REPORT OF THE EXECUTIVE COMMITTEE 219 



ASSETS — Continued 



Investments at book value other than 

 Freer: 



Stocks and bonds (Con- 

 solidated Fund) . - _ $3, 603, 299. 33 



Uninvested cash 13, 005, 75 



Special deposit in 

 U.S. Treasury at 

 6 percent interest. . 1, 000, 000. 00 

 Other stocks and 



bonds 99,783.27 



Real estate and mort- 

 gages 701.00 



— $4, 716, 789. 35 



$13, 771, 052. 40 



Total 10, 853, 593. 20 



UNEXPENDED FUNDS AND ENDOWMENTS 



Unexpended funds: 



Income from Freer Gallery of Art endowment $025, 788. 70 



Income from other endowments: 



Restricted $501, 326. 58 



General 623,034. 11 



1, 124, 360. 69 



Gifts and contributions 1, 331, 791. 41 



3, 081, 940. 80 



Endowment funds: 



Freer Gallery of Art $9, 054, 863. 05 



Other: 



General 2, 384, 347. 40 



Restricted 2, 332, 441. 95 



13, 771, 652. 40 



Total 16,853,593.20 



