| First Year - FY2021 | Second Year - FY2022 | Totals |
---|
Central Appropriations | $1,617,494,167 | $138,900,000 $222,525,171 | |
---|
Central Capital Outlay | $1,617,494,167 | $138,900,000 $222,525,171 | |
C-64 | Central Maintenance Reserve | $137,000,000 | $137,000,000 | |
C-65 | Central Reserve for Capital Equipment Funding | $108,608,337 | $0 $6,786,250 | |
C-66 | Planning: Detail Planning for Capital Projects | $1,517,750 | $0 | |
C-66.10 | New Construction: 2019 Capital Construction Pool | $0 | $58,500,000 | |
C-67 | 2020 VPBA Capital Construction Pool | $319,806,572 | $0 | |
C-68 | 2020 VCBA Capital Construction Pool | $701,261,508 | $0 | |
C-68.50 | 2021 Capital Construction Pool | $0 | $11,738,921 | |
C-69 | Supplement Previously Authorized Capital Project Construction Pools | $170,700,000 | $0 | |
C-70 | Improvements: Local Water Quality and Supply Projects | $125,000,000 | $0 | |
C-71 | Improvements: Workforce Development Projects | $13,600,000 | $1,900,000 $8,500,000 | |
C-72 | Other Authorized Capital Infrastructure and Improvements | $40,000,000 | $0 | |
C-72.10 | Omitted | | |
C-72.50 | Language Only | | |
C-72.60 | Language Only | | |
C-73 | Language Only | | |
C-74 | Language Only | | |
C-75 | Language Only | | |
C-76 | Language Only | | |
C-76.10 | Language Only | | |
9(C) Revenue Bonds | $0 | $0 | |
C-77 | Language Only | | |
9(D) Revenue Bonds | $0 | $0 | |
C-78 | Language Only | | |