162 ANNUAL REPORT SMITHSONIAN INSTITUTION, 1963 



CASH BALANCES, RECEIPTS, AND DISBURSEMENTS DURING FISCAL 



YEAR 1953' 



Cash balance on handJune 30, 1952 $511,063. 79 



Receipts, other than Freer endowment: 



Income from investments $207, 174. 39 



Gifts and contributions 120, 932. 05 



Books and publications 42, 325. 07 



Miscellaneous 30, 612, 65 



Proceeds from real estate 8, 643. 96 



Payroll withholdings and refund of advances 



(net) 375. 05 



Proceeds from other stocks and bonds (net) 102, 912. 53 



Total receipts other then Freer endowment 512, 975. 70 



Receipts from Freer endowment: 



Interest and dividends $326, 453. 31 



Proceeds from sales and purchases (net) 13, 477. 04 



Total receipts from Freer endowment 339, 930. 35 



Total 1,363,969. 84 



Disbursements other than Freer endowment: 



Administration $95, 643. 45 



Publications 28, 196. 50 



Library 855. 51 



Custodian fees and servicing securities 1, 260. 72 



Miscellaneous 2, 213. 40 



Researches 194, 674. 67 



S. I. Retirement System 2, 768. 34 



U. S. Government and other contracts (net) 571. 63 



Purchase and sale of securities (net) 130, 637. 20 



Total disbursements other than Freer endowment 456, 821. 42 



Disbursements from Freer endowment: 



Salaries-- $108, 485. 59 



Purchases for art collection 134, 955. 00 



Custodian fees and servicing securities 10, 494. 99 



Miscellaneous-- 20, 041. 87 



Total disbursements from Freer endowment 273, 977. 45 



Disbursements of current funds for investments in 

 U. S. Government bonds: 



Purchases-- - $798, 746. 76 



Sold or redeemed 699,406. 13 



Total disbursements of current funds for investments in 



U. S. Government bonds (net) 99,340.63 



Total disbursements 830, 139. 50 



Cash balance June 30, 1953 533,830. 34 



Total 1, 363, 969. 84 



' This statement does not include Government appropriations under the admin- 

 istrative charge of the Institution. 



