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STATE OF MARYLAND
Revenues From Various Franchise Taxes and Fees
For the Fiscal Year Ended June 30, 1979
COLLECTED BY STATE DEPARTMENT OF ASSESSMENTS AND TAXATION
GROSS REVENUES ..................................... $37.515.694.24
LESS REFUNDS ...................................... 364.169.99
NET REVENUES ......................................... $37.151.5124.25
SOURCE OF NET REVENUES: ________
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Ordinary
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Business
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Corporations
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and Domestic
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Net Earnings
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Interest
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Foreign
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Gross Receipts
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Corporation
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Financial
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and
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Corporation
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Recording
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Recordation
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Transfer
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Public
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Total
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Bonus Tax
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Filing Fees
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Institutions
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Penalty
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Filing Fees
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Fees
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Tax
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Tax
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Utilities
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Other
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COUNTIES:
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$ 18,660.00
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$ 18.660.00
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Anne Arundel .........................
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102,785.00
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102,785.00
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Baltimore ............................
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221,310.00
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221,310.00
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Calvert .........................
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4,970.00
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4.970.00
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6,410.00
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6,410.00
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Carroll ...............................
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32,460.00
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32,460.00
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Cecil .................................
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12,650.00
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12,650.00
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Charles .............................
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22,260.00
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22,260.00
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8,580.00
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8,580.00
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Frederick .............................
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28,570.00
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28,570.00
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6,620.00
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6,620.00
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30,270.00
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30,270.00
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39,350.00
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39,350.00
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Kent .................................
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7,230.00
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7.230.00
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265,355.00
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265,355.00
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Prince George's ........................
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164,820.00
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164,820.00
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Queen Annes .........................
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6,605.00
9,900.00
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6,605.00
9,900.00
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4,170.00
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4,170.00
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Talbot ...............................
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13,400.00
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13,400.00
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33,790.00
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33,790.00
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Wicomico .............................
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23,920.00
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23,920.00
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Worcester ...........................
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21,080.00
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21,080.00
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Baltimore City ..........................
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363,240.00
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363,240.00
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Unallocated Funds — Maryland .............
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$34,371,535.41
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$259,038.00
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$8.000.942.57
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$31.439.11
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$558.220.46
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$142,027.84
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$318.933.25
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$24,996,204.70
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$64,729.48
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Unallocated Funds— Out-of-State ...........
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1,331,583.84
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873.700.84
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1.866.00
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$456.017.00
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Total Net Revenues ...................
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$37,151,524.25
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$259,038.00
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$1.448.405.00
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$8.874.643.41(d
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$33.305.11
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$456.017.00
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$558.220.46
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$142,027.84
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$318.933.25
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$24.996,204.70
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$64,729.48
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ALLOCATION OF NET REVENUES:
General Fund Revenue ..................
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$35,861,862.07
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$259,038.00
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$ 724,202.50(d)
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$8.874.643.41
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$33.305.11
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$456.017.00
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$498.666.18
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$24,996,204.70
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$19,785.17
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SPECIAL FUND ATTAINMENT:
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To Subdivisions ......................
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724,202.50
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724,202.50
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NON BUDGETED FUND REVENUE.
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209,179.72
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142.027.84ia!
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67.151.88(bt
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To Clerk of Court ....................
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52,411.75
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52.411.75
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To Local Newspapers .................
To Surplus ..........................
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7,142.53
296,725.68
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7.142.53
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251/781.37
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44^944.31
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TOTAL NON BUDGETED FUND REVENUES .
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565,459.68
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59,554.28
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142,027.84
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318,933.25
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44.944.31
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TOTAL ALLOCATION of NET REVENUES . . .
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$37,151,524.25
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$259,038.00
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$l,448.405.00(D)
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$8.874.643.41
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$33.305.11
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$456.017.00
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$558.220.46
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$142,027.84
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$318.933.25
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$24,996,204.70
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$64,729.48
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(a) Recordation Tax in the amount of $142,027.84 will be distributed to subdivisions in the 1980 fiscal year.
(b) Transfer Tax in the amount of $67,151.88 will be distributed to subdivisions in the 1980 fiscal year.
(c) Includes adjustments of $723.362.50 and $5,452.50 not reflected on Exhibit A—I. These adjustments were not recorded in State accounting records until July, 1979.
(d) Does not include $5,661.48 collected in the Penn Central Transportation Company settlement of prior years' debt. c/^rrrT*¥T¥ tr> A
SCHEDULE A—1
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