Caption: Board of Trustees Minutes - 1974 This is a reduced-resolution page image for fast online browsing.
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1972] UNIVERSITY OF ILLINOIS 103 4-H Memorial Camp Exchange: $11 000 U.S. Treasury 2V3 per cent bondsdue 9/15/72 and 5 000 U . S . T r e a s u r y 3 K p e r c e n t bondsdue l l / 1 5 / 7 4 f o r 16 000 U.S. Treasury 6% per cent bonds due 8/15/84. JETS Restricted Special Purchase: $30 000 First National Bank of C h i c a g o 5 ^ percent certificates of deposit due 8/28/73 Medical Service Plan (Medical Center) £34 7 12 54 40 29 000 000 000 000 000 C I T Financial demand notes Hertz demand notes International Harvester Credit demand n o t e s . . . Sears Roebuck Acceptance demand notes Standard Oil of Indiana demand notes 5.50 30 000 00 4.60 4.73 4.73 4.87 4.73 347 12 54 40 29 000 000 000 000 000 00 00 00 00 00 Restricted Current (Medical Center) Sales: $325 000 Associates demand notes 300 000 Household Finance demand notes 350 000 Household Finance demand notes Purchases: $ 325 000 Associates demand notes 350 000 Associates demand notes 850 000 Ford Motor Credit demand notes 800 000 Household Finance demand notes 1 000 000 International Harvester demand notes. 2 600 000 General Motors Acceptance ZlA per cent note due 6/1/72 1 000 000 General Motors Acceptance 3 percent note due 7/3/72 1 500 000 General Motors Acceptance 3% per cent note due 7/5/72 Current Restricted (Chicago Circle) Sales: $1 300 000 Household Finance demand notes 500 000 Standard Oil of Indiana demand notes Purchases: ? 200 000 C I T Financial demand notes 400 000 Commercial Credit demand notes. 355 000 Ford Motor Credit demand notes 1 800 000 Household Finance demand notes 245 000 Internationa) Harvester demand n o t e s . . . . . . . 500 000 Standard Oil of Indiana demand notes Restricted Group Sales: $1 000 000 American Brands note due 3/31/72 1 000 000 First National Bank of Chicago 5 H per cent certificate of deposit due 10/16/72 Purchases: $1 000 000 International Harvester Credit 4 per cent note due 9/1/72 1 000 000 Bell and Howell note due 11/6/72 1 000 000 U.S. Steel Credit note due 11/30/72 1 000 000 Federal Intermediate Credit Banks 4.80 per cent debentures due 3/1/73 250 000 Weyerhauser Real Estate dy% percent note due 6/19/74 4.47 4.47 4.73 47 73 60 47 73 3.50 3.00 3.75 325 000 00 300 000 00 350 000 00 325 350 850 800 000 000 000 000 00 00 00 00 1 000 000 00 2 600 000 00 1 000 000 00 1 500 000 00 1 300 000 00 500 000 00 200 000 00 400 000 00 355 000 00 1 800 000 00 245 000 00 500 000 00 73 73 60 73 73 47 73 73 4.43 5.34 4.00 4.81 4.73 4.80 6.38 998 281 25 1 001 503 62 1 000 000 00 988 125 00 978 031 25 1 000 000 00 250 000 00
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