Full text of G.15 Interdistrict Settlement Fund : April 9, 1920
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r G 0 L.D prary of t r a n s a c t i o n s f o r p e r i o d ending. A p r i l 8,1A2Q. Federal Balance l a s t Gold Reserve statement withdrawals Bank of A p r i l 1, 1920 Boston New York jj^ladelphia ^pveland Richmond Atlanta Chicago St.Lcuis Minneapolis Kansas C i t y Dallas SanFranci^GO * Total 24,509, 771.98 107,539, 607.6s 31,648, 971-22 39,088, 805.87 20,708, 673.57 16,621, 548.97 53,798, 684.94 6,670, 278.33 17,935, 787-76 22,190, 458.21 8,056, 244.19 2 8 . ^ , 992.88 377,324,825-60 Federal Reserve Bank of ton New York Philadelphia Cleveland Richmond Atlanta Chicago St.Louis pr Minneapolis ^ Kansas City L l a s H tt ^P^BziFr-ancisco HP Total http://fraser.stlouisfed.org/ Federal L _ Reserve Bank of St. Louis % I&r.AL EE SERVE BOARD S E T T LE M E N T FUND Gold Demosits 3,000,000.00 2,000,000.00 11,350.00 800.00-v: / 536,720.00 90,000.00 249,500.00 1 . 0 0 0 . 0 X).00 3,858,370.00 2,000,000.00 40,210.00 4,500,000.00 2,009,000.00^ 132,000.00 (coimmwAL) Aggregate wi thdrawal s and t r a n s f e r s t o Agent's fund 15,000,000.00 5,000,000.00 3,000,0 ^0.00 2,000,000.00 4,011,350.00 2,000,800.00 30,407,427-80 7,528,256.12 7,835,470.80 16,112,362.61 1,479,686.20 3,054,469.41 10.Q04 r 0Tq.4Q 77,321,692.43 Total Debits 114,675,084.57 447,462,692.50 138,934,962.10 114,867,739-79 122,909,474.49 49,719,021.78 212,879,139-65 128,732,547.68 36,827,145.5s 87,178,526.89 53,194,632.91 67,676,426.4% 1,575,107,400.72 Washington, D.C. A p r i l 9,1920 Aggregate d e p o s i t s and transfers from A g e n t ' s f u n d 3,000,000.00 2,000,0 0.00 40,210.00 4,500,000.00 2,009,000.00 132,000.00 3,000,000.00 536,720.00 3,000,000.00 11,445.00 90,000.00 249,500.00 1.000.000,00 32,888,370.00 11,445.00 ^.000,000.00 17,692,655.00 S e t t l e m e n t s from April 2, 1920 to A p r i l 8, 1920 both inclusive Net DeMts I Total Credits 149,£46, 486.52 417,055, 271.00 143,330, 524.97 141,363, 506.43 115,381, 218.37 51,935, 550.11 205,043, 668.85 112,620, 185.07 35,347, 459.38 96,270, 959- 53 50,140, 163.50 56,772, 4n6.99 1,575,107,400.72 Net Credits 35,171,401.95 4,345,562.87 26,495,766.64 2,216,528.33 9,092,432.64 77,321,692.43 17.824,000.00 32,516,655.00 Balance i n fund a t c l o s e of b u s i n e s s A p r i l 8,1920 43,144,127.63 50,632,179.2% 28,634,950.25 65,670,679.60 13,521,156.66 20,244,921.14 62,595,214.14 9,521,195.72 16,456,101.56 31,204,335-85 5,752,274.78 28,975,973-39 376,953,110-60 X-1700 TRANSFERS Debits 13,000,000.00 24,500,000.00 19,359,583.84 3,000,000.00 147,910.79 1,000,000.00- 1,000,000.00 1,000,000.00 7.500.000.00 70,507,494.63 Credits 11,462,953.70 13,000,000 ..00 5,045,8^7,09 2,998,643.8^ 17,500,000.00 17,500,000.00 1,000,000.00 2.000.000,00 70,507,494.63 Summary, of changes i n owners s h i p of gold by banks through t r a n s f e r s and s e t t l e m e n t s Decrease 54,907,427.80 2,014,020.97 7,676,166.91 1,479,686.20 2,054,469.41 16,404,019.49. 84,535,790.78 Increase 3 3 , 6 3 4 , % 65 28,541,663-73 4,215,172.17 8,664,529.20 387,637.39 9,092,432.64 84,535,790.78