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About Medford mail tribune. (Medford, Or.) 1909-1989 | View Entire Issue (April 1, 1963)
14 A MONDAY. APRIL 1. 1HS MEDFORD MAIL TRIBUNE. MEDFORD, OREGON NOTICE OF SCHOOL MEETING Notice Is hereby given to the legal voter of Plnehurst school district No. 94 of Jack on County, State of Oregon, that a SCHOOL MEETING of the said district will be held at School House on the 10th day of April, 1963, at 7:30 o'clock p.m., for the purpose of discussing the budget for the fiscal year beginning July 1, 1963, and ending June 30. 1964, hereinafter set forth. BUDGET-FISCAL YEAR 1963-1964 SUMMARY OF SCHEDULE I ESTIMATED EXPENDITURES. RECEIPTS AND AVAILABLE CASH ALAnCEs, AND TAX LEVIES Total All Funds $20,790.00 20,790.00 A. Estimation of Tax Levy 1. a. Total Estimated Expenditures c. Total Estimated Expenditures and Reserve ueuvvf. 2. Total Estimated Receipt and Available Cash Balances .. 13,710.00 3. Amount Necessary to Balance the Budget 7,080.00 ADD: 4. Estimated Amount of Taxes That Will Not be Collected During the Fiscal Year for Which This Budget Is Made, Including Estimated Re bate on Taxes 500.00 5. Total Estimated Tax Levies for Ensuing Fiscal Year 7,380.00 6. Analysis of Estimated Tax Levies: (b) Amount Outside 6 Limitation 7.580.00 General Fund $19,590.00 19,590.00 12.510.00 7,080.00 500.00 7,380 00 School Lunch Fund $1,200.00 1,200.00 1,200.00 NOTICE OF SCHOOL MEETING Notice is hereby given to the legal voters of Butte Falls school district No. 91 of Jackson County, State of Oregon, that a SCHOOL MEETING of the said district will be held at the High School on the 9th day of April, 1963, at 7:30 o'clock p.m. for the pur pose of discussing the budget for the fiscal year beginning July 1, 1963, and ending June 30, 1964, hereinafter set forth. BUDGET-FISCAL YEAR 1963-1964 SUMMARY SCHEDULE OF I ESTIMATED EXPENDITURES. RECEIPTS AND AVAILABLE CASH PALANCES, AND TAX LEVIES SCHEDULE II Actual Receints Fiscal Year Fiscal year GENERAL FUND ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE Ending June 30, 1961 7,922.82 371.48 395.00 2,083.78 3,329.44 319.00 3,870.49 Ending June 30, 19(2 $ 8,762.52 90.05 420.00 528.44 4,054.68 593.49 Budget Allowance Current Fiscal 1962-63 750.00 480.00 600.00 Item 750.00 480.00 600.00 $ 3,392.00 $ 42.45 3,406.36 47.02 17.00 110.00 159.17 44.70 123.34 35.00 373.82 2,262.00 40.00 Estimated Receipts Ensuing Fiscal Year 10. Revenue From Local Sources 11.1 District Tax received in year levied 11.2 District Tax Prior Years' Levies $ 14.0 Other Rent 20. Revenue From Intermediate Sources 21.0 County School Fund $ Z2.I Apportionment 22.2 Prior Years' Levies (Rural) 22.3 Other 30. Revenue From or Through State Sources 31.0 Basic School Support Fund (a) Off-set Against Tax Levy (b) Other Basic School Fund Receipts $ 2,640.00 32.0 Common (Irreducible) School Fund 40.00 33.3 Other 33.4 Other 33.5 Other 40. Revenue Direct From Federal Sources 41.0 Public Law 874 10. 90. Receipts From Oother School Districts Estimation of Tax Lew 1. a. Total Estimated Expenditures c. Total Estimated Expenditures and Reserve DEDUCT: 2. Total Estimated Receipts and Avail able Cash Balances 3. Amount Necessary to Balance the Budget ADD. 4. Estimated Amount of Taxes That Will Not Be Collected During the Fiscal Year for Which This Budget Is Made, Including Estimated Rebate on Taxes 5. Total Estimated Tax Levies for En suing Fiscal Year 6. Analysis of Estimated Tax Levies: (b) Amount Outside 6 Limitation.. (c) Not Subject to 6 Limitation .... Total All Funds $153,604.05 General Fund $136,107.80 Bond Interest and Redemp. Fund $10,786.25 School Lunch Fund $6,710.00 2.000 00 2.902.50 8,500.00 2.847.50 ESTIMATED EXPENDITURES . . 1381.1 Principal on Bonds (Include negotiable interest-bearing warrants issued under ; 8.500.00 ORS 328.260) . S ' o eio ts no-) Tnioritct nn Rnnds OD J $ 4.902 50 S ll.347.50 S ll. 128.75 Interest on Bonds Total Expenditures S 10.786.25 153,604.05 136,107.80 10,786.25 6,710.00 73.036.82 80,567.23 4.071.40 84,638.63 73,827.09 10.811.54 65,280.71 70,827.09 3,000.00 73,827.09 73,827.09 1,046.11 6,710.00 9,740.14 1,071.40 10,811.54 10.811.54 SCHEDULE Fiscal Year Ending June 30, 1961 S 793.48 3,904.78 2,106.36 V Fiscal Year Ending June 30, 1962 ESTIMATED RECEIPTS ANDNBEGINNING CASH BALANCE Ensuing Fiscal Year Item S 6,804.62 $ 921.46 635.48 3.864.73 2.657.27 7,157.48 614.81 Allowance Current Fiscal Year 1962-63 . . 36 Federal Money Received $ 700.00 Through State 2,600.00 77 Sale of Lunches 2.854.00 Transferred from Gen. Fund S 6,154.00 Total Receipts 6,710.00 Beginning Net Cash Balance (or Deficit) ..$ 700.00 .. 3,000.00 3,010.00 $ 7,726.08 $ 7.772.29 $ 6,154.00 Total Budget Resources S 6.710.00 2,010.00 3,792.78 1,083.03 225.46 ESTIMATED EXPENDITURES AND RESERVE 2,474.42 $ 2,910.00 910 Salaries 5 J."'" "" 921 Food t j.iou.uu 935 Replacement of Equipment 936 Other 250.00 4,007.84 481.58 241.91 3,000.00 244.00 $ 7,111.27 S 7,205.75 S 6,154.00 B. Cash Working Fund (ScheduleVI D) $6,000.00 INDEBTEDNESS Amount of bonded indebtedness (Include all negotiable interest-bearing warrants issued under ORS (328.205) 557,000.00 Total indebtedness (sum of items 1, 2, 3) $57,000.00 SCHEDULE II Actual Receints Fiscal Year Fiscal Year GENERAL FUND ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE Endinc June 30, 1961 63,066.92 1.554.45 200.00 Endinc June 30, 1962 69,639.41 2,902.95 185.32 17.50 Budeet Allowance Current Fiscal Year 1962-63 Item Estimated Expenditures Ensuing Fiscal Year 2,000.00 3,725.00 300.00 200.00 $22,018.10 $18,494.86 $ 4.132.00 3,329.00 2,000.00 TOTAL RECEIPTS $ 4,510.00 BEGINNING NET CASH BALANCE (or DEFICIT) LESS CASH WORKING FUND $ 8,000.00 $22,018.10 $23,823.88 $ 6,132.00 TOTAL BUDGET RESOURCES GENERAL FUND $12,510.00 SCHEDULE III Expenditures Tiscal Year Fiscal year . GENERAL FUND ESTIMATED EXPENDITURES Budget Ending June 30, 1961 600.00 13.89 119.45 24.50 4.03 Ending June 30, 1962 600.00 14.24 137.06 33.00 12.42 6.21 Allowance Current Fiscal 1962-83 600.00 20.00 125.00 Hem 20.00 Estimated Expenditures Ensuing Fiscal Year Receipts 100 Administration 110 Salaries 112 Office of Business Administration $ 780.00 120 Supplies 30.00 141 Elections and Publicity 143 Legal Service 144 Audit 190 Other Expenses of Administration.. 20.00 769.24 $ 804.93 5,400.00 5,009.04 72.06 127.00 17.96 292.15 179.89 29.50 $11,218.50 $ $ $ 243.00 $ 243.00 $ 1,504.00 216.89 373.00 320.18 5,599.98 3,200.00 271.02 247.98 75.12 34.78 $1 1,563.88 $ 10.76 $ KU6 $ 256.80 763.00 6.100.00 3,300.00 130.00 300.00 230.00 35.00 Total Administration Expenses $ 830.00 200 Instruction 210 Salaries $ 6,400.00 213 Teachers 220 Teaching Supplies 226 Textbooks 227 Library Books, Periodicals, Audiovisual Aids 290 Other Expense of Instruction 100.00 275.00 150.00 $ 9,104.54 $ 3,046.47 S 9,315.00 18,762.71 2,137.88 18,372.77 3,333.23 $ 387.37 $ 19.895.58 208.84 433.25 793.48 1,394 42 19,864 70 234.81 1.648.30 635.48 19.000.00 203.00 300.00 700.00 4.738.22 28.64 $ 11.644.00 $ 10,000.00 $ 2.16 $121,311.88 $132,921.52 S 41,718.00 S 44.146.12 $ 46.124.74 $ 1,500.00 $165.458.00 $179,046.26 S 43.218.00 10. Revenue From Local Sources 11.1 District Tax received in year levied $ 11.2 District Tax-Prior Years' Levies 11.5 Local Tax as Tax Offset 14.0 Other 20. Revenue From Intermediate Sources 21.0 County School Fund $ 22.0 Rural School District 22.1 Apportionment 22.2 Prior Years' Levies (Rural) 30. Revenut From or Through State Sources 31.0 Basic School Support Fund (a) Off-set Against Tax Levy $ (b) Other Basic School Fund Receipts 21.005.71 32.0 Common (Irreducible) School Fund 35 N.D.E.A 36 School Lunch Fed. Funds Revenue Direct From Federal Sources 41.0 Public Law 874 S 70. Sale of Properly and Insurance Adjustments 80.-90. Receipts From. Other School Districts TOTAL RECEIPTS $ BEGINNING NET CASH BALANCE (or DEFICIT) LESS CASH WORKING FUND 20.000.00 TOTAL BUDGET RESOURCES GENERAL FUND 614.81 7.726.08 566.54 7.772.29 $ 6.154.00 Total Estimated Expenditures $ 6,710.00 Reserved for Expenditure -in Future Years Total Expenditures and Reserve $ 6.710.00 SCHEDULE VI CASH WORKING FUND A. Cash Balance in Cash Working Fund During Current Fiscal Year $4,500.00 B. ADD: Transfer from Unexpended Balance of General Fund as Authorized by ORS 294.348 1.500.00 D. Balance in Cash Working Fund for Ensuing Fiscal Year $6,000.00 Approved by Budget Committee Approved February 14, 1963 Signed: Clara Edmondson Secretary, Budget Committee Roberta Burton Chairman, Budget Committee Posted March 22, 1963 Signed: Zelda Edmondson District Clerk 40. They'll Do It Every Time By Jimmy Hatlo SCHEDULE III Actual Receints Fiscal Year Fiscal Year GENERAL FUND ESTIMATED EXPENDITURES budget feL5Sg!Sl47 ( wonderful W'irfcl X 3,585.00 - -. R Bn0UKLEVEVV0"...M'iB - L 2) t I NOT DOUBLEVEWV .- jib ."'., $12,333.00 $ 3.60 10.00 10.00 258.80 1,500.00 65.90 322.30 266.32 $ $ 1,150.00 $ 1,130.00 $ 1,500.00 100.00 375.00 400.00 Total Expense of Instruction $ 6,925.00 300-400 Attendance and Health Services 300 Attendance Services $ 400 Health Services 420 Supplies 10.00 Total Attendance and Health Service 300 Pupil Transportation Services 365 Payment In lieu of Transportation . $ 10.00 $ 1,000.00 Total Pupil Transportation Services ....$ 1,000.00 $00 Operation of Plant 610 Salaries $ 1.500.00 620 Supplies 100.00 628 Fuel for Heat 375.00 630 Utilities except Fuel 350.00 $ 2,416.07 $ 2,184.92 $ 2,375.00 Total Operation of Plant $ 2,325.00 700 Maintenance of Plant $ 48.00 $ $ 710 Salaries $ 84.20 78.70 300.00 720 Materials and Supplies $ 500.00 333.00 735 Replacement of Equipment $ 467.20 $ 78.70 $ 300.00 Total Maintenance of Plant $ 500.00 800 Fixed Charges 851 Retirement and Social Security $ 862.54 $ 625.97 $ 830.00 Expense $ 500.00 479.82 479.80 324.30 852 Insurance 500.00 483.50 725.00 $ 4,033.21 $ 3,991.84 $ 4.786.76 $ 1,200.00 $ 1.341 77 $ 1,300.00 57.305.66 62,163.02 64,150.00 99,96 564.00 2,800.00 1,020.00 1,200.00 1.200.00 833.50 529.00 1.100.00 4.344.84 6.193.07 3.429.91 319.53 2.823.72 1.773.55 1,228.43 3,023.84 2,492 60 544.29 724.43 631 91 1.299.95 $ 67,078.35 $ 79.014 32 $ 79.546.01 $ 1.142.36 $ 1,105.67 $ 1,334.50 $ 675.00 159.17 $ 834.17 $ 1,128 47 675.00 123.34 675 00 Total Fixed Charges $ 1.000.00 300-1000 Food Services and Student Body Activities 900 Food Services 910 Salaries $ 810.00 798.34 132.00 300.00 Total Fond Services and Studcllt-Budv Activities $ 1200 Capital Outlay 1276 New Buildings and Additions $ 1277 Remodeling 1278 Equipment 100 00 $ 1,128.47 $ 132.00 $ 300.00 8 1.880.00 849.60 1.629 60 3.000.00 2,000.00 Total Capital Outlay S 100.00 1400 Payment to Oilier School Districts 1461 1o Other Districts in Slate 1461 1 Tuition $ 4.340 00 1461 2 Transportation 1.750.00 $ 2.729 60 $ 1.629.60 $ 7.000 00 Total Payments to other School Districts S 6,090 00 Endinc June 30, 1961 1.304.43 1.700.04 140.33 278.65 100.00 26.25 Ending June 30, 1962 Allowance Current Fiscal Year 1962-63 Item Estimated Expenditures Ensuing Fiscal Year 1.4 78.65 1,800.00 243.07 217.42 100.00 15.00 136.80 1.392.22 1,900.00 173.54 275.00 100.00 95.00 126.00 100 Administration 110 Salaries 111 Superintendent's Office $ 2,010.00 112 Office of Business Administration 2,000.00 120 Supplies 193.24 141 Elections and Publicity 275.00 142 Census Enumeration 100.00 143 Legal Service 140.00 144 Audit 126 00 Travel 190 Other Expenses of Administration.. 725.00 350.08 $ 242.28 Total Administration Expenses $ 5,569 24 200 Instruction 210 Salaries 21 1 Principals 213 Teachers 214 Other Instructional Staff 215 Secretarial and Clerical Assistants 213.2 Sub. Teachers 220 Teaching Supplies 226 Textbooks 227 Library Books. Periodicals, Audiovisual Aids 243 Travel 290 Other Expense of Instruction 1.424.06 Total Expense of Instruction $ 87 430 56 300-400 Attendance and Health Services 400 Health Services 420 Supplies 5 242.28 1.300.00 74.000.00 1.700.00 1.500.00 1.100.00 3,117.67 1.353.83 1.935.00 Stranded on Jagged Rock River of Time Heavily Shoaled By Daylight Saving Confusion 231.81 2.417.77 1.410.23 1 1.183.00 412.47 537.60 350.08 S 2.509 50 1.960.90 312.10 1.090 02 242.28 2,825.00 2.540 00 409.99 .060.00 2.575.00 2,516.00 S 18,881.07 $ 5.872.52 $ 6.834.99 7.678.12 1.046.64 2,888.38 1.585.30 8,531.02 1,282.86 3.864 03 1 787.17 7.865.00 1.669.91 4,400.00 1.500.00 Tolal Attendance and Health Services $ "4, ''8 500 Pupil Transporlation Services oiu salaries 520 Supplies and Repairs 535 Replacement of Vehicles 552 Transportation Insurance 409.99 565 Payments in lieu of Transportation 1.06000 fatal Pupil Transportation Services 600 Operation ol Plant 610 Salaries 620 Supplies 628 Fuel (or Heat !.!""!"!"' 630 Utilities except Fuel 12.866.42 $ 15.444.78 S 15.434 91 58 57 4,703 69 100.00 8.209 37 1.457.17 6.329 95 100.00 1.375.76 1.902.45 $ 6.560.99 $ 8,000.00 1.721.99 4.400.00 1.500 00 Total Operation of Plant s 15 621 99 700 Maintenance of Plant 710 Salaries $ 100.00 20 Materials and Supplies 1.130.00 735 Replacement of Equipment 988 74 736 Contracted Service $ 4.762.26 $ 16.096 49 $ 5.378 21 820,054.43 $18,367.60 $28,568.10 TOTAL GENERAL FUND EXPENDITURES $19,590 00 SCHEDULE V Actual Receipts Fiscal Year Fiscal year SCHOOL LUNCH FUND ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE Ending June 30, 1961 Ending June 30. 1962 Budget Allowance Current Fiscal 1962-63 $ 00.00 300.00 673.00 $ 1.265 00 Hem 36 Federal Money Received Through Slate 77 Sale of Lunches Estimated For Ensuing Fiscal Year 90 00 300.00 810 00 4.821 75 2,038 05 441 00 4.507 56 856 38 482.00 6.528.15 1.906.45 $ 7.300.80 $ 5.845.94 $ 8,434.60 2,010 00 93.30 796 54 1.474 42 99 47 719 86 $ 2.910 00 244.00 700.00 Total Maintenance of Plant $ 2 218 74 800 Fixed Charges 851 Retirement and Social Security Expense $ 6,730.00 852 Insurance 2.200 00 Student Ins 380 00 Total Fixed Charges 900. 1000 Food Services and Student Body Activities 900 Food Services 910 Salaries 922 Supplies Federal Funds By DICK WEST Washington - IUP1I - The most widely used four - letter word in the English language may very well be "t i m e." I'm speaking, o f course, of four letter w o r ds that can be printed in a family news paper. In one thesaurus that I c 0 nsulted. West the word "time" appears in approxi mately 180 familiar quota tions, give or take ' time out of mind" and "time is money." None, I might add. is more eloquent than an original quotation uttered by Sen. Norris Cotton (R.-N.H.) this week as lie introduced a bill in the Senate. "Our river of time is heav ily shoaled, filled with jagged rocks and treacherous eddies." spake Cotton, and I couldn't agree with him more. The avowed j. urposc ol Cotton's bill is to eliminate some of the confusion fhat daylight saving time causes in this country each spring. 1 dutifully tried to under stand his explanation of the bill, but Tin afraid I never got past the first shoal. 1 got caught in nc of those treach erous eddies and wound up stranded on a jagged rock. Daylight time docs cause confusion That much I can understand I have always been good at understanding confusion. For instance. Richmond the capital of Virginia, ob serves day-light time from I Memorial Day to Labor Day. In Fairfax county, where I am domiciled, daylight time runs from the last Sunday in April to the last Sunday in October. The city of Bristol ignores it entirely already introduced, would improve matters any. Under these proposals, as I get it, areas wanting to ob serve daylight time would no longer move their clocks ahead an hour as they do now. Instead, they would move into a different time zone. Take Washington, for ox- ample. It would spend (he Thus, for about one month, winter in the Eastern lime Richmond has the same time as Bristol but is an hour be hind Fairfax county. Then Richmond has the same time as Fairfax county, but is an hour ahead of Bristol. Then Bristol catches up with Rich mond, which again falls be hind Fairfax county. All of that is perfectly clear to me. What I do not understand is how Cotton's bill, and similar measures zone, its present habitat. But in the summer, it would move into the Atlantic lime zone, which begins about 200 miles cast of here. That point is about 125 miles out in the ocean. Proposals that (he capital be dumped into the sea are not exactly novel, but are. I submit, totally impractical. The weather here is humid enough already. Grange News Upper Applegatc Grange The Jackson county Pomo na "traveling agate" was brought to Upper Applegatc (..range by Eagle Point recent-1 hire hou ly. About 230 Grangers at- explained in the valley. h-J: :.cn a con tinuing community service project of SpjkS Applcgate Grange, and following the Ice- leadcr Bill Barker the trophy collect- tended the scatinc drill bv 1 Hon Hlonlou v... u. Eagle Point officers who con- Mary Ann Cantrall. president ducted opening and closing of the Ruch Sheep dub and ceremonies. William Travis, president of Bob McGoey and Joe Casad ; the Swine club, presented a presented the Ralston-Purina plaque from the Ruch clubs trophy to Granger Mary Ann ; to Kenneth Cearly of Eagle Barker who raised the Jaclg- Point Grange for hi. i " - in S 9,510.00 Oregon Lagging in Professor Salaries Total Receipts $ 1.200 00 $ 1.265.00 Total nmtgrt Resources S 1.200 00 ESTIMATED EXPENDITURES AND RESERVE 673 00 $ 673.00 910 Salaries S 560.00 921 Food 30.00 922 Supplies 123.34 Other 3.010.00 244.00 700 00 Oregon son county 4-H champion bar row in 1962. Reading the original poem. "Twenty Years Too Late." by Pauline Smith opened the lec ture hour. Mary Ann Can trall told of the 4-H guide dog program and Fritz Ramsay showed the golden retriever he has been raising this year. Each of them has raised0 pup pics for the guide docs for 810 00 370.00 20.00 Total Food Services and Student $ 2.899.84 $ 3.293 73 $ 3.854.00 Body Activities $ 3,954.00 $ 3.425.00 $ 4.000.00 $ 3.000.00 EMERGENCY $ 3.000 00 TOTAL GENERAL FUND $113,133.38 S128.909 72 $129.511.76 EXPENDITURES $136.107 80 Salem utWRng ociuno oincr states the blind program. wliiSi has j in salaries paid to college i.id i headquarters in San Rafael. 1 uuivEioivj icacucro, alio 1: losing professors to higher $ 798.34 $ 1.265 00 TOTAL Approved by Budget Committee Approved March 13, 1963 Slg..ed: Ginger Brings Secretary, Budget Committee Howard Moore Chairman, Budgel Committee S 1.200.00 Posted March 22. 1963 Signed: Mildred D. Laird District Clerk SCHEDULE IV Actual Receipt Fiscal Year Fiscal Y Ending June 30. 1961 S 5.522.94 BOND INTEREST AND REDEMPTION FUND ESTIMATED RECEIPTS AND BEGINNING CASH BALANCE DUUMVI $ Endii June 30. 1962 11.315 96 543 41 6.066 35 1.163 S. 12.479 81 Allowance Current Final Year 1962-63 $ 10.030.00 1. 098.75 11 128.73 Item Receipts Estimated Ensuing Fiscal Year $ paying slates. . This was the theme express ed at a special salary sub committee of the Ways and Means committee. Chancellor Roy E. Lieual len said the University of Ore gon and Oregon State univer sity ranked cighih among 20 Calif A shadow movie. "Home on the Range. " was narrated bv Dana Gemardt. The cast in cluded Glen Saltmarsh. cattle king: Pat Saltmarsh. h i s daughter: Clarence Rolloft. rustler; and Fred West. hero. The program closed with solos and ducts with audience participation. Songs w'ere led H" several years in trans porting animals tor club mem bers. Visitors introduced by Mas Id' Edmunc'"T?amsay were State Overseer Rrscoc Robert Pomona '.lastor Melvin Lattie1 and Masters Frances Moffatt, r m ,VY, : "crman Ramping, pld Hill; Harold Van Hoy, Like Oak: Cliff Moore. Eagle Point; Ernest Radomskc. Sams Valley. Wayne Marshall. Lake v-.vv. james Cornutt. irai point; Jterling iv . uioya fhoenix; and Griffin CreeK Ccn- Frycar, Whitsidc. Virgil Wilkes. The traveling agate will be aken to Bellvicw Grange in UtSTh A nnl Grange Tuesday. April 2 Ashland by Total Receipts Beginning Net Cash Balance lor Deflcili 1.046 1 1 Total Budget Resources $ 1.046 11 """""u" oer me nation - oy .Mildred Redhead George in 1957, and now have slipped Redhead. Bill Barker Mad to 14th place. j elame Boehnker and Dana sue Kosernor nas rccom- 1 tjernardt. Martin Grier mended salary hikes totaling Grier and Nell Ramsey si.ii minion, inc ooara ot Saltmarsh. lecturer Higher Education is asking ! the Drocram $8 million. I Support of the 4-H prograi S3 .'.EX?.; V. - ! s-10-15 tbT ' oruci-., Bllm.ui.. 5gP" co"trol sppetlte. lkes reducing stttr. , "sier, more eni.