﻿6 
  ANNUAL 
  EEPORT 
  SMITHSONIAN 
  INSTITUTION, 
  192 
  9 
  

  

  Disbursements 
  : 
  

  

  General 
  work 
  of 
  the 
  Institution 
  — 
  

  

  Buildings 
  — 
  care, 
  repair, 
  and 
  alteration 
  $11, 
  564. 
  59 
  

  

  Furniture 
  and 
  fixtures 
  746. 
  06 
  

  

  General 
  administration 
  * 
  20, 
  652. 
  66 
  

  

  Library 
  3, 
  006. 
  55 
  

  

  Publications 
  (comprising 
  preparation, 
  print- 
  

   ing, 
  and 
  distribution) 
  16,865.75 
  

  

  Researches 
  and 
  explorations 
  13, 
  707. 
  11 
  

  

  International 
  Exchanges 
  7, 
  921, 
  67 
  

  

  $74, 
  464. 
  39 
  

  

  Funds 
  for 
  specific 
  use 
  other 
  than 
  Freer 
  endow- 
  

   ment 
  — 
  

  

  Investments 
  made 
  from 
  gifts, 
  from 
  gain 
  from 
  

   sales, 
  etc., 
  of 
  securities, 
  and 
  from 
  savings 
  on 
  

   income 
  51, 
  860. 
  45 
  

  

  Other 
  expenditures, 
  consisting 
  largely 
  of 
  re- 
  

   search 
  work, 
  travel, 
  increase 
  and 
  care 
  of 
  

   special 
  collections, 
  etc., 
  from 
  income 
  of 
  en- 
  

   dowment 
  funds 
  and 
  cash 
  gifts 
  for 
  specific 
  

  

  use 
  113, 
  498. 
  06 
  

  

  165, 
  358. 
  51 
  

  

  Freer 
  endowment 
  — 
  

  

  Operating 
  expenses 
  of 
  gallery, 
  salaries, 
  pur- 
  

   chases 
  of 
  art 
  objects, 
  field 
  expenses, 
  etc 
  287, 
  679. 
  63 
  

  

  Investments 
  made 
  from 
  gain 
  from 
  sale, 
  etc., 
  

  

  of 
  securities 
  and 
  from 
  income 
  957, 
  564. 
  76 
  

  

  1, 
  245, 
  244. 
  39 
  

  

  Balance 
  June 
  30, 
  1929 
  216, 
  994. 
  28 
  

  

  1, 
  702, 
  061, 
  57 
  

   Recapitulation 
  of 
  receipts, 
  exclusive 
  of 
  Freer 
  funds 
  

  

  Cash 
  balance 
  on 
  hand 
  June 
  30, 
  1928 
  $238, 
  369. 
  41 
  

  

  Receipts 
  : 
  

  

  General 
  uses 
  — 
  

  

  For 
  addition 
  to 
  endowment 
  $25, 
  254. 
  99 
  

  

  Reserved 
  as 
  income 
  64,923.06 
  

  

  90, 
  178. 
  05 
  

  

  Specific 
  uses 
  — 
  

  

  Accretions 
  to 
  endowment 
  18, 
  065. 
  47 
  

  

  Gifts 
  for 
  specific 
  use 
  (not 
  to 
  be 
  invested) 
  50, 
  111.01 
  

  

  Cash 
  income 
  from 
  endowments 
  for 
  addition 
  

  

  to 
  endowment 
  6,253.39 
  

  

  Cash 
  income 
  from 
  endowments 
  and 
  from 
  

  

  other 
  sources 
  for 
  conducting 
  researches, 
  

  

  explorations, 
  etc 
  76, 
  172. 
  31 
  

  

  150, 
  602. 
  18 
  

  

  Total 
  receipts, 
  exclusive 
  of 
  Freer 
  funds 
  240, 
  780. 
  23 
  

  

  * 
  Includes 
  salaries 
  of 
  secretary 
  and 
  certain 
  others. 
  

  

  