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Show 1 St alement of the Condition of Ogden Banks REPORT OF THE CONDITION OF THE PINGREE NATIONAL BANK of Ogdon, at Ogden, in the State of Utah, at the close of business, Nov. 10, 11115. RESOURCES. Loans and dlscountn .. $1,056,150.38 Total loans 1,086,150.38 Overdrafts, secured, none; unsecured, none. U. S. Bonds: U. S. bonds deposited to secure circulation (par value) 175,000.00 U. S. bonds pledged to secure U. S. deposits (par value) 15,000.00 Total U. S. bonds ' 100,000.00 Bonds, Securities, etc: ' Bonds other than U. S. bonds pledged to secure postal savings deposits ,... 20,000.00 Bonds loaned (other than U. S. bonds) 35,000.00 Securities other than U. S. bonds (not i n eluding stocks) owned unpledged 362,204.37 Total bonds, securities, etc 417,204.37 Slocks, other than Federal Reserve Bank stock ... 24,550.00 ' 24,550.00 Subscription to stock of Federal Re- ' servo Bank . . $15,000.00 Less amount unpaid .. 7,500.00 7,500.00 7,500.00 Value of banking house (if unencoumbered) 105,225.00 Equity in banking house 105,225.00 Furniture and fixtures 17,775.00 Real estate owned other than banking house 2,500.00 Net amount due from Federal Reserve Bank 28,901.59 Net amount due from approved reserve agents in New York, Chicago, and St Louis 18,218.79 Net amount duo from approved reserve agents in other reserve cities 267,213.43 285,432.22 Not amount due from banks and bankers (other than mentioned) S4,734.47 Exchanges for clearing house -32,630.07 Outside checks and other cash items 187.95 - Fractional currency, nickels, and cents 223.15 41L10 Notes of other national banks 8,155.00 T ., ., ,QDnrT v,nT,i.. Coin and certificates 89,497.25 Lawful money reserve In bank: jt , . , i cor nn J Legal-tender notes .. 53o.00 Redemption fund with U. S. Treasurer (not more than 5 per cent on circulation) and due from U. S. Treasurer ... 8,750.00 TOTAL & 1 $2,389,951.45 - v LIABILITIES. . - Capital stock paid in $175,000.00 Surplus fund 75,000.000 Undivided profits $13,887.41 Reserved for taxes , .' 13,887.41 Less current expenses, Interest, and taxes paid.. 6,088.64 7,798.77 Circulating notes outstanding 174.995.00 Due to banks and bankers 717,031.16 Demand deposits; ' , Individual deposits subject to check S38.503.25 Certificates of deposit due in less than 30 days.. 74,271.73 Certified checks , 302.50 Cashier's checks outstanding X . . . . - 21,196.53 United States deposits '. i ., 12,165.77 Postal savings deposits ..... V - s 3,799.24 Certificates of deposit ". 12,112.20 Other time deposits v . 277,606.36 Liabilities other than those 'above stated (cash' over) 168.94 TOTAL ?2,389,951.45 State of Utah, County of Weber, ss. I, J. II. Riley, cashier of the above-named bank, do solemnly swear that the above statement is true to the best of mv knowledge and belief. Correct Attest: " J. H. RILEY, Cashier. Subscribed and sworn to before mc this 17th day of November, 1915. E. F. BRATZ, Notary Public. My commission expires August 8, 1917. JAMES PINGREE. . i J. W. ABBOTT, " .-J? . ' B. G. BLACKMAN, y . Directors. REPORT OF THE CONDITION OF THE FIRST NATIONAL BANK At Ogden, in the State of Utah, at the Close of Business on Nov. 10, 1915. RESOURCES. Loans and discounts 1,639,612.62 Total loans . . $1,639,612.62 U. S. Bonds: U. S. bonds deposited to secure circulation (par value) .. 150,000.00 U. S bouds pledged to secure U. S. deposits (par value) 75,000.00 U. S. bonds pledged to secure postal savings deposits de-posits (par value) ' 25,000.00 Total U. S. bonds - 250,000.00 Securities other than U. S. bonds (not 1 n c 1 u ding stocks)- owned unpledged 192,416.97 Total bonds, securities, etc 392,416.97 Stocks, other than Federal Reserve Bank stock . . 10.100.00 10,100.00 Subscription to stock of Federal Reserve Re-serve Bank $15,000.00 Less amount unpaid 7,500.00 - 7,500.00 7,500.00 Value of banking house (if unencumbered) 100,000.00 Equity in bankiug bouse v 100.000.00 Real estate owued other than banking house . . . 50.605.80 Net amount due from Federal "Reserve Bank 60,000,00 Net amount due from approved reserve agents in New York, Chicago, and St. Louis 254,679.71 Net amount due from approved reserve agents in other reserve cities 77S,442.1s'l,033,121.89 Net amount due from banks and bankers (other thn mentioned) 279,433.21 Exchanges for clearing house '. 53,461.17 Outside checks and other cash items 9,600.16 Fractional currency, nickels, and cents . . .' 366.13 9,966.29 Notes of other national banks 21,745.00 Lawful money reserve in bank: r 1 Coin and certificates 141.193.00 Legal-tender notes - 1,155.00 1 42.34S.00 Redemption fund with U. S. Treasurer (not more than 5 per cent on circulation) and due from U. S. Treasurer k: . ' 7,500.00 TOTAL vUv. $3,857,810.95 LIABILITIES. ."v Capital stock paid in $150,000.00 150,000.00 Surplus fund :v 100,000.00 100,000.00 UUU1V1UUU l VHVO ............... -Yvt"'" Reserved for taxes 8.690.91 Reserved for dividends 40,500.00 117.6S6.45 Less current expenses, interest, and taxes paid 8,560.27. 109,126.18 Circulating notes outstanding .' 149,997.50 Due to banks and bankers 1,090,968.2S Dividends unpaid ' 20.00 Demand deposits: Individual deposits subject to check 1,709,449.55 Certificates of deposit due In less than 30 days.. 136,206.94 Certified checks 532.68 Cashier's checks outstanding '. . ...4 59,741.00 United States deposits " 69,307.44 Postal savings deposits 8,022.26 Total demand deposits 1.983.259.S7 Payable after 30 days or subject to 30 days or more notice: Certificates of deposit 274,439.12 Total of timo deposits 274,439.12 TOTAL $3,857,810.95 State of Utah, County of Weber ss. I, James F. Burton, Cashier of the above-named bank, do solemnly swear that the above statement is true to the best of my knowledge and belief. be-lief. JAMES F. BURTON. Cashier Subscribed and sworn to before m e this 17th day of November, 1915 S. T. JEPPESEN, Notarv Public. My commission expires September 21, 1918. Correct Attest:; JOHN WATSON, ' A. T. WRIGHT CHAPIN A. DAY, Directors. ' ' ' . - REPORT OF THE CONDITION OF THE 1 UTAH NATIONAL BANK II At Ogden, In tho State of Utah, at tho Close of Business, on Novombcr ift'l E 1915. iVf W' RESOURCES. ' i Loans and discounts 1... .$546,011.93 ' Total loans 5546,011.33 Overdrafts, secured, none; unsecured, none. t H U. S. bonds deposited to secure circulation (par N value) -. - 150,000.00 Jl Total U. S. bonds .....-......-.....' ' 150,000.00- BondB, securities, etc: ' gj Bonds other than U. S. "bonds pledged to secure , 8 U. S. deposits 23,000.00 J. m Securities other than U. S. bonds (not i n c 1 u d i ng Hi stocks) owned unpledged 45,102116 ' H Total bonds, securities, eto 68,10216 B Stocks, other than Federal Reservo Bank stock 10,250 00 51 Subscription to stock of Federal Re- ,.;.. & serve Bank $10,800.00 -j jm Less amount unpaid . 5,400.00 5,400.00 5,400 00' ? Value of banking house . . v 66,089.03 I Furniture and fixtures 1 13,679 21t S Real estate owned other than banking house ' 3,63248 Z Net amount due from Federal Reserve Bank V 16,00000 1 ' Net amount due from approved resorve agents in : l New York, Chicago, and St Louis 63,372.70 ,: A Net amount duo from approved reserve agents in oth- H 0 resorve cities 103,457,61 166,830.31 ' 1 Net amount due from banks and bankers (other than mentioned) ' , 145,515.09 Exchanges for clearing house -.. ' 14,126 43 t Outside checks and other cash items ;; -'397.30 i Fractional currency, nickels and cents 68.78 466.08i K Notes of other national banks v 21o!oo: K Federal Reserve notes 5.00 fj Coin and certificates " 39,773.10' E Legal-tender notes i;, 15.001? Redemption fund with U. S. Treasurer (not more j, ' R than 5 per cent on circulation) and due from U. Ifr i S. Treasurer 7.500.00 W Customers' liability account of "Acceptances" " 4,000.00' TOTAL 1 ?l,247;605.85j I LIABILITIES. ; I Capital stock paid in U. .-. 150,000.00 Surplus fund 1 30,000.00 lSO.000.Oof Undivided profits . 12,105.81 J Less current expenses, interest, and taxes paid. 171.76 11,93 '.05 1 I Circulating notes outstanding . 150,000.0" 1 I Due to banks and bankers 59,10857 W Demand deposits: m Individual deposits subject to check 422.17M5 Certificates of deposit due in less than, 30 days . . . 88,509,33 . m Cashier's checks outstanding 1,353 47 "rH United States deposits 1S.6585' ' Total demands deposits ;: 53.692.81 1 3 Time deposits: ' a Certificates of deposit .V. . . 54,110.17 , M Other time deposits .V. .&.-.. 231,760.55 M Total of time deposits 285,870.42 , 9 Notes and bills rediscounted elsewhere than at g Federal Reservo Bank 30,000.00 30,00000 , H TOTAL , $1,247,605.85 1 State of Utah, County of Weber ss: " M I, A. V. Mcintosh, Cashier of the above-named bank, do solemnly swear ' H that the above statement is true to Lie best of my knowledge and belie! m a. v. Mcintosh, Cashier. , m Subscribed and sworn to before me this 17th day of November, 1915. ' fa Correct Attest: - RALPH E. HOAG, ' M H. J. PEERY, M. V. DOOLY, ! in R. C. NYE, Notary Public. ' Directors. 1 W REPORT OF THE CONDITION OF THE COMMERCIAL NATIONAL BANK f At Ogden, in the State of Utah, at the close of business on Nov. 10, 1915. f1 RESOURCES. I Loans and discounts $837,667.12 X Total loans S37.6tJ7.12 , U. S. bonds deposited to secure circulation (par , value) 100,000.00 J Total U. S. bonds 100,000.00 Securities other than U. S. bonds (not includ ing stocks) owned unpledged 127,111.77 J ff Total bonds, securities, etc ' ' 127,111.77 11 Subscription to stock of Federal Re- ' l serve Bank 512,000.00 , 1 V? Less amount unpaid 6,000.00 C.0Q0.U0 6,000.00 ( fe Value of banking house (if unencumbered) 70000.00 RJ Equity in banking house 70,000.00 kf""j Real estate owned other than banking house v 29,622.94 jt Net amount due from Federal Reserve Bank 17,549.50 j K; Net amount due from approved reserve ageuts in f?jj New York, Chicago, and St. Louis 7,372.17 1 Net amount due from approved reservo agents in i other reserve cities 194,612.03 201,98450 "j Net amount due from banks and bankers (other than " " r ' , nentioued) . 14,63294 " K, Exchanges for clearing house 5.290J7 fe Other checks on banks in the same city or town as s reporting bank 1.164.SC J Outside checks and other cash Horns,... 1,537.72 t ft Fractional currency, nickels, and cent3 " .52.76 1.590J4S t. "S Notes of other national banks " '7,410.00 Lawful money reserve in bank: Slj Coin and certificates .' .'.. '63,957.25 flj. Legal-tender notes " v 1.145.00 fa; Redemption fund with U. S. Treasurer (not" more r" tv flv than 5 per cent on circulation) and due from U." f m ft S. Treasurer , 5,000.00 I ,fc TOTAL .$1,0,12G.63 ft LIABILITIES. ' j) J?1 4 loi Capital stock paid in . 100,000.00 jj Surplus fund ' 100,000.00 r n, Undivided profits $Sl,9bb'.65 ft & Reserved for 81,900.05 V , Less current expenses, Interest, and taxes paid. 10,760.16 71,139 89 , . Circulating notes outstanding . '. . - . t 100,000.00 , 5 Due to banks and bankers (otljer than mentioned).' ""? 69,175.23 Divideuds unpaid ."$ 96.00 j Demand deposits: "". . Individual deposits subject to check 604,797.16 ' Certificates to deposit duo in less than 30 days " ' ' " 49,059.26 f Certified checks t '"' T ' 3268 JJ Cashier's checks outstanding. '.."."...".".'."."." '" 7,039.32 ? Total demand deposits '...'.'." 661 2 l9 $ Time deposits (payable after 30 days, or subject "'"" - il to 30 days or more notice) : ' I Certificates of deposit 63,276-60 Other time deposits !!!'.'.'.'.".".. 325.216.79 lg Total of time deposits !.!!!".!!.' 388 493.39 ' f- S T0TAL ."$IrniSJ l!' State of Utah, County of Weber;ss.: f '$ I, R. A. Moyes, Cashier of tho above named bank. do solemnly swear that $ the above statement is true to the best of my knowledge and bStef. 1 ?! RA. MOYES, Cashier. i, jl Subscribed and sworn to before me this 16th day of November, 1915. ' T. R. O'CONNOLLY, a h CORRECT-Attest: ' Notary Pub,C ! ?' J. S. HOUTZ, i A. G. FELL, I (jj ' - F. W. IIERRINGTON, t t& mmmmmm Directors. 1 ifo' |