Caption: Board of Trustees Minutes - 1984 This is a reduced-resolution page image for fast online browsing.
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32 Date Number 6/17 $ 350 000 6/17 400 000 6/21 21 000 6/21 1 500 000 6/22 500 000 BOARD OF TRUSTEES Description Cost/Yield Amount U.S. Treasury bills due 3/24/83 14.04% $ 315 536 67 U.S. Treasury bills due 5/19/83 14.35 352 764 00 Merrill Lynch demand notes 13.59 21 000 00 U.S. Treasury bills due 10/21/82... 13.34 1 435 136 67 Continental Bank 14V4 percent time deposit due 11/22/82 14.50 500 000 00 6/24 807 000 General Motors Acceptance demand notes 14.68 807 000 00 6/28 1 400 000 First National Bank of Chicago 15.60 percent certificate of deposit due 12/15/82 15.60 1 400 000 00 O n motion of M r . Howard, this report was approved as presented. SECRETARY'S REPORT T h e secretary presented for record appointments to the faculty and changes of status made by the president, resignations, leaves of absence, and retirements. A copy of the report is filed with the secretary. ANNOUNCEMENTS FROM THE PRESIDENT OF THE BOARD Mr. Forsyth called attention to the schedule for the next three regular meetings: September 16, Urbana-Champaign; October 21, Chicago Campus (Medical C e n t e r ) ; November 18, Urbana-Champaign. There being no further business, the board adjourned. EARL W. PORTER WILLIAM D. FORSYTH, J R . Secretary President Pro Tern
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