Annual Report |
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Page 19
Abstracts of reports made by the National banks of Michigan to the Commissioner of the Banking Department May 7 , July 11 , September 28 , and December 13 , 1895. For reports of individual national banks see succeeding pages .
Abstracts of reports made by the National banks of Michigan to the Commissioner of the Banking Department May 7 , July 11 , September 28 , and December 13 , 1895. For reports of individual national banks see succeeding pages .
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Date of examination . Grand Rapids ... November 11 . Grand Rapids ...- May 16 . Grand Rapids ... November 12 . Grass Lake ..... November 6 .. Hancock July 23 . Hart .... May 14 ... Hastings October 17 ... October 7 ..... Hillsdalo .
Date of examination . Grand Rapids ... November 11 . Grand Rapids ...- May 16 . Grand Rapids ... November 12 . Grass Lake ..... November 6 .. Hancock July 23 . Hart .... May 14 ... Hastings October 17 ... October 7 ..... Hillsdalo .
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First Commercial and Savings Bank ... Wyandotte Savings Bank .. Ypsilanti Savings Bank ... Tecumseh June 11 ...... Three Rivers October 3 .... Traverse City ..--- July 31 Wayne ... July 10 West Bay City ... November 21 . West Bay City .
First Commercial and Savings Bank ... Wyandotte Savings Bank .. Ypsilanti Savings Bank ... Tecumseh June 11 ...... Three Rivers October 3 .... Traverse City ..--- July 31 Wayne ... July 10 West Bay City ... November 21 . West Bay City .
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Report of July 11 . Report of Sept. 28 . Report of Dec , 13 . $ 169,957 98 278,852 13 2,824 41 11,000 00 $ 181,892 89 277,241 83 2,872 60 $ 211,752 80 279,772 66 11,000 00 $ 189,088 03 277,295 15 5,124 91 11,000 00 2,526 93 1,405 96 ...
Report of July 11 . Report of Sept. 28 . Report of Dec , 13 . $ 169,957 98 278,852 13 2,824 41 11,000 00 $ 181,892 89 277,241 83 2,872 60 $ 211,752 80 279,772 66 11,000 00 $ 189,088 03 277,295 15 5,124 91 11,000 00 2,526 93 1,405 96 ...
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Report of July 11 . Report of Sept. 28 . Report of Dec. 13 . $ 42,188 07 $ 45,459 54 $ 55,902 20 $ 36,855 19 411,001 32 411,453 27 409,903 57 410,237 00 202 74 190 78 454 98 516 83 9,784 88 9,886 66 9,735 68 2,967 80 47,958 76 2,942 80 ...
Report of July 11 . Report of Sept. 28 . Report of Dec. 13 . $ 42,188 07 $ 45,459 54 $ 55,902 20 $ 36,855 19 411,001 32 411,453 27 409,903 57 410,237 00 202 74 190 78 454 98 516 83 9,784 88 9,886 66 9,735 68 2,967 80 47,958 76 2,942 80 ...
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Common terms and phrases
00 Totals approved reserve agents Assistant Cashier bank notes outstanding Banking house banks and bankers banks in reserve banks not reserve bonds and mortgages bonds on hand bonds to secure Capital stock paid cash items Cashier's checks outstanding cents Gold coin certificates of deposit Checks and cash clearing house Commercial deposits subject Commissioner Dae from approved Dae from banks December Dividends anpaid Due from National Due to banks estate and mortgages Exchanges for clearing expenses and taxes Fractional paper currency Furniture and fixtures George interest and taxes Jaly John July 11 less current expenses Loans and discounts MICHIGAN National bank notes Nickels and cents Notes and bills Organized Overdrafts Premiams real estate Redemption fund Report of Dec Report of July Report of Sept reserve cities Resources Sarplas fand Specie subject to check taxes paid tion fand U.S. and National U.S. bonds United States deposits Vice President