UIHistories Project: A History of the University of Illinois by Kalev Leetaru
N A V I G A T I O N D I G I T A L L I B R A R Y
Bookmark and Share



Repository: UIHistories Project: Board of Trustees Minutes - 1974 Version B [PAGE 377]

Caption: Board of Trustees Minutes - 1974 Version B
This is a reduced-resolution page image for fast online browsing.


Jump to Page:
< Previous Page [Displaying Page 377 of 680] Next Page >
[VIEW ALL PAGE THUMBNAILS]




EXTRACTED TEXT FROM PAGE:



1973]

UNIVERSITY OF ILLINOIS

369

$ 67 200 00 42 600 00

1 200 shares Government Employees Insurance common stock 300 shares Xerox common stock Pool Sale: $22 000 American Tobacco 3 ^ p e r c e n t bonds due 2 / 1 / 7 7 . . Purchases: $23 000 Associates demand notes 97 000 City Products demand notes 26 000 Household Finance demand notes

$ 6.99 8.01 6.99 $

2 1 4 2 2 50 23 000 00 97 000 00 26 000 00

Report of the Comptroller T h e Comptroller reports the following changes in investments of current and unexpended plant funds, which he has been authorized to make: Current Funds Medical Service Plan (Medical Center) Purchases: Per Cent $250 000 Associates 1% per cent note due 3/22/74 7.75 $ 250 100 000 Government National Mortgage Association 5.30 per cent bonds due 8/26/74 6.00 98 Restricted Group Repurchase Agreements: $ 300 000 Mountain States Telephone and Telegraph due 5/4/73 for 5 days 6.75 $ 300 1 000 000 Southern New England Telephone notes due 5/30/73 for 5 days 6.75 1 000 200 000 Western Massachusetts Electric note due 6/6/73 199 for 3 days 7.25 199 1 000 000 Jewel Companies note due 6/26/73 for 3 d a y s . . . 7.75 1000 1 000 000 Appalachian Power note due 6/29/73 for 3 days 7.75 1 000 3 000 000 U.S. Treasury 8J/8 per cent notes due 8/15/73 for 2 days 6.25 3 001 1 000 000 Federal National Mortgage Association note due 11/30/73 for 3 days 8.13 1000 Purchases: $1 000 000 Clark Equipment Credit note due 4 / 6 / 7 3 6.75 $ 999 1 000 000 First National 7.40 per cent C / D due 7 / 3 / 7 3 . . 7.21 1 000 1 000 000 Continental Illinois National Bank 7% per cent C / D due 7/16/73 7.41 999 500 000 First Chicago 6% per cent notes due 4/30/73 . . . 6.38 500 500 000 New Jersey Bell Telephone note due 4/30/73 . . . 6.51 499 500 000 First Chicago 6% per cent notes due 5/1/73 6.38 500 1 000 000 Continental Illinois National Bank 7>/ij percent C / D due 5/3/73 6.91 1000 500 000 Jim Walter note due 5/14/73 7.17 496 1 000 000 Commercial Credit note due 5/21/73 7.01 999 1 100 000 Travelers note due 5/29/73 7.05 1092 1 000 000 Clark Equipment Credit note due 5/30/73 7.06 992 500 000 Southern New England Telephone and Telegraph note d u e 5 / 3 0 / 7 3 7.16 499 600 000 Toledo Edison note due 6/5/73 6.97 594 1 000 000 Jewel Companies note due 6/11/73 7.04 993 600 000 Clark Equipment Credit note due 6/18/73 7.40 597 1 000 000 Appalachian Power note due 6/22/73 7.33 995 400 000 Clark Equipment Credit note due 6/22/73 7.41 398 2 000 000 First Chicago 8^1 per cent notes due 6/29/73 . . 8.13 2 000 400 000 First National of Chicago bankers acceptance due 6/29/73 7.27 396 1 000 000 Jim Walter note due 7/11/73 8.05 993

000 00 750 00

281 25 937 234 355 645 645 50 72 56 83 83

041 67 677 08 437 50 419 89 928 000 006 000 85 00 95 00

077 43 932 29 027 78 94167 027 78 503 250 777 664 336 115 000 47 00 78 58 11 28 00

083333 33 33