Indianapolis Times, Volume 34, Number 311, Indianapolis, Marion County, 10 May 1922 — Page 10

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SAYSPREACHER LED MINERS Witness in Treason Trial Describes Part of Baptist Minister. CHARLES TOWN. W. Va.. May 10.— The Rev. Jesse Wilburn. Baptist minister. led the first company of the army of armed miners on Blair Mountain, Velasco Carpenter, Brush Creek miner testified today at the treason trial of William Blizard. young miners’ leader. The Rev. M. Wilburn urged the miners’ army on with a fiery speech in front of the school house at Blair, the witness testified. “The time has come to fight for our rights." the minister cried, testified Carpenter. “I am going to lay down my Bible and take up the gun." The preacher then made up a company and led it up the hill, Carpenter said.

Stillman’s Daughter Says She’s Neutral NEW YORK. May 10—Anne Stillman, daughter of James A. Stillman, whose divorce suit against his wife. Anne 17. Stillman, is up again at Poughkeepsie, arrived here todaj, aboard the White Star liner Olympic. She declared herself neural in the dispute between her father and mother. "I'm here on vacation," Miss Stillman, who is attending school on the continent, said "and I'm going to spend half mv time with my fa'Uer and half with toy mother.” POLICE FIND HILL CAR. An automobile owned by Percy Hill. 2901 Central avenue, was found deserted today by Patrolman Arch Ball in the 1200 block on West Washington street. The car was stolen two days ago from Washington street and Belmont avenue.

STATE M ENTS. Washington Bank and'Trust Company OFFICERS. J EDWARD MORRIS, resident. JAMES S. CRUSE. Vice President. MARK V. KHIXEHART. vice president. FRANK U. WILLIAMS, Secretary T reasurer. CARL A. PLOCH. Assistant Secretary. (' \ FIELDS. Assistant Secretary. BOARD OF DIRECTORS. E. 1.. Cnfhrell. James S. Cruse, Wil liani ('. Hayward. Edward A. Kahn. Thmas R. Lewis. J. Edward Morris. Thomas A. Pass. John Powell. Waiter E. Rich. Charles B. Riley, George Roser.hers. Jesse A. Shearer, Frank C. Williams. Condensed statement of the condition of the Washington Ban.( and Trust Company, at Indianapolis in the State of Indiana, nr the close of it! business on May 5. 1922: RESOURCES. I.oans and discounts $1,295,789.80 Overdrafts 376.23 1 nlted States and other bonds 53.541 27 Company's building 145.7'*).f0 Furniture and fixtures t 3.556.16 Vault ami equipment 19.445.00 ! other real estate B,*-*5.C9 Advances to estates and trusts >44.07 Cash on hand and in banks 156.302.01 Total resources $1,674,370.29 LIABILITIES. Capital stock—paid in $ 100.0T0.00 Surplus end undivided profits 30,223.84 Reserve for interest 907.21 Reserve for taxes 3.645.65 Unapplied mortgage collections 3.130.69 Demand deposits . . .$672,398.48 -Time deposits 753.699.87 Total deposits 1,426.098.35 Due departments 6.1>“.62 Treasurer's cheeks 15.196.33 Certified checks 3.924.69 Other liabilities K 5.000.00 Total liabilities $1,674,570.29 State of Indiana. County of Marion, ss. I. C. N Fields, assistant secretary of the Washington Bank and Trust Company of Indianapolis. Ind . do solemnly swear that the above statement is true. C. N. FIELDS. Subscribed and sworn to before me. this sth dav of May. 1922. [SEAL] MILDRED A. I.EACH. Notary Public. My commission expires Oct. 17, 1925

NATIONAL BANK STATEMENTS. REPORT OF CONDITION OF THE CONTINENTAL NATIONAL BANK at Indianapolis, in the State of Indiana, at the -lose of business on May 5, 1922: RESOURCES. I-nan and discount*, including rediscounts $3,462.812.40 Overdrafts, unsecured 4,158.94 United States government securities owned : Dep-'sited to secure circulation iT'nited States bonds, par vaiuet 337,309 90 All other UnPed States government securities 324.815.41 Tnsnl 662.115 41 other bonds, seouritie*. etc 164,202.23 Lawful reserve with Federal Reserve Bank 300.869.73 Items with Federal Reserve Bank in process of collection 'not available a* reeervei .. 364,429.03 Cash In vaults and amounts due from national banks , 530,65$ >9 Net amounts due from banks, banker* and trust companies in the United • States 71.264 >0 Exchanges f--r clearing house 37.280.96 Checks on other banks in the same city or town of reporting bank " 96.0*21.97 Total Items. 9. 10. 11. 12. 13 $ 839.653.65 Checks on banks, located outside of city or town of reporting bank and other cash items 6,116.81 Redemption fund with United State* treasurer and due from United State* treasurer 16.565.0 ft Total $5,446,838.17 LIABILITIES. Capital stock paid in S 4nnjmno Surplus fund 100,000.00 Undivided profits $ 133.391.91 Reserve for interest nnd taxes accrued 10.013.43 Total $ 143.405 34 Less current expenses, interest and taxes paid . 46.773.68 96.651 66 Circulating notes outstanding 332.800.00 Net amounts die to national banks 71.805.25 Net amount*" me to batiks, bankers and trust companies in I'nited States and foreign - nun trice 966.424.13 Certified -hecks outstanding 58,336.31 Cashier's checks on own bank outstanding 18,990.10 Total of Items 21. 22. 23. 24. 25 $1,115.558 79 Demand deposits tother than batik deposits! subject to reserve (deposits parable within thirty days): *.(dividual deposits subject to check.. 2,675.950.15 ertifl-ates of deposit due in less than thirty days (other than for money borrowed i 177.255.25 Dividends unpaid 152.00 Tots! of demand deposit* (nfh*-r than bank depositsi subject to reserve. Items 26. 27. 2s. 29, 30. 31 $2,853,357 40 Time deposits subject to reserve (payable after thirty days or subject to thirty days' or more notice, and postal savings! : Other time deposits 165.266.32 Postal savings deposits 1,574.09 Total of time deposits subject to reserve. Items 32. 53. 34. 35..... $ 166.840 "2 United States government securities borrowed • no Bills payable with Federal Reserve Bank 169,000 00 Notes and bills rediscounted with Fed er.il Reserve Bank 125.550.nn Total $5,446,838.17 State of Indiana. County of Marion. s: I- R- YY Spiegel, cashier of the abov p named bank, do solemnlr swear that the above statement is true to the best of niy knowledge and belief. R. W. SPIEGEL. Cashier. Subscribed and sworn to before me tsj* nth jny yj. lv GEORGE C. CALVERT. Notary Public. My commission expires March 25. 1922. Correct Attest: H. C. THORNTON, . O. ,T. SMITH. BEST McBRIDE. \

Oil Man’s Wife and Children Found Dead ATLANTIC CIIT, N. J., May 10.— Mrs. Edith Miller Busby, wife of the vice president of the Keystone Lubricating Company of Philadelphia, and her three children were found dead at their home, near here, today from illuminating gas poisoning. Notes found by the police indicate Mrs. Bth.by planned her death and that of her three daughters. She had been separated from her husband. Expect Arrest in Murder Mystery HAVERSTRAW. N. Y„ May 10.—Arrest of the cave man Bluebeard suspected of the murder of pretty Lillian White near

TRUST COM PAN Y STATEM ENTS. The State Savings and Trust Cos. J. T. McNARY. Presideut. C. J. MURPHY, Vice President. JONAS JOSEPH. Vice-President. ROY* SAHM, Secretary. WALLACE WEATHER HOLT, Assistant Secretary. JAMES A HOUCK. Treasurer. Condensed statement of the condition of the State Savings and Trust Company, at Indianapolis, in the State of Indiana, at the close of its business May 5, 1922. RESOURCES. Loans and discounts $ 318.643.36 Real estate mortgage loans... 2,616.72''.05 I'nited States bonds 154.642.08 Company’s building 150,000.00 Furniture and fixtures 37,287.>0 Sa'e deposit department 17.610.82 Due from departments 61,094.50 Due from banks aud trust companies 235.548.97 Cash <>n hand 38.563.13 Cash Items 3.967.42 Trust securities 210.05.872 Total resources *5,841.174.05 LIABILITIES. Capital stock—paid in S 750.000.00 Surplus 75.000.00 Undivided profits net 05,7>1.75 Dividends unpaid 830.00 Demand deposits except hanks 1.064,450.95 Savings deposits, except banks > 1,242.785.78 Certified and company checks. 70,011.55 Due to banks and trust companies 101.753.03 Due departments 23,769.27 Bills payable 100.000.00 Trust investments 210,088.72 Liberty bonds held for safe keeping 131,700.00 Total linbili ies $3,844,174.05 State of India a, County of Marion, ss: I, Roy Saha secretary of the State Savings anil "rust Company, of Indianapolis. lip . do solemnly swear that the above sta ement is true. Subsided and sworn to before me. this Sth da' of May, 1922.

ST AT £ ban K ST AT EM ENTS. Sixteenth Street State Bank HUGH McK. I.ANDON, President. CHARLES W. SCOTT. Vice President. EVANS WOOLLEN JR , Cashier. Report of ihe cordition of ihe Sixteenth Street Stare Bank, a State bank, at Indianapolis, in the State <>f Indiana, a' the close of its business on May 5. 1922 RESOURCES. Loans and discounts $4,145.00 Overdrafts 3.n0 Furniture and fixtures 4.373 83 Due from banks and trust companies 54.372.91 Cash and cash Items 9.526.01 Current expenses 1.109 43 Interest paid 22 9> Total resources $75,913.79 LIABILITIES. Capital Etock —paid in.. $25,000,00 Exchange, discounts and interest 348.96 Profits and loss 21.49 Demand deposits.... $36,805.53 Demand certificates... 1.600,09 Time certificates 2.200.00 Savings deposits .... 8.659.85 49.325.17 • 'erflfied checks 352.93 Cashiers checks soldi Total liabilities $75,013.79 State of Indiana, county <-f Marlon, t-> I. Evans Woollen Jr. cashier of the Sixteenth Street State Bank, do solemn ly swear that the above statement is t rue. EVANS WOOLLEN JR. Cashier. Subscribe.| and sworn to before me, this Sth day of May. 1922. L. II CRAWFORD. rSF.AI.] Notary public. My commission expires Jan. 5, 1925.

his primitive dwelling on a mountain top near here, Is expected before night, according to officials of Rockland County. The man is under surveillance In a small New Jersey town. Police Arrest Man as Auto Kidnaper Everett Perkins, 26, 617 Spring street, is under arrest today, charged with vehicle taking. He was arrested by detectives and was identified by Patrolman Kegeris as the man he surprised while stripping a stolen automobile at La Salle and Thirtieth streets Sunday night. The policeman said he chased Perkins to Noblesville, where he lost trace of him.

REPORT OF THE CONDITION OF THE Farmers Trust Cos. 150 EAST MARKET STREET. At the Close of Business May 5, 1922. RESOURCES Loans $973,628.63 United States Government Bonds 124,607.30 Due from Departments 44,211.76 Company’s Building 152,100.00 (’ash and Due from Banks , 798,783.21 Total $2,093,330.95 Trust Securities 75,000,00 Trusts —Real Estate 400,000.00 Mortgage Loans for Eastern Clients 29,200,000.00 Total $31,768,330.95 LIABILITIES Capital $300,000.00 Surplus 10,000.00 Undivided Profits, al! earned 150^085.65 Deposits 1,633,245.30 Total $2,093,330.95 Trust Investments 475,000.00 Mortgage Investments for Eastern Clients. . 29,200,000.00 Total $31,768,330.95 OFFICERS ( liarle< \. \\ illlj*ni **. I*rc**lmnt C harle* It Kellogg, \M Trc i-. Thomas A. Hynm*. President. I.aura llloft. \*.M s ( .!>y, Pel win 11. Forry, V ice-Pre-nlent. ’ Kilrv F.. Smith. Treasurer. >,3T J ' Hing. ><•<■' . Charlie M. Lemon, Secretary. L. L. Stm <I \ ;mt. Asst. >n'> . Ldwin 11. Forry, Trust Officer. Wm. ft. Stuart, \sst. Trust Officer. DIRECTORS •lame. IV. Lilly Mi. h.vl .1. Heady < buries > Perry Lir;. A. Whitcomb < harles N. William* < Earles >f. Lemon Thomas A. Wynne W. If. Messenger Idwin II lorry •lames W. Noel Charles W. Miller lames *. ( ruse < baric* E. Coffin Cortland Van Camp Itlley L. Smith.

A CITY TRUST /X COMPANY Jill, Condensed statement of the condition of !>..■ City Trust Company, at Indianapolis, in the .>; />■ .f 1:..' r e close of its business on May 5. 1922. KESOI K< I S Loan* and Discounts ?1*)1 S.'L't.S'J Overdraft* 1 1)01.7 J Bond* and Slock-. 85,31...(>t company's Vault .. I 5 (>05.00 Furniture and I'ixtur- * 23 (!llS.r t Aflvan-c* to Esi.a'e* and Trust 108- 1,‘i!).()2 Due from Department*. 211 i>9.32 < ash and O n- from Backs 2(Mi.l>l 1 .<';) Revenue Stamp- 17.151) Dl- oent I -*7.50 A'-crued interest Reeeivabie 121 1 17. lO Trust Securities 1 GN 101.15 TOTAL RESOURCES $1 <>.'s G.LN.S l LIABILITIES. Capital Stock Paid in .ft 11 S *OO.OO Surplus H 28 1 .00 Undivided Profit* 53 616.77 Demand Deposits $631 587.67 Time Deposits • 355 (I82.0(i Secretary's i becks . .. 18 855.53 Trust Deposits 1 6.85!(. | 5 certified ('hecks 17 080.55 ime to Banks and Trust Companies .. 38J7 1.91 Idle Departments 1213.60 1 1)80 992. 77 Bills Payable 15).'? 000.00 Reserves ... 12 952.02 Trust Investments 1,68. 101.1 5 TOTAL LIABILITIES 81635,638.51 State nf Indiana. County of Marion, ss : I, Dwight A. Murphy, secretary of the city Trust Comi any, of Indianapolis, do solemnly swear that (lie nb >ve statement is true. DWIGHT A MURPHY. Subscribed and sworn to before nic t!)| s Mb dav of May 1922. JAMES \Y HURT, Notary' Public. My commission expire* April 1, 1924. DIRECTORS OFFICERS lib k Miller, President. Clin*. If. Barnaby C. Milton Kelly 11. ,1. Barnard, Y ice-President. 11. ,1. Barnard Dick Ylllier Dwight A. Murphy, -sec ret ary. \Vm. F. Fox D. A. Murph.v Ilenha Eggert, Assistant Secretary. Harry O. Barman James ,M. Ogden C. .Milton Kelly, Treasurer. Alfred Henry John T. \ an/andt Ernest \V. Duty, Asst. Treasurer.

STATE BANK STATEMENTS. WILLIAM GALE. President. S J CARR. Vlee president. THOMAS MOFFETT. ('a*ltier. CLINTON F. MITCHELL, Assistant ( ashler. Report of the condition of the Irvington State Bank. RESOURCES. Loans and discounts $314,167.92 overdrafts 513.51 f . S. bonds 40.110.59 Other bonds and securities 22.887.49 Banking house 21.000 60 Furniture and fixtures 4.c50.8'( Other real estate 375.00 Due from banks and Trust companies 59,721.51 Cash on hand 12,738.05 Cash items 168.24 Current expenses 4.537.53 Interest paid 564.95 Profits and loss 3,956.81 Trade acceptances IISOUo Total resources $177,081.27 LIABILITIES. capital stock paid in $ 50,<hkmio Surplus 12,000 00 l ndividfil profits 298 17 Ex-hange, discounts and interest 8.545.08 Profit* and b-s< 24.44 Demand deposits 294.500.54 Time certificates 14.712.22 Saving* deposits 92.360.55; Certified cheeks 2.2-58.04 j Cashier's checks 2.581.25 Total liabilities $477,('81.27 State of Indiana, County of Marion. >s: 1, Thomas D. Moffett, cashier of the Irvington State Bank, do solemnly swear that the above statement is true. THOMAS I). MOFFETT. Subscribed nnd sworn to before me, this Bth day of May, 1922. (SEAL) GEORGE W. RUSSELL. Notary Public. My commission expires May 14, 1924.

INDIANA DAILY TIMES.

$3,000 Compromise in Labor War Suit VINCENNES, Ind., May 10.—Attorneys for Mary Krechak, who filed suit for $75,<>o9 against ninety-four miners of the Francisco mining community for damages sustained when she was ‘‘driven'' from her home there, in the mine labor trouble in June 1921. has accepted a compromise offer of $3,00. Recently her busband obtained a judgment against the same defendants for $853. REPORTS CAR STOLEN. Police today were searching for the uatomobile of W. W. Tragor, 737 North Davidson street, reported his ear stolen last night. The car disappeared from Rural and Washington (streets.

STATER BANKAS TATE M ENTS. JOHN I.M'CK. President WILLIAM HART. Vico President 1.. A. WILES, Cashier. J F. DAVIS, Assistant Cashier. Report of the condition of the South Sid.- State Bank, at Indianapolis, In the State of Indiana, at the close of its business, on Mnv 5. 1 : >22; KLSOi'l.'CE.s. Roans and discounts $ 847 9"4 61 Overdrafts E6~16 13 r 8. bonds 86.145.50 Other bonds and securities.. 57 s*B 1" Banking house 4000(010 Furniture and fixtures 22.000 01) Due from banks and trust companies 224.786.09 Cash on hand 76.088.00 ('ash items 13 3 Is h E. S. treasurer's certificates.! KuWoo Total resources SI 379 3"0 89 LIABILITIES. Capital stock- paid in $ 50.000.00 Surplus 17.500.00 I Diliviiled profits 1.044.91 Exchange, discounts and Interest 1,373.73 Demand de posits $1,268,097.90 Demand certificates 13.953.84 1.282 031 7 4 Certified checks " LO.'.TJni Cashier's checks 2.00 Reserve for interest, taxes, Total liabilities $1,379,320 89 State of Indiana, (.'minty f Marion, ss'. R R- A. Wiles, cashier of tie- South Side State Bank, do solemnly swear that the above statement is true. R- A. WILES. Cashier. Subscribed and sworn to before me, this Bth day of May. 1922: •JOHN A. CLARK. [SEAL] Notary Public. My commission expires June 5, 1924.

NATIONAL BANK STATEMENTS. REPORT OF CONDITION OF THE MERCHANTS NATIONAL BANK OF Indianapolis, at Indianapolis, in the State of Indiana, at the close of business on May 5, 1922. RESOURCES. Loans and discounts $6,226,362.56 Overdrafts 511.82 United States government securities owned: Deposited to secure circulation (United States bonds, par value) $1,000,000.00 All other United States government securities 1,365,037.27 Total 2,365.057.27 Other bonds, securities, etc 1.492,224.75 Value of hanking house 1,000,090.00 Real estate owned other than banking house 15,500.00 Lawful reserve with F ileral Reserve Bank 707,023.27 Items with Federal Reserve Bank in process of collection (not available as reserve) 348,828.17 Cash in vault and amount due from national banks -2,309,071.23 Amount due from banks, bankers and trust companies in the United * State/! 309.947.69 Exchanges for clearing house 118,914.19 Cheeks on other banks in the same city or town as reporting bank 110,080.76 Total $3,286,841.44 Checks on b.-rnks located outside of city or town of reporting bank and other cash items 15.245.57 Redemption fund with United States treasurer and due from United States treasurer 82,036.34 Other assets, if any 7,122.56 Total $15,201,245.52 LIABILITIES. Capital stock paid in $1,000.000 00 Surplus fund 1,000,000.00 Undivided profits $887,677.31 Reserve for Interest and taxes accrued 15.000.06 $902,677.31 Less current expenses, Interest and taxes paid 195,361.49 * 707.115.82 Circulating notes outstanding 990,200.00 Amount, due to Federal Reserve Bank i deferred credits) 94.605.02 Amount -Inc to national banks 598,928.48 Amount due to state banks, bankers and trust companies in the United States and foreign countries 3.088,362.44 Certified checks outstanding 21,962.80 Cashier's checks on own bank outstanding 294,610.33 Totals of items $4,098,409.07 Demand deposits (other than bank deposits! subject to reserve (deposits payable within thirty days): Individual deposits subject to cheek .... $6,364,052.18 Certificates of deposit due lit less than .thirty -lays 7,316.74 Dividends unpaid 63.00 Total of demand deposits (other than bank deposits) subject to reserve 6,571.431.92 Time deposits subject to reserve payable after thirty days, or subject to thirty days' or more notice, and postal sa rings: Certificates of deposit 206.220 78 Postal savings deposits 4.814.82 Total of time deposits subject to reserve $211,035.60 United States deposits (other than postal savings-. including War Loan denosit. account and deposits of United States disbursing officers 304.651.25 United States government securities borrowed 317,000 00 Liabilities other than those above cate! 1.341.86 Total $13,201,245.52 S’ ate ~f Indiana County of Marion, ss: 1 J I* I- ren/el. Jr . eashi r of the above named bank do solemnly swear th.>- the above statement is true to the best of mv knowledge and belief „ J. P FRKNZEL. JR.. Cashier. Sul scribed and sworn to before me this St), dav of May 1922 , °Py,V ;K *' CALVERT' Notary Public. My commission expires March 23. 1924. Correct Attest: 1 J. P FREXZEL. HENRY W. LAWRENCE JAMES F. FA I LEY. Directors.

TRUST COMPANY STATEMENTS. The Union Trust Company ( ndensei! statement of condition nth.- •!•>*. of business May 5. 1922 OFFICERS YRTIIER V BROWN. Presfder.'. t RED C DICKSON Vice President. Howard M I'ot.rz. Vice President, .lot! \ E KEEP VP-,- Eresid. nl II \lt 1:Y 1 M- NI TT. Treasurer \| I RED I GAt 01 \ C Secretary MAN A RITCIIIK, Assistant Score- > oKNI'.LI! S O. ALIG. Assistant irons oEORGE A. BUS KIRK. Probate Os CHARLES T. BLIZZARD, Auditor. RESOUtCES. Loans anil discounts $ 1,913,1<V.6S overdrafts I>T7 •>.> I S Liberty bonds 265,054.18 1 S certificates of IndebtedSH 240.210 43 Bonds anil sto.-ks (other)... 2.111."73 92 Cottu anv a building K'ts.i.ooou oth.-r r.'-il estite 3.432 75 Advanc-s to .-States and trusts 446.964 (rj Du- fr.-m department 23 .".1" '*> Cjosl: and line from banks 2.324.532 >7 Trust re 1 1 estate appraised v a i it,- 6,521.650 00 Trust securities appraised value 12.450.596.08 Total resources $26,167,200.60 LIABILITIES. Capital stock • paid in $ 000.000 (Hi urpl 3tKl.fMin.oO Endtvided profits 075.892,06 Reserve f->r taxes and Inter- , st 28.962.01 Premium reserve 5.799.0il interest anil discount anil other earnings 41.166.63 Demand deposits 3.753.7-86,19 Tim,- ,l>posits 836.1H15.59 Trust deposits 506,007.51 Dm t,. luniks and trust com panics 65! .323 52 Du-, departments 139.>71.28 Sccretnrv's checks ,51.540.66 Certified' cl 4.593.77 Trust investments 18,972.246 os Total liabilities $20.407.200.0n State of Indiana. County of Marion, ss : I, Alfred F. Gnudlng. secretary of the mien 'trust Company of Indianapolis do sid.-nmly swear that the above statement is true. ALFRED F. GAT DING. Subscribed and sworn to before me. ttiis Sth <ln.\ of May, 1922. Mv commission expires March 7. 1922. [SEAL] L. E. RESKNEK. Notary Public. OFFICE ns W M FOG A R TV. President. DE> i F. KIRK HOFF. Vice President. JAMES M'M LTV, Vice Pres, and Mgr. Ins. Dept. .! ALBERT SMITH, Vice Pres, and Trust Officer. JAMES G. FLAHERTY, Secretary Treasurer. TIMOTHY P SEXTON, Assistant See retarv Treasurer ALBERT E. LAMB, Auditor. Condensed statement of the rendition of the l-'id-'lit.v Trust Company, at Iml i nnapolis. in the State of Indiana, at the ,-lose of its business on May sth, 1922: RESOURCES. Loans and discounts $1,012,493.81 Overdrafts 141.43 United States bonds 274,190.00 Bonds and stocks (other! 497,405.76 Furniture and fixtures 100.00 Advances to estates and trusts "9.099 92 ( ash on hand and In banks.. 230.852.94 Ernst securities 71.187.03 Current expenses 924.74 Interest paid 0,249.17 Total resources $2,103,355.50 LIABILITIES. Capital stock—paid in $ 100.000.00 Surplus 25.1X10.00 . Undivided profits 50,000.00 ; Reserve for interest and taxes 12.545.87 | Interest and discount 1,356.78 j Other earnings 157.05 \ Demand deposits 820.870.50 Certificates of deposit 131,653.26 i savings deposits 810.929.97 Trust deposits 21.487.05 j Due departments 17.831.42; Bond premium reserve 88.00 I Treasurer's checks 5.041.44 Certified cheeks 25.207.43! TOKSt investments 71,187.03 l Reserve for bond depreciation. 10.000.00 1 Total liabilities $2,103,355.80 State of Indiana. County of Marlon, ss: < 1 James G. Flaherty, secretary treas i tner of the Fidelity Trust Company of | Indianapolis, do solemnly swear that the I above statement is true. JAMES G. FLAHERTY. Subscribed anil sworn to before me. this Sth day of May. 1022. My commission expires Jan. 29, 1924. (SEAL) W. B. NICEWANGER, Notary Public.

TRUST COMPANY STATEMENTS. INDIANA TRUST CO. Report of the condition of the Indiana > rus! Company, nf Indianapolis in the State -.f Indiana, at the close of business May 5, 1922: RESOURCES. ' loans and discount* $ 1 815 ip> in ; Bonds - u.ii-.-Hi J Municipal $ 974.809.25 . Miscellaneous 2.244.517.74 -3.219.326.93 ™ UCK '* , 20,800.09 ;' r savings stamp* 233.90 I bonds pledged t-> secure U. s. deposits... 420.375.99 i company s building e 480 000 00 I' urniture, fixtures and . I' 0 ""* 7.009.47 Advances to and ; tvtist s 156.616.06 i>id* from Insurance departLiberty nnd Yirtorj* bonds. T'JOVvGr,! iren?ury certificates and (ash in vault, banks and trust company 3 320 067 55 Total .$11,080,199.25 LIABILITIES. Capitai stock, paid in $ 1.000.009.00 i-'in 1 B >' 7 750,000.00 1 ((divided profits 100 g-1 xj I *ividend* unpaid Bsl-'lk) Interest, discounts and other earnings, net Dcpo-its . 9...M.00 Demand $ 1,696,757 32 Time 5,149/260.50 •cun 225.750 80 specin! 775,896.83 I 8. governm,Mlt .330,804. S5 I (ertitled checks 8.509.50 1 reaMirors I - , ' h . , ' ,kß 251,134.25 Banks and trust coin. ponies 614 825.0° " , S, s. subscripting 599.71 9.055 589 68 lmin mi r.i nro depart rnrnt. . . 151570.47 reml uni reserve on bonds... 100.00 SfTi’. ,al r $1L0.80,199.25 ; Mate of Indiana. County of Marlon, ss: T treasurer of the Indiana I r.iHt ( nmpntiy of Indianapolis. Indiana ment D Tnte. RW ° flr ,hot ,h " nbove c ,,, .. , -T E. CASEY'. Treasurer. Sth dVv r of P May l^ orn ,0 bef ° re niP thls 'Scalj FRANK C. GROXINGER, ~ , . Notary Public. My commission pxpire* June 11, 1925 OFFICERS. ’ -t. I’ FREXZEL President FREDERICK FAHNLEY ... Vice Pres •I; >; v r ''A , >‘ F ' V 2d Vice Presi lent JOHN L. UA.BEV Treasurer ’HAS. H. ADAM Seeretarv ARTHUR CRAVEN A s st Tr K. N. BRITTON Asst Serv ARTHUR W. KAYE Asst Serv "'ILL COWAN Asst. TreaV P W. FECHTMAN Asst. Soev. M P BOWEN As St . Secy BOYD W. TEMPLETON .... Mgr. Real Estate and Ins. Dept. STATE BANK STATEMENTS. JAMES L. GAY IN. President. H. B. HI RNET. l ire President. I-EWIS N. I’OY'SER, Cashier. J. 1,1-.\\ IS BRAY, Asst. Cashier. li-port of the condition of the Nortliwesiern State Bank, at Indianapolis in the State of Indiana, at the close of its business on Mnv 5. 1922: RESOURCES. Loftns and discounts $488,774 56 Overdrafts 700.79 U S. l oads 80,81 o!o3 "ther bonds and securities 22,250 00 Furniture and fixtures LOOOOO Otlur real estate 19,900.0(1 Due from banks and trust companies 45.642.08 Cash on hand 13.700.44 ('ash items 2,053.41 Other assets 799J4 Total resources $675 639.85 LIABILITIES. Capital stock paid In $ 25,000 00 Surplus 20,000.00 1 mlivide-1 profits 605.55 Exchange, discount* and interest 4,923.22 Demand deposits 561.493.33 Demand certificates 11.058.46 Savings deposits 346.066.10 Trust deposits 2.598.09 Certified checks 3,833.10 Total liabilities $675,639.83 State of Indiana. County of Marlon, ss : I. Lewis N. Poyser. cashier of the Northwestern State Rank, do solemnly swear that the above statement is true. LEWIS N. POYSER. Cashier. Subscribed and sworn to before me, this 9th day of May. 1922. (SEAL) W. B. NICEWANGER, Notary Public, j My c emission expire* Jan. 29, 1924. L

NATIONAL BANK STATEMENTS. Report of Condition of the Indiana National Bank, at Indianapolis, in the State of Indiana, at the close of business on May 5,1922. RESOURCES. Loans and discounts, including rediscounts $15,013.055. 33 Overdrafts unsecured 5,114.14 United States government securities owned: Deposited to secure circulation (United States bonds, par value) $2,090,000.00 Ail other United States government securities 2.657.300.00 Total 4,687,300 00 Other bonds, stocks, securities, etc 438,566.03 Banking bouse 643,000.00 Furniture and fixtures and safe deposit and bank vault 57,500.00 Lawful reserve with Federal Reserve Bank 1,592,723.26 Items with Federal Reserve Bank in process of collection not available as reserve 1,250,537.44 Cash in vault and amount due from national banks 3,551,907.07 Amount due from state banks, bankers and trust companies in the United States 732,593.65 Exchanges for clearing bouse 454.517.37 Checks on other banks in the same city or town as reporting bank 194,351.07 Total $6,214,206.80 Checks on banks (including Federal Reserve Bank! located outside of city or town of reporting bank 122.364.33 Miscellaneous cash items 180,973.47 303,337.80 Redemption fund with United States treasurer, and due from United States treasurer 100,000.00 Interest earned but not collected on notes and hills reeeivabie not past due 10,691.77 Other assets, if any 18,824.72 Total $29,084,324.35 LIABILITIES. Capital stock paid in $ 2.000.000.00 Surplus fund 1,000.000.00 Undivided profits $ 1,221.594.65 Reserve for interest and taxes accrued 33,029.23 Reserve for contingent liabilities and unearned discount 113,184.60 Total $1,367,808.48 Less current expenses, interest and taxes paid 62,604.51 1.305.202.67 Circulating notes outstanding 1.978,300.00 Amount due to national banks 2,031,443.67 Amount due to state banks, bankers and trust companies in United States and foreign countries 4,464,734.33 Certified checks outstanding 60,418.72 Cashier's checks on own bank outstanding 07,122.91 Total of items $6,653,719.63 Demand deposits (other than bank deposits! subject to reserve (deposits payable within thirty days): ......mi. Individual deposits subject to check... 14,644,000.11 Certificates of deposit due in less than thirty days (other than for money borrowed) 1.00000 Dividends unpaid 1,102.50 Total of demand deposits (other than Dank deposits! subject to reserve $14,646,602.61 Time deposits subject to reserve (payaide after thirty days, or subject to thirty days' or more notice, and Postal Savings: Certificates of deposit (other than for money borrowed! Other time deposits o'c< Postal Savings deposits 9,-.18.18 Total of time deposits subject to reserve $ 874.745.31 I'nited States deposits (other than Postal Savings i. including War Loan deposit account, and deposits of United States disbursing offleers 6-0, i03. 03 Total $29,084,324.85 State of Indiana. County of Marion, ss: 1 Gwynne F. Patterson, cashier of the above named bank, do soletnnlj swear that th above statement is true to the best of my knowledge and hei'ef. GWYNNE F. PATTERSON, Cashier. Subscribed and sworn to before me this Sth day nf May, 1922. GEORGE C. CALVERT, Notary rublic. Mv commission expires March 23. 1926. Correct attest: EUGENE H. DARRACH, FREDERICK C. DICKSON, FRANK D. STALNAKER. Directors.

Report of Condition of the Fletcher American National Bank, at Indianapolis, in the State of Indiana, at the close of business on May 5, 1922. RESOURCES. I.mn* and discounts, Including- redis--1 counts $16,873,799.64 Customers iiability account of acceptances of this bank purehsed or discounted by It 54.in0.00 Total loans $16,057,500.64 Overdrafts unsecured 5,409.i6 Customers' liability account of acceptances executed. !>v this bank and bv other banks ’ noa- outstanding 361,436.80 f S government securities owned: r. S. bonds deposited to secure circulation 1,735,100.00 All other I'nitcd States government securities. including premiums 219,713.26 Total 1.954,813.36 Other bonds, stocks. securities. etc.. 2.503,607.53 Banking house 750,000.00 Beal estate owned other than banking \,,.nse 30340 63 Lawful reserve with Federal Reserve bank 708.663.07 Items with Federal Reserve Bank In process of collection 1,714,576.01 Cash in vnults and amount due from national banks 1,253,148.13 Amount due from state banks, bankers and trust companies in the T'nited States 472.253.03 Exchange for clearing house 268,527.32 Checks on other banks In the same city or town as reporting bank 218.337.91 Totals of items 3.932,842.30 Checks on banks located outside of city or town of reporting banks and other .ash items 225.878.97 Miscellaneous cash items 23,326.08 — 249.205.00 Redemption fund with I'. S. treasurer and due from V. 8 .treasurer 86.755.00 Other assets, if any 307.693.18 Total $27,549,215.56 LIABILITIES. Capital stock paid In $2,000,000.00 Surplus funds I,OOO, <X)<XM T'ndivided profits 52i.479.i5 Reserve for Interest and taxes ne- -- ~r uP(i 24.529.12 652,008.87 I>ess current expenses, interest and taxes p>nld 95,556.36 456,452 51 Circulating notes outstanding 1.735,100.00 Amounts due to national banks 2,095,238.76 Amount due to state banks, bankers and trust companies in t'nited States and foreign countries 8,535,425.86 Certified cheeks outstanding 41,722.35 Cashier's checks on own bank outstanding T 3.465.41 Totals of items 5,745,855.38 Demand deposits subject to reserve tdpposits payable within thirty days!: Individual deposits subject to check 12,16P,453.T1 Certificates of deposit due in less than thirty days 1.980.00 Dividends unpaid 885.00 Total demand deposits subject to reserve 12.172.348.71 Time deposits, subject to reserve tpayahle after thirty days or subject to thirty days or more notice!: Certificates of deposit 1,808.080 40 Tostal savings deposit 14,837.76 Total of time deposits subject to reserve 1,922.965.16 T'nited States deposits Cottier than postal savings!, including war loan deposit account and deposits of United States disbursing officers 216,775.24 United States government securities borrowed 526.700.00 Notes and bills rediscounted 1.626,063.32 Betters of credit and travelers’ checks sold for cash and outstanding 8,280.00 Acceptances executed by this bank for customers and to furnish dollar exchange 445.536.30 Bess acceptances of this bank purchased or discounted 84,100.00 861,436.30 Ulablllties other than those above stated.. 77,266.24 Total $27,840,215.88 TANARUS, S. A. Fletcher, president of the abore nsra'ii bank, do solemnly swear that the above statement is true to the best of my knowledge and belief. 8. A. FLETCHER, President. Subscribed and sworn to before me this 6th day of May. 1922. L. CRAWFORD, Notary Public. My commission expires January 6, 1925., Correct Attest. A. M. ROSENTHAL, FRED HOKE. WM. J. MOONEY, Director

MAY 10,1922.