NONRESERVATION TRAINING SCHOOLS. Location, average attendance, capacity, etc., during the fiscal year ended June 30, 1897. *1,500 with outing system. †Previously a contract school. Not included in total, having been already included in total attendance of contract schools. INDIAN CONTRACT SCHOOLS. In addition to the government schools in operation numerous contract schools are included in the first table. The amount of money set apart for these institutions for the year ending June 30, 1898, as well as in preceding years, is shown by the following table: RESERVATION GOVERNMENT BOARDING SCHOOLS. Location, capacity and date of oper.ing of 73 government reservation boarding schools. CLIMATOLOGY OF THE UNITED STATES. The following table of average rainfall, highest and lowest temperatures, based upon observations of twenty-six or less years. at selected stations in the several states and territories of the United States, was compiled from the records of the weather bureau by the United States weather office at Chicago, Ill. : NATIONAL BANK STATISTICS.-CONTINUED. Abstract of reports of condition of national banks in the United States on Dec. 17, 1896, March 9, May 14, July 23 and Oct 5, 1897. U. S. bonds to secure RESOURCES. 17,752,653.13] U. S. bonds to secure circulation.. 239,346,340.00 Loans and discounts.. $1,883,407,457.00 $1,886,282,264.33 $1,923,365,869.46 $1,966,891.500.75 $2,051,009.438.17 Overdrafts.. 11,727,027.26 10,786,007.27 10,662.210.20 15,766,675.73 231,610,600.00 229,419,550.00 228,439,400.00 227,483,950.00 on U. S. U. S. bonds on hand 27,736,020.74 28,049,346.48 28,507,938.81 28,587,539.24 29,303,532.43 125,382,562.47 133,467,636.05 140,940,788.28 135,587,688.08 155,980,447.58 32,141,784.52 33,366,153.18 35,971,045.40 34,275,424.67 41,410,311.27 219,966,660.96 258,430,252.48 251,948,640.36 275,755,165.39 297.017,805.64 13,138,402.18 11,635,233.17 12,000,494.26 12,017,815.47 15,535,418.93 84,976,088.68 74,830,987.94 84,350,553.37 89,457,189.73 112,305,535.60 18,583,392.00 20,606.097.00 20,575,420.00 966,579.82 236,076.383.45 118,637,852.00 120,554,992.00 Bills of other national banks.. 1,019.633.33 233,948,862.64 Legal-tender notes.. 118,893,612.00 67,695,000.00 53,590,000.00 10,411,548.86 10,310,351.79 10,082,720.24 1,889.686.52 1,293.479.54 2,235.481.16 3,367,115,772.81 3,446,038,799.13 3.492,411,995.80 3,563,408,053.94 3,705.133,707.71 647,186,395.00 642,424,195.00 637,002.395.00 632,153,042.00 631,488,095.00 247,339,567.15 247,130,031.97 246,736,684.27 246,403,782.15 246,345,020.33 95,792,337.25 86,584,884.53 88,074,930.83 83,863,440.17 88,406,980.50 1,639,688.393.60 1,669.219.961.28 1,728,083,971.20 1,770,4 0,563.13 1,853.349,128.50 11,822,671.29 11,980,940.53 12,128,991.74 12,922,506.63 12,081,247.69 195.001,040.24 208,876.900.43 227,063,685.28 1.429,450.89 1,800.659.07 Deposits of U. S. dis bursing officers. 3,597,205.65 3,349,014.73 3,499,856.43 3,468,352.66 4,060,933.96 Notes and bills redis counted 8.099,591.66 4,721.144,28 5.419,397.33 5,450,428.38 7,206,046.17 Liabilities other than those above.. 2,585,271.39 2,378.127.07 2,645,163.42] 3,594,185.87 3,174,676.36 Total. 3,367,115,772.81 3,446.038,799.13 3,492,411,995.80 3,563,408,053.94 3,705,133,707.71 *Circulation outstanding, including notes of insolvent banks, banks in voluntary liquidation and banks which have deposited lawful money under the acts of June 20, 1874, and July 12, 1882, to retire circulation at date of reports: Dec. 17, 1896, $235,699.511; March 9, 1897, $234,014,769; May 14, 1897, $232,335,561; July 23, 1897, $230,958,411; Oct. 5, 1897, $230,296,909. |