Caption: Board of Trustees Minutes - 1972 This is a reduced-resolution page image for fast online browsing.
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30 BOARD OF TRUSTEES Per Cent $ 8.07 7.63 7.50 $ [July 22 Medical Service Plan (Medical Center) Sale: $ 60 000 Allis Chalmers note 7/10/70 Purchases: $ 235 000 Credithrift Financial note 7/14/70 60 000 Allis Chalmers note 7/10/70 60 000 GMAC 1)4 per cent note due 7/10/70 Restricted Group Purchases: $ 200 000 Toledo Edison note 8/10/70 700 000 Liberty Loan note 9/3/70 1 000 000 Southwestern Bell note 9/4/70 1 000 000 Caterpillar Tractor note 12/15/70 Trust Benefit Fund Purchase: $ 15 000 U.S. Treasury bills 1/31/71 DMP Auxiliary Purchase: $50 000 U.S. Treasury bills 6/22/70 Construction Funds (Medical Center) 60 000 00 230 300 00 60 000 00 60 000 00 8.43 8.35 8.48 8.55 $ 195 681 972 949 645 199 500 895 83 65 00 83 7.09 $ 14 256 44 6.36 $ 49 762 78 Illinois Street Air Conditioning Purchase: $70 000 U.S. Treasury bills 2/28/71 Krannert Art Objects Sale: $12 000 U.S. Treasury bills 7/31/70 Sinking Funds Bonds of 1964 (Medical Center) Purch&sc * $ 102 000 U.S. Treasury 5 per cent notes 11/15/70 DMP (Medical Center) Purchase: $ 25 000 U.S. Treasury bills 8/13/70 Housing Revenue Bonds Purchases: $1 130 000 U.S. Treasury bills 9/24/70 33 000 U.S. Treasury 4 per cent bonds 8/15/71 44 000 U.S. Treasury 1% per cent notes 5/15/73 IUini Union and Health Center Purchases: $ 130 000 U.S. Treasury bills 9/24/70 10 000 U.S. Treasury bills 11/30/70 Men's Residence Halls 1957 Purchases t $ 110 000 U.S. Treasury bills 9/24/70 50 000 U.S. Treasury 1% per cent notes 5/15/73 Revenue Bonds of 1956 Purchases * $ 8 000 U.S. Treasury 6% per cent notes 8/15/70 3 000 U.S. Treasury 1% per cent notes 5/15/73 Student Services Building Purchase: $ 30 000 U.S. Treasury bills 9/24/70 7.24 $ 66 256 75 6.60 $ 1 1 8 0 9 00 7.27 $ 100 884 38 6.54 $ 24 650 72 7.02 7.18 8.00 $1 102 478 22 31 576 88 43 736 00 7.14 6.40 $ 126 781 67 9 665 04 6.86 8.00 $ 107 420 50 49 700 00 6.32 7.90 $ 7 997 50 2 982 00 6.64 $ 29 318 83
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