DETROIT. STATE BANKS. 1922. Abstracts of the published reports of the State banks and Trust Companies in the city of Detroit, as made by the Commissioner of the Banking Department, December 31, 1921, March 10, May 5, June 30, and September 15, 1922. Totals Liabilities. Capital stock paid in. 3,149,755 00 2,804,680 00 5,057,494 00 3,353,546 15 4,880,507 59 5,461,426 37 5,515,064 73 1,203,000 00 1,203,000 00 2,200 00 1,206,000 00 1,242 000 00 1,306,500 00 81,726 04 160,128 11 $429,034,500 64 $427,641,995 46 $437,778,492 71 $463,431,245 46 $480,789,777 01 $26,991,351 50 $27,525,000 00 Surplus Fund Undivided profits, net. Demand certificates of deposit. Dividends unpaid Reserved for taxes, interest, etc. Commercial deposits subject to check Certified checks. Cashier's checks 25,569,138 06 6,068,751 47 457,160 80 574,820 71 115,623,198 43 3,073,095 08 1,085,558 95 2.048,233 69 25,675,867 76 6,477,761 87 10,363 64 908,819 02 117,315,544 19 4,252.796 35 726.814 06 1,641,388 07 9,250,203 97 4,382,531 76 21,249 48 3,000,000 00 Savings certificates of deposit. 201,531,392 21 202,665,391 99 Notes and bills rediscounted. 3,683,258 43 11,020,884 84 5,230,193 87 19,435 12 2,122,029 37 247,550,483 97 9,040,769 73 12,546,000 52 11,723,740 56 1,638,797 60 8,000 00 358,200 00 Bonds sold subject to repurchase. 413,400 00 1,120,500 00 Bonds borrowed or left for safe keeping Acceptances executed for customesr.. Customers' letters of credit Other liabilities. 225,000 00 1,225,717 07 18,201 47 3,273,775 00 1,559,920 08 1,624,340 17 DETROIT. NATIONAL BANKS. 1922. Figures given by Comptroller of the Currency in even thousands. Abstracts of reports made by the National banks of Michigan to the Commissioner of the Banking Department, December 31, 1921, March 10, May 5, June 30, and September 15, 1922. Totals $143,269,000 00 $148,335,000 00 $147,706,000 00 $163,108,000 00 $180,769,000 00 |