74 ANNUAL REPORT SMITHSONIAN INSTITUTION, 19 34 



CASH BALANCES, RECEIPTS AND DISBURSEMENTS DURING THE FISCAL 



YEAR — continued 

 Receipts — Continued. 



Cash capital from sale, call of securities, etc. 



(to be reinvested) $133, 066. 73 



Total receipts other than Freer endowment $275, 470. 93 



Cash receipts from Freer endowment: 



Income from investments, etc $200, 355. 55 



Cash capital from sale, call of securities, 



etc. (to be reinvested) 553, 646. 82 



Total receipts from Freer endowment 754, 002. 37 



Total 1,212,881. 55 



Disbursements: 



From funds for general work of the Institution: 



Buildings, care, repairs, and alterations $2, 138. 63 



Furniture and fixtures 17. 47 



General administration 2 21, 655. 51 



Library 2, 500. 85 



Publications (comprising preparation, print- 

 ing, and distribution) IS, 035. 98 



Researches and explorations 23, 001. 50 



Special fund 1, 400. 00 



International exchanges 4, 415. 57 



73, 165. 51 



From funds for specific use, other than Freer 

 endowment: 



Investments made from gifts, from gain 

 from sale, etc., of securities and from 



savings on income 9, 089. 11 



Other expenditures, consisting largely of 

 research work, travel, increase and care 

 of special collections, etc., from income 

 of endowment funds and from cash gifts 

 for specific use (including temporary 



advances) 68, 711. 57 



Reinvestment of cash capital from sale, 



call of securities, etc 104, 596. 82 



182, 397. 50 



From Freer endowment: 



Operating expenses of the gallery, salaries, 



field expenses, etc 51, 890. 62 



Purchases of art objects 132, 736. 89 



Investments made from gain from sale, etc. 



of securities and from income 26, 131. 61 



Reinvestment of cash capital from sale, call 



of securities, etc 496, 440. 62 



707, 199. 74 



Cash balance June 30, 1934 250, 118. 80 



Total 1,212,881. 55 



> This includes salaries of the Secretary and certain others. 



