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REPORT OF THE TREASURER-Continued.
No. 14.-United States notes, Treasury notes, and national-bank notes in
the Treasury at the end of each month, from June, 1878......
No. 15.-Gold certificates, silver certificates, and currency certificates in
No. 16.-Assets of the Treasury other than gold, silver, notes, and cer-
tificates at the end of each month, from June, 1878...............
No. 17.-Assets of the Treasury at the end of each month, from June, 1878.
No. 18.-Liabilities of the Treasury at the end of each month, from
June, 1878...
No. 19.-Gold coin and bullion in the Treasury, and gold certificates in
the Treasury and in circulation at the end of each month,
from June, 1878.......
No. 20.-Standard silver dollars and silver bullion in the Treasury, and
Treasury notes and silver certificates in the Treasury and in
circulation at the end of each month, from June, 1878......
No. 21.-Legal-tender notes in the Treasury, and currency certificates in
from June, 1878
No. 22.-Gold, silver, and paper currency in the Treasury in excess of
certificates in circulation and Treasury notes outstanding, at
the end of each month, from June, 1878.....
No. 23.-Assets and liabilities of the Treasury in excess of certificates
and Treasury notes at the end of each month, from June, 1878..
No. 24. Public debt, exclusive of certificates and Treasury notes, at the
end of each month, from June, 1878, according to the form of
statement adopted in 1891..
No. 25.-United States notes of each denomination issued, redeemed, and
outstanding at the close of each fiscal year..
62
70
No. 26. Treasury notes of 1890 of each denomination issued, redeemed,
and outstanding at the close of each fiscal year
No. 27.-Gold certificates of each denomination issued, redeemed, and
outstanding at the close of each fiscal year, exclusive of
$33,000,580.46 in irregular amounts issued and redeemed on
account of the Geneva award.
No. 28.-Silver certificates of each denomination, issued, redeemed, and
outstanding at the close of each fiscal year
No. 29.--Currency certificates, act of June 8, 1872, of cach denomination
issued, redeemed, and outstanding at the close of each fiscal
year.....
No. 30.-Amount of United States notes, Treasury notes, and gold, silver,
and currency certificates of cach denomination issued, re-
deemed, and outstanding at the close of each fiscal year, from
1866.....
No. 31.-Amount of paper currency of each denomination outstanding at
the close of each fiscal year, from 1878..
No. 32.-United States paper currency outstanding at the close of each
fiscal year....
333
No. 33.-Estimated stock of gold coin and bullion at the end of cach
month, from June, 1878...
93
94
No. 34.-Estimated stock of silver coin and bullion at the end of each
month, from June, 1878......
96
No. 35.-United States notes, Treasury notes, and national-bank notes
outstanding at the end of each month, from June, 1878.......
No. 36.-Gold certificates, silver certificates, and currency certificates
outstanding at the end of each month, from June, 1878......
No. 37.—Estimated stock of all kinds of money at the end of each
month, from June, 1878
No. 38.-Estimated amount of gold and silver in circulation at the end
of each month, from June, 1878......
No. 39.-United States notes, Treasury notes, and national-bank notes in
circulation at the end of each month, from June, 1878.......
No. 40.-Gold certificates, silver certificates, and currency certificates in
circulation at the end of each month, from June, 1878........
No. 41.-Estimated amount of all kinds of money in circulation at the
end of each month, from June, 1878......
No. 42.- Estimated amount of gold and gold certificates, silver and
silver certificates, and notes and currency certificates in cir-
culation at the end of each month, from June, 1878.............
No. 43.-Changes in the volume of money in circulation from internal
expansion and contraction and from imports and exports of
gold during each month, from June, 1878....
Page.
105
108
111
114
116
119
122
No. 44.-General distribution of the stock of money, as between the
Treasury and the circulation, at the end of each month, from
June, 1878....
125
No. 45.-United States notes and Treasury notes redeemed in gold, and
imports and exports of gold during each month, from January,
1879....
128
No. 46.-United States notes and Treasury notes redeemed in gold, and
imports and exports of gold during each fiscal year, from
January 1, 1879..
131
No. 47.-Treasury notes of 1890, issued, retired by redemption in silver
dollars, and outstanding, together with the silver in the
Treasury, purchased by such notes, for each month.....
No. 48.-Transactions between the subtreasury and clearing-house in
New York during each month, from July, 1880 .
No. 49.-Amount of each kind of money used in settlement of clearing-
house balances against the subtreasury in New York during
each month, from September, 1880.....
No. 50.-Monthly receipts from customs at New York, from June, 1878,
and percentage of each kind of money received..........
No. 51.-Fractional silver coin of each denomination in cach office of the
Treasury and mint June 30, 1896....
133
134
135
13g
141
No. 52. Minor coin of each denomination in cach office of the Treasury
and mint June 30, 1896 .
No. 53. Shipments of silver coin from each office of the Treasury and
mint, from July 1, 1885, to June 30, 1896..............
No. 54.-Shipments of silver coin from the Treasury offices and mints
during each fiscal year from 1886, and charges thereon for
transportation........
No. 55.-Semiannual duty collected from national banks for each fiscal
year
No. 56.-United States bonds of each loan held in trust for national
banks, June 30, 1895 and 1896, and changes during the fiscal year
No. 57.-Receipts and disbursements of public moneys through national-
bank depositories, by fiscal years
No. 58.-Number of national banks and of national-bank depositories,
and amount of bonds held for them at the close of each fiscal
142
143
144
No. 59.-Bonds held for the sinking funds of the Pacific Railroad com-
panies at the close of each fiscal year...
145
No. 60.—Old demand notes of each denomination issued, redeemed, and
outstanding June 30, 1896......
No. 61.-Fractional currency of each denomination issued, redeemed, and
outstanding June 30, 1896.....
No. 62.-Compound-interest notes of each denomination issued, redeemed,
and outstanding June 30, 1896.....
146
No. 63.-One and two year notes of each denomination issued, redeemed,
and outstanding June 30, 1896........
No. 64. -United States paper currency of each class, together with one
and two year notes and compound-interest notes, issued,
redeemed, and outstanding June 30, 1896..
No. 65.-Seven-thirty notes issued, redeemed, and outstanding June 30, 1896
No. 66. --Coupons from United States bonds and interest notes paid dur-
ing the fiscal year 1896, classified by loans........
No. 67. Checks issued for interest on registered bonds of the United
States during the fiscal year 1896..........
No. 68. Interest on 3.65 per cent bonds of the District of Columbia paid
during the fiscal year 1896....
No. 69.-Refunding certificates issued under the act of February 26, 1879,
converted into bonds of the funded loan of 1907...
No. 70.—United States bonds and securities retired for the sinking fund,
from May, 1869, to June 30, 1896......
147
148
No. 71.-United States bonds retired, from May, 1869, to June 30, 1896..
No. 72.-Bonds of the loans given in statement No. 71 retired prior to
May, 1869....
149
150
No. 73.-Bonds issued to Pacific Railroad companies redeemed, from Jan-
nary, 1895, to June 30, 1896....
No. 74.-Called bonds redeemed and outstanding June 30, 1896.
No. 75.-Changes during the fiscal year 1896 in the principal of the public
debt
151
154
155
No. 76.—Lawful money deposited in the Treasury each month of the fiscal
year 1896 for the redemption of national-bank notes................
No. 77.-Disbursements from redemption accounts of national banks
each month of the fiscal year 1896, and balance on deposit ..
No. 78.-National-bank notes received for redemption each month of the
fiscal year 1896 from the principal cities and other places....
No. 79.-Redemptions and deliveries of national-bank notes cach month
of the fiscal year 1896, and balance on hand................
No. 80.-Redeemed national-bank notes delivered from the Treasury each
month of the fiscal year 1896, and balance on hand
No. 81.-National-bank notes received from the principal cities and other
places, by fiscal years
156
No. 82.-Result of the count of national-bank notes received for redemp-
tion, by fiscal years
157
No. 83.-Disposition made of the notes redeemed at the National Bank
Redemption Agency, by fiscal years..
158
No. 84.-Mode of payment for notes redeemed at the National Bank
Redemption Agency, by fiscal years.....
159
No. 85.-Deposits, redemptions, assessments for expenses, and transfers
and repayments, on account of the 5 per cent redemption fund
of national banks, by fiscal years, and balance of the deposits
at the close of each year............
No. 86.-Deposits, redemptions, and transfers and repayments, on account
160
of national banks failed, in liquidation, and reducing circu-
lation, by fiscal years, and balance of the deposits at the close
of each year..
Report of THE TREASURER-Continued.
No. 87.-Expenses incurred in the redemption of national-bank notes, by
fiscal years
No. 88.-Balanced statement of receipts and deliveries of moneys by the
National Bank Redemption Agency for the fiscal year 1896..
No. 89.-Balanced statement of receipts and deliveries of moneys by the
National Bank Redemption Agency from July 1, 1874, to June
30, 1896.....
No. 90.-Average amounts of national-bank notes redeemable out of the
5 per cent redemption fund, and amounts redeemed, by fiscal
years
No. 91.-Amounts of notes of national banks failed, in liquidation, and
reducing circulation redeemable, and amounts redeemed, by
fiscal years..........
162
163
164
No. 92.-Assets and liabilities of the 5 per cent redemption fund of
national banks at the end of each month, from July, 1874...
No. 93. Changes during the fiscal year 1896 in the force employed in the
Treasurer's office.....
168
No. 94.-Appropriations made for the force employed in the Treasurer's
office and salaries paid during the fiscal year 1896.............
REPORT OF THE DIRECTOR OF THE MINT...
169-399
the fiscal year 1896...
Appropriations and expenses of the office of the Director of the Mint for
Estimates of appropriations for the fiscal year 1898..
190
191
Earnings and expenditures of the refineries of the coinage mints and of
Monetary systems and approximate stocks of money in the principal
countries of the world .....
205
World's stock of money in the principal countries, 1873
209
Stock of gold and silver in the United States from 1873 to 1896
210
Melts of gold and silver for ingots made and condemned, 1895 and 1896..
255
Recoinage of standard silver dollars....
Bullion operations, legal allowance, and wastage, 1896..
Quantity of metals operated upon, wastage, and loss, 1896..
256
260
Imports and exports of the principal countries of the world..
303
Appendix.
NOTE.-See footnote, page 173.
X.-Quantity and cost of silver used in the coinage of silver dollars
during the fiscal year 1896, under the act of July 11, 1890...
XI. Quantity and cost of silver used in the coinage of silver dollars
from July 1, 1896, to November 1, 1896, under act of July 14, 1890....
XII.-Amount, cost, average price, and bullion value of the silver dollar
of silver purchased under the acts of February 12, 1873, January 14,
1875, February 28, 1878, and July 14, 1890.....
XIII.-Coinage executed at the mints of the United States during the
fiscal year ended June 30, 1896...
314
316
317
318
XVI.-Seigniorage of the coinage of silver and disposition of the same
during the fiscal year 1896..
320
XVII.-Assets and liabilities of the United States mints and assay offices
June 30, 1896....
323
XXII.-Imports into the United States of gold and silver ore, bullion,
and coin by customs districts during the fiscal year 1896.....
XXIII.-Imports into the United States of gold and silver ore, bullion,
and coin. by countries, during the fiscal year 1896..........
324
326