447,909, 911. 69 4,655, 478. 22 455, 669,012. 78-4,204,784.11 450, 072, 653. 84+29,967,068.67 485, 891, 645. 65+75,651,808.00 921, 447, 177.32 +144, 575, 084.77 439, 907, 630. 32-141, 485, 744.21 398, 245, 890. 54+ 14, 637, 023.93 445, 626, 960. 43 20, 736,144.84 748, 169, 124. 56-1,178, 462, 55 393, 250, 478. 73+ 4,531, 941.09 366, 309, 700. 21+ 17,479, 285.84 380, 428, 000. 01 +49, 412, 595. 20 420, 281, 787.05-24,447, 370.46 432, 009, 901.55 + 36, 527,710. 58 443, 250, 020. 02-33, 503, 357.76 463, 984,730. 55-19, 601, 877.53 498,576, 375. 28 34, 132, 372. 16 425,883, 510. 22-27, 673, 266, 32 461, 739, 521. 94- 4,445, 400: 21 437, 158, 291.75-5,703, 914. 32 482,877, 597.92 + 46, 192, 425.01 551, 810, 455. 19+104, 580, 230.86 434, 747, 032. 39- 25,071, 091. 91 500, 374, 413. 75- 61, 948, 849. 60 815, 507, 448. 85 +100, 791, 521.35 669, 713, 201. 18+23, 038, 214.12 699, 320, 230. 92+21, 215, 743.65 696, 978, 810. 47+ 33, 672, 596.43 696, 107, 215. 64+ 26, 266, 651.54 683,757, 474.20 66,634,546. 21 697, 436, 093. 72- 26,574,076. 13 773, 591, 636. 27+ 35, 211, 862.93 884, 458, 982.94+91, 372, 090.65 858, 141, 635. 35 26, 890, 097..74 837,882, 881. 12-118, 795, 919.63 899, 640, 372. 64 19, 480, 752. 43 962, 610, 083. 63+33,501,368. 58 972, 170, 865. 40+ 26, 975, 552.86 992,660, 595. 49+ 3,319, 156.71 1,025,726, 672.38+ 28,093.79 990, 439,989.85 57,442, 509.75 1,128,411,638. 60+80,150,545.87 3,844,775,665.99 +798,591, 919.80
1 Includes deposits of $17,641,634, for principal of bonds, only $2,035,700 of which were actually issued in 1911; the balance was issued in the fiscal year 1912. 2 Receipts from tolls, etc. (included in miscellaneous receipts in 1915).
NOTE. The disbursements are stated by warrants paid to June 30, 1866, and by warrants issued since that date.
The disbursements for postal deficincies are grants by law from the Treasury, and differ from the fiscal year expenditures thereof shown by reports of the Auditor for the Post Office Department. Issues and redemptions of certificates and notes not affecting the cash in general fund are excluded from the public debt figures in this statement.
TABLE I.-Receipts and disbursements of the United States-Continued.
RECAPITULATION OF DISBURSEMENTS BY FISCAL YEARS.
3,856, 183. 07 3,956, 370. 29 3,901, 356. 75
6,083, 224.45 6,721, 927. 61
17,888, 992. 18 16, 462, 727.01 15, 309, 318.01 23, 464,799.05 21,011,611.43 28, 594, 920.87 24,948, 615.77 21,651,093.42 18, 988, 985.99 18,088, 432.58 18, 156, 392.66 17,824, 134.04 22, 449, 068.39 26, 572, 236.87 42,739, 383. 10 40,613, 114. 17 47,593, 557.05 48, 956, 676. 01 51,078, 551.25 48,392, 882.35 55,350,666.23 55,809, 757.42 67,837,635.06 80, 427,548.90 63,859,056.88 68,507, 120.68 52,756, 193.59 47,424,309.55 60,968,031.00 51,642, 529.76 60, 520, 686.05 57,219,750.98
5,696, 189. 38 5,759, 156. 89 11,747,345.25 13, 682,730.80 12,897, 224.16 8,916,995.80 7,095, 267.23 8,801, 610.24 6,610, 438.02 2,908, 671.95 5, 218, 183.66 5,746, 291.28 10,413, 370.58 35,840,030.33 27,688, 334.21 14,558, 473. 26 9.687, 024.58 12, 161, 965. 11 8,521,506.19 9,910, 498. 49 11,722, 282.87 14, 648, 074. 07 16,963, 160.51 19, 159, 150.87 25, 679, 121.63 23, 154, 720.53 16,472, 202.72 23,001,530.67 389, 173, 562. 29 603,314, 411.82 690,391,048. 66 1,030,690, 400.06 283,154, 676.06 95, 224, 415.63 123,246, 648.62 78,501,990.61 57,655, 675. 40 35,799,991. 82 35, 372, 157.20 46,323, 138. 31 42,313,927.22 41, 120, 645.98 38,070, 888.64 37,082, 735.90 32, 154, 147.85 40, 425, 660.73 38, 116, 916. 22 40, 466, 460.55 43,570, 494. 19
63,261, 235.31 85,704, 963.74 122, 617, 434. 07 43, 285, 662.00 31,034,011.04 25,775, 502.72 20,000, 757.97 21,780, 229.87 19,431, 027.21 21, 249, 809.99 23,526, 256.79 30,932, 587.42 21,497, 626. 27 18,963,309.82 14,959, 935. 36 17,365,301.37 15, 125, 126.84 13, 536,984.74 15, 686, 671.66 15,032,046.26
4,642, 531.77 4,100, 682.32 7,042, 923.06 3,407,938. 15 7,426,997.44 7,061,728.82 7,951,704.88 6,692, 462.09 8,384, 656.82 5,966, 558.17 5,277,007.22 4,629,280.28 5,206, 109.08 5,945, 457.09 6,514,161.09 9,736, 747.40
1,170,665. 14 1,184, 422. 40 4,589, 152. 40
3,364, 285. 30 1,954,711. 32 2,882,797.96 2,672, 162.45 2,156,057.29 3,142,750. 51 2, 603, 562. 17 2,388, 434.51 1,378, 931.33 839,041.12 2,032, 008.99 2,400, 788. 11 1,811,097.56 1,744, 883.63 1,227, 496. 48 1,328,867.64 1,866, 886.02 2,293, 377.22 2,401,858.78 1,756, 306. 20
1,232,665.00 1,477, 612. 33 1,296, 229.65 1,310,380.58 1,219, 768.30 1,222, 222.71 1,100, 802.32 1,034,599.73
852, 170.47 1,078, 513.36 4,985, 473.90 16,347,621.34 15,605, 549.88 20,936, 551.71 23,782,386.78 28,476, 621.78 28,340, 202.17 34,443, 894.88 28,533, 402.76 29,359, 426.86 29,038, 414.66 29, 456, 216.22 28,257, 395.69 27,963,752.27 27,137,019.08 35, 121, 482.39 56,777,174. 44 50,059, 279.62 61, 345, 193.95
1,373, 748. 74
772, 561.50 303, 796.87 202, 152. 98
57,863. 08
14,996. 48 399, 833.89 174,598. 08 284,977.55 773,549.85 523,583.91 1,833,452.13 1,040, 458. 18
842,723.27 1,119, 214.72 2,390, 765.88 3,565, 535.78 3,782, 393.03 3,696, 760.75
3,070, 926.69 2,314, 464.99 1,953,822.37 1,593, 265. 23 1,652,055. 67 2,637, 649.70 3, 144, 120.94 4,034,157.30 13, 190, 344.84 24,729, 700. 62 53,685, 421.69 77,395.090.30 133,067, 624.91 143,781, 591.81 140, 424,045.71 130, 694, 242.80 129, 235, 498.00 125, 576, 565.93 117,357, 839. 72 104,750, 688.44 107,119,815.21 103,093, 544.57 100, 243, 271.23 97, 124, 511.58 102,500, 874.65 105,327,949.00 95,757,575. 11 82, 508, 741. 18 71,077, 206.79
15, 237, 816. 64 17, 288,950. 27 23,017, 551.98 18,627,570. 23 17,572, 813. 36 30,868, 164.04 37, 243, 214.24 33,864,714.56 26, 896, 782.62 24,314, 518. 19 26,074, 160.84 25,081, 189.44 11,758,789.51 22,483,560.14 22,935, 827.79 26, 450, 951.24 54,384, 485.10 47,595,998.69 43, 499,078.39 40, 948, 383. 12 47,751, 478.41 43,348,807.92 45,590, 239.09 51,831, 109.48 55, 551,848.71 65, 527,232.01 64,017, 525.93 69,233, 569.84 64, 185, 041.36 53,311,329.93 61,479,318.02 466,008,513.10 717, 984,962.20 863,969, 120.83 1,294,849, 289. 58 519,022, 356.34 343,212, 659.11 366, 285, 942. 16 315,795, 087.47 288,812, 425.94 278,029, 143. 51 265, 384, 695. 91 279,748, 850.34 296, 524,755. 50 267,411,746.74 260, 008, 544.23 235, 164, 135.92 231,210,932.78 262, 174, 359.04 261,776,637.36 255,756,000. 15 257,981, 439.57
TABLE I.-Receipts and disbursements of the United States-Continued.
RECAPITULATION OF DISBURSEMENTS BY FISCAL YEARS-Continued.
$265,333, 634.36 244, 126, 244.33 255, 685, 324. 53 234, 289, 486. 48 261, 430, 932.92 256, 597, 921.54 278, 127, 695.87 290, 861,449.69 350, 630, 912.66 340, 971, 840.87 377,531, 159.30 359, 275, 279.83 345, 178, 756.57 342,879, 446.08 354, 624, 953. 44 432,864, 542.38 596,860, 609.77 480,483, 012.92 505, 012, 590.94 468,788, 705.12 503, 320, 102.84 525, 735, 290.45 548, 294,836. 62 536,732, 130.96 544, 075, 746. 23 608, 214, 349.70 642, 823, 382.40 651, 209, 778.71 654, 137, 997.89 652,985, 768.59 681,743,336.72 700, 254, 489.71 724, 763, 166.51 1718, 992, 998.90 2,066, 779, 306. 16
Includes special disbursements, as follows: Purchase of obligations of foreign Governments, $885,000,000; purchase of Danish West Indies, $25,000,000; and subscriptions to stock Includes $147,795.90 increase arising in adjustment of miscellaneous accounts, and $918,880,315 special disbursements.
13,984, 424.99 15,435, 010. 71 11,711, 209.02 17, 209, 616.84 14,372, 342.24 13,860, 985.71 14, 110, 525.59 -22,831, 593. 68 39,825, 932.08 38,754, 605.18 40, 326, 248.96 49,052, 370.66 41,794, 774.90 36, 136, 674.58 25, 118, 232.32 22,926, 216. 18 20, 268, 098.97 18,843,951.59 16,472, 948. 49 33,089,016.76 24, 824, 717.01 25, 499, 197.24 24, 138, 383.72 27,138.795.97 26, 917,063.07 26, 535,397.73 32,045, 188.92 36, 622, 859.72
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