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2005-12-31 Annual Finance Report
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2005-12-31 Annual Finance Report
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5/11/2009 12:49:43 PM
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<br />Management Discussion and Analysis - Continued <br />May 4, 2006 <br /> <br />Business-type activities. Business-type activities increased the City's net assets by $244,837, accounting for all of the growth in <br />the City's net assets. Key elements of this increase are as follows: <br /> <br />. Water usage rates and water base rate increased by 11.76 percent, while the sewerrate increased by 8.16 percent. <br /> <br />$400,000 <br /> <br />$350,000 <br /> <br />$300,000 <br /> <br />$250,000 <br /> <br />$200,000 <br /> <br />$150,000 <br /> <br />$100,000 <br /> <br />$50,000 <br /> <br />Expenses and Program Revenues - Business-type Activities <br /> <br />$- <br /> <br /> <br />Water <br /> <br />Sewer <br /> <br />Recycling <br /> <br />I_ Program revenues - Expenses I <br /> <br />Revenues by Source - Business-type Activities <br /> <br />Charges for services <br />85.38% <br /> <br /> <br />Capital grants and <br />contributions <br />4.23% <br /> <br />Investment earnings <br />10.39% <br /> <br />- VIII- <br />
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