•:ti•:
COMPARATIVE FINANCIAL CONDITION OF COMMERCIAL BANKS IN PUERTO RICO
.........:•• r:~.... ... .... . .... --.......................•a~:..................... - -.
COMMONWEALTH OF PUERTO RICO DEPARTMENT OF THE TREASURY ADMINISTRATION OF FINANCIAL AFFAIRS BUREAU OF BANK EXAMINATIONS SAN JUAN, PUERTO RICO
,.- .
~~,r:~--~}•
COMPARATIVE FINANCIAL CONDITION OF COMMERCIAL BANKS IN PUERTO RICO MARCH 31, 1961 AND
MARCH 31, 1960
Commonwealth of Puerto Rico Department of the Treasury Bureau of Bank Examinations San Juan, Puerto Ricó
r
Y
E RRATA
±he quarterly report for December 31, 1960, in Page 8 and 9, Table 5 and 6 should be corrected as follows: Table 5: Private Demand Deposit: Increase (+) and : Decrease (m) Dec. 31, 1960 :Per cent Amount Banco Ordito y Ahorro
$38,845
$ 3,766
10.7
Banco de Ponce
25,642
2,961
13.1
Table 6;
Private Time Deposits
Banco Crédito y Ahorro
56,829
7,029
19.8
Banco de Ponce
31,958
5,287
14.1
CONTENT Pages Financial Cdndition of Commercial Banks in Puerto Rico
1- 3
Table 1- Summary of Changes in the Financial Condition of Commercial Banks in Puerto Rico
4
Table 2- Cash and Inter-Bank Deposits Held by Commercial Banks in Puerto Rico
5
q..
Table 3- Bonds and Other Investments Held by Commercial Banks in Puerto Rico
6
Table 4- Loans and Discounts Outstanding by Commmercial Banks in Puerto Rico
7
Table 5- Private Demand Deposits of Commercial Banks in Puerto Rico
8
Table 6- Private Savings and Time Deposits of Commercial Banks in Puerto Rico
9
Table 7- Total;-Priva€tas"Depoa3íts .of Opnam~rciat Banks in Puerto Rico
10
Table 8- Public Deposits of Commercial Banks in Puerto Rico
11
Table 9- Total Deposits of Commercial Banks in Puerto Rico
-
12
Table 1Q,mCapital Accounts of Commercial Banks in Puerto Rico
13
Table 11-Other Assets
14
Table 12'Total Assets of Commercial Banks in Puerto Rica
15
Table 13-Legal Reserves and Excess Reserves Held by Commercial Banks in Puerto Rico
16
Table 14-Average Monthly Bank Debits in-Puerto Rico
17
Table 15mResume of Commercial Banks'' Statistics since 1950
18
~t~t~Y~e4e9rk~c~le3e A A AxsiP~
**4e4e**k 4rk8e8e4rla 4c9rh4e4c4e-k~ sY
FINANCIAL CONDITION OF COMMERCIAL BANKS IN PUERTO RICO ON MARCH 31, 1961
General summary: Resources for the twelve (12) commercial banks* with their 122 branches continued their upward trend reaching a total of $654.6 million, an increase of $62.8 million, or 10.6 per cent , over the total for March 31, 1960.
The yearly increase shown by the March 31, 1961 statement was
due to increases in almost all the itéms of that statement. In the three month period from January lst,..until the end of March 1961, there is a decrease in the total commercial bank resources of $23.7 million due mainly to reductions in the Cash and Due From Banks account ($12.8 million), Bond and Investments account ($4.9 million) and Other Assets account ($32.2 million).
Cash and Due from Banks: Cash and due from banks amounted to $64.0 million, an increase of $1.0 million over
the figures for March 31st of last year.
Over the
quarter this item recorded a decrease of $12.8 million, or 15.0 per cent,
~
from the December 31, 1960 total,
Loans and Discounts: The loans and discounts portfolio of all commercial banks conducting business in Puerto Rico aggregated $465.0 million on March 31 of this year. This amount is $50.5 million higher than last year March 31st figure. Of that increase, $24.1 million were loaned by domestic commercial banks
*Includes Banco Obrero de Ahorros y Prestamos for the first time.
mlm
and $26.4 million by foreign banks,* The quarterly increase registered was of $25.9 million, or of 5..9 per cent. Bonds and Other Investments: Securities held by commercial banks amounted to $98.9 million. There was a March to March increase in the banks' securities portfolio of $12.9 million.
There was a decrease of,$4.9 million in the total
securities held as co
,I,
ared to the total registered on December 31, 1960.
Deposits: The liabilities side of the balance sheet of all commercial banks show total deposits amounting to $564.6 million, or $58.7 million higher than the total deposits figure reported on March 31, 1960.
A decline of
$24.2 million was registered through the quarter. A component of the total deposits, private demand deposits, increased from $201.5 million to $224.7 million during the fiscal year ending on March 31, 1961 and decreased by $36.8 million during the last quarter. Both, private savings and time deposits and public deposits reflected increases of $23.5 million and $12.0 million respectively in the fiscal year.
They also reflected increases of $9.4 million, and $3.2 million
during the quarter.
*Banks not chartered under the Puerto Rican Banking Act=,
=2=
Capital Accounts: Capital Accounts for our commercial banks totalled $30,7 million, an increase of $303 million, or 12,0 per cent over the level of March 31, 1960O
Bank Debits: The monthly average of bank debits for the quarter ending on March 31, 1961 amounted to $8584 millions an increase of $111,9 million, or 15 per cent over the equivalent quarterly average last year.
It also
exceeded the average for the quarter ending on December 31, 1960 by $26.8 million.
Legal Reserves:
business in Puerto Rico exceeded by requirement.
$lag
On March 31, 1961 reserves held by all commercial banks conducting million the legal reserve.
SUMMARY OF CHANGES IN THE FINANCIAL CONDITION OF COMMERCIAL BANKS IN PUERTO RICO, BETWEEN MARCH 31, 1961 DECEMBER 31, 1960 AND MARCH 31,1960 (Ín million o
dollars)
Table 1 March 31, 1960 ASSETS 36.9 Cash on hand 27,1 Due from banks Cash on hand and Due from banks Bonds and other investments Loans and Discounts Fixed Assets (Buildings, Real Estate) Other assets Total Assets LIABILITIES .Private Demand Deposits Private Saving Account Time Deposits Total Private Deposits Public Deposits Total Deposits Capital Accounts Other
Total Liabilities and Capital Accounts. Information Item Bank Debits Excess Reserves
December 31; 1960
March 31, 1960
37.0 26.0
42.7 34.1 64.0 , 98.9 465.0 8.5 18,2
76.8 103.8 439.1 8.2 50.4
654.6
678,3
Increase (+) or Decrease (..) Amounts Per cent :March 1961: March 1961:March 1961:March 1961 :Dec. 1960 : March 1960:Dec. 1960:March 1960
63.0 86.0 414.5 8.1 20,2
5.8 = 7.0 e 12.8 = 4.9 + 25.9 + 0.3 < 32.2
= 0.1 + 1.1 + 1.0 + 12.9 + 50.5 + 0.4 = 2.0
a + + -
13.6 20.5 16.7 4.7 5,9 3.7 63.8
= 0,3 + 4,2 + 1.6 + 15.0 + 12.2 + 4,9 0 9.9
591.8
23.7
+ 62.8
-
3.5
+ 10,6
14.1
+ 11.5
224.7
261.5
201.5
36.8
+ 23,2
239.4 464.1 100.5
230,0 491.5 97,3
215.9 417.4 88.5
+.23,5 + 46.7 + 12,0 + 58.7 + 3,3 + 0.8
+ = + = + 0
4,1 5.6 3.3 4.1 4.8 0,2
+ 10,9 + 11.2 + 13.6 + 11.6 + 12.0 + 1.4
564.6 30.7 59. 3
588.8 29.3 60,2
505,9 27.4 58.5
+ 9,4 0 27.4 + 3.2 = 24,2 + 1.4 = 0.9
654.6
678.3
591.8
23.7
+ 62.8
-
3.5
+ 10.6
858,1 1.2
831.3 5.0
746.2
+
26.8
+111.9
+
3.2
+ 15.0
5.6
-
3,8
- 4.4
- 76.0
- 78.6
Note: Per cent of the excess reserves over the legal requirement for March 31, 1961 ~
~
-4-
3.2.
TABLE
2
CASH AND INTERBANK DEPOSITS HELD BY COMMERCIAL BANKS IN PUERTO RICO, MARCH 31, 1961 AND MARCH 31, 1960. (In thousands of dollars)
Cash on Hand and Due from Banks s March 31, . March 31, . 1960 . 1961
BANKS
Increase (+) or Decrease (-) Amount
Per cent
.
15,071 14,912 8,617
14,091 14,537 9,228
+ 980 + 375 611
+ +
San Juan Roig Commercial San German Economías y Prestamos Obrero 1/
2,429 990 1,117 892 223
2,277 1,328 1,174 1,161
+ 152 338 57 - 269
+
SUBTOTAL
44,251
43,796
+ 455
+
1.0
First National City Chase Manhattan
4,524 9,778
4,259 9,670
+ 265 + 108
+ +
6.2 1.1
Royal Nova Scotia
3,820 1,580
3,713 1,587
+ 107 7
+
2,9 0.4
SUBTOTAL
19,702
19,229
+ 473
+
2,5
TOTAL
63,953
63,025
+ 928
+
1.5
1/
7.0 2.6 6..6
6.7 25.5 4.9 23.2
m
m
m
m
m
m
Popular Credito y Ahorro Ponce
Banco Obrero de Ahorros y Prestamos began operations on March 1961.
-5-
TABLE
.
3
BONDS AND OTHER INVESTMENTS HELD BY COMMERCIAL BANKS IN PUERTO RICO, MARCH 31, 1961 AND MARCH 31, 1960 (In thousands of dollars» 1
Total Bonds and Investments March 31, , March 31, 1961 , 1960
BANKS
Increase (+) or Decrease Amount
Per Cent
Popular Crédito y Ahorro .Ponce
43,381 26,267 17,529
37,897 21,357 18,078
+ 5,484 + 4,910 549
+ 14.5 + 23.0 3>0
San. Juan Roig Commercial San Germán Economias y Prástamos Obrero
4,129 3,282 320 997 1,425
3,158 3,067 320 1,003 -
+ +
971 215
m
6
+ 30.7 + 7.0 0,6
97,330
84,880
+ 12,450
+ 1.4.7
1,208 337
1,160
+
48 -
+
4.1 ~
Subtotal
1,545
1,160
+
385
+
33.2
Total
98,875
86,040
Subtotal First National City Chase Manhattan
Royal Nova Scotia
t
+ 12,835
+ 14.9
TABLE
4
LOANS AND DISCOUNTS OUTSTANDING BY COMMERCIAL BANKS IN PUERTO RICO, MARCH 31, 1961 AND MARCH 31, 1960 (In thousands of dollars)
B
ANK
S
Total Loans and Discounts *s Increase (+) or Decrease (-Z March 31, e March 31, . Per Cent Amount 1961 1960
+ 12,899 + 1,991 + 6,077
+ + +
15.2 2,5 15,3
8,067 3,089 897 1,863
+ + + +
1,432 844 168 581
+ + + +
1708 2703 187 31.2
241,459
217,368
+
24,091
+
11,1
National City Chase Manhattan
116,595 77,629
97;102 74,687
+ 19,493 2,942 +
+ +
2001 3e9
Royal Nova Scotia
15,979 13,377
13,015 12,368
+ +
2,964 1,009
+ +
22,8 8e2
Subtotal
223,580
197,172
+
26,408
+
1304
Total
465,039
414,540
+
50,499
+
12,2
9,499 3,933 1,065 2,444 99
Subtotal
u First
r
Sin Juan Róig Commercial San Eco mias y Préstamos Obrero `
85,010 78,686 39,756
"
97,909 80,677 45,833
Garman`
Popular CrAdito y Ahorro Ponce
* Including overdrafts.
'
TABLE
5
PRIVATE DEMAND DEPOSITS OF COMMERCIAL BANKS IN PUERTO RICO MARCH 31, 1961 AND MARCH 31, 1960 (In thousands of doll:=rs) ~
BANK
Private Demand Deposits * March 31, . March 31, 1961 . '1960
Popular Crédito y Ahorro Ponce
52,815 35,961 20,935
42,274 32,101 21,332
San Juan Roig Commercial San Germen Economías y Préstamos Obrero
3,710 2,006 576 993 150
•2,664 1,928 502 986
Subtotal ~.m
117,146
101,787
First National City Chase Manh.ttan
53,107 35,826
519 784 30,634
Royal Nova Scotia
12,583 6,026
12;363 4, 959
Subtotal
107,542
Total
224,688
s Increase(+) or Decrease (-) Amount Per Cent
10,541 3,860 397
+ + m
24.9 12;0 1.9
+ +
1,046 ~78 74 7.
+ •+ + +
39ó3 4,0 14~7 0.7
+
15,359
+
15.1
l;323 5,192
+ +
2,6 16.9
+ +
220 1,067
+ +
1:8 21,5
99,740
+
7,802
+
7.8
201,527
+
23,161
+
11.5
+ +
* Includes (a)~ Private Checking Accounts Demand Fóreign`Accounts (c). Demeñd Balances due tó other¡ B;: nks (d). Demand"certificates of deposits and other demand deposits
(b).
8
TABLE
6
PRIVATE SAVINGS AND TIME DEPOSITS OF COMMERCIAL BANKS IN PUERTO RICO MARCH 31, 1961 AND MARCH 31, 1960 (In thousands of dollars)
BANKS
Prjv:ite Time DePs~its. and . Savin• a_Acnc~unt March 31, March 31, o 1960 1961 0
Popular Crédito y Ahorro Ponce
57,703 56956 32,167
57,738 53,693 27,560
San Juan Roig Commercial San Germán Ecorimmias y Préstamos Obrero
7,897 39978 19187 19885 143
Sub to tal
.g o
i ease (+) or De~saxffisse (m) 0 Per Cent Amount o
0,1 61 16e7
+ +
35 3,263 49607
7345 38522 19168 1,656 m
+ + + +
552 456 19 229'
1619916
1529682
+
9,234
+
600
First National City Chase Manhattan
42,712 25,046
34,511 19,637
+ +
8,201 5,409
+ +
23e8 2705
Royal Nova Scoti
69877 2898
6,265 2x791
+ +
612 107
+ +
908 308
Subtet-1
77533
63204
+
14,329
+ 2207
Total
2399449
215,886
+
23,563
+
+ +
+ 75 + 129 + 16 + 1308
1009
TABLE
7
TOTAL PRIVATE DEPOSITS OF COMMERCIAL BANKS IN PUERTO RICO MARCH. 31, 1961 AND MARCH 31, 1960
: Total Private Deposits 1/: . : March 31, March 31,
BANKS
1961
1960
Increase (+) or Decrease Amount
,
(m)
(In thousands of dollars)
Per Cent
110,518 92,917 53,102
100,011 85,794 48,892
+ 10,507 + 7,123 + 4,210
+ 10,5 + 8.3 + 8,6
San Juan Roig Commercial San Germán Economlas y Préstamos Obrero
11,607 5,983 1,763 2,878 293
10,010 5,450 1,670 2,642
+ 1,597 + 533 + 93 + 236
+ 16.0 + 9.8 + 5.6 + 8,9
Subtotal
279,061
254,469
+ 24,592
+
First National City Chase Manhattan
95,819 60,872
86,295 50,271
+ 9,524 + 10,601
+ 11.0 + 21.1
Royal Nova Scotia
19,460 8,92.4
18,627 7,750
+ 833 + 1,174
+ 4.5 + 15.1
Subtotal
185,075
162,943
+ 22,132
+ 13.6
Total
464,136
417,412
+ 46,724
+ 11.2
m
Popular Crédito y Ahorro Ponce
9.7
1/ : Includes the total for demand, time and saving deposits shown in tables 5 and 6,
=10=
TABLE
8
PUBLIC DEPOSITS OF COMMERCIAL BANKS IN PUERTO RICO MARCH 31, 1961 AND MARCH 31, 1960 (In thousands of dollars)
S
e
BANK
Increase (+) or Decrease (-) Public Depositi * March 31, s March 31,. s Per Cent Amount 1960 1961 .
Popular Crédito y Ahorro Ponce
23,050 21,765 9,380
San Juan Roig Commercial San Germen Economi-s y Préstamos Obrero
3,310 1,053 279 734 1,320
258282 20,034 8,860
-
2,945 1,076 277 734
2,232 1,731 520
+ +
+ +
+
8.8 8.6 5.9
+
12.4 2.1 0.7
1,683
+
2.8
11,436 1,122
+
65.4 11.0
365 23 2 -
0
+ +
0
0
M
60,891
59,208
First National City Chase Manhattan
28,916 9,120
17,480 10,242
926 654
1,000 603
+
74 51
+
7.4 ,8.5
Subtotal
39,616
29,325
+
10,291
+
35.1
Total
100,507
88,533
+
11,974
+
13.5
Royal Nova Scotia
+
m
+
e
Sub total
* Includes demand, time and savings deposits of the Commonwealth of Puerto Rico and Government Instrumentalities, Courts of Puerto Rico, Municipal Governments, U. S. Government and Postal Savings.
11
TABLE
9
TOTAL DEPOSITS OF COMMERCIAL BANKS IN PUERTO RICO MARCH 31, 1961 AND MARCH 31, 1960 (In thousands of dollars)
Increase (+) or Decrease Per Cent Amount
March 31, 1960
Popular Crédito y Ahorro Ponce
133,569 114,682 62,482
125,294 105,828 57,752
+ 8,275 + 8,854 + 4,730
+ + +
6e6 8e4 802
San Juan Roig Commercial San German Economías y Préstamos Obrero
14,917 7,037 2,042 3,611 1,613
12,955 6,526 1,947 3,375
+ + + +
1,962 511 95 236
+ + + +
15e1 7.8 4,9 7.0
Subtotal
339,953
313,6.77
+ 26,276
+
8e4
First National City Chase Manhattan
124,735 69,992
103,776 60,513
+ 20,959 + 9,479
+ +
20,2 15.7
20,386 9,578
19,627 8,352
+ 759 + 1,226
+ +
3.9 14e7
Subtotal
224,691
192,268
+ 32,423
+
16.9
Total
564,644
505,945
+ '58,699
+
11,6
Roya.
March 31, 1961
Nova Scotia
1/ Includes all public and private demand, time and savings deposits and certificate of deposits as in Tables 7 and 8e
(m)
Total Deposits 1/ BANKS
TABLE
10
CAPITAL ACCOUNTS OF COMMERCIAL BANKS IN PUERTO RICO MARCH 319 1960, AND MARCH 31, 1959 (In thousands of dollars)
9
°
Total Capital Accounts 1/ : : Increase (+) or Decrease ° March 31, :March 31, Per cent ° Amount 1961 ° 1960
BANKS
Popular Credito y Ahorro Ponce
12,413 8,289 6,213
10,871 8,129 5,0851
+ + +
1,542 160 1,128
+ + +
14e2 2,0 22,2
San Juan Roig Comercial San Germán Economiás y Préstamo Obrero
1,263 955 476 803 144
1,166 854 459 746
+ + + +
97 101 17 57
+ + + +
8.3 1108 307 7.6
Subtotal
30,556
27,310
+
3,246
+
11e9
100
100
100
100
30,656
27,410
+
3,246
+
.11e.8
First National City Chase Manhattan
0
Royal Nova Scotia Subtotal Total
1/ Includes paid in capital, reserve fund, and undivided profits.
TABLE
OTHER
11
ASSETS
MARCH 31, 1961 AND MARCH 31, 1960 (In thousands of dollars)
OTHER ASSETS i March 31, March 31, 1961 1960
Increase (+) or Decrease (~)
2,242 48573 712
28067 49773 1,825
+
288 101 m m 28
499 71 m 7
Subtotal
7,944
9.,242
First National City Chase Manhattan
7,809 1,373
6,203 1,983
798 289
Subtotal Total
BANKS
Popular Crédito y Ahorro Ponce
San Juan Roig Commerci l San Germán Economias y Prést;=mos Obrero
Per Cent
Amount
175 200 1,113
+
8.5 4.2 61.0
+
211 30
- 42.3 + 42.3
m
7'
m 100.0
1,298
14.1
+ m
1,606 610
+ m
259 30.8
2,455 278
+
1,657 11
m +
675 4.0
]09269
10 919
m
650
18213
20,161
Rmyal Nova Scotia J
* Includes
Customer Liability on acceptánces; Item in transit with br=nches, Due from Head Office, Interest earned but not collected and Others,
A: = 14 =
1,948
6.0 m
9.7
12
TABLE
TOTAL ASSETS OF COMMERCIAL BANKS IN PUERTO RICO MARCH 31, 1961 AND MARCH 31, 1960 (In thQusands of dollars)
BANK
S
Total Assets Ma=ch 31, March 31, 1961 1960 0
Increase (+) or. Decrease._ (-) Amount
Per Cent
o
Popular Crédito y Ahorro Ponce
161,327 128,557 73,625
141708 121334 69,751
+ 19619 + 7,223 + 3,874
+ + +
138 Fio0 506
San Juan Roig Cómmercial San Gerin€in Ecoñómias y Préstamos Obrero
17,086 8,448 2,518 4424 1,799
14,439 7709 24405 4,133
+ + + +
2,647 739 113 291 e
+ + + +
183 9~6 47 700
Subtotal
397,784
361,479
+
36,305
+
1000
First Ndtional City Chase Manhattan
129792 89,331
108,362 86,711
+ 21430 2,620 +
+ +
198 300
Royal Nova Scotia
22095 15,587
20;641 14,574
+ +
1454 1,013
+ +
7~0 700
Subtotal
256,805
230,289
+
26,516
+
1L5
Total
654,589
591,768
+
62,821
+
10eó
0 15 =
TABLE
13
LEGAL RESERVES AND EXCESS RESERVES HELD BY COMMERCIAL BANKS IN PUERTO RICO MARCH 31, 1961
(In thousands of dollars)
BANK
S
Popular Crédito y Ahorro Ponce
AétúiI. Requiréd Reserves : Reserves
Excess Reserves Amount Per Cent
s
1,189 1,083 603
m + +
905 15 1 14,1
11,285 89275 4,890
12,474 7,192 49287
San Juan
686
742
m
Roig Commercial San Germán Economías y Préstamos Obrero
623 127 274 o
414 115 199
+ + +
"56 209 12 75
75 + 505 + 10e4 + 3707'
Sub to tal
269160
25,423
+
737
+
305
First National City Chase Manhattan
7,588
7,165
+
423
+
509
Royal Nova Scotia
2,5`79 Zn147
29517 1,205
+
62 58
+
2~5 408
Subtotal
11,314
10,887
+
427
+
3e9
Total
37,474
36,310
+
1,164
+
302
16
+' +
TABLE
14
AVERAGE MONTHLY BANK DEBITS IN PUERTO RICO JANUARY TO MARCH 1961 AND JANUARY TO MARCH 1960 (In thousands of dollars)
B A N K. S
Average Monthly Bank Debits for the Quarter Jana and March Jan. and March 1960 1961 0
/
Increase(+) or Decrease (m) Amount
.
Per Cent
147,675 285,409 61,643
147,569 215,188 55,992
+ 106 +70,221 + 5,651
+ + +
01 32.6 10,1
8,296 5,343 1,538 2,387
6,904 x,782 2,076 1,350
+ 1,392 + 561 538 + 1,037
+ + +
20,2 1L7 25.9 7608
Subtotal
512,291
433,861
+78,430
+
1801
First National City Chase Manhattan
200,512 93,365
190,884 78,115
+ 9,628 +15,250
+ 500 + 1905
Royal Nova Scotia
34,451 17,466
28,212 15,112
+ 6,239 + 2,354
+ +
2201 1506
Subtotal
345,794
312,323
+33,471
+
1007
Total
858,085
746,184
+111,901
+
1500
Popular Cradito y Ahorro Ponce
San Juan Roig Commercial San German Economías y Prastamos
~.
~b7 0
TABLE'"15 0°RESUME Or COMNERCIAL BANKS00 STATISTICS SINCE 1950 (MilY.iona:, of Dollars)
Cash on Hand and Due from tanks 41.7 48.7 50.7 50.6 51.0 53.4
June 300 1950 51 52 53
54 55 56 57 58 59 60
Bonds and Other Iuvestients 96.9 87.1 70.3 75.6 68.9 78.7
Loans and Discounts 119.8 146.8 183.1 181.6 185.3 205.6
252.5 291.4 311.8
.56.9 59.3 58.6 61.6
86.~7 70.6 78.0 95.2
65.5
97.5
361.6 417.1
64.0
98.9
465.0
1961 March
PRIVATE nn~l 11Q Time Í.nd Saviaa~s 1D 52.0 101.9 53.7 132.1 6006 132.5 71.3 135.0 78.6 133.2 86.8 14608 .7 16409 127.7 175.4 170.2 185.Q 212.2 192.8 214.7 216.2
June 30 a il~_ 5O 51 52 53 54 55 56 57 58 59 60 1961 March
June 3Oa 1950 51 52 53 54 55 56 57 58 59 60 1961 March 1/ Revised
224.7
DEPOSITS
153.9 185.8 193.1 206.3 211.8 233.6 265.6 303.1 355.2 405.0 430.9
Public Deposits 1, 87.6 84.7 82.0 76.3 70.4 71.8 70.2 76.3 69.9 82,9 100.4
239.4
464.1
100.5
T®gal Denso,its
Capit.-1 Acccmunts
Total Assets
241.5 270.5 275.1 282.6 282.2 305.4 333.8 379.4 425.1 487.9 531.3
14.7 15.4 16.3 17.3 18.0 1.8.4 19.6 21.5 23.5 255.0 28.1
285.3 320.5 337.1 336.0 342.8 360.4 418.9 449.0 485.6 552.9 621.0
564.6
3®.7
654.6
~e ID
Total 1®
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