Interborough Metropolitan Com- June 28, 1906 April 1, 1919, 3 Refunding Plan Terms for payment of 5% First Mtge., due 1933: $500 in cash; $500 in Co.'s First Lien & Refunding Mtge., Series A, bonds, due 1938. 4% First & Ref. Mtge. G., due Jan. 23, 1908 Sept. 1, 1923, int. 1951--$7,156,000. not paid. No subsequent payments made. Principal and interest due October 1, not 1. July 15, int. not Strick- Stricken from List Novem ber 18. $41.40 pd. on a/c July 1, int. not |