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Show C.arter No. 9051 Keserve District No. 12. REPORT OF THE CONDITION OF THE NATIONAL COPPER BANK, At Salt Lake City, in the State of Utah, at the close of business on May 12, 1319. RESOURCES. 1. fa) Loans and discounts $2,576,711.21 !. Overdrafts, secured, S10.S15.72; unsecured. $17,487.81. 2S.2S3.03 S. U. S. bonds (other than Liberty bonds, but including U. S. certificates of indebtedness): (ai) U. S. bonds deposited to secure circulation (par value) $ 300,000.00 (b) L". S. bonds and certificates of indebtedness pledged to secure LT. S. deposits (par value) .... 132.000.00 (d) U. S. bonds and certificates of indebtedness pledged as collateral for bills payable 600,000.00 (t) U. S. bonds and certificates of indebtedness owned and unpledged 13-1. 000.00 51,220,000.00 S. iiertv Loan Bonds: (aj Libertv Loan bonds, S'i, i and VA per cent, unpledged lb2,200.00 fa) Liberty Loan Bonds, 3U, 4 and 4ti per cent, pledged to secure postal savings deposits 335,000.00 (1) Libertv Loan Bonds, 3'j, 4 and 4U per cnt, pledged to secure bills payable 450,000.00 , ? 967,200.00 ' Bonds, securities, etc. (other than U. S.): (t) Bonds (oilier than U. B. bonds) pledged to secure se-cure postal savings deposits , 5 75,000.00 W (a) Securities other than U. S. bonds (not including) stocKs) owned unpledged 430,269.94 ' Total bonds, securities, eto., other than TJ. S? $ 025.269.94 H' !. Stock of Federal Reserve Bank (50 per cent of sub- scription) W.SO0.0O " a, tj Furniture and fixtures ' K-20?-22 1. Lawful reserve with Federal Reserve Bank 2,7,4. fJ 1. ltenw with Federal Reserve Bank In process of col- lection (not available as reserve 1 10,326.80 Zpz. b, Cash In vault and net amounts due from national banks .,0S,Cu.c!0 ' 't amounts due from banks, bankers and trust iii companies other than Included in items 13, 14 . ,,- , or 15 i,4-4!-""1 I !' Exchanges for clearing house 13i.91o.S4 ' Lnct'iis on other banks in the same city or town ae I reportins bank (other than item 17) lo, 604.0 f Total of items 14, 15. 16. 17 and IS $ 670,327. oo ' Checks on bank located outside of city or town of n t , reporting bank and other cash items . loo. 04 heitmptlon fund with U. S. Treasurer and due from ,- I ,, C S. Treasurer lo.000.00 I Interest earned but not collected approximate on 1 notes an.l bills receivable not post due .4,644. i I ' ar Savings Certificates and Thrift Stamps actually . owned . I -.. Other assets, If ' any i 34,350.00 t Total 56,423,051.85 f LIABILITIES. : !:tal stock paid in 5 o.oon.oo I v.- Surplus fund 60.000.00 ''"!?' I'ndivkled' prof it's"!! '.'.'.'.'.'.'.V. $ 1S9.S77.4U to) Less current expenses, Interest and taxes paid.. SI, 800. So 55 070 61 I ' Interest and discount .collected or credited, In ad- ... I .( viice of maturity and not earned (approximate). - -,'rl I :, amount reserved for taxes accrued :;,0Zwn I ;"""int reserved for all interest accrued -', '")" I i- VrekrtlB notes outstanding t i v. , amounts due to National banks o4,,. . I et amounts clue to banks, bankers and trust com- - I r. Ro'w (Other than included in item 32) l5-.A52 . I ::' eheckB outstanding ,nyii?'?i " '"Mors checks on own hank outstanding .,' I Total of items 32, 33. 34 and So 51,079,262.10 I LCmand deposits (other than bank deposits) subject H iJ. ,reservs (deposits payable within 30 days): ,." h'idual deposits subject to check 1.919,, c4.o. ' certificates of deposit due in less than 30 days t n . I O ni, ?ther han for money borrowed) -Ti'-n ; r;5 :::::::: ns.s I Total of demand deposits Other than bank de- ,...,,, . J I'osils) subj,:ct to reserve, items 36. 37, 40 and 41 . .S2,0o3,040.10 I lime deixwug subject to reserve (payable after 30 1 1 rial's, or subject to 30 davs' or more notice, and I r r ftnl savings 1: ertlficn tea of deposit (other than for money bor- I nwed) ! t n,roal savings deposits 7-;?7m'ii 0t'ier time deposits .bo.olo.l. Total of time deposits subject to reserve, items ! n ,.,, 42. 44 and 45 .51.221.131.61 1 li w- States deposits (other than postal savings) : " ar loan deposit account 11 ,,000 .00 W Other United States deposits, Including deposits ....... of U. S. disbursing officers CCWSM ' $ 133. 90S. 06 l S. bonds borrowed. Including Liberty Loan and cert!ficateH of indebtedness, without furnishing K.-; er.n 00 ;, R. Trilateral security for same , n-n'nno'flo Payable with Federal Reserve bank 1 "JL 13 f. Total . 56,423.051.85 JALt tyrr swear !hat the J 8 slatement is true to the best ot my now!e.l?c nd cy Correct Attest : A C. IT. LIS. JR.. LAFAYETTE HANCHETT, Directors. "ubs"lbea ana sworn to before me this 21st d'fKrknSEX. A , ' Notary Public. ! y C0lnmlssion expires Septeniber 19, 19C2. y-6l0 |