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MILITARY POST.

For the establishment in the vicinity of Manila, Philippine Islands, of a military post, including the construction of barracks quarters for officers, hospital, storehouses, and other buildings, as well as water supply, lighting, sewerage, and drainage, necessary for the accommodation of a garrison of two full regiments of infantry, two squadrons of cavalry, and two batteries of artillery, to be available until expended, five hundred thousand dollars.

FORTIFICATIONS.

For protection, preservation, and repair of fortifications for which there may be no special appropriation available, three thousand dollars.

YELLOWSTONE NATIONAL PARK.

Improvement of Yellowstone National Park: For payment of the account of the Northern Pacific Railway Company for transportation of cast-iron water pipe from Billings. Montana, to Cinnabar, Montana, for service of the fiscal year nineteen hundred, thirty-one dollars and ninety-six cents.

MILITARY ESTABLISHMENT.

Shooting galleries and ranges: For shelter, shooting galleries, and ranges for small-arms target practice, repairs, and expenses incident thereto, ten thousand dollars.

Ordnance, ordnance stores, and supplies: For purchase and manufacture of ordnance stores to fill requisitions of troops, two hundred and fifty thousand dollars.

For reimbursement of contract or acting assistant surgeons, as provided in the paragraph appropriating ten thousand dollars therefor in the general deficiency appropriation act approved March third, nineteen hundred and one (Statutes at Large, volume thirty-one, page ten hundred and twentythree), ten thousand dollars.

MILITARY ACADEMY.

PAY: For extra pay of one enlisted man as assistant and attendant at the library, at fifty cents per day, during each of the fiscal years nineteen hundred and nineteen hundred and one, twenty-six dollars.

CURRENT AND ORDINARY EXPENSES: For repairs and improvements, namely: Timber, planks, boards, joists, wall strips, laths, shingles, slate, tin, sheet lead, zinc, nails, screws, locks, hinges, glass, paints, turpentine, oils, varnish, brushes, stone, brick, flag, lime, cement, plaster, hair, sewer and drain pipe,

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blasting powder, fuse, iron, steel, tools, machinery, mantels, and other similar materials, renewing roofs, and for pay of architect, overseer, and citizen mechanics and labor employed upon repairs and improvements that can not be done by enlisted men, nine thousand dollars.

For gas pipes, gas and electric fixtures, electric lamps and lighting supplies, lamp-posts, gasometers and retorts, and annual repairs of same, one thousand dollars.

For fuel and apparatus, namely: Coal, wood, charcoal, stoves, grates, heaters, furnaces, ranges and fixtures, fire bricks, clay, sand, and for repairs of steam heating apparatus, grates. stoves, heaters, ranges, and furnaces, mica, ten thousand dollars.

MISCELLANEOUS ITEMS AND INCIDENTAL EXPENSES: For gas coal, oil, candles, lanterns, matches, chimneys, and wicking, for lighting the Academy building, chapel, library, cadet barracks, mess hall, shops, hospital, offices, stables and riding hall, sidewalks, camp, and wharves, one thousand five hundred dollars.

For water pipe, plumbing and repairs, two thousand dollars. BUILDINGS AND GROUNDS: For completing the laying out of the cadet camp, draining, filling, leveling, piping, and so forth, six thousand dollars.

NATIONAL HOME FOR DISABLED VOLUNTEER SOLDIERS.

For construction at the Mountain Branch of the National Home for Disabled Volunteer Soldiers, near Johnson City, Tennessee; to complete the hospital group of buildings, power house, barracks, mess hall and kitchen, laundry, storehouse, administration building, chapel, officers' quarters, lodge and gateway, and all other necessary buildings; and for all necessary furniture, machinery, and equipment for said hospital, barracks. and other buildings; for steam and water mains, piping for sewerage and water; electric lighting plant, coldstorage and ice plant, construction of roads, and for improvement of grounds and fencing, the Board of Managers of the National Home for Disabled Volunteer Soldiers are authorized to enter into contracts, to be paid for as appropriations may be made from time to time by law, not exceeding in the aggregate for all of said enumerated objects the sum of nine hundred thousand dollars, toward which there is hereby appropriated the sum of three hundred and fifty thousand dollars.

At the Central Branch, at Dayton, Ohio: For transportation of members of the Home for the fiscal years as follows:

For the fiscal year nineteen hundred and two, one thousand five hundred dollars.

For the fiscal year nineteen hundred, thirty-three dollars and fifty-seven cents.

For subsistence, including the same objects specified under this head in the sundry civil appropriation act, and for the fiscal year nineteen hundred and two, twenty-five thousand dollars.

For household expenses, including the same objects specified under this head in the sundry civil appropriation acts, respectively, and for the fiscal years as follows:

For the fiscal year nineteen hundred and two, ten thousand dollars.

For the fiscal year nineteen hundred and one, seven thousand four hundred and sixty-one dollars and eight cents.

For the renewal and completion of the electric-light plant, thirty-three thousand five hundred and seventy-eight dollars. At the Northwestern Branch, at Milwaukee, Wisconsin: For household expenses, including the same objects specified under this head for the Central Branch in the sundry civil appropriation acts, respectively, and for the fiscal years as follows:

For the fiscal year nineteen hundred and two, six thousand five hundred dollars.

For the fiscal year nineteen hundred and one, two hundred and ninety-eight dollars and ninety cents.

At the Eastern Branch, at Togus, Maine: For household expenses, including the same objects specified under this head for the Central Branch in the sundry civil appropriation acts, respectively, and for the fiscal years as follows:

For the fiscal year nineteen hundred and two, five thousand dollars.

For the fiscal year nineteen hundred and one, one thousand and twenty-two dollars and three cents.

For repairs to reservoir, relaying stone abutments, raising road bridge, and putting in flume gates, three thousand dollars. At the Southern Branch, at Hampton, Virginia: For repairs, including the same objects specified under this head for the Central Branch in the sundry civil appropriation act for the fiscal year nineteen hundred and two, seven thousand dollars.

For household expenses, including the same objects specified under this head for the Central Branch in the sundry civil appropriation act for the fiscal year nineteen hundred and one, seven thousand six hundred and sixty-five dollars and forty-five cents.

For the Western Branch, at Leavenworth, Kansas: For subsistence, including the same objects specified under this head for the Central Branch in the sundry civil appropriation act for the fiscal year nineteen hundred and two, twenty-two thousand five hundred dollars.

At the Marion Branch, at Marion, Indiana: For completion of barrack dining room and kitchen combined, eight thousand dollars.

At the Pacific Branch, at Santa Monica, California: For hospital expenses, including the same objects specified under this head for the Central Branch in the sundry civil appropriation act for the fiscal year nineteen hundred and two, two thousand five hundred dollars.

At the Danville Branch, at Danville, Illinois: For household expenses, including the same objects specified under this head for the Central Branch in the sundry civil appropriation act for the fiscal year nineteen hundred and two, thirteen thousand dollars.

For transportation of members of the Home for the fiscal years as follows:

For the fiscal year nineteen hundred and two, one thousand dollars.

For the fiscal year nineteen hundred and one, nine hundred and ninety-seven dollars and seventy-one cents.

For propagating house and greenhouse, five thousand dollars.

For furniture for quarters for women nurses, seven hundred and sixty dollars.

For salaries for officers and employees of the Board of Managers, and for outdoor relief and incidental expenses, namely: For rent, medical examination, stationery, telegrams, and other incidental expenses on account of the fiscal years, as follows:

For the fiscal year nineteen hundred and two, one thousand dollars.

For the fiscal year nineteen hundred and one, two dollars and fifty-six cents.

For traveling expenses of the Board of Managers, their officers and employees, for the fiscal year nineteen hundred and one, two hundred and eight dollars and thirty-two cents. STATE OR TERRITORIAL HOMES: For continuing aid to State or Territorial homes for the support of disabled volunteer soldiers, in conformity with the act approved August twentyseventh, eighteen hundred and eighty-eight, including all classes of soldiers admissible to the National Home for Dis

abled Volunteer Soldiers, for the fiscal year nineteen hundred and one, fifty-four thousand seven hundred and twenty four dollars and eighty cents: Provided, That one-half of any sum or sums retained by State homes on account of pensions received from inmates shall be deducted from the aid herein provided for.

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JUDGMENTS, UNITED STATES COURTS.

For payment of the final judgments and decrees, including costs of suit, which have been rendered under the provisions of the act of March third, eighteen hundred and eighty-seven, entitled "An Act to provide for the bringing of suits against the Government of the United States," certified to Congress at its present session by the Attorney General, in Senate Document Numbered One hundred and thirty-nine, and which have not been appealed, twenty-two thousand eight hundred and seventy-four dollars and thirty-one cents, together with such additional sum as may be necessary to pay interest on the respective judgments at the rate of four per centum per annum from the date thereof until the time this appropriation is made: Provided. That none of the judgments herein provided for shall be paid until the right of appeal shall have expired.

SEC. 2. That for the payment of the following claims, certified to be due by the several accounting officers of the Treasury Department under appropriations the balances of which have been exhausted or carried to the surplus fund under the provisions of section five of the act of June twentieth, eighteen hundred and seventy four, and under appropriations heretofore treated as permanent, being for the service of the fiscal year eighteen hundred and ninety-nine, and prior years, unless otherwise stated, and which have been certified to Congress under section two of the act of July seventh, eighteen hundred and eighty-four, as fully set forth in House Documents Numbered Two hundred and forty-eight and Two hundred and sixty four, and Senate Documents Numbered One hundred and forty eight and One hundred and fifty-eight, reported to Congress at its present session, there is appropriated as follows:

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For national defense, one hundred and ten dollars and thirtyeight cents.

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