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STATE OF MARYLAND
Receipts From Various Franchise Taxes and Fees
For the Fiscal Year Ended June 30, 1977
COLLECTED BY STATE DEPARTMENT OF ASSESSMENTS AND TAXATION
GROSS RECEIPTS ........................................... $33,753,767.04
LESS REFUNDS ........................................... 199,561.44
NET RECEIPTS ............................................. $33,554,205.60
SOURCE OF NET RECEIPTS:
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Ordinary
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Business
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Corporations
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and Domestic
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Net Earnings
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Interest
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Foreign
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Gross Receipts
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Corporation
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Financial
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and
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Corporation
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Recording
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Recerda-
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Transfer
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Public
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Total
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Bonus Tax
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Filing Fees
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Institutions
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Penalty
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Filing Fees
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Fees
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tion Tax
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Tax
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Utilities
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COUNTIES:
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Allegany .......................................
Anne Arundel .................................
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$ 21,170.00
120,820.00
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$ 21,170.00
120,820.00
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Baltimore .....................................
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247,885.00
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247,885.00
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Calvert ...............
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6,740.00
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6,740.00
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Caroline .......................................
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6,810.00
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6,810.00
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Carroll ........................................
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32,660.00
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32,660.00
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Cecil ...........................................
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16,370.00
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16,370.00
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Charles
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22,225.00
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22,225.00
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Dorchester .................
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11,100.00
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11,100.00
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Frederick
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33,480.00
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33,480.00
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Garett ..............
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8,540.00
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8,540.00
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Harford ........................................
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35,700.00
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35,700.00
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Howard ........................................
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48,675.00
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48,675.00
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Kent ...........................................
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7,240.00
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7,240.00
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Montgomery ....................................
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278,275.00
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278,275.00
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Pnnce George's .................................
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190,940.00
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190,940.00
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Queen Anne's ...................................
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7,670.00
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7,670.00
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St. Mary's .....................
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11,020.00
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11,020.00
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Somerset .......................................
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3,480.00
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3,480.00
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Talbot ...........
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16,220.00
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16,220.00
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Washington ....................................
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40,990.00
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40,990.00
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Wicomico .......................................
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28,930.00
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28,930.00
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Worcester ......................................
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24,165.00
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24,165.00
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Baltimore City ....................................
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413,665.00
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413,665.00
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Unallocated Funds ? Maryland .....................
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30,409,176.81
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$227,369.00
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$9,678,777.93
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$36,310.57
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$393,240.60
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$95,144.74
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$314,176.57
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$19,664,157.40
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Unallocated Funds? Out-of-State ..................
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1,510,258.79
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1,099,405.20
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9,536.59
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$401,317.00
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Total Net Receipts ............................
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$33,554,205.60
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$227,369.00
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$1,634,770.00
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$10,778,183.13
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$45,847.16
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$401,317.00
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$393,240.60
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$95,144.74
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$314,176.57
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$19,664,157.40
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ALLOCATION OF NET RECEIPTS:
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General Fund Revenue ............................
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$32,281,026.47
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$227,369.00
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$817,385.00
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$10,778,183.13
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$45,847.16
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$401,317. 00.
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$346,767.78
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$19,664,157.40
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SPECIAL FUND ATTAINMENT:
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To Subdivisions .................................
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817,385.00
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817,385.00
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NON-BUDGETED FUND CASH:
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Reserve ........................................
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409,321.31
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$95,144.74(A)
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$314,176.57(B)
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To Clerk of Court ...............................
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40,480.00
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40,480.00
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To Local Newspapers ............................
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5,992.82
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5,992.82
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455,794.13
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46,472.82
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95,144.74
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314,176.57
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TOTAL ALLOCATION OF NBT RECEIPTS ............
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$33,554,205.60
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$227,369.00
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$1,634,770.00
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$10,778,183.13
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$45,847.16
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$401,317.00
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$393,240.60
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$95,144.74
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$314,176.57
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$19,664,157.40
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(A) Recordation tax in the amount of $95,144.74 will be distributed to subdivisions in the 1978 fiscal year.
(B) Transfer tax in the amount of $314,176.57 will be distribu-ed to subdivisions in the 1978 fiscal year.
SCHEDULE B?1
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