TREASURER'S REPORT. 413 



LIBRARY FUND 



Cash on hand January i, 1915 $174.16 



Receipts: 



Interest -4/5 of $1,000 American Tele- 

 phone & Telegraph Company 



4's 32.00 



J4 of $500 Western Telephone & 



& Telegraph Company, 5's. . 6.26 

 Dividends 3 shares American Telephone 



& Telegraph Company 24.00 



1 share American Smelting & 

 Refining Company, preferred 7.00 



2^/2 shares General Electric 



Company 20.00 



5 shares United Shoe Machin- 

 ery Company, preferred. . . . 7.51 



2 shares Massachusetts Gas 

 Companies, preferred 8.00 



$278.93 

 Payments: 



Purchase 2 shares Massachusetts Gas 



Companies, preferred 181.26 97.67 



Cash on hand December 31, 1915 $489.04 



INCOME AND EXPENSE FOR YEAR ENDED DECEMBER 31, 1915 



Expense Income 



Administration expense $ 6,805.36 



BIOLOGICAL BULLETIN 2,594.69 $ 1,523.36 



Boat department expense 6,629.63 



Carpenter department expense 983.09 



Chemical department expense 1,430.82 



Dormitories 1,489.49 1,691.04 



Fish trap 1,159.21 667.21 



Instruction 3.435-98 5,150.00 



Philosophical lectures 100.00 



Library department expense 2,628.64 



Mess 15.753-01 16,165.48 



Membership dues i ,000.00 



