Annual report of Hudson & Manhattan Railroad Company

(New York, N.Y. :  Hudson and Manhattan Railroad Company  )

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  1935: Page 12  



EXHIBIT No. 4

BONDS OUTSTANDING DECEMBER 31, 1935
 

CI..'\SS OF BONDS
 

Denom¬
ination
 

Date
 

When
Due
 

Interest
 

Amount of Bonds
Authorized
 

Amount
Outstanding
 

TRUSTEES
 

Rate
 

Payable
 

First Lien and Refunding Mortgage
Adjustment Income Mortgage..................
 

($1,000)
500

[   looJ

/  1,0001
\     500/

1,000
 

Feb. 1, 1913
Feb. 1, 1913
Feb. 1, 1907
 

Feb. 1, 1957
Feb. 1, 1957
Feb. 1, 1957
 

5%

5%

4>i%
 

Feb. I.Aug. 1
Apr. 1, Oct. 1
Feb. I.Aug. 1
 

$65,000,000.00

33,574,000.00

*944,000.00
 

$37,521,233.66

33,102,000.00

944,000.00
 

Central Hanover Bank &

Trust Co. of N. Y.

Guaranty Trust Co. of N. Y.
Guaranty Trust Co. of N. Y.
 


 

$99,518,000.00
 

$71,567,233.66
 

*The balance of the issue of First Mortgage i^% bonds ($66,204,000,00) is deposited with the trnstees of the First Lien and Relnnding Mortgage and the Adjustment
Income Mortgage in accordance with the terms thereof.
  1935: Page 12