FINANCIAL REPORT. 



Dec. 31st. 



Dec. 31st. 



To total receipts 1874, includ- 

 ing memberships 



Disbursements. 



By amount paid purses to 

 races 



By amount paid premiums 



By amount paid for improve- 



ment of grounds. 



By amount paid for improve- 

 ment of club house 



By current expenses 



By cash on hand 



$125,411 62 



$125,411 62 



$38,400 00 



5,123 00 



50,000 00 



11,067 25 



15,941 12 



4,880 25 



$125,411 62 



