Abstract of the reports of condition of national banks in the United States on June 4, 1913, arranged by classes. United States bonds to secure circulation.. 81,355, 090.00 United States bonds to secure United States deposits... Other bonds to secure United States deposits... United States bonds on hand... Premiums on United States bonds. Bonds, securities, etc.. Banking house, furniture and fixtures... Other real estate owned Due from national banks (not reserve agents).. Due from State banks and bankers, trust companies, etc. Due from approved reserve agents.... Checks and other cash items... Legal-tender notes. Five per cent redemption fund. Due from Treasurer of United States other than 5 per cent fund.. Total....... 3,066, 402. 44 787, 774.53 210, 810, 479. 10 37,931,243. 04 1,543, 592. 52 144,611, 713. 50 50, 308, 317. 15 6, 815, 197. 36 168, 229, 831.61 4,339, 135.00 262.100.16 314, 822.5 0.52 90, 806, 069.00 3,972, 834.50 4,751, 693. 46 $1,640, 317, 608. 33 3, 183, 861. 62 164,633, 240.00 18,547,500.00 17, 122, 899. 04 1,734, 800.00 1,990, 011. 55 235, 190, 549. 44 65,751,006. 40 7,769 305. 11 194,344, 454.86 91,646, 988.98 265, 216, 882.89 11.902, 552.93 73.360.235.77 14,793, 766.00 869.677.72 202,072, 701.98 40, 221, 479.00 8,089, 744.50 $3, 186, 975, 347.94 15,465, 573. 23 489, 238, 540.00 24,844, 190.00 23,408, 628. 10 3, 603,080.00 4,098, 850. 81 604, 586, 627.01 145, 206, 704. 51 22, 020, 050.53 100,065, 031.68 53,034, 760. 41 496, 960, 111.84 18,374, 495. 47 15,970, 425. 19 32, 405, 907.00 2,448, 704. 80 207, 179, 395. 27 58,880, 475.00 23, 332, 306.00 2,445, 176, 007. 73 3,062,070, 278. 12 5,529, 673, 471. 19 $6, 143, 028, 132.94 19,006, 152. 02 735, 226, 870.00 47,061,600.00 43,597, 929. 58 6,338,000.00 6,876, 636. 89 1,050, 587, 655.55 248, 888, 953. 95 31, 332,948. 16 439,021,200. 04 194, 990, 066. 54 762, 176, 994. 73 37,092, 245. 76 257, 560, 492. 57 51,538,808.00 3,580, 482. 68 724,074, 627.77 189,908, 013. 00 35, 394,885.00 9, 636, 971. 86 11,036, 919, 757.04 |