TABLE NO. 58.-Assets and liabilities of all active banks other than national, June 30, 1920 to 1939 [For figures covering each year 1834 to 1919, inclusive, see pp. 1018-1020 of the report for 1931] 1 Includes reserve with Reserve agents, exchanges for clearing house, and all cash items. Beginning with the year 1936, however, cash items not in process of collection were called for separately and are included with "Other assets." ? Includes reserve accounts. Licensed banks; i. e., those operating on an unrestricted basis. now reported as "contingent liabilities." NOTE.-Figures in above table have been revised since published in previous reports to exclude acceptances of other banks and bills of exchange or drafts sold with endorsement, Such acceptances in years 1920 to 1928 in previous reports were included with loans and discounts, and in years 1929 to 1938 with "Other assets." In years 1920 to 1925 these acceptances were previously included with bills payable, and in years 1926 to 1938 with "Other liabilities." The above figures have been further revised for years 1925 to 1938 in that securities sold with agreements to repurchase are now included with bills payable instead of with "Other liabilities." (See also tables 57 and 59 covering figures for all banks and national banks, respectively.) TABLE NO. 59.—Assets and liabilities of all active national banks, June 30, 1920 to 1939 [For figures covering each year 1863 to 1919, inclusive, see pp. 1021 and 1022 of the report for 1931] 1 Includes reserve with Reserve agents, exchanges for clearing house, and all cash items. Beginning with the year 1936, however, cash items not in process of collection were called for separately and are included with "Other assets." 2 Includes reserve accounts. * Licensed banks; i. e., those operating on an unrestricted basis. NOTE.-Figures in above table have been revised since published in previous reports to exclude acceptances of other banks and bills of exchange or drafts sold with endorsement, now reported as "contingent liabilities." Such acceptances in years 1920 to 1928 in previous reports were included with loans and discounts, and in years 1929 to 1938 with "Other assets. In years 1920 to 1925 these acceptances were previously included with bills payable, and in years 1926 to 1938 with "Other liabilities." The above figures have been further revised for years 1925 to 1938 in that securities sold with agreements to repurchase are now included with bills payable instead of with "Other liabilities." (See also tables 57 and 58 covering figures for all banks and State and private banks, respectively.) TABLE NO. 60.-Federal Reserve notes, segregated by series, printed, shipped, and canceled, issued to banks, retired, and destroyed since organization of the Federal Reserve banks with balance in vaults and amount outstanding Oct. 31, 1939 ISSUED, RETIRED, AND OUTSTANDING, OCT. 31, 1939, 1914-18 SERIES ISSUED, RETIRED, AND OUTSTANDING, OCT. 31, 1939, 1928-34 SERIES MUTILATED FEDERAL RESERVE NOTES, BY DENOMINATIONS, RECEIVED AND DESTROYED SINCE ORGANIZATION OF THE FEDERAL RESERVE BANKS ON HAND AND IN VAULT OCT. 31, 1939, 1914-18 SERIES MUTILATED FEDERAL RESERVE NOTES BY DENOMINATIONS, RECEIVED AND DESTROYED SINCE DATE OF FIRST SHIPMENT (APR. 30, 1929) ON HAND IN VAULT OCT. 31, 1939, 1928-34 SERIES 70, 329, 880 285, 785, 820 43, 836,000 15, 383, 000 5, 586, 900 12, 112, 700 8,856, 000 35, 612, 200 894, 500 2,228, 500 521, 559, 675 251,865, 425 365, 427, 795 283, 954, 605 TABLE NO. 61.-Loans on and purchases of preferred stock of national banks disbursed by the Reconstruction Finance Corporation from Mar. 9, 1933, to June 30, 1939, inclusive; and outstanding as of June 30, 1939 1 Amount outstanding includes repayments unallocated, pending advices, as of June 30, 1939. |