ENG-1953 — Page 281

Hong Kong Year Books 香港年報 All

APPENDICES

LIABILITIES:

Brought forward

REVENUE EQUALIZATION FUND

Appendix I

STATEMENT OF ASSETS ANI

$

$

¢

166,710,894.57

111,414,760.94

GENERAL REVENUE BALANCE ACCOUNT:-

Balance as at 1st April, 1952

$219,232,413.80

Add Surplus from 1st April, 1952,

to 31st March, 1953

72,840,788.01

Add appreciation on Investments

Less:

Amount appropriated to Revenue Equalization Fund

THE TREASURY,

Hong Kong, 22nd July, 1953.

228

TOTAL:

4,889,093.72

296,962,295.53

$100,000,000.00 196,962,295.53

$475,087,951.04

Notes:-(a) Represents total of credit balance of

(b) Represents total of debit balances o

Government holds 16,290 shares at a nominal valu Amounts due from Colonial Development an

Scheme D. 994-Village Agriculture Depot

D. 994-Village Agriculture Depot D. 1242-Irrigation in the Nev D. 1952-Irrigation in the Nev D. 1602Hong Kong Housing D. 1661-Survey Party in the Nev R. 480-Fisheries Research Uni

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