Equipment Operating Costs (Including De-
|
|
|
preciation)........................................................
|
265,345.22
|
223,552.60
|
Materials and Other Expenses..........................
|
246,320.34
|
181,910.65
|
Total..................................................................
|
$901,848.37
|
$736,192.99
|
|
FISCAL YEAR
|
1941-1942
|
For Maintaining the State System of Roads:
|
|
|
Net Operating Costs for maintaining the Road
Organization and roads and bridges on the
|
|
|
State System....................................................
|
$3,055,487.69 $:
|
2,760,462.19
|
Net cost of asset acquisition after deducting
|
|
|
depreciation thereon, chargeable to con-
|
|
|
struction and reconstruction.......................
|
151,542.46
|
68,621.04
|
Total net adjusted costs for maintenance of
|
|
|
Road Organization and roads and bridges
|
|
|
on State System, and Asset Acquisition. . . .
|
$2,903,945.23 $:
|
2,829,083.23
|
Payments to Baltimore City, Counties and to
|
|
|
Incorporated Towns
|
|
|
Payments to Counties for Debt Service and
|
|
|
County Debt Obligations..............................
|
$438,751.61
|
$335,066.30
|
Payments to Baltimore City of the Lateral
|
|
|
Gasoline Tax and part of Truck License
|
|
|
Fees and Franchise Taxes and $.0014 of 2c
|
|
|
Gasoline Tax....................................................
|
1,470,522.09
|
1,811,448.83
|
Payments to Incorporated Towns, as allotted
|
|
|
by County Authorities....................................
|
72,655.72
|
88,904.25
|
Payments direct to Counties who maintain
|
|
|
County Roads System....................................
|
564,742.52
|
1,204,141.31
|
Total.................................................................
|
$2,546,671.94 $
|
3,439,560.69
|
Interest and Principal Payments on Deben-
|
|
|
ture Obligations of the State Roads Com-
|
|
|
mission (Exclusive of Bridge and Ferry
|
|
|
System Bonds)
|
|
|
Expenses of Issuing State Roads Commission
|
|
|
Debenture Bonds.....................................
|
None
|
$11,591.19
|
Interest on State Roads Commission of Mary-
|
|
|
land Bonds, exclusive of Bridge Revenue
|
|
|
Bonds and Ferry Revenue Bonds ................
|
$156,498.75
|
252,182.50
|
Principal Retirements, State Roads Com-
|
|
|
mission of Maryland Debenture Bonds,
|
|
|
Issue of 1938 and Issue of 1941....................
|
'.. 759,000.00
|
493,000.00
|
Redemption of State Roads Commission ol
|
|
|
Maryland Refunding Bonds, Principal and
|
|
|
Premium.........................................................
|
None
|
5,163,640.00
|
Total................................................................
|
.$915,498.75 3
|
^5,920.413.69
|
Payments to Treasurer of Maryland
|
|
|
Sign License Fees......................................
|
$2,983.42
|
$3,333.35
|
|
FISCAL YEAR
|
1941-42
|
Other Disbursements
|
|
|
Appropriations to Tolchester Ferry Company
|
$6,666.68
|
None
|