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13034°-FI 1917-18

TABLE B.-Statement of the outstanding principal of the public debt of the United States on the 1st of July of each year from 1856 to 1917, inclusive.

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0 1865-Aug. 31..
1866-July 1...

1867..

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Year.

Total interest-
bearing debt.

$31,762, 761.77
28, 460, 958.93
44,700, 838. 11
58,290, 738. 11
64, 640, 838. 11
90, 380, 873.95
365, 304, 826.92
707,531, 634.47
1,359,930, 763.50
2,221,311, 918. 29
2, 381, 530,294.96
2,332, 331, 207.60
2,248,067, 387.66
2,202, 088, 727.69
2,162,060, 522.39
2,046, 455, 722.39
1,934, 696, 750.00
1,814, 794, 100.00
1,710, 483, 950.00
1,738, 930, 750.00
1,722, 676, 300.00
1,710,685, 450.00
1,711,888, 500.00
1,794, 735, 650.00
1,797,643, 700.00
1,723,993, 100.00
1, 639,567, 750.00
1,463, 810, 400.00
1,338, 229, 150.00
1,226, 563, 850.00
1, 196, 150, 950.00
1, 146, 014, 100.00
1,021, 692, 350.00
950, 522,500.00
829,853,990.00
725, 313, 110.00
610, 529, 120.00
585, 029, 330.00
585,037, 100.00
635, 041, 890.00
716, 202, 060.00
847,363, 890.00

Debt on which interest has ceased.

Debt bearing no
interest.

Outstanding prin-
cipal.

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1 Containing legal-tender notes, gold and silver certificates, etc.

201, 449.77
199,999.77
280, 195.21
473,048. 16
416, 335.86
1,245,771.20
1,503, 020. 09
935, 092. 05
1,840, 615. 01
1, 197, 340.89
5, 260, 181.00
3,708, 641.00
1,948, 902.26
7,926, 797.26
51,929,710.26
3,216,590.26
11, 425, 820. 26
3,902, 420.26
16,648, 860.26
5,594, 560.26
37,015,630.26
7,621, 455.26
6,723,865.26
16, 260, 805. 26
7,831, 415.26
19,656, 205.26
4, 100, 995. 26
9,704, 445. 26
6, 115, 165. 26
2,496,095.26
1,911, 485. 26
1,815, 805. 26
1,614,705. 26
2,785,875.26
2,094, 060.26
1,851, 240.26
1,721,590. 26
1,636, 890. 26

$158, 591, 390.00
411,767, 456.00
455, 437, 271.21
458,090, 180.25
461, 616, 311.51
439,969, 874.04
428, 218, 101. 20
408, 401, 782.61
421, 131, 510.55
430, 508, 064. 42
416, 565, 680.06
430, 530, 431.52
472,069, 332.94
509,543, 128. 17
498, 182, 411. 69
465, 807, 196.89
476, 764, 031.84
455,875, 682.27
410,835, 741.78
388,800, 815.37
422, 721, 954.32
438, 241,788.77
538, 111, 162.81
584, 308, 868.31
663,712, 927.88
619, 344, 468. 52
629,795, 077.37
739, 840, 389.32
787,287,446.97
825, 011, 289.47
933,852,766. 35
1,000, 648, 939.37
958,854, 525.87
995, 360, 506. 42
958, 197, 332.99
920,839, 543. 14

$31,972, 537.90
28, 699, 831.85
44, 911, 881.03
58,496, 837.88
64,842, 287.88
90,580,873.72
524, 176, 412. 13
1, 119, 772, 138.63
1,815,784, 370.57
2,680, 647, 869.74
2,844, 649, 626.56
2,773, 236, 173.69
2,678, 126, 103.87
2,611, 687,851.19
2,588, 452, 213.94
2,480, 672, 427.81
2,353, 211, 332.32
2,253,251, 328.78
2,234, 482, 993.20
2,251, 690, 468.43
2,232, 284, 531.95
2, 180, 395,067.15
2,205, 301, 392. 10
2,256, 205, 892.53
2,245, 495, 072.04
2, 120, 415, 370.63
2,069, 013, 569.58
1,918, 312, 994. 03
1,884, 171, 728.07
1,830, 528, 923.57
1,863, 964, 873. 14
1,775, 063, 013. 78
1,657, 602, 592.63
1,692, 858, 984.58
1,619, 052, 922.23
1,552, 140, 204.73
1,545,996, 591.61
1,588, 464, 144.63
1,545,985, 686. 13
1,632, 253, 636.68
1,676, 120, 983.25
1,769,840, 323.40

Cash in the Treas- Total debt less cash ury July 1.3 in Treasury.

$21,006, 584.89
18,701, 210.09
7,011,689.31
5,091, 603.69
4,877,885.87
2,862, 212.92
18,863, 659.96
8,421, 401.22
106,332, 093.53

5,832,012.98
88,218, 055. 13
137, 200, 009.85
169,974, 892. 18
130,834, 437.96
155,680, 340.85
149, 502, 471.60
106, 217, 263.65
103, 470, 798. 43
129,020,932.45
147,541, 314.74
142, 243, 361.82
119,469, 726. 70
186, 025, 960. 73

256,823, 612.08

249,080, 167.01
201,088, 622.88
249,363, 415.35
243,289,519.78
345, 389, 902.92
391, 985, 928. 18
488, 612, 429. 23
492, 917, 173.34
482, 433, 917.21
629,854, 089.85
643, 113, 172.01
661, 355, 834.20
694,083, 839.83
746, 937, 681.03
707,016, 210.38
732,940, 256. 13
774, 448, 016.51
814,543,069. 70

Including gold reserve and coin set apart for redemption of certificates and Treasury notes and exclusive of national bank 5 per cent fund.

$10,965, 953. 01
9,998, 621.76
37, 900, 191.72
53, 405, 234. 19
59, 964, 402.01
87,718, 660.80
505, 312, 752.17
1,111, 350, 737.41
1,709, 452, 277.04
2,674, 815, 856.76
2,756, 431,571.43
2,636,036, 163.84
2, 508, 151, 211.69
2,480,853, 413.23
2,432,771, 873.09
2,331, 169, 956. 21
2,246, 994, 068.67
2,149,780, 530.35
2,105, 462,060.75
2, 104, 149, 153.69
2,090, 041, 170. 13
2,060, 925, 340.45
2,019, 275, 431.37
1,999, 382, 280.45
1,996, 414, 905.03
1,919,326, 747.75
1,819, 650, 154.23
1,675,023, 474. 25
1,538, 781, 825: 15
1,438, 542, 995.39
1,375, 352, 443.91
1,282, 145, 840.44
1, 175, 168, 675.42
1,063, 004, 894.73
975,939,750.22
890,784, 370.53
851,912, 751.78
841, 526, 463. 60
838, 969, 475.75

899, 313, 380.55
901, 672, 966.74
955, 297, 253.70

TABLE B.-Statement of the outstanding principal of the public debt of the United States on the 1st of July of each year from 1856 to 1917, inclusive—

Continued.

Year.

Total interest-
bearing debt.

Debt on which in-
terest has ceased.

Debt bearing no
interest.

Outstanding prin-
cipal.

Cash in the Treasury July 1.

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$1,817, 672, 665.90
1,796, 531, 995.90
1,991, 927, 306.92
2, 136, 961, 091.67
2, 143, 326, 933.89
2, 158, 610, 445.89
2,202, 464, 781.89
2,264,003, 585.14
2,274, 615,063.84
2,337, 161, 839.04
2,457, 188, 061.54
2,626, 806, 271.54
2, 639,546, 241.04
2,652, 665, 838.04
2,765, 600, 606.69
2,868, 373, 874.16
2,916,204, 913.66
2,912, 499, 269. 16
3,058, 136, 873. 16
3,609, 244, 262.16
5,717,770,279.52

$831,016, 579.76
769, 446, 503.76
836, 607, 071.73
1,029, 249, 833.78
1,098,587, 813.92
1, 189, 153, 204.85
1,277, 453, 144.58
1,296, 771, 811.39
1,284, 748, 291.87
1,372, 726, 152.25
1,578, 591, 306.51
1,688, 673, 862.16
1,615, 684, 710.25
1,606, 216, 652.79
1,749,816, 268.23
1,840,799, 176.88
1,887,640, 858.52
1,885, 242, 259.60
1,967, 988, 867.16
12,602, 962, 690.06
13,809,135,055.70

Total debt less cash in Treasury.

$986, 656, 086. 14
1,027, 085, 492. 14
1, 155, 320, 235. 19
1, 107, 711, 257.89
1,044, 739, 119.97
969, 457, 241.04
925, 011, 637.31
967, 231, 773, 75
989, 866, 771: 97
964, 435, 686.79
878,596, 755. 03
938, 132, 409. 38
1,023, 861, 530.79
1,046, 449, 185. 25
1,015,784, 338.46
1,027,574,697.28
1,028,564, 055. 14
1,027, 257,009. 56
1,090,148, 006. 00
1,006, 281, 572.10
1,908,635,223.82

[blocks in formation]

969, 759, 090.00

1916

971,562,590.00

1917

2,712,549, 476.61

TABLE C.-Analysis of the principal of the interest-bearing public debt of the United States from July 1, 1856, to July 1, 1917.

Year.

2 percents.

3 percents.

31 percents.

4 percents.

4) percents.

5 percents.

6 percents. 7% percents.

Total interest-
bearing debt.

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$3,632,000.00
3,489,000.00
23,538,000.00
37, 127, 800.00
43,476, 300.00
33,022, 200.00
30,483,000.00
30,483,000.00
300, 213, 480.00
245, 709, 420.63
269, 175, 727.65
201, 982, 665.01
198, 533, 435. 01
221, 586, 185. 01
221,588, 300.00

$28, 130, 761.77
24, 971, 958. 93
21, 162, 838. 11
21, 162, 938. 11
21, 164, 538. 11
57,358, 673. 95
154, 313, 225.01
431, 444, 813. 83
842,882, 652. 09
1, 213, 495, 169.90
1,281,736, 439.33
1,195, 546, 041. 02
1,543, 452, 080. 02
1,878, 303. 984. 50
1,874, 347, 222. 39

221,588, 300.00 1,765,317, 422.39
274, 236, 450.00 1,613, 897, 300.00
414,567,300.00 1,374,883,800.00
414,567,300.00 1,281, 238, 650.00
510, 628,050.00 1,213, 624,700.00
607, 132,750.00 1,100, 865, 550.00
711,685, 800.00 984, 999, 650.00
703, 266, 650.00 854,621,850.00
703, 266, 650.00 738, 619, 000. 00
508, 440, 350.00 283, 681, 350.00
484, 864,900.00 235,780, 400.00
196, 378,600.00

439, 841, 350.00

50,000,000.00
100,000,000.00
100,000,000.00
100,000,000.00

721,999, 390.00 125, 364,500.00 722,000, 630.00 125,364,500.00

1 Continued at 2 per cent.

$122, 582, 485. 34
139,974, 435. 34
139, 286, 935. 34
671.610, 397.02
830.000,000.00
813, 460, 621.95
488, 344, 846. 95
37, 397, 196.95

Annual in-
terest charge.

$31,762, 761.77 $1,869, 445.70
28, 460, 958. 93 1,672, 767.53
44, 700, 838. 11 2,446, 670. 28
58,290, 738. 11 3, 126, 166. 28
64,640, 838. 11 3,443,687.29
90,380,873.95 5,092, 630. 43
365, 304, 826.92 22,048, 509. 59
707, 531, 634.47 41,854, 148. 01
1,359, 930, 763. 50 78, 853, 487.24
2, 221,311, 918. 29 137,742, 617. 43
2,381, 530, 294. 96 150, 977, 697.87
2, 332, 331, 207.60 146, 068, 196. 29
2,248, 067, 387. 66 138, 892, 451.39
2,202, 088, 727. 69 128, 459, 598. 14
2,162,060, 522. 39 125, 523, 998. 34
2,046, 455, 722. 39 118, 784, 960.34
1,934, 696, 750.00 111, 949, 330.50
1,814,794, 100.00 103, 988, 463.00
1,710, 483,950.00 98,049,804,00
1,738,930, 750.00 98, 796, 004.50
1,722,676, 300.00 96,855, 690.50
1,710,685, 450.00 95, 104, 269.00
1,711,888, 500.00 93, 160, 643. 50
1,794, 735, 650.00 94, 654, 472.50
1,797, 643, 700.00 83,773,778.50
1,723, 993, 100.00 79, 633, 981.00
1,639,567, 750.00 75, 018, 695.50
1,463, 810, 400.00 57,360, 110.75
1,338, 229, 150.00 51, 436, 709.50
1,226, 563, 850.00 47,926, 432.50
1,196, 150, 950.00 47, 014, 133.00
1,146, 014, 100.00 45, 510, 098.00
1,021, 692, 350.00 41, 780, 529.00
950, 522,500.00 38, 991, 935. 25
829,853,990.00 33, 752, 354.60
725, 313, 110.00 29, 417, 603. 15
610, 529, 120.00 24, 675, 510.80
585,029, 330.00 22,893, 883. 20
585,037, 100.00 22,894, 194.00
635,041, 890.00 25, 394, 385.60
716, 202,060.00 29,140, 792. 40
847,363, 890.00 34,387, 265. 60
847,365, 130.00 34,387, 315.20

TABLE C.-Analysis of the principal of the interest-bearing debt of the United States from July 1, 1856, to July 1, 1917-Continued.

bearing debt.

Annual in-
terest charge.

29,789, 153. 40 27,542, 945.50 25, 541, 573. 30 24, 176, 745.00 24, 176, 781.00 23, 248, 064.00 21, 628, 913. 60 21, 101, 197. 40 21, 275, 602, 40 21, 275, 602. 40 21,336, 673. 40

$847,367, 470.00 $34, 387, 408.80 1,046, 048, 750.00 40,347, 872.80 1,023, 478, 860.00 33, 545, 130.00 987, 141, 040.00 931,070, 340.00 914, 541, 410.00 895, 157, 440.00 895, 158, 340. 00 895, 159, 140.00 894, 834, 280.00 897,503, 990.00 913, 317, 490.00 913, 317, 490.00 915, 353, 190.00 963,776, 770.00 22,787,084.40 965, 706, 610.00 22,835, 330.40 967,953,310.00 22,891,497.90 969, 759,090.00 22,936, 642.40 971,562, 590.00 23,084,635.90 2,712,549,476.61 83,625,481.42

Year.

2 percents.

3 percents.

3 percents.

4 percents. 4 percents.

Total interest

5 percents.

6 percents. 7 percents.

[blocks in formation]

• Certificates of indebtedness, 31 per cent.

NOTE 1.-Annual interest charge is computed on amount of outstanding principal at close of fiscal year and is exclusive of interest charge on Pacific Railway bonds. NOTE 2.-The figures for July 1, 1879, were made up assuming pending funding operations to have been completed.

NOTE 3.-The temporary loan per act of July 11, 1862, is included in the 4 percents from 1862 to 1868, inclusive, with the exception of the amount outstanding Aug. 31, 1865, this being the date at which the public debt reached its highest point. This loan bore interest from 4 per cent to 6 per cent, and was redeemable on 10 days' notice after 30 days, but being constantly changing it has been considered more equitable to include the whole amount outstanding as bearing 4 per cent interest on an average for the year.

TABLE D.-Statement of the issue and redemption of loans and Treasury notes and of deposits and redemptions in national-bank note account for the fiscal year ended June 30, 1917.

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Legal-tender notes, acts of Feb. 25 and July 11, 1862, Jan. 7 and Mar. 3, 1863, and Mar. 14, 1900... Fractional currency, acts of July 17, 1862, Mar. 3, 1863, and June 30, 1864 Compound-interest notes, acts of Mar. 3, 1863, and June 30, 1864.... Gold certificates, acts of Mar. 3, 1863, July 12, 1882, and Mar. 14, 1900. One-year notes of 1863, act of Mar. 3, 1863.

Funded loan of 1891, acts of July 14,

1870, Jan. 21. 1871, and Jan. 14, 1875 Silver certificates, acts of Feb. 28, 1878, and Mar. 14, 1900.. Refunding certificates, act of Feb. 26, 1879.

National-bank note account, act of
July 14, 1890...

Treasury notes of 1890, acts of July
14, 1890, and Mar. 14, 1900..
Funded loan of 1907, acts of July 14,
1870, Jan. 20, 1871, Jan. 14, 1875,
and Mar. 14, 1900...

Consols of 1930, act of Mar. 14, 1900.. Panama Canal loan, acts of June 28, 1902, and Dec. 21, 1905, series of 1906...

Panama Canal loan, acts of June 28, 1902, and Dec. 21, 1905, series of 1908..

Postal savings bonds, act of June 25,
1910.

Conversion bonds, act of Dec. 23, 1913.
One-year Treasury notes, act of
Dec. 23, 1913..

Certificates of indebtedness, act of
Mar. 3, 1917.

Certificates of indebtedness, act of
April 24, 1917..

Liberty Loan of 1917, first issue, act
of April 24, 1917..

Total.....

Excess of issues.

Excess of redemptions...

Net excess of issues..

[blocks in formation]

1 of this amount $19,047,500 were exchanged for 3 per cent conversion bonds and $17,488,000 were exchanged for 3 per cent one-year Treasury notes.

Exchanged for $2,063,800 3 per cent conversion bonds and $3,439,000 3 per cent one-year Treasury notes. Exchanged for $1,882,600 3 per cent conversion bonds and $2,045,000 3 per cent one-year Treasury notes. Issued in exchange for $19,047,500 consols of 1930 and $3,946,400 Panama Canal bonds.

Of this amount $17,488,000 were issued in exchange for consols of 1930, and $5,484,000 for Panama Canal bonds.

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