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

dc.contributor.authorPlanning Commission
dc.date.accessioned2024-01-04T06:58:00Z
dc.date.available2024-01-04T06:58:00Z
dc.date.issued1971
dc.description.abstractThe 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.
dc.identifier.citationPlanning Commission - 1971
dc.identifier.issn83418
dc.identifier.urihttp://10.21.131.211/handle/123456789/2717
dc.identifier.urihttp://10.21.131.211:8080/eBook/83418/index.html
dc.language.isoen
dc.publisherPlanning Commission
dc.relation.ispartofseriesD-4-288-C-2633; D-4-288
dc.titleFinancial Resources for The Annual Plan 1972-73 Government of Madhya Pradesh
dc.title.alternativeGovernment of Madhya Pradesh, Finance Department
dc.typeBook

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