Nov., 1910.] ANNUAL REPORTS. 9 



SUPPLEMENTARY STATEMENT OF FUNDS OTHER THAN THE 

 HATCH AND ADAMS FUNDS. 



For the year ending June 30, 1909. 



Receipts. 



Cash received, analytical fees, etc $4,078.44 



Expenditures. 



Cash paid for salaries #900 . 00 



labor 1 ,767 . 31 



publications 21 1 . 58 



postage and stationery 75.47 



freight and express 39 . 34 



chemical supplies 24 . 79 



seeds, plants and sundry supplies 522.34 



fertilizers 73 . 15 



feeding stuffs 82.31 



library 46 . 50 



tools, implements and machinery 126 . 32 



furniture and fixtures 372 . 82 



scientific apparatus 50 . 42 



livestock 1 . 00 



t raveling expenses 219 . 42 



building and land 236 . 74 



S4.749.51 



TWENTY-SECOND ANNUAL REPORT TO THE UNITED STATES 

 GOVERNMENT OF THE HATCH FUND. 



For the year ending June 30, 1910. 



Receipts. 



Balance from appropriations 1908-1909 $750 . 00 



Cash received from United States treasurer 14 , 250 . 00 



$15,000.00 

 Expenditures. 



Cash paid for salaries $6,469.81 



labor 2,219.35 



publications 1 , 838 . 04 



postage and stationery 468 . 31 



freight and express 192 . 68 



heat, light, water and power 1,085.45 



chemical supplies 22 . 08 



seeds, plants and sundry supplies 359.88 



fertilizers 387 . 40 



feeding stuffs 166.17 



library 496 . 71 



tools, implements and machinery 14. 15 



furniture and fixtures 205 . 05 



scientific apparatus 63 . 97 



traveling expenses 269 . 7 1 



contingent expenses 1 ."> . 00 



buildings and land 726 2 1 



$15. (MM). nil 



