The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
f e d e r a l L .4 r e s e r v e b o a r d GOLD SETTLEMENT FUND Confidential f t r a n s a c t i o n s f o r week ending September 11, 1917 ( i n t h o u s a n d s of d o l l a r s ) FEDERAL Balance GOLD last t r a n s f e r s S e t t l e m e n t of September 13, 1917 'RESERVE statement Withdrawn:Deposited Debit Credit Net Total Net Total EA-K OF -2/6/UL Debits Credits Debits Credits : 8,000 10,000 ,ston 7>259. 46,580 54,102 7,522 w York 104,-360 11,500 : 1,000 11,500 113,500 6 3 , 6 Go 230,933 167,273 Philadelphia 13.228 2,000 :20,000 20,000 61,388 20,762 82,150 Cleveland 200 50,543. 21,000 491 48,286 31,910 16,376 Richmond 30,985. .1 3,000 : 2,585 16,000 8,806 23,223 32,029 Atlanta 3,000 3 , 4 7 3 >25 20,499 15,946 4,553 Chicago 4,320 : 3 , 5 8 6 - 9 77,1^9 .36 33,000 9,000 66,240 83,627 17,387 St* Louis 24,1U2 i,4oo 2,000 2,129 28,906 31,035 Minneapolis 5,168 2,000 : 1,500 10, 820 1 4 , 3 1 4 3,494 Kansas C i t y 3 6 , 2 9 6 65 3,500 : 1,128.85 662 21,913 22,575 Dallas 9,271 250 4,500 12,720 13,410 . 690 San F r a n c i s c o 1.000 :13,250 : 17,000 13,007 8,500 36,2^4 5,357 30,877 t , 3 1 " -r Total FEDERAL RESERVE AGENT AT gghston ^miladelphia Cleveland Richmond Atlanta CM c ago Louis Minneapolis Kansas C i t y Dallas San F r a n c i s c o Total 37.4_2_882.96 32,170 : 5 1 , 5 4 1 . 7 5 : 1 3 3 . 0 0 0 :133.000 FE ED DERAL 2 . COO 23,479 2,000 3,000 79 537 *•->*> 12,360 200 4,320 1,. 2 0 0 2,250 14,060 #*v 2 =000 2,^4 28,240 210,970 200 10,000 11,400 F U n D : 22,613 : 8,162 : 34,587.5 : 5,211 : 11.400 3,500 100 1,000 20,120 Changes i n ownership of gold t h r o u g h t r a n s f e r and s e t t lenient Decrease 2,47s Increase 38,340 t 7 62 4,624 7,194 4,553 6,613 129 3,494 662 3,810 13 j §57, :394.254.71: 41.258 : 43,258 2,000 25,479 20,550 1,000 * AGENTS : 75,699 :I32,200 : 31,990 : 46,210.6 • 23,376.1.:a 4 , 0 7 9 . 75 : 69,803.26 20,000 12,000 18,, 5 5 O 0 RE S E R V E 75.699 :591.495 :593.495 : 12,781 3,000 20,000 9,000 : Balance i n fund after Clearing 82,857 13, 360 4,250 17,563 2, 394 19,2UO 219,690 a- O v e r d r a f t .