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7/17/2019 frsbog_mim_v21_0845.pdf

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X-423C

 —

REPORT

  OF

 CONDITION

  TO

FEDERAL RESERVE BOARD

The

  following information

  i s

  desired

  in

  connection with

  the

  report

  of

condition  to be  ms.de  as a t t he  close  of  business

HEAD OFFICE  M P  DOMESTIC BRANCHES COMBINED

1 .

  Det ail ed balance shee t showing

  a l l

  assets

  an d

  l i ab i l i t i e s , i nc lud -

ing,

 con tingen t l i ab i l i t i e s .

  I t i s

  requested that

  t h e

  items

  f o r

which detailed schedules

  a r e

  requested below

  be

  shown

  a s

  separate

accounts

  on the

  balance sheet.

2-

  Amount

  of

  loans, discounts, overdrafts

  and

  other advances classi-

f i ed

  as

  follows:

(a.)

  Demand

  -

  Secured

  -

  Unsecured.

(b)

  Time

  -

  Secured

  -

  Unsecured.

(c )

  Maturi t ies

  of

  time loans

  an d

  advances.

Past  due

Dae

  within

  s i x

  months.

Due  within  one  year.

Due

  a f t e r

  on e

  year.

3 .

  Detailed l i s t

  of

  investments (including stock

  of

  a f f i l i a t e d i n s t i-

tutions showing):

( a )  Issuing Government  or  corporation.

(b)

  Inte res t ra te .

(c )

  Maturity.

(d) Par

  value.

( e )

  Book va lu e.

( f )

  Approximate market va lue.

4 .

  Ownership

  of

  stock

  of

  a f f i l i a t e d i n s t i t u t i o n s :

(a) Per

  cent owned

  by

  yourselves.

(b) Per  cent owned  by  foreign Governments.

( c ) Pe r

  cent owned

  by

  individuals

  and

  corporations.

5.

  Balances

  due

  from banks which

  a r e

  considered

  a s

  reserves according

to  Federal Reserve Board regulation, balances  du e  from branches,

agencies

  an d

  a f f i l i a t ed i n s t i t u t i o n s

  and

  exchange position.

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- 2 -

(a.)

  List

  of

  banks

  and

  balances

  due

  fron; each which

  a re

  considered

as  reserves  i n  accordance with regulation  of  Federal Reserve

Board.

(b)  List  of  foreign branches, agencies  and  a f f i l i a t e d i n s t i t u -

t ions

  and

  balances

  due

  from

  and due to

  each.

(c )

  Exchange po si ti on ,

  a

  l i s t

  of

  uncovered, oversold

  or

  overbought,

pos i t ions  i n a l l  foreign currencies including foreign currency

securi ty  on  which exchange values  are no t  protected.

(d)  List sepa rate balances  due to  foreign  or  domestic banks  or

customers which

  are no t

  incidental

  to

  your acceptance business

or  held  f o r  purpose  cf  carrying  out  transact ions  i n  foreign

countries.

6 .  Bi ll s payable -(Primary oblig ation s  of  reporting corporation repre-

senting money borrowed.)

(a )

  Payable

  t o .

(b )  Amount.

(c )  Inter est ra te .

7 .  Rediscounts (Other than acceptances sold with endorsement)

(a )

  Drafts

  o r

  notes drawn

  i n

  dollars.

(b)  Drafts  or  notes drawn  in  foreign currencies.

(c )  Total amount  of  rediscounts  by  banks.

(d)  Rate  of  discounts.

(e )  Spread  of  maturi t ies.

S .

  Total l i ab i l i t y

  f o r

  acceptances sold with endorsement.

9 .  Deposits  in the  United States:

(a) Net  demand deposits (after deducting uncollected demand items

payable within United States  -  exchanges)

.  Reserve Required  _ _ _

(b)  Time deposi ts ^ Reserve Required 

(c )

  Total Reserve required against deposit l i a b i l i t y

 

Reserve Held

(d)  Cash  on -hand 

( e )  Bank  b a 1 anc e s

( f )

  Total cash rese rve held

 

. (g)  Excess  o r  de f i c i t  of  cash reserve held over reserve

required 

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Z-423G -A

- 3 -

Acceptances.

(a )  Acceptances out stand ing :

Maturing

  in 30

  days

  or

  less

  _

Maturing after  30  da.ys  _

Total outstanding acceptances

  _

(b)  Subscribed ca pi ta l  and  surplus  _

Excess

  (a )

  over

  (b)

Acceptances secured according

  to

regulation  of the  Federal Reserve

Board.

Acceptances otherwise secured

  _

Acceptances unsecured-  b

Amount required  to be  secured

under agreement with Federal

Reserve Board

  _

(Give list  of  security held  as

required above giving description

and  approximate amount)

(c )  Lis t  of  drawers  of  drafts accepted, with total aggregate

l i a b i l i t y  in  excess  of 10 p er  cent  of  subscribed capital

and

  surplus showing:

Name Address Busines Aggregate L iab i l i t y Secur ity  * o r  Guaranty

(d)  Reserve against outsta nding accep tances :

Required  15 against  a l l  acceptances outstanding which

mature

  i n  ]>

days

  or

  l e s s .

 

3 against  a l l  acceptances outstanding which

mature

  i n

  more than

  30

  days.

 

Total reserve required against acceptance

l i a b i l i t y . 

Held Cash

  an d

  bank balances

Bankers acceptances  in-

securities approved

  .by

  Federal

Reserve Board (List  in  d e t a i l )  _

Total reserve held  •£_

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X-423CU

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(e )  Deta il l i s t  of  renewed acceptances  and  number  of  renewals

of

  each.

( f )

  Schedule showing di st ri bu ti on

  of

  commodities financed

  by

acceptance transactions,

•(g)  Clas s i f i ca t ion  of  acceptances  a s  follows:

Amount

  of

  acceptances covering importation

  t o t he

  United

States .

Amount

  of

  acceptances covering asportations fron;

  the

United States.

Amount  of  acceptances covering movements  of  merchandise

between foreign countries.

Amount

  of

  acceptances dra.wn

  f o r t h e

  purpose

  of

  fu rn i sh -

in g  doll&r exchange.

11 .

  General li mi ta ti on s:

P e r

  cent deposits

  and

  acceptances outstanding

  to sub-

scribed capital  and  surplus.

1 2 .

  List

  of

  o f f i c e r s

  an d

  di rec tors .

13 .

  List

  of

  stoc kholde rs showing number

  of

  shares owned

  by

  each.

(record  of  changes since last report)

14 .  List  of  branches, sub-branches, agencies, offices  and  a f f i l i a t e d

i n s t i t u t i o n s

  -

  date

  of

  opening

  of

  each

  and the

  location,

(record  of  changes since last report)

15 .

  Date

  of

  last examination

  or

  audit

  - by

  whom made.

(*) If  securi ty, s ta te nature  of  security, giving quantity  and

approximate value,  i f a  bank guaranty , give name  and  loca-

tion  of  bank.

(**)  Excess amount  a s  shown  in  (10-g)  n o t  required  f o r  reserve

against deposit l iabil i ty.

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X-1-230-A

- 5 -

B.  FOREIGN BHALTCH5S,  A G E W I 7 S M SUBSIDIARY B

 T S

 M P  CORPORATIONS

1.  Balance she et  to bs  furnished  by  each, showing  in  de t a i l  a l l

assets  and  l iabi l i t ies , inc luding cont ingent l iabi l i t ies .  I t

i s

  requested that

  the

  items

  f o r

  which detailed schedules

  are

requested below  be  sho.\n  a s  separate accounts  on the  balance

sheet.

2 .  Amount  of  loans, discounts, overdrafts  an d  other advances

c l a s s i f i e d  a s  follows:

(a )

  Demand

  -

  Secured

  -

  Unsecured.

(b )  Time  -  Secured  -  Unsecured.

( c )  Maturities  of  time loans  and  advances.

Past  due

Due  within  s i x  months

Due  within  one  year

Due  a f t e r  one  year

  Detai led l i s t

  of

  investments, showing:

( a )

  Is su ing Government

  or

  corporation

(b )

  Inter est rat e

( c )  Maturity

(d) Par  value

( e )  Book value

( f )

  Approximate market va lue

4 .  List  of  banks having balances  due to  your branch with amount

f o r  each bank separately:

( a )  Government bank

(b )  Banks  and  bankers

( c )  Head Of f ic e

(d )

  Other bra nches, agencies

  and

  a f f i l i a t e d i n s t i -

tutions

5»  List  of  banks having balances  due  from your branch with amount

f o r  each bank separately:

( a )  Banks  and  bankers

(b )

  Head Of fi ce

( c )  Other branches, agencies  and  a f f i l i a t e d i n s t i -

tutions

6 .  Bi ll s payable : (Primary obliga tions  of  reporting corporation

representing borrowed money)

( a )  Payable  to

(b )

  Amount

( c )

  Inter est ra te

(d )  Maturity

( e )  Colla teral (give detai led l i s t )

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X-1239-A

1

  1350

Rediscounts,:

( a )  Amount

(b )

  Maturity

( c )  With whom

(d )  Hate

( e )  Secured  or  unsecured  - i f  secured, give detailed data

Deposits.

Dollar

Equiva^-

lent

( a )

  Government deposi ts

  ( i f

  secured give

l i s t  of  co l l a te ra l )

1 .

  Demand

2 .  Time

Other deposits

  Demand

4 .  Time

Total

(b )  Deposits  - how payable

1 .  Local Currency

2 .

  Dollar

Ster l ing

Otherwise

Total

I

Special Reserve Statement  -  average

  ot

  month  of_

(a) Net

  deposits:

1 .  payable  i n  local currency

2 .

  Payable

  in

  dollars

J i .  Payable  i n  s ter l ing

4 .  Payable Otherwise _________

Total

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X»4230- F

  8 5 1 .

- ? -

  .

(b )  Reserve:

1 .

  Amount,

  i f an y, and

  composition

  r e -

quired  by  local laws.

2 .  Amount held:

Amount

  P e r

  cent

  t o

n e t  deposits

( a )

  Gold

  and

  S i l v e r . . . $

  ~~~

(b )  Local Currency....

(c )  Other cash

(d )

  Balance

  i n

  Ideal

Govt . bank. . . . . . .

( e )

  Other reserve funds

  .

Total  ..

Date  of  last examination  o r  audit  - by  whom made.

NOTE:

  1 .

  Where

  a

  schedule does

  n o t

  r e f e r

  t o

  your corpora-

tion, please indicate this  by  inser t ing  th e  word

None .

2 .  Reports  f o r  for ei gn branches, agenci es, etc* ,

should

  be in

  terms

  of

  United States dollars , s tat-

ing the  r a t e  of  exchange  a t  which they were  c o n -

.

  Verted.


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