.MjMzNQ.MjQ0NA: Difference between revisions
(Created page with "OFFICE OF H.C.FRICK RECEIVED JAN 18 1913 MATTERS FOR ATTENTION. 1913 January 26 - Fort Smith & Western notes due; see letter herewith. O.K renew F January 27 - Day for opt...") |
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Net owing from M.K. & Co. at Jan.30 $174,194.44 | Net owing from M.K. & Co. at Jan.30 $174,194.44 | ||
renew | renew aft | ||
the | the month | ||
for 6 more | |||
February 3 - Due at Union Trust Co., F. W. McElroy note for $1,000,000 | |||
Collateral 20,000 shares Pennsylvania stock. | |||
This note was discounted Nov. 4, 1912, at 5% per annum. | |||
Renew | |||
spoke to | |||
Mr McE | |||
Leave rate to | |||
HCMcE | |||
From Jan 30th to Feby 24th = 26 days | |||
174194.44 | |||
26 | |||
----- | |||
104516664 | |||
34838888 | |||
6/452.05544 | |||
--- | |||
754.84 | |||
1/6 125.81 | |||
---- | |||
629.03 | |||
174194.44 | |||
629.03 | |||
----- | |||
174,823.47 |
Latest revision as of 18:01, 30 March 2020
OFFICE OF H.C.FRICK RECEIVED JAN 18 1913
MATTERS FOR ATTENTION.
1913 January 26 - Fort Smith & Western notes due; see letter herewith. O.K renew F
January 27 - Day for option declaration on London calls for end of January. Pay when bill is received
January 30 - Following notes of M. Knoedler & Co, to their order, endorsed in blank, are due to-day:- 9 Months note, payable at American Exchange National Bank, New York, - $125,000.00 9 Months note, payable at 1st National Bank, N. Y., 250,000.00 Total - $375,000.00 Against this there is credit account Paintings - $200,000.00 2 %?? and interest for Jan.1st @ 5% p.a. 805.56 200,805.56 --- Net owing from M.K. & Co. at Jan.30 $174,194.44 renew aft the month for 6 more
February 3 - Due at Union Trust Co., F. W. McElroy note for $1,000,000 Collateral 20,000 shares Pennsylvania stock. This note was discounted Nov. 4, 1912, at 5% per annum.
Renew spoke to Mr McE
Leave rate to HCMcE
From Jan 30th to Feby 24th = 26 days 174194.44 26
104516664
34838888 6/452.05544 --- 754.84 1/6 125.81
629.03
174194.44
629.03
174,823.47