218 



STATE BOARD OF AGRICULTURE. 



EXHIBIT B. 

 STATEMENTS OF REVENUES AND EXPENSES. 

 December 1, 1918, to November 30, 1919. 



REVENUES. 



Admissions: 



General Day Admissions $95 , 768 17 



General Night Admissions 12,784 20 



Grand Stand Night Box Seats 1 ,472 75 



Grand Stand Night Admissions 14 , 664 50 



Exhibitors Tickets 1 ,824 00 



Membership Tickets 192 00 



Automobile Tickets 6,524 00 



Dog Show Admissions ; 2 , 333 35 



$135,562 97 



Auto Races: 



Day Admissions to Grand Stand $15,197 75 15,197 75 



Concessions : 



Agricultural Building 1 , 100 00 



Automobile Building 250 00 



Dairy Building 650 00 



Grand Stand 1 ,800 00 



Horticultural Building 50 00 



Main Building 1 , 150 00 



Midway Revenue 9 , 697 12 



Miscellaneous Concessions 37 , 252 50 



Woman's Building 250 00 



52,199 62 



Exhibits: 



Agricultural Building $25 00 



Automobile Building 9,397 95 



Dairv Building 1 ,868 00 



Horticultural Building 56 25 



Machinery Building 1 , 378 00 



Machinerv Field 298 00 



Main Building ' 4 , 392 70 



Poultry Building 50 00 



Woman's Building 25 00 



Miscellaneous Exhibitors 1 , 150 00 



Grand Stand Land Show 262 00 



18,902 90 



Horse Show: 



Grand Stand Admissions $4 , 262 63 



Box Seats 1 ,002 00 



Sundry Revenue 31 25 



O , ^9o oo 



Speed Department: 



Entrance Fees $1 , 645 00 



Grand Stand Admissions 4 , 262 62 



Score Cards 478 33 



Box Seats 1,001 50 



Suspension Fees 130 00 



7,517 4o 



Motorcycle Races: 



Grand Stand Admissions $1 , 821 50 



Programs 36 25 ^ 



1 , »57 ( o 



Sundry: 



Electric Current Sales $1 .062 50 



Forage Sales 2,623 50 



Interest Earned 460 60 



Miscellaneous Revenue (Schedule 6) 273 66 



Official Program Advertisements 3 ,960 00 



Official Restaurant 417 25 



Premium List Advertisements 3 , 895 00 



Rental of Buildings 18,497 50 



Rental of Grounds 575 00 



Rental of Stables 427 00 



tall and Pen Fees 3 ,762 75 35,954 .6 



EXPENSES. $272,489 08 



Administration Expenses (Schedule 7) $51 ,677 98 



Operating Expenses (Schedule 8) 58 , 316 70 



Departmental Expenses (Schedule 19) 76 , 629 29 



Interest on Notes 127 61 



Interest on Bonds 15,550 00 202,301 58 



Total Operating Profit $70 , 187 50 



Slate of Michigan Special Appropriation $24 ,()00 00 



'Sundrv Appropriations for Premiums 682 33 



^-^^-■^ ^i^ 24,734 33 



Net Profit Carried to Surplus , $94,921 83 



