ABSTRACT OF ASSETS AND LIABILITIES, HONG KONG & SHANGHAI BANKING CORPORATION,
31st December 1927.
LIABILITIES.
AUTHORISED CAPITAL :-
400,000 Shares of $125
each
...$ 50,000,000
STERLING EQUIVALENT.
DOLLARS,
ASSETS.
CASI (including $25,500,000 Coin lodged with the Hong Kong Government and $7,600,000 egia lodged In H.B.M. Consul General, Shanghai, against uthorised and/or excess note circulation) BULLION IN HAND AND IN TRANSIT
STERLING EQUIVALENT.
DOLLARS.
8,691,022; 18: 10 : $
85,602,687.43
197.968: B:
1,919,225.06
£
2,031,250: 0: 0 S
20,000,000,00
BRITISH GOVERNMENT. INDIAN. COLO- VIAL AND OTHER SECURITIES
11.884452:
0: 1
146,554,604.45
BILLS DISCOUNTED, LOANS AND CREDITS. BILLS RECEIVABLE AND BALANCE OF REMITTANCES AND DRAFTS IN TRANSIT
25,913.331; 18:
281,980,198,81
18.58.188; 15: 8
182,677,670.91
6,000,000: 0: 0
1,871,093: 15: 0
59,076,923,08
ABILITIES OF
CONSTITUENTS
FOR
ACCEPTANCES PER CONTRA
168,967:
S
4568,292.28
13,500,000,00
BANK PREMISES
2,047,326:
5: 10
20,158,291,62
ISSUED AND PAID UP CAPITAL
160,000 Shares of $125 ench
RESERVE LIABILITY OF PROPRIETORS
$125 per Share
011
.$ 20.000.000
160.000 Shares issued
5,8 16,219: 18:
39.287.955: 3:
17,352,140:
52.610,984,00
346,837,250.83
0:
170,851,840.29
STERLING RESERVE
SILVER RESERVE
NOTES IN CIRCULATION:-
(Authorised and Additional Issue against Securities and Coin amomiting to $65,276,118,17 deposited with the Crown Agents for the Colonies, their Trustees, and the Hong Kong Government) CURRENT ACCOUNTS,
FIXED DEPOSITS.
BILLS PAYABLE :-
(Including Call Loans and Short Sight Drawings on London Office and Drafts on London Bankers) ACCEPTANCES ON ACCOUNT OF CONSTI- TUENTS
PROFIT AND LOSS ACCOUNT
632,684:
6,229,706.13
163,967: 3:
1,298,817:
1.568,292.28
1: 0.
12,788,350.98
STERLING EXCHANGE TAKEN AT 2/- 2.
Liability on Bills of Exchange re-discounted. £6,718,773 18: 2 of which gd 119,220 8; 2 have since run oli.
78,781,257: 9:
726,191,160,39
70
78,781,257: 9:
726,191,150.59