200 ANNUAL REPORT SMITHSONIAN INSTITUTION, 1957 



CASH BALANCES, RECEIPTS AND DISBURSEMENTS DURING 

 FISCAL YEAR 1957 * 



Cash balance on hand June 30, 1956 $1, 034, 355. 59 



Receipts, other than Freer funds : 



Income from investments $254, 083. 84 



Gifts and contributions 2 2, 324, 648. 60 



Books and publications 55, 825. 93 



Miscellaneous 61, 719. 40 



Employees' payroll withholdings and refund of 



advances (net) 2,264.22 



Proceeds from real estate 326. 72 



Proceeds from sale of securities (net) : 



Consolidated fund 569, 412. 38 



Current fund ^ 490, 237. 50 



Other funds 15, 395. 69 



Total receipts other than Freer funds 3, 773, 914. 28 



Freer fund receipts : 



Gift $25, 000. 00 



Income from investments 365, 341. 06 



Miscellaneous 71. 04 



Books and publications 6, 526. 39 



Proceeds from sale of securities (net) 1,973,005.86 



2, 369, 944. 35 



Total 7, 178, 214. 22 



Disbursements other than Freer funds: 



Administration $127, 479. 93 



Publications 65, 241. 44 



Library 1, 192. 53 



Custodian fees and servicing securities 4, 738. 96 



Miscellaneous 22, 322. 61 



Researches and explorations * 1, 221, 855. 67 



Purchase of securities (net) : 



Consolidated fund 657, 496. 23 



Current fund 611, 346. 82 



Other funds 10, 467. 19 



S. I. Retirement System 2, 323. 32 



Total disbursements other than Freer funds 2, 724, 464. 70 



Disbursements, Freer funds : 



Salaries $125, 637. 86 



Purchases for collection 171, 733. 34 



Custodian fees and servicing securities 11, 246. 43 



Purchase of securities (net) 2,178,598.22 



Miscellaneous 62, 461. 48 



Total Freer disbursements 2, 549, 677. 33 



Total disbursements 5, 274, 142. 03 



Cash balance June 30, 1957 1, 904, 072. 19 



Total 7, 178, 214. 22 



1 This statement does not Include Government appropriations under administrative 

 charge of the Institution. 



1 Includes receipts for IGY program. 



* Includes disbursements for IGY program. 



