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, 1922: Page [No Page Number]  



REPORT TO THE COMPTRi
 

(CONDEl
 

OF THE CO
 

THE CHASE  N^
 

OF THE  CITY i

At close of busirti
 

ASSETS
 

$112,713,113.64
21.360.684.93
74.602.633.89
 

Cash. Clearing House Elxchanges
and Due from Federal Reserve
Bank ....

Due from Banks .

Demand Loans    .

Bills Discounted .

Time Loans    .   .

United States and other Bonds to secure Circu¬
lation and United States Deposits.....

United States Government Securities     ....

Other Securities      ...........

Due from United States Treasurer.....

Customers' Liability account of Acceptances   .   .
 

$208,676,432.46

94,555,501.21

109,264,947.60

4,858,180.00

34,087,105.56

24.299,825.03

55.000.00

11.511.895.04

$487,308,886.90
  June 30, 1922: Page [No Page Number]