 State-bank notes outstanding 13,486.05 899.48 Dividends unpaid 1, 500. 00 Individual deposits "i,'072.'3T United States deposits 437. 53 Deposits of U.S. disbursing officers. 313.80 Due to other national banks "2,*73L06' Dne to State banks and bankers . . 148.03 685.95 | Notes and bills re-discounted. 8, 000.00 Bills payable 128, 021.65 First National Bank, Centralia. A. J . BEST, President. Loans and discounts Overdrafts. U. S. bonds to seenro circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ' Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. A. OBERNDOKF, J R . , Cashier. No. 3824. $74, 605. 30 2, 076.41 12, 500.00 5, 095. 71 5,050.00 627. 23 2, 875.00 21.78 590. 00 43.32 1, 539. 65 550. 00 Capital stock paid in. $50,000.00 Surplus fund Undivided profits. 905. 09 2,136.38 National-bank notes outstanding-. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 11, 250. 00 32, 845. 43 9,000.00 562.50 106,136.90 Total. 106,136.90 938 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Chanute. R. L. NAY, Cashier. No.'3319. R. X. ALLEN, President. I: Resources. Loans and discounts j Overdrafts i U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand i Stocks, securities, judgments, e t c . ! Duo from approved reserve agents.: Due from other national brinks i Due from State banks and bankers Bank'g-house, furniture, and fixtures' Other real estate and m o r t i s owneu'i Current expenses and taxes paid .. j Premiums on U. S. bonds i Checks and other cash items Exchanges for clearing-house BJIIS of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasure r U . S Total i Liabilities. $57,187. 33 i Capital stock paid in j 450. 76 12, 500.00 | Surplus fund i Undivided profits j National-bank notes outstanding 3,867.40 State-bank notes outstanding-.. 2,324.17 i! Dividends unpaid. 14,882.32 ! Individual deposits | 1,008.03 ! | United States deposits ! j 786.08 ' Deposits of U. S. disbursing officers. 292.86 Due to other national banks 1, 000. 00 Due to State banks and bankers. 74.08 3. 919. 70 Notes and bills re-discounted . . . 0, 000.00 Bills payable $50, 000. 00 1, 300.00 2, 768.67 11, 250.00 40, 037.16 562.50 ' 500.00 105, 355. 83 , 105, 355. 83 Total . Chanute National Bank, Chanute. No. 4036. G-. W. JOHNSTON, President. Loans and discounts Overdrafts •. U. S. bonds to secure circulation -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Duo from other national banks . . . Due from State banks and bankers. Bank'gh.ouse,furuiture,andfixturesi Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. J . O. JOHNSTON, Cashier. Capital stock paid in . Surplus fund . Undivided profits. $48, 000.00 2,853.21 National-bank notes outstanding-. j State-bank notes outstanding ;. 13J 500. 00 Dividends unpaid. Individual deposits j United States deposits j. Deposits of U.S.disbursing officers, j . 1,050.00 100.31 684. 65 3, 200. 00 45, 778. 06 Due to other national banks i Due to State banks and bankers .. 1. Notes and bills re-discounted. Bills payable 1, 842. 22 675.00 Total . 111,973.49 Ill, 973. 49 First National Bank, Cherry Vale. CHATHAM T. EWING, President, Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc ... Due from, approved reserve agents.; Due from other national banks Due from State banks and bankers. ! Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current oxpenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie \ Legal-tender notes ; U. S. certificates of deposit '• Redemption fund with Treas. U. S . Due from Treasurer U. S Total . CfiAS. A.MITCHKLL, Cashier. No. 3277. $75,034.35 Capital stock paid in 3, 503. 07 12, 500.00 ; Surplus fund $50, 000. 00 7, 000.00 2, 210.60 Undivided profits 43.70 National-bank notes outstanding.. 2,112. 70 I State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits 1,003. 50 United States deposits 500.00 Deposits of U.S. disbursing officers 37, 738.54 928. 74 2.549.85 9, 000.00 108. 21 179.00 41.38 1,663.67 1, 750. 00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 24.00 3.47 468. 61 2, 785. 45 562. 50 111,480.67 I Total. 111, 480. 67 REPORT OF TUK C!OMPTROr,I,KR OF THE CURRENCY. 339 KANSAS. First National Bank, Clay Centre. D. H. MYERS, President. M. S. TOUSEY, Cashier. No. .'{072. Resources. Liabilities. Loans and discounts Overdrafts ; XT. S. bonds to secure circulation... U. S. bonds to secure deposits XT. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Duo from other national ban ks Due from State banks and bankers., Bauk'g-house,furniture,and fixtures' Other real estate a ud mortg's owned Current expenses and taxes paid... Premiums on U". S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Lega l-teuder notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. j Due from Treasurer TJ. S ' Total. $85, 733. 50 j Capital stock paid in 3,077.01 12, 500. 00 ! Surplus fund Undivided profits 2,196. 04 i National-banknotes outstanding. (I, 333. 20 State-bank notes outstanding. . . . 698. G3 6, 407. 02 Dividends unpaid. 3, 069. 35 2, 954.11 Individual deposits 959. 30 United States deposits 3,425 91 Depositsof U.S.disbursing officers, i 504, 43 Due to other national banks 6, G23. 00 Due to State banks and bankers . . 44.40 1, 902. 55 Notes and bills re-discounted . 5, 000.00 Bills payable $50, 000.00 4, 751.11 1, 866. 52 11, 250. 00 73, 356. 33 768.14 .05 502. 50 141,992.15 j; 141, 992.15 Total.. People's National Bank, Clay Centre. L. MCCMESNEY, President No. 3345. Loans and discounts I Overdrafts i TJ. S. bonds to secure circulation... j U. S. bonds to secure deposits. j IT. S. bonds on hand ! Stocks, securities, j udgineuts, etc.. | Due from approved reserve agents. j Due from other national banks j Due from State banks and bankers. I Bank'g-house,furniture,and fixtures' Other real estate and mortg's owned! Current expenses and taxes y>aid... \ Premiums on IT. S. bonds ! Checks and other cash items ; Exchanges for clearing-house j Bills of other national bauks j Fractional currency, nickels, cents. j Specie ". ' Legal-tender notes j U. S. certificates of deposit .... . i Redemption fund with Treas. TJ. S. \ Due from Treasurer U. S j Total. $68, 576. 59 356.80 12, 500.00 F. H. HEAD, Cashier. Capital stock paid in. $50,000. 00 5, 980. 00 2, 403. 22 Surplus fund Undivided profits 11, 250. 00 60.47 16, 262. 34 847. 91 National-bank notes outstanding. State-bank notes outstanding.... J, 552.84. 2, 247.30 1, 162.43 3, G25. 93 070. 84 Individual deposits United States deposits Depositsof U.S. disbursing officers 49, 285. 60 3,115.00 20, 01 2, 439. 80 5, 000. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 81.94 Dividends unpaid 502. 50 119, 000. 76 119, 000. 76 Total. First National Bank, Clyde. W. S. CRUMP, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits j TJ. S. bonds on hand Stocks, securities, judgments, etc .., Due from approved reserve agents. \ Due from other national banks ' Due from State banks and bankers. j Bank'g-house,furniture,and fixtures; Other real estate and mortg's owned I Current expenses and taxes paid... j Premiumson U.S.bonds I Checks and other cash items I Exchanges for clearing-house !. Bills of other national banks j Fractional currency, nickels, cents.. Legal-tender notes i U. S. certificates of deposit I Redemption fund with Treas. U. S. \ Due from Treasurer U. S j Total. N. B. NUTT, Jji., Cashier: No. 3115. $92,465. 54 !| Capital stock paid in. 1, 751.47 12, 500. 00 Surplus fund Undivided profits. National-bank notes outstanding..; 1, 890.66 State-bank notes outstanding.. 8. 250,00 3, 509. 79 3,000.00 $50, 000. 00 10, 000. 00 2, 020. 43 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. | 50, 954.49 i 917.00 26. 56 1, 740. 00 4, 000. 00 Due to other national banks . Due to State banks and bankers Notes and bills re-discounted Bills payable 466. 35 5, 922. 25 502. 50 — 130,013.52 || Total. 130, 613.52 940 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Coffeyville. No. 3324. THOMAS G-. AYUKS, President. THOS. SCUBB, J K . , Cashier. Liabilities. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . TJ. S. bonds to secure deposits j U. S. bonds on hand i Stocks, securities, judgments, etc ..I Due from approved reserve agents.' Due from other national banks Due from State banks and bankers. ; Bank'g-house, furniture, and fixtures; Other real estate and mortg'sowned Current expenses and taxes paid... i Premiums on U. S. bonds j Checks and other cash items ! Exchanges for clearing-house I Bills of other national banks I Fractional currency, nickels, cents . Specie ". Legal-tender notes TJ. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer TJ. S $85, 268. 33. 3, 004.1)9 12, 50U. 00 390.10 22,718.73 69. 62 2, 186. 80 5, 000. 00 6,327.17 1,194. 37 2, 500. 00 324. 91 5, 085. 00 94.46 2, 516. 05 13, 000. 00 4, 000.00 3, 482. 44 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 11,250.00 I Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers 84.00 93, 926. 68 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562.50 | 162, 743.12 Total., 162,743.12 i | Total. $50, 000. 00 Cax>ital stock paid in. First National Bank, Cold water. Wai. D. WEILER, Cashier. No. 3703. E. HENDERSON, President. Loans and discounts i Overdrafts ' TJ. S. bonds to secure circulation... j U. S. bonds to secure deposits | U. S. bonds on hand I Stocks, securities, judgments, etc .. i Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures' Other real estato and mortg's owned! Current expenses and taxes paid... | Premiums on U. S. bonds..: j Checks and other cash items i Exchanges for clearing-house j Bills of other national banks j Fractional currency, nickels, cents Specie ". Legal-tender notes TJ. S. certificates of deposit Kedemption fund with Treas. U. S. I Due from Treasurer TJ. S $45, 286.80 768.59 13, 000.00 Surplus fund Undivided profits ! National-bank notes outstanding.. 5, 478.28 i State-bank notes outstanding 17, 038.12 Dividends unpaid . 14, 374. 65 Individual deposits 3 500 00 United States deposits 701 38 Depositsof U.S.disbursing officers. 1, 040 00 500. 00 1, 521. 06 11, 700.00 44,125.15 611 15 2, 250.00 39.99 1, 907.25 3, 265.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable -585.00 109, 846.21 Total.. $52, 000. 00 Capital stock paid in. 109, 846. 21 Total. First National Bank, Concordia. F. J. ATYVOOD, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-houso, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Kedemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. W. "VV. BOWMAX, Cashier. No. 3066. $207, 685. 05 4,701.70 25, 000.00 Capital stock paid in Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 30, 000. 00 4, 987. 79 21,500.00 Dividends unnaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 78,145.57 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 272, 235. 24 Total 10,101.88 27, 500.00 272, 235. 24 REPORT OF THE COMPTROLLER OF THE CURRENCY. 941 KANSAS. Citizens' National Bank, Concordia. W. W. CALDWELL, President. No. 3748. J . W. PETEHSON, Cashier. Liabilities. Resources. Loansanddiscounts -. Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits | II. S. bonds on hand j Stocks, securities, judgments, etc ..: Due from approved reserve agents. '• Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andiixtures !1 Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house B.ils of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Die from Treasurer TJ. S Total. $130,417.20 t\ 901.75 25, 000. 00 1, 050. 40 4, 702.33 Capital stock paid in.. $100, 000. 00 Surplus fund Undivided profits 11, 000.00 3. 040.11 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 287. 00 Dividends unpaid. 31,300. G4 Individual deposits 2, 040. 51 United States deposits 1, 875. 00 Depositsof U.S. disbursing officers. 31, 798. 93 788. 01 570. 00 242. 53 1,680.15 1, 500. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 2, 580. 08 13, 762.40 25, 000. 00 1,125.00 Total 209, 681. 52 209, 681. 52 Chase County National Bank, Cottonwood Falls. A. S. HOWARD, President No. 2764. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Duo from other nat ional banks Due from State banks and bankers Bank'g-house, furniture, andfixturos Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total $109, 297. 55 3, 690.90 12, 500. 00 26, 320.71 32,271.28 W. W. SAXDBRB, Cashier. Capital stock paid in $50, 000.00 Surplus fund Undivided profits 11, 730.00 6, 413.86 National-bank notes outstanding., State-bank notes outstanding 11,250. 00 Dividends unpaid 4, 500. 66 7, 600. 00 3, 083. 29 309.54 1, 570. 00 13.94 3,881.7* 5, 880.00 Individual deposits United States deposits ' Depositsof U.S.disbui-sing officers. 132,087. 55 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 562. 50 Total 211,481.41 211,481.41 First National Bank, Dighton. J. W. RUSH, President. Loans and discounts | Overdrafts | U. S. bonds to secure circulation... I U S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Duo from other national banks Pne from. State banks and bankers. Bank'g-house,filrniture, and fixtures < >ther real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items j Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit j Redemption fund with Treas. U. S. I Due from Treasurer U. S Total. O. A. KlNNEY, Ju., Cashier. No. 3888. $43,062. 58 Capital stock paid in. 73. 57 12, 500. 00 Surplus fund Undivided profits . 3,804.11 4,425. 00 National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 1,000. 00 2, 589. 03 11,240.00 Dividends unpaid "l4,"986."5i" 882.41 1,444.43 1,865.00 37. 30 2, 576. 90 1, 725. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 22, 968.97 146. 81 562.00 87, 944.81 Total . 87,944. 81 942 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Dodge City. No. 3596. A. T. SOULE, President. R. TV. EVANS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts II. S. bonds to secure circulation .. II. S. bonds to secure deposits U. .S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents Due from other national banks. Due from State banks and bankers Bank^-houso,furniture,and fixtures Other real estate and mortg's owned C urrent expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. . . . . Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $42,212.11 j Capital stock paid in. 1, 633.47 12, 500. 00 Surplus fund Undivided profits. 8, 729.19 I National-bank notes outstanding..' 53, 219. 43 State-bank notes outstanding 8,172. 70 100. 97 Dividends unpaid . 21, 500. 00 I Individual deposits ! United States deposits 3, 375. 00 Deposits df U.S. disbursing officers1, 274.09 Due to other national banks 2, 285.00 i Due to State banks and bankers ..; 32.22 4,163. 70 Notes and bills re-discounted. 4,000.00 Bills payable $50, 000. 00 16, 000. 00 4,113.95 10, 750.00 82,039.15 . 857. 28 562.50 Total. 163, 760.38 163, 760. 38 First National Bank, Downs. JOHN HALL, No. 3569. President. Loans and discounts Overdrafts IT. 8. bonds to secure circulation... IT. S. bonds to secure deposits . . , . . U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks \ Due from State banks and bankers, j. Bank'g-house,furniture,and fixtures] Other real estate andmortg's owned Current expenses and taxes paid Premiums on. U. S. bonds. Checks and other cash terns I Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S Due from Treasurer U. S Total. C. J . SARGENT, Cashier. $94,422.99 ; | Capital stock paid in 462.54 !i 12,500.00 || Surplusfund !j Undivided profits 2,246.37 i 10, 935. 58 i 2,860.82 | 1 I ! I '•• National-bank notes outstanding.. State-bank notes outstanding ; 7,000.00 361.33 11, 250. 00 Dividends unpaid ~ 33," 350." 43 "i 23,758.02 ! Individual deposits 1,410. 43 : United States deposits ! 2,835.95 ! j Deposits of U.S. disbursing officers.! 181.40 ! 115.00 I 26.28 ; 4,130. 61 i 1, 609. 00 $50, 000.00 Due to other national banks : Due to State banks and bankers -. ] Notes and bills re-discounted ; Bills payable 100, 337. 63 500.00 1, 959.00 ""562." 50*! Total. 171,407.96 171,407. 96 Exchange National Bank, El Dorado. A. L. REDDEN, President. Loans and discounts I Overdrafts I U. S. bonds to secure circulation... j U. S. bonds to secure deposits U. S. bonds on hand • Stocks, securities, judgments, etc..'< Due from approved reserve agents ! Due from other national banks i Due from State banks and bankers j Bankg-house, furniture, andfixtures; Other real estate and mortg's owned Current expenses and taxes paid...! Premiums on U. S. bonds Checks and other cash items i Exchanges for clearing-house j Bills of other national'banks ; Fractional currency, nickels, cents. | Specie i Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. TJ.S i Due from Treasurer U. S i Total. No. 3213. $212,111.32 220.24 25,000. 00 H. H. GARDNER, Cashier. Capital stock paid in j! Surplus fund ; Undivided profits i National-bank notes outstanding. State-bank notes outstanding 6, 092.14 8,362. 81 1.92 j Dividends unpaid. I 15, 053.1L 4,189. 66 Individual deposits 1, 990.65 United States deposits I 4,125. 00 Depositsof U.S.disbursing officers. | 46.16 Due to other national banks 13, 615.00 Due to State banks and bankers.. 123.42 12, 35t. 00 Notes and bills re-discounted 13,600.00 | Bills payable $100,000.00 1, 760. 00 4, 993. 66 22, 500. 00 177,693. 56 11,060.21 1,125.00 318,007.43 Total. 318,007.43 REPORT OF THE COMPTROLLER OF THE CURRENCY. 943 National Bank, El Dorado. No. 3035. J. W. EOHISOX, President. F . P . GILLESPIK, Cashier. Liabilities. Resources. Loans and discounts $121, 815. 44 Overdrafts 260. U U. S. bonds to secure circulation...' 12, 5U0.00 U. S. bonds to secure deposits : U. S. bonds on hand j Stocks, securities, judgments, etc .. j D ue from approved reserve agents. | 8, 900.49 Due from other national banks : 3, 968. 81 Due from State banks and bankers ! Bank'g-house, furniture,aud(i>:MireM 12, 252. 74 Other real estate and monk's owned 5, 700.00 Current expenses and taxes paid 1, 479. 52 Premiums on U. S. bonds * 504. 07 Checks and other cash items 1, 002. 82 Exchanges for clearing-house Bills of other national ban ks 5, 046. 00 Fractional currency, nickels, cents. 131.06 Specie " 3, 806. 95 Legal-tender notes 5, 000.00 U. S. certificates of deposit Redemption fund with Treas. TJ. 8. 562. 50 Due from Treasurer 17. S Total. Capital stock paid in $50, 000. 00 15, 000.00 . 3, 515. 99 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 11, 245. 00 ! Individual deposits jI United States deposits j Depositsof U.S. disbursing officers | Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 182, 930. 54 98,169. 34 .21 5, 000. 00 182, 930. 54 Total. First National Bank, Ellsworth. A. N . MCLENNAN, No. 3249. President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg r s owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash i terns Exchanges for clearing-house Bills of other national banks Fractionalcurreucy, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redeurption fund with Treas. U. S.. Due from Treasurer U. S r 187, 296. 03 Total. W. F. ToML'Kixs, Cashier. $142, 527.71 ! Capital stock paid in. 1,067.73 12, 500. 00 j Surplus fund | Undivided profits 121. 00 j National-bank notes outstanding.. 11, 069. 68 | State-bank notes outstanding 338.11 25.00 :! Dividends unpaid ,. 10, 000. 00 i I Individual deposits j 1, 373. 14 j; United States deposits j 500.00 j Depositsof U.S. disbursing officers. j . . 339.16 Due to other national banks 1, 046.00 Due to State banks and bankers .. 2,826.00 ! Notes and bills re-discounted 3, 000. 00 I Bills payable *" "562." 50' $50, 000.00 8, 500. 00 4, 221. 01 11, 250. 00 75, 013. 91 39. 61 38, 271. 50 187, 296. 03 Total . Central National Bank, Ellsworth. W. P . WESTFALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg:s owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3447. $115, 330. 89 1, 926. 84 12, 500.00 225. 00 13, 322.19 8, 037.63 2, 550. 52 1, 974. 79 600. 00 198. 80 1,135. 00 93. 76 6, 875. 00 1,150. 00 B. S. "WESTPALL, Cashier. $50, 000. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding-. State-bank notes outstanding Dividends unpaid 10, 000. 00 3, 885. 51 11, 250. 00 ,J Individual deposits United States deposits Deposits of U. S. disbursing officers. 91, 347.41 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562. 50 166, 482. 92 Total . 166, 482.92 944 KEPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Emporia. No. 1915. H. C. CROSS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks ... Due from State banks and bankers Bank' "-bouse, furniture, an (Mixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes 'IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total. C. S. CROSS, Cashier. Liabilities. $533, 122. 91 10, 796. 54 25, 000. 0 J 25, 93C. 02 107, 329. 90 17,150.79 3, 809.40 3, 325. 42 1, 557.13 3, 418. 91 6, 016. 00 324. 56 24, 753. 62 39, 366. 00 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 100, 000. 00 14,194. 89 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursin g officers. 497,185.12 Due to other national banks Due to State banks and bankers... 15,023.44 44,128. 75 Notes and bills re-discounted Bills payable 10, 000. 00 1,125. 00 803, 032. 20 Total. 803, 032. 20 Emporia National Bank, Emporia. No. 1983. C. HOOD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $440, 539. 25 5, 965. 49 25, 000. 00 L. T. HERITAGE, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits 100, 000. 00 19, 887. 46 6, 816. 64 National-bank notes outstanding.. 119, 327. 72 State-bank notes outstanding 17, 714. 59 35, 567. 22 Dividends unpaid. 22, 500.00 Individual deposits United States deposits DepositsofU.S.disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 422, 394. 26 3, 022.48 279.70 1, 393. 54 21, 239. 00 590. 76 21, 272.00 50, 000. 00 47, 231.16 37, 840. 51 1,125.00 749, 853.39 Total. 749, 853. 39 First National Bank, Erie. J . O. JOHNSTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgment?, etc .. Due from approved reserve agents. Due from other national banks ... Due from State banks and bankers. Bank'g-house, furniture, andfixtu res Other real estate and mortg's owned Current expenses and taxes paid ... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total N o . 3963. $46, 264.36 7,117.15 12, 500.00 471. 50 5, 258. 72 2, 073.44 2,704.71 9, 686.05 671.11 671.89 8.89 260.00 (33. 41 268. 50 4, 393.00 W. P. HAZEN, Cashier Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 500. 00 2, 238. 45 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. ;6.78 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 92, 975. •!?, Total. 92,975.23 REPOKT OF THE COMPTROLLER OF THE CURRENCY. 945 KANSAS. First National Bank, Eureka. J. C, NYE, Cashier. N o . 3148. DANIEL BITLER, President. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other natiouaL banks . . . Due from State banks and bankers Bank'g-house, furniture, andfi xtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds, Checks and other cash items Exchanges for clearing-house ... . Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $122, 845. 09 2, 951. 06 17, 500.00 3, 001.03 25,430.91 20, 886. 35 '""8,"570." 66" 1, 376. 14 "i," 036." 36' 3,190.00 10. 05 3, 651. 55 5, 000.00 Capital stock paid in $70, 000. 00 11, 500. 00 6,028.33 15, 750. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. dis bursmg officers 114,004.31 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 787. 50 1, 040.00 217, 282.64 Total. I Surplus fund Undivided profits National-bank notes outstanding-. State-bank notes outstanding ..""-. Total . 217, 282. 64 First National Bank, Fort Scott. No. 1763. W . CHENAULT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks -.. Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S Duo from Treasurer TJ. S $436, 772.84 15, 977. 46 50, 000.00 1,000. 00 11, 121.36 2, 886.03 6, 908. 85 42, 000. 00 4, 150.00 2,43-!. 74 13,812.50 6, 264. 88 $300,000.00 SiirDlus fund Undivided profits | National-bank notes outstanding.. i State-bank notes outstanding ; 5,442.14 27, 200.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers.! Due to other national banks "5,00;). 6o* Due to State banks and bankers 170. 00 11,915. 75 Notes and bills re-discounted . 5, 000.00 Bills payable 280,314. 64 2, 643.25 1, 692.38 1, 360. 00 500.00 617,292.41 Total. J . CHENAULT, Cashier. Capital stock paid in Total . 617, 292. 41 Citizens' National Bank, Fort Scott. C. W. GUU'DLANDEB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. ( Bank'g-house, furniture, andtixturesi Other real estate and mortg's owned1 Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clear ing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total H. Ex. 3- -60 C. H. OSBUN, Cashier. No. 3175. $204, 848. 36 13, 640. 80 25, 00J. 00 1. 597. 50 24, 887. 82 1,426. 72 713. 38 2, 500.00 " 1*198. 27 862. 50 2,181. 74 14, 024. 206. 2, 05S. 16, 000 00 21 31 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $100, 000.00 6, ?50. 00 5,015.94 22, 500. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers 167, 478.55 Due to other national banks Due to State banks and bankers... 7,129. 51 314. 61 Notes and bills re-discounted Bills payable 4,182.00 1,125. 00 312, 870. 61 Total 312, 870.61 946 REPORT OF THE COMPTROLLER OF THE CURRENCY. First National Bank, Frankfort. No. 2800. E. F. RHODES, President. E. T. PECK, Cashier. Liabilities. Resources. Loans and discounts ' Overdrafts U. S. bouds to secure circulation... IT. S. bouds to secure deposits U. S. bonds on hand. Stocks, securities, judgments, e t c . . Due from approved reserve agents., Due from other national banks Due from State banks and bankers. I Bimk'g-lmuse,iurniuire,and fixtures Other real estate and mortg's owned Current expenses an<l i axes paid...; Premiums on U. S, bonds ^ Checks and other cash items ; Exchanges for elearir g-house Bills of other national banks ; Fractional currency, nickels, cents. Specie '. i Legal-tender notes ' U. S. certificates of deposit ; Redemption fund with Treas. TJ. S.; Due from Treasurer TJ. S i Capital stock paid in. $102, 774. 41 2,40", 07 25, 000. 00 0, 4.59. 56 2, 500.02 National-bank notes outstanding.. I State-bank notes outstanding I, 200. (10 7, 404. 75 3,011.44 7, 500. 00 ! 22, 500. 00 Dividends unpaid 5, 820.14 1,278.24 • 1, 310. 04, | Individual deposits United States deposits ! Deposits of U.S.disbursingofiicers. Due to other national banks j Due to State banks and bankers ..; 122. 00 2, 000.00 3, 435.00 07, 558. 35 102.07 Notes and bills re-discounted Bills payable ' i 29, 904. 90 1,125.00 232, 024. 90 Total. $100, 000.00 Surplus fund. Surj! i Undivided profits Total. 232, 024. 90 First National Bank, Fredonia. EUGENE FOLLENSBEE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits \ U. S. bonds on hand Stocks, securities,judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks imd bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items : Exchanges for clearing-house i Bills of other national banks j Fractional currency, nickels, cents. I Specie Legal-tender notes TJ. S. certiticates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S No. 3835. $58,126. 27 644. W 12, 500. 00 17,170.61$ 13, 202. 84 1,500.00 974.12 700.00 125. 02 $50,000.00 : j 2, 250. 00 1, 810. 02 National-bank notes outstanding., j State-bank notes outstanding 7,012.81 | Surplus fund Undivided profits 11, 250. 00 Dividends impaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 2,015.00 17.05 410.00 0,000.00 55, 550. 74 700. 00 502. 50 121,501.36 I Total M. ABERNETHY, Cashier. Capital stock paid in Total. 121, 561. 36 First National Bank, Garden City. C. B. WILKINSON, President. Loans and discounts I Overdrafts U. S. bonds to secure circulation-..! U. S. bonds to secure deposits TJ. S. bonds on hand '. Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and hankers. Bank'g-ho^se,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender nones U. S. certiticates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 3448. JAMES A. PATTON, Cashier. $76, 017. 20 802. 74 32,500.00 75, 000. 00 Capital stock paid in. Surplus fund Undivided profits . 2, 392. 80 National-bank notes outstanding.. 36, 039. 91 State-bank notes outstanding !, HI. », 45: i. , 358. 05. >, 000. Dividends unpaid. Individual deposits i I Un ited States deposits 1 Deposits of U. S.disbursing officers. 1 , 274. 00. ',710. :, 500. |] Due to other national banks ij Due to State banks and bankers .. I Notes and bills re-discounted . j Bills payable $50, 000. 00 10, 000. 00 91. 25 11, 250. 00 52,518.78 (Hi, 247. 79 1,152.21 323.19 36, 230.81 502.50 ji 227,820.03 Total. 227, 820.03 REPORT OF THE COMPTROLLER OF THE CURRENCY. 947 KANSAS. Finney County National Bank, Garden City. No. 3900. A. J . HOISINGTON, President. W. S. SMITH, Cashier. Liabilities. Resources. Loans and discounts \ Overdrafts ! II. S. bonds to secure- circulation - . . . U. S. bonds to secure deposits , U. S. bonds on hand ; Stocks, securities, judgments, etc . . D u e from approved reserve agents Due from other national bank's Due from State banks and b a n k e r s . Bank'g-house, furniture, anduxtures; Other real estate and mortg's owned' C u r r e n t expenses and taxes p a i d . . . ! P r e m i u m s on U. S. bonds j Checks and other cush items j Exchanges for clearing house Bills of other national banks ' Fractional currency, nickels, cents . i Specie ! Legal-tender notes | U . S. certificates of deposit Redemption fund w i t h Treas. U. S . D u e from Treasurer U . S $00, 780. 56 1,011,5(5 18,750.00 8, 010. 35 12, (525. 73 2, 596. 72 7, 500. 00 13, 750. 00 500. 00 7, 390. 63 16, 870. 00 Dividends unpaid . Individual deposits United States deposits 13eposits of LT.S.disbursing officers . 5,202.23 | 4, 054. 5.r 1,058.40 J 41,151.57 Due to other national banks Due to State banks and bankers ... Notes and bills re-discounted Bills payable 275. 00 6.32 2, 850. 28 1, 025. 00 843. 50 500. 00 140, 912.20 Total. $75, 000.00 Capital stock paid i n . Surplus fund Undi vided profits National-bank notes outstanding.. \ State-bank notes outstanding !. Total.. 140, 912.20 First National Bank, Garnett. J O H N R. FOSTER, President. Loans and discounts • Overdrafts j U. S. bonds to secure circulation . . . ; U. S. bonds to secure deposits ; U. S. bonds on hand ' Stocks, securities, judgments, etc ..! Due from approved reserve agents, i Due from other national banks ! Due from State banks and bankers. Bank'g-house,furniture,andnxtures| Other real estate and mortg's owned j Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S • Total. No. 2973. E D . L. FOSTER, Cashier. $178,042.84 ,! Capital stock paid in. 9,732.14 ji 19,000.00 ;! Surplus fund i Undivided profits $75, 000.00 20, 000.00 4, 689. 36 5, 500. 00 ! N a t i o n a l - b a n k n o t e s o u t s t a n d i n g . . 11, 350, 30 jj State-bank notes outstanding 437. 67 !, 10. 354. 55 '. Dividends unpaid 10, 620. 97 i O 237. G |] Individual deposits 2, 596. 41 ' United States deposits 1, 500. 00 i Deposits of U. S. disbursing officers. 5, 863. 39 , 745. 00 6. G, 060. 13, 705. 17,100.00 159, 510. 57 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 313.59 855. 00 276,613.52 Total. 276, 613. 52 Anderson County National Bank, Garnett. JOHN HALL, President. Loans and discounts ! Overdrafts | U. S. bonds to secure circulation . . . i U. S. bonds to secure deposits | U. S. bonds on hand j Stocks, securities, judgments, etc ..! Due from approved reserve agents. j Due from other national banks i Duo from State banks and bankers. j Bank'g-house,furniture,anduxtures! Other real estate and mortg'a owned' Current expenses and taxes paid .. i Premiums on U. S. bonds ! Checks and other cash items Exchanges f:>r clearing-house Bills of ot her national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . j Due from Treasurer U. S ! Total No. 4032. J . H. BEATTY, Cashier. $51,803.67 I Capital stock paid in. 83. 27 12, 500.00 Surplus fund Undivided profits. ;45, 000.00 1, 389. 52 j National-bank notes outstanding.. 407.21 I State-bank notes outstanding 604. 72 2, 698.44 i Dividends unpaid. 1,594. 30 1 ! Individual deposits 841. 53 j United States deposits 3, 687. 50 i| DepositsofU.S.disbursingofficers. Io0. 91 i Due to other national banks 730. 00 j Due to State banks and bankers . 11.61 539. 57 Notes and bills re-discounted . 1, 587. 00 Bills payable 11, 250. 00 20,142.71 5(52.50 ', 782. 23 ; Total I • 77,782.23 948 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Girard. No. 3216. JOHN D. BARKER, President. J. T. LEOXAUD, Cashier. Resources. Liabilities. Loansand discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits ' U. S. bonds on hand j Stocks, securities, judgments, etc..[ Due from appro veil reserve agents.: Due from other national banks I Due from State banks and bankers ; Bank'g-house,furniture,and fixtures; Other real estate and mortg's o>ynedj Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items ! Exchanges for clearing-house | Bills of other national banks j Fractional currency, nickels, cents J Specie | Legal-tender notes J U. S. certificates of deposit. ! Redemption fund with Treas. U. S. Due from Treasurer U. S $111,241.43 Capital stock paid in 1,443. 01 12, 500.00 i Surplus fund • Undivided profits 6,41)0.00 11,806.20 497.80 5,128.75 2, 000. 00 " 1, 206.'85 2, 300. 00 2, 705.69 6, 057. 00 34.00 13, 958. 50 2, 000.00 10, 000.00 7, 8J6. 30 National-bank notes outstanding.! State-bank notes outstanding j 11, 250. 00 Dividends unpaid ' Individual- deposits : United States deposits I Deposits of U.S. disbursing officers, j 100, 825.49 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 562.50 179, 901.79 Total. $50, 000. 00 j | Total . 179,901.79 First National Bank, Great Bend. C. M. "WICKWIRE, Cashier. No. 3363. J. W. RUSH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved resers e agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estatoand mortg's ovyned C irrent expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ.S Due from Treasurer U. S $77, 552.50 I i Capital stock paid in 413.64 I! 12,500.00 I' Surplus fund J i Undivided profits 17, 000.00 2, 426.48 i| National-bank notes outstanding.. 9, 353.02 1 State-bank notes outstanding 1 499.46 i Dividends unpaid 12,698.33 I 472.00 1 Individual deposits 1 256.30 United. States deposits .. ... p 3,100.00 Deposits of U. S disbursi Deposits of U S. disbursing officers 362.63 Due to other national banks i 485.00 Due to State banks and bankers . . ' 17. 58 j 3, 654. 90 Notes and bills re-discounted 5, 230. 00 Bills payable j 11,250.00 36, 435. 00 46.38 5, 000.00 5,000.00 562. 50 Total. 127,157.86 Total.. $50, 000. 00 127, 157.86 First National Bank, Harper. Louis WALTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents.! Due from other national banks j Due from State banks and bankers I Bank'g-house,furniture,aiHl fixtures' Other real estate and mortg's owned Current expenses and taxes paid... j Premiums on U. S. bonds ! Checks and other cash items j Exchanges for clearing-Louse i Bills of other national banks ] Fractional currency, nickels, cents. j Specie Legal-tender notes ! IT. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S Totaf ... No. 3265. $63, 005. 94 1, 000. 48 12, 500.00 442.35 6,641.96 4, 673. 91 8, 500.00 4, 000. 00 839.37 516. 52 285. 55 800.00 49.72 1, 240. 75 6, 319. 00 M. H. NORTON, Cashier. Capital stock paid in Surplus fund Undivided profits $50, 000. 00 ; ' National-bank' notes outstanding.. j State-bank notes outstanding j. Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursingofficers. 5, 000. 00 1, 954.32 11,250.00 j 43,173.73 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 562.50 111,378.05 I Total . Ill, 378.05 BEPORT OF THE COMPTROLLER OP THE CURRENCY. 949 KANSAS. Harper National Bank, Harper. E. 0. Fox, Cashier. No. 3431. JOSEPH MUNGER, President. Resources. Loans and discounts • Overdrafts : U. S. bonds to secure circulation... U. S. bonds to secure deposits U . S . bonds on hand • Stocks, securities, judgments, etc.. j Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid...; Premiums on U. S. bonds j Checks and other cashdtems ' Exchanges for clearing-house Bills of other national banks | Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $53, 276. 96 16. 87 12,500.00 Capital stock paid in j $50, 000. 00 Surplus fund Undivided profits I ! 1, 500. 00 1, 855. 95 National-bank notes outstanding.. State-bank notes outstanding . . 11, 250. 00 Dividends unpaid . 12,113. 17 ! 7,928.88 ;; Individual deposits 912.63 United States deposits 187. 55 Deposits of U.S. disbursing officers 25, 873.27 5, 972. 90 1, 872.50 199. 65 Due to other national banks 925. 00 j Due to State banks and bankers . . 421.00 2, 000. 00 Notes and bills re-discounted Bills payable 562. 50 98, 889. 67 Total. 5, 977. 81 2, 363.99 98, 889.67 Total. First National Bank, Hays City. N o . 3885. ANDREW S. HALL, President. Loans and disc< junts Overdrafts U. S. bonds to secure circulation . . U.S. bonds to secure deposits U S bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Banka-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Le^ral-tender notes U. r.-. certificates of denosit Redemption fund with Treas. U. S. Due from Treasurer U. S $47, 950.47 1,786. 20 12, 500. 00 1, 851. 78 24, 216, 09 4, 569. 62 2, 000. 00 954.18 3, 062. 50 322.86 26"). 66 62. 57 3,843. 40 6, 455.00 M. GL HUNTINGTON, Cashier. Capital stock paid in $50, 000. 00 11, 240.00 National-bank notes outstanding.. State-bank notes outstanding 636. 00 Dividends unpaid 4G, 090. 63 Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . . 334.25 Notes and bills re-discounted 552. 00 Tota) 110, 391. 67 Total 4S2. 07 1, 608. 72 Surplus fund Undivided profits 110, 391.67 First National Bank, Herington. JOHN HALL, President. Loans and discounts ' ; Overdrafts. U. S. bonds to secure circulation .. j U. S. binds to secure deposits !U. S. oonds on hand j. Stocks, securit ies, j udgraenta, etc .. j . Due from approved reserve agents. Due from other national banks Due from State banksaud bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie | Legal-tender notes j U. S. certilicates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S • , Total. No. 4058. F. E. MUNSELL, Cashier. $48,199. 38 i; Capital stock paid i n . 1, 006. 14 :: 12, 500.00 j; Surplus fund 4, 432. 51 3,029.01 2, 032. 10 1, 620.66 Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 2,079.94 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits o f U. S. disbursing officers. 315.00 -s2. 66 1,421.8) 2, 825. 00 $50, 000. 00 j 20, 570. 48 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562.50 83,900.42 ! Total. 33, 900. 42 950 REPORT OF TFIR COMPTROLLER OF TITE CURRENCY. K A .\ S A S . First National Bank, Hiawatha. Cir AS. P. WASTE, Cashier. No. 2589. M. S. SMALLEY, President. Liabilities. Resources. ; Loans and discounts Overdrafts j U. S. bonds to secure circulation...! TJ. S. bonds to secure deposits ; U. S. bonds on hand j Stocks, securities, j udgraents, etc Due from approved reserve agents | Duo from other national banks ! Duo from State banks and bankers. • Bank'g-house, lux uiture, andfi xt ures! Other real estate and mortg's owned j Current expenses and taxes paid...' Premiums on IT. S. bonds Checks and other cash items Exchanges for & earing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender note3 TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. $107,252.12 Capital stock paid in C, 487. Gl 27, 500. 00 S u r p l u s fund j : Undivided profits 7, 200. 8L 239. 80 $110, 000.00 13, 000.00 3, 777. 50 jSTational-bank notes o u t s t a n d i n g . . ! State-bank notes o u t s t a n d i n g ! Dividends u n p a i d ! * 10, 000.00 ! Individual deposits 2, 583. * 4 United States deposits > Deposits of U. S. disbursing officers. 7, 975.00 79.17 40.40 5, 744. 00 4, 525. 00 24, 750. 00 888.00 118, 515. 08 Due to other national banks Due to State banks and bankers . Xotos and bills re-discounted . Bills payable 1, 297. 00 270, 930.58 Total. 270, 930. 58 First National Bank, Hill City. F . S. VEDDER, Cashier. X o . 3758. W. B. THOMPSON, President. Loans and discounts $55, 791.42 :I! Capital stock paid in. j Overdrafts 223.77 U. S. bonds to secure circulation... j 12, 500.00 ; Surplus fund U. S. bonds to secure deposits ' Undivided profits U. S. bonds on hand I Xational-bank notes outstanding.. Stocks, securities, judgments, etc ..' Due from approved reserve agents, i 3, G54.24 State-bank notes outstanding Due from other national banks j Dividends unpaid Due from State banks and bankers. Bank'g-house, furniture, and fixtures 4,014.60 j Other real estate and mortg's owned , Individual deposits Current expenses and taxes paid... \ 874.27 I i United States deposits Premiums on U. S. bonds ' 3,020.1!) ! Deposits of U.S. disbursing officers. I Checks and other cash items 333. 20 Exchanges for clearing-house Due to other national banks Bills of other nationalbanks 2, 325.00 Due to State banks and bankers . Fractional currency, nickels, cents.! h 82 Specie ". \ 3, 294. 25 Notes and bills re-discounted . Legal-tender notes ' 750.00 Bills payable U. S. certificates of deposit Redemption fund with Treas. U. S. I 562. 50 Due from Treasurer U. S Total. 1, 725. 00 4, 214. 02 11, 250. 00 20,156.24 87,345.26 Total. 87,345.20 $50, 000. 00 First National Bank, Holton. THOMAS P . MOORE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house, furniture, andtixturep Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house . . . Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J . P. Mo ORE, Cashier. Xo. 3061. $111,510.89 Capital stock paid i n . 818.47 ! 12,500.00 I Surplus fund Undivided profits National-bank notes outstanding.. 11,6(39.10 State-bank notes outstanding $50, 000. 00 15, 000.00 3, 854.34 11, 250. 00 21, 051.19 Dividends unpaid. 8, 030.20 2, 847. 72 Individual deposits United States deposits Deposits of U. S. disbursing officers 114, 969.63 652.40 3, 694.00 37.44 j 5,650.00 i 16, 050. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562.50 195, 073. 97 Total . 195,073.97 OV THE COMVTUOLI/UR OF THE CUKUKNCY. 951 KANSAS. First Katio2i.:vl Bank, Horton. No. 3810. SCOTT HOPKINS, President. I«\ M. WILSON, Cashier. Liabilities. Resources. $85,12:$. 54 1,009.70 12, 500. 00 Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, audfixtures Other real estate andmortg'sowncd Current expenses and taxes paid . Premiums onU. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks fractional currency, nickels, cents. Specie '. Legal-tender notes 17. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S 445. 58 4, 378, 97 249. 69 13,G11.93 1, 020. m 3, 000. 00 2, i)2;j. 55 615. 00 50.12 3, 378. 20 2,085.00 $50, 000. 00 Capital stock paid in 1,500.00 2, 333. 64 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 61, 241. 42 Due to other national banks Due to Slate banks and bankers . . 229.55 Notes and bills re-discounted . Bills payable 5,000.00 562. 50 Total . 131, 554. 01 Total. 131, 554. 61 First National Bank, Howard. Loana and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to securo deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-iiouse.famit.ure.imdnxtures Other real estate and mortg's owned Current expenses and taxes paid. .. Premiums on IT. S. bonds Checks and other cask items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. G. W. MCKEY, President. Loans and discounts Overdrafts . . . 2, 000. 00 3, 534. 02 967. 77 i), 015. 08 2,428. 95 1, 422. 66 600. 00 175. 55 2,000.00 22. 80 7, 305.10 2.950. 00 ' ' $50, 000.00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 11, 000. 00 2, 497. 51 11, 250. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. dis bursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 73, 623.17 110.27 4, 376.40 502. 00 $82, 312.18 1,073.30 12, 500. 00 152, 857.35 Total . Howard National Bank, Howard. No. 3794. Checks and other cash items ] Exchanges for clearing-house ; Bills of other national banks ; Fractional currency, nickels, cents -!i Specie Legal-tender notes : ; U. S. certificates of deposit. . npti Kedemption fund with Treas. U. S -! Due from Treasurer U. S . $106, 572.77 740. 05 12, 500. 00 152, 857. 35 IT. S. bonds to secure c i r c u l a t i o n . . . : U. S. bonds to secure deposits ' . U . S. bonds on hand ' Stocks, securities, j u d g m e n t s , etc . . • ' D u e from approved r e s e r v e a g e n t s . D u e from other national b a n k s i D u e from State b a n k s and b a n k e r s . , Bank'g-houso. furniture, and fixtures; Other r e a l estate and m o r t g ' s owned C u r r e n t expenses and t a x e s p a i d . . . ! P r e m i u m s on U. S. bonds i Total. S. C. HANNA, Cashier. K o . 3242. GEORGE S. HANNA, President. A. F. EBY, Cashier. Capital stock paid in Surplus fund Undivided profits J National-bank notes outstanding.. \ 17,473.44 jl State-bank notes outstanding 945.90 j | $50, 000.00 8, 500. 00 2, 756. 36 11, 250. 00 Dividends unpaid 17, 412.19 1, 538. 8Q 785. 35 600.00 Individual deposits United States deposits Deposits of U.S. disbursing officers 50. 00 Duo to other national banks , 3,25(*. 00 69. 84 Due to State banks and bankers .. 3,167.80 Notes and bills re-discounted 2, 000. 00 Bills payable * 57, 798. 70 4,127.30 9, 315.00 562. 50 143, 747. 36 Total . 143, 747.3G 952 KEPOKT OF THE COMPTROLLER OF THE CURRENCY. Humboldt First National Bank, Humboldt. E. A. BARBER, President. No. 3807. GEORGE C. BARBER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bouds to secure deposits U. S. bonds on hand Stocks, yecurities, judgments, etc .. Due from approved reserve agents Due from other national banks . . . . Due from State banks and bankers B;ink'g-houso, furniture,and fixtures Other real estate ami mortg's owned Current expenses and taxes paid... Pvemiums on U". S. bonds Checks and other cash items Exchangos for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie • Legal-tender notes U.fc>.certificates of deposit Redemption fund with Treas. TJ S. Due from Treasurer IX. S Liabilities. $88, 861. 35 1,093.42 15,000.00 8,592.21 5, 520. 70 13,112. C3 3. 875. 62 1, C25. 39 1, 800. 00 1, 608.44 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 13, 500.00 40.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks 1.0.00 i Due to State banks and bankers .. 151.72 I 5,771.90 i Notes and bills re-discounted 3. 345. 00 Bills payable 65, 736.55 5, 000.00 675. 00 147, 744. 99 Total $60, 000. 00 Capital stock paid in 147, 744. 99 Total First National Bank, Hutchinson. S. W. CAMPBELL, President Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks . . Due from State banks and bankers Bank'g-house, furniture,and fixtures Other r>al estate and mortg's ovyned C arrent expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearintr-bouse Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . E. L. MEYER, Cashier. No. 3180. $151, 177.15 ! Capital stock paid in. $50, 000. 00 11. 07 12, 500. 00 Surplus fund Undivided profits. 729.66 i National-bank notes outstanding .. 25, 326. 89 i State-bank notes outstanding 5,278.73 | 8,371.77 j Dividends unpaid . 18,500.00 i Individual deposits 2,:i74.0t United States deposits 1, 000. D Deposits of U.S. disbursing officers. O 9, 803. 86 Due to other national banks 4, 697. ('0 Due to State banks and bankers . 88.89 3, 56-"». 00 Notes and bills re-discounted. 10, 000.00 Bills payable 50, 000. 00 5, 515.16 11,250.00 137, 282. 40 562. 50 254,047.56 . Total. 254, 047. 56 Hutchinson National Bank, Hutchinson. A. J. LUSK, President. Loansand discounts j Overdrafts j U. S. bonds to secure circulation...! U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. j Due from approved reserve agents, j Duo from o her national banks . j Duo from State banks and bankers. Bank'g-houso, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ". Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3199. 128, 84:5. 22 1, 675. 79 12, 500. 00 C. H. MEXKE, Cashier. Capital stock paid in. Surplus fund Undivided profits . 7,500.00 !; National-bank notes outstanding.. 2,746.72 I' State-bank notes outstanding $50, 000.00 33, 000.00 3,163.19 11, 250. 00 Dividends unpaid. 15,9^9.62 ! Individual deposits "l," 441." 66" United States deposits 700. 00 Deposits of U. S. disbursing officers. in. 98 Due to other national banks 1, 620. 00 Due to State banks and bankers. 47. 50 3,140. 00 Notes and bills re-discounted 5,000.00 j Bills payable 69,125.80 15,200.00 562.50 181, 738.99 Total . 181, 738.99 REPORT OF THE COMPTROLLER OF THE CURRENCY. 958 KANSAS. National Bank of Commerce, Hutchinson. No. 3861. G-EOBGE W. HARDY, President. W. T. ATKINSON, Cashier. Resources. Liabilities. Loans ivd discounts I Overdrafts j U. S. bonds to secure circulation ... i XT. S. bonds to secure deposits ! U. S. bonds on hand Stocks, seen ities,judgments, e t c . . Due from approved reserve agents Due from other national banks Due from State banks and bankers B a n k g house, furniture,and fixtures Other real estate and njortg'sowuedj Current expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of ot her national banks Fractional currency, nickels, cents Specie * Legal-tender notes U. IS. eettificates of deposit Redemption fund with Treas. U. S Duelrorn Treasurer TJ. S Total. $150, 192. 87 Capital stock paid in 1,775.14 25, 000. 00 Surplus fund Undivided profits 17,315.03 295. 80 8,670. 42 21, 820. 74 3, 204. 52 6,170. 69 2, 173.14 3, 640. 00 310. 91 3,120. 00 6,000.00 ; $100, 000. 00 4, 000.00 8, 830. 69 National-bank notes outstanding.. State-bank notes outstanding 21,900.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 103, 668.17 Due to other national banks Due to State banks and bankers.... Notes and bills re-discounted Bills payable 3, 043. 42 4W.31 8,965. 67 "I,*i25."6o" 50.00 Total. 250, 870.26 j 250, 870. 26 First National Bank, Independence. No. 3021. E. P. ALLEN, President. Loan* and discounts. Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, .judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-houso,furnittire,and fixtures Other ! eal estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills ot other national banks Fractional currency, nickels, cents Specie * Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . $107,123. 35 2, 388. 74 12,500. 00 J . H. SPENCER, Cashier. I Capital stock paid in $50, 000.00 Surplus fund Undivided profits 10, 000. 00 2, 270.15 1, 4'29. 77 10, 312. 79 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 2,803.17 900.00 444.139 500.00 629. 02 Individual deposits United States deposits Deposits of U.S. disbursing officers Dividends unpaid 1, 205.00 103. 09 7, 999. 75 4, 969. 00 Due to other national banks Due to State banks and bankers... Notes and bills re-discountod. Bills payable 80, 211. 28 127. 31 72.13 562. 50 Total. 153, 930. 87 153, 930.87 First National Bank, Jetmore. C. F . M. NILES, President. Loans and discounts I Overdrafts j U. S. bonds to secure circulation .. U. S. bonds to secure deposits I U. S. bonds on hand j Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks. . . . Due from State banks and bankers . Bank'ghouse, furniture, and fixtures! Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds i Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes , U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 3805. $46, !)37.40 2,281.79 12, 500. 00 1, 756. 88 10, 766. 06 4, 324. 88 J. P. ATKIN, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 5, 300. 00 3, 324. 82 11, 250.00 Dividends unpaid 12, 239. 83 9*31. 26 1, 671. 98 1,000. 00 15.93 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 27,753.95 79.18 562. 50 97, 707.95 Total. 97, 707.95 954 REPORT o r TUK COMPTROLLER OV THE CURRENCY. 1£ A S f S A S . First National Bank, Jewell City. J. I). IIOBERTSOX, President. No. :>:>!)l. Timo. BARTIIOLOW, Cashier. Liabilities. Resources. Loans aiid discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house, furniture, and fixtures Other real estate and mortg's owned C UT rent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Kedeuaption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $74, 035. 00 ' Capital stock paid in. 4,110.40 : 12,500.00 | Surplus fund Undivided profits National-bank notes outstanding.. 19,421.06 State-bank notes outstanding 2.42 Dividends unpaid "*]"" 810.48 8,455. 31 Individual deposits 1, 400. 37 United States deposits 3, (587.50 Dcpositsof U.S.disbursing officers 427.40 Due to other national banks 1, 280. 00 Duo to State banks and bankers. G2. 95 1, 882. 00 Notes and bills re-discounted . 3,000. 00 Bills payable $50, 000. 00 30,000.00 16, 231. 81 11,250.00 46,133.64 562.50 133, 615. 45 Total. 133,615.45 First National Bank, Junction City. G. "VV. MCKNIGHT, President. No. 3543. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg?s owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. $126, 726. 64 228. 68 25, 000.00 630.18 48,980. 28 8, 305. 39 82. 03 23,150. 00 584.68 1, 548. 20 1, 500. 00 ],018.38 0, 830. 00 28. 87 4, 444. 8"> C. TV. STRICKLAND, Cashier. Capital stock paid in $100, 000.00 4, 000. 00 5, 313. 82 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 118, 375. 36 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 1,125.00 Total 250,189.18 250,189.18 First National Bank, Kansas City. D. It. EMMONB, President. Loans aud discounts Overdrafts * U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds ou hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from Stato banks and bankers. Bank'g-houso, furniture, andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national"banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3706. WILLIAM ALBRIGHT. Cashier. $179, 060. 33 j Capital stock paid in 3, 366. 67 25, 000. 00 Surplus fund Undivided profits 1,500. 00 National-bank notes outstanding.. 42, 219. 74 State-bank notes outstanding 500. 00 3, 670. 70 2,495.01 4, 831.25 333.29 Di vidends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. i Due to other national banks 2, 315. 00 I Due to State banks and bankers . . 454. 76 3, 322. 50 Notes and bills re-discounted. 13, 000. 00 Bills payable $100, 000. 00 7,700.00 3,791.51 22, 500. 00 100. 00 138, 568.82 10, 533. 92 i, 125766 283,194.25 Total. 283,194. 25 REPORT OF THE COMPTROLLER OF THE CURRENCY. 955 KANSAS. Wyandotte National Bank, Kansas City. I. LA GRANGE, President. Xo. 3726. C. W. TIHCKETT, Cashier. Liabilities. Resources. Loans and discounts ' Overdrafts ; U. S. bonds t o secure circulation ! IT. S. bonds to secure deposits j. TJ. S. bonds on hand Stocks, securities, judgments, etc . . ; Due from approved reserve a g e n t s . ' "PP 1 D u e from other national banks D u e from State banks and b a n k e r s . Bank'g-house,furniture,andfixture3 Other real estate and mortg's owned C u r r e n t expenses and taxes p a i d . . . i P r e m i u m s on U. S. bonds. Checks and other cash items ! ! Exchanges for clearing-house ! Bills of other national b a n k s Fractional currency, nickels, cents. Specie '. Legal-tender notes TJ. IS. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasui er U. S Total. $181, 742. O ) S 671.87 25, 000.00 i Capital stock paid in '. ! Surplus fund j Undivided profits i National-bank notes outstanding.. S 77, 264. SO i State-bank notes outstanding O 8, 512. 05 10, 000. 00 3,083. 25 $100,000. 00 G, 000.00 4, 910.47 22, 500.00 Dividends unpaid ;j Individual deposits 1, 808. 37 1 United States deposits 1 2, 0G6.47 ' I Depositsof U.S.disbursing officers. 205, 286.28 29.01 6, 860. 00 87. 20 11,156.25 10, 000. 00 Due to other national banks Due to State banks and bankers -- 739. 70 Notes and bills re-discounted. Bills payable 1,125. 00 339,436.45 I Total. 339,436.45 First National Bank, Kiugman. No. 3509. D. B. COOK, President. Loans and discounts Overdrafts I U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg'sowned Current expenses ami taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. r Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . M. W. CHAMNESS, Cashier. ^66, 207. 57 Capital stock paid in 13.76 I 18, 750. 00 I Surplus fund , : Undivided profits $75, 000. 00 ; 6, 555. 53 2, 875. 24 ; 16,870.00 j National-bank notes outstanding.. 16,987. 51 j j State-bank notes outstanding. 30.16 ! 486.98 ; Dividends unpaid 23,880.65 | 11, 226. 44 | Individual deposits. psts United — *994.56 • ~ •• - States deposits 766.14 Deposits of U.S. disbursing of ficors.. 1, 330. 06 Due to other national banks 3, 252.00 Due to State banks and bankers. 5.07 9, 599.15 Notes and bills re-discounted 4, 500.00 Bills payable "843." 50 57, 572.78 Total . 158, 873. 55 158,873.55 Kingman National Bank, Kingman. EDGAII HENDERSON, President. Loans and discounts Overdrafts i U. S. bonds to secure circulation... U. S. bonds to secure deposits \ U. S. bonds on hand Stocks, securities, judgments, etc - J Due from approved reserve agents. I Due from other national banks i Due. from State banks and bankers.! Bank'g-house, furniture, and tixtnres; Other real estate and mortg's owned: Current expenses and taxes paid .. j Premiums on U. S. bonds. [ Checks and other cash items j Exchanges for clearing-house « . Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S . Total. No. 3559. JOHN A. CRAGUN, Cashier. 5169, 000. 53 ! Capital stock paid in 5, 993. 48 25, 000. 00 Surplus fund , Undivided profits 11, 142. 84 9, 621.35 j $100, 000.00 ! I 7, 950.00 ], 057. 00 National-bank notes o u t s t a n d i n g . . | State-bank notes o u t s t a n d i n g . . 22, 500. 00 Dividends unpaid 9, 875.42 727.14 2, 000. 00 0, 318.03 5, 765. 00 7.03 9, 386. 25 4,500. 00 Individual deposits United States deposits Depositsof U.S.disbursing officers.! Due to other national banks Due to State banks and bankers.. 147,398.1G 474.10 1, 404. 95 Notes and bills re-discounted . Bills payable 1,125.00 280, 784. 21 Total . 280, 784. 21 956 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS, First National Bank, Kinsley. F. B. HINE, Cashier. .No. 3750. R. E. EDWARDS, President. Liabilities. Resources. Loans and discounts $100, 405. 76 Overdrafts * 20.92 U. S. bonds to secure circulation... 25,000.00 U. S. bonds to secure deposits U. S. bonds on hand ' Stocks, securities,,} udgments, etc ..! Due from approved reserve agents . j 8,039.30 Due from other national banks j Duo from State banks and bankers ; — Bank'g-house, furniture, and fixtures; 9,105.92 Other real estate and mortg's owned' 580. 83 Current expenses and taxes paid... 1, 500.00 Premiums on U. S. bonds 758. 00 C hecks and other cash items Exchanges for clearing-house Bills of other national banks i 280. 00 Fractional currency, nickels, cents . 32. 41 Specie .'. 3,600.05 Legal-tender notes ! 2,145.00 : U. S. certificates of deposit Redemption fund with Treas. U. S. j 1,125.00 Due from Treasurer TT. S Total. Capital stock paid in i $100, 000.00 Surplus fund j Undivided profits i National-bank notes outstanding.. State-bank notes outstanding 3, 500. 00 1,653.61 Dividends unpaid 22, 500.00 4.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 25, 056.18 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 152,713.79 Total.. 152, 713.79 First National Bank, Kirwin. No. 3454. HUGH J . CAMERON, President. CHAS. W . HULL, Cashier. Loans and discounts i $51,857.66 ; Capital stock paid in. Overdrafts j U. S. bonds to secure circulation . . . I 12,500. 00 1 Surplus fund U. S. bonds t > secure deposits ! :! Undivided profits. U. S. bonds on hand i Stoc k s securities, j udgments, etc... j . . . — ! National-bank notes outstanding. Duo from approved reserve agents -] 3,857.92 ij State-bank notes outstanding Due from ot her national banks •... Due from State banks and bankers .-t .. ; Dividends unpaid ! Bank'g-house.furniture,an(jfixturesi 10,950.51 Oi her real estate and mortjjfs owned 2, 000.00 ; | Individual deposits Current expenses and taxes paid... 814. '29 :| United Stat'S deposits Premiums* on U. S. bonds 3,187.50 i Deposits of U.S.disbursingofficers Checks and other cash items 1,011.91 Exchanges for clearing-house i Due to other national banks Bills of other national'Danks 650. 00 j I Due to State banks and bankers.. Fractional currency, nickels, cents. 7.15 Specie 251.05 i Notes and bills re-discounted . 1 Legal-tender notes . 2,500.00 1 Bills payable U. S. certificates of deposit Redemption fund with Treas. U.S. 562.50 Due from Treasurer U. S 90,156.49 Total . $50, 000.00 4, 000.00 2, 332. 97 11,250.00 17,085.01 488. 51 5, 000.00 90,156.49 Total. First National Bank, La Crosse. B. F. COUGHENOUK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand . ..Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Duo from State banks and bankers . Bank 'g-bouse, furniture, andiixtures Other real estate and moTtg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks «nd other cash items. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer CJ. S Total . No. 3970. $36,521.06 125. 24 12, 500.00 5, 983.31 9, 657.11 13, 392.13 2, 318. 62 3, 531. 25 563.37 700. 00 6.11 1, 031.45 2, 700. 00 JNO. M. STAUFFER, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50,000.00 500.00 1, 976. 00 10,490.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 562. 50 90, 207.63 , Total 27, 241. 63 REPORT OP THE COMPTROLLER OF THE CURRENCY. 957 KANSAS. First National Bank, Lamed. JACOB W. HUSH, President. Trios. E. EVANS, Cashier. No. 2666. Liabilities. .Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds t o secure deposits IT. S. bonds on hand ...!. Stocks, securities,.•judgments, etc . . ; Due from approved reserve agents | -Ouo from other national banks i Duo from State b a n k s and bankers BankV-house,fiirniture,andnxturei Other real estate and roortg's owned Current expenses and taxes paid 'Premiumson U. S. bonds Checks and other cash items Exchanges for cleaving-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund w i t h Treas. U. S. Due from Treasurer IT. S Total. $199,520.73 .30 50,000.00 150, 0U0. 00 :i Capital stock paid il ;| Surplus fund ! Undivided profits in $300, 000. 00 38, 000. 00 4, 336. 36 fi-J, 874. 07 Rational-bank notes outstanding. 20, 451. 82 State-bank notes outstanding ..".. 4,231.00 i 7.80 j; Dividends unpaid 22, 457. 00 | 12,404.40 Ij Individual deposits j | United States deposits ""32,"693."7r>"!! DepositsofU.S. disbursing officers 2,724.00 ' 1, 550. 00 373. 09 13,917.55 4,240. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable.. ^ 45, 000.00 55, 688. 04 160,00 J. i 0 801.00 1, 092. 32 839.29 2,250.00 Total. 605, 757.01 605,757.01 Lawrence National Bank, Lawrence. J . D. BOWBESOCK, President. Loans and discounts • Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,.judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from Stato banks and bankers. Ban k; g-hous*\ fuvni t u re, and fixtures Other real estate and mortg's owned C urrent expenses and taxes paid... 1*remiirroa on U. S. bonds C liecks and other cash items Exchanges for clearing-houso Bills of other national banks Fractional, currency, nickels, cents Specio Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S *. No. 3849. $228,197.21 743.54 25, 0 i0. 00 50, 000. 00 121,762.80 62,630.01 $100,000.00 Surplus fund Undivided profits . 2, 265. 00 7,517.18 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid. 4, 500. 00 1,78'*. 87 20, n;j6.77 8, 979,22 11,100.00 143.97 8, 73*. 75 22,250.00 Individual deposits . United States deposits DepositsofU.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted.. Bills payable ^ 379, 639.41 2, no-{.32 52, G8J. 83 " 1,125.00 Total. 567,007.74 Total . H. C. VAUGIIAN, Cashier. Capital stock paid in 567, 007.74 Merchants' National Bank, Lawrence. G. W. E. GRIFFITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Duo from other national banks . . . Due from State banks and bankers Bank'g-house, fiirniture.and fixtures Other real estate an<l.mortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Cheeks and other cash items Exchanges for clearing-house...:.. Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S * Total. No. 3584. $156, 619. m 1,696.31 25, 000. 00 9, 745. 95 25, 488.44 9,914.99 2, 956. 23 33, 865. 20 " 1,84(5.78 1,000.00 1, 467.93 4, 971. 00 20. 00 6, 401. 25 15, 300. 00 R. G. JAMISON, Cashier. Capital stock paid in Surplus fund Undivided profits $100, 000. 00 , 15, 500. 00 4, 563.14 National-bank notes outstanding.. State-bank notes outstanding 22, 500.00 Dividends unpaid Individual deposits United States deposits DepositsofU.S. disbursingofiicers 128. 00 154,727. 50 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable ... 1,125. 00 297,418. 64 Total 297,418.64 958 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. Watkins National Bank, Lawrence. J. B. WATKIKS, President. No. 3881. PAUL E. BROOKS, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, ,i adgments, e t c . . Dae from approved reserve agents Duo from other national banks Duo from State banks and bankers Bauk ? g-house, flimit u:re,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cask items Exchanges for clearing-house Bills of other national banks. F r a c t i o n a l c u r r e n c y , nickels, c e n t s . Specie Legal-tender n o t e s IT. S. certificates of d e p o s i t R e d e m p t i o n fund w i t h T r e a s . TJ. S. D u e from T r e a s u r e r TJ. S i.. Liabilities. $228,285.71 i, Capital stock paid in. 62.'). 4!) J! 37,500.00 j! S u r p l u s fund Undivided profits 1, 881. 28 22,231.15 31,099.34 4,450. :;2 3, 6G">. 81 851. 23 9, 625.00 405. 13 2, 707. 00 6.">. 08 14, 754. 50 8C0. 00 7, 000, 00 6, 9G4. 00 National-bank n o t e s o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g 33, 720. 00 Dividends u n p a i d Individual deposits United States deposits Deposits of U. S.disbursing officers. 161,493.30 Due to other national banks Due to State banks and bankers .. 857.24 Notes and bills re-discounted . . Bills payable 1, 087. 50 3G0, 034. 54 Total. $150, 000.00 Total * 360,034.54 First National Bank, Leavenworth. E. N. MoRMLL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,aud fixtures Other real estatcvand mortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 182. $781, 423.49 13, 263. 50 50,000.00 175, 000. 00 2GG. 5G 131, 537. 34 10,1C9. 80 31,-229.10 50, 550. 00 C . P E A P E K , Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding . . . $300, 000. 00 25,000. 00 23, 270. 85 45, 000. 00 Dividends unpaid. I Individual deposits """8," 328." 45* United States deposits. 34, 000. 00 Deposits of U. S. disbursing officers. 698, 385.54 64, 041. 3G 95, 069. 09 2, 659. B5 Due to other national banks 27, 230. 93. 38, 052. 25, 000. 00 i Due to State banks and bankers .. 20 00 Notes and bills re-discounted. 00 Bills payable 23,164.91 107,121.04 2, 250. 00 1, 381, 052.79 Total. 1,381,052.79 Leavenworth National Bank, Leavenworth. PAUL E. HAVENS, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation-. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents Duo from other national banks Duo from State banks and bankers. Bank'g-house,furnituro.and fixtures Other real estate and mortg's owned Current expenses and taxes paid. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3033. EDWD. CARROLL, Cashier. $475,434.64 Capital stock paid in. $150,000.00 21, 224.48 37, 500.00 Surplus fund 30, 000. 00 200, 000.00 Undivided profits 342, 588. 43 24, 943.53 C 12.95 3, 590.00 7, 382. 04 13, 000.00 780. 3G 6, 091.00 21.27 28,137.30 25, 000. 00 National-bank notes outstanding.. State-bank notes outstanding 32, 768. 60 33, 750. 00 Dividends unpaid Individual deposits United States deposits Deposits of TJ. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted .. Bills payable 679,260.55 10!), 424. 00 89, 414. 67 26, 622. 62 36, 693. 0G 1,687.50 1,187, 933. 50 Total. 1,187, 933. 50 REPORT OP THE COMPTROLLER OF TI.IK CURRENCY. 959 KANSAS. Manufacturers' National Bank, Leavenworth. E. W. SXYDKK, President. X\T. 15. NICKELS, Cashier. No. 3008. Liabilities- Resources. ! Loans and discounts : O verdrafta (J. S. bonds to secure circulation. ... II. S. bonds to see lira deposits • U. S. bonds on hand Stocks, securities, j udgmenta, etc ..: Duo from approved reserve agents. : Duo from other national banks ' , Duo from State banks and bankers 4 Bank'g-house, furniture, and fixture. ) Other veal estate and mortg's owned . Current expenses and taxes paid... i P'omiumson U. S. bonds. '• Checks and other- cash items : Exchanges for clearing-house '• Bills of other national banks j Fractional currency, nickels, cents • Specie Legal-tender notes I U. S\ certificates of deposit Redemption fund with Treas. TJ. S . ' Due from Treasurer U. S j. Total.. Capital stock paid in $238, 01.5. 25 4, 638. 22 37, 500. 00 $150, 000. 00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 6, 300, 00 32, (570. 02 in. 27 5,201. 15 4,741.27 2, 000. 00 6, 888.12 33, 750.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 4, 079. 00 24.31 7, 934. 20 7, 700. 00 157,445, C9 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 3, 447. 74 10.-J65.62 705. 09 976. 52 14, 004. 31 1,687. 50 Total. 365,064. 64 365, 064. 64 First National Bank, Leoti. No. 3844. T. W. PELHAM, President. Loans and discounts Overdrafts U. S. bonds to secure1 circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from Srato banks and bankers. Bank's- house, furniture, andfixtu res Ottier'real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Chocks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes t U. S. certificates of deposit ;.. Redemption fund with Treas. U. S. I Due from Treasurer U. S I TotaL J . J . BARRELLE, Cashier. Capital stock paid in. $30, 000. 00 Surplus fund Undivided profits . 4, 250. 00 2, 060. 93 National-bank notes outstanding.. State-bank notes outstanding . . 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 37, 548.89 Due to other national banks Duo to State banks and bankers -. Notes and bills re-discounted Bills payable 154.18 72. 50 105,264.00 i I 105, 264. 00 Total. First National Bank, Lincoln. GEOKGTS II. ISTEWETX, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Slocks, securities,,judgments, etc .. j Duo from approved reserve agents. | Due from other national banks I Due from State banks and bankers. j liank'g-l'.oiise, furniture, andlixtures Other real estate and inortg's o wneiV Current expenses and taxe'a paid... > Premiums on U. S. bonds > Checks and other cash items < Exchanges for clearing-house Bills of other national banks i Fractional currency, nickels, cents .j l Specie 1 Legal-tender notes 1 U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total No. 3461. F R A N K F . CHASE, Cashier. $74,964.45 , Capital stock paid in 1 7,766.39 ji 12,500.00 li Surplus fund j Undivided profits 2,497.03 : National-bank notes outstanding.. j 10, 688. 34 State-bank notes outstanding . . . . . $50, 000.CO 4, 000. 00 1, 167.51 11, 250. 00 Dividends unpaid 14, 733. 81 3, 354. 38 : Individual deposits ! United States deposits ; Deposits of U. S.disbursing officers. 68, 535.10 Due to other national banks Due to State banks and bankers . Xotes and bills re-discounted . Bills payable 134, 952.61 j Total. 134, 952. 61 960 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Lindsborg. B. F. DUNCAN, President. No. 3589. J O H N A. SWENSON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Duo from other national banks - -. Due from State banks and bankers Bank'g house. furniture, andfixtures Other real estate and mortg's owned Current exy>enses and taxes paid... Premiums ou U. S. bonds Checks and other cash items Exchanges i'or clearing-house B. ils of other national banks Fractional currency, nickels, cents . Specie ". Legal-tender notes TJ S. cei silicates of deposit Redemption tunl w r h IVeas. TT. S. Due irom I'reasurer U. S Total . $84,340.71 | Capital stock paid in 275. 89 ! 12,500.00 ; Surplus fund , ' Undivided profits National-bank notes outstanding. 14, 800. 49 State-bank notes outstanding Dividends unpaid 890. 85 $50, 000.00 30, 000.00 3, 574.69 11,250.00 j. Individual deposits United States deposits Deposits of U. S. disbursing officers. 26, 321.87 6.00 20.00 56.15 3,511.-5 4,180. 00 Due to other national banks Due to State banks and bankers . 3.28 Notes and bills re-discounted. Bills payable 562.50 I Total. 121,149.84 | 121,149.84 First National Bank, Lyons. J. A. BLAIK, President. No. 3577. Loans and discounts Ovei drafts U. S. bonds to secure Circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks securities,judgments,etc . . Duo from approved eserve agents. Duo f om other nationa. banks Duo from State banks and banters Bank'g house furniture, and fixtures Other rea estate and inoitg'sowued Cu» lent expenses and taxes paid. Pemiums on U. S. bonds .. Checks and other casb terns Exchanges for clearing-house B us of other national banks J? 'actional currency, nickels, cents Specie . . Logal-tender notes U S. certificates ot deposit Redemption fnud with'Treas. U. S . Due from Treasurer U. S Total. $55,940. 23 758.45 12, 500.00 7,918.86 251.13 18, 444. 85 1,09... 34 695.46 750 00 1,558.57 180. 00 42.61 2. 759. 95 5,69,i. 00 J . E. GriLMORE, Cashier. Capital stock paid in. $50, ooe. oo Surplus fund Undivided profits . National-bank notes outstanding State-bank notes outstanding 10, 000.00 1,402.90 10, 700. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 21, 233. 05 5, 275.00 12.50 108, 610. 95 Total. 108, 610. 95 First National Bank, Manhattan. J. B. ANDERSON, President. Loans and discounts Overdi aits U S. bonds to secure circulation . . . U S. bonds to secui e deposits U. S. bonds on hand Stocks, securities, judgments, etc . Duo from approved reserve agents Duo fiom other national banks . . Due from State brinks and bankers Ban k'g-house, furniture, and tixturen Other real es4 ate and mortg's owned Current, expenses and taxes paid.. Prem;ums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nat ional banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3782. $83, 273.07 1,144. 75 12,500.00 14, 780. 51 830.21 GEO. S. MURPHEY, Cashier. Capital stock paid in. Surplus fund Undivided profits $50, 000.00 « National-bank notes outstanding.. State-bank notes* outstanding 1,100. 00 2,158.21 11, 250.00 Dividends unpaid " 2, 606. 38 "i,"209.'5rV 3, 250. 00 486.97 1,464.00 114. 92 8, 020. 20 .5, 000. 00 Individual deposits United States deposit! Depositsof U. S.disbursing officers 70, 799.83 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 135, 308. 04 Total.. 135, 308.04 REPORT-OF THE COMPTROLLER OF THE CURRENCY. 961 KANSAS. Union National Bank, Manhattan. L. L. ASHBROOK, J K . , Cashier. No. 4008. L. II. ELLIOTT, President. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. vS. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Pue from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. D ue from Treasurer U. S Total. Liabilities. $39, 033.30 702. 27 12, 500.00 10, 537.70 92.02 10, 225.00 558.79 3, 625.00 139.96 820. 00 22.20 1, 565. 95 4,020. 00 $50, 000. 00 Capital stock paid in. Surplus fund Undivided profits. 1, 404. 03 National-bank notes outstanding. State-bank notes outstanding 11, 240. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 21, 760.66 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562.50 Total. 84,404.69 84,404.69 First National Bank, Mankato. G. S. BISHOP, President. S. G. KKYES. Cashier. No. 3745. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . D ue from Treasurer U. S Total. $90,670. 65 4, 056. 51 15, 000. 00 6,893.26 12, 635.49 843. 31 73.44 10.00 30,00 19.37 1,423.05 2,730.00 Capital stock paid in. $60, 000. 00 Surplus fund Undivided profits. 6, 000. 00 2, 629.16 National-bank notes outstanding.. State-bank notes outstanding .... 13, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 52,930.92 Due to other national banks , Due to State banks and bankers. Notes and bills re-discounted . Bills payable 675.00 135, 060.08 Total. 135,060.08 Jewell County National Bank, Mankato. J. J. LA MAR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-hou se, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banksFractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 8, 567. 24 4, 603.25 676.66 593.44 820.32 7.35 40.00 14.21 1, 576. 75 555. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 4, 250. 00 1,816. 95 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits o f U. S. dish ursing officers. 34, 039. 68 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 562. 50 101,356.63 Mx, D. C. SMUTZ, Cashier. No. 3812. $70, 032.41 807.50 12, 500.00 Total., 101,356.63 962 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS, First National Bank, Marion. No. 3018. W M . H. DUDLEY, President. FRED. L. FKAZER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes 17. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $168,930.68 696.71 25, 000. 00 Capital stock paid in . $100, 000. 00 Surplus fund | Undivided profits 2, 000. 00 6, 499. 20 2,400.00 National-bank notes outstanding. 10,339.61 State-bank notes outstanding 9,679.65 | Dividends unpaid 8,300.00 I 4,600.00 ; Individual deposits 2,923.54 United States deposits 1,800.00 i DepositsofU.S.disbursingofficers 817.70 i • Due to other national banks 3,405.0U , Due to State banks and bankers .. 19.36 i 4, 387. 55 ' Notes and bills re-discounted . . . . 7, 500. 00 Bills payable 22, 500.00 110, 778. 94 104.22 1, 409.44 7, 633. 00 1, 000. 00 1,125.00 . 251, 924. 80 • Total. 251, 924. 80 Cottonwood Valley National Bank, Marion. L E V I BILLINGS. President. No. 3928. Loans and discounts Overdrafts U. S. bonds to secure circulation,.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-hou8e,fnrniture,aiid fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U . S. Dae from Treasurer U. S $50, 000. 00 000.00 654. 77 ! National-bank notes outstanding.. 6,651.26 ;: State-bank notes outstanding . / . . 1:J8" »Q 220.8;} Dividends unpaid . . . . 10,019.75 I Individual deposits . 3, 051.25 United States deposits 3,414.06 Depositsot U..S. disbursingoitieers 11, 250. 00 82, 962. 28 2,450.70 j Due to other national banks Duo to State banks and bankers . 21.56 21, 342. 70 | Notes and bills re-discounted 2,130.00 !; Bills payable. 000.00 i," 670.00 350. 00 562.50 164,217.05 Total. L. V. DAVIS, Cashier. $98, 472.43 Capital stock paid in. 274.02 > 12,500.00 |: Surplus fund ji Undivided pro (its Total | 161, 217. 05 First National Bank, Marysville. S. A. FULTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures; Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 2791. E. II. FULTON, Cashier. $147,961.03 | Capital stock paid in 2,341.87 20,000.00 ! Surplus fund Undivided profits . ! $75, 000. 00 I j 6, 500. 00 3, 510. 08 National-bank liotP.MOut&taiidiiig. j 22, 670. 50 ! State-bank notes outstanding- . . i 5, 34:;. 45 Dividends unpaid i 6, 500. 00 < 1,700.00 i Individual deposits 1,281.90 ! United States deposits j 4,975.00 , Denositsot'IJ.S. disbursing Oilicers. 2,059.76 j Duo to other national b a n k s 2, 872. 00 , Due to State b a n k s and bankers ... 25. 00 2, 789. 50 Notes and bills re-discounted . 5, 000.00 Bills payable 18,000.00 123, 410. 53 900.00 : 226,420. 61 Total. 226,420.61 963 REPORT OF THE COMPTROLLER OF THE CURRENCY. K A MSAS. First National Bank, McPherson. No. 3521. W. J . BELL, President. E. W I L S O N , Resources. Loans and discounts | Overdrafts ! U. S. bonds to secure circulation. ..I IT. S. bonds to secure deposits I ! IT. S. bonds on hand Stocks, securities, judgments, e t c . . | Due from approved reserve agents, j Due from other national banks Due Irom State banks and bankers, j Bank'g-house, furniture,and fixtures, Other real estate and mortg's owned Current expenses and taxes p a i d . . . | Premiums on U. S. bonds \ C h e c k s a n d o t b e r cash i t e m s j E x c h a n g e s for clearing-house ' Bills of o t h e r n a t i o n a l b a n k s j .Fractional currency, nickels, c e n t s . ! Specie I Legal-tender n o t e s U . S. certificates of deposit . . . .Redemption fund w i t h T r e a s . U . S. D u e from T r e a s u r e r TJ. S $161, 323.15 I1 Capital stock paid in. 270.50 I $75, 000. 00 18, 750.00 | S u r p l u s fund j • Undivided profits j ! | National-bank notes o u t s t a n d i n g . . i1 State-bank notes o u t s t a n d i n g 1 1 • : Dividends unpaid i:. : i i I n d i v i d u a l deposits 1, 734. 55 :, U n i t e d S t a t e s deposits 789.06 | D e p o s i t s o f U . S . d i s b u i s i n g o u i c e r s 56.40 j! I D u e to o t h e r national b a n k s 5,270.00 ,i D u e to S t a t e b a n k s a n d b a n k e r s 127.54 ;: 1, 365. 00 . | N o t e s and bills re-discounted 15, 000. 00 l! Bills payable 25, 000. 00 5, 223. 76 Hi, 870. 00 18,137. 01 1)35. 55 18'..J. 0l.i 2,065.33 104, 757. 46 813. 50 226,851.22 j Total. Cashier. Liabilities. Total 220, 851.22 Second National Bank, McPherson. O. HKGGELUND, President. No. 3791. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, .judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on II. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. IT. S. Due from Treasurer U. S 87, 782,, 26 1,511,,00 12. 500. 00 3 "889. 00 , 597. 82 694. 00 10 0H3 4« 286.25 757.8;> 530. 0*) 24. 14 861. 25 7,213. 00 ! $50,000. 00 Surplus fund ^ Undivided profits : National-bank notes outstanding.. ; State-bank notes outstanding ...... i : ! ' Dividends unpaid Individual deposits United States deposits DopositsofU.S.disbursiic joilieers 5, 000. 00 3, 016. 6'J 11, 250. 00 ; ; : : Duo to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 55, 839. .11 J, 186. 70 1, 000. 00 5(52. 50 127,292.50 ; Total. C. Auc. IlK<;r.TCi.i;xi>, Cashier. ! Capital stock paid in Total 127, 292. 50 McPherson National Bank, McPherson. E L I P. WILLIAMS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... j IT. S. bonds to secure deposits j U. S. bonds on hand ! Stocks, securities, judgments, etc.. ; Due from approved reserve agents. Due from other national banks ; Due from State banks and bankers 1 \ Bank'g-house,furniture,andfixtures Other real estate and mortg's owned; Current expenses and taxes paid... i iremiums on U. S. bonds | Checks and other cash items Exchanges for clearing-house Bills of other nationarbanks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Kedemption fund with Treas. IT. S . Due from Treasurer TJ. S Total. No. 3803. $95, 616.49 42. 47 25, 000. 00 W. 11. COTTIXGHAM, Cashier. Capital stock paid in. Surplus fund Undivided prolits . 7, 000.00 11, 598. 60 National-bank notes outstanding State-bank notes outstanding . . . 1, 034. 20 20, 000. 00 $100,000.00 2, 000. 00 2, 753. 80 Dividends unpaid . 1, 654. 75 856. 25 4, 902. 56 13, 601. 00 2. 00 3,908.00 3, 000.00 22, 050. 00 Individual deposits ; United States deposits j Depositsof U.S. disbursing officers. I 61, 783.49 Due to other national banks Due to State banks and bankers .. i Notes and bills re-discounted . Bills payable 754. 03 1,125.00 189, 341. 32 Total. 189, 341.32 964 REPOKT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Meade Center. No. .'5095. M. J . O'MEARA, President. M. H. EWAKT, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reservo agents. Due from other national bunks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other i eal estate and lnortg's owned Current expenses and taxes p a i d . . . Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Trcas. U. S . Due from Treasurer IT. S $00, 278. 25 2, .V.JO. <>5 12, f>(Mi.O0 4,484.41 1,905. 01 4,000.00 J, 020.10 Surplus fund Undivided profits National-bank notes o u t s t a n d i n g . State-bank notes outstanding 11, 250.00 Dividends unpaid. r>, ooo. oo :J, ooo. ou 1, 457. 50 500.00 ]. 27 2, 2:3(J. 50 Individual deposits United States deposits Depositsof U.S.disbursing officers. 20, 242. 49 Due to oilier national banks Due to State banks and bankers . . 05.83 "Notes and bills re-discounted Bills payable 95, 978.42 Total. $50, 000. 00 Capital stock paid in 3,400. 00 95, 978.42 Total. Meade County National Bank, Meade Center. A. H . H E B E R , President. No. 3853. ~~" Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from StaJte banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and raortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total . !, 868. 22 ., 837. 06 !, 500. 00 (i0.r>. 85 459. 93 454.29 W I L L I S G. EMEHSON, Cashier. $50,000.00 Capital stock paid in Surplus fund Undivided protits 10, 000.00 282.47 National-bank notes outstanding. Siate-bank notes outstanding 11, 210. 00 2, 500. 00 Dividends unpaid 10, 943. 20 Individual deposits United States deposits Deposits of U.S.disbursing officers. 507. 20 404. 39 90.00 4.33 587. 40 410. 00 Due to other national banks Due to State banks and bankers. 21, 639. 73 662.17 Notes and bills re-discounted Bills payable 562. 50 Total. 96, 294.37 96, 294. 37 First National Bank, Medicine Lodge. P. D. CUNNINGHAM, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid. , . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 3253. $98,819.53 2, 051. 22 12, 500.00 991. 00 30, 90(5. 92 1,690.24 8, 276.83 5, 000.00 T. C. MOLLOY, Cashier. Capital stock paid in $50, 000.00 Surplus fund Undivided profits 10, 000.00 3,331.12 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 106, 486,09 13.05 7, 001. 96. 5, 753. 6, 000. 00 83 00 00 Due to other national banks Due to State banks and bankers . . 654.9X Notes and bills re-discounted. Bills payable 502. 50 179,722.12 Total . 179,722.12 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 9G5 KANSAS. Citizens' National Bank, Medicine Lodge. C. Q. CHANDLER, President. No. 3594. F. B. CIIAFIX, Cashier. Resources. Loan a and discounts Overdi afts II. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc .. Due from approved reserve agents. Due horn, oilier national banks Due from State banks and bankers. Bank'g-house,furuiture,and fixtures Otber real estate and niortg'y owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cask items Exchanges for clearing house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit . . . Kedemption fund with Treas.TJ. S. Duo from Treasurer U. S Total. Liabilities. $86, 078. 41 514. 34 12, 500. 00 374.42 1,759.84. 214. 08 "2,"756'o6" 1,510.00 3, 450. 00 20.00 95. 00 42.01. 1, 477.75 4, 245.00 Capital stock paid in . . $50, 000. 00 Surplus fund Undivided profits I j "National-bank notes outstanding . State-bank notes o u t s t a n d i n g . . ' . . . ' 10, 000.00 2, 350. 71 11, 250. 00 Dividends unpaid Individual deposits United States deposits I DoposiisofU.S.dislmrsmgoflioers.' ...... Due t o other national b a n k s Due to State banks and b a n k e r s . Notes and bills re-discounted. Bills payable 562.50 Total. 115, 593. 95 115,593.95 First National Bank, Minneapolis. A. W. GILBERT. President. Loans and discounts Overdraft s U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State ban Us and bankers Bank'g-house,furniture,and fixtures Ot her real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Jarcchangos for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certiiu ates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3353. $93,297. 09 3, 305. 56 32,500.00 1, 500.00 647. 58 "W. L. MEKKYFIRLD, Cashier. Capital stock paid in i $50, 000. 00 Surplus fund Undivided profits • ' 10, 000. 00 446.60 National-bank notes outstanding .! State-bank notes outstanding !. Dividends unpaid 17,918,50 1,300.00 728. 78 .1,000.00 1, 283. 00 11, 240. 00 I. Individual deposits ! Unit (Mi States deposits : DepositsofU.S.disbursingoflicers.' Due to other national b a n k s . . 1,210.00 Due to State banks and ba.uk.ei 25.15 3, 329. 60 Notes and bills ro-diseoiinted 1, 500. 00 Bills payable 43,622.86 324.93 i 21, 472. 87 3, 000.00 562. 00 Total., 140,107. 26 Minneapolis National Bank, Minneapolis. J . C. GrAFFORD, President. Loaps a n d discounts Overdrafts U. S. bonds t o secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j u d g m e n t s , etc . . Due from approved reserve a g e n t s . Due from oilier national b a n k s Due from State b a n k s and b a n k e r s . Bank'g-house,furniture,and fixtures 1 Oi her real estate and mortg's owned! C u r r e n t expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Kxchang« j s for clearing-house Bills of other national banks Fractional currency, nickels, c e n t s . Specio Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. IT. S. Due from T r e a s u r e r U. S Total. No. 3731. $81,511.66 .35 15, 000. 00 16,839.80 410.00 B. F . BIIACKKN, Cashier: Capital stock paid in l Surplus fund Undivided profits j j 2, 400. 00 2, 934. 52 National-bank notes outstanding . I State-bank notes o u t s t a n d i n g . I 13, 500. 00 Dividends unpaid | $60, 000. 00 325. 00 12, 220. 39 ,1,461.64 1, 200. 00 1,500.00 13.87 2, 907. 00 3, 000, 00 Individual deposits | ! United States deposits . Depositsof U.S.disbursingoiHeors-l. 47, 589.19 Due to other national b a n k s •. Duo to State banks and b a n k e r s . . I. Notes and bills re-discounted . Bills payable 10, 000. 00 (575. 00 .130,748.71 Total. 136,748. 71 966 REPORT OF THE COMPTROLLER OF THE CURRENCY. K AN SA S. First National Bank, Ness City. No. 3542. JACOB W. RUSH, President. CIIAS. L. ROGERS, Cashier. Resources. Liabilities. Loan 8 and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand .. Stocks, securv^s. judgments, etc.. Duo from approved reserve agents Due from othernational banks. . . Due from State banks and bankers Bank'g house, furniture, and fixtures Other real estate-and mot tg's owned Current expenses and taxes paid. Premiums on TL S. bonds Checks and other cash items Exchanges for. clearing-house Bills of other national banks .Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with '1 reas. IT. S. Due from Treasurer IT. S $06,495.39 i Capital stock paid in. 459. 27 j 12,500.00 Surplus fund , Undivided profits. 1,244.20 i National-bank notes outstanding. 3, 239. 04 I State-bank notes outstanding 10,207.32 ! 243. 30 Dividends unpaid. 13.191.22 3, 177. 50 Individual deposits 275. 71 : United States deposits 1,000.00 ! Depositsof U.S. disbursing offi cers 10, 000. 00 2, 1U5.19 11,250.00 39, 411.51 XM. 73 \ i Due to other national banks " 500,00 Due to State banks and bankers . 41.62 3, 020. 90 ' Notes and bills re-discounted . 1, 2CU.00 i Hills payable 502.50 I 117,820.70 jj Total. $50, 000. 00 Total. 117, 820. 70 First National Bank, Newton. No. 2777. S. LEHMAN, President. 186,370.15 ! Loans and discounts 9.T5 Oveidrafts 12, .'00.00 IT. S. bonds to secure circulation. .. IT. S. bonds to secure deposits U. S. bonds on hand .Stocks, securities, judgments, etc.. 4, 224. 67 Due from approved reserve agents. Due trom otber nai umalbanlis Duo from Si ate banks and bankers. . . . 2, (530. 80 Bank'g-house, fin niture,and fixtures Ot her realestat e and mort g's owned 4,073. :o Current;expenses and taxes paid... 412. 78 Premiums on U. S. bonds 3, 224. '51 Checks and other cash items 3, 542. 01 Exchanges for clearing-house 7, 500. 00 Bills of other national banks 55. i)t> Fractional currency, nickels, cents. 14, 297. H O Specie 8, 036. 00 Legal-tender notes U. S. certificates of deposit 562. 50 Redemption fund with Treas. U. S .' Due from Treasurer U. S ..'... ; $50, ooo. oo Surplus fund Undivided profits 10, 000. 00 5, 203. 59 National-bank notes o u t s t a n d i n g . . | State-bank notes o u t s t a n d i n g . . - . . ! . 11,250.00 Dividends u n p a i d '. I n d i v i d u a l deposits U n i t e d S t a t e s deposits Depositsof U.S. d i s b u r s i n g officers. 171, 532. 50 D u e to o t h e r national h u n k s D u e to S t a t e banks and b a n k e r s . . N o t e s and bills re-discounted. Bills payable 248, 04(5.15 Total. A. B. G I L B E R T , Cashier. Capital stock paid in Total. 248, 046. lf> Newton National Bank, Newton. JOHN REESE, President. Loans and discounts Overdrafts I U. S. bonds to secure circulation...; U. S. bonds to secure deposits • U. S. bonds on band Stocks, securities, judgments, etc..! Due from approved reserve agents ! Due from other national banks i Due from State banks and bankers : Bank'g-house,furniture,aiidtixturesj Other real estate and mortg's owned; Current expenses and taxes paid...! Premiums on IT. S. bonds ! Checks and other cash items j Exchanges for clearing-house Bills of other nationaf banks ! Fractional currency, nickels, cents.' Specie '. j Legal-tender notes | U. S. certificat es of deposit j Redemption fund with Treas. U. S. j Due from Treasurer U. S Total. No. 3297. C. R. MCLAIN, Cashier. $349, 977. 04 : Capital stock paid in j 2, 335. 59 ' ... - 25,000. 00 Surplus fund • Undivided profits i 1, 9H0, 00 ; National-bank notes outstanding.. 23,981.28 j 425. 24 j State-bank notes outstanding . . . . 41, 580.79 I 3, 051. 27 \ j Dividends unpaid 6, 0.11. 77 : 590.02 ; Individual deposits 3, 550. 31 United States deposits 8>2.9(t Deposits of U.S. disbursing officers I 2, 406. 00 Due to other national banks 234 95 Due to State banks and-bankers... 11, l(J0. 00 i Notes and bills re-discounted 10, 000. 00 Bills payable $100, 0Q.0. 00 20, 000. 00 1, 264. 03 22, 500. 00 322,854,51 2,149. 50 ' ... 15,440.06 1,125. 00 ; •484,20^.76 Total. 484, 208. 76 REPORT OF THE COMPTROLLER OP TIIR CURRENCY. 967 KANSAS. First National Bank, Norton. C I I A S . M . SAWYER, Cashier. No. 3087. E. V. PETERSON, President. Resources. Liabilities. : Loans and discounts Overdrafts ! U. S. bonds to secure circulation ..', IT. S. bouds to secure deposits i U. S. bonds on hand ; Stocks, securities,,judgments, etc ..; Due from approved reserve agents.; Due from other national banks i Due from State banks and bankers. j Bank'fj-house.furiiiture,aiulliKtureo; Other real estate and mortg's owned| Current expenses and taxes paid .. | Premiums on U. S. bonds i (Checks and other cash items ! Exchanges for clearing-house _; Bills of other national' banks i Fractional currency, nickels, cents ! Specie j Legal-tender notes j U. S. certificates ot deposit • Redemption fund with Treas. XT. S. | Due from Treasurer IT. S j Total. $715, 1 63. 31 : Capital stock paid iu . j 705. 54 j 12, 500. 00 ] Surplus fund ' Undivided profits ' ....'• 2, 55H. 63 National-bank notes outstanding .; 2, 788. 77 ; State-bank notes outstanding 1, 811. 20 Dividends unpaid ; 3, 539.49 | • ' Individual deposits ! 797.88 ; United States deposits 781.25 ' Deposits of U.S. disbursing officers. j 1, 065. 67 i : Due to other national banks 775. 00 j Due to State banks and bankers . ' 3'. 38 ; 870. 50 Notes and bills re-discounted 405.00 Bills payable $50, 000.00 6, 000. 00 9, 805.99 11,250.00 14, 362.13 3, 000. 00 8, 000.00 562.50 102,418.12 I 102,418.12 Total. First National Bank, Oberlin. J. B. HITCHCOCK, President R. A. MARKS, Cashier. No. 3511. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house.furnituT e,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificate * of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $66, 510. 80 2, f>67.20 12, 500. 00 Capital stock paid in 10, 000.00 18, 725. 52 320.11 j National-bank notes outstanding. 8, 956. 49 State-bank notes outstanding-. ^.. 117.54 i | Dividends unpaid | 9, 312.40 6, 488. 72 j! Individual deposits 2, 075. 43 j j United States deposits 750. 00 \[ Deposits of U.S. disbursing officers. 277. 26 Due to other national banks i85. 00 Due to State banks and bankers.2.04 941. 75 Notes and bills re-discounted. 1, 502. 00 Bills payable 11,250.00 23, 094. 32 562. 50 113, 069.84 Total. $50, 000. 00 Surplus fund Undivided profits Total. 113,069.84 First National Bank, Olathe. L. W. BREYFOGLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand — Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3720. $91, 687.40 520.40 12, 500.00 1, 779.38 14, 851. 85 14,139.20 719. 96 656. 27 1, 860.13 1, 500. 00 25.30 7, 866. 00 4, 500. 00 J. L. PRICE, Cashier. Capital atock paid iu Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 1, 750. 00 2, 593. 58 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits©!' U. S.disbursing officers. Due to other national banks Due to State; banks and bankers.. Notes and bills re-discounted. Bills payable 562. 50 153, ].68. 39 Total . 153,168.39 968 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Osage City. No. 3813. JOHN D. HALL, President. D. C. LAKE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bondsonhand Stocks, securities,judgments, etn-.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg'sowned Current expenses and taxes paid— Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house ,. .Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XL S. Due from Treasurer U. S Total. $64,784.24 18.56 12, 500.00 $50, 000. 00 Capital stock paid in. 1, 000. 00 3,477.21 Surplus fund Undivided profits. National-bank notes outstanding.. 16, 975. 90 State-bank notes outstanding Dividends unpaid 6, 900. 00 723.84 2,500.00 1, 590.92 140. 00 38.16 6, 886.50 4,915. 00 11,250.00 | Individual deposits United States deposits Deposits of U. S. disbursing officers 52,808.41 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562.50 118, 535. 62 Total. 118,535.62 First National Bank, Osborne. CYRUS HEBEX, President FIIANK Tvxox, Cashier. No. 3319. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $106, 863. 82 462.12 12, 500. 00 21, 784. 79 152. 24 i6,466*00" 395. 75 767.99 3,318.13 1, 850.51 3, 000.00 80.34 6, 227.00 6,000.00 $50,000. 00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding ..'.. 20, 000.00 4, 990. 03 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted , Bills payable 65,125.16 23, 000. 00 562.50 174,365.19 Total. 174,365.19 Exchange National Bank, Osborne. W. W. "WATSON, President Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks ... Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3472. $65,925.36 200.97 15,000.00 6, 801. 51 S. P . CHAMPTOX, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding-... $60, 000. (10 4, 600. 00 3,011.46 13, 500.00 Dividends unpaid 12, 550.05 1,555.78 3, 928.12 390.91 725. 00 47.60 6, 587.50 2, 000. 00 Individual deposits United States deposits Depositsof U.S.disbursingoflieors 35, 276. 34 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 675.00 116, 387. 80 Total. 116,387.80 REPORT OF THE COMPTROLLER OP THR CURRENCY. 969 K.AN S A S . First National Bank, Oswego. Xo. 3038. ROBERT O. DEMING, President. F. "W. KELLER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on.hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Otherreal estate and mortg's owned Current expenses and taxes paid... Premiums on U". S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Capital stock paid in. $102,328. 81 9.34 19, 000. 00 $75, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. 410.84 I State-bank notes outstanding 542.40 55.00 20,000.00 3,500.00 1,495.48 400.00 1, 500. 00 5,107. 6L 17, 100. 00 , Dividends unpaid . ; , i 55.58 . 1,700,00 ; 1,303.00 ; Individual deposits United States deposits Depositsof U.S. disbursing officers. 48,145.25 Due to other national banks ....... Due to State banks and bankers ... 4,742. 65 Notes and bills re-discounted . Bills payable 855.00 Total. 151, 655. 51 151, 655. 51 First National Bank, Ottawa. No. 1718. HORACE J. SMITH, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on 0". S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of doposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $177,349.05 4, 806.18 25, 000. 00 1,151.55 61, 544. 751,404. 50 5, 047.99 19, 977. 00 0, 380. 00 J, 675.85 3, C25. 00 2,415.84 3, 709. 00 201.68 11, 708.75 7, 000, 00 C. C. HINTON, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding ..'... 2, 000. 00 4, 409. 77 22, 500. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disburs ing officers. 190, 987, 67 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 7, 795. 13 549. (>J 1,125.00 Total 334, 302. 20 334, 302. 20 People's National Bank, Ottawa. JOHN P. HARRIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g- h ouse, furniture, and fi xtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ' Legal-tender notes U. S. certificates of deposit Tre Redemption fund withL Treja s . U. S. Due from Treasurer U. S.. Total. No. 1910. $180,401. 88 2, 854. 00 12, 500. 00 51, 229.00 1, 003. 92 1,000.00 2, 735.10 2,221, 32 1,224.7 1,600. 00 413.14 1C, 440. 00 12, 584. 00 PETEK SHIKAS, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits . d 10,000.00 4, 841. 20 National-bank notes outstanding. State-bank notes outstanding 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 217,398.59 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 502.50 293, 489. 79 Total. 293,489.79 970 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. Miami County National Bank, Paola. No. 3350. J. W. SPONABLE, President. W M . GHOWELL, Cashier. Resources. Loans and discounts ! Overdrafts ! U. S. bonds to secure circulation... j U. S. bonds to secure deposits ; U. S. bonds on band Stocks, securities, judgments, etc .. Due from approved reserve agents.! Due from other national banks Due from State banks and bankers i Baiik'g-house,furniture,aiidnxtures i Other real estate and mortg's owned; Current expenses and taxes paid... ;j Premiums on IT. S. bonds Checks and otlief cash items } Exchanges for clearing-house |. Bills of other national banks i Fractional currency, nickels, cents. | Specie i Legal-tender notes j U.S. certificates of deposit ;. Redemption fund with Treas. U. S. j Due from Treasurer TJ. S i Total. Liabilities. $227, 013.54 8,464.41 25, 000.00 Capital stock paid in. Surplus fund ; Undivided profits 218.84 National-bank notes outstanding. 22, 617. 89 State-bank notes outstanding 13, 385. 91 Dividends unpaid. 12,971.03 4,457.37 Individual deposits 1, 863.13 United States deposits 5,437. 50 j j Deposits of U. S.disbursingoih'cers. 1, 030. 77 i • ' Due to other national banks 1,039.00 j Due to State banks and bankers . $100,000.00 10,000.00 0, 0 14. 04 22, 500. 00 201,472.94 8, 544 39 2,278.98- 243.81 I. 20, 962. 75 Notes and bills re-discounted . 5, 000. U0 Bills payable 1,125. 00 Total. 350, 830. 95 350, 830. 95 National Bank, Paola. No. 3795. E. GILMOUE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dtie from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. L. C. GILMOHE, Cashier. $97,478.74 j Capital stock paid in. 461.19 | 25,000.00 Surplus fund Surplus fund Undivided profits. 3,000.00 !| National-bank notes outstanding.. 4,938.50 i! State-bank notes outstanding 73.17 li I Dividends unpaid 5, 775. 24 j Individual deposits 634.7(V United States deposits 1,500.00 Dopositsof U.S. disbursing ottieor.s. 42. G O Due to other national banks 331.00 Due to Statu banks and bankers .. 39.70 1, 401. 95 Notes and bills re-discounted . 5, 740. 00 Bills payable $100, 000. 00 3, 000. 00 3, 045.41 22, 500. 00 18,396.41 1,125. 00 Total. 147, 541. 85 147, 541. 85 People's National Bank, Paola. C. W. CHANDLETJ, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3991. $72,939. G2 368. 03 12, 500. 00 8, 444. 29 C. F. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 2, 988.11 11, 250. 00 Dividends unpaid 2, 595. 04 Individual deposits * 585.40 United States deposits 1, 033. 75 Deposits ot'U.S. disburfthig officers. 1,208.01 i Due to other national banks 3, 800. 00 ! Due to State banks and bankers . 122. 9* 10,801.65 Notes and bills re-discounted . 2,000. 00 Bills payable 51,641.65 1,141.47 562.50 117,021.23 j Total . 117, 021.23 REPORT OF THE COMPTROLLER OF THE CURRENCY. 971 KANSAS. First National Bank, Parsons. R. S. STEVENS, President. LEE CLARK, Cashier. No. 1951. Liabilities. Resources. Loans and discounts Overdrafts • U . S. bonds t o secure circulation U . S. bonds t o secure deposits U . S. bonds on hand Stocks, securities, j u d g m e n t s , e t c . . Duo from approved reserve a g e n t s . D u e from other national b a n k s D u e from State b a n k s a n d b a n k e r s . Bank'g-hou«e,funiiruro,andfixtures Other real e s t a t e a n d m o r t g ' s owned . C u r r e n t expenses and t a x e s p a i d . - . : P r e m i u m s on U. S. bonds •. C h e c k s and o t h e r cash i t e m s E x c h a n g e s for clearing-house ;. Bills of o t h e r national b a n k s j F r a c t i o n a l currency, nickels, c e n t s , j . Specie •. ' Legal-tender notes I 1J. S. certificates of deposit ''. Redemption fund w i t h T r e a s . U. S.! D u e from T r e a s u r e r TJ. S ,. Total. S101, 074. 64 2, 228.51 12, 500. 00 -2,177.45 56, 895. 28 4,455.41 886.91. 9,700.00 $50, 000. 00 Capital stock paid in Surplus fund Undivided profits 10, 000. 00 9, o:«. «9 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid 1, 652.49 Individual deposits United States deposits Depositsof U. S. disbursing officers 7, 500. 00 Due to other national banks Due to State banks and bankers . . 8, 570.115 6,000.00 128,920. 45 Notes and bills re-discounted Bills payable 562. 50 209,204.14 209, 204.14 Total . . First National Bank, Peabody. F R A N K H . KOLLOCK, President. L o a n s and discounts j Overdrafts i XL S. bonds t o secure c i r c u l a t i o n . . . | ! TJ. S. bonds t o secure deposits U. S. bonds on hand | Stocks, securities, j u d g m e n t s , e t c ..\ D u e from approved r e s e r v e a g e n t s J D u e from o t h e r national b a n k s . . . . ! D n e f r o m State b a n k s and b a n k e r s . Bank'g-house, furniture, and fixtures O t h e r real e s t a t e a n d m o r t g ' s owned: C u r r e n t expenses and t a x e s paid . . ! P r e m i u m s on U. S. bonds | Checks a n d o t h e r cash items | E x c h a n g e s for clearing-house Bills of other n a t i o n a l b a n k s j F r a c t i o n a l currency, nickels, c e n t s i Specie ! Legal-tender notes , ! U. S. certificates of deposit i Redemption fund w i t h T r e a s . TJ. S J D u e from T r e a s u r e r U . S \ Total. No. 3134. W I L L I S WESTBHOOK, $92, 804. 49 j Capital stock paid in 400.87 12, 500. 00 Surplus fund Undivided profits Cashier. $50, 000. 00 9, 500. 00 5, 945.10 11, 250. 00 National-bank notes outstanding.. 2, 938.13 State-bank notes outstanding. 2, 669. 98 | Dividends unpaid 6,'546." 19* i 6, 770.70 Individual deposits 2,709.76 ! United States deposits 1,000.00 ; Deposits of U.S.disbursing officers. 502. 80 Duo to other national banks 2, 867. 00 Due to State banks and bankers.. 97. 26 311.00 Notes and bills re-discounted 7,500.00 i Bills payable 26. 00 66, 690.52 399.62 2, 369. 50 562.50 140, 180. 74 140,180.74 Total . First National Bank, Phillipsburgh. H . S. GRANGER, President. ! L o a n s and discounts Overdrafts ; j U . S. bonds t o s e c u r e c i r c u l a t i o n . . . ! U . S. bonds t o secure deposits U . S. bonds on h a n d Stocks, securities, judgments, e t c . . •._ D u e from a p p r o v e d r e s e r v e a g e n t s . ' D u e from o t h e r national b a n k s i D u e from S t a t e b a n k s a n d b a n k e r s . ; Bank'g-hoiise,furnitiire,andnxturosO t h e r real e s t a t e and m o r t g ' s owned; C u r r e n t e x p e n s e s and t a x e s p a i d . . . j : P r e m i n m s on U. S. bonds C h e c k s a n d o t h e r cash i t e m s i E x c h a n g e s for clearing-house I Bills of o t h e r n a t i o n a l b a n k s j F r a c t i o n a l c u r r e n c y , nickels, c e n t s . '• Specie , Legal-tender n o t e s j TJ. S. certificates of deposit \ R e d e m p t i o n fund w i t h T r e a s . U. S . j D u e from T r e a s u r e r U . S ! Total. N o . 3601. $52,637. 99 361. O ) S 12, 500.00 836.41 W . D. GRANGER, Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Cashier. $50, 000. 00 3, 000. 00 1,013,24 11, 250. 00 Dividends unpaid. 11, 300. U0 684.1.9 3, 000.00 505. 55 1, 615. 00 23. 04 3,178.15 5, 000. 00 Individual deposits United States deposits DepositsofU.S.disbursingofiicors 26, 940. 68 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 562. 50 92,203.92 i Total. 92,203.92 972 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Pittsburgh. No. 3463. JOHN R. LINDBURG, President. CHAS.P.HALE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts . » U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banfcs Due from State banks aud bankers. Bank'g-housAftirniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer IT. S Total. $88,167.17 1, 280. 92 12,500.00 1,137.50 19, 907. 22 92. 65 $50, 000.00 Capital stock paid in S% 100. 00 4, 058.38 Surplus fund. Undivided profits 11, 250.00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid "7," 542." 68 1,003. 97 700. 00 2,132. 72 5, 250.00 141.59 5,193. 85 4,175.00 81,469.39 Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 562. 50 Total . 149,877.77 149, 877. 77 National Bank, Pittsburgh. SIMON H . L A N T O N , No. 3475. President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on band 2 Stocks, securities, judgments, etc.. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estato and mortg's owned Current expenses and taxes paid... Premiams on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $124, 541.04 4,100. 33 12, 500. 00 712.90 23, 939. 62 FRANK W. LANYON, Cashier. $50, 000.00 Capital stock paid in Surplus fund Undivided profits 6, 000. 00 3, 956. 79 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid 7, 740. 00 647. 50 1, 238.09 700. 00 167.70 160.00 29.29 6,577.50 2,751.00 Individual deposits United States deposits Deposits of U. S. disbursing officers 115,160. 68 Due to other national banks Due to State banks and bankers Notes and bills re-discounted Bills payable 562.50 Total 186, 367.47 186, 367.47 First National Bank, Pratt. C. S. CALHOUN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from ax>proved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-houso, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tendor notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3649. GUST CAKLANDER, $ 6 5 , 3 0 3 . 3 5 Capital stock paid i n . 678.68 I 12,500.00 Surplus fund Undivided profits. 3, 223.86 4, 400.97 956.20 National-bank notes outstanding.. State-bank notes outstanding Cashier. $50, 000. 00 4, 000.00 2, 544. 72 11, 25(.'. 00 Dividends unpaid * 25," 599." 45 1,412.74 3, 300. 00 56. 69 160. 00 tf5.92 5, 552.80 5j 565. 00 Individual deposits United States deposits Deposits of U. S. disbursing ofli cers. 61, 511. 20 Due to other national banks Due to State banks and bankers . . 2.24 Notes and bills re-discounted . Bills payable 562. 50 129, 308.16 Total. 129,308.16 REPORT OF THE COMPTROLLER OF THE CURRENCY. 973 IIAJ\SA)S. Pratt County National Bank, Pratt. No. 3787. S. T. HOWE, President. I. E. PAGE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U.S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks. Due from State banks and bankers . Uauk'g- house, furnit are,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds . . . . . . . . Checks and other cash, items Exchanges for clearing-house Hills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes II. S. certificates of deposit ........ Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. $80, 923. Of) 724,67 12, 500. 00 3, 040.70 6, 288. '24. 6,511.11 Y 26(3.36 3)55. 00 3, 198.57 4, 772. 51. 395. 00 91. M 1, 404. 50 1, 57(5. 00 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 1, 094. 73 2, 5(J0. 51 .1.1,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 44, 844. 30 o other Due to oth national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 15, 000.00 502. 50 Total. 125, 679. 54 125, 679. 54 First National Bank, Russell. No. 3657. D. H. GKKK, President. Loans and discounts . . . Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Slocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures' Other real estate and mortg's owned; Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Dae from Treasurer U. S $80, 000.00 6,000. 00 7, 908.63 18, 000. 00 Dividends unpaid 8, 000. 00 4, 788. 07 1,955.81 1,350.00 99. 91 Individual deposits United States deposits Deposits of U.S. disbursing officers 3, 745.00 70.40 2, 860. 00 6,013.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 2, 828.20 7, 085. 93 900.00 Total. 191, 822.76 Total. CHAS. A. WOLCOTT, Cashier. $131,354.39 Capital stock paid in. 2, 327. 54 20, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. 8,1358. 64 State-bank notes outstanding 191, 822. 76 First National Bank, Saint John. W . B. THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures OtherVeal estate and mortg's o wiied Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas, U, S. Due from Treasurer XT. S Total. No. 3467. $39, 312. 38 5. 39 12, 500.00 8, 201.81 11, 468.18 4, 452.90 2, 000. 00 5, 437. 48 1, 079.78 2, 812. 50 349. 41 20.00 22. 9;> 628. 55 2, 275.00 R. W. THOMPSON, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 3, 6'?0. 00 8, 421. 71 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 17,827.12 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562.50 91,128.83 Total. 01,128. 83 974 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Saint Mary's. No. 3374. JAMES WHITE, President. JOIIK A. Moss, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dao from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hoube, furniture, andfi xtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes TJ. S. certificates of deposit Redemption fund with, Treas. TJ. S. Due from Treasurer U. S Total. $75,794. 31 Capital stock paid in 2,185. 44 12, 500. 00 Surplus fund Undivided profits National-bank notes outstanding 6, 188.42 State-bank notes outstanding . . . 986.84 3, 094. 31 Dividends unpaid 1, 'J00. 00 Individual deposits 'I*973."4G" United States deposits Deposits of U. S. disbursingoflicors993. 03 Due to other national banks 5, 700. 00 Due to State banks and bankers . 8.50 2,165. 00 Notes and bills re-discounted . 5, 000.00 Bills payable $50, 000. 00 4,000.00 7, 032. 54 11, 250. 00 180.00 45, 889. 27 562. 50 Total. 118,351.81 118, 351. 81 First National Bank, Salina. No. 2538. J. F. MERRILL, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds ouhand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks. Due from State banks and bankers Bank'g-house,furniture,aadfixiures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Cnecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $319,361.38 5, 287.68 37, 500.00 J. D. WELLINGTON, Cashier. $150, 000.00 Capital stock paid in. Surplus fund Undivided profits. 30,000. 00 8, 527. 52 32, 830. 00 1,210.00 31, 589. 56 National-bank notes outstanding.. State bank notes outstanding 3, 000. 00 8.101. 72 2,416.47 7, 000. 00 2, 252.67 Individual deposits United States deposits Deposits of U. S. disbursing officers. 195, 879. 67 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 15,000.00 10,154.75 " 7 * 708." 66" 192.91 10, 084. 05 5, 000. 00 Dividends unpaid 1, 687. 50 Total. 442,391.94 442, 391. 94 Salina National Bank, Salina. J. W. MORRIS, President. Loans and discounts Overdrafts «• U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3531. $255,952. 93 332. 29 25, 000. 00 61, 713. 69 20, 668. 02 5,118. 85 9, 201.40 F. C. MILLER, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund." Undivided profits. 4, 994.16 13, 061. 03 National-bank notes outstanding. State-bank notes outstanding . . . . 22, 500. 00 Dividends unpaid Individual deposits 2,613." 73" United States deposits 5, 811. 25 Deposits of U.S. disbursing officors. 928.33 Due to other national banks 6, 089. 00 Due to State banks and bankers . 203. 23 10,229. 75 Notes and bills re-discounted . 12, 000.00 Bills payable 276,432.28 1,125.00 416,987.47 Total. 416,987.47 REPORT OF THE COMPTROLLER OF THE CURRENCY. 975 IL A J V S A S . First National Bank, Scandia. No. 3779. J . R. CALDVVELL, President. Resources. Loans and discounts O verd rafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures) Other real estate andraortg'sowned i C urrent expen ses and taxes paid. . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house .Rills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of doposit Kedernption fund with Treas. U. S . Due from Treasurer U. S Total. "SVM. IT. LANEY, Cashier. Liabilities. $57, 348. 86 Capital stock paid in. $50, 000, 00 426. 40 12,500.00 ;! Surplus fund ;' Undivided profits 1,755.00 1, 916. 23 j j National-bank notes outstanding.. 3, 257. 35 !i State-bank notes outstanding ' j Dividends unpaid 495. 09 0, 000. 00 11, 250. 00 j j Individual deposits ! 772. 70 ;i United States deposits ;. 7(35. 32 i Depositsof U.S.disbursingolncers. 142. 8(3 i Due to other national banks j 100. 00 Due to State banks and bankers..; 22. 53 3, 92(5. 75 ij Notes and bills re-discounted. 1, 085. 00 j! Bills payablo 19,482.13 3, 000. 00 562.50 '! 87,403. 36 Total. 87, 403. 36 j First National Bank, Sedan. No. 3855. L. L. TURNER, President. Loans and discounts Overdrafts IJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and inortg'sowned Current expenses and taxes paid... Premiums on IJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents S pecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . C. M. TURNEK, Cashier. 182, 888.14 Capital stock paid in 1,924, (i5 jj $50, 000. 00 ! Surplus fund I Undivided profits 2,500.00 3, 779.09 3, 688. 83 I National-bank notes outstanding.. 10,351.08 ! State-bank notes outstanding . . . . . ' 4. 837. 67 Dividends unpaid 10, 800. 00 | 12, 500. 00 Indiv idual deposi ts j " 1,142. ltV ; United States deposits 359. 38 Depositsot U.S.disbursingoiucers. 49. 00 2, 309. 35 | Duo to other national banks 231. 00 j Due to State baukvS and bankers.. (32. 14 Notes and bills re-discounted. 2,501.80 Bills* payable 6, ltiu. 00 "" 502.50 139,758.35 Total. 139, 758. 35 First National Bank, Seneca. GEORGE W. WILLIAMS, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation...; U. S. bonds to secure deposits I U. S. bonds on hand J Stocks, securities, judgments, etc .. j Due from approved reserve agents, j Due from other national ban k\s i Due from State banks and ban kers. j Bank'g-house,furniture,an(lfixtures! Other real estate and mortg's owned, Current expenses and taxes paid.... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Dae from Treasurer U. S Total.. No. 2952. $162,143. 85 5, 015. 43 12, 500. 00 41.0,10 25, 928. 07 W E S T E. WILKINSON, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 4, 303. 00 2, 530.10 11, 250.00 Dividends unpaid 10, 000. 00 Individual deposits 831. 05 I United States deposits 2, 302. 80 1 Deposits of U. S. disbursing officers. 1, 871. 75 j Due to other national banks 500. 00 I Due to State banks and bankers . 58. 51 Notes and bills re-discounted . 819. 00 Bills payable 3,018.00 157, 877. 96 562. 50 225, 961. 06 Total. 225,961.06 976 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. First National Bank, Smith Centre. J. I). MOHSMAN, Cashier. No. 3546. J . R. BURROW, President Liabilities. Kesources. Loans ami discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on band Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks.. Due from State banks and bankers. Bank'g-bouse,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Cbecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer TJ. S Total . $82, 289. H2 j Capital stock paid in 1, 2H3. 51i 12. 500. 00 I Surplus fund 'Undivided profits National-bank notes outstanding.. 10, 974. 89 State-bank notes outstanding-. „ 12, 548. 05 381. as 2, 640. (52 2, 801. 33 4,410.00 59. 57 5,517.00 1, 000. 00 $50, 000.00 10, 0H0. 00 3, 003. 33 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbuvsing oilicers. 68, 319.24 Due to other national banks Due to State banks and bankers.. 396.11 Notes and bills re-discouuted Bills payable 502. 50 142, 9(38. 68 Total. 142, 968. 68 Smith County National Bank, Smith Centre. O. W. SHELDON, President. N o . 3630. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . TJ. S. bonds t o secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items i Exchanges for clearing-house Bls o ote n t o Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S $106, 604.00 2,151. 09 12, 500.00 1,300.59 2, 727. 75 5, 780. 83 11, 970. 30 1,175. 00 899. 33 2, 671. 88 89. 00 $50, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 10,000.00 2, 635.64 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursiugofncers. Due to other national banks 500." 66" Due to State banks and bankers . . 15. 82 1, 660. 70 Notes and bills re-discounted 4,162. 00 Bills payable 75, 691.15 5, 000.00 562. 50 Total . 154, 576. 79 Total. A. U. SHELDON, Cashier. Capital stock paid in. 154, 576. 79 First National Bank, Stafford. JOHN HALL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate ana niortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Pue from Treasurer TJ. S . , . , , * Total. No. 3852. $58, 900.21 27. 46 12, 500. 00 855.00 4, 339. 97 16, 632. 36 6,157. 50 1,201.34 2, 470. 94 173.13 65.00 9.65 316. 75 1, 583.00 C. G-. AVEBB, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 1,000.00 1, 869. 60 11, 250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable , 35,115.12 156. 70 6,403. 39 562.50 105, 794.81 Total. 105,794.81 REPORT OF THE COMPriiOLLEK OF THE CURRENCY. 977 KANSAS. First National Bank, Sterling. J. II. SMITH, President. No. 3207. Resources. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Duo from State banks and baukors Bank'g-houso, furniture, and f i xtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer IT. S , Total. $59, 016.26 2, 6U4. 54 12, 500. 00 16, 090.11 358.10 127.00 10, 208.00 478. 30 "3,410.58 45.04 1, 500. 00 41.88 3, 334.25 2, 870.00 P. HIMUOD, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding-. State-bank notes outstanding-.... Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. $50, 000. 00 i), 000, 00 1, 960. 83 10, 190. 00 42, 007. 0.1 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 562. 50 113,838.48 113, 838. 48 Total. First National Bank, Stockton. No. 3440. JAY J . SMYTH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U . S . bonds on hand '. Stocks, securities, judgments, e t c . . . Due Ironi approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate aud mortg's owned! C urrent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items j Exchanges for clearing-house i Bills of other national banks j Fractional currency, nickels, cents.' Specie Legai-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total.. $56, 966. 64 946. 34 12, 500. 00 19,155. 86 CIIAB. C. WOODS, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits 3, 030. 00 1, 877. 91 National-bank notes outstanding ZJ State-bank notes outstanding 11, 250. 00 Dividends unpaid 10, 928. 59 558.26 700.00 975.00 12. 81 4,223.75 Individual deposits United States deposits DepositsofU.S.disbuisingofneers 41,371.84 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 107, 529.75 Total. 107, 529. 75 First National Bank, Topeka. N o . 2646. P. G. NOEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand StocKs, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers, j Bank'g-houso, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total H. Ex. 3 62 $502, 206. 66 98. 50 50,000.00 65, 911. 66 867. 56 110, 552. 04 29, 960. 94 1, 259. 80 4, 420. 34 9,550.00 66.00 88, 692. 50 40, 000.00 D. A. MOULTON, Cashier. Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable $300, 000. 00 124, 000. 00 5, 043.23 45, 000. 00 415, 237. 35 3, 007. 02 12, 889. 30 2, 250. 00 905, 836. 90 Total. 905, 836.90 978 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS, Central National Bank, Topeka. P. I. BONEBRAKE, President. E D W I N KNOVVLES, Cashier. No. 3078. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... IT, S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tendor notes IT. S. certificates of deposit Redemption fund with Treas.U. S. Due from Treasurer IT. S Total. Liabilities. $418, :W4. f>8 1, 084. 80 50, 000. 00 Capital stock paid in • Surplus fund Undivided profits 12, 800. 00 10,195. 57 5 \ 934. 57 National-bank notes outstanding. 137,407.49 State-banknotes outstanding (314.11 16, 431.26 Dividends unpaid 4, 226/40 1,268.00 | Individual deposits 4, 309. 57 j( United States deposits j 2, 400. 00 I' Deposits of U.S.disbursing officers 3, 242. 59 27, 884.00 183.96 37, 912. 70 30, 000. 00 $250, 000. 00 D u e to other national b a n k s Duo to State b a n k s a n d b a n k e r s . . 45, 000. 00 438,988.48 90. 20 36, 379. 78 Notes a n d bills re-discounted. Bills payable 2, 250. 00 Total. 793, 454. 03 793, 454. 03 Kansas National Bank, Topeka. SAMUEL T. HOWE, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3790. Capital stock paid in. $670, 323. 30 1, 015. 65 50, 000. 00 21.00 31,317.09 4,754.06 5, 928. 99 4,33l.4'.J 5, 922. 52 3, 500. 00 11,226.04 18, 685. 00 148.15 7, 987. 85 10, 000. 00 R. M. CJiANi:, (lankier. $500, 000. 00 Surplus fund Undivided profits . 20, 000. 00 13,217. b I National-bank notes outstanding. State-bank notes outstanding 45,000.00 Dividends unpaid j Individual deposits j United States deposits | Deposits of U.S.disbursing officers. | 173, 4".5. 23 Due to other national banks j Dutb to State banks and bankers ..; 61.8J4.36 13, 943. 68 Notes and bills re-discountwl . Bills payable 1, 350.00 900.00 Total. 827, 411. 08 827, 411. 08 Merchants' National Bank, Topeka. C. K. HOLLIDAY, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned! Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S Due from Treasurer U. S Total No. 3909. $173, 652. 22 19.32 20, 000. 00 9, 271.17 431.48 5, 000. 00 326.15 1, 389.46 1,184. 37 E K A N K Gr. AVJLLAKD, Cashier. Capital stock paid in j Surplus fund Undivided profits. 2, 500. 00 1,000.15 National-bank notes outstanding.. j State-bank notes outstanding j. Dividends unpaid 22, 500. 00 !. Individual deposits United States deposits Deposits of U.S.disbursing officers, j Due to other nation.il banks 3, 410. 00 i Due to State banks and bankers... 60. 51 753. 60 ! Notes and bills re-discounted. 13, 690. 00 i Bills payable $100,000.00 107, 389.92 1, 923. 71 1,125.00 2.')5,3i:!.78 \ Total. 235, 313. 78 REPORT OF THE COMPTROLLER OF THE CURRENCY. 979 K A JVSAS. First National Bank, Wa Keeney. No. 3776. A. II. BLAIK, President. 11. C. WILSON, Cashier. Resources. Loans and discounts Overdrafts • U. S. bonds to secure circulation-.. !• ' U. S. bonds to secure deposits . U. S. bonds on hand Slocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks. ...; Due 1'rom State banks and bankers, j Ban k 'g-house, furniture, and fi xtures Other realostntoandmortg's owned (/ u n c u t ex penses and taxes p a i d . . . Premiums on U. S. bonds ' Checks and other cash i t e m s . . . Exchanges for clearing-house I Kills of other national banks. I Fractionaleurreney, nickels, cents .! Specie j Legal-tender notes IT. S. certificates of deposit Redemption fund with. Treas. 17. S. Due from Treasurer U. S j Total. Liabilities. $(50, 928.T>7 Capital stock paid in . 55.08 12, 500. 00 Surplus fund 1 Undivided profits Xational-bank notes outstanding.. 19, 731. 50 State-bank notes outstanding 0, 108. (30 255.82 875.00 3L 155 210. 00 37. 01 1, 6(51. 00 4, 405, 00 $50, 000. 00 1,(500,00 1, 859. 07 J1, 250. 00 Dividends unpaid. Individual deposits United States deposits i Depositsof IJ.S.disbursingollicors.! 39, 053. 97 Due to other national banks ' Due to State banks and bankers .. i Notes and bills re-discounted . Hills payable 290.14 2, 705.39 502.50 107, 304. 57 Total. 107, 364. 57 First National Bank, Wamego. J. C. ROGERS, President. No. 3434. Loans and discounts Overdrafts U. S. bonds to socuro circulation... U. S. bonds.to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned. Current expenses and taxes paid . . . Premiums on IT. S. bonds j Checks and other casb items j Exchanges for clearing-bouse ! Bills of other national banks j Fractional currency, nickels, cents .! Specie ". Legal-tender notes ! IT. S. certificates of deposit .j Redemption fund with Treas. U. S. I Due from Treasurer IT. S i Total. Ituivr. SCOTT, Oa-shier. $107,428.90 :! Capital stock paid In 351.01 ii 18,750.00 j'j Surplus fund Undivided profits 18,894.41 122.08 ! $75, 000. 00 j j 15,000.00 5, 039. 13 National-bank notes outstanding.. j State-bank notes outstanding . . . . . 10, 215. 00 Dividends unpaid 8, 000. 00 1, 248. 27 1,500.00 80. 29 Individual deposits United States deposits Depositsof U.S.disbursingoflicers.i i Due to other national banks . . . banks 7, 383. 00 ! Due to State banks and banker: 12.00 ", 3,070.50 ! Notes and bills re-discounted. 3, 500.00 j, Bills payable 116, 9;',0.11 I ' 3r 000. 00 843V 75* 231,190.24 Total. 231, 190.24 First National Bank, Washington. J. S. LONG, President. Loans and discounts | Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due lrom other national banks Duo from State banks and bankers. Bauk'g-house,furniture,and fixtures Other realestateand mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S J Due from Treasurer U. S Total. No. 2912. $83, 970. 55 841. 04 12, 500.00 (>. S. LONG, Ca.shler. Capital stock paid m Surplus fund ; Undivided profits i National-bank notes outstanding.. 8, 238. 99 i: State-bank notes outstanding . . . . ! Dividends unpaid 8, 949. 30 14, 889. 50 | Individual deposits i United States deposits 578.14 | Deposits of U. S. disbursing officers. 284.07 J Due to other national banks 150.00 I Due to State banks and bankers .. 72.41 i 2,495. 00 ; j Notes and bills re-discounted 1, 812.00 ;i Bills payable $50, 000. 00 10, 000. 00 2,135. 94 11, 250. 00 30, 297. 20 25, 6G0. 52 502.00 ! 135,349.06 Total. 135,349.66 980 KEPOHT OF THE COMPTROLLER OF THE CURRENCY. KANSAS. Washington National Bank, Washington. J . B. SOFIELD, President No. 3107. J. S. A Loans and discounts Overdrafts XT. S. bonds to secure circulation... IT. 8. bonds to secure deposits ; U. S. bonds on liand Stocks, securities, judgments, etc ..' Due from approved reserve agents, j Due from other national banks ...< Duo from State banks aud bankers j Bank'g-houso.furnituro,and fixtures:; Other real estate and mortg's owned C urront expenses and taxes p a i d . . . Premiums on IT. S. bonds ' C hecks and othe.r casti items Exchanges for clearing-house Bills of'other national banks Fractional currency, nickels, cents .' Specie " j ! Legal-tender notes IT. S. certificates of deposit. ltedemption fund with Treas. IT. S.J Due from Treasurer U. S :. $91, 441. 95 Capital stock paid in $02,300.00 J 0, 000. 00 Surplus tuin fund. Undivided p:rofits 17, 500. 00 3, 200. 04 23, 05(5. 00 11, 429. ;">L National-bank notes outstanding.. State-bank notes outstanding . . . . 14, 400. 00 -. 8, 000. 00 800. 00 41.11 700. 00 8(3. 77 3, 948.75 1, 000. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. (jisbursingoflieers Due to other national banks Due to State banks and bankers Notes and bills ro-discounted Bills payable 58, G77.45 2, 000. 00 720. 00 157, 884. 00 Total. GH, Cashier. Liabilities. Resources. Total. 157,884. 09 First National Bank, Wellington. F. K. Ilouuixs, President. No. 2879. It. L. BEATTIK, Assistant Loans and discounts J $101, 100. 33 11 Capital stock paid in Overdrafts ! 11, Ml. 84 IT. S. bonds to secure circulation .. j 12, 500. 00 Surplus fund. IT. S. bonds to secure deposits \... | Undivided profits U. S. bonds on hand j . . . Stocks, securities,.judgments, etc .. j 0, 489. 87 ! National-bank notes outstanding .. Due from approved reserve agents ' 13, 028. 00 ' State-bank notes outstanding . . . . Due from other national banks 2, 30 L 90 ! Dividends unpaid D u e from State banks and bankers Bank 1 g-house,furnituro,andiixtures 8,280.40 Other real estate andmortg's owned 39, 012. 01 • Individual deposits C u r r e n t expenses and taxes p a i d . . . 1,018. 25 S United States deposits j Deposits of U. S. disbursing officers Premiums on U. S. bonds Checks and other cash items 3GG. 12 ; Exchanges for clearing-house ^ Due to other national banks Bills of other national banks 2, 000. 00 Due to State banks and bankers .. Fractional currency, nickels, cents 75.99 Specie ' 3,155. U0 i : Notes and bills re-discounted Legal-tender notes 7, 000. 00 !: I Bills payable IT. S. certificates of deposit Redemption fund with Treas. U. S 502. 50 Due from Treasurer U. S I299,428.81 '. Total. Total. Cashier. $50, 000. 0J 50, 000. 00 4, 244. 00 11, 250. 00 182, 000. 32 400.08 873.21 299, 428. 81 State National Bank, Wellington. Loans and discounts Overdrafts IT. S. bonds to secure circulation... XT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from SI ate banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes ,. IT. S. certificates of deposit Kedemption fund with Treas. "U. S. Due from Treasurer U. S Total . W. C. GLAIZK, Cashier. No. 35G4. A. II. SMITH, President. $110,273.81 5, 349. 24 12, 500.00 574. 003. 838. 223. 253. 305. 503. 1, 819. 19. 1, 7, 15, 1, 2, 2, 500. 302. 8, 078. 4, 000. Capital stock paid in Surplus fund Undivided profits National-banknotes o u t s t a n d i n g . . State-bank notes outstanding. $50, 000. 00 0, 405. 00 7, 214. 01 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingoilicers - 118,139. 05 Due to other national banks Due to State bunks and bankers . Notes and bills re-discounted. Bills payable 502. 50 193,008.00 j Total . 193, 068. 06 REPORT OF THE COMPTROLLER-OF THE CURRENCY. 981 K AW S A S . Sumner National Bank, Wellington. No. 3865. S. W. SPITLER, President. A. BRANAMAN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from appro veil reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's ovvne.d Current expenses and taxes i>aid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other natiouafbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Capital stock paid in. $149, 237. 2, 591. 18, 750. 1, 000.00 Surplus hind iirplus fund , 2, 750. 00 2,00;). 18 National-bank notes outstanding.. State-bank notes outstanding 1(5, 850. 00 ndivided profits 2, 300. 13, 139. 4, 52!). 425.00 1 1 1,4(57, 700. 627. '2, 500. 114. 3, 005. 7, 000. Dividends unpaid ij Individual deposits j! United States deposits |j Depositsof U.S.disbursingolHcors. li Due to other national banks ! Due to State banks and bankers .. 95, 800. 23 Notes and bills re-discounted Bills payable 14, 850. 00 50 * 842. 207,1519.41 207, 319. 41 Total . Wellington National Bank, Wellington. PETER B. SPEARS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . IJ. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. 1 Uank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and ot her cash items Exchanges for clearing-house ]Jills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from TreasurerU. S No. 3091. $50, 000.00 50, 000. 00 5,092.42 National-bank notes outstanding-. State-bank notes outstanding j 9, 648. 38 10,700.00 '; j i 11, 250. 00 Dividends unpaid "11,500.00 Individual deposits I 1,053.10 I United States deposits Deposits of U.S. disbursing ollicers""""'"TOO. 57 ! Dne to other national bunks 5,021.00 Due to State banks and bunkers. . 07. 38 2,711.50 Notes and bills re-discounted . 7, 500. 00 Bills payable 102, 332. 08 ""502^50 278, G74. 50 Total. \V. B. SPEAKS, Cashier. $209, 250.28 I Capital stock paid in 4, 700.07 12, 500. 00 Surplus fund : Undivided proiits 278, 674. 50 Total First National Bank, Westmoreland. A. RICHARDS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Uank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items..-. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-ten dor notes IJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 3304. $156, 623. 20 : 1,893. 7G 12, 500. 00 ! 8, 382. 37 1,729.73 595. 05 9, 000. 00 2,956.81 900.71 2, 000. 00 497. 73 1,100.00 18.41 1, 784. 00 4, GOO. 00 A. B. POMEHOY, Cashier. Capital stock paid in. Surplus fund I Undivided j)rofits National-bank notes outstanding . State-bank notes outstanding Dividends unpaid Individual deposits United Statos deposits Deposits of U.S. disbursing officers. •! Due to other national banks |! Due to State banks and bankers .. • I Notes and bills re-discounted ; I Bills payable $50, 000. 00 20, 000. 00 9, 038. 25 11,250.00 105, 091. 25 10. 53 8, 554. 34 502. 00 204, 550. 37 Total . 204, 550. 37 982 REPORT OF THE COMPTROLLER-OP-THE CURRENCY. KANSAS . Fourth National Bank, Wichita. R. T. BEAX, F . \V. W A L L E R . , J R . , Cashier. No. 3683. President. Liabilities. Resources. Loans and discounts Overdrafts U. Si bonds to secure circulation... U. S. bonds to secure deposits i. U. S. bonds oil hand i. Stocks, securities, judgments, e t c . . Duo from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-houso, furniture,and fixtures; Other real estate and mortg's owned; Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $240, 307. 98 Capital stock paid in 1,989.48 j 50,000.00 | Surplus fund $200, 000.00 1G, 000. 00 4, 721. 94 Undivided profits National-bank notes outstanding.. State-bank notes outstanding 2, 001. 07 3, ooo. oo 1,327.45 3, 500. 00 l,501.0G 3,340.00 I 31.17 ' 003. 10 2, 000.00 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposi ts of U. S.disbursing officers. COO. 00 15,014.80 51, 809. 98 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 594. 79 10, 000. 00 2,250. 00 Total . 328,18G. 71 328,180. 71 Kansas National Bank, Witchita. No. 2782. HIRAM W. LEWIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits ! U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. CHAS. E. FRANK, Cashier. $302, 325.41 Capital stock paid in 1,752.82 ! 50,000.00 ' i Surplus fund urplus ndivi I Undivided profits 29, 580.00 41,914.2:} V2L8.10 1,282.08 29, 388. 09 10, 545. 58 2, 4«,:*. 75 13, 780. 05 4f>3.70 ' $250,000. 00 | 24,147.00 4, 915. 00 !'i National-bank notes outstanding.. , State-bank notes outstanding ..'... \\ 1 Dividends unpaid 1 45, 000. 00 1 Individual deposits 1 j • | United States deposits I ; j Deposits of U.S. disbursingofticers-! 147,103. 02 1, 590. 77 Due to other national banks 0, 003. 00 Due to State banks and bankers .. 153. 79 9, 480. 95 Notes and bills re-discounted. 10, 000. 00 Bill s payable 33,125.25 10, 948.05 2, 250. 00 1,000.00 515, 240.12 Total . 515, 240.12 State National Bank, Wichita. B.LOMBARD, J R . , President. Loans and discounts i Overdrafts I U. S. bonds to secure circulation... I U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks j Due from State banks and bankers I Bank'g-liouse,furnituro,and fixtures; Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U". S. bonds Checks and other cash items Exchanges for clearing-house...... Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3524. L. D. SKTXNER, Cashier. $405, 025,93 Capital stock paid in. 882. 35 25, 000. 00 i! Surplus fund j Undivided profits 1,154.30 ;' National-bank notes outstanding.. 08,550.91 ; j State-bank notes outstanding 9, 098. 71 20, 220. 32 i Dividends unpaid 15, 000. 00 4, 934. H O Individual deposits 1,221.07 United States deposits 3, 500. 00 Deposit.sollT.S. disbursingofticors. 350. 04 2, 593. 59 Due to other national banks 23, 035. 00 Due to State banks and bankers . . 138. 75 19, 035. 00 ji Notes and bills re-discounted 20, 000. 00 i! Bills payable $100, 000. 00 07, 500. 00 7, 290. 94 21,700.00 395, 074. 55 20, 205. 80 6,137. <r» 1,000.00 1,125. 00 628, 059. 03 Total. 628, 659. 03 REPORT OF THE COMPTROLLER OF THE CURRENCY. 983 KAN SAS. West Side National Bank, Wichita. No. 3756. R. E. LAWRENCE, President. J. A.DAVISON, Cashier. Liabilities. Resources. Loansand discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand j Stocks, securities, judgments, etc .. i Due from approved reserve agents. Due from other national banks Due from State banks and banlcers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and otter cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $104,113.83 38.97 25,000.00 5,101.99 2,403. 35 3,300. 00 Capital stock paid in $100, 000. 00 3, 000. 00 3,176. 31 Surplus fund Undivided profits 22,500.00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. 120. 00 333.56 0,700. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 90.77 7G3.00 C. 48 1, 843. 70 285. 00 Dno to otber national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 22, 369.34 1,125. 00 • Total. 151,165.65 151,165. 65 Wichita National Bank, Wichita. M. W . LEVY, No. 2786. President. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Duo from Treasurer U. S $639, 265.88 1,406.18 50, 000.00 1, 728. 68 44, 917.80 15, 379. 49 920. 01 50, 000. 00 ],500.00 2, 583. 20 9,291.45 19, 655. 00 172. 23 39,109. 50 30, 000. 00 $250, 000.00 Surplus fund Undivided profits 50, 000. 00 7, 093. 59 National-bank notes outstanding.. State-bank notes outstanding 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 509,409. 51 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 36, 929. 70 9, 746. 62 2, 250. 00 908,179. 42 Total. LYMAN A. WALTON, Cashier. Capital stock paid in. Total. 908,179.42 First National Bank, Winfield. M. L. HEAD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc . . Viw from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house . . . Bills of other national banks Fractional currency, nickels, cents . Specie .' Legal-tender notes U. S. certificates of deposit Redemption fund -with Treas. U. S. Due from Treasurer U. S Total. No. 3218. $255,189. 23 1, 536. 71 31,250.00 45,199.40 66,773. 58 15,148.82 37, 500.00 2, 075. 36 C, 440, 39 3,462. 22 19,440.00 706. 51 38, 977. 00 19, 242.00 W.C.ROBINBON, Capital stock paid in Cashier. $125, 000. 00 Surplus fund Undivided profits 25, 000. 00 20, 539,67 National-bank notes outstanding.. State-bank notes outstanding 28,125.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 319, 890. 71 Duo to other national banks Due to State banks and bankers... 12,525.81 13, 326.28 Notes and bills re-discounted. Bills payable 1,406.25 544, 407.47 Total. 544,407.47 984 REPORT OF THE COMPTROLLER OF THE CURRENCY. KANSAS, Winfield National Bank, Winfield. 11.13. SCIIULER, President. No. 3351. E. T. SCHULKE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dne from approved reserve agents Duo from other national banks Due from State banks and bankers Bank'g-house, furniture, andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Dne from Treasurer TJ. S Total . $235, 708.01 1,007. 90, 25, 000.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 55, 445.15 51, 356.10 27,433. 50 17, 500. 00 Dividends unpaid Individual deposits 2, 048. 69 United States deposits 6, 020. 73 Deposits of U. S. disbursing officers. $100, 000. 00 20,000. 00 59,6-26.10 22,500. 00 254,126. 62 1, 200.16 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 9,610.00 213.48 15,075.00 7, 500.00 1,125. 00 456,252. 72 456, 252.72 Total. Woodson National Bank, Yates Center. N. F. FOLLETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Duftfrom State banks and bankers. Bank'g-liouse, furniture, andfixtnres Other real estate andraortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certiiicates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3108. Capital stock paid in Surplus fund Undivided profits C.JONES, Cashier. $82,128.95 223. 92 12, 500. 00 National-bank notes outstanding.. 3,749.66 , State-bank notes outstanding $50, 000. 00 2, 520. 00 1,237.46 11,250.00 Dividends unpaid if)," 300." 00 11,100.00 Individual deposits 1,120.03 ! United States deposits 3, 704. 58 Deposits of U.S. disbursing officers 2,074.78 • Due to other national banks Duo to State banks and bankers . 730. 00 68.92 3, 391. 50 1, 500. 00 562.50 69, 347. 38 Notes and bills re-discounted Bills payable 3, 800. 00 : 138,154. 84 | Total 138,154. 84 REPORT OP THE COMPTROLLER OF THE CURRENCY. 985 NEBllASKA. First National Bank, Ainsworth. C. G. ALTON, Cashier. No. 4089. F . B. TIFFANY, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits IT S bonds on hand -. ... Stocks, securities,,judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-houso,furniture,and fixture.* Other real estate and mortg's owned Current expenses and taxes paid. .Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. cortifica,tes of deposit Redemption fund with Treas. U". S. Due from Treasurer U. S Total $19,125. 00 1,701.00 12, 500. 00 2,811.37 7, 042. 74 2G. 95 2, 7150. !K) 0, 5.S5. 00 287. 43 3, 515. (13 142. 85 1, 475. 00 11.85 1, 930. (55 700. 00 Liabilities. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing olticers. $25, 000.00 569.42 11,250. 00 24, 900.11 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562. 50 61,785.53 Total . 61, 785. 53 First National Bank, Albion. CHARLES E. WEST, President. Loans and discounts Overdrafts 17. S. bonds to secure circulation ... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Pue from approved reserve agents. Due from other national banks Duo from Stato banks and bankers. Bank'g-houso, furniture,and fixtures Other real estate andmortg's owned Current oxpensesand taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total . No. 3960. Capital stock paid in. Surplus fund Undivided profits F. S. THOMPSON, Cashier. $97,150. 33 2, 007. 58 15, 000. 00 , 1, 250. 00 2, 740. 35 National-bank notes outstanding.. State-bank notes outstanding 13, 500. 00 5, 386. 98 $60,000. 00 Dividends unpaid. 14, 798. 37 1,091.79 3, 738. 45 290. 45 15.1. 00 31.02 ], 480. 00 a, 590. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 49, 971.82 Duo to other national banks . Due to Stato banks and bankers .. Notes and hills re-discounted Bills payable 18, 000. 00 f)75. 00 Total . 145,402.17 145,462.17 First National Bank, Alma. L E V I B, M C M A N U S , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents . Duo from other national banks Due from State banks and bankers. Bauk'g-h ouso, furniture, and fi xtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds ..... Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3580. $44, 273.29 743. 58 12, 500. 00 8,077.10 5, 055. 53 9,791.30 4, 259. 90 3, 000. 00 18.12 2,818.00 "i," 400*50' ED. O'KEEFE, Cashier. Capital stock paid in. Surplus fund Undivided profits $50, 000.00 2, 373.77 19.29 National-hank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 29,654.60 Due to other national hanks Due to Stato banks and bankers .. Notes and hills re-discounted Bills payable 3,468.22 502. 50 96, 765. 88 Total . 96,765.88 986 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, Arapahoe. No. 3302. JOHN W. TOMBLIN, President. TV. J . GREGORY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand I Stocks, securities, judgments, e t c . . I Due from approved reserve agents D u e from other national banks Due from State banks and bankers Bank'g-house, furn iture, and lixtures Other real estate and mortg's owned C u r r e n t expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. TJ. S. Due from Treasurer U . S $81, 461. 91 256. 34 18, 750. 00 318. 35 4, 015. 55 10, 000. 00 5, 498. 22 1, 361. 05 1, 000. 00 321.25 Surplus fund Undivided profits ! National-bank notes outstanding.. \ State-bank notes outstanding I 7, 000. 00 5, 785.04 16,875.00 Dividends u n p a i d . Individual deposits United States deposits Deposits of U. S. disbursing otlicers. Due to other national banks 715.00 3.95 Due to State banks and bankers 3, 243. 65 | Notes and bills re-discounted 80.00 Bills payable 42, 533. 73 j 6, C75. 00 843. 50 128, 768. 77 Total. 128, 768. 77 Total. $30, 000 00 Capital stock paid i n . National Bank, Ashland. O. M. CARTER, President. 3). D. COOI.EY, Caahier. No. 2921. Loansand discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $130,228. 12 2, 760. 93 12, 500. 00 9,133.15 715. 84 * 14,900." 00* 2,442.64 i, 759. 94 1, 085. 00 32.00 7,041. 25 $:>o, ooo. oo Capital stock paid in Surplus fund Undivided prolits 6. 000. 00 4, 403, h4 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 11,250.00 i Individual deposits United States deposits Depositsof U.S. disbui'singotuceri irs.! Due to other national hanks Due to State banks and bankers . Notes and bills re-discounted j Bills payable , 84, 335. 25 27, 178. 28 .. 562.50 Total. • 183,167.37 183,167.37 First National Bank, Auburn. F. W . SAMUELSOX, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate andraortg'sowned Current exx>enses and taxes paid .. Premiums on U.S. bonds ('hecks and other cash,items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3343. D. J . W O O D , Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes o u t s t a n d i n g . . 11,788.94 State-bank notes outstanding 18, 235. 58 346. 70 Dividends unpaid 1,445.68 523. 54 Individual deposits 1,753.36 United States deposits 3, 218. 75 Depositsof U.S.disbursingonicers. 556. 81 ! i D u e to other national banks 4, 090. 00 4. 32 Duo to State banks and bankers .. 7, 684. 22 Notes and bills re-discounted . 105. 00 Bills payable Total . $50, 000.00 5, 500.00 4, 599. 75 11,250.00 80, '272. f.2 12.48 9,180.05 160, 814.80 REPORT OF THE COMPTROLLER OF THE CURRENCY. 987 NEBRASKA. First National Bank, Aurora. No. 2897. J. H. BELL, President. J . F . HOUSEMAN, Cashier. Liabilities. Resources. Loans ami discoun ts | Overdrafts j U. S. bonds to secure circulation... j U. S. bonds to secure deposits ' U. S. bonds on hand ! Stocks, securities, judgments, etc .. j Due from approved reserve agents. i Due from other national banks j Due from State banks and bankers j Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums ou U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks i Fractional currency, nickels, cents. i Specie ' ! Legal-tender notes | U. S. certi ficates of deposit \ Redemption fund with Treas. U. S | Due from Treasurer U. S $108,111.07 1, 391. 01 12, 500. 00 12, 919.99 14, 82(5. (if) Capital stock paid in 5, 500. C O 3, 528. 76 National-bank notes outstanding.. Suitb-bank notes outstanding Dividends unpaid 11, 200. 00 10, 500. 00 Individual deposits 1,209.04 United States deposits 3, 125. 00 Depositsof U. S. disbursing officers. 1, 057. 61 Duo to other national banks 454. 00 Due to State banks and bankers . 9.13 4,781.00 Notes and bills re-discounted . 2, 500. 00 Bills payable 11,250.00 115, 531. 84 502.50 185, 810. 60 Total. $50, 000. 00 Surplus fund Undivided profits 185,810.60 Total. First National Bank, Beatrice. No. 2357. JOHN E. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents Duo from other national banks Duo from State banks and bankers Bank'g-house, furniture, andfixturos! Other real estate andmortg's owned! Current expenses and taxos paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $302,957.01 480.32 25, 000. 00 9, 454.41 174, 348. 05 43, 424. 99 10, 227. 50 50, 000.00 4, 302. 50 2,498.17 4, 850. 00 973.30 4, 949. 05 27, (KJO. 00 $100, 000.00 Surplus fund UndividedI profits 20, 000. 00 22, 350. 07 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 428, 508. 20 Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 8, 080. 29 60, 213. 00 1,125.00 661, 652.16 Total. S. C. SMITH, Cashier. Capital stock paid in. 661,652.16 Total Beatrice National Bank, Beatrice. J . B. "VVEBTON, President Loans and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due frou: approved reserve agents Due from oth^r national banks Duo from Statobanks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes j>aid... Premiums on U. S. bonds Checks and other cash items.... Exchanges for clearing-house . . . Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certi ficates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . D. W. COOK, Cashier. No. 3081. $254, 302.77 I Capital stock paid i n . 1, 202. 08 | 12, 500. 00 I Surplus fund I Undivided profits 50, 247. 29 49, 708.11 1, 000.00 3,420.08 National-bank notes outstanding.. State-hank notes outstanding $50, 000. 00 50, 000.00 7, 705. 45 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 294,411.18 1,074.1)6 540. 00 92. 80 8, 925.. f.O 13,250.00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 502.50 403, 420.03 Total. 403, 426. 63 988 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, Beaver City. No. 3619. DAVIS, President. A. B. EDEE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items. Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $50, 474.82 328. t»T 12, LOO. 00 50.00 8, 778.72 2, 999. 77 1,598.14 6,191. 63 3,973.42 943.72 841.75 2, 533.48 300. 00 2.23 1, 209.80 1, 230. 00 Capital stock paid in 1,500.00 2, 285. G O National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits oj: U. S. disbursing pincers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 31, 802. 30 3, 680. 69 562. 50 Total . 100, 518. 65 Total. $50,000. 00 Surplus fund Undivided profits 100, 518.65 First National Bank, Blue Hill. HENRY GUND, President. II. Gr. KOKHLRK, Cashier. No. 3419. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... 17. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks Due from State backs and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $107,195.40 Capital stock paid in. 1, 788. 41 12,500.00 j Surplus fund Undivided proiits 100.00 National-bail k notes outstanding.. 6, 380. 70 State-bank notes outstanding 1 3,-290.35 Dividends unpaid 5, 500. 00 Individual deposits "934.62* United States deposits 1, 000. 00 Deposits of U.S.disbursing officers. 293.14 Due to other national banks 2, 786.00 Duo to State banks and bankers . . 54. 23 3, 625. 00 Notes and bills re-discounted 1, 500.00 Bills payable 562. 50 500.00 148,010.41 Total. $50,000.00 10, 000. 00 11,560.33 11,250.00 40,860. 96 9, 383. 87 8, 955.25 148,010.41 First National Bank, Broken Bow. S. H. BURNHAM, President. Loans and discounts O verd rafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. L. II. JEWKTT, Cashier. No. 3449. $50, 000.00 Capital stock paid in . 10, 000. 00 Surplus fund 14,176.95 Undivided profits. 20,496.87 National-bank notes outstanding.. 11, 250. 00 10, 970.32 State-bank notes outstanding-.... $111,064.33 1, 512.63 12, 500. 00 6, 407. 50 ],540. 96 12,328.64 11,596.48 691.60 1, 938.74 1, 369.30 Dividends unpaid. Individual deposits I United States deposits j Deposits of U.S. disbursing oiEcers 730.00 21.50 331.00 4, 000. 00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 5, 000.00 89,131. 03 18, 503. 79 562. 50 198, 062.37 Total . 198, 062. 37 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 989 NEBRASKA. Central National Bank, Broken Bow. O. J. COLLMAN, President. No. 3927. J. H. INMAN, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national ban its Duo from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes 17. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $114,214.88 1,232.64 15, 000. 00 f>,617.02 Capital stock paid in 2, 000. 00 3, 457. 05 National-bank notes outstanding State-bank notes outstanding... 1,173. 37 11,117.51 Dividends unpaid 6, 000. 00 Individual doposits Tinited States deposits 4, 537. 50 Depositsof U.S.disbursing officers. 540. 50 Duo to other national banks 230. 00 Due to State banks and bankers.. 77.87 2, 880.80 Notes and bills re-discounted. 7, 085.00 Bills payable 13,500.00 18.00 (51,478.52 5,745. 53 25, 500. 00 075. 00 171, 700. 00 Total. $00, 000. 00 Surplus fund urp Undivided profits 171,700.00 Total First National Bank, Chadron. BAUTLETT RICHARDS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits 1J. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents Due from otlier national banks Due from State banks and bankers. Baiik'g-house,iurnituro,aud fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specio Legal-tender notes II. S. certificates of deposit Redemption fund with Treas. TJ. S. Duo from Treasurer TJ. S No. 3823. $81,025. Gl 1,447.30 12, 500. 00 2, 830. 51 727.54 10, 000.00 919. 54 3,150.25 110. 02 24. 50 3, 798. 60 5, 860.00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $50, 000.00 2, 000. 00 5,107.14 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits ofU.S.disbursiug officers. 37,123.11 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 1, 612.21 10, 792.00 5,000.00 ""562."50" 122, 974.46 Total. A. L. MILLER, Cashier. Capital stock paid in Total. 122, 974. 46 First National Bank, Columbus. ANDREW ANDERSOX, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Duo from other national banks Duo from State banks and bankers. Bauk'g-house, furniture, andfixtures Otherreal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds. Checks and otlier cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. O. T. ROEN, Cashier. No. 2807. $192,994.93 Capital stock paid in. $60, 000. 00 2,810.82 15, 000.00 Surplus fund 20, 000.00 8,136. 79 Undivided profits 13, 500. 00 10, 265. 27 National-bank notes outstanding.. 11, 086.25 State-bank notes outstanding. 4,000.00 Dividends unpaid. 11, 822. 38 Individual deposits 144, 689. 97 " 1T118. 83 United States deposits 1, 560,00 Deposits of U. S. disbursing officers 1,389.48 Duo to other national banks 205. 00 Duo to State banks and bankers.. 1.59 10,121.35 Notes and bills re-discounted 22, 420.14 5, 690. 00 Bills payable 675. 00 263, 746. 90 Total. 268,746.90 990 REPORT OF THE COMPTROLLER-OF THE CURRENCY. \ u \ su \. First National Bank, Crete. JOHN L. TIDBALL, President. No. 2706. L. I I . DEXISON, Cashier. Kesources. , Loans and discounts j Overdrafts | U. S. bonds to secure circulation...! U. S. bonds to secure deposits j U. S. bonds on hand I Stocks, securities, judgments, etc . . ' D uo from approved reserve agents. j Due from other national banks ! Due from Stato banks and bankers. Bauk'g house, furniture, and fixtures Other real estate and mortg's owned C u r r e n t expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund w i t h Treas. U. S. D u e from Treasurer U . S Total. Liabilities. _ __. _ !j • $163,623.54 I Capital stock paid in I 3,061.71 || 15,000.00 ,j Surplus fund I Undivided profits Undivided profits 19, 959.92 20,856. 33 j j I! .j j $60,000.00 ]K, 000. 00 6,421.80 National-bank notes outstanding.. I State-bank notes outstanding ,. Dividends unpaid . 2, 900. 00 *2*365'2<)" 3,500. 00 1,9(50.45 619.00 28.9 L 4,789.85 5,000. 00 Indi vidual deposits , United States deposits Depositsof U.S.disbursingolHeors.! Due to other ban ks Due t o o t h e r national banks Duo to State banks and bankor.s . . 141, 675. 33 4,742.78 Notes and bills re-discounted . Bills payable 675.00 244,340.00 244, 340. 00 Total. First National Bank, David City. THOMAS WOLFE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents. Duo from other national banks Duo from State banks and bankers. Baiut'g hout»o,furniture,antlfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes X . S. certificates of deposit T Kedemption fund with Treas. U. S. Duo from Treasurer U. S Total. J. G. l 2902. $100,508.10 626. 66 12, 500.00 619.08 Capital stock paid in. fctS Cashier. $."0, 000. 00 Surplus fund Undivided profits 10,000.00 5,518.28 National-bank notes outstanding. State-bank notes outstanding . 11,250.00 ""209.' 34' Dividends unpaid •.. "4,710.60' •> 250.00 I Individual deposits United States deposits J. . 1, 505. 25 763.23 I Depositsof U.S. disbursing o'lieurs- . . 140.58 1 Due to other national banks ! 200.00 ! Due to State banks and bankers...!.. 4.82 I 5,456.00 I Notes and bills re-discouuted l!150 Bil Is payable 46,711.04 1,111.24 4, 650. 00 562.50 129, 270. 56 Total. 129,270.56 Central Nebraska National Bank, David City. W I L L I A M M. BUNTING, President. I Loans and discounts ! Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents Duo from other national banks Duo from Stato banks and bankers. 1 aik'g-lDuse,furniture,andfixturcs > Other-1 cal estate and mortg's owned Current expenses and taxes paid . . . Premiums on U. S. bonds 0 b o c k s and other cash items Exchanges for clearing-house Bills of other nationafbanks Fractional currency, nickels, cents . Specie Legal-tender notes U . S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3801. $154,421.36 3, 745.02 25, 000. C O GEOKOE K. COLTON, Cashier, Capital stock paid in. Surplus fund. p Unuivid( divided profits National-bank notes outstanding.. 4,144. 53 \ State-bank notes outstanding . . . . . . 933.01 787. 50 Dividends unpaid j 3, 665. 23 j Individual deposits j 1,727.73 1 United States deposits 6, 300. 00 ,J Depositsof U.S. disbursingollicers.' 487. 79 ! Due to other national banks 500. 00 Due to Stato banks and bankers . . 10.13 5, 454.25 Notes and bills re-discountod 4, 995. 00 Bills pay7able $100, 000. 00 3, 100.00 2, 095. 86 22, 500. 00 71,176.69 9,424.00 5, 000.00 1,125.00 213,296.55 Total. 213, 296. 55 991 REPORT OF THE COMPTROLLER OF THE CURRENCY. \ i: n u \ s ii v . City National Bank, David City. No. 3934. 13. O. PERKINS, President. EDW'D E. LEONARD, Cashier. Liabilities. Resources. Loans and discounts O verd rafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. H. bonds on hand Stocks, securities, judgments, etc - Due from approved- reserve agents Due from other national banks Due from Stare banks and bankers Ban k'g-house, furniture, andiixtu res Otherreal estate and mortg's owned Current expenses and taxes paid Premiums ou IT. S. bonds Cheeks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. IT. S . Due from Treasurer U. S Total. $143,183.47 . 1,502.94 12, 500. 00 $50,000.00 Capital stock paid in 600. 00 6, 861.11 Surplus fund Undivided profits 297. G O 7, 412.36 300. 2 L 11, 250.00 National-bank notes outstanding State-bank notes outstanding . . . Dividends u n p a i d . 13, 917. 08 GOO.00 4, 039. 78 3, 484. 38 71.53 Individual deposits United States deposits Deposits of U.S. disbursing officers. 103, 770.30 Due to other national banks Due to State banks aud bankers . . 1,010.00 30. 24 4, 975. 00 G, 812.00 2, 367. 68 26, 000. 00 Notes and bills re-discounted Bills payable 5G2. 50 200, 849. 09 Total. 200. 849.09 First National Bank, Dorchester. J . H . CI-.AUK, President. J. C. TIIUUSTOX, Cashier. No. 3390. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Dno from other national banks Due from State banks and bankers Hajik'g-house, furniture, andtixtures Other real estate andmortg's owned Current expenses and taxes paid... PrenMiinis on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $87, 776. 85 502.01 12, 500. 00 1 Capital stock paid in 1 $50, 000.00 4, 000.00 572.62 i | Surplus fund j Undivided profits National-bank notes outstanding. State-bank notes outstanding 14, 832. 20 7,409.10 11,250.00 Dividends unpaid. 6,134. 06 625. 00 221.22 Indi vidual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 4, 817. 84 HIJO. 26 153. 00 12. 70 5, 445. 75 75,167. 00 833. 47 562.50 141, 823. 09 Total.. 141, 823. 09 First National Bank, Elm Creek. J O H N J. BAUTIJKTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from a])proved reserve agents Duo from other national hanks . . . Due froia State banks and bankers Bank'?; house,furniture,anduxtures Ot her real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Duo from Treasurer U. S , Total. No. 39;)l). IIKMIAKD A. LUMLEY, Capital stock paid in $60, 985. 47 22. 37 .12, oOO. 00 Surplus fund Undivided profits i National-bank notes outstanding.. i State-bank notes outstanding :*, 246. 70 1,525.41 Cashier. $50, 000. 00 200. 00 2, 267.81 11,250.00 . ;i Dividends unpaid. 661.75 900. 00 83. 00 1.96 882.15 280.00 ' Individual deposits • TTni ted States deposits J Deposits of U.S. disbursingofficers. ! Duo to other national banks j Due to State banks and bankers .. ! Notes and bills re-discounted .! Bills payable 24, 982. 33 3, 262.50 562. 50 91,962.64 j Total. 91,962. 64 992 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, Exeter. No. 3121. H. G. SMITH, President L. 0. GILBERT, Cashier. Kesouroes. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to securo circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. I Bank'g-house,fumiture,and fixtures' Other real estate and mortg's owned j Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $51, 501. 6! > ; Capital stock 141.17 I J 2, 500. 00 i Surplus fund Undivided x>rotits . National-bank notes outstanding.. State-bank notes outstanding 1,595. 90 2,592. Oi. ! Dividends unpaid 7,000.00 1,500.00 ; Individual deposits 2(H. 04 ; United States deposits 2,984.38 ! DepositsofTJ.S.disbursingoflicors. ; 440.15 Due to other national banks J85. 00 Due to State banks and bankers . 50. 50 5, 035. 75 Notes and bills re-discounted . 285. 00 Bills payable 2,019.29 1, 386. 21 11,250.00 21, 988. 71 562. 50 86, 644.21 Total. 86, 644.. 21 Total. $50, 000. 00 paid in Exeter National Bank, Exeter. W. H. TAYLOR, President. Loans and discounts Overdrafts U. S. bonds to securo circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S WM. H. WALLACE, Cashier. No. 3117. $141,844.42 Capital stock paid in. ~ $50, 000.00 114.85 12, 500.00 Surplus fund 25, 000. 00 8,118.66 Undivided profits National-bank notes outstanding.. State-bank notes outstanding ..... 8,624.15 13,539.28 Dividends unpaid "5,000.66 I Individual deposits 316. 93 ; United States deposits • Depositsof U.S.disbursingofficors. 11.00 Due to other national banks , Due to State banks and bankers . 166.71 5, 448.70 Notes and bills re-discounted . 1, 565.00 Bills payable 89, 764. 71 5, 560.17 562.50 :I -| 189,693.54 |j Total. 11,250.00 Total. 189,693.54 First National Bank, Fairbury. D B. CKOPSEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand 4 ..'. Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TT. S Total . No. 2994. $76,026. 92 1, 789.15 12,500.00 E. E. MCDOWELL, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. 10,013.28 I State-bank notes outstanding 403.89 I Dividends unpaid. $50, 000.00 8, 600, 00 3,199. 66 11,250.00 20, 000. 00 Individual deposits 3,310.30 United States deposits 3 I' 39 r 0 Depositsof U.S. disbursing officers. 1,' 879.36 Due to other national banks 1, 820. 00 Due to State banks and bankers . H6.04 4, 610. 00 Notes and bills re-discounted . 2, 507. 00 Bills payable 63, 941. 28 562. 50 136, 990. 94 Total. 136, 990.94 REPORT OF THE COMPTROLLER OP THE CURRENCY. 993 NEBRASKA. First National Bank, Fairfield. No. 3493. W. S. NEWCOMB, President. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits XJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-bouse,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and oilier cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit liedemption fund with Treas. U. S. Due from Treasurer U. S Total.. IRA TITUS, Cashier. Liabilities. $112,556.31 | Capital stock paid iu. 234.58 I 12, 501). 00 ! Surplus fund. $50, 000. 00 3,130.00 3, 803. 89 Undivided profits. 7, 322. f,0 34. 79 4, 950. 68 660. 00 1,126. 'V.) 875. 00 12. 02 195. 00 25. 92 1, 000. 05 1,197. 00 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers . Due to other national banks Due to State banks and bankers.. Notes and bills re-discouutod Bills payable 11,250.00 59, 982. 80 400. 67 1,152. 37 13, 532. 95 562. 50 Total . 143, 252. 68 143, 252.68 First National Bank, Falls City. S. B. M I L E S , No. 2746. President Loans and discounts. Overdrafts . . . ' . U. S. bonds to secure circulation... XJ. s. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current, expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes II. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. $116, 573. 77 5.95 12, 500. 00 60,201.83 P . H. JUHSEN, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Un di vided profi ts 14, 000. 00 39, 527. 65 National-bank notes outstanding .j State-bank notes outstanding.. 11,250.00 Dividends unpaid 5, 000. 00 1, 058. 37 2, 500. 00 255. 00 635. 00 .43 12, 091. 25 2, 915. 00 Individual deposits nited States deposits Deposits of U.S. disbursing officers. 99,135.60 Due to other national banks Due to State banks and bankers.. 78.40 307. 45 Notes and bills re-discounted. Bills payable 562.50 214, 299.10 Total . 214, 299.10 First National Bank, Fremont. EDWARD BLEWETT, President. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents. Due from other national banks Due from State banks and banken Bank'g-house, furniture, awl fixt ures Other real estate and mortg's owned Current expenses and taxes p a i d . . Premiums on XJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie ". Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H ? Ex ? 3 No. 1974. 2, 600. 67 I National-bank notes outstanding.. State-bank notes outstanding 45, 494.19 2, 527. 01 2, 341.1)9 Dividends unpaid. 7, 424. 00 I Individual deposits 2,145. 80 jj United States deposits |' DepositsofU.S.disbursing officers. 3, 022. 73 j| Due to other national banks 1, 700. 00 ji Due to State banks and bankers . . 152.49 j ! 5, 559. 45 j, Notes and bills re-discounted 14, 000. 00 : liills payable $150,000. 00 30, 000. 00 13, 453. 33 33, 750.00 240, 810. 73 204. 48 15, 455. 20 19,000. 00 " i , (587. 50 502,073.74 i| 03 C. ~M. WILLIAMS, Cashier. $374, 875. 53 I; Capital stock paid in 1, 642. 38 37, 500. 00 , Surplus fund . Surplus j Undivi ded profits Total 502, 673. 74 994 KEPOKT OF THE COMPTROLLER OF THE CURRENCY. Farmers and Merchants' National Bank, Fremont. G. W. E, DOKSEY, President. 2\o. 3188. WM. E. SMATLS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds ou hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hou8e,furniture,anduxtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for cleariu g-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. .253, 489. 38 1, 934. 10 25, 000. 00 100. 00 10, 632. 89 4, 084. 44 420. 65 3,105. 00 Capital stock paid in $100, 000. CO Surplus fund Undivided profits , 5, 000. 00 9, 240. 73 National-bank notes outstanding.. State-bank notes outstanding 22,500.00 Dividends unpaid. Individual deposits United States deposits 6, 9!)(i. 25 Deposits ofU.S.disbursing officers. 3, 720. 58 Due to other national banks 345. 00 Due to State banks and bankers .. 22(5. 50 5, 405. 00 Notes and bills re-discounted 10, 002. 00 Bills payable 1,125. 00 Total . 326, 58G. 79 143, 434. 05 380.10 10, 741. 74 35, 340.17 • 326, 586. 79 Fremont National Bank, Fremont. No. 2848. L. M. KEENE, President. Loans and discounts . — Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house,fumiture,andtixtures Other real estate andmortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. $337,538. 39 2,712.18 37, 500.00 24, 787. 53 754. 48 "'9,*6o6"o6" 1, 554. G G 2, 219. 05 685." 16" 6,124.00 (id. 91 12, 435. 70 9, 000. 00 JULIUS BECKMAN, Cashier. Cax>ital stock paid in $150,000.00 Surplus fund Undivided profits , National-hank notes outstanding.. State-bank notes outstanding Dividends unpaid 35, 000.00 18, 272.94 33, 750.00 , Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks , Due to State banks and bankers. Notes and bills re-discounted Bills pas able 204, 642. 56 5, 000. 00 1, 687. 50 446, 065. 50 Total . 446, 665. 50 First National Bank, Friend. L. E. SOUTHWICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from >wtate banks and bankers. Bank'g-house,furniture,andnxtures Other real estate andmortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2960. $121,669.81 1,303.16 12, 500. 00 14,846/26 26.17 W. O. SOUTHWICK, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits 12, 000. 00 5, 577.95 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid. 6, 850. 00 3, 350.00 2, 456.06 1, 063.75 3,286.73 Individual deposits United States deposits Deposits of U.S. disbursing officers. 77, 779. 51 323. 00 73.59 6, 608. 55 Duo toother national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 1,304.86 2, 185. 74 14, 621. 52 562. 50 174,719.58 Total. 174, 719. 58 UKl'OR'i' O F T.UE (JOMl'TKOLLKU. O F T11K. I.UJURE.NCV. U95 NEBRASKA. First National Bank, Fullerton. THEO. C. KOCH, Cashier. No. 2964. CHAUNUEY AYILTBE, President. Liabilities. Resources. Jjoa.ii8 and discount:* -• • Overdrafts II. S. bonds to secure circulation... \ I. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. BankV-house, furniture, and fixtures Other'real estate and mortg'sowned Current expenses and taxes paid... Premiums ou U. S. bonds C hecks and other cash items E xchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tendor notes U. IS. certificates of deposit .Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. 30, 002. 21 4, 075. 70 11, 250.00 Dividends unpaid '"i," 007." 56* Individual deposits . . . United States deposits i)e]>ositsoi" U.S. disbursingofficers- 43, 4G0. 23 "i, (U2. 37 Due to other national banks 2,580. 66" 59.63 8,100. 25 2, 815.00 Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 562. 50 $73. 764. 08 2, 251. 67 12, 500. 00 5,"i65."68" 2, 638. 07 3^ 54(>! 88 55.10 560."oo" 10.44 2,155. 00 127.00 144, 848. 20 Total. P . J . MTLLEU, Cashier. $50, 000. 00 Capital stock paid i n S u r p l u s fund .. ..... Undivided profits .... 3, 372. 89 National-bank n o t e s o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g . . . . . 11, 250. 00 Dividends u n p a i d Individual deposits U n i t e d States deposits Deposits of U.S. d i s b u r s i n g officers. 40, 316. 49 D u e to other national b a n k s D u e to State b a n k s and b a n k e r s N o t e s and bills re-discounted 562.50 110, 93!). 38 Total First National Bank, Gibbon. No. 3921. Loans and discounts Overdrafts TJ. S. bonds to secure circulation. . . U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . ' I) ue from approved reserve agents Due from other national banks Duo from State banks and bankers Bauk'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks' Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S $50, 000. 00 2,648.32 110, 939.38 Total «• j N at ion al -bank notes outstanding.. 16,03lJ. 40 ! State-bank notes outstanding . . First National Bank, Geneva. No. 4052. Overdrafts U. S. bonds t o secure c i r c u l a t i o n . . . 11. S. bonds t o secure deposits lT S bonds on h a n d Sleeks, securities, j u d g m e n t s , e t c . . D u e from approved r e s e r v e a g e n t s . i)ue from o t h e r national b a n k s Due from Slate b a n k s and b a n k e r s , liank'g- house, furniture, and fixtures O t h e r real e s t a t e and rnortg's owned C u r r e n t expenses and t a x e s p a i d . . . Prenii urn s on U. S. bonds Checks and other cash i t e m s E x c h a n g e s for clearing-house Bills of o t h e r national b a n k s " F r a c t i o n a l currency, nickels, c e n t s Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund w i t h T r e a s . U . S. D u e from T r e a s u r e r U . S JAMES H. DAVIS, President. Capital stock x>aid in Surplus fund Undivided profits 144, 848. 20 Total. G. W. SMITH, President. $98, G;">0. 95 245.16 12, 500. 00 H. F. FLINT, Cashier. Capital stock paid i n . $71, 884.18 20J. OH Surplus fund 12, 500.00 Undivided x>rofits 9, 462.08 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding . . . . . $50, 000. 00 5, 500. 00 3, 093.17 11,250.00 Dividends unpaid 799. 88 ""534.79 3, 437. 50 745. 00 67. 74 3, 496. 00 1, 000.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 34, 908. 43 Due to other national b a n k s Due to State banks and bankers . . Notes and bills re-discounted.. Bills payable 5G2. 50 104,751.60 Total. 104, 751. 00 1)96 KEPOKT OF Till) COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, Grand Island. S. N. WOLBACII, President No. 2779. C.F. RKXTLKY, Cashier, Resources. Loans and discounts Overdrafts TJ. S. bonds to secures circulation... IT. S. bonds to secure deposits IT. S. bonds on band ...' Stocks, securities, judgments, etc.Duo from approved reserve agents Due from other national banks Due from State bnnks and bankers Bank'g house,furniture,andtixtiires Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S r Total . Liabilities. Capital stock paid in $271,742.44 7,591.20 25.OUO.00 | Surplus fund.. $100,000.00 42, 000. 00 4, 88:',. yo Undivided pro National-bank notes o u t s t a n d i n g . 54,381.41 ! State-bank notes outstanding 16,293.on Dividends unpaid 9, 130. 80 Individual deposits 2*77(5.14 United States deposits 1, 9138. 75 Deposits of U.S. disbursing officers. 919.75 Due to other national b a n k s 300.00 ;i Due to State banks and b a n k e r s . . 119.84 i| 11,002.55 I1 Notes and bills re-discounted. , 3,48<J. 00 ! Bills payable 22, 500. 00 . 100.00 232, 759. 99 2,818.02 1,429. 13 1,125.00 i 400,491.03 Total. 400, 491. 03 Citizens' National Bank, Grand Island. HENRY A. KOESIG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on band Stocks, securities, judgments, etc.. Due from ap| roved reserve agents Due from other national banks. Due from State banks and bankers. Ban k'g-house, furni tu re, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3101. GEO. A. MOIIBKNSTECKKU, Cashier. $200, 232.21 Capi tal stock paid in $00, 000. 00 1,84(5.30 15, 000. 00 Surplus fund 25. 800. 00 6, 000. L'9 Undivided profits National-bank notes outstanding.. State-bank notes outstanding 24,156.39 507. 2L 2, 500. 00 13, 500. 00 Dividends unpaid Individual deposits 2,'504."47" United States deposits 3, 500. 00 Deposits of U.S. disbursingofficers 1, 041. 27 Due to other national banks 2, 690. 00 Due to State banks and bankers . 438.21 13, 397. 60 Notes and bills re-discounted . 4, 656. 00 Bills payable 233, 844. 37 675. 00 339,144. 66 Total. 339,144. 66 First National Bank, Greenwood. JOHN FITZGERALD, President. Loans and discounts Overdrafts to secure circulation... U. S. bonds IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankersBank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums ou IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents' Specie Legal-tender notes "U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U S Total N.H.MEKKEB, Cashier. No. 3iO3. $121,380. 8S 3 1)98.00 12,500.00 Capital stock paid in ; 2,181 04 1,974.91 113. 70 8, 000. 00 1,040.83 18." 22* 000.00 33. 62 6,115. 00 Surplus fund Undivided profits $50, 000. 00 14,000.00 3, 639.69 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid 11,250.00 Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers.. 54, 902. 32 Notes and bills re-discounted Bills payable 9, 738. 75 15, 000. 00 562. f>0 158, 530. 76 Total 158, 530. 76 IiEPORT OP THE COMPTK.OI..LHU OL1 THE CURRENCY. !)97 NEBRASKA. First National Bank, Harvard. THOMAS II. MATTERS, President. No. 4129. J E S S E F . ELLEB, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc Due from approved reserve agents. Due: from other national banks Due from State b.inksand bankers. Bank'g-house, furniture, and fixtures Other real est ate and morl g's owned Current expenses and taxes p a i d . . . Premiums on IT. S. bonds Check; Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ' Legal-tender notes .... U. S. ceri iiicates of deposit Redemption fund with Treas. U. S Due from Treasurer XJ. S Total $12,118.09 819.90 7, 000. 00 113.43 1,458.08 4, 520. 10 Capital stock paid ill. $25, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Divi leTs.ls unpaid Individual deposits. 90. 52 United Statess deposits 1, 907. :>0 Deposits of U.S. disbursing officers. 825. 00 8. 37 78i.2O 552. 00 149. Go 4, 500.74 Due to other national banks Duo to State banks and bankers . Notes and bills re-discounted. Bills payable '29, 710. 39 ' 29, 710.39 Total . First National Bank, Hastings. No. 2528. ALONZO L. CLARKE, President. Loans and discounts Overdrafts U. 8. bonds to secure circulation . . 11. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc .. Dae from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bankg-house, furniture, andfixturos Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bi 11s o f other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $437, 518. 76 1,208.09 25, 000.00 J A M E S N. CLARKE, Cashier. Capital stock paid in . $100, 000. 00 ; Surplus timd Undivided profits National-bank notes outstanding 02 971. 03 State-bank notes outstanding... 14, 522. 80 2, 140. 5:5 22, 000. 01 2,218.50 5, 700. U0 1, 830. 83 1, 125.75 2, G7H. 00 41.17 9, 130. 00 12, 000. 00 50, 000. 00 47, 215.49 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingomcers. 329,159.77 Due to other national banks Due to State banks and bankers -. Notes and bills re-discounted Bills payable 4, 374. 97 20, 074.16 21, 300. 00 1,125.00 601, 224.39 Total . 601, 224. 39 City National Bank, Hastings. H, BOSTWICK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand . . . Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture.and fixtures OtberVeal estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S, certificates of deposit Redemption fund with Treas. IT. S Due from Treasurer U. S Toted No. 3099. J . M. FERGUSON, Cashier. ,272, 483.41 r: Capital stock paid in 5,034,28 ! 25,000.00 j! Surplus fund Undivided profits. | National-bank notes outstanding.. 32, 081. 74 I State-bank notes outstand ing 1,784,22 800. 90 i Dividends unpaid 2, 700. 00 j Individual deposits , 2, 280.42 \ United States deposits 1, 700. 00 I Depositsof U.S.disbursingolIicers. 2, 009. 50 2, ()(,0. 00 238. 54 11,462.50 8, 097.00 Due to otber national banks Due to .State banks and bankers . Notes and bills re-discounted Bills payable $100,000.00 20, 000. 00 6, 074. 67 22, 500. 00 179, 865. 75 7, 967. 87 33, 675.28 1,125.00 370, 083. 57 Total 370, 083. 57 998 REPORT OF THE COMPTROLLER OF THE NEBR A SKA. Exchange National Bank, Hastings. Xo. 3086. I. M. RAYMOND, President. A. YEAZEL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Ban k'g-house, furniture, and fixtures} Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks cents . Fractional currency, nickels, Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $237,705.09 ! Capital stock paid i n . G, 398.G3 | 25,000.00 } Surplus fund Undivided profits 50. 00 5, 0L7.05 3,160.00 j .| $100,000.00 40, 000. 00 11, 7U4. 03 Xational-bank notes outstanding.. State- bank notes outstanding "3," 599.' 49*: 4, 738. 70 1, 057. 71 1,400.00 ; Dividends unpaid Individual deposits United States deposits Deposits of TJ. S. disbursing officers. 190.30 2,275.00 46. 88 1 11, 523. 75 3,143. 00 22, 500. 00 Due to other national banks Due to State banks and bankers . 2Totes and bills re-discounted Bills payable 3, 03G. 00 72, 821. 89 13,901.52 11, 757. 76 30, G50.00 1,125.00 Total. 306,431. 20 306, 431.20 German National Bank, Hastings. CHARLES H. DIETRICH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers. B;mkg-house,fumiture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums 011 U. S. bonds Checks nnd other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due fromTreasurer TJ. S Total. . H. FULLER, Cashier. Xo. 3732. Capital stock paid in, Surplus fund Undivided profits . 2, 741. 33 National-bank notes outstanding.. 6, 650. 34 State-bank notes outstanding 3, 397. 58 Dividends unpaid "3"624. 61 Individual deposits 1,643.43 United States deposits 3, 350.00 Depositsof U.S.disbursingomcers. 301. 60 Due to other national banks 1, 445.00 Due to State banks and bankers .22. 34 4,335.00 !N^otes and bills re-discounted 3, 000.00 Bills payable $121,081.16 2, 536. 71 ,12, 500. 00 $50, 000. 00 11,611.53 11,250.00 80,189. 47 2.89 4, 510. 23 9, G27.78 5Q2. 50 167,191.90 167,191.90 Total. First National Bank, Hebron. A. G. COLLINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-honse,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie .' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer X . S T Total. No. 2756. $141, 848. 77 867. 84 18, 750.00 5,785.10 I 850.48 3,097.60 I 9, 145. 00 J, 046. 49 83;?. 5!) 1, 049. 72 7, 315. 00 127.10 7, 959. 50 G, 032. 00 J . H. LYNCH, Cashier. Capital stock paid i n . " $75, 000. 00 Surplus fund Undivided profits . 13,7.10.00 3, 737. 22 Xational-bank notes outstanding.. State-bank notes outstanding 10,8r.o. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Xotes and bills re-disconnted. Bills payable , 85. 00 91,129,72 r>, 000.00 843. 75 205,551.94 Total.. 205, 551. 94 REPORT OF THE COMPTROLLER OF THE CURRENCY. 999 NEBRASKA. First National Bank, Holdrege. No. 3208. R S. MCGREW, President Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hou.se,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national panks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. S. E. MCNAUL, Cashier. Liabilities. $148, 825. 81 253. 69 15, 000.00 5, 466. 83 3, 700. 20 $60, 000. 00 Capital stock paid in. Surplus fund Undivided profits 30, 000. 00 11, 193. 10 National-bank notes outstanding.. State-bank notes outstanding 13,500.00 Dividends unpaid 15,465. 90 1, 516. 70 1, 200. 00 1,136.96 740.00 60.40 4, 641.10 3,007. 00 Individual deposits United States deposits . . v Deposits of U.S. disbursing officers. Due to other national banks Due to State bank^ and bankers . Notes and bills re-discounted Bills payable 55, 807.89 31,278.60 675. 00 Total . 201, 779. 59 201,779.59 Holdrege National Bank, Holdrege. No. 3875. A. TEAZEL, President. Overdrafts .- . . . U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie .... Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total $85, 346.36 1,560.18 12, 500. 00 2, 519. 37 2," 667." 65" ' 83;J! 93 447. 20 " 247. 74 725. 00 115. 51 4,107. 50 740.00 M. E. IIYMKR, Cashier. Capital stock paid in Surplus fund Undivided profits $50, 000. 00 4, 000. 00 2, 781.94 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S. disbursing of licers. 28, on. 42 Due to other national banks Due to State banks and bankers .. 320. 78 137. 20 Notes and bills re-discounted Bills payable . . . . 16, 251. 53 562. 50 113, 682. 87 Total 113, 682. 87 First National Bank, Humboldt. jr. W. SAMUELSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-h ouse, furniture, an d fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . JAH. K. LIGGETT, Cashier, No. 3238. $50, 000. 00 Capital stock paid in Surplus fund 7, 500. CO 1,541.74 Undivided profits National-bank notes outstanding.. 11, 2f»(>. 00 6, 886.47 State-bank notes outstanding $97, 307. 74 1, 521. 75 12, 500. 00 20, 910. 88 39.26 5, 658. 25 447. 95 2, 703. 13 477.77 Dividends unpaid. I n d i v i d u a l deposits U n i t e d States deposits Deposits of U.S. disbursing officers. 85, 8.'8, 82 D u e to other national b a n k s D u e to State b a n k s a n d b a n k e r s . 52.61 1,787.25 5, 295. 00 Notes and bills re-discounted. Bills payable 562."50" 156,150.5(5 Total 15fi, 150.56 1000 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, Indianola. JATO. J. LAMBORX, Cashier. No. 3483. JAMES W. DOLAN, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national hanks Due from State banks and bankers. Bank'g-ho use, furniture, and fixtures Other real estate and moi tg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. $53, 358. 21 Capital stock paid in. 82 L X L 12, 500. 00 Surplus fund 9, 316. 55 5, 829. 03 12, 002. '28 25. 42 11,118.55 3, 877.25 1, 305. 59 875. 00 76.77 400. 00 9.70 4,255.75 1, 913.00 $50, 000. 00 Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 10, 000. 00 3,580.35 11, 250. 00 Dividonds unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 36, 932. 95 6, 600. 07 562.50 118, 309.97 118, 369. 97 Total. First National Bank, Kearney. L E W ROBERTSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k' g-ho u so, furniture, and fixtures Other real estate and morig's owned!. C urren t expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2806. $390, 533.17 4, 074.37 50, 000.00 1, 522.40 20, 930. 57 2, 341. 73 F . Y. ROBERTSON, Cashier. $200, 000. 00 Capital stock paid in. 4, 000. 00 7, 29:). 81 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding.."... 44, 990. 00 Dividends unpaid "10,450*75' 3, 044. 64 3, 329. ?,1 3, 060. 05 07. 00 5, 078. 00 12, 000. 00 Individual deposits United States deposits ; DepositsolU.S. disbursing officers, i Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 196, 832. 74 32, 068.50 25, 000.00 2, 250. 00 510,182. 05 Total. 510,1«2. 05 Buffalo County National Bank, Kearney. Ross GAMBLE, President. Loans and discounts . Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agentsDue from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixturosj Other real estate and mortg's owned Current expenses and taxes paid...! Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total., No. 3526. A. T. GAMBLE, Cashier. $209,008.52 : Capital stock paid in 713.95 25,000.00 Surplus fund 10,472.07 529.83 Undivided profits National-bank notes outstanding..! State-bank notes outstanding .. $100,000.00 40, 000. 00 5, 905.21 22, 500. 00 Dividends unpaid 20,432.51 Individual deposits 2. 155. 00 United States deposits I! 708. 35 Deposits of U.S. disbursing officers. 1, 701.61 Due to other national banks 525. 00 Due to State banks and bankers . 8.41 7, 544. 60 1 Notes and bills re-discounted 6, 580. 00 ; Bills payable 1G5,409.20 13,750.45 1,125. 00 347, 504. 80 Total. 347, 504. £ REPORT OF THE COMPTROLLER OF THE CURRENCY. 1001 NEBRASKA, City National Bank, Kearney. No. 3058. F. G. KEENS, President. J. S. AD AIR, Cashier. Resources. Liabilities. Loans and discounts $133, 721. 08 ' Overdrafts 782. 41 U. S. bonds to secure circulation... 25,000. 00 ; U. S. bonds to secure deposits \ U. S. bonds on hand ; Stocks, securities, j udgmentp, etc Due from approved reserve agents. 6, 052. 74 Due from other national banks 1, 000. 00 Dae from State banks and bankers Bank'g-house,furniture,and fixtures 243. Other real estate and mortg'sowned' Current expenses and taxes paid... 1, 946.29 00 Premiums on TJ. S. bonds . 1, 575. 38 Checks and other cash items Exchanges for clearing-house 847. 00 ; Bills of other national banks 62. Fractional currency, nickels, cents. 3, 6til. Specie 2, 000. Legal-tender notes 00 ! U. S. certificates of deposit Redemption fund with Treas. U. S . 1,125. 00 Due from Treasurer U. S SI Total. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 1, 000. 00 3, 990. 71 National-bank notes outstanding.. State-bank notes outstanding . . 22, 500. 00 Dividends unpaid Individnal deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 6, 952. 88 184, 642. 86 Total. 184, 642. 86 50,199. 27 Kearney National Bank, Kearney. No. 3201. J . J. BAUTLETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national bank's Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate andinortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Le^al-tender notes U.Is. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . $406. 791. 52 4, 301.8? 37, 500. 00 TV. C. TILLSON, Cashier. Capital stock paid in. ;15O, 000. 00 Surplus fund r Undivided profits. 40, 000. 00 9, 224. 89 199.50 I National-bank notes outstanding.. 26,121. 90 State-bank notes outstanding. 33, 750. 00 Dividends unpaid 25, 384. 58 4, 016. 98 1, 000. 00 411. 31 Individual deposits United States deposits Depositsof U.S.disbursingoffieers 266, 083. 92 Due to other national banks ' 5,229.66' Due to State banks and b a n k e r s . . 135. 20 9, 098, 50 | Notes and bills re-discounted 7, 000. 00 Bills payable .' 29, 819.00 1, 687.50 528, 877. 81 Total. 528, 877. 81 First National Bank, Lexington. H. R. TEMPLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks D u e from State banks and b a n k e r s . Bank'g-liouse, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3292. $132, 802. 42 797. 48 12, 500. 00 1, 749. 82 525. 32 1,159. 61 7, 500. 00 10, 920.05 1, 346. 58 400. 00 1, 349. 59 90. 00 1.22 8, 664. 'JO 1, 502. 00 H. V. TEMPLE, Cashier. Capital stock paid in . $50, 000.00 Surplus fund Undivided profits 29, 000,00 3, 752. 24 National-bank notes outstanding.. State-bank notes outstanding. 11, 250. 00 Dividends unpaid * Individual deposits United States deposits Deposits of U.S.disbursing officers Due to other national banks Due to State banks and b a n k e r s . . Notes and bills re-discounted Bills payable , :9, 908. 89 270.46 17, 748.50 622.00 18L, 9:30.09 Total. 181,930.09 1002 REPORT OF THE COMPTROLLER OF THE CURRENCY. N E B R A S K A. First National Bank, Liberty. E. E. HARDEN, President. No. 4080. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents.. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid.. Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total., H. A. HARDEN, Cashier. Liabilities. $32,010. 50 336. 18 12, 500. 00 9, 429. 80 10, 583. (35 239.80 7, 000. 00 838*54" 3, 554.69 227. 87 910.00 60.86 3, 443. 00 4, 295.00 Capital stock paid in $40, 000. 00 Surplus fund "Undivided profits 1,312.14 National-bank notes outstanding. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingofficers Due to other national b a n k s Duo to State banks and b a n k e r s . 31, 388.13 2, 042.12 Notes and bills re-discounted. Bills payable 562. 50 85, 992. 39 Total. 85, 992. 39 First National Bank, Lincoln. D. D. MuiR, Cashier. No. 1798. JOHN R. CLARK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand. Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers.. Bank' g-house,furni ture, an d fixture* Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $904, 690. 26 4,056.17 50, 000. 00 2,411.87 126, 597.76 15, 898. 86 7,705.19 41,700.00 32, 924. 76 15, 824. 69 2, 25, 6, 2, 25, 17, 758. 44 572.30 347. 00 050. 34 245. 00 000.00 Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 65, 000. 00 31, 218. 35 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbiirsirigoflicers- 713, 430. 70 Due to other national banks Due to State banks and bankers.. 99, 074.17 79, 309. 42 Notes and bills re-discounted Bills payable 50, 000. 00 2, 250.00 Total 1,283,092.64 1,283,092.64 Capital National Bank, Lincoln. CHARLES W. MOSHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2988. $800,159. 88 6, 372. 45 50, 000. 00 21, 954. 94 76, 238, 34 42,329. 97 5, 390. 35 5, 770. 00 37, 976. 70 7, 935. 58 3, 750. 00 3,964.67 12, 844. 22 2, 240. 00 643. 06 33, 029. 75 12, 333.00 R. C. OUTCALT, Cashier, Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding State-bank no I es outstanding $300, 000. 00 24, 000. 00 14, 211. 73 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursingofficers. 502, 211. 46 Due to other national banks Due to State banks and bankers. 177,326.80 Notes and bills re-discounted Bills payable 61, 682. 92 1, 500.00 1,124,432.91 Total 1,124,432.91 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 0 3 NEBRASKA. German National Bank, Lincoln. No. 3571. HERMAN EL SCHABEKG, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. l>onds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bunkers .Bank1 g-house, fn.rnitu.ro, and ii xtures Other real estate and mortg's'owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. JOSEPH BOEHMKR, Cashier. Liabilities. $282, 400. 24 6, 408. 82 25, 000. 00 '; |;' ' 1, 000. 00•• If), 870.16 i; $100,000.00 Capital stock paid in 20, 000. 00 4, 910. 06 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 12,714. 11) Dividends unpaid. 4, 000. 00 I Individual deposits 2, 717. 26 : United States deposits 4, 700. 00 : Deposits of U. S. disbursing oiti cers. 182.49 7. 272. 34 Due to other national banks 3, 408.00 j; Due to State banks and bankers .. 609. 05 10,234.75 Notes and bills re-discounted 7, 000. 00 Bills payable 196, 983. 75 5, 628. 81 34, 680.00 1,125.00 384, 703. 52 384, 703. 52 Total Lincoln National Bank, Lincoln. N. L. HARWOOD, President. No. 2750. Loans and discounts Overdrafts U. S. bonds to secure circulation.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, ere . .1 Due from approved reserve agents Due from other national banks Due from State banks and bankers Ban k'g-house. furniture, and fixture^ Other real estate and mortg's ownet: Current expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges lor clearing-house.' Bills of other national banks .Fractional currency, nickels, cents. Specie ' Legal-tender notes IT. S. certilicates of deposit Redemption fund with Treas. U. S Duo from Treasurer TJ. S Total. $383,1)72. 63 5, 300. 99 25, 000. 00 85, 09(5. :U) 1,0!2 43 3, 050. 47 2, 500. 00 1.1-5.00 J, 858.(58 5, 058. 00 22, 722. Gfi 1,251.1)0 200. 00 11, 957. 35 25, 000. 00 C. T. BOGGS, Cashier. Capital stock paid in j $100, 000. 00 .Surplus fund Undivided profits 35, 000.00 5,128. 48 National-bank notes o u t s t a n d i n g - . State-bank notes outstanding ] 22, 500. 00 Dividends unpaid Individual deposits United States'deposits Deposits o f U. S. disbursing officers. Due to other national b a n k s Due to State banks and b a n k e r s . . 364,174. H5 10, 725. GCt 39, 330. 58 Notes and bills re-discounted Bills payable 1,125. 00 500. 00 576, 859. 57 Total. 576, 859. 57 State National Bank, Lincoln. E. E. BROWN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-houso, furniture, andtixturcs Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash, items Exchanges for clearing-house...... Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1899. $474,289. 22 5, 458. 76 50, 000. 00 3,112.18 31,758.31 3, 583. 37 3,151. OS 47, 000. 00 4, 402. 25 2, 515.02 5,415.00 6,133. 45 700. 00 200.47 32,147.75 1,139.00 K. K. HAYDEX, Cashier. Capital stock paid in. $200, 000. 00 Surplus fund Undivided profits 6, 500.00 10, 539. 93 National-bank notes outstanding-. State-bank notes outstanding 45, 000. 00 Dividends unpaid. 532. 00 Tndi vidual deposits United States'deposits Depositsof U.S. disbursing officers. 296, 729. 85 Due to other national banks Due to State banks and bankers -. 26, 324.17 29, 295.22 Notes and bills re-discounted Bills payable 58,3:58.29 2, 250. 00 673, 259.46 Total . 673, 259.46 1004 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, Loup City. No. 3373. LEE LOVE, President. A. P . CULLBY, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer IT. S Total. $74, 758. 57 12, 500." 0U 1,039.82 279. 58 6, 633. 78 3,165. 32 571. 64 913.50 500. 00 70.60 207. 72 2,125.00 3, 685. 00 Capital stock paid in $50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding. 12, 000. 00 3, 489. 20 11, 250. 00 Dividends unpaid. Individual deposits United States deposits DepositsofU.S. disbursing officers Due to other national banks Due to State banks and bankers... 29, 803. 83 500.00 Notes and bills re-discounted . Bills payable 502. 50 107, 043. 03 Total . 107, 043. 03 First National Bank, Madison. No. 3773. A. "W. WOHLFOKD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities./judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bank'g-hous^, furniture, and fixtures Otherreal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks fractional currency, nickels, cents. Specie Legal-teudor notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . $79, 665. 09 1, 455. 94 12, 500. 00 3, 81«. 98 2, 203. 56 94.76 PETEIS RUBKNDALL, Cashier. $50, 000. 00 Capiral stock paid in. 9, 000.00 2,109. 37 Surplus fund Undivided profits Xational-bank notes outstanding State-bank notes outstanding . . . Dividends unpaid 7, 250. 00 477. 44 1, 000. 00 981). 27 150. 00 15. 82 3, 471. 25 65. 00 11, 250. 00 20.00 Individual deposits United States deposits Depositsof U.S.disbursing officers 34,157.16 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 171. 38 7, 011. 70 562. 50 113, 719. 61 Total. 113, 719. 61 First National Bank, McCook. GEORGE HOCKNELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture, andtix:tures Otherreal estate and mortg's owned Current expenses and taxes paid.. Premiums ou U. S. bonds C hecks and other cash items Exchanges for clearing-house Bill s of other natioual banks . Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 3379. $106, 652.24 1,466.48 12, 500. 00 W. F. LAWSON, Cashier. [I Capital stock paid in. I Surplus fund j Undivided profits.. $50, 000. 00 10, 000.00 3, 869. 41 National-bank notes outstanding. 8,466. 67 State-bank notes outstanding 3, 381.13 326. 40 Dividends unpaid 11, 250. 00 16,313.00 Individual deposits United States deposits " 1, 106*48 Depositsof U.S. disbursing officers 56, 468. 99 1," 878. 51 Due to other national banks 555.00 Due to State banks and bankers . 83.17 5, 450. 25 Notes and bills re-discounted. Bills payable 5,183. 89 21, 969. 54 562. 50 158, 741. 83 Total. 158, 741. 83 REPORT OF TILE COMPTROLLER Or' THE CURRENCY. 1 0 0 5 First National Bank, Minden. LEWIS A. KENT, President. No. 3057. RUSH IT.PALMER, Cashier. Resources. Loans and discounts , j Overdrafts U. S. bonds to aecuro circulation...! U. S. bonds to secure deposits i U. S. bonds on hand j Stocks, securities, judgments, etc . . Due from, approved reserve agents., Due from other national banks • Due from Stato banks and bankers.! Bank'g-house, furniture, and fixtures 1 Other real estate and mortg's owned: Current expenses awl taxes p a i d . . . j Premiums on U. S. bonds j Checks and other cash items ! : Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ, 3 . certificates of deposit ltedemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total . Liabilities. $77, 496.41 431. 21 12, 500. 00 2, 394. 89 "71. 90 $30, 000. 00 Capital stock paid in Surplus fund Undivided profits 10,000.00 1,240.4:5 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 '•• Dividends unpaid i. 13,804.53 • 6, 9")2.63 | Tndividual deposits .• 558.50 | : United States deposits 422. 26 ! Deposits of U. S. disbursing officers 1,209.02 i Dae to other national banks 2, 275.00 Due to State banks and bankers .. 30.94 Notes and bills re-discousted , 3,416.00 2,000.00 i Bills payable 48,5*74.19 1, 073. 48 2,287. 69 562750"! 124, 825. 79 Total. 124, 825. 79 Merchants' National Bank, Nebraska City. W. A. COTTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-liouae,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearihg-hou.se Bills of other national banks Fractional currency, nickels, cents. Specie --. Legal-tender notes TJ. S. certificates of deposit Kedemption fund with Treas. TJ. S . Due from Treasurer U. S "So. 2536. 18, 336. 36 j National-bank notes outstanding. 35,717.59 i State-bank notes outstanding 2, 767. 01 i Dividends unpaid "8,500." 00 700.00 ' Individual deposits 1, 632. 90 United States deposits 300. 00 : Depositsof U.S. disbursing officers 2,107.04 •: Due to other national banks 1,091.00 1 Due to State banks and bankers -. 72. 81 1 41, 770. 00 1 Notes and bills re-discounted . 298. 00 Bills payable $50, 000. 00 I 10, 000.00 4, 438. 03 11, 250. 00 221, 522.68 6, 442. 40 1, 934. 54 562.50 305, 587.65 Total. H. 1 T SHEWELL, Cashier. S. $176, 960. 53 j Capital stock paid in 2,271.91 12, 500. 00 Surplus fund ; Undivided profits Total. 305, 587.65 Nebraska City National Bank, Nebraska City. W. L. WILSON1, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . i U. S. bonds to secure deposits '. ! U. S. bonds on hand Stocks, securities, judgments, etc . . ; Due from approved reserve agents. Due from other national banks I Due from State banks and bankers. j Bauk'g-house, furniture, and.fixtures. Other real estate and inortg's owned1 Current expenses and taxes p a i d . . . ! Premiums on U. S. bonds j Checks and other cash items Exchanges for clearing-house Bills of other national ~banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. cortificatos of deposit Kedemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 1855. $199, 738.11 2,131. 74 12, 500. 00 —, Cashier. Capital stock paid in Surplus fund Undivided profits 7,118.45 'Xational-bank notes outstanding.. 5, 364.81 State-bank notes outstanding 13. 92 5. 8 I 5,915.15 Dividends unpaid 5, 000. 00 Individual deposits "2,159.'50" United States deposits Depositsof UiS.disbursingofficers. '""1,763." 43 Due to other national banks 787.00 Due to State banks and bankers . . 45.31 19, 665. 50 Xotes and bills re-discounted 1, 589. 00 1 Bills payable 562. 50 200.00 $50, 000. 00 20, 000. 00 4, 809. 07 11,250. 00 180, 232. 55 810,81 6, 301.90 5, 000. 00 ( 278,404.33 ! Total . 278,404.33 1006 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. Otoe County National Bank, Nebraska City. "WILLIAM E. HILL, President. No. 1417. JULIAN MHTCALF, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Stocks,securities, judgments, etc... Due from approved reserve agents Duo from other national banks Due from State banks and bankers. Bauk'g-house, furniture, and fixture* Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $85, 047. 68 2, 042. 54 12, 500. 00 Capital stock paid in. $50,000.00 Si IT1])! us fund. 8,150.00 2,107.67 i Undivided profits 16, 395. 70 ji National-bank notes outstanding.. 4,472.11 |, State-bank notes outstanding 617.42 0, 268.17 i Dividends unpaid 15, 500. 00 500. 00 ! Individual deposits 3, 006. 03 i United States deposits 600. 00 Deposits of U. S. disbursing officers. 545.55 Due to other national banks 651.00 Due to State banks and bankers.. 324.19 16,402. 80 Notes and bills re-discounted 1,940. 00 Bills payable 11, 250.00 73, 214. 67 613. 35 3, 000. 00 562.50 148,425.69 | Total. 148,425.6 First National Bank, Neligh. No. 4110. JOHN J. ROCHE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearinghouse Bills ot other national banks Fractional currency, nickels, oents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $59, 615. 70 8, 440. 62 12, 500.00 6, 421. 87 6, 042.34 4, 745.89 10, 000.00 354.00 172.38 3, 398. 44 1, 455. 75 500. 00 2, 644. 00 2, 000. 00 W. C. ESTES, Cashier. Capital stock paid in. $40,000. 00 Surplus fund.., Undivided profits National-bank notes outstanding.. State-bank notes outstanding 926.48 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 118,290. 99 Total. 71,447.13 5, 917. 38 118, 290. 99 First National Bank, Nelson. THOMAS HARBINE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure d eposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agentsDue from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from TreasurerU. S Total . No. 3495. $96, 987.61 1.862.13 18, 750. 00 776. 949. 329. 821. 600. 493. 598. 133. 995.' 26. 641. 500. S. A. LAPP, Cashier. Capital stock paid in. $75, 000.00 Surplus fund Undivided profits. 15, 000.00 3, 688. 74 National-bank notes outstanding.. State-bank notes outstanding 16, 870.00 Dividends unpaid Individual deposi ts United States deposits Depositsof U.S.disbursing officers . 176. 34 49, 572. 81 Due to other national banks Due to State banks and bankors . . Notes and bills re-discounted . Bills payable 843. 50 100, 307.89 Total. 160,307.89 KEFOKT OF THE CCOMPTROLLER OF THE CU11KENCY. 1007 Citizens' National Bank, Norfolk. G-EO. L. ILES, Cashier. No. 3741. C. A. MAST, President Liabilities. Resources. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bauk'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of depowsit .Redemption fund with Troas. TJ. S. Due from Treasurer U. S Total. $125, 298. 36 247.25 12, 500. 00 12, 323.23 641. 52 2, 831.02 546.47 3, 000. 00 888.01 670.00 52. 88 1,067.00 9, 000. 00 Capital stock paid in. $50, 000. 00 Surplu s fund Undivided profits 10, 000. 00 547.62 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 82, 526. 21 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 164. 32 5,140.04 10, 000. 00 562. 50 169, 628.19 Total. 169, 628.19 Norfolk National Bank, Norfolk. No. 3347. N. A. RAINBOLT, President. Loans and discounts O verd rafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bun k'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes .. TJ. S. certificates of deposit ^Redemption fund with Treas. TT. S . Due from Treasurer U. S Total. $188, 308. 95 492.15 25, 000. 00 1, 357.92 3, 325.12 659.44 450. 67 8, 222.48 1, 600. 00 1, 562. 62 6,125.00 562. 41 2, 616. 00 94. 35 4,125. 00 6, 000. 00 W. H. BUCHOLZ, Cashier. Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits 13,000. 00 3, 904. 29 National-bank notes outstanding.. 22, 500.00 State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers 86, 377. 95 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 1, 344.87 24, 500. 00 1,125.00 Total . 251, 627.11 251, 627.11 First National Bank, North Bend. M. E. FULLER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agentsDue from other national banks Due from State banks and bankers. Bank'g-house, furniture, andtixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house .Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3059. $104, 860.54 1, 018. 51 12,500.00 65.00 5, 913.79 3, 554. 61 C. CUSACK, Cashier. Capital stock paid in. 15.00 89.16 2, 366. 00 628. 00 5,050. 00 2, 729.73 National-bank notes outstanding., State-bank notes outstanding . . . . Dividends unpaid 8,398.93 1. 850. 00 741.37 878.13 2, 848.33 $50,000.00 Surplus fund Undivided profits 11, 250.00 , Individual deposits United States deposits DepositsofU.S.disbursingoflieers. 67, 604.14 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 9, 656. 00 562.50 146. 2?9. 87 Total 146, 289. 87 1008 REPOJiT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, North Platte. No. 3496. T. J. FOLEY, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits. U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit. Redemption fund with Treas. TJ. S Due from Treasurer TJ. S $50, 000. 00 $134, 704.14 [ Capital stock paid in. 2, 628. 80 12, 500. 00 Surplus fund Undivided profits 1, 449. 50 15, 098. 01 19, 000. 00 8, 288. 51 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid 12, 298.85 575. 00 4,510.37 2, 783. 09 34. 57 755.00 1.25 7,145. 05 2, 092. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 100, 343. 29 Due to other national banks Due to State banks and b a n k e r s . . 383.93 2, 622.46 Notes and bills re-discounted Bills payable 5, 250. 00 5G2. 50 Total. 197,138.19 Total. W M . B. CONKLIX, Cashier. Liabilities. 197,138.19 North Platte National Bank, North Platte. A. D. BUCKWORTH, President. No. 4024. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures! Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-bouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $105, 034. 22 350.07 18, 750. 00 10,311.99 "i6,"i37.'43" 7,171.73 10, 508. 33 " 1*825.47 5, 337. 89 379. 0C 450.66 23. 05 2, 529. 00 2, 500. 00 $75, 000. 00 Surplus fund Undivided profits 911.62 5,110.93 National-bank notes outstanding.. State-bank notes outstanding 16, 875. 00 Dividends unpaid Individual deposits — United States deposits Deposits of U. S. disbu rsing officers. Due to other national banks ! Due to State banks and bankers.. Notes and bills re-discounted Bills payable 67, 023. 63 838. 81 10, 392. 00 843. 75 Total. 176,151. £ Total. J . E. EVANS, Cashier. Capital stock paid in 176,151. 99 First National Bank, Ogallala. L E E LOVE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national hanks Due from State banks and bankers. Bank'g-house, furnit me, andrixtures Other real estate and mortg's owned Current expenses and taxes paid... Prem iums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. No. 3652. J. A. O'BRIAN, Cashier. $50, 504. 07 C a p i t a l stock p a i d in 1,558.49 i 12,500.00 ' Surplus fund Undivided profits 3, 754. 87 130. 87 516.81 4, 553. 03 2," 274." 53 339. 21 292. 07 245. 00 29.26 1, 762. 60 1, 000. 00 National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 3, 800. 00 5, 024. 98 11, 250.00 Dividends unpaid Individual deposits United States deposits j Deposits of U.S.disbursing officers.! 9, 948. 33 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted.. Bills payable 562.50 80, 023. 31 Total. 10, 023. 31 REPORT OF THE COMPTiiOLLEii OF THE CURRENCY. 1 0 0 9 NEBRASKA. First National Bank, Omaha. H. KOUNTZE, President. F. H. DAVTS, Cashier, No. 209. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from oilier national banks. . . . Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Spocie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. D ue from T reasuver TJ. S Total $500, 000. 00 $2, 345,659. 00 i: Capital stock paid i n . 13,824. 71 ii 50,000.00 '; j Surplus fund 175. 000. 00 i': Undivided profits . 300, 000.00 58, 169. 01 2, 251.47 i] National-bank notes outstanding.. 29 L 711. 61 !l State-bank notes outstanding , 296, 320. 26 395, 694. 82 i j Dividends unpaid 125, 000. 00 Ii Individual deposits "i8,"748.'2:V | United States " Uni ted deposits 31,571.87 ;! Deposit of U.S. disbursing officers jits 4, 05(5, 81 Due to other national banks , 70,58:?.45 26, 000. 00 Due to State banks and bankers.. 173, 278.55 370, 000. 00 45, 000. 00 2,152, '-14. 79 53. :-:9(}. 39 12^,808.22 521,024.57 835, 930.20 Notes and bills re-discounted. Bills payable i,6io.66* Total. 4,391,643.78 4, 391, 043. 78 American National Bank, Omaha. J O H N L. MCCAGUK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . . U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks. . . . Due from State banks and bankers Bauk'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national b a n k s . Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer U. S Total No. 4087. $153, 032. 03 1, 630. $G 50, 000. 00 Trios. II. MCCAGUE, Cashier. Capital stock paid in $200, 000.10 Surplus fund Undivided profits 3, 000. 73 199.50 National-bank notes outstanding.. 93, 928. 79 State-bank notes outstanding 18. 300. 23 4,184. 34 j Dividends unpaid 2,111.00 ' Individual deposits '" *2,"530^88 ' United States deposits 14, 125. 00 Deposits of U.S. disbursing officers. 1, 20<>. 23 Due to oilier national banks 8, (539. 30 45, 030. 00 Due to State banks and bankers . . 143. 50 6, 839. 95 Notes and biUs re-discounted 21, 885. 00 Bills payable 45, 000. 00 161,501.29 17, 500. 59 2, 250.00 427, 002.61 Total. 427, 002. 61 Commercial National Bank, Omaha. A. P. HOPKINS, President. No. 3163. Loans and discounts O verdrafts IF. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and inortg's owned Current expenses and tas.es paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total H. Ex. 3- $733,571.73 8, 982. 67 50, 000. 00 3,218.15 105, 426. 99 44, 237.61 56, 520. 36 97,804.27 1, 509. 60 10, 267. 65 8, 500. 00 7, 066. 92 14,155.05 10, 557. 00 179. 52 52, 755.00 44, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $400, 000. 00 40, 000.00 18, 421.99 45, 000.00 Dividends unpaid Indi vidual deposi ts Unite d S tates deposits Deposits of U. S. disbursing officers. 533, 90S. 17 Duo to other national banks Due to State banks and bankers .. 50, 947. 08 162, 791. 28 Notes and bills re-discounted . Bills payable 2,250; 00 1, 251, 068. 52 64 ALFKED MILLARD, Cashier. Capital stock paid in. Total. 1,251,068.52 1010 REFOET OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. Merchants' National Bank, Omaha. ANK MiniriiY, President. No. 2775. BEN. B. WOOD, Cashier, Kesonrces. Liabilities. Loans and discounts Overilraits T). S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real-estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S Due from Treasurer U. S Total. $1, 255, 295. 2:i • 9, 224. 86 Capital stock paid in . $500, 000. 00 50, 000. 00 200, 000.00 Surplus fund Undivided profits. 8,100.00 207. 635. 72 33,861.71) 8, 475. 44 211, 391. 93 1, 803. 93 8, 506. 51 25. 000. 00 27J 701. 07 19, 705.91 19, 388. 00 National-bank notes outstanding.. State-bank notes outstanding 606.95 192. 515.65 48, 300.00 100, 000. 00 34, 600. 92 45, 000. 00 Dividends unpaid • Indi vidiuil deposits Uniti'd States deposits Deposits of U.S.disbursing officers Due to other national banks Due to State banks and bankers.. 1,169,644.37 200, 000. 00 161,551.77 117, 965. 43 Notes and bills re-discounted. Bills payable 1, 250.00 2, 328, 762.49 Total. , 328, 762. 49 Nebraska National Bank, Omaha. No. 2665. H. W. TATES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S $400, 000. 00 55, 000.00 29, 744. 27 45, 000. 00 192.00 748, 385.19 97, 505.12 45, 452.85 573,181.14 281, 796. 61 2, 250. 00 2, 276, 257.18 Total. W. H. S. HUGHES, Cashier. $1, L22, 248. 23 Capital stock paid in 5, 852. 53 50, 000. 00 Surplus fund 130, 000. 00 Undivided profits. 7,963.15 National-bank notes outstanding. 274,819.14 State-bank notes outstanding 197, 479. 00 67, Oil. 54 Dividends unpaid 88, 000. 00 1,339.81 Individual deposits 14, 496.13 United States deposits 47, 625. 00 Deposits of U.S. disbursing officers. 10, 052. 75 12, 093. 87 Due to other national banks 9, 110. 00 Due to State banks and bankers.. 435. 53 55, 480. 50 Notes and bills re-discounted 180, 000. 00 Bills payable Total. 2, 276, 257.18 Omaha National Bank, Omaha. J . H . MlLLA-RD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents Due from other national banks Duo from State banks and bankers. Bank'g-house,furniture,and fixtures Other, real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1633. $3, 443, 760.60 12, 555. 67 50, 000. 00 200, 000. 00 30, 991. 86 803, 742. 95 298, 492. 45 230, 672. 71 165, 000. 00 8, 923. 99 82.90 50, 000. 00 142, 816. 53 72, 011. 36 118, 227. 00 1, 005. 00 504, 524.35 253, 461.00 WILLIAM WALLACE, Cashier. $1, 000, 000.00 Capital stock paid in . 125, 000.00 •Surplus fund 35, 636. 22 Undivided pronts.. National-bank notes outstanding.. 45, 000. 00 State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 2, 790, 760.41 77,431.28 138, 466. 38 Due to other national banks Due to State banks and bankers.. 1, 328, 678. 56 897, 545. 52 Notes and bills re-discounted. Bills payable ; 2, 250. 00 50, 000. 00 6, 4:18,518.37 Total , 6,438,518.37 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1011 WE B BASKA, Union National Bank, Omaha. No. 3516. W. TV.MAUSH, President. Jxo. "W.EOMEFER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from-approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $92, 293. 92 Capital stock paid in. 213. 99 25, 000. 0u i| Surplus timd 00. ou i( JSurplus fimd ii Undivided profits 0.821.27 1. 012. 58 i, ;;s5.57 30,881.73 25, 079. 04 805.51. 480. 8' 12, 795. 90 1, 910. 00 28(5. «4 9, 595. 00 2, 0o3. 00 "ti 30, 299. 05 National-bank notes outstanding State-bank notes outstanding . . . 22, 500. 00 Dividendsunpaid . Tndi vidual deposits United States deposits United Mates Deposits of U.S. disbursing officers Due to oiher national banks Due to State banks and bankers . Notes and bills re-discounted., Bills payable 62, 580.95 1,125.00 Total. 215,380.00 Total. $100,000.00 215, 380. 00 United States National Bank, Omaha. C, TV. ITAMILTOX, President. No. 2978. Loans and discounts Overdrafts TJ. S. bonds to secure circulation.... U. S. bonds to secure deposits IJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State bunks and bankers Ban k'g-house, furniture, and fixtures Other real estate and m.ortg's owned Current expenses and taxes x>aid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes .• TJ. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S $1, 375, 011. o2 3, 0:i4. ;"#« 50, 01)0. 0i) 100, 000. G O 100,000.0) 3, (500. 00 223, 132. Jl 111,171,29 $400, 000. 00 Surplus lund fund. Undivided proiits. 42, 500. 00 20, 335. 25 National-bank notes outstanding.. State-bank notes outstanding . 45, 000.00 Di vidends unpaid 12' 992. 32 32,1)00. 00 5,209. IC 85, 2*8. 4-> 4(3, 820. 00 11.2, (584. 30 255, m). 00 Individual deposits . United States deposits Deposits of U.S.disbursiugollicers. 1,297,214.80 200, 492. 02 10, 593. 33 Due to other national banks Due to State banks and bankers .. Notes and bills re-dis<.'ounted . Bills payable 280, 923. 90 28::, 957. 30 2, 250. 00 2,587,017.20 Total. M. T. BARLOW, Cashier. Capital stock paid i n . Total. 2,587,017.20 First National Bank, O'Neill. TV. G-. PALMAXTEEU, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Ban k'g-house, furniture, andfixtures Other real, estate and mortg's owned Current expenses and taxes paid..Premiums on U. S bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 3424. $98, 912. 58 3, 135. (57 25, 000. 00 591,47 G, 276. 59 4, 498. 70 E. S. K E L L Y , Cashier. Capital stock paid i n . $50, 000.00 Surplus fund Undividet I profits 8, 000. 00 7, 578. 83 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 22, 490. 00 Dividends unpaid i s , 000.00 """982." 25" 3,531.25 820.83 2, 700. 00 10. 57 1, 384. 75 1, 575. 00 Individual deposits United States deposits Deposits o f U. S. dis b ursing o (licers. 77, 478.39 Due to other national b a n k s Due to State b a n k s and bankers . Notes and bills re-discounted. Bills payable 1,124.50 165, 547. 22 Total. .j 165,547.22 1012 IiEl'OKT <JF TILE CCXUl'TttOLLEK OF THE CURRENCY. N E B IS A S K A , First National Bank, Ord. P. MARTEXSOX, President. No. 3-3;i9. W. E . M i T c 1 E i ,L, Ott8 /* ier. 1 Resources. Liabilities. L o a n s and discounts Overdrafts j j $!);'», '01. 4;) 4T>8. -in TJ. S. bonds to secure c i r c u l a t i o n . . . ! 12, 500. (,,) U. S. bonds to secure deposits i TJ. S. bonds on hand Stocks, securities, judgments, etc ., Due from approved reserve agents Due from other national-banks .Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks... Fractional currency, nickels, cents Specie Legal-tender notes...«. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. 728. 97 ! Capital stock paid in $50, 000. 08 S u r p l u s fund Undivided profits 12, 000. 00 4, GGO. 99 National-bank notes o u t s t a n d i n g . . i State-bank notes o u t s t a n d i n g 11, 250. 00 ! Dividends u n p a i d 12,705.42 Indiv idual deposits 1,517.73 h U n i t e d S t a t e s deposits 513.45 jj Deposits of U.S. d i s b u r s i n g oilicera. i 1,480.15 !| : l D u e to o t h e r national b a n k s l'JO. i)0 ; D u e to S t a t e b a n k s a n d b a n k e r s . 77.015 | 1, 753. 85 i N o t e s and bills re-discounted 3,224,00 j Bills payable 57,142. 09 2, 000. 00 502.50 Total. 137, 05;}. 03 137, 053. 08 Ord National Bank, Ord. FREDERICK L. HARRIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks . . . . Due from State banks and bankers Bank'g-house, furniture, andfixtu res Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-bouse Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3481. $85, 183.02 79(5. 1!) 12, 500. 00 EDWARD K, HARUIS, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits \ ! National-bank notes outstanding.. State-bank notes outstanding . . . . Dividends unpaid 1,719. ;u 5, 424. 07 Individual deposits . 2, 840. 03 United States deposits. 1, 000. 00 ''• Deposits of U.S. disbursingoflicors. 573. 5;: Duo to other national banks 415. 00 37. 96 ! Due to State banks and bankers .. 932. 30 i Notes and bills re-discounted.'. 3, 870.00 : Bills payable 10, 000 00 0, 21(> 73 11, 250. 00 2, 902. 72 38, 801.72 2, 400. 00 5G2. 50 Total. 118, 758.45 118,758.45 First National Bank, Orleans. GEORGE W. BURTON, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities,.judgments, etc .. Due from approved reserve agents. Due from other national banks ... Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3342. $35, 080.11 414, 87 12, 500. 00 922. 35 522. 90 A. E. HARVEY, Cashier. Capital stock paid in Surpl us fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000. 00 2,248.45 873. 39 11, 250. 00 Dividends unpaid 1,fi;sr>.5 : : 444. (iO 1, 36(5. 25 438.70 200. 00 50 07 4, 297. L-5 72U. 00 Individual deposits United States deposits Deposits of U.S. disbursing oiiic.Ts ational bs Duo to other m Due to State banks and bankers . . 40,011.89 1, 000. 00 Notes and bills re-discounted . Hills payable 502, 50 165. 00 105,413.73 Total... 105, 413. 73 KEPOKT OF TITE COMPTROLLER OF THE CURRENCY. 1 0 1 3 IVESRASKA. First National Bank, Pawnee City. o. 2825. J. K EciarAX, President. Loans and discounts O verdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house.furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on 0". S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes II. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $115, 003. 5(3 4, 989. 97 12 500.00 Liabilities. $50, 000. 0(1 Capital stock paid in 10, 000,0C 3, 970. 5C Surplus fund. Undivided profits 4, 10, 10. 1 11, 875. f>8 National-bank n o t e s o u t s t a n d i n g , , 147.41 i S t a t e - b a n k notes o u t s t a n d i n g . 7:;«. 59 7(>o. 21 Dividends u n p a i d 017. L'8 I n d i v i d u a l d( p o s i t s . •1,017.15 United States deposits 1,021.02 Depositsof U. S. disbursing ofucers. 11, 250. 00 113, 082. G O 2, 2.V.). 20 Due to other national banks Due to State banks and bankers . . 025.0) 93. 52 10,814.0u 705. 00 115.87 X o t e s and bills re-discounted . Bills p a y a b l e . , 502. 51) 189,019.09 Total. JOHN" C, DAVID, Cashier. I Resources. 189, 019.. 09 Total. Farmers' National Bank, Pawnee City. C. T.EDEE, President. Xo. 4078. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S bonds C uecks and other cash items Exchanges for clearing-house J Jills of other national bauks Fractional currency, nickels, cents. Specie L:>gal-tender notes IT. S. certificates of deposit Redemption fund wirh Treas. U. S. Due from Treasurer U. S $00, 000. 00 ; 759.39 |! Xational-bank n o t e s o u t s t a n d i n g . . 1 32,933. 54 I! S t a t e - b a n k n o t e s out s t a n d i n g . . ' . . . ' 7,331.78 j! ; Dividends u n p a i d 15,000.00 j. \'. Individual deposits \ 371.01 i| United States deposits I. 1,030. 00 !| Depositsof U.S disbursing oilieors. 1, 520 20 13, 500. 00 75,300.99 I; Due to other national banks. | Due to State banks and bankers . . ' | ! Xoios and bi 1 Is re-discountod ; Hills payable. 5,950. 00 1(5.81 13, ;j"»2. 00 3,485.00 675.00 j .i 150,381.19 Total. CnAS. E. CASEY, Cashier. $50, 3:58. 57 i Capital stock paid in 3, 349. •<> I 15,000.0'J S u r p l u s fund Undivided profits Total. 150, 38L.I9 First National Bank, Plattsmouth. JOTTN FITZGERALD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . ! Due from approved reserve agents. Due from other national banks . . . . Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's ownud Current expenses and taxes paid.. Premiums on U. S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. Xo. 1914. S. NYAUGIT, Cashier. $169, 307. 04 i Capital stock paid i n . 007. (H 15, 000. 00 I Surplus fund i Undivided profits. 31(5.42 21.(52 X a t i o n a l - b a n k notes o u t s t a n d i n g . State-bank notes o u t s t a n d i n g $50, 000. 00 12, 000 00 3,251.11 13,500.00 Dividends unpaid 025. (»() 47(i. 1:8 3(57. 40 000,00 188.7<S 664. 00 21.75 555. 25 000. 00 Individual de-posits Unici'd States deposits Di-posi ts o f U. S. di sb ursing o luce rs. 163, 838. 25 Due to otiier national banks Duo to State banks and bankers . . 792. 72 Xotes and bills re-discounted Bills payable 10, 852. 8 G G75. 00 254, 234. 94 Total.. 254,234.94 1014 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, Ponca. G. W . E. DOKSEY, No. 3027. President. F . M. D O R S E T , Rosources. Loans and discounts Overdrafts > TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve a g e n t s . Due from other national banks D u e from State b a n k s and bankersBan k'g-house, furniture, and fixtures Other real estate and mortg'sowned C u r r e n t expenses and taxes paid . . P r e m i u m s ou U. S. bonds C necks arid other cask items Exchanges for clearing-house Hills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer U. S $110, 932. 72 425. 46 12, 50u. 00 $50, 000. 00 Capital stock paid in 2, 000. 00 4, 243. 43 Surplus fund Uudivided profits 1, 000. 00 2, 300. 2ti Xational-bank notes o u t s t a n d i n g . . SLate-bank notes outstanding no. 38 11, 250. 00 Dividends unpaid 40,504.37 In dividual deposits . U nit ed States d e p o s i t s Deposits of U.S. disbursing officers. 1, 322. 82 DUO. Oi.) 1 4 5 . 70 Due to other national banks Due to State banks and b a n k e r s . . 215.00 22. JO 2, 499. 75 1, 050. Qj 2,555. 11 Xotes and bills re-discounted Bills payable 36, 439. 81 562.50 147, 052. 75 Total . Cashier. Liabilities. 147, 052. 75 Total . First National Bank, Raveiua. O. M. CARTER, Xo. 40 i-3. President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. D u e from other national banks Due from State b a n k s and bankers, liank'g house,furniture,and fixtures Other real estate and morig's owned Current expenses and taxes p a i d . . . P r e m i u m s ou U. S. bond:? Checks and other cash, items E x c h a n g e s for clearing-house Bills of other national b a n k s . Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . D u e from T r e a s u r e r U. S $46, 946. 09 1,750.79 12, 500. 00 F. E . S I I A W , Capital stock paid in Surplus fund Undivided profits 2, 822. 82 Xational-bank notes outstanding. State-bank notes outstanding 2,782 02 1, 714. 27 Cashier. $50, 000. 00 11,250.00 Dividends u n p a i d . 3, 235. 80 34,058.18 Individual deposits 1,315. H | Tinted States deposits i Deposits olU.S.disbursingofficers. ' 407. 95 Due to other national b a n k s 1,010.0;) Due to State banks and b a n k e r s . 10. 70 1,51:0. 90 Notes and bills re-discounted . 780. 00 .Bills payable 562. 50 Total. Total . 78,131.00 First National Bank, Red Cloud. RoiiERT V. SHIKEY, President. Loans and discounts Overdrafts ' TJ. S. bonds to secure circulation. - TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. D u e from other national banks D u e from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned C u r r e n t expenses and taxes p a i d . . . P r e m i u m s on U. S. bonds Checks and other cash items Exchanges for clearing-house 35ills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2811. $134. 480.19 (5, '202. 88 18, 750. 00 J N O . 11. SHIRKY, : Surplus fund Undivided profits Cashier. $75, 000. 00 Capital stock paid in , 6,403.2 2") ; Xational-bank notes o u t s t a n d i n g . . 9, 640.78 : State-bank notes outstanding 78 593. 43 384.18 Dividends unpaid 12,560.21 Individual deposits 2,5-18. 17 United States deposits 1, 367. 2:} Deposits of U.S. disbursing officers. 810. 43 . I Due to other national b a n k s . 1, 500. 00 Due to State banks and bankers. 54. 5(5 ; 6,827.25 : Xotes and bills re-discounted 2, 500. 10 Bills payable 8, 500, 00 6, 034. 67 10, 875. 00 78,114. 82 20, 971.32 8t3. 25 205,495.81 !! Total. 205, 495. 81 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1015 NEBRASKA. Red Cloud National Bank, Red Cloud. J. W. SHERWOOD, President No. 3181. Resources. Loan a and discounts Overdrafts U. S. bonds to secure circulation.... X . S. bonds to secure deposits T U. S. bonds on hand Stocks,securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankersBank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid. -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $97, 662. 94 4:i2. (57 18, 750. 00 674.10 5,317.21 Capital stock paid in $75, 000. 00 Surplus fund Undivided profits 3, 000. 00 2, 14.">. 31 National-bank notes outstanding . State-bank notes outstanding 16, 800. 00 Div idends unpaid 26, 000. 00 • 453. 23 1, 300. 00 615. 00 52. C O 1, 260. 00 3,4G0. 00 Individual deposits United States deposits Depositsof U.S.disbiirsingotiieors. 19,815.53 Due to other national banks Due to State b a n k s and bankers . Notes and bills re-discounted Bills payable 40, 000. 00 843. 00 156, 820. 84 Total . L. P. ALBRIGHT, Cashier. Liabilities. 156, 820. 84 Total . First National Bank, Rulo. No. 3674. S. B. MILES, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgments, etc ... Due from approved reserve agents. Duo from other national banks — Due from State banks and bankers. Bank' g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. jPremiuras on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. D ue from Treasurer U. S Total. $84, 637. 88 " " 12," 500." 00 13,200. 00 10, 428.47 83.40 F . O. BDGECOMIJR, Cashier. Capital stock paid in , Surplus fund Undivided profits $50, 000. 00 18, 075. 70 National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g . . - . 11, 250. 0Q Dividends unpaid 2, 150. 00 "862. 53 3, 625.00 2,500.25 1.30 3, 903. 55 605. 00 Individual deposits United States dopo.sits Deposi ts o f U. S. disb ursing oinoers. 55, 800.18 D u e to other national banks Due to State b a n k s and bankers . . Notes and bills re-discounted. Bills payable 562. 50 Total . 135,125. 88 135,125. 88 First National Bank, Saint Paul. ADDISON E. CADY, President. Loans and discounts ! Overdrafts j U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc ..; Due from approved reserve agents. Due from other national banks j Due from State banks and bankers.; Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... ] Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasur er U. S Total. No. 3126. $95, 3(52. 82 851. 73 12, 500. 00 7,133. 33 1, 276. 01 GEO. E. LEAN, Cashier. Capital stock p a i d in . S u r p l u s fund Undivided profits. [ National-bank n o t e s o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g Dividends u n p a i d 9, 90^. 02 1,7" .25 ! I n d i v i d u a l deposits 1,3^>. 00 i U n i t e d States deposits 609. 40 1 D e p o s i t s o f U.S.disbursing officers. 195. 40 m> to other national b a n k s 95;). 01) ( D u e to S t a t e b a n k s and b a n k e r s . 3. 57 2, 5">2. 50 N o t e s a n d bills re-discounted 2, 004. 00 Bills pay able $50, 000. 00 10, 000. 00 2, 440. 52 11,250.00 63. 402. 01 562. 50 i:>7, 002. 53 Total . 137V 092.53 1016 REPORT OF THE COMPTROLLER OF THE CURRENCY, NEBRASKA. Citizens' National Bank, Saint Paul. E. MCCORMTCK, President. No. 3891. T. F. MCOARTY, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national ban ks Due from State banks and bankers Bank'g-house, furniture, and fixtures Otuer real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $63,158. 39 1, 303. 99 12, 500. 00 3, 824. 61 414. 80 10,173. Z\ 3, 420. 84 3, 490.83 206.10 4G0.00 42. 59 2,114.25 200.00 Capital stock paid in. ! $50,000.00 Surpl us fund Undivided profits i 10,188. rit National-bank notes outstanding.. j State-bank notes outstanding ! 11, 250. 00 Dividends unpaid ; j Individual deposits United States deposits Deposits of U.S. disbursing of llcers. Due to otber national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 30, 445. 42 '"""502." 50' 101, 884.18 Total. 101,884.18 St. Paul National Bank, Saint Paul. . J. PAUL, President. A. C. ROWELL, Cashier. No. 3129. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits XT. S. bonds on band Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks. . . . i Due from State banks and bankers- j Bank'g-n.ouse,furniture,andfixturesj Other real estate and mortg's owned; Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of otber national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $103, 732. 90 03(5.9(5 12, 500. 00 Capital stock paid in. 10, 000. 00 3, 533. 33 National-bank notes outstanding.. 4, 5U.80*j! State-bank notes outstanding G, 000. 00 1,103. 71 90,04 400.00 1.40 385.00 4, 951. 00 11, 250. 00 Dividends unpaid Indi vidual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Duo to State banks and bankers . . Notes and bills re-discounted Bills payable 50, 842.48 2,104. 55 7, 235. 55 562. 50 134, 9G5. 91 Total. $50, 000. 90 Surplus fund Undivided profits Total . 134, 965.91 First National Bank, Schuyler. THOMAS BRYANT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures! Other real estate and mortg's ownedj Current expenses and taxes paid... I Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. D ue from Treasurer U. S Total. No. 2778. MORKIS PALMER., Cashier. $149,591,38 ! Capital stock paid in. 7,416.32 12, 500. 00 Surplus fund Undivided profits 100. 00 National-bank notes outstanding.. 12,560.41 State-bank notes outstanding 10, 528. 05 9,551.00 1, 520.79 2, 200. 00 319.37 115.48 3,540.15 4, 407. 00 $50, 000. 00 10, 000. 00 17, 891.10 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers . 96, 668. 41 Due to other national banks. Due to State banks and b a a k c r s . . Notes and bills re-discounted Bills payable ., 22.4.5 29, 086.48 562.50 214,918.45 i Total. 214,918.45 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1011 NEBRASKA. Schuyler National Bank, Schuyler. No. 3152. W. H. SUMNEII, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houae,furniture,and fixtures Other real estate and mortg's owned, Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $93, 625.14 746. 13 12, 500. 00 $5C, 000.00 Capital stock paid in. Surplus fund 10, 000. 00 6,488.87 Undiviided profits. i 100.00 ] 4,399.70 ; 14.90 i 1(5,500.00 5,500.00 786.40 2,000.00 66.28 8.48 1, 640. 00 3, 310.00 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid. Tndi vidual deposits United States deposits ! Depositsof U.S.disbursingotlicers.' 58, 920, 75 Due to other national banks. . . . , . . ! Due to State banks and bankers Notes and bills re-discounted Bills payable | 5,10J. 00 ! 562. 50 141, 759. 62 Total. J". S. JOHNSON, lashier. Liabilities. Total . 141, 759. 62 First National Bank, Seward. No. 2771. S. C. LANGWORTHY, President "W. E.LANG WORTHY, Cashier. $128, 726. 91 Capital stock paid in Loans and discounts $50, 000. 00 1,878.42 Overdrafts 12, 500. 00 Surplus fund U. S. bonds to secure circulation... 10, 000. 00 II. S. bonds to secure deposits Undivided profits 1, 1)07. 13 TJ. S. bonds on band Stocks, securities, judgments, etc.. National-bank notes o u t s t a n d i n g . . 11, 250. 00 11,337.49 Due from approved reserve agents. State-bank notes outstanding 9,924.73 Due from other national banks Due from State banks and bankers. Dividends unpaid 4, 000. 00 Bank'g-houae,fuTniture,and fixtures Other real estate and mortg's owned 16,935.75 Individual deposits 108, 070. 91 Current expenses and taxes paid... 4.75 United States deposi ts . Premiums on U. S. bonds Checks and other cash items ' 48." 34* Depositsof U.S.disbursing o Ulcers. I Exchanges for clearing-house Duo to other national banks 275. 00 Bills of other national banks 75. 90 Due to State banks and bankers...; Fractional currency, nickels, cents 4, 518. 25 Notes and bills re-discounted Specie 3, 000. 00 Legal-tender notes Bills payable U. S. certificates of deposit 562. 50 Kedemption fund with Treas. TJ. S. Due from Treasurer U. S 193, 788. 04 193, 788. 04 Total . Total . CLAUDIUS JONES, President. Jones National Bank, Seward. No. 3060. Loans and discounts Overdrafts , U. S. bonds to secure circulation ... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g house,furniture,and fixtures Other real estate and moitg'sowned Current expenses and taxes paid.. Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. H. T. JON EH, Cashier. $179,547,24 | Capital stock paid i n . 921.98 | 12, 500. 00 'Surplus fund $50, 000. 00 Undivided profits 10, 000.00 13, 233. 28 National-bank notes outstanding.. 11, 250. 00 14,109.30 State-bank notes outstanding 5,173.75 jj Dividends unpaid 11,453.86 2,201.16 Individual deposits United States deposits Depositsof U.S.disbursing officers. 150, 474. 79 378"88" """200.00 9.01 6,149. 85 300.00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 562. 50 2IM, 958.07 Total . 234,958.07 1018 REPOKT OP THE COMPTROLLER OF THE CURRENCY. N E B RA S K A . First National Bank, Shelton. GEORGE MEISNER, President. N o . 4042. MARK G-. LEE, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures, Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash itoms Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie -. Legal-tender notes U. S. certificates of deposit Redemption fund witii Treas. U.S. Tuefrom Treasurer U.S. Total. Liabilities. $75, 035. 07 4,934.11 12, 500. 00 Capital stock paid in Surplus fund Undivided profits $50, 000. 00 '""4*655*74 • National-banknotes outstanding.. State-bank notes outstanding 4, 281. 74 11, 240. 00 Dividends unpaid 1, 949. 03 Individual deposits United States deposits : Deposits ofU.S.disbursing officers.; 515*75* 3, 687. 50 103. 95 42, 828. 27 Due to other national baulks : Due to State banks and bankers..! Notes and bills re-discounted . Bills payable 80." 00* 48. 91 1, 335. 25 3, 090. 00 562.00 Total . 108,124. 01 108,124. 01 Carson National Bank, South Auburn. JOHN L. CARSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk' g-house, furniture, audfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national bauks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3(528. $133, 963. 39 113.18 15, 000. 00 E. M. BOYD, Cashier. Capital stock paid in $60, 000. 00 . Surplus fund Undivided profits National-banknotes outstanding.. State-bank notes outstanding 31!). 93 31, 504. 62 18,513.70 4, 047. 2S 3, 150. 0-J 3,000.00 6, 857. 80 13, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. dis bursing officers 1,947.11 600. 00 615. 21 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 240. 00 70.12 8, 544.25 2, 678. 00 137, 903. 20 805. 71) 675. 00 222, 071. 79 Total. 222,071.79 South Omaha National Bank, South Omaha. A. U. WYMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's ov\ ned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3611. $276, 078. 75 870. 07 18, 750. 00 369. 05 39, 392. 06 3, 340. 06 800. 00 26, 880. H4 2, 500. 00 2, 976.63 4, 656.25 40, 366. 28 3, 205. 00 11.23 12, 392. 50 5, 500. 00 H. C.BOSTWICK, Cashier. Capital stock paid in. $75, 000. 00 1 Surplus fund !, Undivided profits 5, 000. 00 14, 425. 96 j National-bank notes outstanding. State-bank notes outstanding 16, 310. 00 Dividends unpaid. Individual deposits United States deposits ' Deposits ofU.S.disbursing officers. 269, 759.93 Due to other national banks Due to State banks and bankers . . 17,250. 22 41,186.11 Notes and bills re-discounted . Bills payable 843.50 438, 932. 22 Total 438,932. 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1019 NEBRASKA. First National Bank, Stanton. F 3>TCG:.VEKIN, No. 3364. President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national ban ks Fractional currency, nickels, cents . Specie Legal-tender notes , U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S Total. LEVI MILLER, Cashier* Liabilities. $102,043.88 308. 36 12, 500. 00 5,131.21 1, 561.49 Capital stock paid in. $50, 000.0C Surplus fund Undivided profits , 8, 000. 0C 6, 013. 64 National-hank notes outstanding . State-bank notes outstanding 11, 250. 00 Dividends unpaid 4, 500. 00 94.08 19. 00 Individual deposits United States deposits Deposits of U. S.disbursing officers 47, 524. 71 Due to other national banks 1, 525.00 Due to State banks and bankers . 50, 13 3, 350. 05 Notes and hills re-discounted 1, 00(5. 00 Bills payable 10,948.60 502. 50 Total. 133, 736.95 133, 736. 95 First National Bank, Superior. D. BOSSERMAN, President L.B.ADAMS, Cashier. No. 3529. Loans and discounts Overdrafts TJ. S. bonds to secure circulation .... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks,'securities, judgments, etc .. Due from approved reserve agents Due from o\ her national banks Due from State banks and bankers. Bank'g-hoiihe, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S. - Total. $115, 760.14 716. 99 25, 000. 00 26, 092. 96 918. 76 Capital stock paid in $100, (»00. 00 Surplus fund Undivided profits 3, 555. 23 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid " 14," 900. 89* 784." 03' 4,398.12 1, 582.11 " 3,825.66 34. 02 907. 45 4, 503. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 74, 493. 24 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 1,125.00 200, 548. 47 Total. 200, 548.47 First National Bank, Sutton. L. D. FOWLER, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to seen re deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k 'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearinsr-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3240. $95, 495. 30 Capital stock paid in 6.17 12, 500. 00 1, 950. 00 4, 55f>. 39 43.30 M. L. LUEHKEX, S u r p l u s fund Undivided profits National-bank notes o u t s t a n d i n g State-bank n o t e s o u t s t a n d i n g . . . Cashier. $50, 000. 00 5, 000. 00 3, 787. 32 11, 250. 00 Dividends u n p a i d 9, 066.23 """864." 09* 700. 00 182. 01 1,005. 00 13. 51 1,562.50 4, 654.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted..' Bills payable 55, 663. 68 7,460. 00 ""562." 50 133,161.00 Total. 133,101. 00 1020 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEB31 A S KA. Sutton National Bank, Sutton. J. B. DINSMOEE, President. F. C. MATTKSOX, Cashier. No. 3G53. Resources. Loans and discounts Overdrafts : TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, farnitiire.-and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $81, 300.36 2, 542.10 12, 500. 00 100. 00 17,483.21 2, 676. 60 $50, 000. 00 Capital stock paid in. 2, 605. 88 2, 029. 00 Surplus fund Undivided profits National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 11, 250. 00 Dividends unpaid " 5,120.00 252.'07' 800.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 65, 559. 76 1 Due to other national banks 1 25. 00 I Due to State banks and bankers . 11. 80 7, 066.00 Notes and bills re-discounted. 1, 005. 00 ; Bills payable 5G2. 50 Total. 131, 444. 70 131,444.70 First National Bank, Syracuse. No. 3083. N. A. DUFF, President. Loans and discounts Overdrafts tJ. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums ou U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $77, 972. 70 1, 598. 92 12, f 00.00 18,459.14 7,031.52 C. E. COTTON, Cashier. Capital stock paid i n . $50, 000. 00 5, 000. 00 2, 891. 06 Surplus fund Undivided profits National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 11, 250. 00 Dividends unpaid "* 5,'300. 66 VjC. 18 218.80 729.96 695. 00 1.70 4, 563. 00 808. 00 Individual deposits United States deposits Depositsof U. S. disbursing officers. Due to other national banks Due to State banks aud bankers . . 59, 044. 88 3,251.48 Notes and bills re-discounted. Bills payable 562. 50 Total. 131, 437. 42 131, 437.42 First National Bank, Tobias, S. F . NUNEMAKEH, President. Loan sand discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-bouse, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes. U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3725. $69, 869. 50 379. 71 12, 500. 00 4, 012. 73 386. 20 J . V. AINSWOUTII. Cashier. Capital stock paid i n . Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 2, 000. 00 3, 034. 94 11, 250. 00 Dividends unpaid . 8, 662. 00 1, 800. 00 1,189.18 800. 00 35.75 24.61 3,519.25 Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 22, 456. 49 15, 000. 00 502. 50 10.'}, 741. 43 Total. 103.741.43 KEPOfiT OF THE COMPTROLLER OF THE CURRENCY. 1021 NEBRASKA, First National Bank, Wahoo. No. 2780. CHARLES BRRKY, President. PETER AXDERSON, Cashier, Resources. Liabilities. Loans and discounts 0 verdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortis's owned Current expenses and taxes paid... Premiums on IT. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes X . S. certiheates of deposit T Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Capital stock paid in. $80, 000, 00 14, 000. 00 5, 622. 30 Surplus fund Undi vided profits National-bank notes outstanding.. 14, 613.] 9 ; State-bank notes outstanding 12, 9, 3, 4, 822. 350. 330. 677. 950. 679. 54 00 00 39 00 20 18, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits ofU.S. disbursing officers. 155,098.49 I Due to other national banks 636. 00 j| Due to State banks and bankers . . 11, 307. 20 1, 000. 00 24, 500. 00 Notes and bills re-discounted Bills payable 900. 00 ! Total. 297,220.79 ! 297, 220. 79 Saunders County National Bank, Wahoo. G. W. E. DOUSEY, President. No. 3118. Loans an d discounts Overdrafts IJ. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks . . . Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total.. $271,154.71 3, 928. 67 25, 000. 00 20, 738. 62 975.42 II. II. DOUSEY, Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 15, 000. 00 7, 022. 84 National-bank notes outstanding.. State-bank notes ^outstanding 22, 500. 00 Dividends unpaid 15, 578. 70 5, 0-i'J. 98 5, 6-J9, 02 203.31 380. 00 4, 825. 25 2, 000. 00 Indiv idual deposits United States deposits Deposits of U.S.disbursing officers. 183, 242. 35 Due to other national banks Due to State banks and b a n k e r s . . . 1.49 Notes and bills re-discounted Bills payable 28, 825. 00 1,125. 00 Total. 356, 591. 68 356, 591. 68 First National Bank, Wayne. J . M. STRAHAN, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furnitiue,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total . No. 3392. $114,331.63 111.39 12, 500. 00 5, 625.10 7, 281. 22 H. F . WILSON, Capital stock paid i n . Surpl us fund Undivided profits 10, 000. 00 2, 274. 2 L National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid 4," 200. 66 780. 00 12.10 3, 000.00 1, 420. 60 1, 305.00 13. 70 6, 697. 75 1, 000. 00 Cashier. $550, 000. 00 Individu al deposits United States deposits Deposits of U.S. disbursing officers. 1,044.00 65, 972.78 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted Bills payable 18, 300. 00 562. 50 158, 840.99 Total. 158, 840. 99 1022 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEBRASKA. First National Bank, "Weeping Water. B . A. GIBSON, No. 3523. President. C. N . BATRD, Cashier. Resources. Loans and discounts Overdrafts U . S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. D u e from other national banks D u e from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and rnortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Total Liabilities. $81), 579. 52 Capital stock paid in 1,029.21 j 12, 500. 00 Surplus fund Undivided profits $50, 000. 00 2, 665. 81 1, 852. 28 National-bank notes outstanding.. 4.947.46 i State-bank notes outstanding 1, 685. 8 s) 498.01 Dividends unpaid 5,462.30 Individual deposits 507. 06 United States deposits 977.11 Depositsof U.S. disbursingoificers. 199.45 Due to other national banks 2, 000. 00 Due to State banks and bankers .. 10.03 5, 053. 00 Notes and bills re-discounted 2, 560. 00 Bills payable 11, 250. 00 46, 751. 22 14, 572. 28 459.45 562. 50 Total 127, 571.04 127, 571. 04 First National Bank, West Point. No. 3370. E . K. VALENTINE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes p a i d . . . Preniiums on U. S. bonds Checks and other cash i t e m s . . . Exchanges for clearing-house Bills of other national b a n k s . . . Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $117, 965.94 1, 681. 50 12, 500. 00 "\' m m m \ $50, 000.00 Surplus fund Undivided profits. 5, 100.00 2,314.48 748. i l j National-bank notes o u t s t a n d i n g . . 6,753.53 : State-bank notes outstanding 11, 250. 00 Dividends unpaid 10, 000.00 875.31 350. 00 198. 53 329. 00 28. 53 1,540.00 1, 500. 00 Individual deposits United States deposits Depositsof U.S. disbursing oih'cers. Due to other national b.inks Due to State banks and bankers -Notes and bills re-discounted Bills payable 59,130.36 27, 238.41 562. 50 155, 033. 25 Total. W. A. BLACK, Cashier. Capital stock paid i n . Total . 155, 033. 25 West Point National Bank, West Point. W I L L I A M E. STURFRR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bauk'g-house,furniture,andnxtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national bauks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund witli Treas. U. S. Due from Treasurer U. S Total.. No. 3340. N I E L S LARSRK, Cashier. $148, 631. 40 46. 82 12, 500. 00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. 9, 213. 18 State-bank notes outstanding 57.61 665. 00 4, 789. 81 57.33 "l," 839." 36" 1, 300. 00 62. 75 8, 486. 30 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $50, 000. 00 16, 000. 00 2, 763. 53 11,250.00 92,169.28 16,029.25 562. 50 188,212.06 Total . 188,212.06 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1023 NEBRASKA. First National Bank, Wilber. No. 2991. . TIDBALL, President. C. A. CALDWELL, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items .Exchanges for clearing-house Bills of oilier national banks Fractional currency, nickels, cents. Specie Legal-tender notes XL S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $106,234. 87 Tl. 97 15, 000. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits 8, 300. 00 2,891.77 National-bank notes outstanding.. ! State-bank notes outstanding 239. 47 8,441.09 5, 210. 48 13, 500. 00 Dividends unpaid 1, 870. 58 Individual deposits United States deposits Deposits of U. S. disbursing officers. I. 1,401.50 3, 800. 00 1,112.10 2(30. 58. 11,147. 1, 705. 82,546.35 Duo to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable - 00 00 00 00 675.10 Total. 157, 238.12 157, 238.12 First National Bank, Wisuer. No. 4029. A. R. GRAHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... II. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc ... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-hourte, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premi nms on U. S. bonus Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S I $45,000.00 3, 047.12 11, 250. 00 I Dividends unpaid 14,415.59 Individual deposits "'"*95O."o6* United Slates deposits 3, 711. 78 Deposits of U.S. disbursing officers. 219. 57 Due to other national banks 115.00 Due to State banks and bankers .. 17.04 2, 369. 00 Notes and bills re-discounted 1, 220. 00 Bills payable 562.50 129, 341. 03 Total. II. D. DEILY, Cashier. $91, 338. 01 j Capital stock paid in 87.83 | 12, 500. 00 ' Surplus fund urplus fund ndivided profits j National-bank notes outstanding.. 1, 834. 65 State-back notes outstanding Total 37,471.89 8.80 32,563.22 . 129, 341.03 First National Bank, Wood River. H. CHAMBERLIN, Cashier. No. 3939. $78, 437.22 Capital stock paid in. Loans and discounts $50, 000. 00 145. 78 Overdrafts 12, 500. 00 Surplua fund U. S. bonds to secure circulation.... U. S. bonds to seen re deposits 6, 396. 01 Undivided profits. U. S. bonds on hand Stocks, securities,judgments, etc ... National-bank notes outstanding.. 11, 250.00 1, 090. 49 State-bank notes outstanding Due from approved reserve agents. 301.65 Due from other national banks Dividends unpaid Due from State banks and bankers., Bank'g-house, furniture,and fixtures; 7, 950. 00 Other real estate and mortg's owned Individual deposits 35, 576". 09 528. 45 Uni ted States deposits Current expenses and taxes paid... 3,421.38 Deposits of U. S. disbursing officers. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Due to other national banks 500.00 Bills of other national banks Due to State banks and bankers .. 10. :i8 Fractional currency, nickels, cents. 823.75 Notes and bills re-discounted 3, 050. 00 Specie Legal-tender notes Bills payable U. "S. certificates of deposit 562.50 Redemption fund with Treas. U. S . H . O. G I F I ' O K D , President. Due from Treasurer U. S Total. 106, 272.10 Total. 106, 272.10 1024 REPORT OF TILE COMPTROLLER OF THE CURRENCY. NE B U A S K A . First National Bank, York. No. 2083. F. 0. BELL, President. H. C. KLETXSCHMIDT, Cathier. Resources. Liabilities. Loansand discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. $140, 820.75 5/221.51 12, 500. 00 5, 635. 00 20, 650.80 1, 371.14 255. 61 10, 859. 20 8, 724. 41 1,1G8 21 1, 000. 00 1,481. H3 4G5. 00 58.75 6, 097. 50 6, GOO. 00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50, 000. O C 11,000.00 3, 809. 31 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers . Due to other national banks Due to State banks and bankers. Notes and bills re-discounted Bills payable 141,918.90 5, 434. 00 502.50 I I 223, 472. 21 j Total. 223, 472. 21 York National Bank, York. GEORGE W. POST, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,funiiture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national'banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. L E E L O V E , Cashier. No. 3162. $189,312.18 I Capital stock paid in $100, 000. 00 1,629.70 ! 25,000. 00 Surplus fund 10, 000. 00 8,134. 25 Undivided profits. 12,125.00 National-bank notes outstanding.. 22, 500. 00 7, 010. 49 State-bank notes outstanding 6.16 3, 97J. 9(5 Dividends unpaid. 15, 1 '25. 55 2, 947. :t3 Individual deposits 126,169.18 2,415.75 United States deposits 1,187. 23 Deposits ofU.S.disbursing officers 1,810.41 Due to other national banks 342. 27 4, 760. 62 Due to State banks and bankers . . 9.85 |; : 3,322. 65 | Notes and bills re-discounted. 4,90(5.00 Bills payable 271, 906." 32 jj Total . 271,906.32 KEPOKT OF THE COMPTKOLLE.lt OF THE CURRENCY. 1025 COLORADO. First National Bank, Alamosa. No. 3114. JOHN L. MCNEIL, President. ILL Ross, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate andmortg's owned Curie.at expenses and taxes paid... Premiums on U S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national ban ks Fractional currency, nickels, cents . Specie Legal-tender notes IJ. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer IT. S Total. $115, (»!H. < ; Capital stock paid in m 7 Hi. 20 ! 12,500.00 I Surplus fund __. ; Undivided profits 1, 822. :>7 3,088.07 41, Kf>i.5S 4, 90 i. 2-1 o, O'.io. oo , ; $50 ; 000. 00 000.00 747,55 : National-bank notes outstanding . . : StaU'-bauk notes outstanding , Dividends unpaid ! ; Individual deposits United States d«ioosiis 128, 180. 81 2, 875. 00 ; Depositsof U.S. disbursingoliicers 350. 00 Due to other national banks Due to State banks and bankers .. 15, G O ., 517. 00 5'). 05 • 10.25)1.9") , Notes and bills re-discounted 4, .141. u0 |! Bills payable 502. 50 Total . 205, 717. (52 205, 717. G2 First National Bank, Aspen. WALTER S. CIIEKSMAX, President. Loans and disco unts Overdrafts U. S. bonds to secure circulation... IJ. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixturos Other real estate andmortg's owned Current expenses and taxes paid.... Premiums on U. S. bonds Checks and other cash items [Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3485. $258,!):!!). 4 1 2, U9«>. :;4 25, 000. 00 •i, 201.10 4S, 550. 55 120,170.Ur> 3, 8)1.85 5, 3:)5. .10 1,200.00 3,222.01 10,118.00 70. 00 20, 2<H), 00 3:.), 000. 00 T. G. LYSTKK, Catilder. Capital stock paid i n . $100, 000. 00 Surplus fund. Undivided profits 5, 000. 00 14,780.75 National-bank notes outstanding.. State-bank notes outstanding 21, 400. 00 Dividends unpaid Individual deposits - 400, 744. 27 United States deposits Depositsof U.S. disbursing officers D u e t o other national b u n k s . Duo to State b a n k s a n d bankers . . 891.68 Notes and bills re-discounted . Bills payable 1,125.00 542,810.70 j Total . 542, 816. 70 First National Bank, Boulder. J . G-. CorE, President. No. 2352. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national 'ban ks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IJ. S. Due from Treasurer U. S . . . . . . Total. H. Ex. 3 4. 044. 83 [\ National-bank notes outslAtidhig. 15, 021.1)1 j State- bank notes outstanding . . ' . . 22, 306. 65 0, 577. 78 : Dividends unpaid 13, 000. 00 I Ind i vidual deposits '""2," 355.'4 7 ' United States 'deposits I Depositsof U.S. disbursingoflicers 3,480.71 '| Due to other national banks "l~572."oo" ! Due to State banks and bankers . 12,20 12,014.50 ,' Notes and bills re-discounted, 17,000.00 i Bills payable $100, 000. 00 17, 000. 00 7, 700. 90 22, 500.00 177, 075.17 1,125.00 324, 876. 07 | 05 W. H. THOMPSON, Cashier. $190,017.40 ; Capital stock paid in. 1,447.53 25,' 000, 00 Surplus fund Undivided profits Total . 324, 876. 07 1026 REPORT OF THE COMPTROLLER OF THE CURRENCY. €O J O R A D O. L Boulder National Bank, Boulder. E R. WILLIAMSON, President. No. 324G. I. L. BOND, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-bouse, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $112, 299.48 417.48 12, 500. 00 5, 600. 72 9, 783. <J8 8, 739. 77 "2," 844." 00 400. 00 500.00 1, 892. 07 895.00 4.00 14, 283. 35 6, 272. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. $50, 000. 00 7, 500. 00 4, 333. 66 11, 250. 00 103, 910. 99 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable , 562. 50 176, 994.65 Total. 176, 994. 65 National State Bank, Boulder. C. G. BUCKINGHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agonts. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. J. H. NICHOLSON, Cashier. No. 2355. $55, 000. 00 Capital stock paid in.. $163,813.69 •2, 832. 54 14, 000. 00 8, 644. 25 10, 800. 84 9, 440.15 4,718.98 8, 000. 00 4, 000. 00 1, 981. 81 Surplus fund Undivided profits 11, 000. 00 13,476.21 National-bank notes outstanding . State-bank notes outstanding 12, 020. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 164, 756.81 Due to other national banks Due to State banks and bankers .. 1, 699. 72 " 1,08,1'. 18 605.66 15.80 6, 852. 50 19, 813.00 Notes and bills re-discounted . Bills pa}-able 50.00 1, 000.00 257, 652. 74 Total . 257, 652. 74 First National Bank, Canon City. E. C. GRAY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. No. 3879. Capital stock paid in. Surplu s fund A. M. HAWLEY, Cashier. $95,431.75 548.80 12, 500.00 Undivided profits . 6, 616. 45 6, 574.80 26, 977. 24 4,048.19 1, 200. 00 1,718.54 3,145. 82 723. 48 760.00 31.65 3,218.75 12,682.00 National-bank notes outstanding.. State-bank notes outstanding $50,000.00 5,000,00 4, 266.58 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 104, 571. 92 1,651.47 562. 50 176, 739.97 Total 176, 731). 97 KEPORT OF THE COMPTROLLER OF THK CURRENCY 1027 COLORADO, First National Bank, Central City. No. 2129. OTTO SAUER, President F. II. MBSSINGKB. Cashier. Liabilities. Resources. Loans and discounts Overdrafts U, S. bonds to secure circulation... U. S. bonds to secure deposits IX. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-bouHe.furniture, and fixtures Other real estate ami mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit ^Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. $176, 820. 63 1, 642. 85 50, 000. 00 113, 822. 53 31, 834. 23 135, 064.65 537.79 10, 000. 00 12,000. 00 4,139.64 1, 955. 00 85.96 32, 596. 35 18, 500. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits 25, 000.00 7, 421. 08 National-bank notes outstanding. State-bank notes outstanding 41,200.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 463,912.47 Due to other national banks Due to State banks and bankers .. 697. 22 18.86 Notes and bills re-discounted . Bills payable 2,250.00 Total . 591, 249.63 591, 24.9.63 Rocky Mountain National Bank, Central City. HAL SAYR, President No. 1652. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid.... Premiumson U.S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. . Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S . Due from Treasurer U. S Total. $249, 691. 64 5, 214.79 15,000.00 9, 625. 03 5,447. 87 51,912.72 7, 031.95 T. H. POTTER, Cashier. Capital stock paid i n . $60,000. 00 Surphis fund Undivided profits. 30, 000. 00 10, 498. 39 National-bank notes outstanding.. State-bank notes outstanding 13, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 190. 57 "eii.'oo" 30, 802.80 10, 000.00 272, 207. £ Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Billspayable Total . 386,206.37 386, 206.37 First National Bank, Colorado Springs. J. J. HAGERMAN, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiumson U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 2179. $449, 613. 77 8, 041. 23 25, 000. 00 J. A. HAYES, JR.,Cashier. Capital stock paid in. $100,000. 00 Surplus fund Undivided profits - 50, 000. 00 30, 726. 68- 38, 744. 68 46,133.81 112, 397. 85 3, 244.16 National-bank notes outstanding.. State-bank notes outstanding 20,120.00 1, 500. 00 4, 268.25 5, 937.50 1, 570.43 5, 610. 28 17, 605.00 146. 60 37,468. 50 22,000. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 564, 009. 98 Due to other national banks Due to State banks and bankers . . 3, 639. 04 11, 911.36 Dividends unpaid Notes and bills re-discounted .. Bills payable 1,125. 00 780, 407. 06 Total. 780, 407.06 1028 EEPOBT OF THE COMPTROLLER OF THE CURRENCY. € O L, O 35 A D O . Exchange National Bank, Colorado Springs. T. E. Dow, President. No. 3913. D. ITEIION, Cashier. Liabilities. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks D u e from State b a n k s and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . P r e m i u m s on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certi ficatos of deposit Redemption fund with Tieas. U. S. Due from Treasurer TJ. S 2, 500. 00 4, 088. 21 Surplus fund Surplus fund Undivided profits 23, 000.00 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 19,', 3, 093. 5$ 22, 500. 00 Dividends unpaid 34, 448. 23 Individual deposits 2, 299, 22 • "United States deposits 1,500.00 : Deposits of U.S. disbursing officers ,. 4, 770.11 305. 14. 5, 894. 3, 980. 108, 170. 4G Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 00 36 (50 00 1,125. 00 Total. 237,258.07 Total. $100, 000. 00 $132, 9S2. 43 Capital stock paid in 237, 258. 67 First National Bank, Denver. Ko. 1010. D. H. M OFF AT, President S. N. WOOD, Cashier. $2, 414, 0 96 [ Capital stock paid in Loans and discounts 12.942.1 3 | 1 Overdrafts 50 000. ( i Surplus fund OO U. S. bonds to secure circulation... Surplus fund. 300, 000. 00 I Undivided profits.. U. S. bonds to secure deposits U. S. bonds on hand 49, 805. National-bank notes outstanding.. Stocks, securities, judgments, etc .. 1, 5:53, 947. Due from approved reserve agents State-bank notes outstanding. 106,825. Due from other national banks 101, 388. Dividends u n p a i d . Duelrom State banks and bankers. Bank'g-house, furniture, and fixtures i.90 7, 496. Individual deposits , Other real estate and mortg's owntxl Current expenses and taxes paid.. United States deposits 86,114.98 jj Depositsof U.S.d'isburshigonicers. Premiums on U. S. bonds Checks and other cash items 103., 231. Due to other national b a n k s Exchanges for clearing-house 146,521. Bills of other national hanks Due to State banks and bankers . . 493. Fractional currency, nickels, cents . 374, 523. Notes and bills re-discounted Specie 100, 000. Legal-tender notes Bills payable TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total Total 5,390,387.89 ; $500, 000. 00 100,000. 00 101, 954 Hi 45,000.00 3,572,482.91 KM, 9(52. 48 163, 106. 06 514,502.01 288, 379. 67 5,390,387.89 City National Bank, Denver. WILLIAM BARTII, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bauk'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S, bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1955. ., 049, 866. 07 3,356.83 100,000.00 , Jxo. R. HANNA, Cashier. !' Capital stock paid in i I Surplus fund j !j Undivided profits 105,646.07 432,165.12 86,440.44 21,715.53 5, 000. 00 2, 020. 00 9, 78(5. 29 7, 500.00 1, 134.50 37,483. 2i» , 39, 049. 00 i 206. 60 55, 302. 45 110, 000. 00 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding . . ' . „ . $200, 000. 00 100, 000. 00 82. 0(58.17 90, 000. 00 Dividends unpaid Individual deposits United States deposits Depositsof U S. disbursing of Hcers. Duo to other national banks Due to State banks and bankers .. 1,402,991.97 133,363. 10 62, 218. 95 Notes and bills re-discounted. Bills payable 3, 970. 00 2,070,642.19 Total 2, 0 70, 612.19 1029 REPORT OP THE COMPTROLLER OF T1LK CURRENCY. Colorado National Bank, Denver. G. B. KOUNTZE, President. W M . B . BERCIER, Cashier. Xo. 1031. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds oa hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house, furniture, and ti xtures Other real estate and m o r t i s owned Current expenses and taxes paid... Premiums on U, S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. Liabilities. $1, 034,329. 78 Capital stock paid in. 10, 632, 75 130. ooo. oo • Surplus fund :JUO, con. oo $300, 000. 00 100, 000. 00 116,178, 67 Undivided profits 1 160, 09(5. 55 Xational-bank notes outstanding.. 675, 446. 10 ! State-bank notes outstanding ; 45, 252. 01 371,271.46 ( 00 4 J, 000. 27,711.74 5, 301. M) 20, COO. 00 7, 103. 89 54, S48. 99 18, 4S7, 00 225. Oil 336, 660. 36 87, 810. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due co other national banks Due to State banks and bankers .. I Notes and bills re-discounted. i Bills payable 117, 000.00 2, 383, 786. 08 315, 329. 77 422,130. 97 486, 534. 28 5, 850. 00 5)32. 54 4, 240, 059. 77 4, 240, 959.77 Total. Commercial National Bank, Denver. C. H. Dow, President. No. 4113. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $67,901.81 F. II. DUXLEVY, Assistant Capital stock paid in. Cashier. $125, 000. 00 50, 000. 00 Surplus fund Undivided profits. 320. 48, 2ii8. 12, 708. 407. 8, 964. National-bauk notes outstanding. State-bank notes outstanding 00 42 69 33 21 3, 512.01 14, 125. 00 24.68 '"i2*787."("io" 100. 00 4,513.00 15, 000. 00 1, 454. 30 Dividends unpaid Individual deposits -United States*deposits Deposits of U. S. disbursing officers. 112, 300. 85 Due to other national banks Due to State banks and bankers .Notes and bills re-discounted. Bills payable Total. 238, 755.15 Denver National Bank, Denver. JOSEPH A. THATCHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house, furniture, and ti xtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificatesof deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total., A. A. DENMAX, Cashier. No. 3269. $1, 406, 242. 57 10, 429. 80 50, 000. 00 200, 000. 00 21.309.01 813, 463. 76 329,411.59 7, 830. 82 10, 000. 00 '"" "8*444.96 17, 187.53 3, 307.46 02,300. 13 52,170. 00 254. 45 101,268.45 100, 000. 00 Capital stock paid in Surplus fund Undi vided profits National-bank notes outstanding.. State-bank notes outstanding ..".., $300, 000. 00 115, 000. 00 40, 393. 38 45, 000. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingoiiicers. 1, 757,182. 50 131,274.67 57, 784. 37 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 267, 024.70 483, 940. 94 2, 250. 00 1,700.00 3,197, 600. 56 Total. 3,197, 600. 56 1030 REPORT OF THE COMPTROLLER OF THE CURRENCY. COLORADO. German National Bank, Denver. No. 2351. GEORGE FEITCH, President CHAS. M. CLINTON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U S bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds 0hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, niokola, cents . U. S certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total $1, 745, 6, 50, 200, 861. 86 224. 58 000. 00 000.00 85, 510. 84 801, 20(5. 72 178, 627. 30 47,816.25 15, 000. 00 22, 636.27 12, 480. 25 57, 468. 75 1, 4:4.10 25, 604. 73 38, 900. 00 550.00 329, 772. 49 225, 000.00 Capital stock paid in Undi vided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. $200, 000. 00 200 000. 00 85,816.86 45, 000. 00 135. 00 2,561,467.77 214, 699. 87 5, 300. 13 318, 681. 45 218, 013. 06 Notes and bills re-discounted 2, 250. 66 2, 750. 00 3, 849,114.14 Total 3, 849,114.14 People's National Bank, Denver. M. J . LAWRENCE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total. C. Y. MCCLURE, Cashier. No. 4084. $225, 000. 00 Capital stock paid in. Surplus fund 11, 845. 47 Undivided profits 55. 00 45, 000. 00 National-bank notes outstanding.. 237, 735. 07 State-bank notes outstanding $4.51, 016. 26 30, 988. 69 50, 000. 00 6,447. 23 14, 007.19 5, 792. 37 5, 296. 30 3, 500. 00 28, 536. 42 12, 732. 00 100.48 27, 645 05 90, 000. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable - 591, 397. 44 28,191.70 64, 667. 45 2, 250. 00 966,102. 06 Total. 966,102. 06 State National Bank, Denver. JOHN L. MCNEIL, President. FKED. C. ETILHAM, Cashier. No. 2694. $1,172, 291. 02 Capital stock paid in. Loans and discounts $300, 000. 00 5,133.92 Overdrafts 50, 000. 00 Surplus fund 60, 000. 00 U. S. bonds to secure circulation . . . U. S. bonds to secure deposits 6, 668. 81 Undivided profits. U. S. bonds on hand 7, 822. 64 National-bank notes outstanding 45,000.00 Stocks, securities, judgments, etc . . 645, 635. 05 State-bank notes outstanding Due from approved reserve agents . 17, 334. 32 Due from other national banks 24. 543.41 Dividends unpaid Due from State banks and bankers. 10, 000. 00 Bank'g-house, furniture, and fixtures 4,948. 30 Individual deposits Other real estate and mortg's owned 1,199, 401. 22 United States deposits Current expenses and taxes paid... 3, 000. 00 Depositsof U.S. disbursing officers. Premiums on U. S. bonds 4, 077. 03 Checks and other cash items 49,107. 60 Due to other national banks 502,621.66 Exchanges for clearing-house 49, 479. 00 Due to State banks and bankers . . 112, 08 L 29 Bills of other national banks 33. 09 Fractional currency, nickels, cents . 130,120. 00 Notes and bills re-discounted . Specie , 50, 000. 00 Bills payable Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. IT. S. 2, 250. 00 Due from Treasurer U. S Total 2,225,775.98 Total 2,225,775.98 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1031 COLOBA BO. First National Bank, Durango. N o . 2637. A. P. CAMP, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Ba nk'g-house, furniture, and fi x tares Other real estate and morn's ownoi! Current expenses and taxes paid... Premiums on 17. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks .., Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $198, 083.62 851.06 12, 500. 00 Surplus fund $50, 000. 00 _. _ Undivided profits 208.17 26,084.31 58,112. 45 20. 04 1, 715. 00 1, 000.00 2, 750. 00 79. 87 877. 00 7.00 11,881.55 8, 500. 00 10, 000. 00 3, 342. 74 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid. Ind ividual deposits United States deposits Deposits of U.S. disbursing officers. 244, 203.17 Due to other national banks Due to State banks and bankers .. 4,014.20 1, 022.46 Notes and bills re-discounted . Bills payable 562.50 323,832.57 Total. W. P. VAILE, Cashier, Liabilities. Capital stock paid in. 323, 832. 57 Total. First National Bank, Fort Collins. F. C. AVEKT, President Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents. Due from other national banks. ... Due from State banks and bankers. Bank'g-house, furniture,aud fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash Items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total., No. 2622. G. A. WEBB, Cashier. $50, 000. 00 Capital stock paid in. 42, 000. 00 Surplus fund 10, 374. 07 Undivided profits . 4, 485. 35 National-bank notes outstanding.. 11,250.00 15, 391. 71 State-bank notes outstanding . . . . $161,689. 91 5,149. 92 12, 500.00 14,612.90 279.82 8, 500. 00 1, 500. 00 1,318.28 800. 00 1, 286.77 Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers. 1, 516. 00 115. 00 7, 263. 20 4,000.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable , 126, 291. 22 1, 056. 07 562. 50 240, 971. 36 Total., 240, 971. 36 First National Bank, Glenwood Springs. WALTER B. DRVEREUX, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,anil fixtures Other real estate and mortg's ovyned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XJ. S. certificates of deposit Redemption fund with Treas. U. S. Due front Treasurer U. S Total. No. 3661. $170, 314.12 4, 079. 63 25, 000. 00 10, 907.07 37, 434. 07 3, (.90. 09 43, 743.63 2,182. 85 1, 203.15 451. 84 599.00 19,914.35 6, 500. 00 J. H. FESLETI, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. dis bursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable $100, 000. 00 11,000.00 26, 996. 88 22, 500. 00 500. 00 164, 750.61 326.11 1,071. 20 1,125. 00 327,144. 80 Total., 327,144.80 1032 REPORT OF THE COMPTROLLER OF THE CURRENCY. COLORADO. Glenwood National Bank, Glenwood Springs. JSTo. 3722. WILLIAM GELDER, President. Kosources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and inortg's o\vned| Current expenses and taxes paid... Premiums on U. S. bouds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Kedemption fund wit h Treas. U. S . W. J. MILLER, Cashier. Liabilities. $114, 24G. il i: Capital stock paid in. $100,000.00 4,908.47 '! 1.00 : Surplus fund 50, 000i.'JO ii Undivided i)rofits 1, 000. 00 4, 798. 57 4, 598. 38 | National-bank notes outstanding.. 6, 827. »34 ,| State-bank notes outstanding 2,518.00 444, 08 !j Dividends unmid 2, 920. 00 i| G, 32:}. 23 Individual deposits. .•. 2, 377. 28 || United States deposits 9, 500. 00 ij Deposits of U.S.disbursingofticers. 61.54 853.07 Due to other national banks 390. 00 Due to State banks and bankers.. 3. 80 12, GOO. 00 ! Notes and bills re-discounted 3,004.00 Bills payable 22, 500. 00 65, 543. 06 45,123. 07 2, 280. 39 6, 450.11 1,125. 00 Due from Treasurer U. S 247, 701. SO Total. Total. 247, 701.* First National Bank, Grand Junction. GEORGE A. RICE, President. No. 3860. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Kedemption fund with Troas. U. S. Due from Treasurer U. S Total. J . F . MCFARLAXD, Cashier. $50, 000. 00 $97, 900. 84 | j Capital stock paid in 1,523.08 j 12,500.00 j Surplus fund j! Undivided profits 4, 399. 07 2,512.32 33, 342. 24 4, 448. 80 5, 506. 90 816.42 828.13 131. 87 160.03 115. 00 102. 55 5, 385. 70 7, 625. 00 566.17 5, 872.15 ; National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid - 11, 240.00 9.65 Tndi vidual deposits United States deposits Deposits of U.S.disbursingotiicers. 110,105. 90 Due to other national banks Due to State banks and bankers . . 25.51 41.17 Notes and bills re-discounted . Bills payable 562.00 Total. 177, 860. 55 177, 860. 55 First National Bank, Greeley. J. M. WALLACE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. D u e from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and inortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges lor clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Kedemption fund with Treas. TJ. S. Due from Treasurer U. S Total No. 3178. $209, 433. 61 1, 180. 51 25, 000. 00 26,147. 29 45, 449. 70 33, 974. 61 "2," 058." 31 514. 09 161. 85 260. 00 85. 22 13, 230.00 502.00 B. D. H A R P E H , Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 5, 250. 00 5, 393. 21 22,500.00 Dividends unpaid Individual deposits .' United States deposits Deposits of TJ. S. disbursing officers. 225, 263.22 Due to other national banks Due to State banks and bankers -. 209.14 506. 62 Notes and bills re-discounted ., Bills payable, 1,125. 00 35!), 122.19 Total ... 359,122.19 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1033 COLORADO. First National Bank, Guiiiiison. No. 2080. S. G-. GILL, President. E.I*. SIIOVK, Resources. Cashier. Liabilities. Loans and discounts Overdrafts. U. S. bonds to secure circulation. . U . S. bonds to secure deposits U . S. bonds on hand Stocks, securities, judgments, etc . . D u e from approved reserve agents. D u e from othor national banks D u e from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned; Current expenses and taxes p a i d - . . j Premiums on IT. S. bonds j Checks and other cash items j Exchanges for clearing-house ! Bills of other national banks ' Fractional currency, nickels, cents . Specie Legal-tender notes U . S. certificates of deposit Redemption fund with Treas. U. S. D u e from Treasurer U . S $84, 355.14 7, 06:?. 01 ] 2, 500. 00 Capital stock paid in National-bank notes o u t s t a n d i n g . . State-bank notes outstanding . . ' . . . 3, 082. 83 8, 190.81 50,231. i i 8, : m . 28 13, 000. 00 10, 000. 00 io, 733. 27 10,730.00 Dividends u n p a i d . 100,370.21 . Individual deposits i," 82 i.no" i United States deposits I Depositsof U.S. disbursing officers 2, 700. 00 110. 00 : Due to other national banks , 70. G2 1,01.0.53 210.00 10,80 , ! Due to State banks and bankers .. 3,704.05 ! Notes and bills re-discounted , 5, or*). 0,0 • Bills payable 502.50 200, 035. 03 Total. $50, 000. 00 .Surplus fund Undivided profits 200, 035. (!3 Total First National Bank, Idaho Springs. No. 2002. GEO. E. MCCLELLAXD, Cashier. HENRY PLUMMEH, President. Loans and discounts Overdrafts U . S. bonds to secure circulation... U . S. bonds to secure deposits U . S. bonds on hand Stocks, securities, judgments, etc . . I D u e from approved reserve agents ! Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and m o r t g ' s owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house j Bills of other national banks Fractional currency, nickels, cents Specie • Legal-tender note« U / S . certificates of deposit Redemption fund with Treas. U. S. D u e from Treasurer U . S $120, 039.14 | Capital stock paid in 4,093.70 i! ' 12, 500. 00 i Surplus fund -----Undivided profits i $50, 000. 00 j ! 25, 000. 00 0, 314. 00 National-bank notes o u t s t a n d i n g . . ' State-bank notes outstanding . . . . . ! n " j ! Dividends unpaid I j Individual deposits ; :: United States deposits j DeportitsofU.S.disbursingonieors | | ; Due to other national banks 9, 000,00 I, Due U» State banks and bankers ...! 25.07! I 10, 42;>, 00 Nt:tes and bills re-discounted i 10. 810. 00 j; J Jills payable \ .11, 250. Ou 70, 750. 71 51, 132. 00 23,000.02 1, 143, 5i) 12,449.!)"', 1,085.81 1, 004.20 J, 014.04 1.21U. 08 1 1 345, 080. 13 | Total. j Total. 250, 820. U , 2, 205.30 345, 080.13 First National Bank, Lamar. JOSIAII S. SraiNGKii, President. Loans and discounts Overdrafts U. S. bonds to secure circulation.... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie " Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3740. T. I I . CKUIFI, Cashier. $03, 787.22 j C a p i t a l stock paid i n . 249. 50 12, 500. 00 Surplus fund Undivided profits $50, 000. 00 7, 220. 54 1,243.02 084. 00 i, National-bank notes outstanding.. 2, 710. 30 ! State-bank notes outstanding 1,80 k 43 ! \ Dividends unpaid 11,250.00 8,378.18 Individual deposits 018.45 j United States deposits 250. 03 I Deposits of U.S.disbursingoilicers. 254. :;o • Due to other national b a n k s 250. 00 J Due to State banks and bankers . . 31. 17 204. 00 : Notes and bills re-discounted. 3; 335.00 i! Bills payable 34, G70.1G 104,383.72 j Total. 104, 3.83. 72 1034 REPORT OF THE COMPTROLLER OF THE CURRENCY. COLORADO. American National Bank, Leadville. No. 3919. S. N. DWIGHT, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k 'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash ii ems Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certiticates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $234, 896.81 11.08 25, 000.00 34, 826. 91) 55,279. 94 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 20,855. 69 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid 17,937.91 Individual deposits 293, 007. 38 "i6t"i39."39" United States deposits 1,600. 00 3, 468.10 4, 200. 00 80. 80 43, 497. 25 4, 000. 00 Deposits of U.S.diabursing officers. Due to other national banks Duo to State banks and bankers. Notes and bills re-discounted. Bills payable 1,125.00 436, 363.27 Total. J. N. WALLIXG, Cashier. Liabilities. Total. 436,363.27 Carbonate National Bank, Leadville. No. 3746. D. H. DOUGAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houso, furniture, and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S - Total. $721, 518.73 2,180. 42 50,000. 00 998. 94 92, 419.97 377, 265. 84 20, 034. L>4 J. C. MITCHELL, Cashier. Capital stock paid in. Surps d Undivided profits. $200,000.00 75, 000. 00 30, 566.99 National-bank notes outstanding. State-bank notes outstanding 45, 000.00 Dividends unpaid. 12, 000. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 1, 078, 529. 99 2, 331. 37 Due to other national banks 8, 061 00 Due to State banks and bankers .. 237. 35 119, 764. 30 Notes and bills re-discounted. 43, 000.00 Bills payable 12, 305. 92 26,182.26 9, 500. 00 2, 250. 00 1,467,585.16 \\ Total 1,467,585.16 First National Bank, Longmont. GEORGE WYMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments,etc.. Due from approved reserve agents. Due from other national banks Dne from State banks and bankers. ]>auk'g-house,furnituro,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3354. $54,601.80 1, 269. 37 12, 500.00 6, 257. 04 2,120. 51 20, 981.19 7, 905. 57 """215." 75 EBEN W H I T E , Cashier. Capitol stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S.disbursing officers. $50, 000.00 2, 000. 00 627. 76 11, 250.00 1,216.00 47,578.11 557.55 230.00 14.69 4,124.90 1, 325. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 562.50 112, 671.87 Total . 112,671.87 KEPORT OF THE COMPTROLLER OF THE CURRENCY. 1035 COLORADO. First National Bank, Montrose. T. B. TOWNSEND, President. A. L. BONNET, Cashier. No. "4007. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks ... Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums onU. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. Liabilities. Capital stock paid in. $77, 029. 63 2, 980.14 12,500.00 Surplus fund Undivided profits 00, 80 3, 000.5)9 873. 77 152. 21 2, 584. 00 793. 05 2,129. 86 1, 015. 62 (317. 97 165. 00 37.45 4, 764. 50 4, 325. 00 $50, 000. 00 4, 611. 74 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 11, 240. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing officers. 47, 215.08 Due to other national banks Due to State banks and bankers . . 684. 94 440. 83 |i Notes and bills re-disconnted. Bills payable 562. 00 114,192. 59 114,192.59 Total. First National Bank, Oiiray. No. 4109. GEORGE A. RICE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house^urniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bond s Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. $21, 782. 98 514. 96 12, 500. 00 2, 1, 3, 28, 2, 560. 63 470. 35 326. 62 276. 42 797. 90 412. 44 750. 00 369. 75 1, 545. 00 15.94 8, 096. 35 6, 410. 00 L. L. BAILEY, Cashier. Capital stock paid in. $25, 000.00 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposi ts Deposits of U. S. disbursing officers. 65, 041. 03 Due to other national banks Due to State banks and bankers . Notes and bills re-discountcd . Bills payable Total 90, 829. 34 90, 829.34 First National Bank, Pueblo. M. D. THATCHER, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national ban ks Due from State banks and hankers. Bank'g-house, furniture, and fixtures Other real estate and raortg's ownedj Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national ban ks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total., N o . 1833. R. F . LYTLE, Cashier. $886,603.34 , Capital stock paid in 11,411.06 25, 000. 00 Surplus fund 50, 000. 00 Undi vided profits , 45, 526. 78 National-bank notes outstanding . 152, 970. 53 State-bank notes outstanding $100, 000. 00 100, 000. 00 18(i, 972. 25 22, 500. 00 289, 224. 45 36, 499. 33 Dividends unpaid 18, 000. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 809, 212.73 49, 435. 09 615.09 Due to other national banks Due to State banks and bankers .. 36, 605.15 Notes and bills re-discounted . 56, 000. 00 Bills payable 258, 062. 79 92,465. 41 2,973.82 "7," 263* 00 1,125. 00 1, 619, 203. 36 Total. 1, 619, 263.36 1036 REPORT OF THE COMPTROLLER OF THE CURRENCY. COLORADO. Central National Bank, Pueblo. No. 25*1. D. L. IIOLDEX, President. C. A. HAMMOND, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on 0". S. bonds Checks and other casli items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. Liabilities. #50, 000. 00 H25, 120.91 ! Capital stock paid in 2,108,84 Surplus fund 12, 5U0. 00 Undivided profits 202. 70 7, 000. 58 18, 030. 98 J31. 2"» 13,214.25 1, 59 L. 12 1,1)75. 50 2, 032. 81 2, 89L. 03 12, 000. 00 10, 813.1)8 National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingoilioers. D u e to other national b a n k s D u e to S t a t e banks and b a n k e r s . . 289. 00 32. 90 13, 700. 00 7, 000. 00 111,829.42 80. 09 14, coy. 57 N o t e s and bills re-discounted . Bills payable 502. 50 | 150. 0J Total. 210,577.06 210, 577. G6 Stockgrowers' National Bank, Pueblo. G-. H. HOUSON, President. No. 2310. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U . S. bonds to secure deposits U . S. bonds on hand Stocks, securities, j u d g m e n t s , e t c . . D u e from approved reserve a g e n t s . D u e from other national b a n k s . . . . D u e from State b a n k s and bankers. Bank'g-house,furniture,and fixtures O t h e r real estate and morfg's owned C u r r e n t expenses and taxes p a i d . . . P r e m i u m s on U. S. bonds Checks and other cash items E x c h a n g e s for clearing-house Bills of o t h e r national banks Fractional currency,nickels, c e n t s . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. ;210,042.38 3, 229. 98 12, 500. 00 A. V. BUADFOIID, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits 50, (K)O. 00 10, 013. 09 4,010.21 National-bank notes outstanding. 17,058.93 State-bunk notes outstanding 28, 853. 94 1,011.86 Dividends unpaid. 5, 000. 00 1, 337. 59 j Individual deposits . . . United States deposits 1, 437. 38 Deposits of U. S.disbursing officers. 1, 790. 38 Due to other national banks 1, 815. 00 Due to Stale bunks and bankers.. 74. 25 1L, 745. 50 Notes and bills re-discounted 5, 043. 00 11,250.00 184,037.31 2, KW.84 5, 072. 00 Bills payable 502.50 313, 712. 90 Total . 313, 712. 90 "Western National Bank, Pueblo. "W. L. GRAHAM, President. . Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hon se, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total No. 2540. $431, 839,92 8, 745. 92 30, 000. 00 459. 97 408. 28 815. 31 718.05 757. 15 425.17 981.37 937. 50 184. 09 550.90 534. 00 88.80 518.45 500. 00 CIIA-S. E. SAXTOX, Cashier. Capital stock paid in ! Surplus fund Undivided profits I National-banknotes outstanding.. I State-bank notes outstanding $50, 000. 00 50, 000. 00 38, 520. 58 25, 840. 00 i Dividends unpaid Individual deposits . United States deposits Deposits of IT. S. disbursing of lice rs. 459, 920. 85 Due to other national bunks Due to State banks and bankers.. 10,218.50 8, 309. 61 • Notes and bills re-discounted. i Bills payable 350. 00 000. 00 042,815.54 Total . 642, 815. 54 IMPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 3 7 C O L O it A D O . First National Bank, Silverton. M. D. T H A T C H E B , No. 2930. President J x o . H. WEKKIIEISEII, Cashier. Liabilities. Resources. Loans and discounts Overdrafts. U. S. bonds to secure c i r c u l a t i o n . . . U. S. bonds to secure, deposits -1 U. S. bonds on hand '. Slocks, securities, j u d g m e n t s , etc., D u e from approved reserve a g e n t s , j Due from other national ban ks ! D u e from State b a n k s and b a n k e r s . ! Bank'g-house, furniture, and iixtures; Other real estate and mortg's owned C u r r e n t expenses and taxes paid . . j P r e m i u m s on U.S. bonds | Cheeks and other cash items j E x c h a n g e s for clearing-house '. Bills of other national banks | Fractional currency, nickels, c e n t s . Specie '. ! Legal-tender notes i IT. S. certiiicates of deposit Redemption fund with Treas. U. S . . . D u e from T r e a s u r e r U". S !. : $0" 976. 30 4. 653. 93 12: 500.00 : — - - - - - ! 62, 081. 75 8, 102,52 130, 551.29 1, 448. 22 4, 090, ():.) 930. 79 ,803.42 900. 00 961.68 • Capital, stock paid in Surplus fund Undivided profits $50, 000.00 10, 000. 00 13, 704. 88 - National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g 11,250.00 Dividends u n p a i d . Individual deposits. United St ates'deposits Deposii,sof U.S.disbursingomcers.' 231,547.24 i Due to other national banks ' 1)40.00 ! Due to State banks and bankers.. 20. 00 j Notes and bills re-discounted-.. I, 639. 00 j Bills payable 5, 533. 55 562. 50 Total 322, 09.". (57 Total. j .•-.. 322, 005. 67 First National Bank, Trinidad. M . D. T H A T C H E R , No. 2300. President. Loans and discounts Overdrafts IT. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, j u d g m e n t s , etc . . D u e from approved reserve a g e n t s . D u e from other national banks D u e from State b a n k s and b a n k e r s . Bank'g-house, furniture, and ti x t ures Other real estate and m o r t i s owned; C u r r e n t expenses and taxes p a i d . . . P r e m i u m s on IT. S. bonds Checks and other cash items E x c h a n g e s for clearing-house Bills of other national b a n k s I 1'ractional currency, nickels, c e n t s . Specie Legal-tender notes TJ. S. cert iricates of deposit Redemption fund with I 1 teas. U. S. Due from T r e a s u r e r U. S ;297, 9.09. 90 7, O51.-4i5 12, 500. 00 1, 455. 51 80, 351.. 90 10H, 004. 44 12, 506. 84 500. 00 Cashier. $50, 000, 00 50, 000. 00 02,011.1.2 Surplus fund surplus fund Jndivided profits ! National-bank notes outstanding.. State-bank notes o u t s t a n d i n g j 11,250.00 Dividends u n p a i d . ' Individual deposits 3, 659. 43 j United States deposits : i Deposits of U.S.disbursint; officers. [ 661.46 j Due to other national b a n k s 214.00 : D u e to State banks and b a n k e r s . . 1.00.00 I 9, 51(5, 60 I Xotes and bills re-discounted 12, 799. 00 ! 1 Jills payable 369, 006. 42 2, 277. 38 4, 338.12 562. 50 1. 000. 00 Total. 548,883.01 Total . IT. J . A L E X A N D E R , Capital stock paid in 548, 883. 04 Trinidad National Bank, Trinidad. LOSNY IIORX, No. 3450. President. Loans and discounts Overdraft s I U. S. bonds to secure circulation... U. S. bonds to secure dei>osits U. S. bonds on hand Stocks, securMes, judgments, c t c . . Due from approved reserve, agents. Due from other national buiks I Due from State banks and bankers, j 1 Ban kV-house, furniture, ami fixtures Other real estate and uiortg'h owned Current expenses and taxes paid.. -; Premiums on U. S. bonds ! Checks and other cash items j ; Exchanges for clearing-house Bills of other national banks \ fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer IT. S -I Total. $197, 3, 12, G E O . A. M E T C A L P , Capita] stock paid in Cashier. $50, 000. 00 Surplus fund Undivided profits 25, 000. 00 8, 029. 88 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding 11, 250. 00 J4, Dividends unpaid 12, j Tndi vidual deposits United States deposits 1 Depositsof U.S. disbursingouicers. 1, -. 3, 210,154.34 ! Due to other national banks i Due to State banks and bankers... 3, 5, 478. 03 6. 39 Notes and bills re-discounted. 200. 00 j Bills payable I 562 ,50 301), 918. 64 Total . 309, 918. 64 1038 REPORT OF T1IE COMPTROLLER OF THE CURRENCY, NE V AD A, First National Bank, Reno. No. 2478. D. A. BENDER, President. C. T. BENDER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit .Redemption fund with Treas. U. S. Due from Treasurer U. S Capi tal stock paid in 426, 059. 55 8, 091. 34 50, 000. 00 *, 21, 254. 50 5, 54.8. 92 National-bank notes outstanding.. State-bank notes outstanding 2,961.05 33, 600. 00 4, 137.90 3, 054. 25 3, h60. 00 1, 072. 83 Dividends unpaid. 75, 000. 00 12, 867. 82 44, 980. 00 1, 050. 00 Individual deposits United States deposits Deposits of 0". S. disbursing o Hicers. Due to other national banks Due to State banks and bankers . . 110. 00 80. 23 0, 787. 65 11(5.00 187,185. 31 33, 224.91 39,276.18 Notes and bills re-discounted. Bills payable 2, 250.00 593, 584. 22 Total. $200, 000. 00 Surplus fund U nuivided profits Total . 593, 581. 22 First National Bank, Winnemucca. F. D. SYVEETZER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-houso, furniture, and fixtures Other real estate and niortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3575. GEO. S. NIXON, Cashier. $231,424.03 | Capital stock paid in 3, 253. 02 20, 500. 00 j S u r p l u s fund • Undivided profits ! National-bank notes outstanding.. State-bank notes outstanding 10, 310. 07 130. 3!> . j! Dividends unpaid . , Individual deposits 1, 444. 55 United States deposits 5, 280. 00 Deposi ts of U. S. uisb ursing officers. 487.30 Due to other national banks 400. 00 Due to State banks and bankers 6. 35 12, 510. 00 Notes and bills re-discounted . Bills payable $82, 000. 00 28,000,00 5, 052. 67 18, 450. 00 276. 00 119,128.24 33,113. 93 647.37 922. 50 286, 668.21 Total. 286,668.21 EEPORT OF THE COMPTROLLER OF THE CURRENCY. 1039 C A L I F ORN IA. First National Bank, Colt on. JOHN W. DAVIS, President. No. 3573. H. B. SMITH, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers.. Bank'g-house,furniture, and fixtures! Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national ban ks Fractional currency, nickels, cents . Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $133, 420.24 5, 034. 00 25, 000. 00 5, 902. 50 io, any. 50 Capital stock paid in. 8, 000. 00 6, 488. 70 22, 500. 00 1, G 1.53 Dividends unpaid O "2,"32L79"!|; Individual deposits 1, 980. 55 j United States deposits 1, 500. 00 Deposits of U.S. disbursing officers. |i Due to other national banks 58, 595. 24 507.33 215. 00 ii Due to State banks and bankers . . 4*. 10 1, 098. 00 6, 502. 00 Notes and bills re-discounted . Bills payable 1,125. 00 196, 091. 27 Total. $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 196, 091.27 Total. First National Bank, Fresno. O. J . WOODWARD, President. E. F . OATMAN, Cashier. No. 3321. Loans and discounts O verdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc -. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S $450, 680. 07 I Capital stock paid in. 2, 957. 79 25, 000.00 Surplus fund p 85, 000.00 14, 239. 87 Undivid divided profits . 2, 350. 10 48,315.49 3, 325. 57 1(5, 554.32 42, 090.13 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits 3, 503. 31 United States deposit s i Depositsof U.S. disbursing officers. 252.35 !; i Duo to other national banks Due to State banks and bankers . . 202.09 '! 42,19(5.00 '! Notes and bills re-discounted . 1,898.00 S Bills payable i 416,415.91 2, 355. 04 1,125. 00 640,510.82 Total. $100, 000.00 640, 510. 82 Total. Fresno National Bank, Fresno. Loans and discounts. Overdrafts U. S. bonds to secure circulation TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from oth ir national banks Due from State banks and bankers Bank'g-house,furnituro,and fixtures Other real estate and rnortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U S. Due from Treasurer U. S Total . J . B. SMITH, CatJiier. No. 3870. H. D. C OLSON, President. $203,018.97 Capital stock paid in 1, 712. 41 50, 000. 00 Surplus fund Undivided profits 15.42G.34 25. 84 32, 04G. 35 i 13, 249. 50 681.60 665.00 19. 95 26, 345. 00 National-bank notes outstanding.. State-bank notes outstanding $200, 000.00 9, 675. 92 45, 000. 00 Dividends unpaid.'. Individual deposits United States deposits Deposits of U.S. disbursing officers. 84, 848. 39 Due to other national banks Due to State banks and b a n k e r s . . 10, 301. 47 Notes and bills re-discounted. Bills payable 2, 250. 00 349, 825. 78 Total . 349, 825. 78 1040 REPORT OF THE COMPTROLLER OF THE CURRENCY. CALI F O B N I A . First National Bank, Los Angeles. E. F. SrENCK, President. No. 2491. J . M. ELLIOTT, Cashier. Resources, Loans .and discounts ! Overdrafts ' U. S. bonds to secure circulation . . . ' IF. S. bonds to secure deposits j U. S. bonds on hand Stocks, securities, judgments, etc . j Due from approved reserve agents, j Due from other national banks ' Due from State banks and bankers-! Bank'g-house,furniture,and fixtures Other real estate and m o r t i s owned . Current expenses and taxes paid... . Premiums on U. S. bonds ; (Checks and other cash items '' Exchanges for clearing-house ! Bills of other national hanks j Fractional currency, nickels, cents, j Specie " _ Legal-tender notes TJ. S. certificates of deposit '. .Redemption fund with Treas. U. S.j Due from Treasurer U. S Liabilities. , 0S2, 5(55.14 ' Capital stock paid i n . 10,424.40 , 5 n , 000. 00 ; Surplus fund 100,000,00 ' Undivided profits. 50, 000. 00 192, 935. 30 270, 337, 01 18J-, 857, 04 21), 411. O H 52, 94-1. 72 • 91, 034.04 ::, . : National-bank notes o u t s t a n d i n g . . 44, 200. 00 State-bank notes outstanding . . " " I Dividends unpaid.. ' I Individual deposits , 1, 729, 572.38 United S t i t e s <lep(,sits. 109, 98:>. 48 j DepositsofU.S.disbursingofiicers.: 10. 52 ] '; D u e to other national b a n k s 20, 3*5. 52 D u e to State banks and b a n k e r s . . 58, 471. 70 2), 142.03 10, 220. 02 5, 722. 50 7, 225. 00 43. 12 467, 420. 00 10, 390. 00 Notes and bills re-discounted . Bills payable ""*2,"25O.'o6* 2,413,584.90 Total. $200, 000. 00 Total 2,411,584.96 Los Angeles National Bank, Los Angeles. GKOUGR H. BOXKJJKAKK, President. Loans and discounts .• Overdrafts IT. S. bonds to secure circulation... II. S. bonds to secure deposits . U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved, reserve agents. Due from other national hanks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... I Premiums on U. S. bonds ' Checks and other cash items Exchanges for clearing-house .Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. No. 2038. ¥. C. HOWES, Cashier. Capital stock paid in $892,210.48 5, 050. 29 50,000.00 400, 000. 00 $500, 000. 00 Surplus fund Undivided profits 55, 000, 00 32,510.41 70, 200. 00 National-bank notes outstanding. 37, 380.17 State-bank notes outstanding 17, 977. 47 32, 926. 27 Dividends unpaid 173, 505. 44 Individual deposits United States deposits 110,501.11 Deposits of U.S. disbursing oflicers 7, 209. 89 3, 448. 29 Due to other national banks 4, 358. 00 Due to State banks and bankers . 257, 593. 30 Notes and bills re-discounted . 10, 000. 00 Bills payable 45, 000. 00 1, 034, 047. 33 209, 403. 24 206, 018. 92 2, 250. 00 Total. 2, 082, 039. 93 2, 082, 039. 93 National Bank of California, Los Angeles. JOIIN M. C. MARBLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation II. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc - j . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and rixt ure.s Other real estate and mortg's owned: Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional cuirency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . No. 4096. W. G. HUGHES, Cashier. $57, 777. 67 ! Capital stock paid in 75.91 ! 50,000,00 Surplus fund Undivided profits. $125, 000. 00 844*49 , |j National-bank notes outstanding.. . j| State-bank notes outstanding 50, 123.31 223.00 4, 138.73 "i,"072.34" 14,125. 00 24.00 Dividends unpaid Individual deposits United States deposits j Depositsol'U.S.disbursing officers. Due to other national banks Due to State banks and bankers .. 97.91 j 35,677.25 I Notes and bills re-discounted 50.00 Bills payable 213, 985.15 Total . 87, 336. 60 804. 06 213, 985.15 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 4 1 € A Lil F O R N I A . Southern California National Bank, Los Angeles. L. X. BREED, President. No. 3538. (;. X. FLINT, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... II. S. bonds to secure deposits U S. bonds on hand Slocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furn it ure, andfix turos Other real estate and niortgs owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Duo from Treasurer TJ. S 12, 000. 00 75. 974. 57 40, 77r<. 04 <i, 410.44 (i, 000. 00 Capital stock paid in , National-bank notos outstanding. State-bank notes outstanding Dividends unpaid. 37,000.00 8, 142. 52 44,200.00 480.00 Individual de 5,210.90 United States deposits 8, OoO. 00 Deposits ot'U.S.disbinvsing officers 915. 73 2,17*. 32 Due to other national banks 1,124. 00 Due to State banks and bankers ... 50. 9G 72, 263. 15 Notes and bills re-discounted. 10, 200. 00 Bills payable 435, 803. 73 1, 948.41 1, 085. 44 2, 250.00 Total. First National Bank, Merced. No. 3733. Loans and discounts Overdrafts U S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Duo from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furni ture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-houso Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $200, 000. 00 Surplus fund Undivided i>rolits 708,600.10 ! Total. C. H. HUFFMAN, President. $411, 998. 75 3, 121*9. 24 50, 000, 00 $318, G62.96 10, 800. 91 50, 000. 00 2, :<;;5.00 28,309.01 8, 272.89 708,660.10 M. S. HUFFMAN, Cashier. Capital stock paid in. $200, 000.00 Surplus fund. Surp Und; v ided p routs Undi 34, 702.44 U, 514.00 National-bank notes outstanding.. State-bank notes outstanding ..'!.. 45, 000, 00 Dividends unpaid. 177. 00 2, 207.40 Individual deposits 146, 252. 73 United c r a t e s depo:-vits Deposits of U.S.disburshigoVneers. D u e to other national b a n k s . D u o t o State banks a n d bankers .- 9, 393. 97 Notes and bills re-discounted. Bills payable 2, 250. 00 Total 432, 409.17 432, 469.17 First National Bank, Modesto. ROBERT MCHENRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve a gents. I) ue from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit . Redemption fund with Treas. TJ. S Due from Treasurer U. S Total. H. Ex. 3 UG No. 3136. $313, 675. 20 814. 39 25, 000. 00 228.10 9, 52.0.32 16,144. 52 800. 00 J . E. WARD. Cashier. Capital stock paid in S u m ] u s fund Undivided profits $ L O 000.00 O, " National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g Dividends u n p a i d 10, 000. 00 14,018.99 22, 500.00 - I n d i v i d u a l deposits U n i t e d States deposits Deposits of U. S. disbursing officers. 250, 513.18 D u e t o other national b a n k s D u e t o State b a n k s a n d b a n k e r s . . 2, 902. 78 1, 702. 40 884. 97 700.00 3. 85 32,321.00 420. 00 Notes and bills re-discounted Bills payable 1,125. 00 401,037. "5 Total 401, 637. 35 1042 REPORT OF THE COMPTROLLER OF THE CURRENCY. C A L I F O U \ J A. First National Bank, Monrovia. I. W. HELLMAN, JR., President. No. 3743. JOSEPH F. SARTORI, Cashier. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Curreut expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. Liabilities. $44,124.75 433. (53 12, 500.00 1, 593.13 1, 520. 80 24, 633.53 1, 020.08 3, 562. 50 25. 39 1,160. 00 16.11 2,130. 70 3, 545.00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 2,500 00 2, 973. 58 11, 250. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. 30,104, 54 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562. 50 96, 828.12 Total. 96, 828.12 First National Bank, Oakland. V. D. MOODY, President A. D. THOMPSON, Cashier. No. 2248. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $578, 887.29 4, 846. 76 100, 000.00 14, 206. 35 92,461. 72 5,450.83 18, 697.14 6, 000. 00 1, 800. 00 6,192. 63 6,147. 50 8, 305. 50 14,656.72 3, 975. 00 58.0L 103, 539.40 Capital stock paid in. 150, 000. 00 18, 719. 96 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . 90, 000. 00 392.25 Individual deposits United States deposits Deposits of U. S.disbursing officers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 607, 044. 05 3, 567.99 4, 500. 00 969, 724.85 Total $100, 000. 00 Surplus fund Undivided profits Total. 19, 724. 85 Union National Bank, Oakland. THOMAS PRATHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national" banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 13. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total No. 2266. $770,433.99 9, 342.31 50, 000. 00 1, 000.00 <Q, 440. 60 114, 497.44 4, 280. 79 13, 379. 48 3, 013.95 21, 344.31 5,464. 59 11,201.85 20, 880. 93 45.] 5 175, 471.00 9,116.00 C. E. PALMER, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. $150, 000. 00 100, 000. 00 42, 084.92 45, 000. 00 496.00 914, 587. 47 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 2, 250.00 1,252,168.39 Total 1,252,168.39 REPORT OF THE COMPTROLLEK OF THE CURRENCY. 1043 CA L1FORNIA. First National Bank, Pasadena. ]STo. 3499. PERRY M. GREEN, President. J . E. FARNUM, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures; Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Liabilities. $287, 384.48 190. 93 25, 000. 00 35, 429. 00 33,15)3. 75 40, 643. 35 W 22, 789. 07 48, 000. 00 2,708. 33 4, 04.1. 76 Capital stock paid in. 50, 000. 00 16,526.03 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers - 358, 344. 69 583*22' 2, 391. 92. 28, 955. 10, 200. 00 27 85 00 Duo to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 6, 613. 29 1,125.00 Total . 542, 734. 01 Total. $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 542, 734. 01 Pasadena National Bank, Pasadena. I . W. HELLMAN, President. No. 3568. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $124, 445. 21 6, 456. 52 25, 000. 00 3, 200. 00 11,129.92 15, 628. 59 8,518.66 6, 359. 85 * ~2," 770." 61' 4,421.86 264.02 385.00 49.98 14, 502. 55 3,195. 00 G. A. SWABTWOUT, Cashier. Capital stock paid in $100, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 5, 000. 00 6, 792.87 22, 500. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. 93,159. 90 Duo to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 1,125.00 Total . 227, 452. 77 227, 452. 77 First National Bank, Petaluma. I. G-. WICKERSHAM, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 2193. H. 11. ATWATKK, Cashier. $406,045.50 , C a p i t a l s t o c k p a i d i n . 25,677.08 ! 50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 2, 970. 97 760. 86 Dividends unpaid $200, O0U. 00 90, 000. 00 9, 451. 43 44, 200. 00 40.00 Individual deposits United States deposits Deposits of U.S.disbursingofficers. 591. 68 29,445. 80 170, 205. 90 Due to other national banks Due to State banks and bankers.. 2, 453. 50 1, 397.12 Notes and bills re-discounted. Bills payable , ""2,"256."o6" 517, 750.95 Total. 517,750.95 1044 REPORT OF THE COMPTltOLLKtt OF TILE CURRENCY. C A L 3 F €> U W I A . First National Bank, Pomona. C. SEAVER, No. 3518. President, Loans and discounts Overdrafts U. S. bonds to secure circulation...i U. S. bonds to secure deposits II. S. bonds on Laud Stocks, securities, judgments, etc . . D u e from approved reserve agents. D u e from other national banks Due from State banks and bankers Bank'g-hoiiso, furniture, andfixtures Other real estate and mortg'so wiled Current expenses and taxes paid... "Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house ISills of other national banks Fractional currency, nickels, cents. Specie " Legal-tender notes U. S. certificates of deposit Redemption fund with Tr.oas. U. S . Due from Treasurer U. S Total STODDARD J E S S , Cashier. | Resources. $148, 934. 01 1, 4(if>. 11 12, 500. 00 14, i 1.77 W 9, 049. 35 Liabilities. $*0, 000.00 Cap ital stock paid in Surplus fund Undivided profits ! 10,000.00 4, 809. 05 : 11,250.00 NTational-bank notes outstanding..j State-bank notes outstanding i. Dividends unpaid ! 30, 824. 95 1, (509. 4;; 3, 125. 00 1,099.91 ;;, 445. oo 49. 44 2 . 89". )') *5 5,225.00 I Individual deposits United Statesdeposits Depositsof U.S. disbursing officers* 180, 654. 52 Due to other national banks Due to State banks ajid bankers Notes and bills re-discounted . Bills payable 5(32. 5U Total . 256, 713. 57 256, 713. 57 First National Bank, Redlands. F . P. MOKRISOX, Xo. 3892. President. Loans and discounts , . . r...-.' Overdrafts U. S. bonds to secure circulation . . U. S.bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks s. Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with. Treas. U. S . Due from Treasurer U. S Total. $99, 8tit). 74 1, 002. 85 12, 500. 00 1, 549. 25 2, 015. 57 705. 90 2, 3(!0. 10 3.082.42 JOHN W. WILSON, Capital stock paid in Surplus fund , Undivided profits. Xatiorwl-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits . . . 1, 748. Z United States deposits 955.42 ' Depositsof U.S. disbursingoffi.cers.! 730.39 : Due to other national banks . 1, 7S0. 00 Due to State banks and bankers . . 74. 55 : 6,197. 70 Xotes and bills re-discounted 2, 271. 00 Bills payable Cashier. $50, 000. 00 3, 000. 00 3, 264. 74 11, 250. 00 115. 00 G9, 785. 08 502.50 J ! Total . 137,414.82 |j 137, 414. 82 First National Bank, Riverside. A . H . XAFTZGER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks ; Due from State banks and bankers.: Uank'g-hou se, furrii ture, and t\ xtuivs ! Other real estate; and mortg's owned, Current expenses and taxes p a i d . . . ! ; Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national b;i nks : Fractional currency, nickels, cents ' Specie ' | Legal-tender notes ! TJ. S. certificates of deposit Redemption fund with" Treas. TJ. S .' Due from Treasurer U. S Total. No. 3348. $143, 975.3(5 2,127,39 12, 500.00 19, 605. 74 4,309. 1 G 138. 92 2. 90(5. U8 3, 408. 04 2,41)7.81 2,-0:.». H O 2, 577. U G ;, Cashier. Capital stock paid in. Surplus fund. Undivided profits Xational-bank notes o u t s t a n d i n g . State-bank notes outstanding $50, 000.00 8, 000. 00 2, 320. 01 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits oi'U.S. disbursingofticers. 137, 229.19 Due to other national banks r 9, 375. 00 Due to State banks and bankers . . 33.35 14,179.75 | Notes and bills re-discounted 3, 000. 00 • Bills payable t 14,561.20 502. 50 223, 3G7. 00 Total . 223, 367.06 REPORT OF TITE COMPTROLLER OF THE CURRENCY. 1045 C1LIFOBNIA. National Bank of D. O. Mills & Co., Sacramento. EDGAR MILLS, President. No. 201.4. FKAXK MILLER, Cashier. Liabilities. Resources. $1, 713, 347. 68 ! Capital stock paid m • Loans and discounts 1,577.79 !! Overdrafts 50,000.00 ; Surplus fund IT. S. bonds to secure circulation... ! Undivided x>i'of'its IT. S. "bonds to secure deposits IT. S. bonds on hand 62,241.71 i| Xatioual-bank notes outstanding . Stocks, securities, judgments, etc .. Due from approved reserve agents. 40, (502, 87 |i Si ate-bank notes outstanding Due from other national banks 35,511.23 ! l Due from State banks and bankers. l(5Si, 000. 21 i| Dividends unpaid Bank\g-house,furuiture,andnxt vires 50, 000.00 j'l Other real estate and mortg's owned \. Individual deposits Current expenses and taxes paid... 9,258.1.4= ;' United Ntrirs deposits Premiums on U. S. bonds 0, 002. 50 Di'posJtsoi'U.S.disbursmgofficcjTS. 10,010.59 :! Checks and other cash items Exchanges for olearing-houso ,j Duo to other national banks Bills of other national banks 7, 008. 00 Due to State (tanks and bankers ... Fractionalcurrenoy, nickels, cents . 292, 035. 05 ;i Nntos and bills re-discounted .. Specie 7,700.00 jj Bills payable " . Legal-tender notes IT. S. certificates of deposit "ii Redemption fund with Treas. IT. S.. 2, 250. 00 Due from Treasurer U. S Total. 100, 000. 00 52, 720. 21 45, 000. 00 1, 722, 271. 36 121.55 46, 243. 25 2,466, 362. 37 Total. 2. 466, 362. 37 $500, 000.00 Carver National Bank, Saint Helena. ]STo. 3757. D. B. CARVER, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie L © gal-ten der notes IT . S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $144, 394. 82 1,206.40 12, 500. 00 $50, 000. 00 Surplus fund Undivided profits Xational-hank notes outstanding.. State-bank notes outstanding . . . . 340. HI 22, 7b(5.47 5, 470. 76 1, 728. 25 2, 820. 82 2, 241. 29 11, 010. 00 Dividends unpaid Individual leposits United States deposits Depositsof U.S.disbursing officers. 805. 95 3, 000. 00 859. 55 " A.L. WILLIAMS, Cashier. Capital stock x^aid in Due to other national banks h'.b'o' Due to State banks and bankers .. 5. 80 11,117.50 25. 00 132, 803. 28 5, 993.48 Notes and bills re-discounted Bills payable 562. 50 204, 808. 87 Total. 204, 868.87 First National Bank, San Bernardino. J. H. SMITH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand , Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-bouse... Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. J O S E P H BROWX, Cashier. $221,833. 5, 752. 25, 000. 5, 3, 1, 36, 14, 400. 789. 614. 190. 89(5. 930. 6, 843. 5, 972. j j Capital stock paid in Surplus fund.. Undivided pro: il profits j Xati <»nal -1 yank notes outstanding.. State-bank notes outstanding 13,145. 151. 15, 835. $100, 000. 00 15, 000. 00 4,102. 72 23, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Duo to other national banks Due to State banks and bankers .. 210,359.15 588.46 Notes and bills re-discounted. Bills payable 1,125.00 358,550.33 j Total. 358, 550. 33 1046 REPORT OF THE COMPTROLLER OF THE CUKKENOY. CALIFORNIA, San Bernardino National Bank, San Bernardino. J.G.Bum, President. No. 3818. W. S.HOOPER, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers, liank'g-house,furniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Liabilities. $272, 928. 35 4,404.7L 50, 0U0. 00 1, 565. 88 2, ()t54.28 9, 608. ():: 711.48 C, 085.21 2, 455. 23 3, 843. 75 1, 288.51 ""350.00 10.45 10,725.00 5, 031. 00 Surplus fund U ndivided profits 13, 000. 00 3, 579. 54 National-bank notes outstanding State-bank notes outstanding 45, 000. 00 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing oflicers. Due to other national banks Due to State banks and b a n k e r s . 106, 020. 55 055. 28 5,176.51 Notes and bills re-discounted Bills payable 2, 250, 00 373, 981. 88 Total.. $200, 000. 00 Capit al stock paid in 373, 981. 88 Total . First National Bank, San Diego. J. GRUENDIKE, President No. 3050. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and nxturcs Other real estate and raortg's owned Current expenses and taxes paid .. Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house... Bills of other national ban ks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $555,464.62 1, 328.68 50, 000. 00 65, 338. 70 27, 492. 14 JKMIY TOLES, Cashier. $300, 000. 00 Capital stock paid in 100, 000. 00 44, 690. 33 Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding 3, 338. 25 Dividends unpaid. 95, 597. 94 3 8, 045. 80 Tndividunl deposits 22, 374. 07 ! United States deposits 10, 000. 00 Deposits of U.S.disbursing officers. 2, 778.14 Due to other national banks 1, 723. 00 Due to State banks and bankers . . 298. 54 157, 502.10 Notes and bills re-discounted . 5, 000. 00 Bills payable 45, 000. 00 525,874.92 981.63 1, 085.10 1, 350. 00 1,017,631.98 Total 1,017,631.98 California National Bank, San Diego. WILLIAM COLLIER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocksrsecurities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Eank'g-house, furniture,and fixtures Other real estate and raortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 3828. $616, 774.43 3, 055. 21 60, 000. 00 17, 000. 00 60, 875.20 16,317.85 30, 484.09 7, 601. 70 5, 743. 05 15, 725.17 3, 757. 81 1, 726. 47 707. 00 23.06 118,118.70 11, 030. 00 J . W. COLLTXS, Cashier. Capital stock paid in. $250, 000. 00 Surplus fund Undivided profits 10,000.00 27, 391. 64 National-bank notes outstanding. State-bank notes outstanding 45, 000.00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers 598, 325.64 Due to other national banks Due to State banks and bankers . 10,122. 71 20, 349. 75 Notes and bills re-discounted. Bills payable 2,250.00 961,189. 74 Total . 961,189.74 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1047 CALIFORNIA. Consolidated National Bank, San Diego. BRYANT HOWARD, President. .Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g- house, furniture, andfixturea Other real estate andraortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks fractional currency, nickels, cents. Specie • Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. No. 3056. J. H. BARBOUR, Cashier. Liabilities. ., 130, 834. 02 2, 231.83 62,500.00 ioo.'oo $250, 000. 00 Capital stock paid in . 50, 000. 00 122,255. 32 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 56, 250.00 Dividends unpaid. Individual deposits 13,174.94 United States deposits 4, 731. 25 Deposits ofU.S.disbursing officers. 1,140, 634. 95 11, 833.04 106, 724 59 842. 21 21, 297.04 109, 756.38 8,177.42 2,430.00 384. 32 142, 717.40 17, 074. 00 Due to other national banks Dae to State banks and bankers.. Notes and bills re-disconnted Bills payable 6, 876. 00 74, 604. 64 2, 812. 50 Total. 1, 700, 620.94 1, 700, 620. 94 First National Bank, San Francisco. S. G. MURPHY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andtixtureH Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 1741. $2, 880, 927. 31 56, 454. 42 50, 000.00 100, 000. 00 195, 521.41 60, 766. 80 202, 030.99 287, 251. 79 $1,500, 000.00 Surplus fund Undivided profits 300, 000. 00 234, 825. 02 National-bank notes outstanding.. State-bank notes outstanding-.'... Dividends unpaid 45, 000. 00 1, 763. 00 2,083,431.45 82, 803. 04 18, 500. 00 Individual deposits United States deposits Deposits ofU.S.disbursing officers. 318,438. 62 5, 390. 00 12.51 618. 530. 00 7,805. 00 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 393,919.98 162, 981. 36 2, 250. 00 875.00 Total. 4, 804, 753. 85 Total. E. D. MORGAN, Cashier. Capital stock paid in. 4, 804, 753.85 Crocker-Wool worth National Bank, San Francisco. R. C. WOOLWORTH, President. No. 3555. $2,445,107. 59 Loans and discounts 34, 593. 60 Overdrafts 50, 000. 00 U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand 36,667. 78 Stocks, securities, judgments, etc .. 23, 747. 02 Due from approved reserve agents. 49, 711. 37 Due from other national banks 75,117. 92 Due from State banks aDd bankers. 1, 000. 00 Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... 10, 500. 00 Premiums on U. S. bonds 3,877. 07 Checks and other cash items 185, 590. 74 Exchanges for clearing-house 1, 300.00 Bills of other national banks 134. 80 Fractional currency, nickels, cents. 400, 945.00 Specie 1,003.00 Legal-tender notes U. S. certificates of deposit 2, 250. 00 Redemption fund with Treas. U. S. Due from Treasurer U. S Total 3,321,545.89 WM. H. CROCKER, Cashier. Capital stock paid i n . Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-rliscounted. Bills payable Total $1, 000, 000. 00 200, 000. 00 44, 239. 59 44, 350.00 1, 431, 394.16 355, 633. 24 245,928. 90 3,321,545. 1048 REPORT OF THE COMPTROLLER OF THE CURRENCY. CALIFORNIA, First National Bank, San Jose. No. 2158. W. D. TISDALE, President. L. Gr. NESMITH, Cashier. Resources. Loans and discounts Overdrafts ; IT. S. bonds to secure circulation... j U. S. bonds to secure deposits ! U. S. bonds on hand ' Stocks, securities, judgments, etc.. j Due from approved/reserve agents ! Due from other national banks I Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's o"\yned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S. Liabilities. Capital stock paid in 100, 000. 00 109,859. 05 National-bank notes outstanding.. State-bank notes outstanding 44, 040. 00 Dividends unpaid. 920.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 60.205.2"1,185. i.O 514, 669. 02 Due to other national banks Duo to State banks and bankers... Notes and bills re-discounted Bills payable 4, 321. 20 2, 250.00 Total 1,273,809.27 Total $500, 000. 00 Surplus fund Undivided proQts 1, 273, 809. 27 Garden City National Bank, San Jose. C. W. BitAYFOGLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits j U. S. bonds on hand I Stocks, securities, judgments, etc.. j Due from approved reserve agents, j Due from other national banks j Due from State banks and bankers j Bank'£-house,furnitnre,and fixtures! Other real estate and mortg's owned j Current expenses and ttaxes paid...j| Ct d i d Premiums on IT. S. bonds j Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. No. 3715. $212, 04:<. 52 4/ 383. 37 25, 000. 00 324. (52 128.110 221,12 THOS. F. MOHRISON, Cashier. Capital stock paid in $100, 000. 00 2, OOG. 00 5, 038. 25 Surplus fund Undivided profits 22, 500. 00 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid "000. 00 3 603. io 220. 00 171,701.48 Individual deposits Uni ted States deposits Dex>osits of IT. S. disbursing officers. Due to other national banks Due to State banks and b a n k e r s . . . 24, 369.15 190. 00 3, 730. 20 Notes and bills re-discounfced Bills payable 1,125. 00 Total 305, 5G9. 93 • 305, 569. 93 First National Bank, San Luis Obispo. R. E. JACK, President. Loans and discounts Overdrafts IT. S. bords to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due froni approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-bouse,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U, S. bonds. Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer 0". S Total . No. 3826. MORETS G OLDTREE, Cash lev. $2(59, 558. 40 j Capital stock paid in 66,207.75 I 25, 000. 00 | Surplus fund Undivided profits 31.80 13, 031.13 National-bank notes outstanding.. State-bank notes outstanding . . . . . 48, 320. 39 1, 750.00 $100, 000. 00 15, 000, 00 8, 097. 71 Dividends unpaid 44L46" 5, 500. 00 684.45 33. 35 6,145. 00 5, 320. 00 Individual deposits "United States deposits Deposits of U. S. disbursing officers Due to other national banks Duo to State banks and bankers. 22, 500. C O 297, 204. 80 346.22 Notes and bills re-discounted. Bills payable 1,125. 00 413,148. 73 Total 443, MS. 73 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 4 9 CALIFORNIA. First National Bank, Santa Ana. W. H. SPURGEON, President. No. 3520. M. M. CROOKSHANK, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgments, etc .. Due froni approved reserve agents. Due from other national banks Due from State ban Its and bankers Bank'g-house, furniture, and fixture? Other real estate and mortg's owned Current expenses and taxes paid. -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $202,423.31. Capital stock paid in 6, 088. 65 37, 500. 00 I Surplus fund : Undivided profits | National-bank notes outstanding 13, 973.45 i State-bank notes outstanding 27, 714.86 2. 645. 05 63, 213. 96 1, 308." 72" 6,180. 00 1, 616. 05 1, 000. 00 48. 43 24, 395. 00 1, 420. 00 $150, 000. 00 7,500.00 5,854. 77 33, 750. 00 j Dividends unpaid j Individual deposits | United States deposits Deposits of U. S. disbursing officers. 194,116. 81 Due to other national banks Duo to State banks and bankers . Notes and bills re-discounted . Bills payable 1, 687. 50 Total 391, 221. 58 391, 221. 58 First National Bank, Santa Barbara. JAMES W. CALKIXS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-honse, furniture, and fixtures Other real estate- and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U . S . . . Total . A. L. LINCOLN, Cashier. No. 2104. $274, 926. 42 j Capital stock paid in. 7, 324. 25 25,000.00 I Surplus fund Undivided profits 19, i56. 38 National-bank notes outstanding.. 47, 943. 78 State-bank notes outstanding . . 258. 01 7, 32!). 05 Dividends unpaid ; 26,983.09 ;| Individual deposits ""2,~39L7b" I United States deposits Deposits of U. S. disbursin g officers. 907. 07 Due to other national banks 161.77 Due to State banks and bankers . . 71,653.95 |i Notes and bills re-discounted. 597.00 i Bills payable $100, 000. 00 45, 000. 00 10, 324. 48 22, 500. 00 301, 599. 21 1,346.23 5, 307. 52 1,125. 00 486,137. 47 Total. 486,137.47 Santa Barbara County National Bank, Santa Barbara. W. M. EDDY. President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc ~. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,f urniture, and fixtures Other real estate and morte's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 245(5. $257,911.09 4,428.21 25, 000. 00 5, ()66. 66 24, 850. 75 40, 349. 97 2,671.45 9, 601. 40 40, 014.11 3"902'92" 4, 359. 38 1, 476.32 E. S. SHEFFIELD, Cashier. Capital stock paid in j $100, 000. 00 Surplus fund Undivided profits 50, 000. 00 13, 723. 73 National-bank notes outstanding.. State-bank notes outstanding 13, 450. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. . Due to other national banks 300.00 ! Due to State banks and bankers .. 506.34 111, 248. 26 Notes and bills re-discounted . .Bills payable 354, 591. S8 979. 59 1,125. 00 532, 745. 20 Total 532, 745.20 1050 REPOKT OF THE COMPTROLLER OF THE CURRENCY. CALIFORNIA. First National Bank, Santa Monica. GEORGE H. BONEBRAKE, President. E. J . V A W T E B , Cashier. No. 3845. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiumson U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie \ Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Liabilities. $38, 970.93 106.70 12, 500.00 Capital stock paid in 193.10 831.88 National-bank notes outstanding.. 6,"422."62" State-bank notes outstanding . . . . . 5, 805.48 Dividends unpaid 20, 791.25 Individual deposits 778. 35 United States deposits 3, 312.50 Deposits of U.S. disbursing officers 75.00 6.76 13, 795. 45 3,132. 00 11, 250. 00 4.00 49, 980. 56 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted 562.50 Total 112, 259.54 Total $50, 000. 00 Surplus fund Undivided profits 112,259.54 First National Bank, Santa Paula. C. H. MCKKVETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. No. 4120. $91,477. 53 1, 381. 17 18, 750.00 185. 75 J o s . R. HAUGH, Cashier. $75, 000.00 Capital stock paid in Surplus fund Undivided profits 1, 383. 25 National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g "9,~789."69 Dividends unpaid . 6,639.22 806. 60 5,156. 25 28.65 200.00 72. 21 5, 737. 50 2, 700. 00 Individual deposits United States deposits Deposits of U.S.disbursing officers. 66, 541. 32 D u e t o other national b a n k s D u e t o State b a n k s a n d b a n k e r s . Notes and bills re-discounted . Bills p a y a b l e Total. 142,924.57 142, 924. 57 Santa Rosa National Bank, Santa Rosa. A. B. W A R E , President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bond s Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3558. $223, 857. 85 2,848.82 37,500.00 300. 00 20,800.00 14,931.40 1, 206. 36 L. M. ALEXANDER, Cashier. Capital stock paid i n . Surplus fund Undivided profits. National-banknotes outstanding.. State-bank notes outstanding $150,000. 00 3, 000. 00 4, 504.16 33,750.00 Dividends unpaid 6,200.00 1,200. 70 2, 000.00 41.35 200. 00 4.25 19,264. 90 507.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 141,132.00 Due to other national banks Due to State banks and bankers.. 163.97 Notes and bills re-discounted. Bills payable 1, 687. 50 332, 550.13 Total. 332,550.13 REPORT OF TITE COMPTROLLER OF THE CURRENCY. 1051 C ALIFOB^U. First National Bank, Stockton. HENRY H. HEWLETT, President. No. 2412. ARTHUR W. BELL, Cashier. Liabilities. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers, liank'g-house,furniture,find fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $577, 585.33 316. 85 50, 0U0.00 87, 232. 01 048. 0+ 2, 9G:{. 52 357.45 1, 000. 00 2,918.01 13, 814. 98 6.05 41, 004.50 6, 644. 00 Capital stock paid in. Surplus fund Undivided profits.. National-bank notes outstanding.. State-bank notes outstanding .. Dividends unpaid . Individual deposits : United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $200, 000. 00 60, 000.00 118,874. 68 45, 000. 00 132.00 300, 304.95 10,271.45 52,158.26 2,250.00 786,741.34 t Total. 786, 741.34 1052 REPORT OF THE COMPTROLLER OF THE CURRENCY. OREGON. First National Bank, Albany. No. 2928. L. FLINN, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfi xtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. "Due from Treasurer U. S Total. E. W. LANGDON, Cashier. Liabilities. $175, 837.38 619.06 20,000.00 2, 400. 05 858. 71 3, 965.09 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits 3,050. 00 22, 280. 09 National-bank notes outstanding-. State-bank notes outstanding 18, 000. 00 | Dividends unpaid . 15, 000. 00 ' Individual deposits ! "l," 12438" ' United States deposits '. 3, 832. 50 Deposits of U.S. disbursing officers.!. 2, 290.62 1 Due to other national banks • 110. 00 Due to State banks and bankers ..! 12. 65 30, 577. 40 Notes and bills re-discounted | 2, 440. 00 Bills payable ! 162, 555.45 4,082, ;.50 900. 00 Total. 259, 967^B4 259, 907. 81 First National Bank, Arlington. DAVID P . THOMPSON, President. Loans and discounts Overdrafts. U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due'from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalbanks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of denosit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3676. $168,617.08 9,159. 63 12, 500. 00 2,112.97 7, 098.85 9, 383.14 5, 450. 76 10,133.16 272. 04 3, 400. 00 567.84 15.30 11,644. 20 300.00 W. E. FOWLER, Cashier, Capital stock paid in $50, 000. 00 Surplus fund Undivided profits 21,500. 00 9, 033, 26 National-bank notes outstanding State-bank notes outstanding ..'. 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 119,918.47 Due to other national banks Due to State banks and bankers .. 10, 785. 35 3, 775. 39 ISTotes and bills re-discounted . Bills payable 15,000.00 562. 50 45.00 241,262.47 Total. 241, 262.47 Arlington National Bank, Arlington. VAN B. DE LASHMUTT. President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on 0". S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total., . No. 3918. $93, 476.40 Capital stock paid in 2, 607. 39 12, 500. 00 Surplus fund Undivided profits 4,163. 58 413.21 7, 045'35* iio."45* 612.50 2, 803. 28 II. C. CONDON, Cashier. National-bank notes outstanding. State-bank notes outstanding.. 1. $50, 000. 00 6, 000. 00 1,517.73 11,250.00 Dividends unpaid Individual deposits United States deposits Depositsof U. S.disbursing officers. Due to other national banks 2.35 Due to State banks and bankers . 6, 926.00 Notes and bills re-discounted. 118. 00 Bills payable 8, 537. «'!8 3,716.97 378.43 562.00 131,400.51 Total. 131,400.51 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1053 ORE QON. First National Bank, Astoria. No. 3480. GEORGE FLAVEL, President. S. S. GORDON, Cashier. Resources. Liabilities. $123, 482.04 1,137.35 12, 500. 00 Loans and discounts ()verd rafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers Ban k'g-kouso, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on 1.1. S. bouds Checks and other cash items Exchanges for elearing-liouso Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit ^Redemption land with Treas. U. S. Due from Treasurer U. S Capital stock paid in. $50, 000. 00 Surplusfund. Undivid* profits. divided 10, 000. 00 8, 951. 92 25, 534.94 National-bank notes outstanding.. 57, 71(5.40 State-bank notes outstanding 537.70 i 48,282.54 j Dividends unpaid 9, 700. 00 Individual deposits United States deposits Deposits of U. S. disbursingomcers. 227, 834. 26 700.00 ! 1, 772. 00 2.tiOO.00 125. 00 3.71 30, 300. 00 1, 222. 00 Duo to other national banks Duo to State banks and bankers . Notes and bills re-discounted. Bills payable . " 562. 50 30.00 306, 480.18 Total. 306, 480.18 Total. First National Bank, Baker City. No. 2865. LEVI ANKKNY, President Loans and discounts Overdrafts : 17. S. bonds to secure circulation... IT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Duo from approved reserve agents Duo from other national banks Duo from State banks and bankers. Bank'g-houso, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specio Legal-tender notes . 17. S. certificates of deposit ^Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $281, 564. 97 22, 561. 00 20, 000,00 J . H. PARKER, Cashier. Capital stock paid in. $75, 000. 00 Surplus fund." Undivided profits 12, 273. 76 National-bank notes outstanding.. 21, 655. 54 State-bank notes outstanding 7, 745. 29 12, 089. 92 Dividends unpaid. 12, 907. 35 9, 000. 00 Individual deposits 1, 918.12 United States deposits 4, 896.47 Deposits of U. S. disbursing officers. I, 270. 00 3.10 13, 284. 50 8, 898.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 15, 000. 00 71,863.94 18, 000. 00 245,674.51 5,179.43 456. 62 273. 52 900.00 480.00 Total. 431, 448. 02 Total. 431, 448.02 First National Bank, East Portland. No. 3025. A. H. BUEYMAN, President. Loans and discounts Overdrafts i | U. S. bonds to secure circulation ... | U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankersBank'g-house, furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Pramiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. B. H. BOWMAN, Cashier. Capital stock paid in 12, 500. 00 ,Surplus fund Undivided profits 4,410.00 . National-bank notes outstanding 14,677.95 | State-bank notes outstanding . . . $342, 099, 87 j 7,279.87 j 29, 309. (59 12,674.01. 2, 025. 05 1, 621.83 3,612.62 695. 00 .40 !, 1.04. 40 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable $50, 000. 00 '"" 55," 306*43 11, 250. 00 353,183.17 5, 807.89 8, 085. 70 562.50 483,033.19 i Total. 483,633.19 1054 KEPORT OF THE COMPTROLLER OF THE CURRENCY. O R E O O UT. Wallowa National Bank, Enterprise. No. 3912. R. M. STEEL, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortis owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. W. R. HOLMES, Cashier. Liabilities. il $08,301.59 ! Capital stock paid in 3.(12 i2,5oo.oo : Surplus fund Undivided profits 737. 00 058. 27 $50, 000. 00 5, 000. 00 2, 3(J7. 71 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid 8, 512.28 773.19 3,150. 00 1, P21. 78 20.00 .55 5,194. 20 45.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 21,300.23 Due to other national banks Due to State banks and bankers . . 11, 235. 83 790. 30 Notes and bills re-discounted . Bills payable 562. 50 101, 980.07 101, 980. 07 Total . First National Bank, Eugene. No. 3458. T. G. HENDRICKS, President. Loansand discounts Overdrafts U. S. bonds to securo circulation... U. S. bonds to securo deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid ... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house ... Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total . $153, 944.62 2,238. 25 12, 500. 00 7,510.12 22,571.69 980. 91 4,417.15 9,210.00 2,810. 00 1, 332. 85 1, 800. 00 6,046.65 1, 400.00 17.83 20,203.00 640.00 S. B. EAKIN, Jit., Cashier. $50, 000.00 Capital stock paid in. Surplus fund Undivided profits 10, 000.00 4, 703. 54 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S. disbursing officers. 172, 232.03 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562.50 248,185.57 Total . 248,185.57 Eugene National Bank, Eugene. J. B. HARRIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities', judgments, etc .. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house ... Bills of other national banks Fractional currency, nickels, cents . Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. N o . 398G. $90, 949.17 202. 70 12, 500.00 2, 370. 2r> 2, 010. 27 604.09 2, 774. 31 W . T. P E E T , Cashier. Capital stock paid i n . 10, 000. 00 872. 00 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid Individual deposits 'United States deposits 3, 593. 75 Deposits of U. S. disbursing offi cers. 245.00 6.06 22, 896. 75 485.00 $50, 000. 00 Surplus fund Undivided profits . 67, 750.45 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 502. 50 139,872.45 Total . 139,872.45 BEP0J2T OF THE COMPTROLLER OF THE CURRENCY. 1055 O R E O O N. First National Bank, Heppner. No. 3774. C. A. RHEA, President, JE CONSBU, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation.. U. S. bonds to secure deposits \J. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. SDue from Treasurer U. S Total. 1108,725. 63 175. 00 12, 500. 00 Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. 1, 457. 07 State-bank notes outstanding 9, 000. 00 3, 505. 84 11,240.00 4,201.41 340. 47 Dividends unpaid. 3, 274. 08 Individual deposits 524. 74 United States deposits 3, 000. 00 Depositsof U.S. disbursingotncers. Due to other national banks Due to State banks and bankers .. 13, 521. 28 Notes and bills re-discounted . 164.00 Bills payable 61, 571. 74 13, 208. 60 562. 50 148, 526.18 148, 526.18 Total. National Bank, Heppner. No. 3953. D. P . THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, niekeLs, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $86,491.98 287.15 12, 500.00 61.90 1, 369.65 758. 35 Et>. R. BISHOP, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits 1,461.53 2, 288. 57 National-bank notes outstanding.. State-bank notes outstanding..'... 11,250.00 Dividends unpaid. 1, 200. 53 2,183. 90 679. 69 3, 400. 00 286. 00 90. 00 5. 75 4, 466. 00 400.00 Individual deposits United States deposits Deposits* of U.S.dLsbursing officers. 43, 422. 04 Due to other national luuiks Due to State banks and bankers . . 1,144. 95 Notes and bills re-discounted . . . .' Billspayable 5,176.31 562. 50 Total. 114,743.40 114, 743. 40 First National Bank, Hillsborough. JOHN W. SHUTS, President. Loans and discounts Overdrafts U. S.bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid. -. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 390'5. $82, 419.12 4, 2r>5. 72 12, 500. 00 15, 740.95 7,815.86 10,159. 05 436.17 4., 269. 79 618. 61 3, 437. 50 689.00 325.00 .21 4, 767. 20 221. 00 J . D. MEIMTMAN, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding State-bank notes outstanding.. $50, 000. 00 135. 47 1,383.37 11,250.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S.disbursing oilicors. 83, 443. 94 Due to other national banks Due to State bunks and bunkers. Notes and bills re-discounted. Bills payable 2, 004. 90 502. 50 148, 217. 08 Total 148,217.68 1056 REPORT OF THE COMPTROLLER OF THE CURRENCY. OREGON. First National Bank, Independence. J. S. CoorEii, President. No. 3972. W. I I . HAWLKY, Cashier. Resources. Liabilities. $117,031.72 Loans and discounts 8, 07(5. 80 Overdrafts 12, 500. 00 U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. i Bank'g-house, furniture, and fixtures 4, 050. 00 Other real estate and mortg's owned Current expenses and taxes p a i d . . . io. 30 3, 437. 50 Premiums on U. S. bonds 31.92 Checks and other cash items Exchanges for clearing-house 3, 069. 00 Bills of other national banks .05 Fractional currency, nickels, cents . 14, 314.80 Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TL S Total. Capital stock paid in. $50,000.00 Surplus fund Undivided profits 2,500.00 757.58 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 70, 789. 34 23, 901. 45 5, 092. 28 502. 50 Total 164, 290. 65 161,290. <i5 Independence National Bank, Independence. H. HiuscHBEiiG, President No. 3979. W. P. COXNAWAY, Cashier. $88, 709.46 Capital stock paid in . Loans and discounts $50, 000. 00 754. 45 Overdrafts 12, 500. 00 IT. S. bonds to secure circulation... Surplus fund 500.00 U. S. bonds to secure deposits 2,341.77 Undivided profits. U. S. bonds on hand Stocks, securities, judgments, etc.. National-bank notes outstanding 11,250.00 656. 09 Due from approved reserve agents. State bank notes outstanding Due from other national banks 811.78 Dividends unpaid Due from State banks and bankers. 1, 030. 00 Bank'g-house,furniture,aiul fixtures Other real estate and moi tg's owned Individual deposits 50,181. 31 "i, 357. 62 United States deposit? Current expenses and taxes paid... 3, 557. 93 Deposits of U. S.disbursing officers. Premiums on U. S. bonds 391. 52 Checks and other cash items Due to other national banks Exchanges for clearing-house 5,523. 16 146.66 I Due to State banks and b a n k e r s . . Bills of other national banks 702. 49 Fractional currency, nickels, cents. 1.63 Specie 9, 875. 75 Notes and bills re-discounted . Legal-tender notes 150.00 Bills payable U. S. certificates of deposit 562. 50 Redemption fund with Treas. U. S. Due from Treasurer U.S 120, 498. 73 120, 498. 73 Total. Total . First National Bank, Island City. R. M. STEEL, President Loans and discounts O verdra f ts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house. furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total No. 3313. CHAS. II. CBOSUY, Cashier. $131, 324. 71 I Capital stock paid in. 58.84 12,500.00 | Surplus fund Undivided profits.... National-bank notes outstanding. State-bank notes outstanding $50, 000. 00 10, 000. 00 13,415.23 11, 250. 00 885.15 '*2 "80189" "l," 150." 28" 2, 2.iO. 00 474. 74 210. 00 10.38 12,114. 30 985. 00 Dividends unpaid '. Individual deposits , United States deposits Deposits of U.S.disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 41, 952. 52 34,213.04 5, 000. 00 562. 50 500. 00 165,830.79 Total.. 165,830. 79 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1057 ORE GO\. La Grande National Bank, La Grande. No. 3655. H. ANBON, President. W. H. MCDONALD, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with" Treas. U. S . Due from Treasurer U. S Total. Liabilities. $97, 795. 38 54.22 15, 000. 00 2, 584.17 8, 580.68 2,050.01 11,500.00 1,163.18 4,153.13 9, 485. 27 335.00 14.05 13, 921. 75 720. 00 Capital stock paid in. $60, 000.00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 13, 097. 33 13, 500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers 60, 018.13 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 1, 040. 97 525.41 675. 00 150. 00 168,181.84 Total. 168,181.84 First National Bank, McMinnville. JACOB WOETMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 3399. $233, 369. 26 8, 424. 84 12,500.00 896.83 603. 01 1,149. 15 2, 471. 75 1, 000.00 1, 5K5. 42 515. 03 202. 25 50 00 15 28, 570. 70 105.00 JOHN "WORTMAN, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund | Undivided profits 10, 000. 00 13, 970. 63 ! National-bank notes outstanding.. | State-bank notes outstanding ..'.. 11, 250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 187,107.53 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 18, 854.96 822. 77 562.50 292, 005. 89 Total. 292, 005. 89 McMinnville National Bank, McMinnville. J. W. COWLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agentsDue from other national banks Due from State banks and bankers. Ban k'g-house.furniture.aud fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie r,rr Legal-tender notes....-,, U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S . . . „ Total. H, No. 3857. $71,196.58 1, 365. 96 12, £00.00 188.19 1, 5T7.OO 9, 028. 97 Surplus fund Undivided profits National-bank notes outstanding State-bank notes outstanding . . . $50, 000. 00 3, 353. 81 11,230.00 Dividends unpaid 1, 461.15 2, 726. 40 99.14 765. 00 2.35 10, 607. 40 1,139. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 48, 595. 83 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills, payable . . . „ , . . . „ , , . . . . , 562. 50 113,179. 64 3-7—67 J. L. STBATTON, Cashier. Capital stock paid i n . Total . 113,179. 6$ 1058 REPORT OF THE COMPTROLLER OF THE CURRENCY. ORE GON. First National Bank, Pendleton. No. 2630. LEVI ANKENY, President. SAM. P. STUEGIB, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... XT. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house.. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $527, 894. 64 925. 97 18, 000.00 46, 467. 62 24, 031. 08 2, 419. 80 1, 320.73 3, 200. 00 7, 500.00 1,946. 78 3,496. 50 5, 961. 93 2,000.00 14.55 36, 537.55 8, 835. 00 Capital stock paid i n . $70,000.00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 159,500.00 9,497.69 16, 200. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers 408,692.82 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 20,475. 27 6, 996.37 810.00 691, 362.15 Total. 691,362.15 First National Bank, Portland. G. E. WITHINGTON, Cashier. No. 1553. HENRY FAILING, President. $2, 076, 957.12 Loans and discounts 81, 586. 51 Overdrafts 50, 000.00 U. S. bonds to secure circulation... 500, 000.00 U. S. bonds to secure deposits U. S. bonds on hand 540,238.72 Stocks, securities, judgments, etc . . 245,538.65 Due from approved reserve agents. Due from other national banks 213, 713. 92 Due from State banks and bankers. 236, 793. 75 Bank'g-house, furniture, andfixtures 125, 000. 00 Other real estate and mortg's owned 1, 000. 00 Current expenses and taxes paid... 10, 679. 50 Premiums on U. S. bonds 32, 777. 70 Checks and other cash items 29,681.51 Exchanges for clearing-house 3, 090. 00 Bills of other nationalbanks 411.98 Fractional currency, nickels, cents. 208, 931. 00 Specie 5,185. 00 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 2, 250.00 Due from Treasurer U. S Total. Capital stock paid in. $500,000.00 Surplus fund , Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 100,000.00 600, 484. 37 45, 000.00 Dividends unpaid. Individual deposits....' United States deposits Deposits of U. S. disbursing officers. 2,144,118.73 368, 685. 73 180,324.06 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 338,411.25 IG, 811. 22 Total. 4, 363, 835. 36 4, 363,835. 36 Ainsworth National Bank, Portland. L. L. HAWKINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from otner national banks Due from State banks and bankers . Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3402. $424, 575.39 4, 791. 05 25, 000.00 100,000.00 28,157.96 2, 535. 68 J. P. MARSHALL, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits . 25,000.00 11, 954.96 National-bank notes outstanding.. State-bank notes outstanding 22,500.00 Dividends unpaid. 3, 329.17 4, 343.87 6, 884. 90 48.06 42.46 47, 723.45 170. 00 Individual deposits United States deposits Deposits of U. S.disbursing ofl&cers. 394, 468.16 63, 680. 39 18, 718.57 Due to other national banks Due to State banks and bankers.. 12,404.91 Notes and bills re-discounted. Bills payable 1,125. 00 648, 726. 99 Total. 648, 726.99 REPOKT OF THE COMPTROLLER OF THE CURRENCY. 1 0 5 9 ORE OON. Commercial National Bank, Portland. DAVID P. THOMPSON, President No. 3422. E. L. DURHAM, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andlixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds Checks and other cash items Exchanges for clearinghouse Bills 6f other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total . Liabilities. $970, 228. 52 31,351.06 50, 000. 00 Capital stock paid in I $250,000.00 Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 16, 769. 65 250,158. 83 142, 553. 38 65, 660. 54 936. 50 50, 000.00 68, 526.44 45,000.00 Dividends unpaid. 1, 922. 00 Individual deposits 7, 007.18 jj United States deposits 12,468.75 h Deposits of U.S.disbursing officers. 4,397.40 ! | 6,073.57 Due to other national banks 220. 00 Due to State banks and bankers.. 200, 514. 35 "' Notes and bills re-discounted . 426.00 i Bills payable 1,168,383.18 120, 503.71 47, 680. 40 2, 250. 00 1, 761, 015. 73 Total . 1, 761, 015.73 Merchants' National Bank, Portland. No. 3536. JAMES STEEL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned;. Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. J . A. MACRUM, Cashier. $597,102. 59 Capital stock paid in. 6, 606. 51 25, 000. 00 Surplus fund Undivided profits . $100, 000. 00 15, 000. 00 28, 216. 30 National-bank notes outstanding . State-bank notes outstanding 64, 969. 68 78, 830. 59 6, 692. 27 6,613.92 3, 220. 00 Dividends unpaid 22, 500. 00 2, 000. 00 i Individual deposits 5, 050. i7 United States deposits 6,000.00 ! Deposits of U.S.disbursing officers. j 41,196.89 | Due to other national banks 170. 00 ji Due to State banks and bankers . . 230.93 48, 358. 75 \ Notes and bills re-discounted . 2,432.00 i Bills payable 650, 061.95 75, 074. 35 746. 70 1,125.00 Total . 893, 599.30 893, 599. 30 Oregon National Bank, Portland. VAN B. D E LASHMUTT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Totai . D. F. SHERMAN, Cashier. No. 3719. $549, 724. 80 8, 244. 98 50, 000. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. 41,810.06 | State-bank notes outstanding 13, 768.07 13, 219. 80 Dividends unpaid. 3,901.50 1,400,00 i Individual deposits 3, 970.18 ! United States deposits 3,000.00 . Deposits of U.S.disbursing officers. 3, 379. 79 j 8,014.91 Due to other national banks 50. 00 Due to State banks and bankers .. 25. 02 55,529. 75 Notes and bills re-discounted . Bills payable $200, 000. 00 25, 000. 00 6,303. 29 45, 000. 00 438, 357. 95 17, 879.39 25,748. 23 2, 250. 00 758, 288. 86 j Total. 758,288. 8G 1060 REPORT OF THE COMPTROLLER OF THE CURRENCY. OREGON. Portland National Bank, Portland. "W. LOWE, Cashier. N o . 3184. W. REID, President. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $76, 088. 56 443. 49 25, 000.00 2,151.57 Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding . 13, 000.00 5, 207.13 21, 800.00 Dividends unpaid. 50, 000. 00 2, 223. 28 Individual deposits ! United States deposits 1, 812. 50 ; Deposits of U.S. disbursing officers^ 1,213.01 Due to other national banks 1, 000. 00 Due to State banks and bankers . . 11.18 23, 901. 25 Notes and bills re-discounted . Bills payable 44,142.96 819. 75 1,125. 00 ! 184,969.84 : Total. 184, 969. 84 First National Bank, Prineville. No. 3851. JOHN SOMMEBVILLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalTbanks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $65, 762. 59 3, 230. 51 12, 500. 00 1,223. 86 31, 677. 42 7, 797.77 5, 000. 99 T. M. BALDWIN, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 1,600.00 7, 286. 85 10, 210. 00 Dividends unpaid. 670.66 3,250.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 4,270. 00 7.76 13, 810.15 10, 000. 00 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 90, 668. 36 562. 50 Total. 159, 764. 21 159, 764. 21 First National Bank, Salem. VT. N. LADUE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g.ho use, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S „ Total JNO. Mora, Cashier. N o . 2816. $169, 070. 72 10, 770. 76 15, 000. 00 Capital stock paid in. Surplus fund Undivided profits. 2,170. 00 National-bank notes outstanding. 317.94 State-bank notes outstanding 5, 282. 73 Dividends unpaid . 22, 600.49 Individual deposits 1, 647.17 United States deposits 1, 300. 00 Deposits of U. S. disbursing officers. 968. 69 Due to other national banks 150. 00 Due to State banks and bankers . 12. 02 21, 875. 45 Notes and bills re-discounted. 1, 038. 00 Bills payable „ $60, 000. 00 6, 000.00 6, 455. 79 13, 500. 00 852. 00 152, 313. 54 13, 757.64 675.00 | 252,878.97 Total. 252, 878.97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1061 O R E GO\ . Capital National Bank, Salem. No. 3405. R. S. WALLACE, President. J . H. ALIVERT, Cashier. Resources. Loans and discounts 0 verdia fts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total Liabilities. $214, 208. 67 12, 460. 40 19, 000. 00 4,715.02 4, 711. 78 3, 055.01 4, 316. 28 1, 772.79 4, 863.75 4, 278. 66 1, 450.00 88.05 31,050.25 948. 00 Ca pital stock paid in $75, 000. 00 Surplus fund Undivided profits 11, 000. 00 4,122.98 National-bank notes outstanding . State-bank notes outstanding . . . . . 17,100.00 Dividends unpaid 325. 00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 198, 970. 22 Due to other national banks Due to State banks and bankers.. 1,255.46 855. 00 Total 307, 773.66 307, 773. 66 First National Bank, The Dalles. DAVID P . THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks j Due from State banks and bankers. i Bank'g-house,fnrniture,and fixtures! Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. H. M. B E ALL, Cashier. No. 3441. $94, 772. 89 9, 408.90 12, 500. 00 $50, 000.00 Individual deposits 5, 234.42 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 101,118.69 7, 000.00 4, 980. 25 11, 250. 00 19, 217.42 1, 355. 28 Dividends unpaid 701. 80 992. 90 3, 000.00 3, 350. 38 860. 00 4.01 22, 824. 35 450. 00 United States deposits DepositsofU.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable , 885.91 562. 50 175, 234.85 Total. 175, 234. 85 The Dalles National Bank, The Dalles. ZENAS F. MOODY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate andraortg'sowned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. M. A. MOODY. Cashier. No. 3534. $143,143.15 25, 999.90 12, 500. 00 30, 986.57 330.15 1,533.95 3,656.16 1, 282.49 3, 250. 00 8, 415.24 18.70 20, 534. 80 1.00 Capital stock paid in. Surplus fund , Undivided profits. National-bank notes outstanding.. State-bank notes outstanding $50,000. 00 19,830.46 10,690.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 154, 577. 50 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 17,116.65 562.50 252, 214. 61 Total. 252, 214. 61 1062 REPORT OF THE COMPTROLLER OF THE CURRENCY. ORE GON. GEORGE WRIGHT, President. First National Bank, Union. No. 2947. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate andraortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . W. T. WRIGHT, Cashier. Liabilities. $80, 708. 02 Capital stock paid in $50, 000. 00 12,800.00 Surplus fund Undivided profits. 10, 000. 00 5, 801. 34 12, 028. 39 8,721.03 16, 262. 38 849.31 6, 503. 28 800. 00 931. 67 400. 00 475. 36 National-bank notes outstanding.. State-bank notes outstanding. 10, 900.00 600. 00 17.45 11, 520. 00 135. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers Due to other national banks Due to State banks and bankers... 76,193.04 433. 51 Notes and bills re-discounted . Bills payable 576. 00 153, 327. 89 Total . 153, 327.89 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1063 ARIZONA. National Bank of Arizona, Phoenix. M. W. KALES, President. No. 3728. GEORGE W. HOADLEY, Caitder. Liabilities. Resources. Loans and discounts Overdrafts U,.S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $161,671.44 », 578.44 25,000.00 76,258.19 3,001. 30 9,454.50 2, 464. 26 1, 250. 00 357. 89 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 20, 000. 00 11,760.35 22, 500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. 17, 223. 70 Notes and bills re-discounted. 13, 000. 00 Bills payable 779.00 155, 504. 72 11, 398.65 1,125. 00 321,163. 72 Total. 321,163. 72 1064 REPORT OF THE COMPTROLLER OF THE CURRENCY. S> AJK1O T A . First National Bank, Aberdeen. GrEO. L. CAD WELL, JR., Cashier. No. 2980. S. H. JUMPEK, President. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bundfl to secure deposits TJ. S. bonds on hand Stocks, securities,judgments, etc.. Duo from approved reserve agents. Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $104,816.10 398. 39 12, 500.00 5,13."). 84 7,291.50 24, 552. 37 65(3.51 9,115. 00 1, 273. 79 800. 00 8G4. 33 1, 500.00 19.56 1, 340. 00 5, 834. 00 $50, 000. 00 Capital stock paid in. Surplus fund Undivided profits. 10, 000.00 3,475.06 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S.disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted Bills payable 76, 828. 08 9, 606. 75 15, 500. 00 562. 50 176, 039. 89 Total. 176, 659. 89 Aberdeen National Bank, Aberdeen. JOHN T. MCCHESNEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks . . . Due from State banks and banker i I Bank'g-houso,furniture,aud fixtures! Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. ROBT. MOODY, Cashier. No. 3326. $134,428.44 1, 242.45 18, 750.00 12,296.22 3, 652.47 13, 354. 80 1, 534. 52 11, 600. 00 1,691.68 1, 500.00 343.15 2, 99.5.00 172. 61 1,099.50 3, 000.00 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. $75,000.00 15,000.00 3,141.51 16, 875.00 80.00 Individual deposits United States deposits Depositsof U.S. disbursing officers. 54, 836. 61 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable , 12,440. 81 18,130. 72 13, 000. 00 843. 75 208, 504. 65 208, 504. 65 Total. North-western National Bank, Aberdeen. HENRY M. MAEPLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Duo from other national b'inks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3932. $121,248.01 Capital stock paid in 10,730.64 25, 000.00 Surplus fund 585. 70 16,217.73 14,113. 62 100. 00 60,126. 79 " 2,338.35 7,132.25 368.20 43.84 8,499.30 6,116. 00 W M . BHIGGS, Cashier. Undivided profits National-bank notes outstanding.. State-bank notes outstanding $100, 000. 00 4, 000.00 4, 947. 84 22, 500.00 Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable A 96, 470, 78 8, 863.37 "37*643*44 1,125. 00 273,825.43 Total. 273,825.4^ REPORT OF THE COMPTROLLER OF THE CURRENCY. 1065 DAKOTA. First National Bank. Bismarck. No. 2434. G. H. FAIRCHILD, President. Resources. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on haud Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks. Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. O. H. WHITAKKR, Cashier, Liabilities. $81,639.44 18. 60 25,000. 00 $100, 000. 00 Capital stock paid in. Surplus fund Undivided profits 15, 000. 00 8, 089.15 5, 291.25 2, 126.61 33, 626.36 National-bank notes outstanding.. State-bank notes outstanding 22,500.00 46,817.95 13, 280. 83 968.71 1, 600.00 2, 527.76 Individual deposits United States deposits Deposits of U. S. disbursing officers. 88, 585.67 6, 051. 52. 14, 230. 5, 000. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 4,108. 28 1, 072. 87 00 46 00 00 Dividends unpaid. 1,125. 00 239, 355. 97 Total. 239, 355. 97 Capital National Bank, Bismarck. C. B. LITTLE, President. No. 2986. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption laud with Treas. U. S. Due from Treasurer U. S Total.. 3, 880. 04 12, 500. 00 31, 836. 91 4, 436.13 5,102.90 273.44 7,361.72 3, 379. 87 3, 853. 76 2, 775. 00 2, 069.24 2,155.00 34.85 4, 744. 25 3, 043. 00 E. L. WUITFORD, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits 10,000. 00 6,172.03 National-bank notes outstanding.. State-bank notes outstanding 11, 240.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 825. 00 76,357.28 1,432.67 562. 00 156, 026. 98 Total. 156, 026. 98 First National Bank, Brookings. THOMAS L. FISHBACK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits TT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks arid bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 3087. HORACE FISHBACK, Cashier. $86, 743. 84 Capital stock paid in. $50, 000. 00 4,444. 87 12, 500.00 Surplus fund 10,000. 00 8,162. 65 Undivided profits. 12, 375. 40 3,144.27 9,196. 99 420. 29 2, 875.00 6, 500. 00 3, 208. 22 2, 649.94 7, 244. 00 126.25 4, 642.00 3, 000. 00 National-bank notes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers 77, 696.27 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable , 66.03 1,458. 62 1,000.00 562.50 159,633.57 Total. 150,633.57 1066 REPORT OF THE COMPTROLLER OF THE CURRENCY. DAKOTA. First National Bank, Canton. No. 2830. F. A. GALE, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie ... Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S 2, 711.39 9, 400.00 8,084.42 2, 336.81 1,000.00 1,373. 55 520.00 13.18 672. 50 4, 503.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $50, 000. 00 4, 600. 00 6,150. 79 11,250. 00 48, 239. 37 774.32 5,620.00 562. 50 126,634.48 Total. J. H. GALE, Cashier. Liabilities. $75, 493. 48 Capital stock paid in. 1, 522. 62 12, §00.00 Surplus fund Undivided profits . National-bank notes outstanding.. 5, 941. 03 State-bank notes outstanding Total. 126, 634.48 First National Bank, Casselton. W. F. HOLMES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on 0. S. bonds Checks and other cash items [Exchanges for clearing-house Bills of other national jbanks Fractional currency, nickels, centsSpecie , Legal-tender notes U. S. certificates of deposit | Redemption fund with Treas. U. S. Due from Treasurer U. S Total. J. L. GUNKEL, Cashier. No. 2792. $60, 000. 00 Capital stock paid in. 20, 000. 00 Surplus fund 19, 811. 91 Undivided profits. 2, 421.12 National-bank notes outstanding.. 21, 830. 00 26, 889.04 State-bank notes outstanding $137,135.56 834.54 25, 000.00 35, 091.17 5, 262.55 12, 500.00 1,126.16 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 134,011.12 Due to other national banks 180. 00 300. 89 Due to State banks and bankers . 1, 780. 00 Notes and bills re-discounted. 6, 007. 00 Bills payable 1,125. 00 Total. 255, 653.03 255,653.03 First National Bank, Chamberlain. DAVID H. HENRY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Speoie Legal-tender notes U. Is. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2911. $93,633.15 2, 735.47 12, 500. 00 4,139. 80 6,753.70 10,467.14 3, 000. 00 1, 020.43 3, 250. 00 1,034.43 PATRICK HENRY, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding 10, 000. 00 11, 589.60 11. 250.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 63, 623.67 Due to other national banks Due to State banks and bankers . 3, 291. 65 Notes and bills re-discounted. 1, 500.00 Bills payable 2, 575. 00 562. 50 146,463. 27 Total. 146,463.27 REPORT OF TITE COMPTROLLER OP THE CURRENCY. 1 0 6 7 D AKOT A. First National Bank, Clark. No. 3479. FEED. WARE, President. CARL JACKSON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts XJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other nation il banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures; Other real estate audmortg's owned! Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $92, 529. 26 i'M. 33 15, 000. 00 $60, 000. 00 Capital stock paid in . 9, 500. 00 1, 377.68 Surplus fund Undivided pro t i t s . 5, 549. 82 3, 475. 90 7, 508.84 13, 500. 00 National-bank notes o u t s t a n d i n g . . State-bank notes o u t s t a n d i n g . Dividends u n p a i d " 5," 207." 77" ! 1, O:JS. 09 Individual deposits j 1, 379. 63 United States deposits 970 00 Depositsof CJ.S.dis bursing otficers 2, 3:55. G2 1 Due to other national banks 4, 075. 00 77. 44 :. Due to State banks and bankers 695. 00 4, 000. 00 ! I Notes and bills re-discounted : 44, 237. 88 ! .. ; •• j Bills payable ! ! j 16, 334.14 675. 00 Total 144, 949. 70 j 144, 949. 70 First National Bank, Deadwood. O. J . SALISBURY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and rnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash iterns Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. D. A. MCPHERSON, Cashier. No. 2391. $309, 554. 62 Capital stock paid i n . 9, 983. 58 25, 000, 00 Surplus fund 100, 000. 00 Undivided profits 20, 000. 00 81, 031.74 National-bank notes outstanding. 327, 587. 00 State-bank notes outstanding 10, 732. 65 42, 937. 25 Dividends unpaid. 3 0, 910. 72 7, 49(5. 64 Individual deposits 6, 097. 37 United States deposits 7, 500. 00 Depositsof U.S. disbursing officers 4, 030. 41 Due to other national banks 3, 743. 00 Due to State banks and bankers . 39. 80 49, 268. 00 Notes and bills re-discounted . 29, 015. 00 Bills payable 1,125. 00 100. 00 1, 052,152. 78 Total. $100, 000.00 125, 000. 00 6, 508. 65 22, 500. 00 610, 980. 63 95, 913.15 4, 086. 85 2,199. 67 84, 963. 83 1, 052,152. 78 Deadwood National Bank, Deadwood. N". W. WELLS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 3552. $128,161. 63 5,103. 44 25, 000. 00 11,127. 72 15, 234. 95 1, 403. 31 6, 570. 30 5, 506. 66 260. 00 1, 809. 68 1,750. 00 5, 922.11 310. 00 1. 30 1,172. 00 13, 982.00 GEO. C. HICKOK, Cashier, Capital stock paid in. Surplus fund , , Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits , Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $100,000.00 6, 000.00 9, 945.70 22, 500. 00 79, 609. 79 11. 54 6,373.07 1,125.00 224, 440.10 Total. 224, 440.10 1068 REPORT OF THE COMPTROLLER OF THE CURRENCY. DAKOTA. Merchants' National Bank, Deadwood. E. W. MARTIN, President. No. 2461. WILLIAM SELBIE, Cashier, Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $124, 048. 21 5, 272.67 25, 000. 00 39,420. 00 11, 603.18 1, 022.41 2, 279. 72 2, 744. 65 9, 329. 90 5, 671. 64 1,126. 90 1, 825. 67 387. 75 149. 00 49.99 2,193. 50 11, 000. 00' Capital stock paid in. $100, 000. 00 Surplus fund Undivided profits 20, 000. 00 6, 401. 51 National-bank notes outstanding. State-bank notes outstanding 22, 500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 72, 698. 42 Due to other national banks Due to State banks and bankers . . 73.24 2,113. 29 Notes and bills re-discounted Bills payable 20,463. 73 1,125.00 Total.. 244, 250.19 244, 250.19 First National Bank, Dell Rapids. J. A. COOLET, President. M. R. KENEFICK, Cashier. N o . 3508. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total.. $127, 259. 72 1, 770.83 18, 750. 00 2, 568. 86 4,494. 78 Capital stock paid in. $75, 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 10,500. 00 1, 772.10 16, 860. 00 Dividends unpaid "i6,*455.67" 2, 500. 00 1,199. 88 1, 409. 53 267.10 335.00 13.65 1,500.00 5,000. 00 Individual deposits United States deposits DepositsofU.S.disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 54, 236.67 20, 000.00 843. 75 178, 368. 77 Total. 178, 368. 77 First National Bank, De Smet. J . H. CARROLL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . . Dne from approved reserve agents. Due from otner national banks Dne from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. ponds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes V. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. No. 3435. Capital stock paid in. $58, 501.56 590. 44 12, 500. 00 1,166. 01 1, 283. 74 7,702. 54 J. L. NOGGLE, Cashier. Surplus fund "Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50,000. 00 3, 000. 00 1,426.30 11, 250. 00 Dividends unpaid 10, 800.00 853.17 750. 00 2, 056.48 500. 00 34.44 1, 524. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 29,148. 58 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 4, 000. 00 562.50 98, 824. 88 Total. 98,824.88 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1069 DAKOTA. First National Bank, Devil's Lake. No. 3397. C. S. HULBERT, President. GEO. JUEEGENS, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total- $107, 435. 72 851. 36 12, 500. 00 1,525.21 1,953. 69 16, 211.44 1, 602.26 21,128. 31 5,61<3.6L 1, 635.18 1, ]05. 79 662. 77 332. 00 260.17 7,419.25 1, 250. 00 Capital stock paid in. $50,000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 10,000.00 14,032. 71 11,250.00 68, 716. 84 13, 082.21 15, 000. 00 562.00 Total. 182, 081. 76 182,081. 76 Merchants' National Bank, Devil's Lake. E. ASHLEIT MEARS, President. No. 3714. Loans and discounts Overdrafts '. U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-houae, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes II. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $72, 764.21 397.08 12, 500. 00 5,182. 66 3, 572. 86 2, 880. 71 11,117.71 .1,500.00 1, 212. 03 700. 00 78.04 216. 00 20. 92 601.20 3,299. 00 E . A. GOWRAN, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $50,000.00 3, 400.00 9,894.18 11, 250. 00 29,084.82 2, 975. 92 l6,o66.66 562. 50 Total. 116, 604. 92 116,604.92 First National Bank, Doland. S. E. MORRIS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from otner national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. 3. certificates of deposit Redemption fund with Treas. U. S. Pue from Treasurer XT. S Total. No. 3522. $64, 952.50 1,176.66 12, 500. 00 1, 574.19 906. 84 1, 532. 75 9, 066.81 1,122.29 31.30 66.85 1,445.00 5.98 68.15 2, 086.00 A. J. BROSSEAU, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $50,000.00 6,000.00 1,264.61 11,250.00 3, 000. 00 20,023. 21 5, 000.00 2.50 96,537. 82 Total. 96,537.8? 1070 REPORT OF THE COMPTROLLER OF THE CURRENCY. I> A K O T A . First National Bank, Fargo. No. 2377. M. B. ERSKINB, President. S. S. LYON, Cashier. Liabilities. Resources. Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate aud mortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ.lS. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. $504, 828. 94 10, 862.62 37, 500. 00 Capital stock paid in $150, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding 1, 583. 80 54, lb'6. 35 81,346.01 11, 276. 72 24,651.67 21,622.27 4, 415. 65 2, 165.62 3, 985. 32 50, 000. 00 9,907.11 33, 750. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing oflicei3 Due to other national banks 3,184.00 5. 34 Due to State banks and bankers . 26, 51)4. 00 ! Notes and bills re-discounted 525, 407. 34 1, 761.39 10,920.58 68,669.39 , Bills payable 1,687. 50 540. 00 850, 415. 81 Total. 850, 415.81 Citizens' National Bank, Fargo. H. F. MILLER, President. Loans and discounts ! Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national Tbanks J Fractional currency, nickels, cents. Specie 'Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3602. C. C. SCHUYLEK, Cashier. $157,049.50 2,443.52 25,000.00 Capital stock paid in. Surplus fund I Undivided profits. 3, 555.74 j I National-bank notes outstanding.. 37, 829. 31 !! State-bank notes outstanding 41,878.70 1, 405. 03 i Dividends unpaid 51, 933. 43 2, 994. 44 I Individual deposits 2,119. 06 j United States deposits 929.70 ! j Deposits of U. S. disbursing officers. 3,181. 46 : Due to other national banks 13, 842.00 | Due to State banks and b a n k e r s . . 147. 30 18,190. 55 j Notes and bills re-discounted. 8, 800. 00 | Bills payable $100, 000.00 30,000. 00 9, 672.75 22, 500. 00 209,194.47 1, 057. 52 1,125.00 j Total. 372,424. 74 ' 372, 424.74 Red River Valley National Bank, Fargo. L. S. FOLLETT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks..... Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other casK items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit ... Redemption fund with Treas. U. S. Due from Treasurer U. S Total , No. 2514. L. W. FOLLETT, Cashier. $170,387.82 |j Capital stock paid in. 174.19 J 30,000.00 ;| Surplus fund Undivided profits 15, 270.62 49, 816. 41 74, 305.18 10, 221.98 28, 655.97 10,191. 56 1, 775. 81 2, 000. 00 2, 242. 73 5, 090.00 79.31 7, 690.70 18, 000. 00 $100, 000.00 25,000. 00 12,592.66 National-bank notes outstanding.. State-bank notes outstanding 27, 000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 261,558.78 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 327.24 773.60 1,350.00 | 427,252.28 j! Total. 427,252.28 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1071 DAKOTA. First National Bank, Grafton. No. 2840. W. C. LEISTIKOW, President. Resources. Loans and disco ants Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg'a owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer U. S Total. $149,944.86 875.55 12, 500.00 350. 90 3, 295.22 1,162.55 2, 825. 52 17, 400. 00 5,155. 00 898. 80 650. 00 257.10 2,135. 00 89.64 5, 531. 65 6, 500. 00 J. L. CASHEL, Cashier. Liabilities. Capital stock paid in. Surplus fund Undividej profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of D". S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $50,000.00 35,000.00 1,129.40 11,250.00 81,054.89 31, 700.00 562. 50 210,134.29 Total . 210,134.29 Grafton National Bank, Grafton. FREDERIC R. FULTON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andraortg'sowned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S.. Due from Treasurer TJ. S Total. D. C. MOORE, Cashier. No. 3096. $50, 000.00 Capital stock paid in. Surplus fund 26, 000. 00 2,579. 49 Undivided profits 416.23 National-bank notes outstanding.. 11, 250. 00 State-bank notes outstanding $125, 811. 07 202.28 12, 500.00 "2,"265."6l" 12,031. 65 583. 85 1,125.12 678.14 128. 50 2, 944.00 52.48 4, 887.20 5, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 63,371.14 475. 37 512.63 15,000.00 562.50 169,188. 63 Total . 169,188.63 Second National Bank, Grand Forks. ALEXANDER GRIGGS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national jbanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total. A. W. CLARKE, Cashier. No. 3504. $134, 520. 33 737.01 14, 000. 00 5, 309.80 23, 382. 86 8, 386.21 2,103. 51 1, 615.15 1, 628.80 709. 50 5, 419. 66 1, 597.00 199.49 13, 325. 00 1, 500.00 Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $55,000.00 5,000.00 1, 255.51 12,600.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 131,899.13 3, 768.02 2,541.66 630. 00 215, 064. 32 Total . 215,064.32 1072 REPORT OF THE COMPTROLLER OF THE CURRENCY. DAKOTA. Citizens' National Bank, Grand Forks. No. 2570. J. W. SMITH, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.-. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and banker** Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes XT. S. certificates of deposit Redemption fund with Treas. T^S. Due from Treasurer TJ. S Total. S. S. TITUS, Cashier. Liabilities. $312, 020.05 1,792.04 25, 000. 00 27,952.18 841.18 2, 358.46 3,666.21 3, 856.00 253.70 26, 565. 00 15,187. 00 Capital stock paid in. Surplus fund Surplus fund. Undivided profits. National-bank notes outstanding-State-bank notes outstanding $100,000.00 15,000.00 6,924.31 22, 500.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 265,759.37 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 192. 85 9, 580.38 1,125.00 419,956.91 Total. 419, 956. 91 Grand Forks National Bank, Grand Forks. M. L. MCCORMACK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationall>anks Fractional currency, nickels, cents . Specie Legal-tender notes U. JS. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3301. W M . O'AIULCAHY, Cashier. $169, 300.00 Capital stock paid in $60, 000.00 5,107.39 15, 000. 00 Surplus fund 12, 000.00 4,642.43 Undivided profits 10,856. 85 7, 267.54 15, 344. 73 3, 457.39 2, 564.00 6, 720.25 4, 024. 28 1, 200.00 4,399.30 3,375. 00 61.92 17, 554.15 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits ofU. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 13, 500. 00 135, 378.56 811. 98 1, 059.28 36, 515. 55 3,000.00 675.00 266, 907.80. Total. 266, 907.80 First National Bank, Hillsboro. SIMEON B. SABLES, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Pue from Treasurer U. S Total. E. T. SARLES, Cashier. No. 3400. Capital stock paid in $50,000. 00 Surplus fund 20, 000.00 12,072.65 Undivided profits 55.00 National-bank notes outstanding.. 11, 250. 00 3,643.25 State-banknotes outstanding 33, 091.73 10, 451. 61 Dividends unpaid $157,248.65 4, 375.56 12,600.00 13, 926.74 350.24 870.48 937.50 580. 92 465.00 30.36 4, 732.00 2, 289.00 Individual deposits United States deposits Deposits of IT. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 152,713.04 74.85 562. 50 246,110, 54 Total. 246,110.54 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 7 3 DAKOTA. Hillsboro National Bank, Hillsboro. No. 3411. AMOS L. PLUMMER, President. JAMES E. HYDE, Cashier. Resources. Liabilities. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S $96,461.00 514.39 12, 500.00 Capital stock paid in. 25, 000. 00 4, 913. 20 Undivided profits National-bank notes outstanding.. State-bank notes outstanding 11,230.00. 6, 738.31 2, 050. 49 3, 858. 71 Dividends unpaid. 22, 490. 83 Individual deposits 1, 498. 83 United States deposits 481.75 Deposits of U. S. disbursing officers. 59.00 Due to other national banks 405. 00 88.98 Due to State banks and bankers .. 9, 829. 00 Notes and bills re-discounted 4, 785. 00 Bills payable 60, 904.17 771.86 9, 424.56 562. 50 Total. 162,323.79 Total. $50, 000. 00 Surplus fund 102,323.79 First National Bank, Huron. JAMES W. CAMPBELL, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. }>ank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2819. $48, 940. 634. 20, 000. 116, 000. 93 46 00 00 80, 850. 61 12, 361. 02 4, 638. 47 411.61 16, 000. 00 2, 314. 74 1, 796. 26 26, 000. 00 343. 96 J . W. MACKENZIE, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $75, 000.00 37, 500.00 2, 252.99 18,000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 914. 00 Due to other national banks Due to State banks and bankers .. 0, 523.16 7, 000. 00 81,163. 58 112, 828 57 11, 830. 02 Notes and bills re-discounted . Bills payable 8, 054. 06 900.00 Total. 346, 629. 22 346, 629. 22 Beadle .County National Bank, Huron. FRANK E. STEVENS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. Ex. s No. 2989. $83, 916. 50 1, 355. 74 25, 000.00 181.09 2,820.84 23,445. 01 1,351.18 8, 323. 65 3, 632.00 1, 300. 20 2, 250. 00 23. 23 169. 37 67.86 900. 00 7, UOO. 00 EDWARD CRIST, Cashier. Capital stock paid in. $50, 000.00 Surplus fund Undivided profits. 4, 500. 00 2, 424. 71 National-bank notes outstanding.. State-bank notes o u t s t a n d i n g . . . . . 22, 500. 00 Dividends unpaid. Individual deposits United States deposits. Deposits of U.S.disbursingofficers.;. Due to other national banks ! Due to State banks and ban k<»r\s...: Notes and bills re-discounted Bills payable 37, 325.26 41, 854. 95 ; ' 1, 2">7. 35 I 1G2, 862, 27 1,125.00 162, 862. 27 Total 1074 REPORT OF THE COMPTROLLER OF THE CURRENCY. DAKOTA. Huron National Bank, Huron. No. 3267. L. W. HAZEN, President. JOHN* A. FOWLER, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,aiid fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. 17. S. Due from Treasurer U. S Total. $171,810.17 3,311.19 20, 000. 00 50, 000.00 360.12 1,148. 44 15,026.91 12,381.15 20, 000. 00 1, 685.73 15, 500. 00 1, 085.48 545. 00 40.01 1,250.00 4, 000. 00 Capital stock paid in. $75, 000. 00 Surplus fund Undivided profits. 9, 000. 00 3, 319. 51 National-bank notes outstanding.. State-bank notes outstanding 18, 000. 00 Dividends unpaid Individual deposits United States deposits.. t_ Deposits of U.S. disbursing officers. 113,227.23 55, 000. 00 Due to other national banks Due to State banks and bankers .. 13, 555. 62 31, 941. 84 Notes and bills re-discounted . Bills payable 900.00 Total . 319, 044. 20 319,044.20 National Bank of Dakota, Huron. No. 3636. DAVID L. STICK, President. Loans and discounts Overdrafts U. S. bonds to.secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, f urniture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund witli Treas. U. S. Due from Treasurer U. S Total. $74, 640.67 587. 84 12, 500. 00 3, 982. 11, 419. 2, 307. 655. 20, 000. 61 73 51 28 00 1, 624.31 1, 000. 00 836.51 2, 575. 00 57. L5 2,155. 00 4, 000. 00 MARIS TAYLOR, Cashier. Capital stock paid i n . $50, 000.00 Surplus fund Undivided profits. 3, 000. 00 4, 337. 55 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 46, 430. 55 2, 519. 81 21, 366. 20 562. 50 Total . 138, 904.11 138, 904.11 James River National Bank, Jamestown. EDWARD P. WELLS, President. No. 2580. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agentsDue from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other nationalloanks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total I GEO. L. WEBSTBB, Cashier. $92,187.94 j Capital stock paid in 1, 129. 5(1 12, 500. 00 j! Surplus fund ; Undivided profits 2, 068. 33 National-bank notes outstanding.. 5,271.71 •j State-bank notes outstanding..... 4, 939.42 h 1, 261. 23 Dividends unpaid 21,571.87 1, 700.00 Individual deposits 783.11 !l United States deposits. 2,687.50 i Deposits of U.S.disbursing officers 2,705.48 ' 560. 00 208. 77 2, 901. 95 2, 780.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable $50, 000. 00 6,150.00 5,198. 52 11, 250. 00 154.00 G8, 503. 63 2, 563.22 12,000.00 562. 50 . Total 155, 819. 37 KEPOKT OF THE COMPTROLLER OF THE CURRENCY. 1 0 7 5 DAKOTA. First National Bank, Larimore. No. 2854. ANDRUW J . BOWNE, President. E. C. BENNETT, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. \ Bank'g-house,furniture,andnxturesj Other real estate and iuurtg'n owned Current expenses andfct&espaid...! Premiums on U. S. bonds j Checks and other cash items ! Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S $98,683.23 I Capital stock paid in. 86.02 || 12, 500.00 Surplus fund Undivided profits 20, 000. 00 542.1*3 National-bank notes o u t s t a n d i n g . , 11, 250. 00 3, 666. 42 State-bank notes o u t s t a n d i n g 5,405. 00 Dividends u n p a i d . 7, 000. 00 9, 800. 00 I n d i v i d u a l deposits 1,188. 94 U n i t e d States deposits 2, 000. 00 Deposits of U.S. disbursing officers. 278. 65 175. 00 11.47 319.00 7, 226. 00 57, 552.26 Due to other national b a n k s Due to State b a n k s and b a n k e r s . . Notes and bills re-discounted Bills payable 9, 557.14 562. 50 j I Total. 148, 902. 23 Total. $50, 000. 00 148, 902. 23 First National Bank, Lisbon. No. 3669. RUSH S. ADAMS, President. Loans and discounts. Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furmture,andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchange*for clearing-house i Bills of other national hanks j Fractional currency, nickels, cents.] Specie ! Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $50, 000. 00 Individual deposits United States deposits Deposits ol U. S.disbursing officers. 57, 239.16 "12,166." 66" 555. 23 600. 0J 322. 56 40.00 82. 07 4, 207. 00 3, 053. 00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 6, 000. 00 1, 030. 17 11, 250. 00 32,341. 76 562. 50 157,861.09 Total. H. K. ADAMS, Cashier. $112, 004. 73 Capital stock paid in. 2, 772.76 12, 500. 00 Surplus fund Undivided profits 2. 361. 52 National-bank notes outstanding.. 4; 287. 91 State-bank notes outstanding 2, 211. 81 Dividends unpaid. Total. 157,801.09 First National Bank, Madison. F. D. FITTS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges far clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S .j : Due from Treasurer U. S Total., No. 3149. L. H. KKENE, Cashier. $68, 046.03 !! 1 Capital stock paid in 245.92 12,500.00 Surplus fund Undivided profits 5, 822. 90 2, 225.66 1, 676.17 112. 23 8, 930. 30 2, 954.17 1, 539. 83 565. 97 930.49 National-bank notes outstanding.. State-bank notes outstanding $50,000.00 9, 000. 00 1, 986.04 11, 250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursUigofficers. 46, 262.85 Due to other national banks 1, 220. 00 Due to State banks and bankers ..! 15.87 |i 6, 613,85 ': Notes and bills re-discounted 4', 537.00 :: Bills pay able... 562.50 118, 498. 89 Total. 118,498.89 1076 REPORT OF THE COMPTROLLER OF THE CURRENCY. DAKOTA. Citizens' National Bank, Madison. No. 315i. W. F. SMITII, President. J. A. TROW, Cashier. Resources. Liabilities. Loans and discounts ! $114,879.74 : Capital stock paid in Overdrafts 4,241,78 1 1 TJ. S. bonds to secure circulation-.. 12,500.00 I Surplus fund U. S. bonds to secure deposits I... | Undivided profits TJ. S. bonds on band !... i| 15,803.72 i National-bank notes outstanding. Stocks, securities, judgments, etc.. 400.24 ; State-bank notes outstanding Due from approved reserve agents. 6, 084, 92 I Due from other national banks Due from State banks and bankers j . . . I Dividends unpaid Bauk'g-house,furniture,and fixtures 12,915.69 , Other real estate andinortg's owned . . . ! Individual deposits Current expenses and taxes paid... ""V2rt4."58"j i United States deposits. - - • Premiums on U. S. bonds ! 1,000.00 ; • Deposits of U.S. disbursing officers Checks and other cash items 1,706,10 Due to other national banks Exchanges for clearing-house... 613. 00 • Due to State banks and bankers.. Bills of other national banks 152. 73 Fractional currency, nickels, cents. 8,532.50 ! Notes and bills re-discounted . Specie 1, 500. 00 Bills payable Legal-tender notes TJ. S. certificates of deposit Kedemption fund with Treas. TJ. S. 562. 50 Due from Treasurer TJ. S 182, 237. 50 Total. Total . $50,000.00 15,000.00 3,26,~.14 11,250.00 101, 802.40 857.96 182, 237. 50 First National Bank, Mandan. No. 2585. H. R. LYON, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid..Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie 1 Legal-tender notes U . S . certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. H. VAN YLECK, Cashier. $89,841.50 I; Capital stock paid in 365.95 ! • 12,500.00 | Surplus fund Undivided profits $50, 000. 00 15, 000. 00 3, 788. 77 20, 366, 25 National-bank notes outstanding.. 5, 779.05 State-bank notes outstanding 2, 173, 78 258. 90 Dividends unpaid. 7, 025, 32 19, 619. 37 Individual deposits 1,307.90 United States deposits 2,900.00 Deposits of U. S. disbursing officers 84. 24 Due to other national banks 83. 00 Due to State banks and bankers . . 4.73 1, 960.00 Notes and bills re-discounted . 4, 300. 00 Bills payable 11,250. 00 88,013.68 1, 072. 79 9.25 562. 50 169,134.49 Total. 169,134. 49 First National Bank, Mayville. Cr. S. ALBKE, President. Loans and discounts O verdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures, Otherreal estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds i Checks and other cash items j Exchanges for clearing-b ouse • Bills of other national banks , Fractional currency, nickels, cents. j Specie j Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . • Dae from Treasurer U. S ' Total No. 3673. J . ROSHOLT, Cashier. $97,432.36 |! Capital stock paid in. 718.24 ! | 12, 500, 00 Surplus fund | Undivided profits. National-bank notes outstanding. 8, 235.15 State-bank notes outstanding 8, 420. 93 ! Dividends unpaid. 15,000.62 j Individual deposits 1,911.72 j United States deposits 1, 000. 00 ; Deposits of U. S. dishursingofficers. 296.81 1 Due to other national banks 1 ! Due to State banks and bankers . . 89.42 5,414.70 Notes and bills re-discounted 3, 935.00 Bills payable '... $50,000.00 15, 000.00 4, 308. 84 11, 250.00 64, 363.36 8, 595. 25 2, 000. 00 562. 50 155, 517. 45 Total . 155, 517. 45 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1077 DAKOTA. E. ASHLEY MEARS, President First National Bank, Minot. No. 4009. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Total.. Total. 367.75 3, 549. 29 11, 250. 00 15, 091. 68 562.50 j $134, 756. 96 I, 073. 53 13, 000.00 6, 708.19 5,179. 65 12, 498. 20 80, 258.72 Total . J . E. GILBERT, Cashier. Capital stock paid in. $50, 000. (h) Surplus fund Undivided profits 25, 000. 00 29, 553. 50 National-bank notes outstanding.. State-bank notes outstanding 11, 700. 00 Dividends unpaid . 13, 22, 5, 2, 547. 775. 307. 713. 418. 53 00 69 75 99 1, 270.00 53. 23 7, 720.80 6, 500.00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 117, 875.0_> Due to other national banks Due to State banks and bankers. Notes and bills re-discounted . Bills payable 585. 00 20.00 Total . Mitchell National Bank, Mitchell. No. 3578. Loans and discounts Overdrafts . . . - U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's ovyned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U.lS. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $50, 000.00 Surplus fund Undivided profits 5,724.41 National-bank notes outstanding.. 1, 039. 55 State-bank notes outstanding 6, 713.42 3, 520.87 Dividends unpaid. 5, 276. 66 Individual deposits 278. 33 United States deposits 1,000.00 I Deposits of U.S. disbursing officers. ] 65±.33 I Due to other national banks 150.00 | Due to State banks and bankers . 12.11 1,280.95 I Notes and bills re-discounted . 40.00 I Bills payable . 234,128. 52 President. Capital stock paid in. First National Bank, Mitchell. N.». 2645. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid. _. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S W7G-. DAVISON, $41, 089.07 416. 52 12, 500. 00 80, 258. 72 JOHN D. LAWLER, President. ASHLEY E. MEARS, Cashier. Liabilities. Resources. $79, 751. 09 600. 00 12,500. 00 3, 954. 80 3,648.41 3, 770. 85 5, 386. 72 7, 000. 00 1, 000. 00 807.93 250. 00 99.93 5,140.10 3, 000. 00 234,128. 52 N. L. DAVISON, Cashier. Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid 2, 000. 00 6, 560.72 11, 250. 00 , Individual deposits United States deposits Deposits of U. S. disbursing officers. 57, 661. 67 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 562.50 127, 472. 39 Total . 127,472. 39 1078 REPORT OF THE COMPTROLLER OF THE CURRENCY, DAKOTA. First National Bank, Parker. No. 3675. L. K. LORD, President E. L. CLISBY, Cathier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. IT. S. Due from Treasurer TJ. S Total. $72, 529. 74 3, 872.17 12, 500.00 i Capital stock paid i n . 1,206. 57 2, 934. 04 11,150. 60 $50, 000. 00 Surplus fund Undivided profits. 8, 000. 00 2,177. 42 National-bank notes outstanding.. State-bank notes outstanding . 11,250.00 Dividends unpaid 5, 388.66 850. 52 77.86 145. 22 765. 00 71.70 4, 522. 75 700. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 45, 850. 51 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 562. 50 Total . 117, 277.93 117,277. 93 First National Bank, Park River. No. 3436. DAVID H. BEECHER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bauk'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks fractional currency, nickels, cents. Specie Lagal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $104,154. 90 678. 86 12,500.00 112. 58 2, 429. 08 4, 197. 39 $50, 000.00 Surplus fund Undivided profits. 2,225. 00 2, 600. 59 National-bank notes outstanding .. State-bank notes outstanding Dividends unpaid '"4," 335." 03* 871.11 600.00 1.20 404.00 79. 82 1,555.00 5, 380. 00 11, 250.00 1, 868. 77 Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 55, 917.11 14, 000.00 562. 50 137,861.47 Total. SIDNEY CLARKE, Cashier. Capital stock paid in. Total. 137,861.47 First National Bank, Pernbina. LEWIS E.BOOKER, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g-house, furniture, andfi xtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house . . . Hills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.ls. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. N o . 3438. $147, 867. 70 1, 294. 68 12, 500.00 6, 999. 34 12, 273.81 9, 767.78 G. W. RYAN, Cashier. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50,000.00 9,000. 00 1,562.14 11, 230.00 Dividends unpaid 3,168.51 1,100. 00 860. 45 1, 000. 00 1, 041. 95 Individual deposits United States deposits Deposits of U. S. disbursing officers. 630.00 57. 31 2, 349. 00 4, 300.00 Due to otheT national banks Due to State banks and bankers.. Notes and bills re-discounted Bills payable 104, 853. 55 2, 084. 98 27, 042.3G 562.50 205,773.03 ! Total . 205, 778. 03 REPOKT OF THE COMPTROLLER OF THE CURRENCY. 1079 D A It O T A • First National Bank, Pierre. No. 2941. C. C. BENNETT, President. EUGENE STEERE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixturesi Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S . Due from Treasurer U. S $73, 262. 49 1, 257. 85 12, 500. 00 Capital stock paid in. 5, 000.00 3,110. 56 8, 802. 07 National-bank notes outstanding.. 6, 990.36 State-bank notes outstanding 23, 060. 27 Dividends unpaid. 11, 250. 00 9, 621. 22 881.75 1, 088.33 182. 95 38G. 14 Individual deposits United States deposits Deposits of U. S. disbursing officers. 62, 839. 81 1,411.00 127.92 4,127. 25 1,000.00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted. Bills payable 61.73 "137606." 66 562. 50 145, 262.10 Total. $50, 000. 00 Surplus fund Undivided profits. 145, 262.10 Total., Pierre National Bank, Pierre. No. 4104. P. F. MCCLURE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $23, 457. 64 95.20 12, 500.00 2, 500. 00 4, 847. 93 4,344.10 712. 74 1,932. 55 342.81 3, 531. 25 3, 580.36 1,326. 00 2.24 1, 963. 75 2, 000. 00 $25, 000.00 Surplus fund _. Undivided profits National-bank notes outstanding. State-bank notes outstanding 1,184.13 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. 36, 952. 44 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 63,136. 57 Total. EDW'D H. ANDREWS, Cashier. Capital stock paid in. 63,136. 57 Total. First National Bank, Rapid City. RICHARD C. LAKE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash itejps Exchanges for clearing-honse Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fand with Treas. U. S . Due from Treasurer U. S Total. No. 3237. JAMES HALLEY, Cashier. $225, 421. 32 ! Capital stock paid in. ~ 2, 954.49 12, 500. 00 ji Surplus fund 1 Undivided profits. 1 19, 589. 54 i National-banknotes outstanding. 40,484.04 State-bank notes outstanding 589. 92 6, 652. 20 13, 000.00 $50, 00o! 00 60,000. 00 5, 831. 38 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. 196, 848. 95 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1,302,47 8, 777. 98 1, 929. 52 370. 00 9.50 4, 947. 75 5, 000. 00 562.50 334,010.78 Total. 334, 010. 78 1080 REPORT OF THE COMPTROLLER OF THE CURRENCY. DAKOTA. Black Hills National Bank, Rapid City. HENRY O. HALL, President. H. S. HALL, Cashier. No. 3401. Kesources. Liabilities. Loans and discounts Overdraft* U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks .Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and rnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Tieas. IT. S. Due from Treasurer U. S Total. $158, 909. 37 • 6, 333. 07 31, 500. 00 16, 724.9.* 1,131.13 2,191. 87 41.04 13, 000. 00 4, 225. 00 2, 257. 64 4, 6L6. 26 2, 987. 08 6, 450. 00 .95 3,060. 00 10, 000.00 Capital stock paid in. $125,000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 6, 045. 23 28, 350. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disb ursing officers. 85, 916. 54 Due to other national banks Due te State banks and bankers . . 6, 761. 57 Notes and bills re-discounted Bills payable 12, 000. 00 645. 00 Total. 264, 073. 34 264, 073. 34 First National Bank, Redfield. "WILLIAM TV. TAYLOR, President. Loans and discounts O verdrafto U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national bank8 Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Troas. U. S . Due from Treasurer U. S Total. WM. I. MCMASTEK, Cashier. No. 3398. $91,142. 74 1, 510. 30 12,500.00 9,135. 41 5, 663. 34 13, 525. 28 "9," 438." 91 2, 047. 45 1, 359. 56 3,500.00 1G4.14 3, 940. 00 2.45 2,120. 70 2, 000. 01) Capital stock paid in. $50, 000. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 10, 000. 00 2, 080. 97 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted Bills payable 61, 753. 25 IS, 528. 56 'io,"666.'66 562.50 158, 612. 78 158, 612. 78 Total. Dakota National Bank, Sioux Falls. H. BRACE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total.. N o . 2843. $213,967.46 7, 955. 62 12, 500.00 17, 618. 09 12, 076. 84 19, 828. 72 2, 800. 00 1, 430. 63 9, 311. 75 1,450.00 1, 000. 00 144. 73 5, 000.00 10, 000.00 C. C. CAEPENTEE, Cashier. Capital stock paid in Surplus fund Undivided profits 35,000.00 11,470.62 National-bank notes outstanding. State-bank notes outstanding 11, 250. 00 Dividends unpaid., Individual deposits United States deposits Deposits of U. S. disbursing officers. 195,815.83 Due to other national franks Due to State banks and bankers .. 7,109, 89 Notes and bills re-discounted Bills payable 5,000.00 562.50 315, 646.34 Total., 315,646.34 REPORT OF THE COMPTROLLER O*1 THE CURRENCY. 1 0 8 1 DAKOTA. Minnehaha National Bank, Sioux Falls. J. M. BAILEY, JR., President. No. 3393. W. L. BAKER, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks . . . Due from Stato banks and bankers, j Bank'g-house, furniture, and fixtures! Other real estate and mortg's owned1 Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . $431, 305.69 3, 718.88 50, 000. 00' 50, 000. 00 250.00 4, 409.15 16, 087.46 59, 610. 97 5, 009. 81 4, 103. 36 3, 958. 80 4, 530. 41 23, 900. 00 3, 988. 26 3, 300. 00 193. 88 41,164.80 4, 000. 00 Capital stock paid in. $200, 000.00 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding 4, 000. 00 7, 324.83 45, 000. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers 371, 587.82 10, 000. 00 12, 481. 99 Due to other national banks Due to State banks and bankers .. 25,246.98 36,139.85 Notes and bills re-discounted. Bills payable 2,250.00 Total. 711, 781. 47 711,781.47 Sioux Falls National Bank, Sioux Palls. C. E. MCKINNEY, President. No. 2823. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks i)ue from State banks and bankers. Bank'g-house, furniture,and fixtures] Other real estate and mortg's owned Current expenses and taxes p a i d . . . Premiu ms on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certi ficates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $216, 336. 93 4, 087.14 25, 000.00 35,511.61 1,015.65 59, 03.1. 75 CHARLES L. NORTON, Cashier. Capital stock paid in $100,000.00 Surplus fund Undivided profits. 13, 000.00 1,664.55 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid 1, 330. 32 5, 000. 00 4, 5{J5. 85 5, 080. 00 187.14 40, 327. 50 7, 040. 00 Individual deposits United States deposits Deposits of U. S. disbursing officers. 251, 739.39 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 947. 07 15,817.88 1,125.00 Total. 405, 668.89 405,668.89 First National Bank, Sturgis. HENRY E. BAILEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3739. $51, 001.03 180.44 I 12,500.00 I 7,616.58 8, 878.11 3, 571.30 J. J. DAVENPORT, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding $50,000.00 2, 500.00 1, 248.73 11,250.00 Dividends unpaid. 13, 280. 00 700. 00 725.56 1,149. 00 7.30 1, 681. 00 5,500.00 Individual deposits United States deposits Deposits of U.S. disbursing officers. 42,914.09 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payabl* 562.50 560. 00 107,912.82 Total. 107, 912.82 1082 REPORT OF TMK COMPTROLLER OF TFIE CURRENCY. DAKO TA . First National Bank, Valley City. No. 2548. JOHN RUSSELL, President. GEO. KANOUSE, Cashier. Liabilities- Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation...! U. S. bonds to secure deposits U. S. bonds on hand ! Stocks, securities, judgments, etc .., Due from approved reserve agents I Due from other national banks Due from State banks and bankers.] Bank'g-house,fuiniture,andnxture8 Other real estate and mortg's owned Current expenses and taxes paid... Premiums on IT. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total., $82, 741. 03 1, 56 i. 99 12, 500. 00 Capital stock paid in $50, 000. 00 J Surplus fund j Undivided profits 10, 000. 00 4, 538.14 National-bank notes o u t s t a n d i n g . . ; 6,8yy. 22 j 2,263.11 ;i State-bank notes outstanding 35,208.75 ;. Dividends u n p a i d . 16,000.00 ! Individual deposits 7,100.00 1, 729. 01 United States deposits Deposits of U.S. disbursing office 750. 00 41)3. 68 D u e to other national b a n k s 775. 00 D u e to State banks and bankers . . 100. 28 Notes and bills re-discounted 3,019.25 8, 750. 00 Bills payable 11, 250. 00 94, 995. 63 9, 672. 05 562. 50 180, 455. 82 Total. 180,455.82 Farmers and Merchants' National Bank, Valley City. HERBERT ROOT, President. No. 2650. Loans and discounts I Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits I U. S. bonds on hand ! Stocks, securities, judgments, etc .. j Due from approved reserve agents I Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiumson U. S.bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit ; Redemption fund with Treas. U. S.j Due from Treasurer U. S Total. AM AS A P. PEAKE, Cashier. $61, 930. 0 i ' Capital stock paid in. $65, 000. 00 16, 250. 00 Surplus fund Undivided profits 12, 026. 54 National-bank notes outstanding.. | 1, 048.17 State-bank notes outstanding . . 890. 04 7, 155. 68 7, 187. 00 12, 550. 00 1, 869. 92 800.00 374.43 10, 500. 00 3, 043. 51 14, 625. 00 Dividends unpaid . Individual deposits | United States deposits Deposits of U. S. disbursing officers ! Due to other national banks 180 00 Due to State banks and bankers . 32.13 2, 734. 35 Notes and bills re-discounted ! 505. 00 Bills payable ! i 31. 25 126, 170. 55 15, 300. 99 17, 695. 05 126,170. 55 Total. National Bank, Wahpeton. DANIEL PATTERSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers . Bank'g-house,furniture,andtixtures> Other real estate and rnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4106. $9, 414. 81 W. L. CARTER, Cashier. Capital stock paid in. 12, 500." 66" Surplus fund Undivided profits. National-bank notes outstanding. 432. 47 State-bank notes outstanding 901.28 571.09 Dividends unpaid. 611.25 Individual deposits 324.07 United States deposits 1, 862. 50 Deposits of U.S. disbursing officers 41.50 Due to other national banks 960.00 Due to State banks and bankers . 6.65 3, 243. 50 Notes and bills re-discounted. 3, 760.00 Bills payable 34,629.12 I Total . $30,000. 00 218.70 4, 410. 42 34, 629.12 REPORT OF TFTi: COMPTROLLER OF THE CURRENCY. 1083 I> A K O T A . First National Bank, Watertown. H. D. WALRATH, President. No. 2935. SAM'L B. SHELDON, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Dae from approved reserve agents. Due from other national banks Due from State banks and bankers 1 Jan kV-house,furniture,and fixtures| Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treaa. TJ. S. Due from. Treasurer TJ. S Total. Liabilities. $103, 603.90 ! Capital stock paid in. 798.30 ' 12, 500. 00 Surplus fund Undivided profits . 6. 020. 79 1 National-bank notes outstanding.. 1 3. 153. 80 j; State-bank notes outstanding $50, 000. 00 10, 000. 00 18,149. 54 8,190. 00 5, 080. 32 Dividends unpaid "6,807.45' !, Individual deposits 1, 074. 94 I United States deposits • Deposits of U.S. disbursing officers. 65, 722. 67 "i~hhb'.2i 1 Due to other national banks 2,851.00 i! Due to State banks and bankers .. 19(5.50 6, 303. 50 \ Notes and bills re-discounted 3, 000. 00 Bills payable 1,450. 00 502. 50 ! Total 153, 512. 21 153,512.21 Citizens' National Bank, Watertown. ALFRED D. LTCET, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures ()ther real estate and mortg's owned Current expenses and taxes paid... Premiums oh U. S. bonds Checks and other cash items Exchanges for clearing-house Jttlls of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3349. $90,613.78 210.14 12, 500. 00 20, 703. 40 4, 973.18 4, 101.63 5,916.13 580.91 971.42 3, 400. 00 3, 041.10 WALTKit D. MORRIS, Cashier. Capital stock paid in $50, 000. 00 Surplus fund Undivided profits 10, 000. 00 7,133. 40 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursingofncers. Due to other national banks 4, 200. 00 Due to State banks and bankers . 333.98 3, 741. 90 Notes and bills re-discounted . 7, 408. 00 Bills payable 80, 704. 67 4, 000. 00 562. 50 Total. 163,088. 07 163, 088. 07 Watertown National Bank, Watertown. W. E. SCARRITT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-housejfumiture.and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. S pecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3414. $70, 488.91 900. 87 12, 500. 00 14, 924. 27 5, 495. 24 5,315.22 E. \V. THOMAS, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $50, 000.00 21,481.35 7, 200. 00 Dividends unpaid. 2, 683. 89 Individual deposits 4, 255. 35 I United States deposits 2, 843. 75 Depositsof U.S. disbursing officers. 4, 607. 94 2, 090. 00 93. 70 1, 791. 50 ] , 309. 00 35, 291. 86 Due to other national banks Due to State banks and bankers... 1,485. 59 .4,403. 34 Notes and bills re-discounted Bills payable 10, 000. 00 562. 50 129, 862.14 Total.. 129, 862.14 1084 REPORT OF THE COMPTROLLER OF THE CURRENCY. DAKOTA, First National Bank, Yankton. J. C. MCVAY, President. Xo. 2068. W. II. afcVAY, Cashier. Kesources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,fumiture,and fixtures Other real estate and inortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . Liabilities. 056. 91 870. 30 12, 500. 00 Capital stock paid in Surplus fund ;. Undivided profits 16,431.69 National-bank notes outstanding.. 4, 892. 28 State-bank notes outstanding $50,000. 00 25, 000. 00 4, 259. 85 11, 250.00 23, 819. 86 Dividends unpaid . Individual deposits 1, 738. 93 United States deposits 3, 356. 25 Deposits of U.S. disbursing officers. 2, 262.12 Due to other national banks 2,071.00 Due to State banks and bankers .. 85.16 6, 954.50 Notes and bills re-discounted . 4, 000.00 Bills payable 10, 392. 04 12.00 91, 387. 35 4, 551. 22 6, 533. 12 562. 50 192, 993. 54 Total. 192,993.54 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1085 IDAHO. First National Bank of Idaho, Boise City. C. W . M O O R E , President. No. 1668. A. G. RED WAY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits [J. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house — ••. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S $140,124.93 2,829. 04 30, 000. 00 Capital stock paid in 20, 000. 00 9, 773. 04 89, 508. 77 National-bank notes outstanding.. State-bank notes outstanding 77, 018. 50 16, 812. 99 Dividends unpaid. 7, 000. 00 11, 860. 00 Individual deposits 1,182.50 United States deposits 1, 987. 50 Deposits of U. S. disbursing officers. 2, 298. 82 Due to other national banks 10, 545. 00 Due to State banks and bankers . . 3.56 15, 417. 00 38, 000. 00 27,000. 00 243, 843. 59 1, 912.11 43,409. 87 Notes and bills re-discounted . Bills payable 1,350. 00 445, 938. 61 Total. $100, 000. 00 Surplus fund Undivided profits Total . 445, 938.61 Boise City National Bank, Boise City. H. WADSWORTH. President. No. 3471. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. Sf bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned| Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S $50,000.00 10, 000. 00 4, 391.13 11, 250.00 304, 586.23 59,184. 81 9, 480. 72 1,509.43 5, 080. 00 44.92 39, 047. 70 21, 843. 00 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 4, 026. 09 14, 718. 78 562. 50 467, 637. 76 Total. ALFRED EOFF, Cashier. $114,118. 38 Capitalstock paid in . 16, 131. 49 12, 500. 00 Surplus fund 70, 000. 00 Undivided profits 67, 899. 01 National-bank notes outstanding.. 54, 889. 21 State-bank notes outstanding 52, 333. 95 4,7^6.67 Dividends unpaid 2, 676. 50 4, 245. 00 Individual deposits United States deposits Deposits oi'U. S. disbursing officers. Total. 467,637.76 First National Bank, Hailey. W. B. FARR, President. Loans and discounts i Overdrafts I U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . . Due from approved reserve agents. Due from other national banks . . . Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned C urrent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit . . , Redemption fund with Treas. U. S. i Due from Treasurer U. S Total. No. 3895. $112,238.33 12, 711.52 25,000. 00 J. M. BURKETT, Cashier. Capital stock paid in. Surplus fund Undivided profits. 10, 734. 82 National-bank notes outstanding.. 73, 295.70 State-bank notes outstanding 14, 768.52 10, 953. 22 Dividends unpaid. 4, 643. 00 Individual deposits United States deposits 1, 592.19 Depositsof U.S. disbursing officers. 1, 627.67 Due to other national banks 915.00 Due to State banks and bankers. 24.70 23, 815.75 Notes and bills re-discounted . 9, 515. 00 Bills payable $100, 000.00 20, 958.19 22, 500.00 159, 502. 23 1,125. 00 j 302, 960. 42 Total . 302, 960. 42 1086 REPORT OF THE COMPTROLLER OF TUE CURRENCY. IDAHO. First National Bank, Ketchum. ISAAC I. LEWIS, President. No. 3142. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, secarities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bunk'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes I). S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. H. C. LEWIS, Cashier. Liabilities. Capital stock paid in. $44,621.51 2, 335. 94 12, 500. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 2, 276. 22, 906. 85 14, 749. 59 I 907. 97 Dividends unpaid 6, 584. OL 938. 50 ; Individual deposits 1, 787. United States deposits ] 625. 00 Deposits of U. S. disbursing officers j 1, 556. 29 770. 7, 798^ 2, 958. Due to other national banks Due to State banks and bankers . . $50, 000. 00 2, 800. 00 2, 002. 34 11,250.00 56, 055. 30 1, 602. 25 168. 80 Notes and bills re-discounted . Bills payable 562. 50 123, 878. 69 Total. 123, 878.69 First National Bank, Lewiston. No. 2972. JOHN P. VOLLMEU, President. Loans and discounts Overdrafts • U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities,judgments, e t c . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-bouse Bills of other national bauks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $119, 269.28 2, 299. 69 12,800. 00 20,133. 54 6,128. 87 5, Mi. 35 1,130. 29 12, 241. 34 3, 260. 16 3, 069. 00 1,328.71 150.00 i ' 21.75 I 11,090.00 1,325.00 ! JOHN H. EVANS, Cashier. Capital stock paid in. $50,*000.00 Surplus fund Undivided profits . 25, 000. 00 38, 530. 42 National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers 11,520.00 Due to other national banks Due to State banks and bankei s .. Notes and bills re-discounted. Bills payable 60, 916.14 2, 251. 72 1,938.70 10,000.00 576. 00 Total. 200,156. 98 200,156. 98 Lewiston National Bank, Lewiston. N. W. BitEAiiLEY, President. No. 3023. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand , Stocks, securities, judgments, etc.] Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. D ue from Treasurer U. S Total. 'I $136,079.36 4,295.89 12,500.00 14, 957. 22 5,874.83 ; 5,935.91 ; 1,857.38 5,676.50 i 8,829.81 2, 021. 68 | 1,000.00 3,332.47 W. F. KKTTENBACH, Cashier. Capital stock paid in. $50,000.00 Surplus fund Undivided profits 25, 000.00 19, 791. 02 National-bank notes outstanding.. State-bank notes outstanding 11, 250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. 105, 835. 69 , Due to other national banks 805. 00 I Due to State banks and bankers . . 7,189. 50 982. 00 Notes and bills re-discounted . Bills payable 562. 50 211,900.05 Total. 211,900.05 REPORT OF THE COMPTROLLER OF TILE CURRENCY. 1087 IDAHO. First National Bank, Moscow. No. 3408. A. T. GILBERT, President. R. S. BROWNE, Cashier. Liabilities. Resources. Loans and discounts Overdrafts XJ. S. bonds to secure circulation U.S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real es' ate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $127, 841. 83 Capital stock paid in 12, 500. 00 Surplus fund 13, 00H. 00 12, 769. 67 Undivided profits 1, 436.79 National-bank notes outstanding.. 4, 387. 64 State-bank notes outstanding 14, 663.94 3,156. 24 Dividends unpaid. 10, 284. 06 11, 250. 00 28, 253. 53 2, 272. 00 Individual deposits United States deposits :. Depositsof U.S.disbursingofhoers. |. 120, 697.40 Due to other national b a n k s . . \ Due to State banks and bankers.. 1 . 080.35 2,937. 50 362. 00 1, 621. 31 Notes and bills re-discounted Bills payable 562. 50 209, 338. 38 Total. $50, 000. 00 » Total. 209,338. 38 First National Bank, Pocatello. J A M E S H. BIBLE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and raxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie 1 Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total . No. 4023. $37,282.90 17. 82 12, 500. 00 7,152.23 2, 864. 80 13, 707. 37 1, 340. 02 3, 640. 63 1, 385. 25 GEORGE W. HAZEN, Cashier. Capital stock paid in -j Surplus fund . Surplus fund Undivided profits. National-bank notes outstanding.. 1 State-bank notes outstanding..'... $40,000.00 2, 373. 97 10, 550. 00 Dividends unpaid Individual deposits United States deposits Depo3itsofU.S.disbursing officers. Due to other national banks 15, 035. 00 Duo to State banks and bankers. 3.75 3, 591. 00 Notes and bills re-discounted . 206. 00 Bills payable 46, 667. 95 1, 286. 35 562.00 100, 878. 27 :. Total . 100, 878. 27 1088 REPORT OF THE COMPTROLLER OF THE CURRENCY. MONTANA. First National Bank, Anaconda. No. 3965. WILLIAM L. HOGK, President. WILLIAM M. THORNTON, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Dne from approved reserve agents . Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andflxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer TJ. S Total. $163, 716.55 19, 957. 54 25, 000.00 Capital stock paid in $100,000.00 Surplus fund Undivided profits 14, 040. 90 22, 710. 96 National-bank notes outstanding.. 59,133.54 State-bank notes outstanding 12, 864. 70 53, 932. 52 Dividends unpaid. 22, 500.00 Individual deposits 4, 394. 86 United States deposits 6, 343. 75 Deposits of U. S. disb ursing officers. 273, 023. 52 Due to other national banks Due to State banks and bankers . . 794.84 3.835. 00 9.34 33, 085.50 4,250. 00 Notes and bills re-discounted. Bills payable 1,125.00 410,359.26 410, 359.26 Total. First National Bank, Billings. W. R. STEBJBINS, President. H. H. MUND, Cashier. No. 3097. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents . Due from other national banks Due from State banks and bankers . Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premium* on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national ban ks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U.S. Due from Treasurer U. S Total. $244, 952. 86 14,788.13 22, 500. 00 Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding. State-bank notes outstanding 36,595. 09 42, 553. 02 5, 897. 55 1, 743.11 Dividends unpaid. 20,628. 89 12, 875. 96 Individual deposits 159. 35 United States deposits 1,450. 00 Deposits of U.S. disbursing officers. 1,767.66 Due to other national banks 445.00 Due to State banks and bankers.. 7, 313.50 Notes and bills re-discounted 9, 000.00 Billspayable $90, 000.00 20, 000. 00 7, 517. 30 20, 250. 00 600. 00 250, 964. 78 17, 735. 34 615. 20 16, 000. 00 I, 012.50 423, 682. 62 Total. 423, 682.62 Bozeman National Bank, Bozeman. EMORY COBB, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house . . . Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total PETER KOCH, Cashier. No. 2803. • $117,860.61 Capital stock paid in. $50, 000. 00 3, 225.16 12,500.00 Surplus fund 10, 000. 00 13, 988.68 Undivided profits 16, 677.27 National-bank notes outstanding.. 11, 250. 00 26,461. 25 State-bank notes outstanding..... 21,433.20 Dividends unpaid. 1, 500.00 2, 000. 00 Individual deposits 135, 370. 54 1,263.49 United States deposits Deposits ot U. S. disbursin g ofiicers 461. 39 Due to other national banks 1, 561.00 Due to State banks and bankers. 44.05 6, 059.30 Notes and bills re-discounted. 9, 000. 00 Bills payable 562,50 220,609.22 ! Total 220, 609. 22 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 0 8 9 MONTANA. Gallatin Valley National Bank, Bozeman. J. E. MARTIN, Cashier. No. 3075. NELSON STORY, President. Resources. | Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U". S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and.fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes ... U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer D". S Liabilities. Surplus fund ' ! Undivided profits National-bank notes outstanding.. State-bank notes outstanding 20, 000. 00 54,770.51 22, 500. 00 |! Dividends unpaid I! Individual deposits j;! United States deposits Deposits of U.S. disbursing officers Due to other national banks 2,740,00 . Due to State banks and bankers .. 32.00 '28, 644.15 Notes and bills re-discounted 13,100. 00 Bills payable 423, 1U. 06 387. 88 3, i01.13 1,125.00 623,998.58 ! Total . $100, 000. 00 ii Capital stock paid in Total . 623, 998. 58 First National Bank, Butte City. ANDREW J. DAVIS, President. No. 2566. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand .* Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house,furniture: and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due frorn Treasurer TJ. S — Total- ANDREW J. DAVIS, JR., Cashier. , 311, 486. 34 j Capital stock paid in. $100, 000. 00 20, 045. 00 25, 000. 00 Surplus fund 549,696.87 "io'iio. oo Undivided profits 33, 575. 00 National-bank notes outstanding..! 181, 6G0. 07 ; 176, 845. 72 State-bank notes outstanding 161,140. 84 j 17,128.17 Dividends unpaid 2, 162. 07 I 1, 487, 7-'»0. 57 2, 946. 56 Individual deposits United States deposits Deposits of U.S. disbursing officers, jj 7, 320. 64 Due to other national banks 13, 600. 00 Due to State banks and bankers 2, 800. 77 349. 08 156, 180. 00 Notes and bills re-discounted . 35, 000. 00 Bills payable 2,147, 568. 85 Total 2,117,568.85 First National Bank, Dillon. Loans and discounts Overdrafts U. S. bonds to secure circulation — U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer TJ. S Total . H. Ex. 3 B. P. WHITE, Cashier. No. 3120. HOWARD SEBREE, President. $207,947.83 21,698.09 12, 500. 00 20,948.75 !! ! 81,829.25 125, 483. 50 3, 425. 20 2, 000.00 11,376.82 3, 807.57 """i," 908.90 8, 647. 00 7.30 12, 358. 50 9, 000. 00 $50, 000. 00 Surplus fund Undivided profits. 50, 000. 00 17, 587. 66 National-bank rotes outstanding.. State-bank notes outstanding 11,250.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers - 370, 734. 45 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable T 562.50 i 523,501.81 i 69 Capital stock paid in. Total . 523, 501. 81 1090 REPORT OF THE COMPTROLLER OP THE CURRENCY. MONTANA. Dillon National Bank, Dillon. GEORGE M. BKOWX, President. No. 3173. J. B. CROW, Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-bouse,furnituT6,and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of othor national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Trcas. U. S . Due from Treasurer U. S Total. Liabilities. $102, 227 74 li Capital stock paid in. 7,724.49 ' 12,500.00 j! Surplus fund . j i Undivided profits . 2, 620. 08 j! 3, 498. 77 6, 833. 60 843. 52 7, 058.05 7,064.79 1, 462. 98 700.00 $50, 000. 00 18, 000. 00 8, 322. 01 National-bank notes outstanding. State-bank notes outstanding 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursingonlcers 78,171.17 ! Due to other national banks 100. 00 Due to State banks and bankers . 26. 95 14, 070. 70 : Notes and bills re-discounted . . 1, 980.00 i Bills payable 3,531.59 562. 50 169,274.77 Total. 169, 274.77 First National Bank, Fort Benton. Jos. A. BAKE it, Cashier. No. 2476. $212, 342. 90 Capital stock paid in. Loans and discounts i $100,000.00 608. 77 Overdrafts 25, 000. 00 Surplus fund : 75, 000.00 U. S. bonds to secure circulation ... , i Undivided profits U. S. bonds to secure deposits 8, 836. 26 U. S. bonds on hand 27,634.43 j National-bank notes outstanding.. j Stocks, securities, judgments, etc.. 22, 500. 00 Due from approved reserve agents. 105,139. 95 , State-bank notes outstanding . . . . ; Duti from other national banks... . 18,029.50 j Due from State banks and baukers. i 1, 3-JO. 04 Dividends unpaid Bank'g-house,furniture, and fixtures 10,000.00 Other real estate and mortg's owned Individual deposits 207, 838.43 Current expenses and taxes paid... 1, 557. 71 United States deposits Deposits of U.S.disbursing officers. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Due to other national banks 1,470.00 Bills of other national banks 1, 305. 49 Fractional currency,nickels, cents. 14. 05 Due to State banks and bankers.. 8, 433. 85 Notes and bills re-discounted. Specie 1, 700. 00 Bills payable Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. 1,125. 00 Due from TreasurerU. S 415,480.18 ; 415, 480.18 Total. Total . W. G. CONRAD, President. First National Bank, Great Falls. T. E. COLLINS, President. Loans and discounts Overdrafts IT. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-hoD se, furniture.and fixtures Other real estate and mortg'8owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-house Hills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dae from Treasurer U. S Total. A. E. DICKBBMAN, Cashier. No. 3525. $305,188. 74 18,468.00 25, 000. 00 62,427.60 70, 439.15 4, 209. 90 11, 500.00 "2*689*92" 6, 985.60 1,129. 75 13, 349. 00 15.84 8, 355. 00 5, 000.00 Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 17,000.00 23, 649. 86 National-bank notes outstanding.. State-bauk notes outstanding 22, 500. 00 Dividends unpaid Individual deposits . United States deposits Depositsof U.S.disbursing officers. 372,601.73 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 131.91 1,125. 00 5 J5r 883. 50 Total . 535, 883. 50 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1091 MONTANA. First National Bank, Helena. S. T. QAUSEU, President. No. 1649. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, e t c . Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-houso, furniture, and fixtures Other real estate and inorfcg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie , Legal-tender notes U.sJ. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. E. W. KNIGHT, Cashier. Liabilities. 3, 585, 097. 43 29,2(52.18 50, 000. 00 100, 000. 00 316, 358.15 239, 519.15 84, 866. 30 62, 336.45 106, 016.27 18,589.71 12, 927. 36 10, 000. 00 13, 632. 41 18, 739.00 292.03 231, 774. 85 160, 000.00 Capital stock paid i n . 100, 000.00 477, 928.80 National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable Loans and discounts Overdrafts U. S. bonds to secure Circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents Due from other national banks. Due from State banks and bankers Bank'g-house, furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. 45, 000. 00 3,180, 759.84 " " 89,"668.'76 457,125. 89 19u,0ii3.St 2, 250. 00 4, 920.84 Total. 5, 046, 582.13 5, 046, 582.13 Second National Bank, Helena. No. 2757. E. D. EDGERTON, President. $300, U00. 00 Surplus fund Undivided profits . GEORGE B. CHILD, Cashier. $75, 000. 00 $211,129. 38 Capital stock paid in 11,45-'. 50 ' 20, 000. 00. ; S ii rplus fund Undivided profits 10,000. Ol) 13, 42 L 41 3,549.58 |j National-bank notes outstanding. . " " • • -• | State-bank notes outstanding . 18, 000. 00 26,131.97 4, 0 VI. 01 3,703. 34 4, 838. 92 1, 386. 90 2, 589. 74 1, 200.00 25. 00 17.45 21,492. 50 8, 895. 00 Dividends unpaid . Individual deposits I United States deposits '. DepositsofU.S. disbursing officers. | 194, 471. 34 Due to other national banks Due to State banks and bankers . . 3, 933. 45 Notes and bills re-discounted Bills payable 6, 517.15 900. 00 321, 343.35 321, 343. 35 Total. Merchants' National Bank. Helena. L, H. HERSHFIELD, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2732. ;1,128,413.65 26, 937.37 55, 600.00 56, 890.15 339,103. 36 73,144. 97 126, 428. 68 11, 730.04 5, 477. 77 6, 625.82 2,381.21 14, 865. 56 55, 000. 00 625. 27 63, 000.00 55, 400. 00 A A R O N KERSHFIELD, Cashier. $350, 000.00 Capital stock paid in — 50, 000. 00 37, 229.31 National-bank notes outstanding.. State-bank notes outstanding 50, 040. 00 Surplus fund Undivided profits Dividends unpaid. Individual deposits United States deposit s DepositsofU.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 650.00 1,198, 853. 03 142,087. 30 195.266.21 2, 502.00 2, 024,125. 85 Total. 2,024,125.85 1092 REPORT OF THE COMPTROLLER OF THE CURRENCY. MONTANA. Montana National Bank, Helena. C. A. BROADWATER, President. No. 2813. L. G-. PHELPS, Acting Cashier, Resources. Loans and discounts Overdrafts j U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items... Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cent3 Specie '. Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. Liabilities. ,459; 995. Gl Capital stock paid in. 14, 397. £2 | 50,000.00 i Surplus fund 100, 000. 00 J| Undivided profits 1.5, 056. 47 i National-bank notes outstanding.. 101,308.28 ' State-bank notes outstanding. . 1 . . 11,512.21 44,344.28 Dividends unpaid 72,700.00 i Individual deposits "*7,G8 : v26" United States deposits 7,500.00 , Deposits of U.S.disbursingofficers. 10,781.08 Due to other national banks 19,800.00 • Due to State banks and bankers. . 297.10 79,568.25 j Notes and bills re-discounted. 70,000.00 Bills payable $300, 000. 00 75, 000. 00 30, 344. 59 45, 000.00 1, 007, 596.44 59, 712.14 36,551.95 174,252.73 37, 738. 51 2, 250.00 2,065,196.36 I Total. 2, 065,196. 3ft Livingston National Bank, Livingston. C. A. BROADWATEK, President. Loans and discounts j Overdrafts I U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of otlwsr national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. N o . 4117. GEO. L. CAREY, CasMer. $5, 025.85 Capital stock paid in 12,500. 66 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 2, 809. 57 11,781.02 5, 306. 30 893. 05 398.93 734. 38 109. 60 585.00 2.56 2, 420.40 1,980.00 44, 696.66 $30, 000. 00 78." 6a Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 14, 557.66- Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . . Bills payable Total. 44, 696. 66 National Park Bank, Livingston. W. M. WRIGHT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U.S.bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other.national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Dne from Treasurer U. S Total. C. H. STEBBINS, Cashier. No. 3605. $232,515.43 Capital stock paid in $50, 000.005, 019, 08 12, 500.00 Surplus fund 15, 000. 00 1, 846. 78 Undivided profits 25,314.34 National-bank notes outstanding.. 11, 240. 00 14,832.50 State-bank notes outstanding 18,129.50 6,216.78 Dividends unpaid 17,114. 50 600. 00 Individual deposits 270,114.17 845.'. 0 United State3 deposits 125.04 Deposits of U. S. disbursing officers 174. 80 Due to other national banks 7, 284. 01 974. 00 Due to State banks and bankers .. 19.4615. 80 1, 564. 25 Notes and bills re-discounted . 19,000.00 Bills payable 562. 50 I 355, 504.42 Total . 355, 504.42 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1093 MONTANA. First National Bank, Miles City. No. 2752. W. B. JORDAN, President. E. B. WEIRICK, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits . U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Duo from State banks and bankers Bauk'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house j Bills of other national banks I Fractional currency, nickels, cents, j •Specie | Legal-tender notes . j U. S. certificates of deposit J Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S | Total. $241,619.71 j Capital stock paid in 7,058.32 12,500.00 Surplus fund 240. 00 11,801.30 7,081.39 I 1,310.03 : • 19,508.16 ! 6,099.17 | 1,641.41 i 2, 814. 52 1,427. 65 " "760." 66" 52.39 10,145.00 9, 956. 00 $50, 000.00 Undivided profits National-bank notes outstanding.. State-bank notes outstanding 25, 0C0. 00 35, 853. 64 11, 250. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. 197, 781. 04 Due to other national banks Due to State banks and bankers .. 216.47 Notes and bills re-discounted Bills payable 14, 540. 00 562.50 334, 641.15 334, 641.15 Total. Stock Growers' National Bank, Miles City. W. 11. STEBBINS, President. No. 3275. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand ! Stocks, securities,judgments, etc ..| Due from approved reserve agents, i Due from other national banks ! Due from State banks and bankers. I Bank'g-house, furniture, and fixtures' Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . j Duo from Treasurer TJ. S Total . II. F . BATCHELOR, Cashier. $144,558.53 || Capital stock paid in. 5,176.36 I 25,000.00 !! Surplus fund Undivided profits. 773.20 i National-bank notes outstanding.. 8, 428. GS ! State-bank notes outstanding ..... 3,338.75 : 10.92 j 25,893.09 j $75, 000. 00 8, 892. 52 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 123,102. 56 Due to other national banks """"817." 66" Due to State banks and bankers . 38.00 9,211.60 Notes and bills re-discounted 5, 722. 0J Bills payable 1,424.42 1,053.05 ""l"562*38" 2, 000. 00 3, 158. 04 4, 776. 00 1,125. 00 : 236,758.55 i Total. 236. 758. 55 First National Bank, Missoula. MARCUS DALY, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from o\her national banks Due from State banks and bankers j Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid...! Premiums on U. S. bonds Checks and other cash items j Exchanges for clearing-house | Bills of other national banks ! Fractional currenc}', nickels, cents. Specie .". Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. No. 2106. $398,576.46 Ccapital stock paid in. 14,926. :J» 37, 500. 00 Surplus fund Undivided profits 27,531.12 25,614.88 37,354.20 4,140.60 21,900.00 J O H N M. K E I T H , Cashier. !! National-bank notes outstanding j State-bank notes outstanding . . . j! I Dividends unpaid I 2. 220. 56 2,034.38 782. 75 Individual deposits Unit (3d States deposits Deposits ot'U.S.disbursingothcers. $100, 000. 00 50, 000.00 107, 075. 95 14, 500.00 349, 823. 59 Duo to other national banks 7,555.00 !i Duo to State banks and bankers .. 62.70 24,632.50 I Notes and bills re-diicounted . 14,000.00 ; Bills payable 1, 350. 00 1,198.00 j 621, 399. 54 Total. 621, 399.54 1094 REPORT OF THE COMPTROLLER OF THE CURRENCY. M O N T AN A. "Western Montana National Bank, Missoula. FEED. KENNETT, President. No. 3995. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation.. TJ. S. bonds to secure deposits U. S, bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S $56, 335.42 7, 41o. G O 20, 000. 00 12, 077.97 7, 984. Gl 8,170. 95 1,423.71 19, 874.43 1,900.11 5, 787. 50 640. 59 971. 00 5, 808.95 3, 500. 00 Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. $75, 000. 00 1, 371. 95 18, 000.00 58,418.89 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 900.00 J 52, 790.84 Total. a. A. WOLF, Cashier. Liabilities. Capital stock paid in. Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Total . 152, 790. 84 First National Bank, White Sulphur Springs. JOHN POTTER, President. Loans and discounts, Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3375. $259, 074. 66 Capital stock paid in 4, 392.36 25, 000. 00 Surplus fund Undivided profits 17,400. 05 7,471.11 22, 291.74 " i"807.41 JAS. T. WOOD, Cashier. National-bank notes outstanding. State-bank notes outstanding $100, 000. 00 12, 000. 00 25,070. 51 22, 500. 00 Dividends unpaid Individual deposits "i," 565.28 i United States deposits 1, 812. 50 i Deposits of U.S. disbursing officers. 267.40 Due to other national b a n k s . . . . . . 1,157.00 I Due to State banks and bankers . . 3.53 18, 580.40 Notes and bills re-discounted . 1, 000. 00 Bills payable 199, 361. 2,795.25 1, 221. 35 1,-125. 00 ; 362, 948. 44 Total. 362, 948. 44 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1095 NEW MEXICO. First National Bank, Albuquerque. J. S. HAYNOLDS, President. No. 2614. M. \V. FLOUUNOY. Cashier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Duo from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-liouse, furniture, andflxtures Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S.. Due from Treasurer TJ. S Liabilities $329, 505. 71 19,450. 99 50, 000. 00 150, 000.00 3, 06 k 98 62, 694. (53 68,175. 01 25, 558. L6 35, 000. 00 15, 000.00 5, 243.42 5, 750. 00 178. 05 3, 418. 00 40.40 51,195.00 5, 298. 00 Capital stock paid in 17, 309. 00 12, 343. 89 45, 000. 00 Dividends unpaid. Individual depositsUnited States deposits Deposits of IT. S. disbursing officers. Due to other national banks Due to State banks and bankers.. Notes and bills ro-discountod. Bills payable 484,066. 35 76, 853. 43 70, 356. 62 G75. 22 25, 027. 50 2, 250.00 Total 831,823.01 Total. $100, 000. 00 Surplus fund Undivided profits National-bank notes outstanding-. State-bank notes outstanding 831,«23.01 Albuquerque National Bank, Albuquerque. JOHN A. LEE, President. No. 3222. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on band Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from other national banks Due from State banks and bankers Bank'g-houso,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of ot her national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Eedemption fund with Treas. U. S Due from Treasurer U. S Total . \V\ S. STKICKLKH, Cashier. 50, 742. C6 I Capital stock paid i n . 7,259.24 50, 000. 0 J j, Surplus fund Undivided proiits 843. 30 50, 770.55 10,472. 87 15,480.30 3. 500.00 2, 550. C O 4, 244.14 14, 750. 00 1, 665. 32 3, 914. 00 59.15 30,125. 75 28, 500. 00 0, 009. 21 National-bank notes o u t s t a n d i n g State-bank notes o u t s t a n d i n g Dividends unpaid 45, 00.3. 00 i I n d i v i d u a l deposits United States deposits Deposits of U.S.disbursing offic 322, 2C0. 5.5 Due i o other national b a n k s I Due to State b a n k s and b a n t e r s . - i Notes and bills re-discounted Bills payable 404. 6(J 10, 402. 20 < .. 2, 250. 00 587, 620. 08 ! Total. 5B7, 026. 08 First National Bank, Deming. CHARLES IT. DAXE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andlixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer TJ. S Total. No. 3160. $138,747. 76 3, 750. 64. 25, 000. 00 2, 870.17 3, 201. 91 16, 936. 04 118.50 9, 432. 03 10, 050. 00 1, 027.19 4, 593. 75 948. 74 500. 00 118.15 1, 630.00 1, 935. 00 F. II. SIKBOLD, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable $100, 000. 00 10, 000. 00 1, 806. 6'J 22, 500.00 300. 00 82, 209. 73 5,169.04 1,125.00 221, 985. 48 Total 221,985.48 1096 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW MEXICO. First National Bank, Las Vegas. JEFFERSON RAYXOLDS, President No. 2436. JOSHUA S. BAYNOLDS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Dae from other national banks Due from State banks and bankers. Bank'g-house,furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specio Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $100, 000. 00 $344, 618.93 ; Capital stock paid in. 7, 200. C8 25, 000. 00 Surplus fund Undivided profits 12, 313. G3 National-bank notes outstanding.. 45, 702. 08 State-bank notes outstanding 135,719.51 18, 286. 71 , Dividends unpaid. 35, 707.47 1,228.71 Individual deposits 3,402.89 United States deposits 7, 295. 90 j Deposits of U. S. disbursing officers 4,014.03 1, 334. 43 Due to other national banks 11, 508. 31 Due to State banks and bankers .. 497.16 23, 339. 25 • I Notes and bills re-discounted . C, 500. 00 1 Bills payable 1 50, 000.00 12,037.47 22, 500. 00 330, 550. 85 169, 807.89 24.48 1, 125.00 Total. 684, 920. G9 684,920. 69 San Miguel National Bank, Las Vegas. W. M. EADS, President. D. T. HOSKINS, Cashier. No. 2454. Loans and discounts O ? erdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, oecurities, judgments, etc -Due from approved reserve agents Duo from other national banks Due from State banks and bankers. Ijank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie ' Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $305,312.02 4,662.78 25, 000. 00 2, 448. 72 19, 995.18 40,179. 21 4. 279. 74 3, 725. 82 2, 500. 00 1,941.52 2. 225. 31 3,000.00 100. 20 13, 723. 70 8, 540.00 Capital stock paid in. ~ $100,000.00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 50, 000. 00 8, 477. 57 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 250, 380. 50 Due to other national banks Due to State banks and bankers . . Notes and bills re-discounted . Bills payable 7, 400. 63 1,124. 50 438 758. 70 Total. 438, 758. 70 First National Bank, Santa Fe. AY. W. GitiFFix, President. Loans and discounts O verdrafts U. S. bonds to secure circulation U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from oth jr national banks Due from State banks and bankers . Bank'g-housc, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currenc}', nickels, centsSpecie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas . U S Due from Treasurer U. S Total . No. 1750. R. J. PALEN, Cashier. $258,406.4.") Capital stock paid in 15, 744. 81 : 40, 00,). U0 Surplus fund Undivided profits j $150, 000. 00 i j 42, 300. 00 4, 963. 37 4, 963. 37 27, 240. 32 ] National-bank notes outstanding.. 48,171.."9 ' State-bank notes outstanding jtstanding 81,910.18 ' 1. 650.47 Dividends unpaid. 33,724. 19 • J. 609. 57 ' Individual deposits j United States deposits 11,500.00 Deposits of U.S.disbursing officers. 228. 90 ; Duo to other national banks ' Duo to State banks and bankers . . 8.75 11, 044. G O Notes and bills re-discounted. 15,244.00 Bills payable 36, 000. 00 308,701.89 6, 092.86 1, 385. 51 1, 800.00 1,10). 00 ~549, 443. 63 Total 549,443.63 REPORT OF THE COMPTROLLER OF THE CURRENCY. NEW 1097 MEXICO, Second National Bank of New Mexico, Santa Fe. LEHMAX SPIEGELBERG, President. No. 2024. W. G-. SIMMONS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Dae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-liouse,furniture,and fixtures! Other'i'cal estate andmortg's owned Current expenses and taxes p a i d . . . Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks 1 Fractional currency, nickels, cents .! Specie ". I Legal-tender notes U. S. certificates of deposit | Redemption fund with Treas. U. S.j Due from Treasurer U. S ...! Total. $157,313.52 108, 02 37, 500. 00 Capital stock paid in \ $150, 000.00 18, 500. 00 7, 528. 32 Surplus fund Undivided profits. 5, 896. 83 National-bank notes outstanding.. 19,490. 66 i State-bank notes outstanding 11,116.89 16, 088.19 Dividends unpaid 3, 00;). 00 14,450.00 ; Individual deposits United States deposits 2,400.00 Deposits of U.S. disbursing officers. 33, 750. 00 73, £ I Dae to other national banks 2, 606.93 5, 808.00 j Due to State banks and bankers .. 2>). 18 12,057.15 ! Notes and bills re-discounted 4, 250. 00 i Bills payable 1, 087. 50 291,193.24 ;i 291,193. 24 Total . First National Bank, Silver City. CHARLES H. DANE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U, S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks j Due from State banks and bankers ! Bauk'g-house,furniture,and fixtures, Other real estate and mortg's owned C urrent expenses and taxes paid .. Premiums on U. S bonds C hecks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3554. S. T. HARKEY, Cashier. $79, 340. 88 ! Capital stock paid i n . 2, 849.91 12, 500. 00 Surplus fund Undivided profits 8, 785. 38 I National-bank notes outstanding.. 10, 392. 32 State-bank notes outstanding 4, 284. 49 Dividends unpaid 1,522.! Individual deposits 1, 879. 87 United States deposits 800. 00 Deposits of U. S. disbursing officers. 361.45 Due to other national banks 535.00 Due to State banks and bankers . 83.95 7, 795. 50 Notes and bills re-discounted . 1,165.00 Bills payable $.30, 000. 00 2. 000. 00 2, 628.12 11.250.00 6Q, 984.11 562. 50 132, 862. 23 Total ! 132, 8G2. 23 Silver City National Bank, Silver City. J O H N BROCKMAN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Dae from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture, and fixtures Other real estate and raortg's owned' Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 353P. $59, 746. 60 5, 485.94 12, 500.00 5,124. 44 2, 239. 79 4,718.48 10,071.25 593. 79 £,656. 13 859. 33 841. 01 . 190.00 19.90 15, 789.10 3,188. 00 J. W M . C A R T E R , Cashier. Capital stock paid in | Surplus fund Undivided profits 4, 500. 00 2,006.31 National-bank notes outstanding-. State-bank notes outstanding Dividends unpaid $50, 000. 00 11, 250. 00 « . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted Bills payable 41,529.97 14,300.00 62. 50 123,586.31 ! Total . 123, 586.31 1098 REPORT OP THE COMPTROLLER OF THE CURRENCY. UTAH. First National Bank, Nephi. GEORGE C. TVHITMORE, President. Resources. Loans and discounts Overdrafts...'. U. S. bonds to secure circulation... IT. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estato and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. ALMA HAGUE, Cashier. No. 3537. Liabilities. $158, 076. 33 Capital stock paid in 3,990.85 : 12, 500. 00 I Surplus fund !' Undivided profits $30, COO. 00 20, 000. 00 3, 842. 81 100.00 i j National-bank notes outstanding.. State-bank notes outstanding ::::ii 850. 1,000. 01 ji Dividends unpaid. ! Individual deposits 254. ; United States deposits 2,150. • Deposits of U. S. disbursing officers 7,182. ! Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 1,730. 6. 30,711. 4,450. 11, 250. 00 5. 00 108, 883.72 29, 476. 76 106.07 562.50 223, 564. 36 223, 564. 36 Total. First National Bank, Ogden. No. 2597. D. H. PEERT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks* Dueirom State banks and bankers. Bankg-liouHe,furnitiire,andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total JAMES PINGREE, Cashier. $507, 383.15 Capital stock paid in. 6 300.87 i 37, 500.00 | Surplus fund $150,000.00 Undivided profits. 25, 000. 00 National-bank notes outstanding.. 124. 833.02 State-bank notes outstanding. 54,831.19 2, 344. 28 21,200.93 2, 683. 26 3, 812. 50 3, 497. 80 6, 665. 00 94. 28 42, 276. 50 1, 919.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S.disbursing otlicers. Due to other national banks Due to State banks and bankers .. 50, 000. 00 49, 777. 01 33, 750. 00 543, 722. 59 7, 041. 80 7, 737. 88 Notes and bills re-discounted . Bills payable 1, 687. 50 842, 029. 28 Total. 842, 029.28 Commercial National Bank, Ogden. J. C. ARMSTRONG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house. Bills of other national banks.. Fractional currency, nickels, cents Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3139. $333, 322.04 34,479. 64 50, 000. 00 O. E. HILL, Cashier. Capital stock paid in . $150, 000. 00 Surplus fund Undivided profits . 45, 000. 00 12, 888. 92 11,150.00 50, 912. 59 20, 636. 46 43,018.12 National-bank notes outstanding. State-bank notes outstanding . . . . 45, 000. 00 "I] 699." 85' 2, 317. 46 Individual deposits United States deposits Deposits of U.S. disbursing officers. 328, 428. 67 Due to other national banks Due to State banks and bankers .. 5,921.21 1, 758.42 2, 503. 36 315.00 75. 35 22, 521.35 11, 046.00 Dividends unpaid . 250. 00 Notes and bills re-discounted. Bills payable 2, 250.00 589, 247.22 Total. 589, 247.22 REPORT OF THE COMPTROLLER OF THE CURRENCY. UTAH. Utah National Bank, Ogden. J. E. DOOLY, President. No. 2880. L, B. ADAMS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U.S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S $323, 135. 8G 12, 650. 99 25, 000.00 75, 000. 00 19,115.07 55,938.91 17/432.99 19, 853. 75 30, 000.00 Capital stock paid in. Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 50, 000. 00 49, 771. 33 22,500,00 Dividends unpaid Individual deposits 2, 960. 28 United States deposits 10,450. 00 Dep osits of U. S. disbursing officers. 1,1(50.40 Due to other national banks 685. 00 Due to State banks and bankers .. 54, 983.85 Notes and bills re-discounted. Bills payable 330,913.41 07. C^9. 04 7, 2L0.31 9, 333. 70 0, 004. 91 1,125. 00 Total 649,492.70 Total. $100, 000. 00 649,492. 70 First National Bank of Provo, Provo City. A. O. SMOOT, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-honse, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S No. 2041. $122,624.23 6, 454.58 12, 500.00 36, 812. 92 7, 807. 03 15, 629. 50 2, 028. 30 2, 000. 00 595.45 305, 00 135.40 10, 058. 20 11,193. 00 Surplus fund Undivided profits . National-bank notes outstanding.. State-bank notes outstanding $50, 00u. 00 9, 500. 00 5, 517.66 11, 250. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursingofficers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 146, 015. 76 12,422.69 562. 50 Total. 234,706.31 Total. W. H. DUSENBERRY, Cashier. Capital stock paid in. 234, 706.11 Commercial National Bank, Salt Lake City. H. Gr. BALCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. s. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 4051. $190, 485. 94 402.11 50, 000. 00 27, 278.15 66, 566.16 36,458. 36 736. 08 3, 903.00 14, 250. 00 684. 85 8,100.00 15:85 23, 489. 00 12, 000. 00 J N O . W. DONNELLAN, Cashier, Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $200, 000. 00 5, 356.50 45, 000. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 181, 437.18 Due to other national banks Duo to State banks and bankers .. 4, 946. 42 Notes and bills re-discounted. Bills payable 2,250. 00 436, 740.10 Total. 436, 740.10 1100 REPORT OF THE COMPTROLLER OF THE CURRENCY. UTAH. Deseret National Bank, Salt Lake City. No. 2059. JOHN SHAEP, President Resources. Loans and discounts O verdrafts U. S. bonds to secure circulation-.. IT. S. bonds to secure deposits U. S. bonds on baud Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-bouse, furniture, andtixtures Other real estate and tnortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house .. Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. L. S. HILLS, Cashier. Liabilities. $1,034,039.22 20, 777. 34 50, 000. 00 19 {,000.00 361,951.87 152, 510. 73 69,203.28 96, 092. 42 "l2,"383.'78 36, 099.22 16,274.00 40.00 216, 813. G8 9,150. 00 Capital stock paid in j $2oOt 000.00 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 250, 000. 00 109, 895. 63 Dividends unpaid Ind ivicinal deposits United States deposits Deposits of U.S.disbursing officers. 258. 00 1, 401, 279. 68 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted. Bills payable 47, 917.65 154, 234. 58 2, 250. 00 2, 273, 585. 54 Total. 2,273, 583. 54 Union National Bank, Salt Lake City. J O S E P H R. WALKER, President. Loans and discounts i Overdrafts I U. S. bonds to secure circulation...! TJ. S. bonds to secure deposits . . . . U. S. bonds on hand ; Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks j Due from State banks and bankers. j Bank'g-hquso,furniture,and fixtures' Other real estate and mortg's owned; Current expenses and taxes paid... j Premiums on U. S. bonds I Checks and other cash items j Exchanges for clearing-houso Bills of other national banks Fractional currency, nickels, cents.! Specie ' Legal-tender notes U. S. certificates of deposi t Redemption fund with Treas. U. S . Due from Treasurer U. S Total No. 330G. $537, 770.73 i 34, 634.10 I 50,000.00 | 100,0 JO. 00 j 26,900.00 | 176, 209.75 2 L2,691.59 40, 517.2(5 16, 653. 31) 26, 755. 79 5,004.28 43, 5(55. 50 8, 035.28 11,735.00 504. 20 162, 945.10 8,420.00 M. J.CHEEBM^N, Cashier. Capital stock paid in. $400, 000.00 Surplus fuud Undivided profits... 26,438. 42 National-bank notes outstanding State-bank notes outstanding... 45, 000. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers. 874, 661. 91 16, 740.61 81, 342. 78 ! Due to other national banks ! Due to State banks and bankers ..! 13,127.16 7,311.09 Notes and bills re-discounted. Bills payable 2,250.00 1,461,621.97 Total 1,464.621.97 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1101 WASHINGTON. First National Bank, Colfax. No. 3076. LEVI ANKENY, President. CHARLES F. ADAMS, Cashier. Liabilities. Resources. Loans and discounts Overdrafts X S. bonds to secure circulation .. L U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Duo from 01 her national banks -.. Due from State banks and bankers. Bank'g- house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total $349,137.05 6, 354. 85 25, 000. 00 17, (FJ5. 03 12, 090. 60 2, 217.62 "14,647.66 " "I,"716.67" 6,136.71 447.15 2, 565.00 200. 15 35, 958. 00 4, 500. 00 Capital stock paid in $100, GOD. 00 100, 000. 00 4, 920. 67 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 188, 528.30 49, 703. 54 14, 428. 98 1,125. 00 320. 00 480, 081. 49 480.081.49 Total. Second National Bank, Colfax. No. 3119. F. M. WADE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks .. Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses aud ta*es paid.. Premiums on U. S. bonds Checks and. other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. $237, 006.62 tf,003. 31 15, 000. 00 127.19 12, 057. 08 231.88 574. 28 8, 271. 50 2, 300. 90 1,189.18 1,778.13 781. 21 50.00 9.40 22, 920. 00 1, GOO. 00 ALFRED COOLIDGE, Cashier. Capital stock paid i n . . $60, 000.00 Surplus fund Undivided profits. 60, 000. 00 8, 287. 80 National-bank notes outstanding.. State-bank notes outstanding 13, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 118,712.35 14, 380. 95 35, 094. 58 675. 00 309, 975.68 Total. Big Bend National Bank, Davenport. N. FBED. ESSIG, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from otber national banks . . . Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 4002. $67,646.79 4, 336. 85 12, 500. 00 2, 786. 03 5, 918. 36 40. 3d 1,240.08 3,601.56 13, 663.55 12,116.00 86.98 3, 810. 00 CIIARLES C. MAY, Cashier. Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding $50,000.00 1,990.97 11,250.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers 65, 056. 25 Due to other national banks Due to State banks and bankers . Notes and bills re-discounted . Bills payable 11.36 562. 00 128, 308.58 Total.. 128,308.58 1102 REPORT OF THE COMPTROLLER OF THE CURRENCY. WASHINGTON. Columbia National Bank, Dayton. No. 2772. LEVI &NKENY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andiixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. D. C. GUERNSEY, Cashier. I! Resources. Liabilities. $287, 699. 00 j Capital stock paid in. 7,277.48 15, 000.00 Surplus fund 14, 786. 08 152.09 709.91 7,392.31 3,000. 00 9, 309. 26 1,266.90 3, 000.00 771.50 2, 234. 00 5.91 14,155. 00 1, 000.00 Undivided profits . National-bank notes outstanding. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable $60, 000.00 50, 000. 00 1, 109. 72 13, 500. 00 201,120.73 35, 907. 54 6, 796.45 675.00 368, 434.44 Total . 368,434.44 Ellensburgh National Bank, Ellensburgh. VAN B. DE LASHMUTT, President Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks — Due from State banks and bankers Bank'g-house,fumiture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3867. RALPH KAUFFM^N, Cashier. $102, 739. 41 Capital stock paid in $50, 000.00 5, 408. 97 12, 500.00 Surplus fund 2, 500. 00 5,195.11 Undivided profits 29, 813. 97 5, 543.61 38, 419. 50 10, 333. 01 10, 424. 01 2, 235. 43 800.00 1,442.71 370. 00 9.25 10,146.25 230.00 National-bank notes outstanding. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. 161, 739. 65 Due to other national banks Due to State banks and bankers .. 119.32 175.14 Notes and bills re-discounted . Bills payable 562. 50 230, 979.22 Total . 230, 979. 22 First National Bank, Goldendale. J. Gr. MADDOCK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixture3 Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. F. W. PATTERSON, Cashier* No. 4031. $50, 000.00 Capital stock paid in. "127500.'66" Surplus fund 2, 282. 03 Undivided profits. 1,795.95 National-bank notes outstanding. 11,240. 00 4, 313.83 State-bank notes outstanding $37, 283.17 15, 828. 45 35.03 2, 585. 41 940. 97 3, 687. 50 8,520. 60 Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers. Due to other national banks , Due to. State banks and bankers .. Notes and bills re-discounted . Bills payable 24, 405. 51 27.80 97.57 562. 66 88,052.91 Total . 88, 052.91 REPORT OP THE COMPTROLLER OF THE CURRENCY. 1103 WASHINGTON. First National Bank, North Yakima. No. 3355. J. K. LEWIS, President. W. L. STEINWEG, Cashier. Resources. Liabilities. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds o 1 hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes TJ.s. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $182, 914. 89 4,14"). 81 25, 000. 00 677.14 3, 569. 60 3, 866. 62 1, 717. 86 22,176. 91 1, 210. 00 1, 425. 00 2,180.44 725.00 29. 05 19,433.50 857. 00 ! Capital stock paid in $100, 000. 00 Surplus fund Undivided profits 24, 000. 00 3, 452. 39 National-bank notes outstanding.. State-bank notes outstanding 22,490.00 Dividends unpaid Individual deposits United States S. disbursing officers. Deposits of U. deposits 106, 308. 70 Due to other national banks Due to State banks and bankers .. 4, 314. 85 10, 487. 86 Notes and bills re-discounted Bills payable 1,125.00 Total 271, 053. 82 271, 053. 82 Yakima National Bank, North Yakima. No. 3862. » H. S. ROWE, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U, S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Dae from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds C hecks and other cash items Exchanges for clearing-honse Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. $30, 377. 35 2, 535. 96 12,500.00 12,513. 84 23,074.51 31,418. 85 1, 533. 19 11, G68. 68 993.10 3, 031. 25 908. 36 J. D. CORNETT, Cashier. Capital stock paid in i $50, 000. 00 Surplus fund Undivided profits j : 2, 000. 00 5, 729.73 National-bank notes outstanding-. State-bank notes outstanding 11, 250.00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing oilicers. Due to other national banks Due to State banks and bankers . 126, 231. 69 907. 67 14,266. 50 Notes and bills re-discounted. 555.00 | Bills payable 562.50 ! Total. 196,119. 09 196,119.09 First National Bank, Olympia. J O H N F . GOWEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation,.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Duo from other national banks Due from State banks and bankers. Bank'g-house, furniture, andiixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes XT. Is. certificates of deposit Hedemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 3024. $163, 028. 01 2, 337. 68 20, 000.00 107,324.01 20, 875. 27 39,156.44 8, 898.90 6,198.70 11, 854. 32 1, 454. 88 3, 700.00 2, 928.72 365.00 94.35 22,1<J5. 50 1, 900.00 A. A. PHILLIPS, Cashier. Capital stock paid in. $75, 000. 00 Surplus fund Undivided profits 22, 500. 00 3, 390.85 National-bank notes outstanding.. State-bank notes outstanding 17, 500.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . Notes and bills re-discounted. Bills payable 390. 00 298,360.01 1, 071. 52 900.00 418, 212. 38 Total. 418,212.38 1104 REPORT OF THE COMPTROLLER OF THE CURRENCY. WASHINGTON. First National Bank, Pomeroy. WALTER F. BURKELL, President. N o . 154(30. II. M. HATHAWAY, Cashier. Resources. Liabilities. Loans and discounts Overdrafts IT. S. bonds to secure circulation. TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Lsgal-tender notes TJ.^S. certificates of deposit Redemption fund with Treas. TJ. S Due from Treasurer U. S Total. $81,150.22 j Capital stock paid in 1,671.62 ! 12,500.00 j Surplus, fund Undivided profits . 1, 624.64 7, 358. 98 3,448. 99 24, 403.23 3, 954.15 1, 079. 78 846. 00 220. 74 400. 23. 13, 83(3. 55. 00 55 50 00 $50, 000. 0010, 000. 009, 353. 08 National-bank notes outstanding.. State-bank notes outstanding 11, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 72, 338.41 Due to other national banks Due to State banks and bankers . . 19144 Notes and bills re-discounted . . Bill? payable 5(32.50 ; 153,135.93 Total. 153,135. 93 First National Bank, Port Townsend. HENRY LANDES, President. No. 2948. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from Stato banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid Premiums oa U. S. bonds Checks and other cash items — Exchanges for clearing-house Bills of other national banks. Fractional currency, nickels, cents Specie " Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S $290, 293,16 612.31 25, 000.00 26, 248.28 64, 568. 63 18,210.34 5, 335. 70 I 16,900.00 I $100, 000. 00 Surplus fund Undivided profits , National-bank notes outstanding. State-bank notes outstanding Dividends unpaid. 6, 000. 00 6, 006. 60 19, 500. 00 510.00 Individual deposits United States deposits 3,446.34 ! Deposits of U.S. disbursing officers. 376, 675. 22 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 371.41 366. 56- 1,125.00 509,429.80 i Total . ROBERT C. HILL, Cashier. Capital stock paid in Total. 509, 429. 80 First National Bank, Seattle. C. L. DINGLEY, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total.. No. 2783. $634, 487. 94 25. 270. 94 37, 500. 00 J. GOODFELLOW, Cashier. Capital stock paid in. Surplus fund Undivided profits. 103, 862.47 National-bank notes outstanding State-bank notes outstanding 291,441.62 53,082. 59 Dividends unpaid. 40,95 k 40 4, 071. 88 6, 552. 83 Individual deposits United States'deposits 11,069.98 445.31 1 Deposits of U.S. disbursing officers 1 357.37 li 3913.4:! ;!Due to other national banks 13,315.00 Due to State banks and bunkers . $150, 000.00 30, 000. 00 71, 262.46 33, 750.00 1, 024,161. 55 5, 057.65 0, 573. 37 7.2") •'• 93,146.50 ! Notes and bills re-discounted . 3,155.00 :! Bills payable 1, 687. 50 1,320,805.03 ,i Total. 1,320,805,0 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1105 WASHINGTON. Boston National Bank, Seattle. HfiBMAN CHAPIN, President. No. 4124. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. U. S. bonds to secure deposits . . . U. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S D ae from Treasurer IT. S Total. W. R. THOBNBLL, Cashier. "I- Resources. Liabilities. Capital stock paid in. $50, 000.00 $226, 500.00 Surplus fund Undivided profits . National-bank notes outstanding. State-bank notes outstanding 236,406.25 I Dividends unpaid 13, 593. 75 - Individual deposits United States deposits Deposits of U. S. disbursing officers. 73, 500.00 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable Total. 300,000.00 300, 000. 00 Merchants' National Bank, Seattle. ANGUS MACKINTOSH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation. .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents Due from other national banks. . . . Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 2985. $556, 670. 58 18, 262.13 25, 000. 00 50, 000. 00 R. N. MCFADDEN, Cashier. Capital stock paid in.. $100, 000. 00 Surplus fund Undivided profits 10, 000. 00 31,852.78 10, 000. 00 National-bank notes outstanding. 233, 693.64 State-bank notes outstanding..-. 14, 712. 80 32, 539. 72 Dividends unpaid 1. 000. 00 Individual deposits 2, 933. 73 United States deposits 8, 735.26 Deposits of U. S. disbursing officers 4,700.00 4.98 54, 462.10 14, 070.00 Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 22, 500. 00 28.00 783, 207. 50 46, 286. 98 15, 249. 63 11,180. 68 7, 604. 37 1,125. 00 Total. 1, 027, 909.94 1, 027, 909.94 Puget Sound National Bank, Seattle. BAILEY G-ATZKRT, President Loans and discounts Overdrafts XT. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total H. Ex. 3 No. 2966. $704, 227. 61 24, 244, 20 37, 500. 00 98, 586. 68 155, 264. 59 46, 615. 76 15, 522.42 5, 600. 96 4, 274. 70 6, 250.00 2, 443. 87 27, 590.81 259. 00 1,360.00 83, 883. 80 65, 012. 00 $150,000.00 Surplu Surplus fund Undiviided profits. 25, 000. 00 15, 510. 69 National-bank notes outstanding.. State-bank notes outstanding 32,140.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 1, 002, 644.76 Due to other national banks Due to State banks and bankers . . 31, 723.13 23, 305. 32 Notes and bills re-discounted . Bills payable , 1,687.50 1,280,323. 90 70 J. FURTH, Cashier. Capital stock paid in Total , 1,280,323.90 1106 REPORT OF THE COMPTROLLER OF THE CURRENCY. WASHINGTON. Washington National Bank, Seattle. No. 4059. E. O. GRAVES, President Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation. -. TJ. S. bonds to sec are deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bankg house,furniture,andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes ! TJ. S. certificates of deposit ] Redemption fund with Treas. IT. S.' l Due from Treasurer U. S Total.. M. F. BACKUS, Cashier. Liabilities. $54, 330. 14 j Capital stock paid in. 109.60 25, 000. 00 Surplus fund...... $72, 800. 00 Undivided profits . National-bank notes outstanding.. State-bank notes outstanding 35, 062.16 30,194.11 44,127.97 Dividends unpaid. Individual deposits United States deposits Deposits of U. S. disbursing officers. "i," 172.' bY " 1,395.45 7,171.88 6, 283. 33 17, 702. 90 Due to other national banks 1, 734. 00 276.45 ; Due to State banks and bankers . 29,957.15 J Notes and bills re-discounted. 2, 031. 25 22, 500. 00 158,311.46 Bills payable 1,125.00 !! 255, 642. 7 L ] Total. 255, 642. 71 Bellingham Bay National Bank, Sehome. F. M. WADE, President. No. 3976. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furnituro,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. $185,254.18 1, 038.14 15, 000. 00 JAMES W. MORGAN, Cashier. Capital stock paid in. $60, 000. 00 Surplus fund Undivided profits 6,794. 29 21,501.73 | National-bank notes outstanding.. 13,410.81 ! State-bank notes outstanding 32,926.23 2,041.88 '. Dividends unpaid . 522.19 I 500.00 ! S Individual deposits 1, 758.19 ! i United States deposits 4,200.00 Deposits of U.S. disbursing officers. 1.0J8. 96 \ Due to other national banks .. 2, 050.00 ' Due to State banks and bankers .. 24,241.70 Notes and bills re-discounted. 4, 000. 00 Bill3 payable 13, 500.00 228, 247.87 285. 82 1,391.03 675.00 ;: 310, 219. 01 Total. 310, 219.01 First National Bank, Snohomish. JACOB FURTH, President. Loansand discounts Overdrafts U. S. bonds to secure circulation... IT. S. bonds to secure deposits U.S. bonds on band Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-bouse,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3887. Capital stock paid in. $106, 930.45 402. 33 12, 500.00 13,451.78 825. 71 86.19 5, 045.22 987.16 600. 00 1, 082. 51 330.00 2.00 6, 476.10 7, 202.00 W. M. SNYDER, Cashier. Surplus fund „.„. Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid . Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . $50, 000. 00 2, 000.00 3,836.41 11, 250. 00 78,405.15 9, 724. 31 1, 208.08 Bills payable 562. 50 156,483.95 Total. 156,483.95 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 1 0 7 WASHINGTON. First National Bank, Spokane Palls. JAMES N. GLOVER, President. No. 2805. HORACE L. CUTTER, Ccuhier. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, j udgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. SDue from Treasurer TJ. S Total. Liabilities. $493, 078. 80 35,104. 35 25, 000. 00 Capital stock paid in. $100,000.00 Surplus fund Undivided profits 15,000.00 49,114. 86 14,847.16 National-bank notes outstanding . 100, 795.18 State-bank notes outstanding 205, 615.12 35, 285.05 Dividends unpaid 41, 357. 78 Individual deposits , United States deposits 6, 513. 50 Deposits of U. S. disbursing officers. 11,112. 29 9, 830. 32 Due to other national banks 1, 500. 00 Due to State banks and bankers .. 10.20 101, 735.00 Notes and bills re-discounted . 3, 839. 00 Bills payable 19, 960. 00 888, 790. 02 9,158.29 4,775. 58 1,125. 00 1, 086,798. 75 Total. 1,086,798.75 Browne National Bank, Spokane Falls. J . J . BROWNE, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation . . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid. - Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S — Total. No. 4025. $31, 680. 00 29. 33 25, 000. 00 13, 070. 63 64,130. 31 1,196. 32 956. 53 3, 113.96 7, 390. 62 1, 6-26. 67 715.61 620.00 6.06 8,175. 00 7, 567.00 THEO. REED, Cashier. Capital stock paid in. $90,000.00 Surplus fund Undivided profits.. 1, 356. 03 National-bank notes outstanding. State-bank notes outstanding 5, 000.00 Dividends unpaid Individual deposits United States deposits , Deposits of U.S. disbursing officers. 70, 047. 01 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 1,125.00 Total. 166,403.04 166,403.04 Citizens' National Bank, Spokane Falls. B. C. VAN HOUTEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Ban k 'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. No. 4005. $210,431.27 8,267.70 37,500.00 32,748. 62 33,155.97 290.44 4,798.44 3,941.71 10, 781.25 5,454.15 1, 315.00 12.00 33,399.95 7,300.00 J. F . MCKWAN, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding $150,000.00 6,037.31 33,750.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers... 199,654.40 1, 642.29 Notes and bills re-discounted Bills payable.. „ 1, 687.50 391, 084.00 Total 391,084.00 1108 REPORT OF THE COMPTROLLER OF THE CURRENCY. WASHINGTON. Exchange National Bank, Spokane Palls. JACOB HOOVER, President. No. 4044. E. J.DYER, Cashier. Resources. Loans and discounts Overdrafts X . S. bonds to secure circulation... j T U. S. bonds to secure deposits ' U. S. bonds on hand Stocks, securities, judgments, etc .. j Due from approved reserve agents.! Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer TJ. S Total. Liabilities. Capital stock j»aid in $128,679.47 2, 500. 90 25, 000. 00 $90, 000.00 Surplus fund Undivided profits • National-bank notes outstanding.. State-bank notes outstanding..... 110, 018. 30 8, 849.53 3,022. 02 1, 284.15 22, 500. 00 Dividends unpaid Individual deposits United States deposits DepositsofU.S.disbursing officers. 222, 538.09 Due to other national banks Due to State banks and bankers.. """4," 134.' 38 7, 390. 63 300. 00 234.04 1, 770. 00 10. 02 38, 932. 00 5, 000. 00 415.43 228. 62 Notes and bills re-discounted Bills payable 1,125. 00 336, 966. 29 Total 336, 966. 29 Spokane National Bank, Spokane Falls. W . H. TAYLOR, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . . U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, andfixtures Other real estate and mortg's owned Cnrrent expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3838. $541,390. 71 15, 240. 35 25, 000.00 50, 000.00 W. HUSSEY, Cashier. Capital stock paid in ! 29,151.16 122, 553.67 93, 672.17 37, 598.68 4,671.67 $100, 000.00 Surplus fund Undivided profitsNational-banknotes outstanding.. State-bank notes outstanding 15, 000.00 10,743.64 22,500. 00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S.disbursing officers 5,146. 89 15,518.75 8, 600. 50 9, 010. 06 Due to other national banks 6, 673.00 • Due to State banks and bankers .. 215. 86 53,650.00 Notes and bills re-discounted. 25, 000. 00 Bills payable 824,278. 74 52, 950. 87 960.16 17,193.66 591.40 1,125.00 j Total. 1,041,218.47 I 1,044,218.47 Traders' National Bank, Spokane Palls. EDWARD J. BRICKELL, President Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks . Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total No. 3409. $439, 905.89 16, 099.21 50, 000.00 33, 305.77 82, 595. 43 322, 397.19 21,136.25 3,993.26 15, 000.00 4,217.37 13, 193. 75 985. 90 14, 888.32 14, 000. 00 4.05 66, 575. 00 1, 964. 00 M. M. COWLEY, Cashier. Capital stock paid in. $200, 000.00 Surplus fund Undivided profits. 26, 325.85 National-bank notes outstanding. State-bank notes outstanding 45, 000.00 Dividends unpaid Individual deposits , United States deposits Deposits ofU.S.disbursing officers. 794,493.82 Due to other national banks Due to State banks and bankers .. 27, 737. 96 9,633.76 Notes and bills re-discounted . Bills payable 2, 2.">0. 00 680. U0 1,103,191.39 ; Total. 1,103,191.39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1 1 0 9 WASHINGTON. First National Bank, Sprague. H. W. FAIRWEATHER, President. No. 3528. GKO. S. BROOKE, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Bae from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate andmortg's owned Curie at expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. IT. S. Due from Treasurer TT. S Total. Liabilities. $114, 627.07 94.63 12, 500.00 Capital stock paid in $50,000.00 Surplus fund Undivided profits National-bank notes outstanding.. j State-bank notes outstanding . . 16, 566. 09 9, 478. 20 24, 817. 85 610.51 6, 466. 75 12,500. 00 6,170.51 10,730.00 Dividends unpaid i ! Individual deposits United States deposits Deposits of U.S. disbursing officers, j 1, 219.35 800. 00 1, 675. 86 Due to other national banks Duo to State banks and bankers 1,280. 00 7.30 9, 018.45 4, 520. 00 119,919.21 4, 930.84 Notes and bills re-discounted. Bills payable 562. 50 Total . 204, 250. 56 204, 250. 56 Citizens' National Bank, Tacoma. No. 4069. O. B. HAYDEN, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc... Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank' g-house, furniture, and fixtures Other real estate andmortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. L. J. PENTECOST, Cashier. Capital stock paid in Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding .. $85,871.37 73.10 25, 000. 00 I 6, 068. 45 34, 631. 65 22,1)96. 02 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 38, 719. 63 | "{,'625. 85 7,156. 25 ' 765.75 657. 88 427. 00 66.87 38, 824. 80 570.00 $80, 000.00 '"'2*349745 22, 500.00 146, 272. 51 8,258.09 5,199.57 1,125. 00 264, 579. 62 Total . 264, 579.62 Merchants' National Bank, Tacoma. . J. THOMPSON, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits... U. S,. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortgs owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Kedemption fund with Treas. U. S. Due from Treasurer U. S Total No. 3172. SAM'L COLLYER, Cashier. $819,238.15 i Capital stock paid i n . 4,783.29 ! 50, 000. 00 . Surplus fund ! i Undivided profits 62, 590. 27 88. 887. 38 7; 663. 75 30,125. 27 34,070,00 44,941.09 6, 276. 29 8,953.13 30, 464.86 41, 495. 20 79.00 943.69 53, 211. 35 National-bank notes o u t s t a n d i n g . . State-bank notes outstanding . . $250, 000.00 20, 000. 00 18, 303.19 45, 000. 00 Dividends unpaid Individual deposits United States deposits Depositsof U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. 892,555.21 34,800. 30 25,314.02 Bills payable 2, 250. 00 1,285,972.72 > Total 1,285,972.72 1110 REPORT OF THE COMPTROLLER OF THE CURRENCY. WASHINGTON. National Bank of Commerce, Tacoma.^ Xo. 378! F. M. WADE, President. A. F. MCCLAINE, Cashier. Liabilities. [Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank' g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. XJ. S Due from Treasurer U. S 20, 000. 00 21, 482. 56 National-bank notes outstanding. State-bank notes outstanding 8,124.30 32, 628. 62 33,843.76 21, 253.77 2, 694. 66 15, 520. 75 4, 408.49 12, 937. 50 2, 897. 02 36, 234.10 2, 707.00 43.79 86,812. 30 3, 944.00 45,000.00 Dividends unpaid. Individual deposits United States deposits Deposits of U.S. disbursing officers 586,708.18 Due to other national banks Due to State banks and bankers... 42, 437. 88 19,690.52 Notes and bills re-discounted. Bills payable 2,250.00 Total. 935, 319.14 Total. $200,000.00 $613,886.81 j Capital stock paid i n . 5,132.27 |j 50, 000.00 Surplus fund Undivided profits 935, 319.14 Pacific National Bank, Tacoma. CHARLES P. MASTERSON, President Loans and discounts j Overdrafts I U. S. bonds to secure circulation . . . | U. S. bonds to secure deposits U. S. bonds on hand !. S , securities, j g , Stocks, c , judgments, etc . j . Due from approved reserve agonts. Due from other national banks . I Due from State banks and bankers. \ Bank'g-house.furniture, and fixtures; Other real estate andmortg's owned, Current expenses and taxes paid . . Premiums on U. S. bonds j Checks and other cash items Exchanges for clearing-house ! Bills of other national banks ! Fractional currency, nickels, cents. Specie j Legal-tender notes ! U. S. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer U. S Total. L. It. MANNING, Cashier. No. 3417. $100,000.00 Capital stock paid in. ! 13, 995.16 69, 938.58 127, 970. 06 34,433.07 3,141.31 16,228. 86 4,910.03 1, 875. 00 24,117.67 13, 666.66 1,060.00 199.71 62,712.00 1,145. 00 Surplus fund Undivided profits 35, 000.00 17,193.90 ! National-bank notes outstanding j State-bank notes outstanding 21, 580.00 Dividends unpaid | Individual deposits j United States deposits I Deposi ts of U. S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 730,177. 26 12, 858.98 30, 504. 02 1,125.00 947, 314.16 Total . 947, 314.16 Tacoma National Bank, Tacoma. W. B. BLACKWELL, President. Loans and discounts Overdrafts U. S. bonds to secure circulation . . U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc . . Due from approved reserve agents Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U.ls. certificates of deposit Redemption fund with Treas. U. S Due from Treasurer XJ. S Total No. 2924. $821,110.41 2,477.30 25, 000. 00 25, 500.00 115,290.29 91, 005. 57 70, 601.42 11,184.98 63, 537. 90 6,194.20 1,615.00 287. 77 12,183.04 515.00 13.60 84, 507.50 209. 00 W. FRASER, Cashier. i Capital stock paid in. $100, 000.00 Surplus fund Undivided profits 25,000. 00 92, 053. 04 National-bank notes outstanding.. State-bank notes outstanding 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers . . 1,057,242.41 30, 774. 02 4, 788. 51 Notes and bills re-discounted . Bills payable 1,125. 00 1,332,357. Total 1,332,357.08 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1111 WASHINGTON. Washington National Bank, Tacoma. N o . 4018. E. L. SCARRITT, President. C. S. BRIDGES, Cashier. _ Liabilities. Resources. L o a n s a n d discounts Overdrafts U . S. bonds t o secure c i r c u l a t i o n . . . U . S. bonds to secure deposits U. S. bonds on h a n d Stocks, securities, j u d g m e n t s , e t c . . D u e from approved reserve a g e n t s . D u e from other national b a n k s D u e from State b a n k s and bankers, lkmk'g-house, furniture, and fixtures Other real estate a n d m o r t g ' s owned C current expenses a n d t a x e s p a i d . . . P r e m i u m s on TJ. S. bonds C h e c k s and other cash i t e m s E x c h a n g e s for clearing-house Bills of other national b a n k s F r a c t i o n a l currency, nickels, c e n t s . Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund w i t h Treas. U. S Due from T r e a s u r e r TJ. S Total. $172, 774.23 2, 403. 00 22, 500. 00 7, 546. 14 5, 098. 58 4, 718. 01 3, 091. 94 6,518.75 (>, 862. 03 2, 440. 20 1, 768. 00 300. 00 20,100. 00 $100,000. 00 Capital stock paid in Surplus fund "Undivided profits 4," 448* 05 National-bank notes outstanding.State-bank notes outstanding 20, 250. 00 Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. 124, 015. 39 4, 390. 09 4, 030.45 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable 1, 012. 50 257,133.98 257,133. 98 Total . First National Bank, Vancouver. Louis SOHNS, President. Loans and discounts Overdrafts TJ. S. bonds to secure circulation... TJ. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonus Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. TJ. S . Due from Treasurer TJ. S Total. E. L. CANBY, Cashier. N o . 3031. $162, 280.84 4, 317.19 12, 500.00 62, 537. 60 15, 04G. 38 6, 097.20 1, 004. 29 9, 629. 90 1, 658.11 367.15 574. 60 800.00 24. 32 14, 006. 70 4, 596.00 $50, 000. 00 Capital stock paid in. 25,000.00 3, 004. 85 Surplus fund Undivided profits. National-bank notes outstanding. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable 11, 250. 00 205, 581.10 200, 97 965. 86 562.50 296, 002. 78 Total. 296,002. 78 First National Bank, Walla Walla. LEVI ANKENF, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. BaDk'g-house, furniture, andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks ! Fractional currency, nickels, cents.! Specie i Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S . Due from Treasurer U. S Total. No. 2380. $636,188.16 45, 551. 83 25, 000.00 86, 230. 51 37, 388. 34 38,495.70 502. 64 3, 000. 00 18,542.73 2, 037. 69 6, 250. 00 677.32 3.40 65,398.75 885. 00 A. R. BUIIFORD, Capital stock paid i n . Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding I Dividends unpaid. Individual deposits United States deposits Depositsof U.S. disbursing officers. Duo to other national banks Due to State banks and bankers .. Notes and bills re-discounted . Bills payable Cashier. $100, 000.00 380, 000. 00 11, 886.25 22, 500. 00 384, 230. 35 27, 350.10 41,310.37 1,125.00 967, 277.07 Total. 967, 277. 07 1112 REPORT OF THE COMPTROLLER OF THE CURRENCY. WASHINGTON. Baker-Boyer National Bank, Walla Walla. JOHN F. BOYER, President. No. 3956. H. E. JOHNSON, Cashier. Kesources. Loansand discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits IT. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andfixturesi Other real estate and mortg's owned; Current expenses and taxes paid... Premiums on TJ. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. Liabilities. $461, 086.22 35, 569. 23 37,500. 00 70,168.87 11,692.42 44,102.07 3, 580. 93 Capital stock paid in. Surplus fund Undivided profits. National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid I i Individual deposits 3, 892. 07 | j United States deposits 10,171.87 ; Deposits of U. S. disbursing officers. 1,628.47 1, 935. 00 289.10 84,935. 05 619.00 Due to other national banks Due to State banks and bankers... Notes and bills re-discounted. Bills payable $150,000.00 300. 00 10, 747. 06 33, 750. 00 516,183.05 27, 736.12 30,042. 53 1, 687. 50 768, 758. 76 768, 758. 76 Total. First National Bank, Whatcom. J. FURTH, President. Loans and discounts ! Overdrafts I U. S. bonds to secure circulation... | U. S. bonds to secure deposits | U. S. bonds on hand ' Stocks,securities,judgments, etc.. Due from approved reserve agents. Due from other national banks..... Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U.S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit [Redemption fund with Treas. U. SDue from Treasurer U. S Total. CHARLES M. ATKINS, Cashier. No. 4099. $83,648.15 Capital stock paid in. 628.12 12, 500.00 Surplus fund Undivided profits National-bank notes outstanding.. 15,497.14 State-bank notes outstanding 19,192. 00 10,031.32 15, 250. 00 Dividends unpaid Individual deposits 462. 80 United States deposits 3,531.25 Deposits of U.S. disbursing officers. U4.01 Due to other national banks 6,073. 00 Due to State banks and bankers .. 15,311.60 Notes and bills re-discounted. 5, 500.00 Bills payable 187,739.39 Total. $50, 000.00 127,990.90 730.09 7, 851. 99 187,730.39 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1113 W ¥OMINO . First National Bank, Buffalo. No. 3299. «T. W. COLLINS, President. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits TJ. S. bonds on hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-house, furni ture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Legal-tender notes IT. 3. certificates of deposit Redemption fund with Treas. U. S. Duefrom Treasurer TJ. S $8Q, 237. 45 iCapital stock paid in 2, 604,25 12, 500. 00 j Surplus fund Undivided profits $50, 000.00 20, 000.00 5,171.31 22, 373. 07 ! National-bank notes outstanding.. 22,933. 90 ! State-bank notes outstanding 9, 407.14 .'j Dividends unpaid 11, 250.00 | Individual deposits .1,340.11 | United States deposits 2, 996. 88 i Depositsof U.S.disbursingofiicers-! 33.13 95,624. 69 "io'iw'.oh , i Due to other national banks 2,780. 00 i Due to State banks and bankers.. 30.10 2, 967. 00 Notes and bills re-discounted . G, 000. 00 Bills payable 228. 74 1,480. 84 562. 50 500. 00 183, 755. 58 Total. W. J. THOM, Cashier. Liabilities. Total. 183, 755. 58 First National Bank, Cheyenne. TRUMAN B. HICKS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks,securities,judgments, etc.. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 1800. $536, 444. 27 2.198.17 50, 000. 00 86, 984. 30 67, 741. 98 15, 877. 91 2, 269.15 4, 550. 00 10, 484.10 12, 779. 20 " i , " 590." 82" 1, 626. 00 101.15 71, 830.00 J. E. WILD, Cashier. Capital stock paid in $200, 000.00 Surplus fund Undivided profits 75, 000. 00 24, 267. 65 National-bank notes outstanding.. State-bank notes outstanding 37, 700.00 Dividends unpaid. Individual deposits United States deposits Deposits of U. S.disbursing officers. 490,768.67 Due to other national banks Duo to State banks and b a n k e r s . . . Notes and bills re-discounted. Bills payable 29,146.26 10, 344. 47 2, 250. 00 500. 00 867,227.05 Total . 867, 227.05 Cheyenne National Bank, Cheyenne. J . "W. COLLINS, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bondson hand Stocks, securities, judgments, etc.. Due from approved reserve agents. Due from other nationalbanks Due from State banks and bankers. Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes TJ. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3416. GEORGE L. BEARD, Cashier. $190, 972. 86 1, 889. 98 25, 000. 00 Capital stock paid in Surplus fund Undivided profits 4, 423. 35 National-bank notes outstanding.. 76, 630. 51 State-bank notes outstanding 23, 750. 56 1, 734.13 3,178. 78 4, 227. 89 6, 530. 97 1, 500.00 2,401.99 3,490. 00 1, 060.00 32,525. 00 ^100^000.00 12, 000.00 13, 502.16 22, 500. 00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 219, 571.35 Due to other national banks Due to State banks and bankers.. Notes and bills re-discounted . Bills payable 12, 867. 51 1,125.00 380,441.02 Total. 380,441. 02 1114 REPORT OF THE COMPTROLLER OP THE CURRENCY. WYOMING. Stock Growers' National Bank, Cheyenne. A. GILCHRIST, President. No. 2652. Resources. Loans and discounts Overdrafts U. S. bonds to secure circulation-.. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid-.. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. X S. L Due from Treasurer U. S Total. HENRY Gr. HAY, Cashier. Liabilities. $606, 588. 32 3, 821. 79 50, 000. 00 51,501.13 53,437.15 28, 551. 86 226. 50 3, 500. 00 3, 500.00 4,618.74 11. 000. 00 8, 202.53 3, 044.00 124.21 32, 380.15 12, 000. 00 Capital stock paid in I $400,000.00 64, 000. 00 .16,157.10 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding 43, 400.00 Dividends unpaid . Individual deposits United States deposits Deposits ofCJ.S.disbursing officers. 333,484. 52 Due to other national banks Due to State banks and b a n k e r s . . 10, 212.69 519. 57 Notes and bills re-discounted Bills payable . 2, 250.00 \ Total. 874, 746. 38 6, 972. 50 T 874,746.38 First National Bank, Douglas. DE FOREST RICHARDS, President Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U*. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank' g-hous e, furniture, and fixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total. No. 3556. $97, 211. 08 1,429.13 18, 750. 00 250. 00 17,185. 02 3, 302.64 227. 95 10,563.12 1,478.02 4, 600.00 1,656.64 350.00 11.50 2, 786. 00 3,006.00 J. W. FOSTER, Cashier. Capital stock paid in. $75,000.00 9, 000. 00 2, 225. 55 Surplus fund Undivided profits National-bank notes outstanding.. State-bank notes outstanding Dividends unpaid Individual deposits United States deposits Deposits of U.S. disbursing officers. Due to other national banks Due to State banks and bankers .. Notes and bills re-discounted. Bills payable 16, 875.00 55,183. 05 5,367.25 843. 75 Total . 163, 650. 85 163,650.85 Albany County National Bank, Laramie. S. S. GRAHAM, President Loans and discounts Overdrafts U. S. bonds to secure circulation .. U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers Bank'g-house,furniture,andfixtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house. ^.... Bills of other national banks Fractional currency, nickels, cents. Specie * Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3615. 5152, 253. 01 1,124. 74 25, 000. 0J 9, 587.04 4, 967. 92 460.72 27, 669. 84 690*84 613. 00 3.22 4, 889.50 200. 00 ELI CRUMBINB, Cashier. Capital stock paid in. $100,000.00 Surplus fund Undivided profits. . 27, 000.00 4, £93.72 National-bank notes outstanding.. State-bank notes outstanding..... 22,500.00 Dividends unpaid Individual deposits United States deposits Deposits of U. S. disbursing officers. 65,491.11 Due to other national banks Due to State banks and bankers. Notes and bills re-discounted. Bills payable 9, 000.00 1,125.00 228, 584. 83 Total. 228,584.83 REPORT OF THE COMPTROLLER OF THE CURRENCY. 1115 Laramie National Bank, Laramie. No. 2518. IT. G BALCH, President. L L. C. HANKS, Cashier. Resources. Loans and discounts Overdrafts IT. S. bonds to secure circulation.... X . S. bonds to secure deposits T U. S. bonds on hand Stocks,securities, judgments, etc... Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house, furniture, andfixtures Other real estate and rnortgs owned Current expenses and taxes paid... Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents . Specie Legal-tender notes IT. S. certificates of deposit Redemption fund with Treas. TJ. S. Due from Treasurer U. S Total . Liabilities. $250, 969.19 3, 9G2. 35 30,000.00 Capita] stock paid in $100, 000. 00 Surplus fund Undivided profits 28, 000. 00 8, 367. 75 11,914.20 ! National-bank notes outstanding • 39,573.18 j State-bank notes outstanding 10,334.97 44.16 Dividends unpaid 16,47(5.09 | li Individual deposits 2,953.62 | United States deposits 1,732.78 ! Depositsof U.S.disbursing officers. 1,258.00 Due to other national banks ],590.00 | Duo to State banks and bankers .. 22, 325. 05 i Notes and bills re-discounted j. 1, 000. 00 Bills payable j. 27, 000. 00 233, 574.82 3, 228. 66 1,312.96 1,350,00 i 401,484.19 j! 401, 484.19 Total . Wyoming National Bank, Laramie. No. 2110. F. E. SCBYNISEK, President. Loans and discounts Overdrafts U. S. bonds to secure circulation... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks Due from State banks and bankers. Bank'g-house,furniture,andnxtures] Other real estate and mortg's owned Current expenses and taxes paid .. Premiums on U. S. bonds Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie '. Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. M. DAWSON, Cashier. $284, 519. 25 ! Capital stock paid in 9, 597. 84 25, 000. 00 Surplus fund Undivided profits 3&.601.11 i National-bank notes outstanding.. f.3, 021.93 1 State-bank notes outstanding $100,000.00 3, 000. 00 4, 253. 39 22, 500. 00 7,0.14.70 385. 46 j Dividends unpaid 11, 983. 20 Individual deposits " 1,463.19 : United States deposits 1,182.31 Deposits oi'U.S. disbursing officers. L96 Due to other national banks 298.00 Due to State banks and bankers .. 269.70 29, 677. 50 Notes and bills re-discounted.. Bills payable 313, 706. 37 1, 781. 39 1,125. 00 445, 241.15 Total . 445, 241.15 First National Bank, Rock Springs. H. Gr. BALCH, President. Loans and discounts Overdrafts U. S. bonds to secure circulation ... U. S. bonds to secure deposits U. S. bonds on hand Stocks, securities, judgments, etc .. Due from approved reserve agents. Due from other national banks — Duo from State banks and bankers Bank'g-house, furniture, andnxtures Other real estate and mortg's owned Current expenses and taxes paid... Premiums on U. S. bonds — Checks and other cash items Exchanges for clearing-house Bills of other national banks Fractional currency, nickels, cents. Specie Legal-tender notes U. S. certificates of deposit Redemption fund with Treas. U. S. Due from Treasurer U. S Total. No. 3920. AUGUSTINE KENDALL, Cashier. $102, 590. 83 | Capital stock paid in 5,122.14 12,500.00 Surplus fund j Undivided profits 3, 344.00 National-bank notes outstanding.. 25, 0*.i. 96 • State-bank notes outstanding 5, 213.88 Dividends unpaid "i6,"398.93" Individual deposits 554.27 United States deposits 614. 31 Deposits of U• S.disbursing officers. 133. 03 Due to other national banks 631.00 Due to State banks and bankers.. 127.27 12. 210.70 : Notes and bills re-discounted . 2, 000. 00 Bills payable $50,000.00 1, 000.00 2, 242. 58 11,250.00 111,302.45 974. 39 4, 297. 49 562. 50 181,066.91 Total. 181,066.91 INDEX OF TOWNS.* Abbeville, S.C Aberdeen, Misa Aberdeen, Dak Abilene, Tex Abilene, Kans Abingdon,Ill Abington, Mass Adams,Mass Adams, N . Y Ains worth, Nebr __..,„ Akron, Ohio Alamosa,Colo C Al l Albany,N.Y Albany.Ga Albany, Tex Albany, Oregon Albert Lea, Minn Albia,Iowa Albion, N . Y Albion, Mich Albion, Nebr Albuquerque, N. Mex Alexandria, Ya Alexandria, Minn Algona,Iowa Allegan, Mich Allegheny, Pa Allentown.N.J Allentown, Pa Alliance, Ohio Alma, Kans Alma, Nebr Alpena,Mich Alton, 111... Altoona,Pa Aivarado.Tex Ambler,Pa Amenia, N. Y Amerious, Ga Ames, Iowa Amesbury, Mass Amherst, Mass Amsterdam, N. Y Anaconda, Mont Anderson,S.C Andes, N . Y Andover, Mass Annapolis, Md Ann Arbor,Mich Anniston, Ala Annville, Pa Anoka,Minn Ansonia, Conn Anthony.Kans Appleton,Wia Appleton City,Mo City, Arapahoe, Nebr Arcola,IU Arkansas City, Kans Arlington, Oregon AaburyPark.N.J... Ashaway, R . t Ashburnham, Mass Asheville, N. C AshlandP a Ashland, Ky Page. 619 826 933 986 619 1025 1053 934 336 499 603 620 65 500 726 848 304 304 692 66 3 201 692 986 4 500 202 692 726 987 533 893 66 Page. Ashland, Ohio 493 Ashland, Wis 523 Ashland, Kans 1064 Ashland, Nebr 532 Ashtabula, Ohio 931 Aspen, Colo P 725 Astoria, Oregon 63 Atchison, Kans 63 Athens, Pa 197 Athens,Ga 98S Athens, Tenn .„ 618 Athens, Ohio 1 0 2 1025 ! Athol, Mass 5 197 I Atlanta, Ga 499 j Atlanta, 111 532 \ Atlantic, Iowa 1052 I Atlantic City, N. J 892 Atlantic Highlands, N. J ' ' 847 Attica, Ind 199 Attleborough, Mass 788 Auburn, Mo 985 Auburn, N . Y 1095 Auburn, Iud 469 I Auburn, Nebr 892 Augusta, Me 847 Augusta, Ga 788 Aurora, N . Y ta 333 Aurora, Ind 303 Aurora, 111 334 Aurora, Nebr 619 Austin, Tex 931 Austin, Minn 985 Ay er, Mass 788 B. 725 335 533 Bainbridge,N. Y 335 Baird, Tex 200 Baker City, Oregon 499 Baldinsville, N. Y 847 Ballinger, Tex 63 Ballston Spa, N. Y 64 Baltimore, Md 200 Bangor, Me 1088 Bangor, Pa 493 Baraboo, Wis 201 Bar Harbor, Me. (See Eden) 64 Barnesville, Ohio 448 Barre, Vt 789 Barre, Mass 514 Barton,Vt 336 Bastrop, Tex 892 Batavia,N.Y 169 Batavia,Ohio 932 Batesville, Ohio 826 Bath, Me 911 Bath.N.Y 986 Baton Rouge, La 725 Battle Creek, Mich 933 Bay City, Mich 1052 Bearde town, 111 303 Beatrice, Nebr 149 Beaumont, Tex 65 Beaver,Pa 486 Beaver City, Nebr 336 Beaver Darn, Wis 578 Beaver Falls, Pa For list of States and reserve cities, see p. in. 202 534 1053 203 534 203 448 5 337 827 13 620 46 66 46 535 204 621 621 6 204 527 789 790 727 987 535 337 988 828 337 1117 1118 INDEX OF TOWNS. Bedford, Pa Bel Air, Md Belfast, Me Bellaire.Ohio Bellefontaine, Ohio Bellefonte, Pa Belle Plaine, Iowa Belleville, 111 Belleville, Kans Bellevne, Ohio Bellows Falls, Vt Beloit, Wis Beloit, Kans Belton,Tex Belvidere,N.J Belvidere, 111 Bennington, Vfc Berwick, Pa Berwyn,Pa Bessemer, Mich Bethel, Vt Bethlehem.Pa Beverly, Mass Biddeford, Me Biggsville, III Big Rapids, Mich Billings, Mont Binghamton, N. Y Birdsborough, Pa Birmingham, Conn Birmingham, Ala Bismarck, Dak Black River Falls, Wis Blairsville, Pa Bloorafield, N. J Bloomington, Ind Bloomington, 111 Bloomsburgh, Pa Bloomsbury, N. J Blue Hill, iTebr Boise City, Idaho Bonham, Tex Boone, Iowa Boonville, N. Y Boonville, Ind Boonville, Mo Boston, Mass Boulder, Colo Bound Brook,N. J Bowdoinham, Me Bowling Green, Ohio Boyertown,Pa Bozeman, Mont Braddock.Pa Bradford, Pa Brainerd, Minn Brandon, Vt Brattleboro, Vt Brazil, Ind Brenham, Tex Brewsters, N". Y Bridgeport, Conn Bridgeport, Ohio.... Bridgeton, N. J Bristol, R . I Bristol, Conn Bristol, Pa Bristol, Tenn Brockport, N. Y Brockton, Mass Broken Bow, Nebr. Brookings, Dak Brookline, Mass Brooklyn, Conn Brooklyn, N. Y Brooklyn, Iowa Brookville, Pa Brownsville, Pa Brownwood, Tex Brunswick, Me Brunswick, Ga Brunswick, Mo Bryan, Tex Bryan, Ohio Bryn Mawr, Pa B b , Mich , M r ( P , M f M . , M P , M i f f . M f Pago. B38 454 8 622 622 338 848 728 935 62;$ 46 828 935 535 305 728 47 338 339 790 47 339 67 8 729 791 1088 204 340 109 514 1065 828 340 305 603 729 340 305 988 1085 536 848 206 693 911 67, 1025 306 9 623 341 1088 341 342 893 48 48 694 536 206 169 623 306 149 171 343 603 206 87 938 1065 88 171 207 849 343 344 530 9 501 911 537 624 345 791 Bucksport, Me Bncyrus, Ohio Buffalo, N.Y Buffalo, Wyo Burgettstown, Pa Burlingame, Kans Burlington, Vt Burlington, N. J Burlington, Wis Burlington, Iowa Burlington, Kans Burnet, Tex Burr Oak, Kans Butler. Mo Butte City, Mont , Page. 10 624 208 1113 345 936 49 307 829 849 936 537 937 912 1089 0. Cadiz, Ohio Cairo. Ill Calais, Me Caldwell, Ohio Caldwell, Kans California, Mo Calvert, Tex Cambridge, Mass Cambridge, _N. Y Cambridge, Md Cambridge, Ohio Cambridge, III Cambridge City, Ind Camliridgeport, Mass Camden, Me Camden, N . Y Camden, 1 J Camden, Ark Cameron, Tex Canajoharie, N. Y Canandaigua, N. Y Canastota, N. Y Candor, N.Y Canfield, Ohio Caiion City, Colo Canton, Mass Canton, N. Y Canton, Pa • Canton, Ohio. Canton, ] 11 Canton, Dak Carbondale, Pa Cardington, Ohio Carmel, N. Y Carroll, Iowa Carrolton, Ky Carrolton, 111 Carrolton, Mo Cartersville. Ga Carthage, N. Y Carthage, 111 Carthage, Mo T. Casselton, Dak Casaopolis, Mich Castleton, Vt Castleton, N. Y Catasauqua, Pa Catlettsburgh, Ky Catskill, N . Y . . Cedar Falls, Iowa Cedar Rapids, Iowa Cedartown, Ga Centerville, Iowa Central City, Colo Centralism Centralia, Kans. Centreville, K. 1 Centreville, Md Centreville, Tenn Centreville, Ohio Centreville, Mich Chadron, Nebr. Chamberlain, Dak Chambershnrgh, Pa . Champaign, 111 Cha-inplaiii, N. Y Chanute, Kans Chariton, Iowa.,.^-..,„„.*,.-,,,.,,,.-.--.,, 621 730 15 626 937 912 538 88 209 454 626 731 694 88 11 209 307 575 538 209 210 210 211 627 1026 89 211 345 628 731 1066 346 628 211 850 578 732 912 502 212 732 913 1066 792 50 212 346 579 213 850 851 502 852 1027 733 937 150 455 603 629 792 989 1066 346 733 213 938 §53 1119 INDEX OF TOWNS. Page. Charles City, Iowa Charleston, W . V a Charleston, S. C Charleston, 111 Cbarlestown, N. H Charlestown, W . V a Charlotte, N. C Charlotte, Mich Charlottesville, Ya Chattanooga, Tenn Cheboygan, Mich Chelsea, Vt Chelsea, Mass Cherokee, Iowa Cherry Vale, Kans Cherry Vall<\v, N. Y Chester, N. Y Chester, Pa Chester, S. C Chestertown, Md Cheyenne, Wyo Chicago, 111 Chicopee, Mass Chillicothc, Ohio Chillicothe, Mo Chippewa Falls, Wis Christiana, Pa Cincinnati, Ohio Circleville,Ohio Claremont, N. H Clarinda, Iowa Clarion, Pa Clarion, Iowa Clark, Dak Clarksburgh, W. Va ClarksviUe, Tex Clarksville, Tenn Clay Centre. Kans Clayton, N. Y Clearfield, Pa Cleburno, Tex Cleveland, Term Cleveland, Ohio Clinton, Mass Clinton, Conn Clinton, "N. J Clinton, 111 Clinton, Iowa Clinton, Mo Clyde, N. Y Clyde, Kans Co'atesville, Pa Cobleskill, N.Y Coffeyville, Kans Cohoes,N.Y Coldwater, Mich Coldwater, Kans Colebrook, N". H Goleman, Tex Colfax, Wash Colorado. Tex Colorado Springs, Colo Colton, Cal Columbia, P a Columbia, S. C Columbia, Tenn Columbia, Mo Columbus, Ga Columbus, Miss Columbus, Ohio Columbus, I ml Columbus, Wis Columbus, Nebr Columbus Junction, Iowa Conianche, Tex Commerce, Tex Concord, N. H Concord, Mass Concord, N. C Concordia, Kans Conneaut, Ohio Conneautville, P a Connellsville, Pa Connersville, Jnd Conshohocken, P a .Constantino, Micb fM,M, 853 479 493 734 29 479 486 792 469 604 793 50 90 851 938 214 214 347 494 4o6 1113 734 90 629 913 829 348 630 634 29 854 348 854 1007 479 538 605 939 214 349 539 60fi 635 90 172 308 742 855 913 215 9:19 349 215 940 215 793 940 29 539 1101 540 1027 1039 350 495 606 914 502 523 638 694 830 989 856 540 541 30 91 487 940 640 351 351 695 352 794 Page. Conway, Mass Cooperstown, N. Y Corning, K. Y Corning, Iowa Corry.Pa Corsicana, Tex Cortland, 3ST. Y Corunna, Mich Cottonwood Falls,Kans Council Bluffs, Iowa Covington,Ky Coxsackie, N." Y Cranbury.N. J Crawfordsville, Ind Creston, Iowa Crete, Nebr Crookst.on, Minn Crown Point, Ind Cuba, N. Y Culpeper, Va Cumberland, Md Cynthiana, Ky 91 216 216 856 352 541 217 795 941 856 579 218 309 695 857 990 893 696 218 470 456 581 D. Dallas, Tex Dalton, Ga Damariscotta, Me Danbury, Conn Danielsonville, Conn Danvers, Mass Danville.Vt Danville, P a Danville, Va Danville, Ky Danville,Ind Danville, 111 Darlington, Wis Davenport, Iowa Davenport, Wash David City, Nebr Dawson, Ga Dayton, Ohio Dayton, Wash Deadwood.Dak Decatur, Ala Decatur, Tex Decatur, Ind Decatur, 111 Decatur.Mich Deckertown, N. J Decorah, Iowa Dedham, Mass Deep River, Conn Defiance, Ohio De Kalb,Ill Delavan.Ill Delaware, Ohio Delaware City, Del Delhi, N . Y Dell Rapids, Dak Delphos,Ohio Demiug, N. Mex Deivison, Tex Denton.Md Denton,Tex Denver, Colo Deposit, N. Y Derbv Line, Vfc Derry.K.H De Sinet,Dak Des Moines, Iowa Detroit, Mich Detroit City, Minn Devil's Lake, Dak De Witt, Iowa Dexter, Me Di£hton,Kans Dillon,Mont Dillsburgh, P a Dixon,lll Dodge City,Kans Doland,Dak Dorchester, Nebr Douglas, AVyo , Dover,Me ,,„,.,..„..„.».,,.,.».,.•..,„, 542 503 11 172 173 91 50 353 470 581 696 743 830 857 1101 990 504 640 1102 1067 516 544 696 743 795 309 859 92 173 643 744 744 643 442 219 1068 644 1095 544 457 545 1028 219 51 31 1068 859 795 894 1069 860 12 941 1089 353 744 942 1069 991 1114 IZ 1120 INDEX OF TOWNS. Page. 31 309 442 219 354 942 354 546 861 894 220 220 1031 488 Dover,N. H Dover.N. J Dover, Del Dover Plains, N. Y Downingtown, Pa Downs, Kans Doylestown, Pa Dublin, Tex Dubuque, Iowa Duluth.Minn Dundee, N.Y Dunkirk.N. Y Durango, Colo Durham.N. C E. Eagle Grove, Iowa Earlville, III East Cambridge, Mass East Greenwich, 11.1 East Haddam, Conn East Hampton, Mass East Jaffrey, N. H East Liverpool, Ohio East Portland, Oregon East Saginaw, Mich. East Stroudsburgh, Pa Easton.Pa Eastern, Md East port, Me Eaton, Ohio Eaton Rapids, Mich Eau Claire, Wis Eden.Me Edgariown, Mass Ediueston, N. Y El Dorado, Kans ElPaso.Tex ElPaso.Ill Elgin, 111 Elizabeth, N . J Elizabefchtown, P a Elizabeth town, Ky Elkader.Iowa...-' Elkhart,Tnd Elkhorn.Wis ElktoD.Md Ellensburgh, Wash Ellenville, N. Y Eliicott City, Md Ellsworth, Me Ellsworth, Kans Elm Creek, Nebr Elmira,N.Y Elyria,Ohio Emmetsburgh, Iowa Emporia,Kans Emporium, P a Englewood, 111. (See Chicago) Ennis, Tex 1 Enterprise, Oregon Ephrata,Pa Erie.Pa Erie,Kans .. Escanaba, Mich Eufaula,Ala Eugene (City), Oregon Eureka, Kans Eutaw, Ala Evansville, Ind Exeter,N.H Exeter, Nebr F. Fairbury,Ill Fairbury, Nebr Fairfield, Me Fairfield, Iowa Fairfield, Nebr FairHaven,Vt Fairhaven, Mass Fairmont, W. Va Fall River.Mass Falls City, Nebr Falls Village, C o n n . . . . . Falmouth, Mass Fargo, Dak Faribault, Minn Farmer City, 111 Farmersvilie, Tex Farmington, Me Farmington, N. H Fayetteville, N. Y Fayetteville, N. C Fayetteville, Tenn Felicity, Ohio Fergus Falls, Minn Findlay, Ohio Fiskbiil Landing, N. Y Fitehburg, Mass Flomington, N. J . Flint, Mich 862 Flora, 111 745 Florence, Ala 92 Flushing, Ohio 150 Flushing, Mich 173 Fond du Lac, Wis 13 ) Fonda, N . Y 32 Forney, Tex 044 Fort Atkinson, Wis 1053 798 , Fort Benton, Mont Fort Collins, Colo 355 354 ; F o r t Dodge, Iowa Fort Edward, N, Y 457 Fort Madison, Iowa 12 Fort Payne, Ala 645 799 \ Fort Plain, N. Y 831 Fort Scott, Kans Fort Smith, Ark 13 93 . Fort Wayne, Ind 221 ! Fort Worth, Tex 942 : Fostoria, Ohio.... Fox Lake, Wis 546 Francesto wn, N. II 746 '< 745 t Frankfort, N. Y Frankfort, Ky 310 Frankfort, Ind . » 356 Frankfort, Kans 582 Franklin, N . H 802 697 i Franklin, Mass 831 ! FrankLn, N. Y 458 : Franklin, Pa 1102 ! Franklin, Tenn 221 I Franklin, Ohio Franklin, I n d 458 Franklinville, N. Y 13 Frederick, Md 943 991 , Fredericksburah, Va 222 I Fredonia, N. Y 64.5 i Fredonia, Kans 862 \ Freehold, N . J 944 i Freeport, 111 356 Fremont, Ohio 735 I Fremont, Nebr 547 j Frenchtown, N. J 1054 i Fresno, Cal 356 i Friend. Nebr 357 ! Friendship, N. Y 944 , Front Royal, Va 800 i Fullerton, Nebr Fulton, N . Y 516 1054 ! Fultonville, N. Y 945 G. 517 697 Gadsden, Ala 32 Gainesville, Ga 992 Gainesville, Fla Gainesville, Tex Galena, 111 Galesburgh, III 746 Galion, Ohio 992 Gallipolis, Ohio 14 863 Galva,Ill Galveston, Tex 993 Gap, P a 51 Garden City, Kans 93 Gardiner, Me 480 Gardner,Mass 94 Garnett, Kans 993 ,. „ Page. 174 96 1070 895 747 548 14 33 222 488 607 646 896 646 223 96 310 800 747 517 647 801 831 223 548 832 1090 1031 863 223 864 518 224 945 -575 699 548 647 832 33 224 5«3 700 946 33 98 224 358 607 648 700 225 459 470 225 946 311 748 648 993 311 1030 994 226 471 995 226 227 518 504 509 551 748 749 648 649 750 552 358 946 14 98 947; 1121 INDEX OF TOWNS. Page. 650 552 227 750 228 050 995 98 466 583 650 651 359 995 948 312 897 359 228 864 1031 99 312 229 1102 229 701 230 100 480 1071 553 1071 801 996 1032 801 833 914 230 101 948 34 1090 1032 833 360 701 101 231 488 360 702 150 361 495 523 553 651 803 232 996 504 751 865 865 232 866 1033 Garrettsville, Ohio Gatesville, Tex Gteneseo, K Y Geneseo,Ill Geneva, N. Y Geneva, Ohio Geneva, Nebr Georgetown, Mass Georgetown, D. C Georgetown, Ky Georgetown, Ohio Germantown, Ohio Gettysburgh, P a Gibbon,Nebr Girard,Kans Glassborough, N. J Glencoe, Minn Glen Rock, Pa Glens Falls, N. Y Glenwood, Iowa Glenwood Springs, Colo Gloucester, Mass Gloucester City, N. J Gloversville, N. Y Goldendale, Wash Goshen, N. Y Goshen, Ind Gouverneur, N. Y Grafton, Mass Grafton, W. Va Grafton, Dak Granbury, Tex Grand Forks, Dak Grand Haven, Mich Grand Island, Nebr Grand Junction, Colo Grand Rapids, Mich Grand Rapids, Wis Grant City, Mo Grauville, N. Y Great Barrington, Mass Great Bend, Kans Great Falls, N. H Great Falls, Mont G reeley, Colo Green Bay, Wis Greencastle, P a Greencaatle, I n d Greenfield, Mass Greenport, N. Y Greensborough, N. C Greensburgh, P a Greensburgh, Ind Greenville, R . I Greenville, Pa Greenville, S. C Greenville, Mis s Greenville, Tex Greenville, Ohio Greenville, Mich Greenwich, N . Y Greenwood, Nebr Griffin, Ga Griggsville, 111 Grinnell, Iowa Griswold, Iowa Groton,N.Y Grundy Centre, Iowa Gunnison, Colo B. Hackettstown, N. J Haddonfield, N. J Hagerstown, Md HaiJey, Idaho Hallowell, Me Hamilton, N . Y Hamilton, Ohio Hammond, Ind Hancock, Mich Hannibal,Mo Hanover, N. H Hanover, Pa Harper.Kans Harrington, Del H. Ex. 3 312 313 460 1085 15 232 652 703 804 915 34 361 948 442 71 Page. Harrisburg,Pa.—, Harrisburgh, 111 Harrison burgh, Va Harrisonville, Mo Harrodsburgh, Ky Hartford, Conn Harvard, Nebr Harwich, Mass Hastings, Mich Hastings, Minn Hastings, Nebr Hatborough, Pa Havana, 111 Haverhill, Mass Haverstraw, N. Y Havre de Grace, Md Hays City.Kans Hazleton,Pa Hebron,Nebr Helena, Ark Helena,Mont Henderson, Ky Henrietta, Tex Henry, HI Heppner, Oregon Herington, Kans Herkimer,N. Y Hiawatha, Kans High Point, N. C Hightstown, N. J Hill City, Kans Hillsboro, Tex HilLsboro, Dak Hillsborough, N. H Hillsborough, Ohio Hillsborough, 111 U illsborough, Oregon Hillsdale, Mich Hingham, Mass Hoboken, N. J Holdrege, Nebr Hollidaysburgh, Pa Holliston, Mass Holly, Mich Holt'oD, Kans Holyoke, Mass Homer,N.Y Homestead, P a Honesdale, Pa Honey brook, Pa Honey Grove, Tex Hoopeston, 111 Hoosick Falls,N. Y Hope Valley, R. 1 Hopkinsvilie, Ky Hopkinton, Mass Hornellsville, N. Y Horton, Kans Hot Springs, Ark Hough ton, Mich Houlton, Me Houston, Tex Howard, Kans Hudson, Mass Hudson,N. Y Hudson, Wis Hughesville, P a Humboldt, Kans Humboldt, Nebr Hummelstown, P a Huntingdon, Pa Huntington, \V. Va Huntington, Ind Huntsville, Ala Huron,Dak Hustonville, Ky Hutchinson, Kans Hyannis, Mass HydePark.Vt Hyde Park, 111. (See C hicago) Hyndman,Pa - , 362 751 471 915 584 174 997 102 804 897 997 363 752 102 233 461 949 363 998 576 1091 584 554 752 1055 949 233 950 489 313 950 554 1072 35 653 752 1055 *04 104 313 999 363 104 805 950 105 233 264 364 364 555 753 234 151 585 106 234 951 576 805 16 556 951 106 235 834 365 952 999 365 365 480 703 518 1073 585 952 107 52 741 366 I. Ida Grove, Iowa Idaho Springs, Colo Ilion,N.Y 866 1033 236 1122 INDEX OF TOWNS. age. 867 953 1056 366 703 867 1000 805 868 868 806 654 806 Independence, Iowa — Independence, Kans Independence, Oregon. Indiana, P a Indianapolis, I n d Indianola, Iowa Indianola, "Nebr Ionia, Mich Iowa C ity, Iowa Iowa Falls, Iowa Iron Mountain, M i c h . . Iron ton, Ohio Iron wood, Mich Ishpeming, Mich Island Citv, Oregon . . . Ithaca, N. Y Ithaca, Mich 806 1056 236 807 J. Jackson, Miss Jackson, Tenn Jackson, Ohio Jackson, Mich Jacksonville, Fla Jacksonville, 111 Jamesburgh, N". J Jamestown, N. Y Jamestown, Dak Janesville, Wis Jeannette, Pa Jefferson, Tex Jefferson, Ohio Jefferson City, Mo Jeffersonville, Ind Jenkintown, Pa Jersey City, N. J Jerseyvilie, 111 Jetinore.Kans Jewell City, Kans Johnson City, Tenn Johnstown, Pa Joliet,Ill Joplin,Mo Junction City, Kans 524 608 654 807 509 753 314 237 1074 834 366 557 655 915 705 367 314 754 953 954 608 367 754 916 954 K. Kalamazoo, Mich Kankakee, 111 Kansas, 111 Kansas City, Mo Kansas City, Kans Kasson, Minn Kaufman, Tex Kaukauna, Wis Kearney, Nebr Keene, N. H Keeseville, N. Y Kendallville, Ind Kennebunk, Me Kennett Square, Pa Kenosha, Wis Kent, Ohio Ken ton, Ohio Keokuk, Iowa Ketchuni, Idaho Kewanee, 111 Kinderhook. N . Y Kingman, Kans Kingston, K. I Kingston. N. Y Kinsley, Kans Kinsman, Ohio Kirksville, Mo Kirkwood, 111 Kirwin, Kans Kittanning, Pa Knightstown, Ind Knoxville, Tenn .Knoxville, 111 Knoxville, Iowa Kokomo, Ind 807 755 755 916 954 897 557 835 1000 35 238 705 16 367 835 655 655 868 1086 755 239 955 151 239 956 656 919 756 956 363 706 609 756 869 706 , L. LaCrosse, Wis LaCrosse, Kans 835 959 L a F a y e t t e , Ind La Grande, Oregon La Grange, Ga . La Grange, Tex La Porte, Ind La Porte City, Iowa LaSalle.Ill ' Lagrange, Ind Lake Geneva, Wis Lake Linden, Mich Lacon, 111 Laconia, N. H Laniar, Mo..-. Lamar, Colo Lambertvillo, N\ J Lanipasas, Tex Lanark, III Lancaster, N. H Lancaster, P a Lancaster, Ky Lancaster, Ohio Langhorne, Pa Lansdale, Pa Lansing, Mich Lapeer, Mich Laramie, Wyo Laredo, Tex Lari more, Dak Lam ed, Kans Las Vegas, N. Mex Latrobe, P a Laurens, S. C Lawrence, Mass Lawrence, KanvS» La wreueeburgh, Ind Leadville, Colo Leavenworth, Kans Lebanou, N. H Lebanon, P a Lebanon, K y Lebanon, Ohio Lebanon, Ind Lee, Mass Leeslmrgh, Va Leetonia, Ohio Lehighton, Pa Leicester, Mass Le Mars, Iowa Lenox, Mass Leoniinster, Mass Leoti, Kans Lewisburgh, P a Lewiston, Me Lewiston, Idaho Lewistown, Pa Lexington, Ky Lexington,III Lexington, Nebr Liberty, Ind Liberty, Mo Liberty, Nebr Lima, Ohio Limerick, Me .Lincoln, P a Lincoln, 111 Lincoln, Kans Lincoln, Nebr Lindsborg, Kans Lisbon. Dak Litchfield, Conn Litchfield, 111 Lititz, P a . . . Little Falls, N. Y Little Falls, Minn Little Rock, A r k Littleton, N". H Livingston, Mont Lock Haven, P a Lockhart, Tex Lockport. N. Y Logansport, Ind London, Ky London. Ohio Longmont, Colo Longview, Tex Lorain, Ohio Los Angeles, Cal ." •. 706 1057 505 557 708 870 757 708 836 809 757 36 920 1033 316 558 757 37 368 586 656 371 371 809 810 1114 558 1075 957 1096 371 496 107 957 708 1034 958 37 372 586 657 709 109 471 657 373 109 869 109 110 959 , . 373 17 1086 374 587 758 1001 709 920 1002 657 17 374 758 959 1002 960 1075 177 759 375 241 898 576 38 1092 375 558 242 710 589 658 1034 559 659 f 1040 1123 INDEX OF TOWNS. Page. Louisiana, Mo Louisville, Ky Loup City. Nebr Lowell, Mass Lowville, N. Y Ludington, Mich Luverne, Minn Lynohbnrgh, Va Lyndon, Vt Lyndonviile, Y t Lynn, Mass Lyons, N. Y Lyons, Iowa Lyons, Kans 920 590 1004 110 243 810 898 472 52 52 112 24li 870 900 M. Macomb,Ul Macon, Ga Macon.Mo Madison, N. J Madison, Ind Madison, Wis Madison, Nebr Madison, Dak Mabanoy City, Pa Maiden, Mass Malone, N. Y Malta, Ohio Malvern, Pa Malvern, Iowa Manasquan, N. J Manchester, N. H Manchester Centre, Vt Mandau,Dak Manhattan, Kans Monheim, Pa Manistee, Mich • Manitowoc, Wis Mankato, Minn Mankato, Kans Manning, Iowa Mausfield, Ohio Maquoketa, Iowa Marathon, N. Y Marblehead, Mass Marengo, 111 Marengo, Iowa Marietta, P a Marietta, Ga Marietta, Ohio Marion, Iowa Marion, Kans Marlborough, Mass Marqu^tte, Mich Marseilles, 111 Marshall, Tex Marshall, Mich Marshall town, Iowa Martinsburgh, W. Ya Martinsviile, Ind Marysville, Kans Maryville, Mo Mason, Mich Mason City, 111. Mason City, Iowa Massillon, Ohio Mattoon. Ill Mauch Chunk, P a Maytield, Ky Maysville, Ky Mayville, Dak Me Arthur, Ohio McConnellsville, Ohio McCook, Nebr McGregor, Tex McGregor, Iowa McKeesport, Pa McKinney,Tex McMinnville, Tenn McMinnville, Oregon McPherson, Kans Meade Center, Kans Meadvilie, Pa. Mechanicsburgh, Pa Medianicville, N. Y M d f U N J : 759 505 921 316 710 836 1004 1075 375 114 244 659 376 871 317 38 53 1076 960 376 810 837 898 961 871 659 871 245 114 760 872 377 506 660 872 902 115 811 760 559 811 872 481 711 962 921 812 7(>0 873 660 761 377 593 593 1076 661 661 1004 560 873 378 560 610 1057 963 0(54 179 Page. Media, P a Medicine Lodge, Kans Medina, Ohio. Memphis, Tenn Memphis, Mo Meuasha, Wis Mendota, 111 Menominee, Mich Menonionie, Wis Merced, Cal M ercer. Pa Meriden, Conn Meridian, Miss Meridian. Tex Merrill, Wis Merrimac, Mass Metb iieu, Mass Metropolis, 111 Mexia, Tex Mexico,Mo Miiiniisburgh, Ohio Michigan City, Ind Middleborough, Mass Middleburgh, N. Y Middlebury, Yt Middletow'n, Conn Middietown, N. Y Middletown, Pa Middletown, Del Middletown, Ohio Middletown Springs, Yt Mifflintown, Pa Milan, M o . . Miles City, Mont Milford.N.H Milford, Mass Milford,Del Milford, Ohio Mill bury, Mass MillersDunrh, Pa Millerton, N. Y Millville.N.J Milton, Mass Milton, Pa Milwaukee, Wis Mi nden. Nebr Mineral Point, Wis Minersville, Pa Minneapolis, Minn Minneapolis, Kans Minot, Dak Missoula, Mont M issouri Valley, Iowa Mitchell, Dak.'. Mobcrly, Mo Mobile,' Ala Modesto, Cal Mohawk, N. Y Moline,Ill Monmouth, 111 Monroe, L a Monroe, Mich Monroe, W i s Monroeville, Ohio Monrovia, Cal Monson, M a s s Montague, T e x Montezuma, I o w a Montgomery, A l a Monticello, N. Y Mon tpelier, Y t Montrose, Pa Montrose, Colo Moorefield, W . V a Moorestown, N . J Moorhead, Minn Moravia, N . Y Morganfield, K y Morgantown, W . Y a Morris, 111 Morris, Minn Morrison, 111 Morristown, N . J Morristown, T e n n MormviJle, N. Y Moscow. Idaho M o u n t Curmel, P a , .. , r 380 964 662 611 921 837 761 812 837 1041 380 177 524 561 838 116 116 762 561 922 662 711 116 245 53 178 246 381 443 662 53 381 922 1093 40 117 443 663 117 382 246 317 118 382 838 ] 005 839 383 899 965 1077 1093 873 1077, 9221 519 1041 247 762 763 527 813 839 663 1042 118 561 874 519 247 54 383 1035 481 318 901 247 594 482 763 902 764 318 612 248 1087 383 1124 INDEX OF TOWNS. Page. 764 664 319 473 384 248 384 (564 813 874 765 51)4 765 605 712 385 712 385 612 765 875 813 180 180 Mount Carroll, 111 Mount Gilead, Ohio Mount Holly, N. J Mount Jackson, Va Mount Joy, P a Mount Morris, N . Y Mount Pleasant, Pa Mount Pleasant, Ohio Mount Pleasant, Mich Mount Pleasant, Iowa Mount Pulaski, 111 Mount Sterling, Ky Mount Sterling, 111 Mount Vernon, Ohio Mount Vernon, Ind Mountville, Pa.. Muncie, Ind Muncy, P a Murfreesborough, Tenn Murphysborough, 111 Museatine, Iowa Muskegon, Mich Mystic Bridge, Conn Mystic River, Conn N. Nanticoke, P a Nantucket, Mass Nashua, N. H Nashua, Iowa Nashville, Tenn Natchez, Miss Natick, Mass Naugatuck, Conn Nebraska City, Nebr Neenah, Wis Negaunee. Mich. Neligh, Nebr Nelson, Nebr Nephi, Utah Ness City, Kans Nevada, Iowa Nevada, Mo New Albany, Ind New Bedford, Mass New Berlin, N. Y NewBerne.N.C New Brighton, N. Y New Brighton, P a New Britain, Conn New Brunswick, N. J New Canaan, Conn New Castle, Me }few Castle, P a 386 118 40 875 613 525 119 180 1005 840 814 1006 1006 1098 966 875 923 712 119 249 489 249 386 181 323 181 18 386 N e w Castle, K y New Castle, Ind New Hampton, Iowa New Haven, Conn New Holland, P a New Iberia, La New Lisbon, Ohio New London, Conn New London, Ohio New Market, N. H New Milford, Conn New Orleans, La NewPaltz,N.Y New Philadelphia, Ohio New Richmond, Ohio New Windsor, Md New York, N . Y Newark, N . Y Newark,N. J Newark, Del Newark, Ohio Newberry, S. C Newburgh.N. Y Newburyport, Mass Newnan, Ga Newport, N. H Newport, V t Newport, R. I Newport, N . Y Newport, Del Newport, Ky Newton. Mass 5<J4 T,„ 714 876 182 387 528 666 184 666 41 185 528 251 667 667 461 251 249 320 444 665 406 250 121 506 41 54 151 251 444 f>9."> «. 12:2 Page. 323 876 966 387 388 595 815 766 474 1007 388 123 124 1007 55 18 125 266 714 1008 1103 123 125 55 902 967 185 667 18 186 267 267 268 Newton, N . J Newton, Iowa Newton, Kans Ne wtown, P a Newville, P a Nicholaaville, Ky NihiS, Mich . . . . ' . Nokomis,IU Norfolk, Va Norfolk, Nebr Norristown, Pa North Adams, Mass North Attleborough, Mass North Bend, Nebr North Bennington, Vt North Berwick, Me North Easton, Mass North Granville, N. Y North Manchester, Ind North Platte, Nebr North Yakima, Wash Northampton, Mass Northborough, Mass Northfield, Vt North field, Minn Norton,Kans N"orwalk, Conn Norwalk, Ohio Norway, Me Norwich, Conn Norwich,N.Y Nunda.N. Y Nyack,N. Y O. Oakland, Me Oakland. Ill Oakland, Cal Oberlin, Ohio Oberlin. Kans Ocala, Fla Oconto, Wis Odessa, Del Ogallala, Nebr Ogden, Utah Ogdensburgh, N. Y Oil City, P a Olathe, Kans Olean.N.Y Olney, 111 Olympia, Wash Oin ah a, Nebr Oneida.N.Y O'Neill, Nebr Oneonta, N. Y Opelika,Ala Orange, Mass Orange, N . J Orange, Tex Ord, Nebr Oregon, III Orlando, Fla Orleans, Nebr Orono, Me Orwell, V t Osage, Iowa Osage City, Kans Osborne, Kans Oshkosh, Wis Oskaloosa, Iowa Oswego, N . Y Oswego, Kans Ottawa, III Ottawa, Kans Ottumwa, Iowa Ouray.Colo Ovid,'Mich O watonna, Minn Owego, N. Y Owensborougb, Ky Owenton, K y " Owoaso, Mich 19 766 1042 668 967 510 840 444 1008 1098 268 389 967 268 766 1103 1009 269 1011 270 520 125 324 562 1012 767 511 1012 19 55 876 968 968 841 877 270 969 767 969 877 1035 815 902 271 596 596 816 Oxford, MUSH Oxford, N. Y Oxford, P a . . 126 „ ,. 272 389 1125 INDEX OF TOWNS. V ' Padncah, Ky Painesville, Ohio Painted Post, N. Y Palatka, Fla Palestine, Tex Palmer, Mass Palmyra, N. T Palmyra, Mo Pana," 111 Panora, Iowa Paola, Kans Paris, Tex Paris, 111 Paris, Mo Parker, Dak Parkersburgh, W. Ya Parkesburgb, Pa Park River, Dak Parsons, Kans Pasadena, Cal Pascoag, 11. I Passaic, N. J Paterson, N. J Paweatuck, Conn Pawling, N. Y Pawnee City, Nebr Paw Paw, Mich Pawtucket, K . I Paxton, 111 Peabody, Mass Peabody, Kans Peekskill, N. Y Pekin, 111 Pella, Iowa Pembina, Dak Pendleton, Oregon Pennsburgh. Pa Penn Yan, N. Y Pensacola, Ma Peoria, 111 Perry, Iowa Peru, Ind Pern, 111 Petaluma, Cal Peterborough, N. H Peterslmrgb, Ya Petersburgh, 111 Phenix, K . I Philadelphia, Pa Phillips, Me Phillipsburgh, N. J Phillipsburgh, Kans Phcemx,Ariz Phcenixville, Pa Piedmont, W. Ya Pierre, Dak Pine Plains, N. Y Pipestone, Minn Piqna, Ohio Pittsburgh, P a Pittsburgh, Kana Pittsfield, K H Pittsfield, Mass ..„ Pittsfield, 111 Pittston,Pa PlainfieM, K . J Piano, Tex P i t t s b u r g h , N. Y Plattsmouth, Nebr Plymouth, N . H Plymouth, Mass Plymouth, Pa Plymouth, Ohio Plymouth, Ind Plymouth, Mich Pocatello, Idaho Point Pleasant, W. Ya Poland,N.Y Polo, 111 Pomeroy, Ohio Pomeroy, Wash Pomona, Cal Ponca, Nebr Pontiaclll Pontiac, Mich Port Allegany, P a Paso, , 597 668 272 511 562 126 273 923 768 878 970 562 768 923 1078 482 390 1078 971 1013 153 324 325 188 273 1013 816 154 769 126 971 273 769 879 1078 1058 390 274 512 770 879 715 772 1043 42 474 772 155 391 19 326 971 1063 406 483 1079 274 903 669 406 972 42 127 772 415 326 563 275 1013 43 128 415 670 715 816 1087 484 276 773 670 1104 1044 1014 773 817 415 Port Chester, N. Y Port Deposit, Md Port Henry, N. Y Port Huron, Mich Port Jervis, N. Y Port Townsend, Wash Portland, Me Portland, Conn Portland, Oregon Portsmouth, N. H Portsmouth, Ohio Potsdam, X. Y Pottstown.Pa Pottsville, P a Poughkeepsie, K". Y Poultney, Vt Pratt, Kans Presque Isle, Me Princeton, Ky Princeton, Ind Princeton, 111 Prineville, Oregon Proctorsville, Yt Providence, K. 1 Provincetown, Mass Provo City, Utah Pueblo, Colo Pnlaski, N . Y Pulaski, Ya Pulaski, Tenn Punxsutawney, P a Putnam, Conn ,. Quaker City, Ohio Quakertown, Pa Quarryville, Pa Quincy, Mass Quincy, 111 Quincy, Mich Page. 276 462 277 818 277 1104 20 188 1058 43 670 278 416 416 278 56 972 22 598 716 774 1060 56 155 129 1099 1035 280 474 614 417 189 671 418 418 129 775 818 B. Racine, Wis Raleigh, N. C Randolph, Mass Rapid City, Dak Ravenna, Ohio Ravenna, Nebr Reading, Pa Bed Bank, N. J Red Cloud, Nebr Red H o o k . N . Y Red Jacket.Mich Red Lake Falls, Minn Red Oak.Iowa Red Wing, Minn Redfield,Dak Redlands, Cal Reno, Nev Renovo, Pa Rhinebeck, ft". Y Richfield Springs, N. Y Richmond, Me Richmond,Ya Richmond, Ky Richmond, Ind Ripley, Ohio Bipon, Wis Rising Sun, Md Rising Sun.Ind Riverside, Cal Roanoke, Va Rochelle, 111 Rochester, Jff. H Rochester, N. Y Rochester, P a Rochester, Minn Rock Hill. S. C Rock Island, 111 Rock Rapids, Iowa Rock Springs, Wvo Rook ford, 111....." Bock ford, Iowa ' 841 489 130 1079 672 1014 418 327 1014 280 818 903 880 904 1080 1044 1038 420 281 281 22 475 598 716 672 842 462 717 1044 476 776 44 281 421 904 496 778 881 1115 776 880 1126 INDEX OF TOWNS. Viii Rockland, Me Rockland, Mass Rockport, Mass Rockville, Conn Rockville, Md Rockville, Ind Rockwall, Tex Rogersville, Tenn Rolla, Mo Rome, N. Y Rome,Ga Romeo, Mich Royersford,Pa Rushville, Ind Russell, Kans Rulo,Nebr Rutland, Y t Page. 23 130 130 18!) 462 717 563 615 924 282 507 819 421 718 973 1015 56 S. Saco, Me Sacramento, Cal Saginaw, Mich Saint Albans, Yt Saint Augustine, Fla Saint Charles, Mo Saint Clairsville, Ohio Saint Cloud Minn SaintHelena, Cal Saint Ignace, Mich Saint John, Kans Saint John's, Mich Saint Johnsbury, Yt Saint Johnsville, N. Y Saint Joseph, Mo Saint Louis, Mich Saint Louis, Mo Saint Mary's, Kans Saint Paris, Ohio Saint Paul, Minn Saint Paul, Nebr Saint Peter, Minn Salamanca, N . Y Salem, Mass Salem, N. Y Salem, N. J Salem, Ya Salem, Ohio Salem, 111 Salem, Oregon Salina,Kana Salisbury, Md Salisbury, N. C SaltLake City, Utah Saltsburgh, P a San Angelo, Tex San Antonio Tex San Bernardino, C a l . . . San Diego, Cal San Francisco, Cal San Jose, Cal San Luis Obispo, Cal San Marcos, Tex Sandusky, Ohio Sandy Hill,N. Y Sanford, Fla Santa Ana, Cal Santa Barbara, Cal Santa Fe, N. Mex Santa Monica, Cal Santa Paula, Cal Santa Rosa, Cal Saratoga Springs, N. Y Saugerties, N. Y Sauk Centre, Minn Sault Ste. Marie, Mich Savannah, Ga Scandia, Kans Schenectady, N. Y Schuyler, Nebr Schuyler-sville, N. Y Schwenksvilie, P a Scottd ale, P a Scranton.Pa Seaford, Del Searsport, Me Seattle. Wash Sodnlia, Mo * St'.dan, Kaus Sehotne, Wash oe, ash S Selhi's Grove, Pa Sellersville, P a Selma, Ala Seneca, Kans Seneca Falls, N. Y Reward, Nebr Seymour, Ind Shakopee, Minn Shamokin, P a .' Sharon, P a Shawneetown, 111 Sheffield, Ala Sheltmrne Falls, Mass Shelby, Ohio Shelbyvilie, Tenn Shelbyviile, Ind Shelbyvilie, 111 24 Sheldon, Iowa 1045 Shelton, Nebr 819 Shenandoah, P a 58 Shenandoah, Iowa 512 Sherburne, N. Y 924 Sherman, Tex 673 Shippensburgh, Pa 905 Shreveport, La 1045 Shullsburgh, Wis 820 Sibley, Iowa 973 Sidney, N. Y 820 Sigourney, Iowa 58 Silver City, N. Mex : 284 Silverton,' Colo 924 j Sing Sing, N . Y 821 Sioux City, Iowa 925 Sioux Falls, Dak 974 Skowhegan, Me 673 Slatersville, R . I 906 Slatington, Pa!. 1015 Smith Centre, Kans 90S Smithfield, Ohio 284 Smyrna, Del 131 Snohomish, Wash 285 Snow Hill, Md 327 Somers, N. Y 477 Somerset, Pa 674 Somerset, Ky 779 Somerville, N. J 1060 Souderton, P a 974 South Amboy, N. J 403 South Auburn, Nebr 490 South Bend, Ind 1099 South Berwick, Me 421 South Bethlehem, Pa 563 South Charleston, Ohio 564 S o u t h Chicago, III. (See Chicago) 1045 S o u t h F r a m i n g h a m , M a s s 1046 S o u t h H a v e n , M i c h 1047 S o u t h N o r w a l k , Conn 1048 S o u t h Omaha, N e b r 1048 South Pittsburg, Tenn 565 South Weymouth, Mass 674 Southbridge, Mass 285 Southington, Conn 512 Southport, Conn 1049 Sparta, Tenn 1049 Spartanburgh, S. C 1096 Spencer, Mass 1050 Spencer, Iowa 1050 Spokane Falls, Wash 1050 Sprague, Wash 286 Spring City, P a 287 Spring Yailey, 111 908 Springfield, Yt 821 Springfield, Mass 507 Springfield, K y 975 Springfield, Tenn 287 Springfield, Ohio 1016 Springfield, 111 287 j Springfield, Mo 422 Spriugville, N. Y 422 Stafford, Kans 422 Stafford Springs, Conn 445 Stamford, Conu 25 Stamford, N . Y 1104 Stanford, Ky 927 975 1106 116 423 •. 423 520 975 288 1017 718 908 424 424 779 521 133 676 615 719 779 881 1018 425 881 288 566 425 531 843 882 288 882 1097 1037 289 883 1080 25 164 425 976 676 445 1106 463 289 426 600 328 426 328 1018 719 26 426 C7C 736 134 822 190 1018 616 134 133 190 191 616 497 134 884 1107 1109 427 781 59 135 600 616 677 780 928 289 976 191 191 290 600 1127 INDEX OF TOWNS, Stan ton, Nebr Starkville, Miss Statesville, 1 T C S. Stauntoii, Va Steelton, Pa Stephenville, Tex Sterling, 111 Sterling, Kans Steubenville, Ohio Stevens' Point, Wis Stillwater, Minn Stockbridge, Mass Stockton, K a n s Stockton, Cal Stonington, Conn Storm L a k e , I o w a Strasburgh, P a Streator, 111 Stroudsburgh. P a Stuart, Iowa Sturgia,Mich Sturgis, D a k Suftield, Conn Suffolk, Va S u l p h u r Springs, T e x Sumter, S. C Sunbury, P a Superior, Wis Superior, N e b r Suvsquehann a, P a Sutherland, I o w a Sutton, Mebr Sycamore, 111 -• - Syracuse, N . Y Syracuse, Nebr Swedesborough, N. J . Page. 1019 525 490 477 427 566 782 977 678 843 U09 138 977 K>51 192 885 427 782 428 £85 822 108 L 192 478 5G7 497 428 843 1019 429 8f- 5 1019 783 290 3020 329 T. Tacoma, Wash Talladega, Ala Tania City, Iowa Tamaqua^Pa Tampa, Fla Tarkio.Mo Tarrytown, N. Y Taunton, Mass Taylor, Tex Taylorville, 111 Temple, Tex Terre Haute, Ind Terrell, l e x Texarkana, Tex The Dalles, Oregon Thomaston,Me Thomaston, Conn Thomasville, Ga Thompson, Conn Three Rivers, Mich Tiffin, Ohio Tilton, N. H Tippecanoe City, Ohio Tip ton, Iowa Titusville, Pa Tobias, Nebr Toledo,Ohio Tom's River.N. J Topeka, Kans Towanda,Pa Tower, Minn Townsend, Mass Towson,Md Traverse City, Mich Trenton, N. J Trenton,Mo Trinidad, Colo Troy, N . Y Troy,Ohio Tnllahoraa, Tenn Tunkhannock, P a Turner's Falls, Mass Tuscaloosa, Ala Tuscola,Ill Tyler, Tex * 1109 521 886 429 513 929 291 138 567 783 568 720 569 569 1061 26 193 508 193 822 679 45 679 886 430 1020 680 329 977 430 909 139 463 823 329 929 1037 292 682 617 431 139 521 784 570 Page. XT. Union, S. C Union, Oregon Union City, Tenn Union City, Mich Union Sprinss, N. Y Uniontown, Pa Unionville, Mo Upper Sandusky, Ohio Urbana, Ohio...' Urbana.Ill Utica, N . Y Uxbridge, Mass «.. 497 1062 617 823 294 431 930 682 683 784 295 140 V. Valley City, Dak Valparaiso, Ind Vancouver, Wash Vandalia.lll Van Wert,Ohio Vassar, Mich Yergennes, V t Vernon, N . Y Vernon.Tex Vevay, Ind Vicksburg, Miss Villisca, Iowa Vincennes, Ind Vincentown, N. J Vineland,N.J Virginia, 111 1082 721 1111 784 684 824 59 296 570 721 525 886 722 330 331 785 W. Wabash,Ind Wabasha, Minn Waco, Tex Wahoo,Nebr Wahpeton, Dak Wa Keeney, Kans Waken eld,'Mass Waketield, R. I Walden,N.Y Waldoborough, Me Walla Walla, Wash Wallingford, Conn Waltham, Mass Wamego, Kans Wapakoneta, Ohio Ware, Mass Wareham, Mass Warren, R . I Warren, Pa Warren, Ohio Warsaw, N. Y Warwick, N . Y Washington, N . J Washington, Pa Washington, D.C Washington. Ind Washington^ Iowa Washington, Kans Waterbury, Vt Waterbury, Conn Waterloo, 'N. Y Waterloo, Iowa Watertown, Mass Watertown, N. Y Watertown, Wis Watertown, Dak Waterville, Me Waterville, N. Y Watkins, N. Y Watseka, 111 Watsontown, Pa Waukegan, 111 Waukesha, Wis Waupun, Wis Wausau, Wis Waverly, N. Y Waverly, Iowa Waxabachie, Tex Wayne, Nebr 723 910 571 1021 1082 979 140 164 296 27 1111 193 140 979 684 141 141 164 432 685 297 297 331 432 466 723 887 979 60 194 297 887 141 298 844 1083 27 299 299 785 433 786 844 845 845 300 888 572 1021 1128 INDEX OF TOWNS. Way nesbornugh, Pa Waynesburgh, Fa Waynesville, Ohio Weatherford, Tex Webster, Mass Webster City, Iowa Weeping Water, Nebr Wellington, Ohio Wellington, Kans Wells River, Yt Wellsborough, Pa Wellsburgh, W. Ya Wellston, Ohio Wellsville, N. Y Wellsville, Ohio Wenona, 111 WestChester, Pa West Grove, Pa West Point, Miss West Point, Nebr West Randolph, Yt West Superior, Wis. (See Superior) West Troy, N . Y West Union, Iowa WestWinfield.N.Y West Winsted, Conn Westborough, Mass Westerly, R. I Westfield, Mass Westfield,N.Y Westminster, Mass Westminster, Md Westmoreland, Kans Weston, W. Ya Westport, Conn Weymouth, Mass What Cheer, Iowa Whatcom, Wash Wheeling, W. Ya White River Junction, Yt White Sulphur Springs, Mont Whitehall, N. Y Whitehall, Mich Whitewater, Wis Whitinsville, Mass Wichita, Kans Wichita Falls, Tex Wickford.R.1 Wilber, Nebr Wilkes Barre, Pa Williamsport, Pa Williamsport, Md Williamstown, Mass Willimantic, Conn Page. 434 434 686 572 142 888 1022 686 980 60 I 434 484 687 300 687 786 435 436 526 1022 61 843 301 889 301 195 142 165 142 300 143 464 981 485 195 143 89u 1112 485 61 1094 301 824 845 144 982 573 166 1023 436 437 465 144 196 Wilmington, Del Wilmington, N. C Wilmington, Ohio Wilmington, 111 Wilson.N.C Winchendon, Mass Winchester, N. H Winchester, Ya Winchester, Ky Windsor, Yt Winnemucca, Nev Winfield,Kans. Winnsborough, S. C Winona,Minn Winsted, Conn Winston, N. C Winterset, Iowa Winthrop, Me Wiscasset,Me Wisner, Nebr Woburn, Mass Wolfborough, N . H Wolfe City, Tex Wood River, Nebr Woodbury,N. J Woodstock, Yt Woodstock, 111 Woodstown, N. J" Woonsocket, R. I Wooster, Ohio Worcester, Mass Wrentham, Mass Wrightsville, Pa Wyoming, Iowa ; Page. 446 491 687 786 491 r... 144 45 478 601 61 1038 983 498 910 196 491 890 28 28 1023 145 45 574 1023 331 62 787 332 167 688 145 147 439 891 X. Xenia, Ohio 689 Y. Yankton,Dak Yarmouth Port, Mass Yates Center, Kans. YazooCity, Miss Yonkers, N. Y York, Pa York,Nebr Youngstown, Ohio Ypsilanti, Mich 1084 148 984 526 302 440 1024 689 825 Z. Zanesville, Ohio 691 NUMERICAL INDEX OF BANKS. Title of bank. 39 45 56 60 68 74 76 86 87 90 91 93 94 95 98 99 100 104 106 107 108 109 111 112 113 118 121 122 123 124 125 126 127 128 129 130 134 136 138 142 143 144 148 149 150 151 152 154 155 157 159 160 164 165 167 First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank Third National Bank First National Bank First National Bank Fourth National Bank First National Bank First National Bank First National Bank First National Bank First National Bank Second National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Ban k First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank Second National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank Third National Bank First National Bank First National Bank First National Bank First National Bank Location. Stamford Syracuse Eric Springfield Cincinnati New York Huntingdon Fiahkill Landing . Findlay Aurora . Towanda Ellen v Me Hamilton Ne wville Portsmouth Warren Canton...: , Germantown , New York Upper Sand usky.. Toledo Cincinnati Port Jervis Hudson Iron ton Moravia Cadiz Wilkes Burre Ravenna Ottumwa Rock Island Louisville . Madison Bangor Danville Circleville Hartford Springfield Columbus Whitewater . . . Reading South Bend Cardington Chillicothe Wabash Bennington Providence Gallipolia Bethlehem... . Marietta Conneautville . Madison . West Chester... Elmira , Nashville New Berlin .". Danville Auburn Ypsilanti , Fort Atkinson. Syracuso. Moline.. Zanesville . Bath Geneva Page. State. Connecticut New York Pen nsy 1 vania Massachusetts Ohio New York Pennsylvania New York Ohio Illinois Pennsylvania New York Ohio Pennsylvania Ohio Ohio Ohio Ohio..... New York Ohio Ohio Ohio New York Wisconsin Ohio New York Ohio Pennsylvania Ohio . Iowa Illinois Kentucky Indiana Maine Illinois Ohio Connecticut Vermont Ohio Wisconsin Pennsylvania Indiana Ohio Ohio Indiana Vermont Rhode Island Ohio Pennsylvania Ohio Pennsylvania Wisconsin Pennsylvania New York Tennessee New York Indiana Maine Michigan Wisconsin New York Illinois Ohio New York New York , . 1129 191 290 357 135 630 251 365 223 646 726 430 221 652 388 670 685 628 651 252 682 680 631 277 834 654 247 625 437 672 877 778 590 710 5 743 634 174 59 G38 845 418 719 628 629 723 47 155 649 389 660 351 836 435 222 613 249 696 3 825 832 290 762 691 204 228 1130 NUMERICAL INDEX OF BANKS. Location. Title of bank. 168 170 172 173 175 176 177 178 180 181 182 183 185 186 187 188 189 190 191 192 194 197 198 200 201 202 203 204 205 206 209 210 211 212 213 214 215 216 210 221 222 223 224 226 227 228 230 233 234 237 238 239 240 241 242 243 244 245 246 247 248 249 250 251 252 253 254 255 256 258 260 261 262 263 265 266 267 268. 270 272 273 275 F i r s t National Bank Third National Bank Second National Bank First National Bank First National Bank F i r s t National Bank F i r s t National Bank F i r s t National Bank F i r s t National BantC Second National Bank F i r s t National Bank First National Bank Second National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank Second National Bank First National Bank First National Bank Second National Bank First National Bank First National Bank.... First National Bank. First National Bank First National Bank First National Bank Second National Bank Second Nation 1 Bank First National Bank Second National Bank First National Bank First National Bank First National Bank Third National Bank First National Bank First National Bank First National Bank First National Bank First National Bank Second National Bank First National Bank First National Bank First National Bank First National Bank First National Bank Second National Bank First National Bank First National Bank First National Bank Second National Bank First National Bank Sixth National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank Second National Bank First National Bauk First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank Hillsdale Saint Louis Circleville Oil City Williamsport Peoria "Wilmington Columbus Parkersb u rgh Springfield Leaven worth Ashland . ; TJtica . i Rockville ; Hanover I fJrafton . Franklin Westfield Kalamazoo Brunswick North Bennington . ¥ork Allegheny Boston Harrisburg ! Binghamtoh | Saint Paul | Baltimore Springfield ElUhart Omaha j Saudusky Lockport Kenosha Philadelphia Bridgeport Norwalk Massillon Green Castle Portland Ithaca , Cooperstown Norwich Cortland New Haven Orwell Monroe Athens philadelphia Bryan Springfield Skowhegan Lebanon Galesburgh Ironton Delaware Waynesborough Moirisville Wrightsville Altoona Toledo Greenville Meriden My stic Bridge....... Pittsburgh Milton New York...' Oswego Fall River Mount Gilead Saint Charles New Bedford Hornellsville Springfield Friendship Plattsburgh Albany Merrimac Union town Norristo wn Oxford Ionia State. Michigan . Missouri.. Ohio. Pennsylvania Pennsylvania Illinois Illinois Wisconsin I West Virginia... j Massachusetts... | Kansas I Ohio I New York I Connecticut Pennsylvania — Massachusetts... Pennsylvania j Massachusetts... i Michigan | Maine I Vermont i Pennsylvania ) Pennsylvania Massachusetts... Pennsylvania New York Minnesota Maryland Illinois Indiana Nebraska Ohio New York Wisconsin Pennsylvania— Ohio , Ohio Ohio Indiana Maine New York New York Connecticut New York Connecticut Vermont Wisconsin Ohio Pennsylvania... Ohio Ohio Maine Pennsylvania... Illinois Ohio Ohio Pennsylvania... New York Pennsylvania... Pennsylvania... Ohio. Pennsylvania Connecticut Connecticut Pennsylvania... Pennsylvania... New York New York Massachusetts.. Ohio Missouri Massachusetts.. N e w York Ohio N e w York N e w York N e w York Massachusetts.. Pennsylvania... Pennsylvania... N e w York Michigan Page. 804 925 635 389 437 770 786 830 482 135 958 619 295 189 361 100 358 142 807 9 55 440 333 67 362 204 906 448 780 697 1009 674 242 835 391 623 6G7 660 701 20 2361 216 187 217 182 55 839 620 392 624 677 25 372 749 654 643 434 248 439 335 680 361 177 180 407 382 253 270 94 664 924 119 234 677 226 275 197 116 431 388 272 805 1131 NUMERICAL INDEX OF BANKS. Title of bank. 278 First National Bank Location. Brandon Nevvburyport 279 First National Bank 280 First National Bank Coopersto wn 281 First National Bank J Trenton 282 First National Bank ! Franklin 283 Fourth National Bank ! Saint Louis 288 First National Bank , ; James burgh 290 Fourth National Bank ! New York 291 Third National Bank I Pittsburgh 292 First National Bank Bald winsv ill e 298 First National Bank •, Bloom sburgh 295 First National Bank ! Palmyra 296 Second National Bank i Oswego ! 297 First National Bank Waverly 298 Second National Bank ; Skowhegan 299 First National Ban k ; Mount Pleasant.. 302 First National Bank j Andes 306 Second National Bank \ Bangor 808 Third National Bank I Springfield. 311 First National Bank : Getty sburgh 812 First National Bank i. Media 313 First National Bank i Indiana 314 First National Bank Warwick Saint Clairsville 315 First National Bank 316 First National Bank Champlain 317 First National Bank .'..I Dubuque 318 First National Bank j Concord 321 Vilas National Bank I Plattsburgh 322 Second National Bank Boston 323 - First National Bank McGregor 324 First National Bank New town Danville 825 I First National Bank. 326 j Second National Bank Mechanicsburgh. Winchendon 327 First National Bank Wellsborough . . . 328 First National Ban k 829 First National Bank Paterson 330 First National Bank Lewiston 331 First National Bank Lowell 332 First National Bank Chester 333 First National Bank Lancaster Greenport 334 First National Bank Bridgeport 38.1 First National Bank Memphis 336 | First National Bank Centerville . 337 First National Bank Batavia 340 First National Bank New York 841 Fifth National Bank Union Springs... 842 First National Bank Fair Haven 344 First National Bank New York 345 i New York National Exchange Bank. Vevay 346 First National Bank J" La con 347 First National Bank 348 First National Bank Lowville 349 First National Bank Newark 350 Second National Bank Ravenna Burlington 351 First National Bank Philadelphia 352 I Sixth National Hank 353 First National Bank j Candor 354 First National Bank | Jiomeo 3')5 Delaware County National Bank ' Chester 356 First National Bank j (Ireensburgh 357 First National Bank j Selin's Grove Ponn Yan 3")8 First National Bank Boston 359 Third National Bank Hartford 361 I National Exchange Bank Ise ivark. 362 j Second National Bank 303 First National Bank Pom 365 j First National Bank Wilmington Mount Vernon... 366 | First National Bank Augusta 367 First National Bank 368 First National Bank , Waterloo 370 First National Bank Vincentown Columbia 371 I First National Bank Allentown 373 i Second National Bank Jersey City 874 I First National Bank Saint Johnsville. 375 i First National Bank New York 876 ! Central National Bank 377 j First National Bank La Porte Boston , 379 i National Bank of the Republic Mechanicsburgh. 3«0 First National Bank Cumberland , 381 Fi rat, National. Bank Brockport 382 First National B a n k . Northampton.... 383 First National Bank State. Vermont. Massachusetts... New York New Jersey New York i Missouri New Jersey New York. ' Pennsylvania New York i Pennsylvania.... ! New York i New York ! New York i Maine i Iowa j New York i Maine | Massachusetts... Pennsylvania Pennsylvania Pennsylvania I New York I Ohio I New York j Iowa New Hampshire.. New York. Massachusetts.. Iowa Pennsylvania... Pennsylvania... Pennsylvania... Massachusetts.. Pennsylvania... New Jersey Maine Massachusetts.. Pennsylvania... Pennsylvania .. New York Connecticut Tennessee Iowa New York New York New York Vermont New York Indiana Illinois New York New York Ohio Iowa Pennsylvania... New York Michigan Pennsylvania... Indiana Pennsylvania... New York Massachusetts.. Connecticut New Jersey Indiana. Ohio ' Indiana M aine New York New Jersey Pennsylvania... Pennsylvania... New Jersey New York New York Indiana Massachusetts., Pennsylvania... Maryland , New York , Massachusetts. Page. 48 121 216 329 224 926 314 252 407 203 340 273 271 300 25 874 201 5 135 359 i80 366 297 673 213 861 30 276 67 873 387 353 379 144 434 825 17 110 347 308 231 169 611 852 204 253 294 51 264 721 757 243 240 672 849 392 211 819 347 702 423 274 68 176 320 715 687 712 4 297 330 350 334 314 284 255 708 80 379 456 206 123 1132 NUMERICAL INDEX OF BANKS. Title of bank. 385 386 387 390 392 393 394 395 396 397 399 401 402 404 407 408 409 411 412 413 414 415 416 418 419 420 421 422 423 424 425 426 427 428 430 431 432 433 435 437 439 440 442 443 445 446 447 448 449 450 452 455 457 458 459 460 461 462 465 468 469 471 472 473 474 475 476 478 479 481 482 483 484 486 487 489 490 491 492 493 494 Second National Bank First National Bank Ninth National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank National Mechanics and Traders' Bank .. First National Bank Brandon National Bank First National Bank Boston National Bank First National Bank First National Bank First National Bank Seventh National Bank Second National Bank First National Bank First National Bank of Easton Hampshire County National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank __. First National Bank First National Bank First National Bank Fourth National Bank First National Bank of Cambridge First National Bank First National Bank Second National Bank First National Bank Worcester National Bank First National Bank First National Bank First National Bank First National Bank First National Bank Cambridge National Bank First National Bank of Killingly First National Bank Central National Bank First National Bank First National Bank First National Bank National Hide and Leather Bank First National Bank First National Bank First National Bank National Bank Second National Bank First National Bank Deposit National Bank First National Bank First National Bank Merchants' National Bank City National Bank First National Bank Third National Bank . First National Bauk Second National Bank City National Bank HaVerh ill National Bank Charter Oak National Bank First National Bank First National Bank National Bank Second National Bank First National Bank First National Bank Bath National Bank Location. Freeport Mount Pleasant . New York Marquette Mercer Amherst Westport Somer ville Hudson Middletown Woodstown Portsmouth , Port Chester Brandon Salem Boston Mount C a r r o l l . . . Marshalltown . . . Aurora '. Philadelphia Baltimore , Canton North Easton Northampton Galion Oneonta Westborough Van Wert Miners ville Quincy llipon Fox Lake Jefferson East Hampton... Lansdale Camden Pittsburgh Cambridgeport . . Glen Rock Mauch Chunk Fall River Clinton Worcester Bucyrus Red Bank Damariscotta Plainfield Putnam East Cambridge . Daniel son ville . . . Freehold "Worcester Racine Norwich Bellefonte Boston Cobleskill Adams Poughkeepsie . . . Newburgh Mauch Chunk . . . Sing Sing Deposit Wilmington Greenfield Boston Worcester Pittstnn Rockford Haverhill Rockford Cedar Rapids Haverhill Hartford Elizabeth Saint Johnsbury. Fairhaven , Galesburgh Mount Pleasant .. Decorah Bath _ State. Illinois Pennsylvania NewYork Michigan Pennsylvania Massachusetts... Connecticut New Jersey NewYork Connecticut New Jersey New Hampshire NewYork Vermont Massachusetts... Massachusetts... Illinois Iowa NewYork Pennsylvania Maryland Illinois Massachusetts... Massachusetts Ohio. New York Massachusetts. Ohio Pennsylvania.. Illinois Wisconsin Wisconsin Ohio. Massachusetts. Pennsylvania.. New Jersey Pennsylvania.. Massachusetts. Pennsylvania. Pennsylvania . . Massachusetts.. Massachusetts.. Massachusetts.. Ohio New Jersey Maine New Jersey Connecticut Massachusetts. . Connecticut New Jersey Massachusetts.. Wisconsin Connecticut Pennsylvania... Massachusetts.. New York Massachusetts.. New York New York Pennsylvania ... New York New York Delaware Massachusetts.. Massachusetts.. Massachusetts.. Pennsylvania... Illinois Massachusetts.. Illinois Iowa Massachusetts.. Connecticut New Jersey Vermont Massachusetts.. Illinois Ohio Iowa Maine Page. 748 384. 254 811 380 64 195 328 235 178 332 43 276 48 131 69 764 872 202 392 448 731 125 124 648 270 142 684 383 775 842 832 655 93 371 307 407 88 359 377 94 90 147 624 327 11 326 189 92 173 311 145 841 186 338 81 215 63 278 250 378 289 219 446 101 77 146 415 776 102 776 851 103 175 310 58 93 749 664 1133 NUMERICAL, INDEX OF BANKS. Title of bank. 496 497 498 499 501 502 503 505 506 507 508 509 510 511 512 514 515 510 517 518 520 522 523 524 525 528 529 531 532 533 534 535 536 537 538 539 540 541 542 543 544 545 546 547 548 549 551 552 553 554 555 556 First National Bank First National Bank Granite National Bank Derry National Bank First National Bank I First National Bank I Monson National Bank Market National Bank Merchants' National Bank First National Bank North western National Bank Rockville National Bank Union National Bank First National Bank First National Bank Blackstone National Bank National Bank of Redemption First National Bank of Yarmouth I National Mount Wollaston Bank , Kenduskeag National Bank : First National Bank ' Eighth National Bank j First National Bank | Continental National Bank I North National Bank i Framingham National Bank National Exchange Bank Grundy County National Bank Northern National Bank First National Bank First National Bank Keystone National Bank Eliot National Bank Connecticut River National Bank Farmers and Mechanics' National Bank .. Philadelphia National Bank Penu National Bank National Bank of the Northern Liberties. Corn Exchange National Bank City National Bank Kensington National Bank Boylston National Bank National Bank of German to vra National Bank of Commerce First National Bank First National Bank Broadway National Bank National Bank of Chester County National Bank National Bank of Commerce First National Bank Commercial National Bank of Pennsylvania 557 Manufacturers' National Bank 558 Randolph National Bank 559 Cheshire National Bunk 560 Southwark National Bank 561 Consolidation National Bank 562 First National Bank 563 Union National Bank 565 Second National Bank 567 First National Bank 568 First National Bank 569 Corry National Bank 570 Tradesmen's National Bank 571 First National Bank 572 Millbury National Bank 573 Doylestown National Bank 574 Amoskeag National Bank 575 National Bank of Chester Valley 576 First National Bank 578 Howard National Bank 579 First National Bank 580 Harrisburg National Bank 581 Indianapolis National Bank 582 Shawmut National Bank 584 Mechanicks' National Bank 585 ! National Bank 586 ! First National Bank 587 of New 588 National Bank Bank Jersey First National Essex National Bank ..„,.„....,....,, Location. State. Page. Hastings Sutfield Augusta Derry Smithfield South Norwalk Monson Boston Lowell Lock Haven Chicago Rockville Weymouth Jacksonville Joliet. Boston Boston Yarmouth Port Quincy Bangor Warren Philadelphia Middletown Boston Boston South Framingham. Boston Morris Hallo well Chelsea Goneseo Erie . Boston Charlestown Philadelphia Philadelphia Philadelphia Philadelphia Ph iladelphia Philadelphia Ph iladelphia Boston Philadelphia Philadelphia Jamestown Gloucester Boston West Chester Winthrop Boston Fond du Lac Minnesota Connecticut Maine New Hampshire. Ohio Connecticut Massachusetts Massachusetts Massachusetts.... Pennsylvania Illinois Connecticut Massachusetts— Illinois Illinois Massachusetts — Massachusetts.... Massachusetts Massachusetts Main Pennsylvania Pennsylvania New York Massachusetts Massachusetts Massachusetts Massachusetts Illinois Maine Massachusetts Illinois Pennsylvania Massachusetts New Hampshire. Pennsylvania Pennsylvania Pennsylvania Pennsylvania Pennsylvania Pennsylvania Pennsylvania Massachusetts Pennsylvania Pennsylvania New York Massachusetts Massachusetts.... Pennsylvania Maine Massachusetts Wisconsin 897 192 4 31 676 190 118 75 111 375 740 189 143 753 754 69 79 148 129 5 432 393 246 72 84 134 81 764 16 90 750 357 72 29 397 403 402 401 396 395 398 70 Philadelphia Philadelphia Randolph Keene . Philadelphia Philadelphia Now Castle Philadelphia Providence Mali an oy City . . Berwick Corry Philadelphia Crawfordsville.. Millbury Doylestown Manchester Coatesville Francestown . . . . Boston Rochester Harrisburg.. Indianapolis Boston Newburyport Middletown Washington New Brunswick . Maiden Pennsylvania Pennsylvania Massachusetts New Hampshire.. Pennsylvania Pennsylvania Pennsylvania Penn sy 1 vania Rhode Island Pennsylvania Pennsylvania Pennsylvania Pennsylvania Indiana. Massachusetts Pennsylvania New Hampshire.. Pennsylvania New Hampshire.. Massachusetts Minnesota Pennsylvania Indiana Massachusetts Massachusetts Pennsylvania Pennsylvania New Jersey 395 399 130 35 404 396 386 405 155 375 338 352 405 695 117 354 39 350 33 74 904 362 704 85 121 381 432 323 114 1Q3 Massachusetts Massachusetts 40 L 400 237 99 70 436 28 78 831 1134 NUMERICAL INDEX OF BANKS. Title of bank. 590 591 592 593 594 595 596 597 598 600 601 602 603 604 606 607 608 609 610 611 612 613 614 615 616 618 619 623 625 626 628 629 633 634 635 637 638 639 640 641 642 643 644 645 646 647 648 649 651 652 653 654 655 656 657 658 659 660 661 *662 663 664 665 666 667 668 669 670 672 673 674 675 676 677 678 679 680 681 Location. Fall River National Bank Fall River National Exchange Bank Columbus Philadelphia Girard National Bank National Bank Chambersburgh. First National Bank Danvers People's National Bank of Roxbury Boston Claremont Claremont National Bank Farmers' National Bank Lancaster Farmers' National Bank Maloue First National Bank Three Rivers Washington National Bank Boston Philadelphia Bank of North America New England National Bank Boston York York National Bank Second National Bank Kriu Toledo National Bank Toledo National Bank Pottstown Boston. National C ity Bank Philadelphia Mechanics' National Bank Gettvsburgh Gettysburg National Bank Massasoit National Bank Fall 'River Merchants and Manufacturers' National Pittsburgh Bank East Cambridge .. Lechmere National Bank Boston National Eockland Bank of Roxbury Warren National Bank Peabody South \V>ymouth. First National Bank Citizens' National Bank Pittsburgh Commonwealth National Bank Philadelphia Tremont National Bank Boston ] lopkinton Hopkinton National Bank Ware Ware National Bank Boston Suffolk National Bank Merrimack National Bank Haverhill Asiatic National Bank Salem Bunker Hill National Bank of Charlestown Boston . Providen ce Third National Bank First National Bank East Saginaw First National Bank •Lyim Niagara County National Bank Lockport Troy City National Bank Troy Columbia National Bank Columbia Merchants' National Bank Chicago , Atlantic National Bank Boston Honesdale National Bank Honesdale Mystic River National Bank Mystic River Shoe and Leather National Bank Boston Naumkeag National Bank Salem ... Monongahela National Bank BrownsxMlle Miners' N tional Bank Pottsville First National Bank . Alexandria Kent National Bank Kent First National Bank Youkers Atlas National Bank Boston. Valley National Bank '. Lebanon Western National Bank - Philadelphia Thames National Bank : Norwich Nassau National Bank .-Brooklyn Fallkill National Bank Poughkeepsie Southport National Bank Southport Downingtown National Bank Downingtown First National Bank Richmond Neponset National Bank (] antou First National Bank Carbondale Freeman's National Bauk Boston National Bank of Commerce New London First National Bank Mount Joy Pittsburgh National Bank of Commerce.. Pittsburgh Dedham National Bank Dedham Phcenix National Bank Hartford National Bank of North America Boston First National Bank Warren National Bank Phcenixville lion City National Bank Pittsburgh National Grand Bank Marblehead Maverick National Bank Boston Tradesmen's National Bank Pittsburgh Pocasset National Bank Fall River Lebanon National Bank J Lebanon. National Bauk of Fayette County j II nioutown Lancaster County National Bunk ; Lancaster * Erroneously printed 622. Massachusetts Ohio Pennsylvania Pennsylvania Massachusetts Massachusetts New Hampshire Pennsylvania' -. New York Michigan Massachusetts Pennsylvania Massachusetts Pennsylvania Pennsylvania Ohio..' Pennsylvania Massachusetts Pennsylvania Pennsylvania Massachusetts 94 640 397 346 91 84 29 369 244 822 87 394 83 441 £57 681 416 80 400 359 95 Pennsylvania M assachuset ts Massachusetts Massachusetts Massach usetts Pennsylvania PennsyIvania Massachusetts M assachusetts Massachusetts Massachusetts Massachusetts Massachusetts 412 92 82 127 134 408 396 86 106 141 86 104 131 Massachusetts.. Rhode Island . . . Michigan Massachusetts. New York New York Pennsylvania... Illinois Massachusetts.. Pennsylvania... Connecticut Massachusetts.. Massachusetts.. Pennsylvania... Pennsylvania... Virginia Ohio New York Massach usetts.. Pennsylvania... Pennsylvania... Connecticut New York New York Connecticut Pennsylvania . . . Maine Massachusetts.. Pennsylvania... Massachusetts.. Connecticut Pennsylvania... Pennsylvania ... Massachusetts.. Connecticut Massachusetts -. Rhode Island . . . Pennsylvania... Pennsylvania... Massachusetts.. Massachusetts .. Pennsylvania ... Massachusetts.. Pennsylvania. Pennsylvania.. Pennsylvania.. 70 156 798 112 242 293 351 739 68 364 380 85 132 344 417 469 655 302 69 373 405 187 207 279 191 354 22 89 346 73 184 384 414 92 177 79 164 406 411 115 76 414 96 372 431 370 1135 NUMERICAL INDEX OF BANKS. Title of bank. 684 685 687 688 690 691 *693 694 69,5 700 701 702 704 705 706 707 708 709 710 711 712 713 714 715 716 717 718 720 721 722 723 725 726 727 728 731 732 733 734 735 736 737 738 740 742 743 745 746 747 748 749 751 752 753 754 756 757 758 760 761 762 763 764 765 766 767 768 769 770 772 774 775 776 777 778 779 780 781 782 Location. Blue Hill National Bank Farmers' Deposit National Bank National Broadway Bank Waltham National Bank National Bank of Commerce Mercantile National Bank National Union Bank York County National Bank Second National Bank Farmers' National Bank National City Bank First National Bank Mechanics' National Bank First National Bank Rollstoue National Bank Salem National Bank Union National Bank First National Bank First National Bank Miller's River National Bank ^ First National Bank First National Bank Milton National Bank Cape Cod National Bank Commercial National Bank Pacific National Bank First National Bank Mount Vernon National Bank Farmers 1 National Bank of Bucks County. First National Bank Home National Bank Manufacturers' National Bank Allegheny National Bank Central National Bank Second National Bank Merchants' National Bank People's National Bank National Bank Charles River National Bank Wyoming National Bank National Bank of Commerce Lumberman's National Bank First "National Bank First National Bank Wyoming County National Bank First National Bank Oakland National Bank > First National Bank Mechanics' National Bank Lewisburg National Bank First National Bank First National Bank First National Bank Rock County National Bank National State Bank '. First National Bank Railroad National Bank Fairfield County National Bank iEtna National Bank German National Bank National State Capital Bank First National Bank Lincoln National Bank Ticonic National Bank First National Bank Oxford National Bank Citizens' National Bank Bristol County National Bank Marblehead National Ban& First National Bank Whitinsville National Bank National City Bank of Cambridge Fourth National Bank First National Bank New Albany National Bank Second National Bank Second National Bank Hamilton National Bank Plymouth National Bank W'aterbury National Bank Wamesit National Bank Marine National Bunk Milton Pittsburgh. New Y o r k . . . . . Waltham New Bedford.. Salem Reading York.. Jersey City Reading Lynn Aurora Pittsburgh New Albany .. Fitchburg Sale: Pittsburgh Amenia Plymouth Athol Litchfield Minneapolis Milton Harwich Chicago Nan tucket Batavia Boston Bristol Covington Meriden Troy Pittsburgh Philadelphia... Saint Paul Salem Pittsburgh Oxford Cambridge WilkesBarre.. New York Williamsport.. Stoningtou Provincetown . Warsaw Franklin Gardiner Westminster .. New Bedford .. Lewisburgh . . . Woburn New Windsor . Montpelier Janes ville Burlington Red Hook Lowell Norwalk Hartford Pittsburgh Concord Lexington Bath. Waterville . . . . Charleston Oxford Worcester Taunton Marblehead . Clear-field Whitinsville... Cambridgeport Providence Clarion New Al bany . . Allegheny Louisville Boston Plymouth Waterbury Lowell Bath *Erroneously printed 603. State. Massachusetts... Pennsylvania New York Massachusetts... Massachusetts... Massachusttt s.. Pennsylvania Pennsylvania New Jersey Pennsylvania Massachusetts. -. Indiana Pennsylvania Indiana Massachusetts... Massachusetts.... Pennsylvania New York Pennsylvania Massachusetts..., Connecticut Minnesota Pennsylvania Massachusetts... Illinois Massachusetts . . Ohio . Massachusetts Pennsylvania Kentucky Connecticut New York Pennsylvania Pennsylvania Minnesota Massachusetts .., Pennsylvania Pennsylvania Massachusetts ... Pennsylvania New York Pennsylvania Connecticut Massachusetts New York Ohio Maine Maryland Massachusetts. ... Pennsylvania Massachusetts — Maryland Vermont Wisconsin Iowa New York Massachusetts . . Connecticut Connecticut Pennsylvania New Hampshire. Kentucky Maine Maine Illinois Massachusetts . . Massachusetts . . Massachusetts ... Massachusetts ... Pennsylvania Massachusetts ... Massachusetts .Rhode Island Pennsylvania Indiana Pennsylvania Kentucky Massachusetts .. Massachusetts . . Connecticut Massachusetts .. Maine Page. 118 410 262 140 120 131 420 441 315 419 113 692 412 712 97 133 414 200 415 65 177 899 382 102 736 118 621 78 343 579 178 292 408 394 906 132 413 390 88 437 261 438 192 129 297 648 15 464 120 373 145 461 54 834 850 280 112 186 174 411 30 587 7 28 734 126 146 138 1J4 349 144 89 156 348 713 333 590 74 128 195 112 7 1136 NUMERICAL INDEX OF BANKS. S 6 Title of bank. Location. State. Union National Bank. Lewisburgh . Pennsylvania. City National Bank. Illiu ' Cairo . National City Bank Cleveland Ohio First National Bank Hillsborough Ohio Louisville City National Bank Louisville Kentucky Newton National Bank Newton Massac hiisetta Citizens' National Bank Waterbury Connecticut First National Bank Waterloo Iowi First National Bank Indiana Martinsville First National Bank Delaware Seaford Tale National Bank Connecticut New Haven Merchants' National Bank Massachusetts New Bed ford Farmers' National Bank Ohio Mansfield First National Bank New York West Win field Massachusetts Holliston National Bank Holliston First National Bank Indiana New Castle Massachusetts Townsend National Bank Townsend National Market Bank of Brighton Massachusetts , Boston Commercial National Bank Ohio , Cleveland National Ban k New Hampshire.... Lebanon Northern National Bank Toledo ... Ohio Second National Bank New Jersey Paterson First National Bank Michigan Constantino Third National Bank Baltimore ... Maryland National Exchange Bank Salem Massachusetts First National Bank Bloomington Illinois Rutland County National Bank Rutland Vermont Dover Plains National Bank New York Dover Plains Rhode Island National Niantie Bank Westerly G-rafton National Bank Massachusetts Grafton. Traders' National Bank Maryland ...... Baltimore Wayne County National Bank Ohio Wooster Second National Bank Ohio Hamilton National Granite Bank Quincy . Massachusetts Concord d Massachusetts Concord National Bank Shippensburgh Pennsylvania........ First NationalBank , Wyoming National Bank Pennsylvania Tunkhannock First National Bank Pennsylvania Muncy Pennsylvania Farmers and Drovers' National Bank ... Waynesburgh Maine Belfast National Bank Belfast New York Fredonia National Bank Fredonia National Bank Castleton . .,. New York Rhode Island... First National Bank Pawtueket Ohio Merchants' National Bank Cincinnati Connecticut Middlesex County National Bank Middietown Faneuil Hall National Bank Boston Massachusetts Davenport National Ban k Iowa Davenp6*rt Third National Bank New York Buffalo First National Bank Wisconsin Manitowoc Delaware County National Bank Delaware Ohio County National Bank Clearfield , Pennsylvania Slater National Bank Pawtucket Rhode Island Montpelier 857 I Montpelier National Bank Vermont Newark 858 i First NationalBank Ohio. 8 6 0 I First National Bank Washington New Jersey . 862 I Tioga National Bank Owego „ New York... 863 Citizens'National Bank Urbana Ohio. 864 Second National Bank West Virginia Parkersburgh 866 Milford National Bank Massachusetts Milford 867 First National Bank Pennsylvania Blairsville National Bank — New York Potsdam Merchants' National Bank Indiana Indianapolis 870 Marine National Bank Pennsylvania Erie 871 Merchants' National Bank Pennsylvania Meadville 872 First National Bank Indiana Knightstown 873 First National Bank Wisconsin Elkhorn 875 National Bank of the Republic District of Columbia. Washington 876 Merchants' National Bank New Jersey Newton 877 K eerie National Bank New Hampshire Keene 879 Second NationalBank Pennsylvania Titusville , Maine 880 People's National Bank Waterville 883 Winnebago National Bank Illinois Rockford 884 First National Bank Massachusetts Gardner 885 Lee National Bank Massachusetts Lee 886 Genesee Valley National Bank New York Geneseo 887 Winchester National Bank New Hampshire Winchester 888 First National Bank , Newport New Hampshire 890 Thomaston National Bank Maine Thomaston 891 National Park Bank New York New York 892 Hunterdon County National Bank New Jersey Flemington 893 First National Bank New York Saratoga Springs $95 Con way National Bank Massachusetts....... Conway 784 785 786 787 788 789 791 792 794 795 796 799 800 801 802 804 805 806 807 808 809 810 813 814 817 819 820 822 823 824 826 828 829 832 833 834 835 837 *839 840 841 842 843 844 845 847 848 850 852 853 855 856 * Erroneously printed 893. Page. 374 730 637 653 592 122 194 887 711 445 184 120 660 301 104 714 139 81 636 37 681 325 794 449 132 729 58 219 165 100 453 688 652 129 91 425 431 385 434 8 225 212 154 633 179 37 858 208 837 644 349 154 54 665 331 272 683 482 117 340 278 704 358 379 706 831 468 323 36 430 27 777 98 109 227 45 41 26 263 311 286 91 1137 NUMERICAL INiJEX OF BANKS. V.6 Title of bank. 899 901 903 905 906 908 909 910 911 912 913 915 916 917 918 919 920 921 922 923 924 925 926 927 928 929 931 932 934 935 936 938 940 941 942 943 944 945 946 947 948 949 952 953 954 955 956 957 958 959 960 961 962 963 9(54 965 968 909 970 973 974 975 976 978 979 980 981 982 983 984 985 986 987 988 990 991 992 993 994 995 Dayton National Bank Cape Ann Nat ional Bank -. Sandy River National Bank First National Bunk Tradesmen's National Rank Lexington City National Bank First National Bank ., Richmond National Bmk Bridgeport National Bank First National Bank Manheiin National Bank First National Bank First National Bank Champaign National Bank ..,...National Shoo and Leather Bank .,. Leicester Nat ional Ban k . Pawcatuek National Bank Franklin County National Bank • , City National Bank National State Bank First National Bank Mctacomet National Bank Sussex National Bank First National Bank of" Birmingham Connecticut National Bank. Pequonnock National Bank Nat ional Union Ban k Nor walk. National Bank Mechanics' National Bank Southbridge National Ban k Portsmouth National Bank Globe National Bank City National Bank United National Bank Canal National Bank National Bank Dan bury National Bank National Village Bank First National Bank * A ah uelot Nat ional Bai ik Machinists' National Bank Phenix. National Bank Geneva National Bank Washington Nation:)] tiank New Castle National Bank First JS at ional Bank . State of New York National Bank Fi rst National Bank Taunton National Ban k South Danvers National Bank South Berwick National Bank Prescott National Bank First National Bank. ....,„-..». National White Itiver Bank Union National Bank Market and Fulton National Bank Merchants1 National Bank First National Bank Beverly National Bank Citizens' National Bank. Farmers' National Ba.uk Massachusetts Nat ional Bank a_ Farmers' National Bank P u t n ara C o nn t v N at ion al Bank National Whaling Bank Merchants1 National Bank First National Bank Stissing National Bank John Hancock National Bank . . , Rhode Island N a tional Bank Indiana National Bank , National Union Bank Apple ton N at i o n a 1 B auk Pynolion National Bank Chiekopee National Bank Farmers' National Bank Nation al State Ban k Mutual National Bank National Eagl« Bank Climon National Buik Clark County National Bank Old Colony National Bank , Ex, 3 72 Location. Dayton Gloucester .. Farn 1 in gt on. Princeton. New York Lexingtou Mount; Vernoii.. Richmond Bridgeport, Barnesvillo jUanheim Champaign Shawneetown. -Urbana . New York 'Leicester PaweaUiek Greenfield , Bridgeport Mount Pleasant Brook l>n Fall River Newton Pittsburgh , Bridgeport Bridgeport Kimierhook , Norwalk. Boston. Southbridge . . . Portsmouth Boston .Jamestown Troy... Portland Norwalk Danbury Bowdoiijliam -. Waukogau. Keeue Taunton Providence Geneva Westerly New CMS lie Ballston Spa Kingston Jefferson ville ... Taunton , Pea-body South Berwick Lowell .. Fairmont Bethel Troy New York... New Albany. Fulton'....... Beverly Woonsoeket.. Salem Bostor Ashtalnila... Carn el New London. (liilenaGlens Falls.., Pine Plains. S]>riuglield . . Providence .„ Indianapolis. Boston Lowell. Springfield . Springfield Hud son Troy Troy. Boston Clinton , Winchester.. Plymouth ,., State. Ohio Massachusetts.. Mail Illiuois New York Kentucky Ohio ....'. Maine Connecticut Ohio Pennsylvania Illinois Illinois Ohio Now York Massachusetts.. Connecticut Massachusetts.. Connecticut Iowa. New York M. assai • h usetts New Jersey Pennsylvania Connecticut Connecticut New York. Ohio Massachusetts... Massachusetts . . . Ohio Massachusetts New YorK New York Maine Connecticut Oonnectici.it Ma Illinois # New Hampshire . Massachusetts Ithode Island . . . . New York Rhode I s l a n d . . . . Maine New York New York Indiana Massac h usetts — Massachusetts . . . Maine Massachusetts West Virginia . . . Vermont. New York , New York Indiana New Yrork Massachusetts . Rhode Island . . Ohio. Massachusetts.. Ohio ....... New York Connecticut.... Illinois New York New York. Massachusetts.. Rhode Island... Indiana Massachusetts . Massachusetts . Massachusetts . Massachusetts . N ew York New York New York Massachusetts.1, Iowa Kentucky . Page. 041 99 U 774 265 588 005 23 170 620 377 733 779 CSS 264 109 188 101 170 874 207 95 324 410 170 171 239 668 76 133 671 74 238 294 20 186 172 9 786 35 138 162 228 166 18 203 241 705 139 126 26 111 480 47 294 259 713 226 67 167 674 76 620 211 184 749 228 274 137 162 703 83 110 137 136 235 293 292 80 855 601 139 1138 NUMERICAL INDEX OF BANKS. Title of bank. 997 998 999 1000 1002 1003 1005 1006 1007 1008 1010 1011 1012 1013 1014 1015 1016 1017 1018 1019 1020 1021 1022 1023 1024 1925 1026 1027 1028 1029 1030 1032 1033 1034 1035 1036 1037 1038 1039 1040 1041 1042 1043 1044 1045 1047 1048 1049 1050 1052 1053 1054 1055 1056 1057 1058 1059 1060 1061 1064 1066 1067 1068 1069 1070 1073 1077 1078 1079 1080 1081 1082 1083 1085 1086 1087 1088 1089 1090 1091 1092 1093 Location. Newport National Ban k Newport Seventh National Bank New York First National Bank Maquoketa National Bank of the Republic New York Fifth National Bank Providence National Exchange Bank Milwaukee Monument National Bank of Charlestown. Boston Piqua National Bank Piqua Mechanics' National Bank Providence National Hope Bank Warren Wisconsin N atioual Bank Watortown Ocean National Bank Newburyport.. Central National Bank Troy First National Bank Portland Bay State National Bank Lawrence Old Boston National Bank Boston Denver First National Bank . Milwaukee National Bank of Wisconsin.. Milwaukee Northampton National Bank Northampton.. First National Bank Owego Pittsfield Pittsfield National Bank First National Bank Newport Blackstone National Bank Ilxbridge Merchants' National Bank Portland First National Bank Mat toon Portsmouth Rockingham National Bank National Bank Kinderhook . . . Lyons National Bank Lyons State National Bank Boston Columbian National Bank Boston Nat ional Eagle Bank Providence ! First National Bank Seymour. First National Bank . Morrison First National Bank i Connersville First National Bank of Smithfiold Slatersville National Bank of North America Providence New London City National B a n k . . . New London... Stamford Stamford National Bank Lock port National Exchange Bank I Saugerties First National Bank I Bath Sagadahock National Bank i Pittsfield First National Bank Do Dover National Hank Wellsville First National Bank • Albany Merchants' National Bank.. Newburyport.. Merchants' National Bank Lawrence National Pemberton Bank A in esbury Powow River National Bank Kingston' National Ulster County Bank Portsmouth ... New Hampshire National Bank First National Bank of Susquehanna Susquehanna . . . Depot Hope Valley First National Bank of Hopkinton Agawarn National Bank Springfield Chicopee First National Bank Exchange National Bank , Pittsburgh Woonsocket National Bank Woonsocket.... Manchester National Bank Manchester Casco National Bank Portland Piqua. Citizens' National Bank London Madison National Bank Columbus First National Bank New York Mercantile National Bank First National Bank New Richmond. National Metropolitan Bank Washington Souhegan National Bank Milford. Quinsigamond National Bank Worcester Fitch burg National Bank Fitch burg Danville National Bank Danville. Bucksport National Bank Bucksport Merchants' Exchange National Bank New York First National Bank Greencastle Agricultural National Bank Pittstield First National Bank G roton. Wreniham.. National Bank Waukesha .. Waukosha National Bank Dover Cocheco National Bank Portsmouth. Farmers' Nat ional Bank Biddeford... First National Bank Oneida Onoida Vail oy National Bank National Hudson River Bank Hudson Farmers' National Bank , Given ville.. Ans.ojjia National Bank , Ansoiiia State. Page. Delaware , New York Iowa, New York , Rhode Island Wisconsin Massachusetts Oh io Rhode Island Rhode Island Wisconsin Massachusetts New York Connecticut Massachusetts Massachusetts Colorado Wisconsin Massachusetts York. New Hampshire . Rhode Island Massachusetts Maine Illinois New Hampshire New York New York Massachusetts Massacl in setts Rhode Island Indiana Illinois Indiana Rhode Island Rhode Island Connecticut .., Connecticut Now York New York Maine I llinois . New Hampshire Ohio New York Massachusetts Massachusetts Massachusetts New York New Hampshire 444 253 871 262 156 839 78 669 159 165 844 122 292 188 107 84 1028 838 124 271 42 151 140 21 761 44 239 243 85 71 161 718 764 695 164 160 185 192 242 287 8 772 31 687 198 121 108 64 240 44 Pennsylvania ... Rhode Island Massachusetts Massachusetts Pennsylvania Rhode Island New Hampshire Maine Ohio . Ohio Indiana New York Ohio District of Columbia New Hampshire Massachusetts Massachusetts Pennsylvania Maine' New York Pennsylvania Massachusetts New York Massachusetts Wisconsin New Hampshire. Ohio Maine New York New York Ohio 429 151 1H6 90 410 168 39 20 609 658 694 260 667 468 40 147 96 353 30 260 360 127 232 147 844 31 671 8 269 236 651 169 Connecticut 1189 NUMERICAL INDEX OF BANKS. Title of bank. 1094 101)6 3097 1008 1103 1104 1105 1106 1107 1108 1109 1110 1111 1112 1113 1114 1116 1118 1119 1120 1122 1125 1126 1128 1129 1J30 1131 1132 1133 1134 1135 1136 1138 1139 1140 1142 1143 1144 1145 1146 1147 1148 1149 1150 1151 1152 1153 1154 1156 1157 1158 1160 1162 1163 1165 1166 1167 1168 1169 1170 1171 1172 1173 1174 1177 1178 1179 1180 1181 1182 1183 1184 1186 1187 1188 1189 1190 1191 1193 1194 1195 First National Bank Belvidere National Bank First National Bank Birmingham National Bank National State Bun k Traders' National Bank East River National Bank Highland National Bank First National Bank Medomak National Bank National Exchange Bank National Bank.... First National Bank Saint Louis National Bank National Iron Bank Clinton National Bank , New York County National Bank Union National Bank Hingham National Bank National Bank o f Rondout Canajohario National Bank National Bank of Virginia Globe National Bank Merchants' National Bank Andover National Bank National Mohawk Valley Bank Merchants' National Bank National Pahquioque Hank Woodstock National Bank Orono National Bank Mechanics' National Bank National Central Bank Central National Bank Deep River National Bank National Bank Georges National Bank Cuba National Bank .. Shelburne Falls National Bank Dartmouth National Bank Mad River National Bank National Granite Stat e Bank j\ 1 ontgomery National Bank Kingston National Hank Ashaway National Bank Old National Bank Government National Bank First National Bank First National Bank National Bank of Lawrence County First National Bank 1 National Landholders Bank Old National Bank Gloucester National Bank Lamoille County National Bank American National Bank Sherburne National Bank Hancock County National Bank Farmers' National Bank of New Jersey . National Phenix Bank 1 lousatonic National Bank First National Bank Ross County National Bank Weybosset National Bank Gardiner National Bank First National Bank. Citizens' National Bank First Nat onal Bank , Great Falls National Bank Citizens'National Bank Hudson County National Bank Soiners worth National Bank New Britain National Bank.. Huguenot National Bank Uncas National Bank First National Bank City National Bank National Bank of Wilmington and Brandy wine Burlington County National Bank First National Bank Rockport National Bank National Bank Location. State, Page. Athens Belvidere Belvidere. Birmingham Terre Haute Rochester New York Newburgh llyannis Waldoborough... Baltimore Fayetteville Richmond Saint Louis . Morristown. Clinton . New York Brunswick Hingham Kingston Canajoharie Richmond . Providence New Haven Andover Mohawk Providence Danbury Woodstock Orono Worcester Cherry Valley . . . Frederick Deep River Lyndon Thomaston Cuba . Shelburne Falls . Hanover Springfield Exeter .,.,. Norristo wn Kingston Ashaway Providence Potts ville ... Manchester Ottawa . New Castle... Rhinebeck Kingston , Whitehall Gloucester Hyde Park ... Hartford , Sherburne Cart hag Mount Holly.. Westerly Stock bridge .. Easton ... Chillicothe ... Providence Gardiner Mendota. Fulton Peterborough . Great Falls.... Middletown ... Jersey City.... Great Fall's New Britain... NewPaltz Norwich Morristown ... Binghamton ... Pennsylvania New Jersey Illinois Connecticut Indiana New York New York New York Massachusetts ... Maine Man land , New York Virginia, Missouri. New Jersey. New Jersey. New York Maine Massachusetts... New York New York Vi Rhode Island Connecticut Massachusetts.-., New York Rhode Island .... Connecticut Vermont Maine . Massachusetts... New York , Mars land , Connecticut Vermont Maine New York Massachusetts New Hampshire., Ohio , New Hampshire.. Pennsylvania New York. , Rhode Island Rhode Island Pennsylvania. New Hampshire. Illinois , Pennsylvania Now York. Rhode Island New York Massach usetts Vermont Connecticut New York. Illinois , New Jersey Rhode Island..... Massachusetts ... Pennsylvania Ohio .'. Rhode Island Maine . Illinois , New York New Hampshire. N<'W Hampshire . Delaware , New Jersey , New Hampshire . Connecticut , New York , Connecticut , New Jersey , New York. 169 720 282 257 250 107 27 451 222 475 927 318 308 264 10 101 240 209 475 158 182 64 247 160 172 62 19 146 214 459 173 52 26 218 133 34 678 32 388 240 149 161 416 38 767 387 281 151 302 100 52 175 288 732 319 166 138 354 630 163 14 761 227 42 34 443 315 34 181 251 188 318 205 Wilmin gton • Medford New Milford . . . . Rockport Middlebury.... ~ Delaware New Jersey Connecticut Massachusetts Vermont 447 317 185 130 53 336 305 728 1140 NUMKKIOAL f.NDI'.X Title of bank. OF BANKS. Location. Leather Manufacturers1 National Bank . . New York Merchants National Bank BurliniitOTi Tanners' National Bank Catskill First National Bank Wood bury Central National Bank Lynn National Tradesmen's Bank New Haven National Mahaiwr Bank Great Harrington. Waketield National Bank Wakefield ./. Franklin Franklin National Bank National State Bank Camden. Adams National Bank North Adams Cecil National Bank Port Deposit Fonda . National Mohawk River Bank. New burgh... Quassaick National Bank Falls Village. National Iron Bank Middletown .. Middletown National Bank Newark Essex. County National Bank First National Bank Tamaqua Newark City National Bank Newark Farmers' National Bank Deckertown Mechanics' National Bank Burlington Mohawk National Bank Schenectady Cambridgeport National Bank of Cambridge Cambridgeport . 1231 Importers and Traders' National Bank... New York Easton 1233 East on National Bank Cold water 1235 Coldwater National Bank Elk ton 1236 National Bank First Nat tonal Ba nk Sunbury 1237 Phillipsburgh 1239 Phillipsburgh National Bank Hooking Valley National Bank Lancaster 3241 East Jattre.v 1242 Monadnock National Bank 1243 National New Haven Bank New Haven Annapolis 1244 Farmers' National Bank. New Haven 1245 Now Haven County National Bank.... _._ Holyoke 1248 lladley Falls National Bank. New Canaan... 1219 First National Bank New York 1250 Mechanics' National Bank National Farmers and Planters' Bank Baltimore. VJ52 Ballston Spa. . Ballston Spa National Bank 1253 Kennebimk Ocean National Bank 1254 First National Bank Corunna. 1256 Cana johario. National Spraker Bank 1257 Hacketts-town . 1259 j Haokettstown National Hank Pittstiold National Bank Pittstield 1260 New York 12(31 National Butchers and Drovers' Bank Albany 1262 ! New York State National Bank Shelbyville 1263 I First National Bank V?.-;i n o i l 1264 I National Bank National Bank \V est Troy 1265 1207 I Farmers and Mechanics' National Bank.. Frederick Pawling 12.69 I National Bank Millville . 1270 I Millville National Bank Lainbertvillo... 1272 Lambertville National Bank 1274 Martha's Vineyard National Bank Edgartown 1275 Cambridge Vaftey National Bank Cambridge 1279 Northboioiigh National Bank Northborough . 1281 New Castle County National Bank Odessa. 1283 Manufacturers' National Bank Providenco 12.S4 Centreville National Bank of Warkwick-- Centreville 1287 Salt Springs National Bank Syracuse 1288 National Union Bank Fall River 1290 jNational Citizens' Bank New York 1291 Albany City National Bank Albany 3292 First National Bank Bristol 1293 Glens FaPs National Bank Glens Falls Catskill National Hank Catskill Boston 1295 National Kevere Bank Sehuylersville . 1298 National Bank - . . . 1300 Mercantile National Bank Hartford Albany 1301 National Commercial Bank Providence 1302 Providence National Bank. 1303 Commercial and Farmers' National Bank. Bali iu.iore Somers 1304 Farmers aud Drovers' National Bank 1305 City National Bank Poughkeepsie . 1306 Poughkeepsie National Bank Poughkeepsie .. Amsterdam . . . . 1307 Fi rst Nat ion al Ban k Utica. 1308 Utica City National Bank Farmers'National Bank ! Kichmond 1309 j 1310 Indian Head National Bank ! Nashua 1312 Farmers and Manufacturers' National Bank ' Pougbkeepsio 1196 1197 1198 ! 1199 1201 1202 1203 1206 1207 1209 1210 1211 1212 1213 1214 1216 1217 1219 1220 1221 1222 1226 1228 Stato. Page. New York Vermont ^Naw York , New Jersey Massachusetts. Connecticut . . . Massachusetts., Khode Island . . Massachusetts. New Jersey. Massachusetts ., Maryland . New York New York Connecticut... Connecticut... New Jersey. Pennsylvania New Jersey New Jersey New Jersey New York 259 49 213 331 113 183 101 164 98 3')8 123 462 223 250 174 179 320 429 322 309 307 287 Massachusetts... New York Pennsylvania Michi' ! Maryland.... Pennsylvania New Jersey Ohio New Hampshire. Connecticut , Mar viand. Connecticut Massachusetts. Connecticut Xew York Maryland. New York Maine Michigan New York New Jersey Massachusetts. New York. New York. Indiana New York New York Maryland New York New Jersey New Jersey Massachusetts. New York Massachusetts. Delaware Khode Island Rhode Island Xew York Massachusetts. New York New York Khode Islmd.. New York.. New York Kentucky . New H a m p s h i r e . 89 258 355 793 458 428 326 656 32 183 448 183 105 181 260 452 2o3 16 795 210 312 128 202 199 719 296 301 460 273 317 316 93 20!) 125 444 159 150 291 95 263 198 149 229 213 82 287 176 198 162 449 2*9 278 280 200 296 599 41 New York 279 New Y o r k . . . Connecticut .. New Yd Khode Island Maryland New York New York New York New York New York 1141 NUMERICAL INDEX OP BANKS. Title of bank. 1314 Clinton Bank 1315 Pejepseot National Bank 1316 National Newark Banking Company 1317 Orange National Bank 1318 Union National Bank 1319 Commercial National Bank 1320 Falmouth National Bank 1321 F a n n e r s and Mechanics' National B a n k . . 1322 Allen town National Bank 1323 Delaware National Bank 1324 G e l a t i n National Bank 1325 Western National Bank 132(5 Salem National Banking Company. . . . . . . 1327 Mechanics' National Bank 1328 Bltu kstone Canal National Bank 1329 Old Lowell National Ban k 1330 New Market National Bank 1332 Delaware City National Bank 1333 Citizens' National Bank 1334 National Hamilton Bank 1335 Farmers' National Bank 1336 Merchants' National Bank 1337 1338 Farmers and Merchants' National B a n k . . 1339 Hartford National Bank . . . % 1340 National Exchange Bank 1342 Central National Bank 1345 Merchants' National Bank 1346 Cayuga County National Bank 1347 Cumberland National Bank 1348 National Bank 1349 North Granville National Bank 1350 Chester National Bank 1352 National Bank. 1353 Hanover National Bank 1354 Stratford National Bank 1356 National Bank 1357 Mount 1 lolly National Bank 1359 I r v i n g National Bank 1360 Michigan National Bank 1361 Windham Comity National Bank 1362 National Bank 1363 Flour City National Bank 1364 National Bank 1365 National Bank 1366 First National Bank 1367 National Bunk of Commerce 1368 Hampden National Bank 1369 National Bank 1370 Lime Rock National Bank 1374 Merchants' National Bank 1375 Phenix National Bank 1376 Chatham National Bank 1380 Central National Bank 1382 Merchants' National Bank 1383 Meriden National Bank 1384 National Black River Bank 1386 Citizens' National Bank 1389 Abington National Bank 1390 Continental National Bank 1392 Union National Bank 1393 Oneida, National Bank — Bank of New York National Banking Association 1394 American Exchange National Bank. 1395 F i r s t National Bank 1396 Traders' National Bank 1398 National Bank 1399 National Bank of Orange County 1402 First National Bank 1403 First National Bank 1405 Greenwich National Bank 1406 National Bank of New bury 1408 Goshon National Bank . . . ' 1409 National Union Bank 1410 F o r t Stanwix National Bank 1411 National Bank 1413 National Mechanics' Bank 1414 First National Ba n k 1416 Genesee River National Bank 1417 Otoe County National Bank 1419 National Warren Bank Location. Clinton Brunswick Newark Orange Massillon Providence Falmouth Hartford Allentown Delhi New York Baltimore Salem Trenton Providence Lowell New Market Delaware City... Tilton .' Hamilton . Amsterdam. Baltimore Baltimore Hartford Providence .. Middletown Syracuse Auburn Bridgeton Cohoes. North Granville . Chester Auburn New York Dover Norwich Mount fTolly. New York TCalamazoo Brooklyn . Wa tervillo... Rochester Port Jervis -. Areruennes . . Providence West field Derby Lino Providence . N"«w York New York New York Rome Poughkeeysio . Meriden ..". Proc/torsville .. 'Baltimore Abington New York Wilmington ... Utica New York New York Utica Providence Coxsaekio Goshon Woonsocket Winterset . East Greenwich . Wells River Goshon. Woonsocket... RomeCatasanqua. Baliimoro .. Mount Morris . Nebraska City. Warren State. Connecticut Maine New Jersey New Jersey Ohio .' Rh ode Island Massachusetts..., Connecticut , Pennsylvania...., New York New York Maryland New Jersey New Jersey Rhode Island Massachusetts — New Hampshire.. Delaware Nejjjr Hampshire. New York 'New York Maryland Maryland Connecticut Rhode Tsland.... Connecticut New York New York New Jersey ... New York . New York New York New York New York New Hampshire). New York. New Jersey New York" Michigan Connecticut . . . New York New York New York Vermont. Illinois Rhode Island . . Massach usetts Vermont Rhode Island . New York New York New York New York New York Connecticut . . . Vermont Maryland Massachusetts New York , Delaware New York New York New York New York Rhode Island.. New York New York Rhode Island.. Iowa . Rhode Island. Ver New York Rhode Island. New York Pennsylva Maryland .. New York. New York. Nebraska . Rhode Island . Pago. 172 10 321 324 (un 158 90 175 334 219 257 453 328 330 157 111 41 442 45 232 200 451 450 170 101 170 21)1 201 300 215 200 214 202 258 31 207 319 258 808 171 299 282 277 GO 745 160 143 51 159 201 205 255 283 279 178 50 449 03 256 447 295 254 254 295 103 218 230 107 800 150 00 229 108 283 3-10 452 282 248 10D0 105 1142 NUMERICAL INDEX OF BANKS. Title of bank. National Bank of Delaware Producers' National Bank Westchester County National Bank National G-lobe Bank National Bank of West Virginia Calais National Bank Parkersburg National Bunk Alton National Bank City National Bank Vermont National Bank First National Bank 1432 National Bank 1484 Easton National Bank of Maryland 1436 National State Bank 1437 Merchants' National Bank 3440 National Bank 1442 Traders' National Bank 1443 Manufacturers' National Bank 1444 First National Bunk 1446 Rockland National Bank 1447 Harrison National Bank 1449 Frederick County N.itional Bank 1451 National Traders' iiank 1452 National State Bank 1454 Vinceunes National Bank 1455 National Bunk of Sourh Reading 1456 Rushville N.itional Bank 1457 National Branch Bank 1459 Union National Bank 14(10 Phenix National Bank 14(51 National City Bank 1402 Waterbury National Bank 1464 Williamsport National Bank 1405 National City Bank 1466 Citizens' National Bank 1467 1469 Exchange National Bank Everett 1471 Farmers'National Bank 1472 AmericanNational Bank National 1475 First National Bank[iank 3477 Thompson National Bank 1479 First National Bank 14X0 National Bank of New England 1481 , 1482 Merchants' National Bank First National Bank ! National Bank K I486 Lako National Bank. 1487 First National Bank 148!) National Union Bank of Maryland 1490 Jefferson County National Bank 1492 Newport National Bank .1493 National Bank 1494 Hurlbut National Bank of Winsted 1495 Frontier National Bank 1496 Pulaski National Bank -. , 1498 National Exchange Bank 1499 Chemical National Bank . 1501 Merchants' National Bank 1503 National Union Bank 150-4 Merchants' National Bank of West Virginia 1505 West Brancb National Bank 1506 Roger Williams National Bank 1507 National Union Bank 1508 National Bank and Loan Conmany 1509 Orleans County National Bank..'. 1511 Cumberland National Bank 1512 Pascoag National Bank 1513 National Broome County Bank 1515 First National Bank 1516 Union National Mount Joy Bank 1519 Second Nat ional Ban k 1520 Merchants'National Bank 1521 First National Bank 15**2 Lynchburg National Bank 1523 North Berwick National Bank 1524 National Bank 1525 Canastota National Bank 1526 Farmers and Mechanics' National Bank . 1527 National Webster Bank • 1528 York National Bank 1420 142 L 1422 1423 1424 1425 3427 1428 1429 1430 Location. "Wilmington Woonsocket Peekskill Woonsocket Wheeling Calais . Parkersburgh . . . Alton Providence Brattlehoro Ha-gerslown Baltimore Easton ..... Elizabeth Bangor. Wareham Boston Brooklyn Hoboken...»:.... Rockland Cadiz. Frederick Portland Newark Vincennes . Waketield Rushville Madison French town Phenix New York • Waterbury Williamsport... Ottawa J eiFersonville... Columbia Boston Virginia Provident . nee Fairtield. Thompson Council Bluffs . E a s t Haddaoi . Norwich , Henry , Meth'uen Wolf borough . . Red W i n g . Baltimore Watertown Newport Lancaster West W i n s t e d . Eastport Pulaski Greenville New York Saint Louis Monticello Point Pleasant.. Williamsport Providence Watertown Watertown Albion Portland Pascoag Binghamton Marshall Mount Joy Cumberland Manchester , Paw Paw Lyncbburgb North Berwick . Martinsburgh . . Cauastota , Westminster . . . Boston Saco State. Delaware Rhode Island New York Rhode Island West. Virginia . . . Maine West Virginia . . . Illinois Rhode Island Vermont Maryland Maryland Maryland New Jersey Maine. Massachusetts Massachusetts . . . New York New Jersey Maine. Ohio Man land Maine j\:ew Jersey Indiana. Massachusetts.... Indiana Indiana New Jersey Rhode Island Nesv York. Vermont Pennsylvania Illinois Indiana Missouri Massachusetts IllinoisIsland Rhode . Iowa Connecticut Iowa . Connecticut Connecticut . . . . . . Illinois Massachusetts New Hampshire. Minnesota Maryland. New York Rhode Island.... Kentucky Connecticut Maine New York Rhode Island New York Missouri New York West Virginia... Pennsylvania Rhode Island New York New York , New York , Maine Rhode Island New York Michigan Pennsylvania Maryland New Hampshire. Mi chi IT Virginia , Maine West Virginia... New York Maryland M assach usetts... Maine Page. 447 168 273 167 485 11 483 158 49 460 4:>1 457 310 6 141 86 207 313 24 626 460 21 322 722 140 718 711 311 155 263 60 439 767 705 914 72 785 157 863 193 856 173 187 752 116 45 904 453 298 153 586 195 12 280 150 256 926 247 484 439 163 298 298 199 21 153 205 811 384 456 39 816 472 18 481 210 464 83 24 1143 NUMERICAL INDEX OF BANKS. Title of bank. Location. 1530 j Merchants' National Bank of West VirClarksburgh. ginia Newport M 1532 National Bunk of Rhode Island People's National Hank Jackson 1535 TheSaeo National Bunk Saco . 1536 "National Bank N ewark National City Bank Brooklyn First National Bank Middletowu. A quid neck National Bank Newport Charlotte 1547 First, National Ba;ik Wiscasset First National Bunk 1551 Washington County National Bank Williaii!sp,>rt 1 553 First. National Bank Portland. First National Bank Lynchburgh ir>r>s Atlanta 1559 Atlanta National Bank Ithaca Tompkin^ County National Bank 1501 Bristol 1502 National Eagle Bank Chautauqna County National Bank Jamestown 1503 Newport 1:.«5 National Exchange Bank Galveston 150(5 First National Bank Dove m>i First National Bank Harrisonburgh . 1572 First National Bank liiddeford...'.... 1575 Biddeford National Bank Danville. 1570 Caledonia National Bank Museatine 1577 First National Bank Lewistown .1579 Miillin County National Bank Fredericks burgh 1582 National Bank Boonville 1584 Central National Bank Monroe 1587 First National Batik Frederick 1589 First National Bank New Orleans 1501 German za Nationa! Bank Wickford 1592 Wiekford National Bank Mobile 1595 Fi rst National Bank West m i n st er 151)6 Union National Bank Castleton 1598 Castleton National Bank 1599 First National Bank. Paducah 1002 National Bank Neenah Clarksville . . . 1003 First National Bank Chattanooga.., 1000 First National Ban k 1607 National Exchange Bank Weston 1013 National Bank Augusta 1614 W indham N at i on al Bank Wil'limantic . . 1015 Henderson National Bank Henderson 1010 Pacific National JUnk . . : I > awtucket.-.. 1017 First National Bank Macon 1018 Osage National Bank Osag .1020 National Valley Han k Staunton .. 1621 People's National Bank Charleston. .' 1622 First National Bank Charleston. 1020 Louisiana National Bank New Orlean 1027 Fi rst National Ban k Sedalia 1028 Planters' National Bank Richmond 1029 First National Bank ... Gnnnell . 1030 Chattahoocliee National Bank Columbus . 1632 National Bank Now Berne . . . 1633 Omaha National Bank Oin alu n 1635 Shenandoah Valley National Bank Winchester... 16I58 Northfield National Bank NorthnVld 1639 National Bank Athens 1640 Merchants' National Bank Savannah 1641 First National Bank Olney 3642 National Bank of Texas Galveston 1644 First National Bank Houston 1645 Laconia National Bank Laconia 1647 National Bank of the Republic Philadelphia.. 1648 First National Bank Little Rock... 1649 First Nati onal Ban k Helena 1651 Colorado National Bank Denver. 1652 Rocky Mountain National Bank Central City.. 1653 National Bank Bellows Falls. 1655 National Bank Newport 1656 First National Bank Wilmington . 1657 San Antonio National Bank San Antonio. 1661 First National Bank Fort D o d g e . 1662 Ridgely National Bank S p>rin<ifield . r 1663 Pennsylvania National Bank Potttsville... 1006 Cleveland National Bank Cleveland ..., 1668 Boise C i t y . . . 1669 First National Bank of Idaho Nashville . 1670 Fourth National Bank Ilion 1671 Hi on National Bank Davenport... 1672 Citizens" National Bank Atchison First National Bank. Si State. West Virginia... j Rhode Island ! Michigan Delaware New York Ohio . Rhode Island North Carolina .Maine Maryland. Oregon Virginia Georgia New York Rhode Island New York Rhode Island Texas Delav Virginia. Maine . . . VermontIowa Pennsylvania VirgiiJa Missouri Michigan Maryland Louisiana Rhode Island Alabama Maryland Vermont Kentucky Wisconsin Tennessee Tennessee West Virginia... Georgia Connecticut Kentucky Rhode Island Georgia Iowa. Virginia South Carolina... South Carolina... L< Missouri Virginia Iowa Georgia., North Carolina . . Nebi ski Virginia Vermont Georgia, Georgia Illinois Texas Texas New Hampshire. Pennsylvania.... Arkansas Montana Colorado Colorado Vermont New York North Carolina . Texas Iowa Illinois Pennsylvania... Tennessee Idalu Tennessee New York Iowa Kansas . . . . . . . . . Page. 479 152 807 24 444 208 662 152 486 28 465 1058 472 500 237 149 237 152 552 442 471 9 50 875 374 470 911 813 459 528 166 519 464 50 597 840 605 604 485 500 196 584 154 505 876 478 494 493 529 927 476 865 503 489 1010 478 55 499 507 766 552 556 36 401 576 1091 1029 1027 46 251 491 564 803 781 417 606 1085 613 236 858 934 1144 I, 3675 1676 1680 1683 1685 1686 1688 1690 1692 1697 1698 1700 17pi 1706 1712 1715 1716 1717 1718 1719 1720 172] 1722 1723 1724 1726 1728 1730 1731 1733 1736 1737 1738 1739 1741 1743 1744 1745 1749 1750 1752 1753 1754 1755 1757 1758 17t)l 1762 1763 1764 1765 1766 17(57 TC>B 1770 171 ^ 1773 1774 1777 1778 1779 178') 17S1 1783 1784 1785 1786 1787 1788 1790 1793 1794 179(5 1798 1799 1800 1802 1804 1806 1807 1809 1810 NUMERICAL INDEX OF BANKS. Title of bank. Location. National Security Bank Boston First National Bank Honey brook Carolina N at ion al Bank Columbia First ational Bank Mankato First National Bank Sharon First National Bank Faribault' First National Bank Hillshorongh First National Bank Austin First National Bank Murfreesborough First National Bank Port Henry Howard National Bank Burlington Rutland Baxter National Bank First National Bank Springfield Monmouth Nation 1 Bank Monmouth. Moniteau National Bank California.. Salem National Bank Salem Citizens' National Bank Alexandria . First National Bank Sterling First National Bank Ottawa Jacksonville- National Bank Jacksonville Lexington Fayette National Bank First National Bank Watseka First National Bank Decatur First National Bank Tuscola. First National Bank Chariton Iowa National Bank Ottuniwa First National Bank Richmond Muskegon National Bank Muskegon Lapeer First National Bank State National Bank Springfield City National Bank Selma First National Bank Hightstown Londoun National Bank. Leesburgh South Bend National Bank South Bend First National Ban k San Francisco National Security Bank Philadelphia.. Merchants' National Bank Burlington Hastings Nation a L B.mk Hastings First National Bank Apple-ton . First National Bank Santa Fe First National Bank Holly Keesovillo National Bank Keese ville Merchants' National Bauk Richmond First National Bank Lanark First National Bank Sioux City First National Bank Charlotte First National Bank Niles Washington National Bank Washington.'. First National Bank Fort Scott First National Bank Mason Central National Bank Columbia. Citizens' National Bank Raleigh First Nat ional Bank Springfield First National Bank Saginaw Boone County National Bank Columbia.. ........ German National Bank Evansvillo First National Bank Morris State National Bank New Orleans National Bank Jefferson New Orleans National Bank New Orleans Farmers and Merchants' National Bank .. Vandalia Citizens' National Bank Flint Merchants and Farmers'National Bank .. Charlotte Lumbermen's National Bank Stillwater Bellefontaine National Bank Bellefontaine First National Bank Kewanee First National Bank Siiiouruey Union National Bank Oshkosh". Merchants' National Bank Dayton Madison National Bank Richmond First National Bank Kankakee First National Bank Saint Peter Union National Bank New Orleans First National Bank Lincoln First National Ba n k Albia First National Bank Chevenne Manufacturers' National Bank Racine National Bank Chester Exchange National Bank Polo g Fit N i l B k Harrodsburgh ! First Nation al Bank JcuV.rson City I First National Bank '. Charles City j First National Bank State. Massachusetts Pennsylvania . . . South Carolina... Minnesota Pennsylvania Minnesota N e w H a m p shi re . Minnesota Tennessee New York Vermont , Vermont , Missouri Illinois., Missouir i u llliuo Virginia Illinois Kansas . . . . . . . . Illinois Kentucky Illinois Michigan Illinois Iowa Iowa Kentucky Michigan Michi' Illinois* Alabama New Jersey Virginia . Indiana. California Pennsylvania... Iowa Michigan Wisconsin New Mexico . Michigan New York Vii Illinois Iowa .. Mia ;an . Michigan Iowa Kansas Michigan South CarolinaNorth Carolina.. Kentucky Michigan Missouri Indiana Illinois Louisiana Texas Louisiana Illinois Michigan North Carolina . Minnesota Ohio. Illinois Iowa Wisconsin Ohio Kentucky Illinois Minnesota Louisiana Nebraska Iowa. Wyoming Wisconsin South Carolina. Illinois Kentucky Missouri Iowa Page. 82 364 495 898 424 895 35 893 612 277 49 56 928 763 912 779 469 782 9(39 753 588 785 795 784 853 878 598 814 810 781 520 313 471 719 1047 402 849 804 82(5 1096 805 238 475 757 883 71)2 815 887 945 812 495 489 600 819 914 698 763 530 557 530 784 800 487 909 622 755 882 841 642 509 755 908 530 1002 847 1113 842 494 773 584 915 853 1145 NUMERICAL INDEX OF BANKS. Title of bank. 1811 1812 1814 1815 18 It) 1817 1818 182a 1824 3826 1827 11-29 1831 1832 1833 1834 1837 1842 1843 1844 1847 1848 1849 1850 1851 1852 1853 1854 1855 1857 1859 18(50 1861 1862 1863 1865 ]8ti7 1868 1869 1870 1871 1872 1873 1874 1875 1878 1879 1880 1881 1882 1884 1885 1886 1887 1888 1889 1890 1891 1893 1894 1895 1896 1898 1899 1900 1903 1904 190H 1907 1908 1909 1910 1911 1912 1914 1915 1916 1918 1924 1926 1928 1929 First National Bank First National Bank First National Bank First National Hank Rock ford National Bank National Commercial Hank Merchants' Nat ional Bank First National Bank Farmers' National Bank Union City National Hank National Hank of the Common wealth First National Hank First National Bank Northern National liank First National Bank National Bank Livingston County National Bank Second National Bank Bates County National Bank. National Bank German National Bank National Bank First National Bank First National Bank Second National Bank First, National Bank First National Hank First National Bank Nebraska City National Bank First National Bank Covington City National Bank National Exchange Bank First National Bank Mills County National Bank Citizens' National Bank National Hank ., National Bank of Illinois First National Hank of Jelferson Rush County National Bank First National Hank. Knoxville National Hank Union National Bank First National Hank First National Hank Key .stone National 1 Jan k Meridian Nat ional Bank Citizen-^' National Bank First National Bank. Dixon National Bank Will County National H.mk Wei Is burg National Hank Littleton National Bank Citizens1 National Bank-. First National Bank First National Bank Rock Island National Bank Citizens' National Bank First National Bank Citizens'National Hank Fifth National Bank Merchants' National Bank Sycamore National Bank Mutual National Bank State N at ional Ba nk National Bank First National Bank First National Bank Defiance National Bank Roehelle National Bank Kentucky National Hank Second National Bank People's National B i n k First National Bank National Bank First National Bank First National Bank Fi i st National Bank Second National Bank Southern Michigan National Bank De W i t t County National Bank Farmers and Mechanics' National Bank . . First National Hank Location. Indianola Cassopolis Montgomery... El kail er. Kockford Mobile Ne rk . South Haven . . Salem Union City Boston — Allegan. Nicholasvillo . . Rig Rapids . . . . Pueblo. Franklin Pontiac. Winona Butler Ne wherry Covington Spartanburgh.. Grand Haven . . Mason City Charleston Marseilles . . . . . Tusealoosii Frankfort Nebraska City . Port Huron Covington August a G It'll wood.. Farib.uilC . . Rolla . Chicago Charl-stown-: Rushvillc Maren; Knowille Ma comb Vincennrs Webster City. Rviuling Indianapolis - 3Y.ru TamaCity Divou ..'. Joliet. Wellsburgh . . Littleton Niles (Mean . Bloomington.Rock Island . . Grei'iisbiirgh Pella . Washington . . Pittsburgh . . . Toledo Sycamore N"ew Orleans. . Cynthiana, Jackson Plymouth Deli an Roehelle Louisville Aurora , Ottawa Owatonna . Wooster . Plattsmouth . Emporia Plymouth East Saginaw. Coldwater Clinton Georgetown .., Shelby State. Iowa Michigan Alabama iWil Illinois Alabama N e w iJ ersey Michigan Virginia Michigan Massachusetts Mic igan . Kentucky Michigan . Colorado Tennessee Illinois ... Mi unesota Missouri South Carolina Kentucky South Carolina Michigan Illinois Illinois , Illinois Alabama Indiana Nebraska Michigan Kentucky Georgia Georgia.Iowa Minnesota Missouri Illinois West Virginia . Indiana Illinois Iowa Illinois . 1 ndiaua. Iowa. Pennsylvania Indiana India; Iowa , Illinois Illinois West Virginia New Hampshire. Michigan . . i\\-w York. Indiana , Illinois Indiana Iowa District of Columbia. Pennsylvania Ohio Illinois Lou isiana Nebraska. Kentucky Ohio ' Ohio Ohio . Illinois , Kentuc ky Illinois Kansas Minnesota Ohio Nebraska Kansas Michigan Michigan Michigan Illinois . District of Columbia. Ohio Page. 867 792 519 862 777 519 321 822 477 824 79 788 595 791 1035 607 773 910 912 496 580 497 801 760 734 760 521 700 1005 818 r>8o 501 506 864 895 924 740 479 718 760 869 759 722 888 419 704 715 745 754 484 38 815 2(58 693 778 702 879 467 408 681 783' 529 1003 581 654 670 643 776 592 726 969 902 688 1013 944 816 798 794 742 466 676 1146 NUMERICAL INDEX OF BANKS. Title of bank. 1933 1934 1935 ]93G 3939 1940 1941 1942 1943 1944 1946 1947 1950 1951 1953 1955 1956 1959 19(51 1902 1904 1967 1969 1970 1971 1974 1979 1980 1981 1983 1984 1985 1986 1987 1988 1989 1990 1992 1997 ! 1998 1999 2000 2002 2003 2005 2006 2007 2010 2011 2012 2014 2015 2016 2018 2019 2020 2022 2023 2024 2025 2029 2030 2031 2032 2034 2035 2036 2038 2039 2040 2043 2044 2045 2048 2049 2050 2052 2054 2057 2058 2559 Location. First National Bank Nokorais National Bank National Bank Farmers ami Mechanics' National Bank .. Holyoke National Bank First National Bank Molino National Bank Guernsey National Bank First National Hank First National Bank Third National Bank Merchants' National B.ink First National Bank First National Bank Lansing National Bank City National Bank Norway National Bank National Bank First National Bank Lawrence National Bank Commercial National Bank Indiana National Bank First National Bank Citizens' National Bank Citizens' National Bank First National Bank Burlington National Bank Pomeroy National Bank First Nat ional Bank Emporia National Bank Citizens' National Bank Planters' National Bank Marion County National Bank First National Bank Second National Bank Quaker City National Bank (files National Bank Keokuk National Bank Clinton County National Bank First National' Bank Citizens' Natioual Bank Stones River National Bank Citizens' National Bank People's National Bank Citizens' National Bank' Northwestern National Bank Union County National Bank Ashland National Bank First National Bank First National Bank National Bank of I). O. Mills & Co Fayette County National Bank Home National Bank National Bank Springfield National Bank Merchants' National Bank Farmington National Bank National City Bank Second National Bank of New Mexico Merchants' National Bank Merchants and Planters' National Bank.. First National Bank Ashtabula National Bank Louisa County National Bank First National Bank First National Bank Vinton County National Bank Second National Bank Citizens' National Bank Manufacturers' National Bank Washington National Bank Bank of Charleston National Banking Association German National Bank Home National Bank East Tennessee National Bank Lehigh Valley Bank Malta National Bank First National Bank First National Bank ("rocker National Bank Deseret National Bank Burlington Nokomis Greenville Phrcnixville Holyoke Clinton Molino Cambridge "Wyoming Bellaire Scranton Fort Dodge Fort Smith Parsons Lansin; Denver Norway Rising Suu Flora . Lawrence Wilmington. La Fayette Oregon . Des Moines Sedalia Fremont Burlington Pomeroy N e w London Emporia. Galion Danville Knoxville Fairlmrv . Richmond Quaker City Pu'aski Keokuk Wilmington .Grand Rapids New Philadelphia .. M uri'reesborough . . . Winterset Fayetteville Mankato Minneapolis Liberty Ashland Kansas . Bolle Plaine Sacramento West Union Elgin Spring City ,. Springfield Saint Paul Farmington Marshall Santa Fe Middletown Montgomery Fergus Falls Ash tabula Columbus Junction. Garretsville Lima . Me Arthur Washington . . . Hillsborough .. Newark Washington . . . Charleston Newark Chicago Knoxville Bethlehom Malta Greenville Lebanon Turner's Falls Salt Lake City State. Wisconsin Illinois South Carolina Pennsylvania Massachusetts Missouri Illinois Ohio... Iowa Ohio , Pennsylvania Iowa Arkansas Kansas . Michigan. Colorado.. Maine . Indiana. Illinois Massachusetts Illinois Indiana Illinois lo w Missouri Nebraska Kansas Ohio Ohio Kansas Ohio Virginia Iowa Illinois Indiana Ohi( Tennessee Iowa Ohio Wisconsin Ohio Tennessee : low; North Carolina Minnesota Minnesota Indiana Keuiucky Illinois Iowa California Iowa Illinois Pennsylvania Tennessee Minnesota New Hampshire Michigan New Mexico Ohio Alabama Minnesota Ohio Iowa Ohio Ohio. Ohio District of Columbia Ohio , New Jersey Indiana South Carolina New Jersey Illinois Tennessee Pennsylvania Ohio ." Michigan Indiana Massachusetts.. Utah Page. 829 766 495 406 105 913 762 627 891 622 423 864 575 971 809 1028 18 717 747 107 787 707 767 670 666 944 649 470 869 746 716 671 614 868 688 833 667 612 890 488 899 901 709 578 755 848 1045 889 746 427 616 907 33 812 1097 663 520 896 619 856 650 857 661 466 653 321 724 494 320 738 609 339 659 803 709 139 1100 1147 NUMERICAL INDEX OF BANKS. Title of bank. 2060 2061 2062 2063 2007 2068 2070 2071 2072 2073 2074 2075 2076 2078 2081 2082 2083 2086 2087 2088 2089 2091 2093 2095 2097 2098 2099 21C0 2102 2103 2104 2106 2107 2108 2109 2110 2111 2112 2113 2114 2116 2117 2118 2119 2120 2122 2124 2125 2126 2127 2128 2129 2130 2132 2135 2136 2137 2138 2141 2142 2143 2144 2145 2146 2147 2148 2150 2151 2152 2153 2154 2155 2156 2] 58 2159 2100 2] 61 2164 2165 2166 2168 2171 Location. Merchants and Planters' National Bank.. ITnion Third National Bank Sandusky ! German National Bank Louisville Fella National Bank | Pel la, City National Bank I (Josh n First National Hank I Yank 1 on American German National Hank \ P.Mlucah TMrd National Hank Urhana . National Bauk Anderson Norihvillo First National Hank Yonkers Citizens' Nation al Bank Griilin City National Bank Dover National Union Hank First National Hank Conshohocken Lumberman's National Bank Muskoj: on A tchison Atchison National Hank Newark North Ward National Bank New Orleans Flibernia National Bank Winnsborough Winnsboro' National Bank Rochester Union National Bank Bangor Veazie National Ban k Phoenix National Hank Medina City National Bank Paducah First National Bank Ontrevillo Lime Rock National Bank Rock land Lagonda National Bank Springlield . . . Denison First National Bank Paris Edgar County National Bank Noble County National Bank Cahlwell Central National Bank Boston First National Bank. Sai'ta Barbara First National Hank Missoula Natick National Bank Natick Union Market National Bank Watertown National Bank Baire ' Wyoming National Bank Laramio Manufacturers' National Bank Boston First Ward National Bank Boston Ashburnhnm First National Bank Fayetteville First National Bank Griggsville National Bank Griggsville Home National Bunk Ellen ville..... First National Bank Austin First National Bank of Marshall County. Plymouth First National Bank Chelsea Farmers' National Bank Owatonna Decatur National Hank Decatur First National Bank Chippewa Falls First National Bank Lincoln .' State National Bank Memphis First National Bank Shelbyville First National Bank Central C i t y . . . First National Bank Red Oak Kellogg National Bank Green Hay Commercial National .Hank Charlotte' Merchants' National Bank •. BiiMihamton National Bank Bo v e it; i wn Rochester National Bank Koch ester National Bank Pc-ntiiic National Bank Se.Mvenksville First National Bank J iancoek People's National Bank Martinsburgh Second National Bank Bay City....' East Liverpool First National Bank Mattoon Mattoon National Bank 'Winchester Citizens' National Bank Lebanon Marion National Bank Oneonta Wilber National Bank Home NationalBank Brockton Fitchburg. Safety Fund National Bank Belleville First"National Bank Rock Island People's National Bank First National Bank Farmer City First National Bank San Jose First National Bank Kasson National Exchange Bank S ten ben vi lie Merchants' National Hank Louisville Citizens' National Bank Louisville Farmers' National Hank Princeton Second Natioual Hank New Albany First National Bank rTaekson Third National Bank Louisville State. South Carolina . Ohio. ntiKc k y Iowa . Indiana., Dako ota Kentucky Ohio....! South Carolina Minnesota Ne r Y o r k . Georgia New Jersey . . Pennsylvania. Michigan , Kansas . N e w J ersey.... Louisiana." South Carolina Minnesota Main Ohio Kentucky . Mie igan . Maine Ohio . Texas. Ill i nou s . Ohio Massachusetts.. California Montana , Massachusetts., Massachusetts. Vermont Wyoming Massachusetts.. Massachusetts.. Massachusetts Tennessee Illinois New York Texas Indiana. VeiTiiont... Minnesota. Wisconsin.. Illinois Tenne Illinois Colorado Iowa Wisconsin North Carolina . New York Pennsylvania.... New Hampshire . Illinois Pennsylvania Michigan West Virginia Michigan Ohio Illinois Kentucky Kentucky N ew York Massachusetts. Massachusetts. Illinois I linois Illinois California Minnesota Ohio. Kentucky . Kentucky . Illinois . Indiana Tennessee . Kentucky . Page. 497 075 591 879 70! 1084 597 083 493 902 302 501 801) 352 813 934 322 521) 498 905 0 662 508 792 23 677 544 768 620 71 10411 ]()93 119 141 46 1315 75 73 65 607 751 221 533 715 50 903 743 829 758 611 779 1027 880 833 487 205 34 L 44 773 422 804 481 790 614 701 601 5H7 270 87 97 728 778 747 1048 897 678 592 591 774 713 608 590 1148 NUMERICAL INDEX OF BANKS. Title of bank. 2172 2174 2175 2176 2177 2179 2180 2181 2183 2184 2185 2186 2187 2LK8 2189 2193 2196 2198 2203 2204 2205 2207 2209 2211 2212 2213 2217 2219 2220 2221 2222 2223 2224 2225 2226 2227 2228 2229 2231 2232 2233 2234 2235 2236 2237 2238 2240 2242 2243 2244 2245 2246 2247 2248 2249 2250 2251 2252 2253 2255 2256 2257 2259 2260 2261 2262 2203 2264 2265 2266 2267 2269 2270 2271. 2272 2274 2275 2276 2277 227H 2279 2280 Location. Athol Athol National Bank F i r s t National Bank of Florida Jacksonville F i r s t National Bank Fairneld.... Union National Bank Streator F i r s t National Bank Cedar Falls First National Bank Colorado Springs People's National Bank Princeton Centreville National Bank of T h u n n a n . . . Centreville . First National Bank Crown Point F i r s t National Bank Lagrange Mount Sterling National Bank Mount Sterling Citizens' National Bank People's National Bank Independence Citizens' National Bank Evans ville Waco National Bank Waco F i r s t National Bank Petaluma National Bank New Castle... National Bank Shelby ville. . F i r s t National Bank New Lisbon F i r s t National Bank Arcola Second National Bank Monmouth Boonville M ational Bank Boonville National Bank of Union County Morgan field F a r m e r s ' National Bank Con stan tine Oak land Nat ional Ban k Oakland La Fayette National Bank La Fayette Second National Bank Youngstown F i r s t National Bank Batesville "VVaynesville National Bank Waynes ville National Bank McMinuville F i r s t National Bank McKeesport F i r s t National Bank Montrose First National Bank Nunda F i r s t National Bank Bre waters Citizens' National Bank ..• Warren Ly coming National Bank Williamsport F a r m e r s ' National Bank York National Bank Haverstraw Hossalonskee National Bank Oakland . F i r s t National Bank A ttleborough Merchants' National Bank Whitehall Citizens' National Bank Muncie. Allegheny Third National Bank Pittsburgh Diamond National Bank Marine National Bank Pittsburgh F i r s t National Bauk . Auburn Second National Bank Nashua Ha ana National Bank . Havana . City National Bank Plainfield Sharon National Bank Sharon Sh N t i l B k First National Bank . May field Clinton . First National Bank Malvern First National Bank First National Bank ..". I Oakland Jenkintown National Bank Jenkintown Bristol National Bank j Bristol Greenville National Bank ; Greenville First National Ban k j M illersburgh Hatboro' National Bank ! Hat borough Orange National Bauk i ()range Farmers and Mechanics' National Bank . . Mercer Second National Bank Ked Bank First National Bank Dexter Manufacturers' National Bank Le wist on German National Bank Allegheny Citizens' National Bank New Bed ford Nat ional Bank Newport Greenfield Packard National B a n k . Fitch burg Wachusett National Bank Union National Bank Oakland Union National Bank Phillips A u g u s t a National Bank Stan n ton National Shoe and Leather Bank Auburn Bloomsbury National Bank Bloonisbury National Bank Coi tland Randolph National Bank 'West Randolph Home National Bank Milford F i r s t National Ban k Newport Fourth National Bank Boston Duquesne National Bank Pittsburgh Met ropolitan Nat ional Bank Pittsburgh Citizens' National Bank Ashland State. Massachusetts... Florida Ma Illinois Iowa Colorado Indiana Ohio Indiana Indiana. Kentucky Michigan Iowa Indiana. Texas . . Californi; Kentucky . Tennessee . Ohio. Illinois Illinois Indiana Kentucky Michigan Illinois 11 id Ohio Ohio Olio Ten neaseo Pennsylvania Pennsylvania New York New York Pennsylvania Pennsylvania Pennsylvania Now York Maine . Massachusetts... New York Indiana Pennsylvania Pennsylvania Pennsylvania Indiana. New Hampshire . Illinois . New J e r s e y Pennsylvania.. Kentucky New Jersey . . . Iowa . California Pennsylvania., Connecticut Pennsylvania.. Pennsylvania.. ylvania Massachusetts . Pennsylvania... New .Jersey Maine '. Maine , Pennsylvania... Massa husetts . Vermont Massachusetts. Massachusetts. California Maine Virginia Maine . New .Jersey . . . New York Vermont M assa chusetts. Kentucky Massachusetts.. Pennsylvania.. Pennsylvania.. Pennsylvania.. Pago. 65 509 14 783 850 1027 716 629 6£!6 7(>8 f>f4 819 867 698 571 1043 594 615 666 725 763 693 594 7«)4 767 706 690 621 686 610 378 383 267 206 432 438 410 233 19 C6 ?,01 712 333 409 412 692 40 752 326 424 593 308 871 1042 367 171 301 382 363 125 381 327 12 17 334 119 54 102 97 1042 19 477 3 305 217 61 117 595 68 409 413 330 1149 NUMEK1CAL INDEX OF BANKS. Title of bank. Westminster National Bank Westminster Farmers' National Bank. Pekin Spencer Spencer National Bank Metropolitan National Bank Boston Barton N at ional Bank Barton Keystone National Bank Philadelphia City National Bank Gloucester National Bank Slatington National Bank . -.. Granville Merchants' National Bank Saint Johnsbury Georgetown National Bank Georgetown Citizens' National Bank Keene First National Bank Trinidad Perkiomen National Bank Pennsburgh First National Bank Bellevue Western National Bank ,. York Merchandise National Bank Boston People's Nat ional Ban k Brattleboro Merchants' National Bank Water ville Iowa National Bank Des M'oines First Nat National Bank Lehiglitoii g Firt nu Eufaula Enfaula National Bank Hank Pueblo Stock growers' National Camden Caniden Nat ional Bank Webster First National Bank Kirk wood First National Bank Cincinnati Nat ional La rayet t e Ban k .Rochester Rochester Nat ional Bank Philadelphia Centennial National Bunk Winston First National Bank Boon ville First, National Bank "Wilson First National Bank Oreensborough National Bank Palmer Palmer National Bank Dubuque Second National Bank J ersey v ill e First National Bank Connellsville First National Bank Centennial National Ba n k Virginia Flemington National Bank Fleming-ton Farmers' National Bank Geneseo Union National Bank Souderton Farmers' National Bank Peunsburgh Fruit (irowers' National Bank Smyrna Citizens' National Bank Tovvnixla National Bank Columbus xVmwell National Bank Lambertville First National Bank Milford Centreville National Bank of Maryland... Centreville Central National Bank " Nor walk Union National Bank Mount Holly La Crosse National Bank La Crosse First National Bank Franklin ville Paoilic National Bank Lawrence WaMen National Bank Walden First National Bank Fort Worth Mahoning National Bank YoUIlLi>tOWJl German National Bank Denver First Nat ional Bank P,oukler Moravia National Bank i Moray,a National State Bank j Bould 22S4 22 S 7 22.^9 22! »0 2293 2294 225)5 2207 2299 23uo 2301. 2302 2303 2304 2305 2300 2307 2308 2309 2310 2311 2312 2313 2315 231 ( 5 2317 2319 2320 2321 2322 2324 2327 2328 2329 2330 2331 2332 2333 2334 233G 2337 2338 2339 2340 2341. 2:i42 2343 2*44 2345 2347 2348 2349 2350 2351 2357 2359 23(50 2361 2362 2363 2365 Location. ! i | | 2;;G(> I Be F i r s t National Bank City National Bank Fort Worth Lebanon Lebanon National Bank Kockvillo National Bank Manchester Second National B a n k First National Hank .J Shenandoah M e r c h a n t s a n d M a n u f a c t u r e r s 1 National Detroit Bank ' juakertown National Bank Quakertowr. F i r s t National Bank Eaton Jiapids First N a t i o n a l Hank Home Chase Nat ional Bank : New York N o r t h National Bank Kockland F a r m e r s ' National Bank Union City y Second Nat ionl Bank o R i h d Richmond H o w a r d National Bank | Kokomo E x c h a n g e National B a n k O'ean «j 8: 230 2308 2370 2371 2372 2374 2375 2376 2377 2378 2380 ! 23S1 i 21382 ! First National Bank Nyack National Bank First National Bank.. National Bank Central National Bank Fargo. Nyack Walla Walla.. j Smyrna I Washington . „ State. Massach usetts... Illinois Massachusetts Massachusetts Verm< Pennsylvania Massachusetts... New York Vermont Massachusetts... New Hampshire . Colorado Pennsylvania Ohio.! Pennsylvania Massachusetts... 'Vermont Maine Iowa. Pennsylvania ... Alabama Colorado Maine Massachusetts... Illinois Ohio . Minnesota Pennsylvania. North Carolina .. New York . North Carolina .. North Carolina .. Massachusetts... Iowa Illinois Pennsylvania Illinois . New J ersey Illinois Pennsylvania Pennsylvania Delaware . Pennsylvania Georgia New J ersey Delaware Maryland Connecticut New Jei'so Wisconsin New York Massachusetts... New York Texas Ohio Colorado Colorado New York. Colo Nebraska Texas Ohio Indiana New Hampshire. Iowa Michigan Pennsylvania Michigan Georgia New York Maine Michigan Kentucky Indiana.' New York. .Dakota New Yoi . ork Washingt Delaware District of Columbia. Page. M3 709 134 77 46 398 99 -425 231 59 98 30 1037 391 023 441 77 48 27 860 373 517 1036 11 142 756 634 904 394 491 206 491 488 126 8(51 754 351 785 310 751 426 390 445 430 503 31(5 443 455 185 319 83,5 225 .108 29*5 548 690 1030 1025 2J8 10:26 987 549 657 717 38 881 797 41« 799 507 255 23 823 599 706 269 1070 268 1111 440 400 1150 u NUMERICAL INDEX OF BANKS. Title of bank. Location. State. Paso. o 2383 2:i84 i 23,-5 2386 2388 2390 2391 2392 2393 2395 2396 2397 2398 2400 2401 2402 2403 2404 2405 2406 2408 2409 2410 2412 2413 2414 2415 2416 2417 2422 2423 2424 2425 24-27 2428 242!) 2430 2432 2433 2434 2435 2436 2438 2439 2440 2141 2442 2443 2444 24! 5 244-) 2447 2448 nw 2451 2452 2453 2 to i 2455 ?45fi ?457 2459 2460 2461 2462 2463 •>464 2467 "4fiR 2469 2470 2471 2472 ?474 2475 ?,476 2477 2478 Annville National Bank Northampton County National Bank National State Bank First National Bank Greene County National Bank First National Bank Jefferson County National Bank A nn ville Easton New York Pennsylvania Pennsylvania Illinois ....... ' i. TO 11 ton Dead wood Brookville Illinois Dakota Pennsylvania Bennington County National Bank Berkshire National Bank . ..... Dillsburg National Bank First National Bank National Herkimer County Bank National State Bank First National Bank Farmers' National Bank People's National Bank Yates County National Bank Little Falls National Bank Burgettstowu National Bank Farmers' National Bank I'ennington North Adams . . . . . . Dillsburgh Homer Little Falls Oneida Mount Sterling Valnaraiso Marl borough Penn Yan Little Falls Burgettstown Danville Vermont First National Bank Citizens' National Bank First National Bank Princeton AVi nsted Third National Bank Oskaloo«a Fair Haven Allen National Bank Fourth National Bank Gate City National Bank Black Kiver National Bank First National Bank Bradford National Bank First National Bank Citv National Bank . .. Abilene BnidP-rd AVI lit eh all City National Bank Springiield Chapin National Bank First, National Bank Las A-regas Hamilton National Bank Merchants'National Bank Poland National Bank Kansas City Poland ..1 Franklin National Bank Farmers and Mechanics' National Bank National Bank Mechanicks' National Bank First National Bank Merchants' National Bank Hide and Leather National Bank First National Bank National Marine Bank San Miguel National Bank City National Bank. Santa Barbara Countv National Bank National Deposit Bank Second National Bank.., Morrow Countv National B;'nk Merchants' National Bank Merchants' National Bank Parkesbnrg National Bank First National Bank Briggs National Bank City National Bank First National Bank First. National Bank Farmers'National Bank Farmers' National Bank First National Bank First National Bank First Natioual Bank Franklin Cadi/ Griffon O"densbnr fr h . . . ('oncord Ilillshoiv»ii<rh c Cuba Lititz Baltimore Las Vegas Dallas Santa Barbara Brownsville Mordant own vouut Gilead Pennsylvania New York . . . . . New York New York Illinois . . Indiana . . . . . . . . . . New York New York Pennsylvania Kentuekv . . . . California Illinois Connecticut Pennsylvania . . Iowa Vermont Ohio New York Pennsylvania Michigan Massachusetts Missouri Massachusetts Dakota Massachusetts New MexicoOhio .. . .- Missouri. . .. ... New York .. New York New Hampshire Ohio AVest Virginia New York New Hampshire New York Ohio Illinois Maryland New'Mexico Texas; California . Pennsylvania West Virginia . . Ohio Parkesburgh Mavsvillo.. C ydo Clinton Dakota Pennsylvania. New York Pennsylvania Kentucky New York . . . . Iowa Nooaick Falls New York Brv an V ergon nes, Fort Bent on Weatherford Keiio Ohio Arermont "Montana Tex as Nevada | D;>.idwond P liladelphia 281 336 355 730 196 732 10(57 343 589 47 123 353 233 241 269 765 725 115 274 241 345 582 283 875 10."> L 774 196 411 457 877 51 639 500 4i>2 243 931 342 821 105 921 137 1065 136 1096 663 699 1)17 276 33 48') 2(18 30 20() 653 7- 8 218 375 452 1096 543 1049 344 482 664 802 1068 400 290 593 215 855 342 234 284 694 59 1090 572 1038 1151 NUMERICAL INDEX OF BANKS. Title of bank. 2479 2480 2481 2482 2483 2484 2486 2487 2488 2489 2490 2491 2493 2494 2495 2498 2499 2500 2501 2502 2503 2504 2505 2506 2507 2508 2509 2510 2511 2514 2515 2516 2517 2518 2519 2521 2522 2524 2225 2526 2527 2528 2529 2530 2531 2532 2533 2534 2535 2536 2538 2539 2510 2541 2543 2544 2545 2546 2547 2548 2550 2551 2552 2554 2555 2557 2558 2559 2560 2562 2563 2565 2566 2567 2568 2569 2570 2571 2572 2574 2575 5576 , Second National Bank People's National Bank National Bank Commercial National Bank Watsontown National Bank First National Bank Milrao National Bank First National Bank First National Bank City National Bank First National Bank First National Bank First National Bank of Rondont Manufacturers' National Bank Citizons' National Bank National Bank Drovers and Mechanics' National Bank .. First National Bank Union National Bank Elkhart National Bank. La Salle National Bank Brockton National Bank. First National Bank National Exchange Bank United States N ational Bank First National Bank First National Bank First National Bank Merchants' National Bank Red River Valley National Bank Ephrata National Bank Merchants* National Bank First National Bank Laramie National Bank Ricker National Bank State National Bank Citizens' National Bank German National Bank .. Third National Bank National Bank Atlantic City National Bank First Nations] Bank Citizens' National Bank New Holland National Bank Mtu-cer National Bank First National Bank Citizens' National Bank Iron National Bank . Sioux National Bank k Merehants' National Bauk First National Bank First National Bank First National Bank Central National Bank First National Bank Potters' National Bank First Natioiusi Bank Western National Bank Den ton National Bank First National Bank First Nati<>nal Bank First National Bank Second National Bank Union National Bank First National Bank , Union National Bank First National Bank Third National Bank Farmers' National Bank Merchant-sand Farmers'National Bank.. National Security Bank '. Commercial National Bank First National Btfnk First National Bank Second National Bank First National Ban k Citizens' National Bank First Nntional Bank Farmers' National Bank First National Bank Citizens' National Bank .... First JSn\kmiil Bank er.* » Location. "Warren Bellcfonfaino . . . Rising Sun Youngstown AVatsoniown.... Laredo Miiblleburgh . Saint Paris (Jan ton IVnsacola Los An-eles. g AVat<:rhiiry . Cincinnati .. Cambridge . P>;iHim«>re . Kent on . JKewaneo Klkhiirt . La Salic . BIN. ivtou . Canton . Lynchburgh... New York Hnntington ... Tom's Kivcr... (iouvernenr ... Cedar Rapids . Ephrata Defiance Greenwich La ramie QuincyEl Paso Hornellsville Cincinnati Pitisfiold Keimett Square . Atlantic City Hastings . Zanesville New Holland.. Harrow sbuvgh . El Pas Craw lord sville . Plattsburgh . . . . Sioux City Nebraska City.. Salina Mauistee ... Cambridge . Pueblo . Bain bridge East Liverpool . Poultney Pueblo . Denton Valley City. Quincy . Madison Reading Newport Nevada, jiaeino. Greensbnrgh. .. Chattanooga... Cynthiana. Greensburgh .. Lynn .Appleton TSutte City Crookston Columbia Moorhead Grand Forks . Glencoo Cambridge Mason City Xcinii.....' Oweuaborough. State. Ohio Ohio Marvin n d Ohio Pennsylvania.. Iowa Texas New York. Ohio Ohio Florida . California.. New York. Connecticut . Ohio Marvland Maryland. Ohio Illinois , Indiana , Illinois Massachusetts., Pennsylvania.. Virginia New York Indiana.. New J e r s e y . . . . No\v Yrork Iowa Dakota Pennsylvania.. Ohio.. New York Wyoming Illinois . . . Texas New York Ohio , Massachusetts. Pennsylvania.. New J e r s e y . . . . Nebraska/ Ohio. Pennsvlvania.KcntVicky Texas . Indiana New York Iowa Nebraska Kam Michigan. Illinois Colorado. Now York Ohio Vermont Colorado. Maryland Dakota Michigan. New Jersey Pennsylvania.. Rhode Island.. Iowa Wisconsin. Pennsylvania.. Tennessee Kentucky Pennsylvania.. .Massachusetts., Wisconsin Montana Minnesota Tennessee Minnesota. Dakota Minnesota . Illinois . . . . Iowa Ohio Kentucky Page. 685 022 462 690 433 872 558 245 673 628 512 1040 239 194 632 455 450 655 756 697 757 87 345 473 260 703 329 230 852 1070 356 643 232 1115 775 547 235 633 127 367 304 997 691 387 584 546 695 275 884 1005 974 810 731 1030 202 645 56 103(5 457 1082 818 316 419 153 875 842 360 604 581 360 114 826 1089 893 606 901 1072 897 731 873 689 59a 1152 NUMERICAL INDEX OF BANKS. Title of bank. Citizens' National Bank a Charles City National Bank James River National Bank People's National Bank Des Moines National Bank Second National Bank First National Bank First National Bank Pemigewassett National Bank First National Bank First National Bank First Nat ioiial Ban k Commercial National Bank _ • First National Bank Peoples National Bank Peoples National Bank First National Bauk State National Bank First National Bank Gai field National Bank First National Bank Lancaster National Bank Chicago National Bank National Bank 2<>o:$ Manufact nrora' National Bank 2004 Winters National Bank 2005 Commercial Naiional Bank 2006 Manistee National Bunk 2fti>7 First National Bank ncln N a 2008 Lincoln National Bank 2009 I First National Bank 2010 I Salamanca National Bank 2011 Fourth National Bank 2012 People's National Bank 2(513 Citizens' National Bank 2614 First National Bank 2015 Citizens' National Bank 2017 State National Bank.. 2(518 Hudson National Bank 2019 Merchants' National Bank 2020 Spring field National Bank. 2621 Otturuwa National Bank 2022 First National Bank 2023 Manufacturers' National Bank 2025 First National Bank 2026 Tarry town National Bank 2028 Van \Vert Nat ional Bank 2030 First National Bank 2»>32 Citizens' National Bank 163'} First National Bank 2ii:s4 Fulton National Bank 2035 People's National Bank 2036 First Na'ional Bank 2037 First National Bank 2038 First National Bank 2041 First National Bank of Provo 2(542 Searsport National Bank 2043 City National Bank 2044 First National Bank 2045 First National Bank 2040 Fi rst Nation al Bank 2047 National Exchange Bank 2648 Fergus Falls National Bank 2049 Citizens' National Bank 2(550 Fanners and Merchants' Natioual Bank. 2051 First National Bank 2052 Stock Growers' National Bank 2054 2055 National Bank 2056 First National Bank 2057 First National Bank 2058 Watertown Nat ional Bank 2G59 Mechanics' National Bank 2060 First National Bank 2061 Lebanon National Bank 2002 Millerton National Bank 2003 National Bank of Commerce 2064 State National Bank 2665 Second National Bank .' 2066 Nebraska National Bank 2667 First National Bank . 2068 Sellersville National Bank Second .National Bauk • ,. 2577 2579 2580 2581 25M3 2584 2585 2586 2587 2588 2589 2590 2.->!H 2592 2">93 2594 2595 2596 2597 2598 2599 2000 2(501 2602 Location. Mansfield Charles City Jamestown Norristown Des Moines Danville Mandan Creston Plymouth New Hampton Hiawatha Brainerd Detroit Carroll ton MeMinnvillo Charlottesville State. Ohio owa Dakota Pennsylvania Iowa. Illinois Dakota Towa. New Hampshire. Iowa Kansas M iimesota Michigan Kentucky Tennessee Virginia Storm L a k e . Iowa Logansport Indiana Ogden Utah ^iew York - New York Wallingtord Connecticut Lancaster New Hampshire Chicago Illinois Stamford New York Neenah. Wisconsin Dayton Ohio. dimnbus Ohio Manisteo Michigan Pontiac Mich igan Now York New York Saltsburg Pennsylvania Salamanca New York Grand Rapids Michigan Lawrenceburgh ... Indiana Kansas City Missouri Albuquerque ... ... New Mexico. Saratoga Springs, . New York Aus'in Texas Massa ch usetts Hudson New York Dunkirk. Ohio Springfield Iowa Ottiunwa Colorado Fort Collins Maryland Baltimore Ohio . Loiain Tan vtown New York Van Wort Ohio Pendleton Oregon Friendship Now York Baton Kouga Louisiana Lancaster Pennsylvania Pulaski. Tennessee Appletou City Missouri Durango Colorado Columbus Mississippi Provo City Utah..... sport. Maine South Norwalk ... Connecticut . . . . . . Newton Iowa Dakota Mitchell. Topeka Ka nsa s ....... Waukesha AVisconsin Fergus Falls , Minnesota Pa.kersburgh West Virginia VUleyCity Dakota liichfieldSprings. New York Ohoj'enno , Wyoming Kittanning Pennsylvania Coining , New York Washington , Iowa Watertown New York Knoxville Tennessee Bangor Pennsylvania Lebanon Indiana Millerton New York Cleveland. Ohio Maysville Kentucky Cincinnati Ohio Omaha.., Nebraska Lamed Kansas Pennsylvania Sellersville New York New York . . . . . . . Pago. 659 853 1074 389 851) 743 1076 857 43 876 950 796 578 010 4*-9 885 710 1098 257 193 37 736 290 840 642 639 811 817 259 421 284 801 708 917 1095 286 534 106 220 678 »78 1031 450 659 291 684 1058 226 527 369 614 911 1031 523 1099 25 190 876 1077 977 844 896 483 1082 281 1114 368 216 887 299 610 337 709 246 637 593 630 1010 957 423 252| NUMKIUCAIJ M o 2669 2670 2671 2072 2673 2674 2675 2676 2678 2679 2680 2681 2082 2683 2685 2686 2687 2688 268!) 2090 2691 2692 2<;o:> 2694 2(595 2697 2698 2699 2700 j 2701 2702 2703 2704 ! 2705 j 2706 2707 2708 2709 2710 2711 2712 27 IB 2714 2715 2716 2717 2718 2719 2720 2721 2722 2723 2725 2726 2727 2728 2729 2730 2731 2732 2733 2734 2736 2737 2738 2739 2740 274 L 2742 2743 2744 2745 2746 2747 2748 2749 2750 2752 2753 2754 2755 2756 Title of bank. National Bank First N ational Bank Tradesmen's National Bank First National Bank Second National Bank First National Bank First National Bank Third National Bank Third National IV nk Slienandoah National Bank First National Bank Streator National Bank First Nat ional Ban k First National Bank First National Bank First National Ban k First National Bank Fanners' National Bank Traders' National Bank First National Bunk First National Bank KirsL National Bank First National Bank State National Bank First National Bank First National Ban k First National Bank First National Bank First National Bank First -National Bank De Kalb National Bank First National Bank First National Bank of Porter County First National Ban k First National Bank First National Bank First National Bank Sterling National Bank First National Bank Commercial National Bank First National Bank First National Bank . „ First National Bank.. First National Bank Second National First National Bank Citizens' National Bank First National Bank Clarksville National Bank First National Bank Farmers and Traders' National Bank Citizens' National Bank Second National Bank German National Bank First National Bank First National Ban k Firafe National Bank Third National Bank First National Bank Merchants' National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank Catlettsburg National Bank First National Bank First National Bank First National Bank First National Bank First National Bank Fi rst National Hank First National Bank First National Bank First National Ban k Lincoln National Bank First National Bank First National Bank Farmers' National Bank Farmers' National Bank First National Bank B. Ex. o- -73 INDEX OF 1153 BANKS. Location. "West G rove Chicago Conshohocken Portsmouth, Brownsville Still water Woodstock . Bloomington Dayton Sh^nandoah Richmond . Streator New Haven York . Bane Gnnnison Kendallville Springfield Fort Worth Cleveland Salem. Evansville Yroungsto wn . . . Denver Davenport, Scranton Akron Worcester Strasburgh Fort Wayne De Kalb . Fremont Valparaiso Georgetown Cret e Detroit Flushing Sterling Marietta Pittsburgh McConnelsville Kirks villo Ann Arbor Milwaukee . Akron La Fa\ette . Oberlin Geneva Clarksville Stuart . Oovington W eat her ford Beloit Newpor vport. Troy Le Mars MeKmney Cincinnati Philadelphia Helena Lyons Cambridge City.... Wilkes Barro Iioanoke Towa City Johnstown Catlettsburgh Nashua. Torre Haute Bath Ilollidaysburgh... Pittsburgh . .1 trails Cit'v Michigan City. Janesville . . . . . Houlton . Lincoln Miles City Marion . South Charleston. Frank liuvillo Hebron ' State. Pennsylvania Illinois Pennsylvania New Hampshire . Pennsylvania Minnesota Illinois Illinois Ohio Iowa. In Illinois.. Connecticut Nebraska. Massach usetts Colorado. Indiana , Illinois ,. Texas , Ohio . Oiiio Indiana Ohio Colorado Iowa.. Pennsylvania Ohio Massachusetts Pennsylvania Indiana. , Illinois Ohio . Indiana Ohio . Nebraska. Michig Michigan Illinois Pennsylvania Pennsylvania Ohio .".' Missouri . Michigan Wisconsin Ohio Indiana Ohio Ohio . Tennessee Iowa Kentucky Texas. Wisconsin . Kentucky.. Ohio Iowa Texas Ohio Pennsylvania Montana Iowa. Indiana Pennsylvania. Virginia . Iowa Pennsylvania Kentucky New Hampshire. Indiana Maine Pennsylvania.. Pennsslvania. 'Nebraska., Indiana Wisconsin. Maine . 'Nebraska.. Montana... Io Ohio New York. Nebraska.. Page. 436 734 352 43 344 9U9 787 729 610 882 716 782 182 1024 66 1033 705 780 550 635 674 697 689 1030 857 422 618 145 427 699 744 648 721 650 990 795 801 782 377 409 661 999 789 838 618 706 668 650 605 885 580 573 828 595 682 869 560 631 391 1091 870 694 436 476 868 367 579 40 720 6 363 406 993 711 834 16 1003 1093 872 676 225 1154 V6 3fe 2757 •2758 2759 2760 2761 2762 2763 2764 2766 2767 2770 2771 2772 2773 2775 2777 2778 2779 2780 2781 2782 2783 2784 2785 2786 2787 2788 2789 2790 2791 2792 2793 2795 2796 2797 2798 2799 2801 2802 2803 2805 2806 2807 2808 2809 2810 2811 2812 2813 2814 2816 2817 2818 2819 2820 2822 2823 2824 2825 2826 2827 2828 2829 2830 2831 28.J2 2833 2836 2837 2838 2839 2840 2841 2842 2843 2844 2846 2847 2848 2849 2850 2851 NUMERICAL INDEX OF BANKS. Title of bank. Location. Helena Second National Bank Atchison Exchange National Bank Eau Claire National Bank Eau Claire People's National Dank Lynchburgh , Home National Hank East Saginaw Atlantic National Bank Atlantic , Fort Dodge National Bank Fort Dodge Chase County National Bank Cottonwood Falls. First National Bank San Angelo... Conclio National Bank Marl bo rough . First National Bank First National Bank Seward Columbia National Bank Dayton First Nation al Bank Ludington . Merchants' National Bank Omaha First National Bank Newton Schuyler First National Bank First National Bank Grand Island. First National Bank AVahoo Second National Bank Altoona Kansas National Bank Wichita . First National Bank , Seattle Fourth National Bank I Louisville Limerick National Bank Limerick Wichita National Bank "Wichita First National Bank Stroudsburgh.. First National Bank Stanford Hillsboro' National Bank Hillsborough .. First National Ban k Saint Cloud Marvsville. First National Bank First National Bank Casselton Farmers and Merchants' National Bank .. Galva Union National Bank Minneapolis ... National Bank Bristol. Havford National Bank Bel Air Fifth National Bank Cincinnati First National Bank Braddock Colorado Na tional Bank Colorado Gainesville National Bank Gainesville Bozeinan National Bank Bozeman. First National Bank Spokane Falls . First National Bank Kearney First National Bank First National Bank Hoopeston First National Bank Frankfort Moss National Bank Sandusky First National Bank lied Cloud , First National Bank Denton Montana National Bank Helena Southington National Bank Southington First National Bank Salem Third National Bank Oircleville Le Mars National Bank Le Mars First National Bank Huron First National Bank AVausau Hummelstown National Bank Ilummelstown. Sioux Falls National Bank Sioux Falls First National Bank Lexington First National Bank Pawnee City National Bank of America Chicago , Second National Ban k Cortland Braddock National Bank i>rad<lo Champaign National Bank ! Chamj)aign ... First National Bank Canton First National Bank Fostoria Arkansas National Bank Hot Springs .. Creston National Bank Creston First National Bank Gainesville ... Ripley National Bank Kiploy National Bank Sandy Hill.... People's National Bank Ainericus First National Bank. Giafton Centerville National Bank Centerville Painesville National Bank Painesville Dakota National Bank Sioux Falls... Third National Bank Greensburgh . Lincoln National Bank Boston Alpena National Bank Alpena Fremont National Bank Fremont National Bank Christiana First National Bank 1 AVellsville.... First National Bank ,,^-..,.T Menomonie... State. Montana Kansas Wisconsin Virginia. Michigan Iowa Iowa Kansas Iowa 1exas Massachusetts. Nel>i\iska Washington ... Michigan Nebraska Kansas Nebraska Nebiaska Nebraska Pennsylvania.. Kansas Washington .. Kentucky Maine Kansas . Pennsylvania . Kentucky Illinois Minnesot: ota. Kansas . Dakota Illinois Minnesota Tennessee Maryland Ohi * Pennsylvania. Texas Texas Montana Washington .. Nebraska Illinois Kansas Ohio Nebraska Texas Montana Connecticut ... Oregon Ohio Iowa Dakota AVisoonsin Pennsylvania.. Dakota Illinois Nebraska Illinois New York JVnnsylvania.. lllinois Dakota Ohio Arkansas wa . Texas Ohio New York...:., Georgia Dakota I owa Ohio Dakota Indiana Massachusetts. Michigan Nebraska Pennsylvania . New York Wisconsin Pago. 1091 934 831 473 79!) 848 803 Oil 886 5(33 113 1017 1102 810 1010 966 1010 906 1021 33") 982 not 1 501 17 <M3 428 600 752 905 902 10(56 750 J)ul 03 341 5 tO . 1107 3000 9X9 753 946 675 1014 545 1092 190 1060 635 870 1073 845 365 1081 1013 739 217 342 733 1066 647 576 857 551 673 285 499 1071 852 668 1080 702 994 348 300 837 1155 NUMERICAL INDEX OF BANKS. Title of bank. 2852 2853 2854 2857 2858 2859 2800 28(rl 2862 2863 2864 2865 2866 2867 2868 2869 2870 2872 2873 2874 2875 2877 2878 2879 2880 2881. 2882 2885 288(3 2888 28!H) 2891 2892 2893 2894 2895 2896 2897 2898 2899 2900 2901 2902 2903 2904 2905 2906 2908 2909 2910 2S11 2912 2913 2915 2916 2917 2918 2919 2020 2921 2923 2924 2925 292(5 2927 2928 2929 2930 2931 2932 2933 2934 2935 2936 2937 2938 2939 2940 2941 2943 2944 Linrlennan National "Bank Bay National Bank First National Bank Farmers' National Hank Drovers' National Bank of Union Stock Yards Lima National Bank Fort Plain National Bank Old National Hank First National Bank.. National Bank. Gap National Bank. First National Bank First National Bank First National Ban k First National Bank Fuitonvillo National Bank Detroit National Bank Cen tral National Bank National Bank City National Bank First National Bank National Bank Peoria National Bank First National Bank Utah National Bank First National Bank First National Bank Delphos National Bank. Valley National Bank • Citizens' National Bank Old National Bank First National Bank First National Bank First National Bank Continental National Bank Farmers and Traders' National Bank Central National Bank First National Bank Saxton National Bank Penn National Bank Farmers' National Bank Second National Bank , First National Bank First National Bank Chester National Bank Killington National Bank Farmers' National .Ban k People's National Bank Collin County National Bank Commercial National Bank First National Bank First Nat onal Bank Atlantic National Bank First National Bank Lake Shore National Bank National Bank. Vim-land National B:>nk Third National Bank Merchants' National Bank National Bank. Swedesboro' Nationil Bank Tacoma National Bank Citizens' National Bank First National Bank First National Bank First National Bank Amesbury National Bank First National Bank Planters' National Bank Xenia National Bank First National Bank Citizens' National Bank First National Bank First National Bank First National Bank' Los Angeles National Bank Eimis National Bank First National Bank First National Bank.. National German American Bank Big liapids National Bank Location. Mauch Chunk Bay City Larimore West Chester State. Pennsylvania. Michigan Dakota . Pennsylvania ... | Chicago Illinois Lima Fort Plain New York Cambridge S : 1T aeon Missouri. El yria. Ohio . ....... Pennsylvania.. Gap . Oregon , j Baker City Ohio . I Wellington . Honey Grove Texas Owenten. Fultonville N«-\vtucky . York. Michigan Detroit Ohio Cambridge New York Troy..... Ohio Dayton Illinois Freeport Wisconsin. Oshkosh lllii ois .... Peoria K Wellington Utah Ogden '. Missouri., Mexico J Ohio Felicity I Ohio Delphos . Iowa Des Moines Lancaster Kentucky Michigan Grand '.Rapids West Point Mississippi Springvillo New York Texas , Colorado Illinois Chicago Iowa . Oskaloosa Greeneastle Indiana Aurora Nebraska Saint Joseph Missouri Heading Pennsylvania Boyertown Pennsylvania.. Lexington Kentucky David City Nebraska North Manchester. Indiana Chester Pennsylvania . Kutland Vermont Oxford Pennsylvania. . Ohio.." Barnesville MeKinney Texas Iowa . Waterloo" Chamberlain Dakota Washing;on . Kansas Providence lihode Island.. Urbana Illinois Dunkirk New York Hustonvillo Kentucky Vine-land New Jersey ... Sedalia Missouri Amsterdam New York Ashlind Nebraska. Swedesborough New Jersey. Tacoma Washington Wisconsin Whitewater Illinois . . . . . . . . Paxton Georgetown KVntucky Albany Oregon Amesbury Massachusetts Silverton' Colorado , Henderson Kentucky Xenia Ohio. Morris. Minnesota . Fergus Falls Minnesota . Waterto wn Dakota Corning .., Iowa Brown wood Texas , Los Angeles California., Ennis Decat ur Texas Pierre . Dakota .... Minnesota . Saint Paul Michigan .. Big Rapids Page. 378 790 1075 435 737 •>58 224 627 921 645 358 1053 686 555 596 227 797 626 293 641 748 841 771 980 1099 922 646 644 860 586 803 526 289 540 737 877 701 987 925 420 341 587 990 714 347 57 389 621 560 888 1066 979 157 784 220 585 33J 927 201 DSii 1110 846 7(i9 583 ior>2 63 1037 585 68S) 902 896 1083 856 536 1040 547 544 1079 5)07 791 1156 NUMERICAL INDEX OF BANKS. Title of bank. 2945 2946 2947 2948 2949 2950 2951 2952 2953 2956 2957 2958 2959 2960 2961 2962 2963 2964 2966 2967 2968 2970 2972 2973 2974 2976 2977 297* 2970 2980 2981 2982 2983 2984 2985 2986 2987 2988 2989 299 L 2992 2993 2994 2995 2996 2997 2998 2999 3000 8001 3003 8004 3005 3007 3009 3010 3011 3014 3015 3017 3018 8019 3020 3021 3023 3024 3025 3026 3027 8028 30*29 8080 3031 3032 3033 3034 3035 3038 3039 3040 3041 3042 Location. Aurora National Bank Aurora City National Hunk Akron Union First National Hank First National Bank Port Town send . Exchange National Bank Denton Clement National Bank Rutland Peru National Bank Peru. First National Bank Seneca Grinnell Merchants' National Bank Cleveland National Bauk Cleveland First National Bank Meridian Drovers and Merchanics' National Bank . York St. Paul National Bauk Saint Paul First Natioual Bank Friend First National Bank Montezuma First National Bank Idaho Springs . Aurora Aurora National Bank First National Bank Fuller-ton Puget Sound National Bank Seattle Front lioyal... Front Royal National Bank 0\\ Farmers1 National Bank National Bank Saint Joseph First National Bauk Lewiston First Nat ional Bank Oarn First National Bank AVaxaliaehie . Sprague National Bank Brooklyn First National Bank Kochester. Omaha United States National Bank First National Bank Palmyra First Nat ional Ban k Aberdeen First National Bank Salisbury First National Bank Cli'burne First National Bank Tipton Hamilton County National Bank Webster City. Seattle Merchants' National Bank Bismarck Capital National Bank First National Bank Vassar . Capital National Bank Lincoln Beadle County National Bank Huron First National Bank Wilber Second National Bank Greenville.. Central National-Bank Chillicothe . First National Bank Fair bury First National Ban k Alexandria . Owego National Bank .' National Bank El Paso. First National Bank Greenville. Bridgeton Nation al Bank Bridiieton Anoka National Bank Anoka First National Bank , Ste First National Bank Bijrgsville . Tipp National Bank Tippecanoe City. First National Bank Carthage First National Bank Burnet . German American National Bank Saint Cloud First National Bank Havre de Grace . Chenango National Bank Norwich .. First National Bank Mexia . First National Bank Brenham Union National Bank Ames First National Ban k Marion . People's National Bank Middletown . Naugatuck National Bank Nanjratuck . First National Bank Independence . Lewiston National Bank Lewiston First National Bank Olvinpia First Nat ional Bank East Portland . First Nationa 1 Bank P< First Nationa 1 Bank Taylor-. Decatur National Bank. Decatur . South Branch Valley National Bank Moorelield First National Bank Pu nxsutawney First Nat ion al Ban k .... Vancouver American National Bank Nashville Leaveirworth National Bank Leaven worth . . Merchants' National Bank Charlotte National Bank El Dor-ado First National Bank Osvvego. First National Bank Shakopee. First National Bank Manasquan First National Bank Anniston First National Bank .., i EUzabethto wii. State. Illinois Ohio Oregon Washington Texas . Vermont Illinois Kansas. Iowa Ohio Mississippi Pennsylvania... Minnesota Nebraska Iowa . Colorado Indiana Nehrask Washington Virginia eky Missouri Tdalx Kansas . Texas . New York Pennsylvania.. Nebraska Missouri. Dakota North Carolina . Texas Iowa Washington Dakota Michigan Nebraska Dakota Nebraska Ohio Ohio Nebraska. Minnesota New York Illinois Texas New Jersey Minnesota' "i scon sin Illinois Ohio M issouri Texas . Minnesota Marvl md New York Texas. Iowa.. Kam Delaware Connecticut . Kansa Idaho Washington Oregon Iowa Texas Indiana West Virginia. Pennsylvania .. Washington ... Tennessee Kansas Michigan Kansas Kansas . Minnesota New Jersey Alabama Kentucky Page. 727 G18 1062 1104 545 57 772 975 865 636 524 440 907 994 874 1033 693 995 1105 471 597 924 1086 017 572 208 421 1011 923 10« 4 490 5:59 8K6 889 1 105 l()t)5 824 1002 1073 1023 651 629 992 892 271 746 553 306 892 F43 729 679 913 537 905 461 267 561 536 847 062 443 180 953 IO80 1053 879 567 696 481 417 1111 613 958 793 943 969 908 317 514 582 1157 NUMERICAL INDEX OF BANKS. "So Title of bank. Location. State. Pago. 5 3043 3044 3045 3046 3047 3048 3049 3050 3051 3052 3053 3055 3056 3057 3058 3059 3060 3061 3063 3064 3005 3066 3067 3068 3069 3070 3072 3073 3074 3075 3076 3077 3078 3079 3080 3081 3083 3084 3085 3086 3087 3088 3089 3091 3092 3093 3094 3095 3096 3097 3099 3100 3101 3102 3104 3105 310(5 3107 3108 3109 3110 3111 3112 3113 3114 3115 3116 3117 3118 3119 3120 3121 3123 3124 3125 3126 3128 3129 3131 3132 3133 3134 First National Bank Second National Rink F i r s t National Bank ... Hill County National Bank First National Bank First National Bank First National Bank First National Bank National Bank Third National Bank j First National Bank Tied Oak National Bank Consolidated IS'ational Bank First National Bank State National Bank First National Bank Jones National Bank First National Bank People's National Bank First National Bank First National Bank First National Ban k QnaiTyville National Bank Marshall National Bank Whitney National Bank German American National Bank First National Bank First National Bank Carrollton National Bank Gallatin Valley National Bank First National Bank Kinsman National Bank Central National Bank First National Bank. Factory Point Nat ional Bank Beatrice National Bank First National Ban k First National.Bank Independence National Bank Exchange National Bank First National Bank Merchants' National Bank First National Bank Wellington National Bank Williamstown National Bank First National Bank First National Bank Ishpeming National Bank Grafton National Bank First National Bank City National Bank First National Bank Citizens'National Bank Calumet National Bank of South Chicago Farmers' National Bank First National Bank First National Bank First National Bank AY^oodson National Bank Plymouth National Bank First National Bank Mercantile National Bank Clarinda National Bank First National Bank First National Bank T Fi rst Nation al Bank First National Bank Exeter National Bank Sauntlers County National Bank Second National Bank First National Ban k First National Bank East Saginaw National Bank Security National Bank First National Bank First National Bank Home National Bank Saint Paul Nalional Hank Fort Worth National Bank American National Bank Three Rivers National Bank First National Bank , Petersburgh Clarion ..." Shaniokin Hillsboro Wat kins Griswold Clu-rokoe San Dieuo Brook ville Lexinuion Kockford . lied Oak San Diego MinMen' l>enison North Bend Si-wanl llolton Langhorne Princeton 'IV \ ark ana Coneordia Qnanyville Union ville New Orleans Illinois Pennsylvania j Peni!\ slvania I Texas j New York ' Iowa Iowa California , Pennsylvania, Kentucky Iowa. Iowa . j California I Nebraska Texas Nebraska . Nebraska . Kansas . Pennsylvania . Kentucky Texas. Kansas . Pennsylvania Missouri Louisiana Illinois Kansas Clay Centre ]\ J as.sa ch u setts Aver Kentucky . . Carroll ton M oi. tana Bozeinan Washington Coliax Ohio . . . . Kinsman Kansas Topeka Missouri' Tju-kio Manchester Centre . . . Vermont Nebraska Beatrice . Nebraska Syracuse, Indiana. an sport . Pennsylvania Philadelphia Nebraska Hastings Dakota Brookin:.is Michigan Miiskenon Pennsylvania Bedford... Kansas Well in si ton M assachusetts AV'illiamstown Georgia.. La Grange Texas . . Bonham M.ichiiran Dakota . . Grafton. Montana Billings. N ebraska Ilastings Minnesota Wabash Nebraska Grand Island Illinois Chicago Kit tanning Pennsylvania Waverly... Iowa lluntington West Anrginia Tullalion Tennessee Yates Center Kansas Plymouth Michigan Missouri Milan Missouri Louisiana Iowa Clarinda Texas Marshall Colorado Alamosa Kansas Clyde. Georgia Brunswick Nebraska Exeter Nebraska. Wahoo Washington Col fax Montana Dillon Nebraska Exeter.. East Sa.ginaw . . . . Michigan Iowa Sioux City Wisconsin Lake Geneva Nebraska Saint Paul M a ssach use tts Holy ok e Nebraska Sanit Paul Texas Fort Worth Texas Dallas Michigan Throe Rivers Kansas Peabody 772 348 424 554 29!) 8<i5 854 1040 :u:J 588 880 880 1047 100.") 5J5 1007 101.7 950 871 598 500 040 418 930 531 771 939 00 571) ]0M) 1101 050 978 020 087 1020 710 398 998 10(5") 814 338 08 L 144 005 530 800 1071 JU8S 997 010 990 730 3(i8 888 4S0 017 984 817 922 920 854 5^9 1025 939 501 9!)2 1021 1101 "10K9 992 799 884 8'U) 1015 100 1010 549 542 823 971 1158 NUMERICAL. INDEX OF BANKS. Title of bank. 3135 3136 3137 3138 3139 3140 3141 3142 3143 3144 3145 3147 3148 3149 3150 3151 3152 3153 3154 3155 3156 3L57 3158 3159 3160 3161 3162 3163 3165 3166 3167 3168 3170 3171 3172 3173 3174 3175 3176 3177 3178 3179 31H0 3181 3182 3183 3184 3185 3186 3187 3188 3189 3190 3191 'J192 3193 3195 3L96 3197 3198 3199 3200 3201 3202 3203 3204 3205 3206 3207 3208 3209 3210 3211 3212 3213 3214 3215 3216 32 L7 3218 3219 3220 Location. Citizens' National Bank , First National Bank National Bank Gales burg National Bank Commercial National Bank Dubuque National Bank , Citizens' National Bank , First National Bank First National Bunk City National Bank Nicollet National Bank National Ban k , First National Bank First National Bank Gray National Bank Citizens' National Bank Schuyler National Bank , First National Bank Farmers' National Bank First National Ban k First National Bank First National Bank Lyndonville National Bank Merchants and Planters' National Bank. First National Bunk First National Bank York National Bank Commercial National Bank First -National Bank National Bank Washington National Bank First National Bank , People's National Bank , First National Bank i Merchants' National Bank Dillon National Bank Merchants' National Bank Citizens'National Bank Meridian National Bank First National Bank First National Bank Metropolitan National Bank First National Bank Ked Cloud National Bank First National Bank First National Bank Portland National Bank First National Bank Homer National Bank Montgomery County National Bank Farmers and Merchants' National Bank. First ]^rttional Bank Second National Bank People's National Bank First National Bank First National Bank First National Bank Ashland National Bank First National Bank Lincoln National Bank Hutchinson National Bank Panhandle National Bank Kearney National Bank Union National Bank First National Bank Loominster National Bank Queen Anne's National Bank National Bank of Commerce First National Bank First National Ban k Mount Jackson National Bank City National Ban k Kaiamazoo National Bank. *„... Citizens' National Ban k Exchange National Bank Central National Bank First National Bank First National Bank First National Bank First National Bank Merchants' National Bank First National -Bank Modesto Union ville Galesburgh Ogden Dubuque Sandusky Ketchuin Shenandoah. Susqui'hanna Minneapolis Milvern Eureka Madison Middletown Springs. Madison ScJiuyler KockKapids Gran ville Sank Centre Metropolis "Wapakoneta Ly iidonviile Sherman Dem ing Darlington York Omaha Montague Westtield Washington Cranbury Burlington Mechanic ville ... Tacoma Dillon Plattslmrgh ..... Fort Scott Meridian Flushing Givoley. Chicago Hutch i Ked Cloud Do Witt Ilerkimei Portland Birmingham Ho Kock ville Fremont Missouri Valley . Belvidere Newark What Cheer Marathon Abilene Ashland Algona Lincoln ITutcbinson Wichita Falls —. Kearney Cleveland Mineral Point ... Leominster Centre ville Minneapolis Sterling ttoldn-go Mount Jackson.. Kaiamazoo Kaiamazoo Waxahachie. El Dorado Pooria Mount Pleasant . Girard. Ithaca Winrield Gardiner Ambler State. Texas California Missouri .. Illinois Utah Iowa Ohio Idaho Pennsylvania.. Pennsylvania .. Minnesota Pennsylvania.. Kansas Dakota Vermont....... Dakota Nebraska Iowa New York Minnesota Illinois Ohio Vermont Texas New Mexico. Wisconsin Nebraska Nebraska Texas New York Kansas New Jersey Kansas New York Washington ... Montana. New York Kansas Mississippi Ohio Colorado Illinois Ka Nebraska Iowa New York. Oregon Alabama New York, Maryland Nebraska Iowa Illinois Ohio Iowa . New York Texas Wisconsin Iowa Pennsylvania.. Kansas Texas. Nebraska Ohio Wisconsin Massachusetts. Maryland Minnesota .. Kansas Nebraska Virginia. Michigan Michigan Texas. Kansas Illinois Michigan Kansas . Michigan Kansas . . . . . . . Maine Pennsylvania. Page. 571 1041 930 750 1098 861 675 1086 425 429 900 376 945 1075 53 1076 1017 881 230 908 762 684 52 566 1095 830 1024 1009 561 300 980 309 936 245 1109 1090 275 945 524 647 1032 739 U52 1015 860 233 1060 514 234 462 994 873 728 6% 890 245 532 827 847 374 952 573 1001 638 839 110 455 900 977 999 473 808 808 572 942 770 813 948 807 983 15 335 1159 NUMERICAL INDEX OF BANKS. Title of bank. 3221 3222 3223 3224 3225 3226 3227 3228 3229 3231 3232 3234 3235 3236 3237 3238 3239 3240 3241 3242 3243 3244 3245 3246 3247 3248 3249 3250 3252 3253 3254 3255 3256 3257 3258 3259 3260 3261 3262 3263 3264 3265 3267 3268 3269 3270 3271 3272 3273 3274 3275 3276 3277 3278 3279 3280 3281 3282 3284 3285 3286 3287 3288 3289 3290 3291 3292 3293 3294 3295 3296 3297 3298 3299 3300 3301 3302 3303 3304 3305 3306 3307 Location. Fort Worth. State National Bank Albuquerque Albuquerque National Bank Palatka First National Bank Winona First National Hank Gr an dy C en tre. First National Bank Panora . Gu.th.rie County National Bank Temple First National'Bank Nashville Commercial National Bank Gainesville Red River National Bank Beloit First National Bank People's National Bank Greenport Mil ford National Bank Milford Cheboygan First National Bank Charleston Charleston National Bank Rapid City First National Bank First National Bank 1 Hnmboldt First National Bank Saint Louis Sutton First National Bank Farmers and Merchants' National Bank.. Clarksville Howard First National Bank Greenville. City National Bank Sandy Hill People's National Bank People's National Bank Salem Boulder National Bmk Boulder Hallo well National Bank TIallowell. Albany . . . First National Bank Ellsworth First National Bank Salisbury Salisbury National Bank First National Bank Iowa Falls First National Bank Medicine Lodge . Merchants' National Bank Peoria First National Bank Emporium First National Bank Menominee Windsor Windsor National Bank Vic ks burg First National Bank National Bank New Brighton . . San Angelo National Bank San Angelo First National Ban k ! Lampasas Merchants' National Bank I Crookston First National Bank ! Independence . . First National Bank Ovid. Harper First National Bank Huron Huron National Bank Maryville First National Bank Denver Denver National Bank Beaver Dam . First National Bank Augusta Augusta National Bank Cleveland Mercantile Nation al Bank Boone . First National Bank Second National Bank Bucy ins Stock Growers' National Bank Miles City National Bank Sturgis First National Bank Cherry Vale Union National Bank Chicago Galena National Bank Galena Fowler National Bank La Fayette Old National Bank Evans ville National Exchange Bank Albany First National Bank Brooklyn Old National Bank Fort Wayne Baird First National Bank Farmers' National Bank Knoxville First National Bank Centre ville Austin. City National Bank Winchester National Bank Winchester Citizens' National Bank Ripley First National Bank Lexin gton National City Bank Grand Rapids... Dix City National Bank Belton Belton National Bank Peoria , Commercial National Bank Newton National Bank Ne ,vton Texas National Bank Sau Antonio First National Bank Buffalo Exchange National Bank Little Rock.... G rand Forks. Grand Forks National Bank Arapahoe ... First, National Bank Old National Bank Centralia Fi rst National Bank Westmoreland.. Chestertown National Bank Chester town Union National Bank Salt Lake City., People's National Bank Malone State. Texas. New Mexico.... Florida Minnesota Iowa 1 own Texas . Tennessee Texas Kansas . New York Ohio , Michigan West Virginia.. Dakota... Nebraska Michigan . Nebraska.. Tennessee. Kansas Michigan Now York.... New York Colorado Maine Texas Ivans >s . Maryland Iowa. Kansas . Illinois Pennsylvania. Michigan Vermont. Mississippi Pennsylvania. Tt Texas Minnesota .. Iowa , Michigan Kansas Dakota Missouri Colorado Wisconsin... Maine Ohio Iowa. Ohio) Montana Michigan Kansas Illinois , Illinois Indiana Indiana New York.. Iowa Indiana Texas Illinois Tennessee... Texas. Kentucky . Ohio....'... Nebraska.. Michigan .. Illinois Texas , Illinois Kansas . Texas Wyoming... Arkansas... Dakota . Nebraska... Illinois Kansas Maryland.. Utah New York. Page. 550 1095 511 910 866 878 568 614 551 935 231 663 793 479 1079 999 821 1019 606 951 803 286 2H5 1026 15 532 943 463 868 964 771 356 81.2 61 526 385 564 558 894 867 814 945 1078 921 1029 828 4 637 848 625 1093 822 938 742 748 707 698 199 849 699 534 756 603 533 602 672 1001 802 744 535 770 906 5fi5 1113 577' 1072 986 733 9S1 456 1100 244 1160 NUMERICAL INDEX OF BANKS. Title of b a n k . 3308 3309 3310 3311 3312 3313 3314 3315 3316 3317 3318 3319 3320 3321 3322 3323 3324 3325 3326 3327 3328 3329 3330 3332 3333 3334 3335 3336 3337 3338 3339 3340 3341 3342 3343 3344 3345 3346 3347 3348 3349 3350 3351 3353 3354 3355 3356 3357 3359 3360 3361 3362 3363 3364 3365 3366 3367 3368 3369 3370 3371 3372 3373 3374 3375 3376 3377 3378 3379 3380 3381 3382 3383 3384 3385 3380 3387 3388 3389 3390 3391 Citizens' National Bank First National Bank * Steuben ville National Bank Merchants' National Bank *...*... Fulton County National Bank First National Bank National Bank Tiffin National Bank First National Bank Boyle National Bunk German National Bank First National Bank First National Bank .. First National Bank .• National Bank First National Bank First National Bank First National Bank Aberdeen National Bank National Bank of the State of Florida Kuox National Bank Exchange National Bank First National Bank First National Bank Merchants and Manufacturers' National Bank National Bank Elizabeth town National Bank Abilene National Bank First National Ban k Franklin National Bank First National Bank West Point National Bank First National Bank First National Bank First National Bank Glover National Bank People's National Bank First, National Bank Norfolk National Hank = First National Bank Citizens' National Bank Miami County National Bank Winneld National Bank First National Bank First National Hank First National Bank First National Bank American Exchange National Bank Commercial National Bank First National Bank First National Bank . Western Reserve National Bank , First National Bank First National Bank , North Attleboronnh National Bank Third National Bank Northern National Bank Norfolk National Bank Lincoln National Bank First National Bank Ninth National Bank : Camden IS ational Bank I First National Ban k • First National Bank ! First National Bank ! First National Bank | First National Bank j St. John's National Bank ! First National Bank j First National Bank | Citizens' National Bank Newnan National Hank Citizens' National Bank , Harper County National Bank First National Bank First National Bank Moorestown National Bank Pontiac Nrational Bank National Bank First National Bank First National Bank Location. Darlington Salem Steubenvillo . . . Rutland Gloversville . . . Island City Battle Creek... TitHn Albion Danville . Little Rock Osborno Sibley . Fresno. Paris Earl vi He. Coifey ville Traverse City . Aberdeen. Jac 1 son ville < Mount Vernon Seneca Falls Fort Edward Jackson State. Wisconsin.. New York.. Ohio Vermont New York.. Oregon Michigan . . . Ohio . Michigan . . . Kentucky . . Arkansas... Kansas Iowa.. Oal ifornia Missouri Illinois Kansas Michigan. Dakota Florida Ohio New York New York Mis issippi...... New York Middletown Michigan Iloughton Pennsylvania Elizabeth town Abile Emmetsburgh Iowa. Franklin 'Indiana. On I. Nebraska. Nebraska . West Point nessee . Athens Orleans Nebraska. Auburn Nebraska Sari Ma Texas. Clay Centre Kansas . Texas San Marcos Norfolk. Nebrask a Riverside. Cali for i Watertown Dakota Kansas . Paola Wiufield Kansas Minneapolis Kansas Longmont Colorado North Yakima Washington Pennsylvania Bo-aver Fulls Michigan Detroit New York New York Kansas Arkansas City Michigan Flint. Ohio Warren Great Bend Kansas Stan ton Nebraska North Atlleborough . Massachusetts. M alone New York Pennsylvania... Lancaster Virginia Norfolk Lincoln . Illinois . West Point Nebraska , Philadelphia. Pennsylvania... Camden New Jersey Loup City Nebraska Saint Mary's Kansas White Sulphur Spring Montana Illinois Paris Illinois Abingdon Saint John's Michigan McCook Nebraska G rant City Missouri Kentucky Danville T e\vi Georgia! Washington Pennsylvania... Anthony Kansas Ka Anthony Kansas Belleville Moorestown . . . . . . New Jersey Michigan Pontiac North Carolina . Rah-isrh Nebraska........ Dorchester Waupun. Wisconsin age- , , , 830 285 (379 57 229 ior>o 789 679 788 f>81 577 968 882 1039 923 745 940 823 1064 510 665 288 223 524 246 805 356 532 862 700 1012 1022 603 1012 9S6 565 939 51 (5 1007 1044 1083 trio 984 965 1034 1103 337 796 256 933 800 (586 948 1019 124 244 370 474 759 1022 393 307 1004 974 1094 708 820 JOOt 914 W2 f0 >6 433 932 932 935 318 817 490 991 845 net NUMERICAL INDEX OF Title of bank. 3392 3393 3394 3395 3396 3397 3398 3399 3400 3401 3402 3403 3404 3405 3406 3407 3408 3409 3410 3411 3412 3413 3414 3415 3416 3417 3418 3419 3420 3421 3422 3423 3424 3425 3426 3428 3429 3430 3431 3432 3433 3434 3435 3436 3438 3439 3440 3441 3442 3444 3446 3447 34-48 3449 34f>0 3451 3452 3454 3455 3456 3457 3458 3459 3460 3462 3463 3464 3465 346(5 3467 3468 3469 3470 3471 3472 3474 3475 3476 3477 3478 3479 3480 F i r s t National Bank M i n n e h a h a National Bank A n t h o n y National B a n k C e n t r a l National Bank G r u n d y County National B a n k F i r s t National' Bank F i r s t National B a n k .. F i r s t National B a n k F i r s t National Bank Black Hills National Bank A i n s w o r t h National Batik F i r s t National Bank Citizens' National B a n k Capital National B a n k National Bank J o h n W e e d m a n National Bank F i r s t National Ban k T r a d e r s ' National Bank Second National B a n k Hillsboro National Bank Union National B a n k Union National B a n k W a t e r t o w n National Bank Seaboard National Bank. , Cheyenne National Bank , Pacific National Bank , F i r s t National B a n k F i r s t National Ban k F a r m e r s ' National Bank National B a n k , Commercial National Bank T e n t h National B a n k F i r s t National Bank National Bank F i r s t National B a n k F i r s t National Bank Lynn National B a n k , M e r c h a n t s ' National Bank , H a r p e r National Bank F i r s t National Bank F i r s t National Bank , F i r s t National Bank F i r s t National Bank F i r s t National B a n k F i r s t Nat ional B a n k F i r s t National Ban k F i r s t National B a n k F i r s t National Bank Berney National B a n k F i r s t National Bank of Staten Island . F i r s t National B a n k Central National Bank , F i r s t National Bank F i r s t National B a n k , Trinidad N a t i o n a l B a n k F i r s t National Bank F i r s t National B a n k F i r s t National B a n k F i r s t National B a n k F i r s t National Bank F i r s t National Bank of C a l u m e t F i r s t National B a n k F a r m e r s ' National B a n k F h st National B a n k F i r s t National B a n k F i r s t National B a n k F i r s t National B a n k Spring Valley N a t i o n a l B a n k F i r s t National Bank F i r s t National B a n k Spring G a r d e n National B a n k F i r s t National Ban k F i r s t National Bank Bois6 City National Bank E x c h a n g e National B a n k L a w r e n c e National B a n k National Bank Citizens' National Bank F a r m e r s ' National B a n k . F i r s t National B a n k F i r s t National B a n k Citizens' National B a n k Location. Wayne Sioux Falls Anthony Wilmington Grundy Centre Devil's Lake McMinnville Hillsboro Kapid City Portland/ t Greenwood Newport Sale Savannah . . Farmer C i t y . Moscow Spokane Falls Owosso Hillsboro . La (] rosso Richmond Watertown New York CheyenneTacoma. Asheville Blue Hill W e b s t e r City Abbeville .." Portland Philadelphia ONeill Wash i ngton Detroit City Lynn Vicksburg Harper Morristown Co I email Wameiio De Sniet Park River Pembina Eagle (2 rove State. Nebraska Dakota Kansas Delaware Iowa Dakota Dakota Oregon Dakota Dakota Oregon Nebraska. New H a m p s h i r e Oregon Georgia. Illinois . Idali. Washington Michigan 1 Hikota Wisconsin Indiana Dakota New Y o r k Wyoming Washingtoi N o r t h Carolina . Nebraska Iowa South Carolina. Oregon Pennsylvania.. Nebraska District of Columbia. Minnesota Minnesota. Massachusetts. Mississippi Kansas . Tennessee Texas Kansas . Dakota Dakota Dakota . Iowa ....... "• c k l Tlie Dalles Birmingham New Brighton. Brva Ellsworth Garden City Broken Bow Trinidad . Asbury Park Oregon . . . . . . . . Alabama. New York Texas Kirwin ....'.'. Y.'.'.Y. Manning. Kansas City Red Jacket Eugene City Watsontown Pomeroy Saint Augustine . . . Pittsburgh. Lincoln . Spring Valley Sulphur Springs . . . Sainr John....! Philadelphia OrlanU Ocnla, . . . Boise Ci t y . Osborne North Manchester Pittsburgh , Frederick , Findlav. Hammond Clark Mmicy Kansas. Iowa Missouri . Michigan Oregon Pennsylvania . Washington . . Florida Kansas Kansas Illii Texas Kansas . . . . Pennsylvania Florida Florida. Idalu Kansas. Indiana . . . Kansas Maryland . Ohio Indiana . . . . . . . Dakota Pennsylvania . Kansas Nebraska . . . . Colorado New Jersey . . . Page. 1021 1081 932 446 86G 106!) 3080 1057 1072 108;) 1058 990 42 10(51 508 747 1087 1108 810 1073 83G 717 1083 265 1113 1110 486 988 880 493 1059 391? 1011 467 894 898 313 526 949 612 539 979 1068 1078 1078 862 977 1061 515 249 537 943 946 988 1037 303 520 956 871 916 818 3054 433 1104 512 972 9'>9 781 567 973 404 511 510 1085 968 714 972 459 647 703 1067 385 1162 NUMERICAL INDEX OF HANKS. Title of bank. 3481 3482 3483 3484 3485 3486 3487 3488 3489 3490 3491 3492 3493 3494 3495 3496 3497 3498 3409 3500 3501 3502 3503 3504 3505 3506 3507 3508 3509 3510 3511 3513 3514 3515 351G 3517 3518 3519 3520 3521 3522 3523 3524 3525 3526 3527 3528 3529 3530 3531 3532 3533 3534 3535 3536 3537 3538 3539 3540 3541 3542 3543 3544 3545 3546 3547 3548 3551 3552 3553 3554 3555 3556 3557 3558 3559 3560 3561 3562 3564 3565 3566 Ord National Bank Welden National Bank First National Bank National Bank . . . First National Bank First National Bank Union National Bank Fifth National Bank National Bank National Bank Northwestern National Bank F i r s t National Bank First National Bank National Iron Bank First National Bank First National Bank First National Bank Southwestern National Bank First National Bank American Exchange National Bank Farmers' National Bank P a r k National Bank Atlas National Bank Second National Bank Kenton National Bank First National Bank Produce National Bank First National Bank First National Bank Second National Bank First National Bank City National Bank Third National Bank National Bank Union National Bank Commercial National Bank First National Bank First National Bank First National Bank First National Bank . . . First National Bank First National Bank State National Bank F i r s t National Bank. Buffalo County National Bank First Nationa Bank First National Bank First National Bank People's National Bank Salina National Bank People's National Bank First National Bank The Dalles Natio al Bank.... People's National Ban k Merchants' Nat ional Bank First National Bank Southern California National Bank Silver City National Bank National Bank Oconto National Bank First National Bank First National Bank American National Bank Euclid Avenue National Bank First National Bank First National Bank Illinois National Bank National Bank Dead wood National Bank Brookline National Bank First National Bank Crocker-Wool worth National Bank First National Bank Fourth Street National Bank Santa Rosa National Bank Kingman National Bank First National Bank First National Bank Mankato National Bank State National Bank First National Bank First National Bank Location. I i '. .. State. Ord Saint Albans Indianola , White River Junction Aspen Astoria Detroit Grand Rapids Kansas City . High Point' Philadelphia Conneant .Fail-field Pottstown Nelson North Platte Tampa Philadelphia Pasadena Chicago Allentown Chicago. Chicago Grand Forks Kenton Corsicana Philadelphia Doll Rapids , Kingman , llaverhill Oberlin Lansing Detroit Petersburgh , Omaha. Houston Pomona _.. Leetonia Santa Ana , McPherson Doland , AVeeping AVater .. Wichita , Great Falls , Kearney , San Bernardino . . Sprague Superior Shelbyville Salina Ennis Ballinger , The Dalles , AVapakoneta Portland Nephi , Los Angeles , Silver City Laurens .' Oconto Ness City Junction City Kansas City , Cleveland..". Smith Centre Sault Ste. Marie. Springfield Rovers ford Dead wood Brookline Silver City San Francisco . . . Douglas Philadelphia Santa Rosa , Kingman . . . . . . . . Albert Lea Comanche Mankato Wellington AVellston Nebraska Vermont Nebraska ••... Vermont Colorado Oregon Michigan Michigan Missouri . . . North Carolina Pennsylvania Ohio.: Nebraska Pennsylvania Nebraska. Nebraska Florida Pen nsylvania California Illinois New Jersey Illinois Illinois Dakota Ohio Texas Pennsylvania Dakota Kansas Massachusetts Kansas Michigan Michigan Virginia Nebraska Texas California Ohio California Kansas Dakota Nebraska Kansas' Montana Nebraska California Washington Nebraska Tennessee Kansas Texas Texas Oregon Ohio Oregon Utah California New Mexico South Carolina. Wisconsin Kansas Kansas Missouri Ohio Kansas Michigan Illinois Pennsylvania Dakota Massachusetts New Mexico California Wyoming. Pennsylvania California Kansas Minnesota Texas Minnesota Kansas Ohio. Mississippi Yazoo City Page. 1012 58 100(1 61 1025 1053 798 802 9i8 489 402 640 993 410 100(5 1008 513 401 1043 73 5 303 741 1071 651) 511 403 1008 951 103 9(37 80!) 790 474 1011 55) 1044 057 1049 963 1069 1022 982 1090 1000 1045 1109 1019 015 974 547 534 1061 085 io:>9 1098 1041 1097 490 840 966 954 916 636 976 821 780 421 1067 88 1097 1047 1114 397 1050 955 892 540 899 980 687 52a 1163 NUMERICAL INDEX OF BANKS. Title of bank. 3568 3569 3570 3571 3572 3573 3575 3576 3577 3578 3579 3580 3581 3582 3583 3584 3585 3587 3588 3589 3590 3591 3593 3594 3595 3596 3598 3599 3600 3601 3602 3604 3605 3606 3607 3608 3609 3610 3611 3612 3613 3614 3615 3616 3617 3618 3619 3620 3621 3622 3623 3024 3625 3626 3627 3628 ,3629 3630 3631 3632 3633 3634 31)35 3636 3637 3638 3639 3640 3641 3642 3643 3644 3645 3646 3647 3649 36">0 3651 3652 3653 3654 3655 Pasadena National Bank First National Bank Farmers' National Bank (Term an National Bank Passaic National Bank First National Bank First National Bank Second National Bank First National Bank Mitchell National Bank First National Bank First National Bank Gallon National Bank First National Bank First National Bank Merchants' National Bank Patapsco National Bank Alabama National Bank Townson National Bank First National Bank First National Bank First National Bank . Canton National Bank Citizens' National Bank First National Bank First National Bank First National Bank of West Newton . Steelton National Bank Commercial National Bank First National Bank Citizens' National Bank .... Manayunk National Bank National Park Bank Ohio Valley National Bank ,„ Northern National Bank El Paso National Bank of Tex ,a First National Bank Clinton National Bank -. South Omaha National Bank United States National Banl German American National Bank First National Bank Alban v County National Bank First National Bank First National Bank First National Bank First National Bank First National Bank Second National Bank East Alabama National Bank National Exchange Bank First National Bank Columbia National Bank First National Bank First National Bank Carson National Bank First National Hank Smith County National Bank Merchants' National Bank Stroudsburg National Bank Memphis National Bank * American National Bank Keystone National Bank National Bank of Dakota Union National Bank First National Bank Atlas National Bank First National Bank First National Bank Market National Bank' Cedar Rapids National Bank First National Bank Corsicana National Bank Greenville National Bank Lincoln National Bank First National Bank People's National Bank First National Bank . . . First National Bank Sutton National Bank Farm era' National Bank La Grande National Bank Location. Pasadena Downs Cnlpeper Lincoln Passaic Colton Winnemucca Jackson Lyons Mitchell Taylorville Alma Gal ion . Frankfort Brazil Lawrence Ellicott City Birmingham Towson Lindsborg Ashland Jewell City Canton Medicine Lodge . Shreveport Dodge City Newton Steelton Shreveport Phillipsburgh . . . Fargo Philadelphia Livingston Cincinnati Ashland El Paso Baraboo Columbus South Omaha ... Atchison Lincoln Sparta Laramie , Itockllill , Sheffield Sutherland Beaver City Wenona Atlantic City.. Enfaula .... Dallas Farmers ville... Washington . . . Dulnth Ponca . South Auburn . Piedmont Smith Centre . . Fort Worth Stroudsburgh . Memphis Fort Smith Manheiin Huron . Kansas City . . . Paris Cincinnati . . . . , Beardstown..., Kaukauna Cincinnati Cedar Rapids ., Alvarado Corsicana Greenville Chicago . Pratt Lancaster . Tyler Ogallala ... Sutton Can Held . . . La Grande . State. California Kansas Virginia Nebraska New Jersey Cali fornia Nevada Tennessee Kansas Dakota Illinois Nebraska Ohio New York Indiana Kansas M ary land Alabama Maryland Kansas W iscousin Kansas Illinois Kansas Louisiana Kansas Massachusetts Penn sy lvania Louisiana Kansas Dakota Pennsylvania Montana Ohio Wisconsin Texas Wisconsin Ohio Nebraska Kansas Illinois Tennessee Wyoming South Carolina Alabama Iowa Nebraska Illinois New Jersey Alabama Texas Texas District of Columbia. Minnesota Nebraska Nebraska West Virginia. Kansas Texas.... Pennsylvania.. Tennessee Arkansas Pennsylvania. . Dakota Missouri Texas . Ohio Illinois Wisconsin Ohio Iowa Texas Texas Texas Illinois Kansas Pennsylvania.. Texas . Nebraska Nebraska Ohio Oregon Page. 1043 942 470 1003 324 1039 1038 608 960 1077 783 985 649 224 694 957 458 514 463 960 826 954 732 965 5IU 942 122 427 531 971 1070 399 1092 634 827 546 827 639 1018 935 758 616 1114 496 521 885 988 786 304 516 543 548 467 894 1014 1018 483 976 550 428 611 575 376 1074 919 562 632 727 835 633 851 533 542 553 738 972 370 570 1008 1020 627 1057 1164 NUMERICAL INDEX OF BANKS. Title of bank. 3656 3657 8658 3059 3660 3661 3662 3663 3664 3666 36(58 3669 3670 3671 3672 3673 3674 3675 3676 3677 3678 3679 3680 368 L 3682 3683 3684 3685 3686 3687 3688 3689 3690 3691 3692 3693 3694 3695 3696 3697 3698 3699 3700 3701 3702 3703 3704 3705 3706 3707 3708 3709 3710 3711 3712 3713 3714 3715 3716 3717 3718 3719 3720 3721 3722 3723 3724 3725 3726 3727 3728 3729 3730 3731 3732 3733 3734 3735 3736 3738 3739 3740 First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bank First National Bun k Fourth National Bank Charter National Bank Mechanics' National Bank First National Bank Merchants' National Bank New Iberia National IBank Carthage National Bank First National Bank First National Bank First National Bank First National Bank United States National Bank Merchants' National Bank. Birmingham National Bank Third National Bank First National Bank First National Bank Fourth National Bank Market Street National Bank Fond du Lac National Bank First National Bank First National Bank First National Bank Commercial National Bank Kineo National Bank Chattanooga National Bank Ouachita National Bank Sussex National Bank First National Bank First National Bank First National Bank People's National Bank Fort Dearborn National Bank First National Bank Western National Bank First National Bank Elk National Bank . First National Bank First National Bank Merchants' National Bank First National Bank Equitable National Bank Third National Bank Broad Street National Bank First National Bank Atlanta National Bank First National Bank Merchants' National Bank Merchants' National Bank Garden City National Bank Farmers and Mechanics' National Bank First National Bank Central National Bank Oregon National Bank First National Bank First National Bank .. Glen wood National Bank Chestnut Street National Bank First National Bank First National Ban k Wyandotte National Bank First National Bank National Bank of Arizona American National Bank Preston National Bank Minneapolis National Bank German National Bank First National Ban k American National Bank , Alexander County National Bank Merchants' National Bank Lock wood National Bank First National Bank Merchants' National Bank Location. A berdeen Kusse.ll CaWtweJl Red Lake Falls South Pittsburg . . . Glenwood Springs Helena Gadsden Dallas Media New Britain . . . Lisbon Rome New Iberia May ville,. Knlo Parker ' Arlington Chicago Tuscaloosa Birmingham Jersey City EdmeaUm , Statesville Wichita ; Philadelphia Fond du Lac Chillicothe i Norton i Stark ville , ! Saint Paul I .Dover ! Chattanooga * i Monroe : Seaford j Palestine | Meade Center . Canton j New Brunswick Chicago ! Decatur j New York Natchez Fayetteville Coid water Merrill Williamsport Kansas City Cincinnati K noxville Trenton Ashland Atlanta Liberty llarrisburg Devil's Lake San >1 ose Wood bury Negaunee : Springfield Portland Olatho.. Alliance ' Glen wood Springs Philadelphia Menasha Tobias Kansas City Gran bury PiHBtiix Findlay Detroit Minneapolis llr.stings Merced Birmingham Cairo Clinton San Antonio Sturgis Macon State. Mississippi Kansas Kansas Minnesota Tennessee Colorado Page. . Alabama Texas Pennsylvania Connecticut Dakota Georgia Louisiana New York Dakota NebraskaDakota Oregon Illinois Alabama Alabama New Jersey New York North Carolina Kansas Pennsylvania Wisconsin Missouri Kansas Mississippi . M i n nesota Maine Tennessee Louisiana. Delaware Texas Kansas New York New Jersey Illinois Alabama New York Mississippi Tennessee 3H0 181 1075 507 528 212 1076 1015 1078 1052 742 522 515 315 221 4«)0 982 :UM> 832 013 907 525 906 12 605 527 4-15 562 964 211 323 737 516 26(5 525 (507 940 83 8 4158 9.H 6I52 609 Kansas Wisconsin Pennsylvania Kansas Ohio Tennessee New Jersey Kansas Illinois Missouri..'. :J:JO 933 726 920 Pennsylvania Dakota California New Jersey Michigan 1069 1048 ;w2 814 1)28 ; Missouri ' ~ Kansas Ohio Colorado Pennsylvania Wisconsin Nebraska Kansas Texas Arizona Ohio. M i ohi gun Kansas Nebraska California Alabama .Illinois Iowa Texas Dakota Georgia 523 973 037 903 616 1031 576 518 542 1059 <tt.i7 619 10:52 305 SU7 1020 1)55 553 , 797 9(55 998 1041 51.5 730 855 564 1081 50$ 1165 NUMERICAL INDEX OF BANKS. T i t l e of b a n k . 3741 3742 3743 3744 3745 3740 3747 3748 3749 3750 3752 3753 3754. 3755 3756 3757 3758 3759 8760 3701 3762 3763 3764 3765 3766 3767 3768 3769 3770 3771 3772 3773 3774 3776 3777 3778 3779 378 L 3782 3783 3784 3785 3786 3787 378!) 3790 3791 3792 3793 3794 3795 3796 37!)7 3798 3800 3801 3S02 3803 3804 3805 3806 3S07 3808 3809 3810 3811 3812 3813 3814 3815 3816 3817 3818 3819 3820 3*21 8822 38-J3 3824 8825 882(i i Citizens' National Bank First National Bank First National Bank Second National Bank First National Bank Carbonate National Bank Sault Ste. Marie National Bank Citizens' National Bank First National Bank Third National Bank Quincy National Bank Oglcthorpe National Bank First National Bank Citizens' National Bank West Side National Bank Carver National Bank First National Bank First National Bank National Bank of Commerce First National Bank ..'. Farmers' National Bank Fi rst Nat ional Bank Piano National Bank Fi rsfcNat ion al Ban k Bryn Mawr National Bank Thoniasville National Bank Fourth National Bank First National Bank German-American National Bank National Bank of Deposit Ohio National Bank First National B a n k . . ^. First National Bank First National Bank „ Abilene National Bank Lumberman's National Bank First National Bank Tazewell County Nation.il Bank First National Bank First National Bank Flour City National Bank Texarkana National Bank Sturgis National Bank Pratt County National Bank National Ban k of Commerce Kansas National Bank Second National Bank Asbury P a r k National Bank German American National Bank Howard National Bank Nat ional Bank First National Bank First National Bank First National Bank Branson National Bank Central Nebraska National Bank Citizens' National Bank McPherson National Bank Burrrll National Bank First National Bank Fii'st National Bank llumboldt First National Bank Mountville National Bank Simonds National Bank First National Bank First National Bank Jewell County National Bank First National Bank First National Bank Mercbants' National Bank First National Bank Canandaigua National Bank San Bernardino National Bank First National Bank Ketcham National Bank Fourth National Bank Sidney National Bank First National Bank First National Bank Troy National Bank j First.National Bunk Prtstjue Isle National Bank . . . , m e . . . . . . . . Location. Norfolk Calvert Mon Hoboken Man k a. to Leadville Sault Ste. Marie. Concordia Laniar Piqua Quincy Brunswick . Harrisonville. Attica Wichita . Saint Helena . . . Hill City Kinsley Kansas City Escanaba Hillsboro Renovo Piano. Greenville Bryn Mawr Thoniasville Waterbury Alma . Pekin New York Lima Madison Heppner Wa ileeney Abilene Chippewa Falls . Scandia Delavan Manhattan Snow Jlill Minneapolis Texarkana llillsboro Pratt Tacoma Topeka . McPhiTson Asbury Park . . . Kansas City Howard. Paola Clario Clayton Sanford Painted Post David City Orlando..' McPherson Ellsworth Jetmore Iron Mountain.. llumboldt Mountville Suniter.. Horton Durham Mankato Osage City Ellsworth Ocala •11. Canandaigua . . . San Bernardino. Chanute Toledo Dayton Sidney Chadron Centralia Troy. San'Luis Oltisp Prcs(jue Isle . . . State. Nebraska Texas California New Jersey Kansas Colorado , Michigan , Kansas Colorado Ohio. Illinois . . Georgia . Missouri. Indiana. Kansas California Kansas Kansas Missouri Michigan Texas Pennsylvania... Texas. Mississippi Pennsylvania... Georgia Connecticut Kansas Illinois . New York Ohio Nebraska Oregon Kansas Kansas Wisconsin Kansas Illinois , Kansas . Maryland Minnesota Texas Texas Kansas Washington Kansas Kansas " New Jersey Missouri Kansas Kansas Iowa . New York Florida New Yoi'k Nebraska Florida Kansas Maine Kansas . Michigan Kansas Pennsvlvan South Carolina . Kansas North Carolina . Kansas Kansas Maine , Florida Texas New York . California . Kansas Ohio Ohio New York . Nebraska.. Kansas Ohi California . Maine Page. 1007 538 1042 314, 961 1034 821 941 1033 669 775 501 915 692 983 1045 950 956 918 800 554 420 563 523 345 508 194 931 769 261 658 1004 1055 979 931 829 975 744 960 463 900 570 555 973 1110 978 963 303 917 951 970 854 214 512 272 990 511 963 13 953 806 952 385 497 951 488 961 968 13 510 569 210 1046 938 680 641 288 989 937 682 1048 1166 NUMERICAL INDEX OF BANKS. Title of bank. 3828 3829 3830 3831 3832 3834 3835 3836 3837 3838 3839 3840 3841 384.2 3843 3844 3845 3846 3847 3848 3849 3850 38.51 3852 3853 3854 3855 3856 3857 3858 3859 3860 3801 3862 3H63 3864 3865 3866 3867 3868 3869 3870 3871 3872 3873 3874 3875 3876 3877 3878 3879 3880 3881 3882 3883 3884 3885 3886 3887 3888 3889 3890 389 L 3892 3893 3894 3895 3896 3897 California National Bank First National Bank First National Bank First National Bank First National Bank North Texas National Bank First National Bank First National Bank City National Bank Spokane National Bank First National Bank Miama Valley National Bank First Nat ional Bank People's National Bank First National Bank First National Bank First National Bank •Jamestown N ational Bank National Live Stock Bank First National Bank Lawrence National Bank First National Bank First National Bank First National Bank Meado County Bank Merchants' National Bank First National Bank First National Bank McMiimville National Bank Temple National Bank Taylor National Bank First National Bank National Bank of Commerce Yakima National Bank National Exchange Bank German National Bank Sumner National Bank First National Bank Ellens burgh National Bank First National Bank National Bank Fresno National Bank Cedar Falls National Bank First National Bank Central National Bank Monongahela National Bank Holdredge National Bank First National Bank First National Bank* First National Bank First National Ban k First National Bank Watkins National Bank Prairie State National Bank First National Bank Citizens' National Bank First National Bank First National Bank First National Bank First National Bank Preble County National Bank First National Bank Citizens' National Bank First National Bank First National Bank First National Bank First National Bank Merchants' National Bank First National Bank First National Bank First National Bank 3900 Finney County National Bank 3901 American National Bank 3902 First National Bank 3903 Concord National Bank.... 3904 Midland National Bank "3905 First National Bank 3906 First National Bank 3907 First National Bank 3008 Manufacturers' National Bank Location. — , San Diego Homestead Marietta Latrobe .' Somerset Dallas Fredonia Kaufman Knoxville. Spokane Falls Mount Pulaski Hamilton , Joplin Washington Glassborough Leoti . Santa Monica Jamestown Chicago Sheldon Lawrence Beaver P i ineville Staiford Meade Center A urora Sedan Hopkinsville McMinnville Trmple Taylor.. Grand Junction . . . Hutchinson North Yakima Kansas City Vin Wellington Bound Brook . Ellensburgh Kockland Jacksonville Fresno. Cedar Falls Albany Columbia Pittsburgh Holdredge , Miamisburgli Port Allegany South Amboy Canon City Burr Oak Lawrence Chicago Harrington Green Bay Hays City Saint Ignace Snohomish Dighton Ea Hock wall Saint Paul Hazleton Gainesville Hailey Battle Creek Black Itiver Falls. Spencer Talladega Garden City Waco. Hug h esville Concord Kansas City . . . . . Birclsborough La Grange Dalton Leaven worth State. California Pennsylvania... Georgia ..'. Pennsylvania... Kentucky Texas Kansas Texas . Tennessee Washington Illinois Ohio Missouri Indiana New Jersey Kansas . California New York , Illinois Iowa , Kansas Pennsylvania Oregon Kansas Kansas , Illinois Kansas Kentucky Oregon Texas Texas Colorado Kansas Washington . . . . Missouri India Kansas New Jersey Washington Massachusetts.. Florida California Iowa Georgia Pennsylvania— Pennsylvania Nebraska Ohio. Pennsylvania... New Jersey Colorado Kansas Kansas Illinois Delaware Wisconsin...... Kansas Michigan Washington Kansas Ohio. Texas Nebraska Califo Pennsylvania Florida Idaho Michigan Wisconsin Iowa Alabama Kansas Texas Pennsylvania... North Carolina . Missouri Pennsylvania... Texas Georgia Kansas * Erroneously printed "Port Allejjany National .Bank," Tage. 1046 364 506 371 600 544 9-10 f>57 609 1108 765 era 916 723 312 959 1050 238 740 88 L 957 337 1060 976 904 727 975 585 1057 568 568 1032 953 1103 919 722 981 3U6 1102 130 509 1039 851 409 350 413 999 662 415 328 1026 937 958 741 442 833 949 820 1106 941 645 563 1016 1044 363 509 1085 789 828 884 521 947 571 3«5 487 918 340 557 503 1167 NUMERICAL INDEX OF BANKS. Title of bank. 3909 3910 3911 3912 3913 3914 3915 3916 3U17 3918 3919 3920 3921 3922 3923 3924 3925 3926 3927 3928 3929 3930 3931 3932 3933 3934 3935 3936 3937 3938 3939 3940 3941 3942 3943 3944 3945 3946 3947 3948 3949 3950 3951 3952 3953 3954 3955 3956 3957 3958 3959 3960 3961 3962 3963 3964 3965 3966 3967 39(58 3969 3970 3971 3972 3973 3974 3975 3976 3977 3978 3981 3982 3983 3984 3985 3086 »«87 3988 39X9 3990 Merchants' National Bank Citizens' National Ban k Commercial National Bank Wallowa National Bank Exchange National Bank First National Bank City National Bauk Oakland National Bank of Hyde Park... People's National Bank Arlington National Bank First National Bank First National Bank First National Bank City National Bank Commercial National Bank First National Bank First National Bank First National Bank of West Superior... Central National Bank Cotton wood Valley National Bank Vigo County National Bank First National Bank. First National Bank Northwestern National Bank Second National Bank C ity National Bank Wabash. National Bank Gloucester City National Bank Third National Bank Wellsborough National Bank First National Bank American National Bank First National Bank of Bar Harbor Phcenix National Bank First National Bank... Second National Bank Berwyn National Bank Grandy County National Bank First National Bank First National Bank American National Bank State National Bank First National Bank Manufact urers' National Bank National Bank Lincoln National Bank First National Bank Baker-Boyer National Bank First National Bank City National Bank First National Bank First National Bank South Bethlehem National Bank First National Bank First National Bank Thomaston National Bank First National Bank First National Bank Citizens' National Bank Iowa State National Bank First National Bank First National Bauk First National Bank First National Bank First National Bank First National Bank Merchants and Farmers' National Bank. Bellingham Bay National Bank Merchants' National Bank American National Bank Independence National Bank First National Bank First National Bauk First National Bank First National Bank Wolfe City National Bank National Bank of Commerce Eugene National Bank Conestoga National Bank Citizens' National Bank City National Bank National Bank „ Location Topeka Latrobe Saginaw Enterprise Colorado Springs . St.atf.ird Springs . Corsioana. Chicago Leesburgh Arlington Union City Rock Springs GiblH Salem Boston Tower. Buchanan Superior Broken Bow Marion Terre Haute Ida Grove Eutaw Aberdeen Bel Air David City Wabash Gloucester City.. Columbus Wellsborough ... Wood River Sioux City Eden ....' Lexington London Ashland Berwyn Trenton Bessemer Lake Linden Leadville, Cleveland. Johnson City . Rock ford Hoppner Stanford. Nanticoke Walla Walla Trenton . Kearney Nevada Albion South Bethlehem. Litchfield Erie . Thomaston Anaconda Hillsborough .... Franklin. Sioux City Carroll...". La Crosse Iron wood Independence Clarksville Fort Madison Weatherford Sehome Lawrence New Orleans Independence.... Mount C arm el... Florence Pipestone Gainesvill ille Wolfe City Dallas Eugene City Lancaster Lebanon Sulphur Springs . Coatesville . . . . . . State. Kansas Pennsylvania.. Michigan Oregon Colorado Connecticut ... Texas Illinois Virginia Oregon TennesseWyoming Nebraska New Jersey Massachusetts. Minnesota , Michigan Wisconsin Nebraska Kansas Indiana Iowa: Alabama Dakota Maryland Nebraska Indiana. New Jersey ... Georgia Pennsylvania.. Nebraska Iowa. Maine Kentucky Kentucky Kentucky Pennsylvania.., Missouri Michigan Michigan Colorado..' Ohio . Tennessee. Illinois Ore Kentucky Pennsylvania.. Washington Missouri. Nebraska Missouri Nebraska Pennsylvania.. Illinois Kansas. Connecticut ... Montana Oregon Indiana Iowa Iowa Kansas Michigan Oregon . Texas Iowa Texas Washington Massachusetts. Louisiana Oregon Pennsvlvania. Alabama Minnesota Georgia Texas Texas Oregon Pennsylvania.. Kentucky Texas Pennsylvania.. Page. 978 372 820 1054 1028 191 541 741 472 1052 617 1115 995 327 71 909 791 843 989 962 720 866 517 1064 454 991 723 312 502 435 1023 883 13 589 589 578 339 929 790 809 1034 638 608 777 1055 601 386 1112 929 1001 923 985 426 759 944 193 1088 1055 700 883 850 956 806 1056 538 864 573 1106 108 528 1056 1*83 517 903 504 574 543 1054 369 586 567 349 1168 NUMERICAL INDEX OF BANKS. T i t l o of b a n k s . 3991 3992 3993 3994 399> 3996 3997 3998 3fM)9 4000 4001 4002 4003 4004 4005 4006 4007 4008 4009 4010 4011 4012 4013 4014 4015 4016 401-7 4018 4019 4020 4021 4022 4023 4024 4025 4026 4027 4028 4029 4030 4031 4032 4033 4034 4035 4036 4037 4038 4039 4040 4041 4042 4043 4044 4045 4046 4047 4048 4049 4050 4051 4052 4053 4054 4055 4056 4057 4058 4059 4060 4061 4062 4063 4064 4066 4067 4068 4069 4070 4071 Location. Paola A rkansas City Birmingham Middleborough Missoula Haddonfield Mahanoy City Texarkana Elm Creek Moberly Duluth Davenport Harris burgh Fort Worth Spokane Falls Owensborough Mont rose -- - Manhattan Minot.. Hannibal East Stroudsburgh ., Cartersville Lenox Forney Ilogersville Meridian Beaumont Tacoma. ....... Murphysborough... Tullahoma Commerce Daven port Pocatello North Platte Spokane Falls Roanoke Roauoke Houston Wisnor Lockhart Goldendale Garnett Vernon Little Falls Cleburne Chanute '. Laconia Pana Mifflintown Burli ngame. ... Colebrook Shelton Ravenna Spokane Falls Bowling Green Easton Suffolk Saint Louis Hagersto wn Philadelphia Salt Lake City Geneva Saint Joseph Dayton Shullsburgh Bloomfield Lamar Herington Seattle Chattanooga Adams Dublin Hyndman Fort Payne Camden' Huntsville Henrietta Tacoma. Bryan Pulaski State. Kansas Kansas Alabama Massachusetts... Montana New Jersey Pennsylvania Interstate National Bank Texas First National Bank Nebraska , First National Bank Missouri , National Bank of Commerce Minnesota Bi^ Bend National Bank Washington First National Bank Illinois , Farmers and Mechanics' National Bank.. Texas Citizens' National Bank Washington O wensboro' National Bank Kentucky First National Bank.. Colorado , Union National Bank Kansas First National Bank.. Dakota First National Bank Missouri , East Stroudsburg National Bank Pennsylvania First National Bank Georgia Lenox National Bank Massachusetts... National Bank Texas Rogorsville Nation A Bank Tennessee First National Bank Texas First National Bank xas Washington National Bank Washington First National Bank Illinois Traders' National Bank Tennessee Commerce National Bank Texas . Iowa National Bank Iowa First National Bank Idaho North Platte National Bank Nebraska Browne National Bank Washington Commercial National Bank. Virginia , National Exchange Bank Virginia. Houston National Bank Texas , First National Bank Nebraska. First National Barns:. Texas . First National Bank Washington Anderson County National Bank Kansas First National Bank Texas First National Bank Minnesota National Bank Texas . Chanute National Bank ... Kansas People's National Bank.... New Hampshire.. First National Bank Illinois First National Bank Pennsylvania First National Bank Kansas Colebrook National Bank New Hampshire.. First National Bank Nebraska First National Bank Nebraska Exchange National Bank Washington First National Bank Ohio. Farmers and Merchants' National Bank . Maryland First National Bank Virginia Continental National Bank Missouri , Second National Bank Maryland , Quaker City National Bank Pennsylvania Commercial National Bank. Utah \ First National Bank Nebraska Schuster-Hax National Bank Missouri Teutonia National Bank Ohio First National Bank Wisconsin' Bloomfield National Bank New Jersey First National Bank Missouri..' First National Bank Kansas Washington National Bank Washington Fourth National Bank Tennessee Farmers' National Bank* New York First National Bank Texas . National Bank of Southern Pennsylvania. Pennsylvania First National Bank Alabama Camdeii National Bank Arkansas First National Bank Alabama Farmers' National Bank « Texas Citizens' National Bank Washington Merchants and Planters'National Bank .. Texas Pulaski National Bank Virginia *Erroneously printed "Tanners' National Bank." P e o p l e ' s I&itional B a n k American National Bank City N a t i o n a l B a n k Middleborough National Bank Western Montana National Bank Haddonfield N a t i o n a l B a n k Union National Bank Page. 970 933 516 116 1094 313 376 509 991 922 895 1101 751 549 1107 596 1035 961 1077 915 355 502 109 548 615 561 535 1111 765 617 541 858 1087 1008 1107 476 477 556 1023 558 1102 947 570 898 539 938 37 768 381 936 29 1018 1014 1108 623 458 478 926 461 403 1099 995 925 642 843 305 920 949 1106 604 197 546 366 518 575 518 554 1109 537 Hi 1169 NUMERICAL INDEX OF BANKS. to Title of bank. Location. State. | Pa go. 5 4072 i 4073 ' 4075 ; 4076 4077 4078 4079 4080 4081 4082 4033 4084 4085 4086 4087 4088 4089 4090 4091 4092 4093 4094 4095 4096 4097 4098 4099 4100 4101 4103 4104 4105 4106 410" )7 ' 4109 | P a t e r s o n National B a n k "First National Bank of Englewood F i r s t Natio/uil B a n k . First National I>;i First National iJaalc Farmers' National Hank First Natio?Ial Bauk First National Bank Erath County National Bunk Monroe National Bank First National Dank People's National iJank PoreiIester National Bank First National Bank American National Bank Davis National Bank First National Bunk Sta te N a t i o n a l Ban k F r a n k f o r t National Bank Fii'rtt National Bank F i r s t National Bank National Bank F i r s t National .Bank National B a n k of California F i r s t National B a n k F i r s t National "Bank F i r s t National Bank F i r s t National Bank Marshall National B a n k Citizens' National B a n k P i e r r e National Bank Elmira National Bank National Bank National Capital Bank First National Bank 'First National Bank Planters' National Bank Commercial National Bank F i r s t National Ban k Dawsou National i*ank Livingston Na t i on al Bank F i r s t N at ion al Bank 4110 4112 4113 4114 4115 4117 4118 4119 Atlantic Highlands National Bank 4120 First National Bank, 4124 Boston National Bank. 4128 Portland National Bank . 4129 First. National Bank i Patemm Chicago -. Cedarknvn McGregor Long view. Pawnee City j CV.rrellton Liberty . nroe . D r river C ;ii > i b L'idge Cameron Omaha. Piedmont I Xew Jersey | Illi?;ois Georgia . Texas Texas . | Nebraska | Missouri ; .... Nebraska Louisiana Missouri Colorado Mar •-•land Tcxiw Nebraska West Vi rginia Kentucky Ken tucky 306 Pennsylvania 535 Texas 486 North Carolina 500 Texas 1040 California 552 Texas 422 Pennsylvania Washington ..1112 42G Pennsylvania 559 Texas 397 New York Dakota 1079 222 New York Elmira 1082 Dakota Wahpeton District of Columbia. Wash in <iton J 035 Colorado Ouray -1006 Nebraska Neligh. Texas 555 Honey Grove 1029 Denver Colorado 870 La Porte City Iowa 504 Georgia Dawson li'02 Mont.-i ua Livingston 5G2 Texas Orange . 304 ! Atlantic Highlands... Ne \v Jersey y 1050 Clifi California I Santa Paula 1105 Seat tie \V u si; h I gton I 22 Portland Maine 997 Harvard JSe bra-ska Frankfort Frankfort Jeaniiette Basriop p A h i l Afihovillo ep Stephen ville Los Ar.geles Gatosville Scottdalo W hatcom Somerset Marshall Adams Pierre ERRATA. Page 22, First National Bank, Richmond, Me., charter No. 6G2, not 622. Page 197, Farmers' National Bank, Adams, N. Y., not "Tanners'" National Bank. Page 415, First National Bank, Port Allegany, Pa., not " P o r t Allescany" National Bank. Page 420, National Union Bank, Reading, Pa., charter No. 093, n<^603. Page 434, Farmers and Drovers' National Bank, Waynesburgh, Pa., charter No. 839, not 893. H. Ex. 3 74 325 735 502 560 550 1013 912 1002 566 527 911 1030 454 538 1009 484 985 583