LIV REPORT OF THE EXECUTIVE COMMITTEE. 



NATIONAL ZOOLOGICAL PARK. 1900. 



Balance July 1, 1900, as per last report $14, 907. 46 



Transferred to Connnissioners District of Columbia (suTidry 



civil act, June 6, 1900) 5, 000. 00 



$9, 907. 46 



DISBURSEMENTS. 



General expenses: 



Buildings $115. 20 



Books 318. 65 



Cameras 445. 00 



Fencing and cage material 1, 046. 35 



Food 1, 288. 92 



Fuel 145. 39 



Furniture - - 60. 00 



Freight 689. 13 



Lumber 328. 83 



Machinery, tools, etc 261. 97 



Miscellaneous 122. 87 



Paints, oil, glass, etc 40. 97 



Postage, telephone, and telegraph 75. 94 



Purchase of animals 236. 00 



Road material and grading 1 , 338. 84 



Special services 480. 00 



Surveying, plans, etc 984. 00 



Traveling and field expenses 629. 23 



Trees, plants, etc 710. 60 



Water supply, sewerage, etc 195. 27 



Total disbursements $9, 513. 16 



Balance 394. 30 



NATIONAL ZOOLOGICAL PARK, 1899. 



Balance July 1, 1900, as per last report $82. 31 



DISBURSEMENTS. 



General expenses: 



Books 



Miscellaneous 



Special services 



Postage 



Total disbursements $68. 85 



Balance 13. 46 



Balance carried under the provisions of Revised Statutes, section 3090, by the 

 Treasury Department to the credit of the surplus fund, June 30, 1901. 



RECAPITULATION. 



The total amount of funds administered by the Institution during the year ending 

 June 30, 1901, appears from the foregoing statements and the account books to have 

 been as follows: 



•SMITHSONIAN INSTITUTION. 



From balance of last year, July 1, 1900 $76, 219. 07 



From interest on Smithsonian fund for the year 54, 720. 00 



From interest on West Shore bonds 1 , 680. 00 



From sales of publications 188. 59 



From repayments of freight, etc 10, 240. 80 



$143, 048. 46 



