REPORT OF THE EXECUTIVE COMMITTEE. 123 



Statement of estimated income from the Smithson fund and from other sources 

 during the fiscal year ending June 30, 1922. 



Cash balance, Juno 30, 1921 $11,229.34 



Time deposits 25, 000. 00 



Interest on fund in United States Treasury, due July 1 

 1921, and Jan. 1, 1922 $60,000.00 



Interest from miscellaneous sources, exchange repay- 

 ments, sale of publications, refund of advances, etc. 13,454.52 



Revenues to be applied to specific purposes 90, 525. 00 



Revenues to be invested 7, 810. 00 



171, 7S9. 52 



Total estimated for year ending June 30, 1922 208,018.86 



Respectfully submitted. 



Geo. Gray, 



Alexander Graham Bell, 



Henry White, 



Executive Committee. 



