Document Ma5xkaxoqXNaONVKj57x31ez

i, ; ' ANACONDA LEAD PRODUCTS COMPANY - NEW YORK OFFICE Joymal Eptry No. "3^r * - " '' ........ Entered Journal Fj Iw Mo . . ..................... pecenfber 31*1...,, J92 j Debit Credit LEAD SBBC&A3E3 VB1SB ZiZ> IS OIL F0RCHi3E3 SELUBG KXIES3B3 ifisscT asoesa - uiacsujaxoos e x k s s e s oaneuL b x k s 3E3 - Ch ic a g o o f f ic e . to CHICAGO OFFICE To transfer from the books of the Chicago Office the debit balances of the above naaed aooounts at Deoesber 31st 1921 173.731-10 6*741-91 i9.08l.87 16.773-91 6.33S-70 232,667-4