Page 454 - Annuaire Statistique Québec - 1918
P. 454

CAISSES POPULAIRES                            407


           Tableau aO-Résumé des opérations comparées des Caisses populaires en 1919, 1920,
                                       1921 et 922.

                                         1922      I!l21     1920      1919

                                        al-Caisse

          Recettes :-
            1. Balan~e en caisse le 1er jour de J'année
               socia.lp  , .. "  ,  .  $ 688.205.26  $ %9.147 80 $ 1.111.37443  5 845.891.24
            2. Capital social.  ,   .   189.182.57  241,537.20  230816.23  188.235.66
            3. Taxes d·entré        .     5.271. 55  6,643.92  6.d42.17  5,883.92
            4. Epargnes             .  6.668.Ml. 94  10.301.589.39  10.529,628.r.s  8,453.536.50
            5. Prêts remis          .  3.244.932.48  3.476.322.47  3,071,338 72  2,590,282.94
            6. Bénéfices            .   352.169.75  366.711.88  310 92,; 61  235,405.11
                                     -----
                 Total              .  U.148.323.55 $15.361.952 66 $15.260.725 84 512,319,235.37
                                     ------
          Déboursés:-
            1. Ca.pital soeial remis  .  5 115,982.30  5  96.326.50  75.998. 31 1 5  74.853.43
            2. Epargnes remises aux déposants .....  7.334.935.48  10,129,424 24  9.667,920.80  7,297,026.58
            3. Prêts en cours       .  2,798.015.43  4.180.262.8J  4.26;.366.89  3.643,169.42
            4. Dépenses générales   .    58,269.64  54.026.81  45.104.82  27.867.46
            5. Dividendes           .    83.796.15  63.645.11  55.C61.12  64,702.02
            6. Intérêts sur épargnes  .  155,103.66  112.830.85  115.763.72  .104,271.54
            7. Balance en caisse le dernier jour de
               l'année sociale      .   602.220.89  695.436.34  1,031,910 15  1,107,344.92
                 Total.               'U.148,323.55 $15.361.952.66 $15.260.72584 $12.319.235.37

                                       b)-Bilan

          Acti! :-                             1
           1. Prêts non remboursés  .  $ 5.292.332.441 $ 5.799,282.18 $ 5.181.391.69153.976.940.98
           2. Caisse.•........... " ..  o.  o •••••  o ••  599.169.50  703.679.40  1.080.465.44  1.106.863.44
           3. Frais généraux  ,  "  .   47,233.91  42.337.68  41.507.89  29.356.54
           4. Divers, ••...... ,    .    3,614.48  4.828.88   3.599.81  1.219.44
                                     ------ ----- -----1-----
                 Totaux              $ 5.942,350.33 :$ 6.550.128.14 S 6.306.964.(3 55.U4,380.40

           1. Capitalsoeia!.         S 1.355.309.54 S 1,328.991.22  $ 1.19:),170 40 $ 1,034.301.68
           2. Epargnes              .  3.912.375,0:;  4.602.203.84  4..558.053.24  3,682,050.63
           3. Dividendes            .   26,356.82  25.459.50  19,442.44  23.808.67
           4. Intérêts sur épargnes  "  .  31,616.59  35.327.07  2~.1l3.16  18,109.09
           5. Patrimoine           .    397,517.22  318.071.17  552.627.3',  200,364.88
           6. Taxes d'entrée et bénéfices........•.  219,175.11  240.075.341  249,258 24  155.745.45
                 Total..             S 5,942,350.33 S 6.550.128.14 S 6.305.564.lf3 $ 5.UU80.40
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