MARINE DEPARTMENT LIBRARY
TABLE XHI
Statement of Funds Controlled by Registrar General as at 31st March, 1955.
Official Trustee Account (Trustce Ord. Cap. 29)
Official Receiver (in Bankruptcy) Account (Bank- ruptcy Ord. Cap. 6)
Companies
Liquidation Account (Com-
Total
panies Ord. Cap. 32)
Balance as at 1.4.54... Add Receipts for the
Year
$
167,137.41
$
388,536.10
17,550.56
184,687.97
65,896 76 454,432.86
$
1,453,924.90 2,009,598.41
1,091,644.23 1,175,091.55 2,545,569.13 3,184,689.96
$
Deduct Payments for
the Year....
1,499.38
318,413.34
850,280.72 1,170,193.44
Balance as at 31.3.55
183,188.59
136,019.52
1,695,288.41
2,014,496.52
Investments
139,853.18
957,071.59
1,096,924.77 (A)
Fixed Deposits/
Savings Account
14,030.00
122,000.00
570,000.00
Current Accounts
29,305.41
Cash
13,987.29 32.23
168,212.04
706,030.00 211,504.74
4.78
37.01
183,188.59
136,019.52
1,695,288.41
2,014,496.52
(A) Book Value
Market Value: Official Trustee Account
Companies Liquidation Account
See Auditor's Certificate following Table XIV.
$ 136,279.10 936,000.00
$1,072,279.10
Sd. W. K. THOMSON, Acting Registrar General.
TABLE XIV
Statement of Investment and Fixed Deposits held for the Companies Liquidation Account as at 31st March, 1955,
Fixed Deposit
and Investments
(Book Value)
Investments (Nature)
Market Price
31.3.55
Market Value
31.3.55
$570,000.00
Fixed Deposit, Hongkong &
Shanghai Bank, Hong Kong,
635,746.66
321,324.93
£40,000 3% War Loan, 1955/59 £20,000 3% Savings Bond 1955/65
9812
951
$ 630,400.00 305,600.00
$1,335,746.66
See Auditor's Certificate below.
$ 936,000.00
Sd. W. K. THOMSON, Acting Registrar General.
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