Page image

D.—l

2

TABLE No. 1. SUMMARY showing the Total Expenditure on Public Works and other Services out of Public Works Fund to 31st March, 1913, and the Liabilities on that Date.

Number of Table containing Details. Works. Total Net Expenditure to 31st March, 1912. Expenditure Po m A,,«ioo during on Account 01 Total Net Ex P CTdi - Twelve Months « o °S™ ture to ended of PrevioTiR Year* 31st March, 1913. 31st March, 1913. ot Fr <>™us years. Liabilities on 31st March, 191S. Total Net Expenditure and Liabilities. Works. 3* 5 and 5a 6 7 8 18 of 1878 11 of 1877 1 £ s. d. ! Railways .. ,. .. .. : 28,679,914 8 S I Roads .. .. .. .. 9,349,519 12 11 Development of goldfields .. .. <| 818,173 3 2 j Telegraphs .. ,. .. 2,025,750 14 6 Public buildings .. .. .. : 5,042,032 8 0 Lighthouses, harbour-works, and har- 1,081,422 2 2 bour-defenoes I Departmental .. .. .. 726,669 9 3 Development of water-power .. 18,450 14 1 Coal-exploration and mine-development j 10,835 8 0 i Aiding works on Thames goldfields .. I 50,000 0 0 j Immigration .. .. .. 2,239,912 4 11 Purchase of Native lands .. .. 2,066,637 11 10 Defence .. .. .. .. I 920,418 14 1 Charges and expenses of raising loans .. ! 1,242,422 19 8 Interest and sinking fund . . .. 218,500 0 0 Rates on Native lands .. , .. j 68,671 16 10 I Thermal springs .. .. .. 14,599 13 2 Tourist and health resorts .. .. ! 216,633 2 1 Lands improvement .. . . 82,545 12 2 Payment to Midland Railway bond- 150,000 0 0 holders Irrigation and .. 4,356 5 0 £ s. d. £ s. d. 1,148,832 4 5 29,528 1 4 374,345 13 4 10,643 18 8 1,015 0 0 251,374 13 8 445,192 2 6J! 16,785 1 10 57,425 11 1§ 14,693 16 2|| 917 5 0 23,790 2 1 1,269 3 11 12,905 14 11 22,550 6 10 383 6 10 £ s. d. ! 29,799,218 11 9 9,723,865 6 3 827,802 1 10 2,277.125 8 2 5,487,224 10 6 1,098,207 4 0 784,095 0 4 18,450 14 1 10,835 8 0 50,000 0 0 2,254,606 1 1 2,065,720 6 10 944,208 16 2 I 1,243,692 2 9 218,500 0 0 68,671 16 10 14,599 13 2 229,538 17 0 104,712 12 2 150,000 0 0 £ s. d. £ s. d. 255,340 3 0 30,054,558 14 9 | Railways. 162,258 11 6 9,886,123 17 9 | Roads. 827,802 1 10 ! Development of goldfields. 171,297 1 0 I 2,448,422 9 2 j Telegraphs. 80,910 10 11 5,568,135 1 5 Public buildings. 527 9 8 1,098,734 13 8 Lighthouses, harbour-works, and harbourdefences. 566 16 8 784,661 17 0 Departmental. 18,450 14 1 Development of water-power. 10,835 8 0 j Coal-exploration and mine-development. 50,000 0 0 ■ Aiding works on Thames goldfields. 2,254,606 1 1 I Immigration. i 2,065,720 6 10 Purchase of Native lands. 944,208 16 2 Defence. 1,243,692 2 9 j Charges and expenses of raising loans. 218,500 0 0 Interest and sinking fund. 68,671 16 10 Rates on Native lands. 14,599 13 2 j Thermal springs. 1,791 0 , 0 231,329 17 0 Tourist and health resorts. 1,240 18 2 105,953 10 4 Lands improvement. 150,000 0 0 Payment to Midland Railway bondI holders. £ s. d. 255,340 3 0 162,258 11 6 171,297 1 0 80,910 10 11 527 9 8 566 16 8 1,791 0 0 1,240 18 2 4,356 5 0 4,356 5 0 Totals .. .. .. I 55,027,466 0 6 i 2,379,808 2,379,808 8 7 31,843 13 2 8 7 ! 31,843 13 2 57,375,430 15 11 673,932 10 11 J 58,049,363 6 10 Totals. * Table 3 also includes expenditure under Wellington-Manawatu Railway Purchase, Hutt Railway and Road Improvement, and Railways Improvement Accounts. f Table 4 also contains details of expenditure under Loans to Local Bodies and other Accounts. % Includes £50 charged to " Unauthorized." § Includes £439 7s. 6d. charged to " Unauthorized." |[ Includes £237 8s. 4d. charged to "Unauthorized." If Previously included under Lands Improvement. Does not include expenditure on Wellington—Manawatu Railway Purchase, Hutt Railway and Road Improvement, and Railways Improvement Accounts.