INTRODUCTORY PROCEEDINGS. 



FINANCIAL 



Receipts. 

 From November I, 1918, to October 31, 1919, inclusive. 



Entrance fees of new members for the year ending October 31, 1919 $4,095.00 



Dues for the year ended December 31 : — 



1919 $11,575.00 



1918 815.00 



1917 135.00 



1916 75.00 



1915 50.00 



12,650.00 



Dues paid in advance: 



1920 $103.00 



1921 10.00 



113.00 



Entrance fees and dues paid in advance by proposed members 57.00 



Dues in arrears — reinstated members 110.00 



Life membership entrance fee 160.00 



Total receipts of entrance fees and dues $17,185.00 



Sales of publications 2,182.25 



Banquet, annual meeting, 1918 3,745.00 



Banquet, annual meeting, 1919, reservations 1,191.00 



Exchange on remittances of members 4.30 



Miscellaneous receipts 30.00 



Interest received: — 



On bank balances $69.80 



On investments — other than endowment fund 538.95 



Endowment fund — municipal bonds 490.00 



Endowment fund — Liberty Bonds 343.31 



1,442.06 



Members' contribution to endowment fund 2,550.00 



Total receipts $28,329.61 



Balance — Cash in bank and on hand, November 1, 1918 4,953.47 



$33,283.08 



