View original document

The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.

GOLD
Federal
Reserve
•^^Bank of
Boston
New York
Philadelphia
Akveland
j^rahaiond
Atlanta
Chicago
S t . Louis
Minneapolis
Kansas City
Dallas
San Francisco
Total

Gold

21,913,295.35
77,724,740.06
57,055,544.85
43,944,083.89
33,641,794#32
25,374,917.59
64,919,022.3s
9,543,346.64
29,328,514.35
33,057,067.18
11,160,808.67
33,419,686.10
$ 441,082,821.38

Federal
Reserve
Bank of
g#eton
$
York
Philadelphia
Cleveland
Richmond
Atlanta
Chicago
S t . Louis
ffltift&eapolis
Kmsas City
Dallas
San Francisco
» Total
|$

$

$

Gold

Withdrawals

Balance l a s t
statement
May 4 , 1922.
$

FEDERAL RESERVE BOARD .
SETTLEMENT. FUND

Deposits

663,535.00 $
1,324,495.00
887,450.00
1,669,847.52
1,237,980.00
800,900.00
691,450.00
720,800.00
378,912.35
1,288,430.00
1,198,650.00
855,4oo.oo ,
11,717,849.87

$

51,100.00
3,067,700.00
1,000,000.00
3,000,000.00
1,000,800.00
4,002,100.00
2,001,000.00
2,000,000.00
7,505,500.00
23,628,200.00

Aggregate
withdrawals
and t r a n s f e r s
to Agent's fund
$
663,535*00
1,324,495.00
887,450.00
1,669,847.52
1,237,980.00
800,900.00
691,450.00
720,800.00
378,912.35
3,288,430.00
1,198,650.00
8,855,400.00
$

21,717,849.87

X-3I+O2
Washington, D. C.

$

4,988,415.58
9,608,871-29
6,876,255.57
7,862,901.53
3,450,364.61
7,252,052.55
1,151,130.22
3,256,570.63

$

Total
Debits
96,270,857-66
356,316,623.20
120,016,734.11
95,391,380.47
85,373,392.05
39,946,619.02
202,873,282.52
104,081,982.92
29,520,140.94
77,664,164.00
38,811,752.42
52,328,283.84

$

Total
Credits
95,144,805.06
399,555,445.71
115,028,312.53
85,782,509-18
87,677,955.52
39,980,853.62
195,997,026.95
96,219,081-39
26,069,776.33
70,412,105.45
37.660.622.20
49.071.713.21

4 5 , 5 7 2 , 6 2 0 . 5 8 1$ 1,298,600,219.15 1$ 1 , 2 9 8 , 6 0 0 , 2 1 9 . 1 5 | $




-

Credits

Debits
$

51,100-00
3,067,700.00
1,000,000.00
3,000,000.00

-

$

4,000,000.00
1,000,000.00
1,000,000.00
2,000,000.00

2,001,000.00
2,000,000.00
8,389,000.00
$

24,511,700.00 $
Balance i n
fund a t c l o s e
of business
May 11, 1922.

Net
Credits
$

T RAN S F E RS

1,000,800.00
4,002,100.00

Settlements from May 5, 1922 to May 11, 1922
inclusive.
Net
Debits
1,126,052.60

Aggregate
d e p o s i t s and
t r a n s f e r s from
Agent's fund

$

43,238,822.51
2,299,563.47
34,234.60

4 5 , 5 7 2 , 6 2 0 . 5 8 1$

20,123,707.75 $
115,690,167.57
54,247,379.27
34,665,365.08
37,703,377.79
25,608,252.19
60,352,116.8!
4,961,745.11
25,499,237.39
24,517,572.63
10,811,022.45
29.696,715.47
443,876,671.51!$

4,000,000.00

$

4,000,000-00

Summary of changes in ownership of gold by banks through
Decrease
1,126,052.60
4,988,415.58
8,608,871.29

Increase
$

-

39,23S,822.51
2,299,563.47
1,034,234.60

4,876,255.57
7,862,901.53
3,450,364.61
7,252,058.55
1,151,130.22
3,256,570.63
4 2 , 5 7 2 , 6 2 0 . 5 8 1$ 4 2 , 5 7 2 , 6 2 0 . 5 8