Caption: Board of Trustees Minutes - 1924 This is a reduced-resolution page image for fast online browsing.
EXTRACTED TEXT FROM PAGE:
II. Trust Funds Cash 105 370 01 Note* Receivable.,., 41 361 76 Investments Stocks and Bonds 19 656 51 Savings Deposits 780 74 Treasury Bonds 6 592 00 27 029 26 '73 76' 03 III. Memorial Stadium Funds Cash 138 873 34 Investments 104 051 25 242 924 59 IV. State Auditor (Endowment Fund from jiiS 748 887 59 Total Land Grant of 1862) 649 012 gr V. Securities Donated for McKinley Hospital 69 27s 00 VI. Plant and Property (July i, r?22) 1037264888 II. Deserve for Trust Funds 173 761 03 ^ III. Reserve for Memorial Stadium Funds 24292459 IV. Reservefor Endowment Fund 649 012 91 V. Reserve for Construction of Buildings from Donations 69 275 00 VI. Bonds (Dental Property) 60 000 00 Mortgages Payable 5545000 Mortgages Payable.Fixed Assets 55 198 88 Surplus Invested in 10 257 45° °° 10 372 648 88 Total $15 748 887 59 c g « < 50 O P f z o
|