OCR Text |
Show SCHEDULE No. 1.-Construction work in progress, June 30, 1958 Total Storage units • Transmission division Feature Glen Canyon Flaming Gorge Navajo Dams and reservoirs: .. $25,226,769 887,383 2,661.198 .. 5,085,430 1,184 $23,725,674 191,927 2,661,198 4,515,952 1,184 $938,240 47,535 $562,855 647,921 Reservoirs Bridge Highways and access roads .............. Other 569,478 33,861,964 6,828,111 445,410 31,095,935 6,564,842 419,415 1,555,253 263,269 25,995 1,210,776 Powerplants Switchyards .......................................... Transmission lines: Glen Canyon-Flaming Gorge lines and 221,546 12,512 $221,546 12,512 Future lines and substations .............. Total . 234,058 493,093 234,058 1,400 Interest during construction capitalized .. 460,475 31,218 Total ........ .. 41,862,636 38,540,667 1,875,735 1,210,776 235,458 Additions by fiscal years: 1957 . 8,394,711 33,467,925 7,196,535 31,344,132 932,264 943,471 265,912 944,864 1958 ................ 235,458 Total 41,862,636 38,540,667 1,875,735 1,210,776 235,458 SCHEDULE No. 2.-Service facilities, June 30, 1958 Storage units Total Glen Canyon Trans- - Advance mission Flaming Navajo planning divi-Gorge sion Structures: Permanent housing ................................$1,720,614 $950,627 $769,987 ................ Portable housing .................................... 713,506 373,348 115,770 $224,388 Warehouses .............................................. 519,896 456,708 63,188 ................ Administration building .......„............... 67,087 55,913 11,174 Municipal buildings: Public building .................................. 100,660 100,660 ................ Police .................................................. 33,598 33,598 ................ Fire station ond garages ................ 109,464 26,175 83,289 Total .............................................. 3,264,825 1,997,029 1,043,408 224,388 ................ Utility plant .................................................... 2,518,164 1,509,893 891,237 117,034 ................ Streets, street improvements, and access roads ........................................................ 1,820,319 1,450,311 370,008 ................................ Airstrip ............................................................ 281,269 281,269 ................................................ Movable equipment ...................................... 1,203,782 573,269 365,258 48,131 $216,852 All other ........................................................ 314,160 304,347 7,436 2,377 ................ Less: Depreciation (transferred to construction work in progress) ................ 235,279 135,915 Total .................................................. 9,167,240 5,980,203 2,619,364 391,205 186,196 $272 Total . 9,402,519 6,116,118 2,677,347 391,930 216,852 272 57,983 10,725 30,656 ................ Net total ..................................„........ 9,167,240 5,980,203 2,619,364 381,205 186,196 272 Additions by fiscal years: 1957 ........................................................... 1,077,281 636,307 424,583 16,391 ................................ 1958 ........................................................... 8,089,959 5,343,896 2,194,781 364,814 186,196 272 272 70 |