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Show , SALT LAKE BANKS ARE FLOURISHING WASHINGTON, April 27.-An abstract of the reports made to the Comptroller of , the Currency, showing the condition of the four national, banka in the city of Salt Lake, Utah, at tbe close of business on Thursday, the 9th day of April. 1903, is as follows. This is the eecond statement state-ment since Salt Lake was made a reserve re-serve city undfr recent act. RESOURCES. Loans and discounts $3,209,870.18 Overdrafts .... 210,651.14 United States bonds to secure circulation 1,050,000.00 United States bonds to secure United . States deposits - 600,000.00 Premiums on U. S. bonds 37,375.00 Stocks, securities, etc 400,473.23 Banking house, furniture and fixtures 147,857.30 Other real estate owned 46.6S9.55 Due from national banks (not reserve agents) 489,669.28 Due from State banks and bankers, etc - 298,064.75 Due from approved reserve agents 627,561.98 Internal revenue stamps 614.45 Checks and other cash items.. 13.062.96 Exchanges for clearing-house .' 69.706.23 Bills of other national banks .. 16,040.00 Fractional paper currency, nickels and cents 1,924.62 Lawful money reserve In bank, viz.: Gold coin $873,848.00 Gold treasury certificates certi-ficates 4.070.00 ' Silver, dollar 45.6S8.00 Silver treasury cer- " tificates 8,239.00 Silver fractional coin 15,408.95 Total specie $941,653.95 Legal-tender notes .. 65,390.00 997,043.95 Five per cent redemption fund with Treasurer 62,500.00 Total $S, 288,914. 62 LIABILITIES. Capital stock paid in $1,100000.00 Surplus fund 332,500.00 Undivided profits, less expenses ex-penses end taxes paid ........ t 2S2.858.34 National tank notes Issued $1,050,000 Less amount on hand 85,850 Amount outstanding 9M.150.00 Due to other national banks ... 199,133.28 Due to State banks and bankers bank-ers 468,096.20 Due to trust companies and savings banks 127,06.33 Due to approved reserve ag'ts. - l,f7.78 Dividends unpaid 3&4.00 Individual depocits 4,18.564.03 United States deposits 653,977.75 Deposits of United Statea dls- burning officer 43,370.02 Liabilities other than those above stated ., 7,186.89 Total .' ..$8,268,914.62 Percentage to deposits of cash on hand, redemption fund and due from reserve agents, 37.96. Percentage of legal reserve' to deposits, 37.13. |