National Roads Financial Report




1558
THE NEW ZEALAND GAZETTE
No. 75

NATIONAL ROADS

THREE MONTHS
ENDED 30 JUNE
1972

RECEIPTS

THREE MONTHS ENDED
30 JUNE 1973

$
18,785,565
1,621,440

17,164,125

1,631,666

170,848

$18,966,639

Motor spirits duty
Less refunds

..
..

..
..

..
..

..
..

..
..

..
..

..
..

$
20,759,315
1,273,914

19,485,401

..
..

2,171,207

164,385

$21,820,993

4,293,720

2,419,423

$6,713,143

Balance at beginning of year—
Cash

..
..

..
..

..
..

..
..

..
..

..
..

..
..

..
..

2,275,527

4,003,351

$6,278,878

RESERVE

$
607

591,492

$592,099

Miscellaneous

..
..

..
..

..
..

..
..

..
..

..
..

..
..

$
..

..

$
390

1,114,628

$1,115,018

5,353,327

79,417,243

84,770,570

592,099

$85,362,669

Balances at beginning of year—
Cash
Investments (nominal value, $69,117,447)

..
..

..
..

..
..

..
..

..
..

..
..

..
..

27,679,876
67,601,720

95,281,596

..
..

1,115,018

$96,396,614

TRUST

$
75,914,484

Receipts

..
..

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..

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..

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..

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..

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..

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$
..

$
86,435,263

2,084,152

25,306,660

27,390,812

$103,305,296

Balances at beginning of year—
Cash
Investments

..
..

..
..

..
..

..
..

..
..

..
..

..
..

3,529,610
14,892,684

18,422,294

Total

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..

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..

..
..

..
..

..
..

..
..

..
..

..
..

$104,857,557



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🏗️ National Roads Financial Report for Three Months Ended 30 June 1972 and 1973

🏗️ Infrastructure & Public Works
Financial report, National Roads, Receipts, Balances, Investments