Page:United States Statutes at Large Volume 82.djvu/353

 82 STAT. ]

PUBLIC LAW 90-392-JULY 9, 1968

311

OPERATION AND MAINTENANCE, DEFENSE AGENCIES

For an additional amount for "Operation and maintenance, Defense Agencies", $23,079,000. CLAIMS, DEFENSE

For an additional amount for "Claims, Defense", $8,000,000, to be derived by transfer from the appropriation "Contingencies, Defense". EMERGENCY F U N D, SOUTHEAST ASIA

For an additional amount for "Emergency Fund, Southeast Asia," $3,750,950,000, and $2,345,000,000 reserved from obligation by the Secretary of Defense in accordance with Public Law 90-218, is hereby made available, pursuant to section 206 of that law, for use in the fiscal year 1968 to offset special Vietnam costs: Provided, That funds made available under this head may also be used in connection with military activities in the Republic of Korea.

81 Stat. 663.

GENERAL PROVISION

The amount of the limitation contained in section 606 of the Depart- „ei^i!^"°" '"' ment of Defense Appropriations Act, 1968, is hereby increased by si Stat. 242. $2,500,000. CHAPTER III DISTRICT O F COLUMBIA FEDERAL FUNDS FEDERAL P A Y M E N T TO THE DISTRICT OF COLUMBIA

For an additional amount for "Federal payment to the District of Columbia", for the general fund of the District of Columbia, $6,020,800, which together with balances of previous appropriations for this purpose, shall remain available until expended. LOANS TO THE DISTRICT OF COLUMBIA FOR CAPITAL OUTLAY

For an additional amount for "Loans to the District of Columbia for capital outlay", $3,688,000, to remain available until expended and to be advffliced upon request of the Commissioner to the general fund. DISTRICT OF COLUMBIA F U N D S OPERATING E X P E N S E S

General Operating Expenses For an additional amount for "General operating expenses", $1,535,558, of which $2,700 shall be payable from the highway fund (including $1,800 from the motor vehicle parking account), $900 from the water fund, and $300 from the sanitary sewage works fund: Provided, That $1,000,000 of this appropriation shall remain available until September 30, 1968, for the purpose of conducting a summer program for children and youth. Public Safety For an additional amount for "Public safety", $6,466,076, of which $700 shall be payable from the highway fund, $200 from the water fund, and $200 from the sanitary sewage works fund.

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summer program.

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