REPORT OF EXECUTIVE COMMITTEE. 115 



Statement of estimated income from the Smithsonian fund and from other 

 sources, accrued and prospective, available during the fiscal year ending 

 June SO, 1916. 



Balance June 30, 1915 $42, 165. 86 



Interest on fund deposited in United States Treasury 

 due July 1, 1915, and Jan. 1, 1916 $58,000.00 



Interest on West Shore Railroad bonds, due July 1, 

 1915, and Jan. 1, 1916 1,680.00 



Exchange repayments, sale of publications, refund of ad- 

 vances, etc 11, 001. 83 



Deposits for specific purposes . 12,000.00 



83, 581. 83 



Total available for year ending June 30, 1916 125, 747. 69 



Respectfully submitted. 



Geo. Gray, 



Alexander Graham BELii, 



Maurice Connollt, 



Executive Committee. 

 Washington, D. C. 



