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REPORT OF THE TREASURER 
New York, January 14, 1907. 
To THE Boarp oF MANAGERS OF THE New YorxkK Botan- 
ICAL GARDEN. 
Gentlemen: Herewith I submit a statement of my receipts 
and disbursements during the year 1906, and a balance sheet 
from my ledger as of December 31, 1906. 
Respectfully yours, 
C. F. Cox, 
Treasurer. 
Receipts 
Balance as per last Annual Report....... $ 13,348.89 
Contributions of the City Towards De- 
velopment and Maintenance ......... 122,042.98 
Income from Investments: 
5 per cent. on $50,000 Southern 
Railway Co. First Consolidated 
Mortgage Bonds .................0065 $ 2,500.00 
4% hi cent. on $50,000 Ches. & 
o R. R. Co. General Mort- 
gage Bonds 2,250.00 
4 per cent. on $50,000 Erie R. R. 
Co. Prior Lien Bonds 2,000.00 
4 per cent. on $59,000 Erie R. R. 
Co. Penn. Collateral Trust Bonds. 2,360.00 
4 per cent. on $50,000 Reading R. 
R. Co. Jersey Central Collateral 
Trust Bonds 2,000.00 
4 per cent. on $24,000 Nor. Pacific 
R. R. Co. St. Paul & Duluth 
Div. Bonds g60.00 
4 per cent. $30,000 Nor. Pacific- 
Gt. Northern C. B. & Q. Collat- 
eral Trust Bonds 1,200.00 13,270.00 
Annual Dues == §,820.00 
Interest at 3 per cent. on balances on de- 
posit with J. P. Morgan & Co......... 358.34 
Proceeds sales of merchandise............. 95.40 
Proceeds sales of Publications............. 97-53 
