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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  Dec. 27, 1916: Page [No Page Number]  



REPORT TO THE COMPTROl

(CONDENSI:
OF   THE  CONDI I

THE CHASE  NA^I

At  close  of  business  De<
 

ASSETS.

U. S.Bonds to secure circulation.....            $450,000.00

U. S. Bonds...........               100.000.00

Bonds and Stocks.........         44.044,231.46

Customers Liability account of Acceptances    .           6,162,133.19

Customers Liability under Letters of Credit     .               578,695.00

Bills discounted..........        36.034.018.69

Time loans on collaterals.......         62.638,671.64

Demand loans on collaterals. $62.544,898.31
Due from banks . . . 14.960.316.93
Exchanges for Clearing-House 16.315.147.80
Five per cent, fund   .    .    .          22,500.00

Legal tender notes . . . 4.727.340.00
Treasury silver certificates    .    2,555,686.00

Gold........16.892.991.50

Federal Reserve Bank    .    .15.630,382.11        133,649.262.65
 

$283,657,012.63
  Dec. 27, 1916: Page [No Page Number]