2020 Session
Budget Bill - HB30 (Chapter 1289)
| First Year - FY2021 | Second Year - FY2022 |
---|
|
|
Total For Central Capital Outlay | $1,637,450,457 | $138,900,000 |
|
Fund Sources: |
General | $19,956,290 | $0 |
Special | $35,000,000 | $0 |
Dedicated Special Revenue | $40,951,750 | $0 |
Federal Trust | $17,015,317 | $0 |
Bond Proceeds | $1,524,527,100 | $138,900,000 |