Nov., 1912.] ANNUAL REPORTS. 11 



TWENTY-FOURTH ANNUAL REPORT TO THE UNITED STATES 

 GOVERNMENT OF THE HATCH FUND. 



For the year ending June 30, 1912. 



Receipts. 



Cash received from United States treasurer $15,000 .00 



Expenditures. 



Cash paid for salaries $8,146 . 22 



labor 1,665 . 33 



publications 669 . 37 



postage and stationery 507 . 33 



freight and express 279 . 98 



heat, light, water, and power 667.95 



chemicals and laboratory supplies 44.51 



seeds, plants, and sundry supplies 329.43 



fertilizers 242 . 35 



feeding stuffs 215 . 52 



library 607 .87 



tools, machinery, and appliances 177 .09 



furniture and fixtures 302 . 22 



scientific apparatus and specimens 523 . 83 



traveling expenses 340 . 3 1 



contingent expenses 25 . 75 



buildings and land 254 . 94 



$15,000.00 



SEVENTH ANNUAL REPORT TO THE UNITED STATES GOVERN- 

 MENT OF THE ADAMS FUND. 



For the year ending June 30, 1912. 



Receipts. 



Cash received from United States treasurer $15,000 . 00 



Expenditures. 



Cash paid for salaries $9,349 . 19 



labor 2,989 . 18 



postage and stationery 64 . 35 



freight and express 56 . 90 



chemicals and laboratory supplies 146 .08 



seeds, plants, and sundry supplies 307.87 



fertilizers 192.67 



feeding stuffs 752 . 94 



library 17.83 



tools, machinery, and appliances 70 .41 



furniture and fixtures 33 . 92 



scientific apparatus and specimens 427.01 



live stock 62.32 



traveling expenses 343 . 12 



buildings and land 186 . 21 



$15,000.00 



