ANNUAL REPORTS. 235 



EIGHTEENTH ANNUAL REPORT TO THE 



UNITED STATES GOVERNMENT ON 



THE HATCH FUND 



FOR THE YEAR ENDING JUNE 30, 1906. 



Receipts. 



Cash received from United States treasurer. . . . $15,000.00 



Expenditures. 



Cash paid for salaries $8,415.47 



labor 2,415.11 



pubHcations 1,146.47 



postage and stationery 72.09 



freight and express 183.19 



heat, light, and water 645.26 



chemical supplies 22.40 



seeds, plants, and sundry sup- 

 plies 322.06 



fertilizers 224.93 



library 165.08 



tools, implements, and machinery 167.72 



furniture and fixtures 108.35 



scientific apparatus 655.04 



contingent expenses 39.88 



traveling expenses 264.15 



building and repairs 152.80 



$15,000.00 



