No. 78.-DEPOSITS, REDEMPTIONS, ASSESSMENTS FOR EXPENSES, AND TRANSFERS AND REPAYMENTS, ON ACCOUNT OF THE FIVE PER CENT REDEMPTION FUND OF NATIONAL BANKS, BY FISCAL YEARS, AND BALANCE OF THE DEPOSITS AT THE CLOSE OF EACH YEAR. No. 79.-DEPOSITS, REDEMPTIONS, AND TRANSFERS AND REPAYMENTS, ON ACCOUNT OF NATIONAL BANKS FAILED, IN LIQUIDATION, AND REDUCING CIRCULATION, BY FISCAL YEARS, AND BALANCE OF THE DEPOSITS AT THE CLOSE OF EACH YEAR. No. 79.-Deposits, RedemPTIONS, AND TRANSFERS AND REPAYMENTS, ON ACCOUNT OF NATIONAL BANKS FAILED, IN LIQUIDATION, ETC.—Continued. Aggregate. 1867. 1868. 1869. 1870.. 1871. 1872. 1873. 1874. 1875. 1876. 1877. 1878. 1879.. 1880. 1881. 1882. 1883.. 1884. 1885. 1886. 1887. 1888. 1889. 1890. 1891. Total 488, 558, 447. 35 427, 875, 207.00 81,490.00 740, 370. 20 765, 720.20 786, 160. 00 3,017, 070. 60 3, 473, 104. 25 2, 333, 321. 25 3, 285, 409. 54 25, 915, 640. 96 32, 494, 647.00 12, 719, 069, 25 9, 239, 794. 00 10, 606, 903. 25 14, 316, 087.00 27, 671, 482.50 24, 455, 846. 25 23,938, 165.50 31, 040, 200, 50 31, 449, 552.00 52, 602, 267. 75 76, 129, 898. 25 46, 520, 686. 10 33, 183, 136. 00 11, 650, 110. 00 10, 142, 315. 00 92,830.00 602, 180. 40 458, 409. 40 202,755.25 1,307, 527.00 3,374, 153.90 3,241, 778.00 1,374,500.00 10,912, 666. 00 24, 324, 687. 30 25, 050, 755.00 12,009,875, 50 8,056, 701.00 6, 401, 916. 00 12, 344, 798.90 16, 808, 606. 50 23, 552, 279. 50 26, 857, 689. 50 28, 462, 225.00 29, 557, 588. 00 37, 368, 289.00 50, 163, 957. 45 46,386, 121. 90 33, 633, 889.00 25, 329, 027.50 900.00 626, 920.00 401, 266.00 649, 314.00 423,766, 50 751, 654.00 172, 611.00 1, 517, 446.00 3,737, 369.00 1,284,705.00 972, 300. 50 3,759, 116.00 1,392, 306. 00 1,017, 397.00 2,396, 803. 10 698, 721.00 447,998. 00 414, 255.00 20, 664, 848. 10 126, 849.80 434, 160. 60 1,017, 565, 35 2. 727, 108.95 2,826, 059.30 1,917, 602.55 3,827, 612. 09 18, 203, 667. 05 25,972,360.75 12, 991, 361. 00 9,797, 513.00 11, 596, 061. 25 19, 337, 621. 25 33, 146, 858. 85 37,056, 729. 60 36, 157, 910. 60 39, 368, 121. 10 38, 596, 332. 10 60, 248, 705. 85 97, 992, 918. 10 91, 952, 843. 65 78,051, 136.75 55, 619, 359.75 40, 018, 392.25 No. 80.-EXPENSES INCURRED IN THE REDEMPTION OF NATIONAL-BANK NOTES, BY FISCAL YEARS. No. 81.-BALANCED STATEMENT OF RECEIPTS AND DELIVERIES OF MONEYS BY THE NATIONAL BANK REDEMPTION AGENCY FOR THE FISCAL YEAR 1891. Dr. Amount. Cr. Amount. By national-bank notes, fit for By United States notes depos- By packages referred and mon- By express charges deducted By national-bank notes-less seals. By cash balance June 30, 1891.. Total $12, 543, 220.00 52,823, 472.50 107, 547.00 622, 989. 80 241.70 2,800.00 2,674.00 43, 819.00 41.00 5,542, 271.65 71,689, 076. 65 No. 82.-BALANCED STATEMENT OF RECEIPTS AND DELIVERIES OF MONEYS BY THE NATIONAL BANK REDEMPTION AGENCY FROM JULY 1, 1874, TO JUNE 30, 1891. Total By national-bank notes, fit for circulation, deposited in the Treasury and forwarded to national banks by express... 267, 996. 63 By national-bank notes, unfit for circulation, delivered to the Comptroller of the Currency... 2,098,696, 135. 04 By notes of failed and liquidat- By packages referred and mon- By express charges deducted. By national-bank notes-less By packages with unbroken By cash balance June 30, 1891.. Total $794, 732, 601.00 1, 153, 294, 040.35 133, 583, 758.40 11, 104, 677.93 45, 469, 10 61, 791.25 99, 898.92 231, 585. 44 41.00 5,542,271.65 2,098, 696, 135. 04 No. 83.-SHIPMENTS OF SILVER COIN FROM THE TREASURY OFFICES AND MINTS FROM JULY 1, 1885, TO JUNE 30, 1891. |