STATE BANKS. 1910. Abstracts of reports made by the State banks of Michigan to the Commissioner of the Banking Department, the reports being called for on past days unknown to the bank officers, viz., January 31, March 29, June 30, September 1 and November 10, 1910. For reports of individual State banks and trust companies see succeeding pages. Totals. Liabilities. Capital stock paid in. $281,965,785 02 $289,808,048 94 $297,977,326 05 $300,520,727 62 $303,996,116 29 $23,654,500 00 | $23,862,810 00 Surplus fund. Undivided profits, less losses, current expenses, interest and taxes paid.. Dividends unpaid. 4,537,461 98 Commercial deposits subject to check 64,331,990 66 Commercial certificates of deposit. 14,887,902 30 $22,209,630 00 $22,970,910 00 $23,562,422 00 Due to banks and bankers. Saving certificates of deposit. State monies on deposit.. Savings deposits... Reserved for taxes, interest, etc. 279,179 90 942.342 80 803,985 35 7,776,290 36 390,646 17 8,222,465 26 131,860,560 88 36,657,849 77 36,693,324 65 37,271,278 18 37,211,788 03 139,564 72 Notes and bills re-discounted. 192,344 39 Other liabilities. Totals. 39,517 08 243,875 87 46,058 32 $281,965,785 02 $289,808,048 94 $297,977,326 05 $300,520,727 62 $303,996,116 29 NATIONAL BANKS. 1910. Abstracts of reports made by the National banks of Michigan to the Commissioner of the Banking Department, January 31, March 29, June 30, September 1 and November 10, 1910. For reports of individual National banks see succeeding pages. Totals. 156,708 29 $158,690,456 76 $160,810,546 15 $162,904,746 91 $162,333,199 00 $157,261,906 76 203,624 94 145,217 00 Totals. $158,690,456 76 $160,810,546 15 $162,904,746 91 $162,333,199 00 $157,261,906 76 STATE AND NATIONAL BANKS. Abstracts showing the total volume of business transacted by the State and National banks and trust companies of Michigan, as made to the Commissioner of the Banking Department, January 31, March 29, June 30, September 1 and November 10, 1910. Totals... 156,708 29 $440,656,241 78 $450,618,595 09 $460,882,072 96 $462,853,926 62 $461,258,023 05 203,624 94 145,217 00 Totals.. $440,656,241 78 $450,618,595 09 $460,882,072 96 $462,853,926 62 $461,258,023 05 DETROIT. STATE BANKS. 1910. Abstracts of the published reports of the State banks and trust companies in the city of Detroit, as made to the Commissioner of the Banking Department, January 31, March 29, June 30, September 1 and November 10, 1910. Totals.. 200,000 00 $104,242,564 83 $106,899,585 23 $111,351,352 35 $111,935,112 22 $112,653,248 19 G DETROIT. NATIONAL BANKS. 1910. Abstracts of the published reports of the National banks in the city of Detroit, as made to the Commissioner of the Banking Department, January 31, March 29, June 30, September 1 and November 10, 1910. 5,789 21 Loans and discounts.. Overdrafts, secured and unsecured... $29,610,869 30 $30,229,346 26 $31,071,935 48 $32,193,005 33 $31,788,392 94 U. S. bonds to secure circulation.... 2,359,000 00 2,359,000 00 2,109,000 00 2,359,000 00 7,836 31 2,449,000 00 Totals. $50,347,317 75 $52,527,311 64 $54,506,195 96 $53,087,189 62 $53,964,978 06 |