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Oregon War Debt.

Loan of July and August

1861, ('81's).....

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6 per ct. per ct. 6 per ct. 5 per ct. 1864... per ct. Five-twenties of June, 1864 6 per ct.

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Payable June 30, 1881... (Red'able aft. May 1,1867, and pay'le May 1, 1882. Payable June 30, 1881... Red'le aft. March 1, '74; pay'le March 1, 1904.. Red'le aft. Nov. 1, 1869; pay'le Nov. 1, 1884.... Red'le aft: Nov. 1, 1869; pay'le Nov. 1, 1884.... Red'le aft. Nov. 1, 1870; pay'le Nov. 1, 1885.... Red'le aft. July 1, 1870; pay'le July 1, 1885.. Red'le aft. July 1, 1872; pay'le July 1, 1887.. Red'le aft. July 1, 1873: pay'le July 1, 1888. Red'le aft. May 1, 1881. Red'le aft. May 1, 1886.. Red'le aft. May 1, 1901..

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945,000

23,625 00

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$1,854,498,850 28,468,712 34

Amt. Outstanding Int. due and
unpaid.
$92,801 25

(New issue. $155,691,073 00
Series of '69. 201,808,927 00 (357,500,000 00
First Issue..

4,413,828 11

Second Issue 3,217,930 21
Third Issue. 4,768,033 89
Fourth Issue 27,766,243 84,

Aggregate of Debt bearing no interest

40,166,036 05

24,928,140 00

14,442 13

422,686,977 30 14,442 13

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206 00 57 00

6,000 00

360 00

5 per cent.... At var. dates in '51 & '52.
6 per cent... Dec. 31, 1867...

1,104 91

1,650 00

85 74 117 00

6 per cent.... July 1, 1849.

3,950 00

241 50

per cent.... July 1, 1868.

24,900 00

1,281 00

174,000 00

I1,300 00

5 per cent.... January 1, 1871

13,000 00

10,650 00

82,575 35

2,670 76

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108 00 384 00

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Treas'y Notes prior to '46 1-10 to 6 pr.ct. At var. dates fr. 38 to 44.
Treasury Notes of 1846.. 1-10 to 6 pr.ct' At var. dates in
47 & 48.
Treasury Notes of 1847..6 per cent.... At var. dates in 248 &'
Treasury Notes of 1857.. 3 to 6 per ct.. At var. dates in '58 & '59.
Treasury Notes of 1861..6 per cent.... March 1, 1863..
Seven-thirties of 1861.... 7 3-10 per ct. Aug. 19 and Oct. 1, 1864.
One-year Notes of 1863.5 per cent.... At various dates in 1865..
Two-year Notes of 1863..5 per cent... At various dates in 1866..
Compound-inter'st Notes 6 per cent.... June 10, '67, May 15, '68..
Seven-thirties of '64 & '65 7 3-10 per ct.. A'g.15,'67,J'ne15,J'ly15,68
Certif. of Indebtedness.. 6 per cent....At various dates in 1866..
Temporary Loan........ 4 to 6 per ct.. October 15, 1866.

Aggregate of debt on which interest has ceased since maturity... $1,769,297 26 294,346 34

28

Title of Loan.

Debt Bearing Interest in Lawful Money.

Rate.

$23,490,000 00

When Red'le or Pay le Interest Payable. Amt. Outstand'g Int. due Accrued Inter't & unp'd Fayable on de-On redempt'n mand.... of cert.... Int. only appl. to January and pay't of pens's. July Payable Sept. 1, March & Sep14 per ct. 1875

Three per cent.
Certificates...3 per ct.
Navy Pension
Fund
Cert. of Indebt.

of 1870...

3 per ct.

Aggregate of debt bearing interest in lawful money..

$62,500 00

14,000,000 00

175,000 00

tember

678,000 00 480 00

$38,168,000 00 480 00

6,780 00 $244,280 00

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Decrease of Debt from March 1, 1869, to December 1, 1871...

72,457,479 07 $277,211,892 16

Interest Payable.

Bonds Issued to the Pacific R. R.'s, Int. Payable in Lawful Money.

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January & July.

January & July.

January & July.

January & July.

January & July.

July 2, 64.6 per cent. 30 yrs. fm. date. January & July.

July 162,

July 1,

Principal
Outstanding.
$25,881,000 00

Interest accrued interest paid by Int. repaid by Bal. of Int. paid and not yet paid United States. trans. mails,&c. by Unit. States $422,556 33 $4,392,071 51 671,520 37

Central Pacific..

Kansas Pacific..

Union Pacific..

Central Branch, U. P..

Western Pacific......

6,303,000 00 27,236,512 00 1,600,000 00 1,970,000 00

$647.025 00 $4,814,627 84
157,575 00 1,591,173 09,
680,912 80 5,347,561 77
40,000 00
397,808 26

919,652 72

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Sioux City and Pacific.

Totals

1,628,320 00 $64,618,832 00 $1,615,470 80 12,692,475 41 $3,317,907 44 $9,374,567 97

The foregoing is a correct statement of the Public Debt, as appears from the books and Treasurer's returns in the Department at the close of business, November 30, 1871.

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