RECAPITULATION.
Expenditures from April 23 to June 30, 1901 ............... $666.55 Expenditures from July 1, 1901, to June 30, 1902 .......... 4,461.84 Expenditures from July 1, 1902, to June 30, 1903 .......... 7,995.81 Expenditures from July 1, 1903, to June 30, 1904 .......... 9,918.89 Expenditures from July 1, 1904, to June 30, 1905 .......... 9,720.13 ------------- Grand total 32,763.22
SUMMARY.
Total amount reserved for period April 23, 1901, to July 1, 1905, for expenses of Commission ................ $41,923.36 Total amount expended by Commission for above period ...... 32,763.22 ------------- Total unexpended balance ................................ 9,160.14
INDEX
A
Accounts. (See Report of statements of receipts
and disbursements.)
Accountant, board of lady managers, report of, 520
Act creating board of lady managers, 367
Addams, Miss Jane, report on housing working classes,
489
Admissions:
Rules governing, 74-76
Special tickets, sale of, 79-82
Correspondence respecting, between National
Commission and Exposition
Company, 71-76
Statement of, 130
Agriculture, report on, 499
Alabama:
Birmingham district representatives, 237
Exhibits, 238
Alaska:
Commissioners, 240
Building, 240
Exhibits, 242
Albrecht, H.S., affidavit of, 150
American Institute of Social Service, work of, 484
Ancient Sons and Daughters of Jerusalem, 411
Anthropology, woman’s work in, 480
Appendixes to final report. (See Report on
accounts, etc.; Report on
disposal
of salvage; Report on foreign countries;
Report on States,
Territories, and
districts; Report of board of lady managers;
Statement of
expenditures.)
Appropriations for board of lady managers, 517
Archaeology, woman’s work in
Architecture, report on, 460
Argentine Republic:
Commissioners, 175
Building, 175
Exhibits, 176
Argentina, school buildings of, 444
Arizona:
Commissioners, 243
Building, 243
Exhibits, 243
Arkansas:
Commissioners, 244
Building, 245
Exhibits, 245
Assets and liabilities, tabular estimate of, on May,