Appendix VI (a)

LOAN WORKS.

Authorised under Public Works Loan, 1927-$5,000,000.

Works.

Total Cost.

Amount charged to Public Works Loan 1927.

Amount tempo- rarily charged to Surplus Balances.

HEAD 1.-WATER WORKS DEVELOPMENT.

(a) Shing Mun Valley Scheme,

4,130,765.59

3,500,000.00

630,765.59

HEAD 2.--AERODROME AND HARBOUR DEVELOPMENT. (a) Harbour Development.. (b) Aerodrome...................

474,854.63

1,045,631.29

474,854.63 1,025,145.37

20,485.92

Works.

Total

5,657,251.51

5,000,000.00

*657,251.51

Appendix VI (b).

* Transferred to 34% Dollar Loan, 1934.

Appendix VI (b)

LOAN WORKS

Authorised under 31% Dollar Loan, 1934-$25,000,000.

Revised Estimated Cost.

Expenditure up to 31. 12, 36.

Revised Estimated Expenditure 1937.

Estimated Expenditure 1938.

HEAD-1. ABERDEEN VALLEY WATER SCHEME

2. SHING MỤN VALLEY WATER SCHEMES

(a) 1st Section

2,555,702.78

2,555,702.78

630,705.59†

636,765,59

(b) 2nd Section :--

(1) Preliminary Works

(2) Filters

(3) Gorge Dam

sale of Plant..

(4) 2nd Cross Harbour Pipe

36,718.84

120,015.23

36,718.84 120,045.23

$8,800,000.00

Less Estimated receipts from

200,000.00

8,000,000.00

8,262,230,72

337,769.28

173,348.32

173,348.32

(5) 2nd 24" Trunk Main

(6) 3rd Rapid Gravity Filters

3. VEHICULAR FERRY

4. NEW GAOL AT STANLEY

5. TYTAM TUK CATCHWATERS

6. AIRPORT:-

(a) Aerodrome

(b) Airport and Seaplane Slipway

(c) Wireless Telegraph Station

281,000.00

240,714.44

40,285,56

285,000.00

10,132,877.98

204,069.99

80,330.01

1,915,603.80

1,907,966.94

7,636,86

3,945,000.00

3,534,930.96

350,069.04

60,000.00

689,386.55

689,380.55

20,485.92†

20,485.92

860,000.00

754,186.59

127,000.00 1,007,485.92

04,172.79

88,813.41 7,100.00

17,000.00

55,727.21

7. REDEMPTION OF 31% INSCRIBED STOCK

3,804,942.97

3,864,942.97

8. NEW MARKET :-

(a) Central Market

(b) Wholesale Market

689,000.00* 200,000.00

889,000.00

20,000.00 186,150.00

669,000.00

13,850.00

TOTAL.....

25,000,000.00

Expenditure charged to 31% Dollar Loan (First Issue)....

13,860,000.00

23,006,268.63

13,860,000.00

1,118,154.16

815,577.21

Expenditure temporarily charged or to be charged to

Surplus Balances pending Second Issue of Bonds..

11,140,000,00

9,206,268.63

1,118,154.16

815,577.21

Note * Part cost; total estimated cost is $900,000. It is proposed to charge the balance to a future loan,

†Transferred from Public Works Loan 1927. Appendix VI(a).

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