REPORT OF THE EXECUTIVE COMMITTEE. 95 



Statement of income from the Smithsonian fund and other revenues, accrued and pros- 

 pective, available during the fiscal year ending June 30, 1911. 



Balance June 30, 1910 $35, 364. 88 



Interest on fund deposited in U. S. Treasury, due July 1, 1910, 



and January 1, 1911 $56,695.00 



Interest on West Shore Railroad bonds, due July 1, 1910, and 



January 1, 1911 1, 680. 00 



Exchange repayments, sale of publications, rentals, etc 5, 600. 00 



Deposits for specific purposes 8, 000. 00 



71,975.00 



Total available for year ending June 30, 1911 107, 339. 



Respectfully submitted. 



J. B. Henderson, 

 John Dalzell, 



Executive Committee. 



Washington, D. C, November £5, 1910. 



