Caption: Board of Trustees Minutes - 1968 This is a reduced-resolution page image for fast online browsing.
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1968] UNIVERSITY OF ILLINOIS 1009 MUler Sale $42 000 Commercial Credit Corp. open-end demand notes Purchase 300 shares Lincoln National Life Insurance common stock $ 42 000 00 19 800 00 R e p o r t of t h e Comptroller The Comptroller reported the followmg changes in investments of current and unexpended plant funds, which he had been authorized to make, for the month of February, 1968: Current Funds ART OBJECTS Sale $14 000 U.S. Treasury bills due 10/31/68 FORD FOUNDATION — GENERAL ENGINEERING $ 13 448 41 Purchase $3 000 U.S. Treasury bills due 7/31/68 RESTRICTED GROUP 2 924 82 Purchase $1 000 000 U.S. Treasury bills due 2/23/68 1 000 000 Beneficial Finance notes due 3/4/68 1 000 000 Cont. 111. National Bank C / D due 5/3/68 1 000 000 Hallmark Cards notes due 5/3/68 2 000 000 First National Bank of Chicago C / D due 6/4/68 STAR COURSE CENTENNIAL SERIES AGENCY 998 022 22 996 250 00 100000000 987 458 33 2 000 000 00 Purchase $35 000 U.S. Treasury bills due 5/31/68 Construction Funds FLORIDA AVENUE RESIDENCE H A L L 34 547 10 Sale $110 000 U . S . Treasury bills due 6/30/68 GRADUATE HOUSING 107 778 00 $186 000 U.S. Treasury bills due 10/31/68 KRANNERT CONTRIBUTIONS 178 825 98 Purchase $71 000 U.S. Treasury bills due 3/22/68 BONDS or 1964 AUXILIARY (Medical Center) 57 927 50 Purchase $50 000 U.S. Treasury bills due 3/28/68 ORCHARD APARTMENTS 49 850 00 Sale $ 5 000 U.S. Treasury 90 000 U.S. Treasury 50 000 U.S. Treasury 30 000 U.S. Treasury bills due 1/31/68 bills due 3/31/68 4 & per cent notes due 5/15/68 A\i per cent notes due 8/15/68 4 990 89 346 49 921 29 821 42 88 88 88 UNION AND RESIDENCE H A L L (Medical Center) Sale $200 000 U.S. Treasury bills due 2/23/68 Sinking Funds ASSEMBLY H A L L 199 642 22 Sale $90 000 U.S. Treasury bills due 2/29/68 88 143 75
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