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Federal Reserve Bank of St. Louis


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

property 0BiTimiefiraa&

?,^F^Twmw©«,

REPORT
OF TH E

DEPARTMENT OF BANKING
NEBRASKA
1939

Showing the Condition of the
Commercial and Savings Banks, Trust Companies, Building
and Loan Associations, Installment Investment Companies
and Co-operative Credit Associations.
June 30, 1939


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Federal Reserve Bank of St. Louis

University of Colorado at Boulder

31U183022010738

U18302 2010736


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C ornhusker

P rin tin g

C om pany

III

D EPAR TM E N T OF BANKING

DEPARTMENT OE BANKING
State of Nebraska

SUPERINTEND EN T
B.

N. Saunders

STATE BANKS
D EPU TY SU PERINTENDEN T
J. F. M cLain
E X AM IN ER S
J. F.
F red
I. F.
Merl

C. R.
L. L.
Earle
A. F.

Bates
W . Carter
Gaebler
H. G arrison

Haines
H allstead
I. H orner
Jorgensen

BUILDING AND LOAN ASSOCIATIONS
TRU ST COMPANIES
INSTALLM EN T INVESTM ENT COM PANIES
C O -O PE R A TIV E CRED IT ASSOCIATIONS
D EPU TY SU PERINTENDEN T
Geo. B. W ilson

EXAMINERS
John J. A ron
C. A. Cam pbell


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Federal Reserve Bank of St. Louis

B. W . H ouston
F. W . R obb

IV

D E PA R TM E N T OF BANKING

Lin coln, Nebraska
O ctober 14, 19 39

R. L. Cochran, G overnor,
E xecutive O ffices
Lin coln, Nebraska.
D ear Sir:
W e subm it fo r you r consideration the Biennial R eport o f the D epart­
ment o f B anking coverin g the period from July 1, 1937 to June 30, 1939
inclusive.
There are com prised in this report statem ents and oth er statistical
in form ation pertaining to the various institutions under the supervision o f
this Departm ent. Statem ents are show n as o f call June 30, 1939. Contents
listed on Page V.


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Federal Reserve Bank of St. Louis

R espectfully,
D E PA R TM E N T OF BANKING
B. N. Saunders
Superintendent.

DEPARTMENT OF BANKING

V

CONTENTS

Pages
State

B anks.................................................................................................................

B u ilding and Loan
Trust

1- 98

A ssociation s....................................................................... 99-130

Com panies........................................................................................................ 131-140

Installm ent Investm ent Com panies...............................................
C o-operative Credit


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Federal Reserve Bank of St. Louis

141-148

A ssociation s....................................................................... 149-206

D E PA R TM E N T OF BANK ING

VI

Abstract of the Reports of the Commercial and Saving’s Banks of the
State of Nebraska at the close of business October 9, 1937.
296 Banks Reporting

RESOURCES
33,014,431.64
Loans and D iscou nts..................................................
57,003.10
O verdrafts .....................................................................
Investm ents :
U. S. G overnm ent O bligations direct and/or
fu lly guaranteed ...........................................$14,370,161.01
Other Bonds, Stocks & Secu rities..................
6,657,554.15
21,266,327.66
U. S. Bonds in Cash R eserv e............................
238,612.50
129,420.14
Judgm ents and C laim s........................................................................
1,550,020.92
Banking H ouse, F u rn itu re & F ix tu res................................................
362,850.11
Other Real E state.......................................................................................
Due F rom B anks......................................................................................... 26,877,708.04
751,758.91
L aw fu l R eserve w ith Fed. Res. Bank or Other R eserve Agents
1,688,228.94
Cash .................................................................................................................
65,536.86
Other Cash Item s.......................................................................................
470.81
Current Expenses, Taxes & Interest P a id ...........................................
$85,763,757.13

Total.
L IA B IL IT IE S

Capital Stock:
Com m on .................................................................$ 6,463,400.00
P referred ..............................................................
1,047,000.00
7,903,400.00
Capital N otes & D eben tu res..........................
393,000.00
2,259,163.17
Surplus F u n d ...........................................................................................
1,461,044.31
U ndivided P r o fits ..................................................................................
242.037.53
R eserve fo r D ividends, Contingencies, e tc .......................................
15,852.27
R eserve fo r Interest, Taxes & Other Exp. accrued & unpaid....
R etirem en t Fund fo r P referred Stock, Cap. N otes &
88,549.63
D ebentures .........................................................................................
In dividual D eposits S u bject to C h eck.............. $44,812,599.62
Demand C ertificates o f D eposit.......................
621,791.66
Tim e C ertificates o f D ep osit............................ 15,636,315.45
Savings D eposits.......................................................
5,173,640.69
Postal Savings.........................................................
183,442.70
State, C ou n ty & Other M unicipal D eposits....
6,389,970.54
C ertified & Cashiers C h ecks...............................
451,168.46
Due To B anks.........................................................
374,440.70
73,643,369.82
R ediscounts ..............................................................................................
56,140.40
Bills P ay ab le...........................................................................................
94,200.00


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Federal Reserve Bank of St. Louis

Total

$85,763,757.1

D E PAR TM E N T OF BANKING

VII

Abstract of the Reports of the Commercial and Savings Banks of the
State of Nebraska at the close of business December 31, 1937.
296 Banks Reporting

RESOURCES
33,005,930.81
Loans and D iscou nts.....................................
29,568.34
O verdrafts ........................................................
Investm ents:
U. S. G overnm ent O bligations direct
and/or fu lly guaranteed.................................... $13,689,946.66
M unicipal Secu rities...........................................
3,926,864.39
Other Bonds, Stocks & Secu rities................
2,738,726.98
20,599,140.53
U. S. Bonds in Cash R eserve.......................
243,602.50
98,245.07
Judgm ents and Claim s........................................................................
1,496,128.10
B anking H ouse, Furn itu re & F ix tu res...............................................
335,699.47
Other Real E sta te......................................................................................
Due F rom B anks......................................................................................... 23,720,904.32
610,585.91
L aw ful Reserve with Fed. Res. Bank or Other Res. A gents....
Cash ........................................................................................................... •■••• 1,722,958.30
20,501.97
Other Cash Item s.........................................................................................
235.88
Current Expenses, Taxes & Interest P a id ......................................
$81,639,898.70

Total
L IA B IL IT IE S
Capital Stock:
Com m on ...................... ..........................................$ 6,585,300.00
P referred ..............................................................
791,000.00
Capital Notes & D ebentures............................
532,100.00
Surplus F u n d ...........................................................................................
U ndivided P ro fits..................................................................................
R eserve for Int., Taxes & Other Exp. accrued & unpaid
Reserve fo r Dividends, C ontingencies, etc...........................
R etirem ent Fund fo r P referred Stock, Cap. Notes &
Debentures .........................................................................................
Individual Deposits Subject to C heck.........$41,045,941.50
Demand Certificates o f D eposit..................
585,829.02
Tim e C ertificates o f D eposit.......................... 15,398,154.04
Savings D eposits..................................................
5,117,377.40
Postal Savings D eposits.................................
174,921.37
State, County & Other M unicipal D eposits
6,457,013.13
C ertified & Cashiers C h ecks..........................
482,049.50
Due To B anks.......................................................
332,332.89
R ediscoun ts ..............................................................................................
B ills P ayab le...........................................................................................


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Federal Reserve Bank of St. Louis

Total

7,908,400.00
2,300,230.19
1,258,008.98
18,327.73
272,978.60
66,612.07

69,593,618.85
130,722.28
91,000.00
$81,639,898.70

V III

D E PA R TM E N T OF BANKING

Abstract of the Reports of the Commercial and Savings Banks of the
State of Nebraska at the close of business March 7, 1938.
293 Banks Reporting

RESOURCES
Loans and D iscou nts..................................................................................$32,288,120.28
O verdrafts .....................................................................................................
53,544.17
Investm ents:
U. S. G overnm ent O bligations direct and/or
fu lly guaranteed ............................................$14,102,331.83
M unicipal Secu rities...........................................
3,785,261.28
Other Bonds, Stock & S ecu rities.................
2,423,891.97
20,551.687.58
U. S. B onds in Gash
R eserv e.....................
240,202.50
81,820.07
Judgm ents and C laim s........................................................................
1,457,505.08
B anking H ouse, Furn itu re & F ix tu res................................................
327,071.21
Other R eal E state.......................................................................................
Due F rom B anks......................................................................................... 22,745,438.18
673,449.04
L aw fu l R eserve w ith Fed. Res. Bank or Other Res. A gents....
1,719,983.24
Cash .................................................................................................................
36,982.57
Other Cash Item s.......................................................................................
1,789.32
Current Expenses, Taxes & Interest P a id ........................................
$79,937,390.74

Total
L IA B IL IT IE S
Capital Stock:
Com m on .................................................................$ 6,581,750.00
P referred ..............................................................
765,550.00
Capital N otes & D eben tu res............................
514,400.00
Surplus F u n d ........... ................................................................................
U ndivided P ro fits ..................................................................................
R eserve fo r D ividends, Contingencies, e tc.............................
R eserve fo r Int., Taxes, & Other Exp. accrued & unpaid
R etirem ent Fund fo r P referred Stock, Cap. Notes &
D ebentures .........................................................................................
In dividual D eposits S u bject to C h eck.............. $40,193,935.30
Demand C ertificates o f D eposit.......................
568,692.53
Tim e C ertificates o f D eposit............................... 15,138,690.68
Savings D eposits.......................................................
5,011,989.39
Postal Savings.........................................................
189,912.98
State, County & Other M unicipal D eposits....
6,194,106.55
C ertified & Cashiers C h ecks..............................
493,511.28
Due To B anks.........................................................
340,731.39
R ediscoun ts ...............................................................................................
B ills P ay ab le.............................................................................................


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Federal Reserve Bank of St. Louis

Total

7,861,700.00
2,340,068.10
1.187,335.20
274,253.10
18,143.51
95,820.73

68,131,570.10
7,500.00
21 , 000.00
$79,937,390.74

IX

D E PA R TM E N T OF BANKING

Abstract of the Reports of the Commercial and Savings Banks of the
State of Nebraska at the close of business June 30, 1938.
291 Banks Reporting

RESOURCES
Loans and D iscou n ts..................................................................................$34,182,607.57
O verdrafts .................................................................................... .................
34,935.07
Investm ents:
U. S. G overnm ent O bligations direct
and/or fu lly guaranteed............................... $13,012,137.49
M unicipal Secu rities...........................................
3,595,036.27
Other Bonds, Stocks and Secu rities......................................... 2,361,497.89
19,247,506.65
U. S. Bonds in Cash R eserve..........................
278,835.00
90,173.05
Judgm ents and Claim s............................................................. .........
1,429,905.54
Banking H ouse, Furn itu re and F ix tu res........... ..............................
285,848.74
Other Real E state....................................................................................
Due F rom B anks........................................................................................ 19,330,969.46
610,690.61
L aw ful R eserve w ith Fed. Res. Bank or Other Res. A gents....
1,719,349.85
Cash ...............................................................................................................
15,640.98
Other Cash Item s......................................................................................
366.59
Current Expenses, Taxes & Interest P a id ........................................
$76,947,994.11

Total
LIA B IL IT IE S
Capital Stock:
Com m on ................................................................ $ 6,621,200.00
P referred ..............................................................
625,200.00
595,300.00
Capital Notes & D ebentures................'.........
Surplus F u n d ...........................................................................................
U ndivided P r o fits ..................................................................................
R eserve for D ividends, Contingencies, e tc....... .....................
R eserve fo r Int., Taxes & Other Exp. accrued & unpaid.
R etirem en t Fund, fo r P referred Stock, Cap. N otes &
Debentures .........................................................................................
In dividu al D eposits S u bject to C heck.$ 36,943,646.56
Dem and C ertificates o f D eposit.........
664,153.31
Tim e C ertificates o f D eposit................ 14,658,022.15
Savings D eposits........................................
5,011,220.15
Postal Savings D eposits..........................
189,583.57
State, County & Other M unicipal D eposits....
6,669,028.70
398,053.39
Certified & Cashiers C hecks................
Due to B anks.............................................
365,410.90
R ediscounts ...........................................................................................
Bills P ayable...........................................................................................


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Federal Reserve Bank of St. Louis

Total

7,841,700.00
2,365,275.94
1,365,996.63
291,345.81
23,382.95
69,199.05

64,899,118.73
5,730.00
86,245.00
$76,947,994.11

X

D E PA R TM E N T OF BANKING

Abstract of the Reports of the Commercial and Savings Banks of the
State of Nebraska at the close of business September 28, 1938.
291 Banks Reporting

RE SO U RC ES
Loans and D iscou nts................................................................................. $34,448,315.29
O verdrafts .....................................................................................................
50,172.98
Investm ents:
U. S. G overnm ent O bligations direct
and/or fu lly gu aran teed............................... $12,783,814.05
M unicipal Secu rities...........................................
3,709,693.76
Other Bonds, Stocks and S ecu rities......................................... 2,135,424.69
U. S. Bonds in Cash R eserve..........................
254,182.50
18,883,115.00
Judgm ents and C laim s........................................................................
86,370.52
B anking H ouse, Furn itu re & F ix tu res...........................................
1,417,451.59
Other R eal E state..................................................................................
271,115.23
Due F rom B anks..................................................................................
19,596,769.54
L aw fu l R eserve w ith Fed. Res. Bank or Other Res. A gents....
630,164.47
Cash ...............................................................................................................
1,748,547.24
Other Cash Item s.......................................................................................
34,417.87
Current Expenses, Taxes & Interest P a id ......................................
246.10
Total

$77,166,685.83
L IA B IL IT IE S

Capital Stock:
Com m on .................................................................$ 6,664,450.00
P referred ..............................................................
587,450.00
Capital N otes & D eben tu res.........................
566,400.00
Surplus F u n d .......................................................................
U ndivided P r o fits ..........................................................
R eserve fo r D ividends, C ontingencies, e tc ..................................
R eserve fo r Int., Taxes & Other Exp. accrued & unpaid....
R etirem en t Fund fo r P referred Stock, Cap. Notes &
D ebentures .................. ..........................................................
Individual D eposits S ubject to C heck.............. $36,990,296.82
Dem and C ertificates o f D eposit.......................
558,195.19
Tim e C ertificates o f D eposit............................ 14,472^200.96
Savings D eposits.......................................................
4i99L374!oO
Postal Savings D eposits......................................
141,383.40
State, County & Other M unicipal D eposits..
7,158^550.30
Certified & Cashiers C h eck s..............................
385,432 38
Due To B anks............................................................
350,479!o2
R ediscoun ts ....................................................................
Bills P ay ab le..........................................................


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Total

7.818.300.00
2.389.300.00
1,496,495.42
280,514.48
18,399.03
68,194.83

65,047,912.07
6 , 000.00

41,570.00
$77,166,685.83

XI

D E PAR TM E N T OF BANKING

Abstract of the Reports of the Commercial and Savings Banks of the
State of Nebraska at the close of business December 31, 1938.
293 Ranks Reporting

RESOURCES
L oans and D iscou nts.................................................................................$3 4,95 9,61 7.90
O verdrafts .....................................................................................................
29,022.94
Investm ents:
U. S. G overnm ent O bligations direct
and/or fu lly guaranteed.............................$12,512,025.89
M unicipal Secu rities...........................................
4,011,983.97
Other Bonds, Stocks & Secu rities..............
1,979,580.39
18,752,792.75
U. S'. Bonds in Cash R eserve.......................
249,202.50
85,265.01
Judgm ents and C laim s........................................................................
1,356,232.91
B anking H ouse, Furn itu re & F ix tu res..........................................
241,610.12
Other Real E state.................................................................................
20,465,284.66
Due F rom B anks....................................................................................
533,491.17
L aw fu l R eserve w ith Fed. Res. Bank or Other Res. A gents....
Cash .............................................................................$ 1,547,785.33
1,693,161.62
Checks and Item s o f E xch ange.......................
145,376.29
23,785.61
Other Cash Item s..................................................................................
410.53
Current Expenses, Taxes and Interest Paid.
$78,140,675.22

Total
L IA B IL IT IE S
Capital Stock:
Com m on ................................................................ $ 6,687,050.00
535,850.00
F irst P referred ....................................................
30,000.00
Second P referred .............
Capital N otes & D ebentures..........................
570,200.00
Surplus F u n d ........................................................ :.................................
U ndivided P r o fits ..................................................................................
R eserve fo r D ividends, Contingencies, etc..............................
R eserve fo r Int., Taxes & Other Exp. accrued & unpaid
R etirem en t Fund for P referred Stock, Cap. N otes &
D ebentures .........................................................................................
In dividual Deposits S u bject to C h eck ........... $37,959,041.81
D em and C ertificates o f D eposit.......................
545,430.91
Tim e C ertificates o f D eposit............................ 14,139,410.74
Savings D eposits.......................................................
5,084,686.67
Postal Savings D eposits......................................
153,249.41
State, County & Other M unicipal D eposits....
7,209,836.26
C ertified & Cashiers C hecks...............................
481,981.10
Due To B anks.........................................................
382,416.38
R ediscoun ts ...........................................................................................
Bills P ay ab le...........................................................................................


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Total.

7.823.100.00
2.454.925.00
1,343,174.14
319,509.52
17,814.77
84,412.61

65,956,053.28
86,685.90
55,000.00
$78,140,675.22

X II

D E PA R TM E N T OF BANKING

Abstract of the Reports of the Commercial and Savings Ranks of the
State of Nebraska at the close of business March 29, 1939.
291 Ranks Reporting

RESOURCES.
Loans and D iscou nts.................................................................................. 35,809,938.68
O verdrafts .....................................................................................................
44,827.20
Investm ents:
U. S. G overnm ent O bligations direct
and/or fu lly guaranteed.............................$12,884,054.77
O bligations o f States & Political
Subdivisions .....................................................
3,942,036.64
Other Bonds, Notes & D eben tu res.............
1,653,235.63
C orporate Stocks in cluding Fed. Res. Bk.
19,150.00
18,498,477.04
Judgm ents and Claim s.....................................:.......................................
107,765.78
Banking H ouse, Furniture & F ix tu res.............................................
1,321,120.96
Other Real E sta te.......................................................................................
229,429.02
Due F rom B anks......................................................................................... 22,056,195.13
L aw ful Reserve w ith Fed. Res. Bank or Other Res. Agents....
545,680.65
Cash in B an k............................................................$ 1,588,032.75
C hecks & Item s o f E xch an ge............................
97,059.84
1.685,092.59
Other Cash Item s................................................... ..............................
23,747.52
Expense in Excess o f P rofits
1,158.20
Total

$80,323,432.77
L IA B IL IT IE S

Capital Stock:
Com m on .................................................................$ 6,683,900.00
First P re fe rre d .....................................................
521,600.00
Second P referred ................................................
30,000.00
Capital Notes &D ebentures........ »...................
533,900.00
Res. fo r D ividend Payable in Com m on
Stock .................................................................
21,800.00
Surplus F u n d ...........................................................................................
U ndivided P r o fits..................................................................................
R eserve fo r Cash D ividend s..............................................................
R eserve fo r Contingencies, e tc ........................................................
R etirem ent Fund fo r P referred Stock, Cap. N otes &
D ebentures ...........................................................................................
Individual D eposits S u bject to C h eck .........$40,167,179.67
Demand C ertificates o f D eposit...................
504,711.27
Tim e C ertificates o f D eposit....................... 13,964,439.11
Savings D eposits..................................................
5,168,893.04
Postal Savings D eposits.................................
128,648.79
State, C ou n ty & Other M unicipal D eposits 7,306,174.18
Certified & Cashiers C h ecks..........................
464,263.65
Due To B anks.....................................................
389,232.58
R ediscoun ts ................ ..............................................................................
Bills P ay ab le...........................................................................................


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Total

7.791.200.00
2.479.275.00
1,416.041.12
6,754.19
315,502.24
67,230.69

68,093,542.29
82,720.24
71,167.00
$80,323,432.77

D E PA R TM E N T OF BANKING

X III

Abstract of the Reports of the Commercial and Savings Banks of the
State of Nebraska at the close of business June 30, 1939.
290 Banks Reporting

RESO U RCES
Loans and D iscou nts..................................................................................$36,285,876.57
O verdrafts .....................................................................................................
28,804.60
Investm ents:
U. S. G overnm ent O bligations direct
and/or fu lly guaranteed.............................$12,769,687.84
O bligations o f States & P olitical
Subdivisions ......................................
3,461,977.75
Other Bonds, N otes & D eben tu res..............
1,538,076.52
C orporate Stocks in clu din g Fed. Res. Bk.
19,150.00
17,788,892.11
Judgm ents and Claim s.............................................................................
79,293.59
Banking H ouse, F urniture & F ix tu res......................... .....................
1,303,865.18
Other R eal E sta te......................................................................................
227.978.96
Due F rom B anks......................................................................................... 20,596,213.63
L aw fu l Reserve w ith Fed. Res. Bank or Other Res. A gents....
499.290.96
Cash in B ank....................................................... $ 1,621,265.95
C hecks & Item s o f E x ch a n ge.......................
89,633.58
1,710,899.53
Other Cash Item s..................................................................................
34,392.36
Total

$78,555,507.49
L IA B IL IT IE S

Capital Stock:
Com m on .................................................................$ 6,706,750.00
First P re fe rre d ......................................
482,250.00
Second P referred ................................................
30,000.00
Capital Notes &D ebentures.............................
537,600.00
Res. fo r D ividend payable in Com m on
Stock .................................................................
27,900.00
Surplus
F u n d .........................................................................................
U ndivided P r o fits ..................................................................................
R eserve for Cash D ividends..............................................................
R eserve fo r C on tingencies, etc........................................................
R etirem en t Fund fo r P referred Stock, Cap. N otes &
D ebentures .........................................................................................
In dividual D eposits S u bject to C h eck.........$38,129,776.63
D em and C ertificates o f D ep osit..................
475,845.33
Tim e C ertificates o f D eposit....................... 13,997,344.54
Savings D eposits..................................................
5,341,456.96
Postal Savings D eposits....................................
100,883.57
State, County & Other M unicipal D eposits
7,471,883.39
C ertified & C ashiers C hecks..........................
394,954.84
Due To B anks.....................................................
358,650.47
B ills P ay ab le............................................................................................


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Federal Reserve Bank of St. Louis

Total

7,784,500.00
2,524,771.70
1,519,021.63
17,534.96
293,764.40
61,669.07

66,270,795.73
83,450.00
$78,555,507.49

X IY

D E PA R TM E N T OF BANKING

BANKS W H ICH HAVE INCREASED THEIR CAPITAL STOCK
DURING BIENNIUM
Am ount
Date
L ocation
Name
o f Increase
N ovem ber 8, 19 3 7 ...... H um boldt ............H om e State B a n k .............. v
A ugust 12, 19 3 7 .......... Schuyler ...............The Schuyler State Bank.. 20,000.00
July 26, 19 3 7 ............... Tecum seh ............ Johnson County B ank....... 30,000.00
May 1, 19 3 9 ..................B ertrand ............... Bank o f B ertran d.........
10,000.00
BANKS WHICH HAVE DECREASED THEIR CAPITAL STOCK
DURING BIENNIUM
Date

L ocation

Septem ber 29, 19 37 ....S h ick ley
A pril 9, 19 3 8 ................Sutton

A m ount
o f Increase

Name

Shickley State B ank.........$10,000.00
Sutton State B an k ................ 5,000.00

BANKS W H ICH HAVE MERGED OR CONSOLIDATED
DURING BIENNIUM
Date

L ocation

Name

M arch 12, 1 9 3 8 .......... Steele C ity ............ Farm ers State Bank w ith F irst
N ational Bank, F airbury, Nebraska.
March 30, 19 3 9 .......... Springview .......... Stockm ans Bank w ith F irst National
Bank, Springview , Nebraska.
BANKS W HICH HAVE CHANGED LOCATION AND NAME
DURING BIENNIUM
May 1, 1939

Norm an E xchange Bank, N orm an, Nebraska, m oved to B er­
trand and changed nam e to Bank o f B ertrand, Bertand, N e­
braska.
BANKS CHARTERED DURING BIENNIUM

Uate

L ocation

Name

Capital Stock

O ctober 6, 1 9 3 7 .......... M adison .............. The Bank o f M adison....$25,000.00
July 2, 19 3 8 ..................M ayw ood ............ F arm ers State B an k ........ 10,000.00
O ctober 8, 19 3 8 .......... W ood L ak e......... Bank o f W ood L a k e........ 25,000.00
O ctober 24, 19 3 8 ........ M adrid .................F arm ers State B ank........ 10,000.00
N ovem ber 1, 19 3 8 ......Osmond ...............Osmond
State B an k ........ 10,000.00
D ecem ber 3, 19 3 8
Palm er ............... State B a n k ............................. 10,000.00

BANKS WHICH HAVE VOLUNTARILY LIQUIDATED
DURING BIENNIUM
Date

L ocation

Name

Capital Stock

July 12, 19 37............. G reenw ood ......... Union State B ank ............... $10,000.00
January 1, 19 3 8 ........... Bingham .............. Bank o f B ingham .............. 15,000.00
M arch 18, 19 3 8 ...........Tryon ................... Tryon State B ank................. 10,000.00
A ugust 26, 19 3 8 ........ R ock v ille ............F arm ers State B ank ......... 20,000.00
N ovem ber 19, 1 9 3 8 ....M adrid ................ State Bank o f M adrid...... 25,000.00
D ecem ber 6, 19 38...... Palm er .................Palm er State B ank............ 25,000.00
March. 30, 1 9 3 9 ........... Cushing .............. Cushing State B ank............ 10,000.00
A pril 4, 19 39................R ushville ............Union State B a n k .............. 30,000.00


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Date
F ebruary
F ebruary


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L ocation

Name

Date
O rganized

Capital
Stock

1, 1 9 3 8 .......... ....... M ayw ood .................... ....... Farm ers Security Bank... ...F eb. 12, 1 9 1 6 ........... ...........$20,000.00
28, 1 9 3 8 ....... ....... Surprise ....................... ....... State B ank.............................. ...Jan. 30, 1 9 0 0 ........... ........... 10,000.00

D E PA R TM E N T OF BANKING

BANKS IN RECEIVERSHIP
DURING BIENNIUM

XVI

D E PA R TM E N T OF BAN K IN G

DISPOSITION OF STATE BANKS
DÜRING BIENNIÜM
Banks in operation June 30, 19 3 7 ............................................................................ 296
Banks in operation June 30, 19 3 9 ............................................................................ 290
6

Banks
Banks
Banks

volun tarily liq u idated............................................................................. 8
clo se d .............................................................................................................. 2
m erged and con solid a ted ....................
2

Banks

12
ch a rtered .......................................................................................................................66


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Federal Reserve Bank of St. Louis

STATISTICS REGARDING NEBRASKA STATE BANKS
189« TO JU NE 30, 1939

$32,154,745.20

1890

39,314,651.71
31,560,014.09
31,443,547.04
26,198,350.58
20,565,881.60
23,670,864.58
27,680,475.49
27,053,693.08
30,683,955.67
36,297,246.66
41,350,747.10
44,678,440.18
48,608,440.18
62,193,973.80
67,977,826.72
76,167,880.83
78,719,474.33
89,134,446.52
88,836,697.81
91,893,258.16
102,569,968.16
112,791,202.89
117,634,172.34
141,703,258.69
193,208,902.48
256,227,509.53
277,394,621.34
325,554,901.38
309,707,591.86
268,017,163.93
285,249,243.03
284,897,103.96
310,734,386.09
320,826,854.34
313,407,077.43
310,318,622.05
284,070,749.20
222,769,134.76
167,722,915.19
109,621,464.71
84,517,404.95
72,505,998.33
78,269,301.99
80,831,084.19
87,084,909.22
81,639,898.70
78,140,675.22
78,555,507.49 I

1892
1893
1894
1895
1896
1897
1898
1899
1900
1901
1902
1903
1904
1905
1906
1907
1908
1909
1910
1911
1912
1913
1914
1915
1916
1917
1918
1919
1920
1921
1922
1923
1924
1925
1926
1927
1928
1929
1930
1931
1932
1933
1934
1935
1936
1937
1938
1939 1

Day

October

18

1,062,656

November
December
December
December
December
November
December
December
December
December
November
November
November
November
November
November
November
November
November
December
November
October
October
December
November
November
November
November
November
December
December
December
December
December
December
December
December
December
December
December
December
December
December
December
December
December
December
June

5
19
29
31
31
30
1
2
13
10
25
17
TO
9
12
30
27
16
10
5
26
31
31
9
17
20
1
15
13
31
30
31
31
31
31
31
■ 31
31
31
31
31
30
31
31
31
31
31
30

Month

1,066,300

1,194,449
1,205,177
1,215,905
1,226,635
1,237,364
1,248,093
1,258,822
1,269,550
1,280,279
1,291,008
1,301,737
1,312,465
1,323,193
1,333,022
1,344,652

1,377,963

GENERAL NOTE I: The source of the entire data on this sheet Is
the Biennial (formerly, prior to 1917, Annual) Report as pub­
lished by this Department:
For year 1891, no data is available— the abstracts being
missing.
For years 1890 to 1898 inclusive, and for the year 1905, the
Statement data and figures include those for Private Banks as


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Authoriz­
ed to
Commence
Business

In
Operation

Converted
to
National
Banks

Converted
from
National
Banks

Mergers
and
Consoli­
dations

Failed

Voluntarily
Liquidated

Capital
of
All Banks

Surplus
of
All Banks

Undivided
Profits of
All Banks
$ 846,675.72

613

$11,155,412.00

$ 825,499.84

513
504
482
447
326
320
324
339
347
381
429
459
482
(6)530
563
601
615
659
664
669
1(3) 694
695
715
. 1(3) 714
5(3) 760(4) 765
2(3) 803(4) 805
6(3) 839(4) 845
3(3) 920(4) 923
8(3) 934(4) 942
3(3) 999(4) 1002
13(3&6)1009(4) 1022
1(3) 986(4) 987
955(4) 955
937(8) 938
920(8) 928
879(8) 903
837(8) 883
855 ,
726
647
580
472
430
381
309
302
301
296
293
290

11,257,099.00
10,840,744.83
10,407,838.25
9,216,525.00
8,233,665.56
7,855,278.70
7,532,023.70
6,317,285.00
6,199,450.00
6,488,450.00
7,148,900.00
7,426,000.00
7,886,400.00
8,845,440.00
9,096,640.00
9,997,759.41
10,710,030.00
11,967,240.00
12,555,440.00
12,827,240.00
13,833,500.00
14,455,100.00
Ì5 ,798,100.00
17,118,600.00
18,461,300.00
21,056,300.00
22,210,800.00
24,881,800.00
26,349,700.00
25,699,800.00
24,754,700.00
24,300,700.00
24,108,700.00
23,337,700.00
23,049,200.00
22,264,200.00
19,001,000.00
17,121,500.00
15,112,000.00
11,865,000.00
10,895,500.00
9,715,000.00
8,089,500.00
7,916,500.00
7,979,500.00
7,908,40-0.-00
7,823,100.00
7,784,500.00

1,002,646.47
1,029,852.30
1,006,851.76
1,002,675.33
877,642.09
882,869.32
906,051.75
846,678.09
946,743.15
1,079,258.24
1,173,623.27
1,311,717.19
1,442,190.96
1,756,862.33
. 1,817,198.59
2,033,544.38
2,065,667.32
2,113,977.27
2,303,084.77
2,582,299.39
2,950,844.20
3,295,242.03
3,807,242.84
-4,170,852.50
4,713,018.46
5,383,109.58
6,266,807.29
7,400,255.30
8,174,341.33
7,954,163.56
7,449,463.40
7,070,117.31
7,062,881.44
6,886,003.77
6,765,529.44
6,544,938.67
6,075,741.87
5,598,584.65
5,036,469.51
3,853,403.18
3,366,399.72
2,607,173.54
1,948,320.55
1,913,882.34
2,134,626.40
2,300,230.19
2,454.925.00
2,524,771.70

34
17
11
7
14
19
25
31
48
70
47
40
73
59
52
32
64
28
26
27
27
46
55
35
101
20
82
13
7
4
4
8
7
7
8
8
1
1
4
2
7
9
5
2
5

3

id )
id )
2(1)
3(D
11(1)
Id )
5(D
5(D
8(D
1(1)
Id )
Id )

2
10
4
3
9
10
6
5
9
7
5
8
11
0
0

2d)
1
6
5
3
18
2
1
2
2
1

17
31
27
24
27
13
6
9
6
6
4
6
11
6
5
2
8
5
5

16
15
3
2
1
1
2
3
1

1
5
5
2
1
4
2

1
1

4
2
5
4
21(2)
11(2)
12(2)
1(2)
1(2)

1(1)

15

10
8
3
1

1
2
2

2
1

2
1
6
2
4
8
2
7
4
10
6
5
9
5
6
13
14
19
2
1
3
2

1
1
1

1
11(5)

1(7)
7(7)
24(7)
46(7)

1
1
3
1
1

well as other State Institutions. There was no way of
separating and deducting it.
The statement figures and data for years 1923, 1924 and
1925 include the figures of those banks which were being run
by the Guaranty Fund Commission (which are in fact closed
or failed banks and which therefore ought to be omitted from
the above totals). There was no particular way of separating
and then deducting these figures.

4
25
22
13
13
13
23
49
80
45
40
88
39
27
52
2
1
1
2

5(5)
3(5)
1(5)

0
3
3
1
1
1
1
3
11
10
11
4
66
34
11
4
2
5
2

1,012,514.22
966,153.63
938,563.63
663,072.49
509,474.70
583,351.78
674,380.96
731,910.98
1,068,121.18
987,366.50
1,163,960.65
1,249,655.57
1,319,791.72
1,324,286.22
1,343,460.93
1,594,337.43
1,611,025.17
1,646,154.34
1,723,446.136
1,724,469.^7
1,818,039.69
1,729,459.69
1,857,808.81
2,234,466.71
2,628,597.09
2,925,914.11
2,924,063.97
3,797,555.21
3,742,631.54
1,051,998.12
1,040,086.(91
1,512,383.19
1,643,161,24
543,535.65
473,447^71 .
403,775:23
2,900,014:22
3,155,800:65
3,339,067,27
1,008,859:63
878,142182
1,975,898)77
1,286,507(85
1,477,065(29
1,694,890:53
1,258,008:98
1,343,174.14
1,519,021,63

Note 1. The first figure in this column represents State Institutions
which were merged with, or which sold out to National
Banks.
Note 2. The figure given for National Banks changing to State, is
added into and included with that showing the number of
new banks authorized that same year and so must not be
added again.

E A R N IN G ASSETS

Total Capital,
Surplus and Un­
divided Profits

Number of
Banks Which
Increased
Capital

Aggregate
Amount of
Increase

Number of
Banks Which
Decreased
Capital

Aggregate
Amount of
Decrease

Authorized Capital
of Banks E tablished During Year

$12,827,587.56
13,272,259.69
12,836,750.76
12,353,253.15
10,882,272.82
9,620,782.35
9,321,526.80
9,112,456.41
7,895,874.07
8,214,314.83
8,555,074.74
9,987,372.76
9,986,483.92
10,649,382.68
11,926,588.95
12,257,299.52
13.625,641.22
14,376,722.49
15,727,371.61
16,581,971.63
17,134,008.66
18,602,383.89
19,479,801.72
21,463,151.65
23,523,919.21
25,802,915.55
29,365,323.69
31,401,671.26
36,079,610.51
38,266,672.87
34,705,961.68
33.244,250.31
32,883,200.50
32,814,742.68
30,767,239.42
30,288,177.15
29,212,913.90
27,976,756.09
25,875,885.30
23,487,536.78
16,727,262.81
15,140,042.54
14,298,072.31
11,324,328.40
11,307,447.63
11,809.016.93
11,466,639.17
11,621,199.14
11,828,293.33

Loans and
Discounts
$24,160,441.79

<P

® o

<V

<d&

O

O

£

%

Genera

Year

C A PIT A L FUNDS

UÌ

ì

Total
Resources

TO TA L N U M BE R OP B A N K S

Total
Population
of
State

Genera]

DATE

©
<D

0Q

311.500.00
267.250.00
233,000.00
459,500.00
709,700.00
508,500.00

66
77
81
79
57
30
25
14
29
25
49
60
81
64
15
8
6
3
7
4
5
5
7
9
1
3
3
3
2
2
5

$ 610,300.00
586,600.00
940,500.00
848,700.00
512,800.00
215,600.00
232,760.00
128,000.00
329,000.00
247,700.00
. 517,000.00
798,000.00
1,016,000.00
853,000.00
192,000.00
86,400.00
70,000.00
25,000.00
80,000.00
68,000.00
■88,000.00
47,500.00
120,000.00
160,000.00
5,000.00
30,000.00
45,000.00
30,000.00
30,000.00
13,000.00
140,000.00

1

10,000.00

1
4
2

1,000.00
31,000.00
40,000.00-

2
2
1
4
3
6
1
1
2
2
1

40,000.00
41,000.00
10,000.00
125,000.00
85,000.00
165,000.00
5,000.00
15,000.00
80,000.00
30,000.00
25,000.00

553,500.00
510Ì000.00
959,000.00
420,000.00
547,000.00
765,000.00
488,000.00
1,296,000.00
1,409,000.00
845,000.00
2,231,000.00
365,000.00
2,019,500.00
440,000.00
140,000.00
105,000.00
105,000.00
175,000.00
235,000.00
265,000.00
225,000.00
200,000.00
50,000.00
100,000.00
200,000.00
65,000.00

5,000.00
10,000.00
5,000.00

190,000.00
210,000.00
105,000.00
35,000.00
65,000.00

1
1
1

Note 3. This figure represents new banks authorized that year but
which had not yet begun business and which therefore are
not included in the total number of banks reporting.
Note 4 This figure represents the Total Number of Banks report­
ing, only and not the total number authorized to be oper­
ated (it does not-include those,described in Note 3).

29,011, 321.39
24,118, 019.67
23,485, 006.46
19,259, 802.73
14,687, 636.77
15,625, 798.51
17,810, 606.51
18,772 114.00
19,925, 427.20
23,227, 291.18
30,262, 357.43
32,362, 928.66
34,508, 930.12
41.753, 110.73
37,747, 745.25
54,433, 176.05
55,177, 650.46
66,346, 622.11
68,304, 360.66
68 , 121 , 022.11
78,992, 609.67
85,682, 571.68
92.754, 777.32
111,765, 029.52
136,655,,873.41
189,418 454.97
207,453, 442.53
251,967, 024.67
250,376, 717.97
208,617, 080.98
214,771, 113.26
220 , 020 , 900.11
221,792, 221.06
227.134, 555.63
218,142, 431.05
205,357, 061.93
180,410, 045.32
136,409, 286.14
102,547, 033.12
65,179, 362.55
48,162, 768.49
34,932 ,054.23
25,055 ,755.73
30,149 ,521.34
30,545 ,631.02
33,005 ,930.81
34,959 ,617.90
36,285 ,876.57

Investments
$

DEPOSITS
Savings
(Includes Time
Cert, of Dep.)

Demand (Includes
Demand Certificates
of Deposit)

848,461.33

1,587 ,287.61
1,071 852.06
1,239 716.81
1,347, 548.07
1,094, 301.56
1,332 590.70
1,533, 785.19
1,125, 176.80
1, 111 , 039.70
1,013 089.47
968 683.26
1,041, 173.98
937 006.64
1,223,,037.71
1,346 268.59
1,633 099.95
1,481 752.26
963 577.58
880, 406.82
1,034,|222.06
1,345, 347.25
1,441, 462.80
1,491 501.32
2,062, 720.52
2,928 624.83
9,909 681.58
18,258,,000.78
15,239, 214.75
11,352, 783.35
11,085 934.63
14,461, 079.97
17,378 ,462.46
24,363, 912.07
32,935 887.74
39,506 744.55
28,735 211.63
36,900 ,831.71
33,189 306.90
25,564 ,817.29
18,774 ,406.89
16,198 ,929.58
13,903 ,836.43
20,165 ,486.40
19,474 .190.61
22,753 .946.72
20,599 ,140.53
18,752 792.75
17,788 ,892.11

Note 5. This means banks chartered but which never opened for
business and whose charters were cancelled. Treated as
Voluntary Liquidation to balance the total figures.
Note 6. This is an estimated figure as accurate data is missing.
Note 7. This figure means Insolvent Banks being operated by the
Guaranty Fund Commission which are not offically closed
and in receivership, but which are in fact practically failed
banks.

s

sa>

<p
o

O

m

21,896, 203.49
23,097 061.66
24.196 450.76
34.360 185.24
36,043 470.00
37.361 074.02
39,636 146.77
45,266 736.53
41,957 506.15
45,007 819.35
47,666 844.57
52,017 815.25
51,279 737.10
62,858 142.58
90,000 923.11
108,842 405.06
130,413 623.58
136,155, 785.18
115,385, 036.68
95,180, 589.29
106,513, 632.35
97,217, 479.48
102.975 ,983.70
105,397 ,949.91
99,927 ,984.49
112,234 ,625.03
110,435 ,244.86
91,589 ,232.72
69.398 ,056.92
42,353 ,523.28
31,750 ,318.65
37,828 ,226.56
44,759 ,890.66
48,028 ,812.54
53,392 ,566.56
48,570 833.15
46.196 ,290.08
46,406 ,340.70

f

9 383.411.53

10 498,978.93
12 ,568,283.46

14, 686,896.14
18, 070,000.72
23, 422,378.19
22 , 947.643.54
26, 380,717.91
28, 214.916.95
27, 184,180.87
32, 964.348.29
37, 210,881.33
40, 113,906.86
48, 261.819.30
68 , 239.261.70
95, 333,593.68
101 , 147,147.51
133, 894.345.60
133, 219.422.09
115, 447.035.13
125, 068.489.13
140, 334.724.71
159 156.133.31
167 186,283.35
167, 462,943.79
154 473.236.61
134, 224,947.90
95 805,184.46
68 707,529.58
44, 067.567.71
31 116.846.95
19, 735,761.40
21 , 780.501.10
21 , 087,986.09
21 , 527,384.07
20 ,690,452.81
19 ,377,346.82
19 ,505,804.56

|
Total

Due from
Banks

$17,513,696.97

$3,579,139.97

$363,383.40

$1,449,777.27

$1,670,699.50

24,891 ,113.29
17,208 476.14
18,074 ,832.43
14,200 ,775.63
10.227 ,537.93
13,902 ,940.36
18,225 ,180.14
18,740 754.91
22,499 ,021.33
27,634 ,116.57
31,279 ,615.02
33,596 ,040.69
36,764 ,743.22
49,047 ,081.38
54,113 ,470.72
60,783 ,452.21
62,583 790.31
71,647 ,454.44
70,172 ,423.10
72,192 , 000.22
80,631 ,192.86
89.228 ,696.58
91,393 ,643.96
111,119 ,961.88
158,240 ,184.81
204,175 ,998.74
231,560 ,771.15
270,050 ,130.78
248,604 ,458.77
210,627 ,624.42
231,582 ,121.48
237,552 ,204.19
262,132 ,117.01
272,584 ,233.26
267,390 ,928.28
266,707 ,861.64
244,660 ,162.76
187,394 ,417.18
138,105 ,586.50
86,421 ,090.99
62,867, 165.60
57,563, 987.96
66,540, 391.76
69,116, 798.63
74,919,,950.63
69,261 ,285.96
65,573 ,636.90
65,912 ,145.26

4,821,233.88
2,941,700.06
3,226,019.84
2,518,647.78
1,984,032.56
3,761,611.91
5,114,723.56
4,436,477.99
6,836,139.69
8,944,389.47
6,640,571.09
7,603,359.09
9,316,563.33
14,538,051.25
13,960,287.27
14,204,036.18
15,826,807.62
15,054,114.92
12,751,916.43
15,696,080.50
14,939,948.40
17,816,189.58
15,034,507.53
18,444,841.89
43,342,040.83
42,342,458.36
38,103,023.45
40,031,023.96
29,836,052.49
31,630,129.94
38,924,675.99
30,575,488.68
57,283,085.04
51,855,759.56
46,732,991.38
39,928,118.33
37,520,474.06
31,653,412.49
23,772,543.59
14,382,206.51
10,839,866.22
16,174,075.98
27,673,826.16
26,609,167.55
29,652,525.48
23,720,904.32
20,465,284.66
20,596,213.63

210,573.50
136,070.68

940,705.23
1,378,716.51
1,015,461.46
1,114,402.14
717,561.32
446,397.42
341,838.94
417,063.10
169,715.50
108,055.35
579,557.52
455,199.44
346,360.83
110,049.65
239,442.16
339,232.59
297,012.36
414,974.10
992,558.84
873,202.45
1,453,420.43
1,572,503.83
2,680,176.74
3,708,841.40
1,898.479.98
3,392,550.79
6,196,975.27
10,721,799.59
16,457,270.70
16,942,587.14
13,462,366.43
12,048,519.91
6,441,655.07
7,040,941.08
5,879,329.34
4,227,701.57
3,628,009.20
6,026,968.45
4,065,815.34
2,686,937.59
3,083,107.15
233,961.34
13,847.55
31,115.00
17,000.00
221,722.28
141,685.90
83,450.00

2,178,734.39
l,744j,573.14
1,761,156.79
1,620,302.88
1,496,532.56
1,684,241.75
1,993,093.53
1,685,012.46
1,801,606.97
2,018,927.36
2,243,415.03
2,350,406.81
2,425,687.58
3,007,714.83
3,164,737.95
3,892,212.36
4,086,551.00
4,436,350.69
4,4011,686.46
4,432|,654.64
4,435,627.86
4,850,376.23
5,050,323.72
5,763,534.89
7,252,796.86
8,770,343.72
8,624,653.78
12,305,021.85
11,107,155.22
9,457,053.44
9,993,128.51
9,741,015.54

authorized
e Guaranty
Fund Commission.
GENERAL NOTE II: For years 1890 through 1901, all deposits
were lumped and there was no practicable way of separating
them.
For years 1894 through 1902 “Due to Banks” was thrown
in with other deposits. The year 1902, was included with
all demand deposits probably.

Due to
Banks

Ö
H

e

Sf
CO
639,826.79
837,227.92
1,110,253.82
1,419,554.81
1,344,646.37
1,367,614.32
1,461,949.17
1,193,130.96
1,694,046.83
1,822,971.04
2,510,200.16
2,097,199.99
3,350,536.20
7,267,322.14
19,293,645.31
8,703,360.50
6,379,190.15
8,235,203.66
5,740,990.68
6,960,504.81
5,413,179.36
9,345,871.33
8,941,114.25
8,126,268.92
7,753,800.38
7,715,415.19
3,314,408.19
1,850,891.93
768,270.27
428,746.08
379,212.79
386,941.96
375,722.93
338,941.66
332,332.89
382,416.38
358,650.47

Bills Payable
and Re-Discounts

Cash on; Hand

Included Under
“ Due from Banks”
9,963,456.47
11,272,226.96
7,944,138.73
5,326,777.19
3,785,803.81
2,685,795.09
2,307,360.20
2,170,315.93
2,119,466.60
1,910,402.54
1,722,958.30
1,693,161.62
1,710,899.53

The blank spaces in the columns for Increase and Decrease
of Capital and for aggregate Capital of New Banks Authorized occurs by reason of missing data. Prior to 1907 the
Increases of Capital was first reported in 1913; between this
and 1907, none is listed, probably because there was no De­
crease.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

STATEMENTS
Showing the Condition of the 290 Commercial and Savings
Banks in the State of Nebraska, at the close of


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

business June 30, 1939.

D E PA R TM E N T OF BANKING

2

Àdams

Adams State Bank
Gage

C ounty

C harter No. 1448

Chris H ennies....................................President
F. H. H ennies................ ....... V ice-P resid en t

H en ry
H en ry

G ram ann.......... ....................... Cashier
G ram ann, J r..............A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S
L oans and discou nts... .................... $103,879.58
C apital Stock : C om m on................... $ 20,000.00
O verdrafts ............................................
35.06
7,000.00
Surplus ..................................................
B onds and securities........................ 93,058.16
U ndivided p rofits (n e t)...................
1,050.00
B an k in g house and fix tu re s______________ 4,250.00
R eserve fo r contingencies, etc..... 10,000.00
O ther real estate................................. 1,750.00
Individu al deposits............................. 159,285.57
Cash in bank & due fro m other
D em and certificates o f deposit.__ 15,000.00
banks .................................................. 49,859.86
Tim e certificates of deposit......... 38,236.72
Savings deposits.................
2,260.37
T ota l............................ _............... $252,832.66

Alexandria

T otal.—......................................... $252,832.66

The State Bank of Alexandria

T hayer County

C harter N o. 4

Luther B onh am ................................ P residen t
M erle L. C ory........ ..............V ice-P resid en t

J. J. R othm eier.................................... Cashier
N ellie M. M oore.......................A ss’t Cashier

S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discou nts........ .............$
O verdrafts ............................................
B onds and securities........ _.............
B an kin g house and fix tu re s____
Cash in bank & due from other
banks ...................................................
Checks and item s o f ex ch an ge___

98,902.53
71.93
26,363.55
3,500.00
29,637.92
. 22.00

T otal............................................. $158,497.93

Alliance

C apital Stock : C om m on................... $
Surplus ......................
U ndivided p rofits (n e t)...................
Individual deposits.............................
D em and certificates o f deposit....
Tim e certifica tes o f deposit.........
C ertified and cash iers checks___

25,000.00
5,000.00
3,653.24
66,893.14
10,000.00
47,755.70
195.85

T otal..... ........................................$158,497.93

The Guardian State Bank

B o x Butte County

C harter No. 1523

C. J. A b b ott................................
President
L e R o y A bbott.......................... V ice-P resid ent
C. H. Sudm an........................ V ice-P resid en t

C. H. Sudm an.......................................Cashier
Y. H. Seaton.............................A ss’t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
R E SO U R C E S

L IA B IL IT IE S

L oa n s and discou nts............ $1,079,341.76
O verdrafts .................
288.70
B onds and securities......... 207,408.25
B an kin g house and fix tu re s.........
8,000.00
Other real estate_________
4,302.00
Cash in bank & due fro m other
banks
...................
302,044.68
C hecks and item s o f exchange..
3,677.27
T ransit item s......................................... 11,485.08
Other assets.....................................
268.93
Total..


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

..$1,616,818.67

C apital Stock : Com m on..............$
Surplus ...............................................
U ndivided p rofits (net)...............
R eserve fo r contingencies, e t a in d ividu al
deposits_______ _____ _
T im e ce rtifica tes o f deposit......
S avings deposits...............................
C ertified and cash iers checks....
D ue to national and state banks
Total..

125,000.00
25,000.00
24,742.62
8,125.00
793,855.04
272,257.10
228,748.69
3,708.33
135,379.89

..$1,616,816.67

3

D E PA R TM E N T OF BANKING

Harlan County Bank

Alma
Harlan County
J. G.
B. E.
W . G.
V esta

C harter No. 567

H askell....................................P resident
H askell........................ V ice-P resid en t
H askell........................ V ice-P resid en t
M cK ee.............................V ice-P resid en t

W arren B. F ow ler............................ Cashier
C. M. M ansfield....................... A ss’ t Cashier
L. E. N ew m an------------ ----------A ss’ t Cashier

M em ber o f F ederal R eserve System
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oan s and discounts.......................$242,605.47
B onds and securities........................ 73,521.89
Banking- house and fix tu re s— .... 7,887.50
Other real estate__________________ 4,200.00
Cash in bank & due from other
banks __________________________ — 157,069.05
L a w fu l reserve w ith F ed. Res.
B an k o r other reserve agents.... 40,437.29

C apital Stock : C om m on................. $ 30,000.00
Surplus ................................................. 20,000.00
U ndivided p rofits (n e t)...................
194.13
Individual deposits________________ 348,447.88
T im e certifica tes o f deposit..... —
86,997.15
Savings deposits___________________ 40,016.11
26.00
C ertified and cashiers ch ecks----39.93
Other liabilities_____ _____

T ota l............................ ..............-$525,721.20

T ota l............................................. $525,721.20

Farmers and Merchants Bank

Alvo

C harter N o. 602

Cass County
S. C. B o y le s.......................................President
A . M. B oy les_____________ .....Vice-President
M em ber o f F ederal D e j
STATEM ENT

C arl D. G anz.........................................Cashier
t Insurance C orporation
JU N E SO, 1939
L IA B IL IT IE S

RESOURCES
L oans and discou nts..... ..................$
O verdrafts _______________________
B onds and securities------------------B an k in g house and fixtu res.-----Cash in ba n k & due from other
banks ____________________________
C hecks and item s o f e x ch an ge----

97,619.55
323.37
39,033.48
2,663.00
38,754.07
13.75

T ota l_________________________ $178,407.22

C apital S tock : C om m on................... $
C apital notes
& debentures........
Surplus ----------------------------------------U ndivided p rofits (n e t)__________
R etirem ent fu nd fo r preferred
stock or debentures____________
Individu al deposits________________
D em and certificates o f deposit....
Tim e certificates o f deposit_____
C ertified an d cash iers checks___

7,000.00
5,000.00
2,006.23
138.30
78,175.08
8,000.00
59,199.89
887.72

T ota l............................................. $178,407.22

Security State Bank

Amsley

C harter No. 1259

Custer County
J.
J.

18,000.00

H. W a tts.......................................President
T. M cG ow an ______ _____ V ice-P resid en t

M. W e il............................ ......... .V ice-P resid en t
I. C. Gardner._____________________ Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

Capital S to c k : C om m on..................$ 20,000.00
L oa n s and discounts...........................$68,753.20
Surplus ----------------------------------------- 10,000.00
O verdrafts .......... ............................. —
36.21
U
ndivided p rofits (n e t)______
909.51
B onds and securities------------------- 32,657.00
R eserve fo r contingencies, etc—
3,371.79
B an kin g house and fix tu re s......
8,700.00
Individual deposits— ................ 80,871.10
Cash in bank & due fro m other
Tim e certifica tes o f deposit_ 23,466.37
banks _______________________
41,261.88
S avings deposits........ ...................... — 12,789.52
T o ta l............................................. $151,408.29


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T ota l.... .....................................L_$151,408.29

4

D E PA R TM E N T OF BANKING

Arapahoe

Citizens State Bank

F urnas County

Charter N o. 896

R . F. E m m ett____________________P residen t
M em ber o f F ederal D ei
STATEM ENT

C.

E v a n s.......................................... C ashier

V.

t Insurance C orporation
' JU N E 30,^ 19.39

RESOURCES

L IA B IL IT IE S

L oan s and discounts........................ $
O v erdrafts .............................
B ond s and securities____________
B an k in g house and fix tu res______
Other real estate...............................
Cash in bank & due from other
banks ...................................................

65,041.53
313.34
52,385.17
5,080.00
3,500.00
50,533.46

C apital S tock : C om m on_____ ____ $ 15,000.00
11,000.00
Surplus ..........
U ndivided p rofits (n e t)_____ _____ 10,901.90
Individu al deposits_________
104,276-82
D em and certificates o f deposit.... 2,272.03
T im e ce rtifica tes o f deposit_____ 30,055.74
Savings deposits________
2,963.20
C ertified and cash iers ch ecks___
20.00
363.81
Other liabilities...._______

T ota l............................................. $176,853.50

Arcadia

T ota l..............................................$176,853.50

Arcadia State Bank

V alley C ounty
G.
H.

H.
S.

C harter No. 11

K in sey ...................... ............. P resident
K in sey .................. ........Vice-President

........................ C ashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oans and d iscou nts...................... $
O v erd rafts ..........................................
B onds and S ecurities.......................
B an king house and fix tu res............
Other real estate..... ....................
Cash in bank & due from other
banks .........................................

62,983.23
58.66
42,793.63
4,000.00
1,800.00
21,653.41

Capital Stock : Common....................$
C apital notes
& debentures.........
R eserve fo r div­
idend p ayable in
com m on stock___
Surplus _____
U ndivided p ro fits (n e t)______ ___
R etirem ent fu nd fo r preferred
stock o r debentures____
Individu al deposits________________
Tim e certifica tes o f deposit_____

T ota l............................................. $133,288.93

Arlington

10,200.00
13,500.00
1,300.00
5,000.00
745.03
52.00
58,529.25
43,962.65

T ota l_________:............................ $133,288.93

Arlington State Bank

W ashin gton County
L. D. S palding............ .....................P resident
W . T. W a ld ro n ........... ...........V ice-P resid en t

C harter No. 12
Geo.

E.

S choettger

Ha shipr

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
RESOURCES

L IA B IL IT IE S
L oans and discounts.......................$140,044.39
C apital S tock : C om m on... ............... $ 30,000.00
O verdrafts ...............
172.45
Surplus ----------------------------------------- 10,000.00
B onds and securities...................... 41,203.10
U ndivided p ro fits (n e t)__________
2,279.63
Judgm ents and claim s................... 4,969.82
Individu al deposits......................... 210,781.47
B an k in g house and fix tu re s______________ 6,800.00
D em and certifica tes o f deposit.... 18,824.78
Cash in bank & due fro m other
T im e certificates o f deposit_____ 70,269.80
banks ----------------------------------------- 148,998.42
C ertified and cash iers checks___
65.00
Checks and item s o f ex ch an ge____________32.50
T ota l— ....................... ..................$342,220.68


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T ota l............................................. $342,220.68

5

D E PA R TM E N T OF BANKING

Arnold

Arnold State Bank
Custer County

C harter No. 1070

John Finch....... ............ ......................P resident
L. P. R o se ............_................. V ice-P resid en t

B. C. W eh rm a n .......... ......................... C ashier
G eorge R a th .......... .................... A ss’t C ashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans and discounts--------------------- $
B onds and securities------------------B an kin g hou se and fix tu re s.........
Cash in bank & due from other
banks ...................................... - .........

96,252.00
34,910.68
3,200.00
87,548.35

C apital Stock : C om m on................ ,...$ 25,000.00
Surplus ----------------------------------------- 7,000.00
U ndivided p rofits (n e t)__________
7,886.52
Individu al deposits.............................. 168,278.23
Tim e certificates o f deposit_______ 11,282.90
S avings deposits................................... 2,463.38

T ota l............................................. $221,911.03

Ashby

T ota l............................................. $221,911.03

Grant County State Bank
Grant County

C harter No. 1204

C J Abbott
... ..........P resident
L e R o y A b b o tt..................... ....V ice-P resid en t

D onald

Tjiohty

Oashior

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and discounts._________
$111,258.11
O verdrafts ... ...................
117.14
B onds and securities------------ 31,048.00
B an kin g house and fix tu re s_____
1.00
Cash in bank & due fro m other
banks ___________
30,666.55
Checks and items o f exchange....
231.82
T ransit item __________________
64.00

C apital S tock : C om m on................. $
Surplus ___________________________
U ndivided p rofits (n e t)__________
Individu al deposits._______________
Tim e certificates o f deposit_____
Savings deposits.__________________
C ertified and cash iers checks___
Other liabilities____________________

T o ta l............................................. $173,386.62

Ashton

15,000.00
20,000.00
2,225.15
86,693.47
23,761.90
25,608.05
97.95
.10

T ota l............................................. $173,386.62

Ashton State Bank
Sherman County

C harter No. 1029

F ra n k X . B ad u ra............................. P residen t
P eter I. B adura.......................V ice-P residen t

Jos.

Jankow ski.....................................Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
RESOU RCES
L oan s and discounts— ..................$
O verdrafts ......J___________________
B ond s and securities---------------—
B an kin g house and fix tu re s-------Cash in ba n k & due fr o m other
banks ___________________________
Checks and item s o f e x ch an ge-----

79,028.94
26.05
12,590.00
2,500.00
39,859.34
28.7.5

Total......______________________ .$134,033.08


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
C apital Stock : C om m on__________ $
Surplus __________________________ _
U ndivided p rofits (n e t)___________
R eserve fo r contingencies, etc____
Individual deposits... .........................
Tim e certificates o f deposit______
Savings deposits___________________
C ertified and cash iers checks.___

15,000.00
3,400.00
5,911.99
4,200.00
43,343.71
59,133.40
2,983.64
60.34

T ota l........................................ _.$134,033.08

6

D E PA R TM E N T OF BANKING

Auburn

Auburn State Bank

Nemaha County

C harter No. 903

F rank E. W e lls...................... ......... President
R. W . D irks.......................................... Cashier

w.

S. M a cla y ............ ...............A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S
L oans and discou nts..........................$224,599.(59
C apital S to c k : Common......___ 25,000.00
O verdrafts ............ .........._.............. .
192:12
... ....................... ....... ............. 12,500.00
SUrplUS
B onds and securities................
109,995.32
U ndivided p rofits (n e t).....8,871.00
B an king house and fix tu re s.......................... 1,200.00
Individual deposits..... _.................... 365,034.21
Cash in bank & due from other
T im e certificates or deposit......... 10,406.48
banks ............................................
85,045.40.
D ue to national and state banks 2,271.10
C h e ck » and item s o f e x ch an ge....................... 3,050.29
T ota l............................................. $424,082.82

Aurora

T ota l..............................................$424,082.82

Farmers State Bank
Hamilton

County

C harter No. 1084

J. A. Isam an.......... ...........................President
O. F. H artqu est...... ................V ice-P resid en t

G eorge

W a n ek .......... ............................ Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oa n s and discou nts.... _.......$144,185.02
B onds and securities............. 142,475.00
B an kin g house and fix tu re s_____
8,750.00
Cash in bank & due from other
banks ... ..................- ______
75,284.16
Checks and items o f exchange.... 2,010.09

Capital Stock : C om m on... ............... $ 36,000.00
Surplus ----------------------------------------- 9,000.00
U ndivided p rofits (n e t)__________
7,587.33
Individu al deposits________________ 248,233.06
T im e certificates o f deposit......... 49,377.19
S avings , deposits........ ........................ 10,069.17
C ertified and cashiers checks___ 12,437.52

T otal............................................. $372,704.27

T ota l....................... ......................$372,704.27

Avoca

Farmers State Bank
Cass C ounty

E.
O.

C harter No. 1280

R. Straub-...................................P residen t
B. Copes........ .................... V ice-P resid en t

E lm er

H a llstrom .................................. Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S
L oans and discou nts... .....
$184,605.38
Capital Stock : C om m on................... $ 15,000.00
O verdrafts .....
50.41
Surplus ................................
15,000.00
B onds and securities.____________ 18,747.26
U ndivided p rofits (n e t)..................... 7,778.50
B an king house and fix tu re s.......................... 3,750.00
Ind ividu al deposits....... ... .................. 131,458.48
Other real estate________
2,000.00
Tim e certificates
o f deposit______ 96,702.72
Cash in bank & due from other
S avings deposits.................................. 27,637.83
banks ................................................. 84,424.48
T ota l............................................. $293,577.53


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T ota l............................................. $293,577.53

7

D E PA R TM E N T OF BANKING

Axiell

Farmers and Merchants Bank
K earn ey County

C harter No. 985

J. D. E n glan d ............. .............. - ..... P residen t
C. S. E ngland....................................... Cashier

M ilton S oneson... ......................A s s ’t Cashier

S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and discou nts...................... $
O verdrafts ..............
B onds and securities......................
B an king house and fix tu re s-------Cash in bank & due from other
banks ............................
C hecks and item s o f exchange....

21,428.23
38.01
40,900.00
1,605.00
48,919.81
118.17

T ota l..............................................$113,009.22

Bancroft

Capital Stock : C om m on................. $ 10,000.00
Surplus ...................................................
7,000.00
U ndivided p rofits (n e t)..... .......... :..
599.05
Individual deposits............................. 91,834.71
D em and certificates o f deposit_ 3,575.46

T ota l............................................. $113,009.22

Citizens Bank

Cum ing County

C harter No. 23

Chas. G ra ff........................................JPresident
G. A rth u r B ailey................. .V ice-P resid en t
M em ber o f Fede
STATEM ENT

W . J. M eyer..........................................Cashier
M. D. F ra n cis.......... ............... A ss’t Cashier
R eserve System
' JU N E 30, 1939

RESOURCES

L IA B IL IT IE S

L oans and discou nts.......................$145,136.42
O verdrafts ....................
195.89
B onds and securities...................... 16,900.00
B an k in g house and fixtures.____
7,000.00
Cash in bank & due from other
banks ____________________
38,662.71
L a w fu l reserve w ith Fed. Res.
B ank or other reserve agents.... 21,490.20
Checks and item s o f exchange....
160.04

C apital Stock : C om m on................... $ 30,000.00
Surplus ..... ....................................... _... 10,000.00
U ndivided p rofits (n e t)........ .......... 2,768.74
Individual deposits............................. 119,395.09
T im e certificates o f deposit............ 60,807.77
S avings deposits......................
6.573.66

T ota l............................................. $229,545.26

T ota l........ .....................................$229,545.26

Bartlett

Bartlett State Bank

Wheeler County

C harter No. 898

M attie H. B ishop .............................P residen t
A. W . H oefener.......................V ice -P re sid e n t

H ubert A. Bishop
C. L. B ishop______

................. Cashier
.....A ss’ t Cashier

S T A T E M E N T O F JU N E 30, 1939
RESOURCES
L oan s and discounts..........................$
O verdrafts ____________ _— -----------B onds and securities-----------------B an kin g hou se and fix tu re s-------Cash in bank & due fro m other
banks - __
Checks and item s o f exchange....
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

49,721.27
17.12
20,645.77
3,200.00
10,293.67
4.70

.$ 83,882.53

L IA B IL IT IE S
Capital S tock : Com m on.. 25,000.00
Surplus ............. ................................... . 2,500.00
U ndivided p rofits (n e t)_____ _____ 1,339.32
Individu al deposits.__________ __ __ 42,154.31
D em and certificates o f deposit....
39.00
T im e certifica tes o f deposit...___ 12,849.90
Total.

.$ 83,882.53

D E PA R TM E N T OF BANKING

Bartley

State Bank of Bartley

B ed W illo w C ounty

C harter No. 479

A. B. W o o d ...................................... P resident
E lizabeth E. Sm ith................V ice-P resid en t

D.

L.

M itchell....................................... Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
RESOURCES

L IA B IL IT IE S
L oans and discounts.......................$179,325.65
Capital S tock : C om m on__________ $ 15,000.00
O verdrafts _______________________
2.62
Surplus ----------------------------------------- 30,000.00
B onds and securities...................... 59,278.07
U ndivided p rofits (n e t)________
8,099.43
Banking- house and fix tu re s.......................... 3,001.00
Individu al deposits............................. 138,798.56
O ther real estate__________________
1.00
D em and certificates o f deposit.... 5,641.75
Cash in bank & due from other
T im e certificates o f deposit......... 142,790.57
banks ................................................. 98,721.97
T ota l............................................. $340,330.31

Bassett

T ota l______...__________________$340,330.31

Commercial Bank

R o ck County

C harter No. 701

H en ry Canenburg............................. P resident
O. M. J e ffr e y ......................... V ice-P resid en t
O. M. J e ffr e y ..................................... Cashier

A d on J e ffr e y ........................ A ss't Cashier
E. H. L ittle............ ....................A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts....................... ...$200,835.86
O verdrafts ..........................................
50.74
B onds and securities............. 14,361.37
3,530.00
B an kin g house and fix tu re s____
Other real estate.....................
1.00
Cash in bank & due from other
banks .......
53,313.74
Checks and item s o f exchange....
'875.79
T ota l............................................. $272,968.50

Beatrice

C apital S tock : Common......._______ $ 25,000.00
Surplus ......................................... .........................7,500.00
U ndivided p rofits (n e t)... ...............
802.32
R eserve fo r contingencies, e tc .... 1,000.00
Individual deposits............................. 194,555.18
D em and certificates o f deposit....
17.25
Tim e certificates o f deposit......... 43,501.74
592.01
C ertified and cash iers checks......
T ota l............................................. $272,968.50

Beatrice State Bank

Gage County

Charter No. 1024

C. G. B ak er.......................................P residen t
R ich ard W . T re fz ................... V ice-P resid en t

H. H. W a ite .................... .................... Cashier
L o ra n J. H ob b s.....- ................ A ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oans and discou nts.......................$115,629.12
O verdrafts
.......
50.74
B onds and securities...................
264,855.26
B an kin g house and fix tu re s......... 18,500.00
Cash in bank & due from other
banks .............
272,352.77
C hecks and item s o f exchange.... 1,361.28

C apital S tock : C om m on_______ __$ 50,000.00
Surplus ................................................. 20,000.00
U ndivided p rofits (n e t)_________
775.82
Individu al deposits......................... 436,927.92
D em and certifica tes o f deposit_
84.00
Tim e certificates o f deposit......... 146,344.74
C ertified and cash iers checks.___
575.45
Due to national and state banks 18,041.24

T otal.............................................$672,749.17

T ota l.............................................$672,749.17


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

9

D EPAR TM E N T OF BANKING

Beaver City

First State Bank

Furnas County
A.
A.

C harter No. 516

F. K eiser..................................... P resident
B B row n............................. V ice-P resident

G. W . Shafer, J r..................................C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oans and discou nts...................... $126,721.02
O verdrafts
______________________
6.95
B onds and securities..................... 39,930.00
B an kin g house and fix tu re s_____ 4,150.00
Cash in ba n k & due fro m other
banks ___________________________ 130,386.38
Checks and item s o f exchange....
26.56

C apital Stock : C om m on__________ $ 30,000.00
Surplus ............................................... 7,500.00
U ndivided p rofits (n e t)---------------2,444.05
Individual deposits________________ 235,330.32
D em and certificates o f deposit....
591.95
T im e certificates o f deposit-------- 20,936.24
Savings deposits__________________ 4,346.97
C ertified and cash iers checks----71.38
T ota l.......................................... $301,220.91

T ota l.......................................... $301,220.91

Benkelman

State Bank

D undy County

C harter N o. 1327

F. G. S tilgebouer............................. P resident
D. E. G allatin........................ .V ice-P residen t
D. E. G allatin............. .............. .......... Cashier

C. F. S tilgebouer...................... A ss’t C ashier
R . M. B u ffington.................... A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oa n s and discou nts------------$189,593.32
O verdrafts ......................
128.07
B onds and securities------------ 51,682.40
B an kin g house and fix tu re s_____
5,630.00
Other real estate_____________
3,960.00
Cash in bank & due fro m other
145,108.86
banks .........................
Checks and item s o f exchange....
10.76

------- $ 35,000.00
C apital Stock : C om m on—
Surplus ........ ...................................... - 7,000.00
U ndivided p rofits (n e t)---------------5,662.90
Individual deposits________________ 273,020.86
D em and certifica tes
o f deposit....
338.00
Tim e certifica tes o f deposit---------- 75,091.65

T ota l............................................. $396,113.41

T ota l............................................. $396,113.41

Bennet

Citizens Bank of Bennet
L an caster C ounty

C harter N o. 40

J. H . B ra tt.............................. ....... P resident
A . D. B ratt________________ V ice-P resid en t

A. D. B ratt............................................-C ash ier

S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s and discou nts.................... -.$106,908.06
B onds and securities------------------- 12,261.48
Judgm ents and claim s---------------185.00
B an kin g house and fix tu re s-------- 4,800.00
O ther real estate--------------------------6,900.00
Cash in bank & due fro m other
banks ___________________________ 61,184.42
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$192,238.96

C apital S tock : Comm on.,------ ------ $
Surplus ----------------------------------------U ndivided p rofits (n e t)------------Individu al deposits-----------------------D em and certificates o f deposit...
T im e certifica tes o f deposit------T ota l­

25,000.00
5,000.00
2,231.55
65,359.76
19,700.00
74,947.65

e m , 238.96

10

D E PA R TM E N T OF BANKING

Bennington

Bank of Bennington

Douglas
H.

E.

County

C harter No. 1602

R o e.......... ................................President

M artin

Splittgerber............................. Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T Oh’ JU N E 30, 1939
RESOURCES
L oan s and discou nts.................. ....$
B onds and securities____________
B an kin g house and fix tu re s_____
R eal estate sold on con tra ct___
Cash in bank & due from other
banks ------------------------------------------

76,442.25
2,589.45
6,750.00
10,000.00
16,162.48

T ota l............................................. $111,944.18

Bertrand
Phelps

L IA B IL IT IE S
C apital S to ck : C om m on................... $
F irst P referred .__
Surplus ......................................
Undivided p rofits (n e t)...................
Individu al deposits.............
Tim e certificates o f deposit.........
Savings deposits..................
C ertified and cash iers checks......

5,000.00
20,000.00
soo.OO
1,246.43
72,992.84
9,449.06
2,428.35
327.50

T ota l............................................. $111,944.18

Bank of Bertrand
County

F . R . K in g sle y ......
M abel W . K ingsley.

C harter No. 1630
.......... P resident
V ice-P resid en t

A nd rew Jensen..
H. S. Kingsley.

.V ice-P residen t
..............Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES
L oans and discou nts..................... $ 12,895 73
Overdrafts
.................
5.00
B onds and securities........ .................. 13,422.76
B an k in g house and fix tu re s______
4,663.00
Cash in bank & due fro m other
43,320.65
banks -------------------------

L IA B IL IT IE S
Capital S tock : C om m on..... ........... $ 20,000 00
Surplus ................................................. 4,000.00
U ndivided
p rofits (n e t)...............
736.21
Individual deposits........................... 48,222.44
.D em and certificates o f deposit.... 1,348.49

T ota l.................:............................$ 74,307.14

T ota l............................................. $ 74,307.14

Big Springs

Farmers State Bank

Deuel County

C harter N o. 902

A nd reas
K je ld g a a rd ............,.......... President
C arl K je ld g a a rd ................................... Cashier

W . H. K lin d t...........................A ss’ t Cashier
O. S. H en drickson...............A ss’ t Cashier

S T A T E M E N T OF JU N E 30, 1-939
RESOURCES
L oans and discounts.......................$ 91.745 14
O verdrafts
..
2SJ1
B on d s and securities.......................... 26,660.00
B an k in g house and fix tu re s............
6,300.00
Cash in bank & due from other
banks ....................
134,860.34
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$259,593.49

L IA B IL IT IE S
Capital S tock : C om m on................. $ 20,000 00
Surplus ................................................. 11,000.00
U ndivided p rofits (n e t)................ 20,431.31
Individu al deposits.........................
178,096.16
Tim e certificates o f deposit......... 28,948.58
C ertified and cashiers checks___
1,117.44
Total.

__ $259,593.49

D EPAR TM E N T OF BANKING

Blair

11

Washington County Bank
W ashin gton County

Chas. D. Saunders..........................President
Geo. T. H edelund...............................Cashier

C harter No. 1278
Louis M urdoch......................... A ss’ t C ashier
E arl L. Jenkins...................... A s s ’t Cashier

M em ber o f F ederal R eserve System
S T A T E M E N T OF JU N E 30, 1039
R E SO U R C E S

L IA B IL IT IE S

L oans
and d iscounts....................... $390,226.60
331.30
O verdrafts ..........................................
B onds
and securities_____________ 227,955.58
B an king house
and fix tu re s.....
1.00
Cash in bank & due from other
95,739.60
banks ..........
L a w fu l reserve w ith Fed. Res.
B ank or other reserve agents.... 78,902.32
Checks and items o f ex ch an ge___ 2,596.56
Other assets_______________________
33.62

C apital Stock : C om m on.....................$35,000.00
35,000.00
Surplus ---U ndivided p rofits (n e t)__________
1,048.50
R eserve fo r contingencies, etc.—. 8,000.00
Individu al deposits___________
654,755.52
Tim e certificates o f deposit_____ 33,938.45
Savings deposits... ............................. 24,060.41
C ertified and cashiers ch ecks___
3,983.70

T ota l_________________________ $795,786.58

T ota l..............................................$795,786.58

Bloomfield
K nox

Farmers and Merchants State Bank
County

C harter No. 48

W . Lam precht, S r.......................... P resident
A dolph G erdau........................ V ice-P resid en t

Jam es A. Cline, J r_______________C ashier
F ra n k H u ghes.................... .......A ss’ t C ashier

M em ber o f F ederai D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
RESOURCES

L IA B IL IT IE S
L oans and discounts................. $144,588.32
C apital Stock : Com m on................... $ 8,000.00
B on d s and securities...................... 19,833.47
F irst P referred __ 17,000.00
B an king house and fix tu re s______________ 4,850.00
Surplus .............................................
5,000.00
Cash in bank & due from other
U ndivided p rofits (n e t)................... 10,694.41
banks ................................................ 110,990.81
R eserve fo r contingencies, etc._
425.00
Checks and item s o f exchange....
845.48
R etirem ent fu nd fo r p referred
stock or debentures....................... 1,098.15
Individual deposits.-_______________ 199,849.99
T im e certificates o f deposit_____ 34,248.83
S avings deposits__________________
3,340.78
C ertified and cashiers checks.... 1,450.92
T otal.............................................$281,108.08

Blue Hill

T ota l............................................. $281,108.08

The Commercial Bank

W ebster County

C harter N o. 868

E d g a r M cB rid e--------- ------------------ P residen t
M ary M cB rid e_____________ .V ice-P resid en t

W illia m

K ort

____________________C ashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
RESOURCES

L IA B IL IT IE S
L oans and discounts.......................$189,417.94
C apital S to c k : C om m on__________ $ 25,000.00
O verdrafts _______________________
8.19
Surplus ____________________________ 12,500.00
B ond and securities______________ 121,552.40
U ndivided p rofits (n e t)___________ 4,685.57
Judgm ents and claim s___________
1,820.00
Individu al deposits________________ 201,336.07
B an kin g house and fix tu re s______________ 4,438.00
D em and certifica tes o f deposit_
534.10
Other real estate__________________ 2,123.00
Tim e certificates o f deposit_____ 130,407.72
Cash in ba n k & due from other
Savings deposits____________
23,362.99
banks ____________________________ 80,044.83
C ertified and cashiers checks___
1,577.91
T ota l_________________________$399,404.36


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T ota l............................................. $399,404.36

D E PA R TM E N T OF BANKING

12

Blue Springs State Bank

Blue Springs
Gage

C harter N o. -595

County

W . C. B la ck _____________________ P residen t
Geo. F. H arpster._________ V ice-P resid en t

F. J. P atton .......................................... C ashier
A . A . K ra u se............................. A s s ’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES

C apital S tock : C om m on................... $ 20,000.00
L oan s and
discou nts.................... $110,932.72
Surplus ................................................... 6,000.00
B on d s and
securities---------------- 94,760.27
2,209.03
U ndivided p rofits (n e t)...................
B an k in g house and fix tu re s.......................... 1,500.00
R eserve fo r contingencies, etc.... 7,727.50
Cash in bank & due fro m other
Individual deposits.......... ................. 196,044.63
banks ___________________________ 69,373.32
T im e certifica tes o f deposit......... 30,897.61
Savings deposits....+-----------------12,322.54
1,365.00
C ertified and cashiers checks......
T o ta l........ .................................... $276,566.31

T ota l..............................................$276,566.31

Boelus State Bank

Boelus
H ow a rd County

C harter No. 5dl

N. Jensen............................................P residen t
H a rry E rick sen ..................... V ice-P resid en t

Mrs. H a rry E rick sen ----------V ice-P resid en t
P aul Jensen............................................. Cashier

S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans and discounts.------------------ $
O verdrafts ------------B onds and securities.......................
B an k in g house and fix tu re s---------O ther real estate---------------Cash in b a n k & due fro m other
banks ____________________________

37,732.84
54.91
29,804.87
3,340.00
1,638.12
22,947.62

T o ta l......................-•.......................$ 95,518.36

Brady

C apital S to c k : C om m on................... $
Surplus ...................................................
U ndivided p rofits (n e t)...................
Individual deposits..... ........................
Dem and certifica tes o f deposit...
Tim e certifica tes o f deposit..... —
Savings deposits...............
C ertified and cashiers checks......

Total.............................................. $ 95,518.36

Bank of Brady
Lincoln County

F red
John

20,000.00
6,000.00
4,200.01
49,139.25
7,650.00
_ 10.60
7,089.11
1,429.39

C harter N o.

G eorge.......................................P residen t
F. Joh nson...................V ice-P resid en t

1647

W . O. Collett....................................... Cashier
R . R . Garner............................. A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s and d iscou nts...................... $
O v erd rafts ____________________
B on d s and securities------------------Judgm ents and claim s---------------B an king house and fix tu re s— ....
Cash in bank & due fro m other
banks ...................................................

78,480.54
26.25
16,465.41
1,331.20
3,700.00
50,289.41

T o ta l............................................. $150,292.81


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C apital Stock : C om m on........ ..........$
Capital notes
& debentures.......
Surplus .................................................
U ndivided p rofits (n e t)...................
R etirem ent fu nd fo r preferred
stock or debentures.................. —
Individu al deposits......................
D em and certifica tes o f deposit....
T im e certificates o f deposit.........
S avings deposits..................................

13,000.00
12,000.00
5,000.00
1,809.29
324.86
75,518.60
168.50
35,053.32
7,418.24

T ota l..............................................$150,292.81

13

D E PA R TM E N T OF BANKING

Bank of Brainard

Brainard

C harter

B utler C ounty
Chas. N o v a k _______ l_____ _______ P resident
E stella T. S m ith-................. V ice-P resid en t

No.

56

L. F. N ov a k .......................................... Cashier
V. F. Sedlacek..... .................... A ss’t C ashier

M em ber o f F ederal Depo sit Insurance C orporation
S T A T E M E N T C F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES

Capital Stock : C om m on... ............... $ 25,000.00
L oans and d iscounts.......................$162,593.65
Surplus ................................................ — 15,000.00
O verdrafts ______
124.49
U ndivided p rofits (net)......
3,048.35
B onds and securities....................... 125,300.25
R eserve fo r contingencies, etc.... 2,123.75
B an kin g hou se and fix tu re s.......................... 3,000.00
Individual deposits________ _____ — 182,065.49
Cash in bank & due from other
Dem and certificates o f deposit....
63.00
banks ...................................
67,299.12
C hecks and item s o f ex ch an ge------------------- 217.49Tim e certifica tes o f deposit..... — 106,569.49
Savings deposits...............................— 23,002.91
C ertified and cashiers checks----1,662.01
T o ta l.............................................$358,535.00

Bridgeport

T ota l............................................. $358,535.00

Bridgeport State Bank
C harter N o. 1598

M orrill County
J. O. B aker._________ C hairm an o f B oard
A rth ur E rick son ________________ P residen t

G arland F . Lindberg.
D avid G. Johnson-----

.... V ice-P resid en t
......A ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oan s and
discounts.___________ $125,302.50
B on d s and
securities.___________ 172,275.00
B an kin g house and fix tu re s-------- 6,400.00
Cash in bank & due from other
hanks ____________________________ 250,711.68

Capital Stock : C om m on---------------- $ 30,000.00
Surplus ____________________________ 20,000.00
U ndivided p rofits (n e t)---------------2,065.97
R eserve fo r contingencies, etc.— 10,000.00
Individu al deposits......................
409,020.60
S avings deposits__________________ 83,602.61

T ota l............................................. $554,689.18

T ota l............................................. $554,689.18

Bristow

Nebraska State Bank

Boyd County

C harter No. 1577

J. E. O lson...... ________ _____ .'....... P resident

L au n ce

W.

G ibson.............................C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oa n s and discounts------------------ .$
B onds and securities.................. —
B an k in g house and fix tu re s-------Cash in ba n k & due fro m other
ba n k s ___________________________
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

28,781.88
19,603.43
2,120.00
86,390.15

.....$136,895.46

C apital S t o c k : C om m on...... .............$
Surplus ___________________________
U ndivided p rofits (n e t)------------------Individu al deposits.-----------------------T im e certificates
o f deposit-------Total.

15,000.00
1,500.00
1,776.09
95,476.11
23,143.26

.$136,895.46

D E PA R TM E N T OF BANKING

14

Broadwater

Union State Bank

M orrill Comity

C harter No. 1352

R a y C. M unkres................................ P resident

E lm er

L.

R o g e rs............................— Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oa n s and discounts------------------- $
B onds and securities.......................
B an k in g house and fix tu re s-------Cash in bank & due from other
banks ......................................... - .....
C hecks and item s o f exchange....

54,704.68
40,337.08
4,800.00
ol,8J0.43
190.09

T o ta l.......................... ...................$131,922.28

C apital S tock : C om m on................... $
Surplus __________________________ —
U ndivided p rofits (n e t)................
R eserve fo r contingencies, etc.—
Individu al deposits— ..................
D em and certificates o f deposit—
T im e certificates o f deposit-------C ertified and cashiers ch ecks-----

T ota l............................................. $131,922.28

Bank of Brock

Brock

C harter No. 59

Nemaha County
E.
E.

25,000.00
5,000.00
1,622.18
40.00
78,058.49
21.15
21,671.48
508.98

C. T ont.........................................President
H. V an devort.................. V ice-P resid en t

F. C. G ilbert......................- ..... V ice-P resid en t
E. C. Y on t....................... ......................Cashier

S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oa n s an d discou nts.................. ....$ 29,936.63
B onds and
secu rities..............
27,800.00
B an kin g house and fix tu re s.........
500.00
Cash in bank & due fro m other
banks ___________________________ 15,379.16
Checks and item s o f exch an ge—
34.67
T ota l..............................................$ 73,650.46

Broken Bow

Capital Stock : C om m on................... $ 10,000.00
Surplus ..............................
2,856.05
U ndivided p rofits (n e t)-----------------Individu al deposits............................. 45,958.19
Tim e ce rtifica tes o f deposit........ —
9,836.22
T otal......................................... ....$ 73,650.46

Broken Bow State Bank

C uster C ounty

C harter No. 540

C.
R. L u ce_________ C hairm an o f B oard
T. T. V arney........... ........................... P residen t
T. T. V arn ey, J r_________ V ice-P resid en t

E. C. V a rn e y -------------- .......................Cashier
John W . P a rk s— ........... ...... A ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oa n s and
discounts---------- .$140,439.27
O verdrafts __________________ ____ —
7.76
B onds and
securities............ 66,645.92
B an k in g house and fix tu re s. 12,493.00
Cash in bank & due fro m other
banks ___________________________ 117,766.73
Checks and item s o f exchange.... 1,061.93

Capital Stock : C om m on................... $ 32,500.00
Surplus .................
10,500.00
U ndivided p rofits (n e t)............... —
2,289.79
R eserve fo r contingencies, etc.... 2,391.03
Individual deposits... ......................... 249,323.46
D em and certificates o f deposit.... 6,520.49
T im e certificates o f deposit......... 34,889.84

Total....................... .......................$338,414.61

T ota l............................................. $338,414.61


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

5,000.00

15

D E PA R TM E N T OF BANKING

Broken Bow

Nebraska State Bank

Custer C ounty
E.
C.

C harter No. 13.58

S. H olcom b.......... ....................... P residen t
H. R o w a n .................. ................ ....Cashier

T. S. F orsy th ............................. A ss’ t Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and discou nts... ...................5215,109.60
O verdrafts _____________________
183.68
B onds and securities____________ 78,945.16
B an kin g house and fix tu re s_____ 11,250.00
Cash in bank & due fro m other
banks ___________________________ 329,895.81
C hecks and item s o f exchange.... 4,384.87

C apital Stock : C om m on................... $ 35,000.00
Surplus ...................................
14,400.00
U ndivided p rofits (n e t)------------9,843.06
R eserve fo r contingencies, etc.....
250.00
Individual deposits------------------------ 439,699.29
D em and certificates o f deposit— 17,934.82
Tim e certifica tes o f deposit-------- 122,446.95
C ertified and cashiers ch ecks----195.00

T o ta l__________ ______________ $639,769.12

T ota l..... ....................................... $639,769.12

Security State Bank

Broken Bow

C harter N o. 842

Custer County
President
Joseph TTa nmnn t
Vice-Pre.si d ent
H en ry TTa nm f)ri t
P. G. R ich ard son ......... . ................ Cashier

H M. F ergu son .... . ............. A ss’ t
L ouise M arten............ ............ A ss’ t

Cashier
Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discou nts......................$ 69,636.30
O v erdrafts _______________________...
4.61
B on d s and securities------------------- 139,190.30
B an king house an d fix tu re s------- 5,750.00
Cash in bank & due from other
banks ____________________________ 90,489.00
C hecks and item s o f ex ch an ge---727.89

C apital S tock : C om m on................... $ 35,000.00
Surplus ........................................
3,000.00
2,822.11
U ndivided p rofits (n e t)---------------Individu al deposits....---------------- -— 256,739.25
D em and certificates o f deposit.— 4,182.63
Tim e certificates o f deposit.......... 3,894.11
C ertified and cashiers checks----160.00

T o ta l............................................. $305,798.10

T ota l— .........................................$305,798.10

Bank of Brule

Brule

C harter No. 1331

Keltli County
.President

G. D. Adam s.

J.

A.

Crowl.

.Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
L IA B IL IT IE S

RESOURCES
L oan s and discounts.____________ $
O verdrafts _______________________
B onds and securities____________
B an kin g house an d fixtu res.—
Cash in bank & due fro m other
banks ___________________________
Checks and items of exchange....

67,021.14
19.72
35,263.00
3,500.00
48,372.16
33.01

T ota l________ _______________$154,209.03


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C apital S tock : C om m on__________ $ 20,000.00
C apital notes
& debentures____
5,000.00
Surplus ___________________________
5,000.00
U ndivided p rofits (n e t)...................
1,845.43
Individu al deposits.........................
89,973.87
T im e certificates o f deposit_____ 24,536.33
Savings deposits.......... ..................
5,922.52
C ertified and cashiers checks___
9.02
O ther liabilities____________________ 1,921.86
T ota l.......................................... $154,209.03

D E PA R TM E N T OF BANKING

16

Bruning State Bank

Bruning

C harter N o. 618

Tliayer County
W m . M. Bruning-__________ V ice-P resid en t
F red H. B ru n in g ........ - ......................Cashier

D.

G.

R ed elfs........................ A s s ’t

C ashier

S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oa n s and discou nts.......................$155,963.46
O verdrafts ------------136.40
B onds and securities..
.......... — 38,223.78
Judgm ents and claim s.............. —
200.00
B an kin g house and fix tu re s-------- 4,721.06
Cash in ba n k & due fro m other
hanks ___________________________ 48,172.78
Checks and item s o f exchange....
77.64

C apital Stock : C om m on................... $ 25,000.00
Surplus .........
17,500.00
U ndivided p rofits (n et)...................
6,104.06
Individu al deposits________________ 105,021.24
T im e certificates o f deposit......... 91,147.86
C ertified and cash iers ch eck s----- 2,723.96

T o ta l.........................................-...$247,497.12

T o ta l..............................................$247,497.12

Brunswick

Brunswick State Bank

Antelope County

C harter No. 1310

W . H. R o se ... ...................................... President
John N othem _____________ V ice-P resid en t

L eonard

H ales...................................... Cashier

M em ber o f F ederai D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES
L oan s and discou nts____________ $
O verdrafts ..........
B onds and securities____________
B an king house and fix tu re s..... ....
C ash in bank & due fro m other
banks ....................... ....................... -

79,816.00
64.96
1,000.00
4,300.00
42,854.21

L IA B IL IT IE S
C apital S tock : C om m on............... ....$
Surplus ......................................
U ndivided p rofits (n e t)_________
Individu al deposits........ ................ .
Tim e certificates o f deposit_______

T ota l.......... .... ..............................$128,035.17

25,000.00
750.00
3,923.96
80,143.82
18,217.39

T ota l........................... ..................$128,035.17

State Bank of Burchard

Burchard
Pawnee County

C harter N o. 1606

C. A . Y a rp e.......................................President
B en C. W isch m eier.
........ V ice-P resid en t

F.
H.

H. O berm ann........................ ...... Cashier
L. S chram .................. ...... A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
62,217.49
L oa n s and discounts..
8.29
O verdrafts
B onds and securities-----------25,978.70
4,855.00
B an k in g house and fixtures..
Cash in bank & due from other
banks ................................................ 36,891.65
Total..


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

..$129,951.13

C apital Stock : Com m onSurplus
U ndivided p rofits (net)..
Individu al deposits..
T im e certificates o f deposit....
Savings deposits— .... ...................
C ertified and cashiers checks..
T ota l..... ...................................

..$
..
....
..
..
...

25,000.00
5,000.00
3,745.67
66,432.27
26,291.10
3,156.53
325.56

..$129,951.13

17

D E PA R TM E N T OF BANKING

Burr

The American Bank
Otoe Com ity

V.
G.

C harter No. 66

H. Goerke....................................P resident
J. K ah l.............................. V ice-P resid en t

G.

J.

K ah l..............................................Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and discounts...................... $
O verdrafts
______________________
B onds and securities____________
B an k in g house and fix tu re s _____
Cash in bank & due fro m other
banks ___________________________
C hecks and item s o f exchange....

30,543.60
62.12
50,945.50
3,900.00
29,183.68
9.59

Capital S tock : C om m on__________ $
Surplus ____________________
U ndivided p ro fits (n e t)---------------R eserve fo r contingencies, etc—
Individu al deposits________________
Tim e certificates o f deposit.........

T ota l........ .....................................$114,644.49

T ota l...................................... ....... $114,644.49

Burwell

15,000.00
5,000.00
1,027.20
841.25
75,348.73
17,427.31

Bank of Burwell
Charter No. 1620

G arfield County
F\ A. Johnson
. P resident
TTft.roId O. Johnson
V ice-P resid en t
O. W . Joh nson.................... ...Vice-Presid6nt

Fvpi-ptt
R p r n in p

Johnson
T r n x p ll

..Cashier
...............A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and d iscounts____________ $183,580.95
O v erdrafts __________________.'_____
125.70
B onds and securities____________ 95,028.61
Judgm ents and claim s__________
2,112.32
B an kin g house and fix tu re s_____
1,900.00
Cash in bank & due from other
banks ___________________________ 44,894.84

Capital Stock : C om m on-------- ------- $ 25,000.00
Surplus .......
12,500.00
U ndivided p rofits (n e t)--------------- 5,965.88
R eserve fo r contingencies, etc— 12,500.00
Individu al
deposits------------------- 271,676.54

T otal............................................. $327,642.42

T ota l..... ................... .................... $327,642.42

State Bank of Cairo

Cairo

C harter No. 1119

Hall County
W . L. H eu pel................................... P residen t
G rover C. R a v en __________V ice-P resid en t

W.

E.

Sorensen____ __________ ____Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts_______ $144,828.24
O verdrafts
______________________
330.35
B onds and securities----------- 17,739.89
B an king house and fix tu re s_____
2,821.00
Cash in bank & due fro m other
banks ___________________________ 36,707.18
C hecks and item s o f exchange....
532.02

C apital S t o c k : C om m on................... $ 31,000.00
Surplus ----------------------------------------9,000.00
U ndivided p rofits (n e t)------------1,401.28
Individual deposits----------------------- 100,201.47
T im e certificates o f deposit-------- 37,694.03
Savings deposits___________________ 22,288.95
C ertified and cashiers checks----1,372.95

T o ta l_________________________ $202,958.68

T ota l______ ________ __________$202,958.68


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

18

Callaway

Seven Valleys State Bank

Custer County
J.

I.

C harter No. 1312

C hristiansen........................... P residen t

E.

R.

L og a n .......................................... Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and discou nts----- $123,791.15
O verdrafts _______________________
71.15
B onds and securities----- 14,463.23
B an k in g house and fixtures..... — 7,600.00
Other real estate............................. — 1,630.00
Cash in bank & due from other
banks ................................................. 93,012.10

C apital Stock : C om m on................... $ 25,000.00
Surplus ..........................1____________
6,000.00
U ndivided p rofits (n e t)---------------710.39
Individu al deposits............................. 150,094.90
Tim e certificates o f deposit......... 58,741.OS
C ertified and cashiers ch eck s......
21.26

T ota l..........................................„...$240,567.63

T ota l............................................. $240,567.63

Cambridge State Bank

Cambridge

C harter No. 981

Furnas County
President

C. W . Phillips.

C.

A.

.Cashier

Phillips.

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans and discounts.......................$ 48,634.45
O verdrafts ..........
31.53
B onds and securities------------------- 13,616.20
B an kin g house and fixtu res.......... 4,150.00
O ther real estate-----------------------1,500.00
Cash in bank & due fro m other
banks ----------------------------------------- 24,283.52
C hecks and item s o f e x ch an ge----191.56
T ota l_______-

......................— $ 92,407.26

Campbell

C apital Stock : C om m on................... $
F irst P referred —
Surplus .......
U ndivided p rofits (n e t)...................
R eserve fo r contingencies, etc.—
Individu al deposits.............................
T im e certificates o f deposit.........
Other liabilities___________________

10,000.00
15,000.00
1,000.00
456.17
640.00
47,717.75
17,546.74
46.60

T ota l......................................... „...$ 92,407.26

Farmers State Bank

Franklin County

C harter * No. 1232

A. L ’ H eu reu x..................................... P residen t
H.
M. L ’H eu reu x................V ice-P resid en t

H. M. L 'H eu reu x ................................ Cashier
L eo L ’ H eu reu x..........................A ss’ t Cashier

S T A T E M E N T O F JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oans and discou nts____________ $ 43,889.91
O v erd rafts _____
71.06
B onds and securities...................... 40,273.15
B an k in g house and fix tu re s............
3,589.76
Other real estate.......... ........
2,165.41
Cash in bank & due fro m ocher
banks __________
34,889.76

C apital Stock : C om m on................... $ 30,000.00
U ndivided p rofits (n e t)...............—
797.45
Individu al deposits............................. 94,058.20
D em and certificates o f deposit....
23.40

T ota l............................................. $124,879.05

T ota l............................................. $124,879.05


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

Carleton

Citizens State Bank

T hayer County
M.
H.

19

C harter No. 75

M. Jennings................................ President
B. Jennings.....................V ice-P resid en t
STATEM ENT

L uther B onh am .......................V ice-P resid en t
R. B. W alker._____________________ Cashier
i1, JU N E 30, 1939

RESOURCES

L IA B IL IT IE S

L oans and d iscounts...................... $ 94,856.48
O verdrafts
............................................... 49.43
B onds and securities____________ 42,100.00
B an king house and fix tu re s_______ 2,000.00
Cash in bank & due from other
banks ......... ,........ ............................... 43,601.24

C apital Stock : C om m on__________ $
Surplus ...............
U ndivided p rofits (n e t)___________
Individual deposits.......... ...................
D em and certificates o f deposit....
Tim e certificates o f deposit____ _
Savings deposits___________________

T ota l................................... ......... $182,607.15

Cedar Bluffs

25,000.00
5,000.00
2,354.33
64,988.71
9,360.00
53,378.18
22,525.93

T otal......... ........... ....................... $182,607.15

Commercial State Bank

Saunders County

C harter N o. 1628

A. P. Vasina______________________ P resident
W illiam Schere______ V ice-P resid en t

E.

H.

H enderson..... .........................C ashier

S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S
L oans and d iscounts____________ $ 38,407.91
C apital Stock : C om m on................... $ 10,000.00
O verdrafts _______________________
50.16
Surplus -------------------------------------------- 2,500.00
B onds and securities.____________ 8,809.80
U ndivided p rofits (n e t)____________
3,916.80
B an king house and fix tu re s________________ 1,312.46
Individu al deposits.________________ 45,521.25
Cash in bank & due from other
9,907.95
T im e certifica tes o f deposit______
banks ----------------------------------------- 23,265.67
T ota l_________________________ $ 71,846.00

Cedar Rapids

T ota l________ ________________ $ 71,846.00

Cedar Rapids State Bank

B oone County

C harter No. 1640

G ilbert M. Cox.............................. P residen t
W . M. Sm ith..................V ice-P resid en t

Geo.

B.

M iles_____________________ C ashier

S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S
L oans and discou nts____________ $ 20,234.29
Capital S t o c k : C om m on................... $
O verdrafts ________________________
127.39
Surplus ___________________
B onds and secu ritiea____________ 12,500.00
U ndivided p rofits (net)............
B an kin g house
and fix tu re s_____________ 2,750.00
Individu al deposits________________
C ash in bank & due fro m other
C ertified and cash iers checks_____
banks ___________________________ 15,313.23
T ota l_________________________ $ 50,924.91


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

10,000.00
2,500.00
1,696.93
35,921.98
806.00

T ota l_________________________ $ 50,924.91

D E PA R TM E N T OF BANKING

20

Center State Bank

Center

C harter No. 665

K n o x County
G eorge G new uch........................ ----- P residen t
W m . V on R entzell-...............V ice-P resid en t

C.

T.

B ritt............- ............ ___ _____ Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
.$ 34,369.97
28.04
. 6,750.00
750.00

L oan s and discou nts----------------O v erd rafts ------------------------ ---------B ond s and securities------- ---------B an kin g house and fix tu re s..... .
Cash in b a n k & due fro m other
banks ------------- -------------------------- . 23,979.30
.$ 65,877.31
T otal

Ceresco

C apital S tock : C om m on— .............. $ 15,000.00
............................................... 3.000.00
Surplus
U ndivided p rofits (n e t).............. —
2,253.2o
Individu al deposits.................- .....— 45,458.50
D em and certificates o f deposit—
17.07
148.49
C ertified and cash iers ch eck s---T ota l............................................. $ 65,877.31

Farmers and Merchants Bank
C harter N o. 1143

Saunders County
.......... P resident
.V ice-P residen t

C arl

M ostrom .

F ra n k W . W edberg.
John M artin----------M em ber o f F ederal D eposit Insurance C orporation

................. C ashier

S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oan s and discou nts...................... 3 80,961.03
B on d s and securities... ;--------------- 22,998.19
75.00
Judgm ents an d claim s............... —
B an king house and fix tu re s-------- 2,140.00
Cash in b a n k & due fro m other
56,760.43
23.04
Checks and item s o f e x ch an ge—

.$162,957.69

T otal

T otal

20, 000.00
4,000.00
12,477.57
6,156.63
78,576.38
76.83
34,704.55
6,803.73
162.00
.$162,957.69

Chambers State Bank

Chambers
Holt

C apital S to c k : C om m on................
Surplus ..... - ......................................
U ndivided p rofits (n et).—............
R eserve fo r contingencies, etc.
Individu al deposits.—....................
L iquidation a ccou n t............ --.......
T im e certificates o f deposit......
Savings deposits..............................
C ertified and cashiers checks....

C harter No. 637

County
...........President
.V ice-P residen t

G. H. A d am s......... ......................... - ... C ashier
E. J. G rim es......... ...................A s s t Cashier

E d w ard Adam s......-......
L eo T. A d am s...............
M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES
L oa n s and discou nts..........-........... $103, 595.33
14.93
O verdrafts ---------------- ................... —
B on d s an d securities....................... 8» 000.00
B an k in g house and fixtu res.------l ,700.00
O ther real estate.....................
3. 500.00
Cash in bank & due fro m other
,344.86
banks
176.75
C hecks and item s o f exchange....
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

..$170,331.87

L IA B IL IT IE S
C apital Stock : C om m on................. ; 9,000.00
7,000.00
F irst P r e fe r r e d 4,500.00
Surplus .................................................
1,465.50
U ndivided p rofits (n e t)..............
R etirem ent fu n d fo r p referred
500.00
stock or debentures.................. Individual deposits............---......... 130,061.38
T im e certificates o f deposit..... — 17,804.99
Total.

.$170,331.87

21

D E PA R TM E N T OF BANKING

Chappell

Deuel County State Bank
C harter N o. 1487

Deuel County
R P A keson..... ..........C hairm an o f B oard
R o y D. Smith.................................. .President

H. L. Carlson.....
C. A . Peterson...

__V ice-P resid en t
..................Cashier

M em ber o f F ederal R eserve System
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts.......... ............ $123,764.14
O v erdrafts _______________________
73.30
B onds and securities....................... 49,450.00
B an kin g house and fix tu re s-------- 7,800.00
Cash in bank & due from other •
banks ___________________________ 71,341.95
L a w fu l reserve with F ed. Res.
B an k o r other reserve agents.... 20,611.14
Checks and item s o f exchange....
123.49

C apital Stock : C om m on............... ....$ 5,000.00
F irst P referred ___ 20,000.00
Surplus ................
5,000.00
U ndivided p rofits (n e t)...............
13,178.42
R eserve fo r contingencies, etc.....
135.63
R etirem ent fu nd fo r preferred
stock or debentures____________
£(,000.00
Individual deposits.------------------------ 169,432.63
D em and certifica tes o f deposit....
827.05
T im e certificates o f deposit-------- 15,603.01
Savings deposits__________________ 38,987.28

T o ta l............................................. $273,164.02

T ota l... ..........................................$273,164.02

Banks of Clarks

Clarks

C harter No. 1650

Merrick County
F. L. W est....................................... P resident
W . F. F eeh an ... ...........
V ice-P resid en t

O.

A.

A d elson ______________ ______ Cashier

S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES

C apital S tock : C om m on................... $
L oans and discou nts...................... $ 15,079.88
Surplus ___________________________
48.49
O verdrafts _______________________
U ndivided p rofits (n e t)__________
B onds and securities------------------- 27,459.32
Individu al
deposits_____________
B an k in g house and fix tu re s------------------------ 2,446.18
C ertified and cash iers checks___
Cash in bank & due fro m other
banks ---16,141.24
T ota l............................................. $ 61,175.09

Clarkson

10,000.00
2,500.00
1,828.89
46,604.20
242.00

T ota l_________________________ $ 61,175.09

Clarkson Bank
C harter No. 1621

Colfax
E m il P etr------------------------- ............ P residen t
F. B. S chultz...................... ..V ice-P resident

J. A. K u cera------------------- __________ C ashier
F ra n k V idlak...................... ......A ss’t Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES
..$130,642.76
L oans and discounts..
69.47
O verdrafts
118,539.96
B onds and securities..
B an king house and fix tu res----- 2,475.00
Cash in bank & due fro m other
banks ___________________________ o7,doo./z
Checks and item s o f exchan ge—
340.99
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$319,454.90

L IA B IL IT IE S
C apital Stock : C om m on................... S>40,000.00
6, 000.00
Surplus -----------------------------------------1,578.45'
U ndivided p rofits (n e t)------------Individu al deposits------------------------ 172,913.53
Tim e certifica tes o f deposit-------- 95,966.06
Savings deposits......................... ....... 2,996.86
Total.

..$319,454.90

22

D E PA R TM E N T OF BANKING

Ciatonia

Farmers Bank of Ciatonia

Gage County

Charter No. 4S1

C. W m . Steinm eyer..........................President
F red C. Chittenden...........— V ice-P resid en t

E. J. Chittenden...............................Cashier
H erbert J. R iech ers................A ss't Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES
L oans and discou nts...................... $
O verdrafts ..........
B onds and securities..........................
Banking- house and fix tu re s............
Cash in bank & due from other
banks .........................

Total..

75,464.75
305.34
32,355.00
2,936.00
40,711.89

L IA B IL IT IE S
Capital Stock : C om m on______ ____$
Surplus .................................................
U ndivided p rofits (n e t)........ ..........
Individual deposits.________
Dem and - certificates o f deposit....
Tim e certificates o f deposit.........
S avin gs deposits.................................
C ertified and cashiers checks......
Due to nation al and state banks

..$151,772.98

Clay Center

Total..

20,000.00
5,000.00
2,394.38
55,270.15
5,000.00
55,929.68
3,171.02
7.75
5,000.00

..$151,772.98

Commercial State Bank

Clay County

C harter No. 94

H. B. C am pbell................ —............P resident
H. H. Johnson................ — V ice-P resid en t

H.

W.

C am pbell.......... ....................... Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOURCES
L oans and discou nts..... ................ $ 46,687.93
25.48
O verdrafts ...................
B onds and securities.......................... 100,480.00
B a n k in g house and fix tu re s_______ 2,200.00
Cash in bank & due from other
banks ..................
67,346.03

L IA B IL IT IE S
C apital Stock : C om m on................... $ 20,000.00
C apital notes
and debentures.... 10,000.00
Surplus ..........
4,000.00
U ndivided p rofits (n e t)...................
5,224.02
Individu al deposits........ .................... 147,157.37
D em and certificates o f deposit...
693.95
Tim e certificates o f deposit......... 20,094.04
S avings deposits..................................
9,570.06

Total— ............................ .............$216,739.44

T ota l.............................................$216,739.44

Clearwater

Citizens State Bank

Antelope
J. W .
F ra n k

County

C harter No. 1645

B ennie------------------------------- P residen t
M apes--------------------- .V ice-P residen t

H. D. M iller.-----------------------------------Cashier
Jam es A. V an K irk ..... ..........A s s ’t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

84,495.28

L IA B IL IT IE S
Capital S tock : C om m on_______ __$ 25,000.00
Surplus ----------------------------------------- 5,500.00
U ndivided p rofits (n e t)................... 9,330.58
R eserve fo r contingencies, etc__ 1,250.00
Individual deposits_______________ 132,216.50
T im e ce rtifica tes o f deposit.......... 18,802.47
C ertified and cashiers checks___
39.46

T o ta l............................................. $192,139.01

T ota l............................................. $192,139.01

L oa n s and discounts____________ $
O v erd rafts ____
B onds and securities____________
Judgm ents and claim s___________
B an k in g house and fix tu re s_____
Cash in ba n k & due from other
banks -----------------------------------------


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

93,169.12
242.51
9,092.43
1,985.67
3,154.00

D E PA R TM E N T OF BANKING

Cody

Bank of Cody
Cherry County

H.
H.

B.
L.

23

C harter No. 542

Skeen........................................ P resident
Severns.......................................Cashier

L. A. B rooks.

— A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts............. .$137,783.87
O verdrafts ......................................
115.77
B onds and securities_____ __
1,498.11
7,600.00
B anking’ house and fix tu re s_____
Cash in bank & due from other
banks ...................................
32,161.65
C hecks and item s o f exchange....
248.72
T ra n sit accou n t.............
43.32

Capital Stock : C om m on..... _............$ 25,000.00
Surplus ......
3,500.00
2,601.88
U ndivided p rofits (n e t)__________
Individual deposits________________ 109,129.29
Tim e certificates o f deposit_______ 35,984.18
S avings deposits...................
3,236.09

T ota l..................... ................ ...... $179,451.44

T ota l............................................. $179,451.44

Colon

State Bank of Colon
Saunders County

C harter No. 529

John M urren.......................................President
Dr. F. W . McCaw:________.V ice-P residen t

A . F. V asin a ......... ..................
Cashier
A. M. Rasmussen......... _.........A ss’ t Cashier

M em ber o f F ederal Dep sit Insurance C orporation
STATEM ENT
RESOURCES
L oans and
discou nts____________$112,076.58
O verdrafts ________________________
30.99
B onds and
securities___________ 12,216.50
B an kin g house and fix tu res_____
2,900.00
Cash in bank & due from other
banks .....
27,082.19

T o ta l------------------------------------- .$154,306.26

Columbus

F JU N E 30, 1939
L IA B IL IT IE S
Capital Stock : C om m on........ ..........$
Surplus -----------------------------------------U ndivided p rofits (n e t)__________
R eserve fo r contingencies, etc__
Individual deposits.________________
D em and certificates o f deposit....
Tim e certificates o f deposit_____
Savings deposits.__________
Due to national and state banks

20,000 00
10,000.00
6,804.78
3,000.00
62,236.18
175.00
41,108.41
5,676.64
5,305.25

T ota l-------------------------------------- $154,306.26

Columbus Bank

Platte County

C harter No. 1625

E lm er L. B radley.---------------------- P residen t
Ben B. McNair......................V ice-P resid en t
Ben B. M cNair...__________________ Cashier

A rth u r K lug.________________ A s s ’t Cashier
F red G ruenhage....................... A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOURCES
L oans and discou nts...................... $227,944.10
O v erd rafts ________________________
278.26
B onds and securities_______ 163,693.50
Judgm ents and claim s______ 3,511.00
B an king house and fix tu re s_ 19,100.00
Cash in ba n k & due fro m other
banks ...................................
98,927.89
C hecks and item s o f exchange.... 7,545.81
O ther assets____ _______
238.58

T ota l..... ........................................$521,239.14


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
C apital Stock : C om m on__________ $ 25,000.00
F irst P referred ___ 25,000.00
Surplus ------------------------------------------ 10,000.00
U ndivided p rofits (n e t)__________
4,628.32
R etirem ent fu nd fo r preferred
stock or debentures..... .....
1,500.00
Individu al deposits________________ 306,096.47
D em and certificates o f deposit.... 6,000.00
T im e certifica tes o f deposit_____ 116,578.98
Savings deposits--------------------------- 24,183.69
C ertified and cash iers ch ecks____________ 1,796.87
454.81
O ther liabilities______
T ota l-------------------------------------- $521,239.14

24

D E PA R TM E N T OF BANKING

Comstock

Farmers and Merchants Bank

Ouster County

C harter N o. 1092

V encel K rikac, Sr...... .................... P residen t
E. J. C ra w fo rd ...................... V ice-P resid en t

V.

K rikac,

J r _______ _______ ________ C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oans and d iscounts.......... ............$
O verdrafts ______________
B onds and securities_____________
B an kin g house and fix tu re s_____
Cash in bank & due from other
banks ____________
Checks and item s o f exchange....

68,946.64
272.00
45,230.72
3,550.00
29,994.51
48.32

C apital Stock : C om m on................... $ 25,000.00
Surplus -----------------------------------------5,000.00
U ndivided p rofits (n e t)................... 4,370.79
Individu al deposits------------------------ 65,132.80
T im e certificates o f deposit-------- 47,925.15
613.45
C ertified and cashiers ch ecks----T ota l............. ........................ .......$148,042.19

T ota l............................................ $148,042.19

Cook

Farmers Bank of Cook
Johnson County

Charter No. 100

H. L. N iem ann..................................P resident
D an B entzin ger...................... V ice-P resid en t

P.

H.

N aeve............... .................... ..... C ashier

S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts...................... $116,412.97
O verdrafts ________________________
229.36
B on d s and securities...................... 31,890.00
B an k in g house and fix tu re s_____
1,095.00
Cash in bank & due fro m other
banks ___________________________ 53,399.10
Checks and item s o f exchange....
216.74

C apital Stock : C om m on................... $ 17,500.00
Surplus ___________________________ 12,000.00
U ndivided p rofits (n e t)__________
1,309.54
129,363.66
Individu al deposits.............
Tim e ce rtifica tes o f deposit............. 31,541.50
Savings deposits__________________ 11,528.47

T ota l............................................. $203,243.17

Cozad

T ota l..............................................$203,243.17

Cozad State Bank
Dawson County

C harter No. 870

C. T. Y ou n g ___________________ ___P residen t
Em il B a rta ............................................. Cashier

W m . E. Y ou n g ________ ___ __A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts________$186,039.60
O verdrafts ________________________
585.70
B on d s and securities_______ 51,505.00
B an k in g house and fix tu re s.......... 9,598.00
Cash in bank & due fro m other
banks ___________________________ 132,328.35
Checks and item s o f exchange....
1,519.99

Capital S tock : Com m on......... .......... $ 25,000.00
Surplus ___________________________ 5,500.00
U ndivided p ro fits (n e t)__________
3,113.83
R eserve fo r contingencies, etc..... 1,000.00
Individu al deposits_______________ 235,545.18
T im e certificates o f d ep o sit____ 83,862.85
S avings deposits__________________ 25,298.83
C ertified and cash iers checks___
2,255.95

T o ta l_________________________$381,576.64

T o ta l--------------------------------------$381,576.64


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

25

D E PA R TM E N T OF BANKING

Crawford

Crawford State Bank

D aw es C ounty
O.

R.

C harter No. 1596

Ivin s.........................................President

E.

R.

Spray...........................................Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts.......................$212,958.67
C apital Stock : C om m on............... ....$ 10,000.00
B on d s and securities...................... 65,242.81
F irst P referred .... 10,000.00
Banking- house and fix tu re s______________ 6,888.75
Second Preferred.. 10,000.00
Other real estate................................ 5,050.00
Surplus _____
10,000.00
U ndivided p rofits (n e t)............
4,214.80
Cash in bank & due from other
184,092.53
banks .........................
R eserve fo r contingencies, etc....
500.00
C hecks and item s o f ex ch an ge....................... 605.27Individu al deposits..............
340,649.96
Tim e certificates o f deposit_____ 76,055.94
Savings deposits................................ 10,741.47
C ertified and cash iers checks___
2,675.89
T ota l............................................. $474,838.06

Crete

T ota l____ ____________________ $474,838.06

Crete State Bank
Saline County

w. s.
B.
O.

G.
G.

C harter No. 1003

C ollett....................... ............. P resident
M iller......................... V ice-P resid ent
M iller......................... ... V ice-P resid en t

J. A r o n
Cashier
W . B . Collett
. . A ss’t. Cashier
R ob ert B elohlavy..—....... ......... A s s ’ t C ashier
Thom as

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES
L oans and discounts...................... $297,576.93
O verdrafts ______
7.62
B onds and securities____________ 175,631.88
180.00
Judgm ents and claim s...................
B an king house and fix tu re s_____ 18,800.00
Cash in bank & due fro m other
banks ..........................................
142,606.66
C hecks and item s o f exchange.... 2,066.86

L IA B IL IT IE S
C apital Stock : C om m on__________ $ 35,000.00
C apital notes
& debentures____ 12,500.00
R eserve fo r d iv ­
idend p ayable
in com m on stock 2,500.00
9,000.00
Surplus .....
U ndivided p rofits (n e t)... ...........
4,514.78
R eserve fo r contingencies, etc.... 5,000.00
R etirem ent fu nd fo r p referred
stock or debentures..... ..........
115.53
341,499.75
Individu al deposits.........................
D em and certifica tes o f deposit.... 8,000.00
Tim e certificates o f deposit_____ 93,852.26
S avings deposits__________________ 114,929.69
C ertified and cashiers ch eck a ___ 8,662.30
Due to nation al and state banks 1,295.64

T ota l............................................. $636,869.95

T ota l..... ........................................$636,869.95

Culbertson
H itch cock
G.
A.

The Culbertson Bank
County

C harter N o. 1055

G. E isenh art.............................P resident
C. E isenh art— ............... V ice-P resid en t

O. P. Sim on......................................... Cashier
E. W . E isenh art ................... A ss’ t Cashier

S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discou nts..... ................ $108,736.43
O verdrafts __________
32.69
B onds and securities____________ 98,474.38
B an kin g house and fix tu re s.........
1,200.00
Cash in bank & due fro m other
banks ----------------------------------------- 121,234.45
O ther assets_______________________
100,00

Capital S tock : C om m on__________ $ 25,000.00
Surplus __________________________
12,500.00
U ndivided p rofits (n e t)__________
5,526.28
Individu al deposits________________ 172,196.55
Tim e certifica tes o f deposit_____ 113,723.85
C ertified an d cash iers ch ecks___
831.27

Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$329,777.95

Total.

.$329,777.95

D E PA R TM E N T OF BANKING

26

Curtis

Curtis State Bank
Frontier County

C harter No. 1129

H. R. W ilk in son ........ ................... P residen t
E arl C. C arstensen........ .......V ice-P resid en t

H. R. W ilkin son ........ ...... ................... C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts.............. $123,706.89
O verdrafts ________________________
117.41
44,039.33
B onds and securities...........
7,100.00
Banking- house and fix tu re s.........
Cash in bank & due from other
banks ...................................
146,854.79
C hecks and item s o f exchange....
712.41

Capital Stock : C om m on................... $ 20,000.00
Surplus .................................................. 12,000.00
2,079.67
U ndivided p rofits (n e t)...............
R eserve fo r contingencies, etc... 1,478.64
Individual deposits............
241,714.61
Tim e certificates o f d ep osit........ 36,147.71
Savings deposits......................
9,110.17

T ota l............................................. $322,530.83

Total..............................................$322,530.83

Dalton

Dalton State Bank
Cheyenne County

C harter No. 1028

A n d rew H ansen............. ...................P residen t
R a y F. B uchanan— .............. V ice-P resid en t

G eorge W . B arlow ....... ......................C ashier
L y le R a b e ___________ ________ A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oa n s and discou nts____________ $ 86,375.73
194.17
O v erdrafts ..............
B ond s and securities...... ...... ......... 47,555.00
2,000.00
B an kin g house and fix tu re s.........
Cash in bank & due from other
banks ------------------------------79,711.54
C hecks and item s o f exchan ge... 1,133.70

C apital Stock : C om m on................... $ 25,000.00
Surplus .....
5,000.00
U ndivided p rofits (n e t)...................
9,509.89
129,089.94
Individual deposits...............
Tim e certifica tes o f deposit......... 30,269.48
S avings deposits.............................
18,040.96
47.37
C ertified and cashiers ch eck s......
Other liabilities____ _______________
12.50

T ota l............................................. $216,970.14

T ota l............................................. $216,970.14

Dannabrog

State Bank

f Dannebrog

Howard County
A.

C harter No. 1601

E. D w eh us................................

P residen t

STATE M E N T
RESOURCES
L oan s and discou nts____________ $
O verdrafts _______________________
B onds and securities------------------B an kin g house
and fix tu re s..........
Cash in bank & due fro m other
banks ___________________________

57,388.60
24.79
7,053.90
6,115.00
21,939.95

T ota l________________ ________ $ 92,522.24


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

P.

M.

P edersen_______ __ __V ice-P resid en t

JU N E 30, 1939
L IA B IL IT IE S
C apital Stock : C om m on..... .............$ 25,000.00
Surplus ...............................
U ndivided p rofits (n e t)....................
3,322.88
Individu al deposits________________ 51,787.69
T im e certificates o f deposit... ........ 5,546.93
C ertified and cashiers checks...... 1,864.74
T ota l_____________________ ____ $ 92,522.24

5,000.00

D E PA R TM E N T OF BANKING

Davenport

27

Jennings State Bank

T h ayer County
H. B.
M. M.

C harter No. 120

Jennings................................ P resident
Jennings...................... V ice-P resid en t

M.

M.

Jennings..... ............................. Cashier

S T A T E M E N T OF JU N E 30, 1939
RESOURCES
L oans and discounts_______
$200,866.99
O verdrafts ....................
101.08
B ond s and securities..............
63,507.22
Cash in bank & due from other
banks ................................................. 143,861.78
Checks and item s o f e x ch an ge___
12.30

L IA B IL IT IE S
C apital Stock : C om m on__________ .$ 25,000.00
Surplus ------------------------------------------ 25,000.00
Undivided p rofits (n e t)................ 14,686.77
Individual deposits... ........................ 182,079.74
Tim e certifica tes o f deposit_____ 88,588.54
Savings deposits.......... ...................
61,257.51
C ertified and cash ier checks_____ 11,736.81

T ota l..................... ................ ....... $408,349.37

Davey

T ota l......................................... „...$408,349.37

Farmers State Bank
L an caster C ounty

H.

A.

C harter

Hansen....................................P residen t
C. A n d erson _________ __.V ice-P residen t
R.

J.

M.

No.

H a n son .......................

756

Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES

L IA B I L I T I E S

L o a n s and discou nts____________ $
O verdrafts _______________________
B onds and securities____________
Ju dgm ents and claim s.__________
B an k in g house and fix tu re s_____
Cash in bank & due fro m other
banks ......................................

62,525.87
116.76
24,886.82
206.00
3,200.00
32,737.92

T ota l-------------------------------------- $123,673.37

Dawson

C apital S tock : C om m on__________ $
C apital notes
and debentures....
Surpius ............
U ndivided p rofits (n e t)..... . .
R etirem ent fu nd fo r preferred
stock or debentures____________
Individu al deposits________________
Tim e certificates o f deposit_____
C ertified and cashiers checks___
Other liabilites____________________

10,100.00
9,900.00
2,500.00
4 759 44
549.50
35,270 39
59’343.04
1,242.00
9.00

T ota l..... ....................................... $123,673.37

The Dawson Bank

Itcliard son County
D an J. R ile y ------------------------------ P resident
M ichael J. R iley._________ V ice-P resid en t
M em ber o f F ederal Dei
STATEM EN T
RESOU RCES
L oans and discounts____________ $103,355.37
O v erdrafts _____ __:_____ _________
566.23
B onds and securities...__________ 19,350.00
B an kin g house and fix tu re s_____
3,350.00
Cash in bank & due from other
banks ...............
28,130.94
Checks and item s o f exchange....
61.92

T o ta l_____ _________________ $154,814.46


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C harter N o.

670

D an J. R iley.-----------------------------------C ashier
E arl V a n Steenberg.------------ A ss’t Cashier
it Insurance C orporation
r JU N E 30, 1939
L IA B IL IT IE S
C apital S to c k : C om m on................... $ 10,100.00
C apital notes
& debentures____ 14,900.00
Surplus .........
2,750.00
U ndivided p rofits (n e t)______
1,360.44
R eserve fo r contingencies, etc__
291.69
R etirem ent fu nd fo r p referred
stock or debentures____________ 1,360.00
Individu al deposits..... ........
110,484.37
Tim e ce rtifica tes o f deposit_____ 13,567.96
T ota l---------------------------------$154,814.46

D E PA R TM E N T OF BANKING

28

Jefferson County Bank

Daykin
Jefferson County

C harter No.

H. H. H u m phrey.............................President
M. C. W essn er... .............. ...... V ice-P resid en t

122

Geo. A p kin g..................._....................... C ashier
W a lte r C. J a rch ow ............ ....A ss’t C ashier

S T A T E M E N T OF JU N E 30, 193!)
L IA B IL IT IE S

RESOURCES

C apital S tock : C om m on— ............... $
L oan s and discounts.......................$105,988.74
Surplus ............................................. .—
O verdrafts ________________________
146.08
U ndivided p rofits (n e t)__________
B onds and securities........ _............ 34,992.65
R eserve fo r contingencies, etc....
B an kin g house and fix tu re s.......................... 4,225.00
Individual deposits..... .....................
Cash in hank & due from other
banks ......................_........................... 2,5,022.01
D em and certifica tes o f deposit....
T im e certificates o f deposit.........
Savings deposits..................................
C ertified and cash iers checks----T ota l_________________________ $170,374.48

15,000.00
10,000.00
8,870.97
278.53
56,348.53
15,025.50
44,743.00
19,877.70
230.25

T ota l............................................. $170,374.48

Citizens State Bank

Decatur

Charter No. 1624

Burt County
A rth u r G ou rley...............
P resident
G eorge B. E ag leton ... ............ V ice-P resid en t
H. C. L a rson ...............
Cashier

Juliett H am ilton......................A s s ’t Cashier
...........A ss’t Cashier
G ordon S w anson

M em ber o f F ederai D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts... .............. ....$ 87,649.60
186.25
O v erd rafts ..........................................
B onds and securities...................... 31,899.40
Cash in bank & due from other
banks .................. — ............... - ......... 44,694.13

Total..

..$164,429.38

Deshler

C apital Stock : C om m on................... $
C apital notes
& debentures____
............. ............. .........
Surplus
U ndivided p rofits (n e t)__
Individu al deposits.............................
Tim e certificates o f deposit............
Savings deposits..................................
C ertified and cashiers ch eck s.......
Total..

18,000.00
7,000.00
5,000.00
6,191.16
93,964.81
23,291.31
10,962.10
20.00

..$164,429.38

Nebraska Security Bank
C harer No. 1617

Thayer County
E rnst P ohlm ann.............................. P resident
E. J. A u fderh eid e................... V ice-P resid en t
P. A. U de____ _______
Cashier

Otto H. P oh lm an n ..................A ss’ t Cashier
E. C. E ickm an n..................... A ss’ t C ashier

S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES

50,668.41
4,500.00

C apital Stock : C om m on_____ __ — $ 25,000.00
Surplus ........
7,500.00
U ndivided p rofits (n e t)__________
3,252.06
Individual deposits..... ........
117,923.12
T im e certificates o f deposit......_... 15,040.10
Savings deposits----------------------------- 4,610.99
C ertified and cashiers checks----521.25

T ota l..............................................$173,847.52

T ota l_________________________ $173,847.52

L oa n s and discounts......— ............$
O verdrafts _________________
B onds and securities......................
B an king house and fixtures.—......
Cash in bank & due from other
banks ____________________________
Other assets---------- -------------------------


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

72,737.87
84.18
42,407.06
3,450.00

29

D E PA R TM E N T OF BANKING

DeWitt

DeWitt State Bank

Saline County

C harter N o. 746

J J. K reu sch er_____ C hairm an o f B oard
C. C. Shoem aker............................P resident
W m . H. Spilker_______ _____V ice-P resid en t

A lfred F. H a rm s............ -.............. — Cashier
M ary A rled g e.............................A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
R E SO U R C E S

L IA B IL IT IE S

L oa n s and discounts...................— $138,397.00
O verdrafts .......................... _...............
118.52
B onds and securities------------------- 69,363.32
Judgm ents and claim s--- -------292.41
B an king house and fix tu re s.........
4,300.00
Cash in hank & due fro m other
banks ____________________________ 91,874.75
C hecks and item s o f exchange....
3.43

Capital Stock : C om m on................... $ 30,100.00
C apital notes
& debentures........ 18,700.00
R eserve fo r d iv ­
idend payable in
com m on stock ......
1,200.00
Surplus ___________________________
4,200.00
U ndivided p rofits (n e t)___________ 1,879.40
R eserve fo r contingencies, etc.... 1,506.05
Individu al deposits________________ 161,736.75
Tim e certificates o f deposit... ..... 62,071.43
S avings deposits..........................
22,135.66
820.14
C ertified and cashiers ch eck s......

T otal..............................................$304,349.43

T ota l......................................... -...$304,349.43

Diller State Bank

Diller

C harter N o. 773

Jefferson County
A.
B.

M ay born .................................... — P resident
E. M ayborn ..................... V ice-P resid en t
M em ber o f F ederal Dei
STATEM ENT

sit Insurance C orporation
F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans and discou nts...................... $
O verdrafts ________________________
B ond s and
securities...........
B an k in g house and fix tu re s---------Other real estate............................
Cash in bank & due fro m other
banks ____________________________

75,431.94
138.27
83,250.63
2,495.00
2.00
22,941.96

T ota l............................................. $184,259.80

Dodge

O. J. M ayborn ___________ __________ Cashier
W . E. A nd erson...................... A s s ’t Cashier

C apital S tock : C om m on...................$ 15,000.00
C apital notes
& debentures____
5,000.00
Surplus ...................................
4,000.00
U ndivided p rofits (n e t)__________
3,472.12
R etirem ent fu nd fo r preferred
stock or debentures........ ..............
500.00
Individu al deposits._______
72,496.10
Tim e certifica tes o f deposit_____ 37,724.37
S avings deposits.........................
45,853.95
213.26
C ertified and cashiers checks___
T ota l_________________________ $184,259.80

Farmers State Bank of Dodge
C harter No. 128

Dodge County
H erm an H olsten— .......................... P resident
A nton C. Stecher...................V ice-P resid en t

. R ich a rd H. H olsten ..........................C ashier
W ill R. H ra b a k ...................... A ss’ t Cashier

S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S
Capital S tock : C om m on_____ __ __$ 30,000.00
L oans and discounts.......................$148,706.67
Surplus _____
10,000.00
B onds and securities---- -------------- 40,637.46
U ndivided p ro fits (n e t)__________ 10,150.13
Judgm ents and claim s__________
3,670.00
R eserve fo r contingencies, etc.—
1,251.00
B an kin g house and fix tu re s.......................... 2,920.76
Individu al deposits________________ 107,059.56
Cash in bank & due fro m other
T im e certifica tes o f deposit-------- 43,750.00
banks ____________________________ 26,895.62
2,734.75
Checks and item s o f ex ch an ge------------------- 30.35 Savings deposits________________
B ills p ay able_______________________ 17,500.00
Other liabilities____________________
415.42
T ota l................,...... ......................$222,860.86


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T ota l............................................. $222,860.86

30

D E PA R TM E N T OF BANKING

Dorchester
Saline

Citizens State Bank
County

C harter N o. 961

W . C. Clark....................................... President
A. H. T eale........ .................... V ice-P resid en t

Jam es

H.

C lark..... ............................. Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

_

L oans and discounts....,.................. $
O verdrafts
B onds and
securities....................
Judgm ents
and claim s.................
B an king house and fix tu res_____
Cash in bank & due from other
banks ______

95,581.72
21.52
52,459.94
135.00
5,850.00
74,877.99

C apital S tock : C om m on__________ $
Surplus _____
U ndivided p rofits (n e t)........ ..........
R eserve fo r contingencies, etc....
Individual deposits________________
Tim e certificates o f deposit_____
Savings deposits.......... .....
C ertified and cash iers ch ecks......
Other liabilities..... ..............

T o ta l............................................ $228,926.17

Douglas

25,000.00
12,500.00
3,678.47
3,500.0080,800.03
78,995.90
22,437.28
1,440.86
573.63

T ota l............................................. $228,926.17

Farmers State Bank

Ôtoe County

C harter No. 1479

S. A . W a lk e r... .......... ........................ P residen t
J. C. F a rre ll............................. V ice-P resid en t

M. W .

Dunlap....................................... Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discou nts...................... $ 78,102.18
__________________
71.91
O verdrafts
B on d s and securities...............
57,255.58
B an king house and fix tu re s.... ...... 2,500.00
Cash in bank & due from other
banks ____________________________ 20,714.73
C hecks and item s o f
ex ch an ge.13.36

Capital Stock : C om m on... ............... $
Surplus ................................................
U ndivided p rofits (n e t)___________
R eserve fo r contingencies, etc.....
Individual deposits............
D em and certificates o f deposit....
Tim e certificates o f deposit_____
Savings deposits-.........................

T otal.... .........................................$158,657.76

20,000.00
1,800.00
3,166.19
3,500.00
79,318.08
4,750.00
36,408.99
9,714.50

T o ta l......................................... ....$158,657.76

State Bank of DuBois

D u B o is
Pawnee County

Charter No. 132

H. S. F a rw e ll....................... ............P resident
A. C. F a rw ell....................... ...V ice-President
L. C. F a rw e ll...................... ................C ashier

M ax

C hu rch

P han etta L. F arw ell

A ss't Cashier
A ss’t C!fl.shifvr

M em ber o f F ederai D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
RESOURCES
Loans and discounts_______ _____$
O verdrafts ________________________
B onds and securities_______________
B an kin g house and fix tu re s______
Cash in bank & due from other
banks ------------------------------------------

99,967.17
48.72
63,648.00
2,200.00
47,418.16

T ota l_________________________ $213,282.05


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
C apital S tock : C om m on_____ ____ $ 25,000.00
Surplus ...................
11,200.00
U ndivided p rofits (n e t)__________
6,111.77
Individual deposits... ......................... 105,771.19
T im e certificates •o f deposit............. 65,199.09
T ota l..............._..... .,..................... $213,282.05

31

D E PA R TM E N T OF BANKING

Bank of Eagle

Eagle

C harter No. 839

Cass County
A. J. N elson..... .................... ............ P residen t
John P eterson ....................... ...V ice-President

R obertson ............... .................. Cashier

H a rry

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oa n s and discounts.......................$ 57,726.63
O verdrafts — ........................................
87.47
B onds and securities------------------- 10,992.50
218.91
Judgm ents and claim s...................
B an kin g house and fix tu re s.....
3,900.00
Cash in bank & due from other
banks ..... - ............................- ............. 14,541.75

C apital Stock : C om m on...............— $
Capital notes
& debentures........
Surplus .................................
U ndivided p ro fits (n e t)------------R eserve fo r contingencies, etc.—
R etirem ent fund fo r preferred
stock o r debentures......................
Individu al deposits... .........................
Tim e ce rtifica tes o f deposit-------Savings deposits---------------------------C ertified and cashiers checks......

9,000.00
5,000.00
3,306.18
70.90
392.23
48,599.88
7,805.20
2,272.90
19.99

T ota l..... ....... ................................ $ 87,467.28

T ota l................................ .............$ 87,467.28

Eddyville

11,000.00

Eddyville State Bank

Dawson County

C harter N o. 737

Thos. H. W o o d r u ff... ......................P resident
G. E. S tu ckey____ _________ V ice-P resid en t

L.

A.

F elk er.......................................... Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oans and
discou nts......................$114,285.40
O verdrafts .........................- ........... .....
168.36
B onds and
securities.___________ 32,846.38
B an kin g house and fix tu re s-------- 4,350.00
Cash in bank & due fro m other
banks ____________________________ 29,611.03

C apital Stock : C om m on... ............... $
C apital notes
& debentures____
Surplus .........
U ndivided p rofits (n e t)...................
R etirem ent fund fo r preferred
stock o r debentures____________
Individual deposits.________________
Tim e certificates o f deposit_____
Savings deposits___________________
C ertified and cash iers ch ecks___
B ills p ayable.........................

T ota l............................................. $181,261.17

Edgar

14,000.00
11,000.00
5,000.00
2,090.08
1,023.81
67,794.58
66,227.06
2,005.64
120.00
12,000.00

T ota l------------------------------------- .$181,261.17

Security State Bank
Clay County

B.
F. S croggin._______
J. L. S croggin _______

C harter No. 1627
P resident
V ice-P resid en t

E.

E.

H ed g cock ..................................Cashier

S T A T E M E N T OF JU N E 30, 1939
RESOURCES
L oans and discounts.......................$
O v erdrafts
_____________________
B on d s and securities______________
B an kin g house and fix tu re s______
Cash in bank & due fro m other
banks _____

L IA B IL IT IE S
58,244.29
15.77
33,987.50
2,200.00
46,127.21

T ota l_________________________ $140,574.77


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C apital S tock : C om m on............... ....$ 15,000.00
Surplus ____
3,000.00
U ndivided p rofits (n e t)......... .'.____
6,922.62
Individual deposits________________ 114,995.84
S avings deposits---------------------------656.31
T ota l_________________________ $140,574.77

D E PA R TM E N T OF BANKING

Edison

Farmers & Merchants Bank
Furnas

C harter N o. 1627

County
P residen t
'.’.V ice-P resid en t

J. C. S anderson....
G. E. F ritze r...........

M erlin R . G arey — .......... .................Cashier
L. A. B ottrell................... .....A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E SO, 1939
RESOURCES
60,066.31
43.61
54,979.84
2,400.00

L oan s and discou nts............- ..........
O verdrafts ............. ............................
B onds and securities.....................
B an king house and fix tu re s....
Cash in bank & due from other
banks ................................................

Elba State Bank

Elba
Howard
T.

.$148,001.47

T otal

.$148,001.47

Total.

C.

30,511.71

L IA B IL IT IE S
C apital S to c k : C om m on.............. — $ 20, 000.00
5,000.00
Surplus ........... .............- — ----------------1,880.24
U ndivided p rofits (n e t)----------- 64,110.35
Individu al deposits...................... —
253.19
D em and certificates o f deposit—
T im e certificates o f deposit......— 55,189.42
1,502.53
Savings deposits---- ------ ----— --------40.74
C ertified and cash iers checks----25.00
Other liabilities------------------------------

C harter No. 557

County

Ju lesgard................................ P resident

C.

C.

_________ Cashier

Leth..

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES
L oa n s and discou nts-------------------$ 23,3^'on
O verdrafts ...............- .......................—
B onds and securities------------------B an kin g house and fix tu re s-------- 1,100.00
Cash in bank & due from other
banks ..... ............................................. «32,9oo.M
Checks and item s o f exchange....
107.54
..$ 82,583.68

Total..

L IA B IL IT IE S
Capital S to ck : Comm on.—............... ! 10,000.00
2,500.00
Surplus ......................... —----------------U ndivided p rofits (n e t)---------------- 4,982.17
459.96
R eserv e fo r contingencies, etc—
Individual deposits........ ....... ---------- 53,006.29
9,826.48
Tim e certifica tes o f deposit.........
Savings deposits---------------------------- 1.798.7S
10.00
C ertified and cashiers checks----82,583.68

T ota l-

Bank of Elgin

Elgin

C harter N o. 1632

Antelope County
........... P resident
.V ice-P resid en t

J. J. D eL ay.
F. X . F ritz ....

Geo. A. W right.
E stella L. Link.

___ ___ __C ashier
.-...Ass’t Cashier

S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s and discounts....................
O verdrafts — ................................ —
B onds and securities........ - ..........
B an k in g house and fix tu re s.......
Cash in bank & due fro m other
banks ................... .................. - ........
C hecks and item s o f e x c h a n g e o t h e r assets.
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

65,370.63
46.96
30,207.50
1,800.00
32,310.27
1,461.69
1.15
.$131,198.20

Capital S to c k : C om m on...............
Surplus -------------------- -— ------------U ndivided p rofits (n e t)---------R eserve fo r contingencies, etc.
Individu al deposits-------------------T im e certificates o f deposit----C ertified and cashiers checks....
Total.

10, 000.00

2,’500.00
2,308.57
704.75
91,482.78
24,117.10
85.00

.$131,198.20

33

D E PA R TM E N T OF BANKING

Elk Creek

State Bank

Johnson County

C harter

M rs. A nn a K o v a n d a ...................... P resident
Wm. P etrasek........ _.............. .V ice-P residen t
STATEM EN T

R.

A.

L IA B IL IT IE S

L oans and discounts____________ $
O verdrafts ... .....................
B onds and securities...........................
B an kin g house and fix tu re s_______
Cash in bank & due from other
banks ....................................

56,97/.<86
24.18
29,897.74
2,200.00
32,149.04

C apital S tock : Common..’...... ........... $
Surplus ........ - .........................
U ndivided p rofits (n e t)------------R eserve fo r contingencies, etc..
Individu al deposits.--------- -------------D em and certificates o f deposit—

15,000.00
4,000.00
1,400.00
500.00
90,367.57
9,981.25

T ota l.......... ...................................$121,248.82

Total.................................. '_____ $121,248.82

Farmers State Bank

Elkhorn

C harter No. 1266

Douglas County
C.
E.

141

JU N E 30, 1939

RESOURCES

C.
W.

No.

K ov a n d a ....................................C ashier

H ollin g .................................. P residen t
M oor........ ....................V ice-P resid en t

E. F. Saeger............................... .......... C ashier
L. R. Suess__________________ A.ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES
L oan s and d iscounts_______
$126,509.73
O verdrafts _______________________
94.21
B onds and securities.................. — 14,147.65
Judgm ents and claim s______
880.00
B an kin g house and fix tu re s_____ 4,500.00
Cash in bank & due from other
banks .....
113,017.90
Checks and item s o f exch an ge—
172.50

RESOU RCES
Capital Stock : C om m on----------------$ 12,000.00
C apital notes
& debentures........ 13,000.00
5,000.00
Surplus ............................
U ndivided p rofits (n e t)------------3,373.77
Individual deposits ........ _...........
150,621.81
Tim e certificates o f deposit......... 61,495.80
Savings deposits............................
12,576.16
C ertified and cash iers ch ecks------------------- 1,254.45
T ota l...... ............................ .......... $259,321.99

T ota l_________________________ $259,321.99

Elmwood
Cass

American Exchange Bank
County

Charter N o. 145

G uy L. C lem ents........ _...................P residen t
E m ily G onzales.......... ,..........................Cashier

Aletha

W a lb e rg ........................A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES
L oans and discounts...................... $160,564.99
O verdrafts --------------89.73
B onds and securities....................... 21,800.00
B an kin g house and fix tu res.........
2,500.00
Other real estate..................
1,175.00
Cash in bank & due fro m other
banks ............................
21,525.01
C hecks and item s o f exchange....
54.38
T o ta l____ ____________________ $207,709.11


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
C apital S tock : C om m on— .............. $ 25,000.00
Surplus -----------------5,000.00
U ndivided p ro fits (n e t)— .................. 3,343.08
Individu al deposits.................
79,543.14
T im e certificates o f deposit-------- 64,253.19
S avings deposits................................ 28,615.38
C ertified and cash iers checks......
1,954.32
T ota l_______________________ __$207,709.11

•34

D E PA R TM E N T OF BANKING

Elsie

Commercial State Bank
Perkins County

S.

J.

C harter No. 1637

O ’C onnor.—.... .....

P resident

W.

W.

A llen.......................................... C ashier

S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oa n s and discou nts.......... ............... $ 95,900.75
68.25
O verdrafts ......................................—
B onds and securities------------------- 159,450.00
2,000.00
Banking- house and fix tu res— .....
Cash in bank & due from other
banks .........
46,902.67

C apital S tock : C om m on... ............... $ 20,000.00
Surplus ............................
5,000.0(1
2,769.34
U ndivided p rofits (n e t)...................
R eserve fo r contingencies, e tc ....... 20,000.00
Individu al deposits..... ........................ 114,639.19
Dem and certificates o f deposit_
300.00
T im e certificates o f deposit... ..... 141,613.14

T o ta l............................................. $304,321.67

T ota l............................................. $304,321.67

Elwood

The Home Bank

Gosper County

C harter N o. 1116

F ra n k E lan d ................................ ,___President
Geo. T. B u rt________________ V ice-P resid en t

W . L. T ilden_______________________ C ashier
R. W . Tilden_______________ Ass’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oa n s and discou nts.......... ............ $ 63,802.02
O v erdrafts .......... ............................. —
27.55
B on d s an d securities...............
20,630.70
B an kin g house and fix tu re s_____
8,100.00
O ther real estate..................
2,400.00
Cash in bank & due from other
banks ..... .... ........... _........................... 36,714.01
Checks and item s o f exchange....
156.27

T o ta l________________________ .$131,830.55

Emerson

Capital Stock : C om m on................... $
F irst P referred ....
Surplus — ..................................
U ndivided p rofits (n e t)...............
R eserve fo r contingencies, etc....
R etirem ent fu nd fo r preferred
stock or debentures_________
Individu al deposits.............................
D em and certifica tes o f deposit....
Tim e certificates o f deposit_____
Savings deposits..................

7,000.00
18,000.00
3,250.00
3,508.33
157.58
1,000.00
77,107.21
1,654.35
18,080.72
2,072.36

T ota l-------------------------------------- $131,830.55

Farmers State Bank

Dixon County

C harter

F.
F. H a ase... .............................„...President
E. S. N eisw an ger__________ .V ice-P residen t

No.

149

Geo. H. H a ase_____________________ Cashier

S T A T E M E N T OF JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oans and d iscou nts...................... $ 40,588.73
O v erd rafts
........................
7.55
B onds and
securities...... ....
75,766.20
B an k in g house and fix tu res........
2,000.00
Cash in bank & due from other
ba n k s ..._.................... ....................... 184,270.38
C hecks and item s o f exchange....
178.84

C apital Stock : Comm on....................$ 40,000.00
Surplus .......
12,000.00
U ndivided p rofits (n e t)... ...........
12,304.24
R eserve fo r contingencies, etc.... 2,500.00
Individu al deposits.........................
135,176.53
D em and certificates o f deposit....
48.83
T im e certificates o f deposit......... 70,567.08
Savings deposits........................ ..._...... 30,215.52

T ota l............................................. $302,811.70

T o ta l_________________________ $302,811.70


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

35

D E PA R TM E N T OF BANKING

Emmet

Emmet State Bank

Holt County

C harter No. 058

H. J. B irm ingh am .......... ............... P residen t
E d w ard M. G allagh er... — V ice-P resid en t

W.

P.

D ailey.-------------------------------- Cashier

S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and discou nts...................... $ 26,629.16
O v erd rafts ----------------------------------9.41
B onds and securities------------------- 30,700.00
B an k in g house and fix tu res---------1.00
Other real estate--------------------------- 4,000.00
Cash in bank & due from other
banks ____________________ _____ — 10,116.12

C apital Stock : C om m on................... $ 10,000.00
Surplus ____
15,000.00
221.33
U ndivided p rofits (n e t)--------------Individual deposits— ........................ 38,273.36
D em and certificates o f deposit.... 7,961.00

T o ta l..... ....................................... $ 71,455.69

T ota l......................................... -...$ 71,455.69

First State Bank

Enders

C harter N o. 1355

Chase County

............................. Cashier

P resident
D arn ell...................... ... V ice-P resid en t

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L o a n s and discounts..... -............... $ 51,019.52
...
181.46
O verdrafts
B an kin g house and fix tu re s------------ 1,100.00
Cash in bank & due from, other
banks ________________________ -— 37,708.60
C hecks and item s o f exchange....
17.60
T ota l............................................. $ 90,027.18

Eustis

C apital Stock : C om m on__________ $
Surplus ..........
U ndivided p rofits (n e t)--- 2,074.52
Individual deposits---- ------Tim e certificates o f d ep o sit..... —
Savings deposits................................
C ertified and cashiers checks....

59,319.36
15,649.01
358.74
125.55

T ota l..............................................$ 90,027.18

Farmers State Bank
C harter No. 1619

F ron tier C ounty
G.
C.
W alter
E.
H.
F red J.

10,000.00
2,500.00

H eu ftle...........................
President
H euftle....................— V ice-P resid en t
T im m ....................... ....V ice-P residen t
T im m ... ......................V ice-P resid en t

M ax H eu ftle.......... ................................ .Cashier
F red J. T im m ..........................A ss’ t Cashier
W alter H eu ftle........................ A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES

RESOU RCES

C apital S tock : C om m on----------------$ 35,000.00
L oans and discounts— ..................$218,890.30
Surplus ........
20,000.00
O verdrafts _______________________
194.53
U ndivided p rofits (n e t)..... .........—
3,552.98
B onds and securities— ...................... 69,916.44
R eserve fo r contingencies, etc.... 10,000.00
173.00
Judgm ents and claim s.--------------Individual
deposits------------199,598.53
B an king house and fix tu re s----------------------3,390.00
Tim e certifica tes o f deposit— ..... 183,474.40
Other real estate--------------------------1.00
C ertified and cashiers checks....
419.10
Cash in bank & due fro m other
banks ___________________________ 159,479.29
C hecks and item s o f exchange....
.45
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$452,045.01

Total.

.$452,045.01

36

D E PA R TM E N T OF BANKING

Ewing

Farmers State Bank
Holt County

C harter No. 1600

H en ry O. W e g n e r..............................P resident
L.
J. Spittler-------------------- .V ice-P resid en t

W . M.

C ostello.....................................Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES
L oan s and discou nts____________ $115,271.32
O verdrafts ___________
39.90
B onds and securities...................... 14,520.53
422.40
Ju dgm ents and claim s..... .............
B an k in g house and fix tu re s......... 4,620.00
Cash in bank & due fro m other
banks ..............
51,319.87
Checks and item s o f exchange....
1.25

L IA B I L I T I E S
C apital Stock : C om m on........ .......... $ 16,000.00
C apital notes
& debentures........ 8,800.00
R eserve fo r d iv ­
idend p ayable in
com m on stock ......
200.00
Surplus ...............
3,550.00
3,332.55
U ndivided p rofits (n e t)...................
R eserve fo r contingencies, etc...
418.71
R etirem ent fund fo r p referred
stock or debentures......... .............
967.50
Individu al deposits... ...................
115,869.56
D em and certifica tes o f deposit.... 4,500.00
Tim e ce rtifica tes o f deposit......... 32,516.95
C ertified and cash iers ch ecks___
40.00

Total...___ ____________________ $186,195.27

Fairbury

T ota l............................................. $186,195.27

Fairbury State Bank

Jefferson County
w.

A.

C harter No. 1641

R o se .......................................P residen t

Irl R .

E lse..............................................C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oa n s and discou nts...... ........
$308,968.93
O verdrafts
...................
146.81
B onds and securities___ ______
106,761.42
B an k in g house and fix tu re s_____ 21,870.00
Cash in bank & due fro m other
banks ---------------------117,668.54
C hecks and item s o f exchange.... 2,951.03

C apital Stock : C om m on.................. .$ 50,000.00
Surplus ................................................. 10,000.00
U ndivided p rofits (n e t)...................
6,997.36
Individu al deposits........................... 300,856.40
Tim e certificates o f deposit.......................... 1,930.22
Savings deposits.................
188,515.58
C ertified and cash iers checks......
67.17

T o ta l_________________________ $558,366.73

Fairfield

T o ta l............................................. $558,366.73

Fairfield State Bank

Clay County

C harter No. 1605

E arl H. W ilk in s____ _______ ..........P residen t

C. V.

Glenn..... ...... .......................... .....Cashier

S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oa n s and discou nts____________ $
O verdrafts ____________________
B onds and securities_____ _______
B an k in g house and fix tu re s_____
Cash in ba n k & due from other
banks ... ........................................._...
C hecks and item s o f exchange....
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

42,318.81
19.01
44,412.37
7,800.00
49,916.70
3.37

.$144,470.26

Capital S tock : C om m on ..................$ 25,000.00
Surplus ------------------------5,000.00
U ndivided p rofits (n e t)...................
984.69
R eserve fo r contingencies, etc._ 3,000.00
Individu al deposits............................. 104,116.17
S avings deposits................................
5,542.55
C ertified and cashiers checks___
826.85
Total.

.$144,470.26

37

D E PA R TM E N T OF BANKING

Farmers State Bank

Fairmont

C harter N o. 1006

Fillmore County
F ra n cis F. P u tlitz......................... .President
L e ro y Stines............................ .V ice-P residen t

Chas.

F.

T ous.......................................C ashier

S T A T E M E N T OF JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and discou nts...................... $ 46,125.89
O v erdrafts ______
263.39
B onds and securities.................. — 77,467.62
B an kin g house and fix tu re s..... —
5,400.00
Cash in bank & due from other
banks ____________________________ 125,917.33
C hecks and item s o f exchange....
28.15

Capital S tock : C om m on---------------- $ 25,000.00
Surplus --------------------------------------— 5,000.00
8,112.67
U ndivided p rofits (n e t)--------------Individu al deposits------------------------ 160,674.12
D em and certificates o f deposit—
56,415.59

T ota l_________________________ $255,202.38

T ota l............................................. $255,202.38

Falls City State Bank

Falls City
Richardson

C harter N o. 159

County

W . L. R e d w o o d ____ __________ „...President
L. P. W irth _______________ V ice-P resid en t

L.
K.

P. W irth ____ __________________ C ashier
G. S an drock.....................A s s ’t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES
L oan s and d iscounts...............
$425,429.34
O v erd rafts ---- ...----------------------------14.31
B on d s and securities------------------- 120,474.00
Judgm ents and claim s__________
2,405.61
B an k in g house and fix tu re s-------- 13,415.00
Other real estate________ _______ — 4,454.00
Cash in bank & due from other
255,062.73
banks ---------C hecks and item s o f exchange.... 1,256.55
T ota l_________________________ $822,511.54

Falls City

L IA B IL IT IE S
C apital S tock : C om m on---------------- $ 75,000.00
Surplus -----21,500.00
U ndivided p rofits (n e t)---------------- 13,333.62
Individu al deposits.------------------------ 454,061.31
T im e certificates o f deposit-------- 23,632.85
S avings deposits----------------------------- 221,484.17
C ertified and cashiers checks----- 3,467.17
Due to national and state banks 10,032.42
T ota l...................................... ....... $822,511.54

Richardson County Bank

Richardson

C harter No. 158

County

A.
F . Schaible..................... _..........Presiden t
C arrie S. B ak er .................V ice-P resid en t

G.
S. L y o n ....................... _...................Cashier
H a rry R ich a rd son ................... A ss’ t Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts.............— $550,484.10
O verdrafts _______________________
5.62
B ond s and securities— ........ 260,313.39
Judgm ents and claim s____ 11,053.05
B an kin g house and fix tu re s- 13,000.00
Other real estate-------------------- ---—
7,200.00
Cash in bank & due fro m other
banks ___________________________ 345,655.35
Checks and item s o f exchange.... 1,261.35

Capital Stock : C om m on---------------- $ 50,000.00
Surplus ____________
60,000.00
U ndivided p ro fits (n e t)............- ..... 12,488.61
Individu al deposits..... ............... — 632,501.45
Tim e certificates o f deposit------- 170,995.59
Savings deposits..... ............................ 241,308.13
C ertified and cashiers ch eck s----- 6,185.83
Due to nation al and state ba n k s 15,490.25

Total...........................................1,188,972.86

T ota l_______________ ________ 1,188,972.86


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

Farnam

Farnam Bank

Dawson County
S.
D.

C harter No. 799

F. P arker............. .......................P resident
F. Johnston...„____ _____V ice-P resid en t

John A. R ow la n d .................. .............Cashier
H u go B lom quist................._..... A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B I L I T IE S

L oans and discou nts...................... $
O verdrafts .........................
B on d s and securities.......................
Judgm ents and claim s...................
B an king house and fix tu re s_____
C ash in bank & due fro m other
banks ___________________________
Checks and item s o f exchange....

87,970.25
457.06
28,411.13
1,000.00
2,475.00
73,926.42
207.99

Capital Stock : C om m on................... $
C apital notes
& debentures____
Surplus .......
U ndivided p rofits (n e t)_______
Individu al deposits............
T im e certificates o f deposit__........
S avings deposits............_...........
C ertified and cash iers checks......

T ota l............................................. $194,447.85

Filley

10,500.00
9,500.00
5,000.00
3,565.38
88,137.32
72,314.07
4,653.58
777.50

T o ta l.............................................$194,447.85

Filley Bank
Gage County

C harter N o. 1509

J. C. Dell, Sr.................................... P resident
P ope F rerich s______________ V ice-P resid en t

Cashier
Ivan W . H ed ge.............
J. C. Dell, J r_____ ________ ___A ss’t C ashier

S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S
L oan s and discou nts__ ______ ___$ 66,068.82
C apital Stock : C om m on................... $
58.52
O v erdrafts ___T____________________
Surplus ------------------------------B onds and securities____ ____
7,910.45
U ndivided p rofits (n e t)........ ......
B an k in g house and fix tu re s_____
2,470.00
Individual deposits... .........................
Cash in bank & due from other
D em and certificates o f deposit....
banks ...................................
37,427.88
T im e certificates o f deposit.........
T ota l......................................... $113,935.67

Franklin

10,000.00
5,000.00
1,544.13
82,018.25
7,000.00
8,373.29

T ota l__________________ ____ $113,935.67

Franklin State Bank

Franklin County

C ashier No. 625

T. R . B lan k ...................................... JPresident
W . S. Y a tes------------------------ V ice -P re sid e n t
P. L. Slocum _____________ .V ice-P residen t

P. L. Slocum ..........................................C ashier
Irene T. L a rra w a y .................Ass’t C ashier

M em ber o f F ederai D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOURCES

L IA B IL IT IE S
L oa n s and discou nts..... ............ $172,763.74
C apital S tock : C om m on..... ............. $ 11,500.00
O verdrafts _________
110.42
F irst P referred .... 13,500.00
B onds and securities...................... 41,261.32
Surplus ... ...........
5,000.00
B an kin g house and fix tu res.......................... 3,226.75
U ndivided p ro fits (n e t)............
6,884.42
Cash in bank & due from other
R eserve fo r contingencies, etc....
185.00
banks .................
84,359.10
R etirem ent fu nd fo r preferred
O ther assets___________
750.00
stock or debentures...............
1,500.00
Individual deposits............................. 223,280.85
D em and certificates o f deposit....
208.58
T im e certificates o f deposit_____ 27,144.48
Savings deposits... .............................. 13,090.44
Other liabilities... ..................
177.56
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$302,471.33

Total.

.$302,471.33

39

D E PAR TM E N T OF BANKING

Geneva State Bank

Geneva

C harter N o. 524

Fillmore County
E arl H. W ilk in s............................ .President
G rad y C orbitt..........................V ice-P resid en t

Carl E. Schneider._________________ C ashier
M elvin L. R a lston ................... A s s ’ t Cashier

S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discou nts...............
$458,422.86
O verdrafts .......
151.44
B onds and securities------------------- 243,564.05
B an kin g house and fix tu res-------- 15,000.00
Cash in bank & due fro m other
banks ----------------------------------------- 214,554.74
C hecks and item s o f exchange.... 1,139.60

Capital Stock : C om m on...........$100,000.00
Surplus ................................
25,000.00
U ndivided p rofits (n e t)------ 10,366.55
Individual deposits........................ — 523,116.23
D em and certificates o f deposit.... 1,185.08
Tim e certificates o f deposit- 109,210.19
Savings deposits................................ - 25,207.72
C ertified and cash iers checks- 138,746.92

T o ta l....................... ..................... $932,832.69

T ota l_________________ ___ ____$932,832.69

Exchange Bank

Gibbon
Buffalo County

C harter No. 175

S. L. L ea s_______________ _______ P residen t
W . H. B u ck _________ ______ .V ice-P residen t

Glen T. G ibson
— ............ — C ashier
R obert W o o d w a rd ................... A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts— ..................$ 68,426.44
O verdrafts _______________________
113.21
B onds and securities---------------------- 63,563.20
500.00
B an kin g house and fix tu re s---------Cash in bank & due fro m other
banks ___________________________ 61,009.59

Capital Stock : C om m on................... $ 30,000.00
Surplus ___________________________
6,000.00
4,287.94
U ndivided p ro fits (n e t)---------------Individual deposits... ..................... — 140,332.15
D em and certificates o f deposit.... 5,000.00
4,431.80
Tim e certificates o f deposit------Savings deposits---------------------------3,560.55

T ota l.................. _......................... $193,612.44

T ota l............. ................. ............. $193,612.44

Goehner

Goehner State Bank
C harter No. 714

Seward County
T.
M.

H. W ake._____ ________ ______ P resident
M adison_______________ .V ice-P resid en t

V elm a

M. M adison.------------------------Cashier

S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L o a n s and discounts-------------------$
O verdrafts
--------------------------------B onds and securities-----------------B an kin g house and fix tu re s-------Cash in bank & due fro m other
banks ----------------------------------------Checks and item s o f exchange....
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

52,131.91
18.09
17,657.50
1,900.00
36,504.97
28.72

.$108,241.19

Capital Stock : C om m on----------------$
Surplus ----------------------------------------U ndivided p ro fits (n e t)---------------R eserv e fo r contingencies, etc.—
Individu al deposits-----------------------Tim e certificates o f deposit-------S avings deposits--------------------------Total.

7,500.00
8,500.00
870.58
2,333.16
55,078.81
29,441.34
4,517.30

.$108,241.19

40

D E PA R TM E N T OF BANKING

Gordon

Gordon State Bank

Sheridan County

C harter N o. 965

F a y C. H ill......................................P residen t
I. S. M agow an ..................................... Cashier

F. L. B oy les.........
B lanche Parker.

.....A ss’t Cashier
....A ss’ t C ashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oan s and discou nts...................... $
O verdrafts __________ _______ ______
B on d s and securities________
B an k in g house and fix tu re s... ......
Cash in ba n k & due fro m other
banks .................................................
C hecks and item s o f exchange....

71,692.89
376.76
62,998.12
10,900.00
97,571.61
1,920.98

C apital Stock : C om m on................... $ 40,000.00
Surplus ................................................. 5,000.00
U ndivided p ro fits (n e t)...............
4,133.11
Individual deposits......................
177,873.77
Tim e certificates o f deposit......... 21,428.42
27.76
C ertified and cashiers ch eck s......

T ota l...................................... ....... $248,163.39

Gothenburg

T ota l-------------------------------------- $248,463.39

First State Bank

Dawson County

C harter No. 1271

W m . K itten brink...............................P residen t
J. H. C a m s............... ............. V ice-P resid en t

C.

E.

Davidson..

....................C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES
$199,902.28
L oa n s and discou nts............
67.39
O verdrafts
B onds and securities...............
43,266.62
700.00
Judgm ents and claim s._____ _____
B an k in g house and fix tu re s..... .... 8,270.00
Cash in ba n k & due fro m other
banks ................................................. 213,785.25
C hecks and item s o f exchange....
302.83

L IA B IL IT IE S
Capital S tock : C om m on................... $ 29,000.00
F irst P referred .... 21,000.00
8,000.00
Surplus ............................
U ndivided p ro fits (n e t)................ 4,686.11
Individu al deposits.................
186,718.18
D em and certificates o f deposit.... 1,226.10
Tim e ce rtifica tes o f deposit......... 207,620.07
Savings deposits................................
35,184.71
C ertified and cashiers checks......
125.00
Due to national and state banks 2,434.20

..$196,294.37

T ota l..............................................$196,294.37

Gothenburg

Gothenburg State Bank

Dawson County

C harter No. 1272

H.
L. W illia m s............................... P residen t
E.
J. L outzenheiser.... .........V ice-P resid ent
G. G. H am pton.......................V ice-P resid en t

G. G. H am pton........ ........................... C ashier
F.
C. N elson ..................... A s s ’ t Cashier
R. R . A d en ........ ........................A ss't Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES
L oa n s and discou nts..............$279,362.67
O verdrafts ............
673.50
B onds and securities.............. 123,303.79
B an kin g house and fix tu re s...... 6,600.00
750.00
Other real estate.—______ _________
Cash in ba n k & due fro m other
banks .............................
175,410.67
C hecks and items o f exchange....
41.75

L IA B IL IT IE S
Capital S tock : C om m on................... $ 50,000.00
Surplus .......
10,000.00
U ndivided p rofits (n e t)................ 13,537.96
R eserve fo r contingencies, etc....
793.65
Individu al deposits........................ 292,399.28
D em and certificates o f deposit.... 3,768.33
T im e certificates o f deposit..... .... 161,290.38
S avings deposits..... .......................... 54,349.78
C ertified and cashiers ch eck s......
3.00

T ota l........ ....................................$586,142.38

T ota l........ ............................. ...... .$586,142.38


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

41

D E PA R TM E N T OF BANKING

Grafton

Grafton State Bank
C harter N o. 693

Fillmore County
T om F itzg era ld ___________ _______ P resident
W . A . Stuckey...___ _______ V ice-P resid en t
M em ber o f F ederal Dei
STATEM EN T

T hom as

N.

t Insurance C orporation
JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oa n s and d iscounts.................. — $
O verdrafts _______________________
B onds and
securities___________
B an kin g house and fix tu re s______
Other real
estate_______________
Cash in bank & due from other
banks ___________

75,549.75
189.60
19,214.30
4,201.00
3,000.00
29,972.14

C apital Stock : C om m on---------------- $
C apital notes
& debentures____
Surplus .........................
U ndivided p rofits (n e t)_________
R etirem ent fund fo r p referred
stock or debentures.......................
Individual deposits.........................
D em and certificates o f deposit....
T im e certificates o f deposit_____

10,000.00
15,000.00
5,000.00
5,119.63
967.74
35,706.37
59,145.09
1,187.96

T ota l........ .....................................$132,126.79

T ota l_________________________ $132,126.79

Gresham

B urke............................ Cashier

Gresham State Bank

York County

C harter N o. 1122

R obert H eineke... ..... Chairm an o f B oard
D avid Y ung.____________
President
W . H. D iers.......... ...................V ice-P resid en t

A rth ur W a if or d____________________ Cashier
H. I. H y lton ... ......................... A s s ’t C ashier

S T A T E M E N T OF JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oans and discou nts... ........... .......$
B onds and securities-----------------B an kin g house and fix tu re s-------Cash in bank & due fro m other
banks .....
Checks and item s o f exchange....

81,134.71
29,837.90
7,000.00
24,952.18
12.29

Capital Stock : C om m on__________ $
Surplus ......................................
U ndivided p rofits (n e t)___________
Individu al deposits..._____ ________
Dem and certifica tes o f deposit....
T im e certificates o f d ep o sit_____
Savings deposits..............
C ertified and cashiers ch ecks___
O ther liabilities...................

T ota l________ __ __ ___________ $142,937.08

Guide Rock

T ota l............................................. $142,937.08

Guide Rock State Bank
Charter N o. 918

Webster County
L.
I.

25,000.00
5,000.00
5,877.27
21,374.93
12,793.25
38,895.11
33,721.13
274.69
.70

IT. Hunter....
.........................P residen t
A. P a ce ............................. V ice-P resid en t

S. E.
Clyde

V og ler.......................................... Cashier
N. Snapp.____________ A ss’ t C ashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts..................— $ 77,398.00
O verdrafts .............................
2.87
B onds and securities____________ 32,500.00
Judgm ents and claim s---------------450.00
B an kin g house and fix tu re s-------- 2,000.00
Cash in bank & due fro m other
banks ..............
51,903.03
Other assets________________
33.88

Capital S tock : C om m on— .............. $ 25,000.00
Surplus.--------------------5,500.00
U ndivided p ro fits (n e t)---------------1,651.13
Individu al deposits------------------------ 99,464.50
T im e certifica tes o f deposit----------- 26,660.00
S avings deposits..................................
6,012.15

Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$164,287.78

Total.

.$164,287.78

42

D E PA R TM E N T OF BANKING

Hallam

Hallam Bank

Lancaster

County

C harter No. 513

T. C arsten................................ — P residen t

C. W . Steinm eyer.....................V ice-P resid en t

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and d iscou nts...................... $
O verdrafts ---B onds and securities------------Banking- house and fix tu re s............
Other real estate.................................
Cash in bank & due from other
banks ___________________________

89,917.61
140.76
45,482.50
3,500.00
773.85

C apital S tock : Common......... ..........$
Surplus ..... .... .......... :......................... .
U ndivided p rofits (n et)..... ..............
R eserve fo r contingencies, e tc ....
Individu al deposits.............................
T im e certificates o f deposit.........

49,374.64

T ota l..............................................$189,189.36

Hardy

10,000.00
8,000.00
2,503.64
1,000.00
94,882.56
72,803.16

T ota l.............................................$189,189.36

Farmers State Bank
C harter No. 848

Nuckolls County

Chas. L. G illilan................................ Cashier
A rn old H ansen..... ....................A ss’t Cashier

H. C. A u ran d ............................... P resident
Geo. M. P ow ell
..............V ice-P resid en t

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and discou nts...................... $
O verdrafts _______________________
B onds and securities_________
B an kin g house and fix tu re s— ........
O ther real estate..................
Cash in bank & due from other
banks ......................... - ......................

C apital Stock : C om m on................... $
Surplus — .............................................
U ndivided p rofits (n e t)............
Individu al deposits......................
Tim e certificates o f deposit............
Savings deposits..... _.........................

55,432.19
37.92
45,360.43
3,400.00
3,100.00
49,633.98

T o ta l.................. .......................... $156,964.52

Hartington

12,000.00
13,000.00
5,114.12
93,521.72
27,436.40
5,892.28

T o ta l............................................. $156,964.52

Bank of Hartington

Cedar County

C harter No. 1373

E. W . R ossiter.................................President
L aw ren ce R ossiter................V ice-P resid en t
E. M. H o a r...........................
Cashier

V.
F.

E. R ossiter.........................A ss’ t C ashier
J. Stevens...........................A ss’t Cashier

M em ber o f F ederal R eserve System
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and discou nts.......................$313,458.54
O verdrafts ..........
27.61
B onds and securities....................... 46,063.73
B an kin g house and fix tu re s.........
7,054.57
Cash in bank & due fro m other
banks ____
79,866.37
L a w fu l reserve w ith F ed. Res.
B ank o r other reserve agents.... 41,273.03
Checks and item s o f exchange....
294.77

C apital Stock : Common.................... $ 25,000.00
Surplus ............................
10,000.00
Undivided p rofits (n e t)................... 11,190.10
Individual deposits..................
307,040.06
D em and certificates o f deposit.... 9,061.68
Tim e certificates o f deposit_____ 67,595.56
Savings deposits................................. 55,102.80
C ertified and cashiers checks___
548.42
D ue to nation al and state banks 2,500.00

T otal..... ........................................ $488,038.62


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

i

T o ta l________ ________________ $488,038.62

43

D E PA R TM E N T OF BANKING

Harvard State Bank

Harvard
C lay

C harter No. 739

County

G eorge K easlin g................................ President
E. A. R osenbaum ..............— V ice-P resid en t
M em ber o f F ederal Dei
STATEM ENT

J.
R . Sim pson....................... - ............Cashier
D elm a M. K reu tz...................A ss’t C ashier
t Insurance C orporation
' JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s and discounts.................. — $ 85,896.04
O verdrafts _______________________
200.27
B onds and securities............ 7,900.00
Judgm ents and claim s............... —
1,220.00
B an k in g house and fix tu re s— .... 8,000.00
4,633.03
Other real estate......................
Cash in bank & due fro m other
banks ... ...............
41,130.15
O ther assets______ , _______________
600.00

T ota l_________________________ $149,579.49

Hay Springs

5,000.00
10,000.00
10,000.00
1,500.00
369.51
100.00
82,703.65
19,129.21
19,002.18
1,774.94

T ota l..... .....................................-.$149,579.49

Northwestern State Bank

Sheridan
L.
L.

C apital Stock : Common................... $
F irst P referred __
Second P referred Surplus ......
U ndivided p rofits (n e t)----- ---R etirem ent fu nd fo r preferred
stock or debentures------- ----------Individu al deposits...............
Tim e certifica tes o f deposit.........
S avings deposits---------------------------C ertified and cash iers checks....

County

Charter No. 201

J. Stiehl........ .............................. .President
C. Stiehl....,______________ V ice-P resid en t

R. G u sta fson _______________________ .Cashier
Joe. M ueksch..............................Ass’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discou nts...................... $ 92,400.04
O verdrafts
___
89.04
B onds and securities...... 92,087.58
B an king house and fix tu re s...... — 2,677.98
Cash in bank & due from other
banks ................................
67,039.17
C hecks and item s o f e x ch an ge—
201.84

C apital Stock : C om m on---------------- $ 50,000.00
U ndivided p rofits (n e t)_________ 17,862.34
Individual deposits........ .....
116,682.47
Tim e certificates o f deposit-------- 60,532.84
Savings deposits------- --------------------- 8,824.46
C ertified and cashiers checks----593.54

T ota l............................................. $254,495.65

T ota l............................ .............. -$254,495.65

Heartwell

Heartwell State Bank

K earn ey County

C harter N o. 877

Jam es H ob an _____________________ P residen t
J. R . H ob a n ________________________ C ashier

L ou is H oran ...... .............

A ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES
L oan s and discou nts...... ................$ 40,773.83
O verdrafts ----------------------------------72.17
B onds and securities.------------------ 27,585.00
B an k in g house and fix tu re s---------- 2,285.00
Other real estate__________________ 1,700.00
Cash in bank & due fro m other
banks ___________________________ 20,953.80

T ota l________________________ .$ 93,369.80


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
C apital S tock : Com m on-------- ------- $
C apital notes
& debentures-----R eserve f o r div­
idend p ayable
in com m on stock
Surplus — ---U ndivided p rofits (n e t)------------R etirem ent fu nd fo r preferred
stock or debentures------------------Individu al deposits----------------------Tim e certificates o f deposit-------C ertified and cash iers checks....

19,000.00
5,900.00
100.00
5,000.00
3,925.79
_ 615.00
53,257.89
5,551.12
20.00

Total.............................................. $ 93,369.80

44

D E PA R TM E N T OF BANKING

Hebron

Thayer County Bank

Thayer County

C harter No. 202

J. R . K en ner.......................... ............ President.
D oroth y W . K en ner..........—V ice-P resid en t

H.

R,

K illin ger

Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES
L oan s and discou nts........ .......... $228,931.37
O verdrafts _______________________
310.45
B onds and securities.____ _______ 84.332.74
Judgm ents and claim s__________
630.00
B an k in g house and fix tu re s_____ 11,800.00
O ther real estate________
3,000.00
Cash iia bank & due from other
banks _______________________
116,784.90
C hecks and item s o f exchange....
9.41

L IA B IL IT IE S
C apital S tock : C om m on................... $ 29,000.00
F irst Preferred...... 21,000.00
Surplus ----------------------------------------- 10,000.00
U ndivided p rofits (n e t)................ 5,996.33
R eserve fpr contingencies, e tc .... 1,672.65
Individual deposits.........................
275,950.11
T im e certificates o f deposit......... 81,933.69
S avings deposits................................. 19,794.27
C ertified and cashiers ch eck s......
451.82

T o ta l..............................................$445,798.87

T ota l.................. ...........................$445,798.87

Herman

Herman State Bank

'Washington County

C harter No. 995

H ow a rd C. Hanson....................... President
C harles N elson............ ...........V ice -P re sid e n t

Vipp-Prpsirlp.n 1
F red R obertson
T. R. S w anson........... ........................... Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S
L oans and discou nts____ _______ $160,576.20
Capital S tock : C om m on................... $ 35,000.00
O verdrafts
............................ ...........
141.79
Surplus ................................................. 3,500.00
B on d s and securities.____ _______ 77,367.12
U ndivided p rofits (n e t)...................
6,219.15
B an kin g house and fix tu re s.......................... 8,063.00
Individual deposits............................. 158,721.58
Cash in bank & due fro m other
Tim e certificates o f deposit......... 110,387.00
69,853.85
banks ______
Savings deposits...............
1,969.97
C ertified and cash iers ch ecks___
204.26
T ota l............................... .... .........$316,001.96

Hickman

T ota l..... - ................................. .....$316,001.96

First State Bank

Lancaster County

C harter N o. 1177

Geo. E. H eckm an......................... .President
Geo. A. H euple .............. ....V ice-P resid en t
M em ber o f F ed eral Dei
STATEM EN T
RESOURCES
L oans and d iscou nts____________ $136,435.70
O v erd rafts ____ - ..................
62.56
B onds and securities.... .............
27,954.21
Judgm ents an d cla im s......... ..........
725.00
B an kin g house and fix tu re s_____
3,675.00
Cash in ba n k & due fro m other
banks ___________________________ 70,218.67

T o ta l..............................................$239,071.14


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

F. J. L e fferd in k .....................V ice-P resid en t
W . R. Ju dah......................... ...............Cashier
t Insurance C orporation
’ JU N E 30, 1939
L IA B IL IT IE S
Capital Stock,: C om m on................... $ 20,000.00
Surplus ...............
7,500.00
U ndivided p rofits (n e t)...................
1,296.13
R eserve fo r contingencies, etc.... 1,000.00
Individu al deposits............................. 139,502.48
D em and certificates o f deposit___________ 4,000.00
Tim e certificates o f deposit.......... 52,549.65
Savings deposits.......... ........................ 8,126.72
C ertified and cashiers ch eck s____________ 5,096.16
T o ta l.......... ................................... $239,071.14

D E PA R TM E N T OF BANKING

Hildreth

State Bank of Hildreth

Franklin County
G eorge
C.
E.

45

Charter N o. 922

C. Soker........... ................... P resident
Sam uelson....... ..........V ice-P resid ent

E d n a M y ers................................. ...... C ashier
Geo. P. Schm idt.......................A ss’it C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts___________....$ 62,125.34
O verdrafts ______
140.84
B onds and securities____________ 36,650.00
Judgm ents and claim s__________
2,430.00
3,087.00
B an k in g house and fix tu re s.........
Other real estate__________________ 1,550.00
Cash in bank & due from other
banks ................................................. 35,196.08

C apital S tock : C om m on................... $
Surplus ----------------------------------------U ndivided p ro fits (n e t)_________
Individual deposits..................
D em and certificates o f deposit....
Tim e certifica tes o f deposit.........

T o ta l-------------------------------------- $141,179.26

Holbrook

10,000.00
6,000.00
2,623.68
84,733.37
3,420.28
34,401.93

T ota l-------------------------------------- $141,179.26

Security State Bank

Furnas County

C harter No. 1403

P. P hillipson---------------------------------P resident
Geo. H aussler----------------------V ice-P resid en t

S. F . C urry.------------------------- ---------C ashier
H elena Warner......----------------- A ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S
C apital Stock : C om m on__________ $
Surplus ----------------------------------------U ndivided p ro fits (n e t)__________
Individu al deposits._______________
T im e certifica tes o f deposit.............

L o a n s and discou nts____________ $ ,58,371.87
O verdrafts _______________________
192.97
B onds and securities____________ 63,416.31
B an kin g house and fix tu re s_____
4,610.00
Other real estate________________
1,000.00
Cash in bank & due from other
banks ----------------------------------------- 39,929.34
Checks and items o f ex ch an ge___
12.50
T ota l------------------------------- !____$166,532.99

Homer

20,000.00
7,500.00
2,943.67
92,714.04
43,375.28

T o ta l......................................... -...$166,532.99

Home State Bank
Dakota County

C harter No. 1566

H. C. H ansen----------------------------- P residen t
V. N. H a nsen-------------------- V ice-P resid en t

D.

G.

Evans.

Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
RESOU RCES
L oa n s and d iscou nts____________ $
O verdrafts ________________________
B onds and securities____________
B an king house and fixtures..........
Cash in bank & due fro m other
banks ---------------------Checks and item s o f exchange....

43,805.78
240.97

T ota l-------------------------------------- $178,694.03


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
C apital Stock : C om m on__________ $ 25,000.00
Surplus ----------------------------------------- 5,000.00
U ndivided p rofits (n e t)__________
1,492.92
Ind ividu al deposits_________________ 90,127.37
T im e certificates o f deposit_______ 44,123.06
S avin gs deposits------------------------------ 12,950.68

95,476.08
12.71
34,958.49
4,200.00

i

T o ta l-------------------------------------- $178,694.03

D E PA R TM E N T OF BANKING

46

First State Bank

H ordville
Hamilton County

C harter No. 956

R. C. G u sta fson ............. ............... P residen t
E. W . H ahn.............................V ice-P resid ent

W . L. K upke..................— ................... Cashier

M em ber o f F ederal Deposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

R E SO U R C E S
L oans and discounts.......................$
O verdrafts .................. — ............... .
B on d s and securities------------------B an king house and fix tu re s.........
Other real estate..................
Cash in bank & due from other
banks .........................

67,701.17
33.30
25,700.00
2,660.00
285.00
22,308.86

T ota l.................. .......................... $118,688.33

Capital Stock : C om m on................... $ 21,000.00
Surplus - - .........................................— 4,500.00
1,428.61
U ndivided p rofits (n e t)--------------------Individu al deposits ..................- — 62,470.66
D em and certificates o f deposit—
10,651.93
Tim e certificates
o f deposit-------- 15,337.69
Savings deposits.................... ............ 3,299.44
T otal..............................................$118,688.33

The Howells State Bank

Howells

C harter No. 669

Colfax County
.President
L. R. C oufal
J. A. N o v a k ......................... ... V ice-P resid en t

E. A. Stangel....................................... Cashier
M. C. Blazek-........... ............... A ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOURCES

C apital S tock : C om m on.................. $ 51,200.00
L oan s and discou nts...... ................ $209,213.75
C apital notes
O verdrafts
.................
61.46
& debentures____ 13,800.00
B onds and securities...................... 153,621.40
Surplus ............................
15,000.00
B an king house and fix tu re s.......................... 5,500.00
U ndivided p rofits (n e t)------------5,645.81
Cash in bank & due fro m other
R eserve fo r contingencies, etc.... 5,000.00
banks ..... - .................,........................ 208,664.48
R etirem ent fu nd fo r preferred
377.32
Checks and item s o f exch an ge___
3,400.51
stock or debentures__ __
Individual deposits________________ 241,892.61
D em and certificates o f deposit.... 56,712.50
Tim e certifica tes o f deposit......... 180,273.46
S avings deposits................................
3,163.52
C ertified and cash iers ch ecks......
1,350.00
T ota l............................................. $577,438.41

Hubbell

T ota l...................................... .......$577,438.41

Hubbell Bank
Charter No. 1074

Tliayer County
J. E. Conklin........................ - ......... P residen t
W . B. C onklin......................... V ice-P resid en t

L. A. C onklin........................ .............. Cashier
E dw . C. H oudek.____________A ss't Cashier

S T A T E M E N T OF JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and discou nts— ..................$103,782.12
O verdrafts ..._.....................— ........... 92.04
B onds and securities...................... 25,346.41
B an k in g house and fix tu re s.........
7,056.90
Other real estate________________ 7,274.00
Cash in bank & due fro m other
banks ___________________________ 44,162.97

C apital Stock : C om m on.... .............. $ 20,000.00
Surplus ........
10,000.00
U ndivided p rofits (n e t)---------------969.50
Individual deposits------------------------ 104,157.64
Tim e certificates o f deposit---------- 32,488.20
Savings deposits___________________ 20,099.10

Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$187,714.44

Total.

.$187,714.44

D E PA R TM E N T OF BANKING

Humboldt

47

Home State Bank

R ich ard son

C ounty

C harter No. 1257

Otto K o to u c........................................ P residen t
P ra n k K o to u c------- ,................V ice-P resid en t
Otto K o to u c Jr.... .................. V ice-P resid en t

Glenn D. Jenkins__________________Cashier
W m . H. H y n ek ..........................A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O P JU N E 30. 1939
RESOU RCES

L IA B I L I T I E S

L oans and discou nts.......................$328,749.22
O verdrafts ...................................
83.54
B onds and securities...................... 78,793.75
Judgm ents and claim s................... 1,200.00
B an kin g house and fix tu re s.........
5,700.00
Cash in bank & due from other
banks ...............
112,338.77

C apital Stock : C om m on________ __$ 30,000.00
Capital notes
& debentures........ 15,000.00
10,000.00
Surplus .........
U ndivided p rofits (n e t)...................
5,142,30
Individual deposits............................. 359,065.72
Tim e certificates o f deposit......... 100,851.56
6,543.78
S avings deposits..................................
C ertified and cashiers checks......
261.92

T ota l............................... ..............$526,865.28

T ota l— ---------- --------- -------------- $526,865.28

Humphrey

Farmers State Bank

P latte County
P.
O.

L.
R.

C harter No. 1287

K e lly ------------ ---------- -------- P resident
Alderson..._.................. V ice-P resid en t

P. J. T ernus.......................................... Cashier
D ale A ld erson ............................A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O P JU N E 30, 1939
RESOU RCES
L oans and discou nts.. ...................$164,290.10
O verdrafts
______________________
25.30
B onds and securities____________ 31,920.00
B an kin g house and fix tu re s...... 3,983.50
Cash in bank & due from other
banks ------------------------------------- ..... 65,802.54

L IA B IL IT IE S
C apital S tock : C om m on__ ________ $ 50,000.00
Surplus ------------------10,000.00
U ndivided p rofits (n e t)...................
7,970.46
Individu al deposits________________ 128,654.67
Tim e certifica tes o f deposit.......... 67,588.31
C ertified and cashiers checks......
1,808.00

T ota l..... ...................................... $266,021.44

T ota l---------------------- --------------- $266,021.44

Hyannis
Grant

Bank of ‘Hyannis
County

C harter N o. 486

C. J. A b b o tt— .................................P residen t
L e R o y A b b o tt------------- E xc. V ice-P resid en t

H a rry M inor_____________
H. E. L ich ty ___________

.V ice-P residen t
________Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OE" JU N E 30, 1939
RESOU RCES
L oans and discou nts...................... $387,370.17
O verdrafts
..........................
145.02
B onds and securities____________ 26,422.50
1.00
B an king house and fixtures..........
Cash in bank & due fro m other
banks ................................................. 90,483.38
C hecks and item s o f exchange....
63.65
T ota l..... ....................................... $504,485.72


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
C apital Stock : C om m on................... $ 30,000 :00
Surplus ----------------------------------------- 45,000.00
U ndivided p rofits (n e t)_________
16,030.03
Individual deposits______
251,487.22
T im e certificates o f deposit_____ 70,948.24
Savings deposits______ __________
90,931.05
C ertified and cashiers checks....
89.18
T ota l.............................................$504,485.72

D E PA R TM E N T OF BANKING

48

Imperial

Farmers and Merchants Bank

Chase County
E lv a

J.

C harter N o. 219

B u rk e___________ ___ ____P residen t

J.

E.

B urke____...______________i-----C ashier

M em ber o f F ederai D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1039
RESOURCES

L IA B IL IT IE S

L oans and discou nts____________ $ 96,759.48
O verdrafts ________________________
215.90
B onds and securities____________ 20,729.45
Banking- house and fixtures.____
6,725.00
Other real estate...............................
1,376.00
Cash in bank & due from other
banks ............................................. 150,679.45
Checks and item s o f exchange.... 1,355.27

Capital S tock : C om m on---------------- $ 10,100.00
C apital notes
& debentures------ 19,000.00
R eserve fo r div­
idend p ayable
in com m on stock
900.00
Surplus __________________________
6,000.00
1,861.55
U ndivided p rofits (n e t)------------Individu al deposits__________
186,060.19
D em and certificates o f deposit.... 5,000.00
T im e certifica tes o f d ep o sit........ 48,918.81

T ota l.......................................... $277,840.55

T ota l..................................... „...$277,840.55

Farmers State Bank

Ithaca
Saunders County

C harter No. 687

G.
F. W a g n e r.................................. P resident
O. A. H a n ke......................
V ice-P resid en t

F red

W.

W a g n er............................ ....Cashier

S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S
L oan s and discou nts____________ $ 47,487.21
C apital S tock : C om m on................... $
Surplus _____
O verdrafts _____ ________ _______ ..__
5.40
B onds and securities._____ ______ 10,957.19
U ndivided p rofits
(n e t)________
Judgm ents and claim s__________
570.85
Individual deposits_______________
B an kin g house and fix tu re s______________ 1,450.00
Savings deposits.__________________
Cash in bank & due fro m other
47,523.79
banks ...........
T o ta l_____________________ ____ $107,994.44

Jefferson
M.

T ota l_________________________ $107,994.44

State Bank of Jansen

Jansen

J.

10,000.00
10,000.00
1,833.17
38,166.72
47,994.55

C harter No. 612

County

N ider............................ ..........P residen t

H.

T.

F a st......

..................Cashier

S T A T E M E N T OF JU N E 30, 1939
RESOU RCES
L oa n s and discounts____________ $
O v erdrafts .............
B onds and securities.......................
B an k in g house and fix tu re s-------Other real estate.................
Cash in bank & due fr o m other
banks ..........

L IA B IL IT IE S
52,739.16
76.86
900.00
4,440.00
2,100.00
27,663.46

T o ta l............................................. $ 87,919.48


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C apital S tock : C om m on................... $
Surplus ___________________________
U ndivided p rofits (n e t)..................
Individu al deposits— ..............
T im e certificates o f deposit........
Savings deposits____________________

20,000.00
4,000.00
7,631.30
51,011.97
2,675.00
2,601.21

T ota l..... .......................................$ 87,919.48

D E PA R TM E N T OF BANKING

Johnson

49

First State Bank

Nemaha County

C harter No. 1387

A l. N. D a fo e .......................................P resident
C. D. Hahn.------------------- ----V ice-P resid en t

Jam es P. K elley ................................Cashier
John L. B linde......................... A s s ’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOURCES

L IA B I L I T I E S

L oa n s and discou nts............... .......$
O verdrafts
________________
B onds and securities____________
B an kin g house and fixtures..........
Cash in bank & due fro m other
banks ..............
Checks and item s o f exchange....

97,315.83
76.29
96,850.00
2,825.00
61,084.62
24.39

T ota l............................................. $261,176.13

Kearney

C apital S tock : C om m on................... $ 25,000.00
Surplus ----------------------------------------- 5,000.00
4,261.37
U ndivided p rofits (n e t)_____ __
Individu al deposits.............................. 169,728.06
Tim e certifica tes o f deposit...:...... 44,086.09
Savings deposits— ..........................
13,035.75
C ertified and cash iers checks___
64.86
T ota l........ .....................................$261,176.13

Fort Kearney State Bank

Buffalo County

C harter No. 1406

Thos. G ass— ........... .......................... P residen t
P aul H. K an n ow ----------------V ice-P resid en t
P aul H. K an now .______ ..__________ Cashier

R. O. Burm an.
T. C. Russell.

----- A ss’ t C ashier
------ Ass’t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOURCES
L oan s
and discou nts........................$411,032.66
O verdrafts ............................................ 1,188.56
B onds
and securities_____________ 173,965.74
B an k in g house and fix tu re s........ 17,000.00
Cash in bank & due fro m ' other
banks ------------------814,377.05
Checks and item s o f exchange.... 3,639.47
Other assets_______________________
6,437.44

T ota l-------------------------------- ....$1,427,640.92

Keene

L IA B I L I T I E S

Capital Stock : C om m on................... $ 50,000.00
Surplus ----------------------------------------- 50,000.00
U ndivided p rofits (n e t)___________ 14,437.83
Individu al deposits............................1,208,787.66
D em and certificates o f deposit... 5,381.37
T im e certifica tes o f deposit_____ 21,171.49
Savings deposits.............
29,795.94
C ertified and cash iers ch ecks...... 4,776.16
Due to national and state banks 41,855.90
O ther liabilities____________________ 1,434.57
T o ta l............ :------------------------$1,427,640.92

Farmers State Bank
Kearney County

C harter N o. 874

A rv id P eterson .................................. P resident
H.
M. N elson...... ..................V ice-P resid en t

C. E. N elson -------------------------- -------- C ashier

S T A T E M E N T O F JU N E 30, 1939
R E SO U R C E S
L oans and discounts.......................$
O verdrafts ________________________
B onds and securities____________
B an king house and fix tu re s... .....
Cash in bank & due fro m other
banks ..........
Checks and item s o f exchange....
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

32,688.58
7.52
27,687.12
1,320.00
15,006.31
123.02

.$ 76,832.55

L IA B IL IT IE S
C apital S tock : C om m on__________ $
Surplus -----------------------------------------U ndivided p rofits (n e t)__________
Individu al deposits________________
D em and certifica tes o f deposit....
T im e certifica tes o f deposit____
Savings deposits___________________
Total.

5,000.00
7,500.00
518.13
42,725.22
966.97
18,697.04
1,425.19

.$ 76,832.55

D E PA R TM E N T OF BANKING

50

Adams County Bank

Kenesaw

C harter No. 552

Adam si County
Chas K B a rt
P residen t
H. G. P ra tt.......................... ....Vice-President

S. H. Itzen............. ............................... Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S
C apital Stock : C om m on...................$ 25,000.00
L oa n s and discounts.......................$100,978.84
5,000.00
Surplus ............................
O verdrafts ..............................
34.55
U ndivided p rofits
(net)..------------ 5,212.75
B ond s and securities— .................. 50,920.00
Individual deposits..-------------------— 133,936.05
Judgm ents and claims.......— .......
1,300.00
B an kin g house and fix tu re s.......................... 100.00T im e certificates o f deposit-------- 21,159.88
Savings deposits............... — .............. 5,419.27
Cash in bank & due fro m other
C ertified and cashiers ch ecks____________ 666.11
banks ... ........... — ............................ 43,060.67
RESOU RCES

T ota l..............................................$196,394.06

T ota l_________________________ $196,394.06

Bank of Keystone

Keystone

C harter No. 1076

Keith County
R . H. B arber............... -.... ..... .........P residen t
D. D. Cole............................. .....V ice-P resid en t

T.

B.

C ole............. ............................... Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oan s and
discou nts..................... $145,955.28
O verdrafts ----------------------------------85.63
B ond s and
securities..................... 24,184.25
B an k in g house and fix tu res---------------------- 1.00
Cash in bank & due from other
banks ---------------------------------- ---— 138,259.34
T o ta l............................ .................$308,485.50

C apital Stock : C om m on................... $ 15,000.00
Surplus ___
7,500.00
U ndivided p rofits (n e t)— ............ 6,282.69
Individual deposits............................. 196,021.09
T im e certifica tes o f deposit-------- 83,646.72
C ertified and cash iers ch ecks......
35.00
T ota l_________________________ $308,485.50

Farmers State Bank

Kilgore

C harter N o. 1520

Cherry County
H. L.
J. N.

C am pbell__________________P resident
Cam pbell.................... .V ice-P residen t
M em ber o f F ederal Dej
STATEM ENT
RESOU RCES

L oan s and
discou nts.....................$100,413.85
O verdrafts ________________
171.80
B onds and
securities----------------- 30,791.85
B an kin g house and fix tu re s-------- 5,275.00
Cash in bank & due from other
banks ........................................- ......... 43,823.49

T otal_________________________ $180,475.99


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C larence C lasen.................... ....... .........Cashier
t Insurance C orporation
' JU N E 30, 1939
L IA B IL IT IE S
C apital S tock : Com m on---------------- $
Surplus ............................
U ndivided p rofits (n e t)--------------R eserve fo r contingencies, etc....
Individu al deposits.__ _____________
D em and certifica tes o f deposit—
T im e certifica tes o f deposit-------Savings deposits............... - .................
C ertified and cash iers checks-----

15,000.00
3,000.00
957.43
625.00
93,353.79
5,000.00
41,272.27
20,891.88
375.62

T ota l_________________________ $180,475.99

D E PA R TM E N T OF BANKING

Kramer

51

Farmers State Bank

Lancaster County

Charter No. 1147

W . F. H eitm an.......... ......................President
Ja cob Schm idt..............._.........V ice-P resid en t

B enj.

C.

B ilhorn___________ ____ __C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B I L I T IE S

L oans and discounts.................. ....$ 44,998.14
B onds and securities.......... ............ 16,870.00
Banking- house and fix tu re s.........
400.00
Cash in bank & due from other
banks ------------------------------8,295.85

C apital S tock : C om m on...................$ 10,000.00
Surplus ___________________
4,300.00
1,184.35
U ndivided p rofits
(n e t)__________
R eserve fo r contingencies, etc....
1,000.00
Individual deposits..............................
9,062.81
Tim e certificates o f deposit_____ 42,211.42
Savings deposits______________
2,805.41

T ota l-------------------------------------- $ 70,563.99

Lawrence

Total...-........................................ $ 70,563.99

Security State Bank

Nuckolls County

C harter N o. 1223

H en ry B rock m a n ...........................-...President
H. C. O stdiek..........................V ice-P resid en t
H. C. Ostdiek.........................
Cashier

L eona M. S chroer..............._...A s s ’t C ashier
F ra n ces L. S voboda................ A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
RESOURCES
L oan s and discou nts......... ............ $101,652.99
O verdrafts ________________________
175.28
B onds and securities............. 11,296.37
4,090.00
B an kin g house and fixtures.____
Other real estate__________
5,300.00
Cash in ba n k & due fro m other
banks .........
21,886.51
Checks and item s o f exchange....
13.46
Other assets___________________
897.00

L IA B IL IT IE S
C apital S tock : Com m on___________$
F irst P referred ___
Surplus ..........................
U ndivided p rofits (n e t)_________
Individu al deposits________
Tim e certifica tes o f deposit.........
Savings deposits................................
C ertified and cashiers checks___
B ills payable............— ....................._

T ota l------------- -------------------------$145,311.61

Lebanon

T ota l------------------------------------- .$145,311.61

State Bank of Lebanon

Red Willow County
R ay

5,000.00
20,000.00
4,250.00
1,340.13
59,421.19
48,936.64
1,426.02
987.63
3,950.00

C harter No. 235

C. M urphy..... .......................... P residen t
M em ber o f F ederal Dei
STATEM ENT
RESOURCES

L oan s and discounts____________ $
O verdrafts ________________________
B on d s and securities____________
B an k in g house and fix tu re s_____
Cash in bank & due fro m other
banks -----------------Checks and item s o f exchange....
Other assets____________ ____............

C.

M urphy.----------------------------- Cashier

t Insurance C orporation
' JU N E 30, 1939
L IA B IL IT IE S

24,653.39
2.08
15,185.00
4,700.00
25,897.82
8.00
71.10

T ota l.............. ...............................$ 70,517.39


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

R ay

C apital Stock : C om m on... ........... ....$
F irst P referred __
Surplus ------------U ndivided p rofits (net)...___
Individu al deposits.................
C ertified and cashiers checks......

7,500.00
7,500.00
2,000.00
1,527.71
51,750.67
239.01

T ota l-------------------------------------- $ 70,517.39

D E PA R TM E N T OF BANKING

52

Leigh

Bank of Leigh
C o lfa x County

C harter No. 1629

R . H. Olson......................................P resident
F red J. R abeler.......................V ice-P resid en t

Geo.

C.

K u m p f............. ......................Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and discou nts------------$163,060.82
O verdrafts ......................................... —
184.44
B ond s and securities------------ 22,798.80
Judgm ents and claim s........... 1,600.00
B an king house and fix tu re s-------- 4,841.60
Cash in bank & due from other
banks ________
74,265.72
Checks and item s o f exchange....
97.51

C apital S to c k : C om m on...................$ 25,000.00
Surplus __________________ ________— 5,000.00
U ndivided p rofits (n e t)---------------3,585.08
Individu al deposits.------------------------ 171,340.33
Tim e certificates o f deposit......... 61,415.73
C ertified and cash iers checks----506.00
Other liabilities......................
1.75

T ota l............................................. $266,848.89

T ota l............................................. $266,848.89

Leshara State Bank

Leshara

C harter No. 901

Saunders C ounty
F ra n k
A . G.

C onrad...............
P resident
F euerstein... ............... V ice-P resid en t

H.

P.

H aessler.................................... C ashier

S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oans and discou nts...................... $
O verdrafts ... .....
B onds and securities.......................
B an kin g house and fix tu re s.........
Cash in bank & due from other
banks ................................
Checks and item s o f exchan ge.—

46,575.00
34.60
20,832.50
1,700.00
25,416.23
30.00

T ota l..............................................$ 94,588.33

Capital Stock : C om m on................... $
Surplus ..... ....................................... —
U ndivided p rofits (n e t)__________
Individual deposits............................
Tim e certificates o f deposit_____
Savings deposits.__________________
C ertified and cashiers checks......

20,000.00
700.00
1,835.23
26,237.31
43,702.24
2,109.55
4.00

T ota l.............................................$ 94,588.33

Farmers State Bank

Lexington

C harter N o. 1337

D aw son County
J. TT. "Roberts
.President
.V ice-P residen t
W
H W isd a .
L. K. G rantham .................... ...Vice-President

..Cashier
Jensen..............
J. V. O’ D on nell......... ................A ss't C ashier

M em ber o f F ederal R eserve System
S T A T E M E N T OF JU N E 30. 1939
R E SO U R C E S

L IA B IL IT IE S

L oans and discounts.—...................$211,107.10
O verdrafts .....................................
147.19
B onds and securities...................... 56,681.68
B an kin g house and fix tu res-------- 9,037.50
Other real estate.—............................
4,900.00
Cash in bank & due from other
banks .................................................. 120,610.46
L a w fu l reserve w ith F ed. Res.
B an k or other reserve agents.... 33,253.10
Checks and item s o f exchange....
586.52

Capital S tock : Common...................$ 19,000.00
F irst P referred __ 16,000.00
Surplus ................................
7,000.00
U ndivided p rofits (n e t)...................
1,264.78
R eserve fo r contingencies, etc...
1,890.00
R etirem ent fu nd fo r preferred
stock or debentures____________
1,000.00
Individu al deposits.......... ................... 362,710.04
D em and certifica tes o f deposit— 3,509.67
Tim e certificates o f deposit......... 18,502.52
S avings deposits......................
5,446.54

T ota l.............................................$436,323.55

T ota l.............................................$436,323.55


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

Lexington

53

Lexington State Bank

Dawson County

C harter N o. 238

R. F. Stuckey.—................... ............President
J. S. V an A uken................. ...Vice-President

Sim Bonsall
H. O. B arrett............ ................ A ss’t C ashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

R IA B IL IT IE S

R oan s and discou nts.......................$230,456.88
O verdrafts -------------------------594.75
B onds and securities......... ............. 276,126.71
359.38
Judgm ents and claim s...................
B an king house and fix tu re s...... 22,496.37
Cash in bank & due from other
banks .......
213,043.05
Checks and item s o f exchange.—
752.18
3,991.11
Other assets_______________________

C apital S tock : C om m on........ ..........$ 45,000.00
C apital notes
& debentures........ 30,000.00
Surplus .................................................. 15,000.00
U ndivided p ro fits (n et)__________ 11,111.00
R etirem ent fund fo r p referred
stock or debentures..___ _______
1,950.00
Individual deposits............................ 471,948.01
Tim e certifica tes o f deposit........ 138,683.83
Saving's deposits.........................
28,004.07
C ertified and cashiers checks___
1,123.52
Due to nation al and state banks 5,000.00

T o ta l----------------------------- ,--------$747,820.43

Liberty

T ota l............................................. $747,820.43

State Bank of Liberty

Gage County

C harter No. 491

E v erett M. B arr._______________ P resident
H erm an B ach en berg----------- V ice-P resid en t

T. J. P oa g u e----------------------------------C ashier
Ollie J. P oa g u e.................. _...Ass’ t C ashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES
R oans and discou nts____________ $ 62,039.37
O verdrafts ________________________
24.54
B onds and securities_______________ 31,624.00
B an kin g house and fixtures.______
2,100.00
Cash in bank & due from other
banks ......................
19,312.90

T ota l-------------------------------------- $115,100.81

Lincoln

R IA B IR IT IE S
C apital Stock : C om m on...................$
Surplus -----------------------------------------U ndivided p ro fits (n e t)__________
Individual deposits.....................
D em and certificates o f deposit....
T im e certificates o f deposit__ __
Savings deposits___________________
C ertified an d cashiers checks......
O ther liabilities.___________________

25,000.00
5,000.00
6,585.11
68,871.19
336.61
7,639.36
1,574.28
26.20
68.06

T ota l............................... ..............$115,100.81

Citizens State Bank

Lancaster County

Charter No. 1016

R. C. Chapin........... ........................P residen t
S. C. W au g h _______ ------------V ice-P resid en t

Geo. A. Knight.
P e rc y M ays_____

---------------- C ashier
.......A ss’t Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES
R oan s and discou nts____________ $103,847.47
B onds and securities____________ 169,037.99
B an kin g house and fix tu re s_____ 10,822.39
Cash in bank & due from other
banks ---49,414.43
Other assets..------------------------------------ 9,000.00
T ota l..............................................$342,122.28


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
C apital S tock : C om m on............... ....$ 30,000.00
Surplus ---------------------------6,000.00
9,463.43
U ndivided p rofits (n e t)__________
Individu al deposits............................. 199,749.63
T im e certificates o f deposit.......... 22,152.22
S avings deposits___________________ 71,782.41
C ertified and cashiers checks___
2,974.59
T o ta l------------------------------------- .$342,122.28

D E PA R TM E N T OF BANKING

54

Union Bank

Lincoln

C harter N o. 1363

Lancaster Connty
W.
G.

E. B a rk ley ............„ ....... _.........P residen t
A. P ra m p ton .... ............... V ice-P resid en t

Jose H. B ra d ley
_.............. V ice-P resid en t
C. H. W ea r........ ................................ „..C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and discou nts...................... $282,510.58
21.25
O verdrafts _____________
B onds and securities------------------ 59,362.92
Banking- house and fix tu re s.........
119.00
Cash in bank & due from other
banks ........ - ...................................... 167,617.98

C apital Stock : C om m on................... $ 25,000.00
Surplus ..... -..................- ..................... — 24,000.00
U ndivided p rofits (n e t)---------------982.62
R eserve fo r contingencies, etc.... 2,100.00
Individu al deposits—
----------- -— 238,671.32
Dem and certificates o f deposit— 11,500.00
Tim e certificates o f deposit-------- 95,313.27
Savings deposits___________________ 102,210.99
C ertified and cashiers ch eck s...... 4,853.53
Due to nation al and state banks 5,000.00

T ota l_________________________ $509,631.73

T ota l..................... ....................... $509,631.73

Linvtood

Farmers and Merchants Bank

B utler C ounty

C harter No. 244

J. M. M undil.......... ............................ P resident
Joseph M undil........ ................V ice-P resid en t
M em ber o f F ederal De

F.

F.

M undil....................................... Cashier

Insurance C orporation

S T A T E M E N T OE JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oan s and d iscounts.............. $157,853.29
O verdrafts ________________________
367.64
B ond s and securities.............. 43,327.00
B an kin g house and fix tu re s.........
500.00
Cash in bank & due from other
banks ........._..................................... — 34,604.95
C hecks and item s o f exchange....
20.20

Capital S tock : Com m on................... $ 10,000.00
Surplus .....
20,000.00
520.81
U ndivided p rofits (n e t)...... .........—
R eserve fo r contingencies, etc.— 3,767.41
Individu al deposits____ __
91,331.10
Tim e certifica tes o f deposit......... 108,202.84
Savings deposits.......................
1,830.92
C ertified and cash iers checks......
1,020.00

T ota l................... .......................... $236,673.08

T otal............................................. $236,673.08

Lisco State Bank

Lisco
Garden C ounty

C harter

A . R. L isco ... ...................................... P residen t
H.
B. O lson.................... .......V ice-P resid en t

R oy

No.

1061

P e rciv a l----------------------------------- Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oan s and discou nts-------------------$
O verdrafts ..... ......_........... - ----- --------B onds and securities— .................
B an king house and fix tu re s.........
Other real estate_______ __ ___ ____
Cash in bank & due from other
banks ......................................... ...... —
Checks and item s o f exchange....

48,386.12
71.38
43,690.25
800.00
2,000.00

20,000.00
2,000.00
930.24
75,263.54
13,624.59
9,269.64

26,111.22
29.04

T ota l.................. ........... ............... $121,088.01


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C apital Stock : C om m on................... $
Surplus .........................
U ndivided p rofits (n e t).....................
Individual deposits.............................
Tim e certificates
o f d e p o sit.........
S avings deposits....... ...........

T ota l............................................. $121,088.01

D E PA R TM E N T OF BANKING

Lodgepole

55

The First State Bank of Lodgepole

Cheyenne Connty

C harter No. 1194

O tto J. Melton......................... .......P resident
E m m a L ee R o g e rs ------------- V ice-P resid en t

A . C. P eterson________ _____ _____ Cashier
L. L. Spindler.......... ........... ....A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oa n s and discou nts______ ______$
O verdrafts ___________________
B onds and securities___________
B an kin g house and fix tu re s............
Other real estate__________________
Cash in bank & due from other
banks ................................

78,549.87
8.82
41,500.55
5,350.00
4.00
54,169.90

C apital S tock : C om m on__________ .$ 12,000.00
F irst Preferred...... 13,000.00
5,000.00
Surplus .......
U ndivided p rofits (n e t).......... ......
4,460.84
Individu al
deposits...........
100,407.97
Tim e certificates o f deposit........... 25,538.41
Savings deposits..... ....................,____ 19,175.98

T o ta l............................................. $179,583.20

T ota l____________ ____________ $179,583.20

Lorton,

Bank of Lorton
Otoe County

C harter N o.

C. H. D am m e_________ ______ ____P resident
W illia m P oeh ler............... ...... V ice-P resid en t

564

C. Steffens............................ ..................C ashier

S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and discou nts ...................... $36,318.83
B onds and
securities____ ________ 24,000.00
B an king house and fix tu res... .....
300.00
Cash in bank & due fro m other
banks ______________________
24,504.73

C apital Stock : C om m on_______ ___$
Surplus _______________
U ndivided p rofits (n e t)________
Individual deposits________________
T im e c e rtifica tes o f deposit_______

T o ta l_________________________ $ 85,123.56

Louisville

20,000.00
1,000.00
341.51
55,214.11
8,567.94

T ota l_________________________ $ 85,123.56

Home State Bank

Cass C ounty

C harter N o. 1283

C. J. P ankon in___________ _______ P resident
H en ry Stander.... .................... V ice-P resid en t

H.

B.

K o o p _______________________ Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and d iscounts-------------- ----$ 62,450.77
O verdrafts ............................
30.62
B onds and securities........ .........— 38,666.75
B an king house and fix tu re s........ 3,060.00
Cash in bank & due from other
banks .........................
79,370.14

C apital Stock : C om m on__________ $ 20,000.00
Surplus ___________________________
5,000.00
U ndivided p rofits (n e t)__________ 2,315.30
R eserve fo r contingencies, e tc ...
2,000.00
Individu al deposits________________ 91,469.60
T im e certificates o f deposit......... 56,610.52
S avings deposits-__________________
5,786.27
C ertified and cash iers checks......
396.59

T o ta l............................................. $183,578.28

T ota l_________________________ $183,578.28


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

56

Lushton

The Bank of Lushton
C harter No. 662

York County
........ President
R. R. C opsey
Geo. H. H oldem an.................V ice-President

H. O. M eserve.......... ............................ Cashier

S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discou nts.......... ............ $ 34,366.75
O verdrafts ................................- .........
40.67
B onds and securities....................... 8,804.77
B an king house and fix tu re s............
901.00
1.00
O ther real estate..... ...............
Cash in bank & due from other
banks .........................
13,509.76

C apital Stock : C om m on— ..............$ 10,000.00
Surplus ......... .......... ............................4,000.00
U ndivided p rofits (n e t)---------------1,886.5'8
R eserve fo r contingencies, etc.... 1,000.00
Individu al deposits............................. 15,295.39
D em and certificates o f deposit.... 5,000.00
T im e certificates o f deposit-------- 20,391.98
C ertified and cashiers checks___
50.00

T ota l............................................. $ 57,623.95

T ota l............................................. $ 57,623.95

McCool Junction

The Blue River Bank
Charter

Y o rk County
R. R. C opsey......................
P resident
Geo. H. H oldem an................ V ice-P resid en t

No. 277

Cashier
R. F. L ord ...............
M yrtle L. N ah rgan d ................A ss’t C ashier

S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oans and discou nts...................... $ 36,737.38
O verdrafts ............................................
181.77
B ond s and securities....................... 55,230.00
B an kin g house and fix tu re s.........
1.00
Other real estate................................
3.00
Cash in bank & due from other
banks .......... ..................- ........- .......... 32,373.64
Checks and item s o f exchange....
20.01

C apital Stock : C om m on................... $
Surplus .........................
U ndivided p rofits (net)....................
R éserve fo r contingencies, etc....
Individu al deposits-----------------------D em and certifica tes o f deposit....
T im e certificates o f deposit_____
C ertified and cashiers ch eck s......

T ota l______________ __________ $124,546.80

T ota l............................ .................$124,546.80

McCool Junction

15,000.00
10,000.00
1,852.11
200.00
44,692.03
11,000.00
39,718.91
2,083.75

Farmers and Merchants Bank

York County

C harter No. 784

N ina L. Seng.................... ............... P residen t
T.
C. W ilc o x .......................... V ice-P resid en t

W.

L.

Seng------------------------------------C ashier

S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans and d iscou nts................. .’.....$
O verdrafts ............................................
B onds and securities..... _................
B an k in g house and fix tu re s.........
Other real estate................................
Cash in bank & due from other
banks ..._..................................
C hecks and item s o f exchange....

15,835.49
11.94
17,875.00
2,500.00
5,000.00
38,064.46
2.60

T o ta l............................................. $ 79,289.49


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C apital S to ck : C om m on— ..............$ 15,000.00
Surplus ................................................... 3,000.00
U ndivided p rofits (n e t)....... ..........
980.19
Individual deposits............................. 44,710.57
Dem and certificates o f deposit... 15,598.73

T ota l............................................. $ 79,289.49

57

D E PAR TM E N T OF BANKING

Madison

The Bank of Madison

Madison County

C harter N o. 1651

J. J. D e L a y .......................................P resident
R. H. F reu den bu rg................V ice-P resid en t

G. C. B enning...... ,— ................... ....... Cashier
Ja y D e L a y ................................ A ss’ t Cashier

M em ber o f F ederai D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and d iscounts........_..............$ 91,672.28
O verdrafts ......................
35.43
B onds and
securities...... ........ 44,679.38
B an kin g house and fix tu re s-------- 2,664.01
Cash in bank & due fro m other
banks ____________________________ 71,424.09
C hecks and item s o f exchange....
264.04

Capital Stock : C om m on................... $ 25,000.00
Surplus ............................ - ..................
5,000.00
U ndivided p rofits (n e t)---------------- 3,016.95
Individual deposits................
169,278.47
8,118.32
Tim e certificates o f deposit.........
C ertified and cash iers ch ecks----325.49

T ota l________________________ .$210,739.23

T ota l........ ................................„...$210,739.23

Farmers State Bank

Madrid
Perkins
E.
H.

C harter No. 1654

County

E. Ja ckm an ............................... President
G. B rain a rd .......................V ice-P resid en t

F.

W.

Jackm an............................. — C ashier

S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oans and discou nts........... .......... $
B onds and securities____________
B an kin g house and fix tu re s-------Cash in bank & due from other
banks _____________________________

50,961.46
5,541.00
2,985.00
37,101.62

C apital S tock : C om m on------- ---------$
Surplus ________________________
U ndivided p rofits (n e t)---------------R eserve fo r contingencies, etc.....
Individual deposits.............................
Tim e certifica tes o f deposit-------C ertified and cashiers checks-----

T ota l........................ ....... ..............$ 96,589.08

T ota l________________ _________$ 96,589.08

Malmo

10,000.00
2,500.00
313.03
570.42
79,045.94
4,139.69
20.00

Security Home Bank
Saunders

County

C harter No. 1623

E m il B a rry .......................... ............... P resident
E. S. S chiefelbein_______ ___V ice-P resid en t

Gus

H ou fek.........— ..............................C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and discounts-------------------$ 87,820.10
O verdrafts .........................
67.28
B onds and securities---9,003.18
B an kin g house and fix tu re s-------- 1,366.25
Cash in bank & due from other
banks ________________________ ___ 41,086.67
C hecks and item s o f exchange....
353.43

Capital Stock : C om m on.............. — $ 12,500.00
C apital notes
& debentures- 12,000.00
R eserve fo r d iv­
idend payable
in com m on stock
500.00
Surplus ............. .................................. .. 5,000.00
U ndivided p rofits (n e t)..............— 2,798.66
R eserve fo r contingencies, etc.... 2,000.00
R etirem ent fu nd fo r p referred
stock or debentures..... ................
1,368.75
Individual deposits.....................
45,474.60
Tim e certificates o f deposit....'—
52,563.85
Savings deposits..... ................
4,900.69
C ertified and cash iers ch eck s----590.36

Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$139,696.91

Total.

.$139,696.91

58

D E PA R TM E N T OF BANKING

Manley

Manley State Bank

Cass

County

C harter No. 906

F. H. Stander.................... ............... President
A ug. C. P au tsch ................. .... V ice-P resid en t

Wm.

J.

Cashier

R au

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and discou nts...................... $ 42,066.28
O verdrafts .......
22.65
B onds and securities........................... 21,712.50
600.00
B an kin g house and fix tu re s_______
Cash in bank & due fro m other
banks ................................................... 12,840.51

C apital S tock : C om m on................... $ 10,000.00
2,000.00
Surplus ........ ...................
U ndivided p rofits (n e t)...................
1,330.81
Individual deposits............................. 35,117.90
D em and certifica tes o f deposit.... 5,000.00
T im e certificates o f deposit.... .
23,793.23

T ota l............................................. $ 77,241.91

T o ta l............................................. $ 77,241.94

Martell

Martell State Bank

Lancaster County

C harter N o.

W . H. H. M oore............................ — P resident
Sim on W u n d erlich _______ __ V ice-P resid en t

J.

C arl

888

Sittler......................... .............C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oan s and discou nts— .........
$141,324.48
O verdrafts --------------- - ........................
78.94
B onds and securities.................. — 60,183.46
Judgm ents
and claim s.............
416.50
Other real estate...............
2,478.50
Cash in bank & due fro m other
banks ____________________________ 71,109.80
C hecks and item s o f exchange....
40.37

C apital S tock : C om m on................... $ 25,000.00
Surplus .....
25,000.00
U ndivided p rofits (n e t)...................
4,493.88
Individual deposits............................. 89,384.56
D em and certificates o f deposit.... 4,839.21
Tim e ce rtifica tes o f deposit......... 103,210.49
S avings deposits.................................. 21,115.03
C ertified and cash iers ch eck s...... 2,588.88

T ota l______________________ ___$275,632.05

T ota l— ......................................... $275,632.05

Mason City

Mason State Bank

Custer County

C harter N o. 1576

A. B. T urner............... ..................... P residen t
A. V . P o w e ll________________ V ice-P resid en t

Joe R. Turner......................... .............Cashier
John A. T urner...................... A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOU RCES
L oans and discounts...................... $
O verdrafts .........................
B on d s and securities____________
B an kin g house and fix tu res_____
Cash in bank & due fro m other
banks ..............
C hecks and item s o f exchange....

L IA B IL IT IE S
57,908.65
5.91
9,420.97
3,600.00
28,868.08
34.07

T o ta l..............................................$ 99,837.68


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Capital S tock : C om m on................... $
C apital notes
& debentures.......
R eserve fo r d iv ­
idend p ayable
in com m on stock
Surplus ............
U ndivided
p rofits
(n e t)............
Individual d eposits...............................
T im e c e rtifica tes o f deposit..........

16,000.00
8,000.00
1,000.00
3,700.00
2,103.98
52,687.55
16,346.15

T ota l............... ..............................$ 99,837.68

59

D E PA R TM E N T OF BANKING

Farmers State Bank

Maywood

C harter No. 1652

F ron tier County
F red W h ip ple..... ................
President
H a rry E. Schm itz__________ V ice-P resid ent

R. M. R o a ch _______________________ C ashier

S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES

31,566.90
4.80

C apital S tock : C om m on................... $ 10,000.00
Surplus ------2,500.00
962.47
U ndivided p rofits (n e t)...............—
R eserve fo r contingencies, etc.—
68.75
Individu al d eposits________________ 70,777.30
Tim e certificates o f deposit-----2,000.00
Savings deposits-------------------92.82

T o ta l........ ....................................$ 86,401.34

T ota l__ _______ _______ _______ $ 86,401.34

L oans and discou nts......-.................. $
O verdrafts _____________
B onds and securities... ...........
B an kin g house and fix tu re s..... —
Cash in bank & due from other
banks ............................ - ..........
Checks and item s o f exchange....

Mead

36,747.94
46.03
16,235.67
1,800.00

Bank of Mead
Saunders County

C harter N o. 262

Ja y W ille y ..........................................President
R . M. E rw a y ______________ V ice-P resid en t

E m erson E. E r w a y ------------------------ C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oa n s and discounts____________ $ 71,837.30
O verdrafts ...................
52.56
B onds and securities...... ...........
50,838.00
8,500.00
B an k in g house and fixtures.........
Other real estate_______________ ..... 6,076.00
Cash in bank & due from other
banks ___________
103,339.88
Checks and item s o f exchange....
54.33

Capital Stock : C om m on---------------- $ 11,000.00
C apital notes
& debentures____ 18,000.00
R eserve fo r div­
idend payable
in com m on stock
200.00
Surplus .............................................. .. 4,000.00
3,079.69
U ndivided p rofits (n e t)---------------R eserve fo r contingencies, etc.—
990.00
R etirem ent fu nd fo r preferred
142.50
stock or debentures------------------Individual deposits_________...--------- 107,709.87
Tim e c ertifica tes o f d eposit-........ 79,189.98
15,485.52
Savings deposits..... .....................
C ertified and cashiers checks----100.51

T ota l_________________________ $240,698.07

T ota l............................ .................$240,698.07

Farmers Bank of Merna

Mema
Custer County

C harter N o. 1037

B. F. C ox ......................................... P resident
F. L. B eals............................................. Cashier

R uth H. Beals.......................... A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oans and discou nts......................$ 92,609.84
O verdratfs ...................................
68.02
B onds and securities— ..............._ 26,761.73
B an king house and fix tu re s— .......... 2,200.00
Cash in bank & due fro m other
banks ................................................... 59,984.03
Checks and items o f exchange....
51.40

C apital S tock : C om m on................... $ 17,500.00
C apital notes
& debentures........ 7,500.00
Surplus — ..............................................
5,000.00
LTndivided p rofits (n e t)...................
5,845.86
R etirem ent fund fo r preferred
stock or debentures......................
2,500.00
Individu al deposits............................. 108,281.24
Tim e certificates o f deposit......... 34,997.42
C ertified and cash iers checks......
50.50

T ota l............................................. $181,675.02

T ota l...................... .......................$181,675.02


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

60

D E PA R TM E N T OF BANKING

Merriman

Anchor Bank

Cherry County

C harter No. 580

W . A. M etzger............................ „...President
M. O. M etzger--------------------- V ice -P re sid e n t

D. W . C o ffe y ...................................... Cashier
P. O. W a n g erin ........................ A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oan s and discou nts____________ $128,657.31
O verdrafts _____________________
64.84
B onds and securities..................... 30,773.16
B an k in g house and fix tu res.......... 4,500.00
C ash in bank & due fro m other
banks ................................
74,715.77

C apital Stock : Com m on.—............... $ 25,000.00
Surplus ............................
5,000.00
U ndivided p rofits (n e t)...................
9,329.88
Individual deposits........ ............
145,507.67
Tim e certificates o f deposit......... 52,570.05
C ertified and cashiers ch eck s......
1,303.48

T o ta l............................................. $238,711.08

T ota l......... ............ ....................... $238,711.08

Milford

Farmers and Merchants Bank

Seward County

C harter No. 1639

John E. V a n ce ---------------------------- P residen t
F red D anekas............................V ice-P resid en t

John E. Vance..._.............. ................ Cashier
B. K. Vance...„..................... „...Ass’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S
L oan s and d iscou nts_______
$125,978.87
C apital Stock : C om m on................... $ 40,000.00
O verdrafts ________________________
57.25
Surplus ................................................
10,000.01
B onds and securities.... .................. 91,359.32
U ndivided p rofits (n e t)...................
567.51
300.00
Judgm ents and claim s_____ _____
Individual deposits............................. 156,330.06
B an king house and fix tu re s.......................... 4,644.00
D em and certificates
o f deposit.... 2,869.00
Cash in bank & due fro m other
T im e certificates o f deposit............ 90,750.40
banks .....................................
97,097.77
S avings deposits.................................. 18,920.24
T ota l..............................................$319,437.21

Millard

T ota l........ ....... ............................ $319,437.21

The Farmers State Bank of Millard

Douglas County

C harter N o. 1342

Ben Schom er..................... ............... President
G.
E. N elson— ......................V ice-P resid en t

G. E. Nelson........................................C ashier
M. R. W oodlin g....................... A ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOURCES •

L IA B IL IT IE S

L oan s and d iscou nts________$161,881.80
O verdrafts _____________________
131.94
B onds and securities...................... 55,338.90
Judgm ents and claim s__________
225.00
B an k in g house and fix tu re s_____
4,096.48
Cash in bank & due from other
banks — ........
51,771.14
C hecks and item s o f exchange....
120.00

C apital S tock : C om m on__________ $ 15,000.00
C apital notes
5,000.00
& debentures..—...
R eserve fo r d iv ­
idend payable
in com m on stock
5,000.00
Surplus ................................................
7,000.00
U ndivided p rofits (n et)...................
4,059.79
R eserve fo r contingencies, etc.... 1,500.00
R etirem ent fund fo r preferred
stock or debentures...............
1,062.50
Individu al deposits________________ 128,935.46
D em and certifica tes o f deposit.... 15,000.00
T im e certifica tes o f depost......... 59,933.85
Savings deposits.......... .....
29,619.88
C ertified and cashiers ch ecks......
1,453.78

T o ta l.................................... ...... :..$273,565.2€

T ota l........ .................................... $273,565.26


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

Milligan

61

Farmers and Merchants Bank

F illm ore

County

C harter No. 748

V. V. Sm rha........... ........................... President
A da K lim a............. ................. V ice-P resid ent

C ashier
J. J. Klim a
M ary Sm rha.................. ............A ss’ t C ashier

M em ber o f F ederal Deposit Insurance C orporation
S T A T E M E N T O P JU N E 30, 1939
R E SO U R C E S

L IA B IL IT IE S

L oans and discounts,......................$
B ond s and securities_____________
B an kin g house and fix tu res.........
Cash in bank & due from other
banks -------------------------------------------

42,174.03
86,889.75
2,628.23
25,661.30

T ota l-------------------------------------- $157,353.31

Monroe

Capital Stock : C om m on................... $ 25,000.00
5,200.00
Surplus ..........
U ndivided p rofits (n e t).................... 4,151.05
Individual deposits................... ......... 71,990.68
Dem and certificates o f deposit.... 39,353.49
Savings deposits.—.....................
11,607.09
C ertified and cash iers checks___
50.00
Other liabilities....................................
1.00
T ota l— .........................................$157,353.31

Bank of Monroe

P latte

County

C harter N o.

F. C. H a rris......................... ............. P resident
John L am m ers...................... ....Vice-President

F red erick

271

Cashier

H arris

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oans and discou nts............... .......$ 72,156.22
O verdrafts _______________
77.44
B onds and securities______________
170.00
B an kin g house and fix tu re s_______ 5,900.00
Cash in bank & due fro m other
banks ------------------------------------------ 28,481.78

C apital Stock : C om m on...................$ 24,000.00
Surplus .........................
3,500.00
U ndivided p rofits (n e t)............
885.44
Individu al deposits.............................. 37,807.98
Tim e certificates o f deposit_______ 35,330.63
Savings deposits.—.............'________
5,261.39

T ota l_________________________ $106,785.44

T ota l... ..........................................$106,785.44

Mullen

Bank of Mullen
H ook er County

C. J. A b b ott...
L e R o y A bbott.

Charter No. 1635
.......... P residen t
.V ice-P residen t

Don E. H a n n a..........................V ice-P resid en t
W . H. B ram er........ .... ......................... Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOURCES

L IA B IL IT IE S
L oan s and discounts..................... $127,215.88
C apital S to ck : C om m on................... $ 25,000.00
O verdrafts ________________
3.93
Surplus ....
5,000.00
B onds and
securities.................
41,664.86
U ndivided p ro fits (n e t)__________ 2,026.29
B an kin g house and fix tu re s______________ 9,975.00
Individu al deposits............
151,594.47
Cash in bank & due from other
T im e certificates o f deposit_____ 27,515.69
banks _______________ _.................... 37,942.33
Savings deposits......................
5,140.62
C ertified and cashiers ch eck s___
524.93
T ota l_________________________ $216,802.00


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T ota l............................................. $216,802.00

D E PA R TM E N T OF BANKING

62

Murray

Murray State Bank

Cass County
W.
E.

"Charter No. 578

G. B oedeker............. .................P resident
S. T utt....................... .......V ice-P resid en t

Charles H.

B oedeker.______________Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
.

C apital Stock : C om m on____ _____ $ 20,000.00
L oan s and
discou nts------------ $167,785.22
10,000.00
Surplus ............- .....................
O verdrafts
66.07
U ndivided p rofits (n et)............... — 4,325.82
B onds and
securities...... ..................... 74,927.45
Individual deposits...... ....................... 122,659.04
B an kin g house and fix tu re s.......................... 3,240.00
D em and certificates o f deposit_ 5,000.00
Cash in bank & due fro m other
Tim e certificates o f deposit_____ 144,125.80
banks ... .............. —....-.............. - ....... 65,290.54
Checks and item s o f e x ch an ge.......................123.95C ertified and cashiers checks___ 5,322.57
T o ta l..... ............... .......................$311,433.23

T ota l............................................. $311,433.23

Farmers Bank

Nebraska City
Otoe County

C harter No. 27'8

J. H. C atron
........... .................... P residen t
Jam es T. Shewell__________ V ice-P resid en t
J. R. S tevenson___________________ Cashier

M ark F ullriede........................A ss’ t Cashier
E. T. G ardner......................... A ss’ t Cashier

S T A T E M E N T OF JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans
and discou nts..............
$270,455.76
B onds
and securities....................... 598,956.74
B an kin g house and fixtures.........
1,000.00
C ash in bank & due fro m other
banks ....................... ........................ - 577,224.74
C hecks and item s o f exchange....
1,628.59

Capital S to c k : C om m on................... $ 50,000.00
Surplus ............................- .................... 50,000.00
U ndivided p rofits (n e t)__________ 78,916.34
Individu al deposits...............
967,091.43
D em and certificates o f deposit_ 3,445.43
T im e certificates o f deposit_____ 228,867.69
Savings deposits.................................. 48,754.18
C ertified and cash iers ch ecks......
65.59
Due to national and state banks 22,125.17

T ota l........................... ..............$1,449,265.83

Total.......................................... $1,449,265.83

Nehawka
C^ss
D avid

C.

The Nehawka Bank
County

C harter No. 279

W e st.......... ......................President

W a lter

J.

W und erlich .......................C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
R E SO U R C E S
L oa n s and discou nts... .................. $
O verdrafts ________________________
B onds and securities......... ................
B an kin g house and fix tu re s............
Cash in bank & due fro m other
banks ________________

L IA B IL IT IE S
82,376.04
39.32
12,620.66
4,250.00
36,268.34

T o ta l............................................. $135,554.36


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C apital Stock : C om m on..... .............$
F irst P referred ....
Surplus ..... —..........................................
U ndivided p rofits (n e t)... ...............
R etirem ent fund fo r preferred
stock or debentures......................
Individu al deposits..... ...................
T im e certifica tes o f deposit.........
C ertified and cashiers checks___

5,000.00
20,000.00
3,000.00
2,558.82
3,500.00
78,385.98
23,107.44
2.12

T ota l............................................. $135,554.36

63

D E PA R TM E N T OF BANKING

Commercial Bank

Nelson

C harter N o. 280

Nuckolls County
Jas. B. W eh rm a n ........................President
I.
J. W eh rm a n ...................................Cashier

Jas. P. M urphy........................A ss’ t C ashier
R o y C. B rew er .................... A ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

R ESOURCES

L oans and discounts........ _............$153,419.09
O verdrafts ..........
140.37
B onds and securities..... ................ 82,248.00
B an king house and fix tu re s............
3,879.00
Other real estate__________________ 2,585.00
Cash in bank & due fro m other
banks ... .....................- .....................— 103,218.53

Capital Stock : Com m on................... $ 25,000.00
Surplus ----------------------------15,000.00
U ndivided p rofits (n e t)------------------- 16,803.83
Individu al deposits------ ------178,744.11
Tim e certificates
o f deposit.......... 55,793.09
38,438.84
Savings Deposits.----- ---------------Due to national and state banks 15,710.12
T ota l___________ _____________ $345,489.99

T ota l................................. ..........$345,489.99

Bank of Nemaha

Nemaha

C harter No. 632

Nemaha County
H elen

M.

.President
D ressier.............. .V ice-P resid en t

H. R. D ressier.......................................C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans and discou nts...................... $
O verdrafts ________________________
B on d s and securities---------------B an kin g house and fix tu re s---------Cash in bank & due fro m other
banks _________

62,275.83
89.11
17,401.79
1,200.00
24,763.01

C apital Stock : C om m on................... $
Surplus ____________________________
U ndivided p rofits (n e t)---------------R eserve fo r contingencies, etc.....
Individu al deposits------------Tim e certificates o f deposit.........
Savings deposits----------------------------

T ota l............................................. $105,729.74

T ota l_________________________ $105,729.74

Newcastle

American State Bank
C harter No. 1567

Dixon County
C.
W.

10,000.00
6,000.00
723.86
2,500.00
64,593.72
17,895.92
4,016.24

A . K in g sb u ry ----- C hairm an o f B oard
S. G ilm an___________________ P resident

N.
M.

T. T h om as...................... V ice-P resid en t
M. N elson_____________________ C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oans and discou nts...................... $
O verdrafts ------ ------- ------------------——
B onds and securities------------------B an king house and fix tu re s.........
Other real estate----------------------- —
Cash in bank & due from other
banks ____________________________
Checks and item s o f exchange....
Other assets_______________________

38,259.61
13.08
67,407.50
4,850.00
3,400.00
31,675.94
674.01
427.23

C apital Stock : C om m on................... $
Capital notes
& debentures........
R eserve fo r d iv ­
idend payable
in com m on stock
Surplus ..................... - ...........................
U ndivided p rofits (n e t)...................
R eserve fo r contingencies, etc.....
R etirem ent fund fo r p roferred
stock or debentures......................
Individual deposits.................. — —

10.500.00
14.300.00
200.00

2,900.00
335.81
218.72

1,084.25
77,587.20
150.00
Dem and certificates o f deposit—
Tim e certificates o f deposit-------- 39,394.42
37.00
C ertified and cashiers checks....

Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$146,707.40

Total.

.$146,707.40

64

D E PA R TM E N T OF BANKING

Niobrara

Bank of Niobrara

Knox County
F.
A.

C harter No. 1614

R . M ares.................................... .P resident
Skokan............. ...................V ice-P resid en t

John
John

D. F orsyth — ............ V ice-P resid en t
B asta.—........... ............................. Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oa n s and discou nts.......................$ 46,893.84
B onds and securities....................... 45,322.50
Judgm ents and claim s__________
388.89
B an king house and fix tu res.........
3,501.00
Cash in bank & due from other
banks ...............
30,662.27
C hecks and item s o f exchange....
536.03

Capital S tock : Comm on....................$
Surplus ...................
U ndivided p rofits (n e t)...................
R eserve fo r contingencies, etc...
Individual deposits.............................
Tim e certificates o f deposit.........
C ertified and cashiers ch ecks......

T o ta l............................................. $127,304.53

North Bend

25,000.00
5,000.00
971.36
2,000.00
87,339.44
6,760.00
233.73

T ota l............................................. $127,304,53

Platte Valley Bank

Dodge County

C harter No. 272

Phillip W alla, J r............................ P residen t
Em il E. W o lf.........................V ice-P resid en t

E m il

E.

W o lf

Cashier

M em ber o f F ederai D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES
L oans and d iscou nts.......................$176,774.29
O verdrafts .........
145.59
B onds and securities...................
60,158.92
Judgm ents and claim s__________
420.00
B an k in g house and fix tu re s_____
4,420.00
Cash in bank & due from other
90,969.78
banks ....................
C hecks and item s o f exchange....
48.80

L IA B IL IT IE S
Capital S tock : C om m on................... $ 30,000.00
Surplus .......
6,000.00
U ndivided p rofits (n e t)................... 30,154.30
R eserve fo r contingencies, etc.... 3,144.18
Individu al d eposita ............................ 190,914.81
Tim e certificates o f deposit......... 63,800.46
Savings d eposits..................................
8,667.63
C ertified and cashiers ch eck s......
256.00

T o ta l............................. ................ $332,937.38

North Platte

McDonald State Bank

Lincoln County

C harter No. 647

W . H. M cD onald-.. ...Chairman o f B oard
G. J. T aylor....................................... P residen t
L. B. D ick ................ ................V ice-P resid en t
J. Y. Castle............ ..............................Cashier

M.
H.
G.

F. R a lston — ........................A s s ’ t Cashier
W . Arp.....................
A ss’ t Cashier
W . T a y lo r..............................A ss’t Cashier

M em ber o f F ederal R eserve System
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES
L oa n s and d iscou nts.......................... $395,301.28
O verdrafts ________________________
14.71
B onds and securities..... ................ 333,299.23
B an king house and fix tu re s.........
3,579.44
Cash in bank & due from other
banks ...................................
316,372.91
L a w fu l reserve w ith F ed. Res.
B ank or other reserve agents.... 84,199.17
C hecks and item s o f exchange.... 5,802.95
O ther assets........ ................................. 2,232.03
T o ta l......................................... $1,140,801.72


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
C apital Stock : C om m on................... $ 60,000.00
C apital notes

T ota l.................. .......................$1,140,801.72

65

D E PAR TM E N T OF BANKING

Oak

Scroggin and Company Bank
Charter No. 1080

N uckolls County
B.
A.

F. S crog g in ................................President
C. S croggin ..................
V ice-P resid en t

J. L. S crog g in ___ _________________Cashier
G. G. S croggin ... ......................A ss’ t Cashier

S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and d iscounts... ...................$121,087.03
B onds and securities____________ 31,352.43
Cash in bank & due from other
banks ____________________________ 57,984.49

C apital S tock : C om m on................... $ 25,000.00
Surplus ____________________________ 12,500.00
U ndivided p rofits (n e t)__________
5,987.17
Individual deposits________________ 150,288.39
Time certificates o f d ep o sit............ 16,648.39

T ota l............................... ..............$210,423.95

T ota l________ ________________ $210,423.95

Oconto

Farmers Bank
Custer County

C harter N o.

F ra n k Devine.____________________ P resident
Theo. D w erlkotte____ ______ V ice-P resident

866

J. V. D evine_______________________ C ashier
M. D. B erry ____________ ____ A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES

L IA B IL IT IE S
L oans and discounts.___________ .$124,233.65
C apital S tock : C om m on................... $ 25,000.00
O verdrafts .............
88.69
Surplus ____
20,000.00
B onds and securities.___________ 86,763.45
U ndivided p rofits (n e t)........ ..........
8,030.37
Judgm ents and claim s__________
275.00
R eserve fo r contingencies, etc__ 5,000.00
B an kin g house and fix tu res______________ 4,500.00
Individual deposits_________________ 183,617.29
Cash in bank & due fro m other
Dem and certificates o f deposit.... 5,000.00
banks ____________________________ 167,107.26
Tim e certificates o f deposit_____ 136,320.39
T ota l......................................... „...$382,968.05

Odell

T ota l_________________________ $382,968.05

State Bank of Odell
C harter No. 973

Gage County
S tanosh eck................ ......... President

W .T

. S tanosheck.... . ..........................Cashier

M em ber o f F ederal D eposit in su ran ce C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and
discou nts____________$131,398.98
O v erdrafts ____________ ......------------14.05
B onds and
securities------------------ 55,347.50
B an k in g house and fix tu re s.........
2,600.00
C ash in bank & due fro m other
banks .........................
49,351.20

C apital Stock : C om m on................... $ 15,000.00
Surplus ...........................................
15,000.00
U ndivided p rofits (n e t)................... 11,385.65
R eserve fo r contingencies, etc._ 7,000.00
Individual deposits......................... — 104,208.33
Tim e certificates o f deposit......... 85,419.65
C ertified and cash iers checks.---698.10

T ota l................................. ............$238,711.73

T otal............................................. $238,711.73


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

66

D E PA R TM E N T OF BANKING

Ohiowa

The Home Bank
C harter No. 953

F illm ore C ounty
F. J. Sieber.................................„....President
M a ry Sieber............................ V ice-P resid en t
M em ber o f F ederal Dei
STATEM ENT

E. J. L y n n ............................................. Cashier
F. J. Sieber, J r ....................... A ss’ t Cashier
lit Insurance C orporation
F JU N E 30, 1939

RESOU RCES

L IA B IL IT IE S

L oa n s and discou nts...................... $
B onds and securities..... ............
Judgm ents and claim s..... .............
B an kin g house and fixtures..........
Cash in bank & due from other
banks ................................
C hecks and item s o f exchange....

63,723.31
20,000.00
300.00
3,575.00
67,237.11
810.33

T o ta l............................................. $155,615.75

C apital Stock : C om m on................... $ 12,000.00
C apital notes
& debentures____ 13,000.00
Surplus ............
5,000.00
U ndivided p rofits (n e t)____ _______ 1,288.90
R eserve fo r contingencies, etc....
180.50
R etirem ent fu nd fo r preferred
stock or debentures...............
632.19
Individual deposits..... ..........................113,601.11
C ertified and cash iers ch ecks...... 9,942.75T ota l............................................. $155,645.75

Bank of Florence

Omaha

November 8, 1939—Changed name to North Side Bank
Douglas

County

C harter No. 812

W . B. R o b e rts........ ........................ P residen t
R. H. H a ll................................ V ice-P resid en t

R . H. H a ll.................. .......................... C ashier
E. J. Seitz..... ............................. A ss’t C ashier

M em ber o f F édéral D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oa n s and discounts........... ..........$296,670.52
B onds and
securities...........
138,200.11
B an k in g house and fixtu res.—.....
1.00
Cash in bank & due from other
banks - ........................
122,956.75

C apital Stock : C om m on................... $ 25,000.03
15,000.00
Surplus ............
U ndivided p rofits (n e t)__________
6,868.69
R eserve fo r contingencies, etc.... 1,048.97
Individu al deposits..... ....................... 375,538.96
D em and certifica tes o f deposit.... 10,000.00
T im e certificates o f deposit_____ 49,493.57
Savings deposits........ ........
66,923.39
7,954.80
C ertified and cash iers ch eck s......

T ota l............. .............................. .$557,828.38

T ota l............................................. $557,828.38

Douglas County Bank of Omaha

Omaha

Charter No. 990

Douglas County
C.
L. W a ld ro n ...... ....C hairm an o f B oard
E. L. C ook............................ ............. P resident

O scar L. O lson..................... V ice-P resid en t
W . F . R u zick a _____________________ Cashier

M em ber o f F ederal Depc sit Insurance C orporation
S T A T E M E N T C F JU N E 30, 1939
RESOU RCES
L oa n s and discou nts.......... ............ $442,917.61
B onds and securities...................... 379,696.37
Judgm ents and claim s— .......... .—
416.65
B an kin g house and fix tu re s......... 11,385.00
Cash in bank & due from other
banks .............................................. — 263,702.03

T ota l________________________$1,098,117.66


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
C apital Stock : C om m on................... $ 50,000.00
Surplus ................................................... 35,000.00
U ndivided p rofits (n e t)................... 11,019.88
R eserve fo r contingencies, etc.... 15,000.00
Individu al deposits............................. 580,533.80
D em and certificates o f deposit.... 12,000.00
Tim e certificates o f deposit-------- 75,851.'85
S avings deposits___________________ 309,871.93
C ertified and cashiers ch eck s....................... 8,678.04
Other liabilities................................
162.16
Total...._________________ ____ $1,098,117.66

67

D E PAR TM E N T OF BANKING

South Omaha Savings Bank

Omaha
Douglas
H.
H.

C harter N o. 381

County

A. H o v e y ____________________ President
A. M orrison......................V ice-P residen t

F. J. K oca rn ik .......................................Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES

Capital Stock : C om m on------------ ---$ 50,000.00
L oans and discounts.......................$476,242.55
Surplus ............................ .............—-— 32,500.00
B onds and securities.................. — 327,989.65
U
ndivided p rofits (n e t)............. ...... 11,642.16
5,829.75
Judgm ents and claim s......................
R eserve fo r contingencies, etc... 7,783.07
B an kin g house and fix tu re s----------------------1,600.00
Tim
e certifica tes o f deposit.......... 57,209.00
Other real estate................
18,455.00
Savings deposits---- ----------883,145.32
Cash in hank & due from other
banks ......
205,399.03
Other assets..........................................
6,763.57
T ota l_______________________ $1,042,279.55

Ord

T ota l_______________________ $1,042,279.55

Nebraska State Bank
Valley County

C harter No. 1169

C. J. M ortensen______
.President
E. R . F a fe ita _____________________ C ashier

H arold Taylor..._______________________ A ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oan s and
discou nts.............$201,790.29
O verdrafts .................................
227.42
B onds and securities.................. — 126,358.00
B an kin g house and fix tu res- 10,075.00
Cash in hank & due from other
banks ___ ________________
121,352.26
C hecks and
item s o f exchan ge—
1,256.18

C apital Stock : C om m on................... $ 24,500.00
F irst P referred ----- 28,000.00
Surplus -------10,500.00
U ndivided p ro fits (n e t)---------------- 5,342.66
Individu al deposits.--------- -------------- 222,880.96
T im e certificates o f deposit-------- 133,184.23
Savings deposits.......... ...........
35,540.20
C ertified and cashiers checks----1,111.10

T ota l_________________________ $461,059.15

T ota l............................................. $461,059.15

Nebraska State Bank

O shkosh

C harter No. 1564

Carden County
Geo. H. M orris................................ President
C. M. D av is_________ ______ V ice-P resid en t

F. L. F errell__________________ _____Cashier
J. A. Shields________________ A ss’ t Cashier

M em ber o f Federal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
R E SO U R C E S

L IA B IL IT IE S

L oan s and discounts..............$150,292.90
B onds and securities.............. 98,281.33
B an king house and fix tu re s-------- 7,000.00
Cash in bank & due from other
banks ............
51,151.48
Checks and item s o f exchange....
17.06

C apital Stock : C om m on........ .......... $ 30,000.00
Surplus ............................ -.................... 15,000.00
U ndivided p rofits (net).................... 28,589.52
R eserve fo r contingencies, etc.... 8,500.00
Individu al deposits................... - ......... 166,276.85
Tim e certificates o f deposit......... 53,289.33
Savings deposits........ - ..................... — 4,290.12
C ertified and cashiers checks......
796.95

Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$306,742.77

Total.

,742.77

68

DEPARTM ENT

Osmond

OF

B A N K IN G

Osmond State Bank

Pierce County

C harter No. 1655

J. B. Adkins....... ......... ...................... P residen t
Gus J. M arek..... ................... V ice-P resid en t

A lfred J. P ilg er....................................Cashier
Theo. P. G oeres.......................A ss’ t Cashier

S T A T E M E N T O F JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oan s and d iscou nts...................... $ 64,409.93
O verdrafts _________________
226.21
B an k in g house and fix tu re s..............
600.00
Cash in bank & due from other
40,185.45
banks ...................................
Checks and items o f exchange....
839.09
T ota l............. ................................$106,559.68

Oxford

Capital Stock : C om m on................... $
Surplus -----------------------------------------U ndivided p rofits (n e t)...................
Individual deposits...................
Tim e certifica tes o f deposit.........
S avings deposits___________________
C ertified and cashiers checks......

10,000.00
2,500.00
241.44
72,997.63
20,750.89
65.34
4.38

T otal...................... ......................$106,559.68

Security State Bank
Furnas County

C harter No. 1225

J. P. Allen...........................................P residen t
O. D. N ielsen........................ V ice-P resid en t

F . P. N ielsen............................ .......... Cashier
M. J. B endler........ ................... A ss’t Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S
L oa n s and discounts.......................$119,311.94
C apital Stock : C om m on.................. $ 17,500.00
O verdrafts __________
234.17
F irst Preferred...... 17,500.00
B onds and securities.—.... .............. 78,300.00
7,000.00
Surplus ................................................
B an kin g house and fix tu res.......................... 7,200.00
U ndivided p rofits (n et)...............
2,250.13
O ther real estate....... ...............
1,022.84
R etirem ent fund fo r preferred
Cash in ba n k & due from other
stock or debentures............
1,500.00
banks ................................................... 109,405.01
Individu al deposits.......... ................... 159,742.82
D em and certifica tes o f deposit.... 1,859.30
Tim e certificates o f deposit......... 54,947.58
S avings deposits.........................
53,128.04
Due to national and state banks
46.09
T o ta l-------------------------------------- $315,473.96

Palisade

T o ta l...................................... .......$315,473.96

Frenchman Valley Bank

Hitchcock County
L.
E.
A.

C harter N o.

C. C hurchill.......... ......................... President
A. W ig g en h orn ............... V ice-P resid en t
J. B a x te r.......................
C ashier

661

W in ston C hurchill.................. A ss’ t Cashier
E. S chipm an.......... .... .............A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S
L oans
and discounts........... ............ $190,790.85
C apital Stock : C om m on........ ..........$ 18,000.00
O verdrafts ______________
200.32
C apital notes
B ond s
and securities________
25,438.89
& debentures____ 32,000.00
B an kin g house and fix tu re s...................... 2,600.00
Surplus ...................................
3,000.00
Cash in bank & due from other
U ndivided p rofits (n et)____
1,465.23
banks ................
116,742.48
R etirem ent fu nd fo r p referred
Checks and item s o f exch an ge__
58.09
stock or debentures......................
128.91
O ther assets........ ............
4,070.00
Individual deposits......................
208,110.64
D em and certifica tes o f deposit.... 6,244.75
T im e certificates o f deposit......... 70,951.10
T o ta l............................................. $339,900.63


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T o ta l........ ............................ ....... $339,900.63

DEPARTM ENT

Palmer

69

O F B A N K IN G

State Bank
M errick County

C harter N o. 1656

T. G. D insdale............. .............. ....President
R . B. Fisher._______________ V ice-P resid en t

O. C. W rig h t..... ........... ......................... Cashier

S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and discou nts...................... $
O verdrafts ________________________
B onds and securities..._____ _______
Banking- house and fix tu re s______
Cash in hank & due from other
banks .......

49,585.36
2.87
2,688.00
1,500.00
15,961.51

C apital Stock : C om m on................... $
Surplus -----------------------------------------U ndivided p rofits (n e t)...................
Individual deposits.............................
S avings deposits___________________
C ertified and cashiers checks....

T ota l............................................. $ 69,737.77

Palmyra

10,000.00
2,500.00
886.76
54,226.97
1,730.04
394.00

T ota l----------------- .-.____________ ? 69,737.77

The Bank of Palmyra

Otoe County

C harter No. 322

J . H. C atron.......... ..................
President
T. W . B ell-------------------------- .V ice-P residen t

C. A. Sweet..._........................................ Cashier
C. A . Sweet, Jr..._----- ------------Ass’ t C ashier

S T A T E M E N T O F JU N E 30, 1939
RESOU RCES
L oa n s and discounts....................... $ 46,077.03
O verdrafts ________________________
46.70
B onds and securities____________ 85,844.16
B an kin g house and fix tu re s_____
1,000.00
Cash in bank & due from other
31,072.32
banks ---------------------------Checks and item s o f exchange....
248.37

L IA B IL IT IE S
C apital S tock : C om m on__________ $ 20,000.00
Surplus -----------------------------------------7,000.00
U ndivided p rofits (n e t)__________
2,862.35
Individu al deposits________________ 120,498.77
D em and certificates o f deposit.... 2,197.40
T im e certificates o f deposit.—..... 11,730.06

T o ta l_________________________ $164,288.58

T ota l........ ....................................$164,288.58

Panama

Bank of Panama

Lancaster County
E.
G.

M.
J.

C harter No. 323

Steeves....................................P resident
H ietbrink.......... .......... V ice-P resid en t

F red

M ielenz.......................................... Cashier

S T A T E M E N T O F JU N E 30, 1939
RESOU RCES
L oans and discounts____________ $
O verdrafts ______
B onds and securities____________
B an king house and fixtures.____
Other real estate__________________
Cash in bank & due from other
banks -----------------------------------------Checks and item s o f exchange....
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
57,457.04
12.12
10,090.00
1,900.00
550.00
18,820.95
22.80

.$ 88,852.91

C apital Stock : C om m on__________ $
Surplus ..._--------------------------------------U ndivided p rofits (n e t)...............
Individu al deposits________________
T im e certificates o f deposit____ _
C ertified and cashiers ch ecks___

Total.

10,000.00
2,500.00
2,721.62
51,950.09
21,060.20
621.00

.$ 88,852.91

70

DEPARTM ENT

Papillion

OF

B A N K IN G

Banking House of A. W. Clarke

S arpy C ounty

C harter No. 1004

R . F. C larke..... ................................. P residen t
K. C. B row n .......................... V ice-P resid en t

C. R. P earson .......................................Cashier
K enneth M oore..........................A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O P JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and d iscou nts..............$382,260.42
O verdrafts ..............
211.50
B onds and securities.............. 120,598.71
Banking- house and fix tu re s...... 3,000.00
Other real estate... ........................
1.00
Cash in bank & due from other
banks ...................
101,511.19
C hecks and item s o f exchange....
575.41

Capital S tock : Common..._________ $ 45,000.00
Surplus ..............
15,000.00
4,759.20
U ndivided p ro fits (n e t)_______
R eserve fo r contingencies, etc._ 5,000.00
Individu al deposits________________ 355,708.94
Tim e certificates o f deposit_____ 127,010.83
S avings deposits..... ................
50,364.62
C ertified and cash iers ch eck s......
5,314.64

T ota l..............................................$608,158.23

T ota l_________________________ $608,158.23

Pawnee City

Citizens State Bank

Pawnee County

C harter No. 1599

A. H. W h e rry — ........... ................... P resident
P. L. A ikins— ........ —
....V ice-P residen t

J. A. B a rr
_____________ _______ __Cashier
N ettie H anon.............................. A ss’ t Cashier

M em ber o f F ederal R eserve System
S T A T E M E N T O P JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and discounts...................
$120,834.31
O verdrafts ..........
178.76
B onds and securities...............
57,843.53
Judgm ents and claim s...................
75.00
B an kin g house and fix tu re s.........
8,091.40
Other real estate___ ..._____________
7,900.00
C ash in bank & due from other
53,476.09
banks ...................
L a w fu l reserve w ith F ed. Res.
B ank or other reserve agents.... 27,757.72
Checks and items o f exchange.... 1,344.19
Other assets.........................
750.00

C apital S tock : C om m on... ............... $ 25,000.00
Surplus .........
5,000.00
U ndivided p rofits (n e t)__________
2,276.76
Individual deposits... ......................... 186,714.02
Tim e certificates o f deposit... ...... 14,215.33
S avings deposits___________________ 38,123.22
C ertified and cashiers checks___
421.67
B ills p ay able______________________
6,500.00

T ota l............................................. $278,251.00

T ota l-------------------------------------- $278,251.00

Pawnee City

The Farm.ers State Bank

Pawnee County
H.
M.

C harter N o. 1268

C. V an Horne........Chairman o f B oard
K. V an H orne________ _____ P residen t

P. M. Steinauer___________ V ice-P resid en t

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O P JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans
and discou nts........... ............ $137,896.43
O verdrafts ............................
90.67
B onds
and securities.... ................... 88,956.82
B an kin g house and fixtu res___
7,760.00
O ther real estate... ........
1,474.00
Cash in bank & due from other
banks ............................... - ..... .........— 71,993.87
Checks and item s o f exchange....
399.76
Other assets..............
1,291.99

C apital Stock : C om m on................... $ 25,000.00
Surplus ...................
5,000.00
U ndivided p rofits (n e t)...................
2,017.32
Individual deposits............................. 218,246.70
D em and certificates o f deposit.... 2,250.00
Tim e certifica tes o f deposit..... .... 19,289.54
Savings deposits.......... ........................ 28,756.16
C ertified and cash iers ch eck s___
214.84
Due to national and state banks 9,088.98

T ota l— ......................................... $309,863.54

T ota l... ......................................... $309,863.54


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

DEPARTM ENT

Paxton

71

O F B A N K IN G

Bank of Paxton
Keith County

C harter N o. 1607

P ete E ginton______________________P resident
T. M. H a lloran .................. ....V ice-P resid en t

J. F. F lea k ...... .
A. C. Hill, Jr..

............. Cashier
.A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and discou nts...................... $ 95,888.20
O v erd rafts ______________ ..________
28.04
B onds and securities..... ................. 19,143.31
Banking- house and fix tu re s.......... 2,750.00
Cash in bank & due from other
banks ____________________________ 58,913.15
Other assets_______________________
442.13

Capital Stock : C om m on................... $ 25,000.00
Surplus ............
7,800.00
1,365.71
U ndivided p rofits (n e t)...................
Individual deposits....................
129,336.46
Tim e certifica tes o f deposit.........
2,674.83
Savings deposits__________
10,962.83
C ertified and cashiers checks......
25.00

T o ta l_________________________ $177,164.83

T ota l_________________________ $177,164.83

Pender State Bank

Pender

C harter No. 1276

Thurston County
G erhard Schutte---------------------------President
W . C. M urray._____________ V ice-P resid en t
M em ber o f F ederal Dei
STATEM ENT

W . F. W en ke______________________ Cashier
P. A. P inion___________ _____A ss’ t Cashier
t Insurance C orporation
1 JU N E 30, 1939

L oa n s and discou nts........ - ............$453,157.48
O v erdrafts ________________________
225.12
B ond s and securities----- ,-----..------ 50,087.07
1,000.00
Judgm ents and claim s-----------B an kin g house and fix tu re s-------- 7,000.00
Cash in bank & due fro m other
banks ____________________________ 184,931.21
C hecks and item s o f exchange....
184.16

L IA B IL IT IE S
Capital Stock : C om m on..... .........— $ 85,000.00
Surplus ____________________________ 30,000.00
41,705.48
U ndivided p rofits (n e t)... .....
Individu al deposits.........................
345,513.05
D em and certificates o f deposit.... 2,648.29
Tim e certificates o f deposit......... 118,673.79
Savings deposits___________________ 67,617.17
C ertified and cashiers checks......
2,027.26
D ividen ds unpaid--------------------------- 3,400.00

T ota l......................................... „.$696,585.04

T ota l___________ ______ _______ $696,585.04

RESOURCES

Bank of Peru

Peru
N em aha

C harter No. 1622

County

P residen t
W . H H u tchin son...................
C arroll L ew is..........................................Cashier

A n n a F. F a r le y ____ ............... A ss’ t C ashier

M em ber o f F ederai D eposit Insurance C orporation
S T A T E M E N T Ò F JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES

45,963.88

C apital Stock : C om m on__________ $ 12,600.00
C apital notes
& debentures____ 11,000.00
R eserve fo r d iv­
idend p ayable
in com m on stock
1,400.00
Surplus -----------------------------------------5,000.00
U ndivided p rofits
(n et).................
1,525.04
R etirem ent fu nd fo r preferred
stock
o r debentures_____________
364.00
Individu al deposits________________ 102,990.72

T o ta l... ..........................................$134,879.76

T ota l............................................. $134,879.76

L oa n s and discou nts...................... $
O verdrafts ________________________
B onds and securities---------------------B an kin g house and fix tu re s---------Cash in bank & due from other
banks __________


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

24,491.36
2.22
62,072.30
2,350.00

72

DEPARTM ENT

Petersburg
Boone
E.
D.

OF

B A N K IN G

Petersburg State Bank
County

C harter No. 1561

E. H a ll
................................... President
L. Jou venat.......... ..... .... V ice-P resid en t

O.

M.

H a ys_______________________ C ashier

M em ber o f F ederal Depc sit Insurance C orporation
S T A T E M E N T C U JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and discou nts...................... $
O verdrafts ..........
B onds and securities......................
Banking- house and fix tu re s.........
Cash in bank & due from other
banks ...................................................
Checks and item s o f exchange....

47,431.96
57.72
37,406.79
3,600.00
47,124.18
13.96

C apital Stock : C om m on................... $ 11,000.00
C apital notes
& debentures... 12,600.00
R eserve fo r d iv ­
idend payable
in com m on stock
1,400.00
Surplus ..... — ...............
4,250.00
U ndivided p rofits (n e t).................
2,442.02
R etirem ent fund fo r preferred
stock or debentures......................
52.74
Individual deposits_______________ 78,530.98
Tim e certifica tes o f d ep o sit........ 25,358.87

Total.,-------------------------------------$135,634.61

T otal---------------------- -------- ------- $135,634.61

Pickrell
Gage

Farmers State Bank
County

C harter No. 781

E d B au m an... ...................... .............. President
W m . Spilker....... ................. .... V ice-P resid en t

F. L. P oth ast.......
C ashier
D. Reil........................ ....... ..........A ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oan s and discou nts______ _____ $
O verdrafts ...............
B onds and securities______________
B an king house and fix tu re s_______
Cash in bank & due from other
banks ------------------------------------------

79,240.25
4.47
34,170.00
3,000.00
46,096.65

T ota l............................ .................$162,511.37

Pierce

C apital Stock : C om m on__________ $ 20,000.00
Surplus — -----10,000.00
U ndivided p rofits (n e t)___________ 1,682.91
R eserve fo r contingencies, etc._
758.77
Individual deposits..................
89,301.20
D em and certifica tes o f deposit....
335.47
T im e certificates o f deposit_____ 34,629.76
S avings deposits___________________ 5,803.26
T ota l--------------------------------- ---- $162,511.37

Cones State Bank
Pierce County

C harter No. 489

F red M aas........................................... P residen t
E. G. Shellpeper.-------------------------- Cashier

H a rle y B ovee________________ A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts.............. $238,942.20
B onds and securities____ _______ 63,733.75
B an k in g house and fix tu re s. 10,300.00
Other real estate___ ,__
12,000.00
Cash in ba n k & due from other
banks ..........
107,946.26
Checks and item s o f exchange....
555.65

Capital Stock : C om m on................... $ 50,000.00
Surplus ...............
7,500.00
U ndivided p rofits (n e t)...................
2,420.58
Individual deposits..................
310,714.15
D em and certifica tes o f deposit....
26.06
Tim e certifica tes o f d ep o sit.... .... 60,364.67
C ertified and cashiers checks...... 2,452.40

T ota l..... ......................... ..............$433,477.86

T ota l____ ____________ ________ $433,477.86


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

DEPARTM ENT

Pîainview

O F B A N K IN G

73

Plainview State Bank

Pierce County

C harter No. 1609

J. W . R an som .......... ......................President
E arl A. R an som ---------------Vice-President,

L.
A . L a rson --------------------------------- C ashier
M eldy Petersen..........................A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES
L oans and discou nts...................... $ 98,776.38
O verdrafts _______________
399.77
B onds and securities.......... ............ 137,006.81
Banking- house and fix tu re s... .....
5,600.00
Cash in bank & due from other
138,857.62
banks -------------------------C hecks and items o f exchange.... 1,176.48
Other assets_______________________
5.46

L IA B IL IT IE S
C apital Stock : C om m on___ _______ $ 25,000.00
15,000.00
Surplus ....................
U ndivided p rofits (n e t)__________ 12,717.64
R eserve fo r contingencies, etc.....
474.76
Individual deposits............................. 322,385.20
Tim e certificates o f deposit.........
5,949.92
295.00
C ertified and cashiers ch eck s......

T ota l............................................. $381,822.52

Plattsmouth

Total...------------- ---------------------- $381,822.52

Plattsmouth State Bank

Cass County

C harter No. 786

A. S chneider............... ...............President
Carl J. Schneider............. .....V ice-P resid en t

H.

A. Cloirlt

F rank

Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES
_

L IA B IL IT IE S
L oans and
discou nts.. ................ $580,078.53
C apital Stock : C om m on...................$ 50,000.00
O verdrafts
39.57Surplus ............................
40,000.00
B onds and
securities___________ 295,060.00
U ndivided p rofits (n e t)___________ 56,247.69
Judgm ents
and claim s...... .......... 1,468.28
R eserve fo r contingencies, etc..... 6,500.00
B an k in g house and fix tu re s_____ 17,500.00
U nearned interest_________________
4,023.84
Cash in bank & due from other
Individual deposits____ ______
454,032.01
banks ------------------------------------------ 209,346.01
T im e certifica tes o f deposit......... 337,559.53
S avings deposits.__________________ 147,550.29
C ertified and cash iers checks......
7,579.03
T o ta l........ ............... ................ $1,103,492.39

Plymouth

T o ta l------------------....... .............$1,103,492.39

Farmers State Bank

Jefferson County

C harter No. 1165

L uther B o n h a m ------ --------------------P resident
H. B. Jennings...................... V ice-P resid en t

Geo. A p k in g ------- --------- --------------- ....Cashier
C larence H . S ixel................... A ss’t C ashier

S T A T E M E N T O F JU N E 30. 1939
RESOU RCES
L oans and discou nts..... _........... .......$
O verdrafts ______________
B onds and securities______________
B an kin g house and fix tu re s...... ......
Cash in bank & due from other
banks ----------------------------

Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

62,923.55
48.00
22,74676
4,208.33
29,979.20

.$119,905.84

L IA B IL IT IE S
Capital S tock : C om m on_________ $ 20,000 00
Surplus

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

5,000.00

U ndivided p rofits (n et)___________ 4,396.38
Individu al deposits............. .............. 63,326 03
D em and certificates o f deposit.... 10,000.00
T im e certificates o f d ep osit____ 12,133 08
S avings deposits....................
4,998.26
C ertified and cash iers checks......
’ 52.09
Total.

.$119,905.84

74

DEPARTM ENT

OF

B A N K IN G

Citizens State Bank

Polk
Polk County

C harter No. 1514

M. E. Isaa cson ................................ P resident
O scar Strand............................. V ice-P resid en t

A. Isa a cson ............................................. Cashier
F loren ce A n d erson ................... A ss’ t Cashier^

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES

C apital S to c k : C om m on----------------$ 25,000.00
L oans and discounts... .................. $ 78,015.02
Surplus ..............................
5,000.00
O verdrafts _______ ______ — ..............
57.59
U ndivided p rofits (n e t)------------------ 7,495.01
B onds and securities-------------------- 43,510.10
Individual deposits..—........— ............. 107,656.93
B an king house and fix tu re s.........
6,490.00
D em and certificates o f deposit—
1,441.08
Cash in bank & due from other
o f deposit.......... 16,271.41
banks ......................... - _________
42,693.32Tim e certificates
S avings deposits..........................
7,901.60
T ota l.................................. ........... $170,766.03

T ota l............................................. $170,766.03

Bank of Dixon County

Ponca

C harter No. 1133

Dixon County
W . S. Gilm an.............Chairm an o f B oard
C. A. K in g sb u ry
.................... .President
H. H. M iille ........................ V ice-P resid en t

F. R . K ingsbury.
C. V . Gee...............

__________ Cashier
.......A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oan s and d iscounts...................... «; 91,017.99
112.19
O v erd rafts _____ ____ - ..................... —
B onds and securities— ------ -------- 103,920.26
114.32
Judgm ents and claim s...................
4,205.00
B an kin g house and fix tu re s..... —
Cash in bank & due from other
banks .... .................- ...... — --- -------- 119,457.08
223.07
Checks and item s o f exchange....

C apital Stock : C om m on................... $ 25,000.00
Surplus ____________________________ 11,500.00
U ndivided p rofits (n e t)---------------- 8,095.70
Individu al deposits.------------------------- 185,748.96
D em and certificates o f deposit—
255.00
T im e certificates o f deposit........ 88,450.25

$319,049.91

Total.

.$319,049.91

T otal

Potter State Bank

Potter

Charter No. 1642

Cheyenne County
John Seyfang......... ............................P residen t
D.
F. E nevoldsen...... ......... .V ice-P residen t

D.
F. E nevoldsen............. ................ C ashier
H. A. Coates...;....................... A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s and discou nts— ..................$ 76,678.24
O verdrafts .......
33.85
B onds and securities............
20,522.50
B an kin g house and fix tu re s-------- 4,770.00
Cash in bank & due from other
banks ----------------------- - .................... 76,009.72
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$178,014.31

C apital S tock : C om m on.............
Surplus .................... ........................
U ndivided p rofits (net).............
Individu al deposits................- .....
T im e certifica tes o f deposit.....
C ertified and cash iers checks.
Total.

$ 25,000.00
5,000.00
6,988.68
99,707.76
41,067.87
250.00
.$178,014.31

75

D E P A R T M E N T O F B A N K IN G

Prague

Bank of Prague

Saunders County

C harter N o. 932

E. E. P laeek _____________ ______ P resident
Thos. J. V la sa k ..... ........._ .... V ice-P resid en t

M ax

V la sa k ........................................... .Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and discou nts____________ $174,275.82
O verdrafts ............
301.08
B onds and securities____________ 82,304.28
5,560.00
B an kin g house and fix tu re s_____
Other real estate__________________ 1,200.00
Cash in bank & due fro m other
banks ......................
46,069.98

C apital Stock : C om m on__ ._______ $ 25,000.00
Surplus ___________
7,500.00
U ndivided p rofits (n e t)____ ______ 2,460.37
R eserve fo r contingencies, etc._ 1,500.00
Individu al deposits________________ 130,499.30
D em and certificates o f deposit_ 2,255.00
Tim e certificates o f deposit......... 133,480.00
Savings deposits___ ______
6,996.49
C ertified and cashiers ch ecks___
20.00

T o ta l.............. _________________ $309,711.16

T ota l.............................................$309,711.16

Prairie Home

Farmers Bank

Lancaster County

C harter No. 1638

H en ry P oth ast___________________ P residen t
G u y F. W elsh ____ _________ V ice-P resid en t

L.

A.

W estla n d ____________________Cashier

S T A T E M E N T O F JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oan s and discou nts_____ ____ ____$ 39,643.61
O verdrafts ............. ........................ —
16.00
Judgm ents and claim s__________
485.00
B an kin g house and fix tu re s-------- 1,185.00
Cash in bank & due from other
banks ..........
10,247.52

Capital Stock : C om m on...................$ 10,000.00
Surplus ___ ;__ *________________ _____ 3,500.00
U ndivided p rofits (n e t)...........................523.26
Individual deposits..__ ____________ 20,058.90
D em and certifica tes o f deposit....
53.00
Tim e certificates o f deposit......... 12,062.56
Savings deposits._______________
5,379.41

T o ta l_________________________ $ 51,577.13

T ota l..... ............ .... ......................$ 51,577.13

Purdum

Purdum State Bank

Blaine County

C harter No. 1234

J. F. M oody._____________________ P residen t
G. H. C ox__________________V ice-P resid en t

G.

H.

C ox _________________________ Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES
L oans
and discou nts____________ $120,555.13
O verdrafts
_____________________
54.40
B onds
and securities____________ 30,795.32
B an king house and fix tu res_______
300.00
Other real estate__________________
1.00
Cash in bank & due from other
banks ... ........................
25,496.44
C hecks and item s o f exch an ge__
101.53
O ther assets_______________________
73.66
T o ta l_________________________ $177,377.48


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
C apital Stock : C om m on____ _____ $
Surplus ____________________________
U ndivided p rofits (n et)__________
Individu al deposits____ _______
Tim e certificates o f deposit.........
C ertified and cashiers checks___
B ills p ay able__________
Other liabilities............................

10,000.00
15,000.00
3,016.63
91,874.05
48,972.64
6.56
8,500.00
7.60

Total....._________ _____________$177,377.48

76

DEPARTM ENT

Randolph

OF

B A N K IN G

First State ank

C edar County

C harter No. 1626

F. S. Stegge.......................................P residen t
H ow a rd M ielenz................ — V ice-P resid en t

R alph

B acon

Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES
Doans
and d iscou nts............... $244,601.64
O verdrafts ... .....................................
623.57
B onds
and securities.... ...............
69,975.00
4,374.75
B an king house and fix tu re s____
Cash in bank & due from other
banks ..........
181,494.52
C hecks and item s o f exchange....
24.00
Other assets..................................
330.12

D IA B ID IT IE S
Capital Stock : C om m on__________ $ 25,000.00
C apital notes
& debentures..... .
5,000.00
R eserve fo r d iv­
idend p ayable
in com m on stock
5,000.00
Surplus — ...............................
7,500.00
U ndivided p rofits (n e t)_______
8,781.89
R eserve fo r contingencies, etc._ 1,109.72
R etirem ent fund fo r preferred
stock or debentures..’.______ _____ 3,000.00
Individual deposits..... ................
268,620.75
Tim e certificates o f deposit.......... 154,824.00
21,725.00
Savings deposits.........................
C ertified and cash iers ch eck s___
861.94

T ota l.............................................$501,423.30

Ravenna

T ota l............................................. $501,423.30

The Ravenna Bank

B u ffa lo County

C harter No. 858

A. J. H ervert.................. — ............President
F ra n k T ru bl............................. V ice-P resid en t

Chas.

Zim pfer.

.Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30. 193
RESOURCES
Doans and discou nts... .................. $ 172,534.90
O v erdrafts .........
270.26
B ond s and securities...... ............... 93,450.82
B an king house and fix tu re s.........
100.00
Cash in bank & due from other
banks ......................
106,874.52
Checks and item s o f exchange....
152.64

D IA B ID IT IE S
C apital Stock : C om m on................... $ 25,000.00
Surplus --------------------17,000.00
U ndivided p rofits (n e t)............... :.... 8,977.56
Individual deposits_______ ________ 302,030.80
Tim e certificates o f deposit............ 14,341.89
S avings deposits................................
5,366.75
C ertified and cash iers checks........
666.14

T ota l-------------------------------------- $373,383.14

T ota l........................... ............... $373,383.14

Red Cloud

Peoples-Webster County Bank

W ebster C ounty

C harter No. 346

W . A. S herw ood........ ....................P residen t
S. R. Florance...,................ — V ice-P resid en t

C.

M.

S herw ood............................ ....... Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
RESOURCES
Doans and discou nts...................... $ 92,347.39
B on d s and securities...................... 232,038.85
Judgm ents and claim s__________
495.00
B an king house and fix tu re s_____ 13,571.75
Cash in bank & due from other
banks ............... _........... ............... ..... 142,283.52
Checks and item s o f exchange....
431.82

D IA B ID IT IE S
Capital S tock : C om m on..... .............$ 50,000.00
Surplus --------:.................._...._________ 10,000.00
U ndivided p rofits (n e t)______ __
4,193.11
Individu al deposits............................. 357,938.03
D em and certifica tes
o f deposit.... 1,324.71
T im e ce rtifica tes o f deposit............ 35,468.41
Savings deposits.................................. 22,244.07

T ota l-------------------------------------- $481,168.33

T o ta l..................— ..................... $481,168.33


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

DEPARTM ENT

Republican City
Harlan

77

O F B A N K IN G

Commercial State Bank

County

C harter N o. 749

M.
H. Haskins..
........................President
F ra n k W a g g o n e r.................. V ice-P resid en t

C.
H. W a ld o ------------ ------------ -------- Cashier
H askell W a ld o ..........................A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts........._............... $ 73,448.09
106.40
O verdrafts .................
B onds and securities...............
10,114.35
B an king house and fix tu re s.........
3,700.00
1,200.00
O ther real estate...............
Cash in bank & due from other
banks .......
101,594.58
C hecks and item s o f exchange....
146.22

C apital S t o c k : C om m on................... $ 20,000.00
Surplus ......................
2,000.00
U ndivided p rofits (n e t)...................
4,383.13
Individual deposits________________ 103,699.82
D em and certifica tes o f deposit...
27.40
Tim e certificates o f deposit........ 60,199.29

T ota l..... ....................................... $190,309.64

T ota l.........................„.............. „...$190,309.64

Rising City

Farmers State Bank

Butler County

C harter N o. 776

D.
J. Sm ith...................................... .President
O scar B au er------------------- .V ice-P residen t
V. R. M ulig......E x ecu tiv e V ice-P resid en t

H. F. G arh an..... ........................... .... C ashier
R oseletta Ihnen..........................A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES
L oan s and discou nts...................... $
O verdrafts _______________
B onds and securities______________
B an king house and fixtures.______
Cash in bank & due from other
banks ...................................................

69,950.61
6.95
63,180.00
2,400.00
40,883.61

T ota l........ .................................... $176,421.17

Riverdale

L IA B IL IT IE S
Capital S tock : C om m on___ ...___ __$
Surplus -----------------------------------------U ndivided p rofits (n e t)__________
R eserve fo r continegncies, etc.....
Individual deposits________________
D em and certificates o f deposit....
Tim e certifica tes o f deposit_____
S avings deposits.—.....................
C ertified and cashiers checks___

30,000.00
6,000.00
12,532.63
8,000.00
90,120.15
285.35
10,606.23
18,658.80
218.01

T ota l.............................................$176,421.17

State Bank of Riverdale

Buffalo County

C harter N o. 984

F red B arg m a n n ............................ .....President
E.
L. K ing.----------------------- V ice-P resid en t

C.
H. P ra tt........................................... Cashier
L aV erne P r a tt..................... ....A ss’t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES
L oans and discou nts...................... $ 70,763.01
O verdrafts
________
20.17
B onds and securities...................... 53,359.85
B an kin g house and fix tu res.........
100.00
Cash in bank & due from other
banks ------------------------------------------ 78,975.11
Checks and item s o f exchange....
86.09
T o ta l............................................. $203,304.23


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
C apital S tock : C om m on____ ______$ 15,000.00
Surplus ------10,000.00
U ndivided p rofits (n e t)___________ 7,141.79
R eserve fo r contingencies, etc.... 2,761.69
Individu al deposits....... ..................... 126,952.34
D em and certificates o f deposit....
420.90
Tim e certifica tes o f deposit......... 41,027.51
T ota l........................................ „...$203,304.23

78

DEPARTM ENT

OF

B A N K IN G

Roseland State Bank

Roseland
Adams

C harter N o. 778

County

L eland H a ll........................................ President
John K lein ............................... V ice-P resid en t
M em ber o f F ederal Dei
STATEM EN T

E d w ard
L oretta

Hall....'._____________________ Cashier
Seyler.......................... A ss’ t Cashier

t Insurance C orporation
' JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans and discou nts...................... $
O verdrafts ________________________
B onds and securities......................
Banking- house and fix tu re s.........
O ther real estate............. ...............
Cash in bank & due from other
banks ..................................................
Checks and item s o f e x ch an ge__

57,045.91
14.09
24,500.00
3,350.00
300.00
23,862.19
3.26

T ota l............................................. $109,075.45

St. Edward

C apital

Stock : C om m on...................$
F irst P referred __
Second P referred..
Surplus ................................................—
U ndivided p ro fits (n e t)__________
Individual deposits.............................
D em and
certificates o f deposit....
Tim e certifica tes o f deposit
....
Savings deposits_____________
C ertified and cash iers ch eck s......

5,000.00
10,000.00
10,000.00
1,500.00
408.05
64,664.27
231.08
8,512.92
8,656.65
102.48

T ota l__________ _______ _______ $109,075.45

Bank of St. Edward

B oone C ounty

C harter N o. 1631

J. A . Indra..... ................... .......... ...... P resident
E arl H a sselbalch .....................V ice-P resid en t
M em ber o f F ederal De;
STATEM ENT

E ugene

W.

B u rd ic_________ ______ Cashier

Insurance C orporation
JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
Loans and discounts......................$
O verdrafts .......
B onds and securities.....................
Judgm ents and claim s..... ........
B an king house and fix tu re s.........
Cash in bank & due from other
banks .....................
Checks and item s o f exch an ge—

81,066.10
22.29
29,631.00
558.00
4,300.00

C apital S to c k : Comm on...................$ 25,000.00
Surplus ...................
4,000.00
U ndivided p rofits (n e t)__________
5,580.47
Individu al deposits.________________ 115,413.65
Tim e certificates o f deposit......... 23,283.36
C ertified and cashiers checks___
319.00

57,068.51
950.58

T ota l___________________ _____ $173,596.48

Total..___ _____________________ $173,596.48

Citizens State Bank

St. Mary

C harter No. 1018

Johnson Comity
......... President
Gertrude Schum ann.............. ..V ice-P resident

G ertrude

Schum ann.... ........................ C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discou nts...................... $ 38,147.11
B onds and securities____ ________ 84,689.89
B an kin g house and fix tu re s.........
1,500.00
Cash in bank & due from other
banks ..............................

C apital Stock : C om m on__________ $ 10,000.00
Surplus ..... - ........... ............................ 2,500.00
U ndivided p rofits (n e t)..... ......
1,873.83
R eserve fo r contingencies, etc._ 10,000.00
Individu
al
deposits________________
128,354.74
30,823.87
D em and certifica tes o f deposit....
808.00
T im e certifica tes o f deposit..... .... 1,624.30

T ota l............................................. $155,160.87


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T ota l........ ....................................$155,160.87

DEPARTM ENT

Salem

O F B A N K IN G

79

Bank of Salem
Richardson

County

Charter No. 359

D aisy V. H uston....... ............V ice-P resid en t
H. H. H u ston ............ ..........................Cashier

A<3Q, t

O. W . L aw ritson

Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES
L oa n s
and
discounts............. 83,203.82
O v erd rafts ________________________
94.01
B onds
and securities_____________ 10,128.00
B an king house and fix tu re s_____
1,700.00
Cash in bank & due from other
banks
— .— ................................... . 28,953.St
C hecks and item s o f exchange....
54.69

L IA B IL IT IE S
C apital S tock : C om m on................... $
Surplus -----------------------------U ndivided p ro fits (n e t)_____ T._,.....
Individu al deposits................
Tim e certificates o f deposit........

T o ta l---- --------------------------------- $124,134.06

Sargent

30,000.00
10,000.00
4,105.85
70,195.46
9,832.75

T ota l.............................................$124,134.06

Farmers State Bank

Custer County

C harter No. 1117

R. L. Sw eet......................
.President
Z. D. A m os-------- -----V ice-P resid en t
J. C. Green......... E x ecu tiv e V ice-P resid en t

E.
T. L a rson --------------------------------- Cashier
R . W . H icks.—.................................. S ecretary

S T A T E M E N T O F JU N E 30, 1939
RESOURCES
L oan s
and d iscou nts........ ............... $105,791.72
77.88
O verdrafts ______________________ __
B onds
and securities........ ............... 57,250.47
B an kin g house and fix tu re s_____ 3,730.00
Cash in bank & due from other
banks — ........................
78,224.87
Checks and items o f exchange....
491.58

C apital S tock : C om m on............... ....$ 25,000.00
Surplus .......
5,000.00
U ndivided p rofits (n e t)__________
2,142.10
Individual deposits......................
175,182.18
D em and certificates o f deposit.... ,5,000.00
T im e certifica tes o f deposit_____ 33,166.03
Other liabilities...................................
76.21

T ota l............................................ $245,566.52

T ota l..... .............. ......................... $245,566.52

Saronville

L IA B IL IT IE S

Farmers State Bank

Clay County

C harter N o. 362

John J. A nderson .'.____________ P resident
M abel O. A n d erson .............. V ice-P resid en t

C.

R.

A n d erson ..................... .............C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES
L oan s and discounts____________ $
O verdrafts
_
B onds and
securities___________
Judgm ents
and claim s_________
B an kin g house and fixtures..........
Cash in bank & due from other
banks .......

Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

55,034.62
40.25
17,449.92
1,930.00
1,000.00
12,434.03

.$ 87,888.82

LIA B IL IT IE S
Capital S tock : C om m on................... $ 11,100.00
C apital notes
& debentures........ 13,900.00
Surplus .......
4,000.00
U ndivided p rofits (n e t)_________
1,425.00
R eserve fo r contingencies, etc..... 1,539 90
R etirem ent fu nd fo r preferred
stock or debentures....____ _____
445.50
Individu al deposits............
18,34349
T im e ce rtifica tes o f deposit______ 25^877 31
Savings deposits------------------------11,248.02
C ertified and cash iers checks........
9.60
Total.

.$ 87,888.82

DEPARTM ENT

80

Schuyler

OF

B A N K IN G

Schuyler State Bank

Colfax County

C harter No. 1329

F ra n k K r e jc i..... ................................ P resident
J. A. P rok es...............
V ice-P resid en t
R. O. B row n ell............................
Cashier

Jos. M. R o g ers...................-..... A ss’ t Cashier
Jas. L. H am p l..............................................A ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s and d iscounts..................— $122,495.65
180.81
O verdrafts ............................................
B onds and securities..................— 420,253.19
B an kin g house and fix tu re s.........
5,500.00
Cash in bank & due from other
banks ...................................... - .....— 181,342.38

C apital S tock : C om m on................... $ 44,000.00
C apital notes
& debentures........ 26,000.00
Surplus .........
9,000.00
704.38
U ndivided p rofits (n e t)— ...............
R etirem ent fu nd fo r preferred
stock or debentures....................... 6,000.00
Individual deposits..... .........
643,924.52
C ertified and cashiers ch eck s....................... 143.13
T ota l............... ............... - ............ $729,772.03

T ota l............................................$729,772.03

Scotia

State Bank of Scotia
Greeley County

C harter No. 1618

H a rry L. M iller...............................P residen t
E. L. V o g e lta n z
..............V ice-P resid en t

E lm er W . L a rson .................................. C ashier
R olan d W . D a ily ......... _......... _...Ass’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s and discou nts........ ..... - ..... $ 76,388.13
O verdrafts ____
57.50
B ond s and securities...................
18,576.18
B an kin g house and fix tu re s_______ 2,345.79
Cash in bank & due from other
banks ... .....................
15,415.77

C apital Stock : C om m on........ ..... — $
C apital notes
& debentures____
R eserve fo r d iv ­
idend payable
in com m on stock
Surplus...............
U ndivided p rofits (n e t)........ ..........
R etirem ent fund fo r preferred
stock or debentures________
Individu al deposits— ....
C ertified and cashiers checks-----

15,000.00
8,000.00
2,000.00
5,000.00
2,846.21
900.00
79,034.16
3.00

T ota l___________________ ___ __$112,783.37

T ota l................. _____ _________ $112,783.37

First State Bank

S c c ttsb lu ff
Scotts Bluff County

C harter No. 1634

L e R o y A bbott____________ ________ P resident
H. D. W ells............... ............ .V ice-P resid en t

Jno.

W.

B road h u rst.......................... Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oa n s and discounts.__ _________ $173,289.20
O verdrafts ---------163.08
B onds and securities............. 106,643.75
Judgm ents and claim s_____
200.00
B an kin g house and fix tu re s------2,700.00
Cash in bank & due from other
banks ..... ...... ....................................— 177,026.10
Checks and item s o f exchange.... 3,391.56

C apital Stock : C om m on........ .......... $ 50,000.00
Surplus ------------------------------ --------— 10,000.00
U ndivided p rofits (n e t)--------------6,849.16
Individu al deposits— ........
290,704.95
D em and certificates o f deposit.... 27,000.00
T im e certificates o f deposit..... — 27,050.89
Savings deposits.—...............
49,240.70
C ertified and cashiers ch ecks----- 2,567.99

Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$463,413.69

Total.

... $463,413.69

81

D E P A R T M E N T O F B A N K IN G

Scribner

Farmers State Bank
C harter No. 1417

Dodge County
A rth ur H. Shultz.............................President
Julius K ruse_______ _________ V ice-P resid en t

H erm an F. M eyer.
E. J. Schwein..........

__________ C ashier
____A ss’ t C ashier

M em ber o f F ederal R eserve System
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

L oans
and discounts........................ $135,096.28
O verdrafts _________ ___ __ ____ ____
227.52
B onds and securities------ 244,719.63
B an kin g house and fix tu re s-------- 6,000.00
Cash in bank & due from other
banks ...................................-__ ____ 103,775.62
L a w fu l reserve w ith Fed. Res.
B ank or other reserve agents.... 38,113.58
Checks and item s o f exchange....
61.36

Capital Stock : C om m on— ..............$ 40,000.00
11,000.00
Surplus ............................
U ndivided p rofits (n e t)---------------1,890.15
Individu al deposits------------------------ 235,155.21
Tim e certificates o f deposit......... 195,064.88
Savings deposits.—........— --------------- 44,882.95
C ertified and cashiers checks....
.80

T ota l............................................. $527,993.99

T ota l.............................................$527,993.99

.

RESOU RCES

Stockmens Bank

Seneca

C harter No. 1648

Thomas County
B lan ch e R . C ox ..... ..................
P resident
G. C. R eev es_____________ .V ice-P residen t
M em ber o f F ederal Dei
STATEM ENT

M. J. C ox __________________________ C ashier
Paul H a ffn e r________________ A ss’ t C ashier
t Insurance C orporation
’ JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s and discounts____________ $134,503.65
O verdrafts ......................
63.80
B onds an d securities.____________ 12,528.00
B an kin g house and fix tu res_____
3,000.00
Cash in bank & due from other
banks — --------29,957.46
Checks and item s o f exchange....
150.08

T ota l_________________________ $180,202.99

Capital Stock : C om m on— ............. $
C apital notes
& debentures____
Surplus — .....................
U ndivided p rofits (n e t)---------------R etirem ent fu nd fo r preferred
stock or debentures— ------ --------Individual deposits--------------------Tim e certificates o f deposit-------B ills p ay able... ..............................

5,000.00
5,000.00
4,426.16
1,000.00
68,898.79
59,878,04
16,000.00

T otal_______ ______ _________— $180,202.99

First State Bank

Shelton

C harter No. 1601

Buffalo County
L.
A.

20,000.00

J. H a lla s.................. ....... .............P resident
J. H a lla s............................. V ice-P resid en t

L. F. H a u g------------------- ------------------ Cashier
H. R . C onroy------------------------ A ss't C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oans and discounts.......................$
O verdrafts — ---B onds and securities---- -------------B an kin g house and fix tu re s.........
Cash in bank & due from other
banks -----------------------------Checks and item s o f exchange....
Other assets..—......................................

99,173.62
211.38
59,945.68
1,400.00
40,656.30
388.20
4.00

T o ta l............................ ........... ..... $201,779.18


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C apital Stock : C om m on------- ----- — $ 25,000.00
Surplus -----------------------------------------5,000.00
U ndivided p rofits (n e t)---------------3,750.28
Individual deposits........ — --- ---------- 155,458.59
Time certificates o f deposit------- 12,440.31
C ertified and cash iers checks......
130.00

T ota l.................................... .........$201,779.18

82

DEPARTM ENT

Shickley

OF

B A N K IN G

Shickley State Bank

Fillmore County

C harter No. 373

E arl H. W ilk in s........ .................... P resident
E lm er L. B ra d ley........... ....Vice-President

F ra n k

B.

T ice.......................................Cashier

S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts...................... $
B onds and securities......................
B an king house and fixtures....
Cash in bank & due from other
banks .......... .............................. - .......

55,135.67
39,349.24
2,500.00
13,773.41

T ota l...................................... ...... $110,758.32

C apital Stock : C om m on................... $ 15,000.00
Surplus .........................
5,000.00
U ndivided p rofits (n e t)....................
7,599.51
Individual deposits.................. ......... 74,470.08
Dem and certificates o f deposit.... 4,113.56
C ertified and cashiers ch eck s...... 4,575.19
T ota l............................................. $110,758.32

Citizens Bank

Shubert
Richardson

County

C harter No. 1001

J. F. Shubert................................... P residen t
Geo. B. R ig g s________ — V ice-P resid en t

A lbert M. Shubert... ............................Cashier

S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oa n s and discounts...................... $ 35,704.37
O verdrafts ............
194.25
B onds and
securities..................... 19.505.67
2,560.00
B an k in g house and fix tu re s---------Other real
estate..............
1,920.00
C ash in bank & due from other
banks .............................................
15,829.80
T otal...... ...................................... .$ 75,714.09

Silver Creek

C apital S to ck : C om m on................... $
Surplus ... ...............................................
U ndivided p rofits (n e t)...................
Individu al deposits.......................
Tim e certifica tes o f deposit.........

15,000.00
5,000 00
1,415.31
41,687.49
12,611.29

T ota l..... .... ...................................$ 75,714.09

Farmers State Bank
Charter No. 1205

Merrick County
Mrs. W . P. L o g a n ......................— P resident
W . C. L ogan.......................................... C ashier

M. J. Y oungstrom ................... A ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oans and discou nts............ ......... $
O verdrafts ..........
B onds and securities---------------------B an kin g house and fix tu res..........
Cash in bank & due from other
banks ......................................

74,530.83
5.53
33,215.56
5,000.00
40,142.88

T o ta l............................... ............ $152,894.80


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C apital Stock : C om m on................... $
Surplus ...............................
U ndivided p rofits (n e t)--------------Individu al deposits...............
T im e certificates o f deposit.........
Savings deposits--------------------C ertified and cash iers ch ecks-----

20,000.00
5,000.00
6,152.16
84,201.27
29,930.78
4,384.82
3,225.77

T ota l............................ .... ............$152,894.80

83

D E P A R T M E N T O F B A N K IN G

South Sioux City

Nebraska State Bank

Dakota County

Charter No. 1549

E. H. G ribble_____________ ______ P resident
J. J. E im ers_______________ .V ice-P resid en t

J. S. B a con ________________________ C ashier
C. W . R ock w ell____________ A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discou nts..........................$254,247.60
O verdrafts ________________________
78.07
B onds and securities....................... 186,822.43
Judgm ents and claim s...................
900.00
B an kin g house & fix tu re s............. 4,950.00
Cash in bank & due from other
banks ____________________________ 111,842.70

Capital Stock.: C om m on__________ $ 25,000.00
Surplus ............- ...........
7,500.00
U ndivided p rofits (n e t)— ---10,028.39
Individual deposits..... ................
335,066.85
Dem and certificates o f deposit.... 1,546.29
Tim e certificates o f deposit..... .... 135,636.61
Savings deposits.—............................
44,060.66
C ertified and cashiers checks___
2.00

T ota l_________________________$558,840.80

T ota l............................................. $558,840.80

Spalding

Spalding City Bank

Greeley

C harter No. 713

County

M. M. Sullivan... .........................P resident
H anna T. Sullivan ........„...V ice-President
M. J. D olce............................................. Cashier

Leo. F. Sem per---------------------- A ss’ t Cashier
M. D. D olce.................................A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oa n s and discounts— .................. $138,197.60
O verdrafts ________________________
136.15
B onds and securities...............
25,405.18
B an kin g house and fixtures.------5,280.00
Other real estate_____________
1.00
C ash in bank & due from other
banks _____
50,014.61
Checks and item s o f exchange....
289.40

C apital S tock : C om m on................... $ 30,000.00
Surplus ..................................._ ......... 15,000.00
U ndivided p rofits (n e t)---------------- 7,972.59
Individual deposits___ __ — ..... .— 119,533.22
D em and certificates o f deposit.... 34,651.28
Tim e certificates o f deposit..... — 12,166.85

T ota l_________________________ $219,323.94

T ota l_________________________ $219,323.94

Spencer

Spencer State Bank

Boyd County

C harter No. 1568

H en ry W o id n e ck ..... .................... ....P residen t
J. M. P u celik ......E x ecu tiv e V ice-P resid en t

Gus. B en tz--------------------------------------- Cashier
H. J. W oid n eck.......................... A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and discou nts...................... $ 52,324.62
O verdrafts ________________________
234.92
B on d s and securities------------------- 56,716.19
B an king house and fix tu re s— ..... 9,001.00
Cash in bank & due fro m other
banks __________________:-------------- 47,959.24

Capital Stock : C om m on
........— $ 25,000.00
Surplus ..................
4,000.00
U ndivided p rofits (n e t)---------------460.96
R eserve fo r contingencies, etc.... 1,721.33
Individual deposits............................. 134,564.24
T im e certificates o f deposit.........
108.54
S avings deposits.........................
249.16
C ertified and cashiers checks----131.74

T o ta l________________________ ..$166,235.97

T ota l________________ ________ $166,235.97


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

84

DEPARTM ENT

OF

B A N K IN G

Stamford Bank

S ta m fo rd

C harter No. 386

H arlan County
S. W o o d r u ff___________ ___ _..._____ P residen t
Joseph F lam m an g.__________ V ice-P resid en t

L. B. C arraher.................... .................Cashier
W m . P. P en tz______________ A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s and d iscou nts...................... $118,318.41
B onds and securities............ — ..... 25,130.00
B an kin g house and fix tu re s— ........ 3,739.84
O ther real estate................................
4,000.00
C ash in bank & due fro m other
banks _______________
40,041.14

C apital Stock : C om m on................... $ 30,000.00
3,000.00
Surplus ____________________
U ndivided p rofits (n e t)...................
1,352.28
Individu al deposits........ .................... 87,914.25
T im e certificates o f deposit......... 50,452.50
Savings deposits.....................
18,421.47
Certified and cashiers checks........

T o ta l............................................. $191,229.39

88.89

T ota l... ..........................................$191,229.39

Bank of Stapleton

Stapleton
L ogan

County

C harter No. 847

W . H. M cD onald............................. P residen t
Ed. Salisbury......................... .V ice-P residen t

F. E. P eterson ....................................Cashier
John L ink............................ ...... A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S
L oa n s and discounts...................... $191,882.01
Capital S tock : C om m on... ............... $ 25,000.00
118.11
O verdrafts _____________
Surplus ..... - .........................................
12,500.00
B onds and securities___ ________ 76,049.11
U ndivided p rofits (n e t)................... 22,852.65
B an kin g house and fix tu re s.......................... 2,206.40
Individu al deposits.............
235,507.17
C ash in bank & due fro m other
D em and certificates o f deposit....
21.35
banks .......................
117,902.80
Tim e certificates o f deposit.......... 85,237.12
Checks and item s o f exchange....
8.86
S avings deposits.............
6,610.55
C ertified and cashiers ch ecks......
438.45
TotaL.............. .............................. $388,167.29

Steinauer

T ota l............................................. $388,167.29

The Bank of Steinauer

Pawnee County

C harter No. 501

F.
M. Steinauer............ ................. P residen t
Joseph S teinauer ......... ....... V ice-P resid en t

W . A. Steinauer.................................... Cashier
B.
J. Steinauer...................... A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES
L oa n s and discounts.....__________ $
O verdrafts ________________________
B onds and securities.____________
B an king house and fixtures..........
O ther real estate--------------------------Cash, in bank & due fr o m other
banks .......
C hecks and item s o f exchange....

L IA B IL IT IE S
52,845.98
8.70
42,071.30
1,000.00
1.00
51,304.87
32.46

T o ta l.......... ...................................$147,264.31


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C apital S tock : Common....................$ 30,000.00
Surplus ............
6,000.00
U ndivided p rofits (n e t)...................
5,546.13
R etirem ent fund fo r preferred
stock or debentures____________
6,000.00
Individual deposits..................._......... 105,718.18

T ota l_________________________ $147,264.31

DEPARTM ENT

Stella

The State Bank of Stella
R ich ard son

R.

85

O F B A N K IN G

C ounty

C harter N o. 393

A. T yn an .....................................P residen t

R ich ard M cM ullen................................ Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s and discou nts... .................. $
O verdrafts
____________________
B onds and securities..........................
Judgm ents
and claim s___________
B an kin g house and fix tu re s_______
Cash in bank & due fro m other
banks ________________

99,081.95
278.22
38,'875.93
460.20
2,100.00

C apital S tock : C om m on— .............. $ 2,5,000.00
Surplus ______
5,000.00
U ndivided p rofits (n e t)------- --------- 4,601.57
Individual deposits.------- ---------------- 99,113.34
Tim e certifica tes o f deposit............ 25,328.95
Savings d eposits-.,________
7,541.81

25,789.37
T ota l........ .................................. ...$166,585.67

Total..________________________ $166,585.67

Commercial Bank

Stratton
H itch cock

County

C harter No. 1644

W a d e R. M artin_______ _______ .....President
L ou is Stolte............................. .V ice-P residen t

L ouis

Stolte...----------------------------------- C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans and
discounts---- ------------- $138,735.20
O verdrafts ------------------------------------436.43
B ond s and securities.................. — 47,004.31
B an kin g house and fix tu res-------- 6,300.00
C ash in bank & due fro m other
banks ____________________________ 90,641.70
Checks and
item s o f exchange....
173.43

C apital Stock : Common....................$ 30,000.00
Surplus ..... - ..................................... —
7,500.00
U ndivided p rofits (n e t)---------------- 3,203.81
R eserve fo r contingencies, etc—
1,000.00
Individu al deposits-------------------— 133,088.42
D em and certificates o f deposit.... 5,000.00
Tim e certificates o f deposit......... 97,277.76
6,215.08
Savings deposits---------------------------C ertified and cashiers checks----6.00

T o ta l_________________________ $283,291.07

T ota l_______ ____ _____________ $283,291.07

Stromsburg Bank

Stromsburg

C harter No. 715

P olk County
E.
C. N ordlund_________________ P resident
C.
C. W esten ius.................... V ice-P resid en t
Leo. V. C arlson...................................Cashier

R aym on d Anderson.,.............. A ss’t
L av ern a R y strom ........ — ..... A ss’t

Cashier
Cashier

M em ber Of F ederal R eserve System
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and discounts..... — ........— $165,038.88
B onds and securities............... ..... - 127,397.02
B an king house and fix tu re s-------- 6,135.00
Cash in bank & due from other
banks ......................... ....................... — 57,055.77
L a w fu l reserve w ith F ed. Res.
B an k o r other reserve agents.... 29,539.01
C hecks and item s o f exchange....
491.01

C apital S tock : C om m on................... $ 30,000.00
Surplus ......................................
15,000.00
U ndivided p ro fits (n e t)— ...............
7,252.82
R eserve fo r contingencies, etc.... 10,000.00
Individu al deposits------------------------ 210,336.89
D em and certificates o f deposit... 33,878.70
Tim e certificates o f deposit......... 74,496.19
S avings deposits---------------------------4,692.09

Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$385,656.69

Total.

.$385,656.69

86

DEPARTM ENT

OF

B A N K IN G

Security State Bank

Sum n er
Dawson County
H erm an R eier
F ra n k Reier....

C harter No. 403
..........P residen t
.V ice-P residen t

H. S. Clouse.......................................... C ashier
J. L. W a tson ..... .......................Ass’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts........ ..............$ 78,761.47
O verdrafts ___________________
42.92
B onds and securities......................
8,213.13
B an kin g house and fix tu re s.........
2,540.00
C ash in bank & due fro m other
banks ...............
48,014.62
C hecks and item s o f exchange....
67.50

Capital Stock : C om m on................... $
Surplus ..................................................
U ndivided p rofits (n e t)..............
Individu al deposits............................
T im e certifica tes o f deposit_______

12,000.00
3,000.00
550.78
72,431.41
49,657.45

T o ta l............................. ................ $137,639.64

T o ta l............................................. $137,639.64

Farmers State Bank

Superior

C harter No. 1343

Nuckolls County
J. R . P a rson s................... ............... P resident
P e rc y B a ird ...................._.........V ice-P residen t

L lo y d
E loise

B oersm a..................................... Cashier
B aird ..... .......................A ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and discou nts— ..................$157,661.90
O verdrafts ..... - .............. - ........—.........
59.88
B onds and securities.................. — 95,950.00
B an k in g house and fix tu re s-------- 10,525.00
Other real estate.... .......................
1,328.00
Cash in bank & due fro m other
banks ................................................ 207,341.04
C hecks and item s o f exchange.... 1,792.58

C apital S tock : C om m on................... $ 32,500.00
F irst P referred .__ 17,500.00
Surplus ................................. .............. — 8,825.00
U ndivided p rofits (n e t)______ _____ 5,045.68
R etirem ent fu nd fo r preferred
stock o r debentures_______
1,655.41
Individu al deposits_________
354,536.58
Dem and certificates o f deposit....
300.00
Tim e certifca tes o f deposit......... 28,212.86
Savings deposits.................................. 26,076.27
C ertified and cashiers ch eck s......
6.60

T ota l............................................. $474,658.40

T ota l............................................. $474,658.40

City State Bank

Sutton
Clay County

C harter No. 1209

J. M. W e b e r.......................................P residen t

S.

G.

C arney------------------ -------------- C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

C apital Stock : C om m on....................$ 30,000.00
L oan s and discou nts...................... $ 56,790.93
Snrplii<3
7,000.00
O verdrafts ... ......................................
89.37
U ndivided p rofits (n e t)................... . 2,970.92
B onds and securities....................... 40,077.33
967.70
R eserve fo r contingencies, etc...
B an k in g house and fix tu res............
1,500.00
Tndiyjrhial d^pnsits
. 59,934.68
O ther real estate..............
7,500.00
Tim e certifica tes o f deposit......... . 20,320.94
Cash in bank & due fro m other
banks __________________
40,672.78
S avings deposits.................................... 22,645.66
2,993.42
C ertified
and cash iers checks......
Other assets___________ _______ ______________________
202.91
T ota l..... ....................................... $146,833.32


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T o ta l..... .........................................$146,833.32

DEPARTM ENT

Sutton State Bank

Sutton

C harter No. 1208

Clay County
W.
W.
E.

87

O F B A N K IN G

F. H oerg er.... ................
President
L evan d er— _____
V ice-P resid en t
K irch hefer._____________________ Cashier

N elle A. H oerg er...................... A ss’ t C ashier
W . K irch h efer._________ ____ A ss’ t Cashier

M em ber o f F ederai D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans and discou nts...................... $
O verdrafts ________________________
B onds and securities..................
B an k in g house and fixtures..........
Cash in bank & due fro m other
banks ............................ - ..................C hecks and item s o f exchange....

74,241.12
41.10
35,412.74
800.00
26,803.76
204.24

T ota l............................................. $137,502.96

Capital Stock : C om m on------ ------.....$ 25,000.00
Surplus —....................................
5,000.00
U ndivided p ro fits (n e t)---------------4,602.09
Individual d eposits— ......................... 80,128.68
D em and certificates o f deposit.... 7,769.58
Tim e certificates o f deposit-------88.51
Savings deposits............................. — 13,507.78
1,406.32
C ertified and cashiers checks----T ota l...................... ...................... $137,502.96

Bank of Swanton

S w anton

C harter N o. 407

Saline County
J. D. P ivo n k a — ........................... -...President
A . F. P ivon k a...... ................... V ice-P resid en t

A. F. P ivon ka..... ................................. Cashier
L. F . H o ffm a n ..........................A ss’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s and discounts-------------------$
B onds and securities
-------------B an k in g house and fix tu re s-------Cash in bank & due from other
banks - ....- ......................................... -

53,765.68
17,100.74
2,400.00
41,966.57

Total...-........................ ................ $115,232.99

C apital Stock : C om m on................... $
Surplus ....
U ndivided p rofits (n e t)---------------Individu al deposits......................
Tim e certifica tes o f deposit-------C ertified and cash ier checks-----

10,000.00
7,000.00
1,683.90
63,984.49
31,668.56
896.04

T otal..............................................$115,232.99

State Bank of Table Rock

T ab le R ock

C harter N o. 409

Pawnee County
M ae B onh am .......................................P resident
G eorge E. B ed ea.................. V ice-P resid en t

G.
F. B onh am ................................— C ashier
L. J. D uder............... ............ — A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oa n s and discounts.------------------ $
B onds and securities------------------B an kin g house and fix tu re s-------Cash in bank & due fro m other
banks _____________________________
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

69,713.00
29,066.88
7,700.00
39,438.81

.$145,918.69

Capital Stock : Common.;................. $
Surplus -----------------------------------------U ndivided p rofits (n e t)---------------Individu al deposits---------------------—
D em and certifica tes o f deposit—
T im e certifica tes o f deposit........
Total.

25,000.00
3-500-M
o,o07.00
90,094.50
1,955.15
21,862.04

.$145,918.69

DEPARTM ENT

OF

B A N K IN G

Bank of Talmage

T a lm a g e
Otoe County

C harter No. 410

H erm an A ren d s............... .................P resident
W illia m H. D am m e............... V ice-P resid en t

On shier
C. M. A sa ....................... ............A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oa n s and discou nts...................... $ 66,465.43
O verdrafts .................
15.09
B onds and securities.... ................ 109,978.00
B an k in g house and fix tu re s......
4,200.00
Cash in bank & due fro m other
banks ...............
59,619.11
Checks and item s o f exchange....
303.39

C apital S tock : C om m on...................$ 25,000.00
Surplus .........
7,500.00
U ndivided p rofits (net)........................ 5,701.15
Individu al deposits............................. 122,139.13
T im e certifica tes o f d e p o sit.......... 80,232.94
O ther liabilities....................................
7.80

T o ta l......................... .................... $240,581.02

T ota l______________ __________ $240,581.02

Talmage
Otoe

Farmers State Bank
County

C harter N o. 1170

B. C. M arquardt............................ P resident
C arrol O sborn .....................V ice-P resid en t
M em ber o f F ederal Dei
STATEM ENT

E. G. S pencer... ....................................Cashier
t Insurance C orporation
' JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oa n s and discou nts...................... $
B onds and securities-----------------B an kin g house and fix tu re s-------Cash in bank & due fro m other
banks ___________________
C hecks and item s o f exchange....

49,715.76
39,172.38
2,500.00
23,485.25
161.91

Capital S tock : C om m on__________ $
F irst P referred __
Surplus _____________________
U ndivided p rofits (n et)....................
R eserve fo r contingencies, etc....
R etirem ent fu nd fo r p referred
stock or debentures_________
Individu al d eposits_______
Tim e certifica tes o f deposit.........

T o ta l............................................. $115,035.30

13,000.00
12,000.00
1,850.00
1,048.49
2,335.50
350.00
56,616.38
27,834.93

T o ta l.................. ..... ................... $115,035.30

Bank of Taylor

T a y lo r
Loup County

C harter No. 1646

Rnhert Rnshn
President
A. M. B u rr.................. .........__ V ice-P resid en t

R.

C.

C ashier

R ose. .

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discou nts.... .......
$138,883.77
Capital S tock : C om m on................... $
C apital notes
O verdrafts ....
239.21
B ond s and securities....................... 34,662.32
& debentures........
Surplus ... ...........
B an k in g house and fix tu re s.......................... 3,150.09
U ndivided p rofits (n e t)...................
C ash in bank & due fro m other
R eserve fo r contingencies, etc....
banks ________.s............ ...................... 23,453.67
R etirem ent fu nd fo r p referred
stock or debentures... ...................
Individu al deposits... ...........
Tim e certificates o f deposit_____
C ertified and cashiers checks......
B ills p a y a b le___________
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$200,388.97

Total.

10,000.00
15,000.00
5,000.00
4,769.77
7,000.00
787.50
88,456.67
54,372.89
2.14
15,000.00

.$200,388.97

DEPARTM ENT

Tecumseh

Johnson County Bank
C harter N o. 1058

Johnson C o u n ty
J.

V.

89

O F B A N K IN G

Joh nson................................... P residen t

H. M. Schepm an--------------------------- Cashier
M ax H eskett............................. A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and discou nts____________ $349,252.13
16.45
O verdrafts ________________________
B onds and securities._____________ 175,171.02
B an kin g house and fix tu re s_____ 6,000.00
Other real estate__________
1,000.00
Cash in bank & due fro m other
banks ................................
111,823.08
C hecks and item s o f exchange.™
9.24

C apital Stock : C om m on................... $ 36,000.00
Capital notes
& debentures____ 14,000.00
R eserve fo r div­
idend payable
in com m on stock 5,000.00
Surplus ___________
13,000.00
U ndivided p ro fits (n e t)---------------6,461.76
Individu al deposits------------------------ 531,720.38
Savings deposits---------------------------- 14,412.64
C ertified and cashiers ch eck s...... 22,677.14

T ota l................................ .............$643,271.92

T ota l............................................. $643,271.92

T ekamah

Burt County State Bank

B urt County
W a ld o

C harter No. 413

H a n co ck ................. .............. P resident

R.

K.

H a n cock ........ ......................... Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES
L oans and discounts.................. $175,908.56
O verdrafts ________________________
338.23
B onds and securities____________ 39,855.42
B an k in g house and fix tu re s_____
8,250.00
Cash in bank & due fro m other
banks ____________________________ 63,694.50
C hecks and item s o f exchange....
174.88

L IA B IL IT IE S
Stock : C om m on....................$ 15,000.00
F irst P referred __ 15,000.00
Surplus ____________________________
6,000.00
U ndivided p rofits (n e t)___________ 2,153.27
Individual deposits_________________ 195,415.23
Tim e certificates o f deposit_____ 54,522.00
131.09
C ertified and cash iers checks----C apital

T o ta l........ ....................................$288,221.59

Thayer

Thay<

T ota l____ ____________________ $288,221.59

Bank

Y ork County

Charter No. 1507

John B redeh oft.............................. President
Geo. H. H oldem an................V ice-P resid en t
STATEM ENT

P au l

M ueller.... ..................................... Cashier

' JU N E 30, 1939

RESOURCES

L IA B IL IT IE S

L oa n s and discounts____________ $
O verdrafts ________________________
B on d s and securities............
Judgm ents and claim s__________
B an k in g house and fix tu re s.........
O ther real estate............................
Cash in bank & due from other
banks ...............
Checks and item s o f exchange....
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

37,076.76
31.53
8,165.00
500.00
1,850.00
5,000.00

C apital S tock : C om m on..... ..............$ 15,000.00
Surplus _________
500.00
U ndivided p rofits (n e t)__
549.18
Individual deposits_______ 20,024.69
D em and certificates o f deposit....
7,125.00
Tim e certifica tes o f deposit____ .... 24,056.17

14,630.22
1.53

.$ 67,255.04

Total.

... $ 67,255.01

90

DEPARTM ENT

OF

B A N K IN G

Citizens State Bank

T h ed fo rd
Thomas County

C harter No. 1428

T. P. H a m ilton ... .............. ............. P residen t
J. N o rw o o d ______________ ____ _____ C ashier

A. H. T hom sen..........................A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oa n s and discou nts...................... $
O verdrafts -------- ------ - .... - .............. —
B on d s and securities.—..................
Banking- house and fix tu re s.........
Cash in bank & due fr o m other
banks ............- .....................................

56,703.27
14.40
10,340.90
2,900.00
16,447.04

C apital Stock : C om m on................... $
Surplus ___________
U ndivided p rofits (n e t)...................
Individu al deposits.............................
T im e certificates o f deposit.........
C ertified and cash iers checks......

15,000.00
5,000.00
3,465.60
44,768.06
18,111.57
60.38

T ota l......................................... 86,405.61

T o ta l.............................. .............$ 86,405.61

State Bank of Trenton

T ren ton

C harter No. 1388

Hitchcock County
A. T hum an-----------E. E. T hu m an-------

....... P resident
V ice-P resid en t

B.

G.

Shillington.......

.....................Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s and discounts.......................$128,541.81
O verdrafts ........................................—
B on d s and securities............- ........ b“ ’o,onn
B an kin g house and fixtures.—.....
J618.UU
O ther real estate— ....................2,739.00
Cash in bank & due from other
banks
—— — ——— — —
—— — — o^>ool•(o
C hecks and item s o f exchange....
414.93

C apital Stock : C om m on................... \1 25,000.00
Surplus ................................- ................. 12,500.00
U ndivided p ro fits (n e t)-------------- 10,261.95
Individu al deposits......................—.... 146,731.58
D em and certificates o f deposit.... 1,004.00
T im e certificates o f deposit......... 77,171.70
C ertified and cashiers ch eck s...... 7,595.31

T o ta l............................... — ........$280,264.63

.$280,264.63

Total.

Ulysses State Bank

U ly sses

C harter No. 1603

Butler County
E d w in A. K roh n — ..................... ..... P resident
E. L. G run torad ...................... ..........Cashier

H elen A. K roh n .......................A ss’t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s and discounts....................
O v erd rafts ---------- .......... ..................
B onds and securities.---------- ----B an k in g house and fix tu re s.......
Cash in bank & due fro m other
banks ................................................

Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$100,128.38
67.34
. 38,729.53
. 5,650.00
. 51,895.70

.$196,470.95

C apital Stock : C om m on................... $
F irst P referred —
Surplus ..................................................
U ndivided p rofits (n e t)............- ......
R eserve fo r contingencies, etc....
Individu al d eposits— .................. --....
D em and certifica tes o f deposit—
T im e certificates o f deposit-------S avings deposits........ - .......................
C ertified and cashiers ch eck s----Total.

12,000.00
13,000.00
5,000.00
2,046.72
260.00
92,684.83
5,600.00
61,871.65
3,885.42
122.33

.$196,470.95

DEPARTM ENT

91

O F B A N K IN G

Nebraska State Bank

Valentine

C harter N o. 1262

Cherry County
E. C.
M. M.

D aven port________________ P residen t
D aven port__________ V ice-P resid en t

F.

L.

C olburn____________________ C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
..$354,033.17
L oan s and discou nts---------544.50
O v erd rafts .
B onds and securities------------------ 41,150.00
B an kin g house and fix tu re s-------- 7,580.00
Cash in hank & due fro m other
banks _______________________
115,608.64
Checks and item s o f exchange.... 2,190.77

L IA B IL IT IE S
C apital Stock : Comm on---------------- i; 25,000.00
Surplus .................................................. 27,000.00
U ndivided p rofits (n e t)---------------- 13,290.00
Individu al deposits------------------------ 298,726.46
Tim e certificates o f deposit-------- 115,387.33
Savings deposits............................... — 32,204.74
4,529.70
C ertified and cashiers checks----Due to national and state hanks 4,968.85

..$521,107.08

T ota l............................................. $521,107.08

RESOU RCES

Total..

Bank of Valley

Vaîley
Douglas
R.
C.

C harter N o. 526

County

M. E rw a y ___________ ___ - .........President
H. S a ffo rd ____________ .V ice-P residen t

T. F. Green...................................... ....Cashier
R o g e r W . P a rson ...................... A ss’ t C ashier

M em ber o f F ederal R eserve System
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES
L oa n s and discou nts..... ..... ........... $ 84,145.76
O verdrafts ------------------------------------18-17
B onds and securities------------------- 46,851.45
B an kin g house and fix tu re s-------- 4,120.00
C ash in bank & due from other
banks ..... ...................- ..................
111,294.95
L a w fu l reserve w ith F ed. Res.
B an k o r other reserve agents.... 18,337.17

L IA B IL IT IE S
C apital Stock : C om m on................... $ 25,000.00
Surplus ......................................... ......... 9.000.00
U ndivided p rofits (net)..--------------- 2,007.57
R eserve fo r contingencies, etc..... 2. 000. 00
Individu al deposits------- ----------------- 162,986.49
500.00
Dem and certificates o f deposit....
Tim e certificates o f deposit......... 24,247.00
34,611.56
S avings deposits.......... ........... ............
C ertified and cashiers checks----- 4,045.88
369.00
Other liabilities------------------------------

Valparaiso

.$264,767.50

Total....

__ $264,767.50

T otal

Oak Creek Valley Bank
C harter No. 522

Saunders County
W . G. Johnson................................ P resident
B. E. H en drick s............... .......V ice-P resid en t

R. E.

.Cashier

N ovak

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s and discou nts-------------------$
O verdrafts ------------------------------------B ond s and securities............
B an king house and fix tu res-------Other real estate--------------------------Cash in bank & due fro m other
banks ____________________________
Checks and item s o f exchange....
T ota l

87,811.38
309.21
4,606.07
5,536.00
1,500.00
52,126.53
35.98

....................................... 4151,925.17


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$

F irst P referred .—
Surplus - .............._........................ ............
R etirem ent
c+

nr*

Individual
SfivinHrs

fu n d

fo r

r lp H ftT ltllT P S

preferred
........ ....................

deposits..... ............... ..........

(ìp .p o s it s

...

________

17,500.00
7,500.00
5,000.00
6,542.40
3,661.18
74,290.83
30,151.76
7,279.00

T ota l..................................... .......$151,925.17

92

DEPARTM ENT

Virginia

OF

B A N K IN G

Citizens State Bank

Gage County

C harter No. 745

G.
A . E rick son ................................President
A lfre d H enzel......................... V ice-P resid en t

Cora

L ib a l................... ........ .......... .......C ashier

S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oa n s and discou nts.......... ............$ 16,444.94
O verdrafts ...............
11.72
B an king house and fix tu re s........ 2,150.00
Cash in bank & due fro m other
banks ... ...........
16,241.34

C apital S tock : C om m on................... $ 7,500.00
U ndivided p rofits (net)......
338.09
Individual deposits........ .................... 26,664.90
Tim e certificates o f deposit.........
1.00
Saving's deposits... ..................
323.76
C ertified and cash iers ch ecks___
20.25

T ota l............................ .................$ 34,848.00

T ota l.................. .......................... $ 34,848.00

Waco

Farmers and Traders Bank
Y ork County

C harter No. 806

J. R. M cC lou d........ .......................... P residen t
R obert B e ck o rd ...................... V ice-P resid en t

W . R. P ettee.......................................... C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oan s and discou nts.......................$ 59,321.19
O verdrafts ............
61.59
B onds and securities_________
84,845.00
B an k in g house and fix tu r e s.........
1.00
Cash in bank & due from other
banks ......................
45,876.73
C hecks and item s o f exchange....
430.10
T o ta l.................... ....... .................$190,535.61

Wahoo

C apital Stock : C om m on................... $
Surplus .....
U ndivided p rofits (n e t)... ...............
R eserve fo r contingencies, etc....
Individu al deposits........................
D em and certificates o f deposit....
T im e certificates o f deposit.........
Savings deposits...............................

T o ta l..... .................. ................... $190,535.61

Wahoo State Bank
Saunders County

J. G.
A lbert

10,000.00
15,000.00
1,379.89
6,800.00
62i998.01
11,642.47
38,206.29
44,508.95

H oh l..........
H a vel............

C harter No. 1616

President
'..Vice-President
M em ber o f Fede
STATEM ENT

RESOURCES
L oa n s and discounts.:...............
$215,901.65
O v erdrafts ____
163.31
B onds and securities........................ 66,970.31
B an king house and fix tu re s......... 17,200.00
Cash in bank & due fro m other
banks ...................
67,838.20
L a w fu l reserve w ith F ed. Res.
B an k o r other reserve agents.... 42,209.49
Checks and item s o f exchange....
992.70
Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.$411,275.66

C. G. H oh l.......................... .................. Cashier
R a y W . H oh l............................. A ss't C ashier
R eserve System
‘ JU N E 30, 1939
L IA B IL IT IE S
C apital Stock : C om m on..................$ 40,000.00
Surplus ............
18,000.00
U ndivided p rofits (n e t)...................
5,159.33
Individu al deposits... ......................... 195,726.18
D em and certificates o f deposit.... 5,000.00
Tim e certificates o f deposit_____ 126,853.62
S avings deposits.____________
19,416.53
C ertified and cashiers ch ecks___
1,120.00
T ota l............................................. $411,275.66

D E P A R T M E N T OF BANKING

Wallace

93

Citizens Security Bank

Lincoln County
F.

H.

C harter N o. 873

W h itla k e ..-............................President

C. C. W h itla k e............ ............. V ice-P resid en t

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans and discounts..............
$104,606.81
C apital Stock : C om m on... ............... $ 25,000.00
Surplus ___
12,500.00
O verdrafts ......
21.84
B ond s and securities____________ 20,477.88
U ndivided p rofits (n e t)_______
2,37,5.10
B anking- house and fix tu re s.......................... 7,000.00
Individual deposits............................. 145,077.61
Cash in bank & due fro m other
Tim e certificates o f deposit_______ 55,065.69
banks ..........
107,911.87
T ota l____________________ ___...$240,018.40

Wallace

T ota l............................................. $240,018.40

Farmers State Bank
C harter No. 1456

Lincoln County
P re sid e n t

M arie C ooper....

......................... C ashier

P. M. L a V elie....................... ...V ice-President
M em ber o f F ederal R eserve System
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oan s and discou nts................. — $
O verdrafts _______________
B onds and secu rities................. —
B an king house and fix tu re s.........
Other real estate................................
Cash in bank &• due from other
banks .................
L a w fu l reserve with F ed. Res.
B ank or other reserve agen ts—
C hecks and items o f exchange....

97,652.68
22.10
61,189.05
3,950.000
2,308.80
56,375.05
23,167.74
91.50

T ota l..... ....................................... $244,756.92

Wauneta

Capital S tock : C om m on_______ ___$ 14,000.00
C apital notes
& debentures........ 11,000.00
6,000.00
Surplus ________ ___ ....___
U ndivided p rofits (n e t)__________
386.65
R eserve fo r contingencies, etc.... 1,400.00
R etirem ent fu nd fo r p referred
1,160.00
stock or debentures...............
Individual deposits...................
104,458.98
T im e certifica tes o f d e p o sit____ 101,451.16
S avings deposits---------------------------4,803.93
C ertified and cashiers checks......
96.20
T ota l.............................................$244,756.92

Wauneta Falls Bank

Chase County

C harter N o. 968

John W . Green-------- -------------— P resident
R. E. C ocklin.................. .......V ice-P resid en t
Jo. D u deck
---------------------.V ice-P resid en t

R. E. C ocklin_______________________C ashier
W ile y Green_________________ A ss’ t Cashier
V irgil R obertson ____________ A ss’t Cashier

M em ber o f F ederal D ep osit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S
L oans
and discou nts.... ...........
$128,877.24
C apital S tock : C om m on........ ..........$ 35,000.00
O v erdrafts
____
112.10
Surplus _________
18,000.00
B onds
and securities_________
147,083.70
U ndivided p rofits (n e t)__________
6,837.80
B an kin g house and fix tu re s............................. 3,134.84
Individual deposits________________ 414,266.41
Other real estate__________________
2.00
Tim e certificates o f deposit__ __ 66,895.92
Cash in bank & due from other
C ertified and cash iers ch ecks___
78.02
banks .....
265,276.22
D ue to national and state banks 3,590.83
Checks and item s o f exchange....
175.88
Other assets..............
7.00
T ota l__________ _______________ $544,668,98


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T ota l______ ___________________$544,668.98

94

D E P A R T M E N T OF BANKING

Commercial State Bank

Wausa
Knox County

C harter No. 1585

Mrs. A . H. B an ks..........................P residen t
G. E. S w anson............... .......V ice-P resid en t

H.

J. B orn h old t................................— Cashier

M em ber o f F ederai D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oans and discou nts.......... ............ $187,395.90
O verdrafts .......
62.08
B onds and securities.............. 7,500.00
B an kin g house and fix tu re s_ 19,600.00
Other real estate........................
500.00
Cash in bank & due from other
banks .........................
186,719.06
Checks and item s o f exchange.... 1,089.09
T otal.............................................4402,866.13

Waverly

C apital Stock : C om m on... ........... ....$ 11,750.00
F irst P referred __ 38,250.00
Surplus ... ............................................
7,500.00
U ndivided p ro fits (n e t)__________
2,404.97
Individu al deposits........ .................... 251,389.89
T im e certifica tes o f deposit-------- 67,300.92
Savings deposits.................. ............_ 24,082.75
C ertified and cashiers ch eck s....................... 187.60
T ota l............................................. $402,866.13

Lancaster County Bank

Lancaster County
C.

J.

C harter No. 962

W a rn er........ ...........................President

W . H. D ick ------- -------------------------------Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T OF JU N E 30, 1939
L IA B IL IT IE S

R E SO U R C E S
L oans and discount-------------- ------- $ 67,116.50
O verdrafts ............................
55.11
B an king house and fix tu re s.........
4,125.00
Cash in bank & due fro m other
banks .....
29,582.71
Other assets...............
963.20

T otal____ ____________________ $101,842.52

Weeping Water

C apital S tock : C om m on................... $
F irst P referred __
Surplus ................................
U ndivided p rofits (n e t)........ ..........
Individual deposits-------- ---------------Tim e certificates o f deposit.........
Savings deposits...............
C ertified and cashiers checks-----

5,000.00
20,000.00
1,900.00
703.76
50,674.53
21,635.98
1,799.25
129.00

T ota l............................ .................$101,842.52

Nebraska State Bank

Cass County

C harter No. 1304

J. I. Corley._______________________P residen t
M. U. T hom as_____________ V ice-P resid en t

F. J. D om in g o_____________________ Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans and discounts------------------ $126,082.01
B onds and securities------------------ 68,607.15
B an kin g house and fix tu re s_____
6,605.00
C ash in bank & due from ’ other
banks ____________________________ 42,666.90
Checks and item s o f exchange....
8.17

C apital S tock : Com m on___________$ 25,000.00
Surplus ................................
10,000.00
U ndivided p rofits (n e t)__________
4,714.25
Individu al deposits......... ......
118,694.00
T im e certificates o f deposit_______ 79,026.82
Savings deposits___________________ 6,534.16

T o ta l_________________________ $243,969.23

T o ta l_________________________ $243,969.23


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

95

D E P A R T M E N T OF BANKING

Bank of Wellfleet

Wellfleet

Charter No. 960

Lincoln County
F.
C.

H. W h itla k e.............................. P resident
C. W h itla k e_______ ___ .V ice-P residen t

E. E. K u g ler........................................ Cashier
V irgil Spann.............................A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L o a n s and discounts..............$165,003.67
77.73
O v erd rafts ________________________
B onds and securities...............
13,000.00
B an kin g house and fix tu re s.........
600.00
Other real estate........................
1.00
Cash in bank & due from other
banks .......................
33,365.27
Checks and item s o f exchange....
21.17

C apital S tock : C om m on................... $
Surplus _____________________________
U ndivided p rofits (n e t)___________
Individu al deposits...-..........................
Tim e certificates o f deposit.............

T ota l............................................. $212,068.84

Whitman

20,000.00
10,000.00
6,449.73
97,298.55
78,320.56

T ota l............................................. $212,068.84

First State Bank

Grant County

C harter N o. 1174

I. R. A lter......................................... P resident
M aude H enderson__________ V ice-P resid en t

O.
R.

J.
J.

K in g ---------------------------------- --- Cashier
T a y lo r________________ A s s ’ t C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oan s and
discou nts...........
.$118,050.32
O verdrafts ________________________
73.51
B onds and
securities------------------ 7,780.00
B an k in g house and fix tu re s-------- 2,300.00
Cash in bank & due fro m other
banks ............- ........- .............. ............ 19,202.92

T ota l_________________________ $147,406.75

Wilber

Capital S tock : C om m on... ............... $
Surplus — ............................................
U ndivided p rofits (n e t)__________
R eserve fo r contingencies, etc....
Individual deposits________________
Tim e certificates o f deposit.........
Savings deposits___________________
C ertified and cash iers checks___
B ills p ay able----------------------------------

15,000.00
10,000.00
4,391.30
1,564.29
80,618.67
18,402.49
13,400.90
29.10
4,000.00

T ota l-------------------------------------- $147,406.7,5

The Bank of Wilber
Saline

County

Charter No. 649

A dolph B eck............ .......................... P resident
E dw . A. B eck ......................... V ice-P resid en t

Chas. B. H roch ........ ................ .......... Cashier
M rs. Cam ille P la cek ............ A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES
L oans and discou nts...... ....
$119,275.00
O verdrafts ________
183.48
B onds and securities----- ------------- 78,576.36
B an kin g house and fix tu re s.... ..... 7,330.00
Cash in bank & due fro m other
ba n k s ____________________________ 40,269.76
Checks and item s o f exchange....
76.30
T o ta l____ _______ _____________ $245,710.90


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
C apital S tock : C om m on___ __ ____$ 20,000.00
Surplus -----------------------------------------5,000.00
U ndivided p rofits (n e t)__________ 6,864.12
Individu al deposits.......... ...............
81,925.89
D em and certificates o f deposit....
710.50
T im e certificates o f deposit____ 131,210.39
T ota l---------------------- --------------- $245,710.90

96

D E P A R T M E N T OF BANKING

Wiiber

Saline State Bank
Saline

E.
S.

County

C harter No. 1336

W . M iskell................................. P residen t
W . H erm an....................... V ice-P resid en t

J. J. N ov ak ....... ...................................Cashier
A. W . F rid rich ............. .........A ss't Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES
L oa n s and
discounts......................$157,822.72
O verdrafts ________________________
60.01
B onds and
securities___________ 78,107.69
B an kin g house and fixtures.........
9,400.00
Cash in bank & due fro m other
banks ........................
59,882.40

L IA B IL IT IE S
C apital S tock : C om m on...................$ 15,000.00
F irst P referred __ 10,000.00
Surplus ____________________________
8,500.00
U ndivided p rofits (n e t)____ _____
5,485.24
R eserve fo r contingencies, etc._
700.00
R etirem ent fu nd fo r p referred
stock or debentures____________
2,551.10
Individu al deposits.____________
114,616.29
Tim e certificates o f deposit_____ 121,125.09
Savings deposits___________________ 21,383.79
C ertified and cash iers checks_ 5,911.31

T otal........ ....................................$305,272.82

Wilber

T ota l............. ........................ ...... $305,272.82

Wilber State Bank
Saline C ounty

C harter No. 1334

A d olp h Shim onek..............................President
S. A. Shostak— ......................V ice-P resid en t

H. V. Jelinek_______________ ________Cashier
F. J. K oh el................................A ss’ t Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOURCES
L oan s
and discou nts........................ $143,382.78
O verdrafts ___________________ _____
45.65
B onds
and securities........................ 126,717.75
5,800.00
B an kin g house and fix tu re s_____
Cash in ba n k & due fro m other
banks — ..............................
44,566.22
Checks and item s o f exchange....
607.80

L IA B IL IT IE S
C apital S tock : C om m on................... $ 25,000.00
Surplus ..._.............. — __
18,000.00
6,140.74
U ndivided p rofits (n e t)__________
R eserve fo r contingencies, etc..... 3,208.30
Individual deposits________________ 110,930.00
Tim e certificates o f deposit_____ 115,606.99
Savings deposits........ ...........
32,446.67
C ertified and cashiers checks___
9,787.50

T ota l------- ------------------------------ $321,120.20

T ota l........ ................................-...$321,120.20

Wilsonville

Wilsonville State Bank

Furnas' County
G.
R.

C harter No. 850

A. H a ll... ......................... ..........President
A . H a ll------------------------- V ice-P resid en t

C.

A.

Hall....

__________ C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES
L oans and discou nts____ _______ $
O verdrafts ________________________
B onds and securities._______
B an kin g house and fixtures....... .....
Other real estate__________________
Cash in ba n k & due fro m other
banks ---------------------------- ---_........ .

L IA B IL IT IE S
60,504.10
10.38
30,227.27
2,550.00
1,000.00
31,608.98

T ota l-------------------------------------- $125,900.73


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C apital S tock : C om m on_____ ____ $
F irst P referred __
Surplus ................................
U ndivided p ro fits (n e t)__________
Individu al deposits_________
D em and certificates o f deposit....
Savings deposits_______
C ertified and cashiers checks___

5,500.00
19,500.00
1,500.00
2,943.69
94,128.31
1,238.57
1,049.16
41.00

T ota l-------------------------------------- $125,900.73

D E P A R T M E N T OF BANKING

Winside

97

Winside State Bank

Wayne County

C harter No. 1636

Geo. S. F a rra n __________________ P residen t
C. E. B e n sh oof_____ V ice-P resid en t

E. T. W arnem und e........................ ....Cashier

S T A T E M E N T O F JU N E 30, 1939
RESOURCES

L IA B IL IT IE S
L o a n s and discounts____________ $ 63,241.68
C apital S t o c k : C om m on............... ....$
O verdrafts ________________________
23.70
Surplus _____
B onds and securities____________ 20,000.00
U ndivided p ro fits (n e t)___________
B an kin g house and fix tu re s________________ 2,600.00
Individu al deposits________________
Cash in bank & due fro m other
Tim e certifica tes o f deposit______
banks ____________________________ 43,249.42
T o ta l____________________ __-.4129,114.80

Wolbach

10,000.00
8,000.00
345.30
98,823.76
11,945.74

T ota l..... ....................................-...$129,114.80

Peoples State Bank

Greeley County

Charter N o. 1252

W . E. M cIn tyre------------------------- P resident
Geo. S. Sm ith______________ V ice-P resid en t

J.

C.

W ilson .......................................... Cashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30, 1939
RESOU RCES
L oans and d iscounts____________ $
B on d s and securities_____________
B an k in g house and fixtures...___
Cash in bank & due fro m other
banks _____________________________

57,871.07
26,857.45
4,000.00
50,042.95

T ota l_________________________ $138,771.47

Wood Lake

L IA B IL IT IE S
C apital S tock : C om m on__________ $ 25,000.00
Surplus -----------------------------------------5,000.00
U ndivided p rofits (n et)____________
7,630.41
R eserve fo r contingencies, etc___ 1,000.00
Individual deposits________________ 70,203.54
Tim e certificates o f deposit_____ 25,889.03
Savings deposits____________________
4,048.49
T ota l..................... ........................$138,771.47

Bank of Wood Lake

Cherry County

C harter No. 1653

C. J. A b b o t t —...................................P residen t
R. S. Dee--------------- -------------- V ice-P resid en t

L e R o y A b b ott E x ecu tiv e V ice-P resid en t
E lm o G ardiner........................................C ashier

M em ber o f F ederal D eposit Insurance C orporation
S T A T E M E N T O F JU N E 30. 1939
RESOURCES
L oan s and discounts.______________$
O verdrafts ________________________
B onds and securities______________
B an kin g house and fix tu re s_______
C ash in bank & due from other
banks ------------------------------------------

L IA B IL IT IE S
88,304.24
157.74
37,947.73
1,451.16
28,689.74

T otal-------------------------------------- $156,550.61


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

C apital S tock : C om m on__________ $
Surplus ----------------------------------------R eserve fo r contingencies, etc__
Individu al deposits._____________
T im e certificates o f deposit_____
Savings deposits--------------------C ertified and cash iers checks___

25,000.00
4,296.70
124.56
87,553.05
35,681.48
3,689.82
205.00

T ota l-------------------------------------- $156,550.61

D E P A R T M E N T OF BANKING

98

Wood River

Bank of Wood River
C harter No. 593

H all County
E. L.
A . E.

Thalen___________
P resident
E rnstm eier__ V ice-P resid en t

E.

H u x tab le.......... ..............,_____ Cashier

C.

S T A T E M E N T O F JU N E 30, 1939
L IA B IL IT IE S

RESOURCES

C apital Stock : C om m on......... ..... — $
L oa n s and discou nts........ ..... .......— $ 28,648.70
Surplus __________
38.88
O verdrafts ...................................... .—
U ndivided p rofits (n e t)__________
B onds and securities____________ 45,091.75
Individu al deposits.........................—
B an king house and fix tu re s............................. 3,000.00
T im e certificates o f deposit_____
Cash in bank & due from other
Savings deposits.........................
banks ............................ - .................... 31,020.31
C ertified and cashiers checks___
T ota l......... :.... .......................... -...$107,799.64

Yutan

T ota l...................................... ....... $107,799.64

Bank of Yutan
Saunders County

H.

10,000.00
2,500.00
1,641.51
82,208.15
9,591.23
1,830.02
28.73

C harter No. 465

H. P eters........................ ............P residen t

J.'

F.

P eters.......................................... Cashier

S T A T E M E N T O P JU N E 30, 1939
RESOURCES
L oans and discounts.......... ............ $131,002.14
O verdrafts ............... .... ..................... —
58.27
B onds and securities........ .............. 17,200.00
B an king house and fix tu re s-------- 1,100.00
Cash in bank & due fro m other
banks ___ _________________________ 30,986.37
Checks and item s o f exchange....
52.96
T ota l..................... ......................$180,399.74


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
Capital S tock : C om m on__________ $
Surplus ____________________________
U ndivided p rofits (n e t)---------------R eserve fo r contingencies, etc.....
Individu al deposits________________
Tim e certifica tes o f deposit_____
Savings deposits............- ....................
C ertified and cashiers ch ecks......

25,000.00
12,500.00
11,898.24
1,000.00
64,136.32
52,610.67
11,487.85
1,766.66

T ota l..................... - .....................$180,399.74

D E P A R T M E N T OF BANKING

STATEMENTS
Showing the condition of the 54 State chartered Building and
Loan Associations in Nebraska at the
close of business, June 30, 1939.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

99

100

D E P A R T M E N T OP BANKING

Statement of the total number of Building and Loan Associations and total
assets from 1892, the first year that authentic reports are available, down
to the present time.
Year
1892.
1893.
1894.
1895.
1896.
1897.
1898.
1899.
1900.
1901.
1902.
1903.
1904.
1905.
1906.
1907.
1908.
1909.
1910.
1911.
1912.
1913.
1914.
1915.
1916.
1917.
1918.
1919.
1920.
1921.
1922.
1923.
1924.
1925.
1926.
1927.
1928.
1929.
1930.
1931.
1932
1933
1934,
1935
1936
1937
1938
1939

Number of
Associations
71
84
86
81
73
68
64
60
60
59
58
59
60
59
61
66
68
70
70
69
68
70
72
71
72
73
73
74
74
76
80
82
84
84
83
83
84
83
83
83
83
83
83
80
78
76
73
54 *

Total Assets
$

2,902,557.67
3,653,096.83
3,888,001.31
3,929,778.27
3,771,833.53
3,554,788.08
3.428.728.11
3,332,781.67
3,697,356.06
4,314,744.86
4,758,293.97
5,343,429.38
6,217,350.40
7,269,297.48
8.961.788.11
• 11,422,890.86
13,415,822.89
17,094,771.57
21,327,766.83
24,885,285.15
28,946,108.63
32,746,726.24
37,138,413.21
41,660,870.53
47,917,847.08
54,545,629.78
57,151,545.70
65.768.059.56
77,939,337.40
84.071.013.57
91.994.729.57
108,798,586.16
123,021,650.27
141,435,903.98
153,128,474.87
155,213,560.85
161,398,927.60
163,460,364.32
148,706,763.00
137,017,568.78
124,307,311.96
111,876,652.31
100,859,175.40
84,632,272.18
72,305,707.88
65,852,076.01
61,902,134.76
58,946,419.73

* Associations in the process of liquidation or reorganization not included
as in f or m er reports.


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Federal Reserve Bank of St. Louis

101

D E P A R T M E N T OF BANKING
S T A T E M E N T O F C O N D IT IO N
54 State chartered B uilding and L oan A ssociation s in N ebraska
June 30, 1939
RESOU RCES
F irst M ortgage D irect R ed uction L oan s.....................
F irst M ortgage Share A cco u n t Sinking F und Loans...
L oans on Own C ertificates o r P ass B ook s.....................

.$23,163,796.64
. 18,009,585.08
220,391.79

$41,393,773.51

Interest on L oans A ccrued and U npaid............_.........
M ortgage Loans in F oreclosu re (D ecree E n te re d )...
R eal E state Owned (other than o ffice bu ild in gs)...
Real E state Sold on C ontracts..... .... ........... .................... .
T ax es and Insurance A d va n ced .......................................
O ffice B uildings..................... ............... ............ .... .................
F urniture, F ixtu res and E quipm ent............................... .

____________
94,082.39
......................
318,595.25
...........
3,292,747.77
...................... 2,777,589.14
..............
45,246.64
806,455.72
12,433.84
818,889.56

Stock in F ederal H om e L oan B an k.................. ..............
B onds (U. S. G ov't, H.O.L.C., e tc.)................................
Cash on H and and in B an ks_________________________
Other R esources._________ __________________________ ___

93,100.00
2,393,642.32
7,704,654.54
14,098.61

T o ta l.......................... .........................................$58,946,419.73
L IA B IL IT IE S
Installm ent Shares and D ividen ds.................. ................................... $30,187,098.30
F ull-P aid Shares______ _____________________________________________ 16,671,680.64
61,272.51
P repaid and M atured Shares..... ............................................ .............
M ortgage R etirem ent Shares and D ividen ds.................. ............ .... 4,476,985.43
Due B orrow ers on Incom plete Loans.
B ills P ay able
F ederal H om e L oa n B an k ________________________________
Other .......................................................................................... ..........

385,770.67
503,756.00
4,700.00

A dvance P aym en ts b y B orrow ers fo r T axes and Insurance.........1..................
D ividends D eclared, U npaid and U ncredited..........................................................
U ndivided P ro fits.................................................................................
504,994.00
L egal R eserve F un d____________
4,820,366.07
F ederal Insurance R eserve._____ ,..... .................................................... .
1,866.72
98,274.09
U ncollected Interest R eserv e________________ _______________ ___ __
R eal E state Owned R eserve..... ........................
174,571.31
R eal E state C ontract R eserv e____________________ i_______________
580,123.27
T axes and Insurance A d va n ced R eserve_______ __ ____________ __
90,061.45
108,279.23
Other R eserves............... _....--------- -------------------- ---------- ----------------- ---Other

$51,397,036.88

L iabilities---- --------------------- ------------------------- ------------------------------------ --------- ---

508,456.00
170,404.36
83,200.08

6,378,536.14
23,015.60

T o ta l----- ------ ---------- --------------------- ----------- $58,946,419.73
T otal

N um ber

of

Shareholders__________________________ .78,092

T otal N um ber o f B o rro w e rs______________________ _______ 22,861


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

102

D E P A R T M E N T OF BANKING
S T A T E M E N T OF O P E R A T IO N S
B uilding and L oa n A ssociation s in N ebraska fo r the Y ear ending
June 30, 1939

O P E R A T IN G

IN COM E

Interest on M ortg a g e L oa n s..................... ................................................................ ...... $ 2,324,831.33
Interest on P a ss-B o o k and C ertificate L oa n s..... ................................ ........................
11,276.23
Interest on R eal E state C ontracts......................... .............................. ...........;______
161,172.49
32,803.99
Interest on B ond s.............................................................................................. ....................
Inierest on Bank Deposits........ - ............................
12,189.44
P rem ium s or C om m issions on L oan s...............
40,958.38
F ees and F ines......................................... ................ ............... .... ......................................
19,395.19
52,274.90
G ross R entals from O ffice B uildings...............................................
G ross R entals from Other R eal E state Ow ned............................
328,340.86
Dividends on Stock in F ederal H om e L oan B an k.................. .... ........... .... ............
763.52
Other O perating Incom e__ __- ................... .................................. .... ...................................
35,722.43
T ota l

O perating

In com e..........................:...................................... $ 3,019,728.76

O P E R A T IN G E X P E N S E S
C om pensation to D irectors, O fficers and E m p loyees___________________________$
T ra velin g E xpen ses o f D irectors, O fficers and E m ployees_______ ____ _____ __
Legal S ervices...................................... ...... .... ...... ............ ............ ......... ................... ............
C ollection E xpense (A g e n ts e tc.)................................................................ .......................
Rent, Light, H eat e tc___ __ ____ ______________ ______ _____________ _________ __ __
A d vertisin g
.............................................................................. .................... ............ ...........
Stationery, P rin tin g and O ffice Supplies... ..................... ...................... ...................
T elegraph, Telephone, P osta ge and E x p ress...................................... ...........................
Insurance and B ond P rem ium s................................................................ ............_.........
R epairs, T a x e s and M aintenance o f O ffice B uildings...........................................
D epreciation o f O ffice B uildings........ ............................................... ..........................
F urniture, F ixtu res and E quipm ent including D ep reciation ................. ..........
R epairs, T ax es and M aintenance o f Other R eal Estate Ow ned_______ ______
A udits and E xam in ation s o f Supervising A uthorities...................................... ......
F ederal Insurance P rem ium s______ ___________ _____ t............................................. ....
O rganization D ues... :.....................................- ...............................- ...... _........... — ...............
Other O perating E xpen ses................... ..... — ........................................ ............................

524,778.08
24,001.71
16,736.30
21,838.91
42,726.70
26,861.38
13,516.76
18,378.39
15,/<8.65
47,518.08
1,387.99
6,081.05
305,700.59
5,605.61
522.47
2,123.52
59,965.26

T otal O perating E xpenses__________________________________ $ 1,133,554.45
N E T O P E R A T IN G IN C O M E (b efore Interest and O ther C h a rg es)................... $ 1,886,174.31
LESS

NET

IN T E R E S T

O P E R A T IN G

N O N -O P E R A T IN G

C H A R G E S : On A d va n ces from F ederal H om e L oan Bk.
On Other B orrow ed M oney___________ ____

15,931.04
2,470.98

T otal Interest C harges............................ .... ........................ .......... $
18,402.02
IN C O M E ................................................................ ........................ .....$ 1,867,772.29
IN C O M E :

D ividends R etained on W ith d ra w a ls..............
P ro fits on Sale o f R eal E state____________
P ro fits on Sale o f B onds...................
Other N on -operatin g In com e______________

10,629.43
191,156.71
24,413.86
79,416.45

T otal N on -operatin g In com e......................................... .................$ 305,616.45
N E T IN C O M E A F T E R IN T E R E S T A N D B E F O R E C H A R G E S ......................$ 2,173,388.74
L E S S N O N -O P E R A T IN G
CHARGES :

F oreclosu re Costs & B a ck T ax es on R eal
E state A cqu ired .............................................
R entals on R eal E state applied to R educe
B ook V alu es......................................... ..........
Interest on R eal E state C on tracts A pplied
to R ed u ce B ook V alu es...............
L oss on Sale o f R eal E state............. ...............
L oss on Sale o f B on d s_____________________
O ther N on -operatin g C harges______________

47,299.93
127,.354.22
46,174.39
9,165.72
952.47
33,431.06

T ota l N on -op eratin g C harges...................._... ....... l_ __ _________264,377.79
N E T IN C O M E F O R T H E Y E A R ................................................... ...... .......................... $ 1,909,010.95


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Federal Reserve Bank of St. Louis

D E P A R T M E N T OF BANKING

103

E A R N IN G S A N D D IS T R IB U T IO N
fo r Y ea r ending- June SO, 1930
U ndivided P ro fits at beginn ing o f year.__
Net Incom e fo r y e a r_____ __________________ __
Other A d ditions to U ndivided Profits........

T ra n sferred
T ra n sferred
T ransferred
T ra n sferred
T ra n sferred

to
to
to
to
to

519,587.16
1,909,010.95
3,591.12

$ 2,432,189.23
L egal R eserve_____________________________ _________________ ____ « 318 221.42
Insurance R eserve (F e d e ra l)__
1 205 66
R eal E state R eserve...................
..........
82’ 201*32
R eal E state Sold on C ontract Reserve....
..............................
9 206 78
_
23’l33 85
Other R eserves..................................................
T otal A dditions to R eserves.

D ividends
D ividends
D ividen ds
D ividends

on
on
on
on

__ $

Installm ent Shares_____________
F u ll-P a id Shares......................................... ............;....
........
P rep aid and M atured Shares....................
_........
M ortg ag e R etirem ent Shares...................................................

Other D eductions from U ndivided P rofits.
U ndivided P ro fits at end o f Y ea r................

433,969.03
806 736 03
528’o6o!23
’ o'395'oo
32’,21l'.09
105,823.85
504,994.00

$ 2,432,189.23
M ORTG AG E

LOAN S

M ADE

during Y ea r ending June 30, 1939
P urpose
F or
F or
F or
F or
F or

N um ber o f
L oans

A m ou nt

449
1225
1202
645
1216

$1,361,201.63
2,241,807.67
2,337,833.16
551,165.38
1,517,498.73

4737

$8,009,506.57

N ew C onstruction
P urchase o f H om es
R efin an cin g
R econ d ition in g
Other Purposes
T otals

N ote—O ver 90% o f the above loans w ere m ade at interest rates o f 6 per cent o r less.
T otal number o f B uilding and L oan A ssociation s in operation June 30 1937
62
(N ot including 14 associa tion s in the process o f R eorga n ization or L iqu id ation )
A ssociation s D iscontinued d uring B ennium ending June 30, 1939 •
A lbion B ldg. & L oan A ssn ........... ............... A lbion
V olu n ta ry L iquidation 1-17-39
S outheastern-N ebraska Bldg. & Ln. A ssn. A uburn
V olu n ta ry L iquidation 6-27-39
A u rora B uilding and L oan Association.... A u ro ra
V olu n ta ry L iquidation 4-13-39
L on e T ree B uilding and L oan A ssn ...... ....Central C ity V olu n ta ry L iquidation 10- 1-37
The G lobe Savings & L oan A ssn ----------- Colum bus
V olu n ta ry L iquid ation 10-14-37
D avid C ity B uild ing & L oa n A ssn ............. D avid C ity V olu n ta ry L iquidation 1-19-39
H a rtin gton B ldg. & L oa n Assn..--------------- H a rtin gton V olu n ta ry L iquidation 12- 8-38
L incoln Savings & L oan A ssn --------------------L in coln
C onverted to L in coln F ederal
Savings & L oan A ssn. 7-23-37....8
T otal num ber o f association s in operation June 30, 1939.
N ote

The N orth L oup B uild ing and L oa n A ssociation o f N orth Loup, N ebraska dis­
continued and w as placed in V o lu n ta ry L iquid ation b y action o f the sh are­
holders o f the A ssociation on 8-18-39.
A S S O C IA T IO N S

D IS S O L V E D

D U R IN G

B IE N N IU M

ending June 30, 1939
Central City.. L one Tree B ldg. & Ln. Assn.....Vol. Liq. P aid Out 100% plus additional
1% % D ividend
K earn ey -----K earn ey Sav. & L o a n A ssn ....... V olu n ta ry L iquidation P aid Out 100%
L incoln ----- P eoples Sav. & L oa n A ssn -------- V olu n ta ry L iquid ation P aid Out 84%
N ote : On 9-18-39 The Southeastern N ebraska B uilding and L oa n A ssociation o f
Auburn, N ebraska, com pleted its V olu n ta ry L iquidation and D issolved. P aid
Out 87.9%


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Federal Reserve Bank of St. Louis

D E P A R T M E N T OF BANKING

104

A LLIA N C E BUILDING AND LOAN ASSOCIATION
Alliance, Nebraska
Organized September 22, 1902
O F F IC E R S
F.
C.

W . H a rris.................................... P resident
E. S lagle ........................V ice-P resid en t

M. S. H a rg ra v es
S ecretary -T rea su rer
R. O. R ed dish ...................................... A ttorn ey

D IR E C T O R S
F. W . H arris
C. E. Slagle
M. S. H a rg ra v e s

R . E. K n igh t
H. F. Thiele
J- D. E m erick

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

F irst M ortg ag e D irect R ed uction
L oans ................................................ —$222,950.00
P a ss-B o o k or C ertificate Loans.... 1,000.00
Interest on L oan s A ccru ed and
Unpaid ________________
557.91
R eal E state Owned (oth er than
o ffice bu ild in g )__________________ 63,999.18
R eal E state Sold on C ontract...... 12,192.65
T axes and Insurance Advanced.... 2,516.15
Furniture, F ixtu res and
1.00
E quipm ent ...................... _................
Stock in F ederal H om e L oan
B ank .............
2,000.00
Cash on H and and Due F rom
B anks ................................
56,151.69

Installm ent Shares and
D ividen ds ----------------------------------- ; 73,621.12
F ull-p aid Shares---------------------------- 159,300.00
M ortgage R etirem ent Shares
and D ividen ds---------------------------- 46,272.74
Due B orrow ers on Incom plete
4,490.00
L oan s ____________________________
A d va n ce P ay m en t b y B orrow ers
969.56
fo r T axes and Insurance---------U ndivided P ro fits ----------------------- — 20,345.38
General R eserve F u n d — ................. 33,295.72
R eserve fo r U ncollected Interest
557.91
on L oa n s.........................................—
R eal E state R eserve...................... 20,000.00
R eserve fo r T ax es and Insur­
2,516.15
ance A d va n ced ----------------------------

.$361,368.58

Total............................................. $361,368.58

Shareholders.............. 232

T ota l N um ber o f B orrow ers........... - .........114

T otal
T otal

N um ber

of

BE A T R IC E BUILDING & LO AN ASSOCIATION
Beatrice, Nebraska
Organized May 20, 1904
O F F IC E R S
C. P. F a ll......................................... ...P resid en t
H. E. Sackett........................ V ice-P resid en t

B. H. B uckm an.
F. H. G r a f— ........

T reasurer
S ecretary

D IR E C T O R S
C. P. F a ll
H. E. Sackett

B. H. B uckm an

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

F irst M ortg ag e Share A ccou n t
Sinking F un d L oa n s---------$203,693.96
P a ss-B o o k or C ertificate L oans...
400.00
Interest on L oans A ccru ed and
U npaid .....
1,401.52
M ortg ag e L oan s in F oreclosu re
(D ecree E n te re d )..................... 2,338.14
R eal E state Owned (other than
o ffic e b u ild in g)_____________
4,599.25
R ea l E state Sold on C ontract......
6,507.45
Cash on H and and Due from
B an ks .................. .... ........................ — 10,790.55

Installm ent Shares and
D ividen ds ____________________ __ $ 65,749.88
F u ll-p aid Shares..................... —....... — 95,625.00
M ortgage R etirem ent Shares and
D ividends _______________________ 59,604.43
Due B orrow ers on Incom plete
L oans _____
100.00
A d va n ce P ay m en t b y B orrow ers
fo r T a x es and Insurance---- -----545.33
G eneral R eserve F u n d ----------------6,027.08
R eserve fo r U ncollected Interest
on L o a n s--------------1,401.52
R eserve fo r R eal E state Owned...
237.93
R eserve fo r R eal E state Sold
on C ontract.................. -........... .......
412.45
Other L iabilities___________________
27.25

T ota l............................. ........... ....$229,730.87

T ota l____ _______________ _____$229,730.87

T otal N um ber o f S hareholders................396

T otal N um ber o f B orrow ers................... 108


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

105

D E PA R TM E N T OF BANKING
HOME SAYINGS AND LOAN ASSOCIATION
Beatrice, Nebraska
Organized January 18, 1913
O F F IC E R S
J. E. L a n g
.........„ - .........P resident
P ope F rerich s....................... „...Vice-President

P. O. Staehs_______ __S ecretary-T rea su rer

D IR E C T O R S
J. E. L a n g
P ope F rerich s
J. W . Delehant

E. L . G r a ff
K . C. K oon s

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

F irst M ortgage D irect R eduction
L oans .........................................- .......$ 14,934.38
F irst M ortgage Share A ccou n t
Sinking F un d L oan s------------------- 272,725.00
P a ss-b o o k or C ertificate Loans.... 1,140.00
Interest on L oans A ccru ed and
U npaid ___________________________
367.98
M ortgage L oans in F oreclosu re
(D ecree E n te re d )..... .......................
791.20
R eal E state Owned (other than
o ffice bu ild in g )............................ — 70,134.17
R eal E state Sold on C on tract...... 19,240.82
T axes and Insurance Advanced....
60.17
6,500.00
O ffice B uilding... ........................
F urniture, F ixtu res and
E quipm ent ............
1.00
Stock in F ederal H om e L oan
B ank .......................... ....................._.. 2,900.00
Cash on H and and D ue fro m
B an ks ___________________________ 4,657.30

Installm ent Shares and
D ividends ..........................................$ 99,814.95
F u ll-P a id Shares— ............................ 143,625.00
M ortgage R etirem ent Shares and
D ividends _____________________— 98,619.27
Due B orrow ers on Incom plete
308.16
L oan s _____________
B ills P a y a b le (F ed era l H om e
L oan Bank, Topeka, K a n s a s )—
31,015.00
A d va n ce P aym en ts b y B orrow ers
fo r T axes and Insurance---------563.23
U ndivided P ro fits...............................
10.72
D ividen ds D eclared, U npaid and
U ncredited ______________________
117.54
G eneral R eserve F un d .................. - 18,950.00
R eserve fo r U ncollected Interest
on L oa n s............................... ..............
367.98
R eserve fo r T ax es and Insurance
A d va n ced _______________________
60.17
T ota l...................................... ...... $393,452.02

T ota l____________________ ____ $393,452.02
T otal N um ber o f Shareholders..... ..........505

T ota l

N um ber o f

B orrow ers---- ----------- 169

THE ST ATE SAVINGS AND LO AN ASSOCIATION
Beatrice, Nebraska
Organized February 14, 1900
O F F IC E R S
E. L. H evelone___ P resident & T reasurer
W . C. B la c k .......................... .V ice-P resid en t
L. C. C rittenden.............................S ecretary

W . R . K lem an ---------------------------------Cashier
D. G. M cG a ffey .-------F ield R ep resen tative
O. D. Johnson---------- M gr. L in coln O ffice

D IR E C T O R S
E. L. H evelone
W . C. B lack
H. L. D em pster

D. G. M cG a ffe y
H. E. S ackett

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

F irst M ortgage D irect R ed u ction
L oans ....................
$2,259,731.70
P a ss-b o o k or C ertificate Loans.... 6,748.63
Interest M tg. L oans, Stock L oans
& L oans in F oreclosu re A ccru ed
2,380.03
and U npaid— --M ortgage L oans in F oreclosu re
(D ecree E n te re d )________________ 14,722.78
R eal E state Owned (oth er than
o ffice building)...------------------------- 91,940.79
R eal E state Sold On C ontract----- 149,083.83
T axes and Insurance Advanced.... 2,524.95
F urniture, F ixtu res & E quipm ent
1.00
Stock in F ederal H om e L oan
B an k ____
20,700.00
Cash on H and and Due from
B anks __
211,246.45
O ther Assets...______________________
3,428.55

Installm ent Shares and
D ividends ........ - ........... - .....- ......... .$920,436.46
F u ll-P a id Shares---------------- -------- 1,456,625.00
Due B orrow ers on Incom plete
L oan s .....
26,414.10
A d v a n ce P aym en t b y B orrow ers
fo r T ax es and Insurance---------- 21,147.31
U ndivided P ro fits_________________
7,617.50
Dividends, D eclared, U npaid
and U ncredited--------- -----25,092.20
General R eserve F u n d ---- -------------- 256,643.34
R eserve fo r U ncollected Interest
on Loans..________________________
2,380.03
R eserve fo r U npaid T a x es---------915.30
R eserve fo r R eal E state Sold
on C ontract----------24,699.97
R eserve fo r T axes and Insurance
A d va n ced _______________________ 10,400.00
R eserve fo r F oreclosu re D ecrees 10,000.00
Other L iabilities___________________
137.50
T ota l_______________________ $2,762,508.71

T otal..........................................$2,762,508.71
T ota l N um ber o f Shareholders---------- 3,610


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T ota l

N um ber

of

B orrow ers________ 1,760

106

D E P A R T M E N T OF BANKING
B L A IR BUILDING AND LOAN ASSOCIATION
Blair, Nebraska
Organized January 14, 1890
O F F IC E R S

S. W . C ham bers....................... ....... P resident
Ed M atthiesen_______ S ecretary-T rea su rer

R eed

O ’H anlon.....................................A ttorn ey

D IR E C T O R S
S. W . C ham bers
E d M atthiesen
R eed O’ H anlon
E. M. B eaty

H. L. M orris
K a rl Christensen
J. L . P oun ds

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
F irst M ortg ag e Share A ccou n t
S inking F und L oa n s---- -----------$ 86,575.92
Interest on L oans A ccru e d and
U npaid ............................................ — 1,061.84
M ortg ag e L oans in F oreclosu re
(D ecree E n te re d ).............................
1,100.00
R ea l E state Owned (other than
o ffice bu ild in g )................................ 10,981.25
R ea l E state Sold on C on tract......... 1,397.02
Furniture, F ixtu res and
E quipm ent ..........
200.00
S tock in F ederal H om e L oan
B an k ........ - ........- ..... ............- ..........
1,500.00
B on d s ...................................— ........... .
4,500.00
Cash on H and and Due from
B an ks ... ........— ................................ 14,772.15

Installm ent Shares and
D ividends ... ........... _......................... $
F u ll-P a id Shares................................
M ortgage R etirem ent Shares
and D ividen ds......................
A d va n ce P a y m en t b y B orrow ers
fo r T ax es and In su ran ce_______
U ndivided P ro fits ... ...........
G eneral R eserve F u n d .................
R eserve fo r U ncollected Interest
on L oans .........
Other L iabilities..................................

N um ber

of

S hareholders............ 100

44,643.60
700.24
298.60
10,600.00
1,061.84
40.56

T o ta l............................................. $122,088.18

T ota l............................................. $122,088.18
T ota l

6,622.30
58,120.95

T otal N um ber o f B orrow ers.......................47

E N T E R P R IS E LO AN & BUILDING ASSOCIATION
Cambridge, Nebraska
Organized March 13, 1906
O F F IC E R S
Geo. W illia m s................................... P residen t
J. H. M cK ean ................... ..... .V ice-P resid en t
O. C. Shoem aker._______________ Secretary

A. A. M ousel.......... ........... _ ...........T reasurer
B. F. B utler........................................ A ttorn ey

D IR E C T O R S
Geo. W illia m s
J. H. M cK ean
C. M. B row n
A . A. M ousel

B. F.
W . M.
A. E.
Jam es

B utler
R ankin
Thorndike
John

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES

L IA B IL IT IE S
F irst M ortgage Share A ccou n t
Installm ent Shares and
S inking F und Loans..... ...............$126,555.00
D ividen ds .......................................... $ 32,682.45
Interest on L oans A ccru ed and
F u ll-P a id Shares.........................
83,613.98
U npaid ...............
3,686.12
M ortgage R etirem ent Shares
M ortg ag e L oan s in F oreclosu re
and D ividen ds.................................... 27,726.53
(D ecree E n te re d )___________ ......___________ 1,927.79
D ue B o rrow ers on Incom plete
R eal E state Owned (other than
L oans ____
20.37
o ffic e bu ild in g )............ .............
14,950.47
U ndivided P rofits.________________
694.06
B onds ............
6,000.00
G eneral R eserve F un d _____ ,_____ 10,318.64
Cash on H and and Due from
R eserv e fo r U ncollected Interest
B an ks _____________
5,622.77
on L oa n s......................
3,686.12
T o ta l.......... ........... .......................$158,742.15

T ota l................................. ............ $158,742.15

T otal N um ber o f S hareholders................259

T otal N um ber o f B orrow ers...................... 101


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D EP A R T M E N T OF BANKING

107

CHADRON BUILDING AND LOAN ASSOCIATION
Chadron, Nebraska
Organized June

23, 1921

O F F IC E R S
E. D. Crites_____________________ P resident
C. F. Coffee...................... .......V ice-P resid en t

B. F. P itm an ................. S ecretary-T rea su rer
C. W . K eal________ ____A ssistan t S ecretary

D IR E C T O R S
E. D. Crites
C. F. C offee

B. F. P itm an
C. W . K eal

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

F irst M ortgage D irect R eduction
L oans .........
$107,373.75
F irst M ortgage Share A ccou n t
Sinking F und L oa n s....................... 17,150.00
P a ss-B o o k or C ertificate L oan s—
1,800.00
Interest on L oan s A ccru ed and
U npaid _______________
2,101.25
R eal E state Owned (other than
o ffice bu ild in g )---- ---------------------- 50,674.68
R eal E state Sold on C ontract...... 4,520.95
T a x es and Insurance Advanced....
49.38
F urniture, F ixtu res and
E quipm ent ---344.94
Stock in F ederal H om e L oan
B an k .........
2,500.09
Cash on H and and D ue from
B anks ...................
6,051.79
Other R esou rces..... .................
322.31

Installm ent Shares and
D ividen ds ___________ ____________$ 17,602.06
F ull-p aid Shares___________________ 129,560.61
P repaid Shares.......... ........... - ............ 1,240.97
M ortg ag e R etirem ent Shares
and D ividends______________
140.44
Due B orrow ers on Incom plete
L oans ............................
79.79
B ills P ay able (F ed era l H om e
L oan B a n k )_____ __
14,394.00
A d va n ce P aym en t b y B orrow ers
fo r T axes and Insurance----------- 2,555.34
469.58
U ndivided P ro fits........ ............... —
D ividends D eclared, U npaid and
and U ncredited......................
2,824.06
G eneral R eserve F un d............
15,000.00
R eserve fo r F ederal Insurance....
726.05
R eserve fo r U ncollected Interest
on L oa n s____ ____________________
2,101.25
R eserv e fo r R eal E state Owned— 5,750.00
R eserve fo r D ividends____________
299.15
145.75
Other L iabilities... .....

T ota l______ ___________ ______ $192,889.05

T ota l______________________ __ $192,889.05

T otal N um ber o f Shareholders................144

T otal N um ber o f B orrow ers-------------------81

C L A Y CENTER BUILDING & LOAN ASSOCIATION
Clay Center, Nebraska
Organized February 21, 1894
O F F IC E R S
J. L. P e rry _________________ _____ P resident
H. M. H anson______________ V ice-P resid en t

H.

B.

C am pbell--------- S ecretary -T rea su rer

D IR E C T O R S
J. L. P e rry
l i . M. H anson

W . A . W a rd
H. B. C am pbell

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
F irst M ortgage Share A ccou n t
Sinking F un d L o a n s...................... $ 8,180.00
Interest on L oan s A ccru ed and
U npaid __________________________
62.58
R eal E state Owned (oth er than
o ffice bu ild in g )--------------------------- 10,199.39
Cash on H and and D ue from
B an ks _______________
728.42

T ota l_________________________ $ 19,170.39
T ota l N um ber

of


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Shareholders------------- 25

L IA B IL IT IE S
Installm ent Shares and
D ividen ds _________ ______ _______ $
F u ll-P a id Shares__________________
M ortgage R etirem ent Shares and
D ividends _________________
D ividen ds D eclared, U npaid and
U ncredited _____________________
G eneral R eserve F u n d .... ................
R eserve fo r U ncollected Interest
o f L oan s............. ..................- ........—

6,694.38
6,800.00
2,437.18
176.25
3,000.00
62.58

T ota l_________________________ $ 19,170.39
T otal N um ber o f B orrow ers..... .... ......... ...13

D E P A R T M E N T OF BANKING

108

COLUMBUS LAND LOAN AND BUILDING ASSOCIATION
Columbus, Nebraska
Organized April 19, 1886
O F F IC E R S
G.
L.

W . V ie rg u tz................................P resident
F. G ottsch alk .................. V ice-P resid en t

Phil R. H ock en b erg er.................. S ecretary
Geo. F. R am bou r J r....................... T reasurer

D IR E C T O R S
Ja cob L ouis
F. G. R ohde
John N eater
W a lter L. R oth

G. W . V iergu tz
L. F. G ottschalk
Phil R. H ockenberger
Geo. F. R am bou r Jr.
J. W . H errod

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

F irst M ortgage D irect
R ed uction L o a n s............................. $ 96,759.97
F irst M ortgage Share A ccou n t
Sinking F und L oa n s................... 685,300.00
P a ss-B o o k o r C ertificate Loans.... 7,400.00
Interest on L oan s A ccru ed and
U npaid .....
1,063.97
M ortgage L oans in F oreclosu re
(D ecree E n te re d )________________
9,007.26
R eal E state Owned (other than
o ffic e b u ild in g )--------------------------- 62,413.07
R eal E state Sold on C on tract...... 27,295.32
T a x e s and Insurance Advanced....
57.16
Stock in F ederal H om e L oan
B an k _____ ____ —......- ...................... 5,200.00
Cash on H and and In B an ks...... 41,972.66

Installm ent Shares and
D ividends ............................ ............. $ 90,249.60
F u ll-P aid Shares.........................- ..... 616,300.00
M ortgage R etirem ent Shares and
D ividends ____ ___ - ......................... 165,233.56
A d va n ce P aym en t by B orrow ers
fo r T axes and In su ran ce... ......... 1,244.10
U ndivided P ro fits.................. ....... —
1,010.39
D ividends D eclared, U npaid and
U ncredited ........
12,069.63
General R eserve F u n d ...... — ........ 41,521.86
R eserve fo r U ncollected Interest
on L oa n s________
1,063.97
R eserve fo r R eal E state Owned.... 5,654.36
R eserve fo r T axes and
Insurance A d va n ced — ..................
57.16
Other L iabilities.................................. 2,064.78

Total...-.........................................$936,469.41

T ota l— ......................................... $936,469.41

T otal N um ber o f Shareholders............ 1,153

T otal N um ber o f B orrow ers..........._........ 378

EQ UITA BLE BUILDING, LO AN AND SAVINGS ASSOCIATION
Columbus, Nebraska
Organized March

5,

19 05

A.

B oettch er......... S ecretary-T rea su rer

O F F IC E R S
E dw . M. R a g a tz _________________P residen t
Chas. B. F rick e ____________ V ice-P resid en t

W.

D IR E C T O R S
E dw . M. R a g a tz
Chas. B. F rick e
W . A. B oettcher

L ouis L ightner
H. E. Snyder

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
F irst M ortg ag e D irect
R ed u ction L oa n s— .......... —....... — $ 15,624.71
F irst M ortgage Share A ccou n t
Sinking F und L oa n s— .............. — 584,150.00
P a ss-B o o k o r C ertificate Loans....
550.00
Interest on L oan s A ccru ed and
U npaid ------------13,876.24
R eal E state Owned (other than
o ffic e b u ild in g )............................ — 36,486 56
R eal E state Sold on C on tract----- 27,342.90
B onds --------------4,908.25
Cash on H and and Due fro m
B anks _____ I------------------------------7,942.72
T o ta l.......... ................................... $690,881.38
T o ta l N um ber o f Shareholders.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

.950

Installm ent Shares and
D ividen ds ............................... - .........$ 74,994.18
F u il-P a id Shares............
441,250.00
M ortgage R etirem ent Shares and
D ividends ______
118,027.27
A d va n ce P aym en t b y B orrow ers
fo r T axes and Insurance.......................... 302.08
U ndivided P ro fits— .......................—
5,824.81
G eneral R eserve F u n d --------------- 30,765.53
R eserve fo r U ncollected Interest
on L o a n s.............
13,876.24
R eserve fo r R eal E state Sold
on C ontract..... ................... - __ ____ 5,841.27
T ota l________________ ______ — $690,881.38
T otal N um ber o f Borrowers...

.... 318

109

D E PAR TM E N T OF BANKING
TH E CRETE LOAN AND SAVINGS ASSOCIATION
Crete, Nebraska
Organized A ugust 7, 1902
O F F IC E R S
Ed. M. P ark er
_...........................P resident
B.
G. M iller_______________ V ice-P resid en t
W . S. C ollett.............. S ecretary-T rea su rer

W . H. C o lle tt............ ....A ssistan t Secretary
R obert R . Hasting's..... _.................A ttorn ey

D IR E C T O R S
V. J. Shebl
G erard R ad em a ch er
Dr. A. A. C onrad
J. G. M iller

Ed. M. P arker
B. G. M iller
W . S. C ollett
T hom as J. D redla
R. M. P flasterer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

F irst M ortgage D irect R eduction
L oans ...................................- ............$ 36,812.30
F irst M ortgage Share A ccou n t
Sinking F und L oa n s— *.................. 75,825.00
P a ss-B o o k o r C ertificate L oa n s— 2,351.70
Interest A ccru ed and U npaid on
L oans .....
449.56
R eal E state Owned (other than
14,762.69
o ffic e bu ild in g )... ........
R eal E state Sold on C ontract...... 1,418.86
T ax es and Insurance Advanced....
27.75
Furniture, F ixtu res and
E quipm ent .....
175.00
B onds .................................................... 10,076.00
Cash on H and and Due from
B an ks ........................................
9,096.12
Other R esources.----------331.00

Installm ent Shares and
D ividends ..........................................$ 61,912.44
F u ll-P a id Shares..................
46,967.09
M ortgage R etirem ent Shares and
D ividends ......................
30,148.25
Due B orrow ers On Incom plete
138.56
L oans ----------- --------- ------ -------------—
A dvance P aym en t b y B orrow ers
fo r T axes and Insurance........ —
545.00
U ndivided P rofits.________________
^ 625.06
7,959.54
G eneral R eserve F un d..................
R eserve fo r U ncollected Interest
on L oan s.... .............................
449.56
R eserve fo r R eal E state Owned.... 2,500.00
R eserve fo r R eal E state Sold
on- C ontract_____________________
50.00
O ther L iabilities.-----------30.48

T otal............................................. $151,325.98

T ota l........ .... .... .................... ..... $151,325.98

T ota l N um ber o f Shareholders................201

T otal N um ber o f B orrow ers......................81

CU LBERTSON BUILDING AND LOAN ASSOCIATION
C ulbertson, Nebraska
Organized March 2 8, 19 23
O F F IC E R S
G. G. E isenh art........................ - ..... P residen t
J. P. M cL ain_________ _____ .V ice-P resid en t

Jos. H eizenreter------- ------------------ ..Secretary
O. P. Sim on---------------------------------T reasu rer

D IR E C T O R S
W . S. Hill
C. J. F oreste
O. A. H uber
A nton M ickish

G. G. E isenhart
J. P. M cL ain
Jos. H eizenreter
O. P. Sim on
J. B rantley

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
F irst M ortg ag e Share A ccou n t
Sinking F und L oa n s-------------------$
P ass-B o o k o r C ertificate L o a n s—
R eal E state Owned (other than
o ffic e bu ild in g )--------------------------R ea l E state Sold on C o n tra ct----T axes and Insurance Advanced....
B onds --------------------------------------------Cash on H and and D ue fro m
B anks ----------------------------------------TotalT otal N um ber o f


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Shareholders...

28,950.00
275.00
780.67
2,372.10
133.19
7,500.00

Installm ent Shares and
D ividends .......... -.................— .........$
M ortg ag e R etirem ent Shares and
D ividends .......... ........... — ....... .......
B ills P a y a b le-------------------------------U ndivided P ro fits-------------------------General R eserve F und------------------R eserve fo r T a x es and Insur­
ance A d va n ced ......................- .........

25,641.92
9,221.49
3,000.00
92.25
2 ,666.00

496.66

1,107.36
41,118.32

T ota l____________________ ____ $ 41,118.32

...98

T ota l N um ber o f B orrow ers.......................25

110

D E PA R TM E N T OF BANKING
F A IR B U R Y BUILDING AND LOAN ASSOCIATION
F airbury, Nebraska
O rganized F ebruary 15, 1905
O F F IC E R S

S. H.
J. W .
J. H.
F. A.

D iller— ...................................P resident
B usw ell...............
V ice-P resid en t
B on d ............
V ice-P resid en t
„...Secretary
H ou ston ...................

E m m a C onerus............. A ssistan t S ecretary
C . H. M cG ee........... .....
„...Treasurer
F. L. R ain .................
A ttorney
H. L ivin gston ..................
A u d ito r

D IR E C T O R S
S. H. D iller
J. W . B usw ell
J. H. B ond
F. A. H ouston
C. H. M cGee

-

F.
H.
E.
F.

L.
E.
A.
E.

R ain
P otter
Stark
W arren

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

F irst M ortgage D irect R eduction
L oan s ________ ..._____ ______ _____ $146,750.00
Interest on L oan s A ccru ed and
U npaid .......
1,103.91
M ortg ag e L oan s in F oreclosu re
(D ecree E n tered ).............................
393.46
R eal E state Owned (other than
o ffice b u ild in g )... .....
60,841.61
R eal E state Sold on C on tract___
3,568.00
Furniture, F ixtu res and
E quipm ent ............
140.00
Cash on H and and D ue from
B an ks ______
2,593.11

Installm ent Shares and
72,949.64
D ividen ds ..........
F u ll-P aid Shares......... .........
106,761.62
M ortgage R etirem ent Shares and
D ividends ____
18,313.69
U ndivided P rofits.—...........
406.29
G eneral R eserve F un d..................... 15,780.97
R eserve fo r U ncollected Interest
L oan s .......
1,103.91
R eserve fo r R eal E state Sold
on C ontract................................
74.00

Total.............................................. $215,390.12
T ota l

N um ber

of

Shareholders.............216

T ota l____ _____________ ______ .$215,390.12
T ota l

N um ber

of

B orrow ers................... 137

HOME SAVINGS AND LOAN ASSOCIATION
F airbury, Nebraska
O rganized D ecem ber 12, 1919
O F F IC E R S
B. G. D aw son ------------------------------P residen t
F. L. Spear._______ ...______ .V ice-P resid en t

C. J. B a ch oritch ......... S ecretary-T rea su rer
E. A. W under..................................... A ttorn ey

D IR E C T O R S
Charles H ughes
Dr. G. H. H eath
G eorge Y an t
M. B. W e a v e r
F. A. M oon
R. M. W eblem oe

F ra n k B usboom
F. L. Spear
C. J. B ach oritch
B. G. D aw son
E. A. W und er

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES
F irst M ortg ag e Share A ccou n t
S inking F un d L oa n s.................. ....$
Interest on L oans A ccru ed and
U npaid _____________
R ea l E state Owned (oth er than
o ffic e b u ild in g)...................
R eal E state Sold on C ontract_____
B onds .........
Cash on H and and Due from
B an ks ..........

L IA B IL IT IE S
4'8,500.00
736.12
5,286.90
5,771.41
8,000.00
4,897.39

Installm ent Shares and
D ividends ..................... ...... ..............$
F u ll-P a id Shares______ ___________
M ortgage R etirem ent Shares and
D ividends .........
U ndivided P ro fits— .............
General R eserve F un d .............
R eserve fo r U ncollected Interest
on L oa n s............................
O ther R eserves.__________

T o ta l_________________________ $ 73,191.82
T ota l

N um ber

of


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

S hareholders___ ___801

19,172.25
24,700.00
9,315.53
59.03
17,200.00
736.12
2,008.89

T ota l.................. .......................... $ 73,191.82
T otal

N um ber

of

B orrow ers__________ 39

D E PAR TM E N T OF BANKING

111

EQ U ITA BLE BUILDING AND LOAN ASSOCIATION
Frem ont, Nebraska
Organized A pril 6, 18 86
O F F IC E R S
F ra n k H am m ond___________
President
F rank F ow ler.____ _________ V ice-P resid en t
Jas. A . D onahue......................... S ecretary

W ill. R. R o w e ___________________T rea su rer
H ow a rd W . L oom is____________ A ttorn ey

D IR E C T O R S
F rank H am m ond
F ra n k F ow ler
Jas. A. Donahue
W ill R. R ow e
H ow a rd W . L oom is

Carl A. K ollm eyer
A. E. A ndersen
F rank E. Gibson
C h a s.'N . Johnson

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

F irst M ortgage D irect R eduction
L oans ................................................. $749,702.61
P a ss-B o o k o r C ertificate Loans....
400.00
Interest on L oans A ccru ed and
U npaid __________________________
621.14
M ortg ag e L oan s in F oreclosu re
3,084.40
(D ecree E n te re d )------- -----------R eal E state Owned (oth er than
o ffice b u ild in g)..... ......................— 95,117.13
R eal E state Sold on C ontract......... 30,183.52
O ffice B uild ing______
11,000.00
Furniture, F ixtu res
and
E quipm ent .......
1-00
Stock in F ederal H om e L oan
B an k ____
6,000.00
5,000.00
B onds ______ _______________________
Cash on H and and Due from
B anks ..... - .... ................-..................... .30,072.03

Installm ent Shares and
D ividends ..... .................. ............ — $129,398.46
F u ll-P a id Shares__________________ 669,550.00
Due B orrow ers on Incom plete
L o a n s ---------------------------3,475.93
U ndivided P ro fits ___________ 26,573.23
General R eserve F un d........ .......... 101,563.07
R eserve fo r U ncollected on L oan s
621.14

T ota l__________________ ______ $931,181.83
T otal N um ber o f S hareholders_______1,296

T ota l........ ......... .......................... $931,181.83
T ota l N um ber o f B orrow ers— ------------.465

N E B R A SK A STATE BUILDING AND LOAN ASSOCIATION
Frem ont, Nebraska
Organized March 1, 1892
O F F IC E R S
Chairm an Bd. o f Dir.
T. L. M a t h p w s
P resident
Dave
Paul C olson....... .......................V ice-P residen t
G. A. Olmsted.—...........S ecretary-T rea su rer

U. J. Schulz...................A ssistan t S ecretary
M. C. Shipherd__ .......... .............A ccou n tan t
F. M. B utts___ __ ............................... A u d itor

D IR E C T O R S
T. L. M athew s
D ave R ow e
G. A. Olm sted
P aul Colson
W . J. C ourtright

S. S. Sidner
R a y W . H am m ond
N ate A llen
W m . N. M itten

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

F irst M ortgage D irect R ed u ction
L oan s ________________ _________ $1,919,548.00
P a ss-B o o k o r C ertificate Loans.... 4,195.00
M ortgage L oan s in F oreclosu re
(D ecree Entered)...----- ----------------- 1,732.48
R eal E state Owned (oth er than
o ffic e bu ild in g )--------------------------- 54,294.47
R ea l E state Sold on C ontract...... 95,165.38
O ffice BuiLding.___________________ 15,000.00
Furniture, F ixtu res and
E quipm ent ______________________
1.00
B onds _____________________________ 299,977.00
Cash on H and and Due fro m
B an ks ___________________________ 145,677.97

Installm ent Shares and
D ividen ds ------------$352,242.16
F u ll-P a id Shares...................
1,675,800.00
D ue B orrow ers on Incom plete
L o a n s .............
3,084.48
A d va n ce P ay m en t b y B orrow ers
fo r T a x es and Insurance----------- 29,970.54
U ndivided P ro fits------- ------------------ 22,814.00
General R eserve F u n d .............
370,000.00
R eserve fo r U ncollected Interest
on L oans.________________________ - 4,191.20
R serv e fo r R eal E state Sold on
C ontract ________________________ 15,000.00
R eserve fo r T axes an d In su r­
ance A d va n ced ___________________ 22,488.92
O ther R eserv es____________________ 35,000.00

T ota l_______________________ $2,535,591.30
T otal N um ber o f Shareholders............-2,514

T ota l___ __ ________________ $2,535,591.30
T ota l N um ber o f B orrow ers------ ---------1,448


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

112

D E PA R TM E N T OF BANKING
TH E E Q U ITA BLE BUILDING & LOAN ASSOCIATION
Grand Island, Nebraska
O rganized M arch 1, 189 0
O F F IC E R S

G u y L. H a rrison ............. ..... ..... President
L. T. G eer__________________V ice-P resid en t
C. E. G run dy___________ ______ __S ecretary

F. J. W o lb a ch .................................... T reasurer
H. G. C andish...... ...... A ssistan t S ecretary
C leary, Suhr & D av is.................. A ttorn eys

D IR E C T O R S
G uy L. H arrison
L. T. G eer
A u g u st K ruse
A. J. B aum ann
E. G. Johnson

J. R. F ulton
C arl K nickrehm
W illiam Suhr
C. E. G rundy

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

F irst M ortgage D irect R eduction
L oan s ............................................... $1.217,248.80
P a ss-B o o k o r C ertificate Loans.... 10,847.46
Interest on L oa n s A ccru e d and
U npaid -------------------- -------------- ...... 1,924.83
R eal E state Owned (other than
o ffice b u ild in g).............
8,039.73
R eal E state Sold on C on tract----6,493.21
T a x Sale C ertificates............
523.02
O ffice B uilding------------------------------ 12,000.00
Cash on H and and D ue fro m
B anks ..........................................
64,584.45

Installm ent Shares and
$614,401.82
D ividends .......
549,900.00
F ull P aid Shares............................
Due B orrow ers on Incom plete
L oan s ___________________________ 13,993.31
U ndivided P ro fits....................
12,859.40
D ividen ds D eclared, U npaid and
Incredited .................................
10,934.20
General R eserve F un d ............
110,000.00
R eserve fo r U ncollected Interest
1,924.83
on L oan s........ ........
R eserve fo r T ax es and P urchase
M oney M ortg a g es.........................
7,647.94

41,321,661.50

Total.

T ota l N um ber o f Shareholders............ 1,887

T o ta l..................... ....................$1,321 661.50
T otal

N um ber

of

B orrow ers................... 929

H O LD R EG E SAVINGS AND LOAN ASSOCIATION
H oldrege, Nebraska
Organized M arch 1, 1918
O F F IC E R S
H arold H je lm fe lt.............................. President
E. A. R o th ............... ................ V ice-P resid en t

F ra n k A. A ndersom .Secretary & A ttorn ey
L uella P helps— ............. A ssistan t S ecretary

D IR E C T O R S
H arold H jelm felt
E. A . R oth
R. G. Phelps
P aul B urgeson
L. B. Titus

H. W .
F ra n k
R. C.
L. W .

E kberg
A. A nderson
B row n
T itus

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

F irst M ortg ag e Share A ccou n t
S inking
F und L oa n s------ -------- $111,398.40
M ortg ag e L oans in F oreclosu re
(D ecree
E n te re d )---------------------2,246.69
B onds .........................- .............. ............ 4,987.50
Cash on H and and Due fro m
B an ks ...............— ..................
4,370.87
T a x Sale C ertificates-------- --------89.55

Installm ent Shares and
D ividends ............
$102,232.99
Due B orrow ers on Incom plete
L oans ______
500.00
A d va n ce P aym en t b y B orrow ers
fo r T a x es and In su ran ce_______
499.67
U ndivided P ro fits________
7,860.35
G eneral R eserve F un d ...............
7,000.00
O ther R eserv es___________
5,000.00

T o ta l............................... ...... <___ $123,093.01

T o ta l_________________________ $123,093.01

T o ta l N um ber o f Shareholders_________165

T otal N um ber o f B o rrow ers...................... 70


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

113

H O OPER BUILDING AND LOAN ASSOCIATION
H ooper, Nebraska
Organized May 6, 1891
O F F IC E R S
C.
A.

D. H eine.......................................P resident
M. T illm an....... .................V ice-P residen t

N orm an E. Shaffer.____________ S ecretary
J. E. Stipsky............. ....................... T reasurer

D IR E C T O R S
C. D. H eine
A. M. T illm an
N orm an E. S h a ffe r
J. L. A lperstedt
J. E. Stipsky

J. D. K irsch
R. E. B ott
A d am F ranke
John Gerke

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
F irst M ortg ag e Share A ccou n t
S inking F u n d L oans-------- ,-------$
Interest on L oan s A ccru e d and
U npaid ______________
R ea l E state Owned (oth er than
o ffic e b u ild in g)__________________
R eal E state Sold on C on tract.........
C ash on H and and Due from
B an ks ___________

58,400.00
572.60
3,149.45
1,332.78
4,842.36

Installm ent Shares and
D ividends ............. ............................ $
F u ll-P a id Shares..................
M ortgage R etirem en t Shares and
D ividen ds _______________________
U ndivided P ro fits-------------------------General R eserv e F un d ----------R eserve fo r U ncollected Interest
on L oans.____ ____________________
Other R eserves____________________

N um ber o f

Shareholders................97

21,664.00
96.40
3,569.33
572.60
419.43

T ota l_________________________ $ 68,297.19

T ota l.......................... .................. $ 68,297.19
T otal

21,325.43
20,650.00

T otal N um ber o f B orrow ers...................... 52

A M ER ICAN SAVINGS AND LOAN ASSOCIATION
Lin coln, Nebraska
O rganized D ecem ber 1, 1902
O F F IC E R S
W . A. S elleck................................... P residen t
F. M. A ndrus_____________.V ice-P residen t
H. J. A m en _____________________S ecretary

H. J. T heobald.......................... ..........M anager
H elen D u dgeon______________________ C ashier

D IR E C T O R S
W . A. S elleck
F. M. A ndrus
V erne H edge

H. J. A m en
Sigel M atson

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
F irst M ortgage D irect R eduction
L oans ____________________________ 334,450.00
P a ss-B o o k or C ertificate L oans.— 19,711.21
Interest on L oan s A ccru e d and
U npaid _______________
1,142.12
M ortgage L oan s in F oreclosu re
(D ecree E n tered )------- ---------------- 1,597.50
R eal E state Owned (oth er than
o ffic e b u ild in g)---- -------153,586.91
R eal E state Sold on C ontract------- 25,684.51
F urniture, F ixtu res and
E quipm ent ______________________
607.05
Stock in F ederal H om e L oa n
B an k _____________________________ 6,200.00
B onds _____________________________ 23,390.00
Cash on H and and Due from
B an ks __________________
3,926.37

T ota l___________________ ___ „..$570,295.67
T ota l N um ber o f S hareholders_______1,096


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
Installm ent Shares and
D ividends _______________
$193,542.95
F u ll-P a id Shares___ ____
180,505.00
M ortgage R etirem ent Shares and
D ividends ____________ ________ — 93,319.12
Due B orrow ers on Incom plete
L o a n s _______________
840.75
B ills P a y a b le—F ederal H om e
L oa n Bank.------ ----72,430.00 .
A d va n ce P ay m en t b y B orrow ers
fo r T a x es and Insurance----------- 1,115.93
U ndivided P ro fits______
1,421.96
General R eserve F u n d ---------------- 17,817.28
R eserv e fo r U ncollected Interest
on L oa n s_________________________
1,142.12
R eserve fo r R ea l E state Sold
on Contract...-----------------------------6,786.52
O ther R eserv es_____ __
757.81
R ental A ccou n t-----------------577.45
F. H. A. L oa n Insurance
P rem ium s ___________ _____ ___ —
38.78
T ota l_____ ________,__________ $570,295.67
T ota l N um ber o f B orrow ers____________ 149

114

D E PA R TM E N T OF BANKING
F IR S T BUILDING AND LOAN ASSOCIATION
Lin coln, Nebraska
Organized May 1, 1914
O F F IC E R S

G.
L.

L. B utler___ ______ ___________ P resident
W . H a g e rty ____ ,-------------------S ecretary

H. B. M u ffly ....................................... A ttorn ey

D IR E C T O R S
G.
A.
S.
H.
G.

L.
C.
C.
B.
E.

B utler
E ich berg
D ay
M u ffly
Green

G ary B utler
J. G. M cB ride
H. B. V ifqu ain
L. W . H a gerty

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
F irst M ortg ag e D irect R eduction
L oans .............. ................................ $
F irst M ortgage Share A ccou n t
S inking F und L oa n s...................
Interest on L oan s A ccru ed and
U npaid ..................
M ortgage L oans in F oreclosu re
(D e cre e E n te re d )________________
R eal E state Owned (oth er than
o ffic e bu ildin g)....... .........................
R eal E state Sold on C ontract—
T ax es and Insurance Advanced....
Furniture, F ixtu res and
E quipm ent .......
Stock in F ederal H om e L oan
B ank ......
C ash on H and and Due from
B anks _________
Second M ortg ag e_____________

L IA B IL IT IE S
20,661.99
29,750.00
89.50
3,008.51
18,300.00
19,410.60
123.17
300.00
1,000.00
872.85
1,000.00

Installm ent Shares and
D ividends ____________________ ___$
F u ll-P a id Shares................................
M ortgage R etirem ent Shares and
D ividends ___
B ills P a y a b le (F ed era l H om e
L oan B a n k ).........................
A d va n ce P aym en t b y B orrow ers
fo r T ax es and Insurance..... .......
U ndivided P ro fits............................
General R eserve F un d ...................
R eserve fo r U ncollected Interest
on L oa n s............................
R eserve fo r R eal E state Sold
on C ontract_____________
R eserve fo r T axes and Insur­
ance A d va n ced ______
Other R eserves.........................

18,977.99
44,750.00
10,994.94
8,037.50
348.58
1,337.97
5,000.00
89.50
1,927.36
123.17
2,929.61

T ota l______________ ___________ $ 94,516.62

T ota l............................................. $ 94,516.62

T ota l N um ber o f S hareholders................121

T ota l N um ber o f B orrow ers...................... 39

HOME SAYINGS AND LOAN ASSOCIATION
Lin coln, Nebraska
O rganized January 10, 1914
O F F IC E R S
R. E. H a rrin g ton .............................P residen t
H. V . D av is_________ S ecretary -T rea su rer

C hristy B rook m a n
A ssistan t S ecretary
G race C hristopherson.......................... Cashier

D IR E C T O R S
R. E. H a rrin g ton
G eorge E. H a g e r
H. V. D avis

C. V. D ixon
E. M. B air

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES
F irst M ortg ag e Share A ccou n t
Sinking F und L oans.......................$221,300.00
P a ss-B o o k or C ertificate Loans.... 29,605.35
Interest on L o a n s A ccru ed and
U npaid .....
1,431.65
M ortgage L oans in F oreclosu re
(D ecree E n te re d )........_...............
4,253.56
R eal E state Owned (oth er than
o ffic e bu ild in g )...............
268,472.13
R eal E state Sold on C on tract_____ 140,777.69
Furniture, F ixtu res and
E quipm ent .........................
1,800.00
Stock in F ederal H om e L oan
B an k ...............
4,200.00
Cash on H and and Due from
B anks ................................................. 18,503.75
O ther R esources.................
1.00
T o ta l________________ ____ ____$690,345.13
T ota l N um ber o f Shareholders_______2,576


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
Installm ent Shares and
$274,735.20
D ividends ---------------------F u ll-P a id Shares................................ 253,400.00
M ortgage R etirem ent Shares and
D ividends ......— ______
85,678.45
A d va n ce P aym en t b y B orrow ers
fo r T axes and In su ran ce............. 2,444.97
U ndivided P ro fits............................... 1,207.49
General R eserve F u n d ..................... 23,499.87
R eserve fo r U ncollected Interest
on L oa n s....... ........................
1,431.65
R eserve fo r R eal E state Owned 16,153.63
R eserve fo r R eal E state Sold
on C ontract.......... .....................
31,099.20
Other L iabilities.................................
694.67

T ota l------------- ------------------- ---- $690,345.13
T ota l N um ber

of

B orrow ers................... 127

115

D E PA R TM E N T OF BANKING
M IDW EST SAVINGS AND LOAN ASSOCIATION
Lin coln, Nebraska
Organized F ebru ary 14, 1916
O F F IC E R S
Théo. H. B erg ................................... P resident
A. H. K o o p ........ .....................V ice-P resid en t

Em il F. B oehm er
S ecretary-T rea su rer
R. A. B oehm er____________________ A ttorn ey

D IR E C T O R S
A. H. K oop
R . A . B oehm er
Theo. H. B erg

E. C. B oehm er
A d olp h L ebsack

Jr.

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

F irst M ortgage D irect R eduction
L oans .................................................$ 38,200.00
F irst M ortgage Share A ccou n t
Sinking Fund L oa n s____________ 258,650.00
P a ss-B o o k or C ertificate Loans.... 3,175.00
Interest on L oans A ccru ed and
U npaid __________________________
7,605.04
M ortg ag e L oans in F oreclosu re
723.40
(D ecree Bin ter e d )______ ____
R eal E state Owned (other than
o ffice bu ild in g )......................
79,020.54
R eal E state Sold on C ontract___ 50,370.10
T axes and Insurance A d va n ced _
93.57
F urniture, F ixtu res and
E quipm ent _____
741.49
Stock in F ederal H om e L oan
B an k ................................
6,300.00
Cash on H and and Due from
B anks .............
3,111.47

Installm ent Shares and
D ividends ________
139,008.65
F u ll-P a id Shares_______________ ... 127,905.00
M ortgage R etirem ent Shares and
D ividends _______________________ 86,994.59
Due B orrow ers on Incom plete
L oans ____________________________
9.99
B ills P ay able (F ed era l H om e
L oan B a n k )___ ________
54,975.00
A d va n ce P aym en t b y B orrow ers
fo r T ax es and Insurance_____
2,837.11
529.01
U ndivided P rofits..—.............
G eneral R eserve F un d ____________ 21,000.00
R eserve fo r U ncollected Interest
7,605.04
on L oan s......................................
R eserve fo r R eal E state Sold
on C ontract... ..................................... 7,032.65
R eserve fo r T axes and Insur­
ance A d va n ced ........................... —
93.57

T ota l..... ...................................... $447,990.61

T ota l_________________________ $447,990.61

T otal N um ber o f Shareholders_____ ___736

T otal N um ber o f B orrow ers_________ ......196

N E B R A SK A CE N TRA L BUILDING AND LOAN ASSOCIATION
Lin coln, Nebraska
Organized May 1, 189 3
O F F IC E R S
John G. B u r k e t............................... P resident
W . M. F olsom ........ .......S ecretary-T rea su rer
H. K. B urket...........C hairm an Bd. o f Dir.
F. W . H a ll........ ........................V ice-P residen t

E. R. B utler ........................ .Mgr. A gencies
W . L. H a ll .............. ........... G eneral A gen t
M. L. Schm itz................ A ssistan t Secretary

D IR E C T O R S
H. K. B urket
John G. B urket
W . M. F olsom

E. R . B utler
F. W . H all
J. A. P iper

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

F irst M ortgage D irect R ed u ction
L oans .......
$1,515,553.66
F irst M ortgage Share A ccou n t
Sinking F und L oa n s_______
695,456.80
P ass-B o o k o r C ertificate L oa n s— 5,736.42
Interest on L oans A ccru ed and
5,209.67
U npaid ___________
M ortgage L oans in F oreclosu re
(D ecree E n tered )— .... .................... 20,853.74
R eal E state Owned (oth er than
o ffice b u ild in g)__________________ 494,315.7,5
R eal E state Sold on Contract....... 343,366.53
O ffice B uild ing___________________ 35,954.72
Furniture, F ixtu res and
E quipm ent ..........
100
B onds _____________________________ 150,000.00
Cash on H and and D ue from
B anks ......................
229,551.23
A ccou n ts R eceiva ble______________
838.80

Installm ent Shares and
$654,088.23
D ividen ds ..........
F u ll-P a id Shares-— .:........................ 2,267,112.79
M ortgage R etirem ent Shares and
D ividends ........................ — ---------- 91,938.28
D ue B orrow ers on Incom plete
L oans ___________________________
7,699.42
A d va n ce P aym en t b y B orrow ers
fo r T a x es and Insurance.______ 21,603.67
U ndivided P ro fits .........................
61,983.72
General R eserve F u n d -----------301,769.28
R eserve fo r U ncollected Interest
on L oa n s......................
5,209.67
R eserve fo r R ea l E state Sold
on C on tract_____________________ 72,376.72
Special R eserve on L oa n s----------- 13,056.54

T ota l.......................................... $3,496,838.32
T otal N um ber o f Shareholders.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T ota l_______________________ $3,496,838.32
T ota l N um ber o f B orrow ers.

____ 1,498

116

D E PA R TM E N T OF BANKING
PR O V ID E N T SAVINGS & LOAN ASSOCIATION
Lin coln, Nebraska
Organized Septem ber 9, 1908
O F F IC E R S

F ra n k E. G illen....................... .........P residen t
............... ;.— Secretary
F ra n k B. Sidles

P hil L. Sidles.......................... V ice-P resid en t
E unice F. Drake.....................................Cashier

D IR E C T O R S
F ra n k E. Gillen
F ra n k B. Sidles
Chas. A. E igle

P hil L. Sidles
W . H. H o w e y '

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES
F irst M ortg ag e Share A ccou n t
Sinking F und L oa n s---- -------$502,550.00
P a ss-B o o k or C ertificate Loans.... 3,155.00
Interest on L oan s A ccru ed and
U npaid ............ — .............. ...............
1,644.03
M ortg ag e L oans in F oreclosu re
(D ecree E n te re d ).........................— 12,492.79
R eal E state Owned (other than
o ffic e b u ild in g )__ ____________
91,560.95
R eal E state Sold on C on tract...... 100,317.78
T a x e s and Insurance A d va n ced...
589.13
Furniture, F ixtu res and
E quipm ent ..............
199.77
B onds .....
25,300.60
Cash on H and and Due from
B anks ......................
6,602.42

L IA B IL IT IE S
Installm ent Shares and
D ividen ds ... ..................
$398,063.63
F u ll-P a id Shares.............................
221,825.00
M ortgage R etirem ent Shares and
D ividends ......................................
48,679.86
A d v a n ce P aym en t b y B orrow ers
fo r T a x es and Insurance.............................. 2,251.52
U ndivided P ro fits .............
2,770.81
G eneral R eserve F u n d ..... ............. 67,672.67
R eserve fo r U ncollected Interest
1,644.03
on L oa n s...............
Other R eserv es.................................... 1,497.90
O ther Liabilities.._______
6.45

T ota l________________________ .$744,411.90
T otal N um ber o f S hareholders............ 1,076

T o ta l..............................................$744,411.90
T ota l

N um ber

of

B orrow ers................... 414

SU RETY BUILDING AND LOAN ASSOCIATION
L in coln, Nebraska
O rganized O ctober 2, 1923
O F F IC E R S
C. F. Coy.------------------------ --- --------- P residen t
F. E. B od ie................................V ice-P resid en t

P auline W o o d .......
R alph C. W ilson.

S ecretary
..A ttorney

D IR E C T O R S
J. D.
W a lte r
S. J.
R. V.

Sigler
A itken
H y att
K ou p al

F.
E.
R.
F.
F lo y d
C.
F.

B odie
R eynold s
P ope
C oy

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
F irst M ortgage Share A ccou n t
Sinking F und L oa n s................... $
P a ss-B o o k o r C ertificate L oa n s__
Interest on L oan s A ccru e d and
U npaid _______________
R ea l E state Owned (oth er than
o ffic e b u ild in g )___________ ______
R eal E state Sold on C on tract.........
F urniture, F ixtu res and
E quipm ent ............
Cash on H and and Due from
B an ks ________________
O ther Resources............... ..........

L IA B IL IT IE S
43,900.00
5,034.92
549.47
22,398.60
1,882.20
255.00
6,648.28
761.00

Installm ent Shares and
D ividends ... ..................................... $
F u ll-P a id Shares................................
M ortg ag e R etirem ent Shares and
D ividends ................................
B ills P a y a b le (M ortgage on R eal
E state O w n ed)..... ......
General R eserve F un d ...............
R eserve fo r U ncollected Interest
on L oans.__________________
O ther R eserves..................
Other L iabilities...........................

37,113.43
33,420.00
1,227.22
1,700.00
6,808.47
549.47
492.21
118.67

T ota l.............. .................... ......... .$ 81,429.47

T ota l..............................................$ 81,429.47

T otal N um ber o f Shareholders_____ ___ 278

T otal N um ber o f B orrow ers...................... 40'


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Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

117

UNION LOAN AND SAVINGS ASSOCIATION
L incoln, Nebraska
O rganized March 26, 1907
O FFIC E R 'S
E. C. B oehm er.--------------------- ;----- P resident
H. T. P ick ett................ ........... - ..... Secretary

E. L. B ah ls_________________________ Cashier
A. H. A tk in s----------- ------- D istrict M anager

D IR E C T O R S
E. C. B oehm er
Chas. N. C adw allader
Claude S. W ilson
M ay M eyer
Dr. B. F. B ailey
F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

F irst M ortgage D irect R eduction
L oa n s ........ ......................................... $ 49,250.09
F irst M ortgage Share A ccou n t
Sinking F und L o a n s................... 1,228,350.00
P a ss-B o o k o r C ertificate Loans.... 7,332.72
Interest on L oans A ccru ed and
U npaid ----------------------------6,143.95
M ortg ag e L oans in F oreclosu re
(D ecree E n te re d )_________
27,054.85
R eal E state Owned (oth er than
o ffice bu ild in g )___________
162,686.86
R eal E state Sold on C on tract___ 171,143.84
Furniture, F ixtu res and
E quipm ent .............
5,500.00
Stock in F ederal H om e L oan
B an k -------------------------------------------- 21,500.00
Cash on H and and Due fro m
B an ks ----------------------15,727.03
O ther R esources....... ...........................
2.00

Installm ent Shares and
D ividends .......................................... $771,989.41
F u ll-P a id Shares..... ......
256,975.00
M ortgage R etirem ent Shares and
D ividends .............................
325,639.74
Due B orrow ers on Incom plete
L oan s -----------------------------------------3,114.98
B ills P a y a b le (F ed era l H om e
L oan B a n k )................................
194,000.00
A d va n ce P aym en t b y B orrow ers
fo r T ax es and Insurance_______ 13,717.74
U ndivided P ro fits ........ ...........
4,307.90
General R eserve Fund...................
105,142.17
R eserve fo r U ncollected Interest
on L oa n s-------------------------------------6,143.95
R eserve fo r R ea l E state Sold
on C ontract......................
13,660.36

T ota l------------------- --------- ------$1,694,691.25
T otal N um ber o f S hareholders... .........1,936

T otal

T ota l--------------- ----- ------------- -$1.694,691.25
N um ber o f B orrow ers__________ 545

HOME BUILDING AND SAVINGS ASSOCIATION
M cCook, Nebraska
Organized F ebru ary 1, 1921
O F F IC E R S
D. W . C olson-----..._.........................P residen t
N aom i W o o tto n
Carson R ussell.
W m . W . M orris.---------- --------------- T rea su rer
L. J. K o r f... :............................V ice-P resid en t
D IR E C T O R S
D. W . Colson
W m . W . M orris
L. J. K o r f
J. N. G aarde
J. C. N iccolson
F IN A N C IA L

.Secretary
.A tto r n e y

S. E. Caller.
T ro y T urner
Jas. G ollehen
W . I. A m ick
STATEM EN T

RESOURCES

JU N E

30, 1939

F irst M ortg ag e D irect R ed uction
L oan s -----------------------------------$124,668.63
F irst M ortgage Share A ccou n t
Sinking F und L oan s________ 15,200.00
P a ss-B o o k o r C ertificate Loans.... 3,183.24
Interest on L oans A ccru ed and
U npaid .......................
1,041.51
M ortgage L oan s in F oreclosu re
(D ecree E n te re d )___________
2,075.93
R eal E state Owned (other than
o ffice bu ild in g)------.-._______
36,453.00
R eal E state Sold on C on tract_ 17,338.80
T a x es and Insurance Advanced....
645.61
F urniture, F ixtu res and
E quipm ent ---------------------------------260.00
Stock in F ederal H om e L oan
B an k ..............
4,200.00
Cash on H and and Due from
B anks .............
4,566.77
Other R esou rces___ ____
72.22

L IA B IL IT IE S
Installm ent Shares and
D ividends ............................. ............ $ 17,067.00
F u ll-P a id Shares__________________ 72,180.75
M atured Shares..................
37,900.00
M ortgage R etirem ent Shares and
D ividends ____________
7,143.43
B ills P ay able (F ed era l H om e
L oan B a n k )_____________________ 40,575.00
A d va n ce P aym en t b y B orrow ers
1,803.57
fo r T a x es and Insurance_______
U ndivided P ro fits__________________ 1,494.36
D ividen ds D eclared, U npaid and
U ncredited ____
1,840.62
G eneral R eserve F un d ____________ 18,280.00
R eserve fo r U ncollected Interest
on L oa n s......................
1,041.51
R eserve fo r R eal E state Sold
on C ontract_____________________
5,861.53
R eserve fo r T a x es and Insur­
ance A d va n ced and M isc_____
4,008.52
O ther L iabilities.................
509.42

T ota l— ........— ........... ................$209,705.71
T otal N um ber o f S hareholders________ 312

T ota l______ _________ _________ $209,705.71
T otal N um ber o f B orrow ers____________ 127


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

118

TH E M cCOOK C O -O P E R A T IV E BUILDING AND SAVINGS ASSOCIATION
M cCook, Nebraska
Organized January 1, 1888
O F F IC E R S
F. A . P enn ell......................................President
E arld M. Boying-ton.................... S ecretary

.A ssistant S ecretary
......... .............A ttorn ey

V . Jane B anwell.
C arson R ussell—

D IR E C T O R S
F.
H.
W.
E.

C. J. O’Brien
Joseph M okko
E lm er K a y
C arson Russell

A. Pennell
P. W aite
J. Fleischm an
J. B rad y
F IN A N C IA L

STATEM EN T

JU N E

30,

1939

RESOURCES

L IA B IL IT IE S

F irst M ortg ag e D irect R ed uction
L oans .......
$225,250.00
F irst M ortgage Share A ccou n t
Sinking Fund L oa n s— ............... 57,050.00
P ass-B o o k or C ertificate Loans.... 6,990.00
Interest on L oan s A ccru e d and
U npaid ..... - ........................................ 4,100.32
M ortgage L oans in F oreclosu re
(D ecree E n te re d )........................— 14,118.10
R eal E state Owned (other than
o ffice b u ild in g )................................ 143,213.21
R eal E state Sold on C on tract...... 48,847.59
F urniture, F ixtu res and
E quipm ent ..............
1.00
Stock in F ederal H om e L oan
Bank ................... „ .......- .......—.........
5,000.00
Cash on H and and Due from
B an ks ___________________________ 4,720.57
Other R esou rces__________
77.36

Installm ent Shares and
D ividen ds _______________________ $234,241.28
F u ll-P aid Shares............................— 128,150.00
M ortgage R etirem ent Shares and
D ividends .................. - ........... - ......... 51,830.58
B ills P a y a b le (F ed era l H om e
L oan B a n k )_________________ 51,800.00
A d va n ce P aym en t b y B orrow ers
fo r T a x es and Insurance--2,085.88
D ividends D eclared, U npaid and
U ncredited _____
4,185.28
G eneral R eserve F u n d ----------- 31,436.59
R eserve fo r U ncollected Interest
on L o a n s________
4,100.32
R eserve fo r R ea l E state Owned....
1,227.68
R eserve fo r R ea l E state Sold
310.54
on C ontract............. .....................—

T ota l............................................. $509,368.15

T ota l__ ____________ __________ $509,368.15

T ota l N um ber o f S hareholders................404

T otal N um ber o f B orrow ers...................... 173

MADISON COUNTY BUILDING AND LOAN ASSOCIATAON
M adison, Nebraska
O rganized Septem ber 16, 1891
O F F IC E R S
C. S. Snyder.......................................P residen t
W . H. F ield ______ _________ V ice-P resid en t

A. E. W a r d — ......... ....... S ecretary -T rea su rer
M. B. F o ster---------------------------------- A ttorn ey

D IR E C T O R S
C S. Snyder
W . H. F ield
M. B. F o ste r
F IN A N C IA L

F. H. D avis
A. E. W a rd
I. M. D aw son
STATEM EN T

JU N E

30, 1939

RESOURCES

L IA B IL IT IE S

F irst M ortgage D irect R eduction
L oans .................................................$102,621.82
F irst M ortgage Share A ccou n t
Sinking F und L oans................... 58,075.00
Interest on L oans A ccru ed and
U npaid .............................
2,492.45
M ortgage L oans in F oreclosu re
(D ecree E n te re d )..... .........
25.90
R eal E state Owned (oth er than
o ffice bu ild in g )............
94,479.79
O ffice B uilding— ...... - ..................—
1.00
Furniture, F ixtu res and
E quipm ent --------------------371.50
Cash on H and and Due from
B anks ___________
11,770.56

Installm ent Shares and
D ividends _______________________ -$ 57,352.34
F u ll-P a id Shares........ —..............—... 163,025.00
M ortgage R etirem ent Shares and
D ividends .............. ................ ....... — 16,091.67
A d va n ce P aym en t b y B orrow ers
fo r T axes and Insurance.............
984.58
G eneral R eserve F u n d ............- ..... 28,098.76
R eserve fo r U ncollected Interest
on L oa n s_________________________
2,492.45
Other R eserv es.........................
1,683.02
Other L iabilities___________________
110.20

T ota l_____________________ —....$269,838.02

T ota l_________________________$269,838.02

T ota l N um ber o f Shareholders............... .206

T ota l N um ber o f B orrow ers......................132


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

119

TH E COM M ONW EALTH SAVINGS & LOAN ASSOCIATION
Nebraska City, Nebraska
Organized January 24, 1928
O F F IC E R S
Geo. H. B isch o f-------------- ...------ P resident
P aul J. N iem ann---------------V ice-P resid en t

M ark F ullriede______ ____________ Treasurer
Geo. M. L ath rop ......................... ...... Secretary

D IR E C T O R S
Geo. H. B isch o f
M ark F ullriede
E. J. C onkling
J. P. G illigan

Geo. M. L athrop
Paul J. N iem ann
G. E. B erthold

F IN A N C IA L

STATEM EN T

RESOU RCES
F irst M ortgage D irect R eduction
L oans -----------------------------------------$
P ass-B o o k or C ertificate noans....
R eal E state Owned (other than
o ffice bu ild in g )_______ __________
R eal E state Sold on C ontract_____
Furniture, F ixtu res and
E quipm ent __________
B onds .................. — ...........................
Cash on H and and Due from
B anks ..........................................

61,025.00
25.75
1,540.00
1,788.34
190.09
5,300.00

JU N E

30.

1939

L IA B IL IT IE S
Installm ent Shares and
D ividends .........................................$
F u ll-P a id Shares__________________
M ortgage R etirem ent Shares and
D ividen ds .............................
U ndivided P ro fits ....................
G eneral R eserv e F und..... .............
O ther L iabilities...........................

14,328.46
51,320.34
4,587.25
766.13
7,400.00
448.09

8,981.09

T ota l..................... ........................$ 78,850.27

T ota l.............................................$ 78,850.27

T otal N um ber o f Shareholders................150

T otal N um ber o f B orrow ers...................... 47

NEW M AN GROVE IM PR O V E M E N T SOCIETY
Newman G rove, Nebraska
Organized Septem ber 19, 1888
O F F IC E R S
E. H. G erhart---------------------------- P residen t
C. J. P eterson______________ V ice-P resid en t

H. L. G erhart_________S ecretary-T rea su rer

D IR E C T O R S
E. H. G erhart
C. J. P eterson

F. H.
H. L.

P rice
G erhart

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES
F irst M ortgage Share A ccou n t
S inking F und L o a n s...................... $ 7,300.00
Interest on L oans A ccru ed and
U npaid __________
2,866.65
M ortgage L oan s in F oreclosu re
(D ecree E n te re d )_______________
350.00
R eal E state Owned (oth er than
o ffic e bu ild in g )________
5,000.00
Cash on H and and Due fro m
B anks _______________________
545.08
Other R esou rces......... ..............
1.00
' T ota l.................. .......................... $ 15,971.73
T otal

N um ber

of


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Shareholders________ 10

L IA B IL IT IE S
Installm ent Shares and
D ividen ds .......................................... $
F u ll-P a id Shares____ _____________
M ortgage R etirem ent Shares and
D ividends ----------------U ndivided P ro fits_________________
General R eserve Fund.__________
R eserve fo r U ncollected Interest
on L oa n s-------------------------------------O ther R eserves..................

4,759.52
3,080.50
3,379.00
24.25
1,572.07
2,866.65
289.74

T otal---- ---------- ---------------------- $ 15,971.73
T otal N um ber o f B orrow ers..................... ....3

D E PA R TM E N T OF BANKING

120
A L L IE D

BUILDING & LOAN ASSOCIATION
N orfolk , Nebraska
Organized January 28, 1928
O F F IC E R S

W . O. E ich elberg er......................P resident
A. E. G ad bois______________ V ice -P re sid e n t

O. H. Johnson.............. S ecretary -T rea su rer
Ja ck K oen igstein...... ..... - .................. A ttorn ey

D IR E C T O R S
W.
A.
O.
R.

O.
E.
H.
L.

J. W . G illette
E. H. Johnson
Ja ck K oen igstein

E ich elberger
G adbois
Johnson
F ishbach
F IN A N C IA L

STATEM EN T

JU N E

F irst M ortg ag e D irect R ed uction
L oa n s - ....- ........... .... .........................$ 56,426.26
P a ss-B o o k o r C ertificate Loans-—
400.00
Interest on L oans A ccru ed and
U npaid ______________________
604.30
T axes and Insurance A d va n ce d —
207.52
Stock in F ederal H om e L oan
B ank .......
1,000.00
Cash on H and and D ue from
B anks ...................
2,309.33

N um ber

of

1939

Installm ent Shares and
D ividends ___________ ___________ $
F u ll-P a id Shares.............
Due B o rrow ers on Incom plete
L oans --------------A d va n ce P aym en t b y B orrow ers
fo r T a x es and Insurance..--------General R eserve F un d ...................
R eserve fo r F ederal Insurance----R eserve fo r U ncollected Interest
on L oan s............... _...........................
R eserve fo r T axes and In su r­
ance A d va n ced — ................ - ..........
B ills P a y a b le (F ed era l H om e
L oan B a n k )_____________________

S hareholders................74

13,694.09
36,620.00
509.43
803.28
2,100.00
421.94
604.30
604.87
5,589.50

T otal_________________________ $ 60,947.41

T otal________ ___ _____________ $ 60,947.41
T otal

30,

L IA B IL IT IE S

RESOURCES

T ota l N um ber o f B orrow ers................. — 59

E LK H O R N BUILDING AND SAVINGS ASSOCIATION
N orfolk , Nebraska
Organized January 1, 1888
O F F IC E R S
J. W . Ransom ................................... P residen t
E arl A. R an som ......... S ecretary-T rea su rer

R.

J.

S h u rtleff........__........................ A ttorn ey

D IR E C T O R S
E arl A. R a n som
C. J. Ransom

J. W . R an som
D. P. W etzel
R . J. S h u rtleff
F IN A N C IA L

STATEM EN T

RESOURCES
F irst M ortgage Share A ccou n t
Sinking F und L o a n s..... ..... -.........$ 34,350.00
Interest on L oan s A ccru ed and
U npaid __________________________
1,213.06
M ortg ag e L oan s in F oreclosu re
(D ecree E n te re d )_________
4,739.10
R ea l E state Ow ned (oth er than
o ffic e bu ild in g )— ... ...................— 27,263.87
T axes and Insurance A d va n ced —
199.80
B onds _________________
5,500.00
Cash on H and and Due from
B anks ________________
15,284.72
O ther R esou rces_________
1.00
T ota l___________________ ___ __$ 88,551.55
T ota l

N um ber

of


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Shareholders........ ....... 70

JU N E

30, 1939
L IA B IL IT IE S

Installm ent Shares and
D ividends _____ __ ______________ $
F u ll-P a id Shares._________________
M ortgage R etirem ent Shares and
D ividends _______________________
U ndivided P ro fits _________________
G eneral R eserve F u n d ...................
R eserve fo r U ncollected Interest
on L oa n s____
R ese rv e fo r T axes and Insur­
an ce A d va n ced .... ............................
R eserve fo r T a x es............

9,025.44
59,100.00
11,769.87
2,232.49
3,646.24
1,213.06
262.75
1,301.70

T ota l.................................. ..........$ 88,551.55
T ota l N um ber

o f B orrow ers................. — 5

D E PA R TM E N T OF BANKING

121

N O R FO LK BUILDING AND LOAN ASSOCIATION
N orfolk , Nebraska
Organized A ugust 1, 18 85
O F F IC E R S
J. C.
A. N.
C. A.

Stitt............................... ..........President
H ow le y ..... ............ .......V ice-P resid en t
D u rlan d........ ....S ecretary-T rea su rer

J. B. M aylard.......................... F ield D irector
M apes & M apes................................ A ttorn ey s

D IR E C T O R S
J. C.
A. N.
F ra n k
D. D.
G. D.

Stitt
H ow ley
P e rry
M apes
B ridge

E. F. Huse
A. T. H utchinson
K a rl Stefan
J. B. M aylard

F IN A N C IA L

STATEM EN T

RESOU RCES
F irst M ortgage D irect R ed uction
L oans .......
.$234,030.00
F irst M ortgage Share A ccou n t
Sinking F und L oan s...................... 134,400.00
P a ss-B o o k or C ertificate Loans.... 10,535.68
Interest on L oa n s A ccru ed and
U npaid __________________________
1,569.53
R eal E state Owned (oth er than
o ffice b u ild in g )------------------- 62,975.97
R eal E state Sold on C ontract. 38,994.91
O ffice Building.______ _____________ 15,000.00
B onds ............................................... _... 71,500.00
Cash on H and and Due from
B anks ______________________
24,672.02

JU N E

30,

1939

L IA B IL IT IE S
Installm ent Shares and
D ividends ...................................
$144,740.06
283,500.00
F u ll-P a id Shares.........................
M ortgage R etirem ent Shares and
D ividends .............................
79,897.22
A dvance P aym en t b y B orrow ers
fo r T a x es and Insurance............. 4,947.96
U ndivided P ro fits ............................... 15,943.75
54,972.84
General R eserve F un d...............
R eserve fo r U ncollected Interest
on L oa n s.......... ............................
1,569.53
Other R eserves... ................................ 8,106.75

T ota l________________ _________$593,678.11

T ota l............................................. $593,678.11

T otal N um ber o f S hareholders..... .......... 637

T otal N um ber o f B orrow ers..... ................ 246

NO RTH LOUP BUILDING AND LOAN ASSOCIATION
North Loup, Nebraska
O rganized A pril 5, 1904
O F F IC E R S
C.
A.

L. H ill
............................. .......P residen t
C. H u tchin s____________V ice-P resid en t

Geo. G ow en------------------S ecretary-T rea su rer

D IR E C T O R S
C. L. H ill
A. C. H utchins
Geo. Gowen
R a y K n app

M rs. E. J. B a b cock
Paul M adsen
W . J. H em phill

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES
F irst M ortgage D irect R eduction
L oa n s -----------------------------------------$ 6,694.20
R eal E state Owned (oth er than
o ffic e b u ild in g)______
1,892.14
R eal E state Sold on C on tract__
2,173.13
Cash on H and and D u e from
B an ks — ________ ________________
922.81
Total________________________ 4 11,682.28
T ota l
N ote :

N um ber o f

Shareholders________ .43

V o lu n ta ry L iquidation 8-18-39.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
Installm ent Shares and
D ividends -----------------------------------.$ 5,634.81
F u ll-P a id Shares__________________ 5,501.26
63.17
U ndivided P ro fits_________________
G eneral R eserve F u n d __________
392.16
Other L iabilities..................................
90.88
T ota l----------------------- ----- --------.$ 11,682.28
T otal N um ber o f B orrow ers_________ ___14

122

D E PA R TM E N T OF BANKING
MUTUAL BUILDING AND LOAN ASSOCIATION
North Platte, Nebraska
Organized January 1, 1887
O F F IC E R S

F rank N. B uchanan...................... President
Ira L. B are------------------------ V ice-P resid en t
H. D. W iese......................................S ecretary

C ary W . D ressier...............................T reasurer
H alligan, M cIn tosh and
H alligan ................................_.........A ttorn eys

D IR E C T O R S
F rank
Ira L.
M. E.
W . H.
W . R.

N. B uchanan
B are
C rosby
M cD onald
M aloney

W . W . C um m ing
M. J. F orbes
W m . J. H endy
V ictor V on Goetz

F IN A N C IA L

STATEM EN T

JU N E

30, 1939

RESOU RCES

L IA B IL IT IE S

F irst M ortg ag e D irect R eduction
L oans — ........
$1,573,706.35
P a ss-B o o k o r C ertificate Loans....
20,792.51
Interest on L oa n s A ccru e d and
U npaid ______________ _________ ....
277.38
M ortgage L oans in F oreclosu re
(D ecree E n tered )________________ 6,343.40
R eal E state Sold on C on tract. 13,298.19
O ffice B uild ing................................... 30,000.00
Furniture, F ixtu res and
E quipm ent ...............
1.00
B onds .................
111,500.00
Cash on H and and Due from
B an ks ___________
46,117.30

Installm ent Shares and
D ividends _____________
$299,419.77
F u ll-P a id S h a r e s .-__ _________
1,184,200.00
M ortg ag e R etirem ent Shares and
D ividen ds ...........
11,509.04
U ndivided P ro fits ...............
18,654.02
General R eserve F und................... 270,000.00
R eserve fo r U ncollected Interest
on L oans.................
277.38
R eserve fo r R eal E state Sold
5,975.92
on C ontract.........................
R eserve fo r T axes and Insur­
ance ...............
3,000.00
9,000.00
Other R eserv es... ........... _..................

T ota l__________________ _____$1,802,036.13
T otal N um ber o f

shareholders.............2,059

T o ta l__________________ _____$1,802,036.13
T otal N um ber o f B orrow ers...................... 924

COM M ERCIAL SAVIN G S AND LOAN ASSOCIATION
Omaha, Nebraska
Organized M arch 4, 1887
O F F IC E R S
W . P. A d kins................................... P resident
F ra n k K ou tsky._________ ___V ice-P resid en t
Jas. J. F itzg era ld ... ......................S ecretary

W m . F. F itzg era ld ___ A ssistan t Secretary
A. Clark M urdock_________________A ttorn ey

D IR E C T O R S
W . P. A dkins
F rank K ou tsk y
Jas. J. F itzg era ld
F IN A N C IA L

W m . F. F itzgera ld
A lvin E. Johnson
L ouis F. E tter
STATEM EN T

JU N E

30. 1939

RESOU RCES

L IA B IL IT IE S

F irst M ortgage D irect R eduction
L oan s __________________________ $1,909,528.48
Second M ortgage A cco u n t____ ___
18.00
P ass-B o o k o r C ertificate Loans....
850.00
Interest on L oans A ccru ed and
U npaid .................
344.40
R eal E state Owned (other than
o ffice bu ild in g ).......................
29.00
R eal E state Sold on C on tract___ 59,355.53
O ffice B uilding.................................... 19,000.00
Furniture, F ixtu res and
E quipm ent .............
1.00
B on d s ...................
90,000.00
Cash on H and and D ue from
B anks _______________
178,642.15
T a x Sale C ertificates...............
275.01

Installm ent Shares and
D ividends _____________________ .$1,602,124.83
F u ll-P a id Shares______ _____________ 46,170.00
M ortgage R etirem ent Shares and
D ividends ______________________ .. 421,075.42
Due B orrow ers on Incom plete
L oans ____
17,140.83
A d va n ce P aym en t b y B orrow ers
fo r T axes and Insurance___ ___
962.79
U ndivided P ro fits _________________
2,950.00
General R eserve Fund.....____
165,000.00
R eserve fo r U ncollected Interest
on L o a n s......... ,_________
344.40
R eserve fo r T a x es.........................
2,275.30

T ota l_________________ ____„...$2,258,043.57
T ota l N um ber o f Shareholders............ 3,548


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T ota l_________________ .....$2,258,043.57
T otal

N um ber

of

B orrow ers.__ _______ 996

D E PA R TM E N T OF BANKING
TPIE CO N SERV ATIVE

123

SAVINGS AND LOAN ASSOCIATION
Omaha, Nebraska

Organized D ecem ber 3, 1891
O F F IC E R S
E. A. B aird....................................... President
j ; 4 v Lyons...-.— ..................V ice-P resid en t

J. H. M cM illan_________
T reasurer
W ay n e C. S elby............. A ssistan t Secretary

D IR E C T O R S
E d ga r A. B aird
C laire J. B aird
R an dall K. B row n
B yron R. H astings

F ra n k T. B. M artin
J. H erbert M cM illan
C harles M. W ilhelm

F IN A N C IA L

STATEM EN T

RESOU RCES
F irst M ortgage D irect R eduction
L oans ................................................$ 46,773.53
F irst M ortgage Share A ccou n t
Sinking F und L oan s....................6,418,575.00
P a ss-B o o k or C ertificate Loans.... 13,982.16
Interest on L oans A ccru ed and
U npaid ......... ............. 1........................ 2,775.80
M ortgage L oans in F oreclosu re
(D ecree E n te re d )__________
92,779.29
R eal E state Ow ned (other than
o ffice b u ild in g )----------------- ------_... 386,596.73
R eal E state Sold on C on tract___ 24,486 08
O ffice B uilding-----------------------177,500.00
Furniture, F ixtu res and
E quipm ent ________________
1 oo
B onds --------------------------- --------------- i,000,000.00
Cash on H and and Due from
4,223,017.15
B anks -----------------------------------

N um ber

of

Shareholders......... 22,483

30, 1939

L IA B IL IT IE S
Installm ent Shares and
D ividen ds ---------------------------------$9,596,106.78
F u ll-P a id Shares...............
841,535.90
M ortgage R etirem ent Shares and
D ividends ...................
795,100.84
Due B orrow ers on Incom plete
L oans ..... ........................................ 36,527.71
U ndivided P ro fits_________________ 18,268.99
G eneral R eserve F un d ............... 1,090,000.00
R eserve fo r U ncollected Interest
on L oan s...................................
2,775.80
R eserve fo r R eal E state Sold
on C ontract...................................
6,170.72

T ota l------------------ ---------- „..$12,386,486.74
T ota l

JU N E

Total.

$12,386,486.74

T ota l N um ber o f B orrow ers.

.2,964

M E TRO PO LITAN BUILDING AND LOAN ASSOCIATION
Omaha, Nebraska
Organized F ebru ary 17, 1922
O F F IC E R S
C. C. Haynes..
H. L. H elfrich
L. K. Brown..

....... .........
-President
------------V ice-P resid en t
-------- ----S ecretary

M. O. Cunningham .
L ester H all J r ........

A ttorn ey
...Cashier

D IR E C T O R S
C. C. H ayn es
J. O. B eebe
H. C. Lane
F IN A N C IA L

H. L. H elfrich
L. K. B row n
M. O. Cunningham
STATEM EN T

RESOU RCES
F irst M ortgage Share A ccou n t
Sinking F und L o a n s_______ _____$
Interest on L oans A ccru ed and
U npaid ---------------------------R eal E state Owned (oth er than
o ffice b u ildin g)— ---F urniture, F ixtu res and
E quipm ent ---------------------------------B onds -------------------------------------------Cash on H and and D u e from
B anks ---------------------------------

56,900.00
133.64
4,355.84
175.00
2,325.00
15,660.43

JU N E

30.

1939

L IA B IL IT IE S
Installm ent Shares and
D ividen ds ------------------------------- --- $
M ortg ag e R etirem ent Shares and
D ividends ----------------------------------Due B orrow ers on Incom plete
L oa n s ---------------------------------------_...
U ndivided P ro fits____ ___
G eneral R eserve
F u n d .................
R eserve fo r U ncollected Interest
on L oan s------------------------------- -----R eserve fo r R ea l E state Owned....

62,682.9,5
14,010.01
100.00
19.88
2,500.00
133.64
103.43

T o ta l------------------------------------- 4 79,549.91

T ota l..... ........................................$ 79,549.91

T ota l N um ber o f Shareh olders________ .420

T ota l N um ber o f B orrow ers____________ 54


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

124

N E B R A SK A SAYINGS & LOAN ASSOCIATION
Omaha, Nebraska
Organized July 24, 1885
O F F IC E R S
Leslie E. M artin.... .....
P residen t
Oscar D. K iplinger...............V ice-P resid en t
A nton J. Steiskal............................. Secretary

E lm er O. A n d erson — .......
Cashier
Chas. F. B rinkm an..... — ...........— T reasurer
E. M. M orsm an J r.....................
A ttorn ey

D IR E C T O R S
L eslie E. M artin
O scar D. K iplinger
Chas. F. B rinkm an
F IN A N C IA L

M elvin B ekins
John R . F ike
E d ga r M. M orsm an Jr.
STATEM ENT

JU N E

30,

1939

RESOU RCES

L IA B IL IT IE S

F irst M ortgage Share A ccou n t
Sinking F und L oa n s............
$2,174,075.00
P a ss-B o o k or C ertificate Loans.... 20,578.34
M ortgage L oan s in F oreclosu re
(D ecree E n te re d )________________
5,074.27
R eal E state Owned (other than
5,788.33
o ffice bu ild in g )----------- ------ - —
R eal E state Sold on C ontract----- 25,486.23
Furniture, F ixtu res and
E quipm ent ............................ - ......... _ L00
B onds ...............
7,500.00
Cash on H and and Due from
B anks ..... - ..................... — ............... 377,375.14
Other R esou rces............... ....... - .........
100

Installm ent Shares and
D ividen ds ..... — .............................$1,637,721.27
F u ll-P a id Shares-----------199,993.56
M ortg ag e R etirem ent Shares and
D ividends _______________________ 397,363.19
Due B orrow ers on Incom plete
L oan s ----------r------------------------------ 88,438.01
A d va n ce P aym en t b y B orrow ers
952.66
fo r T axes and In su ran ce---------U ndivided P ro fits _________________ 82,333.26
General R eserve F u n d ................... 180,793.63
R eserve fo r R ea l E state Sold
on C ontract..... .......................
19,449.23
Other L iabilities----------------------------- 8,834.50

T ota l.......................................... $2,615,879.31

T ota l........ ................................$2,615,879.31

Total N um ber o f S hareholders............ 2,041

T otal N um ber o f B orrow ers.................. _...793

OCCIDENTAL

BUILDING AND LOAN ASSOCIATION
Omaha, Nebraska
Organized June 12, 1889
O F F IC E R S

F. E. H o v e y ............... _..................„..P resident
John T. B row nlee
------ ---- V ice-P resid en t
E. N. B ovell............- ....................... T reasurer
H. O. M iller............... ............ ..........Secretary

D. H. K n ott................... A ssistan t Secretary
Geo. E. L ockw ood.........- ........... - .........A u d itor
T. F. W iles... ........—...... - ...................A ttorn ey

D IR E C T O R S
C.
E.
S.
E.

F. E. H ov ey
John T. B row nlee
J. E. D avidson
W . R. M cF arlan d
Geo. T. M orton
F IN A N C IA L

STATEM EN T

208.223.00
502.250.00
9,712.09
6,561.47
18,347.71
206.526.73
730,585.48
7,998,33
270,000.00
1.00

270,101.66
559.113.74
372.00

T ota l____________ ________ „..$5,789,793.21
T o ta l N um ber o f Shareholders........ — 6,848


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

30,

1939

L IA B IL IT IE S

RESOURCES
F irst M ortgage D irect R eduction
L oans ............................ - ............— $3,
F irst M ortgage Share A ccou n t
Sinking F und L oa n s......................
P a ss-B o o k or C ertificate Loans....
Interest on L oans A ccru ed and
U npaid .........................- ......... -.........
M ortgage L oans in F oreclosu re
(D ecree E n te re d )-----------------------R eal E state Owned (oth er than
o ffice bu ild in g )--------------------------R eal E state Sold on C on tract......
T a x e s and Insurance Advanced....
O ffice B uilding.---------------- ------------Furniture, F ixtu res and
E qu ipm ent ------------------------ --------B onds ------------------------------------------Cash on H and and Due from
B an ks __________________________
O ther R esou rces----- ------- --------------

JU N E

C. Sadler
S. W aterbu ry
J. W eek s
F. P ettis

Installm ent Shares and
D ividends ---------------------- ----- — $‘ ,429,439.67
F u ll-P a id Shares--------------------------‘ ,362.591.29
P rep aid Shares-------------------------- — 17,131.54
M ortgage R etirem ent Shares and
D ividen ds .....-------------------------------- 341,410.18
Due B orrow ers on Incom plete
22,131.38
L oan s
A d va n ce P aym en t b y B orrow ers
fo r T axes and Insurance........ — 42,180.73
U ndivided P ro fits------------------------- 113,954.99
D ividends D eclared, U npaid and
17,633.97
U ncredited
G eneral R eserv e F u n d ...................... 285.000.
R ese rv e fo r U n collected Interest
6,561.47
on L oa n s... ......
R eserve fo r R ea l E state Sold
on C ontract_____________________ 128.000.
R eserve fo r T a x es and In su r­
12, 000.00
an ce A d va n ced _________________
11,757.99
O ther R eserv es___________________
________________ .$5,789,793.21
T ota l-------------------------T otal N um ber o f B orrow ers................... 2,385

00

00

D E PA R TM E N T OF BANKING

125

OM AHA LOAN AND BUILDING ASSOCIATION
Omaha, Nebraska
Organized A pril 21, 1883
O F F IC E R S
A.
J.
G.
L.

W . G ordon ....................................President
T. H elgren....V ice-President & S ecretary
T. H illier.—............... A ssistan t S ecretary
W . P erk in s________ A ssistan t S ecretary

E. G. M iller................... A ssistan t S ecretary
G. C. L oom is................ A ssistan t S ecretary
J. H. K op ietz_____ __ ____ __B ranch A gent
P enelope H. A nd erson_______ ___A ttorn ey

D IR E C T O R S
G. W . L oom is
A. W . G ordon
J. T. H elgren
W . L. H olzm an
J. H. K opietz

E. M. M orsm an Jr.
A. H. R ichard son
W . H. S chellberg
L, C. Sholes
Sidney W . Smith

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

F irst M ortgage D irect R ed u ction
L oans ......................
$6,633,853.00
F irst M ortg ag e Share A ccou n t
Sinking F und L oa n s.................. 1,095.000.00
P a ss-B o o k o r C ertificate L oans
10,011.61
Interest on L oa n s A ccru ed and
U npaid .......
1,951.06
M ortgage L oan s in F oreclosu re
(D ecree E n te re d )..... '___
48,289.67
R eal E state Owned (oth er than
o ffice b u ild in g )...................... ..... 228,101.21
R eal E state Sold on C on tract...... 499,883.99
T a x es and Insurance A d va n ced
27,945.68
O ffice B uilding (In clu des
South Side O ffice Bldg.
$8000.00)
204,000.00
F urniture, F ixtu res and
E quipm ent ________
1.00
B onds ......................
220,900.00
Cash on H and and Due from
B anks ...................
1,190,856.81
Other R esou rces........................ ...... 5,461.66

Installm ent Shares and
D ividends ................................
$8,024,882,50
F u ll-P a id Shares________________ 336,150.00
M ortgage R etirem ent Shares and
D ividends .........
443,318.11
D ue B orrow ers on Incom plete
L oans ..............................- ............... 129,933.06
A d va n ce P aym en t b y B orrow ers
fo r T a x es and Insurance_______ 3,507.35
40,514.18
U ndivided P ro fits..................
G eneral R eserve F und................... 825,000.00
R eserve fo r U ncollected Interest
on L oan s---------------------1,951.06
R eserve fo r R eal E state Owned
99,704.04
R eserve fo r R eal E state Sold
on C on tract------------------------------- 224,555.41
R eserve fo r T ax es and Insur­
ance A d va n ced _________________
28,117.86
Other R eserves______________
248.82
O ther L iabilities_________________
8,376.33

T o ta l— ........................... ....... $10,166,258.72
T otal

N um ber

of

Shareholders_____ 7,739

T ota l....................................... $10,166,258.72
T otal N um ber o f B orrow ers...............„...3,943

UNION BUILDING AND LOAN ASSOCIATION
Omaha, Nebraska
Organized D ecem ber 16, 1921
O F F IC E R S
Joseph T. V o ta v a ......P resident & A ttorn ey
John J. O stronic... .................V ice-P resid en t

L ad. V . T esar.___________________ Secretary

D IR E C T O R S
Joseph T. V o ta v a
F ra n k J. R ih a
John J. O stronic

A d olp h M usil
V a cla v T esar
Lad. V . Tesar

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

F irst M ortgage Share A ccou n t
Sinking F und L o a n s.......................$184,150.00
Interest on L oans A ccru e d and
U npaid ................
917.45
R eal E state Owned (oth er than
o ffice b u ild in g)__________________ 23,510.71
F urniture, F ixtu res and
E quipm ent ....
1.00
Cash on H and and Due from
B anks __________
9,686.71
Other R esou rces______ ____________
4.00

Installm ent Shares and
$157,177.08
D ividends ______
M ortgage R etirem ent Shares and
D ividends _______________________ 54,450.23
Due B orrow ers on Incom plete
L oans ___________________________
174.88
A d va n ce P aym en t b y B orrow ers
fo r T ax es and Insurance... .........
153.66
U ndivided P ro fits_________________
570.22
G eneral R eserve F un d ... ........
4,822.35
R eserve fo r U ncollected Interest
on , L oa n s__________________
917.45
Other R eserv es_______
4.00

T o ta l........................ ............ ....... $218,269.87

T ota l-------------------------------------- $218,269.87

T otal N um ber o f Shareholders................387

T otal N um ber o f B orrow ers___________ 110


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

126

D E PA R TM E N T OF BANKING
P R O TE C TIV E SAVINGS AND LOAN ASSOCIATION
Ord, Nebraska
Organized A pril 1, 1916
O F F IC E R S

Geo. R. G ard ........ ........................... President
C. M. D av is.............................V ice-P resid en t

L. D. M illiken............ S ecretary-T rea su rer
D avis & V og elta n z............... _.........A ttorn ey s

D IR E C T O R S
Geo. R. G ard
C . M. D av is
F IN A N C IA L

C.
L.
STATEM EN T

JU N E

K en nedy
D. M illiken

30, 1939

RESOU RCES

L IA B IL IT IE S

F irst M ortgage D irect R eduction
L oans ..... _......................... .................$ 19,375.00
F irst M ortgage Share A ccou n t
Sinking F und L oans...................... 177,450.00
P a ss-B o o k o r C ertificate Loans....
220.00
Interest on L oan s A ccru ed and
U npaid ____________
3,488.23
M ortgage L oa n s in F oreclosu re
(D ecree E n te re d ).................. ..........
2,266.43
R eal E state Owned (oth er than
o ffice b u ild in g)................ ................ 30,928.81
R eal E state Sold on C ontract...... 4,070.81
T axes and Insurance A d va n ced
1,220.75
O ffice B uilding.................. ............... 7,000.00
Furniture, F ixtu res and
E quipm ent __________
920.00
B onds ......................................... ......—. 20,039.41
Cash on H and and D ue from
B anks ......................
9,403.60
9.00
Other R esou rces............

Installm ent Shares and
D ividends ..................... ........... .........$ 63,326.14
F u ll-P aid Shares____ _____________ 126,240.00
M ortgage R etirem ent Shares and
D ividends _______________________ 47,766.02
Due B orrow ers on Incom plete
L oans .............
3,235.93
A d va n ce P ay m en t b y B orrow ers
on T ax es and Insurance____ __ 3,376.07
D ividen ds D eclared, U npaid and
U ncredited ........ ............... ........._... 1,888.63
General R eserve F un d ____________ 21,996.46
R eserve fo r U ncollected Interest
on L oa n s____ _______
3,488.23
R ese rv e fo r R eal E state Owned.... 3,023.73
R eserve fo r T ax es and Insur­
ance A d va n ced ... ........................
2,047.60
O ther R esou res_____________ __ ___
3.23

T ota l............................................ $276,392.04
T ota l

N um ber

of

Shareholders... .........462

T ota l.............. .................... .......... $276,392.04
T ota l N um ber o f B orrow ers________ ____197

PLATTSM OU TH LOAN AND BUILDING ASSOCIATION
Plattsm outh, Nebraska
Organized F ebru ary 6, 1885
O F F IC E R S
C. A. Johnson....................................P residen t
John Lutz..._................... .......... V ice-P resid en t
E. P. L u tz.................. .... ...................Secretary

F. T. R am ge............................ ...........T reasurer
W . A. R obertson __________________ A ttorn ey

D IR E C T O R S
C. A. Johnson
John L utz
F. T. R am g e
E. P. L utz
John B auer
F IN A N C IA L

.

STATEM EN T

RESOURCES
F irst M ortgage D irect R ed uction
L oans ............................ ..... ..............$ 83,269.50
Interest on L oan s A ccru ed and
U npaid ..........
523.64 .
R eal E state Owned (other than
o ffice B u ild in g )... ..................... - ....
12.00
R eal E state Sold on C on tract----7,117.55
F urniture, F ixtu res and
1.00
E quipm ent ______________________
S tock in F ederal H om e L oan
B an k .................
900.00
Cash on H and and Due from
B an ks ___________________________
2,124.05
O ther R esources...................................
60.65

T ota l___________ ______________ $ 94,008.39
T otal

N um ber

of


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

E.
C.
H.
M.

Shareholders........ ....133

JU N E

J. W eyrich
D. P alm er
F. G oos
D. B row n

30. 1939
L IA B IL IT IE S

Installm ent Shares and
D ividends .... .......,________________ $
F u ll-P a id Shares...............
D ue B orrow ers on Incom plete
L oa n s _______
B ills P a y a b le (F ed era l H om e
L oan B a n k )________________
U ndivided P ro fits_________________
D ividends D eclared, U npaid and
U ncredited ______________________
General R eserve F u n d __________
R eserve fo r U ncollected Interest
on L oa n s________________________
R eserve fo r R eal E state Owned....
R eserv e fo r R eal E state Sold
on C ontract_____________________
R eserve fo r T axes and Insur­
an ce A d va n ced __________________

15,001.35
30,430.00
1,226.00
9,840.00
654.61
524.54
23,296.82
523.64
4,470.73
4,257.60
3,783.10

T ota l--------------------------------------$ 94,008.39
T ota l N um ber o f B orrow ers.____________93

D E PA R TM E N T OF BANKING

127

S E W A R D EQ U ITA BLE BUILDING AND LOAN ASSOCIATION
Seward, Nebraska
Organized F ebru ary 6, 1894
O F F IC E R S
J. F. Geesen........ — ......................... President
J. F. G r a ff— .............. .............V ice-P resid en t
W . E. Lang-worthy--------------------- T reasurer

L ois Hillyer.,.........
Lester P. Schick.

.Secretary
..Attorney

D IR E C T O R S
J. F. Geesen
J. F. G r a ff
W . E. L a n g w orth y
L ois H illyer
F a y W ood
Chas. Cam pbell

W m . H. Smith
W . C. B r o ck h o ff
W . S. Gass
E dw in P. Im ig
R oss E. Gillan

F IN A N C IA L

STATEM EN T

JU N E

30, 1939

RESOURCES

L IA B IL IT IE S
F irst M ortgage Share A ccou n t
Installm ent Shares and
Sinking F und L o a n s.......... .........$242,450.00
D ividends ..........................................$
P ass-B o o k o r C ertificate L oa n s__________ 3,044.00
F u ll-P aid Shares__________________
Interest on L oans A ccru ed and
M ortgage R etirem ent Shares and
U npaid ----------------821.06
D ividends .........................
M ortgage L oan s in F oreclosu re
A d va n ce P aym en t b y B orrow ers
(D ecree E n te re d )__________ _____ 3,472.77
fo r T axes and Insurance............
R eal E state Owned (other than
D ividends D eclared, U npaid and
o ffice bu ild in g )--------------------------- 12,503.36
U ncredited ...............
R eal E state Sold on C on tract____________ 8,802.66
G eneral R eserve
F un d ____ _____
F urniture, F ixtu res and
R eserve fo r U ncollected Interest
E quipm ent ______________________
1.00
on L oan s— ....................
Cash on H and and Due from
O ther R eserves_______ ___
B an ks --------------------13,210.00
T ota l-------------------------------------- $284,304.85
T otal N um ber o f S hareholders________ 474

91,438.75
71,950.00
75,845.74
1,245.41
1,070.00
29,033.02
821.06
12,900.87

T ota l......................................... — $284,304.85
T otal

N um ber o f

B orrow ers__________ 197

CITIZENS BUILDING, LOAN & SAVINGS ASSOCIATION
Superior, Nebraska
Organized January 17, 1889
O F F IC E R S
J. M. Silver— ..............
President
John E y re ---------------------------- V ice-P resid en t
F . B. F e lt---------------------------- V ice-P resid en t

F. H.
H. S.

Stubbs......................................A ttorn ey
N elson...........— S ecretary-T rea su rer

D IR E C T O R S
J. M.
John
F. B.
J. C.
M. A.

Silver
E yre
F elt
N orga ard
Sanders
F IN A N C IA L

R.
J.
E.
H.
STATEM EN T

RESOURCES
F irst M ortgage S hare A ccou n t
Sinking F und L oa n s__________ $126,900.00
M ortgage L oans in F oreclosu re
1,411.87
(D ecree E n tered )_______________
R eal E state Owned (other than
o ffice b u ild in g)__________________ 8,324.71
R eal E state Sold on C on tract_____ 17,550.00
Furniture, F ixtu res and
E quipm ent --------------------------------100.00
Cash on H and and Due from
B anks ................................................. 12,504.17

T oal

T o ta l-------------------------------------- $166,790.75
N um ber o f S hareholders________ 289


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

JU N E

J.
H.
L.
S.

Stepheson
L aird
L ion berger
Nelson

30. 1939

L IA B IL IT IE S
Installm ent Shares and
D ividends -----------------------------------$ 30,186.48
F u ll-P a id Shares...................
77,900.00
M ortgage R etirem ent Shares and
D ividen ds ------30,819.26
Due B orrow ers on Incom plete
L oans -----------------------------------------ioo.OO
U ndivided P rofits.________________
1,749.62
D ividen ds D eclared, U npaid and
U ncredited --------------------------------- 1,556.33
General R eserve Fund.._________ 19,700.00
R eserv e fo r R ea l E state Sold
on C ontract_________________ ____ 4,214.03
R eserve fo r T ax es and E xpen se
565.03
T ota l------------------------------------- $166,790.75
T ota l N um ber o f B orrow ers__________ 101

D E PA R TM E N T OF BANKING

128

TECUM SEH BUILDING AND LOAN ASSOCIATION
Tecum seh, Nebraska
Organized M arch 23, 1904
O F F IC E R S
E. C H ed rick..............._...................P resident
W . M. Sherm an..... ...... :......... V ice-P resid en t
J. B. D ou gla s........ .......................... S ecretary

J. B. D ou glas J r ....... A ssistan t S ecretary
E dith S chm idt....................................T reasurer

D IR E C T O R S
A dolph K ov aril
H. F. Sullivan
A. P. F itzsim m ons
C. W . Jones

E. C. H ed rick
W . M. Sherm an
J. B. D ouglas
J. B. D ouglas, Jr.

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
F irst M ortgage Share A ccou n t
Sinking F und L oa n s................... $928,750.00
P ass-B o o k or C ertificate L oa n s—
955.00
Interest on L oans A ccru ed and
U npaid .........................
1,446.08
M ortgage L oans in F oreclosu re
(D ecree E n te re d ).........................— 11,972.26
R eal E state Owned (oth er than
o ffice b u ildin g)................................ 31,293.58
O ffice B uilding............................
3,500.00
Furniture, F ixtu res and
Equipm ent ...................... ..........,.......
1.00
Cash on H and and D ue from
B an ks.............................
45,353.18

Installm ent Shares and
D ividends .......................................... $ 56,916.51
F u ll-P a id Shares..... .......................... 666,100.0-0
M ortgage R etirem ent Shares and
D ividends ________________ ______ - 192,084.16
Due B orrow ers on Incom plete
L oan s ..... - .................................. - ..... 16,311.33
A d va n ce P aym en t by B orrow ers
fo r T axes and Insurance............. 2,296.08
U ndivided P ro fits............. ............. :... 1,000.00
General R eserve
F un d ................. 86,116.92
R eserve fo r U ncollected Interest
on L oa n s..... ...............................
1,446.08
O ther R eserves......................................
1,000.00
T ota l............................ .... .........$1,023,271.08

T ota l.................. ........................$1,023,271.08
T otal N um ber o f Shareholders...............906

T otal

N um ber

o f B orrow ers................... 436

W AH O O MUTUAL LOAN & BUILDING ASSOCIATION
W a h oo, N ebraska
O rganized A pril 14, 188 8
O F F IC E R S
B. E. H en dricks............................. P resident
R. F. M cC reery____________V ice-P resid en t
Geo. F. F ru sh............... .................... S ecretary

Jas. L. K u d rn a
...............
H en dricks & K ok jer.--------

..Treasurer
..Attorneys

D IR E C T O R S
B. E. H endricks
R. M. M cC reery
Geo. F. F rush
Jas. L. K u drna
W . T. P ickett

Jam es K earn ey
E rnest H anson
C arl O. Johnson
L. J. K udrna

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES
F irst M ortgage Share A ccou n t
Sinking F und
L o a n s.... ............ $279,200.00
P a ss-B ook or C ertificate Doans.... 6,850.00
Interest on L oan s A ccru ed and
U npaid __________________________
1,440.30
R eal E state Owned (oth er than
o ffic e b u ild in g )................................ 14,478.14
13,554.50
R eal E state Sold on C ontract330.36
T axes and Insurance A d va n cedF urniture, F ixtu res and
1.00
E quipm ent ____________________
36,937.50
B ond s ------------------------------------------Cash on H and and Due from
16,195.49
B anks
T ota l_________________ _______ $368,987.29
T otal N um ber o f S hareholders............... .382


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
Installm ent Shares and
D ividends
F u ll-P a id Shares..
D ue B orrow ers on Incom plete
L oan s ----------------------------------------U ndivided Profits..
D ividends D eclared, U npaid and
U ncredited
General R eserve Fund.................
R eserve fo r U ncollected Interest
on L o a n s............................... .........—

100.00

11,987.99
2,090.53
26,079.94
1,440.30

Total...-.... ............ - ......................$368,987.29
T otal N um ber

of

B orrow ers................... 200

D E PA R TM E N T OF BANKING

129

SALIN E COUNTY BUILDING ASSOCIATION
W ilber, Nebraska
Organized January 28, 1895
O F F IC E R S
V. J. K oh ou t_____________________ .President
.A. _ W. F rid rich _______________ .....Secretary

J. J. N ov a k ............................... ....... T rea su rer
S. L. B roz......................... .............. .....Attorney

D IR E C T O R S
A nton Shim onek
G. W . Shestak
Otto N ovak

V. J. K oh ou t
A. W . F rid rich
J. J. N ovak

F IN A N C IA L S T A T E M E N T JU N E 3(1, 1939
RESOU RCES

L IA B IL IT IE S

F irst M ortgage Share A ccou n t
Sinking F un d L oa n s----------------$ 50,100.00
P a ss-B o o k o r C ertificate
Loans.... 1,175.00
D ues on L oan s Due but Unpaid....
971.50
Interest on L oans A ccru e d but
U npaid __________________________
399.50
Cash on H and and D ue from
B anks _______________
3,369.38

Installm ent Shares and
D ividends ............... ............. .............$ 48,227.64
U ndivided P ro fits...................
844.99
6,500.00
G eneral R eserve F un d ...................
R eserve fo r U ncollected Interest
on L oa n s.............................
400.00
42.75
Other L iabilities---------------------------T ota l... ...................................... ....$ 56,015.38

T ota l_______________ __________$ 56,015.38
T otal N um ber o f

Shareholders................91

T otal N um ber o f B orrow ers-------------------48

W Y M O R E BUILDING AND LOAN ASSOCIATION
W ym ore, Nebraska
Organized F ebru ary 12, 1910
O F F IC E R S
j
A. Reuling.... _______________ P residen t
W . L. Jones............................. V ice-P resid en t

E. L. P u rd y ------------- ---S ecretary-T rea su rer
P. M. E v erson — ---------- --------- ---- A ttorn ey

D IR E C T O R S
F. W . M yers
E van H u ghes
L. F. H ohensee

J. A. R eulin g
W . L. Jones
W . A. Stahl
W . A . D aw son

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
F irst M ortgage Share A ccou n t
Sinking F und L oans......................4131,450.00
Interest on L oans A ccru ed and
U npaid -------- ------ - ........... - ...... .......
291.75
R ea l E state Owned (oth er than
o ffice bu ild in g )........ — .................. 10,008.45
R eal E state Sold on C ontract. 14,081.30
T axes and Insurance A d va n ced —.
.95
F urniture, F ixtu res and
E quipm ent .......... ........... - .................
135.00
Stock in F ed eral H om e L oan
B an k ____ __-................... ................. 2,000.00
Cash on H and and Due fro m
B an ks ___________________________
2,788.48

Installm ent Shares and
D ividends ----------------------------------- $
F u ll-P a id Shares------------ -------------H .O.L.C. Subscription............... .........
M ortgage R etirem ent Shares and
D ividends _______________________
Due B orrow ers on Incom plete
L oans ----------- ----------------------------B ills P ay able (F ed era l H om e
L oan B a n k )—
................- ............
A d va n ce P aym en t b y B orrow ers
fo r T ax es and Insurance---------U ndivided P rofits.------------------------D ividends D eclared, U npaid and
U ncredited _____________________
General R eserve F u n d ................. .
R eserve fo r F ederal I n s u r a n c e R eserve fo r U ncollected Interest
on L oa n s........ ................... ................
R eserve fo r R ea l E state Sold
on C on tract................. .................... —
R eserve fo r T axes and In su r­
ance A d va n ced ________________ j —
Other R eserv es____________________
Other L iabilities----------- ----- -----------

7,112.18
80,200.00
5.000.

547.27
21 , 100.00

822.79
4,835.15
1,372.55
5,182.45
718.73
291.75
1. 000.

.95
283.21
721.09

T ota l............... ............ .................$160,755.93

T ota l........ ....................................$160,755.93

.168

T otal N um ber o f B orrow ers-------------------125

T ota l N um ber o f Shareholders-


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

00

31,567.81

00

130

D E PA R TM E N T OF BANKING
Y O R K M UTUAL BUILDING AND LOAN ASSOCIATION
Y ork , Nebraska
O rganized July 11, 1892
O F F IC E R S

Geo. H. H oldem an.
A . A. M etz_____ ___ _

.......... P resident
.V ice-P residen t

A. H. W o o le v e r...........S ecretary-T rea su rer
Geo. M. S purlock.................. ..........A ttorn ey

D IR E C T O R S
E. A.
C. P.
Hobt.
A. H.

Geo. H. H oldem an
A. A. M etz
Geo. M. S purlock
W . L. W hite
W a d e H. R ead

L eavitt
H ildebran d
E. H a rry
W oolev er

F IN A N C IA L S T A T E M E N T JU N E 30, 1039
L IA B IL IT IE S

RESOURCES
F irst M ortg ag e D irect R ed uction
L oans ... .............. - ............................ $124,900.00
F irst M ortgage Share A ccou n t
Sinking F und L o a n s...................... 48,600.00
225.00
P a ss-B o o k or C ertificate Loans....
Interest on L oans A ccru ed and
2,971.70
U npaid ...............................— ..........
R eal E state Owned (other than
o ffic e b u ild in g)--------------------------- 8,478.95
3,334.60
R eal E state Sold on C on tract----F urniture, F ixtu res and
1.00
E quipm ent --------------------------------B onds ............................- ...................... 2,400.00
Cash on H and and Due from
B an ks ----------------------------------------- 8,699.19
T o ta l............................................ $199,610.44
T ota l N um ber o f S hareh olders............— 293


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Installm ent Shares and
D ividends ... .... .... .............. ..............$
F u ll-P aid Shares.—........................
M ortg ag e R etirem en t Shares and
D ividends ............................
Due B orrow ers on Incom plete
L oans .........
A d va n ce P aym en t b y B orrow ers
fo r T ax es and Insurance_______
U ndivided P ro fits___________
G eneral R eserve F u n d ____________
R eserve fo r U ncollected Interest
on L oans________________
R eserve fo r R eal E state Sold
on C ontract__________
Total.
T ota l N um ber o f

64,031.39
62,350.00
50,126.22
25.00
919.63
3,238.14
15,000.00
2,971.70
948.36

.$199,610.44
B orrow ers.

.137

D E PA R TM E N T OF BANKING

STATEMENTS
Showing the condition of the 8 Trust Companies in the State
of Nebraska, at the close of business,
June 30, 1939


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

131

132

D E PA R TM E N T OF BANKING

CONSOLIDATED FIN A N CIA L STATEM EN T OF TRU ST COM PANIES
STATE OF N E B R A SK A
June 30, 1939
8 Trust Com panies R eportin g

RESO URCES
M ortgage L oan s............................................................................................$
Bonds ...............................................................................................................
Stocks ...............................................................................................................
W arrants ........................................................................................................
C ollateral L oa n s............................................................................................
Insurance A ccou n ts R eceiv a b le............................................................
Tax Sale C ertificates and Taxes A d v an ced ......................................
Interest A d v an ced .......................................................................................
Com m ission N otes and A ccou n ts........................................................
Real Estate Owned (oth er than o ffic e b u ild in g s ).......................
Real Estate Sold on C on tracts..............................................................
M ortgage Trustee and M ortgage C ertifica tes.................................
Securities D eposited with the Departm ent o f B anking..............
O ffice Buildings, Furn itu re and F ix tu res........................................
Cash on Hand and Due from B anks.............
Other R esou rces............................................................................................

120,429.06
153,851.16
23,753.13
250.00
18,643.69
102,778.58
9 9 5.88
5,583.54
8,859.48
417,841.42
5,103.89
5 8,714.96
125,631.00
31,962.56
298,733.78
26,192.48

S u b -tota l..................................................................................$ 1,399,324.61
Securities as T rustee.............................. ..................................................
Trust Funds H eld-In vested......................................................................
Trust Funds H eld -F or D istribution or In vestm en t.......................

2 3,303.00
9,721,356.95
861,551.82

T o ta l..........................................................................................$12,005,536.38
LIA B IL IT IE S
Capital .............................................................................................................$
Surplus ..........................................................................................................
U ndivided P r o fits .......................................................................................
Trust C ertificates O utstanding..............................................................
Due In vestors................................................................................................
Due Insurance C om panies........................................................................
B ills P ay ab le.................................................................................................
In com plete L oa n s.........................................................................................
R eserve fo r Taxes, D epreciation, Interest etc................................
A gen cy A ccou n ts.........................................................................................
Bond C om m itm en ts....................................................................................
Other L ia b ilities.........................................................................................

585,988.00
235,445.27
239,688.58
856.01
17,106.06
31,334.06
6,800.00
14,327.18
87,482.64
56,824.19
62,603.57
60,869.05

S u b -tota l..................................................................................$ 1,399,324.61
Securities as T ru stee..................................................................................
23,303.00
Invested and U ninvested Funds due various T ru sts..................... 10,582,908.77
T o ta l......................................................................................... $12,005,536.38


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

133

D E PA R TM E N T OF BANKING

GRAN D ISLAND TRU ST COM PANY
Grand Island, Nebraska
Organized N ovem ber 7, 1917

O FFICE RS
O. A. B eltzer..........................President
Otto L. M atke............. V ice-P resident
E dgar R ey n old s.......... V ice-P resident

L. R. G eddes.......Secretary-T reasurer
W . A. S eiler......... A ss’t. Sec’y-Treas.

D IRECTORS
O. A. Beltzer
Otto L. M atke
E dgar R eynolds
L. R. Geddes

N. M. Beltzer
J. E. Beltzer
W illiam Su.hr

FIN A N CIA L STATEM EN T JUNE 30, 19 39
RESO URCES

L IA B IL IT IE S

M ortgage L oa n .................. $ 23,020.00
U. S. G overnm ent Bonds
3,754.00
Real Estate Owned
(oth er than o ffic e
bu ild in g) .......................
30,672.99
Insurance A ccou n ts
R eceivable .....................
4,242.19
Interest A d van ced...........
4,541.87
•Commission N otes and
A ccou n ts .......................
3,121.12
Furn itu re and Fixtures..
5,114.55
Securities D eposited w ith
the D epartm ent o f
Banking ..........................
15,000.00
Cash on Hand and Due
from B anks.....................
8,102.90
Other R esou rces...............
4,147.44

Capital ................................. $ 50,000.00
Surplus .................................
21,639.42
660.00
Investors A ccou n ts...........
In com plete L oan s..............
100.90
R eserves fo r Taxes De­
preciation, Interest,
etc.......................................
24,376.50
Other L ia bilities................
4,940.24
S u b-total................$101,717.06
Invested and Uninvested
Funds due various
Trusts ..........................:... 993,605.40

S u b -tota l.................$101,717.06
Trust Funds H eldInvested .......................... 981,464.38
Trust Funds H eld-F or
D istribution or Invest­
ment .................................
12,141.02
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$1,095,322.46

Total,

$1,095,322.46

D E PA R TM E N T OF BANKING

134

N E B R A SK A LOAN AND TRU ST COM PANY
Grand Island, Nebraska
O rganized July 15, 1919

O FFICE RS
A. E. Cady...............................President
John K n ick reh m ..........V ice-P resident

E.

R.

G uen del........................ Secretary

D IRECTORS
A. E. Cady
John K nickrehm
E. R. Guendel

B. J. Cunningham
Fred Hagg'e
Herm an H ehnke

FIN A N C IA L STATEM EN T JUNE 30, 1939
RESO U RCES
M ortgage L oa n s................$
6,900.00
Social Security A ccou n t..
76.08
R eal Estate Owned
(o th e r than o ffic e
bu ild in g) .......................
23,544.34
Insurance A ccou n ts
R eceivable .....................
2,459.88
Tax Sale Certificates
and Taxes A dvanced..
995.88
C om m ission Notes and
A ccou n ts .......................
5,395.91
Furn itu re and Fixtures..
1,921.27
Securities Deposited
w ith the Departm ent
o f B a n kin g.....................
20,000.00
Cash on Hand and Due
from B anks.....................
27,846.30

L IA B IL IT IE S
Capital .................................
U ndivided P r o fits..............
Investors A ccou n ts...........
In com plete L oan s..............
Reserves fo r Taxes, De­
preciation, Interest
etc.......................................
E scrow A ccou n ts..........
A gen cy A ccou n ts..............

50,000.00
11,250.00
829.39
12,250.00
2,500.00
2,210.27
10,100.00

S u b -tota l.................. $ 89,139.66
Invested and Uninvested
Funds due various
Trusts ............................ 967,259.81

S u b-total.................. $ 89,139.66
Trust Funds H eldInvested .......................... 958,491.71
Trust Funds H eld -F or
D istribution or Invest­
8,768.10
m ent .................................
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$1,056,399.47

Total

$1,056,399.47

135

D E PA R TM E N T OF BANKING

G U AR AN TY TRU ST COM PANY
K earney, Nebraska
Organized A u gust 10, 1920

O FFICERS
F. E. H ollin g sw orth ............. President
S. M. H ollin gsw orth ....V ice-P residen t

E. E. R ydberg,...S ecretary-T reasu rer

DIRECTORS
F. E. H ollingsw orth
S. M. H ollin gsw orth

E. E. R ydberg
Gerald H ollingsw orth

FIN A N C IA L STATEM EN T JUNE 30, 1939
L IA B IL IT IE S

RESOURCES
M ortgage L oan s................$ 20,144.06
100.00
Bonds ...................................
250.00
W arrants ............................
450.00
Collateral L oan s................
Insurance A ccou n ts
595.25
R eceivable .....................
F urniture and Fixtures..
1.00
Securities Deposited
w ith the Departm ent
o f B a n kin g.....................
15,250.00
Cash on Hand and Due
4,942.02
from B anks.....................

Capital .................................
Undivided P r o fits.............
Other L ia b ilities................

35,000.00
6,618.94
113.39

S u b-total................$ 41,732.33
Invested and Uninvested
Funds due various
Trusts ..............................
89,376.17

S u b-total................$ 41,732.33
Trust Funds H eldInvested .........................
87,717.36
Trust Funds H eld-F or
D istribution or Investment .................................
1,658.81
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$131,108.50

Total

$131,108.50

D E PA R TM E N T OE BANKING

136

TH E F IR S T TRU ST COM PANY
Lin coln, Nebraska
Organized June 29, 1911

O FFICE RS
G eorge W . H olm es............. President
H. S. F reem an ............. V ice-P resident
Sam uel C. W a u gh ....E xecu tive V iceP resident & Trust O fficer
M erle C. R a th bu rn ....V ice-P residen t
Bennett S-. M artin...... V ice-P resident
G. K. B aum gartner....V ice-P residen t

F red R. E asterday.............. Secretary
Clarence E. H in ds............... T reasurer
O. F. Schlaebitz-.A ss’t. Trust O fficer
John C. W h itten ..A ss’t. Trust O fficer
A. S u ffa ....................... A ss’t. Secretary

DIRECTORS
L. C. Chapin
M erle C. R athburn
A rth u r A. D obson

G eorge W . H olm es
Sam uel C. W augh
Bennett S. Martin
C. B. T ow le

FIN A N C IA L STATEM EN T JUNE

L IA B IL IT IE S

RESOURCES
M ortgage L oan s................$
Bonds ....................................
Stocks ....................................
Collateral L oan s................
R eal Estate Owned
(oth er than o ffic e
bu ild in g) .......................
Insurance A ccou n ts
R eceivable .....................
Land Sale C on tracts......
M ortgage Trustee and
M ortgage C ertificates..
Securities D eposited
w ith the Departm ent
o f B a n kin g.....................
Cash on Hand and Due
from B anks.....................
Other R esou rces................

39,897.00
138,074.16
21,696.53
18,193.69
231,551.29
93,617.30
1,100.00
51,510.98
40,000.00
245,828.26
18,778.40

S u b -tota l.................$900,247.61
Trust Funds H eldInvested ........................ 6,886,030.35
Trust Funds H eld-F or
D istribution or Invest­
m ent ................................. 769,336.21
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

30, 19 39

$8,555,614.17

Capital ................................. $300,000.00
Surplus ................................. 200,000.00
U ndivided P r o fits ............. 159,197.17
150.00
Trust C ertifica tes.............
12,527.26
Coupons ...............................
1,959.28
Incom plete L oan s.............
L in coln Trust Trustee­
ship Incom e (L ess Ex12,606.79
pense) ............................
R eserves fo r Taxes, De­
preciation, Interest
35,959.27
etc.......................................
Due Insurance
31,334.06
Com panies .....................
M ortgage Extensions for
23,000.00
D elivery ..........................
46,724.19
Funds as A g en t................
14,186.02
Due In vestors.....................
62,603.57
Bond C om m itm en ts.........
S u b -tota l.................. $900,247.61
Invested and Uninvested
Funds due various
Trusts ............................ 7,655,366.56
Total

$8,555,614.17

D EPAR TM E N T OF BANKING

137

F IR S T TRU ST COM PANY
Nebraska City, Nebraska
Organized F ebruary 1, 19 23

O FFICE RS
Geo. M. L a th rop .....................President
H. B. L a th rop ............ V ice-P resident

Ruth H. M on tgom ery............S ecretary

DIRECTORS
Geo. M. Lathrop
H. B. Lathrop
R. P. K im m el

W m . K ropp
H. C. Schw aderer

FIN A N CIA L STATEM EN T JUNE 30, 19 39
RESOURCES

L IA B IL IT IE S

M ortgage L oan s................$ 11,600.00
Insurance A ccou n ts
R eceivable ........
527.44
O ffice B uilding, F u rn i­
ture and F ix tu res.........
12,235.96
Securities Deposited
w ith the Departm ent
o f B anking.....................
10,950.00
Cash on Hand and Due
from B anks.....................
2,014.64
1,235.76
Other R esou rces................

Capital ................................. $ 25,000.00
Undivided P r o fits ..............
6,638.91
R eserves fo r Taxes, De­
preciation, Interest
etc.......................................
6,076.76
Other L ia b ilities................
848.13

S u b -tota l................$ 38,563.80
Securities H eld as
Trustee ............................
23,303.00
Trust Funds H eldInvested ..........................
29,133.34
Trust Funds H eld -F or
D istribution or Invest­
ment ..................................
1,418.06
T o ta l....................... $ 92,418.20


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

S u b-total................$ 38,563.80
Securities H eld as
Trustee ............................
23,303.00
Invested and U ninvested
Funds due various
Trusts ............................
30,551.40

T o ta l....................... $ 92,418.20

138

D E PA R TM E N T OF BANKING

TH E DU RLAN D TRU ST COMPANY
N orfolk , Nebraska
Organized D ecem ber 21, 1892

O FFICE RS
L. B. Nicola....^...................... President

C. A.

L ed erer....Secretary-Treasurer

DIRECTORS
L. B. N icola
C. A. L ederer
D. D. Mapes

J. C. N icola
E. M. Spindler

F IN A N C IA L STATEM EN T JUNE 30, 1939
RESOURCES

L IA B IL IT IE S

B onds ................................... $
223.00
Stocks ...................................
2,056.60
R eal Estate Sale
Contracts .......................
425.07
Real E state-Trust C er­
tificates ..........................
7,203.98
R eal Estate Owned
(oth er than o ffic e
bu ild in g) Unencum ­
bered ...............................
19,873.19
R eal Estate Owned
(oth er than o ffic e
b u ild in g) (S u b ject
to first m ortgage in­
debtedness o f
$6 2,15 0.00 ) ................... 17,289.45
Com m ission Notes and
A ccou n ts .......................
285.40
O ffice B uilding, F u rn i­
ture and F ix tu res.........
12,688.78
Securities deposited
w ith the Departm ent
o f B a n kin g.....................
14,431.00
Cash on Hand and Due
from B a n k s.....................
5,160.88
O ther R esou rces................
1,954.80

Capital ................................. $ 50,988.00
2,000.00
Surplus .................................
Undivided P r o fits ..............
1,122.02
C ertificates .......................
706.01
Investors A ccou n ts...........
1,430.65
Reserve for M ortgage on
O ffice B uilding and
Farm ...............................
4,800.00
Reserves fo r Taxes, De­
preciation, Interest
16,307.41
e tc .......................................
Other L ia bilities................
4,238.06
S u b -tota l................$ 81,592.15
Invested and Uninvested
Funds due various
Trusts ............................... 111,974.60

S u b -tota l................$ 81,592.15
Trust Funds H eldInvested .......................... 105,536.33
Trust Funds H eld- F or
D istribution or Invest­
m ent .................................
6,438.27
Total


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

$193,566.75

Total

$193,566.75

D EPAR TM E N T OF BANKING

139

CITY TRU ST COM PANY
Y ork, Nebraska
Organized May 1, 1916

O FFICE RS
C. N. B eaver............................ President

J. E. S h rigley....Secretary-Treasurer

D IRECTORS
C. N. Beaver
R. F. B rooke
A. J. Peterson

Dr. J. N. Plum b
H. C. Cites

FIN A N C IA L STATEM EN T JUNE 30, 19 39
RESOURCES

L IA B IL IT IE S

Real Estate Owned
(oth er than o ffic e
b u ildin g) ....................... $ 22,269.73
Real Estate Sold on
Contract ..........................
3,578.82
Securities D eposited
with the Departm ent
o f B a n kin g.....................
10,000.00
Cash on Hand and Due
from B anks...............
3,218.61

Capital ................................. $ 25,000.00
Surplus .................................
11,805.85
R eserves fo r Taxes, D e­
preciation, Interest
e tc.......................................
2,142.53
Other L ia b ilities................
118.78
S u b -tota l................$ 39,067.16
Invested and Uninvested
Funds due various
Trusts .............................. 135,939.57

S u b -tota l................$ 39,067.16
Trust Funds H eldInvested .......................... 112,171.17
Trust Funds H eld-F or
D istribution or Invest­
ment .................................
23,768.40
T ota l....................... $175,006.73


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T ota l....................... $175,006.73

D E PA R TM E N T OF BANKING

140

THE FIR S T TR U ST COM PANY
Y ork, Nebraska
O rganized Septem ber 30, 1911

O FFICE RS
Geo. H. H oldem an ................President
R ob ert R. C opsey........ V ice-P resid en t

Geo. M. S p u rlock ..........V ice-P resident
L eR oy D avis..............................Treasurer

D IRECTORS
Geo. H. H oldem an
R ob ert R. Copsey
Geo. M. Spurlock

Dennis Meehan
F lora S. M cCloud

FIN A N C IA L STATEM EN T JUNE 30, 19 39
RESOURCES

L IA B IL IT IE S

M ortgage L oa n s................ $ 18,868.00
11,700.00
Bonds ...................................
R eal Estate Owned
(oth er than o ffic e
72,640.43
bu ild in g) .......................
Insurance A ccou n ts
1,336.52
R eceivable .....................
1,041.67
Interest A d v a n ced ...........
C om m ission N otes and
57 05
1.00
Furn itu re and Fixtures..
Cash an Hand and Due
from Banks (G eneral
(A cco u n t) .....................
158.03
Cash on Hand and Due
from Banks (Special
1,462.14
A ccou n t) .......................

Capital ................................. $ 50,000.00
Undivided P r o fits .............
54,861.54
Incom e Other Real
Estate ...........................
266.13
Incom plete L oan s.............
17.00
Bills P ay ab le.....................
2,000.00
Reserves fo r Taxes, Depreciation, Interest,
etc.......................................
120.17
S u b -tota l.............. $107,264.84
Invested and Uninvested
Funds due various
Trusts ............................ 598,835.26

S u b -tota l................ $107,264.84
Trust Funds H eldInvested .......................... 560,812.31
T rust Funds H eld-F or
D istribution or Invest38,022.95
m ent .................................
T o ta l.......................... $706,100.10
N ote:

T o ta l......................... $706,100.10

$15,000.00 in securities deposited w ith the D epartm ent o f B anking
not segregated in above statem ent.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PAR TM E N T OF BANKING

STATEMENTS
Showing' the condition of the 9 Installment Investment
Companies in the State of Nebraska, at the
close of business, June 30, 1939.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

141

142

D E PA R TM E N T OF BANKING
CONSOLIDATED FIN A N CIA L STATEM EN T
OF
IN STALLM EN T IN V ESTM EN T COM PANIES
STATE OF N E B R A SK A
June 30, 1939
9 Installm ent Investm ent Com panies R eportin g

RESOU RCES
Cash on H and and Due F ro m B an ks............................... ......_.............. _......................... $ 66,330.40
L oans—C o-m aker ........ ..................................... ........... „.....................................$ 745,099.00
L oans—C ollateral ........ ............ ................................ ............................. ....... 1,193,028.20
L oan s—C hattel and R eal E state M ortg ag e___________ ______________ 657,422.47
$2,595,549.67
L ess : P aym ents on H ypothecated certificates............................... ...... 683,410.49
1,912,139.18
F irst M ortgage R eal E state L oan s________ _____________ ___________________________ 13,965.50
B onds and Investm ent Securities______ ____________ _______ _______ ________________
3,074.92
F urniture, F ixtu res and E quipm ent................ .............. _................................................... 9,833.74
O ffice B uildings___ _________________ ____________________________________________ ____ 50,884.90
A ccou n ts R eceiva ble............................... .....................................................................................
6,423.90
R eal E state Owned (other than o ffice bu ild in g s)...........................................................
631.73
Other R esources-....................................................... .................................................................... 3,707.35
T ota l.................. „............................................................................ „...$2,066,996,62
L IA B IL IT IE S
Capital Stock.....................................^_________________ _______ __________________________ $329,000.00
Surplus ................................................................... .................................................. ...................... 59,752.95
U ndivided P ro fits..... ............... ......................... .............................. .........,........... ............... ..... 138,156.81
Investm ent C ontract C ertificates—F u lly Paid & M atured.......................................... 853,131.94
Investm ent C ontract C ertificates—Installm ent..... ................................. ......................... 298,521.24
Investm ent C ontract C ertificates—D eferred ..... ...................... ....................................... 8,677.05
B ills P a y a b le..... ......................... ...................... ................................... ................. ................. ..... 233,361.35
R eserves fo r T axes and Interest......................................... ...................... ......................... 18,996.80
R eserve fo r B ad D ebts and Contingencies......................................... ..............._...t............ 51,476.10
Other R eserves... .............. ............................................................ ............... .... ........................... 14,327.19
U nearned Incom e_____ ,............................................................................................................... 48,505.52
A ccou n ts P a y a b le........................................ ........... .................................. .................................... 12,231.84
Other L iabilities.......... ............................................................... ..................................................
854.83
T o ta l............................ ....................................... ...................... ..... $2,066,996.62

C O M P A R A T IV E STATEM EN T OF TO TAL RESOURCES
D ate
June
June
June

N um ber o f C om panies
29, 1935
30, 1937
30, 1939

T otal R esou rces

3
5
9

$1,041,446.96
$1,343,090.09
$2,066,996.62

C E R TIFIC A TE S OF A P P R O V A L G RAN TED TO IN STALLM EN T
INVESTM ENT COM PANIES
June 30, 1937 to June 30, 1939
D om estic Installm ent

Investm ent C om panies

The P rovid en t C om pan y
The C om m onw ealth C om pany
N orth P latte L oan and F inan ce C om pan y
F inan ce & Savings C orporation
F oreig n

Installm ent

(C ertifica tes o f A p p ro v a l to F oreig n

H astings, N ebraska
Lincoln, N ebraska
N orth P latte, N ebraska
Om aha, N ebraska

Investm ent

Ja n u a ry 31st o f each year.)
The F inan cial Security
Investors S yndicate

Fund,

C om panies

Installm ent Investm ent Com panies R enew able
T otal R esou rces

Inc.,

Denver, C olorado
M inneapolis, M innesota

June 30, 1939
$
756,799.28
$144,063,599.38

C E R T IF IC A T E S OF A P P R O V A L TO FO REIG N IN STALLM EN T
INVESTM EN T COM PANIES NOT R E N E W E D
United E ndow m ent F oun dation Inc., N ew Y o rk C ity


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

N ot R enew ed

J a n u a ry 1, 1939

D E PA R TM E N T OF BANKING

143

F R E M O N T S E C U R IT IE S C O M P A N Y
F rem on t, N ebraska
O r g a n iz e d J u n e 2 4 , 1 9 3 6
O F F IC E R S
D.
T.
G.

D. R o w e — .............................. — P resident
L. M athew s—.................V ice-President
A. Olm sted__________________ S ecretary

F. M.
G. A.

B utts................ .......................T reasurer
P esta l........................................M anager

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
Cash on H and and D ue from B an ks______ ___________________ .'.___________ __ _____ $ 9,964.01
L oan s—C o-M aker—D irect (n e t).......... ...................................................................................... 49,118.49
L oans—C ollateral—D iscoun t (n e t)............. ....................._........................ ...................... ...... 42,498.79
A ccou n ts R e ce iva b le... ........... ................................................... .................................. ..... .......
58l!96
T ota l------------------------------------------------------------------- — 1 _____ 102,166.25
L IA B IL IT IE S
Capital S tock (C om m on................................................................................................
$ 35,000.00
U ndivided P ro fits ... .......................................... ........................................................ ............ _ /
’406.10
Paid Up Investm ent C ontract C ertificates................................................... Z Z "
.... 52,530 00
B ills P a y a b le..... .................... — ...........................................!.......................................................
2,000 00
R eserve fo r Taxes........................._........... ..................................................................................
235*27
R eserves Due Dealers..................................... .......................................................... .............. 1 725 .30
R eserve fo r B ad D ebts... ........... .............. ........................................ ...........................Z Z Z Z
2,’203!oo
U nearned Interest and B rok era ge............. ...................................................................
" 4*944'40
A ccou n ts P a y a b le ... .................... ........................ .............. .......................................... ..... 3’,i22J8
T o ta l............................................................................ .......... .............. 102,166.25

FREM O N T STATE COM PANY
Frem ont, Nebraska
Organized June 1, 1928
O F F IC E R S
W m . M. M itten.............................. President
R. A. Johnston,..Vice-President & M anager
H.
N. K o y e n _____________A ss’ t. M anager

J. M. Sorensen.............S ecretary-T rea su rer
A. C. Sidner
................................. A ttorn ey

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
Cash on H and and Due from B an ks______________________________________ _______ $ 6,208.24
L oan s—C o-M aker (n e t).................................. .......... ........... ............. ...................................... .. 71*601.40
L oan s—C ollateral
(n e t).................................. ........................................................................ . 122,900.06
T ota l............................................................... ...................... .............$200,709.70
L IA B IL IT IE S
C apital Stock (C o m m o n )___________________________ ______ _______ __________________
U ndivided P ro fits... ............................................................... .... ........................ ............... ........~
Investm ent C ontract C ertificates, F u ll P a id ............................................ .......................
Investm ent C ontract C ertificates, Installm ent_________ _________................................
R eserv e fo r B ad D ebts_________________________ ____ ________ _____________ _________
R eserve fo r Interest, Taxes, etc...... ........... ............................ ..... .......................................
Unearned Interest____________________________________ ______ _..._________ ;____________
D u e Insurance C om panies___________________________________ ______________________
Due D ealers ________________________________________________________________________


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

51,800.00
9’52.124
99|340J0
8,394.77
10,611.77
3|183.72
10,804.09
2’648.52
4’4on 59

T ota l---- -------------------------------------------------------------------------------- $200,709.70

144

D E PA R TM E N T OF BANKING
TH E PR O V ID E N T COM PANY
H astings, Nebraska
Organized July 1, 1937
O F F IC E R S

D. W . Clarke.................................... P resident
Chas. M ousel................... 1st V ice-P resid en t
Chas. A n d erson .............. 2nd V ice-P resid en t

Dr. E. J. L a tta ________ 3rd V ice-P resid en t
H. O. Joh nson_________4th V ice-P resid en t
Geo. J. A d am s_______ S ecretary -T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES
Cash on H and and Due from B an ks................................................ ............... .....................$
L oans—C o-M aker _______ __ _______ ____________________________________ 17,600.50
L ess P ay m en ts on H yp oth eca ted C ertificates............... .... ................ .-.__ 5,491.36
L oans—C ollateral
............. ....... ........._...
........................ ........................ .... 74,875.72
L ess P aym en ts on H yp oth eca ted C ertificates....................................... 23,995.66
F irst R eal E state M ortgage L oa n s-------------------------------- ----- ---------- ------------------------F urniture, F ixtu re s and E qu ipm ent_______________ ____________ __________________
Suspense A cco u n t_______________________________ _______________________ _____________

3,384.90
12,109.14
50,880.06
1,826.00
564.25
82.56

T ota l............................. .......... ........................ .... .............. ....... .......... $ 68,846.91
L IA B I L I T I E S

C apital Stock (C o m m o n )______________________________ _________________________ _____$
Surplus ................................................................................. ............... .................................. ......
U ndivided P ro fits........................ ..... ....................... ............................ ............... ........... ............
Investm ent C ontract C ertificates, F u lly P a id ................................................... .................
Investm ent C ontract C ertificates, Installm ent............................ .................... ........... ....
B ills P a y a b le________________________ ________________________________________________
Other L iabilities................................................... ............. ........... ............... .... ..................... _....

24,300.00
625.00
1,729.17
11,325.00
660.86
30,000.00
206.88

T ota l..................................... .............................................................. $ 68,846.91

TH E CO M M O N W EALTH COM PANY
L in c o ln , N e b ra sk a
O r g a n iz e d M a y 5, 1 9 3 8
O F F IC E R S
C. H. B ick el......................................P residen t
H erbert M cCulla.................... V ice-P resid en t
L. J. M arti........ ......................V ice-P resid en t
F IN A N C IA L

M. O. B ickel____ __ _______________S ecretary
L. A. B rig g s......... ................. .......... T reasurer

S T A T E M E N T JU N E 30, 1939
RESOU RCES

Cash on H and and Due fro m B an ks.................. ................... ................ ............................. $
L oans—C o-m aker ...................................- ...............................................................$21,773.30
L ess P aym en ts on H yp oth ecated C ertificates_________
6,086.43
L oan s—C ollateral ............... ......................................................................... .......... 4,046.73
L ess P aym en ts on H y p oth eca ted C ertificates........................
850.38
Chattel and R eal E state M ortgage L oa n s____________________ ___ __ __ 27,962.34
L ess R ep aym en ts.......................................................
4,911.94
F irst M ortgage R eal E state L oa n s__________________ __________________ ___________
O ffice B uilding............................................................... ........ .......... .................... ........................
F urniture, F ixtu res and E quipm ent............................................ ......... ...... .......................
Insurance A ccou n ts R e ce iva b le ____ _________________________ _____ _______________
Insurance A g e n cy R ig h ts................................................................ .........................................
T o ta l..........................................................................

8,731.73
15,686.87
3,196.35
23,050.40
4,650.00
50,884.90
3,320.92
2,739.23
500.00

$112,760.40

L IA B IL IT IE S
Capital S tock (C om m on)...................... ......................................................................................$ 31,500.00
Surplus — .... ........... ............................................ .... ................................................ ....................... 2,994.04
U ndivided P rofits._________________
762.14
Investm ent C ontract C ertificates, F u lly Paid..—......................................................... ....... 19,646.85
Investm ent C ontract C ertificates, Installm ent............... ........... ...................................... 12,435.31
B ills P a y a b le _____ _____________________________________________________________ ‘_____ 38,500.00
R eserve fo r T a x es............................ ................... ................._............................................... .......
1,226.37
R eserve fo r Interest___ ______ _______________ ____________ ______ ________ _____________ 281.25
R eserve fo r D epreciation, B uilding & F ixtures..........................................
3,617.87
R eserve fo r C o n tin g e n cie s-________________ __________ ___ _________ ________________
143.15
Insurance A ccou n ts P a y a b le__________________________
1,653.42


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Total.

.$112,760.40

D E P A R T M E N T O F B A N K IN G

145

IN STALLM EN T SAYINGS CO RPO RATIO N
L incoln, Nebraska
Organized F ebru ary 18, 1937
OFFICERS
John F . Zim m er_________________ P resident
G eorge E a sle y _____________ V ice-P resid en t
W . R . M o w b ra y __________ V ice-P resid en t

Dr. D. J. B ow m an
.......... V ice-P resid en t
R . J. E asley __________S ecretary-T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES
Cash on H and and D ue from B an ks... .............. ..... .... ........................ ................. ............$ 3,173.50
L oa n s—C o-m aker .....................- ............................................. ......... ............... $20,909.87
L ess P ay m en ts on H yp oth eca ted C ertificates_____ ____ ___ _________ 9,149.64
11,760.23
L oan s—C ollateral _________________________ ____________ __ _____ ________ 45,724.98
34,743.92
L ess P ay m en ts on H y p oth eca ted C ertificates_______________________ 10,981.06
Furniture, F ixtu res and Equipm ent..... ................... ............... ...........................................
1,051.73
T ota l_____________ ________________ __ __ _____________________ $ 50,729.38
L IA B IL IT IE S
C apital S tock (C om m on )_______________________________________________$13,200.00
C apital S tock (P r e fe r re d )______________________________________________ 1,000.00
14,200.00
Surplus -------- ------ --------------------------------------------- -------------------------------- ------------------------- 3,300.00
Undivided P ro fits (U nearned Interest In clu d e d )___ __ _____ ___ ________________
4,322.55
Investm ent C ontract C ertificates, F u lly Paid____________________________________
9,200.00
Investm ent C ontract C ertificates, Installm ent________________________ ____________ 8,520.48
B ills P a y a b le...................*._______________________________ __ __ __ ______ _______ ________ 11,186.35
T ota l_______________ _____________________________________ ___ _.$ 50,729.38

STATE SECU RITIES COM PANY
Lin coln, Nebraska
O rganized A pril 2, 1927
O F F IC E R S
F. E. C ard----------------------------------P resident
W . S. A dam s....V ice-P resident & Secretary
F red W . M orga n ----- Junior V ice-P resid en t

A lfred H. A d am s__Ju nior V ice-P resid en t
V illette L arsen__________________
Cashier
Claude S. W ilson ___________________ C ounsel

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
Cash on H and and D ue fr o m B an ks_________________________ ______ _____ ___ ____$ 19,008.61
L oans—C o-m aker ---------------------------------------------------------------------------------- $443,777.68
L oans—C hattel & R ea l E state M ortg ag e____________________________ 629,460.13
L oans—C ollateral ..................................................................
352,539.61
$1,425,777.42
L ess P aym en ts on H yp oth ecated C ertificates_____ ______ ___________ 517,553.38
908,224.04
B ond s and Securities_________________________________________________________ ___ __
834.92
Furniture, F ixtu res and Equipm ent_______________________________________________
481.61
A ccou n ts R e ce iva b le............................ .... ......................................... ............... ...........................
923.56
T ota l------------------------------------------------------------------------------------- $929,472.74
L IA B IL IT IE S
C apital Stock (C o m m o n )______________________________ *____________
$ 50 000 09
Surplus ------------------- ------ — ....................................................... ........................ ..... ....... .......... 25^000.00
U ndivided P ro fits__________
100,010.00
Investm ent C ontract C ertificates, F u lly P aid & M atured___________ ________ L . 537|058ji9
Investm ent C ontract C ertificates, Installm ent.......... ..................
163,805.56
R eserve fo r C ontingencies__________________________________________________________ 25,000.00
R eserve fo r T a x es________________________________________________________
7’ 052.03
R eserve fo r U nearned Interest_____________________________________________________ l l ’,269.-41
R eserve fo r D ividends.____________________________________________________________”
l ’ oooioo
D eferred C ertificates______ _____________________________________
8,677.05


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Total..---------------------- ---------- -------------------------------------- -------------$929,472.74

146

D E PA R TM E N T OF BANKING
NORTH P L A T T E LOAN AND FINANCE COM PANY
North Platte, Nebraska
Organized May 10, 1930
A uthorized to operate as an “ Installm ent Investm ent Com pany”
A ugust 17, 1937
O F F IC E R S

G. H.
H. L.

L ark in ........ ........................... P residen t
Clarke J r......... ..... „..V ice-P resid en t

R.

L. P ound.—............. S ecretary-T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES
Cash on H and and Due from B an ks..... ...........
L oans—C hattel M ortgage & C ollateral (net)
R eal E state Owned.............................................
P rep aid D iscoun t..... .................................................
F urniture, F ixtu res and Equipm ent_________
A ccou n ts R eceiva ble___________________________
R epossessed A u tos and E quipm ent__________
Insurance A g e n cy accoun t......................... .......... .
Total

; 3,422.89
152,294.39
631.73
459.08
613.02
1,669.36
1,182.07
180.00
.$160,452.54

L IA B IL IT IE S
Capital S tock (P r e fe r re d )........... ..........................................................................$ 3,800.00
Capital S tock (C o m m o n )................................................... ................................ 43,400.00
$
Surplus ... ............................................... .................................................... ............ ........................
U ndivided P ro fits..................................... ............................................ ...................... ...............
Investm ent C ontract C ertificates, F u lly P a id ... .............................................................
Investm ent C ontract C ertificates, Installm ent................................................ ...............
B ills P a y a b le.............................,............................_........... ......................... .....................................
R eserve fo r Credit Losses..... ...................................................................... ..........................
R eserve fo r C ontracts P u rch ased ____ _____________________________ .._______________
R eserve fo r T axes and Interest____ _______ __ ______ _______________ ______ _______ __
D eferred In com e__________________________________,.............. ....................... ............ .......... .
Suspense A cco u n t............................................. ..._......................................... ............................
Total

47.200.00
2,833.91
2,012.67
1,600.00
3,896.61
86.675.00
3,215.80
3,856.65
749.17
8,397.39
15.34

.$160,452.54

FINANCE & SAVINGS CO R PO R A TIO N
Omaha, Nebraska
Organized June 5, 1938
O F F IC E R S
R. H. T hu rston................................ P resident
Chas. N. Cadwallader....lst V ice-P resid en t
Claude S. W ilson _______2nd V ice-P resid en t

L. E. C adw allader.
S ecretary -T rea su rer
Beth Q. M cK in ley ....... _........................C ashier

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES
Cash on H and and D ue from Banks.
L oans—C o-m aker (n e t)--____ __________
L oans—C ollateral (n e t)... ...........................
F irst M ortgage R eal E state L oa n s.......
F urniture, F ixtu res and E qu ipm ent...
P repaid E xpen ses...........................................
N otes R eceiva ble—U nsecured....................
A ccou n ts R eceiva ble..... ...................... ____

$ 3,016.85
28,697.44
108,378.97
4,379.50
1,711.71
1,303.64
279.13
232.66

T ota l......................................................... :..... ..... ......................... .......$147,999.90
L IA B IL IT IE S
C apital Stock (C o m m o n ).................................... ........... ............... .......................................... $
U ndivided P ro fits (U nearned Interest and D iscoun t In clu d ed )............................
Investm ent C ontract C ertificates, F u lly P a id .................. ........................ ....................
Investm ent C ontract C ertificates, Installment....__________________________________
B ills P a y a b le — ................................................................................................................................
R eserve fo r B ad D ebts..... ............... .............................................. ...... ........ ..........................
R eserve fo r D epreciation, F urniture, F ixtu res & E quipm ent....................................
R eserve-O ther ..... ............................................................................... ................................ ;......
A ccru ed E xpen ses........ ............... ................................................................................................
D ealers R eserves____________________________ ______________ — __ _____________________
A ccou n ts P a y a b le ____________________________________________ _______ __________________


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

50,000.00
11,356.4'8
9,500.00
8,929.19
65,000.00
1,891.22
221.27
13.00
632.61
50.00
406.13

To talv—-------------------------- —................................. ........... ........... .......$147,999.90

D E PA R TM E N T OF BANKING

147

N E B R A SK A SECU RITIES COM PANY
S cottsb lu ff, Nebraska
Organized A pril 6, 1929
A u th orized to operate as an “ Installm ent Investm ent C om pan y”
D ecem ber 17, 1934
F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
Cash on H and and Due from B anks_______________.«,.................................. ................ $ 9,419.67
L oans—C o-m aker (n e t)....................... .............. ......................................................................... 91,620.32
L oans—C ollateral (n e t)............................................................................... ,_________ ______ 289,768.95
F irst R eal E state M ortgage L oans.—........................................ ........................................... 3,110.00
B onds and Securities............ .............. ................................................................................ .'___ 2,240.00
Furniture, F ixtu res and E quipm ent............... ............ _..................... ........................ ........ 2,090.50
T o ta l............................................................................. .... .................... $398,249.44
L IA B IL IT IE S
C apital S tock (C o m m o n )........ ......................._....................... ............................................. ....$ 25,000.00
Surplus .....................................................
25,000.00
U ndivided P ro fits____________________ _______ __________ ____ _____________ _____ _____
8,032.46
Investm ent C ontract C ertificates, F u lly P aid and M atured..... ................................. 112,334.40
Investm ent C ontract C ertificates, Installm ent___ ____________
91,878.46
H y p oth eca ted Savings P ledged on L oa n s____________________ ___________ _________ 104,390.64
R eserve fo r Interest and T axes................... ......................................... ................................. 2,493.12
R eserve fo r F ederal Incom e T ax.______________________ ___________ _______________
3,775.87
R eserve fo r D ep reciation......................................... ................... .......................................... ....
627.30
11,626.96
R eserve fo r C ontingencies______________
R eserve fo r U nearned In com e................................................... ............... .............................. 13,090.23


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

To tal.— .....--------------------------------- ----------------------- ---- --------- ------$398,249.44


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

149

STATEMENTS
Showing the condition of the 159 Co-operative Credit
Associations in the State of Nebraska at the close
of business, June 30, 1939.

F or the purpose o f analysis the statem ents o f the co-operative credit
associations have been divided into tw o general groups.
The first group
term ed “ A ssociation al and O ccupational” associations includes statem ents
from those associations w here m em bership is lim ited to the em ployees o f
a particu lar industrial plant, store, etc., or lim ited to the m em bers o f a
particular religious, fraternal or occu pation al organization.
The second
group term ed “ R esid en tia l” associations includes statem ents from those
associations organized in tow ns w here m em bership is offe re d to residents
o f the particular tow n and to persons living in the im m ediate locality.


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Federal Reserve Bank of St. Louis

150

D E PA R TM E N T OF BANKING
STATEM EN T OF CONDITION OF C O -O P E R A T IV E C R E D IT
ASSOCIATIONS IN N E B R A SK A JUNE 30, 1939
A ssociation al
and
O ccupational
A ssociation s

N um ber

of

A ssociation s

R ep ortin g ______

68

R esidential
A ssociation s

T otal

91

159

ASSETS
L oans to M em bers.................................... ....... ....$ 973,729.45
B onds & Other A p prov ed Investm ents___
78,783.11
Cash on H and and In B an ks...................... .... 121,941.27
709.89
O ffice B uildings, F urniture & Fixtures....
D eficits in E arnin gs Ja n u a ry 1, 1939____
N one
425.12
Interest E arned but U ncollected ..................
6,602,43*
Other A ssets...........................................................
T ota l___________ ____________

....$1,182,191.27

$ 485,103.11
121,487.48
819,619.64
28,995.20
605.76
430.83
3,392.50

$1,458,832.56
200,270.59
941,560.91
29,705.09
605.76
855.95
9,944.93

$1,459,634.52

$2,641,825.79

nterest paid on deposits a fter June 30, 1939
L IA B IL IT IE S
Shares o f M embers............................................. ....$ 538,646.30
Deposits o f M em bers................ ..................... .... .... 512,329.74
G u aranty or R eserve F und............................ ....
43,144.66
31,027.21
U ndivided P ro fits..... ........................ ..................
26,526.82
Current E arn in gs (P eriod 1-1-39 to (5-30-39).
Interest C ollected but N ot E arn ed _________
27,584.49
N otes P a y a b le ... ............................................... .......
1,500.00
1,432.02
Other L iabilities................ ...................................

$ 205,247.35
1,226,764.26
8,383.67
11,399.46
6,270.21
175.05
None
1,394.52

$ 743,893.65
1,739.094.00
51,528.33
42,426.70
32,797.03
27,759.54
1,500.00
2,826.54

....$1,182,191.27

$1,459,634.52

$2,641,825.79

N o t e :—The F iscal Y ear fo r C o-op erative C redit A ssociation s ends D ecem ber 31st.

M ISCELLANEOUS IN FO RM ATIO N FO R THE F ISC A L Y E A R

ENDED

D ECE M B ER 31, 1938
A ssociation al
and
O ccupational
A ssociation s
N um ber o f association s reportin g__________

69

R esidential
A ssociation s

92

N et Increase or D ecrease in N um ber o f
associa tion s during fisca l y e a r____________
2 D ecrease
N one
T ota l A ssets end F isca l y e a r______________$1,076,008.02
$1,376,490.68
Increase o r D ecrease in T ota l A ssets
during fisca l y ea r........ ....................................120,353.83Inc.
94,669.24Dec.
T ota l M em bership end F isca l Y ear................
12,327
9,690
Increase in M em bership during F isca l Year....
289
258
O utstanding L oans B eginnin g F iscal Y e a r
768,233.63
485,217.41
N um ber o f L oa n s M ade during
F iscal
Y ea r 11,295
9,126
A m ou nt o f L oans M ade d uring
F isca l
Y e a r 1,631,478.601,081,580.52
O utstanding L oans end fiscal y e a r...... ......... 878,905.72
474.051.44
Incom e fo r F iscal Y ear... ..................................
77,577.71
126.479.45
E xpenses fo r F iscal Y ea r............................ .......
22,091.07
111,745.04
Net Incom e fo r F iscal Y ear............................
55,186.67
14,734.41
D ividends Paid M em bers during F iscal year 16,636.02
1,717.59
Int. on D eposits P aid during F iscal Year....
17,336.51
2,067.27
A dditions to G u aran ty F und (R eserve F un d)
6,655.53
1,956.40
3,221.17
N et A dditions to U ndivided P ro fits A c c t ____
6,574.47
L osses C harged O ff during F isca l Y ear.____
795.83
1,474.53


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T otal

161
2 D ecrease
$2,452,498.70
25,684.59Ine.
22,017
547
1,253,452.04
20,421
2,713,059.12
1,352,957.16
204,057.19
133,836.11
70,221.08
18,353.61
19,403.78
8,611.93
9,795.6-1
2,270.36

D E PA R TM E N T OF BANKING

151

CO M PA R A TIV E STATEM EN T OF ASSO CIATIO N AL AND OCCUPATIONAL
C O -O PE R A TIV E CR ED IT ASSOCIATIONS
June 30, 1037
(72 A ssn ’ s)

Dec. 31, 1937
(71 A ssn ’ s)

Dec. 31, 1939
(«9 A ssn ’ s)

June 30, 1939
(68 A ssn ’s)

$768,233.63
66,502.86
117,690.37
473.60
117.24
2,636.49

$878,905.72
75,034.45
118,313.02
295.70
None
3,459.13

$973,729.45
78,783.11
121,941.27
709.89
N one
7,027.55

.$888,159.74

$955,654.19

$1,076,008.02

$1,182,191.27

Shares o f M em bers... ......................... $441,969.90
D eposits o f M em bers...................... 355,681.17
G u aranty o r R eserve F u n d________ 28,256.78
U ndivided P ro fits __________________ 21,659.53
Current E arn in gs........... ................... 26,601.32
Other L iabilities_____ __
14,091.04

$471,748.88
393,849.01
36,119.50
28,618.84

$507,390.55
462,901.09
42,775.03
35,193.31

25,317.96

27,748.04

$538,646.30
512,329.74
43,144.66
31,027.24
26,526.82
30,516.51

Total..... ................... .............$888,159.74

$955,654.19

$1,076,008X2

$1,182,191.27

T otal M em bership_________ _________________
T ota l N um ber O utstanding L oan s________
A v e ra g e am ount o f each loan outstanding.

....... 12,038
...... 7,337
___$105.00

12,327
7,293
$120.00

12,776
7,708
$126.00

ASSETS
L oan s to M em bers__ ______
$729,844.42
B onds & O ther Investm ents......... 59,640.51
Cash on H and & In B an ks_____ 95,350.02
F urniture & F ixtu re s_________
235.75
D eficits in Earning's______________
381.30
Other A ssets................
2,707.74
Total.

L IA B I L I T IE S

Incom e fo r p eriod Ja n u a ry 1, 1939 to June 30, 1939.__
E xpenses and Interest P aid on D eposits fo r p eriod ....

.$40,645.31
. 14,118.49

N et E arn in gs fo r period

.$26,526.82

ASSOCIATIONS ORGANIZED OR DISCONTINUED DURING BIENNIUM
July 1, 1937 to June 30, 1939
C ertificates o f A p p rov a l to organize issued to the fo llow in g
association s during the Biennium ending June 30, 1939;
No.
No.
No.
No.
No.
No.
No.

co-op era tiv e

credit

221 St. P a trick ’s P arish o f Om aha Co-op. Cr. A ss’n. O m aha
7-29-37
222 Gate C ity Iron C o-operative Credit A s s ’n _____ Om aha
'"l-21-38
223 T ra n sp orta tion C lub C o-op. C redit A ss’ n...._ .O m aha ........ .....
3. 9.33
226 The F o u r “ C” Club C o-op. C redit A ssociation....O m aha
6- 6-38
9-30-38
227 Y o rk C oun ty F arm ers U nion C o-op. Cr. A ss’n... Y ork .................. ......
229 F .S .A . E m p loyees C o-op. C redit A ssociation ......L incoln .......... ...L ....Z.
2- 7-39
231 T he C ircle Pines C o-op. C redit A ssociation ___ L incoln
_ ........6-30-39
T ota l num ber o f association s organized d uring B iennium
...............

A ssocia tion s discontinued d uring the Biennium

7

ending June 30, 1939 ;

No.
1 P ion eer C o-op erative Credit A ssociation..
No. 32 F irem ens C o-op erative C redit A ss’n___________ L incoln
V o l Lio
L incoln
V o l' L i n
No. 30 G ooch C o-operative C redit A ssociation ....
No. 198 M anu facturers & W holesalers C o-op. Cr.A ss’n.. L incoln .........I”....I......!vol. Liq.
No. 154 Sim on C o-op erative Credit A ssocia tion ................L incoln
.....~...........V ol Lia
No. 53 B ell F arm ers U nion C o-op, C redit A ssociation. N ew m an G rove ..... V ol L i o '
,No.
T Jo ^ o o se -W U e s E m ployees C o-op. Credit A s s ’n ...... Om aha .................. Z '.'.V o l' Liq
No.
A ssociation.. O^m
—aha
’- - _________
—
■
--------- -----------------------V ol- -Lio
, T 213
... Y
_ ellow Cab C o-op
- erative Credit
No. 31 W o rm s F arm ers U nion C o-op C redit A ss’ n...... St. L ibory..
V o l Lin
T ota l num ber o f association s liquidated during B iennium .........................'
'
A ssociation s
discontinued
during
Bien nium b y
A p p rov al due to failu re to p erfect o r g a n iz a tio n s;

can cellation

of

C ertificates

of

o m a tn
N o. 217 G eneral O utdoor A d vertisin g C o-op. Cr. A ss’n ............... ..............
N o. 221 St. P a trick ’s P arish o f O m aha C o-op Cr. A s s ’n...........................
Omaha
T otal num ber o f associa tion s discontinued b y cancellation o f C ertificates
o f A p proval during B iennium .................... .....................
T otal num ber o f A ssociation al and O ccupational association s June 30 1939
T ota l num ber o f A ssociation s reportin g assets June 30, 1939__________ 1

---- 68

T he C ircle P in es C o-op erative C redit A ssociation o f L incoln fo r w hch Cer­
tificate o f A p p ro v a l w a s issued 6-30-39 did not open up fo r business until after the
close o f the B iennium so reported n o assets 6-30-39.
N o te : Since June 30, 1939 C ertificates o f A p p rov a l have been issued to the follow in g
C o-op erative credit a ss o cia tio n s;
s
C oryell E m p loyees’ C o-op erative Credit A ssociation....
N ebraska State E m p loy ees’ C o-op erative C redit A ssociation.


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Federal Reserve Bank of St. Louis

.....L in coln
— L incoln

D E PA R TM E N T OF BANKING

152

BO X BU TTE F A R M E R S UNION C O -O P E R A T IV E C R ED IT ASSOCIATION
A llian ce, Nebraska
Date A ssociation opened fo r business D ecem ber 19 31
O F F IC E R S
D.
J. Foley...... .................................P resident
A nton S tenberg...................... V ice-P resid en t

F ra n k G. R o w le y ------- -----------------Secretary
F ra n k G. R o w le y ......... .........- .........T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans to M em bers..........................$ 1,102.00
Cash on H and and In Banks.......
532.77
Other R esou rces........ - .......................
8.46

Shares o f M em bers-----------------------$
D eposits o f M em bers--------------------G u aran ty or R eserve F un d ---------Current E a r n in g s :
Incom e since Jan. 1,
1939 __________________$ 37.14
L ess E xpen ses since
Jan. 1, 1939__________
4.99

537.75
980.80
92.53

32.15

.$ 1,643.23

T ota l_________________ ____$ 1,643.23

T otal N um ber o f M em bers June 30, 1939..51

T ota l N um ber o f L oan s June 30, 1939...... 18

Total.

GOLDEN W E S T C O -O PE R A TIV E C R ED IT ASSOCIATION
B eatrice, Nebraska
Date A ssociation opened fo r businses July 19 3 6
O F F IC E R S
H. O. F u lb rook ................................ P residen t
L. R . Sanford.—......................V ice-P resid en t

G.
G.

E.
E.

R od erick ............... - ........... „..S ecretary
R od erick ................................ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oans to M em bers..... .......................$
Cash on H and and In B an ks.........

143.50
33.14

T ota l.......................................$

176.64

T otal N um ber o f M em bers June 30, 1939..25

144.75
Shares o f M em bers............... - .........$
D eposits o f M em bers-------- ---11.50
G u aran ty or R eserve F u n d ------5.70
U ndivided P ro fits-----------------------------6.44
Current E a r n in g s :
Incom e since Jan. 1,
3.00
1939 _________________$
L ess E xpen ses since
Jan. 1, 1939..................„..N one
3.00
Other L iabilities.................. — ..........
5.25
Total.....____ ______________.$

176.64

T otal N um ber o f L oans June 30, 1939----- 7

FAIR M O N T C R E T E EM PLO YE ES C O -O PE R A TIV E CR ED IT ASSOCIATION
Crete, Nebraska
Date A ssociation opened for business May, 1937
O F F IC E R S
Chas. Schow ......................... ..............Presiden t
A. S. H a rris .............. ..........V ice-P resid en t

L ee A lb in ...............................................Secretary
J. J. P ru ch a ....................................... T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S
L oan s to M em bers-------------------Cash on H and and In Banks..

1,556.32
339.73

T ota l___________________ 1,896.05
T otal N um ber o f M em bers June 30, 1939..78


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Federal Reserve Bank of St. Louis

Shares of M em bers........ ................ $ 1,720.74
D eposits o f M em bers------------------2.91
G u aranty or R eserve Fund------46.97
U ndivided P ro fits _____________ -—
64.00
Current E arn in gs :
Incom e since Jan. 1,
1939 ..... ..........................$ 54.45
L ess E xpen ses since
Jan. 1, 1939.................
7.56
46.89
Other L iabilities----------------------T ota l............... ................... ....? 1,896.05
T otal N um ber o f L oan s June 30, 1939......32

14.54

153

D E PA R TM E N T OF BANKING
JE FFE R S O N COUNTY FA R M E R S UNION C O -O PE R A TIV E
ASSOCIATION
F airbury, Nebraska
Date A ssociation opened for business May 1933

C R E D IT

O F F IC E R S
W m . H en ry.................................. ....... President
W ill M. T urner.................. ....V ice-P resid en t

Ivan Regnier.. --------------------------- S ecretary
Ivan R eg n ier........................................T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans to M em bers.................. .......... $ 2,098.56
175.35
Cash on H and and In B an ks-----

Shares o f M em bers..................... — $
654.33
1,385.81
D eposits o f M em bers____________
151.32
G u aranty or R eserve F u n d ..-....
U ndivided P ro fits__ ...______ __
34.21
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................ $ 58.14
L ess E xpenses since
Jan. 1, 1939............... .
9.00
48.24

Total........................................$ 2,273.91

T ota l............. ........................ $ 2,273.91

T ota l N um ber o f M em bers June 30, 1939..50

T otal N um ber o f L oan s June 30, 1939.---- 18

THE EAGLE CO -O PE R A TIV E CR ED IT ASSOCIATION
Grand Island, Nebraska
Date A ssociation opened fo r business July 1931
O F F IC E R S
Thos. A. D illon___________ ______ P resident
W illia m G lass........................ .V ice-P residen t

D. J. B razelton .......................... Secretary
D. J. B razelton................................. T reasu rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s to M em bers.................. .......... $ 2,025.05
Cash on H and and In B an ks----707.32

Shares o f M em bers..........................$
647.60
Deposits o f M em bers........................ 1,996.32
G uaranty or R eserve F un d .............
119.13
Current E arnin gs :
Incom e since Jan. 1,
1939 ................................$ 11.42
Less E xpen ses since
Jan. 1, 1939.______ __
62.56
—51.14
Interest C ollected but N ot
E arned (if a n y ).................-...........
20.46

T ota l______ __ ____________ $ 2,732.37

T ota l________ _____________ $ 2,732.37

T otal N um ber o f M em bers June 30, 1939.. 44

T otal N um ber o f L oan s June 30, 1939----- 19

FAIRM O N T EM PLO YE ES C O -O P E R A T IV E C R ED IT ASSOCIATION
Grand Island, Nebraska
Date A ssociation opened fo r business F ebru ary 1935
O F F IC E R S
Theo. P. Steinkam p ....................P residen t
S. H ale R asey........... .............V ice-P resid en t

H en ry L iebsack J r ................. .......... S ecretary
H en ry L iebsack J r......................... T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers________________ $ 3,347.75
Cash on H and and In B an ks----711.67

Shares o f M em bers............... ........... $ 3,288.29
D eposits o f M em bers__ ___________
215.00
G u aranty o r R eserve Fund.— ........
180.22
U ndivided P ro fits ____________
121.36
Current E arn in gs :
Incom e since Jan. 1,
1939 __________________$ 140.69
L ess E xpen ses since
Jan. 1, 1939— __ ____
22.19
118.50
Interest C ollected but N ot
E arned (if a n y )______ ___ ______
136.05

T ota l—

___________ ___ .....$ 4,059.42

T ota l_____________________ $ 4,059.42

T otal N um ber o f M em bers June 30, 1939..98

T ota l N um ber o f L oa n s June 30, 1939— 50


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Federal Reserve Bank of St. Louis

D E PAR TM E N T OF BANKING

154
H ARM O NY

FARM ERS

UNION CO -O PE R A TIV E C R E D IT ASSOCIATION
Grand Island, Nebraska
Date A ssociation opened for business January 19 33
O F F IC E R S

Chris Sass-----F red J. H agge.

.
P residen t
.V ice-P residen t

D etlef O. Stelk-................— .........— Secretary
D a tle f O. Stelk..... ............... - .........T reasu rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans to M em bers------------------------$ 1,181.74
B onds and Other A p proved
Investm ents ----------- ----------- ------—
7.22
Cash on H and and In B an ks.......
144.36

Shares o f M em bers......................... $
D eposits o f M em bers......................
G u aranty or R eserve F un d ........
U ndivided P ro fits............. ..................
Current E arnin gs :
Incom e since Jan. 1,
1939 .................................$ 34.17
L ess E xpen ses since
21.44
Jan. 1, 1939_________

565.00
670.01
48.72
36.86

12.73

T ota l__________ ___ - ............$ 1,333.32

T ota l........................................$ 1,333.32

T ota l N um ber o f M em bers June 30, 1939..60

T otal N um ber o f L oan s June 30, 1939...... 19

SW IF T HASTINGS EM PLO YE ES C O -O PE R A TIV E ASSOCIATION
H astings, Nebraska
Date A ssociation opened fo r business O ctober 1936
O F F IC E R S
L. E. G oodsell___________ _______ .President
A m elia Juggert.................... ....V ice-P resid en t

C. A. G alley....................................— Secretary
A . A. W illiam s. — ............... ....... T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans to M em bers------------------------ $
Cash on H and and In B anks.........

536.00
114.22

Shares o f M em bers............. ............... $
U ndivided P ro fits— .............. ...........
Current E a r n in g s :
In com e since Jan. 1,
1939 ................................ $ 31.64
L ess E xpen ses since
Jan. 1, 1939_________
13.12

602.92
28.78

.$

650.22

T ota l.......... ...................... ......$

650.22

Total.

T ota l N um ber o f M em bers June 30, 1939..38

18.52

T ota l N um ber o f L oan s June 30, 1939-----17

H A Y M O W FA R M E R S UNION CO -O PE R A TIV E C R E D IT ASSOCIATION
H ow ells, Nebraska
Date A ssociation opened fo r business O ctober 1931
O F F IC E R S
F red H eller.................. ................. ....... P resident
C arl M aas_______________ __ .V ice-P residen t

H erm an G oetze.................................. S ecretary
H erm an G oetze---------------------------- T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans to M em bers............................. $
B onds and Other A p proved
Investm ents _________ ___________
Cash on H and and In B an ks-------Interest E arned but U ncollected
(if a n y )---------------------- ----------------

T otal____________ _________$

790.00
65.00
77.62
30.72

963.34

T ota l N um ber o f M em bers June 30, 1939..19


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Shares o f M em bers..........................$
D eposits o f M em bers..... ................
G u aranty or R eserve F un d ----------U ndivided P ro fits............................
C urrent E a r n in g s :
Incom e since Jan. 1,
1939 _________ ____ ____$ 31.81
L ess E xpenses since
Jan. 1, 1939.................
3.60
O ther L iabilities..............................—

290.08
582.09
58.73

T ota l______ ______________ $

963.34

2.86

28.21
1.37

T ota l N um ber o f L oan s June 30, 1939___ 5

D E PAR TM E N T OF BANKING

155

ST. M A R Y ’S CO -O PE R A TIV E CRED IT ASSOCIATION
H um phrey, Nebraska
Date A ssociation opened fo r business June 19 34
O F F IC E R S
Clem C. W e m h o ff........................... President
T'heo. W e m h o ff____________ V ice-P resid en t

H en ry C. V eik __________________ S ecretary
H en ry C. V eik---------------------------- T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES

15.59
.45

Shares o f M em bers— ..................... $
D eposits o f M em bers------------------G uaranty or R eserve F un d -------U ndivided P ro fits_________________
Current E a r n in g s :
Incom e since Jan. 1,
1939 ............................... $ 43.97
L ess E xpenses since
Jan. 1, 1939........ .... ....
47.03

298.05
672.28
6.37
23.28

996.92

T ota l_______________ ______$

996.92

L oan s to M em bers.............................$
Cash on H and and In B an ks......
Interest E arned but U ncollected
(if a n y )— ----------------------------------Other R esou rces.................. ...............

972.00
8,88

T ota l____ ________________ $

T otal N um ber o f M em bers June 30, 1939—16

—3.06

T otal N um ber o f L oan s June 30, 1939-----9

PIO N EE R POSTAL EM PLO YEES C O -O PERA TIVE CR ED IT ASSOCIATION
K earney, Nebraska
Date A ssociation opened fo r business Septem ber 1931
O F F IC E R S
Geo.
E arl

R. B eaver............................ ....P resident
Sm ith................................ V ice-P resid en t

L loyd E. Gill.................... -........... — S ecretary
L lo y d E. Gill------------------------------T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oan s to M em bers....................... — $
B onds and O ther A p proved
Investm ents ___________ _________
Cash on H and and In B an ks-----

832.00
112.50
70.70

Shares o f M em bers--------------------- $
359.05
D eposits o f M em bers------------------427.87
G u aranty or R eserve F u n d ..... ...........
99.31
U ndivided P ro fits___________________
92.19
Current E arnin gs :
Incom e since Jan. 1,
1939 __________________$ 48.44
L ess E xpen ses since
Jan. 1, 1939_________
12.41
36.03
Other L iabilities___________________
.75

T ota l________ _____________$ 1,015.20

T ota l____ ________________ $ 1,015.20

T otal N um ber o f M em bers June 30, 1939..28

T otal N um ber o f L oa n s June 30, 1939----- 16

BURLINGTON EM PLOYEES' C O -O PE R A TIV E C R E D IT ASSOCIATION
Lin coln, Nebraska
Date A ssociation opened fo r business M arch 1935
O F F IC E R S
S. K . K i e r ..... .................................P residen t
J. T. G riffin ................... 1st. V ice-P resid en t
J. L. W a y ______________.2nd. V ice-P resid en t

F.
A.

J. K irk............... ................... - ..... S ecretary
G. E v an s------------------------------ T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oa n s to M em bers........................— $ 33,276.09
Cash on H and and In B an ks___
729.77

Shares o f M em bers----------------------$ 7,154.28
D eposits o f M em bers____________ 25,565.90
G u aranty or R eserve Fund----------447.71
U ndivided P ro fits_________________
156.65
Current E a rn in g s :
Incom e since Jan. 1,
1939 __________________$1,275.70
L ess E xpen ses Since
Jan. 1, 1939______ 594.38
681.32

T otal.__ __________________ $ 34,005.86

T ota l_____________________ $ 34,005.86

T ota l N um ber o f M em bers June 30, 1939..440

T otal N um ber o f L oan s June 30, 1939-----258


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

156

CONOCO E M P L O Y E E ’S C O -O PE R A TIY E C R E D IT ASSOCIATION
L incoln, Nebraska
Date A ssociation opened fo r business A u gust 19 34
O F F IC E R S
P W . B ockoven.......... ..........-........... President
H. C. R en ier.................. ......... .V ice-P residen t

C lara L uhn----R e x A. Smith.

..Secretary
.T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers............................. $ 9,938.78
1,167.11
Cash on H and and In B an ks-----

Shares o f M em bers..........................$ 9,202.73
G u aranty or R eserve F u n d -------426.70
U ndivided P ro fits ..........................—
71.61
C urrent E arn in gs :
Incom e since Jan. 1,
1939 ............... .................$ 426.05
L ess E xpenses since
Jan. 1, 1939..... ........... 116.20
279.85
Interest C ollected but N ot
E arned (if a n y ).............................
125.00
Other L iabilities (B ills P a y a b le)
1,000.00

T o ta l........ - ........- ...................$ 11,105.89

T ota l......... ............. ........... ....$ 11,105.89

T ota l N um ber o f M em bers June 30, 1939..84

T otal N um ber o f L oan s June 30, 1939......46

F.S.A. EM PLO YE ES C O -O PE R A TIV E C R E D IT ASSOCIATION
Lin coln, Nebraska
Date A ssociation opened fo r business M arch 1939
O F F IC E R S
W a lla ce J. M ad dock ...................... P residen t
H ow a rd C larke.................. ..... V ice-P resid en t

M arion F. A llsm an ......................... S ecretary
A. H. Schm ale...... — ................. — T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oan s to M em bers............................. $
Cash on H and and In B an ks......

939.35
332.93

Shares o f M em bers..........................$ 1,231.55
Current E a r n in g s :
Incom e since Jan. 1,
1939 .................................$ 57.30
L ess E xpenses since
Jan. 1, 1939.................
16.57
40.73

T o ta l.................. _.................. $ 1,272.28

T ota l_____________________ ? 1,272.28

T otal N um ber o f M em bers June 30, 1939..91

Total N um ber o f L oans June 30, 1939-----16

GOLD ’S C O -W O R K E R S C O -O PE R A TIV E CR ED IT ASSOCIATION
Lin coln, Nebraska
Date A ssociation opened fo r business N ovem ber 19 34
O F F IC E R S
H. B. Smith............_.............. .......... P resident
R. J. H ou sh ............................. V ice-P resid en t

M argie W ilson ....................................Secretary
M argie W ils o n ..... ........
T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s to M em bers..........................$ 34,797.82
B onds and Other A p proved
Investm ents ............— ..................—
305.71
Cash on H and and In B an ks----- 1,555.50

Shares o f M embers...-......................$ 10,599.06
D eposits o f M em bers.... .................. 23,096.75
G u aranty or R eserve F u n d ........................... 305.71
U ndivided P ro fits ...............................
101.98
Current E arnin gs :
Incom e since Jan. 1,
1939 ................................ $1,224.01
L ess E xpen ses since
Jan. 1, 1939.................
54.25
1,169.76
Interest C ollected but N ot
E arned (if a n y ).............................
1,375.77
Other L iabilities.......... ........................
10.00

T ota l N um ber o f M em bers June 30, 1939..359

T otal N um ber o f L oan s June 30, 1939...:—182

T ota l........ ............................. $ 36,659.03


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PAR TM E N T OF BANKING

157

GOVERN M EN T EM PLO YE ES CO -O PE R A TIV E C R E D IT ASSOCIATION
L incoln, Nebraska
Date A ssociation opened for business June 19 32
O F F IC E R S
S. S. F aires............... .......................P resident
J. F. A llsraan............_.......... .V ice-P residen t

L. E. K eese............................ ............S ecretary
L. E. K eese.................. .................... T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers..................... ....$ 11,567.92
B onds and Other A p proved
Investm ents .................. - .................
550.00
Cash on H and and In B an ks......
1,280.72
O ffice Building, F urniture and
F ixtu res ............................ - ..............
22.75

Shares o f M em bers------- ----------- ._.$ 2,562.50
D eposits o f M em bers....................... 9,409.43
G uaranty or R eserve F un d ... .........
613.62
U ndivided P ro fits_____________
25.51
Current E arnin gs :
Incom e since Jan. 1,
1939 .................. ..............$ 417.09
Less E xpenses since
Jan. 1, 1939.......... .......
81.76
335.33
Interest C ollected but N ot
E arned (if a n y ).............................
475.00

T ota l_____ ________________ $ 13,421.39

T ota l_____________________ $ 13,421.39

T otal N um ber o f M em bers June 30, 1939..129

T otal N um ber o f L oans June 30, 1939___ 96

G RAIN G E R BROTHERS. CO -O PE R A TIV E CR ED IT ASSOCIATION
L incoln, Nebraska
Date A ssociation opened fo r business June 1932
O F F IC E R S
P e rcy B ick ..................................... ......P resident
C. B atch elder Jr........... ....... V ice-P resid en t

Janet S ch erffin s..... ..........................S ecretary
Janet S ch erffin s.............. ................T reasu rer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers... ......................... $
836.99
C ash on H and and In B an ks...... 1,667.18

Shares o f M em bers..........................$
792.25
D eposits o f M em bers...............
1,505.43
G uaranty o r R eserve F un d------88.58
U ndivided P ro fits ...............................
59.89
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................ $ 72.62
L ess E xpen ses since
Jan. 1, 1939_________
14.60
58.02

T o ta l__________ ___ _______ $ 2,504.17

T ota l_____________________ $ 2,504.17

T otal N um ber o f M em bers June 30, 1939..62

T otal N um ber o f L oan s June 30, 1939___ 20

LINCOLN CO -O PE R A TIV E CR ED IT ASSOCIATION
L incoln, Nebraska
Date A ssociation opened fo r business January 19 37
O F F IC E R S
J. W . Chesen.................................... P residen t
M. N o v ic o ff_________________V ice-P resid en t

A. J. P oska._____________________ Secretary
H. G. B rick er________________ ____T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
L IA B IL IT IE S

RESOURCES

L oans to M em bers_______________ $ 28,200.00
Cash on H and and In Banks.__ 3,264.85
O ffice Building, F urniture and
F ixtu res _________________________
1.00
Other R esou rces___________________
87.50

Shares o f M em bers____ __________ $ 18,650.00
D eposits o f M em bers............
9,299.14
G u aran ty or R eserve F u n d ..... —
2,355.33
U ndivided P ro fits_____ ____________
40.59
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................ $ 596.60
L ess E xpen ses since
Jan. 1, 1939................. 300.29
296.31
Interest C ollected but N ot
E arned (if a n y )________________
900.00
Other L iabilities___________________
11.98

T ota l_____________________ $ 31,553.35

T otal_____________________ $ 31,553.35

T otal N um ber o f M em bers June 30, 1939..110

T otal N um ber o f L oa n s June 30, 1939___.80


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PAR TM E N T OF BANKING

158

LINCOLN PO STAL EM PLO YE ES CO -O PE R A TIV E CR E D IT ASSOCIATION
L incoln, Nebraska
Date A ssociation opened fo r business January 1928
O F F IC E R S
R a lp h W . W h y m a n ......................... P residen t
B ert L. H u ll_______________ .V ice-P resid en t

H a rold G. R o g e rs
G erald D. Jones

......................Secretary
..........................T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oan s to M em bers— ......................... $ 66,609.28
B onds and Other A p proved
Investm ents ............... - ..................— 1,873.00
Cash on H and and In B an ks...... 5,001.98

Shares o f M em bers...............................14,511.56
D eposits o f M em bers....................... 54,217.77
G u aranty or R eserve F u n d .........
2,072.43
U ndivided P ro fits...............................
898.86
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................$2,070.04
Less E xpenses since
286.40
1,783.64
Jan. 1, 1939............... .
Other L iabilities..................................
2.00

T o ta l... .............. ...................$ 73,486.26

T o ta l............................ ..........$ 73,486.26

T ota l N um ber o f M em bers June 30, 1939..385

T otal N um ber o f L oans June 30, 1939......168

LINCOLN C E N TRA L LA B O R UNION C O -O PE R A TIV E CRED IT
ASSOCIATION
Lin coln, Nebraska
Date A ssociation opened fo r business N ovem ber 1935
O F F IC E R S
H. C. M a y co ck .................. ............... P residen t
L. J. C arv er..... ............ .......... V ice-P resid en t

O scar Colin.......................................... Secretary
O scar C olin ........................ ................ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
L IA B IL IT IE S

RESOURCES
L oans to M em bers..............................$
Cash on H and and In B an ks----O ther R esou rces................................

778.97
665.83
.03

Shares o f M em bers..........................$
187.00
D eposits o f M em bers........................
1,240.36
G u aranty or R eserve F u n d ........
9.50
U ndivided P ro fits............................ .
16.69
Current E arnin gs :
Incom e since Jan. 1,
1939 ..... ........................... $ 13.28
L ess E xpenses since
Jan. 1, 1939................ .
22.00
—8.72

T o ta l.......................................$ 1,444.83

T ota l......................................$ 1,444.83

T otal N um ber o f M em bers June 30, 1939_25

T otal N um ber o f L oans June 30, 1939......7

LINCOLN TELE PH O N E EM PLO YES C O -O PE R A TIV E CRED IT
ASSOCIATION
Lin coln, Nebraska
Date A ssociation opened for business June 19 3 6
O F F IC E R S
F . E. B ehm ......... ........... - ................ .President
M. M. Hale...:___ _____ __ ___ .V ice-P resid en t

M. W . F ra n k lin .................................Secretary
H. G essner......................................... .T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans to M em bers............................. $ 54,893.34
Cash on H and and In B an ks___ 15,429.50

T otal

.$ 70,322.84

T otal N um ber o f M em bers June 30, 1939..706


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Shares o f M em bers___________
D eposits o f M em bers.................
G u aranty or R eserve F u n d ....
U ndivided P ro fits ........ ................
Current E arnin gs :
Incom e since Jan. 1,
1939 .................................$1,888.50
L ess E xpenses since
Jan. 1, 1939........ ....... 1,433.86
Interest C ollected but N ot
E arned (if a n y )_____________

14,261.01
51,860.93
848.47
781.39

T ota l.................................

70,322.84

454.64
2,116.40

T otal N um ber o f L oan s June 30, 1939......388

159

D E PAR TM E N T OF BANKING
M AG EE'S CO -O PE R A TIV E CR ED IT ASSOCIATION
L incoln, Nebraska
Date A ssociation opened tor business M arch 1935
O F F IC E R S
W alter Butler.___ _______ _________ President
L oren N elson_______________V ice-P ersid en t

M ary M ullin-------------------------------- S ecretary
R uth W est_______________________ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s to M em bers........ _................. $ 3,278.59
Cash on H and and In B an ks----328.67

Shares o f M em bers______________ $
927.67
D eposits o f M em bers........................ 2,306.05
G uaranty or R eserve F u n d -----84.78
95.33
U ndivided P rofits............ ..................
Current E a r n in g s :
Incom e since Jan. 1,
1939 ____ _____________$ 267.39
L ess E xpen ses since
73.96
193.43
Jan. 1, 1939_________

T ota l_____________________ $ 3,607.26

T ota l_____________________ $ 3,607.26

T ota l N um ber o f M em bers June 30, 1939..67

T otal N um ber o f L oans June 30, 1939-----34

PRO FESSIO N A L C O -O PERA TIVE C R E D IT ASSOCIATION
L incoln, Nebraska
Date A ssociation opened fo r business N ovem ber 1935
O F F IC E R S
L ouis W illie _________ _______ _____ P resident
O. R. R asm ussen.................. V ice-P resid en t

W . J. A rth .................
W . J. A rth -------------

..Secretary
.T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers............ ...............$ 18,500.1/
3,992.81
Cash on H and and In Banks.--O ffice B uliding, F urniture and
F ixtu res _________________________
360.00
Other R esou rces---------------------------5.40

Shares o f M em bers........ — —;..... $ 5,098.68
D eposits o f M em bers____ __
17,082.49
G uaranty or R eserve F und.............
70.08
80.89
U ndivided P rofits.------------------------Current E a r n in g s :
Incom e since Jan. 1,
1939 ____ _____ _______ $1,217.58
L ess E xpen ses since
Jan. 1, 1939_________ 1,115.22
102.36
Interest C ollected but N ot
E arned (if a n y )------------------ *.—
423.08
Other L iabilities___________________
.80

T ota l____ ________________ $ 22,858.38

T ota l____ ________________ $ 22,858.38

T otal N um ber o f M em bers June 30, 1939..305

T ota l N um ber o f L oans June 30, 1939-----176

RUDGE AND GUENZEL CO -O PE R A TIV E C R E D IT ASSOCIATION
Lin coln, Nebraska
Date A ssociation opened fo r business M arch 1936
O F F IC E R S
W . L. L inscott
L es P ech ou s—

.......... P resident
.V ice-P resid en t

K. G. B eutler------------------------------S ecretary
M. M. K ealiher.................................T reasu rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
L oan s to M em bers— .................... — $ 1,537.31
226.37
C ash on H and and In B an ks......

L IA B IL IT IE S
Shares o f M em bers..........................$
D eposits o f M em bers____________
G u aranty or R eserve F un d------U ndivided P rofits.________________
Current E arnin gs :
Incom e since Jan. 1,
1939 ................................ $ 94.24
L ess E xpenses since
Jan. 1, 1939................
23.90

950.58
719.25
7.57
15.94

70.34

T ota l_____________________ $ 1,763.68

T ota l.................. .................... $ 1,763.68

T ota l N um ber o f M em bers June 30, 1939..75

T ota l N um ber o f L oan s June 30, 1939— .35


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

160

SIDLES MOTORS C O -O P E R A T IV E CR ED IT ASSOCIATION
Lin coln, Nebraska
Date A ssociation opened for business M arch 19 35
O F F IC E R S
W illia m W eber..................................P residen t
M ichael E d w a rd s................................Secretary
P a sca l B urnett .................. .V ice-P residen t
B rooks P au l........................................ T reasurer
F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s to M em bers............................. $ 1.305.94
Cash on H and and In B an k s----81.34

Shares o f M em bers..........................if
D eposits o f M em bers.......................
G u aranty or R eserve F u n d ........
C urrent E a r n in g s :
Incom e since Jan. 1,
1939 ................................$ 58.21
Less E xpenses since
Jan. 1, 1939.................
11.59
Interest C ollected but N ot
E arned (if a n y )__________________

415.65
858.16
13.17

46.62
53.68

T o ta l.......................................$ 1,387.28

T ota l.............................. _..... $ 1,387.28

T otal N um ber o f M em bers June 30, 1939..48

T otal N um ber o f L oan s June 30, 1939......21

S P E IE R ’S CO-W ORKERS, C O -O PE R A TIV E C R E D IT ASSOCIATION
Lin coln, Nebraska
Date A ssociation opened fo r business January 19 3 6
O F F IC E R S
F ra n k E. C orrick .........................P residen t
Phebe W a y m ire ......
A lbert Speier
___________.V ice-P residen t
P hebe W a y m ire.......

.Secretary
T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans to M em bers.—......................... $ 2,214.60
Cash on H and and In B an ks...... 1,771.75

Shares o f M em bers..........................$ 1,099.94
D eposits o f M em bers......................
2,539.93
G u aranty or R eserve F und.—.....
115.76
U ndivided P ro fits............................
113.96
Current E arnin gs :
Incom e since Jan. 1,
1939 ................................ $ 95.12
L ess E xpen ses since
Jan. 1, 1939.................
32.17
62.95
Interest C ollected but N ot
47.56
E arned (if a n y )________________
Other L iabilities..................................
6.25

T o ta l.......................................$ 3,986.35

T ota l..... .................................$ 3,986.35

T otal N um ber o f M em bers June 30, 1939..113

T ota l N um ber o f L oans June 30, 1939......43

ST R E E T D E PA R TM E N T C O -O PE R A TIV E C R E D IT ASSOCIATION
Lin coln, Nebraska
Date A ssociation opened fo r business O ctober 19 35
O F F IC E R S
F a y C. C arm ich ael..........................P resident
Lester A nd erson.......
H. J. R en ter______ ___ __ __ .V ice-P resid en t
L ester A n d erson

.Secretary
T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oa n s to M em bers............................. $ 1,402.37
C ash on H and and In B an ks......
126.26

T otal

.$ 1,528.63

T ota l N um ber o f M em bers June 30, 1939..64


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Shares o f M em bers..........................$
D eposits o f M em bers......................
G uaranty or R eserve Fund.—.....
U ndivided P rofits.................................
Current E arnin gs :
‘Incom e since Jan. 1,
1939 ................................ $ 84.30
L ess E xpen ses since
Jan. 1, 1939.................
4.40
Interest C ollected but N ot
E arned (if any)..............................

634.50
700.60
63.41
22.07

79.90

T ota l— ..............................1,528.63
T ota l N um ber o f L oans June 30, 1939___.34

28.15

161

D E PA R TM E N T OF BANKING
WOODM EN CO -O PE R A TIV E C R E D IT ASSOCIATION
L incoln, Nebraska
Date A ssociation opened fo r business M arch 1936
O F F IC E R S
C. O. Streeter....................................President
G. C.
F ra n k A rm stron g __________ V ice-P resid en t
G. C.

K rau sh aa r-------------- -----------S ecretary
K rau sh aa r------------------------ T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

Loans to M em bers.............................$ 9,860.14
B onds and O ther A p proved
Investm ents ..... ............... ...............
131.25
710.38
Cash on H and and In Banks......

Shares o f M embers.................. .......$ 3,925.00
D eposits o f M em bers____________
4,757.20
G uaranty or R eserve F u n d -------118.75
U ndivided P ro fits... ..................
145.19
Current E arn in gs :
Incom e since Jan. 1,
1939 ........ ............ .......... $ 329.08
L ess E xpen ses since
Jan. 1, 1939................
78.98
250.10
Interest C ollected but N ot
E arned (if a n y )____
515.53
Other L iabilities......................
990.00

T ota l............... .......................$ 10,701.77

T ota l_______________ ______ $ 10,701.77

T otal N um ber o f M em bers June 30, 1939..111

T otal N um ber o f L oans June 30, 1939___ 59

ARM O U R EM PLO YE S C O -O PERA TIVE CR ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened for business May 19 30
O F F IC E R S
G eorge H o v o rk a ..............................P resident
J. F. M cK in n ey__________________ Secretary
J. F . M cK inney.------------------------- T rea su rer
J. C. V an R iper___________ V ice-P resid en t
F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans to M em bers.............................$ 70,990.22
B onds and Other A p proved
Investm ents .......... .......................... 19,325.00
Cash on H and and In B an ks_____ 17,147.07

Shares o f M em bers______________ $
Deposits o f
M em bers....................
G uaranty or R eserve F un d........ ....
U ndivided P ro fits_________________
C urrent E a r n in g s :
Incom e since Jan. 1,
1939 ..................... ..........$4,460.00
L ess E xpen ses since
Jan. 1, 1939_________ 2,264.49
Interest C ollected but N ot
E arned (if
a n y )____

89,697.04
6,359.09
5,958.15
874.63

2,195.51
2,377.87

T ota l_____ ________________ $107,462.29

T ota l_____ ____ ___________ .$107,462.29

T otal N um ber o f M em bers June 30,
1939 ............ ....................................... ...... ...... 1,224

T otal N um ber o f L oan s June 30, 1939....795

BE EBE & RUNYAN C O -O PERA TIVE CR ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business January 1932
O F F IC E R S
J. W . M cC u lley.................... ............President
R. H. Grenelle....................................Secretary
Anne Johnson_____________ .V ice-P resid en t
R . H. Grenelle------------------------------ T reasurer
F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oa n s to M em bers________________ $ 3,623.56
B onds and Other A p proved
Investm ents _____________________
4,543.08
Cash on H and and In B an ks----444.98

Total.

8,611.62

T otal N um ber o f M em bers June 30, 1939..64


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Shares o f M em bers----------------D eposits o f M em bers-------------G u aranty or R eserve F u n d ....
U ndivided P ro fits --------------------Current E a r n in g s :
Incom e since Jan. 1,
1939 __________________$ 233.51
L ess E xpenses since
Jan. 1, 1939._________ 25.16

1,085.11
6,919.96
224.74
173.46

T ota l--------------- ------------

8,611.62

208.35

T ota l N um ber o f L oans June 30, 1939----- 21

162

D E PA R TM E N T OF BANKING

BR O TH E RH O O D OF R A IL W A Y CLERK S C O -O PE R A TIV E CRED IT
ASSOCIATION
Omaha, Nebraska
D ate A ssociation opened for business F ebru ary 1928
O F F IC E R S
R . N. N elson.... ................_........... ....P resident
D. E. M ain................................. J . ....Secretary
J. H. M arsh_________ ______ V ice-P resid en t
D. E. M ain.......................................... T reasurer
F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oa n s to M em bers........................ — $ 3,673.70
B onds and O ther A p proved
Investm ents ... .............. ..................
1,000.00
109.56
Cash on H and and In B an ks......

Shares o f M em bers..........................$ 4,103.78
G uaranty or R eserve F un d.........
488.02
U ndivided P ro fits _________ ..
95.86
Current E arnin gs :
Incom e since Jan. 1,
1939 ................................ $ 295.92
L ess E xpenses since
Jan. 1, 1939_____ __ _ 200.32
95.60

T ota l.......................................$ 4,783.26

T ota l_________.____________ $ 4,783.26

T ota l N um ber o f M em bers June 30, 1939..93

T ota l N um ber o f L oan s June 30, 1939___ 49

CE N TRA L CO -O PE R A TIV E CRED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business May 192 8
O F F IC E R S
T. H. E llsw orth ...............................P resident
R. C. A rthur.............
W . P. A rch ib a ld ...................V ice-P resid en t
Jam es J. M ain..........

.Secretary
T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans to M em bers........ ...... ............. $ 30,596.89
B onds and Other A p proved
Investm ents ........................... ......— 2,523.75
Cash on H and and In B an ks...... 4,527.34
O ffice Building, F urniture
50.00
and F ixtu re s....................- ...... - .......

Shares o f M em bers................... ...... $ 28,417.57
D eposits o f M em bers....................... 4,825.48
G u aranty or R eserve F un d......... 2,824.07
U ndivided P ro fits.............. .7............ .
631.50
Current E arnin gs :
Incom e sin ce Jan. 1,
1939 ................................. $1,030.48
L ess E xpen ses since
Jan. 1, 1939................. 371.12
659.36
O ther L iabilities (Special
R eserve F u n d )..................................
340.00

T ota l....................................... $ 37,697.98

T ota l.................. .................... $ 37,697.98

T ota l N um ber o f M em bers June 30, 1939..268

T otal N um ber o f L oan s June 30, 1939___ 122

OM AHA CUDAHY EMPLOYES. C O -O PE R A TIV E C R ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business F ebru ary 19 33
O F F IC E R S
M. T. D y e r..... ..... .............................. P residen t
J. E. W a tson ___________________ Secretary
B.
M. B o y ce ...................... ....V ice-P resid en t
J. E. W a tson ......... ,......... ............... T reasurer
F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oan s to M em bers.........................— $ 57,864.10
B onds and Other A p proved
Investm ents ....................... ........... 5,250.00
C ash on H and and In B an ks___
7,240.67

Shares o f M embers.......................... $ 57,404.49
G u aranty or R eserve F un d.............. 4,374.99
U ndivided P ro fits............................... 4,226.14
Current E arnin gs :
Incom e since Jan. 1,
1939 ....................... .........$3,413.81
L ess E xpen ses since
Jan. 1, 1939................. 1,105.74
2,308.07
Interest C ollected but N ot
E arned (if an y )....._......................
2,025.24
Other L iabilities......................
15.84

T o ta l.......................................$ 70,354.77

T o ta l..................... ........... ..... $ 70,354.77

T ota l N um ber o f M em bers June 30,
1939 ....................... ............................- ............1,010

T ota l N um ber o f L oan s June 30, 1939.-1,053


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

163

D E PA R TM E N T OP BANKING
W ILSO N EM PLO YEES CO -O PE R A TIV E C R E D IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business M arch 19 34
O F F IC E R S
Ben A llison ........ ...... ...........................President
A. J. Saw atzki—
H en ry H artnett.......................V ice-P resid ent
A. J. Sawatzki.

.S ecretary
.T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
R E SO U R C E S

L IA B IL IT IE S

Loans to M em bers
.................— $ 22,368.87
Cash on H and and In Banks....—. 1,799.19

Shares o f M em bers......................... $ 21,480.11
763.10
G u aranty or R eserve F u n d — ....
585.87
U ndivided P ro fits............................
Current E a r n in g s :
Incom e since Jan. 1,
1939 ...............- ................$1,115.95
Less E xpenses since
Jan. 1, 1939........ ....... 484.13
631.82
Interest C ollected but N ot
E arned (if any).L~----- ---------------707.16

.$ 24,168.06

Total...................... ............... $ 24,168.06

T otal N um ber o f M em bers June 30, 1939..359

T otal N um ber o f L oans June 30, 1939___.241

Total.

EATON TAN K E M PLO Y E E S CO -O PE R A TIV E C R E D IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business N ovem ber 1936
O F F IC E R S
A. N. E aton
............. ........... P residen t
H. N. M cC art....................................S ecretary
H. I). M arshall____________V ice-P resid en t
H. N. M cC art.................................... T reasurer
F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES

L oans to M em bers________________ $
Cash on H and and In B an ks......
O ffice B uilding, F urniture
and F ixtu res.....................................

926.40
212.07
1.45

Shares o f M em bers______________ $
D eposits o f M em bers_____ __
G u aranty or R eserve F u n d -----U ndivided P ro fits...............................
Current E arnin gs :
Incom e since Jan. 1,
1939 ..._.... ..................... 4 37.49
L ess E xpen ses since
Jan. 1, 1939.................
23.96
Interest C ollected but N ot
E arned ( i f a n y )— .........................

419.17
661.34
8.17
7.71

13.53
30.00

T o ta l_____________________ $ 1,139.92

T ota l............................. .........$ 1,139.92

T otal N um ber o f M em bers June 30, 1939..49

T otal N um ber o f L oa n s June 30, 1939-----21

FAIR M O N T

CO -O PE R A TIV E CR ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business O ctober 1934

J. P. M acnam ara.
S. F . K n app ... .......

EM PLO YE ES

O F F IC E R S
......... .President
H. B. H a yd en ...................................S ecretary
.V ice-P resident
H. B. H a yden ________ ___________ T rea su rer
F IN A N C IA L S T A T E M E N T JU N E 30, 1939

RESOU RCES

L IA B IL IT IE S

L oans to M em bers_______________ $ 12,623.39
B onds and Other A p proved
Investm ents ____________________
864.00
Cash on H and and In B an ks----- 3,834.47

Shares o f M em bers..........................$ 10,642.48
D eposits o f M em bers............
3,911.44
G u aranty or R eserve F und_______
969.64
U ndivided P ro fits_________________
993.65
Current- E a r n in g s :
Incom e since Jan. 1,
1939 _________________ .$ 6U4.25
L ess E xpen ses since
Jan. 1, 1939.—.............. 104.18
500.07
Interest C ollected but N ot
E arned (if a n y )________________
301.08
Other L iabilities___________________
3.50

T otal_____________________ $ 17,321.86

T ota l_____________________ $ 17,321.86

T ota l N um ber o f M em bers June 30, 1939..237

T ota l N um ber o f L oa n s June 30, 1939___.97


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

164

FAR M CR ED IT AD M IN ISTRATIO N C O -O PE R A TIV E C R E D IT
ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business M arch 1934
O F F IC E R S
C W . R o d g e rs_____________ _____ .President
D. C. Y ou n g .......................................S ecretary
G. W . H olm qu ist............................ T reasure!
J. L. S eabrooke_________ __ V ice-P resident
F . R. B oyles............................ .V ice-P residen t •
F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oan s to M em bers.............................$ 40,224.91
B onds and Other A p proved
Investm ents ....... ..............................
202.43
Cash on H and and In B an ks...... 10,173.58

Shares o f M em bers............................$ 45,852.02
G u aranty or R eserve F un d .........
1,463.82
U ndivided P ro fits ........ ......
894.82
Current E arnin gs :
Incom e since Jan. 1,
1939 ............................ -...$1,145.96
L ess E xpen ses since
Jan. 1, 1939................. 413.23
732.73
Interest C ollected but N ot
E arned (if a n y )...................
1,644.03
13.50
Other L iabilities..................................

Total....................................... $ 50,600.92

T ota l.......................................$ 50,600.92

T ota l N um ber o f M em bers June 30, 1939..490

T otal N um ber o f L oans June 30, 1939......376

O M AHA FA R M E R S UNION C O -O PE R A TIV E C R E D IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business O ctober 1930
O F F IC E R S
R . L . Sm ith..... ................ .......______ P residen t
J. J. M u rray ........ ....................V ice-P resid en t

H. C. M cP h erson ..... - ......................S ecretary
H. C. M cP h erson ..... ................ ...... T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans to M em bers........................ — $ 18,682.19
B onds and Other A p proved
Investm ents ............- ..................—
4,928.35
C ash on H and and In B an k s----- 2,297.34
Interest E arned but U ncollected
(if a n y )........ ................. - ..................
378.81

Shares o f M em bers......................... $ 6,142.09
18,932.90
D eposits o f M em bers.... .......
G u aranty or R eserve F u n d .............
606.27
U ndivided P ro fits ............................ —
157.52
Current E arnin gs :
Incom e since Jan. 1,
1939 ................... .............$ 567.67
Less E xpen ses since
Jan. 1, 1939............... . 120.26
447.41
Other L iabilities..................................
.50

T o ta l.......................................$ 26,286.69

T ota l....................................... $ 26,286.69

T otal N um ber o f M em bers June 30, 1939..158

T ota l N um ber o f L oan s June 30, 1939......86

FO U R “ C” CLUB C O -O P E R A T IV E CR ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened for business June 1938
O F F IC E R S
R e v F . S. Goodlett..... .... ............P resident
Ben H. G ra y ......................,___ V ice-P resid en t

J. D. C raw ford.
J. D. Crawford..

.S ecretary
.Treasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L oans to M em bers.................. - .........$
C ash on H and and In B an ks----O ther R esou rces.......... ......................

229.38
283.32
100

Shares o f M em bers..........................$
U ndivided P ro fits-------------------------Current E arnin gs :
Incom e since Jan. 1,
1939 __________________$ 26.00
L ess E xpen ses since
Jan. 1, 1939........ .........
28.26

485.90
30.06

T o ta l___________ ________—-$

513.70

T ota l..... .............. ...................$

513.70

T ota l N um ber o f M em bers June 30, 1939..114


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

—2.26

T ota l N um ber o f L oans June 30, 1939.... 19

D E PA R TM E N T OF BANKING

165

G ATE CITY IRON C O -O PERA TIVE C R E D IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business F ebru ary 19 38
O F F IC E R S
A n d rew L a w slo
...........................President
John L aw slo.............................V ice-P resid en t

John B ennett J r
............ .......... S ecretary
R obert A. Ja cob s............................. T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans to M em bers........ .................... $ 1,231.75
Cash on H and and In B a n k a ___
272.11

Shares o f M em bers_________ ...
$ 1,181.67
D eposits o f M em bers____________
207.47
G u aranty or R eserve F un d ........
31.55
Current E arn in g's:
Incom e since Jan. 1,
1939 ..................... .......... $ 81.02
L ess E xpen ses since
Jan. 1, 1939.................
7.85
73.17
O ther L iabilities____ ___________

T o ta l....................................._$ 1,503.86

T ota l...................................... .$ 1,503.86

T ota l N um ber o f M em bers June 30, 1939..58

T otal N um ber o f L oans June 30, 1939___ 20

G U AR AN TE E M UTUAL E M PLO Y E E S CO -O PE R A TIV E CREDIT
ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business January 1936
O F F IC E R S
H. E. G abrielson............................ .President
R. L. H u ghes______________V ice-P resid en t

M. J. S kom al....................................S ecretary
J. K. C um m ins___________________ T reasu rer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oan s to M em bers............................. $ 8,620.58
Cash on H and and In B an ks___
902.46

Shares o f M em bers..... .................... $ 7,969.29
G uaranty or R eserve Fund_______
175.29
U ndivided P ro fits____ ___ ________
61.21
Current E arnin gs :
Incom e since Jan. 1,
1939 ..._........... ................ 4 355.03
Less E xpen ses since
Jan. 1, 1939..................
17.41
335.62
Interest C ollected but N ot
E arned (if a n y )________________
481.63
O ther L iabilities (N ote P a y a b le)
500.00

T ota l_____________________ $ 9,523.04

T ota l________ _____________$ 9,523.04

T ota l N um ber o f M em bers June 30, 1939..113

T ota l N um ber o f L oans June 30, 1939......58

IT A L IA N C O -O P E R A T IV E CR ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business F ebru ary 1931
O F F IC E R S
Sam B a ttia to........ ...................... ....... P resident
C icero B ia g o .........................V ice-P resid en t

Chas. J. B attia to________________ S ecretary
Chas. J. B attia to_____ ___ _______ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES
L oans to M em bers.—.........................$
Cash on H and and In B anks......

L IA B IL IT IE S
133.75
50.04

T o ta l... ...............................183.79
T ota l N um ber o f M em bers June 30, 1939..15


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Shares o f M em bers_______________ 4
G u aranty or R eserve Fund..... ....
U ndivided P ro fits__________________

148.15
33.44
2.20

T ota l_____________________ $

183.79

T otal N um ber o f L oa n s June 30, 1939___ 5

10.00

166

D E PA R TM E N T OF BANKING

M ETRO PO LITAN

C O -O PE R A TIV E C R ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business June 1934

Wm.
P aul

POLICE

O F F IC E R S
P. D on ahu e.............................P residen t
A. E. C linchard............... ...................Secretary
A. E. C linchard______________ ____ T reasurer
Shanahan------------ ------- V ice-P resid en t
F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES

L IA B IL IT IE S
L oans to M em bers............................. $ 6,686.25
Shares o f M em bers___________ __ .$ 1,599.82
Cash on H and and In B an ks___
497.41
D eposits o f M em bers....................... 5,107.94
O ffice Building, F urniture
G u aranty or R eserve F un d.............
255.65
40.00
and F ixtures..... ...............................
U ndivided P ro fits ...............................
138.64
Other R esou rces...................................
106.64 Current E arnin gs :
Incom e since Jan. 1,
1939 ............ ....................$ 230.25
L ess E xpen ses since
Jan. 1, 1939.... ....... .....
24.25
206.00
Interest C ollected but N ot
E arned (if a n y )________________
22.00
Other L iabilities.................. ...............
.25
T ota l.......................................$ 7,330.30

T ota l_____________________ $ 7,330.30

T otal N um ber o f M em bers June 30, 1939..13S

T otal N um ber o f L oan s June 30, 1939__ 87

N E B R A SK A CONSOLIDATED CO -O PE R A TIV E C R ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business Septem ber 19 34
O F F IC E R S
T hom as H e ffe rn a n ....................... P residen t
W . H.
A. W . G lade.................. .......... V ice-P resid en t
W . H.

R itchie........,..
_________ S ecretary
R itch ie............................. ....T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES
L IA B IL IT IE S
L oans to M em bers......... ....... ............$ 3,585.71
Shares o f Members.......................... $ 3,346.01
295.88
Cash on H and and In B an ks......
G u aranty or R eserve F u n d ____ .....
186.16
U ndivided P ro fits ............. .................
69.87
C urrent E a r n in g s :
Incom e since Jan. 1,
1939 ..... ........... ............... $ 112.80
L ess E xpen ses since
Jan. 1, 1939--------------32.03
80.77
Interest C ollected but N ot
E arned (if a n y )-----------------------198.78
T ota l......................... .............$ 3,881,59

T ota l.......................................$ 3,881.59

T otal N um ber o f M em bers June 30, 1939..83

T otal N um ber o f L oans June 30, 1939___ 47

THE OCOMA C O -O PE R A TIV E CR ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business May 1937
O F F IC E R S
F. K. C rosby.................. ,................. P residen t
E verett P arish ______ ___________ S ecretary
J. E. P etr.................... - ............V ice-P resid en t
F ra n ces Sheets.................................. T reasurer
F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES
L IA B IL IT IE S
L oans to M em bers............................. $ 2,471.66
972.25
Shares o f M em bers______________ $
Cash on H and and In B an ks......
350.58
D eposits o f M em bers____________
1,466.61
G u aranty or R eserve F un d____
78.87
U ndivided P ro fits_________________
81.08
Current E a rn in g s :
Incom e since Jan. 1,
1939 .................. .............$ 154.75
L ess E xpenses since
Jan. 1, 1939..... 1--------4.25
150.50
Interest C ollected but N ot
E arned (if a n y )________________
72.93
T ota l_____________________ $ 2,822.24

T otal---------------------------------$ 2,822.24

T ota l N um ber o f M em bers June 30, 1939..88

T ota l N um ber o f L oans June 30, 1939......48


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

167

OM AHA BURLINGTON EM PLO YES C O -O P E R A T IV E CR ED IT
ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business A pril 1935
O F F IC E R S
F. S. P a lecek ..................................... President
G. L. T im m ons.................................S ecretary
A. G. Schm idt......................... V ice-P resid en t
R . L. N esbit
............... ................ T reasurer
F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES
L IA B IL IT IE S
L oans to M em bers.............................$ 33,954.41
Cash on H and and In B an ks......
712.63
O ffice B uilding, F urniture
and F ixtu re s.... ..................................
120.50

Shares o f M em bers........ ................ $ 6,675.67
D eposits o f M em bers........ _............ 25,481.53
G uaranty or R eserve F u n d .........
312.71
159.73
U ndivided P ro fits... ........................
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................ $1,154.30
Less E xpenses since
Jan. 1, 1939_____ ____ 555.54
598.76
Interest Collected but N ot
E arned (if a n y )________________
1,544.94
O ther L iabilities___________________
14.20

Total.............................. ....... $ 34,787.54

T ota l.................................... $ 34,787.54

T ota l N um ber o f M em bers June 30, 1939..438

T otal N um ber o f L oan s June 30, 1939......245

OM AHA FIRE M E N S C O -O PERA TIVE CRED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business O ctober 1932
O F F IC E R S
H erm an G ernandt............................. P resident
F red J. B loem er............................ S ecretary
F red J. Bloemer....................... .........Treasurer
Sam T aylor.................... .......... V ice-P resid en t
F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES
L IA B IL IT IE S
L oan s to M em bers........I.................... $ 37,995.69
Shares o f M em bers______________ $
Cash on H and and In B an ks___
2,638.89
G u aranty or R eserve F un d_______
Other R esou rces__________________
1,883.42
U ndivided P ro fits _________________
Current E a r n in g s :
Incom e since Jan. 1,
1939 --------------------------- 1,536.47
L ess E xpen ses since
Jan. 1, 1939------- ----- - 445.95
Other L iabilities________ __________

37,671.29
1,875.96
1,844.03

1,090.52
36.20

T o ta l............!......................... $ 42,518.00

T ota l.......................................$ 42,518.00

T ota l N um ber o f M em bers June 30, 1939..232

T otal N um ber o f L oans June 30, 1939___ 168

O M AHA POST OFFICE EM PLO YE ES C O -O PE R A TIV E CRED IT
ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business April 19 39
O F F IC E R S
P a trick M cG overn.--------- -------------- P resident
L. P.
T hom as P illey.-------------------- V ice-P resid en t
L. P.
John M. T ra cy........................... V ice-P resid en t

D y h rberg ........
D yhrberg.

S ecretary
T reasurer
x ie a s u ie r

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES
L IA B IL IT IE S
L oans to M em bers.............
$104,895.94
Shares o f M em bers______________ $
B onds and Other A p proved
D eposits o f M em bers.......................
Investm ents .........................
4,312.50
G u aranty or R eserve F u n d .........
Cash on H and and In B an ks___
25.04
U ndivided P ro fits ..................
Interest P aid on D eposits
C urrent E a r n in g s :
Ju ly 1, 1939...................................... _... 2,362.97
Incom e since Jan. 1,
Other R esou rces___________________ 2,123.95
1939 .................. .............$3,566.93
Less E xpen ses since
Jan. 1, 1939— :--------575.80
Interest C ollected but N ot
E arned (if a n y )----------------------Other L iabilities___________________
T ota l................. .................... .$113,720.40
T otal N um ber o f M em bers June 30, 1939..618


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

7,597.00
84,664.44
4,278.67
8,696.42

2,991.13
5,480.99
11.75

T ota l-------------------------------- $113,720.40
T otal N um ber o f L oans June 30, 1939......438

D E PA R TM E N T OF BANKING

168

OMAHA SCHOOL EM PLO YE ES CO -O PE R A TIV E C R ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business January 1934
O F F IC E R S
R. M. C lay.......... .......................... ....P resident
R o y H. N e f f - ......................................Secretary
E verett B en tz...........................V ice-P resid en t
R o y H. N e ff---------------------- ------- -...Treasurer
F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES

L oans to M em bers.—......................... $ 1,725.25
Cash on H and and In B an ks......
475.26

T ota l___________ __________ $ 2,200.51
T otal N um ber o f M em bers June 30, 1939..91

Shares o f M em bers..........................$ 1,893.96
G u aranty or R eserve F u n d --------174.85
U ndivided P rofits..............................
7.01
Current E arnin gs :
Incom e since Jan. 1,
1939 ............- ................ _.$ 96.34
L ess E xpen ses since
Jan. 1, 1939.................
68.25
28.09
Interest Collected but N ot
95.60
E arned (if a n y )________________
Other L iabilities.................. ..............
1.00
T ota l— __________________ 4

2,200.51

T otal N um ber o f L oa n s June 30, 1939-----29

OM AHA STEEL C O -O PE R A TIV E CR ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business May 19 34
O F F IC E R S
J. C. W ick m a n ............... _...............P resident
R. L. Zim m erm an............... .............S ecretary
R. L. Zim m erm an_________ ____ T reasurer
M. J. H ess...............................V ice-P resid en t
F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES

L oan s to M em bers............................. $ 3,744.10
B onds and Other A p proved
Investm ents ............-................ - .....
1,500.00
Cash on H and and In B an ks......
784.70

Shares o f M em bers.......... ............... $ 1,269.50
D eposits o f M em bers......................
4,038.68
G u aranty or R esereve F u n d .........
102.61
U ndivided P ro fits............
292.74
Current E arn in gs :
Incom e since Jan. 1,
1939 .......... —........... ....... $ 241.14
L ess E xpen ses since
Jan. 1, 1939.....................N one
241.14
Interest C ollected but N ot
80.38
E arned (if a n y )________________
Other L iabilities___________________
3.75

T ota l....................................... $ 6,028.80

T ota l......................................$ 6,028.80

T otal N um ber o f M em bers June 30, 1939-111

T otal N um ber o f L oan s June 30, 1939...... 53

OM AHA TE A C H E R S C O -O P E R A T IV E CR ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business F ebru ary 1932
O F F IC E R S
E lsie M. Sm ith.................................. P residen t
E. D. G epson— ____________________ Secretary
R. B. B edell.............................V ice-P resid en t
E. D. G epson-------- ---------------------- T reasurer
F IN A N C IA L S T A T E M E N T JU N E 30. 1939
L IA B IL IT IE S

RESOU RCES

L oan s to M em bers........ ....................$ 22,617.10
B onds and Other A p proved
Investm ents ______ _______ ___ ___
644.82
Cash on H and and In B an ks...... 2,223.97

Shares o f M em bers______________ $ 20,545.91
D eposits o f M em bers..... ..... .......—
3,074.41'
G uaranty or R eserve F un d .........
644.82
U ndivided P ro fits ________________
39.39
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................ $1,029.60
L ess E xpenses since
Jan. 1, 1939—.............
123.23
906.37
Interest C ollected but N ot
E arned (if a n y )________________
180.00
95.00
Other L iabilities_____________________

T ota l..................................._...$ 25,485.89

T ota l.................. .................... $ 25,485.89

T otal N um ber o f M em bers June 30, 1939..252

T otal N um ber o f L oans June 30, 1939......130


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

169

D E PA R TM E N T OF BANKING
OMAR CO -O PE R A TIV E CRED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened, fo r business A pril 19 33
O F F IC E R S
H a rold P artu sch ...............................P resident
F o ste r T ry ............................... V ice-P resid en t

C harles W o rtz ....................................Secretary
Charles W o rtz ................... .................T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oans to M em bers............... _______ $ 24,525.39
856.65
Cash on H and and In B an ks___

Shares o f M em bers______________ $ 21,329.11
1,003.78
G uaranty or R eserve F un d ........
U ndivided P ro fits_________________
942.31
Current E arnin gs :
Incom e since Jan. 1,
1939 ................................ $1,122.97
L ess E xpenses since
• Jan. 1, 1939_________
177.65
945.32
Interest C ollected but N ot
1,161.52
E arned (if a n y )------------------------

Total........................... , ____ $ 25,382.04

T ota l.......... ................ ......... .$ 25,382.04

T otal N um ber o f M em bers June 30, 1939..370

T otal N um ber o f L oan s June 30, 1939....228

RE TAILER S. C O -O P E R A T IV E CR ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business F ebru ary 19 35
O F F IC E R S
A . I. Hupp.. ------------------------------ P residen t
B arbara R o b b _____________ V ice-P resid en t

E. H u ghes________________________ S ecretary
E. H ughes_________ _______________ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oans to M em bers.................... .......$ 2,957.31
Cash on H and and In B an ks___
1,899.24

Shares o f M em bers.................. s___ $ 3,823.42
D eposits o f M em bers____________
580.14
G u aranty or R eserve Fund_____
182.97
167.33
U ndivided P ro fits _________________
Current E a r n in g s :
In com e since Jan. 1,
1939 ............... .................$ 114,69
L ess E xpenses since
Jan. 1, 1939_________
12.00
102.69

T o ta l.......................................$ 4,856.55
T ota l N um ber o f M em bers June 30, 1939..36

T ota l____ ________________ 4

4,856.55

T otal N um ber o f L oans June 30, 1939......26

SK IN N ER'S EM PLO YE ES C O -O PE R A TIV E C R ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business January 1932
O F F IC E R S
H. V. J e ffre y..................................... P residen t
F. J. Phillips............................ V ice -P re sid e n t

John P. Gundersen.
John P. Gundersen..

..Secretary
.Treasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oa n to M em bers.............................$ 5,221.72
Cash on H and and In B an ks...... 2,874.38

Shares o f M em bers______________ $ 1,236.02
D eposits o f
M em bers___________
5,627.82
G u aranty or R eserve F un d_____
525.35
262.33
U ndivided P ro fits _________________
C urrent E a r n in g s :
Incom e since Jan. 1,
1939 ___ _______________$ 298.53
Less E xpen ses since
Jan. 1, 1939--------------10.60
287.93
Interest C ollected but N ot
E arned (if a n y )------------------------156.65

T ota l........ .............................. $ 8,096.10

T ota l-------------------------------- $ 8,096.10

T ota l N um ber o f M em bers June 30, 1939..83

T otal N um ber o f L oan s June 30, 1939___.48


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

170

D E PA R TM E N T OF BANKING
SOCIAL SE TTLEM EN T C O -O P E R A T IV E CR ED IT
ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business July 1931
O F F IC E R S

Jos. K o r o s J r.................................... President
Jacob R ito n y a ......................... V ice-P resid en t

Julius B og n ich ............. .......................S ecretary
Joseph K oros, S r............................. T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oan s to M em bers........ ....................$ 5,822.22
Cash on H and and In B an ks......
969.34
O ffice Building, F urniture
and F ixtu re s.................. ..................
100.00

Shares o f M em bers..........................$ 4,392.90
1,980.28
D eposits o f M em bers____ _______
G uaranty or R eserve F un d.........
383.29
U ndivided P ro fits ... ...........
24.16
C urrent E a r n in g s :
Incom e since Jan. 1,
1939 ................................ $ 160.02
L ess E xpenses since
Jan. 1, 1939....._______
49.09
110.93

T ota l...................................... $ 6,891.56

T ota l..................... ................ $ 6,891.56

T otal N um ber o f M em bers June 30, 1939..126

T ota l N um ber o f L oa n s June 30, 1939___.80

STAN D ARD FU R N AC E C O -O P E R A T IV E C R ED IT ASSOCIATION
Omaha, Nebraska
Date A ssocia tion .op en ed fo r business O ctober 19 36
O F F IC E R S
W m . H. H ibbeler, J r....................P resident
L am bert B au er-------------------- V ice-P resid en t

C lara R ou rk e.................................. ....S ecretary
C lara R ou rk e............ .........................T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES
L oa n s to M em bers............................. $
Cash on H and and In B an ks___

T ota l............................ .......... $

L IA B IL IT IE S
529.25
158.48

Shares o f M em bers______________ $
D eposits o f M em bers.......... ............
G u aranty or R eserve F un d... .........
U ndivided P ro fits ______ __________
Current E arn in gs :
Incom e since Jan. 1,
1939 .................... ..... _...? 29.98
L ess E xpen ses since
Jan. 1, 1939_________
7.30
Other L iabilities_________________ _

341.52
310.18
8.38
4.52

T ota l_________ ______ _____ $

687.73

687.73

T otal N um ber o f M em bers June 30, 1939..20

22.68
.45

T otal N um ber o f L oans June 30, 1939___ 10

STORZ E M P L O Y E E ’S C O -O PE R A TIV E C R ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business F ebru ary 1935
O F F IC E R S
W . B. W etzler.
............................ P residen t
J. F. D alin ghau s.............. -..V ice-P resid ent

F.
F.

S. Green______________ _______ S ecretary
S. G reen_____ ________________ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES
L IA B IL IT IE S
L oans to M em bers_______ ________$ 1,601.37
Shares o f M em bers..... ...... ...... ...... $
Cash on H and and In B an ks......
193.06
D eposits
o f M em bers__________
G u aranty or R eserve F un d_______
U ndivided
P ro fits _______
Current E arn in gs :
Incom e since Jan. 1,
1939 ..... ......................... $ 78.83
L ess E xpenses since
Jan. 1, 1939........ .........
5.54
Interest C ollected but N ot
E arned
(if a n y ) .................

878.35
675.15
88.58

73.29

T ota l.................................._...$ 1,794.43

T ota l_____________________ $ 1,794.43

T otla N um ber o f M em bers June 30, 1939..55

T ota l N um ber o f L oans June 30, 1939.......25


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

44.97

34.09

171

D E PA R TM E N T OF BANKING
SW IF T EM PLO YES CO -O PE R A TIV E C R E D IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business January 19 31
O F F IC E R S
B. L.
W m . R oben ______________ ________ P resident
W a y n e P ick a rd .......................V ice-P resid en t
B. L.

P rosch .................................... Secretary
P rosch ................................ ....T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oan s to M em bers________________ $ 86,594.54
B onds and Other A p proved
Investm ents ..................................... 28,180.00
Cash on H and and In B an ks_.... 9,975.84

Shares o f M em bers______________ $
D eposits o f M em bers..... .....
G uaranty or R eserve F u n d .........
U ndivided P ro fits...............
Current E arning’s :
Incom e since Jan. 1,
1939 ................................ $4,048.20
Less E xpenses since
Jan. 1, 1939........ ......... 1,112.03
Interest Collected but N ot
E arned (if a n y ).........................
Other L iabilities......................

20,655.33
93,854.77
2,421.10
1,925.88

2,936.17
2,794.58
162.55

T ota l............................... ..... .$124,750.38

T ota l................................ ..... .$124,750.38

T otal N um ber o f M em bers June 30,
1939 .................. ............................................ 1,057

T ota l N um ber o f L oan s June 30, 1939.__674

TRA N SPO R T A TIO N CLUB CO -O PE R A TIV E C R E D IT
ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business M arch 1938
O F F IC E R S
W m . B lond er__________ _________ .President
W . W . N eill........................................S ecretary
M. H. M ertens.................. .......V ice-P resid en t
W . W . N eill_______ __________ ____ T reasurer
F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES
L oan s to M em bers............... ..............$ 1,795.97
228.77
Cash on H and and In B anks___
Other R esou rces___________________
.50

L IA B IL IT IE S
Shares o f M em bers..........................$ 1,971.91
G u aranty o r R eserve F u n d _______
3.18
1.31
U ndivided P rofits............................ .
Current E a r n in g s :
Incom e since Jan. 1,
1939 ..._.............. ............. $ 46.92
L ess E xpenses since
Jan. 1, 1939_________
27.99
18.93
Interest Collected but N ot
25.90
E arned (if a n y )________________
Other L iabilities__________________
4.01

T ota l_____________________ $ 2,025.24

T ota l_____________________ $ 2,025.24

T ota l N um ber o f M em bers June 30, 1939..77

T otal N um ber o f L oan s June 30, 1939___ 37

TR IM B LE B R O TH E R S C O -O P E R A T IV E C R ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business May 19 32
O F F IC E R S
Jam es A. M iriovsky. --------------- P residen t
L en a
L lo y d B o rn -------------------------- .V ice-P resid en t
L en a

C.
C.

M iller._________________ Secretary
M iller._________________ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES
L IA B IL IT IE S
L oans to M em bers... ......................... $ 1,334.98
Shares o f M em bers............... ..........$
595.55
Cash on H and and In B an ks___
860.67
D eposits o f M em bers_________ __ ... 1,377.03
Other R esou rces___________________
22.11
G u aranty or R eserve F un d_____
137.06
U ndivided P ro fits.................. ....... ....
67.49
C urrent E arnin gs :
Incom e since Jan. 1,
1939 __________________$ 48.18
L ess E xpen ses since
Jan. 1, 1939_________
12.43
35.75
O ther L iabilities___________________
4.88
T o ta l-------------------- ----------- J

2,217.76

T ota l N um ber o f M em bers June 30, 1939..47


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T ota l--------------------------------4

2,217.76

T otal N um ber o f L oans June 30, 1939.......16

172

D E PA R TM E N T OF BANKING

U. S. D E PA R TM E N T OP A G RIC U LTU R E E M PLO YE ES C O -O PE R A TIV E
CR ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business January 19 31
O F F IC E R S
E. H. C arter........ ............................ P residen t
H. L. M arple............................ V ice-P resid en t

J.
J.

K.
F.

K r a jice k __________________ Secretary
K r a jice k __________________ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oan s to M em bers............... ..............$ 14,306.00
B onds and O ther A pproved
Investm ents _______ ________ _____
168.75
C ash on H and and In B an ks___
1,268.52

Shares o f M em bers____ _____ _____ $ 2,584.00
D eposits o f
M em bers.................... 12,186.85
G uaranty or R eserve F u n d _______
437.43
U ndivided P ro fits_________________
43.67
C urrent E arnin gs :
Incom e since Jan. 1,
1939 ..... ............... .......... $ 497.91
L ess E xpen ses since
Jan. 1, 1939........ ..... . 332.76
165.15
Interest C ollected but N ot
E arned (if
a n y )_____
326.17

.$ 15,743.27

T ota l............... .... ...................$ 15,743.27

T otal .Number o f M em bers June 30, 1939-113

T otal N um ber o f L oan s June -30, 1939......94

T otal

UTILITIES. C O -O P E R A T IV E CR ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business O ctober 19 31
O F F IC E R S
E. A. P eterson ....... ........................ P resident
A. G. B lau fu ss............... ..........V ice-P resid en t

A. E. Johnson_______ ____________ Secretary
A. E. Johnson.................................... T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oa n s to M em bers...... ............... .......$ 26,805.72
B ond s and Other A p proved
1,000.00
Investm ents ..._................................
Cash on H and and In B an ks___
1,001.70

Shares o f M em bers..........................$
D eposits o f M em bers..................
G u aranty or R eserve F un d _____
U ndivided P r o fits ...............................
Current E arnin gs :
Incom e since Jan. 1,
1939 ........ ................ .......$1,091.20
L ess E xpen ses since
Jan. 1, 1939 & Interest
P aid on D eposit...... 630.96
Interest C ollected but N ot
E arned (if a n y )---------------O ther L iabilities___________________

5,601.48
16,749.46
1,637.99
3,463.23

460.24
891.52
3.50

T ota l____________ __________$ 28,807.42

T ota l_____________________ $ 28,807.42

T otal N um ber o f M em bers June 30, 1939..353

T otal N um ber o f L oa n s June 30, 1939.__211

WOODSON CEN TER C O -O PE R A TIV E C R E D IT ASSOCIATION
Omaha, Nebraska
D ate A ssociation opened fo r business O ctober 1932
O F F IC E R S
S. D. R h on e......................................P resident
Isa a c B reak field .................. ....V ice-P resid en t

F red Toles............................................Secretary
H a rry C. G arner.......... ................ ....T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s to M em bers..................... ....... $
C ash on H and and In Banks.___

255.03
43.38

T o ta l........ ..............................$

298.41

T otal N um ber o f M em bers June 30, 1939..86


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Shares o f M em bers.........................$
G u aran ty or R eserve Fund,,........
U ndivided P ro fits _________________

251.26
20.77
26.38

T ota l_____________________ $

298.41

T ota l N um ber o f L oan s June 30, 1939.... 12

D E PA R TM E N T OF BANKING

173

W O R L D -H E R A L D E M P L O Y E E ’S. CO -O PE R A T IV E CR ED IT ASSOCIATION
Omaha, Nebraska
Date A ssociation opened fo r business N ovem ber 1932
O F F IC E R S
G eorge G rim es___________________ President
D. W . Calvert........................V ice-P resid en t

N. Jean Caine.....................................S ecretary
R . A. Ja cob sen ___________________T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers............................. $ 16,324.12
B onds and Other A p proved
1,293.75
Investm ents ..... .............................
2,736.14
Cash on H and and In B an ks......

Shares o f M em bers... .....................$ 15,693.61
790.79
D eposits o f M em bers........ .......
G u aranty or R eserve
F u n d _____
1,550.78
946.00
U ndivided P ro fits ......... .....................
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................$ 851.32
L ess E xpen ses since
Jan. 1, 1939........ ......... 213.24
638.08
Interest C ollected but N ot
E arned
(if a n y )_______...________
734.75

T otal.—.................................. 4 20,354.01

T ota l_______.......___........____4 20,354.01

T ota l N um ber o f M em bers June 30, 1939..260

T otal N um ber o f L oans June 30, 1939....145

FARM ERS. UNION CO -O PE R A TIV E CRED IT ASSOCIATION
R ichland, Nebraska
Date A ssociation opened fo r business June 1935
O F F IC E R S
J. L. V . R ick e rt.......... ...................... President
Geo. E n gel.................................V ice-P resid en t

W a lte r B urgess________ __________ Secretary
W alter B urgess................................T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES
L oan s to M em bers............. . ...........$
Cash on H and and In B an ks-----

755.00
100.54

T o ta l_____________________ $

855.54

T ota l N um ber o f M em bers June 30, 1939..38

L IA B IL IT IE S
Shares o f M em bers............ _.
$
D eposits o f M em bers____________
G u aranty or R eserve F u n d ____
U ndivided P ro fits........ .....
Current E a r n in g s :
Incom e since Jan. 1,
1939 __________________$
8.81
L ess E xpen ses since
Jan. 1, 1939_________
5.10
T otal.__ __________________ $

446.20
352.01
53.95
.17

3.21
855.54

T ota l N um ber o f L oans June 30, 1939___ 5

F A R M E R S UNION C O -O PE R A TIV E C R E D IT ASSOCIATION
Strom sburg, Nebraska
Date A ssociation opened fo r business D ecem ber 1936
O F F IC E R S
C. R. T im m ___________ _________ P resident
A. W . Johnson_____________ V ice-P resid en t

A. S. T orell_______ _______________S ecretary
C. T. M oline.__________ ___________ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oan s to M em bers............................. $
Cash on H and and In B an ks-----

280.00
.95

T o ta l............................_____ $

280.95

T ota l N um ber o f M em bers June 30, 1939..18


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Shares o f M em bers______________ $ . 180.00
D eposits o f M em bers____________
90.00
G u aranty or R eserve F un d _____
2.57
U ndivided P ro fits____________________
1.03
Current E a r n in g s :
Incom e since Jan. 1,
1939 ............................_...$ 16.75
L ess E xpen ses since
Jan. 1, 1939_________
9.40
7.35
T ota l_____________________ $

280.95

T ota l N um ber o f L oans June 30, 1939___.3

174

D EPAR TM E N T OF BANKING
ARM O U R SU PERIO R C O -O PERA TIVE C R ED IT ASSOCIATION
Superior, Nebraska
Date A ssociation opened fo r business O ctober 1933
O F F IC E R S

Ila M illion............................. ............ .President
E. F. D arnell______________V ice-P resid en t

S. F. S chaer......... ...............................Secretary
S. F. Schaer._____________________ T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES
L oans to M em bers.............................$
Cash on H and and In B an ks___

T ota l_____________________ $

L IA B IL IT IE S
632.45
194.94

Shares o f M em bers___________ ____$
G u aranty or R eserve F u n d ____
U ndivided P ro fits_____________
Current E a r n in g s :
Incom e since Jan. 1,
1939 ...___ __ __ _______ $ 61.85
L ess E xpen ses since
Jan. 1, 1939_________
14.73
Other L iabilities---------------------------

704.72
65.36
1.99

T ota l_____________________ $

827.39

827.39

T otal N um ber o f M em bers June 30, 1939..36

47.12
8.20

T otal N um ber o f L oans June 30, 1939___ 13

Y O R K COUNTY F A R M E R S UNION C O -O PE R A TIV E CR E D IT
ASSOCIATION
Y ork , Nebraska
Date A ssociation opened fo r business January 1938
O F F IC E R S
J. D. B row n _____________________ P resident
Geo. G laystein______________V ice-P resid en t

C. E. Jenkins_______________ ____ S ecretary
C. E. Jenkins____________________ T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
L IA B IL IT IE S

RESOU RCES
Cash on H and and In B an ks......$
O ffice B uilding, Furniture
and F ixtu res.....................................

31.40

T ota l_____________________ $

45.59

14.19

T ota l N um ber o f M em bers June 30, 1939..17


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

Shares o f M em bers_________ __ __$
U ndivided P rofits_________________
Current E a r n in g s :
Incom e since Jan. 1,
1939 ___________________ None
L ess E xpen ses since
Jan. 1, 1939___ ______
6.93
T otal__ __________________ 4

48.12
4.40

—6.93
45.59

T otal N um ber o f L oans June 30, 1939..None

D E PAR TM E N T OF BANKING
C O M P A R A T IV E

STATEM ENT

O P R E S ID E N T IA L
A S S O C IA T IO N S

June 30, 1937
(95 A ssn ’s)

ASSETS

175

C O -O P E R A T IV E

Dec. 31, 1937
(92 A ssn ’s)

C R E D IT

Dec. 31, 1938
(92 A ssn ’s)

June 30, 1939
(91 A ssn ’ s)

L oa n s to M em bers.... ................ ....... $489,300.83
B onds & Other Investm ents........ 109,626.37
Cash on H and & in Banks.......... 958,394.13
O ffice B ldg. Fur. & Fixtures..._...
28,347.54
10,883.11
D e ficits in E arn in gs... ........... . .....
Other A ssets_________ ________
3,820.88

$485,217.41
117,772.45
827,652.98
29,680.51
8,609.54
2,247.03

$474,051.44
108,172.21
760,161.71
31,248.87
844.80
2,011.65

$485,103.11
121.487.48
819,619.64
28,995.20
605.76
3,823.33

T o ta l.............................. __ $1,600,372.86

$1,471,159.92

$1,376,490.68

$1,459,634.52

Shares o f Members.™................ .....$ 228,954.18
D eposits o f M em bers................. ...... 1,358,769.42
4,473.42
G u aranty o r R eserve Fund......
U ndivided P ro fits.............. .........
5,892.94
Current E arn in gs.........................
1,127.52
1,155.38
O ther L iabilities...........................

$225,425.95
1,230,155.58
5,766.86
9,046.99

$211,029.23
1,139,520.76
7,723.26
12,268.16

764.54

5,949.27

$205,247.35
1,228,764.26
8,383.67
11,399.46
6,270.21
1,569.57

T o ta l.............................. .... $1,600,372.86

$1,471,159.92

$1,376,490.68

$1,459,634.52

L IA B IL IT IE S

T ota l M em bership.... ..................
T otal N um ber o f O utstanding
L oa n s ............_..... ....................... ......
A v e ra g e A m ou nt each outstand ing loan...................... ...... .......

10,140

9,432

9,690

9,698

3,004

2,6S6

2,883

3,212

$163.00

$181.00

$130.00

$151.00

Incom e fo r p eriod Ja n u a ry 1, 1939 to June 30, 1939..................
...........$59,170.28
E xpenses and Interest P aid on D eposits fo r P e rio d ............... .................. ______ 52,900.07
N et E arn in gs fo r P eriod ..... .................................... ............... ...................................................._$ 6,270.21
A S S O C IA T IO N S

O R G A N IZ E D

OR

D IS C O N T IN U E D

D U R IN G

B IE N N IU M

Ju ly 1, 1937 to June 30, 1939
C ertificates o f A p p rov a l to organ ize issued to the
association s during biennium ending June 30, 1939;
No.
No.
N o.
No.

224
225
228
230

follow in g

co-p era tive

credit

Surprise C o-operative C redit A ssociation .................. ....Surprise ..... ......_.5-13-38
R ock ville C o-op erativ e C redit A ssociation ...... ...... ....... R ock ville .......
5-28-38
N ap er C o-op erative C redit A ssociation ........................ N ap er __________ 11-30-38
A rth ur C oun ty C o-operative C redit A sso cia tio n .............A rth u r ................6- 6-39

T ota l num ber o f R esidential association s organized during biennium ____________ 4
A S S O C IA T IO N S
No.
No.
No.
No.
No.
No.

108
187
73
116
120
219

D IS C O N T IN U E D

D U R IN G

B IE N N IU M

E N D IN G

JU N E 30, 1939 ;

B ertran d C o-op erative C redit A ss’n __________B ertran d ......................Vol. Liq.
H a da r C o-operative C redit A ss’n_________ ____H a d a r ______________ .Vol. Liq.
L eigh C o-op erative C redit A ss’n_____________ L eigh ____________
V ol. Liq
L y n ch C o-op erative Credit A ss’n_____________ L y n ch _____
R eceiver
O sm ond C o-op erative C redit A s s ’n____________Osm ond
.....V ol Liq
M adison C o-op erative Credit A ss’n______ ___ __M adison _______
V ni' i j q '

T ota l nu m ber o f associa tion s p laced in liqu idation or receivership d uring Biennium..6
A ssociation s discontinued d uring B ien n iu m
by
cancellation
A p prov al due to failu re to p erfect organi z a tio n s ;

C ertificates

of

No. 228 N ap er C o-op erative C redit A ssociation, N aper._______________________________

1

T otal num ber o f R esidential A ssociation s June 30, 1939

of

...................... ...............................92

T otal num ber o f associa tion s reporting assets June 30, 1939

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

....91

The A rth u r C oun ty C o-op erative Credit A ssociation , A rthur, N ebraska, to whom
ce rtifica te o f a p p roval w as issued 6-6-39 reported no assets 6-30-39 but has since
opened up fo r business.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

176
A B IE

C O -O PE R A TIV E C R E D IT ASSOCIATION
Abie, Nebraska
Date A ssociation opened fo r business January 1935
O F F IC E R S
Chas. D ocek al...................................President
W . J. F ra n ta .....................V ice-P resid en t

F. J. S vobod a....................................Secretary
F. J. S vobod a ................ ....................T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans to M em bers............................. $ 2,855.97
C ash on H and and In B an ks...... 5,296.71
O ffice Building, F urniture
and F ix tu re s.............. .................... .
1,025.00
2.51
Other R esou rces......................... ......

Shares o f M em bers..........................$ 1,280.00
D eposits o f M em bers.................. —
7,610.12
G uaranty or R eserve F un d.........
103.65
131.61
U ndivided P ro fits ---- --------------------C urrent E a r n in g s :
Incom e since Jan. 1,
1939 .......... ......................$ 392.01
L ess E xpenses since
Jan. 1, 1939.................
310.17
51.81

T ota l.................. .................... $ 9,180.25

T ota l............... ......... ..............$ 9,180.25

T otal N um ber o f M em bers June 30, 1939..61

T otal N um ber o f L oa n s June 30, 1939......22

ALLEN

C O -O PE R A TIV E C R ED IT ASSOCIATION
A llen, Nebraska
Date A ssociation opened fo r business D ecem ber 1934
O F F IC E R S
W . R . E llis............. .’..................._..... P resident
J. R. G raham ..........................V ice-P resid ent
F IN A N C IA L

M illard
M illard

STATEM ENT

M. Martin...........................S ecretary
M. M artin..........................T reasurer

JU N E

30, 1939

RESOU RCES

L IA B IL IT IE S

L oans to M em bers........................... $ 18,626.11
B onds and Other A p proved
Investm ents ....................................... 4,217.70
Cash on H and and In B anks...... 24,026.01
Furniture and F ixtu res
126.65

Shares o f M em bers.....................— $ 9,426.24
D eposits o f M em bers____________ 34,920.12
G u aranty or R eserve F un d-----------748.09
U ndivided P ro fits ............................ —
447.49
A d dition al R eserve fo r
C ontingencies ___ _______ __ - .........
500.00
C urrent E arn in gs :
Incom e since Jan. 1,
1939 ................................$2,475.80
L ess E xpen ses since
Jan. 1, 1939................. 1,596.99
878.81
Interest C ollected but N ot
E arned (if a n y )............
67.40
Other L iabilities_,............................
8.62

T ota l.......................................$ 46,996.77

T ota l........................... ...........$ 46,996.77

T otal N um ber o f M em bers June 30, 1939..251

T otal N um ber o f L oans June 30, 1939......67

ANSELM O C O -O P E R A T IV E C R ED IT ASSOCIATION
A nselm o, Nebraska
Date A ssociation opened fo r business O ctober 19 34
O F F IC E R S
K. K. K u ll.............................. ...........P resident
E arl G raybeal.
........... V ice-P resid en t
F IN A N C IA L

E.
E.

J.
J.

STATEM ENT

F o le y .......................................Secretary
F oley................ ............... ........T reasurer
JU N E

30, 1939

RESOURCES

L IA B IL IT IE S

L oan s to M em bers............................. $ 1,080.18
B onds and O ther A p proved
Investm ents ____________________
571.25
C ash on H and and In B an ks..... 7,360.35
F urniture and F ixtu res_______
207.43

Shares o f M embers........... ............$
983.75
D eposits o f M em bers......................
8,238.91
G u aranty or R eserve F u n d .........
14.00
U ndivided P ro fits____________
3.54
Current E arnin gs :
Incom e since Jan. 1,
1939 ................................ $ 417.90
L ess E xpen ses since
Jan. 1, 1939.................. 438.92
—21.02

Total..... .... .............................$ 9,219.21

T ota l..... .... ............................ $ 9,219.21

T otal N um ber o f M em bers June 30, 1939..82

T ota l N um ber o f L oans June 30, 1939......14


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

177

D EPAR TM E N T OF BANKING
A R C H E R C O -O PERA TIVE C R E D IT ASSOCIATION
A rcher, Nebraska
Date A ssociation opened fo r business Septem ber 1934

O F F IC E R S
..........P resident
W . P. H ansen____________________S ecretary
.V ice-P residen t
W . P. H ansen____________________T rea su rer

J. P. M iller__
A. L. F razier.

F IN A N C IA L

STATEM ENT

JU N E

30, 1939

RESOURCES

L IA B IL IT IE S

L oans to M em bers____________ ___ $ 17,508.86
B onds and Other A p proved
Investm ents - ____________________
100.00
7,669.45
Cash on H and and In B an ks----F urniture and F ixtu re s__________
790.00
Other R esou rces..................................
25.71

Shares o f M em bers______________ $ 4,673.57
D eposits o f M em bers____ _______ 20,286.73
G u aranty or R eserve F un d ------156.55
779.68
Undivided P ro fits___ __
Current E a r n in g s :
Incom e since Jan. 1,
1939 ....................... .... „...$1,059.17
L ess E xpen ses since
Jan. 1, 1939_________
861.68
197.49

T ota l_____________________ $ 26,094.02
T ota l N um ber o f M em bers June 30, 1939..192

|

T ota l.......................................$ 26,094.02
T otal N um ber o f L oans June 30, 1939.___83

BARNESTO N C O -O PE R A TIV E CRED IT ASSOCIATION
Barneston, Nebraska
Date A ssociation opened fo r business June 1934
O F F IC E R S
G eorge W . S ch n eflock................... P residen t
G eorge M on felt........ ...............V ice-P resid en t
F IN A N C IA L

A n th on y M alicky.________________S ecretary
A n th on y M alick y .............................T rea su rer

STATEM ENT

JU N E

30. 1939

RESOU RCES

L IA B IL IT IE S

L oans to M em bers.........................— $ 6,878.72
B onds and O ther A p proved
Investm ents ________________ -—
2,500.00
Cash on H and and In B an ks----- 5,486.24

Shares o f M em bers______________.$ 2,450.00
D eposits o f M em bers.____________ 12,325.94
G u aran ty or R eserve F un d_____
50.04
U ndivided P rofits____
141.53
Current E a r n in g s :
Incom e since Jan. 1,
1939 ..... ...................„.......$ 401.61
Less E xpen ses since
Jan. 1, 1939_______ __ 504.16
—102.25

T o ta l____________________ $ 14,864.96

T ota l____________________ $ 14,864.96

T otal N um ber o f M em bers June 30, 1939..100

T otal N um ber o f L oan s June 30, 1939___ 27

BATTLE

C R E E K CO -O PE R A TIV E C R E D IT ASSOCIATION
Battle Creek, Nebraska
Date A ssociation opened fo r business N ovem ber 1934

O F F IC E R S
H. F . W a lz ...................................... ....P residen t
Geo. E. Richardson....
W . C. T ra u b_______________ V ice-P resid en t
Geo. E. R ichardson.
F IN A N C IA L

S T A T E M E N T JU N E

.Secretary
T reasurer

30, 1939

RESOURCES

L IA B IL IT IE S

L oa n s to M em bers_______ ______ — $ 6,192.00
B onds and Other A p proved
Investm ents ____________________
760.37
Cash on H and and In B an ks------- 20,011.60
F urniture and F ixtu res__________
350.00
Other R esou rces___________________
495.20

Shares o f M em bers------- -------------- $ 3,430.00
D eposits o f M em bers.____________ 23,154.30
G u aran ty or R eserve F u n d -------264.30
U ndivided P rofits____________
792.87
C urrent E arnin gs :
Incom e sin ce Jan. 1,
1939 ..... .......................... $1,139.32
L ess E xpen ses since
Jan. 1, 1939_________
971.62
167.70

T ota l________________ _____.$ 27,809.17

T ota l............... ........................$ 27,809.17

T ota l N um ber o f M em bers June 30, 1939..144

T ota l N um ber o f L oa n s June 30, 1939.___32


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

178

D E PAR TM E N T OF BANKING
B E A V E R CROSSING CO -O PE R A TIV E CREDIT' ASSOCIATION
Beaver C rossing, Nebraska
Date A ssociation opened for business July 1934
O F F IC E R S

J. R. B arnes.......................................President
W . R . Harling-,........................ V ice-P resid en t
F IN A N C IA L

L. C. Geis.
H elen Ross..

STATEM ENT

JU N E

.Secretary
T reasurer
30, 1939

RESOU RCES

L IA B IL IT IE S

L oans to M em bers.............,............7,172.75
B onds and Other A p proved
Investm ents ....... ................................ 5,270.21
Cash on H and and In B an ks...... 20,298.53
O ffice B uilding, F urniture
and F ixtu res............................
1,675.00
Other R esou rces.... .......
48.90

Shares o f M em bers..........................$ 4,136.70
D eposits o f M em bers....................... 29,454.21
G uaranty or R eserve Fund..._.....
304.24
U ndivided Profits...________ ......__
497.94
Current E arnin gs :
Incom e since Jan. 1,
1939.... ..............................$1,004.60
L ess E xpen ses since
Jan. 1, 1939................... 934.78
69.82
Other L iabilities.................. , ........... .
2.48

T ota l......................................$ 34,465.39

T ota l..... ................................. $ 34,465.39

T ota l N um ber o f M em bers June 30, 1939..226

T otal N um ber o f L oan s June 30, 1939..... .65

BEE C O -O PE R A TIV E C R ED IT ASSOCIATION
Bee, Nebraska
Date A ssociation opened fo r business July 19 34
O F F IC E R S
Joseph V am p ola.................. ..............P resident
F ra n k Cuda..............................V ice-P resid en t
F IN A N C IA L

R udolph Strunc................................... S ecretary
R udolph Strunc................. ................ T reasurer

STATEM EN T

JU N E

30, 1939

RESOURCES

L IA B IL IT IE S

L oans to M em bers........ ...... .......... .$ 12,701.53
B onds and Other A p proved
■ Investm ents .......
.507.97
Cash on H and and In B an ks___ 10,707.34
F urniture and F ixtu re s...................
466.20
O ther R esou rces...............
108.10

Shares o f M em bers..........................$ 4,370.00
D eposits o f M em bers__ _ ______ 19,957.32
G u aranty or R eserve F un d............
150.00
U ndivided P rofits.—.............. ..........
31.10
Current E arnin gs :
Incom e since Jan. 1,
1939 ................................ $ 686.75
L ess E xpen ses since
704.03
—17.28
Jan. 1, 1939.............. .

T ota l.......................................$ 24,491.14

T ota l___________ ______ ____$ 24,491.14

T ota l N um ber o f M em bers June 30, 1939..114

T otal N um ber o f L oan s June 30, 1939___ 67

B E LG R A D E C O -O PE R A TIV E C R E D IT ASSOCIATION
B elgrade, Nebraska
Date A ssociation opened for business N ovem ber 19 34
O F F IC E R S
G. W . B artlett................................ P resident
J. H. M oon......................... .......V ice-P resid en t
F IN A N C IA L

E. E. N ickerson............. ..................S ecretary
E. E. N ick erson ................................ T reasurer

STATEM ENT

RESOURCES
L oa n s to M em bers........ — ............... $ 5,422.69
B onds and Other A p proved
Investm ents ...............
2,593.00
Cash on H and and In B an ks......... 6,350.70
F urniture and F ixtu res........ -.........
160.04
Interest E arned but U ncollected
(if a n y )................................
113.26
O ther R esou rces.............
36.09

JU N E

SO, 1939

L IA B IL IT IE S
Shares o f M em bers..........................$ 1,869.53
Deposits o f M em bers.... .................. 12,157.99
G u aranty or R eserve F u n d .........
93.06
U ndivided P ro fits ............. _...............
320.12
Current E arnin gs :
Incom e since Jan. 1,
1939 ................................ $ 764.26
L ess E xpen ses since
Jan. 1, 1939............... . 529.18
235.08

T ota l______________ _______ $ 14,675.78

T ota l— .... ................. ............ $ 14,675.78

T ota l N um ber o f M em bers June 30, 1939..102

T ota l N um ber o f L oan s June 30, 1939...... 54


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D EPAR TM E N T OF BANKING

17 9

BE LLW O O D C O -O PERA TIVE CRED IT ASSOCIATION
B ellw ood, Nebraska
Date A ssociation opened for business O ctober 19 34
O F F IC E R S
A lfre d G.
A dolph C.

P e ck ..............................P residen t
K osch .............. ....V ice-P resid en t
F IN A N C IA L

O. A. B randenburgE ....i___ _____ ...Secretary
O. A. B randenburgh........................T reasurer

STATEM ENT

RESOURCES
L oan s to M em bers________ ______ 12,757.20
Cash on H and and In Banks.,.... 12,933.78

JU N E

30. 1939
L IA B I L I T I E S

Shares o f M em bers........ ................$ 4,560.00
D eposits o f M em bers.................. _... 20,576.16
92.78
G uaranty or R eserve F un d ............
U ndivided P rofits______ ,_________
239.33
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................ $ 827.15
Less E xpen ses since
Jan. 1, 1939........ ......... 604.71
222.41

T ota l.................. ................... $ 25,690.98

Total.................... ...................$ 25,690.98

T ota l N um ber o f M em bers June 30, 1939..117

Total N um ber o f L oa n s June 30, 1939..... .55

B E L V ID E R E C O -O PE R A TIV E C R E D IT ASSOCIATION
Belvidere, Nebraska
Date A ssociation opened fo r business June 1934
O F F IC E R S
J. C. P epp erl..................................... P resident
E. P. D ill__________________V ice-P resid en t
F IN A N C IA L

H. M. T hom pson_______ __________Secretary
H. M. T hom pson......................... ....T reasurer

STATEM ENT

JU N E

30. 1939

RESOURCES

L IA B IL IT IE S

L oans to M em bers________________ $ 3,787.52
Cash on H and and In B anks___
.8,155.41

Shares o f M em bers......................... $ 1,000.00
D eposits o f M em bers...................... 11,030.74
G uaranty or R eserve F u n d .............
15.75
U ndivided P ro fits........ ................
.34
Current E a r n in g s :
Incom e since Jan. 1,
1939 ..... .......................... $ 328.18
L ess E xpen ses since
Jan. 1, 1939........ .... .... 132.08
—103.90

T ota l......................... ..............$ 11,912.93

T ota l......................................$ 11,942.93

T otal N um ber o f M em bers June 30, 1939..75

T ota l N um ber o f L oa n s June 30, 1939.___33

BLOOMINGTON CO -O PE R A TIV E CR ED IT ASSOCIATION
B loom in gton, Nebraska
Date A ssociation opened fo r business N ovem ber 19 35
O F F IC E R S
Geo. Strangm an. ....... .................... P resident
Chas. Gardner._____________ V ice-P resid en t
F IN A N C IA L

B ula H a le...........................................S ecretary
B u la H ale________________________ T reasurer

STATEM ENT

RESOU RCES
Cash on H and and In B a n k a ___$ 1,121.81

JU N E

30. 1939
L IA B IL IT IE S

Shares o f M em bers............................ $
D eposits o f M em bers.................. ....
Current E arnin gs :
Incom e since Jan. 1,
1939 .................................$ 116.25
L ess E xpen ses since
Jan. 1, 1939.................
68.49

204.65
869.40

47.76

T ota l.... .................... ............. $ 1,121.81

T ota l............................ .......... $ 1,121.81

T ota l N um ber o f M em bers June 30, 1939..30

T o ta l N um ber o f L oans June 30, 1939-None


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

180

BRUNO C O -O PE R A TIV E C R E D IT ASSOCIATION
Bruno, Nebraska
Date A ssociation opened fo r business June 1934
O F F IC E R S
John S patz.......................................... P residen t
E d w ard V a v rin a .......... ............V ice-P resid en t
F IN A N C IA L

E dw ard B rt______________________ S ecretary
E dw ard B rt............... — ......... .......... T reasurer

STATEM ENT

JU N E

30, 1939

RESOURCES

L IA B IL IT IE S

L oan s to M em bers............_............... $ 6,906.00
B onds and O ther A p proved
Investm ents ---------------------------767.20
Cash on H and and In B an k s...... 4,936.15
O ffice Building, F urniture
and F ixtu re s____________________
780.00
Interest E arned but U ncollected
(i f a n y )__________________________
8.95
Other R esou rces------------111.82

Shares o f M em bers..........................$ 1,990.00
D eposits o f M em bers____ „........... 11,447.24
G u aranty or R eserve F u n d -------15.80
94.86
U ndivided P ro fits ____ ____________
Current E arnin gs :
Incom e since Jan. 1,
1939 ___________ ______ $ 680.59
L ess E xpen ses since
Jan. 1, 1939................. 718.37
—37.78

T ota l... ...................................$ 13,510.12

Total........................................$ 13,510.12

T ota l N um ber o f M em bers June 30, 1939.112

T ota l N um ber o f L oan s June 30, 1939......36

BU SHNELL C O -O PE R A TIV E CR ED IT ASSOCIATION
Bushnell, Nebraska
Date A ssociation opened fo r business F ebru ary 19 34
O F F IC E R S
M att T om ich.............. ...... .................. P residen t
Jim B og le___________________ .V ice-P resid en t
F IN A N C IA L

H.
H.

C. A m os.......................................S ecretary
C. A m os— .................... - ............T reasurer

STATEM ENT

JU N E

30, 1939

RESOURCES

L IA B IL IT IE S

L oan s to M em bers-------------- --------- $ 11,106.72
B onds and O ther A p proved
Investm ents ------------1,519.13
Cash on H and and In B an ks------- 18,161.84
O ffice B uilding, Furniture
and F ixtu res____________________
242.31
131.71
O ther R esou rces.........................

Shares o f M em bers................ ...........$ 3,004.34
D eposits o f M em bers........ ............. 27,901.29
G uaranty or R eserve F u n d .........
38.60
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................ $ 832.66
L ess E xpen ses since
Jan. 1, 1939................. 615.18
217.48

T o ta l_____________________ $ 31,161.71

T ota l............... .......................? 31,161.71

T otal N um ber o f M em bers June 30, 1939..105

T ota l N um ber of. L oans June 30, 1939-----85

BYRO N C O -O P E R A T IV E C R ED IT ASSOCIATION
B yron, Nebraska
Date A ssociation opened fo r business May 19 34
O F F IC E R S
Theo. R e ck e w e y __________________P residen t
Otto Jen s....................................V ice-P residen t
F IN A N C IA L

A.
A.

E. Pailing...---------------------------- Secretary
E. P a ilin g ............................ _ .... T reasurer

STATEM EN T

JU N E

30, 1939

RESOURCES

L IA B IL IT IE S

L oan s to M em bers..... - ........... .......... $ 19,461.83
B on d s and O ther A p proved
Investm ents ____________________
9,300.00
C ash on H and and In B an ks..... 28,380.05
O ffice B uilding, F urniture
and F ixtu re s____________________
1.00

Shares o f M em bers..........................$ 6,453.00
D eposits o f M em bers
- ............... 49,621.01
G u aranty or R eserve F u n d ............
300.00
U ndivided P ro fits..... ...................—
500.00
Current E arnin gs :
Incom e since Jan. 1,
1939 _________________ $1,274.86
L ess E xpen ses since
Jan. 1, 1939______ __1,167.99
106.87
Other L iabilities ......... -.............—
162.00

T o ta l.......................................$ 57,142.88

T ota l.......................................$ 57,142.88

T ota l N um ber o f M em bers June 30, 1939..221

T otal N um ber o f L oan s June 30, 1939......74


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

181

C A R R O L L CO -O PE R A TIV E CR ED IT ASSOCIATION
C arroll, Nebraska
Date A ssociation opened fo r business O ctober 1934
O F F IC E R S
D avid T heophilus
.........................President
H. J. B redem eyer........ .... ..... V ice-P resid en t
F IN A N C IA L

W.
W.

R. Scribner.
R. Scribner..

STATEM ENT

JU N E

.S ecretary
T reasurer

30, 1939

RESOURCES

L IA B IL IT IE S

Cash on H and and In B an ks......$ 6,854.12

995.00
Shares o f M em bers______________ $
D eposits o f M em bers------------------- 5,726.44
G uaranty or R eserve F u n d -------50.69
U ndivided P ro fits_________________
37.02
Current E a r n in g s :
Incom e since Jan. 1,
1939 .................. .............$ 368.44
Less E xpenses since
Jan. 1, 1939................
323.47
44.97

T ota l_____________________ $ 6,854.12

T ota l.......................................$ 6,854.12

T otal N um ber o f M em bers June 30, 1939..37

T otal N um ber o f L oan s June 30, 1939..None

CH APM AN CO -O PE R A TIV E C R E D IT ASSOCIATION
Chapman, Nebraska
Date A ssociation opened fo r business Septem ber 1934
O F F IC E R S
........... P resident
.V ice-P residen t

Claus Ruge.
V . C. Riggs..

F IN A N C IA L

D. E. M agnu son.................................Secretary
D. E. M agnu son................................ T reasurer

STATEM ENT

RESOURCES
L oans to M em bers... ......................... $ 28,205.43
B onds and Other A p proved
Investm ents .......
16,214.80
Cash on H and and In B an ks_____ 16,598.72
O ffice B uilding, F urniture
and F ixtu re s_________
240.00
Other R esou rces___________________
40.94

JU N E

30, 1939

L IA B IL IT IE S
Shares o f M em bers......................... $ 8,586.35
D eposits o f M em bers____________ 51,049.86
G u aranty or R eserve F un d----------670.00
U ndivided P ro fits _________________
734.35
Current E a rn in g s:
Incom e since Jan. 1,
1939 ______________ ___ $1,840.68
L ess E xpen ses since
259.33
Jan. 1, 1939................. 1,581.35

T o ta l_____________________ ? 61,299.89

T ota l_______________ ______ $ 61,299.89

T otal N um ber o f M em bers June 30, 1939-214

T otal N um ber o f L oans June 30, 1939.___149

CH E STE R C O -O PE R A TIV E CRED IT ASSOCIATION
Chester, Nebraska
Date A ssociation opened fo r business Septem ber 19 34
O F F IC E R S
E. F. W o o d a rd ______________ ___P residen t
John S. C rouse......................V ice-P resid en t
F IN A N C IA L

STATEM EN T

JU N E

30, 1939
L IA B IL IT IE S

RESOURCES
L oan s to M em bers.------------------------ $
B onds and O ther A p proved
Investm ents _____________________
C ash on H and and In B an ks---O ffice B uilding, F urniture
and F ixtures.____________________

G. D. V a n C leef............................ — S ecretary
G. D. V an Cleef................................. T reasurer

13,480.78
3,955.86
15,404.68
2,725.00

Shares o f M em bers--------------------- $ 5,289.00
D ep osits o f M em bers____________ 30,090.26
G u aran ty or R eserve F u n d ------49.10
U ndivided P rofits.------------------------101.54
C urrent E a r n in g s :
Incom e since Jan. 1,
1939 __________________$1,019.13
L ess E xpen ses since
Jan. 1, 1939_________
982.71
36.42

T ota l.......................................$ 35,566.32

T ota l.................................. _...$ 35,566.32

T ota l N um ber o f M em bers June 30, 1939..187

T otal N um ber o f L oan s June 30, 1939......56


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PAR TM E N T OF BANKING

182

CORD O VA CO -O PE R A TIV E C R E D IT ASSOCIATION
C ordova, Nebraska
Date A ssociation opened for business July 1935
O F F IC E R S
E rnest Jensen........ ............................P resident
C arl Jensen____ _____ _______ .V ice-P residen t
F IN A N C IA L

A lm a H ansen..............
A lm a H ansen...............

STATEM EN T

JU N E

..Secretary
.T reasurer

30, 1939

RESOURCES

L IA B IL IT IE S

L oans to M embers................. ............$
810.00
Cash on H and and In B an ks----- 13,670.97
O ffice Building, Furniture
and F ix tu re s____________________
137.50

Shares o f M em bers_____________ .$ 1,530.00
D eposits o f M em bers...................... 13,076.44
Current E arnin gs :
Incom e since Jan. 1,
1939 ..._............................ $ 307.79
L ess E xpen ses since
Jan. 1, 1939_________
307.79
None
12.03
Other L iabilities................... .............

T o ta l_____________________ .$ 14,618.47

T ota l.......................................$ 14,618.47

T ota l N um ber o f M em bers June 30, 1939..54

T otal N um ber o f L oan s June 30, 1939___ 7

CO RTLAND

C O -O PE R A TIV E CR ED IT ASSOCIATION
C ortland, Nebraska
Date A ssociation opened for business July 1934
O F F IC E R S

B. B. Jackson
G. B. S cott......

.................... P residen t
________V ice-P resid en t
F IN A N C IA L

H en ry L. R iley .................................S ecretary
H en ry L. R ile y ............................ —..Treasurer

STATEM EN T

JU N E

30, 1939

RESOURCES

L IA B IL IT IE S

L oan s to M em bers............................. $ 6,325.79
B onds and O ther A p proved
3,606.53
Investm ents ____________________
Cash on H and and In B an ks---- 10,636.32
2.32
Other R esou rces________

Shares o f M em bers........ _............... $ 3,197.50
D eposits o f M em bers....................... 17,439.32
31.50
G u aranty or R eserve F un d ............
Current E arn in gs :
Incom e since Jan. 1,
1939 .......... ......................$ 545.53
L ess E xpenses since
Jan. 1, 1939..... ........... 642.89
—97.36

T ota l_______ __ ___________ $ 20,570.96

T ota l.......................................$ 20,570.96

T otal N um ber o f M em bers June 30, 1939..125

T otal N um ber o f L oans June 30, 1939......57

CO TESFIELD C O -O PE R A TIV E CR ED IT ASSOCIATION
C otesfield, Nebraska
Date A ssociation opened for business O ctober 19 34
O F F IC E R S
Al. N. W ie n rich ............... ...... ..........P resident
R ay m on d P a rk er ................V ice-P resid en t
F IN A N C IA L

A rch ie
A rch ie

STATEM EN T

K. Coom bs.
K. Coombs..
JU N E

..Secretary
.T reasurer

30, 1939

RESOURCES

L IA B IL IT IE S

L oa n s to M em bers ............. ....... — $ 10,184.06
B onds and Other A p proved
Investm ents ..........
5,702.28
C ash on H and and In B an ks------- 15,616.05
O ffice Building, Furniture
and F ixtu res_____________________
278.00
Other R esou rces......................
82.96

Shares o f M em bers... ...................... $ 4,494.63
D ep osits o f M em bers....................... 27,042.78
G u aran ty or R eserve F un d...........
135.00
U ndivided P ro fits...............................
96.62
Current E a r n in g s :
Incom e since Jan. 1,
1939 ........ - ........... .... ..... $ 594.39
L ess E xpenses since
Jan. 1, 1939................. 501.52
92.87
Other L iabilities___________________
1.45

T o ta l.......................................$ 31,863.35
T ota l N um ber o f M em bers June 30, 1939..162


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

T ota l............................... ....... $ 31,863.35
T otal N um ber o f L oan s June 30, 1939.

D E PA R TM E N T OF BANKING

183

COW LES CO -O PE R A TIV E CR ED IT ASSOCIATION
C ow les, Nebraska
Date A ssociation opened fo r business N ovem ber 1934
O F F IC E R S
H. G. M orse.......................................P residen t
L ester B oom er._____________ V ice-P resid en t
F IN A N C IA L

Chas. C. B ennett------------------------Secretary
Chas. C. B ennett------------------------- T reasurer

STATEM ENT

JU N E

30. 1939

RESOURCES

L IA B IL IT IE S

Cash on H and and In B an ks......$ 1,388.77
O ffice Building, F urniture
and F ixtu res....................................
85.00

Shares o f M em bers.................. .......$
223.40
1,218.72
D eposits o f M em bers____________
U ndivided P ro fits_________________
1.59
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................ $ 81.48
L ess E xpen ses since
Jan. 1, 1939.................
51.48
30.00

T ota l...................................... $ 1,473.77

T otal____ _________________ $ 1,473.77

T otal N um ber o f M em bers June 30, 1939..25

T otal N um ber o f L oan s June 30, 1939..None

CR AB O RCH A RD C O -O PERA TIVE CR ED IT ASSOCIATION
•Crab Orchard, Nebraska
Date A ssociation opened fo r business July 1934
O F F IC E R S
O. A. B ailey _______ _______ ______ P resident
L loyd R ich a rd son ..................V ice-P resid en t
F IN A N C IA L

L. E. L a flin _____________________ Secretary
L. E. L a flin ........................................T reasurer

STATEM ENT

JU N E

L oans to M em bers.............................$
B onds and Other A pproved
Investm ents ...................
Cash on H and and In B an ks------O ffice B uilding, F urniture
and F ixtu res____________________

30, 1939
L IA B IL IT IE S

RESOURCES
5,169.97
1,713.08
5,035.31
1,750.00

Shares o f M em bers______________ $ 1,650.00
D eposits o f M em bers...............
11,882.37
G uaranty or R eserve F u n d ____
62.16
U ndivided P ro fits________
29.27
Current E arn in gs :
Incom e since Jan. 1,
1939 __________________$ 613.88
L ess E xpen ses since
Jan. 1, 1939_________
579.27
34.61
O ther L iabilities______ ____________
9.95

T o ta l..................... ................. $ 13,668.36

T ota l_____________________ $ 13,668.36

T otal N um ber o f M em bers June 30, 1939..81

T ota l N um ber o f L oan s June 30, 1939___ 36

CRESTON CO -O PE R A TIV E CR ED IT ASSOCIATION
C reston, Nebraska
Date A ssociation opened fo r business A u gust 1934
O F F IC E R S
T. F. Plagem an_________________ P residen t
H erm an B on in g____________V ice-P resid en t
F IN A N C IA L

R.
R.

L. B arrett___________________ S ecretary
L. B arrett------------------ ------------T reasurer

STATEM ENT

JU N E

30, 1939

RESOURCES

L IA B IL IT IE S

Loans to M em bers.—.........................$ 11,622.50
Cash on H and and In B an ks----- 8,519.01
Other R esou rces..................... ............
21.19

Shares o f M em bers--------------------- $ 2,890.00
D eposits o f M em bers.____________ 16,954.03
G u aranty o r R eserve F un d-------178.11
Current E a r n in g s :
Incom e since Jan. 1,
1939 __________________$ 966.43
L ess E xpenses since
Jan. 1, 1939_________
825.87
140.56

T otal_____________________ $ 20,162.70

T ota l_____________________ $ 20,162.70

T otal N um ber o f M em bers June 30, 1939..112

T ota l N um ber o f L oa n s June 30, 1939---- .44


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

184

CROFTON CO -O PE R A TIV E C R ED IT ASSOCIATION
C rofton , Nebraska
Date A ssociation opened fo r business January 1935
O F F IC E R S
J. B. Sauser
__________________ President
H. S. C ollins......................... V ice-P resid en t
F IN A N C IA L

Jos. P. K uehn...... .............................. S ecretary
Jos. P. K u ehn................................... T reasurer

STATEM ENT

JU N E

30, 1939

RESOURCES

L IA B IL IT IE S

L oans to M em bers------------------------ $
407.00
B onds and Other A p proved
Investm ents ............................... - .... 3,000.00
Cash on H and and In B an ks..... 16,835.39
O ffice B uilding, F urniture
and F ix tu re s.....................................
330.00
Other R esou rces..................................
598.09

Shares o f M em bers--------------------- $ 3,080.00
D eposits o f M em bers...................... 18,906.64
216.08
G u aranty or R eserve F u n d .........
U ndivided P ro fits ............................
739.12
Current E arnin gs :
Incom e since Jan. 1, .
1939 __________________$1,022.37
L ess E xpen ses since
Jan. 1, 1939................. 805.68
216.69
30.13
Other L iabilities----------------------------

T ota l.......................................$ 23,188.68

T ota l............................. ....._...$ 23,188.68

T ota l N um ber o f M em bers June 30, 1939—106

T otal N um ber o f L oans June 30, 1939___ 4

CROOKSTON C O -O PE R A TIV E C R ED IT ASSOCIATION
C rookston, Nebraska
Date A ssociation opened fo r business A pril 19 35
O F F IC E R S
John Joseph........................... - .......„.P r e sid e n t
J. V . Farber..._.........................V ice-P resid en t
F IN A N C IA L

F. L. J a ck son ....................................Secretary
F. L. Ja ck son .................. ................ T reasurer

STATEM ENT

JU N E

30, 1939

RESOU RCES

L IA B IL IT IE S

Cash on H and and In B an ks-----$ 0,119.10
O ffice Building, F urniture
and F ixtu res_______1------------------125.00

Shares o f M em bers..........................$
810.00
5,448.53
D eposits o f M em bers______ _____
Current E arn in gs :
Incom e since Jan. 1,
1939 ................................ $ 446.32
L ess E xpenses since
Jan. 1, 1939................. 460.75
—14.43

T o ta l— ...................................$ 6.244.10

T ota l.......................................$ 6,244.10

T ota l N um ber o f M em bers June 30, 1939..30

T otal N um ber o f L oans June 30, 1939..None

D AN BU RY C O -O PE R A TIV E CR ED IT ASSOCIATION
D anbury, Nebraska
Date A ssociation opened fo r business O ctober 19 34
O F F IC E R S
Geo. M. T h om as................... .... - ..... P residen t
V. H. L o rd ................................ V ice-P resid en t
F IN A N C IA L

L o y a l T. P a rk er.............................S ecretary
L o y a l T. P arker.......... .................... T reasurer

STATEM ENT

JU N E

30, 1939

RESOURCES

L IA B IL IT IE S

L oa n s to M em bers_________ _____ —$ 1,915.00
B onds and O ther A p proved
Investm ents ------------------------------4,821.30
Cash on H and and In B an ks----- 2,200.00

Shares o f M em bers......................... ....$ 2,260.00
D eposits o f M em bers..................
6,423.34
G u aranty or R eserve F u n d ------43.50
U ndivided P ro fits ... ..................
133.58
Current E a r n in g s :
Incom e since Jan. 1,
1939 __________________$ 560.83
L ess E xpenses since
Jan. 1, 1939_________
484.95
75.88

T o ta l— .................................. $ 8,936.30

T ota l.......................................$ 8,936.30

T o ta l N um ber o f M em bers June 30, 1939..98

T ota l N um ber o f L oans June 30, 1939...... 16


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PAR TM E N T OF BANKING

185

DUNBAR C O -O PERA TIVE C R E D IT ASSOCIATION
Dunbar, Nebraska
Date A ssociation opened fo r business N ovem ber 19 34
O F F IC E R S
E. R. F u rg u son ................................ P resident
O scar A . W eiler..................... V ice-P resid en t
F IN A N C IA L

Carl
Carl

STATEM EN T

A . W eiler.--------------------------- S ecretary
A. W eiler..................................T reasurer
JU N E

30, 1939

RESOURCES

L IA B I L I T I E S

L oans to M em bers.............................$ 6,616.09
Cash on H and and In B an ks----- 4,406.86
O ffice Building, F urniture
and F ix tu re s____________________
700.00
Other R esou rces................... - ...........
146.15

Shares o f M em bers------------------------ $ 1,483.00
10,323.61
D eposits o f M em bers_________
G uaranty or R eserve F u n d ------14.30
U ndivided P rofits.------------------------31.48
Current E arn in gs :
Incom e since Jan. 1,
1939 ................................ $ 600.36
L ess E xpen ses since
Jan. 1, 1939_________
583.65
16.71

T ota l............................. .........$ 11,869.10

T ota l_____________________ $ 11,869.10

T otal N um ber o f M em bers June 30, 1939-142

T otal N um ber o f L oa n s June 30, 1939.---- 91

DUNCAN CO -O PE R A TIV E C R E D IT ASSOCIATION
Duncan, Nebraska
Date A ssociation opened for business A ugust 1935
O F F IC E R S
E. W . Scholz........................... ........... President
S. J. M icek_________________ V ice-P resid en t
F IN A N C IA L

C lara S korupa................... .................S ecretary
C lara Skorupa------------------------------T reasu rer

STATEM ENT

JU N E

30, 1939
L IA B IL IT IE S

RESOURCES
Cash on H and and In B an ks-----$ 4,280.00

Shares o f M em bers.......... ..........
D eposits o f M em bers------ .-.
G uaranty or R eserve F un d—
Current E a r n in g s :
Incom e since Jan. 1,
1939 _________________ -$ 142.75
L ess E xpenses since
64.21
Jan. 1, 1939._________

600.00
3,533.75
67.71

T ota l------------------ -------------- $ 4,280.00

T ota l______ ____________

4,280.00

T otal N um ber o f M em bers June 30, 1939..29

78.54

T otal N um ber o f L oan s June 30, 1939..None

DUNNING CO -O PE R A TIV E C R E D IT ASSOCIATION
D unning, Nebraska
Date A ssociation opened fo r business May 1935
O F F IC E R S
L. L. T hom pson.......................... ....P residen t
W . C. R obin son ...................... V ice-P resid en t

Jam es G lidden
Jam es Glidden.—

.Secretary
T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers------------------------ $ 3,130.00
Cash on H and and In B an ks----- 3,103.02
O ffice B uilding, F urniture
and F ixtu res___________________
385.20

Shares o f M em bers----------------------$ 1,260.00
D eposits o f M em bers------------------- 5,258.14
G u aranty or R eserve F u n d -------9.25
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................ $ 383.19
L ess E xpenses since
Jan. 1, 1939........ ......... 292.36
90.83

Total........................................ $ 6,618.22

T ota l_____________________ $ 6,618.22

T otal N um ber o f M em bers June 30, 1939..59

T ota l N um ber o f L oa n s June 30, 1939..— 12


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Federal Reserve Bank of St. Louis

186

D E PAR TM E N T OF BANKING
D W IG H T CO -O PE R A TIV E CRED IT ASSOCIATION
D wight, Nebraska
Date A ssociation opened fo r business A u gust 1934
O F F IC E R S

W . F. D osek
.............. .......... P resident
John A. N ov acek ........ .......... V ice-P resid en t

F rank L. Pesek, J r.......................S ecretary
F ra n k E. P esek, Jr_____________ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s to M em bers..........................$ 3,070.00
Cash on H and and In B an ks-------- 4,491.49

Shares o f M em bers................ .........$ 1,240.00
D eposits o f M em bers... .............. .... 6,309.93
G u aranty or R eserve F u n d _____
6.65
Current E arnin gs :
Incom e since Jan. 1,
1939 ..... .......................... $ 372.65
L ess E xpenses since
Jan. 1, 1939................. 367.74
4.91

.$ 7,561.49

T ota l.................................. .....$ 7,561.49

T otal N um ber o f M em bers June 30, 1939..7S

T otal N um ber o f L oans June 30, 1939......19

T otal

ELGIN C O -O P E R A T IV E CRED IT ASSOCIATION
E lgin , Nebraska
Date A ssociation opened fo r business O ctober 1934
O F F IC E R S
E.
A.

J.
C.

Spieth ...................................P resident
C arlson.........................V ice-P resid en t

R oss M artin......................................... S ecretary
R oss M artin
_................................ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers......................- ..... $ 21,592.98
B ond s and Other A p proved
Investm ents — ....-........... ............ .
10.00
Cash on H and and In Banks,..... 12,044.73
O ffice Building, Furniture
and F ixtu res---- ------------------- ~---3,126.75
Other R esou rces---------------------------128.38

Shares o f M em bers..........................$ 6,066.09
D eposits o f M em bers...............
28,500.98
804.12
G uaranty or R eserve F un d........
U ndivided P ro fits ....................................1,063.75
Current E arnin gs :
Incom e since Jan. 1,
1939 ............................ ....$2,046.03
L ess E xpenses since
Jan. 1, 1939................. 1,781.58
264.45
Other L iabilities.......... ........................
203.45

T o ta l.................. .................... $ 36,902.84

T ota l......................................$ 36,902.84

T otal N um ber o f M em bers June 30, 1939.411

T otal N um ber o f L oans June 30, 1939......156

ERICSON CO -O PE R A TIV E C R E D IT ASSOCIATION
E ricson, Nebraska
Date A ssociation opened for business O ctober 1934
O F F IC E R S
O. J. W a lth ers....................................President
Stanley B aker.....................-...V ice-P resident

W . D. B ingham ................................ S ecretary
W . D. B ingham .................... .............T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s to M em bers.......... ...................$ 12,216.16
B onds and Other A pproved
Investm ents _________
1,449.02
Cash on H and and In B an ks---- 6,196.55
O ffice Building, F urniture
and F ixtu res____ ________________
162.00

Shares o f M embers.......................... $ 3,100.0U
D eposits o f M em bers..............- ....... 16,631.33
G uaranty or R eserve
F u n d ......
104.65
U ndivided P ro fits... ...........................
69.88
Current E arnin gs :
Incom e since Jan. 1,
1939 ................................ $ 958.69
Less E xpenses since
Jan. 1, 1939.................. 840.82
117.87

T o ta l........ .... ......................... $ 20,023.73

Total........____ ______....__......$ 20,023.73

T ota l N um ber o f M em bers June 30, 1939..146

T otal N um ber o f L oans June 30, 1939......71


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

187

F A R W E L L C O -O P E R A T IV E CR ED IT ASSOCIATION
F arw ell, Nebraska
Date A ssociation opened fo r business O ctober 1934
O F F IC E R S
H. T. Ja ck son ............... .................... P residen t
A. M. G danitz......................... V ice-P resident

F. J. S azam a........ ..............................Secretary
F. J. S azam a.................. .................T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
L oans to M em bers... ........... .........—
Cash on H and and In B an ks......

L IA B IL IT IE S
2,375.00
7,985.13

Shares o f M em bers... .............. ....... $ 1,480.00
.Deposits o f M em bers____________
8,724.27
G u aranty or R eserve F u n d .............
50.00
66.14
U ndivided P ro fits.......... ..................
Current E a r n in g s :
Incom e since Jan. 1,
1939 ............................ _...$ 386.75
L ess E xpenses since
Jan. 1, 1939................. 347.03
39.72

T ota l_____________________ $ 10,360.13

T ota l____________ _________$ 10,360.13

T otal N um ber o f M em bers June 30, 1939..65

T otal N um ber o f L oa n s June 30, 1939___ 17

F IR T H

CO -O PE R A TIV E CR ED IT ASSOCIATION
F irth, Nebraska
Date A ssociation opened fo r business January 1936
O F F IC E R S
H en ry T eK olste, S r....................... P resident
John E. H a rm s ........... ...... V ice-P resid en t

R alp h W . M arshall.
R alph W . Marshall..

-Secretary
T reasu rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers.................................. 2,306.00
Cash on H and and In B an ks___ 5,893.33
O ffice Building, F urniture
and F ixtu res____________________
260.00

Shares o f M em bers.................. ....... $ 1,135.00
D eposits o f Members.....__________
7,205.59
1.50
G u aranty or R eserve F un d.........
U ndivided Profits...,,.............
5.68
Current E a r n in g s :
Incom e since Jan. 1,
1939 — ........................... .$ 501.69
Less E xpenses since
Jan. 1, 1939...............390.13
111.56

T ota l........................... - ........ $ 8,459.33

T ota l_____________________ $ 8,459.33

T otal N um ber o f M em bers June 30, 1939..61

T otal N um ber o f L oans June 30, 1939.___18

FO RD YC E C O -O P E R A T IV E CR ED IT ASSOCIATION
F ordyce, Nebraska
Date A ssociation opened fo r business May 1935
O F F IC E R S
A. J. Thoene........ .... ....................... P resident
F ra n k Potts..._....................... V ice-P resid en t

A. J. Sorensen..................................... Secretary
A. J. Sorensen—
..................— T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s to M em bers......................... $ 1,400.00
B onds and O ther A p proved
Investm ents _____________________ 3,000.00
Cash on H and and In Banks.-----4,532.84
O ffice B uilding, F urniture
and F ixtures......................................
210.00

Shares o f M em bers--------------------- $ 1,235.50
D eposits o f M em bers....................... 7,842.40
G u aranty or R eserve F un d— ,—
31.29
U ndivided P ro fits... ...............
65.19
Current E a r n in g s :
Incom e since Jan. 1,
1939 __________________$ 445.46
Less Expenses since
Jan. 1, 1939..... ........... 477.00
—31.54

T ota l.................. .......... ..........$ 9,142.84

T ota l.................. ..... ..............$ 9,142.84

T ota l N um ber o f M em bers June 30, 1939..50

T otal N um ber o f L oans June 30, 1939...... 16


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

188

PO STE R C O -O PE R A TIV E C R E D IT ASSOCIATION
Foster, Nebraska
Date A ssociation opened for business D ecem ber 1934
O F F IC E R S
A ug. H. G regersen.................. ....... P resident
A lbert K ieck h a fer........V ice-P resid en t

A lbert
A lbert

R istow ...................................... Secretary
R istow .................................... .T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B I L I T I E S

L oan s to M em bers...............................7,935.50
C ash on H and and In B an ks----- 11,227.32
O ffice Building, F urniture
and F ix tu re s_______________ _____
30.00
O ther R esou rces..................................
30.74

Shares o f M em bers..........................$ 2,838.00
D eposits o f M em bers...................... 16,334.21
G u aranty or R eserve F u n d _____
42.50
Current E a r n in g s :
Incom e since Jan. 1,
1930 ................................ $ 751.15
L ess E xpenses since
Jan. 1, 1939................. 742.32
8.85

T o ta l..... ......................... ....... $ 19,223.56

T ota l.......................................$ 19,223.56

T ota l N um ber o f M em bers June 30, 1939..107

T ota l N um ber o f L oan s June 30, 1939......32

H A IG L E R C O -O PE R A TIV E CR ED IT ASSOCIATION
H aigler, Nebraska
Date A ssociation opened fo r business O ctober 19 35
O F F IC E R S
..President
Chas. Roach..
John H a v lik ---- ------- -------------V ice-P resid en t

V io la S. P earson ............................Secretary
W . H. B row n ................................... T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
996.27
L oa n s to M em bers--------- --------- ___ $
B ond s and O ther A p proved
376.96
Investm ents ------------------- --2,900.38
Cash on H and and In Banks.

Shares o f M em bers—
D eposits o f Members..
G u aranty or R eserve F u n d .....
Current E a r n in g s :
Incom e since Jan. 1,
1939 ............... ................ $ 336.93
L ess E xpenses since
Jan. 1, 1939................. 368.15
O ther L iabilities......................... .
Total..

T ota l_____________________ $ 4,273.61
T ota l N um ber o f M em bers June 30, 1939..41

1,274.57
3,027.37
1.00

-31.22
1.89

........ ...................$ 4,273.61

T otal N um ber o f L oans June 30, 1939......6

H A Z A R D C O -O P E R A T IV E CR ED IT ASSOCIATION
H azard, Nebraska
Date A ssociation opened for business A pril 19 35
O F F IC E R S
L. B. T ru m b le...............- ....... - .........P residen t
F ra n k A d en ............... .............. .V ice-P resid en t

Jam es E ra zim ........_.......................... S ecretary
Jam es E razim .................. ................ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s to M em bers............................. $ 2,168.00
Cash on H and and In B anks----- 4,072.77
O ffice Building, Furniture
and F ixtu res____________________
115.00

755.00
Shares o f M embers.......................... $
D eposits o f M em bers......................
5,575.73
G u aranty or R eserve Fund...,----4.50
Current E arnin gs :
Incom e since Jan. 1,
1939 ................................ $ 271.93
L ess E xpen ses since
20.54
Jan. 1, 1939.......'........... 251.39

T o ta l________ -..................... $ 6,355.77

T ota l.......................................$ 6,355.77

T ota l N um ber o f M em bers June 30, 1939..42

T otal N um ber o f L oans June 30, 1939...... 15


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

189

D E PA R TM E N T OF BANKING
HEM ING FO RD C O -O PE R A TIV E CRED IT ASSOCIATION
H em ingford, Nebraska
Date A ssociation opened fo r business D ecem ber 19 34
O F F IC E R S
A. W . Shaver....................................P residen t
W . H. M ackler..........................V ice-P resid en t

A lex M uirhead..................................S ecretary
A lex M uirhead...................- ............... T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s to M em bers............................. $ 2,651.20
Cash on H and and In B an ks----- 4,680.68

Shares o f M em bers______ _______ $ 1,400.00
5,667.64
D eposits o f M em bers......................
G uaranty or R eserve F u n d .........
20.50
U ndivided P ro fits___________
62.17
Current Earning'S :
Incom e since Jan. 1,
1939 _____ __ _____ ____$ 860.99
L ess E xpen ses since
679.42
181.57
Jan. 1, 1939_________

T ota l.......................................$ 7,331.88

T ota l................................ ...... $ 7,331.88

T otal N um ber o f M em bers June 30, 1939..98

T otal N um ber o f L oa n s June 30, 1939......17

HEN DERSON C O -O PE R A TIV E C R E D IT ASSOCIATION
H enderson, Nebraska
Date A ssociation opened fo r business D ecem ber 1934
O F F IC E R S
H. D. E p p ______________ ________ P residen t
H. B. K liew er_______ ______ V ice-P resid en t

H. D. K roeker................... ............. S ecretary
B. E. N a ch tig a ll............................. T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers............................. $ 5,835.01
C ash an H and and In B an ks...... 14,431.74

Shares o f M em bers......................... $ 2,242.00
D eposits o f M em bers..................
17,896.32
G uaranty or R eserve F un d __ ___
43.80
U ndivided P ro fits............................
86.42
Current E arnin gs :
Incom e since Jan. 1,
1939 ....................... .........$ 809.55
L ess E xpen ses since
Jan. 1, 1939................. 811.34
—1.79

T ota l.......................................$ 20,266.75

T ota l............. ......................... $ 20,266.75

T ota l N um ber o f M em bers June 30, 1939..136

T ota l N um ber o f L oans June 30, 1939......70

H E R SH E Y C O -O PE R A TIV E CR ED IT ASSOCIATION
H ershey, Nebraska
Date A ssociation opened for business July 1935
O F F IC E R S
W . H. Jenkins................................... P residen t
R o y Ziegen hagen___________ V ice-P resid en t

Claude P. L indekugel____________ S ecretary
Claude P. L indekugel................... T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

Cash on H and and In B an ks----- $ 4,065.10
O ffice Building, Furniture
and F ixtu re s___________________
209.50

Shares o f M em bers______________ $
816.25
D eposits o f M em bers____________
3,424.35
U ndivided P ro fits___________ ______
1.04
Current E a r n in g s :
Incom e since Jan. 1,
1939 .......... :_____ ..._____ .$ 377.17
L ess E xpen ses since
Jan. 1, 1939........ ....... . 344.21
32.96

T ota l... ...................................$ 4,274.60

T ota l— ....................._.............$ 4,274.60

T otal N um ber o f M em bers June 30, 1939..40

T otal N um ber o f L oan s June 30, 1939..None


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Federal Reserve Bank of St. Louis

190

D E PA R TM E N T OF BANKING
HOSKINS C O -O P E R A T IV E CR ED IT ASSOCIATION
H oskins, Nebraska
Date A ssociation opened fo r business N ovem ber 1934
O F F IC E R S

F ra n k M. P hillips..........................President
Ed. K ollath............................... V ice-P resid en t

W . A. Gutzm an.......... .......................Secretary
W . A. G utzm an................................. T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s to M em bers.............................$ 6,029.29
Cash on H and and In B anks___ 14,205.63
O ffice Building, F urniture
and F ixtu res..................
825.35
Other R esou rces..................................
40.38

Shares o f M em bers............... ..........$ 2,085.00
D eposits o f M em bers... ................... 18,451.71
158.62
G u aranty or R eserve F und..... .......
U ndivided P ro fits........ .....
356.27
Current E arnings :
Incom e since Jan. 1,
1939 ......................... ...... $ 572.41
L ess E xpen ses since
Jan. 1, 1939............... .. 523.36
49.05

T otal............... .......................? 21,100.65

T ota l___ __________________$ 21,100.65

T otal N um ber o f M em bers June 30, 1939..91

T otal N um ber o f Loans June 30, 1939......50

IN D IAN OLA C O -O PE R A TIV E CR ED IT ASSOCIATION
Indianola, Nebraska
Date A ssociation opened fo r business Septem ber 19 35
O F F IC E R S
M. C. L o rd ........................................ P residen t
E. E. S pencer— ..................... V ice-P resid en t

R. E. K u rtz...................................... S ecretary
R. E. K u rtz .......................................T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
Loans to M em bers..........................$ 2,470.65
Cash on H and and In B anks...... 24,587.59
O ffice B uilding, F urniture
and F ixtu res.....................................
322.00

L IA B IL IT IE S
Shares o f M em bers... ........... ..........$ 3,330.00
D eposits o f M em bers____________ 24,040.07
G u aranty or R eserve F u n d _____
.91
U ndivided P ro fits....................
5.73
Current E arnin gs :
Incom e sin ce Jan. 1,
1939 ............... .................$ 805.62
L ess E xpen ses since
802.23
3.39
Jan. 1, 1939.................
Other Liabilities......................
.14

T otal....................... ...............$ 27,380.24

T ota l.......... ....... ..................... $ 27,380.24

T ota l N um ber o f M em bers June 30, 1939..94

T otal N um ber o f L oa n s June 30, 1939___ 28

INMAN C O -O PE R A TIV E C R E D IT ASSOCIATION
Inm an, Nebraska
Date A ssociation opened fo r business D ecem ber 19 34
O F F IC E R S
L ew is K o p e ck y ................................... P resident
C. T. W a tso n .............................V ice-P resid en t

A. N. B utler.................... .'.................. Secretary
A. N. B utler...................................... .T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
Cash on H and and In B an ks......$ 3,124.87
O ffice Building, F urniture
and F ixtu res............................ .........
158.82

T ota l............... ...........3,283.69
T otal N um ber o f M em bers June 30, 1939..33


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
Shares o f M em bers___________
D eposits o f M embers..................
U ndivided P ro fits.........................
C urrent E arnin gs :
Incom e since Jan. 1,
1939 .................. _............ $ 174.26
L ess E xpen ses since
Jan. 1, 1939.................
127.74
Other L iabilities........ ....................
T ota l.................. ...............

393.73
2,818.95
23.38

46.52
1.11

3,283.69

T otal N um ber o f L oan s June 30, 1939..None

D E PA R TM E N T OF BANKING

191

K E A R N E Y CO -O PE R A TIV E CR ED IT ASSOCIATION
K earney, Nebraska
Date A ssociation opened for business A u gust 1935
*

O F F IC E R S

J. J. S ham baugh............................ .President
M yers Peterson...................... V ice-P resid en t

L eo E. R y a n .......................... ............. S ecretary
L eo E. R y a n _____________ _____ ...Treasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers... ......................... $ 10,872.34
B onds and Other A p proved
387.84
• Investm ents ... .................................
Cash on H and and In B an ks__ 12,092.85
O ffice Building, Furniture
and F ixtures..______,______ ______
361.25
O ther R esou rces............................
40.90

Shares o f M em bers..... ....................$ 2,832.67
D eposits o f M em bers...................... 20,867.00
30.50
G u aranty or R eserve F u n d ____
Current E a r n in g s :
Incom e since Jan. 1,
1939 ......................... ....... $1,586.33
L ess E xpen ses since
Jan. 1, 1939______ ___ 1,570.22
16.11
Other L iabilities___________________
8.90

T ota l........ ............................. $ 23,755.18

T otal.......................................$ 23,755.18

T ota l N um ber o f M em bers June 30, 1939..321

T otal N um ber o f L oans June 30, 1939..... .76

K EN N A RD CO -O PE R A TIV E CRED IT ASSOCIATION
K ennard, Nebraska
Date A ssociation opened for business June 1934
O F F IC E R S
H ans S vogerson--------------------------- P resident
L eonard P eterson ................... V ice-P resid en t

A. R . B rock........................................ S ecretary
A. R. B ro ck ....................................... T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oans to Members.._______________$ 7,534.10
5,230.97
C ash on H and and In B an ks___
O ffice Building, Furniture
and F ix tu re s..... ......................... .....
200.00

Shares o f M em bers.................. ....... $ 1,750.00
D eposits o f M em bers____________ 11,037.02
G u aranty or R eserve F un d _____
34.13
U ndivided P r o fits ___________
.40
Current E a r n in g s :
Incom e since Jan. 1,
1939 ---------------------------$ 744.32
L ess E xpen ses since
Jan. 1, 1939-------------600.80
143.52

Total.--------------------------------$ 12,965.07

T otal.--------------------------------$ 12,965.07

T ota l N um ber o f M em bers June 30, 1939..83

T otal N um ber o f L oans June 30, 1939..... .82

LE W ISTO N CO -O PE R A TIV E CR ED IT ASSOCIATION
Lew iston, Nebraska
Date A ssociation opened fo r business A pril 1935
O F F IC E R S
F red B ockelm an --------------------------- P residen t
O. R. H u tchin son---------------V ice-P resid en t

W . W . Joekel
Secretary
W . W . Joekel.................................... .T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES
L oans to M em bers... ...................... $ 2,095.05
B onds and Other A p proved
5,307.77
Investm ents ___________
Cash on H and and In B anks.___ 3,275.80
O ffice B uilding, F urniture
and F ixtu res___________
20.00
Interest E arned but U ncollected
(if a n y )---------------------------------------54.02
O ther R esou rces___________________
53.29

L IA B IL IT IE S
Shares o f M em bers______________.$ 1,126.00
D eposits o f M em bers............ ....... .... 9,644.76
Current E a r n in g s :
Incom e since Jan. 1,
1939 ............................... $ 454.47
Less E xpenses since
Jan. 1, 1939.-------------- 419.30
35.17

T o ta l.......................................$ 10,805.93

T ota l...................................„...$ 10,805.93

T otal N um ber o f M em bers June 30, 1939..95

T otal N um ber o f L oans June 30, 1939......30


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Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

192

LIN D SAY C O -O PE R A TIV E C R E D IT ASSOCIATION
Lindsay, Nebraska
Date A ssociation opened fo r business M arch 1935
O F F IC E R S
Fred Schm adeke...............................P residen t
H ubert R am aekers................V ice-P resid en t

L, G. W inkler.
L. G. W inkler..

.Secretary
T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans to M em bers..... ........ 1.............. $
615.00
B onds and Other A p proved
200.00
Investm ents .....................................
Cash on H and and In B an ks...... 7,611.60

Shares o f M em bers.........................$ 1,280.00
Deposits o f M em bers........ .............. 6,892.45
G uaranty or R eserve F un d .........
13.50
Current E arnin gs :
Incom e since Jan. 1,
1939 .................. ..............$ 553.49
L ess E xpen ses since
Jan. 1, 1939........ ........ 545.35
8.14
232.51
Other L iabilities______ .......................

T ota l.......................................$ 8,426.60

T ota l........ .............. ............... $ 8,426.60

T otal N um ber o f M em bers June 30, 1939..59

T otal N um ber o f L oan s June 30, 1939___ 11

L IT C H F IE L D C O -O P E R A T IV E CR ED IT ASSOCIATION
L itch field, Nebraska
Date A ssociation opened for business July 1934
O F F IC E R S
A. L. A rnett.......................................P resident
A lbert H ea py ................._.........V ice-P resid en t

H. I. L a n g ........... .................... ..........Secretary
H. I. L ang................................ ..........T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
R E SO U R C E S

L IA B IL IT IE S

L oans to M em bers..........................$ 10,579.00
Cash on H and and In B anks...... 15,123.13
O ffice B uilding, F urniture
and F ixtu res.......................... .......
1,200.00

Shares o f M em bers_________ _____ ~$ 4,220.00
D eposits o f M em bers........ ............. 21,490.26
G u aranty or R eserve F un d.........
302.00
634.39
U ndivided P ro fits..............
Current E a r n in g s :
Incom e since Jan. 1,
1939 .................. .........—.$1,041.37
L ess E xpen ses since
Jan. 1, 1939................. 791.87
249.50
Other L iabilities___________
5.98

T ota l.......................................$ 26,902.13

T ota l............................ .......... $ 26,902.13

T otal N um ber o f M em bers June 30, 1939..202

T otal N um ber o f L oans June 30, 1939......68

LONG PINE C O -O PE R A TIV E C R E D IT ASSOCIATION
L on g Pine, N ebraska
Date A ssociation opened fo r business A ugust 19 34
O F F IC E R S
L. O. Shaneyfelt...............................President
A. P. N elson......................... .'..Vice-President

C. E. M ills..........................................Secretary
C. E. M ills_______ ________________ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oa n s to M em bers.........................— $ 2,578.00
B ond s and Other A p proved
Investm ents ... .................................
4,870.33
Cash on H and and In B an ks........ 11,780.18
O ffice B uilding, Furniture
and F ixtu res.....................................
75.00
Interest E arned but U ncollected
(if a n y )...............
150.00
Other R esou rces..................................
9.25

Shares o f M em bers............... .......... $ 3,210.00
D eposits o f M em bers...................... 16,077.42
G u aran ty or R eserve F un d.........
56.54
Current E arn in gs :
Incom e since Jan. 1,
1939 ................................ $ 784.78
L ess E xpen ses since
Jan. 1, 1939_________
665.98
118.80

T ota l............... .............. .........$ 19,462.76

T ota l..... ................... .... .........$ 19,462.76

Total N um ber o f M em bers June 30, 1939..121

T otal N um ber o f L oans June 30, 1939___ 19


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

193

D E PA R TM E N T OF BANKING
LY M A N C O -O P E R A T IV E CRED IT ASSOCIATION
Lym an, Nebraska
Date A ssociation opened for business D ecem ber 19 34
O F F IC E R S
O. N. H am m erlu n........................... P resident
____ ___V ice-P resid en t
W m . H. A n d reas

Cornell N ew m an
..................... ....Secretary
Cornell N ew m an........................ .......T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers............................ $ 3,250.00
B onds and Other A p proved
Investm ents ______________
22.50
9,418.08
Cash an H and and In B an ks----O ffice Building, F urniture
and F ixtu res___________
120.00
Interest E arned but U ncollected
(if a n y )...............
48.80
O ther R esou rces.......................
27.98

Shares o f M em bers............................. if 1,775.32
D eposits o f M em bers....................... 10,491.79
G uaranty or R eserve F u n d _____
132.71
U ndivided P ro fits_______________
398.12
Current E a r n in g s :
Incom e sin ce Jan. 1,
1939 __________________$ 836.80
L ess E xpen ses since
Jan. 1, 1939_________
796.18
40.62
Other L iabilities___________________
48.80

T o ta l........ ............................ $ 12,887.36

T ota l..... ......................._.. ......$ 12,887.36

T otal N um ber o f M em bers June 30, 1939..130

T ota l N um ber o f L oan s June 30, 1939...... 33

M ARTIN SBU RG CO -O PE R A TIV E CR ED IT ASSOCIATION
M artinsburg, Nebraska
Date A ssociation opened fo r business January 1935
O F F IC E R S
P at Burke......... ..... ............................. P residen t
Jam es M cQ uellin___________ V ice-P resid en t

L. M. W ellenstein.
L. M. W ellenstein..

..Secretary
.T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s to M em bers............ ......... ....$ 3,135.13
2,131.59
C ash on H and and In B an ks____
O ffice B uilding, F urniture
and F ixtu res.....................................
128.19
Other R esou rces___________________
225.25

Shares o f M em bers..........................$ 1,210.00
D eposits o f M em bers____________
4,240.90
G u aranty or R eserve F u n d ........
15.00
U ndivided P ro fits_________________
3.63
Current E a r n in g s :
Incom e since Jan. 1,
1939 ..... .......................... $ 213.91
L ess E xpen ses sin ce
Jan. 1, 1939_________
143.28
70.63
O ther L iabilities________________ __
80.00

T o ta l_____________________ $ 5,620.16

T ota l— ______ _____________ $ 5,620.16

T ota l N um ber o f M em bers June 30, 1939..63

T ota l N um ber o f L oans June 30, 1939___ 25

M A X W E L L C O -O PE R A TIV E C R E D IT ASSOCIATION
M axwell, Nebraska
Date A ssociation opened for business N ovem ber 1934
O F F IC E R S
F. C. C hristensen....................... ....P residen t
C. E. K en non_______________ V ice-P resid en t

F red B rittan ........................................S ecretary
F red Brittan........................................T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers.......................... $ 3,586.70
Cash on H and and In B an ks___
5,359.43
O ffice B uilding, F urniture
and F ixtu res____________________
322.00

Shares o f M em bers______________ $ 1,849.42
D eposits o f M em bers____________
7,141.37
G u aranty or R eserve F un d_____
87.00
U ndivided P ro fits_________________
102.05
Current E a r n in g s :
Incom e since Jan. 1,
1939 __________________$ 806.46
L ess E x pen ses since
Jan. 1, 1939._________ 718.17
88.29

T o ta l________ _____________ $ 9,268.13

T ota l_____________________ $ 9,268.13

T ota l N um ber o f M em bers June 30, 1939..70

T otal N um ber o f L oans June 30, 1939___ 29


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Federal Reserve Bank of St. Louis

194

D E PA R TM E N T OF BANKING
M EAD O W GROVE CO -O PE R A TIV E C R E D IT ASSOCIATION
M eadow Grove, Nebraska
Date A ssociation opened fo r business D ecem ber 19 34
O F F IC E R S

F. E v an s............................................ President
H. W . B ots ford ................. — V ice-P resid en t

W . S. C rook................ .......................Secretary
W . S. C rook ................... ................... T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES

L IA B IL IT IE S

L oans to M em bers... .............. .......... $ 2,415.00
B onds and Other A p proved
Investm ents ______________________ 4,165.68
Cash on H and and In B an ks..... 14,849.09
O ffice Building, F urniture
and F ixtu res..................................... 1,100.00

Shares o f M em bers..........................$ 2,660.00
D eposits o f M em bers...................... 18,916.97
G u aranty or R eserve F u n d _____
390.00
U ndivided P ro fits ......................
497.35
Current E arn in gs :
Incom e since Jan. 1,
1939 ................................ $ 853.64
L ess E xpen ses since
Jan. 1, 1939______ ___ 789.76
63.88
Other L iabilities______________
1.57

T ota l.................. ....................$ 22,529.77

T ota l.................. ..... ..............$ 22,529.77

T otal N um ber o f M em bers June 30, 1939-94

T otal N um ber o f L oans June 30, 1939___ 21

M IL L E R C O -O P E R A T IV E CR ED IT ASSOCIATION
M iller, Nebraska
Date A ssociation opened fo r business May 1935
O F F IC E R S
E. D. Moore.......................................P resident
A rch C o u fa l....................... .......V ice-P resid en t

R o y C. B endler
R o y C. B endler

.S ecretary
T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES
L oans to M em bers........ .................... $
174.50
3,444.59
Cash on H and and In B an ks___
O ffice Building, F urniture
and F ixtu res____ _____ __________
40.00

L IA B IL IT IE S
Shares o f M em bers..........................$
514.00
D ep osits o f M em bers..................
3,009.90
G uaranty or R eserve F u n d .........
40.00
U ndivided P ro fits_________________
52.29
Current E arn in gs :
Incom e since Jan. 1,
1939 --------------------------- $ 143.27
L ess E xpen ses since
103.44
39.83
Jan. 1, 1939............... .
Other L iabilities___________________
3.07

T otal....................................... $ 3,659.09

T ota l---------------------- ---------- $ 3,659.09

T otal N um ber o f M em bers June 30, 1939..34

T otal N um ber o f L oan s June 30, 1939___ 4

M O O RE FIELD C O -O PE R A TIV E CR ED IT ASSOCIATION
M oorefield, Nebraska
Date A ssociation opened fo r business May 19 35
O F F IC E R S
John H. K lehn................................ P residen t
B urton F ish er.................. ....... V ice-P resid en t

W a y n e M ast____.'.________________ Secretary
W a y n e Mast...................... _............... T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s to M em bers______________ 8 2,393.67
B onds and O ther A p proved
Investm ents ____________________
3,852.90
Cash on H and and In B an ks____
5,029.38
O ffice Building, F urniture
and F ixtu res_____________
160.00
O ther R esou rces..................................
177.75

Shares o f M em bers..................._......$ 1,540.00
D eposits o f M em bers____________ 10,012.61
G u aranty o r R eserve F un d_____
25.00
U ndivided P ro fits _________________
33.03
Current E arnin gs :
Incom e since Jan. 1,
1939 ................................ $ 460.11
L ess E xpen ses sin ce
Jan. 1, 1939_________
459.88
.23
Other L iabilities________________
2.83

T ota l..... .............................„...$ 11,613.70

T ota l-------------------------------- $ 11,613.70

T otal N um ber o f M em bers June 30, 1939..50

T otal N um ber o f L oan s June 30, 1939......17


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

195

M URDOCK C O -O P E R A T IV E CRED IT ASSOCIATION
M urdock, Nebraska
Date A ssociation opened fo r business O ctober 19 34
O F F IC E R S
H en ry
D aniel

M eierju rgen ..........................P resident
S chlap hof.......... .......... V ice-P resid en t

H en ry A. T ool........... .........................S ecretary
H en ry A. T ool ______ ___________ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1930
RESOU RCES

L IA B IL IT IE S

L oans to M em bers............................. $ 7,943.08
Cash on H and and In B an ks...... 3,182.89
O ffice B uilding, F urniture
and F ix tu re s____________________
315.00

Shares o f M em bers........ ............... $ 1,772.00
9,467.67
D eposits o f M em bers______
G u aranty or R eserve F u n d ____
66.50
U ndivided P rofits_________________
94.47
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................$ 616.26
Less E xpenses since
Jan. 1, 1939.................. 576.43
39.83

T o ta l.............. ........................ $ 11,440.47

T ota l........ ............................. $ 11,440.47

T ota l N um ber o f M em bers June 30, 1939-141

T otal N um ber o f L oan s June 30, 1939___.66

N E W P O R T CO -O PE R A TIV E CR ED IT ASSOCIATION
N ew port, Nebraska
Date A ssociation opened fo r business May 19 35
O F F IC E R S
Joseph G ilg -------- ----- ......................... P resident
E. A rrow sm ith --------------------- V ice-P resid en t

W . J. L an e.........................................Secretary
W . J. L an e______________________ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES
C ash on H and In Banks.________ $ 4,261.36
O ffice B uilding, F urniture
75.00
and F ixtu res_________ ________ ___
Other R esou rces__________________
.03

L IA B IL IT IE S
Shares o f M em bers______________ $
620.00
D eposits o f M em bers____________
3,565.11
79.33
G u aranty or R eserve F un d_____
Current E a r n in g s :
Incom e since Jan. 1,
1939 .............. .............._...$ 193.77
L ess E xpenses since
121.82
71.95
Jan. 1, 1939____ ___ _

T o ta l_________ ________ ____$ 4,336.39

T ota l______ _______________$ 4,336.39

T ota l N um ber o f M em bers June 30, 1939..40

T otal N um ber o f L oans June 30, 1939..None

N O RTH LOUP C O -O P E R A T IV E C R ED IT ASSOCIATION
N orth Loup, N ebraska
Date A ssociation opened fo r business Septem ber 1934
O F F IC E R S
A. C.
W . J.

H u tchin s-------------------------- P residen t
H em phill-----------------V ice-P resid en t

A lbert
A lbert

B a b cock ____ ______________ S ecretary
B a b cock ........ ......................... T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers....................... ....$ 4,803.25
Cash on H and and In B an k s___
9,267.13
O ffice B uilding, F urniture
868.50
and F ixtu res____________________
Interest E arned but U ncollected
(if a n y )......................
41.44
O ther R esources___________________
136.06

Shares o f M em bers..........................$ 2,810.00
D eposits o f M em bers..................
12,061.27
G u aranty or R eserve F un d_____
12.50
250.52
U ndivided P ro fits... ...............
Current E a r n in g s :
Incom e since Jan. 1,
1939 ............................... .$ 829.16
L ess E xpenses sin ce
Jan. 1, 1939.____ ____ 1,047.14
—217.98
Interest C ollected but N ot
E arned (if a n y )_______
107.65
Other L iabilities_____________
92.42

T o ta l.......................................$ 15,116.38

T otal.-------------------------------- $ 15,116.38

T otal N um ber o f M em bers June 30, 1939..135

T ota l N um ber o f L oans June 30, 1939___ 31


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Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

196

ONG C O -O PE R A TIV E C R E D IT ASSOCIATION
Ong, Nebraska
Date A ssociation opened fo r business A pril 1935
O F F IC E R S
O. C. Asa..,________________________P residen t
N. E dberg._________________ .V ice-P resid en t

R . T. Johnson.
R . T. Johnson..

.S ecretary
T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s to M em bers_______ ___ ____$ 2,892.04
Cash on H and and In B an ks____
1,138.61
O ffice Building, F urniture
and F ix tu re s____________________
88.81
D eficit in E arnin gs Ja n u a ry 1,
1939 (i f a n y )______________________
53.38
Other R esou rces..................................
7.81

Shares o f M em bers.......... ............... $
829.00
D eposits o f M em bers.................. .... 3,362.06
G uaranty or R eserve F un d.........
6.25
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................ $ 389.04
L ess E xpen ses since
Jan. 1, 1939............... .
403.70
—14.66

T ota l_____________________ $ 4,182,65

T ota l________________ _____ ? 4,182.65

T ota l N um ber o f M em bers June 30, 1939..63

T otal N um ber o f L oans June 30, 1939......34

O RCH A RD C O -O P E R A T IV E CR ED IT ASSOCIATION
O rchard, Nebraska
Date A ssociation opened fo r business D ecem ber 1934
O F F IC E R S
Geo. B. Johnson.—...........................Presiden t
G. W . M iller_____ _________ V ice-P resid en t

F loren ce
F loren ce

H a rm on ............................. S ecretary
H a rm on ............ ................. T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES

L IA B IL IT IE S

L oan s to Members................... ......... $ 4,053.00
B onds and Other A pproved
Investm ents .................. ......... ...___
614.48
Cash on H a n d and In B an ks___ 13,354.87

Shares o f M em bers._____ _______ $ 2,266.00
D eposits o f M em bers____________ 15,522.34
G u aranty or R eserve F u n d ____
25.07
40.21
U ndivided P ro fits_________________
C urrent E a r n in g s :
Incom e since Jan. 1,
1939 ..... ............... ......... $ 805.01
L ess E xpen ses sin ce
Jan. 1, 1939_________
637.47
167.54
1.19
O ther L iabilities..................................

T ota l— ........... .......................$ 18,022.35

T ota l— ............... ...................$ 18,022.35

T otal N um ber o f M em bers June 30, 1939..120

T otal N um ber o f L oa n s June 30, 1939......26

ORLEANS C O -O PE R A TIV E CR ED IT ASSOCIATION
Orleans, N ebraska
Date A ssociation opened for business July 1934
O F F IC E R S
H a rry T. M itchell............................. P resident
Jam es M cG eachin__________ V ice-P resid en t

Geo.
Geo.

S.
S.

A u stin ................................ Secretary
A u stin __________ ________ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES
L oan s to M em bers.............................$ 1,800.00
Cash on H and and In B an ks...... 16,507.83

L IA B IL IT IE S
Shares o f M em bers......................... $ 2,120.00
D ep osits o f M em bers____________ 16,091.26
G u aranty or R eserve F un d ____
12.30
U ndivided P ro fits...............................
36.92
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................ $ 624.75
L ess E xpen ses sin ce
Jan. 1, 1939._________ 577.40
47.35

Total....................................... $ 18,307.83

T ota l........................ .............$ 18,307.83

T otal N um ber o f M em bers June 30, 1939..81

T otal N um ber o f L oa n s June 30, 1939......11


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Federal Reserve Bank of St. Louis

197

D E PA R TM E N T OF BANKING
PAGE G O -O PE R A TIV E C R ED IT ASSOCIATION
Page, Nebraska
Date A ssociation opened fo r business Septem ber 1934
O F F IC E R S
C. G. Ives ............................ .......... .President
L eonard H eiss_____________ V ice-P resid en t

O.
O.

.S ecretary
T reasurer

L. Reed.
L. Reed..

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s to M em bers.................. .......... $
B onds and Other A p proved
Investm ents ......................................
Cash on H and and In B an ks---O ffice B uilding, F urniture
and F ixtu res.........................

3,589.85
3,123.05
3,249.17
1,170.00

Shares o f M em bers........ ................ $ 1,580.00
D eposits o f M em bers......................
9,510.78
Current E a r n in g s :
Incom e since Jan. 1,
1939 ................................ $ 728.29
L ess E xpenses since
Jan. 1, 1939............... . 728.00
.29
41.00
Other L iabilities.......... ..................... .

T ota l______________________$ 11,132.07

T ota l_____________________ $ 11,132.07

T otal N um ber o f M em bers June 30, 1939—100

T ota l N um ber o f L oans June 30, 1939.__ .21

P L A T T E CE N TER C O -O PE R A TIV E C R E D IT
ASSOCIATION
Platte Center, Nebraska
Date A ssociation opened fo r business A pril 19 35
O F F IC E R S
F e lix C. B ru ckn er_______________ P resident
L. A . H ansen ......................V ice-P resid en t

W.
W.

F . T essen d orf................. ........... Secretary
F. T essendorf.______________ T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES
L oan s to M em bers............................. $ 5,485.00
B onds and Other A p proved
Investm ents.............. ........................
3,325.30
Cash on H and and In B an ks----- 8,655.87

L IA B IL IT IE S
Shares o f M em bers______________ $ 2,130.00
D eposits o f M em bers.__________ :... 14,926.98
63.00
G u aranty or R eserve F un d _____
U ndivided Profits........._____________
102.95
Current E a r n in g s :
Incom e since Jan. 1,
1939 ............... .................$ 809.28
L ess E xpen ses since
566.04
243.24
Jan. 1, 1939_________

T ota l_____________________ $ 17,466.17

T ota l_____________________ $ 17,466.17

T ota l N um ber o f M em bers June 30, 1939..208

T ota l N um ber o f L oans June 30, 1939___ 30

PLE A SA N T D ALE C O -O PE R A TIV E CRED IT ASSOCIATION
Pleasant Dale, Nebraska
Date A ssociation opened fo r business M arch 1935
O F F IC E R S
F. C. Sieck______________________ P residen t
John V a g ts__________________V ice -P re sid e n t

N. E. B ishop_____________ _______Secretary
W . B. Stolz.__________.__________ .'Treasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers........ .... ............... $ 3,364.21
C ash on H and and In B an ks___
4,350.13
D eficit in E arnin gs January 1,
1939 (if a n y )_____________________
74.24

Shares o f M em bers______________ $ 1,449.00
D eposits o f M em bers_____ __ ____ 6,226.68
G u aran ty or R eserve F u n d ____ _
8.25
Current E a r n in g s :
Incom e since Jan. 1,
1939 __________ _______ $ 297.06
L ess E xpenses since
Jan. 1, 1939._________ 192.41
104.65

T ota l..................... ................$ 7,788.58

T ota l_________________ ____$ 7,788.58

T otal N um ber o f M em bers June 30, 1939..77

T ota l N um ber o f L oan s June 30, 1939......33


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Federal Reserve Bank of St. Louis

198

D E PA R TM E N T OF BANKING
PLEA SA N TO N CO -O PE R A TIV E C R E D IT ASSOCIATION
Pleasanton, Nebraska
Date A ssociation opened for business O ctober 1934
O F F IC E R S

W . R. P hillips... ........... .... .............. President
A . G. V. H a y s............... .......V ice-P residen t

W a lt H en drickson ..... ................... Secretary
W a lt H en drickson........._...................T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30.I, 1939
RESOU RCES

L IA B IL IT IE S

L oans to M em bers............................ $ 8,039.00
B onds and O ther A p proved
230.09
Investm ents __________
Cash on H and and In B an ks___ 20,388.55
O ffice B uilding, F urniture
and F ixtu res.........................
578..50

Shares o f M em bers_________ ____ $ 3,210.00
D eposits o f M em bers....................... 25,170.40
G u aran ty or R eserve F u n d ___,
190.02
475.56
U ndivided P rofits.____________
Current E a rn in g s :
Incom e since Jan. 1,
1939 ______ ___________$ 709.18
L ess E xpenses since
Jan. 1, 1939............... . 523.27
185.91
Other L iabilities___________________
4.25

T ota l.............. ...... .................. $ 29,236.14
T otal N um ber o f M em bers June 30, 1939..192

T ota l____ ______________29,236.14
Total N um ber o f L oans June 30, 1939......65

RAYM OND C O -O PE R A TIV E CR ED IT ASSOCIATION
R aym ond, Nebraska
Date A ssociation opened fo r business A pril 1935
O F F IC E R S
C. T. Ingersoll.................................. P residen t
F red N issen..............................V ice-P resident

John E. Schulling.......................... S ecretary
John E. Schulling............................T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
L oans to M em bers..........................$ 1,888.75
Cash on H and and In B an ks..... 2,602.73
O ffice Building, F urniture
and F ixtu res........ ..............
208.00
D e ficit in E arnin gs Ja n u a ry 1,
1939 (i f a n y )............... — ...............
348.04
Interest E arned but U ncollected
(if a n y )--------------------------------------14.36
T otal...................................$

L IA B IL IT IE S
Shares o f M em bers.................. .......$
745.15
D eposits o f M em bers....................... 4,223.17
Current E a r n in g s :
Incom e sin ce Jan. 1,
1939 ____ _____________$ 427.52
L ess E xpen ses since
Jan. 1, 1939.... ............ 333.96
93.56

5,061.88

T ota l N um ber o f M em bers June 30, 1939..54

T ota l------ --------..........____ .$

5,061.88

T otal N um ber o f L oans June 30, 1939......17

REYN OLDS C O -O P E R A T IV E CR ED IT ASSOCIATION
R eyn olds, Nebraska
Date A ssociation opened fo r business July 1935
O F F IC E R S
Geo. A . W a rren ................................ P residen t
E dw . C oonrod— ............ .......... V ice-P resid en t

F red S chroeder........................... .......Secretary
Ben P rie fe rt...................... ............ ....T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers.............................$ 2,038.75
C ash on H and and In B an ks...... 3,491.23
Other R esources,—.............. ...............
24.44

Shares o f M em bers.........................$ 1,255.40
D eposits o f M em bers............... ....... 4,268.45
Current E a r n in g s :
Incom e since Jan. 1,
1939 _______ __________ $ 209.73
L ess E xpen ses since
Jan. 1, 1939........ ........ 268.97
—59.24
O ther L iabilities______________.-........
89.81

T ota l.......... .............. ..............? ,5,554.42

T otal._____________________ $ 5,554.42

Total N um ber o f M em bers June 30, 1939..25

T otal N um ber o f L oans June 30, 1939___ 20


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Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

199

R IV E R T O N CO -O PE R A TIV E CR ED IT ASSOCIATION
R iverton, Nebraska
Date A ssociation opened fo r business N ovem ber 19 34
O F F IC E R S
John C. Y elken.................................. President
J. Ziegler...:.,...............................V ice-P resid en t

E. T. Siel-------------------------------------- Secretary
E. T. Siel-----------------------------------...Treasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

Cash on H and and In B an ks......$ 12,463.02
Other R esou rces..................................
10.06

Shares o f M em bers..........................? 1,940.00
D eposits o f' Members..
‘
'
10,480.04
G uaranty or R eserve F u n d __
17.12
Current E a r n in g s :
Incom e since Jan. 1,
1939 _________________ 4 339.30
L ess E xpenses since
Jan. 1, 1939_________
306.38
32.92
Other L iabilities..... ..................._....
3.0H

T o ta l_____ ____ _____ _____ $ 12,473.08

T ota l.......................................$ 12,473.08

T otal N um ber o f M em bers June 30, 1939..54

T otal N um ber o f L oans June 30, 1939..None

R O C K V IL L E C O -O P E R A T IV E CR ED IT ASSOCIATION
R ock ville, Nebraska
Date A ssociation opened fo r business July 1938
O F F IC E R S
R. H. A nd ersen----------------------- .....President
V ictor Sorensen------------------V ice-P resid en t

S.
S.

E.
E.

Sorensen.. .
Secretary
Sorensen................ ...... ........... .T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOU RCES
L oans to M em bers.................. ...... $ 4,187.50
B onds and Other A p proved
Investm ents .............................
2,856.73
Cash on H and and In B an ks___
8,622.60
O ffice B uilding, Furniture
and F ixtu res___________________
4.00
D eficit in E arnin gs January 1,
1939 (if a n y )..................
116.29

L IA B IL IT IE S
Shares o f M em bers.................. .......$ 2,104.00
D eposits o f M em bers...................... 13,845.65
Current E arnin gs :
Incom e since Jan. 1,
1939 --------------------------.$ 407.59
L ess E xpen ses since
Jan. 1, 1939-------------570.12
—162.53

T ota l..... ................................. $ 15,787.12

T ota l...................................... $ 15,787.12

T ota l N um ber o f M em bers June 30, 1939..125

T ota l N um ber o f L oans June 30, 1939......38

RULO C O -O PE R A TIV E CR ED IT ASSOCIATION
R u lo, Nebraska
Date A ssociation opened fo r business Septem ber 1934
O F F IC E R S
W m . Shepherd............................... ....P residen t
C. C. Gale-------------------------- V ice-P resid en t

J. C. R atek in -------------------------------Secretary
J. C. R atek in .................................. T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers............................. $ 10,731.84
Cash on H and and In B an ks___ 19,890.27

Shares o f M em bers______ ___ ____ 4 3,202.40
D eposits o f M em bers.................. .... 27,363.30
Current E a r n in g s :
Incom e since Jan. 1,
1939 --------- ----------------- $1,093.43
Less Expenses since
Jan. 1, 1939_________ 1,037.02
56.41

T ota l____ ________________ $ 30,622.11

T ota l.................. ................... $ 30,622.11

T otal N um ber o f M em bers June 30, 1939..120

T otal N um ber o f L oans June 30, 1939___ 91


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Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

200

RU SKIN C O -O P E R A T IV E C R E D IT ASSOCIATION
Ruskin, Nebraska
Date A ssociation opened fo r business June 1934
O F F IC E R S
A. E. Olds.................. .............. .........P resident
J. P. Jensen............................ V ice-P resid en t

M aurice
M aurice

L. H op k irk .........................Secretary
L. H op k irk ....................... T reasu rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

Cash on H and and In B an ks...... $ 1,343.31
O ffice Building, F urniture
and F ixtu res....................................
80.00

Shares o f M em bers.................. .......$
333.00
D eposits o f M em bers........ .............
1,061.52
G u aranty or R eserve F u n d ------7.00
U ndivided P ro fits.........................
5.98
Current E arnin gs :
Incom e since Jan. 1,
1939 ................................ $ 158.85
L ess E xpen ses since
Jan. 1, 1939_________
143.04
15.81

.$ 1,423.31

T ota l.......................................$ 1,423.31

T otal N um ber o f M em bers June 30, 1939-27

T otal N um ber o f L oan s June 30, 1939..None

T otal

SN YD ER C O -O PE R A TIV E C R ED IT ASSOCIATION
Snyder, N ebraska
Date A ssociation opened fo r business D ecem ber 1934
O F F IC E R S
N icholas E m anu el............................. P residen t
C. J. L ennem an____________ V ice-P resid en t

W illia m
W illia m

H. W olsleg er--------------- S ecretary
H. W olsleg er--------------- T reasu rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oan s to M em bers........ ...... ............$ 3,750.50
Cash on H and and In B an ks----- 4,775.00
O ffice Building, F urniture
35.00
and F ixtu res____________________
Other R esou rces_________________ ...
23.76

Shares o f M em bers_________ _____$ 1,005.50
D eposits o f M em bers____________
7,410,45
G u aranty or R eserve F u n d _____
10.50
U ndivided P ro fits_________________
5.22
Current E a r n in g s :
In com e since Jan. 1,
1939 ........ ..... ............. ~_.$ 662.51
L ess E xpen ses since
Jan. 1, 1939_________
511.67
150.84
O ther L iabilities___________________
1.75

T ota l___________________ __$ 8,584.26
T otal N um ber o f M em bers June 30, 1939-92

T ota l_________ ____________ $ 8,584.26

|

T otal N um ber o f L oa n s June 30, 1939......44

ST A PLE H U R ST C O -O PE R A TIV E C R E D IT ASSOCIATION
Staplehurst, N ebraska
Date A ssociation opened fo r business N ovem ber 19 34
O F F IC E R S
...................... .President
_______.V ice-P resid en t

W m . W iem an
E rnest Schaal.

T hom as
T hom as

D ahl....... .............................. Secretary
D ah l____________________ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s to M em bers......... ...................$
B onds and O ther A p proved
Investm ents ------------------------------C ash on H and and In B an ks----O ffice Building, Furniture
and F ixtu res.................. - ................

11,991.00
5,000.00
17,276.38
1,930.00

Shares o f M em bers_________ ____ $ 4,990.00
D eposits o f M em bers____________ 30,743.64
G u aranty or R eserve Fund— ...
325.00
U ndivided P ro fits_________________
180.93
Current E a r n in g s :
In com e since Jan. 1,
1939 ..... .......................... $ 746.54
L ess E xpen ses since
Jan. 1, 1939............_..... 788.73
—42.19

T ota l_____________________ $ 36,197.38

T ota l_____________________ $ 36,197.38

T ota l N um ber o f M em bers June 30, 1939-178

T ota l N um ber o f L oan s June 30, 1939___ 67


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Federal Reserve Bank of St. Louis

201

D E P A R T M E N T O F B A N K IN G

STERLIN G C O -O PERA TIVE CRED IT ASSOCIATION
Sterling, Nebraska
Date A ssociation opened fo r business F ebru ary 19 35
O F F IC E R S
__P residen t
..........V ice-P resid en t

E. R. Eilers.....
John B argm an.

E. A . Cox...............—
M artin D irks........ —

.S ecretary
.T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
L oan s to M em bers— ...........— .........$ 4,453.75
B onds and Other A p proved
292.39
Investm ents ------------------------------C ash on H and and In B an ks...... 12,080.31
O ffice Building, F urniture
92.50
and F ixtu res------------ ----- ------------16.89
Other R esou rces----------------------------

L IA B IL IT IE S
Shares o f M em bers....................
D eposits o f M em bers............—
G u aranty or R eserve F un d....
U ndivided Profits................... .......
Current E arnin gs :
Incom e since Jan. 1,
1939 ......................- .........$ 626.42
L ess E xpenses since
Jan. 1, 1939................. 595.24
Other L iabilities............................

2,817.98
14,048.74
33.15
3.18

T ota l__________________

16,937.84

T ota l.......................................$ 16,937.84
T otal N um ber o f M em bers June 30, 1939..127

32.18
2.61

T otal N um ber o f L oa n s June 30, 1939-----41

STO C K V ILLE C O -O PERA TIVE CR ED IT ASSOCIATION
Stockville, Nebraska
Date A ssociation opened fo r business January 19 3 6
O F F IC E R S
.President
.Secretary

R alp h E. L idgard.
N oel B lake...............

T reasurer

N oel Blake.

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oans to M em bers------------------------5 3,989.02
Cash on H and and In B an ks----- 2,438.28
O ffice Building, F urniture
100.00
and F ixtu res------------------------------92.09
Other R esou rces----------------------------

Shares o f M em bers...
D eposits o f M em bers.
G u aran ty or R eserve F und.—
U ndivided P ro fits------Current E a r n in g s :
Incom e since Jan. 1,
1939 ------------------------- .$ 530.15
L ess E xpen ses since
476.81
Jan. 1, 1939------------Total.

T ota l_____________________ $ 6,619.39
T ota l N um ber o f M em bers June 30, 1939..102

1,095.40
5,387.77
39.00
43.88

,53.34
6,619.39

T otal N um ber o f L oan s June 30, 1939.— 46

SU RPRISE C O -O PERA TIVE CR ED IT ASSOCIATION
Surprise, Nebraska
Date A ssociation opened fo r business June 1938
O F F IC E R S
L ee L udden-------------W m . K unzm an, Jr..

P residen t
__ V ice -P re sid e n t

H. W . C randall.......
H. W . C randall........

..Secretary
.T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
C ash on H and and In B an ks...... $ 2,891.51
O ffice Building, F urniture
and F ix tu re s-------------------------- -—
4b'b,i
D e ficit in E arn in gs J a n u a ry 1,
1939 (if a n y )--------------------------------n -81

L IA B IL IT IE S
Shares o f M em bers----------------D eposits o f M em bers-------------Current E a r n in g s :
Incom e since Jan. 1,
1939 ..._.............. - ....... —-$ 413.84
L ess E xpen ses since
Jan. 1, 1939........ ......... 4o4.92

388.00
2,603.03

—41.08

T ota l.................. - .................. ? 2,949.95

T ota l.................. - ...................? 2,949.95

T ota l N um ber o f M em bers June 30, 1939..56

T ota l N um ber o f L oan s June 30, 1939..None


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Federal Reserve Bank of St. Louis

202

D E PA R TM E N T OF BANKING
SU TH ERLAN D CO -O PE R A TIV E C R E D IT ASSOCIATION
Sutherland, Nebraska
Date A ssociation opened for business A pril 1935
O F F IC E R S

Chas. R . W h ite--------------------------- P resident
H. P. W iig .--------------------------V ice-P resid en t

R . E. W a tson ------------- -------------„...Secretary
R . E. W atson ---------------------- ------- Treasurer'

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES
Cash on H and and In Banks.
O ffice Building, F urniture
and F ixtures.—____ __________

L IA B IL IT IE S
$ 10,579.50
275.00

Shares o f M em bers..... ............ ...... $ 2,170.00
D eposits o f M em bers...............
8,527.01
G u aranty or R eserve F u n d .........
28.07
U ndivided P rofits...............................
50.38
Current E arnin gs :
Incom e since Jan. 1,
1939 ................................ $ 686.18
L ess E xpen ses since
Jan. 1, 1939................. 644.61
41.54
Other L iabilities.................
37.50

T ota l.......................................$ 10,851.50

T ota l........ — --------- ----------- $ 10,854.50

T ota l N um ber o f M em bers June 30, 1939..72

T otal N um ber o f L oans June 30, 1939..None

TRU M BULL CO -O PE R A TIV E CR ED IT ASSOCIATION
Trum bull, Nebraska
Date A ssociation opened fo r business A u gust 1934
O F F IC E R S
Geo. K reu tz........................................ P residen t
Scott W ilso n -------------- ----— V ice-P resid en t

E rnest O rm sby.................
Secretary
E rnest O rm sby........................ ......... .T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B I L I T I E S

L oan s to M em bers........ ....................$ 2,057.50
B onds and Other A p proved
Investm ents __________________
450.00
Cash on H and and In B an ks......... 4,357.62
O ffice B uilding, F urniture
and F ixtu re s_________________
761.45
O ther R esou rces.......... .........
3.47

Shares o f M em bers............... .......... $ 1,704.00
D eposits o f M em bers....................... 5,851.59
G u aranty or R eserve F un d_____
46.20
U ndivided P ro fits ........ ......
1.47
Current E arn in gs :
Incom e since Jan. 1,
1939 ..... .......................... $ 233.45
L ess E xpen ses since
Jan. 1, 1939................. 218.05
15.40
D ividend D eclared but Unpaid....
8.38
Other L iabilities_______________
3.00

T ota l_______ ___ ___ ____ „...$ 7,630.04

T ota l-------------------------------- $ 7,630.04

T ota l N um ber o f M em bers June 30, 1939..73

T ota l N um ber o f L oa n s June 30, 1939......43

UEHLING C O -O P E R A T IV E C R ED IT ASSOCIATION
Uehiing, Nebraska
Date A ssociation opened fo r business A ugust 19 34
O F F IC E R S
H en ry V o n Seggern........................P resident
E d w ard U ehiin g------------------ V ice-P resid en t

C lifton
C lifton

U ehiing
U ehiing.____

..Secretary
T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
L oans to M em bers_______________ $ 21,972.17
B onds and O ther A p proved
Investm ents ............................
8,348.65
Cash on H and and In B an ks_____ 13,056.96
O ffice Building, F urniture
and F ixtu re s..... .........
100.00
Other R esou rces......... ...............
201.85

L IA B IL IT IE S
Shares o f M em bers._____________ $ 4,365.00
Deposits o f M em bers____________ 39,03148
G u aranty or R eserve
Fund.......
271.63
Current E arnin gs :
Incom e since Jan. 1,
1939 ------------------- ------- $1,355.11
L ess E xpen ses since
Jan. 1, 1939----------------- 1,343.49
11.62

T o ta l--------------------------------4 43,679.63

T ota l.......... ........... ................ $ 43,679.63

T otal N um ber o f M em bers June 30, 1939..165

T ota l N um ber o f L oans June 30, 1939......60


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

D E PA R TM E N T OF BANKING

203

UNION C O -O PERA TIVE CRED IT ASSOCIATION
Union, Nebraska
Date A ssociation opened fo r business D ecem ber 1934
O F F IC E R S
Phil F. R ihn.......................................President
D avid K en dall.................. .......V ice-P resid en t

George A . Stites________________ S ecretary
G eorge A. Stites_______ ______ ____ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
Cash on H and and In B anks

L IA B IL IT IE S
.$ 3,094.97

Shares o f M em bers______________ $
339.79
D eposits o f M em bers__________
2,787.48
G u aranty or R eserve F u n d _______
6.91
U ndivided P ro fits_________________
..53
Current E arnin gs :
Incom e since Jan. 1,
1939 ..... ......................... $ 316.75
L ess E xpen ses since
—39.74
Jan. 1, 1939................. 356.49

T ota l..................................._...$ 3,094.97
T ota l N um ber o f M em bers June 30, 1939..39

T ota l............. .....................3,094.97
T otal N um ber o f L oan s June 30, 1939..None

UPLAND C O -O PERA TIVE C R E D IT ASSOCIATION
Upland, Nebraska
Date A ssociation opened fo r business N ovem ber 1934
O F F IC E R S
P. H. R au n .......................................President
L. H. H eld------------------------- .V ice-P residen t

W a lte r Nielsen......... ..........................Secretary
W a lte r N ielsen___________________ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES

L IA B IL IT IE S

L oans to M em bers.............................$ 5,554.50
B onds and O ther A p proved
Investm ents ____________________
412.67
Cash on H and and In B an ks_____ 5,975.55
O ffice Building, F urniture
and F ixtu res........ ......................
150.00
Other Resources...._________________
10.81

Shares o f M em bers.................. .......$ 1,720.00
D eposits o f M em bers____ _______ 10,366.17
CUrrent E arnin gs :
Incom e since Jan. 1,
1939 ............................ _...$ 625.49
L ess E xpen ses since
Jan. 1, 1939____ _____ 608.13
17.36

T ota l.......................................$ 12,103.53

T ota l..... .................................$ 12,103.53

T otal N um ber o f M em bers June 30, 1939..106

T otal N um ber o f L oan s June 30, 1939.___33

VENANGO C O -O PERA TIVE CR ED IT ASSOCIATION
Venango, Nebraska
Date A ssociation opened fo r business January 1935
O F F IC E R S
W . H. B usch..................................... P resident
W . O. H a sem an--------------- ---V ice-P resid en t

A lbert Schroeder.___________ ______ Secretary
A lbert Schroeder................................ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30. 1939
RESOURCES
L oans to M em bers________________ $ 2,255.00
Cash on H and and In B an ks...... 15,919.81
Other R esources...................... ..... .....
24.29

T ota l............... .......................$ 18,199.10
T ota l N um ber o f M em bers June 30, 1939..38


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

L IA B IL IT IE S
Shares o f M em bers______ _______ $ 2,340.00
D eposits o f M em bers____________ 15,540.47
G u aranty or R eserve F u n d .............
77.70
C urrent E arnin gs :
Incom e since Jan. 1,
1939 _________ ____ ____$ 504.57
L ess E xpen ses since
Jan. 1, 1939_________
294.62209.95
Other L iabilities.............
30.98
T ota l............................ ..........$ 18,199.10
T otal N um ber o f L oans June 30, 1939......7

D E PA R TM E N T OF BANKING

204

Y E R D IG R E C O -O P E R A T IV E CR ED IT ASSOCIATION
V erdigre, Nebraska
Date A ssociation opened fo r business January 19 35
O F F IC E R S
J. J. Chalupnik.................... - .......... President.
C. C. Schreier_____________ .V ice-P residen t

A dolph
A d olp h

K otrou s......................- .........S ecretary
K otrou s................................ T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s to M em bers— ..................
B onds and O ther A p proved
Investm ents -------------------------Cash on H and and In Banks.

12,408.00
2,165.37
12,516.25

Shares o f M em bers--------------------- ? 3,023.90
D eposits o f M em bers....................... 23,533.28
82.87
G u aran ty or R eserv e
F u n d ...
318.39
U ndivided P ro fits...................... _...—
C urrent E arnin gs :
Incom e since Jan. 1,
1939 __________________ $1,056.58
L ess E xpen ses since
Jan. 1, 1939
.......... 925.40
131.13

.$ 27,089.62

T otal_____________________ -$ 27,089.62

T ota l N um ber o f M em bers June 30, 1939..291

T otal N um ber o f L oan s June 30, 1939......69

T otal

V E R D E L CO -O PE R A TIV E CR ED IT ASSOCIATION
V erdel, N ebraska
Date A ssociation opened for business June 19 35
O F F IC E R S
L. H. B lack.
........................... P re sid e n t
G. F. F ra n k lin _____________ .V ice-P residen t

T. J. N eprud..................................... S ecretary
T. J. N eprud...................................... T rea su rer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOU RCES
L o a n s to M em bers-------------------Cash on H and and In Banks..

585.00
8,208.10

Shares o f M em bers..... ............... ..$ 1,345.00
D eposits o f M em bers.................. .. 7,167.16
87.00
G u aranty or R eserve F un d.....
157.29
U ndivided P rofits..........................
C urrent E arn in gs :
Incom e since Jan. 1,
1939 ................................ $ 372.22
L ess E xpen ses since
36.65
Jan. 1, 1939.................. 335.57
T ota l..................................

8,793.10

T ota l-

T ota l N um ber o f M em bers June 30, 1939..54

8,793.10

T ota l N um ber o f L oans June 30, 1939.. ..10

W A T E R B U R Y C O -O PE R A TIV E C R E D IT ASSOCIATION
W aterbu ry, Nebraska
Date A ssociation opened fo r business May 19 35
O F F IC E R S
C. E. M aun____
John F lo o d ------

.......... P residen t
.V ice-P residen t

C. M. Chase............... — .............. „...Secretary
C. M. C hase.......................................T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES

L IA B IL IT IE S

L oa n s to M em bers.------------- ----------$
758.00
B onds and Other A p prov ed
Investm ents ----------------------- ------1,099.43
Cash on H and and In B an ks...... 2,453.63

Shares o f M em bers_______ ______ $
945.00
D eposits o f M em bers....................... 3,256.51
U ndivided P ro fits — ...........................
30.39
C urrent E arn in gs :
Incom e since Jan. 1,
1939 ..... ............ ............. $ 432.37
L ess E xpen ses since
Jan. 1, 1939............... . 360.21
72.16
Other L iabilities---------------------------7.00

T ot a l.........................:..... -......$ 4,311.06

T ota l.......... ...........................$ 4,311.06

T ota l N um ber o f M em bers June 30, 1939..94

T ota l N um ber o f L oa n s June 30, 1939-----12


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

205

D E PA R TM E N T OF BANKING
W E S T E R N C O -O PE R A TIV E CR ED IT ASSOCIATION
W estern, Nebraska
Date A ssociation opened fo r business M arch 19 35
O F F IC E R S
Joseph L. B a rta
F ritz P ick e r--------

____ P residen t
1........ V ice-P resid en t

Chester Rhynalds....
Chester R h y n alds

..Secretary
.Treasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
8,451.50
14,243.77

L oan s to M em bers------------------Cash on H and and In Banks.
O ffice B uilding, F urniture
and F ixtu res-------------------------Other R esou rces-----------------------

10.00

.55

Shares o f M em bers----------------D eposits o f M em bers.................
G u aranty or R eserve Fund......
U ndivided P ro fits--------------------C urrent E arnin gs :
Incom e since Jan. 1,
1939 __________________$ 785.41
L ess E xpen ses since
Jan. 1, 1939................. 617.94
Other L iabilities......... ........... ......

3,216.00
19,269.74
26.00

T ota l__________________

22,705.82

.$22,705.82

T otal

T ota l N um ber o f M em bers June 30, 1939..223

22.02

167.47
4.50

T ota l N um ber o f L oans June 30, 1939..— .72

W ESTO N C O -O P E R A T IV E CR ED IT ASSOCIATION
W eston , Nebraska
Date A ssociation opened fo r business Septem ber 19 34
O F F IC E R S
L ud vik C aha........ —
F ra n k J. D olezal.....

_____ P residen t
1“.___ V ice-P resid en t

A nton
A nton

F.
F.

F ish er------F ish er-------

.S ecretary
T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
L IA B IL IT IE S

RESOURCES
L oan s to M em bers........ - ................
B onds and Other A p proved
Investm ents ---------------------- --------Cash on H and and In B an ks----F urniture and F ixtu re s---------------O ther R esou rces------- ---------------------

1,842.00
58.00
8,796.13
220.00
253.24

Shares o f M em bers.................. - .... $
D eposits o f M em bers------------------G u aranty or R eserve F u n d .........
C urrent E arnin gs :
Incom e since Jan. 1,
1939 ............................... -$ 404.29
L ess E xpen ses since
Jan. 1, 1939................. 250.20
Other L iabilities----------------------------

1,320.00
9,408.53
36.55

154.09
250.20

.$ 11,169.37

Total...-..............................— $ 11,169.37

T otal N um ber o f M em bers June 30, 1939..68

T otal N um ber o f L oans June 30, 1939-----15

Total...

W INN ETOON C O -O PE R A TIV E C R ED IT ASSOCIATION
W in n etoon , Nebraska
Date A ssociation opened fo r business O ctober 1936
O F F IC E R S
Seth Jon es-----H. C. Schellen

P residen t
.V ice-P residen t

O. W . C randall-------- --------- ----- ------Secretary
O. W . C randall............. ..................... T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOU RCES
L oan s to M em bers.................. - .........$ 3,617.35
9,151.84
Cash on H and and In B an ks----O ffice Building, F urniture
161.62
and F ixtu res---------------------------1.51
O ther R esou rces------- ---------------------

L IA B IL IT IE S
Shares o f M em bers...............- ....__ $ 1,840.56
D eposits o f M em bers--------------- ...... 10,981.60
17.82
G u aranty or R eserve F u n d .....
52.78
U ndivided P r o fits ---------------------C urrent E a r n in g s :
Incom e since Jan. 1,
1939 .......... ......................$ 281.33
L ess E xpen ses since
39.56
Jan. 1, 1939_________
241.77

12,932.32

T ota l........ ............................ $ 12,932.32

T ota l N um ber o f M em bers June 30, 1939..95

T ota l N um ber o f L oa n s June 30, 1939----- 28

Total.


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis

206

D E PA R TM E N T OF BANK ING
W Y N O T C O -O PE R A TIV E C R E D IT ASSOCIATION
W ynot, Nebraska
Date A ssociation opened fo r business January 1935
O F F IC E R S

A le x Schulte---------------------------------President
A. Jno. P ick.............................V ice-P resid en t

Beth
B eth

Schulte..
Schulte.

.S ecretary
T reasurer

F IN A N C IA L S T A T E M E N T JU N E 30, 1939
RESOURCES
B onds and Other A p proved
Investm ents _____ ______ ________ $
747.64
Cash on H and and In Banks....".! 7,665.60

L IA B IL IT IE S
Shares o f M em bers..........................$
716.00
7,503!69
D eposits o f M embers-____________
G u aranty or R eserve F u n d .........
’ 37.16
U ndivided P ro fits ........
11147
C urrent E arnin gs :
In com e since Jan. 1,
1939 --------------------------- $ 452.92
L ess E xpen ses since
Jan. 1, 1939........ ....... 408.00
44 92

T ota l........ ----- --------------------$ 8,413.24

T ota l.......... .............. ............. $ 8,413.24

T otal N um ber o f M em bers June 30, 1939..49

T otal N um ber o f L oan s June 30, 1939..None


https://fraser.stlouisfed.org
Federal Reserve Bank of St. Louis