26 APPENDIX C 



SUMMARY OF INCOME AND EXPENDITURE AS SHOWN IN THE FOREGOING ABSTRACTS 



FOR THE PERIOD FROM 1ST JANUARY 1905 TO 12TH JUNE 1911. 



Income. 



I. Subscriptions and donations .... 4,444 17 11 



II. Interest on deposit receipts . . . . 501911 



III. Miscellaneous receipts . . . . . 18 10 



IV. Final Report subscriptions . . . . 810 

 V. Grouse sold ... . 30 18 



-4,553 6 10 



Expenditure. 



I. Fees and salaries ...... 2,589 14 10 



II. Stationery, typewriting, printing, etc. . . . 322 8 8J 



III. Cost of sending out circulars, Interim Report, etc. . 113 4 4 



IV. Cost of Observation Area . . . . 192 10 9| 

 V. Miscellaneous, including outlays of staff, expenses of 



meetings, cost of scientific apparatus, etc. . . 1,314 9 



VI. Final Report to account of plates . . 327 16 9 



4,860 4 5 



Balance at debit of Committee, at 12th June 1911 . . 30617 



Note. There has to be added to the foregoing debit balance various outstanding liabilities, estimated at 

 about 250 ; but an effort is being made to obtain further subscriptions to meet this item. It is hoped also that 

 there may be a profit on the sale of the Report, but the expenses of production will be so heavy that it is 

 feared this profit will not suffice to meet the whole liabilities of the Committee, or to remunerate the members 

 of the Staff for their services during the concluding stages of the Inquiry. 



