Report to the comptroller of the currency (condensed) of the condition of The Chase National Bank at close of business ...

([New York :  s.n.]  )

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  Nov. 16, 1909: Page [No Page Number]  



REPORT TO THE COMPTRCI

(coNodi

I
OF THE CONJ

THE  CHASE  nA

j

At close of business li
 

ASSETS.

U. S. Bonds to secure circulation     ....         2,510,000.00

U. S. Bonds to secure U. S. deposits .    .    .                1,000.00

Bonds and Stocks.........        14,716,322.27

Bills discounted.........        15,893,708.59

Time loans on collaterals......        17,064,099.30

Demand loans on collaterals .   $20,375,268.90

Due from banks.....4,244,962.61

Exchanges for Clearing-House .    9,572,683.25
Premium on U.S. bonds    .    .           69,488.29
 

Five per cent, fund      .    .
Legal tender notes  .    .
Treasury silver certificates
Gold.......
 

125,500,00
4,494,988.00
6,322,069.00
11,895,620.00      57,100.580.05

$107,285,710.21
  Nov. 16, 1909: Page [No Page Number]