THE NATIONAL BANKS IN THE CITY OF NEW-YORK. THE following statement exhibits the condition of the Nationa! Banks in the City of New-York, at the dates mentioned, during the year 1904, as shown by their reports made to the Hon. WILLIAM B. RIDGELY, Comptroller of the Currency, Washington, D. C. United States Bonds to secure Circulation. United States Bonds to secure United States Deposits. Other Bonds to secure United States Deposits United States Bonds on hand.. January 22, 1904. 212,828 20 3,621,079 97 8,193,283 34 Bonds, Securities, etc...... Banking-House, Furniture and Fixtures. Other Real Estate owned Due from other National Banks Due from State Banks and Bankers, etc.. Checks and other Cash Items. 3,005,258 56 105,618,981 70 103,414,412 88 122,419,121 21 2,947,081 31 130,053,515 93 21,018,698 23 20,941,969 82 21,293,863 53 21,237,785 14 8,253,832 24 3,407,061 49 8,419,477 05 3,527,109 33 22,421,000 00 1,420,578 97 6,916,740 00 .... 2,814,624 13 129,174 364 63 21,291,984 79 3,564,449 47 44,833,365 46 45,838,419 58 51,820,004 38 8,404,516 00 7,846,682 48 7,781,157 19 6,723,232 01 8,312,475 10 4,285,401 87 5,765,355 60 6,333,795 98 119,892,205 88 91,762,099 11 Bills of other National Banks.. 133,448,630 05 258,109,166 56 1,563,202 00 1,274,013 00 Fractional Currency, Nickels and Cents. 69,294 10 68,977 16 Specie... .... 181,454,650 26 203,062,301 27 218,641,612 32 241,238,116 99 Legal Tender Notes. 48,885,683 00 44,199,259 00 50,830,746 00 Rederaption Fund with Treasurer United States. 2,219,250 0 1,911,150 00 2,036,441 50 46,668.382 00 2,043,050 00 210,630,552 27 Due from Treasurer United States. 2,175,100 00 2,463,860 37 1,823,970 22 1,777,900 98.. 1,369,579 17 $1,606,368,988 94 $106,389,275 00 $106,400,000 00 Surplus Fund... 75,935,000 00 75,545,000 00 77,325,000 00 Undivided Profits, less current expenses and taxes paid.. 78,837,500 00 $106,500,000 00 78,837,500 00 38,647,285 95 40,201,968 43 38.332,321 60 National Bank Notes ontstanding 37,138,584 80 37,897,284 08 43,286,420 00 37,858,125 00 State Bank Notes outstanding............ 38,123,697 50 39,801,377 50 43,051,032 50 16,531 00 16,531 00 16,531 00 Due to other National Banks ....... 16,581 00 16,531 00 269,619,228 65 Due to State Banks and Bankers.. 72,971,618 71 Due to Trust Companies and Savings Banks.. 80,085,893 69 135,514,319 11 157,172,060 92 202,497,006 01 242,396,265 57 Dividends unpaid 191,657,949 42 95,778 56 175,061 15 141,001 40 65,007 40 91,787 90 Individual Deposits 564,666,693 70 517,338,571 63 526,866,145 62 United States Deposits.. 581,072,976 13 721,101,873 86 38,829,695 34 58,179,374 09 23,227,601 24 23,189,797 85 Deposits of United States Disbursing Officers. 386,910 37 390,880 97 363,853 41 370,224 55 23,208,847 81 867,259 26 Bills Payable. 200,000 00 875,000 00 Liabilities other than those above stated. United States Bond Account (Bonds Borrowed).. 144,515 13 17,514,150 00 281,832 37 729,989 17 950,508 56 80,364,000 00 16,770,500 00 16,522,000 00 .. Total Liabilities. $1,363,278,146 52 $1,373,487,872 39 $1,374,537,371 62 $1,526,010,872 74 1,286,144 05 15,271,000 00 $1,606,368,988 94 THE NATIONAL BANKS IN THE STATE OF NEW-YORK, (EXCLUSIVE Overdrafts....... $171,512,893 89 Premiums on United States Bonds... Bonds, Securities, etc..... United States Bonds to secure Circulation.. United States Bonds to secure United States Deposits. Other United States Bonds to secure United States Deposits... Banking-House Furniture and Fixtures 24,128,550 00 $170,316,733 32 8,833,350 00 Other Real Estate owned.. 2 449, 92 70 Due from other National Banks.. 7,920,957 29 738,455 72 Due from State Banks and Bankers, etc.. 3,766.611 93 Due from approved Reserve Agents 30,845,548 74 4,200,467 75 29,395,975 04 OF THE CITY OF NEW-YORK.) Internal Revenue Stamps 1,812 10 Checks and other Cash Items. 930,277 26 1,452 33 900,485 75 Exchanges for Clearing House. 2,105,472 64 2,078,293 18 2,3 5,365 94 2.466,634 12 2.682 Bills of other National Banks 1,239,374 00 1,181,155 00 1,451,664 00 1,165,988 00 1,272,810 00 Fractional Currency, Nickels and Cents. 123,508 54 115,759 38 127.006 16 123,902 67 122.439 20 Specie. 11,089,236 73 10,521,628 42 11.907,495 53 11,681,408 32 11,808.833 11 Legal Tender Notes. 5,869,607 00 4,937,950 00 6,349,467 00 5,830,053 00 Redemption Fund with Treasurer United States. 1,182,402 50 1,172,820 00 1,196,412 50 1,195,490 00 Due from the United States Treasurer. 87,821 35 52,570 80 119,175 40 24,043 87 5,733,342 00 RESOURCES. January 22, 1904. Loans and Discounts. $3,469.195.043 53 Overdrafts. 42,401,729 64 United States Bonds to secure Circulation.. 387,499,420 00 United States Bonds to secure United States Deposits.. Other Bonds to secure United States Deposits. THE NATIONAL BANKS OF THE UNITED STATES. STATEMENT exhibiting the condition ot the National Banks of the United States, at the dates mentioned, during the year 1904, as shown by their reports to the HOL WILLIAM B. RIDGELY, Comptroller of the Currency, September 6, 1904. November 10, 1904. 5,180 Banks reported. 5,232 Banks reported. 5,331 Banks reported. 5,412 Banks reported. 5,477 Banks reported. $3,772,638,941 58 54,941,935 97 425,759,090 00 March 28, 1904. June 9, 1901. 140,884,120 00 130.099,780 00 110,511,810 00 108,602,050 00 107,566,650 00 30,018,612 10 48,426.716 19 10,645,848 60 United States Bonds on hand... 11,658,788 57 10,578,250 0) 13,165,550 00 17,535,765 00 13,210,760 00 Premium on United States Bonds. 16,478,869 70 16,378,170 69 16,435,972 00 16,210,618 53 Bonds Securities, etc 527,740,516 65 532,837.907 50 566,252,212 55 Banking-House, Furniture and Fixtures. 589,241,085 60 111,954,063 38 113.693,796 19 117,036,371 33 119,758,526 61 6.757,038 57 15,479,900 00 15,782.869 51 595,277,595 85 122,149,605 01 Other Real Estate owned 20.840,620 67 20,821,485 49 20,793,479 17 Due from National Banks. 20,330,281 86 294,555,081 99 239,418,963 31 Due from State Banks and Bankers, etc.. 289,397,500 76 302,216,207 73 20,608,557 74 834,318,962 18 104,151,933 43 Due from approved Reserve Agents 494,706.418 45 94,818.426 33 92,347,171 13 97,4-2,450 17 116,058,470 57 Internal Revenue Stamps... 498,103,879 11 562,610,307 64 543,144,834 19 21,989 16 18,320 50 15,412 00 Checks and other Cash Items 22,357,292 98 23.623,776 37 Exchanges for Clearing House 234,896,480 18 Bills of other National Banks.. 181,824,329 19 24,444,773 68 147,704,918 41 10,145 08 30,534,081 53 213,166,623 62 28,336,554 00 25,521,600 00 23,795,425 00 Fractional Currency, Nickels and Cents. 26,826,955 00 6,507 98 29,204,470 61 341,998,191 85 27,530,385 00 1,839,590 74 1,708,711 23 1,809,066 39 Specie.. 1,793,498 08 453,191,553 21 464,417,270 30 488,664,145 25 504,748,935 53 Legal Tender Notes.. 161,434,599 CO 153,098,314 00 169,729,178 00 156,707,591 00 Five per cent. Redemption Fund.. 18,859,350 37 19,073,10) 90 Due from United States Treasurer. Total Resources 19,898,556 27 4,936,083 83 3,217,924 18 4,080,562 52 20,398.096 83 3,246,286 43 $6,576,878,163 01 $6,605,995,616 85 $6,655,988,686 63 $6,975,086,504 05 LIABILITIES. : Capital Stock paid in $765,861,640 00 Surplus Fund. 385.531,857 71 $765,974,753 00 3-5,095,944 68 Undivided Profits, less Expenses and Taxes. $767,378,148 00 389,647,338 44 177.724,873 43 189,436,751 76 National Bank Notes outstanding 191,991,189 60 $770,777,854 00 896,505,508 50 186,631,539 44 $7,196,991,955 88 $776,089,401 00 399,961,534 15 195,366,258 06 380,992 307 50 State Bank Notes outstanding. 385,908,200 00 399,583,837 50 411,231,095 50 419,120,020 00 42,769 50 42.653 50 42,633 50 42,663 50 42,663 50 Due to other National Banks 692,737,731 36 718,624,303 93 702,246,470 28 764,571,716 63 761,568,172 79 Due to State Banks and Bankers 293,840,187 63 298.602,728 11 2-3,670,678 33 319,779,238 55 312,830,832 47 Due to Trust Companies and Savings Banks 302,100,673 39 333,254,128 58 392,717,484 58 Due to approved Reserve Agents.. 445,565,539 39 399,438,881 88 31,235,676 95 Dividends unpaid 32,403,516 92 33,515,194 04 81,335,847 05 38,793,020 92 1,815,919 90 1,321,366 52 Individual Deposits 3,300,619,-98 45 3,254,470,858 74 United States Deposits. 155,399,160 97 151,796,041 59 Deposits of United States Disbursing Officers 7,895,619 82 8,437,419 97 1,090.766 41 3,312,439,840 99 103,014,689 86 7,328,801 23 Bonds Borrowed. 44,970,726 88 51,035,648 12 35,058,315 78 Notes and Bills re-discounted 34,284,485 22 38,445,272 46 ...... 7,896,230 67 6,317,143 47 Bills Payable.. 8,725,501 78 11,881,678 43 20,146,056 17 17,767,314 24 21,869,980 54 Liabilities other than those above. 5,066,517 68 5,506,833 72 5,667,785 77 25,458,378 85 7,063,407 49 8,642,079 86 Total Liabilities $6,576,878,163 01 $6,605,995,616 85 $6,655,988,686 63 $6,975,086,504 05 6,725,664 08 $7,196,991,955 88 THE BANKS OF THE CITY AND STATE OF NEW-YORK. INCORPORATED UNDER THE BANKING LAWS OF THE STATE. THE following statement exhibits the condition of the Banks incorporated under the Banking laws of the State of New-York at the dates mentioned, during the year 1904, as shown by their reports to the Superintendent of the Banking Department, Albany, N. Y. Prepared by direction of the Hon. FREDERICK D. KILBURN, Superintendent. |