Financial Resources for The Annual Plan 1972-73 Government of Madhya Pradesh

Loading...
Thumbnail Image

Date

Journal Title

Journal ISSN

Volume Title

Publisher

Planning Commission

Abstract

The revised outlay of the State Plan for 1971-72 has been taken at Rs. 99 crores and that for 1972-73 at Rs. 113.75 crores. 1. Balance from Current revenues.—This has been taken at Rs. 19.56 crores in 1971-72 and Rs. 22.33 crores in 1972-73. See Explanatory Notes for Statement III-A and III-B. 2. Contribution of Public enterprises.— The contribution by the Electricity Board in the shape of depreciation fund, general reserve and consumer deposits at 1968-69 rates or tariff has been taken at Rs. 4.13 crores in 1971-72 and Rs. 4.74 crores in 1972-73. The contribution of Road Transport Corporation at 1968-69 rates of fares has been taken at (—) Rs. 0.36 crores for 1971-72 and (—) Rs. 0.17 crores for 1972-73. The estimates are the same as assessed during re-assessment of the resources for the Fourth Plan in June 1971. These figures will be finalised alter separate discussions on the resources of the Board and the Corporation.

Description

Keywords

Citation

Planning Commission - 1971

Collections

Endorsement

Review

Supplemented By

Referenced By