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Annual Report of the Comptroller, 1999
Volume 362, Page 65   View pdf image (33K)
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Component Units — Proprietary Type Funds —

The changes in contributed capital of the component units, proprietary fund type for the year ended June 30,
1999, are as follows (amounts expressed in thousands).

 

Maryland

Maryland

Maryland

 

Food Center

Environmental

Industrial Development

 

Authority

Service

Financing Authority Total

Balance, July 1, 1998, .....................................................

........................... $400

$2,703

$23,750 $26,853

Depreciation on contributed assets. ...................... ..........

........................... (12)

(270)

(282)

Balance, June 30, 1999 ...................................................

........................... $388

$2,433

$23,750 $26,571

13. Interfund Transfers:

Interfund transfers, as of June 30, 1999, consist of the following (amounts expressed in thousands).

Operating Transfers In

Operating Transfers Out

Amount

General Fund

Special Revenue Fund-Maryland Department of Transportation

$ 64,591

 

Capital Projects Fund

19,444

 

Enterprise Funds —

 
 

Maryland State Lottery Agency

393,221

 

Economic Development — Insurance Programs

2,439

 

Economic Development — Loan Programs

4,384

 

Component Units —

 
 

Higher Education

257

 

Maryland Industrial Development Financing Authority

756

Special Revenue Fund —

   

Maryland Department of Transportation

General Fund

110,419

Debt Service Funds —

   

General Obligation Bonds

General Fund

151,807

 

Capital Projects Fund

6,312

Maryland Department of Transportation

Special Revenue Fund — Maryland Department of Transportation

133,178

Maryland Transportation Authority

Special Revenue Fund — Maryland Department of Transportation

24,454

 

Special Revenue Fund — Maryland Transportation Authority

20,229

Capital Projects Fund

General Fund

232,136

 

Enterprise Funds — Loan Programs

17,062

Enterprise Funds — Loan Programs

General Fund

40,136

 

Capital Projects Fund

4,145

Component Units —

   

Higher Education

General Fund

722,185

 

Capital Projects Fund

83,307

Component Units — Proprietary

   

Maryland Stadium Authority

General Fund

15,928

Maryland Industrial Development Financing Authority

General Fund

2,750

14. Segment Information:

Activity segments included in enterprise funds are described in Note IB. Selected financial information with
respect to these segments as of and for the year ended June 30, 1999, is as follows (amounts expressed in thou-
sands).

 

 

Segments

 

Manufacturing

 
 

Insurance

Loan

 

(State Use

 
 

Programs

Programs

Lottery

Industries)

Total

Operating revenues ..............................................................................

$ 13,467

$ 209,625

$1,080,029

$35,750

$1,338,871

Depreciation and amortization ............................................................

14

1,070

609

946

2,639

Operating (loss) income ........................................................................

(615)

(17,752)

391,646

1,992

375,271

Operating interfund transfers:

         

In........................................................................................................

 

44,281

   

44,281

Out ....................................................................................................

(2,439)

(21,446)

(393,221)

 

(417,106)

Net income (loss) ..................................................................................

(3,054)

6,018

(1,640)

1,990

3,314

Current capital contributions ..............................................................

 

80,793

 

9

80,802

Property, plant, and equipment:

         

Additions............................................................................................

3

2

907

936

1,848

Deletions............................................................................................

 

377

 

2

379

Total assets. ...... .....................................................................................

116,040

3,842,659

512,601

23,110

4,494,410

Bonds and other long-term liabilities payable from

         

operating revenues............................................................................

 

2,597,010

2,890

 

2,599,900

Total capital ..........................................................................................

73,308

1,140,564

810

18,991

1,233,673

Net working capital ..............................................................................

68,352

1,275,864

469,226

14,879

1,828,321

65

 

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Annual Report of the Comptroller, 1999
Volume 362, Page 65   View pdf image (33K)
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