Documents Accompanying the Journal of the House, Parte 2 |
De dentro do livro
Resultados 1-5 de 100
Página 5
... July 1 , 1893 . DEAR SIR - AS required by law , I herewith present a report of the financial transactions of this department from July 1 , 1892 , to June 30 , 1893 , inclusive , showing the receipts and disbursements to and from the ...
... July 1 , 1893 . DEAR SIR - AS required by law , I herewith present a report of the financial transactions of this department from July 1 , 1892 , to June 30 , 1893 , inclusive , showing the receipts and disbursements to and from the ...
Página 30
... Report of July 12 . Report of Oct. 3 . Report of Dec. 19 . Loans and discounts $ 20,054 45 $ 18.244 85 $ 12,551 35 $ 14,681 99 Stocks , bonds and mortgages .. 515,680 00 501,210 00 449,976 00 488,479 00 Overdrafts 214 08 615 04 311 16 ...
... Report of July 12 . Report of Oct. 3 . Report of Dec. 19 . Loans and discounts $ 20,054 45 $ 18.244 85 $ 12,551 35 $ 14,681 99 Stocks , bonds and mortgages .. 515,680 00 501,210 00 449,976 00 488,479 00 Overdrafts 214 08 615 04 311 16 ...
Página 34
... Report of July 12 . Report of Oct. 8 . Report of Dec. 19 . Loans and discounts .. $ 63,593 02 $ 85,114 61 $ 85,139 51 $ 96,195 64 Stocks , bonds and mortgages . 10,982 69 25,682 69 25,582 69 25,282 69 Overdrafts 534 73 822 31 783 46 Due ...
... Report of July 12 . Report of Oct. 8 . Report of Dec. 19 . Loans and discounts .. $ 63,593 02 $ 85,114 61 $ 85,139 51 $ 96,195 64 Stocks , bonds and mortgages . 10,982 69 25,682 69 25,582 69 25,282 69 Overdrafts 534 73 822 31 783 46 Due ...
Página 38
... Report of July 12 . Report of Oct. 3 . Report of Dec. 19 . Loans and discounts ... $ 360,654 08 $ 326,925 68 $ 277,020 00 Stocks , bonds and mortgages . Overdrafts .. 104,711 25 198 44 100,431 13 99,931 13 $ 255,004 60 98,879 82 Due ...
... Report of July 12 . Report of Oct. 3 . Report of Dec. 19 . Loans and discounts ... $ 360,654 08 $ 326,925 68 $ 277,020 00 Stocks , bonds and mortgages . Overdrafts .. 104,711 25 198 44 100,431 13 99,931 13 $ 255,004 60 98,879 82 Due ...
Página 43
... Report of May 4 . Report of July 12 . Report of Oct. 3 . Report of Dec. 19 . $ 83,493 43 $ 89,280 50 $ 78,299 01 $ 78,382 24 35,907 00 34,425 00 83,875 00 32,475 00 Overdrafts ...... Due from banks in reserve cities 10,120 46 10,737 70 ...
... Report of May 4 . Report of July 12 . Report of Oct. 3 . Report of Dec. 19 . $ 83,493 43 $ 89,280 50 $ 78,299 01 $ 78,382 24 35,907 00 34,425 00 83,875 00 32,475 00 Overdrafts ...... Due from banks in reserve cities 10,120 46 10,737 70 ...
Outras edições - Ver todos
Documents Accompanying the Journal of the House, Parte 1 Michigan. Legislature Visualização completa - 1872 |
Termos e frases comuns
00 Other real 00 Silver coin 00 Surplus fund 00 Totals 00 Undivided profits approved reserve agents bank notes outstanding Banking house banks and bankers banks in reserve bonds and mortgages bonds to secure Capital stock paid cash items Cashier Cashier's checks outstanding certificates of deposit Certified checks Checks and cash clearing house December 31 deposit for legal Detroit Dividends unpaid Due from approved Due from banks Due to banks Exchanges for clearing expenses and taxes Fractional paper currency fund with U. S. Furniture and fixtures Gold coin Individual deposits subject Interest paid July 12 Legal tender Loans and discounts market value Mutual Fire national bank notes Nickels and cents Notes and bills Overdrafts Par value real estate Report of Dec Report of July Report of Oct reserve cities Savings Bank Savings deposits secure circulation subject to check taxes paid U. S. and national U. S. bonds U. S. treasurer Vice President
Passagens mais conhecidas
Página 207 - GENERAL INTERROGATORIES. Total amount of premiums received from the organization of the company to date...
Página 7 - November 11, 1890, upon which this certificate is issued. This certificate will be received in payment of balances at the clearing house for the sum of twenty thousand dollars from any member of the Clearing- House Association.
Página 254 - Unused balances of bills and notes taken in advance for premiums on open marine and inland policies, or otherwise, returnable on settlement; 14.
Página 278 - Reinsurance fund and all other liabilities, except capital, under the life insurance or any other special department; 13.
Página 9 - The only substantial difference between the scheme disclosed to you by the proof and the well recognized lotteries of the world, such as the Louisiana Lottery Company, is that the latter are, in comparison, honest and free from the opportunities of chicanery. The wheel of the lottery and the hat of the raffle are to the fortune hunter incomparably fairer contrivances for the determination of his chances. He is not dependent in them upon the honesty or accuracy of a secretary with whom it is as easy...
Página 4 - Office on account of lands sold during the year for principal, interest, and penalty, received on sales made in former years, and from other sources, have been as follows.: Agricultural College Land — Principal...
Página 7 - Obligation was taken from the depositing member, made by the member or other persons, corporations or firms, satisfactory to the " loan committee," together with the securities pledged therefor, for the benefit of the holders of the certificate issued to the depositing member. In case of loss resulting from default in payment by a member or a...
Página 161 - Losses paid from organization to date Total amount of cash dividends declared since the company commenced business...
Página 2 - General, to institute proceedings for the appointment of a receiver to wind up the affairs of the bank.
Página 6 - That a committee of five be appointed by the chair, to receive from banks members of the association bills receivable and other securities to be approved by said committee, who shall be authorized to issue therefor to such depositing banks certificates of deposit bearing interest at six per cent.