Annual Report of the Commissioner of the Banking Department of the State of Michigan |
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Page 29
... July 16 ... ............ . 27 27 September 29 . 10 00 November 18 . 10 00 ... July 31 50 64 July 10 17 35 November 21 54247 August 6 ...... May 15 ... 16 51 12 01 White Pigeon .... October 1 ..... 16 42 ... REPORT OF THE COMMISSIONER . 29.
... July 16 ... ............ . 27 27 September 29 . 10 00 November 18 . 10 00 ... July 31 50 64 July 10 17 35 November 21 54247 August 6 ...... May 15 ... 16 51 12 01 White Pigeon .... October 1 ..... 16 42 ... REPORT OF THE COMMISSIONER . 29.
Page 30
... July 11 , September 28 , and December 13 , reported to me their condition on blanks furnished by this Department . As these reports were called for on days unknown to the bank officer , they show the normal condition of the several ...
... July 11 , September 28 , and December 13 , reported to me their condition on blanks furnished by this Department . As these reports were called for on days unknown to the bank officer , they show the normal condition of the several ...
Page 31
Michigan. Banking Division. REPORTS OF THE STATE BANKS AND TRUST COMPANIES AS MADE TO THE COMMISSIONER OF THE STATE BANKING DEPARTMENT MAY 7 , JULY 11 , SEPTEMBER 28 , AND DECEMBER 13 , 1895 . No. 162 . ADRIAN STATE SAVINGS BANK , ADRIAN .
Michigan. Banking Division. REPORTS OF THE STATE BANKS AND TRUST COMPANIES AS MADE TO THE COMMISSIONER OF THE STATE BANKING DEPARTMENT MAY 7 , JULY 11 , SEPTEMBER 28 , AND DECEMBER 13 , 1895 . No. 162 . ADRIAN STATE SAVINGS BANK , ADRIAN .
Page 43
... Report of May 7 . Report of July 11 . Report of Sept. 28 . Report of Dec. 13 . Loans and discounts . $ 51,605 33 $ 52,260 70 $ 53,017 79 $ 49,808 76 Stocks , bonds and mortgages . 10,725 41 12,180 36 12,273 36 12,289 65 Overdrafts ...
... Report of May 7 . Report of July 11 . Report of Sept. 28 . Report of Dec. 13 . Loans and discounts . $ 51,605 33 $ 52,260 70 $ 53,017 79 $ 49,808 76 Stocks , bonds and mortgages . 10,725 41 12,180 36 12,273 36 12,289 65 Overdrafts ...
Page 44
... Report of May 7 . Report of July 11 . Report of Sept. 28 . Report of Dec. 13 . Loans and discounts ... ...... . $ 557,821 51 $ 556,335 71 $ 544,019 68 $ 548,320 05 Stocks , bonds and mortgages ... . 108,164 49 105,325 12 119,457 96 ...
... Report of May 7 . Report of July 11 . Report of Sept. 28 . Report of Dec. 13 . Loans and discounts ... ...... . $ 557,821 51 $ 556,335 71 $ 544,019 68 $ 548,320 05 Stocks , bonds and mortgages ... . 108,164 49 105,325 12 119,457 96 ...
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Common terms and phrases
00 Fractional paper 00 Other real 00 Silver coin 00 Surplus fund 00 Totals 00 Undivided profits approved reserve agents bank notes outstanding banks and bankers banks in reserve banks not reserve bills rediscounted bonds and mortgages bonds on hand bonds to secure Capital stock paid cash items Cashier's checks outstanding certificates of deposit Certified checks Checks and cash clearing house Commercial deposits subject Demand certificates Due from approved Due from banks Due from National Due to banks estate and mortgages Exchanges for clearing expenses and taxes Fractional paper currency Furniture and fixtures Individual deposits subject interest and taxes July 11 less current expenses Loans and discounts National bank notes Nickels and cents Notes and bills Overdrafts Premiums on U. S. Report of Dec Report of July Report of Sept reserve cities Resources Savings deposits subject to check taxes paid U. S. and National U. S. treasurer United States deposits