240 ANNUAL REPORT SMITHSONIAN INSTITUTION, 1959 
CASH BALANCES, RECEIPTS, AND DISBURSEMENTS DURING FISCAL 
YEAR 1959—Continued 
Restricted funds Unre- 
stricted Gifts and Total 
funds grants 
General Freer 
DISBURSEMENTS—Continued 
Buildings, equipment, and grounds: 
Buildings and installations___.-]|...._--.---- SIOO58 25351) S15 0795800 pace eee $11, 188. 33 
Court and grounds mainte- 
NAN CO tesa aaa enn ana a see Cle aasane se cae S061 54912 22.2 23 eos) poe e ane 306. 54 
Mechmicaliia boTatonyin se. -=—-oela=see=- ee SBIHLS Wsataceoe see | oe ct 385. 28 
Total buildings, equipment, 
and sTounds:..-. 54-22 ets el eS Su eee ce 10, 750. 35 1 O20 S Ou s=ae ea eas 11, 830, 15 
Contractual services: 
Custodian and legal fees_--------- $5, 649. 84 11, 852. 36 4,301.05) [esos oe = ee 21, 803. 25 
Supplies and expenses: 
Meetings, special exhibits__.---__|.-------=+.- 8, 529. 48 6x OLS 12 poe eee 14, 547. 60 
(hectumes:3.22- ec 2a-ss5--25-225-5 430. 12 1028910 fest. -22 2-8] ea sae 1, 558, 22 
Photographs and reproductions_-__]_-..------_- 5, 271. 12 415054 che anee eee 5, 686. 17 
WA DTALY — eaten scons sea ae ee aae [aan eee 2, 847. 31 ft 02) | Se se 3, 958. 33 
Stapioneryand.onice su pplissssces|ceesaen aaa ae eee Lb vlivg| = sees =e 175. 17 
Postage, telephone, and telegraph_}----------__]-------------- 467; 00p) ss oak coe eee 467. 00 
Stampumachines==<s222- S525 5258 ce |i san ee |e soso ance 1,831 00s 222222. 1, 831. 00 
Total supplies and expenses-___--- 430. 12 17, 776. 01 LOS OLTAS6i les eee ae 28, 223. 49 
Motaliexpenses: =~ se ses eee 54, 464. 54 438, 420. 73 | 231, 969.96 |$2, 294, 897. 50 | 3, 019, 752. 73 
Purchases of securities: 
Endowment funds: 
reeritin GAs oe eee Be ee en Ree i 2D TIC CAR | ee meneame eee ee 2, 231, 471. 33 
Consolidated fund_...--.-----.- 342°455:.07 |=-.=4-es5nee—< 186,841.79) |-.- 5. s ooo 529, 296. 86 
Other stocks and bonds_---_---- 252608530) Naso aoe Bee Sle soe ee a [ee ee 25, 608. 39 
Total endowment funds_--------- 368, 063. 46 | 2, 231, 471.33 | 186, 841.79 |_---..._----_- 2, 786, 376. 58 
Investment of current funds in 
UeSaGovernmoenti bond sis Sale aso ee | bec ec coe eanos 189°S8670 |=. 23. oka 189, 986. 70 
Total(dishursamentssss) == 4-s2-eee— = 422, 528.00 | 2, 669,892.06 | 608, 798.45 | 2, 294, 897.50 | 5, 996, 116. 01 
Excess receipts over disbursements_-._}| 54, 201.98 (47, 353. 30)| 65, 274, 14 479, 563. 85 551, 686. 67 
———————S—_|&a—a—a————————————S OSS ———S_ aS aS 
Cash balance June 30, 1958___.---.----]--------.-.- oeeeeocecneds| pet ocosceose| bodes Sansee se 1, 080, 175. 24 
@ashibalance tne s08 1950! see [Lose ee eee Ee eB eee 1, 631, 861. 91 
The practice of maintaining savings accounts in several of the 
Washington banks and trust companies has been continued during 
the past year, and interest on these deposits amounted to $7,501.11. 
Deposits are made in banks for convenience in collection of checks, 
and later such funds are withdrawn and deposited in the United 
States Treasury. Disbursement of funds is made by check signed by 
the Secretary of the Institution and drawn on the United States 
Treasury. 
The Institution gratefully acknowledges gifts and grants from the 
following: 
