Caption: Board of Trustees Minutes - 1968 This is a reduced-resolution page image for fast online browsing.
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536 With Whom United States Department of Health. Education, and Welfare OEC 3-6-000066-1195 United States Navy N00014-67-A-0305-0001 N 002286600311 United States Steel Corporation Total BOAKD OF TRUSTEES [May 16 Amount to be Paid to the University $ 1 300 00 Purpose Continuation of the language and area center for Latin America Kinetic theory of strong shock waves by solution of the Boltzmann equation Determine the shielding characteristic of inhomogenous barriers Fatigue of high strength steels 70 000 00 20 000 00 5 000 00 $250 568 00 Contract Change Orders With Whom Downtown Electric Purpose Cost-plus contracts -— electrical Administration Building English Building Natural Resources Building Cost-plus contracts -— general Administration Building Davenport Hall English Building Library Talbot Laboratory Cost-plus contracts -— electrical Dentistry-MedicinePharmacy Building Second Unit Hospital Addition, Medical Center Cost-plus contract — acoustical Digital Computer tile Laboratory Florida Avenue General Residence Halls Armored car service Hospital Addition, Cost-plus contract — general Medical Center Hospital Addition, Cost-plus contracts refrigeration Medical Center Dentistry-MedicinePharmacy Building Cost-plus contracts -— heating English Building Mechanical Engiand ventilating neering Building Natural History Building Cost-plus contract — plumbing Amount to he Paid by the University $ 4 900 00 3 000 00 12 500 00 5 198 00 5 5 5 5 3 000 000 000 500 090 00 00 00 00 00 Dean Evans Company Fries Walters Company 2 575 00 3 000 00 5 068 00 9 078 00 8 758 00 8 935 00 3 015 00 7 500 00 2 500 00 8 200 00 2 729 00 $110 546 00 George S. Grimmett and Company Kuhne-Simmons Co., Inc. Merchants Messengers, Inc. Gerhardt F. Meyne Company The Nu-Way Contracting Corporation Reliable Plumbing and Heating Co. Thomas Plumbing and Heating Co. Total Summary Amount to be paid to the University Amount to be paid by the University , $647 040 00 129 654 00 This report was received for record. QUARTERLY REPORT OF THE COMPTROLLER (29) The Comptroller presented his quarterly report to the Board as of March 31, 1967. A copy of this report has been filed with the Secretary of the Board. This report was received for record. INVESTMENT REPORT Report of the Finance Committee (30) The Finance Committee reported the following changes in investments of endowment funds for the month of March, 1967:
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