REPORT OF THE COMPTROLLER OF THE TREASURY
Funds, as at June 30, 1965
15
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Miscellaneous
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Special Funds
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Federal Funds
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Loan Funds
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Bond Fund
Annuity
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Non-Budgeted
Funds
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General
Fixed Assets
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General
Bonded Debt
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$1,515,805.34
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$4,897,870.32
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$2,057,522.48
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$13,916,995.42
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$9,226,705.10(B)
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79,365.00
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350,000.00
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131,556.37
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3,366,102.14
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2,547,822.46
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93,418.77
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520,321.56
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5,922,999.86
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8,658,382.29
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56,243,313.67
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20,OM,000.00
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25,025,000.00
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208,356.68
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1,500,000.00
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30,668,398.06
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32,129,958.33
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29,972,466.67
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$582,028,481.19
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$1,431,097,464.77
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$32,534,203.40
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$7,445,692.78
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$34,489,256.26
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$133,784,671.31
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$40,778,536.77
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$1,431,097,464.77
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$582,028,481.19
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$7,045,889.05
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$6,589,709.29
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$ 131,556.37
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24,610,790.90
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1,691,838.97 *
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$34,187,480.81
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13,916,995.42
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$39,275,544.80
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1.500.000.00
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350.000.00
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2,547,822.46
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208,356.68
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520,321.56
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115,849,695.82
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93,418.77
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8,366,102.14
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2,991.97
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527,523.45
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$329,651,000.00
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252,377,481.19
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$32,534,208.40
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$7,445,692.78
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$34,489,256.26
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$133,784,671.31
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$40,778,536.77
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$582,028,481.19
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$1,431,097,464.77
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$1,481.097,464.77
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$32,534,203.40
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$7,445,692.78
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$34,489,256.26
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$133,784,671.31
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$40,778,536.77
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$1,431,097,464.77
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$582,028,481.19
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