Statement showing the Clearing House Transactions for each month. from January 1st to December 31st, 1893, with the Loans, Specie, Legal Tenders and Liabilities of the Associated Banks, and the Per Centage of Specie and Legal Tenders to Net Liabilities. Balances. $177,796.226 25 151,226.685 21 March, 3,250,696,581 78 144,458,759 00 143,286,970 69 May, 3,055,479,341 24 156,826,564 99 June, 2,625,897,458 71 137,738,172 93 July,. 2,393,406,870 59 113,940,989 16 August, 1,958,039,036 48 102,777,040 95 September, 1,841,195,798 96 103,928,303 25 October, 2,229,354,959 26 146,377,885 23 125,538,189 30 December,.. 2,215,433,675 77 136,255,890 70 Total Exchanges for the year ending December 31, 1893, Total Transactions for the year ending Dec. 31, 1893, TRANSACTIONS OF THE NEW-YORK CLEARING HOUSE-(Continued.) The annexed Table exhibits the condition of the Banks of the City of New-York, (both National and State,) as shown by their quarterly statements, during the years 1891, 1892 and 1893. THE NATIONAL BANKS IN THE CITY AND STATE OF NEW-YORK. THE following statement exhibits the condition of the National Banks in the City and State of New-York, at the dates mentioned, during the year 1893, as shown by their reports made to the Comptroller of the Currency, Washington, D. C. Prepared expressly for the Annual Report of the Chamber of Commerce, by direction of the Hon. JAMES H. ECKELS, Comptroller. CITY OF NEW-YORK. 48 Banks. $323,445,104 33 1,100,000 00 923.450 00 May 4, 1893. 49 Banks, $307,372,242 62 7.220.000 00 1,100,000 00 United States Bonds on hand,.. 721,850 00 129.450 00 79,450 00 Stocks, Securities, &c.,. 29,460,137 46 28,813,211 92 28.188.857 47 28,349,305 08 Due from National Banks, 28.020.315 56 30,571,378 64 27,647,998 09 23,845,425 11 Due from State Banks and Bankers, 4,312,667 93 5,543,318 80 4,842,975 75 3,699,143 22 30,373,793 82 28,116,377 24 4.482,222 10 Banking House Furniture and Fixtures, 11,394,405 58 11,365,822 70 11,390,789 57 11,444.322 52 11,524,507 19 Other Real Estate and Mortgages owned,. 992,493 98 Current Expenses and Taxes paid,. 772.038 17 717,280 03 1,211,479 61 737,685 32 756,548 88 789,227 65 200,702 05 1,360,021 04 Premiums on United States Bonds,. 615.306 26 547,718 68 431,088 13 1,144,421 04 1,089,634 16 Checks and other Cash Items,. 2,795.513 75 2.929,291 61 2,790,857 81 2,742,847 46 Exchanges for Clearing House, 85.931,622 71 Bills of other National Banks, 1,054,108 00 74,391,728 84 1,224,785 00 65,493,779 13 1,101,609 00 Fractional Currency, Nickels and Cents,. 45.775 87 45,536 56 45,017 97 41,034 90 Specie.... 61.577.139 58 63,570,493 59 55,008,276 31 75,703,063 90 1,979,772 16 39,048.504 94 3,072 452 00 47.389 81 94,137,038 22 Legal Tender Notes,. 24,282,810 00 29,336,199 00 19.741,077 00 31,082,821 00 51,942,364 00 United States Certificates of Deposit... 8,655,000 00 5,180,000 00 1,970,000 00 1,420,000 00 22,250,000 00 Redemption Fund with United States Treasurer, 312,650 00 313,650 00 312.870 00 811,112 00 Due from United States Treasurer, 463,408 19 582,224 64 353,777 09 654,882 68 747,335 00 THE NATIONAL BANKS IN THE STATE OF NEW-YORK, (EXCLUSIVE OF THE CITY OF NEW-YORK.) March 6, 1893. 277 Banks. $129,023,378 83 United States Bonds on hand,. 473,150 00 472,150 00 466,850 00 447,450 00 469,100 00 Stocks, Securities, &c.,. 13,403,820 16 13,148,752 10 12,993,021 51 13,105,352 29 13,833,709 72 Due from Reserve Agents, 16,920,383 87 16,437.711 44 16,642.957 64 15.726,982 13 19,558,474 20 Due from National Banks, 4,037,887 42 4,133,637 33 4,386,605 28 2,946,510 88 Due from State Banks and Bankers,. 1,256,092 77 1,539,099 50 1,573,434 64 1,160,341 57 Banking-House Furniture and Fixtures. 3,397,907 94 3,405,080 00 3,407,094 70 3,432,844 07 Other Real Estate and Mortgages owned, 1,624,057 69 1,726,552 25 1,763,450 58 1,870,282 63 Current Expenses and Taxes paid,.. 484,698 99 673,235 20 192,867 74 576,651 81 Premiums on United States Bonds,. 736,066 80 749,217 09 636,196 86 803,210 47 Checks and other Cash Items,. 1,219,120 53 1,115,021 12 962,373 31 849,044 28 Exchanges for Clearing House,. 1,564,509 18 1,206,702 94 1,429,387 59 1,509,998 86 Bills of other National Banks, 938.768 00 1,183,022 00 1,386,955 00 Fractional Currency, Nickels and Cents, 62,035 41 63,710 71 62,453 82 Specie, 7,152,519 70 6,781,830 11 6,982,356 34 Legal Tender Notes... 3,737,817 00 3,903,255 00 4,959,450 00 1,169,950 00 61,700 03 7,666,779 54 4,666,400 00 United States Certificates of Deposit, 160,000 00 160,000 00 140,000 00 80,000 00 130,000 00 Redemption Fund with United States Treasurer, 679,532 75 678,007 50 699,352 75 806,757 70 810,974 34 Due from United States Treasurer,. 50,564 09 43,816 09 18,810 94 6,301 34 18,493 04 RESOURCES. THE NATIONAL BANKS OF THE UNITED STATES. the Comptroller of the Currency. STATEMENT exhibiting the condition of the National Banks of the United States, at the dates mentioned, during the year 1893, as shown by their report to March 6, 1893. 3,806 Banks. $2,159,614,092 48 May 4, 1893. 172,412.550 00 July 12, 1893. October 8, 1893. December 19, 1893. 3,049,000 00 15,256.000 00 3.519,550 00 3.078,050 00 2,760,950 00 153,420,770 68 150,747,862 86 149,690,701 61 148,569,950 46 159,749,363 92 Due from Reserve Agents, 202,612,051 30 174,312,119 44 159,352,677 33 158,499,644 28 212,630,636 30 Due from National Banks, 124,384,884 35 121,673,794 24 111,956,506 81 94,740,014 97 Due from State Banks and Bankers,. 30,126,300 21 32.681.708 90 27,211,234 32 24.229,106 82 Other Real Estate and Mortgages owned,. 89,710,408 54 90,033,775 48 89.383,276 28 89,151,776 08 108,265,460 75 28,682,998 64 92,322,060 53 Current Expenses and Taxes paid,. 10,992,932 60 11.746,470 23 4,892.772 88 11,071,996 65 * Premiums on United States Bonds, 13,270,691 10 12,935,077 74 11,933,004 69 13,981,867 44 13.806,470 18 Checks and other Cash Items, 18,755,010 52 17,546,973 93 16.707,680 61 15,359,764 56 13,519,016 51 Exchanges for Clearing House, 125.142,839 74 114,977,271 08 107.765,890 44 106,181,394 59 71,943,165 75 Bills of other National Banks,. 18,248,706 00 20,085,688 00 20,135,054 00 Fractional Currency, Nickels and Cents,. 945,532 50 952.810 90 952,632 48 22,402,611 00 1,026,813 90 21,497,840 00 Specie.. 208,341,816 42 207,222,141 81 186,761,173 31 Legal Tender Notes, 90,935,774 00 103,511,163 00 95,833,677 00 United States Certificates of Deposit,. 14,675,000 00 12,130,000 00 6,660,000 00 Five per cent. Redemption Fund with U. S Treasurer, 7.401,830 74 7,467,989 77 7,600,604 72 224,703,860 07 114,709,352 00 7,020,900 00 8.977.414 18 Due from U. S. Treasurer other than Redemption Fund, 1,322,444 60 1,556,891 28 1,019,074 42 1,262,749 85 2,029,141 92 |