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. 31, 1921: Page [No Page Number]  



REPORT TO THE COMPTRC
 

(COND
OFTHECa
 

THE CHASE  NJ

OF THE CITY i
At close of businesi
 

ASSETS

Cash, Clearing House Exchanges
and Due from Federal Reserve

Bank........$82,272,775.65

Due from Banks.....18,067,497.53

Demand Loans.....83.428.061.00 $183,768,334.18

Bills Discounted..........99,035,477.56

Time Loans...........71,380,795.30

United States «md other Bonds to secure Circu¬
lation and United States Deposits    ....        1,258.180.00
United States Government Securities ....      16,156,666.59

Bonds and Stocks..........38,094.040.47

Due from United States Treasurer.....            55.000.00

Customers'Liability account of Acceptances .    .      15.516.055.48

$425,264,549.58
  Dec. 31, 1921: Page [No Page Number]