STATE BANKS. Abstracts of reports made by the State banks of Michigan to the Commissioner of the Banking Department, the reports being called for on past days unknoun to the bank officers, riz: January 22, March 28, June 9 and September 6, 1904. For reports of individual State banks and trust companies see succeeding pages. NATIONAL BANKS. Abstracts of reports made by the national banks of Michigan to the Commissioner of the Bank ing Department January 22, March 28, June 9 and September 6, 1904. For reports of individual national banks see succeeding pages. E STATE AND NATIONAL BANKS. Abstracts showing the total volume of business transacted by the State and national banks and trust companies of Michigan, as made to the Commissioner of the Banking Department January 22, March 28, June 9 and September 6, 1904. Resources. Report of 88 national banks, 4 trust companies, 1 society for savings. Report of March 28, 244 State banks, 88 national banks, 4 trust companies, 1 society for savings. Report of 88 national banks, 4 trust companies, 1 society for savings. Report of SS national banks, 4 trust companies, 1 society for savings. Loans and discounts... Stocks, bonds and mortgages.. Overdrafts......... L'. S. bonds to secure circulation... U.S. bonds to secure U. S. deposits. Other bonds to secure l'. S. deposits. U.S. bonds on hand... Premiums paid...... $127,994,582 46) $142,310, 432 07 $142,245,970 29 $144,549, 486 21 73, 117,383 74 73,438,456 42 74,819,798 54 74,707,787 27 555,903 74 533,904 31 525,670 82 447,383 18 7,073, 800 00 7,191,300 00 7,473,800 00 7,323, 500 00 2,387,500 00 2,207,500 00 1,912,500 00 1,812,500 00 232,700 00 1,112,680 00 1,077,680 00 1, 182,900 00 1,416,000 00 547,702 25 529,179 00 518,228 30 496,900 88 4,179,029 78 4,218,342 96 4,308,277 40 4,391,304 70 2,066,762 47 2,065,915 27 2,014,411 38 1,988, 409 47 5,556,083 69 5,537.828 27 5,367, 680 41 5,701,585 26 32,684,911 21 31,777, 155 18 30, 460,862 96 32,129,058 38 534,633 21 513,464 27 501, 905 84 623,363 62 996,336 77 1,288,624 71 1,120,453 27 1,569,179 84 123,098 99 120,208 92 124,817 56 120,273 42 9,017,939 74 8,865,683 77 9,475,502 26 9,616,772 02 8,421,588 25 7,106,965 25 8,717,285 30 8,038,627 00 350,065 50 353, 390 00 373,665 00 366, 165 00 64,479 50 56,725 34 26,278 00 33,255 00 $276,784,481 30 $289, 192,755 74 $291,432,767 33 $295, 331,851 25 Due from other banks and bankers. Due from banks in reserve cities.. Checks and other cash items... Exchanges for clearing house.. Nickels and cents.. Specie........ of circulation)... Due from C. S. treasurer, other than 5 per cent. redemption fund... Totals. |