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No. 86.-DEPOSITS, REDEMPTIONS, AND TRANSFERS AND REPAYMENTS, ON ACCOUNT OF NATIONAL BANKS FAILED, IN LIQUIDATION, ETC.-Continued.

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1874..

1875.

1876.

1877.

1878.

1879.

1880..

1881.

1882.

1883.

1884..

1885.

1886.

1887.

1888.

1889.

1890.

1891.

1892.

1893.

1894.

1895.

1896.

$2,561, 283. 00 3, 316, 721.00 2,607, 643.00 1,878, 016. 00 2,561, 039. 50 2,569, 228. (0 1,056, 183. CO 1, 281, 961.00 7,957, 752.00 7,284,980.00 5, 015, 950.50 12, 684, 354. (0 35, 202, 542. 75 31, 435, 378. 25 25, 539, 318. 10 3,386, 676.00 1,306, 313.00 1,682, 370.00 1,364, 448. 50 1, 435, 160. 50 3,065, 486.50 2,596, 457.50 1,853, 255.00

$915, 990.00 1,974, 951. 00 2,509, 456.50 2, 405, 317.00 1,810, 752.00 1,554, 086.50 1,058, 414.50 1, 144, 906. 40 1,769, 756.00 4,595, 593.00 5,746, 173, 50 7,066, 226, 50 14, 637, 711.00 17, 313, 545.00 20,717, 893. 25 17, 807, 773.90 11, 327, 772. 00 8, 330, 876.00 6, 212, 259. 50 4, 670, 673.00 3,871, 680. 25 3, 225, 443.00 2,868, 828.50

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7,822, 019. 00 21, 044, 412. 00 21, 871, 523.00 9,446, €26. 00 5,866, 001.00 4, 961, 285. 00 10, 773, 004. 00 14, 505, 346. 00 18, 233, 878.50 20, 486, 304. 00

20, 692, 213. 00 14, 311, 170. 00

19, 647, 970. 50 29, 008, 271.00 28, 159, 373. 50 22, 021, 661.50 16, 628, 873.00 9,691, 685.00 3,786, 578.50 5,885, 454.50 9, 088, 882.00 7,568, 158.00

624, 920.00 401, 266. 00 619, 652.00 260, 337.00 572,000.00 172, 611.00 1, 517, 446. 00 3,719, 612.00 1,284, 705.00

440, 400. 50

12, 717, 915. 00 20, 572, 706. 00 8,066, 596.00 4,440, 283.00 5, 225, 027.00 13, 133, 927.00 26, 907, 436. 00 24, 204, 843. 00 20, 886, 657.50

3, 550, 000. 0019, 034, 995.00 1,248, 710.00

812, 723.00

2, 140, 905. 50

677, 061.00 438, 258.00 413, 655.00 78,953,50 152, 864.50 136, 163, 00 127,600.50 62,001.00

19, 481, 904. 50

25, 349, 423. 00

19, 989, 400.00

43, 895, 336.50

33, 146, 190.00 33, 888, 335.50 21, 645, 803. 00 12, 642, 405. 00 4,361, 214.50 1, 248, 701. 00 7,371, 311.00 7,501, 824.00 3, 530, 972.00

1867.

1868.

1869.

1870.

1871.

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765, 720. 20 786, 160.00 3,017, 070.60 3, 473, 104.25 2, 333, 321. 25 3, 285, 409. 54 25, 915, 640.96 32, 494, 647.00 12, 719, 069. 25 9, 239, 794.00 10, 606, 903. 25 14, 316, 087. 00 27, 671, 482. 50 24, 455, 846. 25 23, 938. 165. 50 31, 040, 200, 50 31, 449, 552. 00 52, 602, 267. 75 76, 129, 898.25 46, 520, 686. 10 33, 183, 136, 00

458, 409. 40 202,755.25 1,307, 527.00 3, 374, 153.90 3,241, 778.00 1,374, 500, 00 10, 912, 666. 00 24, 324, 687.30 25,050, 755.00 12, 009, 875. 50 8,056, 701.00 6, 401, 916. 00

12, 344, 798. 90 16, 808, 606. 50 23, 552, 279. 50 26, 857, 689.50

28, 462, 225.00 29, 557, 588.00 37, 368, 289.00 50, 163, 957. 45 46,386, 121.90

900,00

626, 920.00

126, 849.80 434, 160. GO

1,017, 565. 35

2,727, 108.95

2,826, 059, 30

1, 917, 602.55

3,827, 612. 09 18, 203, 667. 05

401, 266. 0025, 972, 360. 75

649, 314.00 423, 766. 50 751, 654.00 172, 611.00 1,517,446.00 3,737, 369.00 1,284, 705. 00

972, 300. 50 3,759, 116.00 | 1,392, 306. 00 1,017, 397.00 2,396, 803. 10 | 698, 721.00

12, 991, 361.00 9, 797, 513.00

11, 596, 061. 25 19, 337, 621. 25 33, 146, 858. 85 37, 056, 729. 60 36, 157, 910. 60 39, 368, 121. 10 38, 596, 332. 10 60, 248, 705. 85 97, 992, 918. 10 91, 952, 843. 65 78, 051, 136, 75

No. 86.-DEPOSITS, REDEMPTIONS, AND TRANSFERS and REPAYMENTS, ON ACCOUNT OF NATIONAL BANKS FAILED, IN LIQUIDATION, ETC.-Continued.

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Fiscal year.

No. 87.-EXPENSES INCURRED IN THE REDEMPTION OF NATIONAL-BANK NOTES,

BY FISCAL YEARS.

Charges for transportation.

Salaries.

Stationery, printing, and binding.

Contingent
expenses.

Total.

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No. 88.-BALANCED STATEMENT OF RECEIPTS AND DELIVERIES OF MONEYS BY THE NATIONAL-BANK REDEMPTION AGENCY FOR THE FISCAL YEAR 1896.

85, 974. 55

738.40

131, 190.67

83, 811.30

981.91

107, 843.39

78, 989.85

169. 13

99, 366.52

77, 131. 13

603. 49

100, 593. 70

77, 840. 12

103, 032.96

77, 790. 01

107, 445. 14

76, 411.97

100, 352. 79

77, 766. 54

114, 085. 63

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No. 89.-BALANCED STATEMENT OF RECEIPTS AND DELIVERIES OF MONEYS BY THE NATIONAL-BANK REDEMPTION AGENCY, FROM JULY 1, 1874, TO JUNE 30, 1896.

Dr.

Amount.

Cr.

Amount.

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By national-bank notes, fit for
circulation, deposited in the
Treasury and forwarded to
national banks by express.
By national bank notes, unfit
for circulation, delivered to
the Comptroller of the Cur-
rency

By notes of failed and liqui
dating national banks and
United States notes depos-
ited in the Treasury of the
United States...

By packages referred and mon-
eys returned..

By express charges deducted..
By counterfeit notes rejected
and returned..

By national-bank notes-less
than three-fifths, lacking sig-
natures, and stolen-rejected
and returned, and discount
on United States currency
By "shorts" reported in na-
tional-bank notes received
for redemption...

By cash balance June 30, 1896..

Fotal

$957, 471, 101.00

1, 428, 367, 216. 10

134, 098, 166. 55 14, 071, 032. 71 84, 104.36

73, 445. 35

109, 291. 22

266,742.87

9, 967, 390. 65 2,514, 508, 490.81

No. 90.-AVERAGE AMOUNTS OF NATIONAL-BANK NOTES REDEEMABLE OUT OF THE FIVE PER CENT REDEMPTION FUND, AND AMOUNTS REDEEMED, BY FISCAL YEARS.

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No. 91.-AMOUNTS OF NOTES OF NATIONAL BANKS FAILED, IN LIQUIDATION, AND REDUCING CIRCULATION REDEEMABLE, AND AMOUNTS REDEEMED, BY FISCAL YEARS.

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No. 92.--ASSETS AND LIABILITIES OF THE FIVE PER CENT REDEMPTION FUND OF NATIONAL BANKS AT THE END OF EACH MONTH, FROM JULY, 1874.

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No. 92.-ASSETS AND LIABILITIES OF THE FIVE PER CENT REDEMPTION FUND OF NATIONAL BANKS AT THE END OF EACH MONTH, FROM JULY, 1874—Continued.

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