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TABLE No. 1. Summary showing the Total Expenditure on Public Works and other Services out of Public Works Fund to 31st March, 1919, and the Liabilities on that Date.
Number of Table Works, containing Details. | Works. Total Net Expenditure to 31st March, 191S. Total Net Expenditure to 31st March, 1918. Expenditure Dp m ™ri« : Twe S n tb.s ' oniccountof Total Net Expendi- ; Liabilities on Services ! „ rf1 £S* , 1 , nQ i Slst March, 1919. ended ■ f p_ n _i„„, y„„, March, 1919. 31st March, 1919. : ot reTlous * eals - Expenditure during Twelve Months ended 31st March, 1919. i I or !of p Recoveries n Account of Services Previous Yean 1 rs.' rotal Net Expenditure to Slst March, 1919I Total Liabilities on Net Expenditure 31st March, 1919. and Works. Liabilities. Total Net Expenditure and Liabilities. Works. 3 Railways* Roads | Development of mining | Telegraphs Public buildings j Lighthouses, harbour- works, and har-bour-defences : Departmental .. .. .. j Electric power supply and development J 8 of 1878 Coal-exploration and mine-development 11 of 1877 Aiding works on Thames goldfields .. j Immigration Purchase of Native lands Defence Charges and expenses of raising loans .. Interest and sinking fund Rates on Native lands Thermal springs Tourist and health resorts Lands improvement Payment to Midland Railway bondholders Irrigation and water-supplyf Plant, material, and stores .. £ 35,211,663 11.396,140 833.496 3.624,988 7,094,902 1.143,051 1,319,954 10,835 50,000 2,342.128 2,061,906 1,043,691 1,253,073 218,500 68,672 14,600 259,440 139,608 150,000 147,055 91,007 387,923 226,073 518 198,611 235,846 5,392 115,419 9,254 Cr. 12,018 8,809 1,620 Cr. 4,268 13,665 20,638 £ 4,924 997 1,000 4,119 922 31 £ 35,594,662 11,621,216 839,014 3,823,599 7,330,748 1,148,443 1,431,254 9,254 10,835 50.000 2,330,110 2,061.906 1,051,578 1,253,073 218,500 68,672 14,600 261.060 135.340 150,000 160,720 111,614 £ £ 229,397 35,824,059 Railways. 156,409 11,777,625 Roads.' 839,014 Development of mining. 15,907 3,839,506 Telegraphs. 71,646 7,402, 394 Public buildings. 1,148. 443 Lighthouses, harbour- works, and harbour, defences. 973 1,432,227 Departmental. 372 9,626 Electric power supply and development. 10,835 Coal-exploration and mine-development. 50,000 Aiding works on Thames goldfields. 2,330,110 Immigration. 2,061 ,906 Purchase of Native lands. 321 1,051,899 I Defence. 1,253,073 Charges and expenses of raising loans. 218,500 Interest and sinking fund. 68.672 Rates on Native lands. 14,600 Thermal springs. 4,250 265,310 Tourist and health resorts. 135.340 Lands improvement. 150.000 Payment to Midland Railway bond holders. 1,360 162,080 Irrigation and water-supply. 38,621 150,235 Plant, material, and stores. I — Totals .. 68,480,709 1,207,482 1,207,482 11,993 11,993 69,676,198 69,676,198 519,256 ~ 70,195,454 Totals. i * Exclusive of expenditure on Hutt Railway and Road Improvement and Railways Improvement Accounts. Account 1911-12 to 1915-16 and part 1917-18, now included in Public- Works Fund. * Exclusive of expenditure on Hutt Railway and Road Improve! smerr it and Railway: 7S Imp provement A Accor rants. i- Includes £115,000 previously expended under Irrigation and Water-supply
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