■fj
If
p;
fc
f
li
I.
Mf.
v
pi
1'
Overzicht van de balansen der Boerenleenbanken per 31 December 1908—1950
if fl
I f*
I M
I
r
H
X
y-
b.;-
r
11
f1
ï'i
i 66
f
:.j f.
908
909
910
911
912
913
914
915
916
917
918
919
920
921
922
923
924
925
926
927
928
929
930
931
932
933
934
935
936
937
938
939
940
941
942
943
944
945
946
947
948
949
950
237
263
283
310
346
363
378
386
409
423
436
469
490
501
508
512
512
537
543
549
550
555
559
561
561
563
563
565
566
567
568
568
568
569
569
571
572
574
581
581
582
583
584
67
BEZITTINGEN
449
476
632
748
913
1.022
1.148
1.517
2.031
2.751
3.969
3.707
4.123
4.052
4.130
4.291
4.344
4.662
4.301
4.513,
4.640,
4.512,
3.952.
3.301
2.708
2.675
2.722
2.523
2.624
2.329
2.552
2.791
2.959
4.361
4.575,
4.589,
15.694
14.528
7.252
7.189
6.912
8.643
8.643
.192,91
.166,77
148,72
006,13
710,99
.200,14
.376,48
936,71
.826,66
.348,98
.881,95
.854,58
.479,07
.906,01
.159,56
.310,27
.934,75
.887,21
.113,15
.840,09
.695,95
.527,38
,980,55
.546,77
.757,89
.515,94
.555,12
.008,12
.384,03
.987,87
.980,32
896.36
413,29
936,53
840,62
264,25
.763,28
.691,68
.441,23
,309,53
073,39
679,56
624 90
5.320.605,86
6.120.315,74
7.003.209,83
8.017.215,85
9.731.249,63
12.032.290,51
13.070.699,08
12.592.442,76
13.306.705,54
14.324.952,58
15.504.812,13
22.315.975,30
31.091.390,28
37.997.274,90
40.682.460,27
41.164.555,56
41.464.705,32
43.380.528,26
45.633.358,93
46.997.387,44
48.597.744,26
52.015.635.88
54.665.823,85
55.088.601,93
54.629.168,53
52.180.905,20
48.310.230,61
46.940.125,64
45.980.534.20
43.826.072,01
43.928.256.21
44.204.576,63
40.025,153,98
32.156.702,76
25.908.476,21
18.459.516.89
14.741.542,21
13.047.801,93
13.729.495,41
21.580.216.90
33.220.316,47
47.418.276.49
69.951.102,84
589
798
1.127
1.456
2.067
2.928
3.322
3.700
4.349
4.839
6.154
9.952
13.985
15.986
17.301
17.333
16.608
16.913
17.948
18.519
19.873
22.026
23.968
24.486
25.147
24.013
21.648
20.167
18.673.
16.391,
15.371.
14.328.
11.748.
8.649
7.086
5.623
5.427
6.544
10.775.
16.987,
22.771.
31.959.
40.797.
.034,11
.185,85
756,82
.583,31
439,87
.473,06
.504,66
.081,86
.308,90
.884,49
876.51
051,39
623.52
.326,25
.922,56
.447,23
348,41
883,12
.779,69
.404,65
.511,56
.436,05
.124,77
.103,71
.643,80
.034,66
.084,08
.313,55
.261,21
.248,13
.225,38
.170,05
.039,66
.996,62
.487,76
.300,35
.224,76
.708,93
.039,80
.251,67
.220,02
.124,33
.032,53
I
2.124.865,61
3.052.974,77
4.270.118,54
5.663.927,10
6.240.633,68
6.817.342,35
6.815.730,80
12.424.895.12
21.557.504,63
33.206.899,26
51.791.546.42
53.579.821,15
44.531.773,87
47.231.748,48
48.291.008,93
41.209.588,91
41.437.529,40
48.644.143.17
47.612.614,03
51.622.963.13
58.834.459.43
63.385.410,08
66.141.105,60
60.821.055,71
53.074.799,32
54.298.248,63
58.763.652,43
59.406.589,21
61.581.312,65
80.649.134,97
80.386.840.18
73.265.336,24
76.464.657,86
87.389.142,11
132.700.428,19
233.760.119,16
310.514.474.77
614.860.543,39
524.628.073,23
517.170.870,99
486.117.203,51
479.630.560,16
455.159.352.78
779.749,14
809.068,63
1.032.754,29
1.266.088,08
1.407.331,21
1.554.395,59
1.554.843,44
1.589.627.44
2.361.633,72
2.645.694,89
3.011.651.46
4.465.760,10
4.658.630,76
5.332.215.98
5.521.158,34
5.618.227,92
5.619.153,54
5.464.960.92
5.623.603,50
5.809.675,06
5.198.587,25
5.554.553,40
5.952.418.45
6.167.159,74
6.141.950.93
5.969.153,69
5.940.303,85
6.181.171.47
6.491.969,64
6.460.555,96
7.705.490,08
8.268.543.99
8.465.762,06
12,396.983,79
20.812.716,71
33.712.477,06
33.269.652,17
33.767.914,24
31.015.359,46
29.495.068,38
29.264.414,68
29.142.217
30.189.946,32
122
112
124
131
153
158
155
146
142
137
166
151
211
241
252.
259.
267.
265.
281.
243.
301.
296.
340.
326
353
359
355
379
397
394
384
369
306
294
335
319
303
286
286
361
528
825
1.296
.220,89
.598,17
.542,81
.505,38
.645,84
.268,59
.459,46
.785.95
.719,25
.271,60
.010,44
.833,52
.207,64
.539,08
.889,93
,201,23
,747,14
317,99
.194,40
.764,64
.177,32
.565,67
.288,30
.970,25
.263,37
.165,80
.559,18
.709,59
.266,37
.060,65
.293,07
.558,59
.758,54
.869,93
.682,54
.432,24
.353,68
.657,83
.723,98
635,03
812,51
328,29
064,78
24.461,48
25.387,75
26.041,44
27.431,39
30.174,01
32.169,24
33.669,24
141.300,
150.600,
159.000,
173.500,—
189.100,
198.900,
206.800,—
264.700,—
276.000
281.200,—
290.900,—
299.300,—
305.100,—
341.100,
345.200,
353.100,
360.100,—
363.200,—
364.415,
365.365,
364.905,
365.605,—
365.855,—
370.000,—
366.200,—
366.200,—
367.600,—
366.200,—
366.800,—
367.100,—
367.700,—
369.800,—
369.800,—
369.800,—
370.500,—
370.500,—
SCHULDEN
25.453,14
26.784,16
33.416,83
37.277,77
37.623,97
45.153,99
48.877,47
45.833,75
57.731,05
53.681,641
82.055,49
96.469,41
1 19.839,95!
182.557,93
230.338,11
247.957.50j
224.993,23
278.793,561
268.206,71
257.734,97
245.186,34
421.381,11
547.054,15
684.965,41
829.648,54
944.789,63
949.026,04
944.655,48
938.140,83
839.510,59
809.421,20
763.814,66
668.291,31;
559.473,37
500.140,06
602.642,34
3.246.902,431
1.652.578,7T
1.123.698,48!
1.126.759,29
1.002.851,86
4.598.256,77
4.979.228,68
4.312,25
7.601,42
4.495,63
5.162,75
11.906,49
18.847,97
25.437,43
104.172.05
53.127,61
57.161,73
118.610,53
228.071,38
234.152,19
245.1 14,31
117.469,99
89.423,76
102.742,30
198.753.06
233.988,27
106.352.33
117.566,48
67.140,35
43.832,18
42.798,56
96.224,87
154.559.34
176.483,13
176.378,36
169.858,97
158.669,25
98.886,22
94.171,68
38.377,33
10.852,13
16.424,52
3.838,23
9.866,60
8.114,56
1.633,66
3.138,51
955,63
1.988,17
3.626,29
8.425
10.353
12.938
15.646
18.450
21.561
22.871
29.982
41.570
55.405
77.143
89.551
92.187
103.232
107.376
99.297
98.508
108.466
110.167
115.739
125.516
134.465
140.085
134.336
124.067.
122.150,
121.564
119.777
120.262
134.985
135.341
128.013
123.019
126.309
167.263
261.512,
333.681
610.690
512.082
519.353
506.024
522.271
526.609
.076,51
.710,11
.577,45
.796,50
.564,22
.462,85
.099,18
,956,95
1.632,82
.888,84
.470,79
.956,01
.948,96
752,68
.340,96
.085,62
.297,27
.980,01
,989,43
.336,90
833,47
558.31
.482,97
.717,35
.731,25
.605,89
.110,60
.402,23
.364,26
.082,02
.948,14
.200,32
.023,56
,987,64
.869,97
849,94
.452,71
.678,27
.265,58
.304,62
.252,56
.241,77
.856,71
150.572,45
188.581,15
237.994,09
307.502.68
408.729,43
399.665,78
398.653,45
843.586,19
1.278.390,95
1.669.755,28
2.295.197,62
2.247.580,79
1.970.591,44
2.346.749,21
2.298.176,60
2.308.878,03
3.026.852,36
3.611.325,77
3.467.167,12
3.593.404,83
4.251.245,66
4.298.027,83
4.234.785.15
4.075.469,69
3.620.344,60
3.608.977,17
3.807.639,72
3.492.947.16
3.624.063,19
4.359.348,68
4.441.225,52
4.426.978.17
6.313.139,52
8.825.050,28
13.807.193,62
24.076.021,30
35.755.754,30
55.931.217,99
56.005.277,38
53.424.371,60
53.264.689,11
55.168.892,79
57.782.832,75
670.
646.
778.
1.034.
1.310
2.143
2.294
762
340
154
458
1.659
3.501
3.863
4.721
6.158
5.499
4.040
4.028
4.141
3.085
4.041
5.282
6.021
8.225
7.265
5.398
4.993
4.211
2.648
1.937
1.752
1.107
356
60
49
034,74
469,48
.108,27
.058,16
.855,94
.002,44
.581,38
.054,13
.061,60
.485,57
.024,47
.511,04
.761,12
.028,87
.935,91
.247,15
.924,07
.416,40
.948,70
.193,64
.005,26
.928,58
,604,90
.716,92
.037,51
.880,87
.752.65
.052,30
.046,89
348,78
.565,55
:.348,47
.701,74
.685,03
.060,17
.703,14
75.305,28
266.332,80
12.836,30
86.339,12
1
3
1,
1.
3.
1
1
4
11
20
33
75
37
41
88
106
108
28
27
76
42
63
19
26
23
22
47
190.
292,
362.
283
116
364
441
1.876
4.997
6.334
5.920
3.882
6.677
7.462
743,21
927,20
.197,49
.842,41
.755,82
.429,86
,737,52 1
.409,51
.709,37
.724,14
.663,32
.702,01
.760,58
.027,24
.384,77
.225,10
.209,77 j
.348,58
224,39
.791,14
.144,66
.714,03
.932,93
.330,85
.963,42
.665,85
.743,34
.153,25
.933,12
.581,60
.466,10
.153,44
.002,97
.582,40
.639,51
.504,72
.301,86
.348,12
.355,08
.064,84
.203,69
.172,96
.832,67
150.901,88
190.773,18
238.000,50
296.601,14
348.540,34
423.600,49
490.882,25
597.141,67
616.192,56
793.558,54
919.634,49
1.024.785.69
1.129.740,37
1.404.850.70
I.822.925,93
2.283.960,75
2.665.150,36
3.213.343,09
3.855.100,04
4.311.041,67
4.728.157,90
5.162.797,89
5.673.399,64
6.154.282,23
6.781.810,64
7.416.424,60
7.953.194,77
8.373.635,41
8.625.271,89
8.814.371,02
9.115.185,48
9.478.016,19
9.898.434,60
10.247.645,82
10.610.287,57
10.777.389,59
II.320.787,96
12.222.704,64
13.283.355,61
14.562.951,10
15.389.262,69
17.205.851,85
18.351.024,03
42,
48
60
64
73
79
116
75
204
147
144
182
331
554
535
400
562
661
574
562
541
579
645
627
629
491
483
424
451
417
479
419.
421.
331.
196,
579.
940.
1.222
1.477
948
1.360
1.253
1.097
566,60
.622,14
.607,11
.396,87
.269,94
.980,02
.644,28
.927,19
.170,06
.482,80
.954,24
.401,29
.194,81
.074,24
343,52
315.73
920,26
.753,44
729,
454,13
.641,64
.823,28
.522,26
.785,04
.769,83
.233,51
.818,36
.666,07
.653,55
.362,33
,001,87
.571,61
,351,64
,606,07
.345,77
.921,83
.583,07
.762,31
.011,60
.052,86
.907,22
.935,10
593,84
11.136.438,24
13.001.402,28
18
24
28
27.
35
54
71.
98,
127
138
144
117
123
126
142
143
146
163
176
178
178
141
145
148
139
138
169
162
163
187
224
229
396
259
1.124
1.057
796.
1.331
1.678
1.635
338.088,28
150.974,96
,513.722,76
799.860,01
170.484,63
698.509,88
899.019,50
044.839,65
.904.387,13
,744.656,01
.239.291,30
.344.354,45
.619.571,21
.072.872,36
.751.172,13
.989.192,09
.433.192,28
.759.363,51
.900.654,98
,826.520,41
.376.210,41
.232.646.99
.392.533,05
.201.765,34
,345.496,72
.749.401,40
,290.666,15
.505.299,50
.834.163,77
.081.950,65
.780.746,42
.958.677,12
.698.401,87
.638.525,98
.290.360,29
.332.285,64
520.744,53
,385.568,66
458.590,73
760.745,92
11.136.291,47
13.210.281,83
18.155.
23.918.
28.427
27.614
34.826
54.965
71.680
97.487
128.991
137.493.
144.322.
117.335.
121.352.
126.562,
142.874
144.404
146.032
163.659
176.814
179.431
178.799
141.814
145.418
148.019
139.538
138.647
169.585
162.282
163.595
186.914
223.382
229.757
396.661
251.693.
1.129.038
1.059.816
796.293
1.331.602
1.676.777
1.635.865
776,32
409,59
488,76
,230,29
.490,21
.867,66
.177,34
.097,99
.053,91
.675,95
.057,05
.767,58
.634,46
.134,98
.167,66
.239,03
.338,68
.095,44
,254,14
.520,94
,462,82
.262,55
.088,35
.382.88
174,68
618,03
214,30
307,03
.247,73
.433,71
.722,22
.970,92
.436,31
176,48
814,93
480,52
220,55
136,21
.448,54
.863,56
lil
iAJ
i
I I I
1
f i
i
V,
i
i
:l ;i'
Kas en
Kassiers
Voorschotten
Lopende
rekening
Tegoed
bij de
Centrale Bank
Effecten
Roerende en
onroerende
goederen
Aandelen
Centrale Bank
en Boeren-
Hypotheekbank
iN.B. Waar geen getallen zijn ingevuld, ontbreken de daartoe nodige gegevens.
Overige
rekeningen
Saldo verlies
van vorige
jaren en
over
het boekjaar
Spaargelden
Lopende
rekening
Schuld
aan de
Centrale Bank
Overige
rekeningen
Reserves
Winst
Ontvangsten
Uitgaven