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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  June 30, 1921: Page [No Page Number]  



REPORT TO THE COMPTROl
 

(CONDENSE
OF THE CONDI

I
 

SE NA

At close of business
 

ASSETS
 

Cash. Clearing House Exchanges

and Due from Federal Reserve

Bank      .    .
Due from Banks
Demand Loans
Bills Discounted
Time Loans

Deduct:
Rediscounts  with  Federal
Reserve Bank      .    .
United States and other Bonds to secure CircU'

lation and United States Deposits    .    .    .    .
United States Bonds and Certificates of Indebted'

ness.............

Bonds and Stocks.........

Due from United States Treasurer .    .    .    .    .
Customers* Liability account of Acceptances .
 

$ 80.576.630.59
19.577.366.67
64,514,303.47

$ 69,972,274.31
4.595,865.26
 

$164,668,300.73
115,055.958.36
 

65,376,409.05

3,871,232.50

11,564.312.78

22,704.914.61

55.000.00

18.942.063.73

$402,238,191.76
  June 30, 1921: Page [No Page Number]