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Denmark%20Yearbook%20-%201972%20

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251 Penge- og kreditforhold<br />

(lAn (Ian mod I. prioritet)<br />

Vest- og<br />

Jydsk<br />

Land-<br />

sønderkreditjydsforening<br />

Kreditforening<br />

s<br />

9<br />

Jydsk<br />

Grundejerkreditforening<br />

Jydsk<br />

Husmands-<br />

Husmands'<br />

kreditforening<br />

10<br />

11<br />

Sønderjyllands<br />

Kreditforening<br />

12<br />

Indu- - Tihamxnen Tilsammen<br />

strielle<br />

Kreditforening<br />

1969/70 1968/69<br />

(1969)<br />

(1968)<br />

13<br />

14<br />

15<br />

A. Reduction and Increase 1969/70<br />

2 208 1 064 1 205 3 087 466 88 14792 14635<br />

Loans redeemed, number<br />

43 136 15866 17 040 17 644 6956 966 7 197 276 912 256 438<br />

» » principal<br />

3417 1 030 9244 8440 2047 451 60545 67 143 Xew New loans, number<br />

223 185 73243 1 005 717 325 502 164 642 123 850 6 132 823 7447955<br />

» » principal<br />

63 752 21 883 73 530 38 581 25 302 62 506 758 632 652 066 A8. A5. Reduction of remaining debt, total<br />

34833 14353 55404 25535 535 15718 58702 569269 467006<br />

Ordinary reduction<br />

28919 7 530 18 126 13 046 95849 3804 189 363 185 060<br />

Other reduction<br />

63 992 21 982 72 967 38 584 25 409 65 353 762 012 648 128<br />

A4. Bonds redeemed, total<br />

35 883 14516 55225 25119 20810 62168 578830 463644 a. By drawings<br />

28 109 77466 17742 742 13465 45994 33185 183 182 184484<br />

484 h. In other ways<br />

161 216 41662 312203 203 117402 69687 60082 2430040 19701621 162 A. A5, Bonds warrants due<br />

A8. Reserve and administration adminictraion funds<br />

22803 65226 35 136 18200 9541 19619 331 193 308 105<br />

a. Receipts, total<br />

55805 580 1 831 15086 48794 3 147 30963 108 068 130943<br />

Entrance payrn. paym. from new debtors<br />

5498 20282 10774 5 121 2 796 6945 88 147 73353<br />

Ordinary subscriptions of debtors<br />

10 603 2318 8919 6455 3519 6450 104317 84441<br />

Interest<br />

- 58 - - 255 - - 3 975 2 990<br />

Profits on sec. sec, and price regul.<br />

1122 287 357 1 490 79 3 128 26 686 16 378<br />

Other receipts<br />

11 531 27312 8017 7933 13 183 6840 139 578 112 778<br />

b. Expenditure, total<br />

7 522 2 160 6 036 5 171 2 697 22086 75 661 66 177<br />

Administration<br />

- 33 160 ± 5 - 500 12844 13412<br />

Depreciation, appropriations, etc.<br />

1 248 228 849 1 470 572 3 068 20 747 8 598<br />

Loss on secur. and price regul.<br />

2 256 310 508 1 233 331 316 8679 9 197<br />

Shares disbursed<br />

505 - - 4950 662 11 796 8 113<br />

Reduction of remaining debt<br />

- - 464 64 4633 208 9 851 7 281 b8. Other expenses<br />

86541 32178 124617 156804 32145 6205 986573 940820<br />

32501601006415590793123203823 1 006 5907 931 2 320 38214302331244541 1 1 244 48770150 42914239<br />

239<br />

3 145 751 874 314 5 744833 2 214469 1 365 540 1136602 46 768 351 41175764764<br />

29834962 832729560098021124721317059 5 980 2 1 317 059 973454 45005042 39630851<br />

29832 496 832 729 - 398 913 445 349 - 7 807 768 7 269 709<br />

---<br />

---<br />

5 600 980 1 713 559 871 710 973 454 37 197 274 32 361 142<br />

--<br />

64 790 64 790 65 779<br />

- - - - - - - -<br />

12 234 2 288 1 860 3 185 1 014 937 72995<br />

59 247<br />

- 500 - 1 013 500 - 51 454 44502<br />

104567 25167 44524 64733 34911 84298 1073959 947469 469<br />

38 051 13627 97002 32 448 7830 12 345 438 988 364 204<br />

7403 3 467 618 4226 778 61123 63712<br />

31457513 8743145744833221446913655401136602 5 744 833 2 214 469 1 365 540 1136602 46768351 41175764<br />

764<br />

2983019 832 396 559806822 112 233 1 316 633 1 038 530 45058 190 39686 138<br />

- - - - - - 248 259<br />

355 652 27 864 23497 27975 23 870 - 1 664 295 1 700 698<br />

401431 180278 298922 117230 164273 207502 4244907 4316766<br />

215 883 76935 461 378 243 735 96465 7 187 3607602602 3 552 901<br />

274243 243 161421 599785 194022 160550 98977 7936589 72776577 190092092 55907 561262 181359 106099099 250126 2432472 472 2283016283 262 906 98457 447 573 99881 321 377 78786 786 4558909 4050295<br />

330294 231 534 456364 255779 38967 - 3355927 3048922<br />

952518 518 -2749287- 2 287 992252 252 405032 032 395952 952 17257241 241 13455624<br />

380 184 2211 558 122 323 18827 15 150<br />

1350 382 1627 658 407 1158 83617 69856<br />

151 655 41020 141 313 100661 44911 96169 15733091 309 13816941 9347 332 1614 359 3467 422 34408 22926<br />

TI&A1SLATION. TRANSLATION. - - Hasrnao, Huo, Columni Columns 1-15: l-15: 15t 1st mortgage credit aasociatons associations (I); 14-15: total.<br />

B. Balance sheets 31 March 1970<br />

B1. Number Xumber of loans<br />

Principal<br />

B2. Assets, total<br />

a. Debt balance<br />

Agricultural holdings<br />

Other properties<br />

Amortization account<br />

Reprieve loans and certificates certificatc<br />

Arrears<br />

Real properties and fixtures<br />

Securities<br />

Balances with banks, savings<br />

banks, etc., and cash in hand<br />

Other<br />

B. B3. Liabilities, total<br />

a. Bonds<br />

3 per cent per annum<br />

3'/2 p.c. p.a.<br />

3'/ p.c. p.a.<br />

4 and 4'/4p.c. p.a.<br />

4'/2 p.c. p.a.<br />

43/4 and 55p.c. p.a.<br />

S'12 5'/5p.c. p.a.<br />

6 p.c. p.a.<br />

6'/p.c.p.a. 6'/5p.c.p.a.<br />

7 p.c. p.a.<br />

b. Bonds drawn but not paid<br />

c. e. Interest due<br />

Reserve and administr. fund<br />

Other

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