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Show REPORT OF CONDITION OF '. THE 'COMMERCIAL NATIONAL BANK I: At Ogden, in the State of Utah, at the Close of Business on March 4, 1918, ; RESOURCES. I Loans and discounts $1,364,187.83 jj- , Total loans $1,364,187. S3 f ! Notes and bills rediscounted (other than ' bank acceptances sold) ?138,950.03 ? 1 Foreign bills of exchange or drafts sold with in- I dorsement of this bank, not shown under Item f ; d above 13S.950.03 $1,225,237.80 1 Overdrafts, unsecured, $4,706.59 4 706 59 i U. S. bonds (other than Liberty bonds of 1917) 1 ' ' ' fc U. S. bonds deposited to secure circulation (par f value) 100,000.00 U. S. bonds and certificates of indebtedness owned and unpledged 25 000 00 Premium on TJ. S. bonds ' 125,000.00 , Liberty loan bonds: I LIborty loan bonds, 3A per cent and 4 per cent, , b unpledged .... .. 45,250.00: t Liberty loan bonds, 3 per cent and 4 per cent, ' pledged to secure state or other deposits or . t bills payable 49 500 00 94 750 (10 l Securities other than U. S. bonds (not including ' ' -'ow- r stocks) owned unpledged 41 8-16 48 Total bonds, securities, etc "" ' ' 41 846 4S i j Stock of federal reserve bank (50 per cent of sub- , v scriptlon) Knft M , Value of banking house 70 000 00 1 Equity in banking house ' ' 70 000 00 I I Real estate owned other than banking houso "S'm ' ' Lawful resorve with federal reserve bank , 89 25.5' I 1 Cash in vault and net amounts due from national I : banks ot-f: fi2c fi7 '. Net amounts due from banks, bankers, and' trust -o,o.di .. f companies other than included in Items 13 1 ' 14, and 15 ,,--,.,7 nn ; .j Exchanges for clearing houso i.'iU f T Total of items 14, 15, 16, 17, and 18 V S5 588 13 aiOH0 j : 1 Checks on banks located outside of city or town . " ' ' V of reporting bank and other cash items.. . 7ni; i Redemption fund with U. S. treasurer and due i from U. S. treasurer B mM J T0tal " r..T- $1,977,305.83 j . LIABILnTES. ' 1 Capital Stock paid In innnnn na r Surplus fund ? JSJ'SS!'!! undivided profits ::::::;:::::;;;;::::: OT 0 l50'000'00 ! Loss current expenses, Interest, and taxes paid. Z 6,478 35 50 533 44 i Circulating notes outstanding ' 8,db S?'?Sn 2J ! 4 Net amounts duo to national banks JnSS'S f ? Not amounts due to banks, bankers, and trust 'l companies (other than included in Items 31 ' , j TWioMtems'32and33::.'::::::::::;: 11SB71 M i Demand deposits (othor than bank deposits) "sub- 1D,t,'JJ If Jetc to reserve (deposits payable within 30 f ' days) : . 1 5 Individual deposits subject to check . '' I Certificates of deposit due in less than 30 days 69-.83S.55 , j CertaJ5e.mMVbon) ' 21.701.33 Cashier's checks outatand'in'g V.V.V.7.V." "" 9 win !?l Total of demand deposits (other than bank de i ?f bJei "seo. "oms 34. 35, 36, 37, r ? 38, 39, 40, and 41 ' 70 ... ; h owedT f deP8lt (0ther fr m'0'n'G'yT- ' I j J Other tlmo d'e'posl'ts. 187,354.99 j 1 of time deposits" subject to" VeVervV 502,329.29 t Items 42, 43, 44, and 45. reserve, , .u United States deposits (other than iostoi VaVingV). 689'68'1'28 J Bills payable, with federal resorve bank..!!;!.?.; 49 50o.OO f ! ' U Total.. ' g1 Liabilities tor rediscounts, 'includYng uToVe'witt ?l,077,30o.i- f federal reserve bank .tLZj 138,950.03 f Total contingent liabilities $ i38,950.oJ it STATE OP UTAH, COUNTY OP WEBER ss- : Subscribed and sworn to before me this 12th Vof Mar?hS'l9 1 I" (Seal) T' R O'CONNELLEY, Notarj' Public. f ' & Correct Attest: ; W R. A. MO YES, .1 A. G. FELL, ? , LB ROY BUCHMILLER, till P. HEALEY, Directors. |