FINANCIAL STATEMENT

   April 1, 1984 - March 31, 1985
                                           Total

Balance from 1984                      $1,692.47

Receipts

      Membership Assessments  1418.50
      Sale  of  Back  Issues   534.00
      Bank Interest             66.23
                                       $2,018.73
                                       $3,711.20
Expenditures

      Printing  Report   #34   553.92
      Xeroxing  Report   #32   115.11
      Mailing  and   Postage   307.68
      Envelopes and Stamps     114.68
                                       $1,091.39

Balance  (March  31,   1985)           $2,619.81

              MEMBERSHIP STATUS

              (March 31, 1985)

Dues  paid  for  1984  117
                 1985  175
                 1986   36
                 1987   24
          Past   1988   28

               Total   380