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(NO. 29.)
REPORT OF THE CONDITION OF THE

FIRST NATIONAL BANK,

at New York City, in the State of New York, at the close of business,

November 17th, 1903.

RESOURCES. Loans and Discounts.

$32, 480,678 47 Overdrafts, secured and unsecured..

323 38 U. S. Bonds to secure circulation.

3,704,000 00 U. S. Bonds to secure U. S. Deposits..

400.000 00 U. S. Bonds on hand.

164,340 00 Premiums on U. 8 Bonds..

91,364 67 Stocks, securities, etc...

37,948,319 73 Banking House...

1,600,000 00 State and Municipal Bonds to secure U. S. Deposits.

3,050,000 00 Due from National Banks (not reserve agents).

$1,234,536 35 Due from State Banks and Bankers...

85,235 82 Checks and other cash items..

891,473 25

1 Exchanges for Clearing House.

6,406,579 90 Notes of other National Banks.

8,868 00 Fractional paper currency, nickels and cents.

159 75 Lawful Money Reserve in Bank, viz.: Specie

11,510,587 00 Legal Tender Notes.

1,418,000 000

20,655,440 07 Redemption fund with U. Treasurer (5% of circulation).

435,200 00 Due from U. S. Treasurer, other than 5% Redemption Fund.

23, 136 74 Total

$105,452,803 06 LIABILITIES. Capital Stock paid in......

$10,000,000 on Surplus Fund...

10,000,000 00 Undivided profits, less expenses and taxes paid.

3,501,384 61 National Bank Notes outstanding

8,641,597 50 Due to other National Banks...

$25,404,149 68 Due to State Banks and Bankers.

1,997,443 16 Due to Trust Companies and Savings Banks.

8,363,969 31 Dividends unpaid....

1.370 00 Individual deposits subject to check.

25,347,892 22 Demand Certificate of Deposit.

9.837 27 Certified checks...

1,793 800 51 Cashier's checks outstanding.

1,037,358 80 United States deposits...

2,678,000 00

66,635,820 95 United States Bondg borrowed.

3 624 000 00 State and Municipal Bonds borrowed..

3.050.000 00 Total

$105,452,803 06 State of New York, County of New York, ss.:

I, GEORGE F. BAKER, Jr., Acting Cashier of the above named Bank, do solemnly swear that the above statement is true to the best of my knowledge and belief.

GEO. F. BAKER, Jr., Acting Cashier. Subscribed and sworn to before me this 23d day of November, 1903.

THOS. S. WILLIAMS, Notary Public. Correct-Attest:

JAS. J. HILL,
H. C. FAHNESTOCK, Directors

FRANCIS L. HINE,
OFFICERI.

GEO. F. BAKER, President.
A. C. FAHNESTOCK, V. Prest.

FRANCIS L. HINE, V. Prest.
H. P. DAVISON,

V. Prest.
C. D. BACKUS,

Cashier,
W. G. SNOW, Asst. Cashier.

H. FAHNESTOCK, Asst. Cashier,
GEO. F. BAKER, Jr., Asst. Cashier.

DIRECTORS.
GEO, F. BAKER.

JAMES A. RLAIR.
HARRIS C. FAHNESTOCK

JOHN J. MITCHELL
FRANCIS L. HINE.

JOHN A. M'CALL.
J. PIERPONT MORGAN.

WILLIAM H. MOORE.
D. WILLIS JAMES.

FISHER A. BAKER.
JAMES J. HILL,

HENRY P. DAVISON.

}

(No. 4,581.) REPORT OF THE CONDITION OF THE NATIONAL BANK OF NORTH AMERICA, at New York, in the State of New York, at the close of business Nov. 17, 1903:

RESOURCES. Loans and discounts....

. $10,288,048 14 Overdrafts. secured and unsecured.

713 65 United States bonds to secure circulation..

840 000 OJ United States bonds to secure United States deposits.

310,000 00 Philippine Island certificates...

750,000 00 Premiums on United States bonds.

110,906 234 Premiums on Philippine Island certificates..

20,625 00 Stocks, securities, etc.......

403,411 81 Other real estate owned..

1,022,000 00 Due from National banks (not reserve agents).

2,573,298 12 Due from State banks and bankers,

575,788 63 Checks and other cash items.

25,976 69 Exchanges for Clearing House.............

2,082,718 78 Notes of other National banks.

21,875 OJ Fractional paper currency. nickels and cents.

1,049 93 Lawful money reserve in bank, viz. : Specie

$2,081,361 64 Legal-tender notes......

1,054,555 0

3,135,916 64 Redemption fund with United States Treasurer (0% of circulation)..

42,000 00 Total

$22,204,328 69 LIABILITIES, Capital stock paid in.....

$2,000,000 00 Surplus fund...

1,000,000 0) Undivided profits, less expenses and taxes paid.

1,056,350 71 National bank notes outstanding.

840,000 00 Due to other National banks.

7,061,144 18 Due to State banks and bankers.

1,371,791 63 Due to trust companies and savings banks.

2,745, 749 78 Dividends unpaid.

488 05 Individual deposits subject to check.

8,788,635 71 Demand certificates of deposit.

74,013 9) Certified checks..

896.116 19 Cashier's checks outstanding.

247,41759 United States deposits.

1,060,000 01 Reserve for taxes,

33 333 33 Unearned discount..

99.287 77 Total

$22,204,328 69 State of New York, County of New York, ss.:

I, ALFRED H. CURTIS, Cashier of the above named bank, do solemnly swear that the above statement is true to the best of my knowledge and belief.

ALFRED H. CURTI3, Cashier. Subscribed and sworn to before me this 23d day of November, 1903.

A. H, GRAHAM, Notary Public, Ñ. Y. Co., No. 78.

R. L. EDWARDS, Correct-Attest:

ROBERT M. THOMPSON, Directors,

HENRY CHAPIN, JR.

OFFICER9.
RICHARD L. EDWARDS, President. ALFRED H. CURTIS, Cashier.
CHARLES W. MORSE, Vice-President. J. FREDERICK SWEASY,

Assistant Cashier. HENRY CHAPIN, Jr., Vice-President. FDWARD B. WIRE, Assistant Cashier.

DIRECTORS. HENRY H. COOK....

100 Broadway WARNER VAN NORDEN

Van Norden Trust Co. DAVID H. HOUGHTALING

52 Broadway JOHN H. FLAGLER.

.240 Broadway WILLIAM F. HAVEMEYER.

32 Nassau Street HENRY F. DIMOCK.

Metropolitan Steamship Co. MAHLON D. THATCHER.

.President, First National Bank, Pueblo. Colo. RICHARD L. EDWARDS..

.President AIGUST BELMONT.

August Belmont & Co. EDWARD T. BEDFORD.

.Standard Oil Company CHARLES W. MORSE.

Vice-President ROBERT M. THOMPSON. Chairman Board of Directors, International Nickel Co. WARNER M, VAN NORDEN,

President, Van Norden Trust Co, OAKLEIGH THORNE.

... President, North American Trust Co. HENRY CHAPIN, Jr...

Vice-President CHARLES T. BARNEY..

......President, Knickerbocker Trust Co. JAMES W. HINKLEY.

President, U. S. Casualty Company FTIGH J. CHISHOLM.

President, International Paner Co. WILLIAM CARROLL..

William Carroll & Co,

[No. 1324.)
REPORT OF THE CONDITION OF THE

GALLATIN NATIONAL BANK,

at New York, in the State of New York, at the close of business

November 17th, 1903:

RESOURCES. Loans and discounts......

...... $4,625,200 00 Overdrafts, unsecured

697 38 U. S. bonds to secure circulation.

1,000,000 00 U. s. bonds to secure U. S. deposits.......

74,000 00 Stocks, securities, etc.....

1,398,399 50 Banking-house, furniture and fixtures,

600,000 00 Due from national banks (not reserve agents).

211,621 89 Due from State banks and bankers, .

14,746 91 Checks and other cash items.

41,131 53 Exchanges for clearing-house.

3,818,037 78 Notes of other national banks.

14,505 00 Fractional paper currency, nickels and cents.

155 00 Lawful money reserve in bank, viz. : Specie

$5.04.229 28 Legal-tender notes

413,069 00

917,298 28 Redemption fund with U. S. Treasurer (5 per cent of circulation)..

50,000 00 Due from U, S. Treasurer other than 5 per cent redemption fund.

15,000 00 Total

.$12,680,796 29 LIABILITIES. Capital stock paid in..

$1,000,000 00 Surplus fund

1,000,000 00 Undivided profits, less expenses and taxes paid.

1,197,195 95 National bank notes outstanding..

991,017 60 Due to other national banks...

1,046,826 37 Due to State banks and bankers.

234, 694 98 Due to trust companies and savings banks,

663,885 20 Dividends unpaid

615 00 Individual deposits subject to check.

3,777,821 08 Demand certificates of deposit..

1,881 81 Certified checks...

2,560,176 83 Cashier's checks outstanding.

58,645 57 United States deposits.

74,000 00 Liabilities other than those above stated: United States bond account........

74,000 00 Total

.$12,680,796 29 State of New York, County of New York, ss. :

I, GEORGE E, LEWIS, Cashier of the above-named bank, do solemnly swear that the above statement is true to the best of my knowledge and belief.

GEORGE E. LEWIS, Cashier. Subscribed and sworn to before me this 20th day of November, 1903,

H. L. BRAYNARD,
Notary Public, Westchester Co.

Certificate filed in New York County. Correct-- Attest:

W, EMLEN ROOSEVELT,
ADRIAN ISELIN,

Directors
SAM, WOOLVERTON,

OFFICERS,
SAMUEL WOOLVERTON, President.
ALEXANDER Á. STEVENS, Vice-President.

GEORGE E. LEWIS, Cashier.

HOWELL T. MANSON, Assistant Cashier.

DIRECTORS.
ADRIAN ISELIN, JR.

HENRY I. BARBEY,
THOMAS DÉNNY,

W. EMLEN ROOSEVELT,
FREDERIC W. STEVENS,

CHARLES A. PEABODY,
ALEXANDER H. STEVENS,

SAMUEL WOOLVERÍON.

JR.,

(No. 1231.]
REPORT OF THE CONDITION OF THE

Importers & Traders' National Bank

of New York, in the State of New York, at the close of

business November 17, 1903:

RESOURCES Loans and discounts...........

- $22,847,766 45 Overdrafts

2,981 26 U. S. bonds to secure circulation.

80,000 00 Stocks, securities, etc....

35,200 00 Banking house..

200,000 00 Due from national banks.

1,451.823 33 Due from State banks...

46,177 72 Checks and other cash items.

67,801 70 Exchanges for clearing house..

1.922,997 03 Notes of other national banks.

96 00 Nickels and cents..

150 00 Lawful money reserve in bank, viz.: Specie

$3,353,100 Legal-tender notes..

1,322,518

4,675,618 00 Redemption fund with U. $. Treasurer (5 per cent of circulation),

2,500 00 Due from U. 9. Treasurer other than 5 per cent redemption fund.

29.000 00 Total

.$30.833,011 49 LIABILITIES. Capital stock paid in....

..... $1,500.000 00 Surplus fund....

5,000,000 00 Undivided profits, less expenses and taxes pald..

1,659,882 11 National bank notes outstanding.

47,150 00 State bank notes outstanding..

5,682 00 Due to other national banks.

9,943,680 93 Due to State national banks..

2,519,363 57 Due to trust companies and savings banks

1,112,649 25 Dividends unpaid

7,191 00 Individual deposits subject to check..

8,845, 462 81 Demand certificates of deposit.

20,733 33 Certified checks

123, 405 19 Cashier's checks outstanding.

42,811 60 Total

$30.833,011 49 State of New York, County of New York, ss. :

I, H, H. POWELL, Cashier of the above National Bank, do solemnly swear that the above statement is true to the best of my knowledge and beliet.

H. H. POWELL Cashier. Subscribed and sworn to before me this 20th day of November, 1903.

CHAS. H. BECKER, Notary Public, Kings Cound. Certificate filed in New York County.

EDWARD TOWNSEND,
HENRY R. ICKELHEIMER, Directora

JAMES R. PLUM,

OFFICERS. EDWARD TOWNSEND, President.

G. H. HULIN, Asst. Cashier. H. H. POWELL Cashier.

G. H. BLISH, Asst. Cashier.
C. F. REGAN, Asst. Cashier.

DIRECTORS.
JOHN ARBUCKLE.

..of Arbuckle Brothers, Coffee HENRY C. HULBERT.

..formerly of H. C. Hulbert & Co., Paper HENRY R. ICKELHEIMER.

..of Heidelbach, Ickelheimer & Co., Bankers EDWARD A, PRICE.

..of Fred. Butterfield & Co., Dry Goods JAMES R. PLUM.

.....of James R. Plum & Gale, Leather H. H. POWELL..

Cashier EDWARD C. RICE.

.of Rice, Quinby & Co., Grain and Flour RUSSELL SAGE

Capitalist ODWARD TOWNSEND

... President EDWARD VAN VOLKENBURGH.

..of P. Van Volkenburgh & Co., Dry Goods ANTONY WALLACH.

.formerly of A. Wallach & Co., Jewerly

[No. 376.)
REPORT OF TU CONDITION OF THE

CENTRAL NATIONAL BANK,
At New York, in the State of New York, at the close of business, November 17, 1903:

RESOURCES. Loans and discounts...

$7,831,692 56 Overdrafts, secured and unsecured.............

10,#53 84 U. S. bonds to secure circulation.

935,000 00 U. 8. bonds to secure U. S. deposits.

635,000 00 N. Y. City bonds.

500,000 00 Premiums on U. s. bonds..

$93,418 96 Premiums on N. Y, City bonds.....

6,367 70

98,786 66 Stocks, securities, etc...................

874,900 28 Furniture and fixtures.

29,228 52 Mercantile loans..

34,262 88 Other real estate and mortgages owned..

85,912 91 Oiher real estate and mortgages owend.

85,912 91 Due from national banks (not reserve agents)

.$2,024, 299 01 Due from State banks and bankers.....

226,187 06 Checks and other cash items.....................

140,616 34 Exchanges for clearing house.

918,558 65 Notes of other national banks.

67,460 00 Fractional paper currency, nickels and cents.

6,461 64 Lawful money reserve in bank, viz.: Specie

. $1,814,972 50 Legal tender notes...

446,617 00

2,261,589 50 Redemption fund with U. 8. Treasurer (5% circulation).. 46, 750 00 Due trom V. 6. Treasurer other than 5% redanption fund.. 49,750 00

5,731, 672 20 Total

.$16, 767,409 85 LIABILITIES, Capital stock paid in.....

$1,000,000 00 Surplus fund

400,000 00 Undivided profits, less expenses and taxes paid.

200,269 31 National bank notes outstanding...

835,000 00 Due to trust companies and savings banks.

$730,375 39 Due to other national banks....

3,758,402 83 Duo to State banks and bankers..

483,270 87 Dividends unpaid

3,115 16 Individual deposits subject to check.

7,689, 277 34 Demand certificates of deposit.

8,297 07 Certified checks ..

146,882 05 Cashier's checks outstanding.

5,774 07 United States deposits.

903,000 00 Deposits of U. S. disbursing officers.

103, 745 76 Bond loan account.

400,000 00

14,232,140 54 Total

.$16,767,409 85 State of New York, County of New York, ss:

I C. S. YOUNG, cashier of the above named bank, do solemnly swear that the above statement is true to the best of my knowledge and belief.

C. S. YOUNG, Cashier. Subscribed and sworn to before me this 21st day of November, 1903.

DAN'L A. SLATTERY, Notary Public, N. Y. Co.

RALPH L. CUTTER,
Correct Attest:

HENRY SAMPSON

Directors,
EDWIN LANGDON,

OFFICERS,
EDWIN LANGDON, President,
W. M. WOODS, Vice-President.

CHARLES S. YOUNG, Cashier,

H. J. FRANCIS, Assistant Cashier.

DIRECTORS. WILLIAM A. WHEELOCK.

.Capitalist EDWIN LANGDON

President WOODBURY LANGDON.

..Of Joy, Langdon & Co. JOHN A. MCCALL.

President New York Life Insurance Company HENRY TUCK...

Vice-President New York Life Insurance Company HENRY SAMPSON.

.Of Alden Sampson & Sons LOUIS F. DOMMERICH.

..or Oelbermann, Dommerich & Co. V. M. WOODS..

Vice-President JOHN P. MUNN.

President United States Life Insurance Company

President Minneapolis & St. Louis Railroad Company EDWIN HAWLEY..

President Iowa Central Railway Company. RALPH L. CUTTER.

Or Smith, Hogg & Co.

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