Annual Report |
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Página xx
Notes and bills rediscounted ... Bills payable ... Liabilities other than above stated ... $ 7,254,559 10 $ 8,460,835 00 $ 9,522 , 420 00 $ 11 , 109,827 59 1 , 132 , 329 90 1,502,849 44 1,704,248 31 2,124,487 81 1,679,925 61 1,912,300 ...
Notes and bills rediscounted ... Bills payable ... Liabilities other than above stated ... $ 7,254,559 10 $ 8,460,835 00 $ 9,522 , 420 00 $ 11 , 109,827 59 1 , 132 , 329 90 1,502,849 44 1,704,248 31 2,124,487 81 1,679,925 61 1,912,300 ...
Página xxiv
5,857,859 32 6,052,260 90 7,140,938 64 9,946,624 23 6,100,036 83 National bank notes outstanding ..... 2,853,300 00 2,660,200 00 2,587,020 00 3,281,300 00 4,557,055 00 Notes and bills rediscounted .... 658,903 69 689 , 166 46 462 ...
5,857,859 32 6,052,260 90 7,140,938 64 9,946,624 23 6,100,036 83 National bank notes outstanding ..... 2,853,300 00 2,660,200 00 2,587,020 00 3,281,300 00 4,557,055 00 Notes and bills rediscounted .... 658,903 69 689 , 166 46 462 ...
Página xxvi
National bank notes outstanding . Notes and bills rediscounted .. Bills payable ..... Liabilities other than those above stated .. 1,391,304 19 11,024,083 47 5,160 , 102 50 11,989 72 75,000 00 10.519 29 Reserved for taxes .. Totals .
National bank notes outstanding . Notes and bills rediscounted .. Bills payable ..... Liabilities other than those above stated .. 1,391,304 19 11,024,083 47 5,160 , 102 50 11,989 72 75,000 00 10.519 29 Reserved for taxes .. Totals .
Página xxix
700,723 48 511,440 10 755,535 81 920,722 82 1 , 126,918 66 Notes of other National banks .... 879,670 00 643 , 142 00 ... 276,348 84 260,098 09 259,721 14 321,003 53 329,578 32 Notes and bills rediscounted ..... 336,183 10 61,000 00 ...
700,723 48 511,440 10 755,535 81 920,722 82 1 , 126,918 66 Notes of other National banks .... 879,670 00 643 , 142 00 ... 276,348 84 260,098 09 259,721 14 321,003 53 329,578 32 Notes and bills rediscounted ..... 336,183 10 61,000 00 ...
Página xxx
10,055,536 72 9,651,659 47 9,813 , 407 82 10,033,966 08 10,117,850 55 U. S. and other National bank notes . ... 21 , 123,736 59 20,452,978 08 20,436,316 14 18,767,273 22 18,818,065 75 Notes and bills rediscounted .
10,055,536 72 9,651,659 47 9,813 , 407 82 10,033,966 08 10,117,850 55 U. S. and other National bank notes . ... 21 , 123,736 59 20,452,978 08 20,436,316 14 18,767,273 22 18,818,065 75 Notes and bills rediscounted .
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00 Gold coin 00 Loans 00 Silver coin Assistant Cashier bankers not reserve Banking house banks and bankers banks in reserve Bills payable bills rediscounted bonds to secure Capital stock paid cash items Cashier's checks outstanding certificates of deposit Certified checks Charles clearing house Commercial certificates Commercial deposits subject Dividends unpaid Due from banks Due to banks Exchanges for clearing Frank Furniture and fixtures interest and taxes internal revenue account items and internal Items in transit James John June 18 less current expenses Liabilities Loans and discounts MICHIGAN mortgages and securities National bank currency National bank notes Nickels and cents Notes and bills Overdrafts paid on bonds Premiums paid real estate Redemption fund Report of April Report of Jan Report of Sept reserve cities Resources Savings certificates Savings deposits subject to check Surplus fund taxes paid U. S. and National U. S. treasurer United States bonds Vice President
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Página xv - ... such bank ; but the discount of bills of exchange drawn in good faith against actually existing values and the discount of commercial or business paper actually owned by the person negotiating the same shall not be considered as money borrowed : Provided...
Página xv - The total liabilities to any association, of any person, or of any company, corporation, or firm, for money borrowed, including, in the liabilities of a company or firm, the liabilities of the several members thereof, shall at no time exceed one-tenth part of the amount of the capital stock of such association actually paid in.
Página xvii - Drafts may be bona fide bills of exchange drawn upon actual existing values within the meaning of the statute, though not accompanied by specific bills of lading in each case. It is sufficient if they are drawn against property previously consigned and existing either in its original form or in the shape of proceeds of sales in the hands of the consignees.
Página 372 - Liabilities. Capital stock paid in .... Surplus fund Undivided profits less expenses and taxes paid . . . National bank notes outstanding. . Due to ol her National banks . . Due to State banks and bankers Individual deposits subject to check Demand certificates of deposit.
Página 337 - US bonds to secure US deposits US bonds on hand Premiums on US bonds Stocks, securities, etc Banking house, furniture and fixtures Other real estate and mortgages owned Due from National banks inot reserve agentsl..
Página xv - Lansing, Mich., May 23, 1903. Hon. George W. Moore, Commissioner of Banking, Lansing, Michigan : Dear Sir — I am in receipt of your communication of the 19th inst. referring to the General Banking Law of this State, and requesting my opinion upon the following questions : "First, How much money may the directors of a bank loan to any person, or company, or corporation, or firm, by a two-thirds vote of its board of directors?
Página 376 - Due from approved reserve agents Checks and other cash Items...
Página 416 - Taxes on real estate All other taxes, licenses and insurance department fees Legal expenses Advertising Printing and stationery Postage...
Página 412 - Gross premiums, less reinsurance, upon all unexpired risks running one year or less from date of policy, $4,533,873.53; unearned premiums.
Página 412 - Gross premiums (less re-insurance) upon all unexpired risks running one year or less from date of policy, $1,616,388.12; unearned premiums.