ABSTRACT of reports of condition of national banks in the United States on December 15, 1897, and February 18, May 5, July 14 and September 20, 1898. CHANGES in the principal items of resources and liabilities of national banks as shown by the returns on September 20, 1898, as compared with the returns on July 14, 1898, and October 5, 1897. 53,812,180 00 79,194,380 00 Due from national banks, state banks and bankers, and reserve agents 1,052,415 36 31,046,409 64 Specie $41,802,972 56 54,486,456 34 Legal tenders 4,876,697 00 2,818,371 00 United States certificates for legal tenders. 3,575,000 00 $25,465,000 00 Capital stock 498,850 00 9,970,200 00 Surplus and other profits 7,598,563 28 5,818,205 60 Circulation. 4,617,467 00 4,436,904 50 Due to national and state banks and bankers. 21,481,486 61 52,627,388 09 Individual deposits. United States government deposits Bills payable and rediscounts. Total resources 8,097,380 69 178,105,411 79 ABSTRACT of reports of condition of national banks in the United States on December 1, 1898, and February 4, April 5, June 30 United States bonds to secure United States deposits.. 95,528,020 00 89,100,240 00 89,200,540 00 78,497,040 00 80,976,980 00 United States bonds on hand. 29,224,090 00 25,028,370 00 22,154,400 00 21,031,310 00 19,328,220 00 19,859,781 31 19,061,207 41 18,569,916 95 17,715,752 92 17,626,212 72 259,135,309 88 276,704,595 54 300,281,257 80 305,428,927 40 320,437,066 36 79,190,505 00 79,173,842 32 79,006,522 33 78,905,167 54 79,064,021 51 CHANGES in the principal items of resources and liabilities of national banks as shown by the returns on September 7, 1899, as compared with the returns on June 30, 1899, and September 20, 1898. ITEMS. Loans and discounts. Legal tenders. Due from national banks, state banks and bankers, and reserve agents Specie $1,329,723 96 160,391,896 68 18,250,662 36 44,697,225 44 5,123,284 00 1,176,351 00 United States certificates for legal tenders. 2,050,000 00 Capital stock. 907,643 00 270,000 00 15,652,568 00 Surplus and other profits 8,193,913 30 9,945,459 06 Circulation. 987,185 00 5,861,802 00 230,532,614 88 Individual deposits 71,431,913 68 419,271,055 02 Bills payable and rediscounts. United States government deposits Total resources. |