XL REPORT OF THE EXECUTIVE COMMITTEE. 



DISBURSEMENTS. 



Books, pamphlets, and periodicals SI, 2G2. 18 



Balance July 1, l!>Ot;. to meet outstanding liabilities 737.82 



BOOKS NATIONAL MUSEUM, 1905. 

 RECEIPTS. 



Balance July 1, 1905, as per last report $965.90 



DISBURSEMENTS. 



Books, pamphlets, and periodicals - — 905.69 



Balance July 1, 1906, to meet outstanding liabilities 00.27 



BOOKS, NATIONAL MUSEUM, 1904. 

 RECEIPTS. 



Balance July 1, 190.5, as per last report $18.32 



DISBURSEMENTS. 



Books, pamphlets, and periodicals 10.71 



Balance 7. 61 



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

 Treasury Department, to the credit of the surplus fund. June 30, 1906. 



NATIONAL MUSEUM, TRANSPORTATION OF EXHIBITS ACQUIRED FROM THE 

 LOUISIANA PURCHASE EXl'OSITION. 



RECEIPTS. 



Balance July 1, 1905, as per last report $5,235.12 



DISBURSEMENTS. 



Freight and cartage 4,063.79 



Balance July 1, 1906, to meet outstanding liabilities 1.171.33 



. PURCHASE OF SPECIMENS. NATIONAL MUSEUM, 1004. 

 RECEIPTS. 

 Balance July 1, 1905, as per last report $014.72 



DISBURSEMENTS. 



Disbursements None. 



Balance $614. 72 



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

 Treasury Department, to the credit of the surplus fund. June 30, 1900. 



